Notice of School Meeting
14. Other Sources -...............................................................
.........................
...................... ........ ...............
1R Fatima to*d Tntal RoKM»inta
100.00
100.00
....................................... 8
10. Estimated Available Cash Balance or Deficit.
>■
28.719.84
20,719.84
17. Estimated Total Receipts and Vailable Cash Balance or Deficit................. .........
............ ............. . 8
05,289.84
9
05,289.84
Give Yearly
Totals
8
3,307.90
8 38,000.00
8 37,75433
3
5,230.00
3 30.373.93
3 11300 00
790.00
13J00.Ò0
3
3400 00
a,
.ninA ■
EMERGENCY
3
2409.00
Total flrhitsTi n—General F*nd—Total estimated expenses for the
year—sum of items 1-3, II-0, III-7, IV-8, V-4, VII-4, VIII-7, X-3, X
3107,594.90
3
X.
133400
8
4329.00
3
2,084.95
0,014.87
8
2,000.00
•
8 99,709.55
3
3 59470.11
3 74,473.54
0,47230
hospital for a few days again. Her
condition is a little Improved at this
writing.
«,
Total AH
Genera) Fund
Total Schedule II
3 113,803.90
3
Analysis of estimated tax levies:
Amount inside t% limitation
Amount^mtside 0% limitation
.3
Amount of bonded indebtedness (include all
negotiable interest-bearing warrants issued
under .section 111-1010, O.CLA.) ____
3 31304.38
45,329.12
4,219.00
51340.13
8 57,010.03