My WebLink
|
Help
|
About
|
Sign Out
Home
Agenda - Council - 04/11/2023
Ramsey
>
Public
>
Agendas
>
Council
>
2023
>
Agenda - Council - 04/11/2023
Metadata
Thumbnails
Annotations
Entry Properties
Last modified
3/13/2025 11:11:41 AM
Creation date
4/7/2023 3:39:17 PM
Metadata
Fields
Template:
Meetings
Meeting Document Type
Agenda
Meeting Type
Council
Document Date
04/11/2023
There are no annotations on this page.
Document management portal powered by Laserfiche WebLink 9 © 1998-2015
Laserfiche.
All rights reserved.
/
175
PDF
Print
Pages to print
Enter page numbers and/or page ranges separated by commas. For example, 1,3,5-12.
After downloading, print the document using a PDF reader (e.g. Adobe Reader).
View images
View plain text
CITY OF RAMSEY <br />FINANCIAL STATEMENT <br />JANUARY 1, 2022 THROUGH PERIOD ENDING: February 28, 2023 <br />REVENUES <br />4140 CREDIT CARD PROCESSING FEES (22,000.00) (1,178.24) 5.36% <br />4356 SEWER AVAILABILITY CHARGE -ADM 7,000.00 124.25 1.78% <br />4661 RESIDENTIAL -SEWER CHARGES 1,570,800.00 82.23 0.01% <br />4662 COMMERCIAL -SEWER CHARGES 466,400.00 28.28 0.01% <br />4663 SEWER PENALTIES 33,000.00 (27.25) -0.08% <br />4701 INTEREST ON INVESTMENTS 20,000.00 0.00% <br />4601 MISCELLANEOUS REVENUE 1,675.80 0.00% <br />Grand Total <br />2,075,200.00 <br />705.07 <br />6102 <br />F.T. REGULAR -WAGES & SALARIES <br />229,231.00 <br />18,086.93 <br />7.89% <br />6103 <br />FULL TIME -REGULAR -OVERTIME <br />- <br />88.83 <br />0.00% <br />6121 <br />PERA CONTRIBUTIONS <br />32,192.00 <br />1,501.95 <br />4.67% <br />6122 <br />FICA/MEDICARE CONTRIBUTIONS <br />17,640.00 <br />1,595.04 <br />9.04% <br />6131 <br />GROUP INSURANCE <br />207013.00 <br />0.00% <br />6133 <br />WORKERS COMP INSURANCE PREMIUM <br />121000.00 <br />0.00% <br />6223 <br />GASOLINE <br />41300.00 <br />167.83 <br />3.90% <br />6225 <br />DIESEL FUEL <br />31500.00 <br />0.00% <br />6229 <br />SHOP MATERIALS <br />500.00 <br />9.30 <br />1.86% <br />6249 <br />MISCELLANEOUS OPERATING SUPPLY <br />26,000.00 <br />- <br />0.00% <br />6257 <br />OTHER VEHICLE PARTS <br />107000.00 <br />121.54 <br />1.22% <br />6273 <br />UTILITY SYSTEM MAINT SUPPLIES <br />57000.00 <br />- <br />0.00% <br />6275 <br />OTHER EQUIPMENT PARTS <br />97000.00 <br />0.00% <br />6315 <br />MISCELLANEOUS PROFESSIONAL SER <br />157000.00 <br />- <br />0.00% <br />6323 <br />CELLULAR PHONES <br />700.00 <br />45.16 <br />6.45% <br />6334 <br />MILEAGE REIMBURSEMENT <br />400.00 <br />30.42 <br />7.61 % <br />6335 <br />TRAINING <br />27400.00 <br />0.00% <br />6361 <br />GENERAL LIABILITY/PROPERTY INS <br />247000.00 <br />- <br />0.00% <br />6371 <br />ELECTRIC UTILITIES <br />257000.00 <br />15644.59 <br />6.58% <br />6372 <br />WATER/IRRIGATION <br />2,000.00 <br />0.00% <br />6373 <br />GAS <br />7,000.00 <br />- <br />0.00% <br />6374 <br />REFUSE/RECYCLING <br />1,500.00 <br />106.59 <br />7.11 % <br />6377 <br />SEWER SERVICE CHARGE <br />1,138,899.00 <br />189,816.50 <br />16.67% <br />6489 <br />OTHER CONTRACTED SERVICES <br />45,000.00 <br />- <br />0.00% <br />6722 <br />DEPRECIATION <br />653,080.00 <br />0.00% <br />6820 <br />OPERATING TRANSFERS TO OTHER F <br />45,000.00 <br />0.00% <br />Grand Total <br />2,329,355.00 <br />213,214.68 <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: 9602 Page 2 of 5 <br />
The URL can be used to link to this page
Your browser does not support the video tag.