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PUBLIC NOTICE

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PUBLIC NOTICE
NOTICE IS HEREBY GIVEN that the amended 2010 Budget and the proposed Budget for fiscal year ending 2011 for the City of Grambling is now available for public inspection between the hours of 8:30 a.m. and 4:30 p.m., November 16- December 1, 2010; in the Administrative Office located at City Hall, 2045 Martin Luther King, Jr. Avenue, Grambling, Louisiana. A public hearing on the 2010 amended budget and 2011 proposed budget will be held on Thursday, December 2, 2010, before the December, 2010 Monthly meeting of the Mayor and the Council at 5:00 p.m., in Council Chambers/Courtroom, City Hall, 2045 Martin Luther King Jr., Avenue, Grambling, Louisiana.
A General Summary is listed as follows:
CITY OF GRAMBLING2010 AMENDED BUDGETGENERAL FUNDRevenuesAdmin 1,235,688 Fire 319,461 Police 350,952 Street 88,737 Park & Rec 13,671 Total General Fund Revenues 2,008,509
ExpensesAdmin 667,923 Fire 399,915 Police 656,523 Street 37,279 Park & Rec 26,734 Total General Fund Expenses 1,788,374
Net Income (General HEALTH & SANITATION FUND
Revenues 323,976Expenses 308,294Net Income (Health & Sanitation Fund) 15,682
DEBT SERVICE FUND
Revenues 109,708Expenses 109,708Net Income (Debt Service Fund) 0
CAPITAL PROJECTS FUND
Revenues 765,559Expenses 765,559Net Income (Capital Projects Fund) 0
MAINTENANCE FUND
Revenues 785,003Expenses 769,829Net Income (Maintenance Fund) 15,174
TOTAL CONSOLIDATED BUDGET
Revenues 3,992,755Expenses 3,741,764Net Income 250,991CITY OF GRAMBLING
PROPOSED 2011 BUDGET
GENERAL FUND
Revenues
Admin 1,115,740
Fire 229,278
Police 332,232
Street 75,731
Park & Rec 14,810
Total General Fund Revenues 1,767,791
Expenses
Admin 555,204
Fire 375,427
Police 668,359
Street 37,574
Park & Rec 27,054
Total General Fund Expenses 1,663,618
Net Income (General Fund) 104,173
HEALTH & SANITATION FUND
Revenues 364,385
Expenses 362,937
Net Income (Health & Sanitation Fund) 1,448
DEBT SERVICE FUND
Revenues 109,708
Expenses 109,708
Net Income (Debt Service Fund) 0
CAPITAL PROJECTS FUND
Revenues 650,000
Expenses 650,000
Net Income (Capital Projects Fund) 0
MAINTENANCE FUND
Revenues 766,146
Expenses 745,989
Net Income (Maintenance Fund) 20,157
TOTAL CONSOLIDATED BUDGET
Revenues 3,658,030
Expenses 3,532,252
Net Income 125,778
PAMELA STRINGFELLOW, CLERK 3td:November 14, 21 & 28, 2010

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