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Schedule 2 <br />CITY OF LAKE ELMO <br />GENERAL FUND <br />Statement of Cash Receipts and Disbursements <br />For the Period Ending 05/12/92 <br />DISBURSEMENTS: <br />GENERAL GOVERNMENT <br />MAYOR & COUNCIL <br />1,162.43 <br />ELECTIONS <br />602.65 <br />FINANCIAL ADMINISTRATION <br />62,122.24 <br />ASSESSING <br />6,019.99 <br />LEGAL SERVICES <br />18,740.28 <br />PLANNING & ZONING <br />5,495.00 <br />ENGINEER <br />3,142.62 <br />TOTAL GENERAL GOVERNMENT 97,285.21 <br />PUBLIC SAFETY <br />FIRE PROTECTION 29,713.96 <br />BUILDING INSPECTIONS 15,616.54 <br />ANIMAL CONTROL 3,3$5.25 <br />FLOOD CONTROL 182.00 <br />TOTAL PUBLIC SAFETY 48,847.75 <br />PUBLIC WORKS <br />HIGHWAYS & STREETS 76,033.05 <br />HIGHWAYS & STREETS CAPITAL OUTLAY 250.87 <br />STREET LIGHTING 3,223.27 <br />SANITATION 10,355.27 <br />TOTAL PUBLIC WORKS 89,862.46 <br />CULTURE AND RECREATION <br />PARKS 8,721.21 <br />TOTAL CULTURE AND RECREATION 8,721.21 <br />MISCELLANEOUS <br />PURCHASE OF INVESTMENTS 112,000.00 <br />TOTAL MISCELLANEOUS 112,000.00 <br />TOTAL DISBURSEMENTS 356,716.63 <br />