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GO Tax Increment Bonds of 1998A 280,150 251,475 28,675 89.76% <br /> IIITotal Debt Service Funds 280,150 251,475 28,675 89.76% <br /> Equipment,Bldg&Replacement - - - - <br /> Public Safety Capital 65,000 - 65,000 0.00% <br /> Capital Improvement Fund(PIR) 200,000 - 200,000 0.00% <br /> Total Capital Funds 265,000 - 265,000 0.00% <br /> Water - - - - <br /> Sanitary Sewer - - - - <br /> Recycling - - - - <br /> Surface Water Management - - - - <br /> Total Enterprise Funds - - - - <br /> Total Other Financing Sources 545,150 251,475 293,675 46.13% <br /> Prior Period Adjustment - - - - <br /> Total Revenues $ 9,511,455 $ 1,257,945 $ 8,253,510 13.23% <br /> • <br /> • <br /> 3 <br />