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<br />r--- - <br /> <br />59. <br />Exhibit A <br /> <br />I <br /> <br />City of San Marcos <br />Fiscal Year 2005/06 <br />Budget Amendment <br /> <br /> <br /> <br /> Approved by Ordinance No. <br /> Current Affect of this Amended <br />Fund Account Name BudqeUBalance Action BudqeUBalance <br />Water/Wastewater Utility Fund <br />610.000.35100 Fund Balance 9,628,158.00 -268,000.00 9,360,158.00 <br /> Wastewater Collection <br />610.200.52140 Power & Light 112,591.00 10,000.00 122,591.00 <br /> Water Distribution/Maintenance <br />.204.53140 Fuel & Lubricants 25,000.00 7,000.00 32,000.00 <br /> Special Services <br />.210.52345 Operations & Maintenance 741,636.48 146,000.00 887,636.48 <br />610.210.52346 Power Costs 214,545.00 70,000.00 284,545.00 <br /> Administration <br />610.205.52160 Professional Services 56,000.00 35,000.00 91,000.00 <br /> <br />Description: Approve ordinance authorizing use of fund balance from Water/Wastewater Utility Funds in the amount of <br />$268,000.00. <br /> <br />I <br />