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u n1 <br /> - ---------------------------------------------------------- - <br /> 9 PAGE 57 �! <br /> S T. A N 7 H 0 N Y <br /> B U D G F 7 R E P O R T <br /> F O R F I S C A L Y E A R 1 9 8 8 <br /> MARCH 31, 1989 <br /> ACCOUNT NO. ACCOUNT NAME BUDGETED CURB°9T MONTH YEAR-70-DATE ENCUMBERED BALANCE Y REMAIN <br /> tf 4f 4d4bit099t4ifttdif iidOf!!!lfbt4t44ib49tt 44494144!4f 4ifif Aftf4►40t440944444fff4i9f 9fft 4fbf48f44 i9f 4tf i944iif iif fttlb4f4bif 9i4ffb! <br /> f UTILITY FUND • REVENUE f <br /> f4f►t 4it 4t 4i4f4ii9t 9bif444l4!l4ff449444fOfi4444f44fbfffOf4f t949it04f44tfbfbPlf44t44t 944tt fOtf4444ff4iff tb44fiffb444ffb44!ldi4fflfb44 <br /> 9 n' <br /> MISCELLANEOUS REVENUE <br /> 701-30100-000 INTEREST INVESTMENTS 0 .00 .DV 0 .00 .00 <br /> 701-3P150-000 INTEREST INVESTMENTS D .00 .00 C .00 .00 <br /> 701-38250-000 ME7ER97APS9ETC. 0 .00 .00 0 .00 .00 <br /> 701-38300-000 PERMITS 700 .00 .00 C 70C.00- 100.00 <br /> 701-38350-000 PEFMITS 300 .00 .00 0 300.00- 100.00 <br /> 701-38400-000 MISC REFUNDS C RE14PR 100 .00 .00 0 100.00- 100.00 <br /> 701-38450-000 MISC REFUNDS& REIMBR TAPSE7C 0 .00 .00 0 .00 .00 <br /> 701-38500-000 SEWER CHARGES 519.A00 .00 .00 0 519,80C.00- 100.00 <br /> 701-39550-000 WATER CHARGES 345.000 .00 .0C 0 345,000.00- IDD.00 <br /> 701-38560-000 MATER ON & OFF CHARGES 100 .00 .00 0 100.00- 100.00 <br /> 5 701-38570-000 LATE PM7 & READING 49000 .00 .CO 0 4.000.00- 100.00 <br /> d 701-38650-000 METER REPAIRS 0 .00 .CC 0 .00 .00 <br /> 701-38700-000 INTERESTGINVESTMENT EARNING 0 .00 .00 0 .00 .00 <br /> 701-?8900-000 SAC CHARGES 0 .00 .00 0 .00 .00 <br /> 701-39910-000 MISC RECEIPTS 0 .00 .00 0 .00 .00 <br /> 701-38990-000 TRANSFERS 70.000- .00 .00 C 70,000.00 100.00 <br /> 701-38991-000 RESERVES 0 .00 .00 C .00 .00 <br /> TOTAL MISCELLANEOUS REVENUE 800,000 .00 .00 C 800,000.00- 100.00 <br /> TOTAL UTILITY FUND 800.000 .00 .00 0 800.000.00- 100.00 <br /> u Iti <br /> G Al <br /> a n� <br /> n n1 <br /> aI <br />