D. PAYMENTS TO OTHER JURISDICTIONS <br />1. Non-road and street work .......................................................................... <br />2. Work for other jurisdictions .......................................................................... <br />TOTAL DISBURSEMENTS ........................... <br />$595,359 <br />$17, 724, 401 <br />ENDING BALANCE(S) {See Instructions on what should be Included}............ $1 1,825,928 <br />TOTAL FUNDS ACCOUNTED FOR .......................................................... $29,550,329 <br />HIGHWAY AND TRAFFIC POLICE EXPENSE ...................... $2,349,134 <br />.................................................. <br />Please calculate or estimate the amount of police department expense <br />applicable to traffic policing. <br />HIGHWAY AND TRAFFIC POLICE REVENUE SOURCE ..............................:............... General & Parking Funds <br />Please identify the source of revenue for traffic policing expenditures; i.e.,(General Fund, <br />Police Department, Tax levy, Motor Vehicle Registration or Fuels Tax apportionment or Other.) <br />DO NOT include this revenue in Part I, Road and Street Revenve <br />Prepared by Tammv Smith <br />(Name) <br />541 682 5834 <br />(Telephone) <br />RETURN TO: <br />William Abel <br />ODOT, Costs Allocation b Analysts Unit <br />For City of Eu ene <br />TELEPHONE: (503) 986-3916 <br />355 Capitol St. NE, <br />(City or County) <br />Salem , OR 97301 <br />Survey FY06-wfedhwy.xls II Disbursements <br />