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CITY OF MOUNDS VIEW <br /> Nonmajor Governmental Funds <br /> Combining Statement of Revenues,Expenditures,and Changes in Fund Balances <br /> Year Ended December 31,2025 <br /> Debt <br /> Service- <br /> G.O.Capital Capital <br /> Improvement Projects- <br /> Special Plan Bonds Park <br /> Revenue of 2017A Dedication Total <br /> Revenue <br /> Taxes <br /> Property $ - $ 406,999 $ - $ 406,999 <br /> Tax increment 95,287 95,287 <br /> Franchise 84,092 84,092 <br /> Intergovernmental 253,035 253,035 <br /> Charges for services 3,630 3,630 <br /> Fines and forfeits 9,485 9,485 <br /> Investment earnings 1,864 9,331 2,604 13,799 <br /> Total revenue 447,393 416,330 2,604 866,327 <br /> Expenditures <br /> Current <br /> Public safety 2,989 2,989 <br /> Sanitation 40,348 40,348 <br /> Culture and recreation 115,460 - 9,575 125,035 <br /> Economic development 102,046 - - 102,046 <br /> Debt service <br /> Principal - 270,000 - 270,000 <br /> Interest and fiscal charges - 124,603 - 124,603 <br /> Total expenditures 260,843 394,603 9,575 665,021 <br /> Excess(deficiency)of revenues <br /> over expenditures 186,550 21,727 (6,971) 201,306 <br /> Other financing(uses) <br /> Transfers out (5,371) (5,371) <br /> Net change in fund balances 181,179 21,727 (6,971) 195,935 <br /> Fund balances <br /> Beginning of year 387,921 438,606 63,194 889,721 <br /> End of year $ 569,100 $ 460,333 $ 56,223 $ 1,085,656 <br /> -77- <br />