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<br />3~, <br /> <br />I <br /> <br />CONTENTS <br /> <br />1. Cash Reserves. <br /> <br />2. General Fund expenditures by departments of those exceeding <br />their revised authorization. <br /> <br />3. General Fund - Total revenues and expenditures compared to <br />original and revised budgets. <br /> <br />4. General Fund - Actual revenues for 76/77 compared with actual <br />revenues for 75/76 fiscal year. <br /> <br />5. General Fund - Actual revenues compared with original and revised <br />budgets. <br /> <br />6. Utility Fund - Total revenues and expenditures compared with <br />original and revised budgets. <br /> <br />I <br /> <br />7. Utility Fund - Actual revenues for 76/77 compared with actual <br />revenues for 75/76. <br /> <br />8. Utility Fund - Actual revenues compared with original and revised <br />budgets. <br /> <br />9. Community Development - Authorized appropriations. <br /> <br />10. Revenue Sharing expenditures. <br /> <br />I <br />