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2023 2024 2025 2025 2026 <br />ACTUAL ACTUAL BUDGET ESTIMATED BUDGET <br />Revenues: <br />General Capital Improvement Levy 159,999$ 152,506$ 130,000$ 130,000$ 130,000$ <br />Donations (1) 195,000 140,000 39,000 425,000 100,000 <br />Police Safety Aid - 450,000 - - <br />Sale of equipment 4,000 - - <br />Investment interest 51,177 82,517 20,600 30,063 33,766 <br />TOTAL REVENUES 410,176$ 825,023$ 189,600$ 585,063$ 263,766$ <br />Expenditures: <br />Audit fees 250 369 292 389 408 <br />Fire equipment replacement 72,966 1,464,486 399,500 399,500 415,750 <br />TOTAL EXPENDITURES 73,216$ 1,464,855$ 399,792$ 399,889$ 416,158$ <br /> <br />Net Increase (Decrease)336,960 (639,832) (210,192) 185,174 (152,392) <br />Beginning Fund Balance 1,806,018$ 2,142,978$ 1,503,146$ 1,688,320$ <br />Ending Fund Balance 2,142,978$ 1,503,146$ 1,688,320$ 1,535,928$ <br />(1) Fire Department contribution towards fire equipment. <br />2023 2024 2025 2025 2026 <br />ACTUAL ACTUAL BUDGET ESTIMATED BUDGET <br />Revenues: <br />Cell tower leases 680$ -$ -$ -$ <br />Investment interest - - - - <br />Sale of City property - - - - <br />TOTAL REVENUES 680$ -$ -$ -$ -$ <br />Expenditures: <br />Auditors 220$ -$ -$ -$ <br />Sale of property - - - - <br />Transfer to EDA Fund (105)672,835 - - - <br />Transfer to Another Fund - - - - <br />Engineer/Consultant/Attorney - - - - <br />TOTAL EXPENDITURES 673,055$ -$ -$ -$ -$ <br /> <br />Net Increase (Decrease)(672,375)$ -$ -$ -$ -$ <br />Beginning Fund Balance 672,375$ 0$ 0$ 0$ <br />Ending Fund Balance 0$ 0$ 0$ 0$ <br />DETAILED OTHER CAPITAL PROJECT FUND BUDGETS <br />FIRE CAPITAL FUND (Fund 457) <br />OWASSO/WOODLYN REDEVELOPMENT (Fund 474) <br />110