Laserfiche WebLink
Solid Waste/Recyclin.q Fund $95 <br />Department Operating <br /> Planning and Development 487,104 <br />Total Department Operating 487,104 <br /> <br />Non-Departmental <br />Interfund Transfers 65,000 <br />Reserve 20,930 <br />Balance Available 120,227 <br />Total Non-Departmental 206,157 <br /> <br />T tal Solid Waste/Recycling Fund 693,261 <br /> <br /> Community Development Fund <br />Department Operating <br /> Central Services 4,000 <br /> Planning and Development 4,812,171 <br />Total Department Operating 4,816,171 <br /> <br />Total Capital Projects 215,970 <br /> <br />Non-Departmental <br />Interfund Transfers 110,000 <br />Miscellaneous Fiscal Transactions 5,412,060 <br />Reserve 19,693 <br />Total Non-Departmental 5,541,753 <br /> <br />Total Community Development Fund 10,573,894 <br /> <br /> Library~ Parks and Recreation Special Revenue Fund <br />Department Operating <br /> Library, Recreation & Cultural Services 115,230 <br />Total Department Operating 115,230 <br /> <br />Total Capital Projects 160,223 <br /> <br />Non-Departmental <br />Reserve 952,406 <br />Balance Available 30,446 <br />Total Non-Departmental 982,852 <br /> <br />Total Library, Parks and Rec. Special Revenue Fund 1,258,305 <br /> <br /> General Obli,qation Debt Service Fund <br />Non-Departmental <br /> Debt Service 4,399,271 <br /> Unappropriated Ending Fund Balance 489,165 <br />Total Non-Departmental 4,888,436 <br /> <br />Total General Obligation Debt Service Fund 4,888,436 <br /> <br /> <br />