STREET  LIGHT  FUND  BUDGET  2010
 
                                     CASH CARRY OVER ------------------------- $1,000
                               RECEIPTS
                               301      TAX LEVY ------------------------- $440
                               341      INTEREST ------------------------- $10
                                     TOTAL RECEIPTS ------------------------- $450
                               TOTAL AVAILABLE ------------------------- $1,450
                               EXPENDITURES
                               402      FIN. ADMIN. EXPENSE ------------------------- $30
                               403      TAX COLLECTOR COMM. ------------------------- $20
                               434      ELECTRIC COST ------------------------- $600
                                     TOTAL EXPENDITURES ------------------------- $650
                               493.990     BUDGETED RESERVES ------------------------- $800
                               TOTAL BUDGET ------------------------- $1,450