My WebLink
|
Help
|
About
|
Sign Out
Home
Browse
Search
1973 - 07-02-73 Regular Meeting
public access
>
Clerk
>
MINUTES
>
1973
>
1973 - 07-02-73 Regular Meeting
Metadata
Thumbnails
Annotations
Entry Properties
Last modified
1/12/2010 10:56:06 AM
Creation date
1/12/2010 10:55:19 AM
Metadata
Fields
Template:
Admin-Clerk
Document Type
Minutes
Committee
Board of Commissioners
There are no annotations on this page.
Document management portal powered by Laserfiche WebLink 9 © 1998-2015
Laserfiche.
All rights reserved.
/
16
PDF
Print
Pages to print
Enter page numbers and/or page ranges separated by commas. For example, 1,3,5-12.
After downloading, print the document using a PDF reader (e.g. Adobe Reader).
View images
View plain text
BOOK S PAGE243-A <br />Section 4: That for said fiscal year there is hereby appropriated out of the Debt <br />Service Fund the following: <br />Code Purpose ApRrropriation <br />20-662-81 <br />Bond <br />Principal <br />$.84 <br />000 <br />20-662-82 <br />Bond <br />Interest <br />36 <br />735 <br />20-662-82a <br />Bond <br />Anticipation Note Interest - Co C. T. I. <br />12 <br />000 <br />20-662-83 <br />Bond <br />Service Charge <br />176 <br />TOTAL APPROPRIATION.- DEBT SERVICE FUND <br />2 911 <br />Section's:, It is estimated that the following Debt Service Fund Revenue will be <br />available during the fiscal.year.beginning July 1, 1973 and ending June 30, <br />1974.to meet the-foregoing Debt Service Fund appropriations:.' <br />Code Revenue source • Amount <br />Taxes - Ad Valorem <br />20=301-73 <br />Budget year <br />$105 <br />408 <br />20-301-00 <br />Prior years <br />1 <br />500 <br />20-329-00. <br />Interest on Investments <br />2 <br />500 <br />20-339-00 <br />Intangible Property Tax <br />5 <br />000 <br />Total $114 408 <br />Fund balance appropriated <br />Surplus 18 503 <br />TOTAL REVENUES'- DEBT SERVICE FUND $132 911 <br />Section 6: That for said fiscal year there is hereby appropriated out of the Social <br />Services Fund the following: <br />Code <br />Purpose <br />Appropriation <br />Administration <br />42-610-02 <br />Salaries <br />$171 <br />654 <br />42-610-04 <br />Professional Services <br />2 <br />000 <br />42-610-05/7 <br />FICA and Retirement <br />22 <br />383 <br />42-610-06 <br />Employee Insurance <br />3 <br />384 <br />42-610-11 <br />Telephone and postage <br />5 <br />300 <br />42-610-13 <br />Utilities <br />2 <br />080 <br />42-610-14 <br />Travel <br />11 <br />000 <br />42-610-16 <br />Maintenance of Equipment <br />1 <br />100 <br />42-610-33 <br />Supplies <br />1 <br />500 <br />42-610-74 <br />Equipment <br />1 <br />200 <br />Subtotal <br />$221 <br />601 <br />Public Assistance <br />42-610-19 <br />Aid to the Aged <br />12 <br />543 <br />42-610-19 <br />Aid to Families of Dependent Children <br />48 <br />793 <br />42-610-19 <br />Aid to Permanently and Totally-Disabled <br />18 <br />549 <br />42-610-19 <br />Aid to Blind <br />8 <br />298 <br />42-610-19 <br />Medicaid <br />48 <br />448 <br />42-610-19 <br />Boarding of Children.-v. <br />29 <br />000 <br />42-610-19 <br />Sanatorium Care <br />500 <br />42-610-19 <br />Ambulance Fees - Indigents <br />2 <br />500 <br />42-610-19 <br />Family Planning <br />10 <br />250 <br />42-610-19 <br />Day Care Program <br />48 <br />000 <br />42-610-19 <br />Work Incentive Program (WIN-SAU)' <br />28 <br />553 <br />
The URL can be used to link to this page
Your browser does not support the video tag.