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1998 - 06-22-98 Recessed Meeting
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1998 - 06-22-98 Recessed Meeting
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Minutes
Committee
Board of Commissioners
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Budget Ordinance, .'i Year 1998-99 <br />County of Lee, North Carolina <br />June 22, 1998 HUK 17 PAGE 373 <br />Page 5 <br />SECTION 5. It is estimated that the following revenues for the Debt Service will <br />be available to the General Fund for the Fiscal Year beginning July 1, 1998 and ending <br />on June 30, 1999: <br />General Fund Contribution <br />1,815,161 <br />Transfer from Special Revenue- <br />Schools (Sales Tax) <br />1,352,331 <br />Transfer from Special Revenue- <br />Schools (State Public School Funds) <br />549,788 <br />Transfer from School Bond Construction <br />Project (Interest earned) <br />1,094,000 <br />TOTAL 4,811,280 <br />SECTION 6. The following amounts are hereby appropriated in the Room <br />Occupancy Tax Fund for the Fiscal Year beginning July 1, 1998 and ending June 30, <br />1999: <br />Transfer to CCCC for Civic <br />Center - Operations 112,261 <br />Transfer to CCCC for Civic <br />Center - Capital Outlay 36,000 <br />TOTAL 148,261 <br />SECTION 7. It is estimated that the following revenues will be available to the <br />Room Occupancy Tax Fund for the Fiscal Year beginning July 1, 1998 and ending-on <br />June 30, 1999: <br />Room Occupancy Tax Revenue 112,261 <br />Fund Balance 36,000 <br />TOTAL 148,261 <br />SECTION 8. The following amounts are hereby appropriated to the Golden <br />Poultry Water Fund for the Fiscal Year beginning July 1, 1998 and ending on June 30, <br />1999: <br />Golden Poultry Water Department 485,428 <br />SECTION 9. It is estimated that the following revenues will be available to the <br />Golden Poultry Water Fund for the Fiscal Year beginning July 1, 1998 and ending on <br />June 30, 1999: <br />034 <br />Water Related Revenues 485,428 <br />
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