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<br /> /L'j)~ <br /> City of San Marcos, Texas <br /> Exhibit 6 <br /> Notes to General Purpose Financial Statements (continued) <br /> September 30, 1992 <br /> 9. Interfund Transfers <br /> Interfund transfers for the year ended September 30, 1992 are as follows: <br /> Operating Transfers <br /> In Out <br /> General Fund $ 87,728 $ 417,449 <br /> Special Revenue Funds: <br /> FEMA Grant 5,581 - <br /> Community Development Block Grant 7,235 - <br /> Hotel Occupancy - 77,161 <br /> Total Special Revenue Funds 12,816 77, 161 <br /> .. <br /> Capital Projects Funds: <br /> 1985 General Obligation Bonds - 153,307 <br /> Capital Improvements - 7,969 <br /> Construction Crew 569,718 10,567 <br /> 1991 General Obligation Bonds - 171,004- <br /> Total Capital Projects Funds 569,718 343,507 <br /> Enterprise Funds: <br /> Water and Sewer I 19,057 30,835 <br /> Airport Fund 144,049 - <br /> Total Enterprise Funds 163,106 30,835 <br /> Trust and Agency Funds: <br /> Cemetery Fund 61,296 - <br /> Cemetery PerpetUal Care - 25,712 <br /> Total Trust and Agency Funds 61,296 25,712 <br /> Total All Funds $ 894,664 $ 894,664 <br /> -36- <br />