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REVENUE: <br /> <br />ITEM ORIGINAL <br /> <br />REVISION NEW <br /> <br />51-010 <br />51-621 <br />51-725 <br />.51-911 <br /> <br />Balance from Prior Year $ 4~5,150 <br />Expense ReJ~bu~sements 6G,315 <br />Sale of Sewer Lines S0,000 <br />Transfer from Fund 11 , ]~22~ 0~_~90 <br /> <br />$ + 56,550 $ 501,700 <br />51,315 15,000 <br />- 80,000 - <br />+352~73~ 1,5~6,825 <br /> <br />Fund 51 (CAPITAL OUTLAY) $2,005,555 $+277,970 $2,283,525 <br /> <br />61-010 <br />61-511 <br />61-~57 <br />61-911 <br /> <br />Balance from Prior Year $ 88,300 <br />Rental of Buildings 3,000 <br />Sales of Buildings - <br />Transfers from Fund 11 200,000 <br /> <br />$ - ~9,300 $ (1,000) <br /> + 10,000 13,000 <br /> +10i,100 101,100 <br /> no chc:n~e _200L000 <br /> <br />Fund 61(Civic Center, etc) $ 291,300 $ + 21,800 $ 313,100 <br /> <br /> <br />