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CITY OF RAMSEY <br />FINANCIAL STATEMENT <br />JANUARY 1, 2021 THROUGH PERIOD ENDING: August 31, 2021 <br />GENERAL FUND EXPENDITURES <br />- BY DEPARTMENT - <br />ept <br />-CURRENT YEAR <br />ADOPTED BUDGET - <br />CURRENT YTD GENERAL <br />LEDGER <br />Admin (inlcd elections, legal & newsletter) <br />Building Inspections <br />Council/Commissions (incld charter, council contingent <br />Data Processing <br />Engineering <br />Finance (incld assessing) <br />Fire (incld Civil Defense) <br />Gen Govt Buildings <br />Parks <br />Planning & Zoning <br />Police (incld animal control & comm orient) <br />Streets (incld traffic eng & snow/ice) <br />Grand Total <br />1,066,435.00 <br />460, 744.00 <br />293, 728.00 <br />604, 570.00 <br />433, 803.00 <br />543, 705.00 <br />1, 313, 025.00 <br />554, 662.00 <br />1,481,290.00 <br />747,219.00 <br />4,459,778.00 <br />2,424,389.00 <br />14,383,348.00 <br />684, 745.93 <br />328,432.00 <br />56, 053.64 <br />452,449.48 <br />459,205.90 <br />480,960.97 <br />644, 591.70 <br />276,487.74 <br />850,891.02 <br />499,010.65 <br />2, 820, 707.97 <br />1,234,412.70 <br />8,787,949.70 <br />GENERAL FUND EXPENDITURES <br />- BY CATEGORY - <br />Category <br />-CURRENT YEAR <br />ADOPTED BUDGET- <br />-CURRENT YTD GENERAL <br />LEDGER - <br />Capital Outlay <br />Other Services & Charges <br />Personal Services <br />Supplies <br />Transfers out <br />Grand Total <br />1, 090, 200.00 <br />2,639,166.00 <br />9, 566, 381.00 <br />981,228.00 <br />106, 373.00 <br />14,383,348.00 <br />573, 686.71 <br />1,276,281.24 <br />6,370,138.97 <br />567, 842.78 <br />8,787,949.70 <br />GENERAL FUND REVENUES <br />- BY CATEGORY - <br />Category <br />Taxes <br />Charges for Services <br />Business Licenses/Permits <br />Fines and Forfeits <br />Federal Intergovernmental <br />State Intergovernmental <br />Interest <br />Miscellaneous <br />Non -Business Licenses/Permits <br />Transfers in <br />Grand Total <br />-CURRENT YEAR <br />ADOPTED BUDGET- <br />11,109,848.00 <br />621, 500.00 <br />69, 900.00 <br />45, 500.00 <br />8,500.00 <br />425, 300.00 <br />100, 000.00 <br />20, 700.00 <br />559, 900.00 <br />1,422,200.00 <br />14,383,348.00 <br />-CURRENT YTD GENERAL <br />LEDGER- <br />5, 863, 941.77 <br />474,506.54 <br />64, 090.39 <br />32,433.37 <br />228, 853.05 <br />9,157.71 <br />570,399.75 <br />7, 243, 382.58 <br />This report reflects year to date revenue and expenditures as compared to annual budget. <br />It does not reflect fund balance. PREPARED BY: FINANCE DEPARTMENT <br />