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2016 2017 2018 2018 2019 <br />Actual Actual Budget 10/31 Budget <br />Revenues: <br />General Capital Improvement Levy 135,247$ 140,531$ 151,608$ 77,400$ 160,700$ <br />Donations (1)58,000 47,142 - 40,046 - <br />Sale of equipment - - 75,000 85,000 - <br />Interest 19,505 13,310 3,700 - 2,461 <br />Transfer in - - - - - <br />Total Revenue 212,752$ 200,983$ 230,308$ 202,446$ 163,161$ <br />Expenditures: <br />Fire Equipment Replacement - 675,761 - 26,520 60,000 <br />Total Expenditures -$ 675,761$ -$ 26,520$ 60,000$ <br /> <br />Net Increase (Decrease)212,752 (474,778) 230,308 175,926 103,161 <br />Beginning Fund Balance 934,240$ 1,146,992$ 672,214$ 672,214$ 887,467$ <br />Ending Fund Balance 1,146,992$ 672,214$ 902,522$ 848,140$ 990,628$ <br />(1) Fire Department contribution towards fire equipment replacement fund. <br />2016 2017 2018 2018 2019 <br />Actual Actual Budget 10/31 Budget <br />Revenues: <br />Cell Tower Leases 33,240$ 32,503$ 33,000$ 30,244$ 72,775$ <br />Sale of City property - - - 525,875 - <br />Total Revenue 33,240$ 32,503$ 33,000$ 556,119$ 72,775$ <br />Expenditures: <br />Auditors 160$ 190$ 195$ 195$ 200$ <br />IFL Interest 11,260 10,428 9,000 6,373 9,000 <br />Engineer/Consultant/Attorney - - - 9,743 - <br />Total Expenditures 11,420$ 10,618$ 9,195$ 16,311$ 9,200$ <br /> <br />Net Increase (Decrease)21,820$ 21,885$ 23,805$ 539,808$ 63,575$ <br />Beginning Fund Balance 368,002 389,822 411,707 411,707 1,010,887 <br />Ending Fund Balance 389,822$ 411,707$ 435,512$ 951,515$ 1,074,462$ <br />FIRE EQUIPMENT REPLACEMENT (Fund 457) <br />DETAILED OTHER CAPITAL PROJECT FUND BUDGETS <br />OWASSO/WOODLYN REDEVELOPMENT (Fund 474)