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Operating Budget / Ledger Format
> Disbursements
2011-12 Operational Disbursements
REVENUE, DEPARTMENT OF
PROGRAM: GENERAL TAX ADMINISTRATION PROGRAM
TAX PROCESSING
Line Item: 2886 ~ OPERATING CAPITAL OUTLAY ~ FROM GENERAL REVENUE FUND
Month/Year
Disbursement
Amount
December 2011
.04
January 2012
30,740.96
March 2012
-30,741.00
April 2012
32,520.80
June 2012
7,337.02
September 2012
1,130.18
Total Operational Disbursements
40,988.00