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2014-020 Adopting a budget for the ensuing fiscal period beginning October 1, 2014 and ending September 30, 2015
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2014-020 Adopting a budget for the ensuing fiscal period beginning October 1, 2014 and ending September 30, 2015
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1/25/2017 11:49:22 AM
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9/24/2014 9:07:50 AM
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CITY CLERK
CITY CLERK - Date
9/22/2014
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MISCELLANEOUS: <br />Paris Band Fund <br />General Expenses <br />Sub -Total <br />CONTINGENT APPROPRIATION: <br />Grand Total <br />$ 23,050.00 <br />$ 1,566,897.00 <br />$ 1,589,947.00 <br />$ 50,000.00 <br />$ 22,165,481.00 <br />Section 4. That the sum of $1,362,209.00 is hereby appropriated out of the respective <br />Interest and Sinking Funds for the purpose of paying accrued interest and making the principal <br />payments on and creating the prescribed contingent and reserve funds for outstanding <br />General Obligation Bonded Indebtedness as follows: <br />G. 0. BONDS REQUIREMENTS: <br />Tax & Revenue Certificates <br />of Obligation - 2010 <br />$ <br />211,935.00 <br />General Obligation Refunding <br />Bonds -2010 <br />$ <br />451,781.00 <br />General Obligation Refunding <br />Bonds -2012 <br />$ <br />594,800.00 <br />SuRRMA Interlocal Coop <br />Agreement -2012 <br />$ <br />103,693.00 <br />Total <br />$1,362,209.00 <br />Section 5. That the sum of $14,175,029.00 based on the estimated Water and Sewer <br />Budget, is hereby authorized out of utility fund revenues for the payment of operating <br />expenses and capital outlay of Water and Sewer Utility Departments, as hereinafter <br />itemized: <br />WATER: <br />Warehouse $ 106,901.00 <br />Billing & Collecting $ 2,216,147.00 <br />Water Production $ 2,628,819.00 <br />Water Distribution $ 1,746,476.00 <br />Sub -Total $ 6,698,343.00 <br />SEWER: <br />Sewer Maintenance $ 1,072,430.00 <br />Waste Water Treatment $ 2,106,268.00 <br />Lift Station $ 419,216.00 <br />Sub -Total $ 3,597,914.00 <br />Total Operating Expense $ 10,296,257.00 <br />3 <br />
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