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Cify of Mounds View <br />Capital Improvement Plan 2D10 thru 2D14 <br />Impact on Capital Projects Funds' Cash Balances <br /> Special Street Park Community <br /> Projects Improvement Dedication Fund Total <br /> <br />Cash balance, Dec. 31, 2012 $ 451,699 $ 271,012 $ 670,676 $ 2,622,731 $ 4,016,117 <br />2013 Revenues: <br />Taxes 640,000 640,000 <br />Tax increment 900,000 900,000 <br />Speciai assessments <br />Intergovernmental: <br />State 415,000 415,006 <br />Federal 640,000 640,000 <br />County 245,DDD 245,000 <br />Miscellaneous: <br />Investment income 13,551 8,130 20,120 78,682 120,484 <br />beveloper payments 6,000 6,000 <br />Proceeds from bond sale 1,005,000 1,005,000 <br />Operating transfer in 1,100,000 <br />Total revenue 13,551 4,953,130 26,120 78,682 3,971,484 <br />Available Resources 465,250 5,224,142 696,796 2,701,412 7,987,601 <br /> <br />2013 Expenditures: <br />Government buildings <br />Public safety <br />Streets and highways 3,876,460 3,876,460 <br />Sidewalks & trails 124,000 800,000 924,000 <br />Parks & recreation 75,000 75,000 <br />Operating transfers out 1,100,000 1,100,000 <br />Total expenditures OD0 <br />124 4,676,460 75,000 1,100,000 5,975,460 <br /> , <br />Surplus of revenues <br />over (under) expenditures (110,449) 278,670 (48,880) (1,021,318) (2,003,976) <br /> <br />Cash balance, dec. 31, 2013 $ 341,250 $ 547,682 $ 621,79fi $ 1,601,412 $ 2,012,141 <br />15 <br />