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2 <br />MEMO TO: <br />LEE COUNTY BOARD OF COMMISSIONERS <br />FROM: <br />JOHN A CRUMPTON, LEE COUNTY MANAGER <br />SUBJECT: <br />BUDGET AMENDMENT109/1 5108/06 <br />DATE: <br />9/512008 <br />SECTION I. THE FOLLOWING GENERAL FUND (1100) REVENUE INCREASES ARE HEREBY APPROVED <br />OLD <br />NEW <br />DEPARTMENT <br />ACCOUNT# <br />DESCRIPTION <br />BUDGET <br />CHANGE <br />BUDGET <br />Fund Balance Appropriated <br />1100-3990-39900 <br />Fund Balance Appropriated <br />2,748,819 <br />412,361 <br />3,161,180 <br />Social Services <br />1100-3531-33820 <br />POC Day Care <br />2,168,265 <br />110,736 <br />2,279,001 <br />Social Services <br />1100-3532-34587 <br />TANF Domestic Violence <br />11,487 <br />571 <br />12,058 <br />TOTAL CHANGES <br />523,668 <br />SECTION 11. THE FOLLOWING GENERAL FUND (1100) EXPENSE INCREASES ARE HEREBY APPROVED <br />OLD <br />NEW <br />DEPARTMENT <br />ACCOUNT# <br />DESCRIPTION <br />BUDGET <br />CHANGE <br />BUDGET <br />Human Resources <br />11OD4125-46412 <br />Technology Equipment < $5000 <br />- <br />4,445 <br />4,445 <br />Human Resources <br />1100,4125415413 <br />Technology Equipment > $5000 <br />- <br />15,795 <br />15,795 <br />Finance <br />1100413046413 <br />Technology Equipment> $Saco <br />- <br />20,000 <br />20,000 <br />General Services <br />1100-0262-46200 <br />Building Improvments <br />117,300 <br />117,500 <br />234,800 <br />General Services <br />1100-0262-06411 <br />Capital Outlay> S5000 <br />27,500 <br />99,181 <br />126,681 <br />Social Services <br />1100-531243960 <br />Contracted Services <br />23,397 <br />5,240 <br />28,637 <br />Social Services <br />1100-5312-44200 <br />EDP Supplies <br />7,415 <br />6,000 <br />13,415 <br />Social Services <br />1100.5312-46400 <br />Capital Outlay <$5000 <br />7,781 <br />11,509 <br />19,290 <br />Social Services <br />1100-5312-07140 <br />TANF Domestic Violence <br />11,487 <br />571 <br />12,058 <br />Social Services <br />1100-531347200 <br />Day Care Refunds <br />15,000 <br />7,371 <br />22,371 <br />Social Services <br />1100-5313117250 <br />Paternity Costs <br />3,000 <br />372 <br />3,372 <br />Social Services <br />1100-5313-47260 <br />Fund for the Elderly <br />10,000 <br />25,295 <br />35,298 <br />Social Services <br />1100-531347300 <br />POC Day Care <br />2,168,265 <br />110,736 <br />2,279,001 <br />Library <br />1100-611DA4410 <br />Books <br />90,998 <br />6,155 <br />97,153 <br />Other Expenses <br />1100-980DA9602 <br />Transfer to San Lae Park Dam Prod <br />- <br />93,495 <br />93,495 <br />TOTAL CHANGES <br />523,668 <br />SECTION Ill. THE FOLLOWING DRUG SEIZURE FUND (2110) REVENUE INCREASES ARE HEREBY APPROVED <br />OLD <br />NEW <br />DEPARTMENT <br />ACCOUNT# DESCRIPTION <br />BUDGET CHANGE <br />BUDGET <br />Drug Seizure Fund <br />2110-3930-32697 State Drug Seizure Funds <br />- 2,254 <br />2,254 <br />Drug Seizure Fund <br />2110-3990-39900 Fund Balance Appropriated <br />- 20,061 <br />20,087 <br />TOTAL CHANGES <br />22,335 <br />SECTION IV. THE FOLLOWING DRUG SEIZURE FUND (2110) EXPENSE INCREASES ARE HEREBY APPROVED <br />OLD <br />NEW <br />DEPARTMENT <br />ACCOUNT# <br />DESCRIPTION <br />BUDGET CHANGE <br />BUDGET <br />Drug Seizure Fund <br />21104310-43400 <br />Conference 8 Meeting Registration <br />- 1,500 <br />1,500 <br />Drug Seizure Fund <br />211OA31043410 <br />Travel <br />- 5,000 <br />5,000 <br />Drug Seizure Fund <br />2110-4310-44100 <br />Office Supplies <br />- 5,635 <br />8,835 <br />Drug Seizure Fund <br />2110-0310-46400 <br />Capital Outlay < $5000 <br />- 4,000 <br />4,000 <br />Drug Seizure Fund <br />2110-4310-46411 <br />Capital Outlay > $5000 <br />- 3,000 <br />3,000 <br />TOTAL CHANGES <br />22,335 <br />Approved this 15th day of September, 2008 <br />Robert H. Broom, Chairman <br />GAYNELL M. LEE-CLERK TO THE BOARD <br />047 <br />Page 1 of i <br />