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<br />I <br />I <br />I <br />I <br />I <br />I <br />I <br />I <br />I <br />I <br />I <br />I <br />I <br />I <br />I <br /> <br />Water Revenue <br /> <br />1/77 <br />2/77 <br />3/77 <br />4/77 <br />5/77 <br />6/77 - Water Rate increase - <br />to 8.00/month <br /> <br />$364.00 <br />191. 50 <br />274.00 <br />220.50 <br />244.50 <br /> <br />504.00 <br />359.00 <br />447.00 <br />430.00 <br /> <br />7/77 <br />8/77 <br />9/77 <br /> <br />Total: <br /> <br />$3,034.50 <br /> <br />$3,571. 78 <br />$6,000.00 <br />$4,565.80 <br /> <br />Ledger Balance January 6, 1977 <br />Promissory Note <br />Nine months revenue <br />Nine months expense <br /> <br />$14,136.58 <br /> <br />Approximate cash balance: <br /> <br />$5,696.48 <br /> <br />A <br /> <br />16 <br /> <br />$8,440.10 <br />$8,440.10 <br />