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Search results for: 电报涨粉✅SMMFS.COM✅拉活人TG会员 034 in category "Downloads"
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Item_11.3_-_Financial_Statements_and_Performance_Statement_for_Year_Ended_30_June_2021_.pdf [Downloads]
... ,555 Municipal charge 6,040 5,961 Waste management charge 10,318 10,034 Supplementary rates and rate adjustments 1,457 1,659 Interest on rates and charges - ...
... 029 3,126 92% 3% 7 Plant Machinery & Equipment 2,294 2,034 1,165 (49%) (43%) 4,940 5,025 ...
GSCC_AnnualReport2013-14_Web.pdf [Downloads]
... PERIN court recoveries 26,340 21,534 Fees - ticket machines 311,144 348,034 Fees - parking meters 866,118 926,598 Permits 6,797 4,218 ...
... it is 4.4 June 2018 current and relevant Budget 2017/2018 Budget Total Income $75,034 Total Expense $1 ,547,957 M1/38382 ‐ 2017/18 Business Plan ...
Strategic_Resource_Plan_201516_-_201819.pdf [Downloads]
... 873 955,304 Equity Accumulated Surplus 314,997 324,111 330,869 339,034 373,537 Reserves 529,069 529,069 554,839 554,839 581 ...
... /21 2021/22 Expense $ '000 $ '000 $ '000 Employee 1,034 1,666 1,082 Materials & Services 229 536 346 Other Expenses 11 25 25 ...
Item_8.5_Financial_Statements_and_Performance_Statement_for_Year_Ended_30_June_2020_.pdf [Downloads]
... ,555 60,739 Municipal charge 5,961 5,890 Waste management charge 10,034 9,753 Supplementary rates and rate adjustments 1,659 868 Interest on rates and charges ...