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  1. Schedule of Taxes by Business

    Residential $154.35 Electrical $77.18 Plumbing $77.18 Painting $77.18 Sign $77.18 Street Paving $77 ... .18 Underground Utility $154.35 Well Drilling $77.18 All Others not specified  $77.18 HVAC $77.18 Day care, child ... dealers; Service filling stations (a) Without repairs $66.15 (b) Including minor repairs   $77 ...

    01/13/2021 - 9:14am

  2. Proposed Budget Summary 2022-2023

    $260,000 Intergovernmental Revenues $1,141,000 Charges for Services $77,000 Fines and Forfeitures $18,600 ...

    08/30/2022 - 8:37am

  3. Adopted Budget Summary 2022-2023

    Intergovernmental Revenues $1,141,000 Charges for Services $77,000 Fines and Forfeitures $18,600 Miscellaneous ...

    09/28/2022 - 9:47am

  4. ADOPTING A BUDGET FOR FISCAL YEAR 2022/2023 AND PROVIDING FOR AN EFFECTIVE DATE

    Services $77,000 Fines and Forfeitures $18,600 Miscellaneous Revenues $138,000 Non-Revenues $817,500 TOTAL ...

    09/28/2022 - 9:27am

  5. June 2018 Monthly Financial Report

    573,400 573,400 (131,449) 77.1% Seminole Manor Water 69,085 718,682 961,000 961,000 (242,318) 74.8% ... 269,400 269,400 (63,543) 76.4% Total Revenues 227,369$ 2,232,730$ 2,897,000$ 2,897,000$ (664,270)$ 77 ...

    02/08/2019 - 2:24pm

  6. April 2018 Monthly Financial Report

    77.6% NOTES: Schedule Of Revenues, Expenditures, And Changes In Fund Balance For the Eight Months Ended ... 49.6% Capital Outlay- 4,953 60,000 60,000 55,047 8.3% Law Enforcement: Personal Services 77,697 595,101 ...

    02/08/2019 - 2:27pm

  7. Financial Reports 2017

    684,595 886,000 886,000 201,405 77.3% Hypoluxo Village Water 25,263 185,380 278,400 278,400 93,020 66.6% ... 15,000 5,480 63.5% Franchises 11,805 148,091 190,000 190,000 41,909 77.9% Telecommunication 9,070 85,993 ... 241,489 54,359 77.5% Capital Outlay- 78,504 119,928 84,928 6,424 92.4% Protective Services: Personal ...

    10/01/2018 - 12:32pm

  8. August 2018 Monthly Financial Report

    146.1% Legal: Operating 425 77,066 75,000 75,000 (2,066) 102.8% General Government: Operating 43,372 ...

    02/08/2019 - 2:22pm

  9. July 2018 Monthly Financial Report

    (87,727) 84.7% Seminole Manor Water 77,820 796,502 961,000 961,000 (164,498) 82.9% Seminole Sewer 97,330 ...

    02/08/2019 - 2:23pm

  10. October 2018 Monthly Financial Report

    Outlay----- 0.0% Road & Streets: Operating 4,582 4,582 59,500 59,500 54,918 7.7% Capital Outlay----- 0.0% ...

    02/08/2019 - 2:16pm

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