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' GOVERNMENTAL FUNDS <br /> STATEMENT OF REVENUES,EXPENDITURES AND CHANGES IN FUND BALANCES <br /> FOR THE FISCAL YEAR ENDED JUNE 30,2004 <br /> Nonmajor Total <br /> ' Governmental Governmental <br /> General Stabilization Landbank Funds Funds <br /> REVENUES <br /> Real estate and personal property taxes........................... $ 27,495,758 $ - $ - $ - $ 27A95,758 <br /> ' Motor vehicle and other excise taxes............................... 1,905,658 - - - 1,905,658 <br /> Taxliens.................................................................... 57,461 57,461 <br /> Landbank surcharges................................................... 803,896 803,896 <br /> Charges for services,................................................... 211,143 - - 1,201,892 1,413,035 <br /> Trash disposal................*............................_. ...... . 485,432 - - - 485,432 <br /> ' Intergovernmental...................................................... 6,808,582 - - 2,966,914 9,775,496 <br /> Special assessments..................................................... 233,059 233,059 <br /> Penalties and interest on taxes....................................... 296,121 - - 2,721 298,842 <br /> Licenses,permits and fees............................................. 819,173 - 121,000 537,761 1,477,934 <br /> ' Fines and forfeitures.................................................... 39,847 - - - 39,847 <br /> Departmental............................................................. 66,911 66,911 <br /> Contributions and gifts................................................ - - 38,320 38,320 <br /> Investment income...................................................... 105,952 43,620 38,473 6,557 194,602 <br /> TOTAL REVENUES........................................... 38,225,127 43,620 963,369 5,054,135 44,286,251 <br /> EXPENDITURES <br /> Current: <br /> General government............................................... 2,415,662 - 107,800 447,362 2,970,824 <br /> Public safety.......................................................... 5,541,716 - - 473,945 6,015,661 <br /> Education............................................................. 17,295,974 - - 1,655,700 18,951,674 <br /> Public works.......................................................... 2,176,261 - - 864,229 3,040,490 <br /> ' Health and human services...................................... 451,305 - - 895,297 1,346,602 <br /> Culture and recreation............................................. 541,284 - - 292,937 834,221 <br /> Pension benefits..................................................... 1,743,027 _ _ _ 1,743,027 <br /> Employee benefits.................................................. 3,361,123 _ _ _ 3,361,123 <br /> ' Property and liability insurance................................. 358,487 - _ - 358,487 <br /> State and county charges.............................................. 579,739 - _ - 579,739 <br /> Debt service: <br /> Principal............................................................... 2,345298 _ _ _ 2,345,298 <br /> ' Interest................................................................. 1,630,485 _ _ _ 1,630,485 <br /> I <br /> TOTAL EXPENDITURES.................................... 38,440,361 - 107,800 4,629,470 43,177,631 <br /> EXCESS(DEFICIENCY)OF REVENUES <br /> OVER EXPENDITURES............................................... (215,234) 43,620 855,569 424,665 1,108,620 <br /> OTHER FINANCING SOURCES(USES) <br /> Transfers in................................................................ 2,153,552 - - 244,000 2,397,552 <br /> ' Proceeds of bonds and notes......................................... - - 3,564,600 1,365,400 4,950,000 <br /> Premium from issuance of bonds and notes...................... 7,264 7,264 <br /> Proceeds of refunding bonds......................................... 16,725,000 16,725,000 <br /> Premium from issuance of refunding bonds..................... - - - 1,516,750 1,516,750 <br /> ' Transfers on", <br /> .............................. (244,000) (750,000) (435,405) (968,147) (2,397,552) <br /> Payments to refunding bond escrow agent,...................... - - - (18,109,487) (18,109,487) <br /> TOTAL OTHER FINANCING SOURCES(USES)..... 1,916,816 (750,000) 3,129,195 793,516 5,089,527 <br /> NET CHANGE IN FUND BALANCES................................ 1,701,582 (706,380) 3,984,764 1,218,181 6,198,147 <br /> FUND BALANCES AT BEGINNING OF YEAR..................... 4,396,347 3,358,094 (1,017,345) 2,414,963 9,152,059 <br /> ' FUND BALANCES AT END OF YEAR................................ $ 6,097,929 $ 2,651,714 $ 2,967,419 $ 3,633,144 $ 15,350,206 <br /> See nates to basic financial statements. <br /> ' Tawn o/Mashpeg Massachusetts 15 Basic Financial Statements <br />