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SEP 111'991 BOOK 84 <br />ENTERPRISE 8 INTERNAL SERVICE FUNDS - OTHER FUNDS - OTHER DEBT <br />FUNDS <br />Chairman Bird announced that at this time we would go over <br />the Enterprise 6 Internal Service Funds, Other Funds, and Other <br />- Debt Funds, all of which are non -taxing funds, and he asked that <br />OMB Director Baird announce the proposed budgets for these funds. <br />OMB Director Baird read aloud the following: <br />Enterprise_ 6_ Internal_ Service_ Funds Proposed_ Budget <br />Golf Course $ 1,810,270 <br />Building Department 1,210,494 <br />Water 6 Sewer Utilities 9,699,140 <br />Utilities Impact Fee 5,398,533 <br />Fleet Management 1,157,790 <br />Self -Insurance Fund 1,132,529 <br />Other Funds <br />Special Revenue $13,855,450 <br />Capital Projects 16,582,680 <br />Other Debt Funds <br />1985 Refunding 8 Improvement Bonds $ 1,438,605 <br />Route 60 Sewer Assessment Bond 378,036 <br />Route 60 Water Assessment Bond 80,000 <br />Rockridge Special Assessment Bond 162,195 <br />North County Sewer Assessment Bond 1,388,538 <br />Chairman Bird asked if anyone wished to be heard in regard <br />to any of the above listed funds. There were none, and he <br />thereupon closed the public hearing on same. <br />ON MOTION by Commissioner Wheeler, SECONDED by Com- <br />missioner Eggert, the Board unanimously adopted <br />Resolution 91-143 approving budgets for all the <br />above listed funds (including the Single Light <br />District announced earlier) for fiscal year 1991/92. <br />62 <br />