FUND PERCENT OF BUDGETED AMOUNT 2008
CURRENT EXPENSE 1,410,000
STREETS 742,500
WATER/SEWER 1,887,500
FIRE DEPT. RESERVE 71,000
PARK RESERVE 77,000
POLICE RESERVES 74,000
TOURISM FUND 48,500
LONG TERM DEBT 227,000
CAP IMP FUNDS 323,000
CLEARING FUNDS 0
   
TOTAL FUNDS $4,860,500