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2005 CAFR
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Annual Comprehensive Financial Report
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2005
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2005 CAFR
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7/27/2007 7:47:16 AM
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6/16/2006 12:32:29 PM
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Business-Type Activities The following graphs illnstrate the City's business-type act vities: <br /> <br />Expenses and Program Revenues - Business-Type Activities <br /> <br />$5,000,000 <br />$4,500,000 <br />$4.000,000 <br />$3,500,000 <br />$3,000,000 <br />$2,500,000 <br />$2,000,000 <br />$1,500,000 <br />$1,000,000 <br />$500,000 <br /> <br />Water Utility <br /> <br />Sewer Utility Street 15ght <br /> kJtility <br /> <br />Recycling <br />Utility <br /> <br />[] Expenses [] Program Revenues <br /> <br />Storm Water <br /> <br />U ti l ity <br /> <br />Revenues By Source - Business-Type Activities <br /> <br />Capital Grants and <br />Contributions <br />69% <br /> <br />Other <br /> <br />Charges for Services <br /> 27% <br /> <br />The business-type activities, xvhich represent tile Utility Funds. all received revenaes itl excess of' <br />expenses. In tile Water and Sewer Utility Funds, this was due to the receipt of significant trunk fees <br />related to several new developments throughout the City. <br /> <br />-8- <br /> <br /> <br />
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