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Annual_Report_1995_001
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CITY OF ROSEVII.LE, MINNESOTA <br />SCHEDULE OF SOURCES AND USES OF PUBLIC FUNDS <br />FOR TAX INCREMENT DISTRICT NtJMBER 9 <br />INCEPTTON TO DECEMBER 31, 1995 <br />Amended <br />Budeet" <br />iource of Funds: <br />Bond proceeds <br />Tax incremeats received <br />Interest on inves[ecl funds <br />Paymeats from escrow agent <br />Othez <br />Total Sources of Funds <br />Jses of Funds: <br />Land acquisition for developers <br />Land acquisition held by City <br />Debt service <br />Social and recreational facilities <br />Installation of public <br />utilities and improvements <br />Other - Bond Counsel, Administration <br />Expense <br />Total Uses of Funds <br />acrease of (Decrease) <br />in Funds Remaining <br />District Informatioa <br />)istric[ Type -------------Redevelopmen[ <br />)ate of Certification--------July 15, 1987 <br />>istrict Length------------25 Years <br />>ate of Expiration------------December 31, 2012 <br />Accoimted <br />for m <br />Prior Yeazs <br />$ 1,005,438 $ <br />Ginrent <br />Year <br />Form O30 <br />� <br />215,293 $ 1,220,731 <br />$ 1,005,438 $ 215,293 $ 1,220,731 <br />5 1,005,438 S 215,293 $ 1,220,731 <br />Amended Budget has.been completed on a pooled district basis. See Form Ol <br />
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