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Final ACFR
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Annual Comprehensive Financial Report
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2024
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Final ACFR
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7/11/2025 1:51:07 PM
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GOVERNMENT -WIDE FINANCIAL ANALYSIS (CONTINUED) <br />Business -Type Activities — The following graph illustrate the City's business -type activities revenues: <br />Revenues By Source — Business -Type Activities <br />Operating grants <br />and contributions, <br />0.50% <br />Charges for <br />services, 43.76% <br />Investment <br />earnings, 11.09% <br />Capital grants and <br />contributions, <br />44.65% <br />Capital grants and contributions (44.65%) and Charges for services (43.76%) are the main sources of revenue <br />for the business -type activities, which represent the Utility Funds. Investment earnings (11.09%) resulted from <br />returns from stable interest rates. <br />FINANCIAL ANALYSIS OF THE CITY'S FUNDS <br />Governmental Funds — At the end of the fiscal year, the City's Governmental Funds reported combined ending <br />fund balances of $59,542,833, a decrease of $5,162,039 in comparison with the prior year. The decrease is <br />largely attributed to current year capital spending of resources provided by bonds issued in the prior year. The <br />General Fund reported a fund balance increase of $1,058,458 in the current year. The increase is attributed to <br />the City's fund balance policy which states that ending fund balance shall be equal to fifty percent (50%) of the <br />next years adopted operating budget, plus prior -year encumbrances (if any). The favorable revenue variance <br />helped the City to meet the fund balance policy goal. <br />General Fund — The General Fund operating results can be summarized as follows: <br />Revenue <br />Expenditures <br />Excess (deficiency) of revenue <br />over expenditures <br />Other financing sources (uses) <br />Net change in fund balances <br />Original and Over (Under) % Over <br />Final Budget Actual Final Budget (Under) Budget <br />$ 17,362,750 $ 18,919,100 $ 1,556,350 8.96% <br />20,799,768 20,819,869 20,101 0.10% <br />(3,437,018) (1,900,769) 1,536,249 <br />3,437,018 2,959,227 (477,791) <br />$ 1,058,458 $ 1,058,458 <br />Fund balances <br />Beginning of year 12,265,915 <br />End of year $ 13,324,373 <br />33 <br />
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