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<br /> APPENDIX H <br /> AMENDMENTS TO THE SEWER FUND <br /> 1985 1985 <br /> Adopted Amended <br /> Budget Budget <br /> REVENUES <br /> Tap Fees $ 526,250 $ 426,250 <br /> Reimb. from Others 0 16,000 <br /> Fund Balance 1,993,781 1,317,259 <br /> All Other Revenue 557,806 557,806 <br /> TOTAL $3,077,837 $2,317.315 <br /> EXPENDITURES <br /> Repairs & Maint. - Cleaning $ 27,000 $ 100,000 <br /> Treatment Plant Expansion 2,080,000 500,000 <br /> Trans f. To Capital Imp. Fund 31,000 0 <br /> City Shops 0 136,688 <br /> All Other Expenditures 732,125 732,125 <br /> TOTAL $2,870,125 $1,468,813 <br />