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City of Louisville, Colorado <br />Annual Comprehensive Financial Report <br />For the Year Ended December 31, 2020 <br />Table of Contents <br />(Continued) <br />Page <br />Financial Section: (Continued) <br />Budgetary Comparison Schedule — <br />ImpactFee Fund............................................................................................... 83 <br />Budgetary Comparison Schedule — <br />CemeteryFund.................................................................................................. 84 <br />Budgetary Comparison Schedule — <br />Historic Preservation Fund................................................................................ 85 <br />Budgetary Comparison Schedule — <br />Recreation Center Debt Service Fund.............................................................. 86 <br />Budgetary Comparison Schedule — <br />Cemetery Perpetual Care Fund........................................................................87 <br />Budgetary Comparison Schedule — <br />Capital Projects Fund........................................................................................ 88 <br />Budgetary Comparison Schedule — <br />Recreation Center Construction Fund............................................................... 89 <br />Budgetary Comparison Schedule — <br />Consolidated Utility Fund.................................................................................. 91 <br />Budgetary Comparison Schedule — <br />GolfCourse Fund.............................................................................................. 92 <br />Budgetary Comparison Schedule — <br />Solid Waste & Recycling Fund.......................................................................... 93 <br />Combining Statement of Net Position — <br />Internal Service Funds....................................................................................... 95 <br />Combining Statement of Revenues, Expenses, <br />And Changes in Net Position — Internal Service Funds ..................................... 96 <br />Combining Statement of Cash Flows — <br />InternalService Funds....................................................................................... 97 <br />