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Supporting Documentation · Date unavailable

123-11

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(D)Municipal Debt Service-Excluded from "CAPS" Interest on Bonds 1,251,000.00 1,174,500.00 (76,500.00) Interest on Notes 183,000.00 191,500.00 8,500.00 Total Municipal Debt Service-Excluded from "CAPS" 4,983,000.00 4,915,000.00 (68,000.00) (H-2) Total General Appropriations for Municipal Purposes Excluded "CAPS" 12,734,763.00 12,686,721.00 (48,042.00) '(O)Total General Appropriations-Excluded from "CAPS" 12,734,763.00 12,686,721.00 (48,042.00) (L) Sub-Total General Appropriations {Items (H-2 and (O)} 67,919,525.00 68,163,894.00 244,369.00 9. TOTAL GENERAL APPROPRIATIONS $71,977,200.00 $72,221,569.00 244,369.008. General Appropriations Summary of Appropriations (H-1) Total General Appropriations for Municipal Purposes Within "CAPS" $55,184,762.00 $55,477,173.00 (292,411.00) (A) Operations - Excluded from "CAPS" Public and Private Progs Offset by Revs 2,349,022.00 2,365,400.00 (292,411.00) Total Operations - Excluded from "CAPS" 7,521,663.00 7,541,621.00 (584,822.00) (D) Municipal Debt Service 4,983,000.00 4,915,000.00 (2,339,288.00) Total General Appropriations $71,977,200.00 $72,221,569.00 (244,369.00) BE IT FURTHER RESOLVED, that three certified copies of this resolution be filed in the Office of the Director of the Division of Local Government Services for his certification of the 2011 Local Municipal Budget so amended. BE IT FURTHER RESOLVED, that this complete amendment, in accordance with the provision of N.J.S.A 40A:4-9, be published in the West Orange Chronicle, in the issue of June 9, 2011, and that said publication contain notice of public hearing on said amendment to be held at the Municipal Building on June 14, 2011, at 6:30 PM. It is hereby certified that this is a true copy of a resolution amending the Budget, adopted by the Governing Body on the 31st day of May, 2011. Municipal Clerk It is hereby certified that all changes are in proof and the budget remains in balance. Edward J. Coleman, CFO Sal M. Anderton, Council President

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