Laserfiche WebLink
SECTION V. THE FOLLOWING SOLID WASTE FUND(6200) REVENUE INCREASES ARE HEREBY APPROVED: <br /> CURRENT NEW <br /> DEPARTMENT ACCOUNT# DESCRIPTION BUDGET CHANGE BUDGET <br /> Solid Waste Fund Balance 6200-3990-39900 Fund Balance Appropriated 89,125 11,625 100,750 <br /> TOTAL CHANGES 11,625 <br /> SECTION VI. THE FOLLOWING SOLID WASTE FUND(6200) EXPENSE INCREASES ARE HEREBY APPROVED: <br /> CURRENT NEW <br /> DEPARTMENT ACCOUNT# DESCRIPTION BUDGET CHANGE BUDGET <br /> Solid Waste6200-4712-46411 Capital Outlay$5,000&Above 44,000 11,625 55,625 <br /> -. --- r:. 'jj 4C TOTAL CHANGES 11,625 <br /> ' 71("\-: - - tC.. <br /> ' ,7" l <br /> i *r. le -� ; . F. <br /> • <br /> ki, - ' <br /> R, ei ,/1 <br /> 9 '" <br /> � itde / <br /> AMY M.DALRYMPLE,CHAIR /ENNIF 'Y:-' BLE; L--'2' To THE BOARD <br />