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City of Orono, Minnesota <br />Statement of Revenues, Expenditures and Changes in Fund Balances - <br />Budget and Actual <br />General Fund <br />For the Year Ended December 31, 2021 <br />Actual Variance with <br />Original Final Amounts Final Budget <br />Revenues <br />Taxes 4,936,140$ 4,936,140$ 4,914,877$ (21,263)$ <br />Licenses and permits 532,200 532,200 611,442 79,242 <br />Intergovernmental 268,000 268,000 546,258 278,258 <br />Charges for services 3,350,460 3,350,460 3,782,381 431,921 <br />Fines and forfeitures 70,100 70,100 86,973 16,873 <br />Investment earnings 70,500 70,500 (12,716) (83,216) <br />Miscellaneous <br />Rents and refunds 5,400 5,400 5,850 450 <br />Other 7,700 7,700 35,983 28,283 <br />Total Revenues 9,240,500 9,240,500 9,971,048 730,548 <br />Expenditures <br />Current <br />General government 1,455,850 1,455,850 1,348,363 107,487 <br />Public safety 5,868,700 5,868,700 5,856,673 12,027 <br />Public Works 833,200 833,200 811,636 21,564 <br />Parks and recreation 512,750 512,750 583,256 (70,506) <br />Capital Outlay <br />Public safety 190,000 190,000 305,671 (115,671) <br />Total Expenditures 8,860,500 8,860,500 8,905,599 (45,099) <br />Excess of Revenues <br />Over Expenditures 380,000 380,000 1,065,449 685,449 <br />Other Financing Sources (Uses) <br />Proceeds from sale of capital assets 20,000 20,000 31,388 11,388 <br />Transfers out (400,000) (400,000) (983,297) (583,297) <br />Total Financing Sources (Uses)(380,000) (380,000) (951,909) (571,909) <br />Net Change in Fund Balances - - 113,540 113,540 <br />Fund Balances, January 1 4,547,033 4,547,033 4,547,033 - <br />Fund Balances, December 31 4,547,033$ 4,547,033$ 4,660,573$ 113,540$ <br />Budgeted Amounts <br />The notes to the financial statements are an integral part of this statement. <br />DRAFT <br />45