Volume 708, Page 1998 View pdf image |
RECEIPTS—Continued
GENERAL FUNDS SPECIAL FUNDS FEDERAL FUNDS Agency and Source Revenue Budget Attainment Budget Attainment Budget LOAN FUNDS NON- TOTAL Office of Baltimore Public Buildings Commissions and Royalties ..........4 Other Reimbursements .................. State Reimbursements .................. Reduction of Expenditures ........ Totals..................................i Hall of Records Commission: Fees for Services ..........................3 Sales to the Public ...................... Revolving Accounts ...................... Reduction of Expenditures ........ Totals..................................$ Commission on Artistic Property: Sales to the Public........................ Miscellaneous ................................ Other Reimbursements .................. Reduction of Expenditures .......... Totals.................................. 20,643.17 3,882.61 393,111.60 265.50 775,220.87 20,666.06 $ 397,259.71 .00 .00 .00 .00 6,012..00 25.02 151.37$ 80.00' 67.24 1.00 19,978.33 $ 25.02 .00 .00 .00 .00 209.61 $ 18.65 .00$ 18.65 .00 .00 .00 .00 .00 $ 10,910.00 $ 20,643.17 3,882.61 1,168,355.36 18,826.11 .00 $ 79,3,781.48 $ l,211,707.25. 6,163.37 14,071.35 67.24 1.00
20,302.96
10,928.66 Transportation and Highways— Totals
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Volume 708, Page 1998 View pdf image |
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