FUND BALANCES
Fund Balances as of July 31, 2020:
General Fund | $2,324,250.90 |
Water Fund | $387,070.82 |
Sewer Fund | $4,783,974.82 |
Trust and Agency Fund | $74,742.35 |
Capital Improvement and Restricted Funds | $2,013,328.02 |
5255 Alpine Ave NW Comstock Park, MI 49321
Ph: (616) 784-1262 / Fax: (616) 784-1234
Office Hours: 8:00 am - 5:00 pm - M-F
General Fund | $2,324,250.90 |
Water Fund | $387,070.82 |
Sewer Fund | $4,783,974.82 |
Trust and Agency Fund | $74,742.35 |
Capital Improvement and Restricted Funds | $2,013,328.02 |