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STATEMENT OF PERMANENT IMPROVEMENTS <br />(Do not include expense to be paid from bond issues) <br />(Section 5705.29. Revised Code) <br />Description <br />II ROAD IMPROVEMENTS (2007 ROAD PROGRAM) <br />II POLICE VEHICLES <br />II POLICE EQUIPMENT <br />II SIGNALIZATION EQUIPMENT <br />FIRE VEHICLES <br />II FIRE EQUIPMENT <br />II EMS VEHICLES <br />II EMS EQUIPMENT <br />II RECREATION VEHICLES <br />II RECREATION EQIPMENT <br />II PLAYGROUND AND POOL EQUIPMENT <br />II BUILDING DEPARTMENT VEHICLES <br />II BUILDING DEPARTMENT EQUIPMENT <br />II CULVERT WORK <br />II PARK IMPROVEMENTS <br />II SIDEWALKS <br />II SERVICE DEPARTMENT VEHICLES <br />SERVICE DEPARTMENT EQUIPMENT <br />II BALLFIELDS <br />II BIKE TRAILS & GREEN CORRIDORS <br />II PURCHASE OF LAND <br />II VILLAGE BUILDING CONSTRUCTION <br />II UPPER 40 PROJECT <br />S.O.M. CENTER ROAD WIDENING PROJECT <br />II TOTAL <br />? ? - _- --_ -- <br />Estimated Cost Amount to be <br />of Permanent Budgeted During <br />Improvement Current Year <br />EXHIBIT IV <br />Name of Paying Fund <br />$500,000.00 II $500,000.00 II GENERAL FUND AND SCM&R FUND <br />$81,120.00 $81,I20.00 GENERALFUND <br />$20,800.00 $20,800.00 GENExnLFUrrD <br />$4,160.00 II $4,160.00 II GENERALFUND <br />$0.00 II $0.00 II GENERALFUND <br />$46,800.00 II $46,800.00 II GENERALFUND <br />$0.00 II $0.00 II GENERALFUND <br />$0.00 II $0.00 II GENERALFUND <br />$0.00 II $0.00 II GENERALFUND <br />$0.00 II $0.00 II GENERAL FUND <br />$10,400.00 $10,400.00 GENExnLFUrrD <br />$0.00 II $0.00 II GENERALFUND <br />$0.00 II $0.00 II GENERa,L FImD <br />$0.00 II $0.00 II GENERALFUND <br />$0.00 II $0.00 II GENExnL FuxD <br />$0.00 II $0.00 II GENERAL FUND <br />$129,792.00 II $129,792.00 II GENERALFUND <br />$37,856.00 $37,856.00 II GENERALFUND <br />$0.00 II $0.00 II GENERAL FUND <br />$0.00 $0.00 GENEanLFVtaD <br />$250,000.00 $250,000.00 GENEanLFUriD <br />$355,200.00 II $355,200.00 II GENERALFUND <br />$0.00 II $0.00 II UPPER 40 IMPROVEMENT PROJECT <br />$0.00 II $0.00 II S.O.M. CENTER ROAD WIDENING PROJECT <br />$1,436,128.00 11 $1,436,128.00 <br />For the year being budgeted, list each contemplated disbursement for permanent improvements, <br />exclusive of any expense to be paid from bond issues, by the fund from which the expenditures <br />are to be made. Examples for describing the permanent improvements are: window replacement, <br />vehicle purchase, furnishing offices, appliances for fire department kitchen. <br />Maytield Village 2007 Tax Budget -Page 11-