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Amounts <br />in dollars <br />Department Operating <br /> Fire and Emergency Medical Services 247,680 <br />Total Department Operating 247,680 <br />Non-Departmental <br /> Interfund Transfers 282,100 <br /> Reserves (282,100) <br />Total Non-Departmental 0 <br />TOTAL GENERAL FUND 247,680 <br />Non-Departmental <br />* Balance Available (429,913) <br />Total Non-Departmental (429,913) <br />TOTAL TELECOM REGISTRATION/LICENSING FUND (429,913) <br />Non-Departmental <br />* Balance Available (150) <br />Total Non-Departmental (150) <br />TOTAL LIBRARY, PARKS AND REC. SPECIAL REVENUE FUND (150) <br />Capital Projects <br /> Capital Projects (20,204) <br />Total Capital Projects (20,204) <br />Non-Departmental <br />* Balance Available (11,727,055) <br />Total Non-Departmental (11,727,055) <br />TOTAL GENERAL CAPITAL PROJECTS FUND (11,747,259) <br />EXHIBIT A <br />GENERAL FUND <br />TELECOM REGISTRATION/LICENSING FUND <br />LIBRARY, PARKS AND RECREATION SPECIAL REVENUE FUND <br />GENERAL CAPITAL PROJECTS FUND <br />June 24, 2019, Meeting – Item 4