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<br />NOTE 3 - INTERFUND RECEIVABLES, PAY ABLES, AND TRANSFERS (CONTINUED) <br /> <br />B. Advances To and From Other Funds <br /> <br />Individual interfund advances to and from other funds at year-end were as follows: <br /> <br />Receivable Fund Payable Fund Amount <br />Landfill Special Revenue General $ 351,172 <br />This advance was to internally finance a facility loan. <br />C. Interfund Transfers <br /> Transfers In <br /> Public <br /> Improvement <br /> Revolving Equipment Nonmajor <br />Trans fers Out General Capital Projects Revolving Governmental Proprietary Total <br />General Fund $ $ 37,396 $ 9,349 $ 46,744 $ $ 93,489 <br />Tax Increment Special <br />Revenue Fund 1,208,781 1,208,781 <br />Publ ic I mprovement Revolving <br />Capital Projects Fund 125,000 336,962 461,962 <br />Landfill-Capital Projects <br />Fund 601,712 601,712 <br />Equipment Revolving <br />Capital Projects Fund 354,616 354,616 <br />Municipal Center Capital <br />Projects Fund 297,607 297,607 <br />Nonmajor Governmental <br />Funds 890,259 36,903 155,533 361,035 1,443,730 <br />Proprietary Funds 68,200 68,200 <br /> $ 1,438,075 $ 74,299 $ 9,349 $ 2,647,339 $ 361,035 $ 4,530,097 <br /> <br />Transfers are used to move revenues from the funds in which they are collected to the funds where they <br />are to be spent in accordance with statutory, budgetary or contractual requirements. Transfers are made in <br />accordance with the budget or as approved by the City Council. <br /> <br />-38- <br />