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December 2018 Monthly Financial Report
Month 237,802$ Deposits 1,428,280 Disbursements (534,255) Cash Balance, End of Month 1,131,827$ Invested ... Revised Budget Revised Budget Expenditures: Road & Streets: Capital Outlay 2,280$ 2,280$ 207,000$ ... 207,000$ 204,720$ 1.1% Total Expenditures 2,280$ 2,280$ 207,000$ 207,000$ 204,720$ 1.1% (2,210)$ 54,889 ...
02/08/2019 - 2:18pm
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January 2019 Monthly Financial Report
Outlay-$ 2,280$ 207,000$ 207,000$ 204,720$ 1.1% Total Expenditures-$ 2,280$ 207,000$ 207,000$ 204,720$ 1.1% ...
02/11/2019 - 7:56am
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January 2022 Town Manager's Report
280 and HB 403 will make it nearly impossible for the Town to adopt an ordinance without significant ...
01/13/2022 - 10:04am
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Financial Reports 2017
10,179 44,095 70,375 70,375 26,280 62.7% Road & Streets: Operating 7,366 33,943 52,875 52,875 18,932 ... 81,697 1,057,114 886,000 886,000 171,114 119.3% Hypoluxo Village Water 20,969 280,545 278,400 278,400 ...
10/01/2018 - 12:32pm
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Financial Audit 2012
Accrued interest payable 19,059 40,072 59,131 Deposits payable from restricted assets 222,280 222,280 ... 222,280 Total current liabilities 922,187 Non-current liabilities Notes payable 2,181,216 Other ...
10/01/2018 - 12:05pm
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Financial Audit 2011
Financial Audit 2011 Image Slideshow Display Contact Info Block Web Page Menu Settings Financial Audit 2011 ...
10/01/2018 - 12:06pm
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Financial Audit 2010
145,824$ 10,396$ Public safety 1,335,102 55,004 2,280 Highways and streets 228,543 Physical environment ...
10/01/2018 - 12:07pm
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Financial Audit 2013
Financial Audit 2013 Image Slideshow Display Contact Info Block Web Page Menu Settings Financial Audit 2013 ...
10/01/2018 - 12:04pm
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Financial Audit 2015
Financial Audit 2015 Image Slideshow Display Contact Info Block Web Page Menu Settings Financial Audit 2015 ...
10/01/2018 - 12:02pm
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Financial Audit 2014
Financial Audit 2014 Image Slideshow Display Contact Info Block Web Page Menu Settings Financial Audit 2014 ...
10/01/2018 - 12:03pm