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2017 2018 2019 2019 2020 <br />Actual Actual Budget 8/31 Budget <br />Revenues: <br />Interest -$ -$ -$ -$ -$ <br />Transfers In (fund 604)229,865 227,070 229,225 229,250 226,350 <br />Total Revenue 229,865$ 227,070$ 229,225$ 229,250$ 226,350$ <br />Expenditures: <br />Auditor 190$ 195$ 200$ 200$ 200$ <br />Bond Principal 140,000 140,000 145,000 145,000 145,000 <br />Bond Interest 89,225 86,425 83,575 83,575 80,675 <br />Paying Agent Fees/Issuance Costs 450 450 450 475 475 <br />Transfer out - - - - - <br />Total Expenditures 229,865$ 227,070$ 229,225$ 229,250$ 226,350$ <br /> <br />Net Increase (Decrease)-$ -$ -$ -$ -$ <br />Beginning Fund Balance 82,931 82,931 82,931 82,931 82,931 <br />Ending Fund Balance 82,931$ 82,931$ 82,931$ 82,931$ 82,931$ <br />2017 2018 2019 2019 2020 <br />Actual Actual Budget 8/31 Budget <br />Revenues: <br />Transfers In (from 440)290,065$ 286,580$ 287,185$ 1,013,190$ -$ <br />Total Revenue 290,065$ 286,580$ 287,185$ 1,013,190$ -$ <br />Expenditures: <br />Auditor 190$ 195$ 200$ 200$ - <br />Bond Principal 190,000 200,000 215,000 965,000 - <br />Bond Interest 99,875 86,385 71,985 47,990 - <br />Total Expenditures 290,065$ 286,580$ 287,185$ 1,013,190$ -$ <br /> <br />Net Increase (Decrease)-$ -$ -$ -$ -$ <br />Beginning Fund Balance - - - - - <br />Ending Fund Balance -$ -$ -$ -$ -$ <br />DETAILED DEBT SERVICE FUND BUDGETS <br />TIF BONDS - 2001A (Fund 314) <br />GO BONDS - 2014A (Fund 310) <br />DRAFT DOCUMENT 62