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DETAILED OTHER CAPITAL PROJECT FUND BUDGETS <br />Revenues: <br />Park Charge Fee <br />Interest <br />Expenditures: <br />Auditor <br />Land purchase <br />PARK LAND AQUISITION (Fund 456) <br />2011 2012 2013 2013 2014 <br />Actual Actual Budget thru 7/31 Budget <br />28,600 $ 5,201 $ 8,700 $ 10,400 $ 8,700 <br />29,359 23,530 15,047 - 22,000 <br />Total Revenue $ 57,959 $ 28,731 $ 23,747 $ 10,400 $ 30,700 <br />$ 530 $ 530 $ 530 $ 530 $ 530 <br />130,000 - <br />Total Expenditures $ 530 $ 530 $ 530 $ 530 $ 530 <br />Net Increase (Decrease) 57,429 28,201 23,217 9,870 30,170 <br />Beginning Fund Balance <br />Ending Fund Balance <br />$ 864,752 $ 922,181 $ 950,382 $ 950,382 $ 973,599 <br />$ 922,181 $ 950,382 $ 973,599 $ 960,252 $ 1,003,769 <br />FIRE EQUIPMENT REPLACEMENT (Fund 457) <br />2013 2013 2014 <br />Budget thru 7/31 Budget <br />Revenues: <br />General Capital Improvement Levy $ 113,293 $ 58,364 $ 120,091 <br />Donations (1) 20,000 101,018 20,000 <br />Transfer in - 322,833 - <br />Total Revenue $ 133,293 $ 482,215 $ 140,091 <br />Expenditures: <br />Fire Equipment Replacement $ $ <br />Total Expenditures $ - $ <br />Net lnerease (Decrease) 133,293 482,215 140,091 <br />Beginning Fund Balance $ - $ - $ 133,293 <br />Ending Fund Balance $ 133,293 $ 482,215 $ 273,384 <br />(1) Fire Department contribution towards fire equipment replacement fund. <br />39 <br />