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AMOUNT TO BE RAISED <br /> L <br /> A,APPROPRIATIONS(cot.(b)through col.(e)from Schedule B,Page 4) $ 25,563,524.25 <br /> B,OTHER AMOUNTS TO BE RAISED <br /> 1 Amounts certified for tax title purposes $ 75,000.00 <br /> 2 Debt+interest charges not included in Schedule B $ <br /> 3 Final court judgments $ 1,364.00 <br /> 4 Total overlay deficits of prior years $ 3,284.bu (1990 Overlay) <br /> 5 Total Cherry Sheet offsets(see Cherry Sheet I-ER) $ 162742.00 <br /> 6 Revenue deficits $ <br /> 7 Offset receipts deficits Ch.44,Sec.53E $ <br /> 8 Authorized Deferral of Teachers:Pay $ <br /> 9 Snow and Ice deficit Ch.44 Sec.3 1 D $ <br /> 10 Other(specify on separate letter) $ <br /> TOTAL B(Total lines 1 through 10) $ 96,390.60 <br /> C,STATE AND COUNTY CHERRY SHEET CHARGES(C.S. 1-EC cols. 1 and 2) $ � <br /> D.ALLOWANCE FOR ABATEMENTS AND EXEMPTIONS(OVERLAY) $ 323 779.18 ' I� <br /> 1?TOTAL AMOUNT TO BE RAISED(Total IIA through IID) $ <br /> 9.ESTIMATED RECEIPTS AND OTHER REVENUE SOURCES <br /> A.ESTIMATED RECEIPTS - STATE j <br /> 1.Cherry Sheet Estimated Receipts(C.S. I-ER Total) $ 222077510.00 <br /> 2.Cherry Sheet Overestimates(C.S. 1-EC Part E col.3) <br /> $ 459.00 <br /> TOTAL A(Total Lines 1 and 2) '$ 2,207,969.00 <br /> B.ESTIMATED RECEIPTS - LOCAL <br /> I.Local Receipts Not Allocated(Page 3,col.(b),Line 23) $ 21264,050.00 <br /> 2.Offset Receipts(See Schedule A-]) $ 0.00 <br /> 3,Enterprise Funds(See Schedule A-2) $ 0.00 <br /> 4.Revolving Funds(See Schedule A-3) <br /> TOTAL B(Total Lines I through 4) -$ 29P931.84 $ <br /> 9,931.84 $ 2,293,981.84 <br /> C.REVENUE SOURCES APPROPRIATED FOR PARTICULAR PURPOSES <br /> 1.Free Cash(Page 4,col.(c)) $ 1,754,330.41 <br /> 2.Other Available Funds(Page 4,col.(d)) $ 59 1 , <br /> TOTAL C(Total Lines 1 and 2) <br /> $ 2,3477580.41 <br /> D.OTHER REVENUE SOURCES APPROPRIATED SPECIFICALLY TO <br /> REDUCE THE TAX RATE <br /> I.Free Cash...date of appropriation(7/1/9P $ 1,110,000.00 <br /> 2.Municipal Light Source $ <br /> 0.00 <br /> 3.Teachers'Pay Deferral $ 0.00 <br /> 4.Other Source(Specify) v �„„ S 4 n a s $ 400,00TUT <br /> TOTAL D(Total Lines 1 through 4)�� $ 1,510,000.00 <br /> E.TOTAL ESTIMATED RECEIPTS AND OTHER REVENUE SOURCES <br /> (Total IIIA through IIID) $ 8,359,531.25 <br /> ''� I�.SUMMARY OF TOTAL AMOUNT TO BE RAISED AND TOTAL RECEIPTS FROM ALL SOURCES <br /> FILL IN AFTER PAGE I IS COMPLETE. <br /> A•TOTAL AMOUNT TO BE RAISED(from IIE) $ 26,310,230.03 <br /> B,TOTAL ESTIMATED RECEIPTS AND OTHER <br /> REVENUE SOURCES(from IIIE) $ 8,359,531.25 <br /> C.TOTAL REAL AND PERSONAL PROPERTY TAX LEVY(from IC) $ 17,950,698.78 <br /> D.TOTAL RECEIPTS FROM ALL SOURCES(TOTAL IVB plus IVC) $ 26,310,230.03 <br /> 2. <br />