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a <br />ENTERPRISE FUNDS - Continued <br />COMBINING STATEMENT OF REVENUE, EXPENSES, AND CHANGES IN RETAINED EARNINGS ' <br />Year Ended December 31, 1984 <br />With Comparative Totals for Year Ended December 31, 1983 <br />w <br />Operating Transfers In (Out): <br />From General Fund <br />From Park Fund <br />To General Fund <br />Applied to contributed equity <br />Credit for depreciation on contributed equity <br />NET INCOME (LOSS) TO RETAINED EARNINGS <br />Retained earnings - beginning of year <br />Retained Earnings - End of Year <br />Municipal <br />Liquor Water <br />Operating Operating <br />(15,000) <br />32,038 <br />$ (5,882) $ 14,066 ,. <br />135,294 16,790 <br />$ 129,412 $ 30,856 <br />- 41 - <br />