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<br /> EXHIBIT "A-I" <br /> Current Requested Revised <br />Appropriation Revis,ion Appropriation <br /> <br />GENERAL FUND <br />Revenue/Source of Funds. <br />Use of Fund Balance $46,000.00 <br />Additional funds available 46,000.00 <br /> <br />Expenditures <br />#35 Parks & Recreation <br />6122 River Bank Improvements -0- 25,000.00 25,000.00 <br />6123 City Recreation Hall -0- 17,000.00 17,000.00 <br /> 42,000.00 <br />#81 Special Services <br />5660 Grant to SM Food Bank -0- 4,000.00 4,000.00 <br /> 4,000.00 <br />Additional funds required 46,000.00 <br />