Laserfiche WebLink
CITY OF MOUNDS VIEW, MINNESOTA <br />Capital Project Funds 2018 Budgets <br />Combining Statement of Revenues and Expenditures <br />0 <br />Park <br />Vehicle and <br />Special <br />Street <br />Total Budget <br />Dedication <br />Equipment <br />Proiects <br />Improvement <br />2018 <br />2017 <br />Revenue: <br />$ - <br />$ - <br />$ - <br />$ - <br />$ - <br />$ 300,000 <br />Taxes <br />Franchise fees <br />- <br />- <br />- <br />290,000 <br />290,000 <br />280,000 <br />Special assessments <br />- <br />- <br />- <br />20,000 <br />20,000 <br />20,000 <br />Intergovernmental: <br />State <br />- <br />- <br />- <br />275,000 <br />275,000 <br />275,000 <br />County <br />- <br />- <br />- <br />- <br />- <br />39,300 <br />Miscellaneous: <br />Investment income - <br />2,000 <br />- <br />2,000 <br />15,000 <br />19,000 <br />56,000 <br />Other <br />3,000 <br />- <br />- <br />- <br />3,000 <br />3,000 <br />Total revenue <br />5,000 <br />- <br />2,000 <br />600,000 <br />607,000 <br />973,300 <br />Expenditures: <br />General government <br />- <br />- <br />40,000 <br />- <br />40,000 <br />31,000 <br />Public safety <br />- <br />84,600 <br />- <br />- <br />84,600 <br />77,300 <br />Streets and highways <br />- <br />- <br />1,092,000 <br />1,450,000 <br />2,542,000 <br />10,288,027 <br />Culture and recreation <br />320,000 <br />- <br />- <br />- <br />320,000 <br />123,850 <br />Total expenditures <br />320,000 <br />84,600 <br />1,132,000 <br />1,450,000 <br />2,986,600 <br />10,520,177 <br />Excess (deficiency) of revenue <br />over expenditures <br />(315,000) <br />(84,600) <br />(1,130,000) <br />(850,000) <br />(2,379,600) <br />(9,546,877) <br />Other financing sources (uses) <br />Operating transfers <br />Bonds issued <br />- <br />- <br />- <br />- <br />- <br />7,500,000 <br />Transfers in <br />- <br />396,000 <br />75,000 <br />- <br />471,000 <br />384,000 <br />Transfers out <br />- <br />(22,000) <br />(126,284) <br />- <br />(148,284) <br />(56,600) <br />Total other financing <br />sources (uses) <br />- <br />374,000 <br />(51,284) <br />- <br />322,716 <br />7,827,400 <br />Net change in fund balance <br />(315,000) <br />289,400 <br />(1,181,284) <br />(850,000) <br />(2,056,884) <br />(1,719,477) <br />Fund balance, January 1 <br />292,257 <br />1,358,486 <br />1,363,512 <br />1,127,785 <br />4,142,040 <br />5,643,337 <br />Fund balance, December 31 <br />$ (22,743) <br />$ 1,647,886 <br />$ 182,228 <br />$ 277,785 <br />$ 2,085,156 <br />$ 3,923,860 <br />0 <br />