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CITY OF RAMSEY
<br />FINANCIAL STATEMENT
<br />JANUARY 1, 2025 THROUGH PERIOD ENDING:
<br />September 30, 2025
<br />City of ti<
<br />RAMSEY
<br />REVENUES
<br />BUSINESS UNIT
<br />GENERAL LEDGER ACCOUNT
<br />9605 STORM WATER UTILITY
<br />2025 BUDGET
<br />2025 YTD GENERAL LEDGER -% of Budget-
<br />4140 CREDIT CARD PROCESSING FEES
<br />4693 STORM WATER -RESIDENTIAL
<br />4694 STORM WATER -COMMERCIAL
<br />4695 STORM WATER -PENALTIES
<br />4701 INTEREST ON INVESTMENTS
<br />4722 SALE OF GENERAL FIXED ASSETS
<br />Grand Total
<br />(16,000.00)
<br />732, 900.00
<br />786,600.00
<br />26,250.00
<br />3,000.00
<br />1,532,750.00
<br />(10, 808.16)
<br />382, 756.06
<br />403, 577.22
<br />18, 047.22
<br />43, 000.00
<br />836,572.34
<br />67.55%
<br />52.22%
<br />51.31%
<br />68.75%
<br />0.00%
<br />0.00%
<br />EXPENSES
<br />BUSINESS UNIT
<br />GENERAL LEDGER ACCOUNT
<br />(Multiple Items)
<br />2025 BUDGET
<br />STORM WATER UTILITY
<br />2025 YTD GENERAL LEDGER -% of Budget-
<br />6102 F.T. REGULAR -WAGES & SALARIES
<br />6105 TEMPORARY -WAGES & SALARIES
<br />6121 PERA CONTRIBUTIONS
<br />6122 FICA/MEDICARE CONTRIBUTIONS
<br />6131 GROUP INSURANCE
<br />6133 WORKERS COMP INSURANCE PREMIUM
<br />6225 DIESEL FUEL
<br />6231 UNIFORMS & TURN -OUT GEAR
<br />6249 MISCELLANEOUS OPERATING SUPPLY
<br />6257 OTHER VEHICLE PARTS
<br />6315 MISCELLANEOUS PROFESSIONAL SER
<br />6361 GENERAL LIABILITY/PROPERTY INS
<br />6371 ELECTRIC UTILITIES
<br />6372 WATER/IRRIGATION
<br />6373 GAS
<br />6374 REFUSE/RECYCLING
<br />6451 MEMBERSHIP DUES
<br />6489 OTHER CONTRACTED SERVICES
<br />6722 DEPRECIATION
<br />6820 OPERATING TRANSFERS TO OTHER F
<br />Grand Total
<br />281,114.00
<br />40, 831.00
<br />21, 538.00
<br />39,421.00
<br />14,733.00
<br />10, 500.00
<br />11, 000.00
<br />12, 500.00
<br />35, 000.00
<br />12, 500.00
<br />12, 000.00
<br />3,500.00
<br />7,200.00
<br />1,500.00
<br />65, 000.00
<br />55, 000.00
<br />549, 096.00
<br />49, 000.00
<br />1,221,433.00
<br />95, 585.83
<br />739.00
<br />7,191.93
<br />7,545.92
<br />3,551.22
<br />8,050.12
<br />6,961.84
<br />593.75
<br />7,998.18
<br />7,325.49
<br />3,939.81
<br />6,454.35
<br />7,735.74
<br />1,035.55
<br />3,523.34
<br />965.29
<br />56, 510.00
<br />31,218.83
<br />256,926.19
<br />34.00%
<br />0.00%
<br />17.61%
<br />35.04%
<br />9.01%
<br />54.64%
<br />66.30%
<br />0.00%
<br />72.71%
<br />58.60%
<br />11.26%
<br />51.63%
<br />64.46%
<br />29.59%
<br />48.94%
<br />64.35%
<br />86.94%
<br />56.76%
<br />0.00%
<br />0.00%
<br />Note: The Finance Department has highlighted line items that may be trending towards exceeding budget OR not may not have been
<br />included in the adopted budget.
<br />This report reflects year to date revenue and expenditures as compared to annual budget.
<br />It does not reflect fund balance. Business Unit: 9605
<br />Page 5 of 5
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