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Financial Informntion <br />Revenues <br />State fire aid $ 20,971 $xxxxxxxxxxx <br />Municipal contributions $ 12,000 $ xxxxxxxxxxx <br />Member dues or contributions $ -- $ <br />Interest and dividends $ 73,061 $ 16,174 <br />Realized gains (losses) on assets $ 6,541 $ (55) <br />Fundraising activities $ -- $ -- <br />Outside donations $ $ <br />Unrealized increase (Decrease) in Market $ 5,932 $ A,886 <br />Other income $ $ <br />Total Revenue $ 118,505 $ 21,005 <br />Pensions Expenditures and Benefits <br />Service Pensions - Retirees $ $ xxxxxxxxxxx <br />Service Pensions - Survivors $ $ xxxxxxxxxxx <br />Service Pensions- Disabled $ $ xxxxxxxxxxx <br />Illness or short term disability pay $ $ xxxxxxxxxxx <br />Death or funeral benefit $ $ xxxxxxxxxxx <br />Total Pension and Benefit Expenditures $ $ a000aooaoaoc <br />Administrative <br />Salaries $ $ <br />Conventions and meetings $ $ <br />Dues $ -- $ <br />Training $ $ <br />Actuarial, audit, legal $ 2,500 $ 1,000 <br />Bond $ -- $ -_ -_ <br />Investment Advisor $ -- $ <br />Other $ 526 $ -- <br />Total Administrative Expenditures $ 3,026 $ 1,000 <br />Total Expenditures <br />$ 3,026 $ 1,000 <br />Selected Assets and Liabilities <br />You may attach a balance sheet for the special and general fund or complete this schedule) <br />Accounts receivable $ 4,432 $ 470 <br />Accounts payable $ -- $ -- <br />Transfers $ -- $ -- <br />Balancing Test <br />Total assets as of January 1, 1992 <br />Plus Total Revenue this year <br />Minus Total Expenditures this year <br />Must equal Total Assets as of December 31, 1992 <br />Page 21 <br />$1,031,646 <br />$ 132,510 <br />$ 4,U?b <br />$1,227,130 <br />