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<br />6/23/2006 PACKET <br />Cemetery Perpetual Care and Capital Fund <br /> Variance Variance <br /> 2005 2006 Budget vs. Budget vs. <br /> Actual Budget Projected Projected $ Budget <br />Cemetery Perpetual Care <br />Beginning Fund Balance, January 1 $ 518,428 $ 560,314 $ 566,123 <br />Revenues <br />Licenses & Permits 25,834 13,275 19,084 5,809 144% <br />Miscellaneous 11,503 16,063 19,524 3,461 122% <br />Total Revenues 37,337 29,338 38,608 9,270 100% <br />I::xcess (LJetlclency) ot Kevenues over I::xpendltures 37,337 29,338 38,608 9,270 132% <br />Expenditures and Other Uses <br />Transfers Out (11,503) (16,063) (19,524) (3,461 ) <br />Net change in fund balance 25,834 13,275 19,084 5,809 <br />Projected Ending Fund Cash, December 31 $ 544,262 $ 573,589 $ 585,206 $ 5,809 <br />Cemetery Capital Improvements <br />Revenues and Other Sources <br />Licenses & Permits 25,833 13,275 19,084 5,809 144% <br />Transfer In from General Fund - - - 0% <br />Total Revenues and Other Sources 25,833 13,275 19,084 5,809 144% <br />Expenditures and Other Uses <br />Capital Improvements 9,781 13,275 13,275 - 100% <br />Total Expenditures and Other Uses 9,781 13,275 13,275 - <br />Net change in fund balance 16,052 - 5,809 5,809 <br />Projected Ending Fund Balance, December 31 $ 16,052 $ 16,052 $ 5,809 $ 5,809 <br />Total Projected Ending Fund Balance, December 31 $ 560,314 $ 589,641 $ 591,015 $ 11,618 <br />PACKET 7 <br />