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<br /> EXHIBIT "A-2" <br /> Current Requested Revised <br /> Appropriation Revision Appropriation <br />GENERAL FUND <br />Revenue/Source of Funds <br />Use of Fund Balance $62,721. 00 <br />Additional funds available $62,721.00 <br /> <br />Expenditures <br />#10 Administration - City Manager <br />6101 Office Remodeling -0- $ 9,844.00 $ 9,844.00 <br />#12 City Attorney <br />6106 Office Remodeling -0- $ 5,978.00 $ 5,978.00 <br />#14 Inspection <br />6104 Office Remodeling -0- $ 8,963.00 $ 8,963.00 <br />#30 Administrative and Public Services <br />6101 Office Remodeling -0- $11,725.00 $11,725.00 <br />#50 Finance <br />6103 Office Remodeling -0- $18,279.00 $18,279.00 <br />68 Engineering <br />6122 Office Remodeling -0- $ 7,932.00 $ 7,932.00 <br />Additional funds required $62,721.00 <br />