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<br />, . <br /> Revenue - Gener81 Fund 101 <br /> -'-- --~-- <br /> Account No. Item Amount <br /> 30 II General Property Taxes $110,113 <br /> Lice!,ses <br /> 311 i Liquor, On Sale /6,600 <br /> 3/12 Liquor, Off Sale 300 <br /> 31 13 Contractors & Signs 1,100 <br /> 3114 Business Places 860 <br /> 3126 Dog Ordinance I ,000 <br />. Total, Licenses 19,860 <br /> Permits <br /> 3121 Building & Signs 8,000 <br />. 3122 Electrical 2,500 <br /> 3123 Plumbing & Well Dr i I I j ng 700 <br /> 3124 Heating 1,500 <br /> 3127 Plat Fees & Other 300 <br /> Tota I, Permits 13,000 <br /> FInes, Forfeitures and Penalties <br /> 321 Court Fines 15,000 <br /> Total Fines, Forfe I tures & <br /> Penalties 15,000 <br /> Revenue From Use of Money or Property <br /> 331 Interest on Cash Investments 2,000 <br /> 332 Renta / , V i I I age Ha 1 I 50 <br /> Total Hevenue from Use of <br /> Money or Property 2,050 <br /> Revenue From Other Agencies <br /> 34/1 State Liquor Apportionment 6,650 <br /> 3412 State Cigarette Apportionment 8,500 <br /> 3413 Gas Tax Apportionment 3,000 <br /> 3414 Mob II e Homes Tax 2,000 <br /> 3415 Mortgage Registration Tax 1,600 <br /> 3416 State Excise Tax Apportionment 23,555 <br /> Total Revenue From Other AgencIes 45,305 <br /> Cha rges for Current Services <br /> 351 General Government Fees 200 <br /> Total Charges for Current Services 200 <br /> Other Revenue. <br /> 399.2 Sales Tax Collected 5 <br /> 395.2 Firemen's Re II ef 5,00<). <br /> Tota I. Other Revenue 5,005 <br />. Total Revenue - General Fund 210,533 <br /> 399 From Current Balance 20,000 <br />. 399. I Repayment From Sewer Maintenance Fund 4,740 <br /> TOTAL REVENUE IN ALL-GENERAL FUND :\235,273 <br />. <br /> ---- <br />