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f~ -1 <br />• SECTION 9. It is estimated that the following revenues will be available <br />to the Revenue Sharing Trust Fund for the Fiscal Year beginning July 1, 1981, <br />and ending on June 30, 1982: <br />Federal Grants $ 500,000 <br />$ 500,000 <br />SECTION 10. The following amounts are hereby appropriated to the Capital <br />Reserve Fund for the following projects during the Fiscal Year beginning July 1, <br />1981, and ending June 30, 1982: <br />Reserve For: <br />County Offices $1,740,000 <br />Schools 200,000 <br />CCTC 175,000 <br />Land 37,000 <br />• Equipment 150,000 <br />aq zng nnn <br />SECTION 11. The following revenues are estimated to be available to the <br />Capital Reserve Fund for the Fiscal Year beginning July 1, 1981, and ending <br />June 30, 1982: <br />Contribution from Gen. Fund $1,910,000 <br />Hospital Rent 342,000 <br />Interest 50,000 <br />$2,302,000 <br />SECTION 12. (a) The use of facsimile signatures are approved for county <br />vouchers. <br />(b) Usage of personal vehicles will be reimbursed at the rate <br />of 25¢ per mile. <br />