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amounts as of December 31, 1979. <br /> General Fund $ <br /> Revenue Sharing Fund $ <br /> Diseased Trees Fund $ <br /> Landfill Trust Fund $ <br /> Park and Recreation Fund $ <br /> Park Improvement Fund $ <br /> 'Equipment Revolving Fund $ <br /> State Aid Construction Fund $ <br /> <br /> Economic Development Admin- $ <br /> istration Fund <br /> <br /> Special Assessment Fund $ <br /> Administrative Trust Fund $ <br /> <br /> 8o <br />were as follows: <br /> INCOME <br />Tax Levies $ 335,399 <br /> <br />Inter-governmental <br /> Revenue $ 349,098 <br /> <br />Charges for Services $ 12,134 <br />Licenses and Permits $ 90,941 <br />Fines and Forfeits $ 6,140 <br /> <br />Misc. Income 'and <br /> Interest $ 79,991 <br /> <br />Special Assessment $ 663,881 <br /> <br />The municipality had to the credit of the various funds the following <br /> <br />247,195 <br />16,771 <br /> <br /> 1,286 <br /> 61,545 <br /> <br /> 3,590 <br />14,330 <br />22,712 <br />(9,490) <br /> <br /> ( 859) <br />(.108,120) <br /> <br /> 26,821 <br /> <br />$ 275,781 <br /> <br />Income and expenditures during the fiscal year ending December 31, 1979 <br /> <br /> EXPENDITURES <br />General Government $ 173,181 <br />Public Safety $ 165,954 <br />Highways and Streets $ 171,928 <br />Health and Welgare $ 4,071 <br />Community Development $ 11,458 <br />Culture and Recreation $ 58,404 <br />Dutch Elm Disease Control $ 3,190 <br />Capital Improvements $1,066,917 <br />Interest & Other $ 83,465 <br /> <br />$1,537,584 $1,738,568 <br /> <br /> <br />