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<br /> EXPENDITURE DETAIL <br />Fund Department Division Account <br />General Public Works Streets & Highways 01-46 <br />Account 1997-98 1998-99 99-2000 <br />Number Account Classification Actual Estimated , Budget <br />06 Sundry Charges <br /> <br />03 Judgments Damages Etc $ 1,220. $ 2,000. $ 2,000. <br />05 Auditing 1,500. 1,500. 1,500. <br /> <br /> Total Sundry Charges $ 2,720. $ 3,500. $ 3,500. <br /> <br /> Total Expenses $ 1,574,554. $ 2,071,067. $ 1,936,940. <br /> <br />09 Buildings-Structures <br /> , '; " <br />01 Buildings' ',' ' $ 2,520. $ - $ - <br />06 Storm Sewers' 127,133. - - <br /> <br /> Total Buildings $ 129,653. $ - $ - <br /> <br />10 Equipment <br /> <br />02 Machinery- Tools-Equipment $ "27,163. $ 21,000. $ 21,000. <br />04 Motor Vehicles 65,353. 18,000. 18,000. <br /> <br /> Total Equipment $ 92,516. $ 39,000. $ 39,000. <br /> <br /> Total Capital Outlay $ 222,169. $ 39,000. $ 39,000. <br /> <br /> Grand Total $ 1,796,723. $ 2,110,067. $ 1,975,940. <br /> <br /> "" <br /> <br />1~7 <br />