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Lakeside Park (Fund 255): <br />Revenues <br />11,500 <br />3370 <br />Spring Lake Pk contribution <br />3370 <br />Mounds View contribution <br />3610 <br />Investment income <br />3665 <br />Park site permit <br />- 0.00% <br />Total revenue <br />Operating expenses (4350): <br />Personnel services <br />0150 Salaries, part-time <br />0300 Social security <br />0500 Workers compensation <br />Total personnel services <br />2019 Budget Summary <br />2015 2016 2017 2018 2019 Chanize from 2018 <br />Actual Actual Actual Budget Reclues Dollar Percent <br />11,500 <br />11,500 <br />11,500 <br />11,500 <br />11,500 <br />- 0.00% <br />11,500 <br />11,500 <br />11,500 <br />11,500 <br />11,500 <br />- 0.00% <br />132 <br />142 <br />226 <br />300 <br />200 <br />(100) -33.33% <br />921 <br />789 <br />1,231 <br />250 <br />500 <br />250 100.00% <br />24,053 <br />23,931 <br />24,457 <br />23,550 <br />23,700 <br />150 0.64% <br />2,079 2,805 1,785 3,680 3,680 - 0.00% <br />159 214 137 282 282 - 0.00% <br />202 189 196 190 253 63 33.16% <br />2,440 3,208 2,118 4,152 4,215 63 1.52% <br />Materials & supplies <br />1210 Supplies, bldgs & grounds - 1,612 2,875 1,100 1,700 600 54.55% <br />1600 Supplies, operating 928 644 539 1,357 800 (557) -41.05% <br />Total materials & supplies 928 2,256 3,414 2,457 2,500 43 1.75% <br />Contractual services <br />3200 <br />Water & sewer <br />2,090 <br />2,812 <br />2,549 <br />1,800 <br />2,400 <br />600 <br />33.33% <br />3210 <br />Electricity <br />1,262 <br />1,106 <br />1,140 <br />1,400 <br />1,300 <br />(100) <br />-7.14% <br />3530 <br />Refuse collection <br />- <br />- <br />- <br />75 <br />75 <br />- <br />0.00% <br />4010 <br />Equipment Contribution SLP <br />4,986 <br />4,986 <br />5,036 <br />4,600 <br />4,800 <br />200 <br />4.35% <br />4030 <br />Satellites <br />1,487 <br />819 <br />680 <br />650 <br />700 <br />50 <br />7.69% <br />4800 <br />Insurance <br />4,608 <br />4,488 <br />4,558 <br />4,800 <br />4,800 <br />- <br />0.00% <br />5130 <br />Repairs, equipment <br />2,795 <br />- <br />3,541 <br />3,616 <br />2,920 <br />(696) <br />-19.25% <br />Total contractual services <br />17,228 <br />14,211 <br />17,504 <br />16,941 <br />16,995 <br />54 <br />0.32% <br />Total expenses 20,596 19,675 23,036 23,550 23,710 160 0.68% <br />Net change in fund balance 3,457 4,256 1,421 - (10) (10) #DIV/0i <br />Fund balance, beginning year 345 3,802 8,058 9,479 9,479 - 0.00% <br />Fund balance, end of year 3,802 8,058 9,479 9,479 9,469 (10) -0.11% <br />66 <br />