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BUDGET AMENDMENT <br /> STREET CONSTRUCTION/MAINT FUND <br /> BA 1314-03 <br /> ACCT. ORIGINAL CURRENT ADJUSTED <br /> NUMBER ACCT.NAME BUDGET BUDGET INCREASE DECREASE BUDGET <br /> REVENUES <br /> M I 1-381-010 Transfer In from General Fund 169.330.00 169.330.00 552,199.49 721.529.49 <br /> C 11-389-900 Fund Balance Forward 204.624.00 204.62400 127.199.49 77.424.51 <br /> TOT I.STREET <br /> CONSTRUCTION/MAINT FUND <br /> REVENUE 1.402.356.00 1.402.356.00 552.199.49 127.199.49 1.827.356.00 <br /> EXPENDITURES <br /> 0 11-541-5464 Streets Maint-R&M Grounds 240.000.00 240.000.00 300.000.00 540.000.00 <br /> P 11-574-5461 Transportation-R&M Vehicles 45.000.00 45.000.00 55,000.00 100.000.00 <br /> Q 11-574-5523E Transportation-Gas-T ran sp 70.000.00 70,000.00 70,000.00 140.000.00 <br /> R 11-600-5685 182 183 Co 2,791.93 2.791.93 14.928.44 17.720.37 <br /> C 11-900-9910 Fund Balance- Restricted 50.856.00 48.064.07 14.928.44 33.135.63 <br /> TOT'ALSTREET <br /> CONSTRUCTION/MAINT FUND <br /> EXPENDITURES 1.402.356.00 1.402.356.00 439,928.44 14,928.44 1.827.356.00 <br />