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04-C Monthly Financial Report
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2007 10-22
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04-C Monthly Financial Report
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Last modified
10/18/2007 9:34:40 AM
Creation date
10/18/2007 9:34:36 AM
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AGENDA
Item Number
04-C
AGENDA - Type
REPORT
Description
City of Paris Monthly Financial Report
AGENDA - Date
10/22/2007
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<br />do not show up as expenditures. Debt payments made to date for the Water & <br />Sewer Fund equal $3,956,260.82. <br />13. For the year General Fund expenditures were 90.18 % of the original budget <br />and 90.18 % of the amended budget. The budget amendments approved by the <br />Council in September did not increase the overall General Fund budget. <br />14. Water and Sewer expenses were 94.68 % ofthe original budget which was not <br />amended. <br /> <br />T T....---.."...---..... <br />
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