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BOARD01521
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BOARD01521
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Last modified
8/16/2009 3:02:45 PM
Creation date
10/4/2006 6:56:52 AM
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Board Meetings
Board Meeting Date
1/26/2000
Description
CF Section - STTFPBA Estimate of Funds Available for New Projects in 2000
Board Meetings - Doc Type
Memo
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<br />I <br />,\ <br /> <br />, <br />, <br /> <br />Discussion <br /> <br />-- <br /> <br />Attached is a financial statement summarizing the FY 1999-00 Severance Tax <br />Trust Fund Perpetual Base Account cash available. Total unreserved cash available for <br />new projects is $13,106,366, projected expenses are $10,263,600, leaving a projected <br />balance of $2,842,766. This number includes project approvals from the November <br />Board meeting and additional applications and recommendations to be presented at the <br />January Board Meeting. <br /> <br />In making recommendations to the General Assembly, the Board should be aware <br />of certain criteria and limitations set by statute which are summarized in an attachment to <br />this memo. <br /> <br />Conclusion <br /> <br />As of the date of this memo, it appears sufficient cash will be available to fund the <br />applications shown on the attached list. <br /> <br />Attachments <br /> <br />e <br /> <br />e <br /> <br />JanOO.9bmemo <br />
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