clear space clear space clear space white space
A
 r c h i v e s   o f   M a r y l a n d   O n l i n e
  Maryland State Archives | Index | Help | Search search for:
clear space
white space
Session Laws, 1969
Volume 692, Page 1844   View pdf image
 Jump to  
  << PREVIOUS  NEXT >>
clear space clear space clear space white space

RECEIPTS—Continued

GENERAL FUNDS

SPECIAL FUNDS

FEDERAL FUNDS

Agency and Source                      Revenue

Maryland Industrial Development
Financing Authority:

Fees for Services ..........................          ................

Interest ..........................................          ................

Revolving Accounts ......................          ................

Reduction of Expenditures ..........          ................$

Totals ................................          ................$

Superintendent of Public Buildings
and Grounds:

Sales to the Public........................          ................$

Other Reimbursements ................          ................

State Reimbursements ..................          ................

Reduction of Expenditures ..........          ................

Totals ................................          ................$

State Office Buildings—Baltimore:

Fees for Services ..........................$             416.00

Commissions and Royalties ..........          16,283.53

Other Reimbursements ................         ................$

State Reimbursements ..................          ................

Reduction of Expenditures ..........          ................

Totals ................................$         16,699.53 $

Maryland Office of Economic
Opportunity:

Federal Reimbursements ..............          ................

Other Reimbursements ..................          ................

Reduction of Expenditures ..........          ................

Totals ......................

St. Mary's City Commission:
Reduction of Expenditures

Totals ......................

Constitutional Convention Commission:

Sales to the Public ..............

Other Reimbursements ......

Reduction of Expenditures

Totals ......................

Budget
Credits

Attainment

Budget
Credits

Attainment

Budget
Credits

LOAN
FUNDS

NON-
BUDGETED
FUNDS

TOTAL

1,099.35

1,099.35

316.32

569.88

42,763.52

599.61

44,249.33

249.04

285,395.11

39.09

285,683.24

.00

.00

.00

.00

.00 $

154,584.00
211.21 $

235.73
124.85

4,215.78 $
3,408.85
100,157.01

107,781.64$
................$

................ $

................$

409,538.60
409,538.60 $

................$

1,938.00

4,215.78

3,408.85

100,157.01

1,099.35

108,880.99

316.32

569.88

42,763.52

599.61

44,249.33

416.00 

16,283.53 

249.04 

694,933.71 

39.09 

711,921.37

154,584.00

2,384.94

124.85