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6390.3 <br />General Fund <br />Building Fund <br />Sewer Fund <br />V-Jater Fund <br />Permanent Improvement <br />Revolving <br />GO 66-76 Debt Fund <br />SODRCES FOR BUILDING PROJECT <br />ESTIMATES AS OF 12/90 <br />Fund Balance <br />1,000,000 <br />2.250.000 <br />1.250.000 <br />100,000 <br />550,000 <br />Available for Project <br />$100-150,000 <br />2,250,000 <br />450,000 a.) <br />45,000 3.) <br />315,000 (Available 91) 315,000 (a) <br />$3,160,000-53,210,000 <br />a.) Could be considered as loans <br />for repayment in future. <br />future sources <br />GO 80 Debt Fund <br />MSA/Cty 15 <br />Street Lights <br />$230,000 (Available 1996) <br />($30,000/yr from General 39-98) <br />;15,000/yr) <br />Other Funds (Not Considered) <br />park Funds 51^5,000 <br />Improvement S Equipment Outlay $260,000 <br />follll9o