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2010 CAFR
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Annual Comprehensive Financial Report
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2010 CAFR
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11/18/2014 10:08:12 AM
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6/16/2011 10:12:38 AM
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Business -Type Activities — The following graphs illustrate the City's business -type activities: <br />$2,000,000 <br />$1,800,000 <br />$1,600,000 <br />$1,400,000 <br />$1,200,000 <br />$1,000,000 <br />$800,000 <br />$600,000 <br />$400,000 <br />$200,000 <br />$— <br />Operating Grants <br />and Contributions <br />1% <br />Expenses and Program Revenues — Business -Type Activities <br />Water Utility Sewer Utility Street Light Recycling Storm Water <br />Utility Utility Utility <br />Expenses <br />Revenues By Source — Business -Type Activities <br />Charges for <br />Services <br />8 0% <br />Capital Grants and <br />Contributions <br />6% <br />The business -type activities, which represent the Utility Funds, all received revenues in excess of expenses. In <br />the Water and Sewer Utility Funds, the trunk fees related to new developments throughout the City has <br />decreased due to the slowdown in development. Charges for services are the main source of revenue (80 %) for <br />all Utility Funds. <br />Program Revenues <br />Other <br />13% <br />
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