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TO : Members of the Board BUDGET AMENDMENT: 027 <br /> of County Commissioners <br /> FROM : Jason E . Brown I DATE : August 29 , 2001 <br /> Budget Manager <br /> Entry Fund/Dep ent/ <br /> Number Account Name Account Number Increase Decrease <br /> 3 . EXPENSES <br /> GENERAL FUND/ Mailroom/ EDP <br /> Equipment 001 -251 -519-066 . 47 $45 , 000 $ 0 <br /> GENERAL FUND/ Cash Forward 001 - 199- 581 -099 . 92 $ 0 $45 , 000 <br /> 4. REVENUES <br /> RISK MANAGEMENT/ <br /> Reimbursements 502-000- 369-040 . 00 $ 15 , 000 $ 0 <br /> RISK MANAGEMENT/ Worker's <br /> Compensation 502-000-395-023 . 00 $ 100 , 000 $ 0 <br /> RISK MANAGEMENT/ Cash <br /> Forward - October 1 502-000- 389-040 . 00 $ 150 , 000 $0 <br /> EXPENSES <br /> RISK MANAGEMENT/ Legal <br /> Services 502-246 - 519-033 . 11 $200 , 000 $ 0 <br /> RISK MANAGEMENT/ Automotive <br /> Insurance 502-246- 519-034 . 51 $ 157000 $ 0 <br /> RISK MANAGEMENT/ Sheriff/ <br /> Worker's Compensation 502-600- 521 -012 . 14 $ 50 , 000 $0 <br /> 5 . REVENUES <br /> OPTIONAL SALES TAX/ Cash <br /> Forward - October 1 315-000-389-040 . 00 $261 , 737 $0 <br /> EXPENSES <br /> OPTIONAL SALES TAX/ Landfill <br /> Monitoring/ Old Gifford Landfill 315-217-534-033 . 49 $ 261 , 737 $0 <br /> September 4 , 2001 <br /> 40 <br />