Laserfiche WebLink
~ <br /> Funds for these projects shad be provided from the following accounts of the Capital Project <br /> Fund: <br /> 2271.22 Fund Balance -Fuel Tax Increase 88-92 $ 198,273.46 <br /> 2271.25 Fund Balance -Fuel Tax Increase 94-96 $ 341,116.53 <br /> 2271.26 Fund Balance -Fuel Tax Increase 96-98 $1,747,883.18 <br /> TOTAL: $2,287,273.17 <br /> Originally heard on October 3, 2000, this measure was deferred at the Department of Public <br /> Works request, in order to familiarize some Committee Members on the fuel tax program. <br /> Some members of Your Committee expressed concerns regarding lapsed funds being <br /> reappropriated back to the originating districts. <br /> Your Committee on Finance is in accord with the purposes and intent of Bill No. 323 and <br /> <br /> recommends it pass first reading. <br /> smc <br /> A N Respectfully submitted <br /> CHUNG X ,~,fy,` <br /> ELARIONOFF X COMM FINAN E <br /> JA HSON X <br /> LE AD-TODD X <br /> PISI CHIO X <br /> SMITH X ~ <br /> TYLE X AARON S.Y. CHUM ,CHAIR <br /> YAGONG X FC REPORT NO. 3 <br /> ARAxwxl, E o.M ADOPTED: N 1 5 <br /> <br />