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TABLE OF CONTENTS -cont. <br />Page <br />Fund #75A <br />Statement <br />of <br />Receipts <br />and <br />Disbursements <br />23 <br />Fund #76 <br />Statement <br />of <br />Receipts <br />and <br />Disbursements <br />24 <br />Fund 1177 <br />Statement <br />of <br />Receipts <br />and <br />Disbursements <br />25 <br />Fund 1178 <br />Statement <br />of <br />Receipts <br />and <br />Disbursements <br />25 <br />Fund 1179 <br />Statement <br />of <br />Receipts <br />and <br />Disbursements <br />26 <br />Public Utility Funds <br />Sewer <br />Balance Sheet 27 <br />Statement of Changes in fund balance 27 <br />Statement of revenue -actual compared with <br />budget estimates 28 <br />Statement of Expenditures -actual compared with <br />budget estimates 28 <br />Water - <br />Balance Sheet 29 <br />Statement of changes in fund balance 29 <br />Statement of revenue -actual compared with <br />budget estimates 30 <br />Statement of Expenditures -actual compared with <br />budget estimates 30 <br />Municipal Liquor Fund <br />Balance Sheet 31 <br />Summary of Operations 32 <br />Summary of On & Off Sales 34 <br />Summary of Operating Expense q8 <br />Notes on Year End Report 40 <br />