Laserfiche WebLink
<br /> /5/¡- <br /> CITY OF SAN MARCOS 09/24/96 <br /> BUDGET AMENDMENT <br /> WA TER SYSTEM CAPITAL IMPROVEMENT - <br /> 1995-96 BUDGET <br /> COUNCIL PROPOSED AMENDED <br /> APPROVED AMENDMENT BUDGET <br /> 1995-96 1995-96 <br /> ! ŒVENUES <br /> <br /> Jse of Fund Balance 152,119.00 0.00 152,119.00 <br /> Use of Capital Recovery Fees 0.00 60.250.00 . 60,250.00 <br /> <br /> TOTAL REVENUES 152.119.00 60.250.00 212.369.00 <br /> . . <br /> EXPENDITURES <br /> <br /> Operating Transfer - Fund 62 108,512.00 0.00 108,512.00 <br /> Surface Water Rights 22,264.00 0.00 22,264.00 <br /> CIP - Hand Held Meter 7,775.00 0.00 7,775.00 <br /> ~ <br /> River Road Systems Improvements 13,568.00 0.00 30,486.00 <br /> Centerpoint Transmission - Main Design 0.00 60.250.00 30,486.00 <br /> <br /> TOTAL EXPENDITURES 152.119.00 60.25OJ1Q 212.369.QO <br /> <br /> -- <br /> ~'/J1 ¡ &11 -A <br />