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
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