Laserfiche WebLink
CITY OF ORONO <br />REVENUES WITH COMPARISON TO BUDGET <br />FOR THE 6 MONTHS ENDING JUNE 30, 2025 <br />SEWER OPERATING FUND <br />PERIOD YTD <br />OTHER SOURCES & TRANSFERS IN <br />BUDGET UNEXPENDED PCNT <br />602-39101 <br />SALES OF GENERAL FIXED ASSETS <br />.00 <br />.00 <br />.00 <br />.00 .0 <br />602-39102 <br />COMPENSATION -LOSS FIXED ASSETS <br />.00 <br />.00 <br />.00 <br />.00 .0 <br />602-39310 <br />INTEREST ON INVESTMENTS <br />.00 <br />.00 <br />5,000.00 <br />5,000.00 .0 <br />602-39320 <br />INTEREST-CONSTRUCTON <br />.00 <br />.00 <br />.00 <br />.00 .0 <br />602-39340 <br />INTEREST-W/S CONNECT FEES <br />.00 <br />.00 <br />.00 <br />.00 .0 <br />602-39350 <br />INTEREST -NOW ACCOUNT <br />.00 <br />.00 <br />.00 <br />.00 .0 <br />602-39390 <br />INTEREST -SPECIAL ASSESSMENTS <br />.00 <br />.00 <br />.00 <br />.00 .0 <br />602-39610 <br />MISCELLANEOUS REVENUE <br />.00 <br />.00 <br />.00 <br />.00 .0 <br />602-39615 <br />CONVENIENCE FEE <br />.00 <br />.00 <br />.00 <br />.00 .0 <br />602-39640 <br />CONTRIBUTED ASSETS <br />.00 <br />.00 <br />.00 <br />.00 .0 <br />602-39680 <br />SALE OF EQUIPMENT <br />.00 <br />.00 <br />.00 <br />.00 .0 <br />602-39910 <br />OPERATING TRANSFERS IN <br />.00 <br />.00 <br />.00 <br />.00 .0 <br />602-39920 <br />RESIDUAL EQUITY TRANSFERS IN <br />.00 <br />.00 <br />.00 <br />.00 .0 <br />TOTAL OTHER SOURCES & TRANSFERS IN <br />.00 <br />.00 <br />5,000.00 <br />5,000.00 .0 <br />TOTAL FUND REVENUE 1,168,467.88 1,168,467.88 2,390,000.00 1,221,532.12 48.9 <br />FOR ADMINISTRATION USE ONLY <br />50 % OF THE FISCAL YEAR HAS ELAPSED <br />07/09/2025 04:04PM PAGE:6 <br />181 <br />