CAFR 2017
Schedule 14 Page 1 of 5
COMBINING STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCES Nonmajor Capital Projects Funds For the Fiscal Year Ended June 30, 2017
STATE
GENERAL CAPITAL
GENERAL CAPITAL
STREET AND SIDEWALK
HIGHWAY
ALLOCATION
IMPROVEMENTS
IMPROVEMENTS II
Revenues: Intergovernmental
$
1,745,129
$
$
$
Investment Income (Loss) Charges for Current Services
2,798
61,404
(1,806)
3,192,786
Miscellaneous
41,003
929,850
Total Revenues
4,981,716
61,404
(1,806)
929,850
Expenditures: Current:
General Government
768,144
121,106
Public Safety Transportation
1,710,442
5,003,833
3,715,308
Engineering and Building Maintenance
552,510
Culture and Recreation
14,845
Neighborhood Development
(478)
155,775
Economic Opportunity Total Expenditures
5,003,833
3,715,308
782,511
2,539,833
Excess of Revenues Under Expenditures
(22,117)
(3,653,904)
(784,317)
(1,609,983)
Other Financing Sources (Uses): Debt Issuances: General Obligation BANs Issued Premium on Debt Transfers In
771,195
1,979,000
100,000
1,700,000
Transfers Out
(2,606)
Total Other Financing Sources (Uses)
771,195
1,976,394
100,000
1,700,000
Net Change in Fund Balances
749,078
(1,677,510)
(684,317)
90,017
Fund Balances - July 1
(525,517)
4,806,451
1,584,956
2,936,155
Fund Balances - June 30
$
223,561
$
3,128,941
$
900,639
$
3,026,172
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