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03.08 - Financial Report
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03.08 - Financial Report
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11/27/2013 3:19:11 PM
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11/27/2013 2:41:17 PM
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SAC <br />652 -49450 -303 ENGINEERING FEES <br />TOTAL SAC <br />TOTAL FUND EXPENDITURES <br />NET REVENUE OVER EXPENDITURES <br />CASH BALANCE <br />652- 11000 -000 CASH <br />CITY OF PEQUOT LAKES <br />EXPENDITURES WITH COMPARISON TO BUDGET <br />FOR THE 1 MONTHS ENDING JANUARY 31, 2013 <br />SAC FUND - <br />ANNUAL <br />MTD BUDGET MTD ACTUAL MTD VARIANCE YTO BUDGET YTD ACTUAL YTD VARIANCE ANNUAL BUDGET % OF BUD <br />.00 <br />115.00 ( <br />115.00) <br />.00 <br />.00 <br />115.00 ( <br />115.00) <br />.00 <br />.00 <br />115.00 ( <br />115.00) <br />.00 <br />.00 <br />7,924.24 <br />7,924.24 <br />.00 <br />115.00 ( <br />115.00) .00 <br />115.00 ( <br />115.00) .00 <br />115.00 ( <br />115.00) .00 <br />7,924.24 <br />7,924.24 .00 <br />73,536.20 <br />FOR ADMINISTRATION USE ONLY 8 % OF THE FISCAL YEAR HAS ELAPSED 02128/2013 11:02AM PAGE: 46 <br />
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