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CC WORKSESSION 07252000
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CC WORKSESSION 07252000
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Last modified
12/30/2015 4:15:49 PM
Creation date
12/30/2015 4:15:28 PM
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SP Box #
17
SP Folder Name
CC PACKETS 1999-2001
SP Name
CC WORKSESSION 07252000
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Table of Contents <br /> Page 2 <br /> • <br /> RecyclingFund ...............................................................................................59-63 <br /> FundSummary...................................................................................................61 <br /> Revenues................................................................................... <br /> Expenditures................................:......................................................................63 <br /> DareFund......................................................................................................64-67 <br /> FundSummary...................................................................................................65 <br /> Revenues...........................................................................................................66 <br /> Expenditures.......................................................................................................6 7 <br /> Housing and Redevelopment Authority Fund ......................................................68-71 <br /> FundSummary...................................................................................................69 <br /> Revenues.................................:.........................................................................70 <br /> Expenditures ......................................................................................................71 <br /> ParkImprovement Fund...................................................................................72-75 <br /> FundSummary...................................................................................................73 <br /> Revenues...........................................................................................................74 <br /> Expenditures ......................................................................................................75 <br /> StreetImprovement Fund.................................................................................76-79 <br /> Fund'Summary...................................................................................: <br /> Revenues...........................................................................................................78 <br /> Expenditures ............:.........................................................................................79 <br /> CommunityCenter Fund..................................................................................80-83 <br /> FundSummary...................................................................................................81 <br /> Revenues...........................................................................................................82 <br /> Expenditures ......................................................................................................83 <br /> UtilityFund....................................................................................................84-89 <br /> FundSummary...................................................................................................86 <br /> Revenues...........................................................................................:...............87 <br /> SewerExpenditures...................................................................................88 <br /> WaterExpenditures...................................................................................89 <br /> LiquorFund .....................................................................................:.............90-95 <br /> BudgetSummary.................................................................................................92 <br /> S.A.V.I, Off-Sale, Revenues and Expenditures.........................................................93 <br /> Stonehouse, On-Sale, Revenues and Expenditures............................. ........................94 <br /> S.A.V.II, Off-Sale, Revenues and Expenditures ....................................................... 95 <br /> Salaries...........................................................................................................95A <br /> • City Fund Balances..........................................................................................96-99 <br /> FinancialManagement Plan...........................................................................100-118 <br />
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