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CITY OF RAMSEY, MINNESOTA Exhibit C -2 <br />SPECIAL REVENUE FUNDS <br />COMBINING STATEMENT OF REVENUE, EXPENDITURES, AND CHANGES IN FUND BALANCE <br />As of December 31, 1993 <br />(With Comparative Totals as of December 31, 1992) <br />Landfill Community <br />Tax Tipping Landfill Development <br />Increment Fee Abatement Block Grants <br />Revenue: <br />Property taxes $ 895,159 $ - $ - $ - <br />Intergovernmental revenue - - 41,816 12,650 <br />Other revenue - <br />Interest earned on investments 119,560 27,282 - <br />Miscellaneous - 203,381 3,790 - <br />Total Revenue 1.014.719 230,663 45.606 12,650 <br />Other Financing Sources (Uses): <br />Operating transfers in - - 27,141 <br />Operating transfers (out) (429,684) (193,273) <br />Total Other Financing <br />Sources (Uses) (429.684) (193,273) 27,191 <br />Expenditures: <br />Current - <br />General government 8,903 - 69,814 5,974 <br />Capital outlay - - 9,367 8,808 <br />Total Expenditures 8,903 - 69,181 19,782 <br />Excess (Deficiency) of <br />Revenue Over Expenditures 1,005,816 230,663 (23,575) (2,132) <br />EXCESS (DEFICIENCY) OF REVENUE <br />AND OTHER FINANCING SOURCES OVER <br />EXPENDITURES AND OTHER FINANCING USES$ 576,132 $ 37,390 $ 3,566 $ (2,132) <br />Fund balance (deficit) - beginning of year 2,248,772 490.600 3,583 (4,137) <br />Fund Balance (Deficit) - End of Year $ 2,824,904 $ 527,990 $ 7,149 $ (6.269) <br />(Continued) <br />