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08.05 - 2005 Proposed General Fund Budget
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11-09-2004 Council Meeting
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08.05 - 2005 Proposed General Fund Budget
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'Signal&Signs <br /> —Electricity $ 1,093.28 $ 2,500.00 $ 2,500.00 $ <br /> Capital Outlay $ 5,850.00 <br /> MN DOT Frontage Backa a Rds <br /> Reserve $ 35,000.00 $ 35,000.00 $ - Reserve for building roads related to Hwy 371 project <br /> TOTAL DISBURSEMENTS $ 277,631.47 1 $ 417,660.00 $ 465,934.00 $ 48,274.00 <br /> NOTES <br /> More money is needed to reserve for Highway 371 improvements. <br /> ROADS&STREETS INCREASES FOR 2005 <br /> Wage increases <br /> Health Insurance increase <br /> Capital Outlay-road projects(not related to Hwy. 371) <br /> Engineering fees <br />
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