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City of Ramsey 2015 Requested General Fund Budget <br />2011 Actual _2012 Actual 2013 Actual 2014 Adopted 2015 Requested <br />6489 OTHER CONTRACTED SERVICES 203,705 196,334 239,529 272,245 331,375 <br />CONTRACTED SERVICES 679,414 690,834 694,439 772,245 831,375 <br />OTHER SERVICES & CHARGES Total 1,961,039 2,174,822 2,127,995 2,232,440 2,321,772 <br />CAPITAL OUTLAY <br />CAPITAL OUTLAY <br />6540 HEAVY MACHINERY - 130,000 282,377 277,100 192,507 <br />6550 MOTOR VEHICLES 126,679 183,552 94,575 87,000 72,200 <br />6580 OTHER EQUIPMENT - 28,692 16,175 5,850 251,256 <br />6585 COMPUTER HARDWARE/SOFTWARE 5,900 - 32,334 112,000 29,000 <br />CAPITAL OUTLAY 132,579 342,244 425,461 481,950 544,963 <br />CAPITAL OUTLAY Total 132,579 342,244 425,461 481,950 544,963 <br />TRANSFERS OUT � <br />OPERATING TRANSFERS <br />6820 OPERATING TRANSFERS TO OTHER F 110,016 179,263 1,020,009 <br />OPERATING TRANSFERS 110,016 179,263 1,020,009 <br />TRANSFERS OUT Total 110,016 179,263 1,020,009 <br />DEBT SERVICE _ <br />DEBT SERVICE <br />6603 OTHER L.T. OBLIGATION PRINCIPA 130,863 107,458 92,130 131,885 127,694 <br />DEBT SERVICE 130,863 107,458 92,130 131,885 127,694 <br />DEBT SERVICE Total 130,863 107,458 92,130 131,885 127,694 <br />!TOTAL EXPENDITURES & OTHER FINANCING 9,129,150 9,277,795 9,991,130 9,750,135 10,353,285 I <br />Page 13 <br />- EXPENDITURES- <br />