LD 468
pg. 61
Page 60 of 348 An Act Making Unified Appropriations and Allocations for the Expenditures of St... Page 62 of 348
Download Bill Text
LR 2149
Item 1

 
All Other$137,015$1,789,360

 
________________________

 
OTHER SPECIAL REVENUE FUNDS TOTAL$137,015$1,789,360

 
FHM - DENTAL EDUCATION 0951

 
FUND FOR A HEALTHY MAINE2005-062006-07

 
All Other$241,601$243,235

 
________________________

 
FUND FOR A HEALTHY MAINE TOTAL$241,601$243,235

 
FHM - QUALITY CHILD CARE 0952

 
FUND FOR A HEALTHY MAINE2005-062006-07

 
All Other$146,958$148,592

 
________________________

 
FUND FOR A HEALTHY MAINE TOTAL$146,958$148,592

 
FHM - HEALTH EDUCATION CENTERS 0950

 
FUND FOR A HEALTHY MAINE2005-062006-07

 
All Other$101,602$103,235

 
________________________

 
FUND FOR A HEALTHY MAINE TOTAL$101,602$103,235

 
FINANCE AUTHORITY OF MAINE

 
DEPARTMENT TOTALS2005-062006-07

 
GENERAL FUND$13,023,502$13,344,509

 
OTHER SPECIAL REVENUE FUNDS$137,015$1,789,360

 
FUND FOR A HEALTHY MAINE$490,161$495,062

 
________________________

 
DEPARTMENT TOTAL - ALL FUNDS$13,650,678$15,628,931

 
FIRE PROTECTION SERVICES COMMISSION, MAINE

 
MAINE FIRE PROTECTION SERVICES COMMISSION 0936

 
GENERAL FUND2005-062006-07

 
All Other$14,616$14,616

 
________________________

 
GENERAL FUND TOTAL$14,616$14,616

 
FIRE PROTECTION SERVICES COMMISSION, MAINE

 
DEPARTMENT TOTALS2005-062006-07

 
GENERAL FUND$14,616$14,616

 
________________________

 
DEPARTMENT TOTAL - ALL FUNDS$14,616$14,616


Page 60 of 348 Top of Page Page 62 of 348