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2021 2022 2023 2024 $ Increase % Increase <br />ACTUAL ACTUAL BUDGET BUDGET (Decrease)(Decrease) <br /> <br />Revenues <br />General Fund 4,088,982$ 4,400,790$ 4,855,153$ 5,857,835$ 1,002,682$ 20.65% <br />Special Revenue Funds 668,890 769,020 712,813 737,526 24,713 3.47% <br />Debt Service Funds 730,826 605,785 531,987 534,417 2,430 0.46% <br />Capital Project Funds-Other 3,492,760 2,181,577 5,832,483 1,945,989 (3,886,494) -66.64% <br />Capital Project Funds-TIF 706,182 718,575 730,517 779,552 49,035 6.71% <br />Enterprise Funds 3,535,655 3,740,860 4,221,661 5,100,405 878,744 20.82% <br />Internal Service Fund - 293,015 319,210 377,639 58,429 18.30% <br /> Total Revenues 13,223,295 12,709,622 17,203,824 15,333,363 (1,870,461) -10.87% <br />Expenditures <br />General Fund 4,945,016 4,400,790 4,855,153 5,857,835 1,002,682 20.65% <br />Special Revenue Funds 629,033 737,760 782,021 847,163 65,142 8.33% <br />Debt Service Funds 415,160 405,250 403,344 390,789 (12,555) -3.11% <br />Capital Project Funds-Other 2,075,624 4,285,635 8,111,134 4,216,196 (3,894,938) -48.02% <br />Capital Project Funds-TIF 470,603 431,635 448,174 398,682 (49,492) -11.04% <br />Enterprise Funds 3,593,955 4,224,315 4,589,361 5,674,746 1,085,385 23.65% <br />Internal Service Fund - 297,550 323,710 382,139 58,429 18.05% <br /> Total Expenditures 12,129,391 14,782,935 19,512,897 17,767,550 (1,745,347) -8.94% <br /> Net Changes in Fund Balance 1,093,904$ (2,073,313)$ (2,309,073)$ (2,434,187)$ <br />CITY OF LITTLE CANADA ANNUAL BUDGET <br />BUDGET SUMMARY ALL FUNDS <br />BY FUND TYPE <br />12