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Elk River Ice Arena <br /> Account Revenue and Expenditure Summary <br /> 2003 : 2002 2002 2001 2000 1999 1998 1997 <br /> • Budget Actual Y Budget Actual Actual Actual Actual Actual <br /> REVENUES <br /> Ice Rental 344,400 336,876 335000` 323,813 319253 289,597 268,936 295,141 <br /> Recreation Programs 138,000'- 137785 125,000 134,311 113,178 72,822 31,227 <br /> Admissions 42,000:' 39,561 42,000: 34,000 41,516 35,320 28,058 23,811 <br /> Sign Rental 16,5001 19,766 15000:; 17,855 15,636 17,240 12,205 16,309 <br /> Dry Floor Events 15,000 17 686 93,700; 13,071 13,690 15,836 12,915 6,705 <br /> Concession Rent 21,500: 21,500 21,500 21,500 21,500 21,500 21,000 20,000 <br /> Vending 34,500 31,034 ! 33,000'. 34,164 31,750 28,476 30,035 23,103 <br /> Skate Sharpening 7,500 5,074 '. 8,000: 5,529 7,547 6,579 6,341 4,637 <br /> Other Mdse Sales/Phone Comm. 3,500: 3.679 ' 5,000' 3,283 2,965 1,864 8,055 1,544 <br /> TOTAL 622,900 613,162 -• 598,200? 588,525 567,035 489,234 418,771 391,750 <br /> EXPENDITURES <br /> • <br /> Personal Service 205,150 189,099 170,800 172,580 178,419 141,639 127,815 102,041 <br /> Other Operating Expenditures 200,950. 171,659 201,900 175,724 186,534 161,881 154,234 115,031 <br /> Vending Mdse for Resale 17500'. 15,253 17,500-: 16,206 16,617 15,254 16,470 11,683 <br /> Other Mdse for Resale 2,800 2 2,356 2,400; 1,060 1,428 855 1,012 953 <br /> Recreation Programs 60,500-! 54,724 45,150: 54,213 <br /> TOTAL 486900.-. - 433.091 437,750:. 419,783 382,997 319,630 299,531 229.708 <br /> • <br /> OPERATING INCOME(LOSS) 136,000: 180,071 160450`, 168,743 134,038 169,604 119,240 162,042 <br /> Capital Outlay 0 10,879 10,400: 88,996 14,291 116,965 120,447 10,847 <br /> Building Debt 201,500:I 202,470 202,500 197,885 198,015 197,860 197,420 204,588 <br /> NET INCOME(LOSS) (65,500) (33,279) (52,450)', (118,138) (28,268) (145,221) (198,628) (53,393) <br /> Other Income <br /> Interest Income . .. . 383 519 940 1,543 - 1,490 <br /> Sale of Fixed Assets - 10,000 - - <br /> Contributions/Rebates 21,503 7,540 - - 20,350 1,100 <br /> Transfers In <br /> Capital Outlay 7,000' 6,342 10,400' 29,000 14,291 116,965 - - <br /> Eliminate Deficit(General Fund) 28,600!'. 21,554 0 28,619 13,037 16,712 233,229 - <br /> Change in Fund Balance (29,900)`. 16,503 (42,050) (52,460) (0) (0) 54,952 (50,803) <br /> Capital Outlay: <br /> 1997-Heaters <br /> 1998-Dehumidification <br /> 1999-$34,305.00 Bleachers;$82,659.98 Ice Resurfacer <br /> 2000- Matting for floors <br /> 2001 -Floor Scrubber F. Bleachers($30,000 to be paid by ERYHA;$27,460 from admission surcharge) <br /> Received$5,000 contribution for sign to be purchased in 2002. <br /> 2002-Matting and sign <br /> Contributions: <br /> 2001 -$5,000 sign;$2,540 admission surcharge for bleachers <br /> 2002-Bleachers$10,000 ERYHA,$11,503 admission surcharge <br /> 3/21/2003 <br />