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<br />Page 1 of 1 <br /> <br />l <br /> <br />Kim Stephan <br /> <br />From: John Meyer [JMeyer@centervillemn.com] <br />Sent: Wednesday, February 02, 2005 10:06 AM <br />To: kstephan@centervillemn.com <br />Subject: FW: Park & Rec <br /> <br />~----Original Message----- <br />From: John Meyer [mailto:JMeyer@centervillemn.com] <br />Sent: Tuesday, February 01,20052:48 PM <br />To: (wayne.leblanc@unisys.com) <br />Subject: Park & Rec <br /> <br />Wayne <br /> <br />Current balance in Park Fund is $317,160.62 and current balance in trail ways fund is $12,500. Potential <br />receivables from future development have been estimated to be $ 207,000. Attached is a Capital Improvement <br />Plan that list potential activities and related cost for park and recreation activities. The activities and related costs <br />are subject to change based on actual activities and actual cost. I hope this will help. If you would like any <br />additional information, please email or call (651-429-3232). Thanks. <br /> <br />John Meyer <br />City of Centerville <br /> <br />2/2/2005 <br />