Laserfiche WebLink
353 GENERAL RECREATION <br /> REVENUES EXPENDITURES <br /> 1111 <br /> $2 ,484 . 45 $2 ,711 . 27 <br /> Negative balance of $226 . 82 <br /> This fund basically is designed to cover special programs that do <br /> not have the benefit of fees, are not necessarily self-sustaining <br /> or are unscheduled incomes such as apparal. This is the fund <br /> that Community Theater should be coded . Break-even programs such <br /> as open gyms and co-rec volleyball are in this fund. Picnic kit <br /> supplies as well as "Life . Be In It" items are puchased from this <br /> fund . <br /> • <br /> 4110 <br />