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CITY OF PEQUOT LAKES 2013 PRELIMINARY BUDGET <br />Period: 08/12 <br />� 01/12-08/12 2012 2013 <br />Current year Current year Preliminary <br />Account Number Account Title Actual Budget Budget <br />601-49400-313 CONTRACT SERVICES 39,235 31,500 31,500 <br />Budget notes: <br />-2013 TESTING, CASELLE SOFTWARE SUPPORT, PRASD CONTRACT, EQUIP SERVICES <br />601-49400-321 TELEPHONE 594 1,100 800 ( <br />Budget notes: <br />-2013 MANAGED IP TELEPHONE SERVICE <br />601-49400-322 POSTAGE 891 1,200 1,910 <br />Budget notes: <br />�2013 POSTAGE MACHINE $340, FOLDER/INSERTER $570, POSTAGE $1,000 <br />601-49400-334 FUEL 590 1,750 1,200 ( <br />601-49400-350 PUBLISHING 450 300 300 <br />601-49400-360 INSURANCE 2,506 6,500 5,500 ( <br />Budget notes: <br />-2013 5% INCREASE <br />601-49400-381 ELECTRICITY 5,279 12,000 12,000 <br />601-49400-383 HEATING 904 2,500 2,500 <br />601-49400-384 SANITATION .00 200 200 <br />601-49400-386 WELLHEAD PROTECTION .00 2,000 2,000 <br />601-49400-400 REPAIR/MAINTENANCE/SERVICES 2,175 15,000 12,000 ( <br />Budget notes: <br />-2013 EQUIP & VEHICLE REPAIRS <br />601-49400-433 DUES/LICENSING/SUBSCRIPTIONS 3,002 6,000 6,000 <br />Budget notes: <br />�2013 MDH, MMUA, MRWA, DNR, WTP PERMITS <br />01-49400-500 CAPITAL OUTLAY 3,420 5,000 5,000 <br />�. Budget notes: <br />-2013 $1,000 TOWARDS MOWER PURCHASE, $4,000 UTILITY WORK FOR RD PROJECTS <br />601-49400-601 DEBT SERVICE - PRINCIPAL 102,594 24,880 70,000 <br />Budget notes: <br />�2013 GO UTIIITY REFUNDING BOND <br />Page: 18 <br />Aug 28, 2012 03:37PM <br />Budget Budget <br />Variance Variance% <br />.00 .00 <br />300) -37.50% <br />710 37.17% <br />550) -45.83% <br />.00 .00 <br />1,000) -18.18% <br />.00 .00 <br />.00 .00 <br />.00 .00 <br />.00 .00 <br />3,000) -25.00% <br />.00 .00 <br />.00 .00 <br />45,120 64.46% <br />601-49400-610 DEBT SERVICE - INTEREST 66,377 64,270 25,660 ( 38,610) -150.47% <br />Budget notes: <br />�2013 GO UTILITY REFUNDING BOND <br />Total WATER: 248,934 215,210 217,690 <br />WATER FUND Revenue Total: 1,399,168 235,690 242,400 <br />WATER FUND Expenditure Total: 248,934 215,210 217,690 <br />Net Total WATER FUND: <br />� <br />1,150,234 20,480 24,710 <br />2,480 1.14% <br />6,710 2.77% <br />2,480 1.14% <br />4,230 17.12°/a <br />