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1 <br />Qbhf!76!pg!472 <br />0.0% <br />0.7% <br />Attachment <br />19.2%15.6%15.6% <br />(Decr.) <br />12/8/2025 <br />------------------ <br /> <br />5,4205,420 <br />231,000231,000 <br />$ Increase% Incr. <br />(Decrease) <br />$ 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% <br /> 0.0% 0.0% 0.0%$ $ 0.0% 0.0% <br /> 0.0% 0.0%$ $ 0.0% 0.0% 0.0%$ 0.0% <br />----------------- <br />33,666 <br />818,666 <br />(888,834) <br />2026 <br />1,707,5001,707,5003,276,6432,387,809 <br />Budget <br />$ <br /> $ $ $ $ <br /> $ $ <br />----------------- <br />28,246 <br />813,246 <br />(663,254) <br />2025 <br />1,476,5001,476,5003,939,8973,276,643 <br />Budget <br />$ 785,000 <br /> $ $ $ $ <br /> $ $ <br />---------- <br />Page 50 <br />99,600 <br />117,868977,870483,905483,905493,965 <br />2024 <br />3,445,9323,939,897 <br />Actual <br />$ 785,000 $ $ <br /> $ $ $ $ <br />Scenario 1 Budget <br />-------- <br />50,000 <br />187,570997,357788,118788,118757,731 <br />2023 <br />2,688,2013,445,932 <br />Actual <br />$ 760,402 $ $ <br /> $ $ $ $ <br />--------------- <br />9,000 <br />75,000 <br />(96,242) <br />768,095726,700 <br />(221,637) <br />2022 <br />2,784,4432,688,201 <br />Actual <br />$ 759,787 <br /> $ $ $ $ 548,492 <br /> $ 548,492 $ <br />Total Revenues630,458 <br />Total Expenditures726,700 <br />Total Other Financing Sources <br />General Property Taxes <br />Tax IncrementsIntergovernmental RevenueLicenses & PermitsCharges for ServicesFines and ForfeitsCable Franchise FeesSpecial AssessmentsInvestment IncomeMiscellaneousPersonnel ServicesSupplies <br /> & MaterialsUtilitiesContractual ServicesOther ChargesCapital OutlayDebt ServiceContingencyTransfers InTransfers OutSale of Assets <br />City of Roseville <br />Park Improvement Program Fund Financial Summary <br />RevenuesExpendituresOther Financing Sources (Uses)Net Change in Fund BalanceBeginning Fund BalanceEnding Fund Balance <br /> <br />