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Show ' FINANCIAL STATEMENT FOR GREEN RIVER CITY Recorder's Financial Statement for December 1974 ' General Fund Balance 12-1-74 $13,533.72 1 Deposits 2,867.00 TOTAL 16,420.72 Expenditures 5,230.48 BALANCE $11,190.24 Water and Sewer Bond Fund I Balance 12-1-74 $16,363.16 Deposits 2,000.00 I TOTAL $18,363.16 , Water and Sewer Fund I Balance 12-1-74 ..$10,731.09 Deposits 4,667.94 I TOTAL 15,419.03 , Expenditures 4,444.17 I BALANCE $10,974.86 I Improvement Fund 1 Balance 12-1-74 $26,638.22 I Expenditures 1,982.68 1 BALANCE .. $24,655.54 I Liquor Fund Balance 12-1-74 $2,285.85 I Airport Fund Balance 12-1-74 $4,251.00 I Expenditures 7.23 BALANCE $4,243.77 I T. V. Fund , Balance 12-1-74 $1,191.09 I Deposits 1,525.00 j TOTAL $2,716.09 I Expenditures 146.36 i BALANCE $2,569.73 ' Revenue Sharing Balance 12-1-74 $21,366.09 ' Class C Road Fund. Balance 12-1-74 .' $15,920.30 ' Published in The Times-Independent Jan. 23, 1975. i |