Laserfiche WebLink
<br /> CITY OF CENTERVILLE, MINNESOTA <br /> CAPITAL PROJECTS FUNDS <br />COMBINING STATEMENT OF REVENUE, EXPENDITIJRES AND <br /> CHANGES IN FUND BALANCE (DEFICIT) - CONTINUED <br /> YEAR ENDED DECEMBER 31, 2001 <br /> (With comparative totals for the year ended December 31, 2000) <br /> Woods of <br /> Clearwater 21st Avenue Center <br /> Creek Improvements Villa <br />REVENUE <br />Tax increments $ $ $ <br />Charges for services <br />Interest on investments 268 <br />Miscellaneous <br />Other <br />TOTAL REVENUE 268 <br />EXPENDITURES <br />Current <br />Miscellaneous <br />Capital outlay <br />Public works 3,567 3,665 <br />Economic development <br />Other <br />TOTAL EXPENDITIJRES 3,567 3,665 <br />EXCESS (DEFICIENCY) OF REVENUE <br />OVER EXPENDITIJRES 268 (3,567) (3,665) <br />OTHER FINANCING SOURCES (USES) <br />Bond proceeds <br />Operating transfers out <br />TOTAL OTHER FINANCING <br />SOURCES (USES) <br />EXCESS (DEFlClENCY) OF REVENUE AND <br />OTHER FINANCING SOURCES OVER <br />EXPENDITURES AND OTHER FINANCING USES 268 (3,567) (3,665) <br />FUND BALANCE (DEFICIT), JANUARY 1 10,311 (4,900) (36,888) <br />FUND BALANCE (DEFICIT), DECEMBER 31 $ 10,579 $ (8,467) $ (40,553) <br /> <br />-42- <br />