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