IRevenue
COMMUNITY DEVELOPMENT 221
Appropriation
153
BUILDING INSPECTION
52
229
155
CODE ENFORCEMENT
53
231
170
HYDROELECTRIC OPERATIONS
54
233
181
COMMUNITY DEVELOPMENT
234
182
PLANNING & ZONING
55
236
184
URBAN PROGRAMS
238
186
TRANSPORTATION
241
EDUCATION 245
191]
SCHOOL DEPARTMENT
56
250
DEBT SERVICE, CONTINGENCY & INTERFUND
TRANSFERS 254
193
DEBT SERVICE
255
194
CONTINGENCY
259
198
INTERFUND TRANSFERS
260
CAPITAL IMPROVEMENTS 261
CAPITAL IMPROVEMENTS
262
ENTERPRISE FUNDS BUDGET DETAIL - (Green Section) 264
6000
SOLID WASTE DISPOSAL SYSTEM FUND
266
268
6200
WASTEWATER USER FUND
276
278
SPECIAL REVENUE FUNDS - (Pink Section) 286
CITY SPECIAL REVENUE FUNDS:
2501 | PUBLIC HEALTH CLIENT FEES FUND 287
2502 | POLICE LAW ENFORCEMENT TRAINING FUND 288
2503 | PARKS & RECREATION PROGRAMS FUND 289
2504 | HOLMAN STADIUM EVENTS FUND 290
2505 | PEG ACCESS CHANNELS FUND 291
2506 | HUNT BUILDING FACILITY RENTAL FUND 293
2507 | FIRE TRAINING FACILITY RENTAL FUND 295
2508 | SPECIAL ROAD & HIGHWAY FUND 296
2510
PENNICHUCK ACQUISITION BOND FUND 297
