LD 468
pg. 113
Page 112 of 348 An Act Making Unified Appropriations and Allocations for the Expenditures of St... Page 114 of 348
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LR 2149
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Personal Services$88,721$93,080

 
All Other$35,724$33,517

 
________________________

 
OTHER SPECIAL REVENUE FUNDS TOTAL$124,445$126,597

 
MUNICIPAL EXCISE TAX REIMBURSEMENT FUND 0871

 
OTHER SPECIAL REVENUE FUNDS2005-062006-07

 
All Other$855,209$876,589

 
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OTHER SPECIAL REVENUE FUNDS TOTAL$855,209$876,589

 
ELECTIONS AND COMMISSIONS 0693

 
FEDERAL EXPENDITURES FUND2005-062006-07

 
Personal Services$85,012$0

 
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FEDERAL EXPENDITURES FUND TOTAL$85,012$0

 
SECRETARY OF STATE, DEPARTMENT OF

 
DEPARTMENT TOTALS2005-062006-07

 
GENERAL FUND$3,688,935$3,827,810

 
HIGHWAY FUND$32,427,972$33,509,912

 
FEDERAL EXPENDITURES FUND$605,789$521,778

 
OTHER SPECIAL REVENUE FUNDS$1,203,699$1,238,646

 
________________________

 
DEPARTMENT TOTAL - ALL FUNDS$37,926,395$39,098,146

 
ST. CROIX INTERNATIONAL WATERWAY COMMISSION

 
ST. CROIX INTERNATIONAL WATERWAY COMMISSION 0576

 
GENERAL FUND2005-062006-07

 
All Other$25,479$26,116

 
________________________

 
GENERAL FUND TOTAL$25,479$26,116

 
ST. CROIX INTERNATIONAL WATERWAY COMMISSION

 
DEPARTMENT TOTALS2005-062006-07

 
GENERAL FUND$25,479$26,116

 
________________________

 
DEPARTMENT TOTAL - ALL FUNDS$25,479$26,116

 
STATE HOUSE PRESERVATION AND MAINTENANCE, RESERVE FUND FOR

 
RESERVE FUND FOR STATE HOUSE PRESERVATION AND MAINTENANCE 0975

 
GENERAL FUND2005-062006-07


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