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- 2 - <br />(Pursuant to Minnesota Statutes Section 273.74, Subd. 6, this schedule should be <br />in the Supplemental Information aection of the audited annual financial report.) <br />MINNESOTA LOCAL GOVERNMENT <br />SCHEDULE OF SOURCES AND USES OF PUBLIC FUNDS <br />FOR (NAME AND NUMBER), A TAR INCREMENT FINANCING DISTRICT <br />DECEMBER 31, 19RR <br />Accounted <br />Original Amended for in Current <br />Budget —Budget Prior Years Year <br />Sources of Funds: $ S <br />Bond proceeds S S S <br />Tax increments received <br />Interest on invested funds <br />Real estate talaa (Note 1) <br />Other (Deocribe) <br />Other (Describe) _ -- <br />Total Sources of Funds S $ S S S <br />Uses of Funds: S <br />Land sequiaitioo S S S S <br />Building acquisition <br />Site improvements or <br />preparation costa <br />Installation of public <br />- utilities and improvements <br />Other public improvements <br />Bond payments <br />principal <br />Interest <br />Loan payments <br />Principal <br />Interest <br />Administrative costs <br />Other (Describe) <br />Total Uses of Funds S S S . S _ $ <br />District Belence (or Deficiency) $ $ S $ S <br />Transfers to other districts <br />Transfers frod other districts <br />Transfers to/from other funds <br />Funds Remaining (or Deficient) $ $ i� $ S <br />*See instructions page S <br />NOIES <br />Note (1) (List district properties sold to developers, the total cost to the Authority <br />fair market value, if contributed, and the price paid by the developer.) <br />Note (2) (List tax exempt obligations, other than tas increment bonds, issued on behalf <br />private entities for facilities located in the district.) <br />