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ALL FUNDS
SCHEDULE A-1
| COMBINED STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS | SCHEDULE A-1 | |||
|---|---|---|---|---|
| FISCAL YEAR ENDED JUNE 30,2002 | ||||
| GENERAL FUND | SPECIAL REVENUE FUNDS | DEBT SERVICE FUNDS | CAPITAL PROJECTS FUNDS | |
| No records returned. | ||||
| <%=FP_FieldVal(fp_rs,"labels")%> | <%=FP_FieldVal(fp_rs,"general")%> | <%=FP_FieldVal(fp_rs,"special")%> | <%=FP_FieldVal(fp_rs,"debt")%> | <%=FP_FieldVal(fp_rs,"capital")%> |
| INTERNAL SERVICE FUNDS | ENTERPRISE FUNDS | FIDUCIARY FUNDS | TOTALS (MEMO- RANDUM ONLY) | |
|---|---|---|---|---|
| No records returned. | ||||
| <%=FP_FieldVal(fp_rs,"labels")%> | <%=FP_FieldVal(fp_rs,"internal")%> | <%=FP_FieldVal(fp_rs,"enterprise")%> | <%=FP_FieldVal(fp_rs,"fiduciary")%> | <%=FP_FieldVal(fp_rs,"totals")%> |
Note 1: Total does not include $1,393,231,000 of bond proceeds deposited directly with a trustee or other legally separate organization.