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SOURCE OF FUNDS <br />Court Fines <br />LICENSES & PERMITS <br />PERMITS <br />Building Permits <br />Building Permit Surcharge <br />Plumbing & Heating Permits <br />Contractor License Surcharge <br />LICENSES <br />Dog <br />Cigarette <br />Liquor <br />Amusement <br />Gas Fitters <br />Garbage Haulers <br />Mineral Extraction <br />Apartment Licenses <br />Other Business <br />OTHER REVENUE <br />Interest <br />Landfill Surcharge <br />Contribution -Municipal Utilities <br />Contribution -Guardian Angels <br />Refunds & Reimbursements <br />TRANSFERS <br />Liquor <br />Landfill <br />Equipment Reserve -Elections <br />Equipment Reserve -Municipal Services <br />Street Reserve <br />Secondary DARE <br />Sewer <br />Economic Development Authority <br />Housing & Redevelopment Authority <br />Fund Balance Reserved for Cash Flow <br />TOTAL <br />......................................... 75.000 75,000 <br />......................................... 140,500 <br />......................................... 800 <br />......................................... 28,100 <br />......................................... 2,200 <br />......................................... 39,000 <br />......................................... 10,000 <br />......................................... 72,000 <br />......................................... 3,700 <br />......................................... 1.000 12 5, 700 <br />5. <br />$4,094,750 <br />