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CITY OF RAMSEY <br />FINANCIAL STATEMENT <br />JANUARY 1, 2020 THROUGH PERIOD ENDING: March 31, 2020 <br />City of <br />RAMSEY <br />REVENUES <br />BUSINESS UNIT <br />GENERAL LEDGER ACCOUNT <br />9601 WATER UTILITY <br />CURRENT YEAR CURRENTYTD GENERAL <br />REQUESTED BUDGET LEDGER <br />-70 of Budget- <br />4140 CREDIT CARD PROCESSING FEES <br />4609 OTHER MISCELLANEOUS REVENUES <br />4652 WATER SALES - RESIDENTIAL <br />4653 WATER SALES -COMMERCIAL <br />4654 WATER PENALTIES <br />4655 WATER METER INSTALLATION <br />4656 WATER METERS <br />4657 CONNECTION/RECONNECTION FEES <br />4701 INTEREST ON INVESTMENTS <br />4606 DEVELOPER FEES (WAC) <br />4601 MISCELLANEOUS REVENUE <br />Grand Total <br />(15,000.00) <br />62,000.00 <br />1,301,588.00 <br />679,518.00 <br />37,308.00 <br />12,000.00 <br />30,000.00 <br />500.00 <br />175,000.00 <br />2,282,914.00 <br />(2,481.33) <br />(1,682.15) <br />1,142.38 <br />37.28 <br />4,875.54 <br />2,110.00 <br />4,978.00 <br />150.00 <br />137,041.00 <br />1,804.15 <br />147,974.87 <br />16.54% <br />-2.71 % <br />0.09% <br />0.01% <br />13.07% <br />17.58% <br />16.59% <br />30.00% <br />0.00% <br />0.00% <br />0.00% <br />EXPENSES <br />BUSINESS UNIT <br />GENERAL LEDGER ACCOUNT <br />9601 WATER UTILITY <br />CURRENT YEAR CURRENTYTD GENERAL <br />REQUESTED BUDGET LEDGER <br />-% of Budget- <br />6102 F.T. REGULAR -WAGES & SALARIES <br />6103 FULL TIME -REGULAR -OVERTIME <br />6105 TEMPORARY -WAGES & SALARIES <br />6121 PERA CONTRIBUTIONS <br />6122 FICA/MEDICARE CONTRIBUTIONS <br />6131 GROUP INSURANCE <br />6133 WORKERS COMP INSURANCE PREMIUF <br />6208 MISCELLANEOUS OFFICE SUPPLIES <br />6223 GASOLINE <br />6225 DIESEL FUEL <br />6229 SHOP MATERIALS <br />6231 UNIFORMS & TURN -OUT GEAR <br />6249 MISCELLANEOUS OPERATING SUPPLY <br />6257 OTHER VEHICLE PARTS <br />6273 UTILITY SYSTEM MAINT SUPPLIES <br />6281 SMALL TOOLS & MINOR EQUIPMENT <br />6292 WATER METERS FOR RESALE <br />6315 MISCELLANEOUS PROFESSIONAL SER <br />6322 POSTAGE <br />6323 CELLULAR PHONES <br />6334 MILEAGE REIMBURSEMENT <br />6335 TRAINING <br />6352 GENERAL NOTICE & PUBLIC INFOR <br />6361 GENERAL LIABILITY/PROPERTY INS <br />6371 ELECTRIC UTILITIES <br />6373 GAS <br />6374 REFUSE/RECYCLING <br />6381 BUILDING & STRUCTURE REPAIR <br />6439 OTHER MISCELLANEOUS <br />6451 MEMBERSHIP DUES <br />6489 OTHER CONTRACTED SERVICES <br />6722 DEPRECIATION <br />6820 OPERATING TRANSFERS TO OTHER F <br />Grand Total <br />247,637.00 <br />13, 500.00 <br />19,167.00 <br />54,585.00 <br />21,667.00 <br />34,467.00 <br />14,954.00 <br />600.00 <br />5,000.00 <br />3,500.00 <br />600.00 <br />2,900.00 <br />18,000.00 <br />7,000.00 <br />78,000.00 <br />6,000.00 <br />70,000.00 <br />150,000.00 <br />3,000.00 <br />4,000.00 <br />400.00 <br />2,400.00 <br />300.00 <br />32,000.00 <br />150,000.00 <br />3,000.00 <br />700.00 <br />3,500.00 <br />64,000.00 <br />1,400.00 <br />76,000.00 <br />798,000.00 <br />45,000.00 <br />1,931,277.00 <br />19.23% <br />30.73% <br />0.00% <br />7.83% <br />21.60% <br />21.71% <br />0.00% <br />0.00% <br />21.42% <br />5.78% <br />3.13% <br />74.96% <br />4.87% <br />15.60% <br />5.69% <br />0.00% <br />4,223.59 6.03% <br />12,790.20 8.53% <br />59.65 1.99% <br />572.18 14.30% <br />0.00% <br />1,998.22 83.26% <br />0.00% <br />5,567.00 17.40% <br />14,965.68 9.98% <br />634.81 21.16% <br />141.82 20.26% <br />1,592.11 45.49% <br />0.00% <br />1,000.00 71.43% <br />3,689.72 4.85% <br />0.00% <br />0.00% <br />125,317.01 <br />47,623.82 <br />4,149.15 <br />4,273.29 <br />4,680.90 <br />7,482.49 <br />1,070.84 <br />202.40 <br />18.80 <br />2,173.74 <br />876.99 <br />1,091.78 <br />4,437.83 <br />Note: The Finance Department has highlighted line items that may be trending towards exceeding budget OR not may not have been <br />included in the adopted budget. <br />This report reflects year to date revenue and expenditures as compared to annual budget. <br />It does not reflect fund balance. Business Unit: 9601 <br />Page 1 of 5 <br />