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9. SR 08-28-1995
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9. SR 08-28-1995
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8/28/1995
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SOURCE OF FUNDS <br /> Softball League Fees ......................................... 9,000 389,650 <br />• <br /> FINES & FORFEITS <br /> Court Fines ......................................... 75,000 75,000 <br /> LICENSES & PERMITS <br /> <br /> PERMITS <br /> Building Permits ......................................... 135,000 <br /> Building Permit Surcharge ......................................... 800 <br /> Plumbing & Heating Permits ......................................... 27,000 <br /> Contractor License Surcharge ......................................... 2,200 <br /> LICENSES <br /> Dog ......................................... 800 <br /> Cigarette ......................................... 300 <br /> Liquor ......................................... 24,500 <br /> Amusement ~' ......................................... 1, 850 <br /> Gas Fitters ......................................... 1,250 <br /> Garbage Haulers ......................................... 550 <br /> Mineral Extraction ......................................... 9,800 <br /> Apartment Licenses ......................................... 20,000 <br /> Other Business ......................................... 2,100 226,150 <br /> OTHER REVENUE <br /> Interest ......................................... 35,000 <br /> Contribution-Munigipal Utilities ......................................... 72,000 <br /> Contribution-Guardian Angels ......................................... 3,700 <br /> Refunds & Reimbursements ......................................... 1,000 111,700 <br /> TRANSFERS <br /> Liquor ......................................... 123,450 <br /> Landfill ......................................... 0 <br /> Equipment Reserve-Elections ......................................... 7,500 <br /> Equipment Reserve ......................................... 40,500 <br /> Street Reserve ......................................... 40,000 <br /> Secondary DARE ......................................... 0 <br /> Sewer ......................................... 6,000 <br /> Economic Developmerit Authority ......................................... 1,000 <br /> Housing & Redevelopment Authority .......................................... 500 <br /> Fund Balance Reserved for Cash Flow ......................................... 0 218,950 <br /> TOTAL 54,138,150 <br />• <br /> <br />10:20 AM 8/24/95 <br />
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