Financials FY 2021/2022

CITY OF NEW MEADOWS, IDAHO
QUARTERLY FINANCIAL REPORT
FOR PERIOD ENDING SEPTEMBER 30, 2022
 
APPROPRIATED FUNDS: EXPENDITURES % OF BUDGETED % OF BUDGETED
    APPROPRIATION REVENUE
       
GENERAL FUND (1):      
PERSONNEL SERVICES 103,106.28    
OPERATING EXPENSES 230,904.80    
TOTAL $334,011.08 56.0% 121.0%
       
WATER FUND (60):      
PERSONNEL SERVICES 51,894.71    
OPERATING EXPENSES 67,268.32    
SYSTEM & CAPITAL IMPROVEMENT -78,765.28    
TOTAL $40,397.75 2.0% 6.0%
       
SEWER FUND (65):      
PERSONNEL SERVICES 46,453.98    
OPERATING EXPENSES 167,464.30    
SYSTEM & CAPITAL IMPROVEMENT 6,811.53    
TOTAL $220,729.81 60.0% 35.0%
       
SPECIAL FUNDS:      
INDUSTRIAL PARK (63) 44,578.21 135.0% 22.0%
MV ROUNDUP (8) 211.61 4.0% 6.0%
WEISER RIVER TRAIL Pass through (9) 0.00 0.0% 85.0%
TOTAL (SPECIAL FUNDS) $44,789.82    
       
TOTAL EXPENSES (ALL FUNDS) $639,928.46 20.0%  
TOTAL REVENUES (ALL FUNDS) $1,153,286.03   35.0%
       
INTERESTED CITIZENS ARE INVITED TO INSPECT THE SUPPORTING DETAIL OF THE      
ABOVE FINANCIAL STATEMENT AT NEW MEADOWS CITY HALL, 401 VIRGINIA STREET.      
       
Dana Kautz, City Treasurer      
Posted: June 12, 2023  to www.newmeadowsidaho.us