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<br />61 . <br />Exhibit A <br /> <br />I <br /> <br />City of San Marcos <br />Fiscal Year 2005/06 <br />Budget Amendment <br /> <br /> <br /> Approved by Ordinance No. <br /> Current Affect of this Amended <br />Fund Account Name BudqetlBalance Action BudqetlBalance <br />1991,1992 Go; 1999 & 2000 GO's <br />And 2000 CO's <br />450-000-35100 Fund Balance 935,886.00 -900,000.00 35,886.00 <br />450-551-73203 Post Road 1,603,432.00 900,000.00 2,503,432.00 <br />1995, 1996, 1998, 1999 & 2000 <br />Revenue Bonds <br />-000-35100 Fund Balance 1,111,966.00 -700,000.00 411,966.00 <br />-620-78100 Sink Creek Interceptor 60,806.00 700,000.00 760,806.00 <br />1988 Revenue Bonds <br />490-000-35100 Fund Balance 386,589.00 -200,000.00 186,589.00 <br />490-651-75105 Post Road 8 " Waterline Replacement 370,000.00 200,000.00 570,000.00 <br />Drainage Utility Fund <br />616-000-35100 Fund Balance 507,852.00 -500,000.00 7,852.00 <br />616-551-73211 Post Road Drainage 1,185,353.00 500,000.00 1,685,353.00 <br /> <br />Description: <br /> <br />Use of fund balance is necessary to meet funding shortfall on the Post Road Paving & Drainage Improvements <br />And Sink Creek Interceptor CIP Projects. <br /> <br />I <br />