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Fiscal Year 2024 <br />ACTUAL ACTUAL ACTUAL ACTUAL BUDGET EST. ACTUAL BUDGET <br />2019 2020 2021 2022 2023 2023 2024 <br />REVENUES <br />230-3360-0-0-00 GRANT REVENUE -$ -$ -$ -$ -$ <br />230-3520-0-0-00 FORFEITURES 11,205 11,965 7,531 44,531 10,000 9,276 10,000 <br />230-3810-0-0-00 INVESTMENT INCOME 1,435 1,008 (248) (1,713) 50 1,900 50 <br />230-3891-0-0-00 MISCELLANEOUS INCOME - - - - - - <br />230-3910-0-0-00 SALE OF ASSETS - - - - - - - <br />230-3920-0-0-00 TRANSFER-IN - - - - - - - <br />TOTAL 12,640$ 12,973$ 7,283$ 42,818$ 10,050$ 11,176$ 10,050$ <br />EXPENDITURES <br />230-4221-00-0000 SUPPLIES- EQUIPMENT -$ -$ 10,806$ 7,815$ 6,500$ 11,320$ 9,500$ <br />230-4226-00-0000 GENERAL SUPPLIES - 25 - - - - - <br />230-4310-00-0000 EAST METRO SWAT MEMBERSHIP - 4,000 4,000 4,000 5,000 5,000 5,750 <br />230-4341-00-0000 TRAINING - - - - - - - <br />230-4499-00-0000 MISCELLANEOUS EXPENSE 3,170 913 237 897 900 150 900 <br />230-4530-00-0000 POLICE EQUIPMENT PURCHASED - 7,485 - - - - <br />TOTAL 3,170$ 4,938$ 22,528$ 12,712$ 12,400$ 16,470$ 16,150$ <br />NET CHANGE 9,470$ 8,035$ (15,245)$ 30,106$ (2,350)$ (5,294)$ (6,100)$ <br />BEGINNING FUND BALANCE 36,825 46,295 54,330 39,084 69,190 69,190 63,896 <br />ENDING FUND BALANCE 46,295$ 54,330$ 39,084$ 69,190$ 66,840$ 63,896$ 57,796$ <br />FORFEITURE FUND <br />41