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<br />. <br /> <br />. <br /> <br />" <br /> <br />SUMMARY <br />FINANCE COMMITTEE BUDGET ADJUSTMENTS <br />GENERAL FUND <br /> <br />General Fund Expenditures <br /> <br />Cable TV <br />Elections - Capital Outlay <br />Employer and Employee Paid Health Insurance <br />New Telephone System - Capital Outlay <br />Reinsulate - Reshingle City Hall <br />Operating Costs - Third Fire Station <br />Building Inspection <br />#9 Truck, Plow and Sander <br />($3,640 to be financed in '87) <br />Air Jack <br />Transfer to Self Sustaining Recreation <br /> <br />TOTAL ADJUSTMENT <br /> <br />General Fund Revenue <br /> <br />Property Tax Levy <br />Summer Playground Fees <br />Metered Tennis Court Lights <br />Reimbursements, Employee Paid Insurance <br />Sale of Equipment <br />Miscellaneous Reimbursement <br /> <br />TOTAL ADJUSTMENT <br /> <br />-I,700 <br />-6,000 <br />-1,390 <br />-3,400 <br />-4,200 <br />-11,250 <br />-200 <br />-5,640 <br /> <br />-I,OOO <br />-340 <br /> <br />-35,120 <br /> <br />-34,745 <br />+610 <br />+200 <br />-90 <br />-6,500 <br />+5.405 <br /> <br />-35,120 <br />