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PAGE 61 <br /> S T. A N T H O N Y <br /> B U D 6 E T R E P O R T <br /> F O R F I C A L Y E A R 1 9 8 6 <br /> NOVEMBER 30, 1986 <br /> 'ACCOUNT NO. ACCOUNT NAME, - BUDGETED CURRENT MONTH YEAR-TO-DATE . .-.,ENCUMBERED- BALANCE ?1; REMAIN <br /> p' SEWER FUND 4 REVENUES. • <br /> . .. :.ab#!4a#**#4 yet#4tta!#!#t444ol�!!!4laaa#i!t!!!t!t!!a!#t44#!4!�!!!!i#!#4aialaeat*!!a4#4f#t#t#l4a4#!!a#e##!!•#04!##al44#!!4!!a!i#!!s!!*4 •, <br /> MISCELLANEOUS REVENUE <br /> 702-38100-000 INTEREST-INVESTMENT EARNINGS 0 .00 .00 0 .00 .00 <br /> 702-38300-000 PERMITS 150 .00 380.00 0 230.00 . 153.33- <br /> 702-38400-000 MISC •REFUNDSGREIMBURSEMENTS -100 .00 .00 0 100.00 100.00 <br /> 702-38500-000 SERVICE CHARGES 440,000 735.33- 330,702.29 0 109,297.71- 24.84 <br /> 702-38600-000 MISC EARNINGS-REPAIRS 0 .00 .00 0 .00 .00 <br /> 702-38700-000 INT 6 INVESTMENT EARNINGS 0 .00 .00 0 .00 .00 <br /> 702-38900-000 SAC CHARGES 0 .00 .00 0 .00 .00 <br /> 702-38950-000 METER DEPOSITS 0 .00 .00 0 .00 .00 <br /> 702-38990-000 RESERVES 0 .00 .00, 0 .00 :.00 <br /> TOTAL MISCELLANEOUS REVENUE 440,250 735.33- 331,082.29 0 1099167.71- 24.80 r <br /> TOTAL SEWER FUND 440,250 735.33- 3319082.29 0 109,167.71-- 24.80 <br /> r <br /> 6 <br />