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CC Regular Session <br />Date: 04/26/2011 <br />By: Diana Lund <br />Finance <br />Item #: 5.2. <br />Information <br />Title: <br />January - March 2011 Financial Reports - General Fund and Enterprise Funds <br />Background: <br />Brief summary of actual revenues and expenditures to date in comparison to adopted budget for the funds of: <br />General, Water, Sewer, Storm, Street Lighting, Recylcing and Storm Drainage. <br />You will note little revenue having been received as the 1st quarter utility bill has not yet been billed, nor has the <br />largest revenue source for the General Fund - Property Taxes, been collected. <br />Council Action: <br />No action required. Informational only. <br />Attachments <br />January - March 2011 Financial Reports - Budget Compared to Actual <br />Form Review <br />Inbox Reviewed By Date <br />Kurt Ulrich Kurt Ulrich 04/21/2011 08:37 AM <br />Form Started By: Diana Lund Started On: 04/15/2011 01:14 PM <br />Final Approval Date: 04/21/2011 <br />