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Cify of Mounds View <br />Capital Improvement Plan 2010 thru 2014 <br />Impact on Capitai Projects Funds' Cash Balances <br /> Special Street Park Community <br /> Projects Improvement Dedication Fund Total <br /> <br />Cash balance, Dec. 31, 2008 1,400,461 2,893,123 890,868 2,628,616 7,813,068 <br />2009 Revenues: <br />Taxes & franchise fees 240,000 240,000 <br />Tax increment 5,063,400 5,063,000 <br />Special assessments " <br />intergovernmental: <br />State 1, 349,531 1,349,531 <br />Federal 525,000 525,000 <br />County <br />Miscellaneous: <br />Investment income 35,012 72,328 22,272 65,715 195,327 <br />Developer payments 6,000 6,000 <br />Proceeds from bond sale <br />Total revenue 35,012 7,249,859 28,272 65,715 7,378,858 <br />Available Resources 1,435,473 10,142,982 919,14D 2,694,331 " 15,191,926 <br /> <br />2409 Expenditures: <br />General Government " <br />Government buildings 50,000 50,000 <br />Public safety " <br />Streets and highways 4,813,000 4,813,000 <br />Sidewalks & trails 124,000 1,275,400 1,399,000 <br />Parks & recreation 46,200 46,200 <br />Operating transfers out <br />Total expenditures 174,000 6,088,000 46,200 - 6,308,200 <br /> <br />Surplus of revenues <br />over {under expenditures (138,988}_ 1,161,859 (17,928) 65,715 1,070,658 <br />Cash balance, Dec. 31, 2009 $ 1,261,473 $ 4,054,982 $ 872,940 $ 2,694,331 $ 8,883,726 <br />11 <br />