LD 468
pg. 30
Page 29 of 348 An Act Making Unified Appropriations and Allocations for the Expenditures of St... Page 31 of 348
Download Bill Text
LR 2149
Item 1

 
DEPARTMENT TOTALS2005-062006-07

 
OTHER SPECIAL REVENUE FUNDS$1,550,000$1,595,000

 
________________________

 
DEPARTMENT TOTAL - ALL FUNDS$1,550,000$1,595,000

 
CENTERS FOR INNOVATION

 
CENTERS FOR INNOVATION 0911

 
GENERAL FUND2005-062006-07

 
All Other$160,382$164,392

 
________________________

 
GENERAL FUND TOTAL$160,382$164,392

 
CENTERS FOR INNOVATION

 
DEPARTMENT TOTALS2005-062006-07

 
GENERAL FUND$160,382$164,392

 
________________________

 
DEPARTMENT TOTAL - ALL FUNDS$160,382$164,392

 
CHILDREN'S TRUST, INC. (BOARD OF THE MAINE)

 
MAINE CHILDREN'S TRUST INCORPORATED 0798

 
OTHER SPECIAL REVENUE FUNDS2005-062006-07

 
All Other$102,250$104,806

 
________________________

 
OTHER SPECIAL REVENUE FUNDS TOTAL$102,250$104,806

 
CHILDREN'S TRUST, INC. (BOARD OF THE MAINE)

 
DEPARTMENT TOTALS2005-062006-07

 
OTHER SPECIAL REVENUE FUNDS$102,250$104,806

 
________________________

 
DEPARTMENT TOTAL - ALL FUNDS$102,250$104,806

 
COMMUNITY COLLEGE SYSTEM, BOARD OF TRUSTEES OF THE MAINE

 
MAINE COMMUNITY COLLEGE SYSTEM - BOARD OF TRUSTEES 0556

 
GENERAL FUND2005-062006-07

 
All Other$47,061,378$50,432,000

 
________________________

 
GENERAL FUND TOTAL$47,061,378$50,432,000

 
OTHER SPECIAL REVENUE FUNDS2005-062006-07


Page 29 of 348 Top of Page Page 31 of 348