Page 148 - Report
P. 148

Budget Worksheet Condensed                         For Fiscal: 2022-2023 Period Ending: 08/31/2023

 2020-2021     2021-2022      2022-2023      2022-2023      2023-2024
 Total Activity  Total Activity  Total Budget  YTD Activity  2023-2024

 600-100-9821-00  Transfer from General Fund  0.00  0.00  46,376.55  0.00  58,254.00






 Budget Detail
 Budget Code  Description  Units  Price  Amount
 2023-2024  50% od backhoe/trailer interest  1.00  -679.00  -679.00
 2023-2024  50% od backhoe/trailer principle  1.00  -7,890.00  -7,890.00
 2023-2024  airpacks interest  1.00  -1,229.00  -1,229.00
 2023-2024  airpacks principle  1.00  -17,000.00  -17,000.00
 2023-2024  Computer hard/software interest  1.00  -2,336.00  -2,336.00
 2023-2024  Computer hard/software principle  1.00  -29,120.00  -29,120.00

 Department: 100 - Debt Service Total:  15,650.92  80,380.54  594,640.77  80,202.51  641,388.00
 Revenue Total:  15,650.92  80,380.54  594,640.77  80,202.51  641,388.00



















































 8/4/2023 11:06:01 AM                                                                Page 65 of 116
 9/18                                                        FY 2024 Adopted Budget
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