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CITY OF RAMSEY <br />Nonmajor Capital Project Funds <br />Combining Statement of Revenue, Expenditures, and Changes in Fund Balances (continued) <br />Year Ended December 31, 2012 <br />Revenue <br />Property taxes <br />Intergovernmental revenue <br />Charges for services <br />Other revenue <br />Investment earnings <br />Miscellaneous <br />Total revenue <br />Expenditures <br />Current <br />General government <br />Highways and streets <br />Culture and recreation <br />Capital outlay <br />Total expenditures <br />2012 2012 North Commons <br />Riverdale Drive Street Maintenance Park <br />Totals <br />$ $ $ 44,520 <br />465,767 <br />433,477 1,192,551 <br />73,032 <br />324,892 <br />433,477 2,100,762 <br />59,302 <br />978 384 103,599 348,737 <br />774 <br />2,625 526,722 668,405 <br />3,603 <br />527,106 <br />103,599 1,077,218 <br />Excess (deficiency) of revenue <br />over expenditures (3,603) (93,629) (103,599) 1,023,544 <br />Other financing sources (uses) <br />Transfers in 3,603 93,629 79,793 415,970 <br />Transfers (out) (117,760) <br />Total other financing <br />sources (uses) 3,603 93,629 79,793 298,210 <br />Net change in fund balances <br />(23,806) 1,321,754 <br />Fund balances (deficit) <br />Beginning of year 1,887,211 <br />End of year $ $ $ (23,806) $ 3,208,965 <br />122 <br />