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CITY OF RAMSEY <br /> FINANCIAL STATEMENT <br /> ciq i <br /> JANUARY 1,2023 THROUGH PERIOD ENDING: October 31,2023 _RAMSEY[' <br /> REVENUES <br /> BUSINESS UNIT 9602 SEWER UTILITY <br /> GENERAL . - ACCOUNT 2023 . 1 . GENERAL LEDGER of Budget- <br /> 4140 CREDIT CARD PROCESSING FEES (22,000.00) (18,564.59) 84.38% <br /> 4273 OTHER STATE GRANTS&AIDS 39,596.00 0.00% <br /> 4356 SEWER AVAILABILITY CHARGE-ADM 7,000.00 4,796.05 68.52% <br /> 4609 OTHER MISCELLANEOUS REVENUES - 5,400.00 0.00% <br /> 4661 RESIDENTIAL-SEWER CHARGES 1,570,800.00 1,133,976.51 72.19% <br /> 4662 COMMERCIAL-SEWER CHARGES 466,400.00 295,985.20 63.46% <br /> 4663 SEWER PENALTIES 33,000.00 26,062.17 78.98% <br /> 4701 INTEREST ON INVESTMENTS 20,000.00 - 0.00% <br /> 4606 DEVELOPER FEES(WAC) - 383,696.55 0.00% <br /> 4601 MISCELLANEOUS REVENUE 1,951.22 0.00% <br /> Grand Total 2,075,200.00 1,872,899.11 ImiINll,111111 Niii SES <br /> BUSINESS UNIT 9602 SEWER UTILITY <br /> GENERAL - ACCOUNT 20231 Budget- <br /> 6102 F.T. REGULAR-WAGES&SALARIES 229,231.00 100,144.65 43.69% <br /> 6103 FULL TIME-REGULAR-OVERTIME - 624.15 0.00% <br /> 6105 TEMPORARY-WAGES&SALARIES - 6,121.83 0.00% <br /> 6121 PERA CONTRIBUTIONS 32,192.00 7,696.32 23.91% <br /> 6122 FICA/MEDICARE CONTRIBUTIONS 177640.00 85503.63 48.21% <br /> 6131 GROUP INSURANCE 201013.00 - 0.00% <br /> 6133 WORKERS COMP INSURANCE PREMIUM 121000.00 - 0.00% <br /> 6223 GASOLINE 41300.00 25092.22 48.66% <br /> 6225 DIESEL FUEL 3,500.00 2,393.32 68.38% <br /> 6229 SHOP MATERIALS 500.00 50.10 10.02% <br /> 6249 MISCELLANEOUS OPERATING SUPPLY 267000.00 8,203.85 31.55% <br /> 6257 OTHER VEHICLE PARTS 107000.00 1,790.63 17.91% <br /> 6273 UTILITY SYSTEM MAINT SUPPLIES 57000.00 3,813.94 76.28% <br /> 6275 OTHER EQUIPMENT PARTS 97000.00 2,572.57 28.58% <br /> 6315 MISCELLANEOUS PROFESSIONAL SER 157000.00 184.88 1.23% <br /> 6323 CELLULAR PHONES 700.00 11246.12 178.02% <br /> 6334 MILEAGE REIMBURSEMENT 400.00 30.42 7.61% <br /> 6335 TRAINING 27400.00 51703.94 237.66% <br /> 6361 GENERAL LIABILITY/PROPERTY INS 247000.00 235230.50 96.79% <br /> 6371 ELECTRIC UTILITIES 25,000.00 14,944.91 59.78% <br /> 6372 WATER/IRRIGATION 2,000.00 773.52 38.68% <br /> 6373 GAS 7,000.00 4,336.43 61.95% <br /> 6374 REFUSE/RECYCLING 1,500.00 864.09 57.61% <br /> 6377 SEWER SERVICE CHARGE 1,138,899.00 1,043,990.75 91.67% <br /> 6489 OTHER CONTRACTED SERVICES 45,000.00 18,759.55 41.69% <br /> 6722 DEPRECIATION 653,080.00 - 0.00% <br /> 6820 OPERATING TRANSFERS TO OTHER F 45,000.00 - 0.00% <br /> Grand Total 2,329,355.00 1,258,072.32 <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 />