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<br /> APPENDIX G <br /> AMENDMENTS TO THE WATER FUND <br /> 1985 1985 <br /> ADOPTED AMENDED <br /> BUDGET BUDGET <br /> REVENUES <br /> Bond Proceeds $ 0 $1,348,914 <br /> Contributions & Donations 723,880 869,915 <br /> Earnings on Deposits 239,046 50,000 <br /> Tap Fees 2,302,150 1,743,996 <br /> Fund Balance 1,143,747 745,498 <br /> All Other Revenues 2,655,838 2,655,838 <br /> TOTAL $7,064,661 $7,414,161 <br /> EXPENDITURES <br /> Prof. Servo - Legal $ 60,000 $ 110,000 <br /> Pro f .S e r V. - Con s 1 t . 30,000 100,000 <br /> Marshall Lake Sluice Gate 0 255,500 <br /> Treatment Plant Expansion 1,847,000 1,907,000 <br /> Principal Pymts. - Bonds 110,000 55,000 <br /> Trans. to Capital Imp. Fund 31,000 0 <br /> All Other Expenditures 4,986,661 4,986,661 <br /> TOTAL $7,064,661 $7,414,161 <br /> .. <br />