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• • <br /> Schedule of Transfers from the General Fund <br /> 2010-11 2010-11 <br /> Adopted. 2010-11 Est. Budget <br /> Budget Actual Amendment <br /> Operating Transfers Out <br /> Drainage $ - $ - - <br /> Pathways 200,000 360,000 160,000 <br /> Streets 100,000 - (100,000) <br /> COPS - - - <br /> Debt Service 218,316 213,431 (4,885) <br /> Total operating transfers out $ 518,316 $ 573,431 55,115 <br /> Capital Transfers Out <br /> General Capital $ 250,000 $ 250,000 <br /> Pathways 175,000 90,000 (85,000) <br /> Drainage - - - <br /> Streets 125,000 325,000 200,000 <br /> Total capital transfers out $ 550,000 $ 665,000 115,000 <br /> Total Transfers Out $ 1,068,316 $ 1,238,431 170,115 <br />