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Fixed Charges

.—-i—.—$ 1,900.00

Total All Operations -----$205,077.37 Capital Outlay (Regular) ---$ 1,830.00 Debt Service--'__$ 5,362.50 Anticipated Deficit at June 30, 1953 _$ 2,064.80

Total—School Fund _3214,915.76

/ -*Means of Financing: State Supplements_ $111,767.10 Miscellaneous Revenue_ 2,500.00 Appropriation from General Fund ——-100,058.66

Total Revenue Required—School Fund___$214,915.76

PIEDMONT DISTRICT ^OAD DEBT FUND Expenditure Estimates: Redemption of Bonds__—-$ 500.00 Interest and Other Debt Costs —\- 15.00

Total Debt Requirements --.-$ Means ef Financing: tBalance at July 1, 1953 (Estimated)-$ 113.98 Delinquent Taxes ------- 15.00 Amount to be raised A>y current levy —- 831.02

615.00

50.0%