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recorded being made a part of these minutes. Total expenditures <br />for the month of March are as follows: General Fund $82,960.61; <br />Road and Bridge Fund $136,650.79; Fine and Forfeiture Fund, $74,060.93, <br />Capital outlay Fund $2,437.50. Total revenue for the Month of <br />March is as follows: General Fund, $85,373.25; Road and Bridge Fund, <br />$132,132.79; Fine and Forfeiture Fund,.$78,056.39; Capital outlay <br />Fund $136.67. <br />There being nor further business, on Motion made, <br />seconded and carried, the Board adjourned at 2:50 o'clock P. M. <br />ATTEST: <br />10 �or el-, <br />00-077�:-k6/ <br />M :r <br />APR 7 1971 <br />