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<br /> EXPENDITURE DETAIL <br /> - <br /> Fund Department Division Account <br /> Water & Sewer Public Works Sewer Maintenance 1 0-85 <br /> Accou nt 1998-99 99-2000 2000-01 ' <br /> Number Account Classification Actual - Estimated Budget <br /> 06 Sundry CharQes <br /> 03 Judgments Damages Etc $ 1,490. $ O. $ O. <br /> 05 Auditing 1,000. 1,000. 2,000. <br /> 09 Medical Expenses O. O. 2,000. <br /> Total Sundry Charges $ 2,490. $ 1,000. $ 4,000. <br /> Total Expenses $ 565,317. $ 583,345. $ 588,345. <br /> 09 BuildinQs-Strudures <br /> 04 Sanitary Sewer $ o. $ o. $ 10,000. <br /> '10 Manholes Lampholes Etc 8,713. 10,000. 10,000. <br /> '13 Service Lines 1,640. 5,000. 5,000. <br /> 14 Sewer Mains 11,906. 40,000. 50,000." <br /> Total Buildings $ 22,259. $ 55,000. $ 75,000. <br /> 10 Equipment <br /> 02 . Machinery-Tools-Equipment $ o. $ o. $ 2,000. <br /> Total Equipment $ O. $ o. $ 2,000. <br /> Total Capital Outlay $ 22,259. $ 55,000. $ 77,000. <br /> Grand Total $ 587 ,576. $ 638,345. $ 665,345. <br /> . <br /> 219 <br />