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City of Roseville, Minnesota Schedule 2 <br />REQUIRED SUPPLEMENTARY INFORMATION (Page 1 of 1) <br />SCHEDULE OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE BUDGET AND ACTUAL <br />RECREATION FUND <br />For the Fiscal Year Ended December 31, 2016 <br />Budgeted Amounts Actual Variance With <br />Original Final Amounts Final Budget <br />REVENUES <br /> Taxes <br /> General property taxes 2,466,815 2,466,815 2,438,555 (28,260) <br /> Intergovernmental revenue - - 102,530 102,530 <br /> Charges for services 1,924,970 1,924,970 1,931,179 6,209 <br /> Rentals 65,000 65,000 59,250 (5,750) <br /> Donations 68,125 68,125 100,317 32,192 <br /> Special assessments 500 500 - (500) <br /> Investment income <br /> Interest earned on investments 3,300 3,300 24,622 21,322 <br /> Increase (decrease) in fair value of investments - - (28,349) (28,349) <br /> Miscellaneous Revenue 23,000 23,000 43,422 20,422 <br /> Total Revenues 4,551,710 4,551,710 4,671,526 119,816 <br />EXPENDITURES <br /> Current <br /> Recreation <br /> Personal services 2,937,360 2,937,360 2,815,370 121,990 <br /> Supplies and materials 332,865 332,865 282,377 50,488 <br /> Other services and charges 1,278,485 1,278,485 1,220,905 57,580 <br /> Capital outlay 3,000 3,000 - 3,000 <br /> Total Expenditures 4,551,710 4,551,710 4,318,652 233,058 <br />Net Change in Fund Balance - - 352,874 352,874 <br />FUND BALANCE, January 1 1,284,861 1,284,861 1,284,861 - <br />FUND BALANCE, December 31 1,284,861 1,284,861 1,637,735 352,874 <br />The notes to the required supplementary information are an integral part of this statement. <br /> <br />81 <br />Item 8: Attachment D