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2023 2024 2025 2025 2026 <br />ACTUAL ACTUAL BUDGET ESTIMATED BUDGET <br />REVENUES: <br />Funds Transferred In (W/S Deprec.) 433,200$ 446,200$ 459,600$ 459,600$ 473,371$ <br />Solar Panels 5,000 5,000 5,000 <br />Special Assessments 76,420 151,200 - - - <br />Connection Charges 54,091 1,762 55,000 55,000 - <br />Developer Contribution - 201,469 201,469 - <br />Transfer in from Sewer or Grant 50,000 50,000 50,000 <br />Interest Earnings 66,017 95,800 8,700 8,700 27,670 <br />TOTAL REVENUES 629,728$ 694,962$ 779,769$ 779,769$ 556,041$ <br />EXPENDITURES: <br />Admin & Equipment 35,776$ 3,453$ 177,247 177,247 109,052 <br />Lines 173,920 517,453 - - 451,500 <br />Facilities 9,477 882,500 882,500 86,500 <br />Debt service payments transfer 231,212 227,343 227,413 227,413 227,800 <br />TOTAL EXPENDITURES 440,908$ 757,726$ 1,287,160$ 1,287,160$ 874,852$ <br />NET INCREASE (DECREASE)188,820 (62,764) (507,391) (507,391) (318,811) <br />BEGIN. FUND BAL. (DEFICIT)1,769,848 1,958,668 1,895,904 1,895,904 1,388,513 <br />ENDING FUND BAL. (DEFICIT)1,958,668$ 1,895,904$ 1,388,513$ 1,388,513$ 1,069,702$ <br />LESS INTERFUND LOAN BAL.- - - - <br />AVAILABLE FUND BALANCE 1,958,668$ 1,895,904$ 1,388,513$ 1,069,702$ <br />CITY OF LITTLE CANADA OPERATING BUDGET <br />WATER/SEWER CAPITAL REPLACEMENT FUND (604) <br />127