Laserfiche WebLink
TO : Members of the Board BUDGET AMENDMENT: 017 <br /> of County Commissioners <br /> FROM : Jason E . Brown DATE : May 1 2001 <br /> Budget Manager <br /> 11[ Entry LFund/De artment/ <br /> Number Account Name Account Number Increase Decrease <br /> 9EXPENSES <br /> 1E <br /> TRANSPORTATION FUND/ Public <br /> Works/ Automotive 111 -243-519-066 .42 $ 169000 $0 <br /> TRANSPORTATION FUND/ Cash <br /> Forward Expense 111 - 199-581 -099. 92 $0 $ 16 , 000 <br /> 10 . EXPENSES <br /> GENERAL FUND/ Buildings & <br /> Grounds/ Mechanical Systems 001 -220-519-041 . 24 $2, 000 $0 <br /> GENERAL FUND/ Reserve for <br /> Contingencies 001 - 199-581 -099 . 91 $0 $2 , 000 <br /> 11 . EXPENSES <br /> GENERAL FUND/ Library/ Rent - <br /> Buildings 001 - 109-571 -034 .42 $ 10, 000 $0 <br /> GENERAL FUND/ Reserve for <br /> Contingencies 001 - 199-581 -099 . 91 $0 $ 10 , 000 <br /> 12 . REVENUES <br /> TRANSPORTATION FUND/ Cash <br /> Forward Revenues 111 -000-389-040 . 00 $42 ,458 $0 <br /> EXPENSES <br /> TRANSPORTATION FUND/ Road & <br /> Bridge/ Automotive 111 -214-541 -066 . 42 $42 , 458 $0 <br /> MAY 19 2001 U 4 6 <br /> - 34- <br />