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05-23-22-R
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05-23-22-R
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5/19/2022 12:51:42 PM
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Total <br />Risk Central Internal <br />Management Engineering Garage Technology Service Funds <br />Operating revenues <br />Charges for services 158,720$ 98,739$ 162,709$ 177,033$ 597,201$ <br />Miscellaneous 8,342 – – – 8,342 <br />Total operating revenues 167,062 98,739 162,709 177,033 605,543 <br />Operating expenses <br />Personal services – – – 5,506 5,506 <br />Supplies and maintenance – – 88,104 97 88,201 <br />Other services and charges 70,656 425 73,036 719 144,836 <br />Purchased services 148,721 98,314 1,569 171,060 419,664 <br />Total operating expenses 219,377 98,739 162,709 177,382 658,207 <br />Operating income (loss)(52,315) – – (349) (52,664) <br />Nonoperating revenues (expenses) <br />Earnings (charges) on investments (1,560) – – 4 (1,556) <br />Change in net position (53,875) – – (345) (54,220) <br />Net position – beginning 218,043 – – 1,130 .219,173 <br />Net position – ending 164,168$ –$ –$ 785$ 164,953$ <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, 2021 <br />-66-
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