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1975 - 06-16-75 Regular Meeting
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1975 - 06-16-75 Regular Meeting
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Minutes
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Board of Commissioners
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BCBr 7 PAGE ilYJ <br />Section 15: It is estimated that the following School Capital Outlay Fund <br />Revenues will be available during the fiscal year beginning July <br />15 1975, and ending June 30, 1976, to meet the foregoing School <br />Capital Outlay Fund appropriations: <br />Code Revenue source Amount <br />Taxes - Ad Valorem <br />51-301-00 Prior year <br />$ <br />4 <br />000 <br />51-397-01 General Fund Appropriation <br />48 <br />000 <br />Total <br />$ <br />52 <br />000 <br />Fund balance appropriated <br />Surplus <br />8 <br />000 <br />TOTAL REVENUES - SCHOOL CAPITAL OUTLAY FUND <br />$ <br />60 <br />000 <br />Section 16: That for the said fiscal year there is hereby appropriated out of the <br />School Capital Outlay Reserve Fund the following: <br />Code Purpose Appropriation <br />681-9 Addition to Building Reserve $ 500 000 <br />TOTAL APPROPRIATIONS - SCHOOL CAPITAL OUTLAY RESERVE FUND $ 500 000 <br />Section 17: It is estimated that the following School Capital Outlay Reserve Fund <br />revenues will be available during the fiscal year beginning <br />July 1, <br />1975, and ending June 30, 1976, to meet the foregoing School <br />Capital <br />Outlay Reserve Fund appropriations: <br />Code <br />Revenue source <br />Amount <br />51A-301-00 <br />Prior Year Taxes <br />$ 8 <br />000 <br />51A-365-00 <br />Revenue Sharing <br />147 <br />102 <br />51A-397-01 <br />General Fund Appropriation <br />344 <br />898 <br />TOTAL REVENUES - SCHOOL CAPITAL OUTLAY RESERVE FUND <br />$ 500 <br />000 <br />Section 18: That for said fiscal year there is hereby appropriated out of the <br />Central Carolina Technical Institute Fund the following: <br />Code Purpose Appropriation <br />60 Current Expense $ 164 133 <br />61 Capital Outlay 19 680 <br />TOTAL APPROPRIATIONS - CENTRAL CAROLINA TECHNICAL INSTITUTE FUND $ 183 813 <br />Section 19: It is estimated that the following Central Carolina Technical Institute <br />Fund Revenues will be available during the fiscal year beginning July 1, <br />1975, and ending June 30, 1976, to meet the foregoing Central Carolina <br />Technical Institute Fund appropriations: <br />Code Revenue source Amount <br />Taxes - Ad Valorem <br />53-301-00 Prior years $ 2 000 <br />53-397-01 General Fund Appropriation 166 813 <br />Total $ 168 813 <br />Fund balance appropriated <br />Surplus 15 000 <br />TOTAL REVENUES - CENTRAL CAROLINA TECHNICAL INSTITUTE FUND $ 183 813 <br />
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