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Total Revenues $1,411,892 <br />O. 800 City Garage Fund Revenue <br />Charges for Services $8,718,029 <br />Operating Transfer In 42,000 <br />Total Revenues $8,760,029 <br />P. 810 Information Technology Fund Revenue <br />Charges for Services $5,194,608 <br />Revenue from Use of Money 5,000 <br />Total Revenues $5,199,608 <br />Q. 820 Risk Management Fund Revenue <br />Charges for Services $5,612,287 <br />Recovered Costs 264,075 <br />Fund Balance 2,000,000 <br />Total Revenues $7,876,362 <br />R. 830 Health Insurance Fund Revenue <br />Charges for Services $22,706,628 <br />Other Financing Sources <br />Total Revenues $22,706,628 <br />S. 910 Community Development Revenue <br />Federal Revenue $1,724,292 <br />Program Income 44,880 <br />Total Revenues $1,769,172 <br />TOTAL Revenue $443,333,941 <br />Sums appropriated to: <br />