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• SECTION XVIL THE FOLLOWING SEWER LINE EXTENSION (4813) EXPENSE INCREASES ARE HEREBY APPROVED: <br />OLD NEW <br />DEPARTMENT ACCOUNT# DESCRIPTION BUDGET CHANGE BUDGET <br />Sewer Line Extension 4813-9800-49580 Transfer 10 Capital Reserve - 76,183 76,183 <br />TOTAL CHANGES 75,183 <br />SECTION XVIII. THE FOLLOWING SEWER LINE EXTENSION (4813) EXPENSE DECREASES ARE HEREBY APPROVED <br />OLD <br />NEW <br />DEPARTMENT <br />ACCOUNT# DESCRIPTION <br />BUDGET <br />CHANGE <br />BUDGET <br />Sewer Line Extension <br />4813-81006140 Architecl8 Engineering <br />111,350 <br />-2,350 <br />109,000 <br />Sewer Line Extension <br />4813-8100-46300 General Construction <br />1,018,373 <br />73,833 <br />944,540 <br />TOTAL CHANGES <br />76,183 <br />SECTION XIX. THE FOLLOWING TRAMWAY ROAD PROJECT (4815) REVENUE INCREASES ARE HEREBYAPPROVED: <br />OLD NEW <br />TOTAL CHANGES <br />,400 <br />SECTION XX- THE FOLLOWING TRAMWAY ROAD PROJECT (4815) EXPENSE INCREASES ARE HEREBY APPROVED: <br />OLD NEW <br />DEPARTMENT ACCOUNT# DESCRIPTION BUDGET CHANGE BUDGET <br />Tramway Road Project 4815-8100-46300 General Construction-TRP 1,424,180 17,400 1,441,580 <br />TOTAL CHANGES 17,400 <br />• Approved this 191h day of May, 2008 <br />ROBERT H. BROWN, CHAIRMAN GAYNELL M. LEE-CLERK TO THE BOARD <br />• <br />Page 3 of 3 <br />