Messagge Page 2 of 3 <br /> -----Original Message----- <br /> From: HAMLIN Peggy D <br /> Sent: Thursday, December 04, 2003 6:22 AM <br /> To: CAHILL Michelle R; HEIL Richard J; SCHOENING Mark A <br /> Subject: RE: GJN 4212 2004 Comm WW Extentions <br /> To clarify; <br /> $25k in seed money will come from Storm Utility 531 with the balance coming <br /> from Storm SDC in FY05? <br /> Peggy Hamlin <br /> Financial Analayst <br /> Public Works Administration <br /> 682 5834 <br /> -----Original Message----- <br /> From: CAHILL Michelle R <br /> Sent: Wednesday, December 03, 2003 5:57 PM <br /> To: HAMLIN Peggy D; HEIL Richard J; SCHOENING Mark A <br /> Subject: RE: GJN 4212 2004 Comm WW Extentions <br /> I would suggest we use funds (25,000? -Rich does that sound okay} to fund design <br /> work for 4212 and plan to use FY'05 CIP money ($300,000 from SDC reimbursement <br /> is anticipated) for remainder of the work when it becomes available. Mark -are you <br /> okay with that approach? <br /> me <br /> -----Original Message----- <br /> From: HAMLIN Peggy D <br /> Sent: Wednesday, December 03, 2003 4:30 PM <br /> To: HEIL Richard J; CAHILL Michelle R; SCHOENING Mark A <br /> Subject: GJN 4212 2004 Comm WW Extentions <br /> The project authorization form for this indicates that the money <br /> ($300,040) is from the WW SDC fund (reimbursement component) There <br /> is no money in that line item. There is $268k in the WW Utitlity Fund <br /> rehab line item. Any thoughts? <br /> Peggy Hamlin <br /> <br /> 1 /7/2004 <br /> <br />