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Total <br />Risk Central Internal <br />Management Engineering Garage Technology Service Funds <br />Operating revenues <br />Charges for services 137,092$ 11,430$ 178,520$ 178,666$ 505,708$ <br />Miscellaneous 25,346 – – – 25,346 <br />Total operating revenues 162,438 11,430 178,520 178,666 531,054 <br />Operating expenses <br />Personal services – – – 5,568 5,568 <br />Supplies and maintenance – – 101,542 15 101,557 <br />Other services and charges 174,792 3,960 74,596 792 254,140 <br />Purchased services 110,561 7,470 2,382 172,656 293,069 <br />Total operating expenses 285,353 11,430 178,520 179,031 654,334 <br />Operating income (loss)(122,915) – – (365) (123,280) <br />Nonoperating revenues (expenses) <br />Earnings (charges) on investments 10,446 – – (4) 10,442 <br />Change in net position (112,469) – – (369) (112,838) <br />Net position – beginning 330,512 – – 1,499 .332,011 <br />Net position – ending 218,043$ –$ –$ 1,130$ 219,173$ <br />CITY OF ARDEN HILLS <br />Combining Statement of Revenues, Expenses, <br />and Changes in Net Position <br />Internal Service Funds <br />Year Ended December 31, 2020 <br />-66-