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NOTE 4 - INTERFUND RECEIVABLES, PAYABLES, AND TRANSFERS (CONTINUED) <br />B. Interfund Transfers <br />Transfers Out <br />Transfers In <br />Developer's <br />CUR Land Fees <br />Special Special <br />General Rer enuc Revenue <br />Fund Fund Fund <br />General Fund $ - <br />Tax Increment Special Revenue Fund - <br />Pavement M anagernent Program <br />Capital Project Fund 60,104 <br />Nonmajor Governmental Funds 3,613,779 <br />Water Utility Enterprise Fund 55,000 <br />Server Utility Enterprise Fund 49,000 <br />Street Light Utility Enterprise Fund 29,000 <br />Storm Water Utility Enterprise Fund 44,000 <br />$ - $ <br />173,557 24,929 <br />Street Storm <br />Slate -Aid Water Sewer Light Water <br />Construction Nonmajor Utility Utility Utility Utility <br />Capital Governmental Enterprise Enterprise Enterprise Emerprise <br />Project Fund Funds Fund Fund Fund Fund <br />- $ 923,893 S 61,853 $ S $ - <br />89,139 1,537,343 362,697 33,026 48,892 365.000 <br />80,426 <br />7.000 000 <br />Total <br />S 985.746 <br />2,634,583 <br />60,104 <br />3,69 205 <br />55,000 <br />7,049.000 <br />29,000 <br />44,000 <br />Total $ 3,850,883 $ 173,557 $ 24,929 S 89,139 $ 2,541,662 S 7 424,550 $ 33,026 S 48,892 $ 365,000 S 14,551 638 <br />The interfund receivables, payables and transfers are used to move funds to finance various programs or <br />projects that the City must account for in other funds in accordance with budgetary authorizations and to <br />move revenues from the fund with collection authorization to funds where related expenditures are <br />occurring. Interfund activity is eliminated as needed for entity -wide financial statement reporting. <br />In 2024, the General Fund transferred $395,954 each to the Public Improvement Revolving Fund and <br />Equipment Revolving Fund and $131,985 to the Public Facilities Construction Fund for their respective <br />shares as outlined in the City's Fund Balance Policy. The General Fund transferred $61,853 to the Water <br />Utility Fund for its annual repayment of the Municipal Center capital contribution. <br />The Tax Increment Fund transferred $173,557 to the COR Land Fund, $89,139 to the State -Aid <br />Construction Fund, $24,929 to the Developer's Fee Fund, $220,343 to the Public Improvement Revolving <br />Fund, $1,317,000 to the Equipment Revolving Fund, $362,697 to the Water Utility Fund, $33,026 to the <br />Sewer Utility Fund, $48,892 to the Street Light Utility Fund and $365,000 to the Storm Water Utility Fund <br />to reimburse back these funds for prior expenses related to the development of the COR area as allowed by <br />Special Legislation. <br />The Pavement Management Program Fund transferred $60,104 to the General Fund for capital equipment <br />purchases. <br />The Federal/State Relief Fund transferred $1,200,000 to the General Fund for capital equipment purchases. <br />The General Govt Special Projects Fund transferred $59,244 to the General Fund for capital equipment <br />purchases. <br />The 2013 Capital Equipment Certificates Fund transferred $27,397 to the 2015B GO Street Reconstruction <br />Bond Fund with remaining debt service funds. <br />The Public Improvement Revolving Fund transferred $200,000 to the General Fund for street maintenance <br />purposes. <br />The Public Works Campus Fund transferred $571,972 to the General Fund for capital equipment purchases. <br />74 <br />