JACKSON COUNTY UUIJLJ.llJU. Oregon. Jackson County Clerk. Jackson County Board of Commissioners. Oregon State Department of Revenue
|
|
- Brooke Fields
- 5 years ago
- Views:
Transcription
1 JACKSON COUNTY Oregon Jackson County Official Records R-AF Cnt= 1 HEl.MANCD 07/28/ :11 :33 PM This is a no fee document NO FEE UUIJLJ.llJU 1, Christine Walker, Coun:y Clerk for Jackson Coun_ty, Ore~on, certify that the instri;ment identified herein w as rtcorded 1n the C1er~ records. Christine Walker - County Clerk TO: Jackson County Clerk Jackson County Board of Commissioners Oregon State Department of Revenue COUNTY OF JACKSON ) ) ST A TE OF OREGON ) ss I, Shannon Bell, Tax Collector for Jackson County, do hereby certify that the facts set forth in the attached statement are true and correct copies thereof, as the same appears on file in my office and custody. Dated in Medford, Oregon this 28 1 h day of July, 2017
2 JACKSON COUNTY Oregon Turnover Distribution Activity Report $ 272,300, $ 3,313, $ 1,737, $ 1,370, $ 572, $ 98, $ 60, $ 35, PRIOR YEARS $ 111, TOTAL DISTRIBUTION: $ 279,600,636.26
3 JACKSON COUNTY TAX COLLECTOR SUMMARY OF UNCOLLECTED BALANCES BY ROLL TYPE TRANSACTION DA TE Jun 30, 2017 Jul25,2017 YEAR REAL PERSONAL MNFCT STRUCT UTILITY TOTAL , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , ,519, ,482, , , ,012, ,714, ,647, , , ,143, ,119, ,752, , , , ,269, Total: 10,586, ,426, , ,351, ,004, Page 1
4 Year ID Name Parent ICType St. District It MS Dist% Collect Tier Type JACKSON COUNTY 100 A G $ 41,274, JACKSON COUNTY BONDS 101 A N 0 $ H EXTENSION SERVICE DIS1 102 A G $ 773, VECTOR CONTROL 110 J G $ 808, EDUCATION SERVICE DISTRIC 120 D S $ 6,606, ROGUE COMMUNITY COLLE( 130 C S $ 11,546, ROGUE COMMUNITY COLLE( 131 C N 0 $ ROGUE COMMUNITY COLLE( 132 C N $ 1,076, WHITE CITY ENHANCED LAW 140 J G $ 1,444, ROGUE VALLEY TRANSIT DIST 150 F G $ 4,386, ROGUE VALLEY TRANSIT D1S1 151 F G 0 $ WHITE CITY LIGHTING DISTRI, 160 J G $ 250, JACKSON SOIL & WATER CON 170 J G $ 943, JACKSON COUNTY LIBRARY D 180 A G $ 9,801, CITY OF ASHLAND 200 B G $ 11,165, CITY OF ASHLAND BONDS 201 B N 0 $ CITY OF ASHLAND LOCAL LEV 200 W G CITY OF ASHLAND LOCAL LEV 203 W G CITY OF BUTIE FALLS 210 B G $ 117, CITY OF CENTRAL POINT 220 B G $ 5,214, CITY OF EAGLE POINT 230 B G $ 1,692, CITY OF EAGLE POINT BONDS 231 B N 0 $ CITY OF GOLD HILL 240 B G $ 164, CITY OF GOLD HILL BONDS 241 B N 0 $ CITY OF GOLD HILL LOCAL OP 240 W G CITY OF JACKSONVILLE 250 B G $ 937, CITY OF JACKSONVILLE BOND 251 B N 0 $ CITY OF JACKSONVILLE LOCAi 250 W G CITY OF MEDFORD 260 B G $ 36,127, CITY OF MEDFORD BONDS 260 B N 0 $ CITY OF PHOENIX 270 B G $ 1,045, CITY OF PHOENIX BONDS 270 W N CITY OF PHOENIX LOCAL LEV 270 W G CITY OF ROGUE RIVER 280 B G $ 597, CITY OF ROGUE RIVER BOND~ 281 B N 0 $ CITY OF SHADY COVE 290 B G $ 204, SHADY COVE BONDS 291 B N 0 $ SHADY COVE LOCAL LEVY 290 W G CITY OF TALENT 300 B G $ 1,070, CITY OF TALENT BONDS 301 B N 0 $ ASHLAND SCHOOL DIST C S $ 22,823, ASHLAND SCHOOL DIST 5 BO 401 C N 0 $ ASHLAND SCHOOL DIST 5 LO< 402 C S 0 $ BUTIE FALLS SCHOOL DIST 9: 410 C S $ 418, CENTRAL POINT SCHOOL DIS. 420 C S $ 13,823, CENTRAL POINT SCHOOL DIS. 421 C N 0 $ EAGLE POINT SCHOOL DIST C S $ 13,060, EAGLE POINT SCHOOL DIST C N 0 $ MEDFORD SCHOOL DIST 549< 440 C S $ 48,902, MEDFORD SCH DIST 549C BO 441 W N MEDFORD SCH DIST 549C BO 442 C N 0 $ PHOENIX/ TALENT SCHOOL [ 450 C S $ 10,145, PHOENIX/ TALENT SCHOOL [ 451 C N 0 $ PINEHURST SCHOOL DIST C S $ 189, PROSPECT SCHOOL DI ST C S $ 491, PROSPECT SCHOOL DIST 59 B 471 W N ROGUE RIVER SCHOOL DIST C S $ 3,747,
5 ROGUE RIVER SCHOOL DIST: 481 C N 0 $ THREE RIVERS SCHOOL DIST L 490 C S $ 575, THREE RIVERS SCHOOL DIST C N 0 $ APPLEGATE VALLEY RFPD #9 500 E G $ 1,181, APPLEGATE VALLEY RFPD #9 501 E G 0 $ COLESTINE RURAL FIRE DIST 510 E G $ 45, JACKSON COUNTY RFPD #3 520 E G $ 12,911, EVANS VALLEY RFPD #6 530 E G $ 284, EVANS VALLEY RFPD #6 LOC.A 531 E G $ 79, LAKE CREEK RFPD 540 E G $ 94, MEDFORD RFPD #2 550 E G $ 2,051, PROSPECT FIRE DIST 560 E G $ 92, ROGUE RIVER RFPD #1 570 E G $ 1,592, ROGUE RIVER RFPD #1 BOND 571 W N ROGUE RIVER RFPD #1 OPER1 572 E G 0 $ ROGUE RIVER RFPD#l CAPITI 573 E G 0 $ SHADY COVE - TRAIL RFPD #4 580 E G $ 909, JACKSON COUNTY RFPD #5 590 E G $ 4,944, RV SEWER LIEN 700 K N $ 221, NYE DITCH USERS IMPROVEl\i 701 K N l.36e-05 $ 3, SHADY COVE SEWER LIEN 703 K N 9.88E-05 $ 28, CITY OF MEDFORD LIENS 704 K N $ 153, OR FORESTRY FIRE, SURCHAR 800 K N $ 623, OR FORESTRY FIRE, TIMBER 801 K N $ 1,237, OR FORESTRY FIRE, GRAZING 802 K N $ 228, MS OMBUDSMAN PARK REL.l 803 K G $ 78, MEDFORD URBAN RENEWAL 901 V G $ 3,041, MEDFORD URBAN RENEWAL 901 U G $ 3,392, TALENT URBAN RENEWAL SP 911 V G $ 494, TALENT URBAN RENEWAL 911 U G $ 950, JACKSON COUNTY URBAN RE 921 W G JACKSON COUNTY URBAN RE 921 W G JACKSONVILLE URBAN RENE\i 931 U G $ 381, PHOENIX URBAN RENEWAL 941 U G $ 378, CENTRAL POINT URBAN REN! 951 U G $ 203, FARM ADDITIONAL TAX 9001 Z N FORESTLAND ADDITIONAL TJ! 9002 Z N HISTORICAL ADDITIONAL TA)< 9003 Z N ERROR & CORRECTIONS 9004 Z N PENAL TY 9005 Y N OMITIED PROPERTY - REAL 9006 Z N INDUSTRIAL PENALTY 9007 Y N CURRENT YEAR DEFERRED T.A 9008 W N ERROR & CORRECTIONS 9010 Z N OMITIED PROPERTY - MS 9011 Z N PERSONAL PROPERTY PENAL Y N OMITIED PROPERTY - PERSO 9021 Z N UTILITY PENALTY 9030 Y N OMITIED PROPERTY - UTILIT' 9031 Z N PERSONAL PROPERTY LIEN 9040 Z N TAX RATE CORRECTION Z N OPEN SPACE ADDITIONAL TA 9051 Z N 1 TOTAL $ 287,032,102.53
6 Back Years, Year End Report PREVIOUS TAX ENDING TAX BALANCE BALANCE CATF Tier CATF Tier Year PPC FORE INT. TURNOVER One Two DIST. INT $ 287,032, $ 272,300, $ 7,269, $ 66, $ 20, $ 144, $ 7,263, $ $ $ 3,313, $ 4,119, $ 116, $ 35, $ 252, $ 4,220, $ 2, $ 6, $ 1,737, $ 2,714, $ 126, $ 37, $ 279, $ 2,614, $ 4, $ 10, $ 1,370, $ 1,519, $ 139, $ 43, $ 311, $ 1,384, $ 4, $ 11, $ 572, $ 938, $ 65, $ 20, $ 151, $ 888, $ 3, $ 9, $ 98, $ 798, $ 11, $ 3, $ 35, $ 203, $ 13, $ 5, $ 60, $ 133, $ 8, $ 2, $ 23, $ 153, $ 4, $ $ 35, $ 118, $ 6, $ 1, $ 13, $ 127, $ 4, $ $ 36, $ 99, $ 7, $ 2, $ 15, $ 129, $ 4, $ $ 21, $ 110, $ 4, $ 1, $ 9, $ 55, $ 3, $ - $ 12, $ 44, $ 2, $ $ 6, $ 41, $ 2, $ - $ $ 37, $ $ $ $ 32, $ 2, $ - $ 3, $ 26, $ $ $ 1, $ 24, $ 1, $ - $ 5, $ 19, $ 1, $ $ 3, $ 17, $ $ $ 14, $ $ $ 1, $ 16, $ $ $ 13, $ $ $ $ 10, $ $ $ 9, $ $ $ $ 8, $ $ $ 3, $ $ $ 2, $ 7, $ $ $ 2, $ 1, $ $ 3, $ 1, $ $ $ $ $ $ 1, Prior $ 14, $ $ 9, $ 4, $ 1, $ 11, Totals $ 304,247, $ 53, $ 45, $ 279,600, $ 18,004, $ 566, $ 173, $ 1,272,449.85
7 SUMMARY OF PROPERTY TAX COLLECTIONS FOR FISCAL YEAR ENDING June 30, 2017 (ORS ) Date July 25, 2017 County of JACKSON Office of TAXATION Contact Person JEANNE HEARD Telephone Number Date Received For Office Use Only ITEM AMOUNT OF TAXES CERTIFIED Prior Years Total For All Years 1. Total Amount Certified 275, 178, Real Property 267,834, Personal Property 7,335, Centrally Assessed by DOR (i.e. utilities, transportation, etc.) 9,662, Manufactured Structures 2,199, Total Amount Certified tax year (total of lines 2-5) 287,032, Uncollected Balance as of [includina deferred billing credits] 7,263, ,220, ,614, ,384, Amount Added to Rolls 73, Total of Lines~ 287,105, ,263, ,220, ,614, ,384, Personal Property Taxes Cancelled By Order of County Court , , , Real Property Foreclosures 13, , , , , Other Corrections, Cancellations, etc. 376, , , , , Total (Noncash) Credits (total of lines 10-12) 389, , , , , Net Taxes For Collection (line 9 less line 13l 286, ,183, ,175, ,580, ,360, Discounts Allowed 7,283, Total Taxes Collected 272,162, ,064, ,461, ,061, , Total Remainina Uncollected (line 14 less line 15 & 16) 7,269, ,119, ,714, ,519, , Percentaqe Collected minus (line 17 divided by line 14) TAXES REMAINING UNCOLLECTED AS OF Real Property 5,752, ,647, $ 1,482, $ 485, $ 70, $ 20. Personal Property 332, , , , , Centrally Assessed by DOR (i.e. utilities, transportation, etc. l 949, ,143, ,012, , , Manufactured Structures 234, , , , , Total Remaining Uncollecte d (total of lines ,269, ,119, ,714, ,519, , Unpaid Tax with Deferred Billinq Credits (ORS ) as of CATF Interest: 28.82% share from all districts /Tier One) 66, , , , , Additional CATF Interest: Additional 25% From Cities & Special Districts (Tier 2) 20, , , , Interest Distributed to Districts 144, , , , , Refund Interest Paid 7, , , , Date 888, , , , , , , , , , , , , , , , , , $ 24, , , , , , , , , , , , , , , , ,834, ,335, ,662, ,199, ,032, , ,215, , , ,320, , , , , , , , , , ,634, ,281, , ,347, , ,004, , ,586, , ,426, , ,351, , , , ,004, , , , , , ,272, , Address: dor.research@oregon.gov Mailing Address: Oregon Dept. of Revenue Research Section 955 Center St., NE Salem, OR
TABLE 4a - DETAIL OF TAXING DISTRICT LEVIES Tax Year
TABLE 4a - DETAIL OF TAXING DISTRICT LEVIES Tax Year 2018-19 COUNTY: Multnomah NOTE: Where urban renewal increment value impacts the district, report any reduced rate levies on a separate line. * If district
More information,000, ,000, ,000, , , , Property Taxes - Prior
General Ledger Budget Analysis User: Printed: Fiscal Year: vnoel 04/25/2018-10:34AM 2019 2016 2017 2018 2018 1000 General Fund 1000 Non-Departmental R10 Property Taxes 8,297,574.70 8,477,866.18 8,354,000.00
More informationCounty's Auditor's Report of Outstanding Indebtedness of the Governmental Units in Washington County, Minnesota. For the Year Ended December 31, 2017
County's Auditor's Report of Outstanding Indebtedness of the Governmental Units in Washington County, Minnesota For the Year Ended December 31, 2017 I do hereby certify that the following is a true and
More informationBROOMFIELD COLORADO...
2 0 1 6 P R O P O S E D A N N U A L B U D G E T C I T Y A N D C O U N T Y O F BROOMFIELD COLORADO............. 2 0 1 6 P R O P O S E D A N N U A L B U D G E T City and County of Broomfield, Colorado 2016
More informationHAMILTON COUNTY, OHIO. Office of the Board of Education Norwood City Schooll District January, To the County Auditor:
TAX BUDGET FY2019 HAMILTON COUNTY, OHIO Office of the Board of Education Norwood City Schooll District January, 2018 To the County Auditor: The Board of Education of said School District, hereby submits
More information0.00 2,420, ,420, ,512, , , , Property Taxes - Prior
General Ledger Budget Analysis User: Printed: Fiscal Year: vnoel 04/23/2018-2:03PM 2019 2016 2017 2018 2018 2510 Klamath Cty Library Serv Dist 5010 Library Service District R10 Property Taxes 2,400,758.62
More information2018 City Budget - General and Water Works.irp :26 PM CITY OF CROSBYTON PAGE: 1 BUDGET LISTING AS OF: APRIL 30TH, GENERAL FUND
7-23-2018 02:26 PM CITY OF CROSBYTON PAGE: 1 01 -GENERAL FUND FINANCIAL SUMMARY BUDGET REVENUE SUMMARY ALL REVENUE 895,350.00 *** REVENUES *** 895,350.00 EXPENSE SUMMARY 05-LEGISLATIVE DEPARTMENT 4,600.00
More informationRESOLUTION NOW, THEREFORE, BE IT RESOLVED BY THE BOARD OF SUPERVISORS OF THE CORKSCREW FARMS COMMUNITY DEVELOPMENT DISTRICT:
RESOLUTION 2017-08 A RESOLUTION OF THE BOARD OF SUPERVISORS OF THE CORKSCREW FARMS COMMUNITY DEVELOPMENT DISTRICT APPROVING PROPOSED BUDGET(S) FOR FISCAL YEAR 2017/2018 AND SETTING A PUBLIC HEARING THEREON
More informationCITY OF EAST TAWAS Budget
CITY OF EAST TAWAS 2017-2018 Budget Adopted June 5, 2017 REVENUE AND EXPENDITURE REPORT FOR CITY OF EAST TAWAS GENERAL FUND 101 000 000.999 TRANSFER FROM PRIOR YEAR FUNDS 82,394.00 101 000 402.000 CURRENT
More informationBUDGET FOR YEAR ENDING SEPTEMBER 30, 2018
Ordinary Income/Expense Income 40000 FRANCHISE FEES 40140 Other Franchise Fees 6,000.00 3,300.00 3,546.87 4,509.57 3,904.82 40100 Bowie Cass Electric 29,400.00 33,360.00 14,694.20 31,090.05 35,560.33 40110
More informationPalatka Gas Authority Print Itemized Budgets. Itemized Budget Version For Year / Rev&Exp Accounts / Accts Matching: * BUDGET
Page 1 of 5 0343.201 GAS SALES-RESIDENTIAL-INSIDE CITY 2017 ACT: 484,483.98 2018 FYR: 559,066.98 EST: 0.00 2019 BGT: 581,000.00 0343.202 GAS SALES-SMALL COMMERCIAL-INSIDE CI... 2017 ACT: 31,399.37 2018
More informationSubmitted Budget Report FY Submit ID:
Due Dates: Board of Trustees adopts Final Budget no later than August 25th before: computation of GF levy requirement by Cty Supt. & the fixing of district tax levies. (MCA 20-9-131) Board of Trustees
More informationVILLAGE BUDGET. FOR FISCAL YEAR June 1, May 31, 2019 VILLAGE OF FARMINGDALE NASSAU COUNTY CERTIFICATION OF CLERK
VILLAGE BUDGET FOR FISCAL YEAR June 1, 2018 - May 31, 2019 VILLAGE OF FARMINGDALE NASSAU COUNTY CERTIFICATION OF CLERK I certify that this is a true copy of the budget of the Village of Farmingdale for
More informationState-of-New-Jersey Local-Government-Services
Year: State-of-New-Jersey Local-Government-Services 2015 Municipal-User-Friendly-Budget MUNICIPALITY: 468 1605%Little%Falls%Township%4%County%of%Passaic Adopted 2 Municode: 1605 Filename: 1605_fba_2015.xlsm
More informationCAPRON TRAIL COMMUNITY DEVELOPMENT DISTRICT
CAPRON TRAIL COMMUNITY DEVELOPMENT DISTRICT ST. LUCIE COUNTY REGULAR BOARD MEETING & PUBLIC HEARING AUGUST 28, 2017 1:30 P.M. Special District Services, Inc. The Oaks Center 2501A Burns Road Palm Beach
More informationSECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2016 BUDGET ANALYSIS... 2 III. FINAL OPERATING BUDGET FUND
2017 SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2016 BUDGET ANALYSIS... 2 III. FINAL OPERATING BUDGET FUND 001... 3 IV. GENERAL FUND 001 DESCRIPTIONS... 4 V. DEBT SERVICE FUND...
More informationEngineer's Report. Main Street Business Area. Festoon Lighting and Sidewalk Cleaning Assessment District (Fiscal Year )
Engineer's Report for the Main Street Business Area Festoon Lighting and Sidewalk Cleaning Assessment District (Fiscal Year 2008-09) Prepared under the provisions of the Benefit Assessment Act of 1982
More informationOur mission is to uphold Oregon law by collecting taxes accurately and providing public service with quality and creditable standards.
Department: Tax Collector FY 2016 Proposed Budget Department Mission: Our mission is to uphold Oregon law by collecting taxes accurately and providing public service with quality and creditable standards.
More informationStatement of Financial Activities - Detailed :44 PM For the Period Ending April 30, 2018 Page 1
2018-05-01 4:44 PM For the Period Ending April 30, 2018 Page 1 REVENUES TAXATION Municipal Taxes 410-130-100 - Discount on Municipal Tax - Property (127.58) (561.91) (561.91) (127.58) (561.91) 0.00 (561.91)
More informationDepartment Mission: Mandated Services: Department Overview:
Department: Treasurer FY 2019 Proposed Budget Department Mission: Our mission is to provide financial stewardship for Klamath County by safeguarding financial resources while maximizing investment return
More informationTown of Collingwood Summarized Budget For the Year Ending December 31, 2009
General Fund Revenue Taxation - own purposes 17,819,313.57 17,143,258.00 18,930,169.00 Taxation & PIL-County & Schools 17,792,476.61 16,836,471.00 18,005,339.00 Special Area (Locals) 1,969.86 1,970.00
More informationSECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2017 BUDGET ANALYSIS... 2 III. PROPOSED OPERATING BUDGET... 3
2018 SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2017 BUDGET ANALYSIS... 2 III. PROPOSED OPERATING BUDGET... 3 IV. GENERAL FUND 001 DESCRIPTIONS... 4 V. DEBT SERVICE FUNDS... 6
More information5,288, ,288, ,790, , , ,500,
REVENUE REPORT MARCH 2009 CLOSE Page: 1 5/812009 2:00 pm For the Period: 7/1/2008 to 3/3112009 Original Bud. Amended Bud. YTD Actual CURR MTH Encumb. YTD UnencBal % Bud Fund: 01 -GENERAL FUND Dept 000.000
More informationREQUEST FOR PROPOSALS
West Q Avenue, Kalamazoo, MI P: () - F: () - www.texastownship.org REQUEST FOR PROPOSALS - Winter Snow Removal Services Proposals The Charter Township of Texas, Kalamazoo County Michigan, is requesting
More informationIncome Statement June 2018
Income Statement June 2018 Page 1 of 1 12:22:05 pm REVENUES Apr 2018 May 2018 Jun 2018 Year Total Budget Pct 4010 ASSESSMENTS - CURRENT YEAR 0.00 1,267.84 277.48 67,835.38 69,554 98 4015 MARSH RESTORATION
More informationOctober 2018 Monthly Financial Statements
October 2018 Monthly Financial Statements Prepared by City Treasurer s Office 11.5.2018 CASH AND INVESTMENTS BY FUND October 31, 2018 GENERAL FUND 10-100000 CASH AND INVESTMENTS 2,148,760 10-100050 SPECIAL
More information1000 General Fund 1030 Tax Collector Licenses, Fees and Permits Fees - NSF Check
General Ledger Budget Analysis User: Printed: Fiscal Year: vnoel 04/23/2018-2:13PM 2019 2016 2017 2018 2018 1000 General Fund 1030 Tax Collector R20 Licenses, Fees and Permits 0.00 0.00 0.00 0.00 1031-1000-41010Fees
More informationSECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2017 BUDGET ANALYSIS... 2 III. FINAL OPERATING BUDGET... 3
2018 SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2017 BUDGET ANALYSIS... 2 III. FINAL OPERATING BUDGET... 3 IV. GENERAL FUND 001 DESCRIPTIONS... 4 Background Information The Four
More informationR E V E N U E *TOTAL LOCAL REVENUE 1,416,465.82CR 263,415.04CR 491,162.82CR 925,303.00CR 19% 35%
*** BUDGET REPORT *** SUGAR-SALEM SCHOOL DIST #322 MO-YR: 01-2017 01/31/17 PAGE 1 (Rprt: 01-BUDGET; Dates: 00/00/00-01/31/17; PRINT: 02/01/17 12:17:00 PM) R E V E N U E 100-320000-000-000-0 BEGINNING BUDGET
More informationR E V E N U E *TOTAL LOCAL REVENUE 1,416,465.82CR 10,777.07CR 497,760.25CR 918,705.57CR 1% 35%
*** BUDGET REPORT *** SUGAR-SALEM SCHOOL DIST #322 MO-YR: 02-2017 02/28/17 PAGE 1 (Rprt: 01-BUDGET; Dates: 00/00/00-02/29/17; PRINT: 03/02/17 2:05:08 PM) R E V E N U E 100-320000-000-000-0 BEGINNING BUDGET
More informationR E V E N U E *TOTAL STATE REVENUE 7,583,810.00CR 2,933.59CR 7,338,169.19CR 245,640.81CR 0% 97%
*** BUDGET REPORT *** SUGAR-SALEM SCHOOL DIST #322 MO-YR: 06-2015 06/30/15 PAGE 1 R E V E N U E 100-320000-000-000-0 BEGINNING BUDGET BALANCE 95,254.98CR 0.00 0.00 95,254.98CR 0% 0% 100-411100-000-000-0
More informationWASHTENAW COUNTY 2018 APPORTIONMENT REPORT
WASHTENAW COUNTY 2018 APPORTIONMENT REPORT IN COMPLIANCE WITH PUBLIC ACT 35 OF 2001 Prepared by: Washtenaw County Equalization Department Raman Patel, Director 2 ANALYSIS OF TAXABLE VALUATIONS AND MILLS
More informationIBERIA PARISH GOVERNMENT GENERAL FUND FROM JAN 2018 TO JUNE 2018
IBERIA PARISH GOVERNMENT GENERAL FUND FROM JAN 2018 TO JUNE 2018 411101 ADV TAX - GNRL ALIMONY -1,707,975.00 0.00-1,707,975.00 0.00 0.00-1,707,975.00 0.00% 414101 ALCOHOLIC BEVERAGES -14,800.00 0.00-14,800.00-2,867.37
More informationVilla Monterey Improvement Association 2018 Annual Audit Scottsdale, Arizona
2018 Annual Audit Scottsdale, Arizona Performed By Rick Morine March 25, 2019 Arizona Revised Statute (A.R.S.) 33-1810 requires the board of directors provide for an annual audit of an association s financial
More informationTown of Williamston Trial Balance
001 Debits Credits 001 000 1000 FIRST CITIZENS CHECKING 3,855,837.38 0.00 001 000 1012 BB&T CD 10/08 Maturity 1-21-09 103,253.78 0.00 001 000 1013 Court Fines 4,326.44 0.00 001 000 1015 Upstate Federal
More informationCITY OF OSAGE BEACH. Financial Statements
CITY OF OSAGE BEACH Financial Statements June 30, 2018 CASH AND INVESTMENTS BY FUND June 30, 2018 GENERAL FUND 10-100000 CASH AND INVESTMENTS 1,966,171 10-100050 SPECIAL POLICE PROJECTS 5,321 10-100141
More information9/27/2018 9:03 AM Budget History Tentative of 14
BUDGET REPORT TOWN OF CUBA 2019 GENERAL FUND - TOWNWIDE A1001 PROPERTY TAXES 720,403.00 754,132.00 792,628.00 792,628.00 822,628.00 A1081 PAYMENT IN LIEU OF TAXES 1,790.00 1,652.00 1,600.00 3,751.00 2,500.00
More informationSheet1. Total Unreserved Net Assets/Retained Earnings
WYSOX TOWNSHIP GENERAL FUND BUDGET Fund 01 2015 EQUITY 289.000 Unreserved Net Asset/Retained Earnings 289.990 Unreserved Retained Earnings 650303.44 Total 289.000 Unreserved Net Assets/Retained Earnings
More informationChecking private survey maps for compliance with Oregon statutes and file them in the Surveyor s Office as public records.
Department: Surveyor FY 2019 Proposed Budget Department Mission: To provide the citizens an organized facility to research the surveying records and to provide for the safe keeping of the public records
More informationTown of Southwest Ranches Statement of Revenues and Expenditures From 10/1/2010 Through 12/31/2010. Current Year Actual Prior Year Actual
01 - General Fund s 0 Ad Valorem Taxes 311000 2,951,391.73 3,149,911.30 4,225,184.00 (1,273,792.27) Franchise Fee-Electric 313100 0.00 102,088.65 565,000.00 (565,000.00) Solid Waste Franchise Fee 313700
More informationThe assessor s office has two main components, that of front office, (tech/support staff) and secondly the appraisal/sales data staff.
Department: Assessor FY 2017 Proposed Budget Department Mission: The Klamath County Assessor s Office provides efficient, courteous and professional service and information to the public while effectively
More informationIBERIA PARISH GOVERNMENT GENERAL FUND FROM JAN 2018 TO DEC 2018
IBERIA PARISH GOVERNMENT GENERAL FUND FROM JAN 2018 TO DEC 2018 411101 ADV TAX - GNRL ALIMONY -1,707,975.00 0.00-1,707,975.00-1,630,243.52 0.00-77,731.48 95.40% 414101 ALCOHOLIC BEVERAGES -14,800.00 0.00-14,800.00-14,226.59
More informationVILLAGE OF JAMAICA BEACH GENERAL FUND BUDGET FY
Ordinary Income/Expense Income NON-BUDGETED REVENUE 603 TAX-COURT FINES 0.00 604 MULTIUSE FEES-COURT 5,000.00 604A COLLECTION AGCY FEES-COURT 0.00 604B LEA 2,000.00 605A MCBS-COURT 0.00 605B MUNI COURT
More informationCITY OF OSAGE BEACH. Financial Statements
CITY OF OSAGE BEACH Financial Statements February 28, 2018 CASH AND INVESTMENTS BY FUND February 28, 2018 GENERAL FUND 10-100000 CASH AND INVESTMENTS 2,085,034 10-100050 SPECIAL POLICE PROJECTS 5,317 10-100141
More informationMinutes for June 4, 2018 Special City Council Meeting
Minutes for June 4, 2018 Special City Council Meeting The special meeting of the Eureka City Council was called to order on June 4, 2018, at 5:35 p.m. by Mayor Miller in the council room of the Municipal
More informationFINAL PROJECT PLAN TAX INCREMENT DISTRICT #66 MORNINGSTAR. Prepared by the
PROJECT PLAN TAX INCREMENT DISTRICT #66 MORNINGSTAR Prepared by the Rapid City Growth Management Department January 17, 2008 INTRODUCTION Tax Increment Financing is a method of financing improvements and
More informationJ.S. Vaughan Professional Business Support Services 3251 Prices Fork Blvd. Apt. 108 Suffolk VA
J.S. Vaughan Professional Business Support Services 3251 Prices Fork Blvd. Apt. 108 Suffolk VA 23435 jsvpbss@charter.net 2019 Price List Form Name Per Item Per Form Form Description Form 1040 0.00 $ 200.00
More informationSECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2017 BUDGET ANALYSIS... 2 III. PROPOSED OPERATING BUDGET... 4
2018 SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2017 BUDGET ANALYSIS... 2 III. PROPOSED OPERATING BUDGET... 4 IV. GENERAL FUND 001 DESCRIPTIONS... 6 V. DEBT SERVICE FUNDS... 9
More informationGASB 34. Basic Financial Statements M D & A
GASB 34 Basic Financial Statements M D & A In June 1999, the Governmental Accounting Standards Board issued Statement No. 34 (GASB 34) which fundamentally changed the financial reporting model for state
More informationGardens I Of St. Andrews Park Association, Inc.
Gardens I Of St. Andrews Park Association, Inc. Managed by: Argus Management of Venice, Inc. 181 Center Road Venice, FL 34285 Office: (941) 408-7413 Fax: (941) 408-7419 Association Manager: Melissa Moritz
More informationCurrent Year Rev. to Date (Per Receipts Report-excluding Refunds & including any Deposits in Transit) + 663, ,682.
Previous Year 06/30/2017 OPERATIONAL TEACHERAGE TRANSPORTATION INST. MATERIALS FOOD SERVICES ATHLETICS NON-INSTRUCT. Report ending date 09/30/2017 FUND FUND FUND FUND FUND FUND FUND 11000 12000 13000 14000
More informationTown of Williamston Revenue & Expense - Detail January 31, 2019 Revenues
Revenues 001 000 4000 PROPERTY TAXES - CURRENT 411,099.17 703,421.43 983,500.00 280,078.57 001 000 4010 PROPERTY TAXES - DELINQUENT 1,001.32 108,417.11 35,000.00 (73,417.11) 001 000 4030 MOTOR VEHICLE
More informationn of C ntolt ihifl DEPARTMENT OF FINANCE
JAMES R. MURGIA FINANCE DIRECTOR jmurgia@town.canton.ma.us (781) 575-6612 TO: FROM: Board of Selectmen Jim Murgia, Finance Director n of C ntolt ihifl DEPARTMENT OF FINANCE MEMORIAL HALL 801 WASHINGTON
More informationDeschutes County Property Information
Deschutes County Property Information Report Date: 1/25/2015 3:11:23 PM Disclaimer The information and maps presented in this report are provided for your convenience. Every reasonable effort has been
More informationBEFORE THE BOARD OF COUNTY COMMISSIONERS OF LANE COUNTY, OREGON
BEFORE THE BOARD OF COUNTY COMMISSIONERS OF LANE COUNTY, OREGON ORDER NO. 18-05-22-06 IN THE MATTER OF SURRENDER OF A PORTION OF COAST GUARD STATION ROAD (COUNTY ROAD NUMBER 65) AND A PORTION OF S. HARBOR
More informationKlamath County, Oregon Budget Presentation
Klamath County, Oregon 2015-2016 Budget Presentation The Klamath County budget is composed of three basic units: major program categories, departments/ funds, and in some cases subprogram. General Government
More informationBFMEXMTH 2013/04/30 16:36:12 WASHINGTON COUNTY AUDITOR Page: 1. Expense Account Report w/ MTD AS OF: 04/30/2013
BFMEXMTH 2013/04/30 16:36:12 WASHINGTON COUNTY AUDITOR 5.4.0 Page: 1 0100 COMMISSIONERS 100-0100-51000 SALARIES OFFICIALS 166,572.00 12,813.24 51,252.96 0.00 115,319.04 69 100-0100-51001 SALARIES EMPLOYEES
More informationDOWNTOWN COMMUNITY IMPROVEMENT DISTRICT Bank Account Reconciliation Worksheet Current FY Funds Reference Date GL Account Description Amount Bank Statement Information Beginning Bank Balance 91,539.39 Cleared
More informationUxÇàÉÇ VÉâÇàç Washington
UxÇàÉÇ VÉâÇàç Washington Monthly Financial Report July, 2018 Financial Report Prepared by the Benton County Auditor s Office County Auditor: Brenda Chilton Chief Accountant: Van H. Pettey, CPA, MBA Financial
More information:47 PM HUTCHINSON COUNTY PAGE: 1 REVENUE REPORT (UNAUDITED) AS OF: SEPTEMBER 30TH, GENERAL FUND % OF YEAR COMPLETED: 100.
10-05-2017 03:47 PM HUTCHINSON COUNTY PAGE: 1 10 -GENERAL FUND 10-310-1100 AD VALOREM TAXES, CURRENT 11,968,896 25,632.30 11,807,777.04 0.00 161,119.22 98.65 10-310-1101 AD VALOREM TAXES, DELINQUEN 150,000
More informationCITIZENS BOND OVERSIGHT COMMITTEE Meeting Minutes August 22, Vice Chairman Mike Kreeger called the meeting to order at 5:31 p.m.
CHINO VALLEY UNIFIED SCHOOL DISTRICT Facilities, Planning, and Operations Division Greg Stachura, Assistant Superintendent Phone (909) 628-1201, Ext. 1200 Fax (909) 548-6034 CITIZENS BOND OVERSIGHT COMMITTEE
More informationCALENDAR YEAR 2017 BUDGET SOUTHEASTERN WISCONSIN REGIONAL PLANNING COMMISSION. P.O. Box 1607 W239 NI 812 Rockwood Drive Waukesha, Wisconsin
CALENDAR YEAR 2017 BUDGET SOUTHEASTERN WISCONSIN REGIONAL PLANNING COMMISSION P.O. Box 1607 W239 NI 812 Rockwood Drive Waukesha, Wisconsin 53187-1607 Telephone: (262) 547-6721 Adopted by the Commission
More informationLakeshore Landing Homeowners Association. Budget for Fiscal Year June 2013-May 2014
Lakeshore Landing Homeowners Association Budget for Fiscal Year June 2013-May 2014 PROPOSED INCOME 2013-2014 PROPOSED EXPENSE 2013-2014 PROPOSED RESERVES CLASS Common Fees $44,280 $30,375 $13,905 East
More informationButte County Board of Supervisors Agenda Transmittal
Clerk of the Board Use Only Butte County Board of Supervisors Agenda Transmittal Agenda Item: 3.03 Subject: County Service Area Service and Permanent Road Division Charges for Fiscal Year 2013-14 Department:
More informationCase GLT Doc 1037 Filed 08/30/17 Entered 08/30/17 09:45:30 Desc Main Document Page 1 of 5
Case 17-22045-GLT Doc 1037 Filed 08/30/17 Entered 08/30/17 09:45:30 Desc Main Document Page 1 of 5 IN THE UNITED STATES BANKRUPTCY COURT FOR THE WESTERN DISTRICT OF PENNSYLVANIA In re: rue 21, inc., et
More informationGENERAL FUND TOWNWIDE Revenues: A1001 Property Taxes 396,805.00 396,805.00 396,805.00 396,805.00 0.00 A1081 Payment in Lieu of Taxes 23,000.00 23,000.00 12,378.19 596.99 12,975.18-10,024.82 A1090 Int.
More informationORDINANCE NO
ORDINANCE NO. 174421 VAN NUYS CENTRAL BUSINESS DISTRICT COMMUNITY DESIGN OVERLAY PERMANENT [Q] CONDITIONS ORDINANCE An ordinance AMENDING Section 12.04 of the Los Angeles Municipal Code by amending the
More informationKlamath County, Oregon Budget Presentation
Klamath County, Oregon 2018-2019 Budget Presentation The Klamath County budget is composed of three basic units: major program categories, departments/ funds, and in some cases subprogram. General Government
More informationCITY OF SEVEN HILLS OFFICE OF THE DIRECTOR OF FINANCE CURRENT YEAR DETAILED APPROPRIATIONS AND EXPENDITURES FOR THE MONTH ENDING December 31, 2015
PAGE 001 GENERAL FUND POLICE: PATROL 112-PERSONAL 2,024,255.58 $ 251,596.99 2,038,576.81 $ 0.00 $ -0.6% 112-0THER 308,937.00 5,918.41 257,559.95 48,329.33 3,047.72 1% 112-TRANSFERS OUT 0.00
More informationFinancial Review. No member of the Board of Directors has reported accepting any gifts or incentive from any vendor contracted by the association.
Financial Review In accordance with NRS 116.31083, the financial statements for La Jolla Classic HOA for the month ending March 31st, 2015 have been provided to the Board of Directors by Mesa Management,
More informationCOUNTY VOTED ONE CENT GAS TAX COUNTY TRANSPORTATION TRUST LIBRARY
COMBINING STATEMENT OF,, AND C Page 1 of 7 COUNTY VOTED ONE CENT GAS TAX COUNTY TRANSPORTATION TRUST LIBRARY ) Taxes $ 2,300,000 2,315,042 15,042 7,280,000 7,327,461 47,461 8,250,846 8,341,344 90,498 Intergovernmental
More informationGardens I Of St. Andrews Park Association, Inc.
Gardens I Of St. Andrews Park Association, Inc. Managed by: Argus Management of Venice, Inc. 181 Center Road Venice, FL 34285 Office: (941) 408-7413 Fax: (941) 408-7419 association manager: Melissa moritz
More informationName of Applicant Mailing Address address Telephone Number
District Court, Water Division, Colorado Court Address: CONCERNING THE APPLICATION FOR WATER RIGHTS OF Applicant: In the River or its Tributaries In COUNTY Attorney or Party Without Attorney (Name and
More informationANNUAL FINANCIAL STATEMENT FOR THE YEAR 2017 (UNAUDITED)
ANNUAL FINANCIAL STATEMENT FOR THE YEAR 2017 (UNAUDITED) POPULATION LAST CENSUS 14,473 NET VALUATION TAXABLE 2017 3,478,957,200 MUNICODE 0248 FIVE DOLLARS PER DAY PENALTY IF NOT FILED BY: COUNTIES JANUARY
More informationCITY OF SEVEN HILLS OFFICE OF THE DIRECTOR OF FINANCE CURRENT YEAR DETAILED APPROPRIATIONS AND EXPENDITURES FOR THE MONTH ENDING December 31, 2018
PAGE 001 GENERAL FUND POLICE: PATROL 112-PERSONAL 2,594,667.25 $ 238,555.64 2,086,948.27 $ 0.00 $ 507,718.98 19.6% 112-0THER 509,581.41 5,357.20 387,792.22 85,450.37 36,338.82 7.1% 112-TRANSFERS OUT 0.00
More informationCITY OF SEVEN HILLS OFFICE OF THE DIRECTOR OF FINANCE CURRENT YEAR DETAILED APPROPRIATIONS AND EXPENDITURES FOR THE MONTH ENDING August 31, 2018
PAGE 001 GENERAL FUND POLICE: PATROL 112-PERSONAL 2,326,186.36 $ 152,351.58 1,427,167.46 $ 55,516.82 $ 843,502.08 36.3% 112-0THER 427,540.04 17,954.13 321,938.98 78,936.82 26,664.24 6.2% 112-TRANSFERS
More informationCITY OF SEVEN HILLS OFFICE OF THE DIRECTOR OF FINANCE CURRENT YEAR DETAILED APPROPRIATIONS AND EXPENDITURES FOR THE MONTH ENDING October 31, 2018
PAGE 001 GENERAL FUND POLICE: PATROL 112-PERSONAL 2,326,186.36 $ 63,702.87 1,640,761.23 $ 52,633.26 $ 632,791.87 27.2% 112-0THER 427,540.04 19,133.95 362,966.31 51,203.59 13,370.14 3.1% 112-TRANSFERS OUT
More informationBUILDING AND SAFETY FEE SCHEDULE (Effective July1, 2013)
BUILDING AND SAFETY DIVISION TELEPHONE (949) 724-6300 BUILDING AND SAFETY FEE SCHEDULE (Effective July1, 2013) Payment: When a plan is required by the Administrative Authority to be submitted, a plan check
More informationOregon Network Analysis
PPO Network One Union Square 600 University Street, Suite 1400 Seattle, WA 98101 PPO Network: (800) 231-6935 Corporate: (800) 467-5281 wwwfchncom Network Analysis Fourth Quarter, 2015 A report on the providers
More informationHonorable Mayor and Members of the City Council
TO: ATTENTION: FROM: SUBJECT: Honorable Mayor and Members of the City Council Jeffrey L. Stewart, City Manager Len Gorecki, Director of Public Works Jerry Stock, City Engineer Public Hearing to Consider
More informationWHEREAS, the City of Eunice hereinafter referred to as the Municipality, is a
RESOLUTION NO. 31 S WHEREAS, the City of Eunice hereinafter referred to as the Municipality, is a member of and desires the services of the Southeastern New Mexico Economic Development District/COG, and
More informationCity of Eagleville Budget Presentation Fiscal Year 2018
City of Eagleville Budget Presentation Fiscal Year 2018 Work Sessions: March 9, 2017: March 23, 2017: April 13, 2017: General Fund Revenue Estimates Parks & Recreation State Street Aid Revenue and Expenses
More informationDepartment Mission: Non-Mandated Services: TITLE 33
Department: Veterans FY 2019 Proposed Budget Department Mission: To give aid and assistance to any veteran, the spouse or dependents of the veteran or the survivors of the veteran in applying for all benefits
More informationBudget Issues. Agenda for tonight
Agenda for tonight Budget Issues Review of requested positions Discussion of Recreation Fees Discussion of Utility Rates Review of Salary & Benefits Review of Capital Projects/Equipment Other issues Questions
More informationCITY OF ROMAN FOREST Budget
CITY OF ROMAN FOREST Budget October 2011 through September 2012 Oct '11 - Sep 12 Ordinary Income/Expense Income 51000 CARRYOVER FROM PREVIOUS BUDGET 51100 CARRYOVER - BUDGET 11,117.00 51200 UNDESIGNATED
More informationAmount Collected YTD 5/31/ /2016 Projected Year End
CITY OF JUSTIN FY 2016-2017 BUDGET Revenues Collected % Change Previous Fiscal Year TAXES Property Tax 1,339,550.00 1,488,984.00 1,470,951.03 1,510,951.03 0.00 1,589,207.00 Sales Tax 603,194.81 525,000.00
More information2000 PROPERTY AND CASUALTY TARGET MARKET CONDUCT EXAMINATION VESTA INSURANCE CORPORATION THE FLORIDA DEPARTMENT OF INSURANCE
2000 PROPERTY AND CASUALTY TARGET MARKET CONDUCT EXAMINATION OF VESTA INSURANCE CORPORATION BY THE FLORIDA DEPARTMENT OF INSURANCE Filed Date: 3-16-01 TABLE OF CONTENTS PART SUBJECT PAGE NUMBER I. INTRODUCTION
More informationCITY OF BLANCHARD FEE SCHEDULE. Fiscal Year Operational Budget
CITY OF BLANCHARD FEE SCHEDULE Fiscal Year 2016-2017 Operational Budget FEE DESCRIPTION FYE2016 FYE2017 A. ADMINISTRATIVE FEES 1. Collection Fee 35% 35% 2. Sales Tax 3% 3% 3. Dedicated Sales Tax (Capital)
More informationDepartment Mission: Mandated Services: Department Overview: Successes and Challenges:
Department: Law Library FY 2018 Proposed Budget Department Mission: The Lloyd De Lap Klamath County Law Library is dedicated to providing legal research material to members of the bar and the community
More informationStatement of Financial Activities - Detailed :48 PM For the Period Ending December 31, 2017 Page 1
2018-01-08 3:48 PM For the Period Ending December 31, 2017 Page 1 REVENUES TAXATION Municipal Taxes 410-110-100 - General Municipal Levy 313,469.46 313,308.00 161.46 100.05 410-120-100 - Abatements and
More informationCITY OF PAPILLION PLANNING COMMISSION STAFF REPORT MAY 27, 2015 AGENDA 2015 ANNEXATION MISC
PLANNING COMMISSION STAFF REPORT MAY 27, 2015 AGENDA 2015 ANNEXATION MISC-15-0005 I. GENERAL INFORMATION A. APPLICANT: City of Papillion 122 East Third St. Papillion, NE 68046 B. LEGAL DESCRIPTION: See
More informationThe Climate of Oregon Climate Zone 3 Southwest Interior
.k) 105 Unbound issue " " 1 4oes not circulate C4P. Special Report 915 May 1993 The Climate of Oregon Climate Zone 3 Southwest Interior Property of OREGON STATE UNIVERSITY Library Serials Corvallis, OR
More informationCity of Brook Park, OH Revenue Report
100 General Fund General Property Taxes 100.000.41101 REAL ESTATE TAX 1,542,871.00 0.00 788,873.58 753,997.42 51.13% 100.000.41102 TANGIBLE PERSONAL PROPERTY 0.00 0.00 0.00 0.00 0.00% 100.000.41103 INTANGIBLE
More informationTOWN OF NEW WINDSOR PRELIMINARY BUDGET
PRELIMINARY BUDGET - 2019 Attached is the Town's 2019 Preliminaiy Budget The preliminary budget indicates that the overall property tax bill (for the Town of New Windsor portion, excluding fire districts)
More informationAPPLICATION TO AMEND THE FUTURE LAND USE MAP (FLUM) SMALL SCALE
DEPARTMENT OF DEVELOPMENT & PLANNING 825 Ohio Avenue - Lynn Haven, FL 32444 (850) 265-2961 - (850) 265-3478 APPLICATION TO AMEND THE FUTURE LAND USE MAP (FLUM) SMALL SCALE Deadline to submit is 30 days
More informationGRAND HAVEN CHARTER TOWNSHIP BOARD MONDAY, JULY 27, 2015
GRAND HAVEN CHARTER TOWNSHIP BOARD MONDAY, JULY 27, 2015 WORK SESSION 6:00 P.M. 1. Review Three-Year Budget & Projections of Fund Balances (or Cash Reserves) 2. Summary/Impact of GHT Plans on 2016 Budget
More informationTown of Southwest Ranches Statement of Revenues and Expenditures From 10/1/2011 Through 12/31/2011. Current Period Actual
01 - General Fund Revenue Ad Valorem Taxes 311000 3,007,200.12 4,102,334.00 (1,095,133.88) Franchise Fee-Electric 313100 56,486.83 490,000.00 (433,513.17) Solid Waste Franchise Fee 313700 0.00 35,000.00
More informationStatement of Financial Activities - Detailed 13/12/2018 1:15 PM For the Period Ending 30/11/2018 Page 1
13/12/2018 1:15 PM For the Period Ending 30/11/2018 Page 1 REVENUES TAXATION Municipal Taxes 410-110-100 - General Municipal Levy 938,913.13 950,382.00 (11,468.87) 1.21-410-120-100 - Abatements and Adjustments
More informationBridging between organizations for effective water resource management;
Bridging between organizations for effective water resource management; a look at a stakeholder network in water governance issues of a rural subbasin aren Trebitz hd student, Water Resources, law, mgt.,
More informationIllinois Heartland Library System Statement of Revenues and Expenditures Fund #10 - General Fund. YTD Budget (07/01/ /31/2019)
Fund #10 - General Fund Attachment 5.1 - IHLS Percentage b State Grants 549,978.11 1,209,700.32 2,550,525.21 (1,340,824.89) 3,400,700.32 (2,191,000.00) (64.43)% 3,400,700.32 Fees for Services and Materials
More information