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Statement of Cash Activity for Fiscal Year 2000 (Unaudited) |
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| Balance at Close of Fiscal Year 1999
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$ 22,964,159
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| Receipts
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| Property Taxes
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$ 12,729,684
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| Gain on Investment
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1,034,598
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| Fees
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2,546,711
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| Third Party Income
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1,081,221
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Grants
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11,464,496
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Donations
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61,749
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Tort Reimbursement
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537,118
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Miscellaneous
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483,529
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$ 29,939,106
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Disbursements
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Behavioral and Mental Health Services
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$11,825,522
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Business Operations Services
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7,148,281
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Community Health Services
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10,988,814
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Community Services 463,723 Environmental Health Services
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2,373,406
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$ 32,799,747
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Transferred to Fund 71
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1,200,000
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Balance at Close of Fiscal Year 2000
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$ 18,903,517
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Back to Index
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