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TO: Members of the Board <br />of County Commissioners <br />FROM: Jason E. Brown <br />Budget Manager <br />Entry <br />Number <br />BUDGET AMENDMENT: 012 <br />DATE: February 26, 2001 <br />Fund/Department/ <br />Account Name <br />Account Number I Increase 1 Decrease <br />EXPENSES <br />GENERAL FUND/ Buildings & <br />Grounds/ Water Connection Fees 001-220-519-041.24 $8,160 $0 <br />GENERAL FUND/ Reserve for <br />Contingencies <br />001-199-581-099.91 I $0 I $8,160 <br />REVENUES <br />SOLID WASTE DISPOSAL <br />DISTRICT/ Interest Earnings 411-000-361-010.00 $3,614 <br />$0 <br />EXPENSES <br />GENERAL FUND/ Clerk of the <br />Circuit Court/ Unemployment <br />SOLID WASTE DISPOSAL <br />DISTRICT/ Landfill/ Unemployment 1411-217-534-012.15 $3,614 <br />$0 <br />001-300-513-01215 I $2,934 $0 <br />001-199-581-099.91 I $0 I $2,934 <br />REVENUES <br />SPECIAL LAW ENFORCEMENT <br />TRUST FUND/ Confiscated Property 112-000-351-020.00 $12,174 <br />$0 <br />EXPENSES <br />SPECIAL LAW ENFORCEMENT <br />TRUST FUND/ Law Enforcement <br />112-600-586-099.04 I $12,174 I $0 <br />10. EXPENSES <br />EMERGENCY SERVICES <br />DISTRICT/ ALS/ Sick Incentive 114-253-526-011.15 $7,000 <br />$0 <br />EMERGENCY SERVICES <br />DISTRICT/ ALS/ Contingencies 114-253-526-099.91 $0 $7,000 <br />March 6, 2001 <br />