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06/22/2015 <br /> Summary of Recommended Budget Changes by Fund Type <br /> REVENUES AND EXPENDITURES NET CHANGE IN <br /> TRANSFERS IN AND TRANSFERS FUND BALANCE <br /> OUT <br /> General Fund $391,491 $3,677,713 ($3,286,222) <br /> Special Revenue $4,033,948 $1,816,169 $2,217,779 <br /> Funds <br /> Capital Projects $275,739 <br /> Fu nds ($924,408) $1,200,147 <br /> Enterprise Funds - $510,000 ($510,000) <br /> Internal Services $2,200,000 - $2,200,000 <br /> Funds <br /> Total Revisions $6,901,178 $5,079,474 $1,821,704 <br /> This Council does hereby establish as the appropriation revisions for Fiscal Year <br /> 2014/2015. <br /> * * * <br /> ATTY/RES0.3097/CC RESO APPROPRIATION&TRANSFERS FY 14-15 RESO.#15420 <br /> REV:06-11-15 MLG MUFF#501 <br /> Page 2 of 8 <br />