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1' <br /> 114 , <br /> GENERAL FUND <br /> STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE <br /> REVENUES 1998 11999 2000 2001 <br /> ACTUAL ACTUAL BUDGET BUDGET <br /> Property Taxes $1,611,779 $1,623,024 $1,647,970 $1,766,475 7.19% <br /> Licenses $6,208 $8,863 $10,000 $10,550 5.50% <br /> Permits $90,637 $101,593 $85,400 $99,500 16.51% <br /> Intergovernmental Revenue $678,207 $780,695 $717,757 $738,918 2.95% <br /> Contract Revenue(Lauderdale/Falcon Heights) $504,310 $529,426 $550,173 $569,432 3.50% <br /> Charges for Service (Fines) $88,389 $100,647 $100,000 $100,000 0.000/0 <br /> Miscellaneous Revenues $121,131 $164,565 $76,150 $135,000 77.28% <br /> Transfers 8E Miscellaneous Revenues $65,094 $8.6,344 $3.44.444 $100-00 -70.59% <br /> GENERAL FUND TOTAL REVENUES $3 16S,661 $3,395,153 $3.527.450 $3,519,875 -0.21% <br /> EXPENDITURES 1998 1999 2000 2001 <br /> ACTUAL ACTUAL BUDGET BUDGET <br /> Mayor/City-Council $49,874 $51,349 $58,000 $53,000 -8.62% <br /> Public/Intergovernmental Relations $13,052 $19,197 $17,450 $19,500 11.75% <br /> Cable Franchise $14,906 $17,667 $20,500 $18,000 -12.20% <br /> General Management $86,137 $84,705 $114,400 $93,000 -18.71% <br /> Elections $15,073 $14,213 $22,800 $16,400 -28.07% <br /> Finance, Insurance/Accounting $190,818 $200,145 $271,700 '$212,400 -21.83% <br /> Finance,Assessing $32,397 $34,395 $37,000 $36,500 -1.35% <br /> Legal $45,567 $55,062 $59,800 $58,400 -2.34% <br /> Engineering,Planning/Zoning $4,338 $2,488 $9,100 $2,700 -70.33% <br /> City Building $91,620 $98,671 $98,900 $104,600 5.76% <br /> Civil Defense/Emergency Management $35,206 $36,162 $40,900 $40,400 -1.22% <br /> Police Protection $807,416 $919,028 $1,010,700 $983,600 -2.68% <br /> Lauderdale/Falcon Heights Contracts $421,844 $437,871 $474,300 $491,200 3.56% <br /> Fire Protection $463,000 $465,164 $494,300 $527,975 6.81% <br /> Inspections,Building/Plumbing/Heating/Health $63,941 $65,830 $66,300 $69,800 5.28% <br /> Animal Control $3,213 $3,151 $5,700 $3,400 -40.35% <br /> Public Works $328,919 $338,758 $420,700 $367,800 -12.57% <br /> Public Works,Maintenance/Repair Equipment $81,899 $97,828 $117,400 $103,700 -11.67% <br /> Tree and Weed Care $21,661 $21,679 $30,700 $25,400 -17.26% <br /> Parks $59,657 $69,624 $81,800 $105,100 28.48% <br /> Transfers to Other Funds $260,972 $197,697 $75,000 $75,000 0.00% <br /> Budget Reserves $0 $0 $0 $112,000 100.00% <br /> Other Expenditures (Approved by Council) $4 %43,008 IQ. $4 <br /> GENERAL FUND TOTAL EXPENDITURES $3,091,Slo $3.273,692 $3,52750 $3__;519,875 -0.21% <br /> FUND BALANCE AT END OF YEAR $711,294 $870,708 $870,708 $982,708 <br />