COMPARATIVE SCHEDULE OF FUND BALANCES
|
Utilized in Budget of Succeeding |
|||
|---|---|---|---|
| Balance | Year | ||
| Sewer Utility | 2021 |
$2,503,133.21
|
$300,000.00
|
| Operating Fund | 2020 |
2,352,880.72
|
150,000.00
|
| 2019 |
1,654,081.78
|
137,000.00
|
|
| 2018 |
1,700,609.22
|
165,000.00
|
|
| 2017 |
949,967.99
|
158,316.02
|
|
| Parking Utility | 2021 |
$807,424.17
|
$220,000.00
|
| Operating Fund | 2020 |
740,847.80
|
227,500.00
|
| 2019 |
851,294.16
|
275,000.00
|
|
| 2018 |
532,071.97
|
None |