CAFR 2017
Schedule 12
COMBINING STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCES Nonmajor Governmental Funds For the Fiscal Year Ended June 30, 2017
PERMANENT
TOTAL
SPECIAL REVENUE
CAPITAL PROJECTS
FUND
NONMAJOR
PERPETUAL
GOVERNMENTAL
FUNDS
FUNDS
CARE
FUNDS
Revenues: Taxes
$
8,027,905
$
$
$
8,027,905
Assessments
953
953
Intergovernmental
18,835,067 4,110,828
1,745,129 3,192,786
20,580,196 7,303,614
Charges for Current Services
Investment Income
131,627
62,396
194,023
Miscellaneous
12,745
1,019,243
1,031,988
Total Revenues
31,119,125
6,019,554
37,138,679
Expenditures: Current:
General Government
889,250
889,250
Public Safety Transportation
4,833,871 2,390,889
2,635,035 26,548,215
7,468,906 28,939,104
Environmental Services
138,194
138,194 552,510
Engineering and Building Maintenance
552,510
Culture and Recreation
1,719,217 4,995,525 6,438,936
4,783,339 1,013,690
6,502,556 6,009,215 6,768,045
Neighborhood Development
Economic Opportunity Debt Service: Principal Retirement
329,109
900,000
900,000
Interest
1,286,804
1,286,804
Fees and Other
6,600
6,600
Total Expenditures
22,710,036
36,751,148
59,461,184
Excess of Revenues Over (Under) Expenditures
8,409,089
(30,731,594)
(22,322,505)
Other Financing Sources (Uses): Debt Issuances: General Obligation BANs Issued Limited Obligation BANs Issued
37,474,308
37,474,308 10,265,798 (224,191) 5,137,555 (19,216,308)
10,265,798
Premium on Debt
(224,191) 4,550,195 (1,493,707)
Transfers In Transfers Out
546,325
41,035
(17,722,601)
Total Other Financing Sources (Uses)
(6,910,478)
40,306,605
41,035
33,437,162
Net Change in Fund Balances
1,498,611
9,575,011
41,035
11,114,657
Fund Balances - July 1
33,863,364
10,780,706
2,386,841
47,030,911
Fund Balances - June 30
$
35,361,975
$
20,355,717
$
2,427,876
$
58,145,568
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