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PAGE 33 <br /> S T. A N T H O N Y <br /> B U G E T R E P 0 R T <br /> F O R F I S C A L Y E A R 1 9 8 8 <br /> FEBRUARY 289 1989 <br /> ACCOUNT NO. ACCOUNT NAME BUDGETED CURRENT MONTH YEAR-TO-DATE ENCUMBERED BALANCE Y REMAIN <br /> #did+4$4#d#t+#$atadt$$tl tt##4t$#tt$a4at##a+#•!!a#adt#a#!af#d!!a#!a!#$a!!#tt+$4#+4a#4aa$a lda++arr4art4a#a#ataradtaedt!#a#Ada!###daaaa <br /> + CAPITAL EQUIPMENT FUND $ EXPENSES # APPROPRIATIONS <br /> 07HEP SERVICES C CHLRGES <br /> 401-47200-349 CEFF INDEBTEDN'ESS EXPENSE 469600 .00 .00 0 46,60C.00 100.00 <br /> TOTAL OTHER SERVICES 6 CHARGES 46,600 .00 .00 0 46.60C.00 100.00 <br /> SUPPL 1 E S <br /> 401-47200-453 MACHINERY C EQUIPMENT 212,400 23.094.00 32.505.98 0 179.894.02 84.70 <br /> TOTAL SUPPLIES 212,400 23,094.00 32,505.9F 0 179.894.02 84.70 <br /> TOTAL APPROPRIATIONS 259,000 23,094.00 32.505.98 0 226,494.02 87.45 <br /> TOTAL CAPITAL EQUIPMENT FUND 259,000 23,094.00 32.505.9P 0 226,494.02 P7.45 <br /> BALANCE CAPITAL EQUIP-FUND 0 23.094.00- 32.505.9P- 0 32.505.98- .00 <br />