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City of Louisville, Colorado <br />Comprehensive Annual Financial Report <br />For the Year Ended December 31, 2011 <br />Table of Contents <br />(Continued) <br />Page <br />Financial Section: (Continued) <br /> Budgetary Comparison Schedule – <br /> Cemetery Fund ................................................................... … ............................ 77 <br /> Budgetary Comparison Schedule – <br /> Urban Revitalization District Fund ...................................... … ............................ 78 <br /> Budgetary Comparison Schedule – <br /> Historic Preservation Fund ................................................. … ............................ 79 <br /> Budgetary Comparison Schedule – <br /> Library Construction Project Fund ...................................... … ............................ 80 <br /> Budgetary Comparison Schedule – <br /> Library Debt Service Fund .................................................. … ............................ 81 <br /> Budgetary Comparison Schedule – <br /> Cemetery Perpetual Care Fund ......................................... … ............................ 82 <br /> Budgetary Comparison Schedule – <br /> Capital Projects Fund ......................................................... … ............................ 83 <br /> Budgetary Comparison Schedule – <br /> Water & Wastewater Fund ................................................. … ............................ 85 <br /> Budgetary Comparison Schedule – <br /> Golf Course Fund ............................................................... … ............................ 86 <br /> Budgetary Comparison Schedule – <br /> Solid Waste & Recycling Fund ........................................... … ............................ 87 <br /> Combining Statement of Net Assets – <br /> Internal Service Funds ......................................................... .............................. 89 <br /> Combining Statement of Revenues, Expenses, <br /> And Changes in Net Assets – Internal Service Funds ......... .............................. 90 <br /> Combining Statement of Cash Flows – <br /> Internal Service Funds ......................................................... .............................. 91 <br />11 <br />