COG Comprehensive Annual Financial Report
-14- Exhibit A-7 Page 3 of 8
General Fund Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual For the Fiscal Year Ended June 30, 2018
Variance with Final Budget-
Original Budget
Final
Positive
Budget
Actual
(Negative)
Charges for Current Services (Continued): Concessions Fishing, Hunting and Boating Fees Other Parks and Recreation Revenue
$
102,925 39,800 226,145 26,175
$
102,925 39,800 226,145 26,175
$
114,975 38,995 297,169 27,989
$
12,050
(805)
71,024
Library Fees
1,814
Interdepartmental Charges: Administrative Charges
4,565,532 1,536,000
4,565,532 1,536,000
5,396,566 1,536,000
831,034
Engineering Services
Rents
681,448
681,448
680,333
(1,115)
Total Charges for Current Services
17,539,545
17,533,745
18,516,923
983,178
Miscellaneous: Sale of Assets
540,050 32,000 110,600
540,050 32,000 110,600
918,806 24,165 101,855
378,756
Miscellaneous Receivables Revenue Donations and Private Contributions Contracted Construction Projects
(7,835) (8,745)
1,324,100
1,324,100
1,471,215 1,701,205 4,217,246
147,115
Other Revenue
485,160
695,126
1,006,079 1,515,370
Total Miscellaneous
2,491,910
2,701,876
Appropriated Fund Balance
10,884,791
11,483,821
(11,483,821)
Total Revenues
284,066,852
284,766,818
274,298,986
(10,467,832)
The notes to the financial statements are an integral part of this statement.
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