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Beginning Cash Balance, <br />January 1, 1999 <br />Total Revenue <br />Total Expenditures <br />Excess Revenue over (under) <br />Expenditures <br />Transfer In <br />Transfers Out <br />Interfund Loan <br />86,500 <br />(959,260) <br />200,000 <br />City of Louisville <br />1999 Budget Summary <br />Cash Flow Statement - All Funds <br />Special Revenue Funds <br />McCaslin Conservation Trust- Capital Water <br />General Cemetery nterchng Imp Land Acquisition Lottery Projects Operations <br />$ 2,049,873 $ 374,658 $ 177,755 $ 642,290 $ 27,946 $ 1,672,086 $ 4,292,199 <br />10,122,224 61,425 4,000 1,316,701 175,797 4,144,693 3,106,725 <br />(10,062,918) <br />- (1,615,751) (177,000) (5,401,331) (1,953,440) <br />59,306 61,425 4,000 (299,050) (1,203) (1,256,638) 1,153,285 <br />309,260 <br />(350,000) <br />(22,500) <br />650,000 22,000 <br />(48,000) <br />150,000 <br />TOTAL SOLJRC <br />TOTAL>USES <br />S: <br />2d8.724 61,42$ <br />:.: > ' .. (E 77;t300) <br />Net Increase (Decrease) <br />in Cash Balance <br />(613,454) 38,925 4,000 (339,790) (1,203) (456,638) 1,127,285 <br />Budgeted Ending Cash Balance, <br />December 31, 1999 $ 1,436,419 $ 413,583 $ 181,755 $ 302,500 $ 26,743 $ 1,215,448 $ 5,419,484 <br />Cash Requirements - Reserves, Restrictions, Designations: <br />Reserve-1994 Bond <br />Reserve for 1993 Bond <br />Designated for Development of Community Park <br />Designated for Debt Reduction <br />Transfer from Operations <br />Reserve-1980 Water Bond <br />Reserve-1979 Water Bond <br />Reserve -Current Water O&M <br />Reserve-1994 Sewer Refunding Bond <br />(302,100) <br />(490,645) <br />(400,000) <br />(300,000) <br />(810,000) <br />Unrestricted Cash Balance, <br />December31, 1999 $ 1,436,419 $ 413,583 $ 181,755 $ 400 [t) $ 26,743 $ 24,803 $ 4,609,484 <br />Total Water <br />[1] Conservation Trust -Land Acquisition Cash Balance includes $302,188 due to other funds. <br />1 <br />