Laserfiche WebLink
2021 2022 10/31/2023 2023 2024 $ Increase % Increase <br />GENERAL FUND Actual Actual YTD Budget Budget (Decrease) (Decrease) <br />REVENUES <br />Taxes 3,763,386$    3,829,079$    2,094,193$     4,078,390$    4,638,460$     560,070$        13.7% <br />Special assessments 4,514              ‐                      ‐                        3,350              3,090               (260)                 ‐7.8% <br />Licenses and permits 752,531         830,864         424,216           511,730         552,020           40,290             7.9% <br />Intergovernmental 160,279         174,405         106,355           171,370         175,970           4,600               2.7% <br />Charges for services 605,738         615,878         296,208           525,550         489,490           (36,060)            ‐6.9% <br />Fines & forfeits 21,500           22,662           20,085             23,190           19,250             (3,940)               ‐17.0% <br />Investment earnings (13,315)          (186,632)        80,023             42,500           50,000             7,500               17.6% <br />Miscellaneous 9,958              215,708         22,188             13,340           10,920             (2,420)               ‐18.1% <br />TOTAL REVENUES 5,304,591$    5,501,964$    3,043,268$     5,369,420$    5,939,200$     569,780$        10.6% <br />EXPENDITURES <br />Mayor & council 67,262$         53,060$         59,897$           56,850$         88,370$           31,520$           55.4% <br />Administration 346,982         385,175         354,679           420,840         499,730           78,890             18.7% <br />Elections 31,632           33,947           31,056             33,200           40,300             7,100               21.4% <br />Finance 150,251         143,713         192,328           191,550         191,810           260                  0.1% <br />TCAAP 37,711           47,817           61,281             90,450           114,900           24,450             27.0% <br />Planning & Zoning 203,759         199,219         181,225           278,430         324,940           46,510             16.7% <br />Government Buildings 176,682         214,101         182,243           223,910         232,900           8,990               4.0% <br />Police 1,376,846      1,452,262      1,210,421        1,453,280      1,585,240       131,960           9.1% <br />Dispatch 54,283           61,808           51,553             68,740           70,390             1,650               2.4% <br />Fire 656,401         696,675         751,177           751,180         833,930           82,750             11.0% <br />Emergency Management 5,996              6,622              7,327               6,830              9,260               2,430               35.6% <br />Protective Inspections 614,610         328,682         301,582           375,770         396,120           20,350             5.4% <br />Street Maintenance 618,235         914,150         573,613           796,430         853,380           56,950             7.2% <br />Recreation 141,426         178,808         144,586           237,130         241,970           4,840               2.0% <br />Park Maintenance 485,200         486,969         415,418           545,590         588,030           42,440             7.8% <br />Transfers out 548,000         102,540         171,140           ‐                      50,000             50,000             N/A <br />TOTAL EXPENDITURES 5,515,275$    5,305,549$    4,689,527$     5,530,180$    6,121,270$     591,090$        10.7% <br />NET CHANGE IN FUND BALANCE (210,684)$      196,415$       (1,646,259)$    (160,760)$      (182,070)$       (21,310)$         13.3% <br />20