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GOVERix. mCNTAL FUND BALANCES <br />The. following table summarizes the changes in the fund balances of the City's governmental :funds during <br />the year ended December 3.1, 2021, p rimed both by fund balance classification and by major fund: <br />Governmental. Funds Change in Fund Balance' <br />Fund.balances dfgovernmental funds <br />Total by classification <br />Nonspendable <br />Restricted <br />Assigned <br />Unassigned <br />T`otal•govemnicntal funds <br />Total by fund <br />3~und Balance <br />as of December 34 <br />Z021 2020. Chan <br />$ 122,690 $. 1,137 S. 121,553 <br />155,684 .256,476 (1.00,792) <br />313,065 452,003 (138,99E8) <br />252.617 262,0503• <br />•$ .843,996 S 971,666 S (127,b70) <br />General <br />S *Z53,W <br />$-W.1.87 <br />$ (9,342) <br />G.E]. Capital ltnprovnncnt Plan Bonds Scries:2015A <br />1:36.136 <br />129;1..43 <br />6;993 <br />G.O. Capital.lmprovement Plan Bonds Series 2018A <br />96,720 <br />9'Z639 <br />14,081 <br />Street Improvements: <br />313,005 <br />452,003 <br />(138,998) <br />Parks.and Playground <br />44;290. <br />_ 44,694 <br />_ {404) <br />Total governmental funds <br />$ 943;096$ 9T 1666 $ 1a27 670 <br />In total, the fund balances of the City's governmental funds decreased 6y $127.;6'70 during the year. ended. <br />December 31, 2021. Nonspendable fund balance increased $121,553 and restricted fund balance decreased <br />$J00,792, both mainly due to an increase in nonspendable amounts 'for prepaid expenditures in the City's <br />debt service funds, whichteduced the restricted fund Mantes. Assigned fund balance decreased $1.3$;998, <br />primarily in street i>ii0mv.enients.due to increased.construction activity in the current year. <br />-6- <br />