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RESOLUTION NO. 68-044 <br /> A RESOLUTION MODIFYING THE 1968 BUDGET. <br /> SECTION 1 . WHEREAS, pursuant to Minnesota State Statutes, Chapter 412.731, and <br /> 11-1EREAS, the actual receipts have exceeded the estimated receipts in <br /> the following accounts by the amount as indicated: <br /> Additional To Account <br /> From Account No. Actual Receipts_ Appropriation Number <br /> 1065 $ 200.00 $ 200.00' 429-10 <br /> 1065 241.34 241.34 425-39 <br /> 1065 1,745.00 1 ,745.00 422-29 <br /> 1065 2,748.31 2,748.31 411-53 <br /> And, <br /> SECTION 2. WHEREAS, the sum of $650.00 has been received in Fund #80-5 for the <br /> extension of a water line in conjunction with Improvement 1968-3, said expense <br /> funded from account 80-10 and 80-390 General Operating Accounts in the Water <br /> Department, and, <br /> 14HEREAS, it is necessary that the aforementioned funds be reimbursed <br /> in the following manner to accurately reflect water department operating expense: <br /> to Additional To Account <br /> From Account No. Actual Receipts Appropriation _ Number <br /> 80-5 $ 184.51 $ 184.51 80-11 <br /> 80-5 465.49 465.49 80-39 <br /> NOt-! THEREFORE BE IT RESOLVED, that excesses in Account #1065, <br /> Miscellaneous Receipts, be appropriated to the above indicated accounts in <br /> Section 1, and, <br /> BE IT FURTHER RESOLVED that excesses in Account #80-5, Refunds and <br /> Reimbursements, be appropriated to the above indicated accounts in Section 2. <br /> Adopted this 27th day of August, 1968. <br /> Mayor <br /> ATTEST: <br /> Vit I a e l e rk <br /> c <br /> V' age Manager <br />