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Cash balance, Dec. 31, 2013 <br />Revenues 2014: <br />Taxes <br />Tax increment <br />Special assessments <br />Intergovernmental: <br />State <br />Federal <br />County <br />Miscellaneous: <br />Investment income <br />Developer payments <br />Proceeds from bond sale <br />Operating transfer in <br />Total revenue <br />Available Resources <br />City of Mounds View <br />Capital Improvement Plan 2015 thru 2019 <br />Impact on Capital Projects Funds' Cash Balances <br />Special <br />Street <br />Park <br />Vehicle and <br />- <br />Projects <br />Improvement <br />Dedication <br />Equipment <br />Total <br />60,000 <br />72,000 <br />Public safety <br />Streets, highways, &utilities <br />$ 720,815 <br />$ 7,282,939 <br />$ 287,726 <br />$ 1,752,218 <br />$ 10,043,698 <br />- <br />553,000 <br />- <br />- <br />553,000 <br />- <br />1,300,000 <br />- <br />- <br />1,300,000 <br />_20,000 <br />243,600 <br />- <br />- <br />20,000 <br />- <br />315,000 <br />- <br />- <br />315,000 <br />7,208 <br />72,829 <br />2,877 <br />- <br />82,915 <br />- <br />_ <br />69,300 <br />- <br />69,300 <br />over (under) expenditures <br />300,000 <br />- <br />212,000 <br />512,000 <br />7,208 <br />2,560,829 <br />72,177 <br />212,000 <br />2,852,215 <br />$ 1,605,518 <br />$ 8,281,113 <br />728,023 <br />9,843,768 <br />359,903 <br />1,964,218 <br />12,895,913 <br />Expenditures 2014: <br />- <br />190,000 <br />Government buildings & equip <br />190,000 <br />- <br />- <br />- <br />60,000 <br />72,000 <br />Public safety <br />Streets, highways, &utilities <br />12,000 <br />109,500 <br />- <br />3,551,000 <br />_ <br />145,100 <br />3,805,600_ <br />Sidewalks & trails <br />225,000 <br />- <br />_ <br />- <br />78,600 <br />- <br />225,000 <br />78,600 <br />Parks &recreation <br />- <br />- <br />153,600 <br />243,600 <br />Operating transfers out <br />90,000 <br />626,500 <br />- <br />3,551,000 <br />78,600 <br />358,700 <br />4,614,800 <br />Total expenditures <br />Surplus of revenues <br />(619,292) <br />(990,171) <br />(6,423) <br />(146,700) <br />(1,762,585) <br />over (under) expenditures <br />Cash balance, Dec. 31, 2014 <br />$ 101,523 <br />$ 6,292,768 <br />$ 281,303 <br />$ 1,605,518 <br />$ 8,281,113 <br />16 <br />