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1992-06-15W&S Exhibits Revenue Source Charges for Service Operating Transfer~:(; Appropriated ft.:JfTtf'S'alance Interest Total Revenues ~ Water and Sewer District Fund 8 $ $ Amount 3,279,079 2,225,084 1,621,978 80,000 7.206.141 ~ Section 3: It is estimated that the following Water and Sewer District Fund revenues will be available during the fiscal year beginning July 1, 1992, and ending June 30, 1993, to meet the foregoing Water and Sewer District Fund appropriations: Section 2: Fund the sum of: $ 7.206 141 For Section 1: The following amount is hereby appropriated for the operation of New Hanover County Water and Sewer District and its activities for the fiscal year beginning July 1, 1992, and ending June 30, 1993, according to the following schedule: said fiscal year there is hereby appropriated out of the Water and Sewer District BE IT ORDAINED session assembled: by the New Hanover County North Carolina, Water and Sewer District in special NEW HANOVER COUNTY, NORlH CAROLINA WATER AND SEWER DISTRICT 1992-93 BUDGET ORDINANCE . WATER AND SEWER DISTRICT Section 4: Copies of this Budget 0 rdinance shall be furnished to the Finance Director of the New Hanover County, North Carolina, Water and Sewer District, to be kept on file by him for his direction in the collection of revenues and expenditures of amounts appropriated. Section 5: That appropriations herein authorized and made shall have the amount of outstanding purchase orders as of June 30, 1992, added to each appropriation as it appears in order to account for the payment aganst the fiscal year in which it is paid, '" ADOPTED. this 15th day of June, 1992 / (b~9c~~ Jonathan Barfield, Sr., Chairman Water and Sewer District 9