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2017 2018 2019 2019 2020 <br /> Actual Actual Budget Estimated Budget <br />REVENUE SUMMARY: <br />Special Assessments 386,747$ 460,036$ 285,000$ 284,003$ 264,000$ <br />Interest 161 172 50 - 50 <br />Transfer In 685,799 657,948 663,263 1,388,743 375,678 <br />TOTAL REVENUE 1,072,707$ 1,118,156$ 948,313$ 1,672,746$ 639,728$ <br />EXPENDITURE SUMMARY: <br />Auditor 1,300$ 1,335$ 1,360$ 1,360$ 1,160$ <br />Bond Principal 590,000 1,805,000 485,000 1,235,000 275,000 <br />Bond Interest 283,230 229,161 176,763 152,193 99,328 <br />RC Principal 32,069 32,753 33,500 33,077 26,735 <br />RC Interest 3,263 2,579 2,000 2,255 1,285 <br />Interfund Loan 15,719 48,628 250,000 21,037 50,000 <br />Paying Agent Fees/Issurance Costs 2,419 1,487 2,040 1,463 1,590 <br />TOTAL EXPENDITURES 928,000$ 2,120,943$ 950,663$ 1,446,385$ 455,098$ <br /> <br />NET INCREASE (DECREASE)144,707$ (1,002,787)$ (2,350)$ 226,361$ 184,630$ <br />BEGINNING FUND BALANCE (94,478) 50,229 (952,558) (726,197) <br />ENDING FUND BALANCE 50,229$ (952,558)$ (726,197)$ (541,567)$ <br />CITY OF LITTLE CANADA <br />DEBT SERVICE FUNDS <br />BUDGET SUMMARY <br />68