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Page 7 · column 2 of 3 · from the scan, no model involved

The clipping this text was read from
The clipping this text was read from

2,420.00

6*862.00 Capital Outlay—Regular Dabt Service ..........

Grand total—School Fund _$212*064.80

MEANS Of FINANCING: Balance at July 1, 1962 (Estimated) l_$ 7,101.78 Revenue from State and Miscellaneous_ 120,872.67 Appropriation from General Fund __ 84,690.00

Total Revenue - School Fund_$212,064.80

PIEDMONT DISTRICT ROAD DEBT FUND EXPENDITURE ESTIMATES: Redemption of Bonds__ 1,000.00 Interest on Bondi and other Debt Costs_ 87.60

Total Debt Requirements___$ 1,087.60 MEANS OF FINANCING: Balance at July 1, 1962 (Estimated)_ 818.76 Delinquent taxes___JT____ 60.00 Amount to be raised by current levy_... 678.76

Total Revenue Required—Piedmont Road Debt Fund 1/187.60

49.6%