Laserfiche WebLink
2018 Budget Summary <br />2014 2015 2016 2017 2018 Change from 2017 <br />Actual Actual Actual Budget Request Dollar Percent <br />Park Dedication (Fund 451): <br />25,562 <br />67,380 <br />Revenues <br />2,235 - <br />23,307 - - 0.00% <br />3610 Investment income <br />17,648 5,037 4,334 2,000 2,000 <br />- 0.00% <br />3650 Park donations <br />8,900 15,085 - - - <br />- 0.00% <br />3652 Park dedication fees <br />213,529 - 1,082 3,000 3,000 <br />- 0.00% <br />Total revenue <br />240,077 20,122 5,416 5,000 5,000 <br />- 0.00% <br />Operating expenses <br />Operations (4350): <br />Materials & supplies <br />1230 Supplies, equip. < $5,000 15,367 - - - - 0.00% <br />1600 Supplies, operating - - 3,973 - - 0.00% <br />Total materials & supplies 15,367 - 3,973 - - 0.00% <br />Contractual services <br />25,562 <br />67,380 <br />3030 Other professional services <br />2,235 - <br />23,307 - - 0.00% <br />5110 Repairs, Buildings & Grounds <br />- - <br />23,707 - - 0.00% <br />Total contractual services <br />2,235 - <br />47,014 - - - 0.00% <br />(315,000) <br />(205,150) 186.75% <br />Capital <br />280,421 <br />494,936 <br />7050 Construction <br />7,960 67,380 <br />- 114,850 320,000 205,150 178.62% <br />Total capital outlays <br />7,960 67,380 <br />- 114,850 320,000 205,150 178.62% <br />Total expenses <br />25,562 <br />67,380 <br />50,987 <br />114,850 <br />320,000 <br />205,150 178.62% <br />Net change in fund balance <br />214,515 <br />(47,258) <br />(45,571) <br />(109,850) <br />(315,000) <br />(205,150) 186.75% <br />Fund balance; beginning year <br />280,421 <br />494,936 <br />447,678 <br />402,107 <br />292,257 <br />(109,850) -27.32% <br />Fund balance, end of year <br />$ 494,936 <br />$ 447,678 <br />$ 402,107 <br />$ 292,257 <br />$ (22,743) <br />$ (315,000) -107.78% <br />73 <br />