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• Projects/Information: <br /> Other 1998 � <br /> #509 Revolving Fund <br /> City Hall Computer Upgrade: <br /> Approved $ 85,000.00 <br /> Expenditures $ 81,334.00 <br /> Balance $ 3,666.00 <br /> Underground Storage Tanks: <br /> Approved $ 82,000.00 <br /> Change Orders $ 19,650.00 <br /> $ 101,650.00 <br /> Expenditures ($ 93,372.00) <br /> Outstanding Invoices ($ 8,137.00) <br /> Balance $ 141.00 <br /> #601 Community Center Service Fund: <br /> 1998 Revenues $142,585.00 <br /> 1998 Actual Costs $127,468.00 <br /> Balance $ 15,117.00 <br /> #701 Water/Sewer Fund: <br /> 1998 Revenues $1,079,341 <br /> 1998 Actual Costs $1,058,684 <br /> Balance $ 20,657 <br />