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SECTION VII. THE FOLLOWING SOLID WASTE FUND (6200) REVENUE INCREASES ARE HEREBYAPPROVED: <br />CURRENT NEW <br />DEPARTMENT ACCOUNT# DESCRIPTION BUDGET CHANGE BUDGET <br />Fund Balance Appropriated 6200 - 3990 -39900 Fund Balance Appropriated 207,862 140,000 347,862 <br />TOTAL CHANGES 140,000 <br />SECTION VIII. THE FOLLOWING SOLID WASTE FUND (6200) EXPENSE INCREASES ARE HEREBY APPROVED: <br />CURRENT NEW <br />DEPARTMENT ACCOUNT# DESCRIPTION BUDGET CHANGE BUDGET <br />Solid Waste 6200- 4712 -46420 Capital Improvements - 140.000 140,000 <br />TOTAL CHANGES 140,000 <br />C 4 NEL I t = E, CLERK 0 THE BO <br />Page 2 of 2 <br />