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<br />3008 292
<br />BUDGET AMENDMENT
<br />Appropriation Adjustment #83101707
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<br />SECTION 1. THE FOLLOWING EXPENDITURE ACCOUNTS IN THE GENERAL
<br />FUND ARE HEREBY ORDERED CREATED OR INCREASED BY THE FOLLOWING
<br />AMOUNTS:
<br />DEPT.
<br />Sheriff
<br />Inspections
<br />Inspections
<br />Inspections
<br />Inspections
<br />Inspections
<br />Inspections
<br />Inspections
<br />Inspections
<br />Inspections
<br />Inspections
<br />Commissioners
<br />Library
<br />Library
<br />Library
<br />Library
<br />Library
<br />Library
<br />Library
<br />Library
<br />Library
<br />Library
<br />Library
<br />ACCOUNT NBR.
<br />11004310640
<br />11004350120
<br />11004350210
<br />11004350240
<br />11004350221
<br />11004350351
<br />11004350340
<br />11004350431
<br />11004350230
<br />11004350544
<br />11004350640
<br />11004110544
<br />11006110120
<br />11006110210
<br />11006110221
<br />11006110451
<br />11006110452
<br />11006110454
<br />11006110453
<br />11006110341
<br />11006110530
<br />11006110410
<br />11006110640
<br />TOTAL CHANGE
<br />BUDGET
<br />70,000
<br />28,176
<br />1,931
<br />515
<br />2,094
<br />1,500
<br />1,000
<br />2,500
<br />1,680
<br />44
<br />-0-
<br />-0-
<br />123,648
<br />8,470
<br />9,188
<br />22,500
<br />2,280
<br />1,560
<br />2,000
<br />200
<br />450
<br />2,500
<br />1,000
<br />HANG
<br />+6,300
<br />+11,796
<br />+809
<br />+300
<br />+334.
<br />+600
<br />+1,000
<br />+1,500
<br />+648
<br />+88
<br />+8,500
<br />+2,000
<br />+3,422
<br />+235
<br />+30
<br />+12,800
<br />+1,000
<br />+1,000
<br />+2,000
<br />+1000
<br />+100
<br />+484
<br />+10,300
<br />* bb, 24b
<br />NEW BGT.
<br />76,300
<br />39,972
<br />2,740
<br />815
<br />2,428
<br />2,100
<br />2,000
<br />4,500
<br />2,328
<br />132
<br />8,500
<br />2,000
<br />127,070
<br />8,705
<br />9,218
<br />35,300
<br />3,280
<br />2,560
<br />4,000
<br />1,200
<br />550
<br />2,984
<br />11,300
<br />SECTION 2. THE FOLLOWING EXPENDITURE ACCOUNTS IN THE GENERAL
<br />FUND ARE HEREBY ORDERED REDUCED BY THE FOLLOWING AMOUNTS:
<br />Contingency 11009800990 70,898 -19,875 51,023
<br />TOTAL CHANGE -19,875
<br />SECTION 3. THE FOLLOWING REVENUE ACCOUNTS IN THE GENERAL
<br />FUND ARE HEREBY ORDERED INCREASED OR CREATED BY THE FOLLOWING
<br />AMOUNTS:
<br />Revenue 11003435411
<br />Revenue 11003850892
<br />Revenue 11003611310
<br />TOTAL CHANGE
<br />30,000 +12,000 48,000
<br />1,845 +2,000 3,845
<br />24,796 +32,371 57,167
<br />+46,371
<br />i
<br />Adopted this 17th day of October, 1983.
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