Laserfiche WebLink
<br />Preview <br /> <br />Page 2 of2 <br /> <br />and administrative fees, The remammg balance are new monies in the amount of <br />$2,302,637,83, Of this amount, $16,000 is for bond issuance costs, The remaining will be <br />in Fund Balance Reserves and is earmarked for projects related to park construction and <br />improvements and a municipal garage, <br /> <br />ATTACHMENTS: <br /> <br />. <br /> <br />Ordinance <br /> <br />. <br /> <br />Budget Amendment-Capital Projects <br /> <br />Notice of Public Hearing <br /> <br />http://sibagenda,sibfl.net/agenda/Preview,aspx?ItemID=683&MeetingID=0&MeetingDate, " 1/10/2012 <br />