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June 17, 1996 <br />Page 6 of 7 <br />Internal Service Funds <br />687 - Building Facilities and Maintenance $ 1,5759000 <br />688 - Information Management Services 2,020,000 <br />689 - Self Insurance 1,639,072 <br />690 - Garage Revolving 1,660,500 <br />Transfers <br />In/Out - <br />TRANSFER FROM FUND BALANCE TO RESERVES <br />120 - STREET/TRAFFIC IMPROVEMENTS FUND <br />2730 Reserve/Development Fees ($ 355,000) <br />210 - CAPITAL IMPROVEMENTS FUND <br />2715 Reserve/Parking Lot Improvements ( 160,000) <br />2718 Reserve/Fire Equipment Acquisition ( 100,000) <br />2719 Reserve/Capital Improvement Projects ( 50,000) <br />( 310,000) <br />593 - WATER POLLUTION CONTROL FUND <br />2722 Reserve/Sewer Line Replacement ( 325,000) <br />