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C-6

CITY OF MYRTLE BEACH, SOUTH CAROLINA SCHEDULE OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE - BUDGET AND ACTUAL SPECIAL REVENUE FUND TAX INCREMENT REVENUE FUND Year Ended June 30, 2010

OTHER FINANCING USES Transfers Out

Net Change in Fund Balance

Final

Amounts

$

(615,011) $

(615,011) $

$

(615,011) $

(615,011) $

$

$

Budgeted Amounts

Original

Actual

Fund Balance - Beginning

615,011

615,011

615,011

Fund Balance - Ending

$

615,011 $

$

$

  • -

    82 -

Variance With Final Budget - Positive (Negative)

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