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1 <br />Qbhf!79!pg!472 <br />-8.2% <br />Attachment <br />81.6% <br />86.1%81.6% <br />284.3% <br />(Decr.) <br />12/8/2025 <br />----------------- <br />(9,038) <br />1,635,0001,625,9621,735,0001,735,000 <br /> <br />$ Increase% Incr. <br />(Decrease) <br />$ 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% <br /> 100.0% 0.0%$ $ 0.0% 0.0% 0.0% 0.0% <br /> 0.0%$ $ 0.0% 0.0% 0.0%$ 0.0% <br />---------- <br />83,000 <br />101,589 <br />(345,411) <br />2026 <br />2,210,0003,514,5893,860,0003,860,0006,291,3175,945,906 <br />Budget <br />$ $ $ <br /> $ $ $ $ <br />---------- <br />83,000 <br />575,000110,627 <br />(236,373) <br />2025 <br />1,888,6272,125,0002,125,0006,527,6906,291,317 <br />Budget <br />$ 1,120,000 $ $ <br /> $ $ $ $ <br />--------- <br />387 <br />Page 53 <br />20,408 <br />341,413 <br />2024 <br />1,977,2683,424,3812,133,1192,133,1191,291,2625,236,4286,527,690 <br />Actual <br />$ 1,120,000 $ $ <br /> $ $ $ $ <br />Scenario 1 Budget <br />---------- <br />602,152668,333364,308527,743 <br />2023 <br />2,718,8202,191,0772,191,0774,708,6855,236,428 <br />Actual <br />$ 1,084,905 $ $ <br /> $ $ $ $ <br />---------- <br /> <br />213,171 <br />(580,616) <br />2022 <br />1,095,8812,546,6164,569,0246,002,6574,708,685 <br />Actual <br />(1,293,972) <br />$ 1,084,027 $ $ <br /> $ $ $ $ <br />Total Revenues3,275,052 <br />Total Expenditures4,569,024 <br />Total Other Financing Sources <br />General Property Taxes <br />Tax IncrementsIntergovernmental RevenueLicenses & PermitsCharges for ServicesFines and ForfeitsCable Franchise FeesSpecial AssessmentsInvestment IncomeMiscellaneous / Developer FeePersonnel <br /> ServicesSupplies & MaterialsUtilitiesContractual ServicesOther ChargesCapital OutlayDebt ServiceContingencyTransfers InTransfers OutSale of Assets <br />City of Roseville <br />Street Infrastructure Replacement Fund Financial Summary <br />RevenuesExpendituresOther Financing Sources (Uses)Net Change in Fund BalanceBeginning Fund BalanceEnding Fund Balance <br /> <br />