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I <br />I <br />I <br />I <br /> I <br /> I <br /> I <br />I <br />'1 <br /> I <br /> I <br /> I <br /> I <br /> I <br /> I <br /> I <br /> I <br /> I <br /> i <br /> <br />Charges for Service <br /> <br />Fines & Forfeits <br /> <br />Miscellaneous Reve <br /> <br />Interest Earnings <br /> <br />Other Financing Sources <br /> <br />TOTAL REVENUES <br /> <br />ACCT <br /> <br />4305 <br />4306 <br />4307 <br />4308 <br />4309 <br />4311 <br />4312 <br />4313 <br />4326 <br />4327 <br />4328 <br />4329 <br />4330 <br />4336 <br />4337 <br />4338 <br />4339 <br />4357 <br /> <br />4452 <br />4453 <br /> <br />46O4 <br />4601 <br />4605 <br />4610 <br />4609 <br /> <br />4701 <br /> <br />4901 <br /> <br />ACTUAL <br /> <br /> 16,635.21 <br /> <br />142,737.00 <br /> 1,173.74 <br /> 2,142.00 <br /> <br /> 24,408.01 <br /> <br />8,127.50 <br />117.37 <br />3,696.00 <br />1,133.00 <br />866.90 <br />7,240.00 <br />169;164.15 <br />210.00 <br />2,968.84 <br /> <br />380,619.72 <br /> <br />54,881.38 <br />8,750.00 <br /> <br /> 413.72 <br />2,267:80 <br /> <br />4,916.44 <br />7,597.96 <br /> <br />100,000.00 · <br /> <br /> 1.00 <br />1,169,542.00 <br /> <br />2OO2 <br />Amended <br />Budget <br /> <br />16,600.00 <br /> <br />142,700.00 <br /> 1,000.00 <br /> 2,100.00 <br /> <br />24,400.00. <br /> <br />8,100.00 <br />100.00 <br />3,600.00 <br />1,100.00. <br />800.00 <br />7,200.00 <br />169,000.00' <br />200.00 <br />2,9OO.OO <br /> <br />379,800.00 <br /> <br />54,000.00 <br />8,750.00 <br /> <br />62,750.00 <br /> <br /> 400.00 <br />2,200.00 <br />4,900.00 <br /> <br />7,500,00 <br /> <br />100,000.00 <br /> <br />539,542.00 <br /> <br />6,420,306.00 <br /> <br />-161- <br /> <br /> <br />