My WebLink
|
Help
|
About
|
Sign Out
Home
Browse
Search
02-23-09 Common Council Meeting Agenda & Packet
sbend
>
Public
>
Common Council
>
Common Council Agenda Packets
>
2009
>
02-23-09 Common Council Meeting Agenda & Packet
Metadata
Thumbnails
Annotations
Entry Properties
Last modified
9/1/2015 12:14:04 PM
Creation date
2/19/2009 1:16:27 PM
Metadata
Fields
Template:
City Council - City Clerk
City Council - Document Type
Agendas
There are no annotations on this page.
Document management portal powered by Laserfiche WebLink 9 © 1998-2015
Laserfiche.
All rights reserved.
/
113
PDF
Print
Pages to print
Enter page numbers and/or page ranges separated by commas. For example, 1,3,5-12.
After downloading, print the document using a PDF reader (e.g. Adobe Reader).
Show annotations
View images
View plain text
Cash Substantiation <br />#405 <br />12/31/08 Cash Balance $472,960 <br />2009 Estimated Revenue $249,000 <br />2009 Appropriation- Capital ($298,000) <br />12/31/09 Cash Balance $423,960 <br />12/31/08 Cash Balance <br />2009 Estimated Revenue <br />2009 Operating Budget <br />2009 Appropriation - Capital <br />12/31/09 Cash Balance <br />12/31/08 Cash Balance <br />2009 Estimated Revenue <br />2009 Operating Budget <br />2009 Appropriation - Capital <br />12/31/09 Cash Balance <br />12/31/08 Cash Balance <br />2009 Estimated Revenue <br />2009 Appropriation- Capital <br />12/31/09 Cash Balance <br />#203 <br />$ 695,821 <br />1,319,365 <br />(1,210,698) <br />(100,000) <br />$ 704,488 <br />#271 <br />$ 33,375 <br />500 <br />(6,277) <br />(4,000) <br />$ 23,598 <br />#730 <br />$ 41,785 <br />(1,500) <br />$ 40,285 <br />Prepared by CFANELLO 2/18/2009 <br />f.1 16d �� Clerks € � <br />Page 1 <br />#401 <br />12/31/08 Cash Balance <br />$ 241,908 <br />2009 Estimated Revenue <br />4,000 <br />2009 Appropriation- Capital <br />(115,000) <br />12/31/09 Cash Balance <br />$ 130,908 <br />#405 <br />12/31/08 Cash Balance $472,960 <br />2009 Estimated Revenue $249,000 <br />2009 Appropriation- Capital ($298,000) <br />12/31/09 Cash Balance $423,960 <br />12/31/08 Cash Balance <br />2009 Estimated Revenue <br />2009 Operating Budget <br />2009 Appropriation - Capital <br />12/31/09 Cash Balance <br />12/31/08 Cash Balance <br />2009 Estimated Revenue <br />2009 Operating Budget <br />2009 Appropriation - Capital <br />12/31/09 Cash Balance <br />12/31/08 Cash Balance <br />2009 Estimated Revenue <br />2009 Appropriation- Capital <br />12/31/09 Cash Balance <br />#203 <br />$ 695,821 <br />1,319,365 <br />(1,210,698) <br />(100,000) <br />$ 704,488 <br />#271 <br />$ 33,375 <br />500 <br />(6,277) <br />(4,000) <br />$ 23,598 <br />#730 <br />$ 41,785 <br />(1,500) <br />$ 40,285 <br />Prepared by CFANELLO 2/18/2009 <br />f.1 16d �� Clerks € � <br />Page 1 <br />
The URL can be used to link to this page
Your browser does not support the video tag.