Volume 692, Page 1838 View pdf image |
RECEIPTS GENERAL FUNDS SPECIAL FUNDS FEDERAL FUNDS Agency and Source Revenue Budget Attainment Budget Attainment Budget LOAN FUNDS NON- TOTAL Public Debt: Property Taxes........................ Sales to the Public ................ Commissions and Royalties .... Interest .................................... Bond Issues ............................ State Bond Loan Repayments 449.09 4,086.00 3,600.00 6,495,416.67 69,407.17 12,746,208.73 2,382,036.58 Totals .00 .00 $ 21,701,204,24 .00 .00 .00 .00 449.09 4,086.00 3,600.00 6,495,416.67 69,407.17 12,746,208.73 2,382,036.58 .00 $ 21,701,204.24 Share of Tax on Admissions: 50.43 Totals .00 .00 .00 $ 50.43 .00 Employees' Retirement System of the Sales to the Public ...................... ................$ 224.57................ ................ Interest .......................................... ................ ................$ 642,069.90 ................ Other Reimbursements ................ ................ ................ 49,259.00 ................ State Reimbursements .................. ................ 5,801,945.86 ................ ................ Reduction of Expenditures ..........$ 64.06 245,762.38 ................ $ 1,102.55 Totals ................................$ 64.06 $ 6,047,932.81 $ 691,328.90 $ 1,102.55 .00 .00 State Police Retirement System: State Reimbursements ......... Reduction of Expenditures . 156,681.13 Totals .00 .00 .00 $ 156,689.07 .00 .00 General Assembly of Maryland: 1,411.50 Totals .00$ 1,411.50 .00 .00 .00 .00 State Department of Legislative Reduction of Expenditures Totals ...................... 37.50 $ 186.15 .00 .00 .00 .00 .00 $ .00 .00 .00 $ .00 .00 $ .00 .00$ 50.43 50.43
224.57 49,259.00 5,801,945.86 246,928.99 .00 $ 6,740,428.32 156,681.13 156,689.07 1,411.50 1,411.50 223.65 |
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