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1999-066-ORD ADOPTING BUDGET FOR ENSUING FISCAL PERIOD BEGINNING OCTOBER 1 1999 AND ENDING SEPTEMBER 30 2000
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1999-066-ORD ADOPTING BUDGET FOR ENSUING FISCAL PERIOD BEGINNING OCTOBER 1 1999 AND ENDING SEPTEMBER 30 2000
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Last modified
8/18/2006 4:37:11 PM
Creation date
9/25/2001 3:39:24 PM
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CITY CLERK
Doc Name
1999
Doc Type
Ordinance
CITY CLERK - Date
9/27/1999
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<br />Sub-Total <br /> <br />$ <br /> <br />17,820.00 <br /> <br />CONTINGENT APPROPRIATION: <br /> <br />$ 277,023.00 <br /> <br />G. O. BONDS REQUIREMENTS: <br /> <br />$ 407,000.00 <br /> <br />Grand Total <br /> <br />$20,135,164.00 <br /> <br />Section 3. That the sum of $10,421,805.00, based on the estimated Water and <br />Sewer Budget, is hereby authorized out of utility fund revenues for the payment of <br />operating expenses and capital outlay of Water and Sewer Utility Departments, as <br />hereinafter itemized: <br /> <br />WATER: <br />Billing & Collecting <br />Water Production <br />Water Distribution <br />Warehouse <br /> <br />$1,572,910.00 <br />$2,262,495.00 <br />$1,056,490.00 <br />$ 100,225.00 <br /> <br />Sub- Total <br /> <br />$4,992,120.00 <br /> <br />SEWER: <br />Sewer Maintenance <br />Waste Water Treatment <br />Lift Station <br /> <br />$ 638,345.00 <br />$1,478,715.00 <br />$ 288,180.00 <br /> <br />Sub-Total <br /> <br />$ 2,405,240.00 <br /> <br />Total Operating Expense <br /> <br />$ 7,397,360.00 <br /> <br />REVENUE BOND REQUIREMENTS FOR DEBT SERVICE: <br />Revenue Refunding Bonds 1991 $1,069,435.00 <br />Revenue Bonds 1992 $ 460,325.00 <br />Revenue Bonds 1994 $ 476,525.00 <br />Tax and Revenue Bonds 1998 $ 261,445.00 <br />Water Works and Sewer System <br />Revenue Bonds 1998 $ 312,215.00 <br />Water Works and Sewer System <br />Revenue Bonds 1997 $ 444,500.00 <br /> <br />Total Bond Requirements <br /> <br />$ 3,024,445.00 <br /> <br />Grand Total <br /> <br />$10,421,805.00 <br /> <br />3 <br />
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