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CITY OF RAMSEY <br />FINANCIAL STATEMENT <br />JANUARY 1, 2025 THROUGH PERIOD ENDING: <br />July 31, 2025 <br />City of <br />RAMSEY <br />GENERAL FUND EXPENDITURES <br />- BY DEPARTMENT - <br />Dept 2025 BUDGET <br />2025 YTD GENERAL LEDGER <br />Admin (inlcd elections, legal & newsletter) <br />Building Inspections <br />Council/Commissions (incld charter, council contingen( <br />Data Processing <br />Engineering <br />Finance (incld assessing) <br />Fire (incld Civil Defense) <br />Gen Govt Buildings <br />Parks <br />Planning & Zoning <br />Police (incld animal control & comm orient) <br />Streets (incld traffic eng & snow/ice) _ <br />Grand Total <br />1,392,483.00 <br />888,040.00 <br />245,486.00 <br />1,097,132.00 <br />644,812.00 <br />666,692.00 <br />2,096,484.00 <br />804,616.00 <br />2,224,661.00 <br />1,149, 903.00 <br />6,356,700.00 <br />2,806,601.00 <br />20,373,610.00 <br />809,123.87 <br />477,536.34 <br />71,071.47 <br />609,509.91 <br />629,613.12 <br />588,977.67 <br />1,338,021.27 <br />388,938.43 <br />1,224,991.51 <br />644,656.02 <br />3,427, 057.86 <br />1,243,205.64 <br />11,452,703.11 <br />GENERAL FUND EXPENDITURES <br />- BY CATEGORY - <br />Category <br />2025 BUDGET <br />2025 YTD GENERAL LEDGER <br />Capital Outlay <br />Other Services & Charges <br />Personal Services <br />Supplies <br />Transfers out <br />Grand Total <br />577,000.00 <br />3,602,860.00 <br />14,484,111.00 <br />1,603,266.00 <br />106,373.00 <br />547,257.58 <br />1,757,116.72 <br />8,478,729.41 <br />669,599.40 <br />20,373,610.00 <br />11,452,703.11 <br />GENERAL FUND REVENUES <br />- BY CATEGORY - <br />Category <br />2025 BUDGET <br />2025 YTD GENERAL LEDGER <br />Taxes <br />Charges for Services <br />Business Licenses/Permits <br />Fines and Forfeits <br />Federal Intergovernmental <br />State Intergovernmental <br />Interest <br />Miscellaneous <br />Non -Business Licenses/Permits <br />Transfers in <br />Grand Total <br />16,874,046.00 <br />780,700.00 <br />86,350.00 <br />48,000.00 <br />500.00 <br />755,500.00 <br />50,000.00 <br />20,600.00 <br />874,520.00 <br />883,394.00 <br />8,567,282.08 <br />692,289.88 <br />82,563.82 <br />31,095.44 <br />262,791.25 <br />17,175.12 <br />787,147.01 <br />20,373,610.00 <br />10,440,344.60 <br />This report reflects year to date revenue and expenditures as compared to annual budget. <br />It does not reflect fund balance. PREPARED BY: FINANCE DEPARTMENT <br />