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MOTOR VEHICLE LICENSE TAX 280 <br />MATERIALS & SUPPLIES <br />48,000.00 <br />48,000.00 <br />CONTRACTUAL SERVICES <br />173,000.00 <br />173,000.00 <br />221,000.00 <br />221,000.00 <br />STATE HIGHWAY 281 <br />MATERIALS & SUPPLIES <br />193,000.00 <br />193,000.00 <br />CONTRACTUAL SERVICES <br />130,000.00 <br />130,000.00 <br />323,000.00 <br />323,000.00 <br />STREET MAINTENANCE 282 <br />SALARIES <br />359,295.00 <br />359,295.00 <br />BENEFITS <br />145,987.40 <br />145,987.40 <br />MATERIALS & SUPPLIES <br />522,000.00 <br />522,000.00 <br />CONTRACTUAL SERVICES <br />206,600.00 <br />206,600.00 <br />CAPITAL OUTLAY <br />757,716.29 <br />757,716.29 <br />1,991,598.69 <br />1,991,598.69 <br />SIDEWALK IMPROVEMENT 286 <br />CONTRACTUAL SERVICES <br />5,000.00 <br />5,000.00 <br />5,000.00 <br />5,000.00 <br />SOLID WASTE AND RECYCLING 290 <br />CONTRACTUAL SERVICES <br />2,621,946.00 <br />2,6211946.00 <br />2,621,946.00 <br />2,621,946.00 <br />PERMANENT IMPROVEMENT 295 <br />CONTRACTUAL SERVICES <br />42,500.00 <br />42,500.00 <br />CAPITAL OUTLAY <br />2,170,595.11 <br />2,170,595.11 <br />DEBT SERVICE <br />3,098,740.00 <br />3,098,740.00 <br />TRANSFERS/ADVANCES OUT <br />1,192,781.26 <br />1,192,781.26 <br />6,504,616.37 <br />6,504,616.37 <br />GREAT NORTHERN TIF 296 <br />DEBT SERVICE <br />1,209,950.00 <br />1,209,950.00 <br />TRANSFERS/ADVANCES OUT <br />177,450.00 <br />177,450.00 <br />1,387,400.00 <br />1,387,400.00 <br />ENDOWMENT AND GRANT 300 <br />MATERIALS & SUPPLIES <br />107,504.00 <br />107,504.00 <br />CONTRACTUAL SERVICES <br />42,992.46 <br />42,992.46 <br />150,496.46 <br />150,496.46 <br />COMMUNITY DEVELOPMENT BLOCK GRANT 310 <br />CAPITAL OUTLAY <br />150,000.00 <br />150,000.00 <br />150,000.00 <br />150,000.00 <br />LOCAL CORONAVIRUS RELIEF 380 <br />MATERIALS & SUPPLIES <br />6,150.76 <br />6,150.76 <br />CONTRACTUAL SERVICES <br />16,614.56 <br />16,614.56 <br />CAPITAL OUTLAY <br />(5,616.11) <br />(5,616.11) <br />17,149.21 <br />17,149.21 <br />GENERAL OBLIGATION BOND RETIREMENT 410 <br />DEBT SERVICE <br />6,693,262.10 <br />297,551.93 <br />6,990,814.03 Interest payment on 2021 bond issuance <br />6,693,262.10 <br />297,551.93 <br />6,990,814.03 <br />LIBRARY BOND RETIREMENT 430 <br />TRANSFERS/ADVANCES OUT <br />115,987.48 <br />115,987.48 <br />115,987.48 <br />115,987.48 <br />FIRE STATION BOND RETIREMENT 450 <br />DEBT SERVICE <br />293,225.00 <br />293,225.00 <br />293,225.00 <br />293,225.00 <br />CAPITAL IMPROVEMENT 500 <br />CAPITAL OUTLAY <br />309,365.50 <br />35,000.00 <br />344,365.50 Increase for additional needed for Clauge Park Proj <br />DEBT SERVICE <br />4,390,000.00 <br />4,390,000.00 <br />4,699,365.50 <br />35,000.00 <br />4,734,365.50 <br />SPRINGVALE GOLF & BALLROOM 650 <br />SALARIES <br />536,084.00 <br />536,084.00 <br />BENEFITS <br />109,112.70 <br />109,112.70 <br />MATERIALS & SUPPLIES <br />392,000.00 <br />392,000.00 <br />CONTRACTUAL SERVICES <br />322,800.00 <br />322,800.00 <br />CAPITAL OUTLAY <br />40,602.02 <br />40,602.02 <br />REFUNDS <br />25,600.00 <br />25,600.00 <br />TRANSFERS/ADVANCES OUT <br />380,580.00 <br />380,580.00 <br />1,806,778.72 <br />1,806,778.72 <br />SPRINGVALE CAPITAL IMPROVEMENT 655 <br />DEBT SERVICE <br />1,495,000.00 <br />1,495,000.00 <br />1,495,000.00 <br />1,495,000.00 <br />SEWER REVENUE 680 <br />SALARIES <br />1,898,362.00 <br />1,898,362.00 <br />BENEFITS <br />792,380.98 <br />792,380.98 <br />MATERIALS & SUPPLIES <br />747,800.00 <br />747,800.00 <br />CONTRACTUAL SERVICES <br />2,359,650.00 <br />2,359,650.00 <br />CAPITAL OUTLAY <br />1,126,000.00 <br />1,126,000.00 <br />REFUNDS <br />4,000.00 <br />4,000.00 <br />TRANSFERS/ADVANCES OUT <br />3,803,991.56 <br />3,803,991.56 <br />10,732,184.54 <br />10,732,184.54 <br />HOSPITALIZATION 700 <br />CONTRACTUAL SERVICES <br />4,718,737.00 <br />4,718,737.00 <br />4,718,737.00 <br />4,718,737.00 <br />