| STREET LIGHT FUND BUDGET (2008) | ||
| 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 | |