Loading...
HomeMy WebLinkAboutC.054.93008_00464033 Boon 25 Pay L 891 BUDGET ORDINANCE - 1982-83 July 6, 1982 Page 5 Section 5. The following amounts are appropriated to complete the revaluation process as required by the General Statutes: Contracted Services - other $ 445,000 Contingency 10,000 $ 455,000 Section 6. It is estimated the following revenues will be available for Revaluation Fund beginning July 1, 1982 and ending, June 30, 1983: Interest on Investments $ 11,000 Contributions from General. Fund 270,000 Fund Balance Appropriated 174,000 $ 455,000 Section 7. The following amounts are hereby appropriated in the Water and Sewer Fund: Capital Outlay - Equipment $ 126,300 Contingency 162,788 $ 289,088 Section 8. It is estimated the following revenues will be available from the Water -Sewer Fund for fiscal year beginning July 1, 1982 and ending June 30, 1983: