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Resolution No. 2010- 012 <br />Budget Office Approval: <br />hibit "A" <br />Jason <br />n, Budget Director <br />Budget Amendment: 007 <br />9, <br />Revenues (/ <br />MPO/Intergovernmental Grants/DOT Transit Hub <br />Grant #APT19 <br />124033-334400-10802 <br />$68,643 <br />$0 <br />Expenses <br />MPO/Construction In Progress/Transit Hub Project <br />12420415-066510-10802 <br />$68,643 <br />$0 <br />10. <br />Expenses <br />M.S.T.U. Fund/Reserves/Reserve for Contingency <br />00419981-099910 <br />$0 <br />$1,800 <br />M.S.T.U. Fund/Code Enforcement/Other <br />Professional Services <br />00420724-033190 <br />$1,800 <br />$0 <br />11. <br />Expenses <br />General Fund/Reserves/Reserve for Contingency <br />00119981-099910 <br />$0 <br />$21,635 <br />General Fund/Agencies/Community Transportation <br />Coordinator <br />00111041-088230 <br />$21,635 <br />$0 <br />12. <br />Revenues <br />M.S.T.U. Fund/Non Revenue/Cash Forward -Oct 1st <br />004039-389040 <br />$72,910 <br />$0 <br />Expenses <br />M.S.T.U. Fund/Maintenance/Buildings/Gifford <br />Community Center Improvements <br />00421441-034610-10005 <br />$72,910 <br />$0 <br />Optional Sales Tax/Facilities Management/Gifford <br />Community Center Improvements <br />31522019-066510-10005 <br />$101,890 <br />$0 <br />Optional Sales Tax/Reserves/Reserve for <br />contingency <br />31519981-099910 <br />$0 <br />$101,890 <br />13. <br />Revenues <br />M.S.T.U. Fund/Non Revenue/Cash Forward -Oct lst <br />001033-334407 <br />$72,688 <br />$0 <br />Expenses <br />General Fund/Agencies/Community Transportation <br />Coordinator <br />00111041-088230 <br />$72,688 <br />$0 <br />14. <br />Revenues <br />Optional Sales Tax/FDOT LAP Grant/12th Street <br />Sidewalk from 43rd Ave. to 27th Ave. <br />315033-331400-07804 <br />$0 <br />$240,000 <br />Expenses <br />Optional Sales Tax/Road & Bridge/12th Street <br />Sidewalk from <br />31521441-066510-07804 <br />$0 <br />$240,000 <br />