PUBLIC WORKS DIF/CIP - FY2023
|
|
Fund | Fund Total |
163RD AVE DEV 2014 LAW
|
$119,385.84
|
FACILITIES ASSET REPLACEMENT
|
$2,272,114.21
|
GENERAL CAPITAL PROJECTS FUND
|
$4,369,026.27
|
GROUND AMBULANCE CAPITAL FUND
|
$129,509.53
|
HIGHWAY USER REVENUE CAPITAL
|
$4,236,309.59
|
PAVMNT PRESERVTN ELECTION 2017
|
$28,023.43
|
SEWER UTILITY CAPITAL
|
$58,531.85
|
SOLID WASTE CAPITAL
|
$1,988,755.83
|
STORMWATER CAPITAL
|
$146,486.01
|
SW GAS CAPITAL EXPENDITURES
|
$38,278.63
|
|
|
|