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2003-07-23 CC Packet
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2003-07-23 CC Packet
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5/9/2006 2:56:20 PM
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<br />.. <br /> <br />. <br /> <br />9. Parks and Recreation <br />It is expected that park program and maintenance expenditures will increase as the <br />summer season continues. <br /> <br />10. Capital Outlay <br />No capital expenditures have been made to date. The capital budget may be <br />reallocated as the council sees fit, (Le., new vehicle, park capital, etc.) <br /> <br />10. Transfers Out <br />The amount shown represents the debt-related transfers made earlier this year <br />(city hall lease payment, etc.) This will be the last year for those obligations. <br /> <br />Enterprise Funds <br /> <br />1. Water and Sewer <br />Both funds show positive net income. Utility revenue will fluctuate with the <br />quarterly billings. Depreciation will be recorded at year-end. The amount of <br />$15,000 was budgeted in both the Water and Sewer funds for transfer to the <br />General Fund. Last year, Council chose not to do this. It is still an option for this <br />year. <br /> <br />Prepared By: <br /> <br />Approved By: <br /> <br />Finance Director <br /> <br />Administrator <br /> <br />Narrative.doc <br />
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