Current Financial Report

Statement of Revenues, and Expenditures for the fiscal year ending June 30, 2011

Revenues:

Taxes $ 2,904,768
Investment Earnings $ 23,782
Other Revenue $ 13,577

Expenditures:

Fire Operations $ 2,277,242
Capital Outlay $ 180,748
Debt Service and Interest $ 51,287


* Questions and information about obtaining a copy of the complete audit may be directed to Ken Everham at (864) 578-1616 ext. 100.