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CITY OF LITTLE CANADA, MINNESOTA <br />CHANGES IN FUND BALANCES OF GOVERNMENTAL FUNDS <br />Last Ten Fiscal Years <br />(modified accrual basis of accounting) <br />Table 4 <br />2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 <br />Revenues <br />Property taxes 2,904,266$ 3,009,596$ 3,030,586$ 3,294,816$ 3,398,344$ 3,519,584$ 3,594,163$ 3,763,796$ 4,255,610$ 4,417,754$ <br />Franchise taxes 127,865 133,804 135,557 480,454 477,274 477,184 483,758 469,042 461,439 659,728 <br />Tax increment collections 913,126 1,217,988 932,165 467,862 538,791 570,105 709,350 727,497 789,954 885,217 <br />Special assessments 1,092,822 1,302,179 1,022,706 985,904 680,632 974,538 708,476 803,397 666,305 567,379 <br />Licenses and permits 716,247 904,927 643,841 300,059 497,295 221,328 195,101 562,379 643,654 577,872 <br />Intergovernmental 580,382 2,289,007 591,857 644,422 729,203 4,015,015 1,103,216 1,522,656 4,399,630 2,627,998 <br />Charges for services 509,380 519,062 474,145 487,175 555,480 552,607 627,845 613,645 1,335,035 1,677,333 <br />Fines and forfeits 40,325 42,311 44,707 48,569 49,408 24,151 40,440 45,911 28,364 32,584 <br />Investment earnings (loss)302,870 286,814 316,795 299,521 530,625 442,497 6,649 (301,608) 680,695 802,668 <br />Connection charges - - - - 51,120 260 1,200 - - - (1) <br />Contributions & donations 136,826 294,559 102,107 140,461 239,716 197,168 254,825 466,810 250,529 67,384 <br />Miscellaneous 810,513 1,180,067 2,824,153 293,261 755,184 1,200,313 103,044 564,019 294,340 747,001 <br />Total revenues 8,134,622 11,180,314 10,118,619 7,442,504 8,503,072 12,194,750 7,828,067 9,237,544 13,805,555 13,062,918 <br />Expenditures <br />Current: <br />General government 532,783 725,713 964,130 1,414,365 515,613 575,115 657,298 688,102 859,469 945,744 <br />Housing & economic development - - - - 690,771 226,265 282,710 271,771 1,119,251 1,461,935 <br />Public safety 1,976,340 2,029,462 2,185,949 2,311,243 2,492,581 2,557,076 2,463,411 2,527,832 2,713,759 2,959,482 <br />Public works 465,709 424,927 533,914 460,543 484,906 514,870 463,823 567,401 615,360 516,317 <br />Sanitation and recycling - - - - 413,046 448,249 462,250 476,404 528,075 578,212 <br />Culture and recreation 919,326 925,496 899,477 1,515,483 572,853 554,358 612,420 696,872 778,859 832,344 <br />Capital outlay 3,944,063 6,469,797 3,186,475 1,579,493 1,943,411 5,283,521 1,758,160 3,361,857 6,236,757 6,839,634 <br />Debt Service: <br />Principal retirement 690,792 876,470 622,069 1,863,094 1,268,077 301,859 299,237 308,549 302,358 312,505 <br />Interest 475,330 428,465 362,261 318,745 244,372 176,764 134,339 103,929 83,072 75,501 <br />Fiscal charges 21,615 625 447 1,290 950 950 950 950 - - <br />Miscellaneous 45,280 - - 477 8,327 1,068 1,038 995 - - <br />Total expenditures 9,071,238 11,880,955 8,754,722 9,464,733 8,634,907 10,640,095 7,135,636 9,004,662 13,236,960 14,521,674 <br />Revenues over (under) expenditures (936,616) (700,641) 1,363,897 (2,022,229) (131,835) 1,554,655 692,431 232,882 568,595 (1,458,756) <br />Other Financing Sources (Uses) <br />Transfers in 1,956,117 1,801,318 1,713,060 1,185,418 1,916,745 1,200,585 1,699,798 2,623,682 1,183,750 1,393,063 <br />Transfers out (1,656,117) (1,501,318) (1,413,060) (885,418) (1,616,745) (900,585) (1,399,798) (2,248,682) (750,550) (1,048,863) <br />Bonds issued 1,335,000 - - - - - - - - - <br />Premium on debt issued 21,847 - - - - - - - - - <br />Payment to refunded bond escrow - (1,400,000) - - - - - - - - <br />Proceeds from sale of capital assets 5,000 508,556 74,101 85,000 34,500 40,000 159,775 498,543 72,500 - <br />Total other financing sources (uses)1,661,847 (591,444) 374,101 385,000 334,500 340,000 459,775 873,543 505,700 344,200 <br />Net change in fund balances 725,231$ (1,292,085)$ 1,737,998$ (1,637,229)$ 202,665$ 1,894,655$ 1,152,206$ 1,106,425$ 1,074,295$ (1,114,556)$ <br />Debt service as a percentage of <br />noncapital expenditures 21.9%23.3%16.3%26.5%20.3%6.8%7.9%6.9%5.2%4.7% <br />Note: (1) Connection charges in charges for services prior to 2019 <br />125