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<br /> CITY OF CENTERVILLE, MINNESOTA <br /> GENERAL FUND <br />STATEMENT OF REVENUE, EXPENDITURES AND CHANGES IN FUND BALANCE <br /> BUDGET AND ACTUAL - CONTINUED <br /> YEAR ENDED DECEMBER 31, 2001 <br />(With comparative actual amounts for the year ended December 31, 2000) <br /> 2001 2000 <br /> Variance - <br /> Favorable <br /> Budget Actual (Unfavorable) Actual <br />EXPENDITURES - CONTINUED <br />Current - Continued <br />Public works - Continued <br />Street lighting <br />Other services and charges $ $ $ $ 20,194 <br />Total public works 192,188 196,832 (4,644) 149,930 <br />Culture and recreation <br />Personal services 39,322 21,948 17,374 25,640 <br />Supplies 13,200 6,512 6,688 23,330 <br />Other services and charges 45,590 60,274 (14,684) 50,347 <br />Total culture and recreation 98,112 88,734 9,378 99,317 <br />Miscellaneous <br />Other services and charges 2,091 (2,091) 4,321 <br />Total current expenditures 1,269,624 1,376,073 (106,449) 1,220,172 <br />Capital outlay <br />General government 60,000 237,501 (177,501) 57,971 <br />Public safety 3,000 37,469 (34,469) 985 <br />Public works 199,128 257,863 (58,735) 416,256 <br />Culture and recreation 600 20,118 (19,518) <br />Total capital outlay 262,728 552,951 (290,223) 475,212 <br />TOTAL EXPENDITURES 1,532,352 1,929,024 (396,672) 1,695,384 <br />EXCESS (DEFICIENCY) OF REVENUE OVER <br />EXPENDITURES 122,000 (138,295) (260,295) (108,935) <br />OTHER FINANCING SOURCES (USES) <br />Operating transfer in 68,034 68,034 21,000 <br />Operating transfer Qut (122,000) (122,000) (122,507) <br />TOTAL OTHER FINANCING SOURCES (USES) (122,000) (53,966) 68,034 (101,507) <br />EXCESS (DEFICIENCY) OF REVENUE <br />AND OTHER FINANCING SOURCES OVER <br />EXPENDITURES AND OTHER FINANCING USES $ (192,261) $ (192,261) (210,442) <br />FUND BALANCE, JANUARY I 841,154 1,051,596 <br />FUND BALANCE, DECEMBER 31 $ 648,893 $ 841,154 <br /> -26- <br />- -- - .- <br />