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CITY OF PEQUOT LAKES 2020 PRELIMINARY BUDGET Page� 21 <br /> Period� 10/19 Oct 30,2019 08:25AM <br /> 01/19-10/19 2019 2020 <br /> Current year Current year Preliminary Budget Budget <br /> Account Number Account Title Actual Budget Budget Variance Variance% <br /> �2020 PRASD CONTRACT$43,320, FINANCIAL AUDIT$2,580,CASELLE SOFTWARE SUPPORT$1,040, COPY MACHINE LEASE <br /> AND CREDIT CARD PROCESSING FEE$1,930 <br /> 601-49400-321 TELEPHONE 784 860 860 0 .00 <br /> 601-49400-322 POSTAGE 1,474 1,500 1,500 0 .00 <br /> 601-49400-334 FUEL 362 700 800 100 14 29% <br /> 601-49400-350 PUBLISHING 0 200 200 0 .00 <br /> 601-49400-360 INSURANCE 2,441 3,000 3,000 0 .00 <br /> 601-49400-381 ELECTRICITY 7,823 13,500 13,000 ( 500) -3.70% <br /> 601-49400-383 HEATING 1,140 1,500 1,500 0 .00 <br /> 601-49400-386 WELLHEAD PROTECTION 0 500 500 0 .00 <br /> 601-49400-400 REPAIR/MAINTENANCE/SERVICES 14,744 30,000 30,000 0 .00 <br /> 601-49400-433 DUES/LICENSING/SUBSCRIPTIONS 3,351 5,000 5,000 0 .00 <br /> 601-49400-500 CAPITAL OUTLAY 69,039 30,870 4,170 ( 26,700) -86.49% <br /> Budget notes: <br /> -2020 IT UPGRADES$380, FINANCIAL SOFTWARE UPGRADE$490, GIS IMPLEMENTATION, EQUIPMENT AND LICENSING$3,300 <br /> 601-49400-601 DEBT SERVICE-PRINCIPAL 60,000 60,000 60,000 0 .00 <br /> Budget notes. <br /> -2020 GO UTILITY REFUNDING BOND <br /> 601-49400-610 DEBT SERVICE-INTEREST 22,540 22,540 21,640 ( 900) -3.99% <br /> Budget notes� <br /> -2020 GO UTILITY REFUNDING BOND <br /> 601-49400-620 FISCAL AGENT FEES 500 500 500 0 .00 <br /> 601-49400-810 REFUNDS&REIMBURSEMENTS 300 0 0 0 .00 <br /> Total WATER: 242,084 255,920 243,390 ( 12,530) -4 90% <br /> WATER FUND Revenue Total: 256,370 291,990 301,180 9,190 3 15% <br /> WATER FUND Expenditure Total: 242,084 276,620 243,390 ( 33,230) -12.01% <br /> Net Total WATER FUND: 14,286 15,370 57,790 42,420 275.99% <br />