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<br />6/23/2006 PACKET <br />Capital Projects Fund <br /> Variance Variance <br /> 2005 2006 Budget vs. Budget vs. <br /> Actual Budget Projected Projected $ Budget <br />Beginning Fund Balance, January 1 $ 6,986,040 $ 4,394,142 $ 4,394,142 <br />Revenues <br />Sales Tax 3,715,882 3,323,572 3,146,910 (176,662) 95% <br />Use Tax-Building Materials 153,900 102,914 109,346 6,432 106% <br />Intergovernmental Revenue 6,969 75,000 75,000 - 100% <br />Total Charges for Services 342,994 232,900 150,000 (82,900) 64% <br />Miscellaneous 313,923 219,377 276,070 56,693 126% <br />Total Revenues 4,533,668 3,953,763 3,757,326 (196,437) 95% <br />Expenditures <br />Operations 277,905 389,040 385,150 (3,890) 99% <br />Debt Service 452,563 450,463 450,463 100% <br />Capital Outlay 6,235,098 5,951,805 5,521,805 (430,000) 93% <br />Total Expenditures 6,965,566 6,791,308 6,357,418 (433,890) 94% <br />Excess (Deficiency) of Revenues over Expenditures (2,431,898) (2,837,545) (2,600,092) 237,453 92% <br />Transfer (out) - Building Maintenance - (200,000) (200,000) <br />Transfer (out) - Conservation Trust (160,000) - - <br />Interfund Loan - Library Fund - 800,000 800,000 - <br />Net change in fund balance (2,591,898) (2,237,545) (2,000,092) 237,453 <br />Projected Ending Fund Balance, December 31 $ 4,394,142 $ 2,156,597 $ 2,394,050 $ 237,453 <br />Original Budget $ 6,401,179 <br />Supplemental" 590,129 <br />Revised Budget $ 6,991,308 <br />Community Park $ 218,639 <br />Software 286,138 <br />Majority of supplemental $ 504,777 <br />PACKET 10 <br />