| 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 |
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