Laserfiche WebLink
BK -00027 PG:0903 <br />SECTION VI. THE FOLLOWING SOLID WASTE FUND (6200) REVENUE INCREASES ARE HEREBY APPROVED: <br />DEPARTMENT ACCOUNT# DESCRIPTION CURRENT NEWBUDGET CHANGE BUDGET <br />Solid Waste 6200-3990-39900 Fund Balance Appropriated 136,567 7,100 143,667 <br />TOTAL CHANGES 7,100 <br />SECTION VII. THE FOLLOWING SOLID WASTEFUND (6200) EXPENSE INCREASES ARE HEREBY APPROVED: <br />CURRENT NEW <br />DEPARTMENT ACCOUNT# DESCRIPTION BUDGET CHANGE BUDGET <br />Solid Waste 6200-4710-43100 Professional Services 12,500.00 7,100 19,600 <br />TOTAL CHANGES 7,100 <br />4A <br />AMY M. DALRYMPLE, CHAIR <br />CjAYk—LT M. LEE, CLERK TO THE B RD <br />