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1973 - 07-02-73 Regular Meeting
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1973 - 07-02-73 Regular Meeting
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Admin-Clerk
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Minutes
Committee
Board of Commissioners
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BOOK O PAGE 246- 'r <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 405 000 <br />TOTAL APPROPRIATIONS - SCHOOL CAPITAL OUTLAY RESERVE FUND 5405 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 July 1 ,1973 <br />and ending June 30, 1974.to meet the foregoing,School Capital Outlay <br />Reserve Fund.appropriations: <br />Code Revenue source Amount <br />51A-345-00. Local Option Sales Tax $400 000 <br />51A-329-00 Interest on Investments` 5 000 <br />TOTAL REVENUES - SCHOOL CAPITAL OUTLAY RESERVE FUND <br />X000 <br />Section 18: That for said fiscal year there is hereby appropriated out of School Debt <br />Service Fund the following: <br />Code Purpose Appropriation <br />52-692 <br />Bond <br />Principal <br />$105 <br />000 <br />52-692 <br />Bond <br />Interest <br />36. <br />353 <br />52-692 <br />Bond <br />Service Charge <br />196 <br />TOTAL APPROPRIATIONS - SCHOOL DEBT SERVICE FUND S141 549 <br />Section 19: It is estimated that the following School Debt Service'Fund Revenues will <br />be available during the fiscal year beginning July 1, 1973-and ending . <br />June 30, 1974 to meet the foregoing School Debt Service Fund appropriations: <br />Code Revenue source Amount <br />Taxes - Ad Valorem <br />52-301-73 Budget year (F/Y 1973-74) $102 114 <br />52-301-00 Prior years 2 435 <br />52-329-00 Interest on Investments 1 000 <br />52-339-00 Intangible Property_Tax 6 000 <br />Total $111 549 <br />Fund balance appropriated <br />Surplus 30 000 <br />TOTAL REVENUES - SCHOOL DEBT SERVICE FUND S141 549 <br />
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