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CAS. BALA. CES REPORT INFORMATION <br />YEAR: THROUGH APRIL Date: 05/05/00 <br /> Time: 2:32pm <br />City of Elk River Page: 1 <br /> <br /> Account Number Beginning Batance Debit Credit Ending Batance <br /> <br />Ft' '~: 101 GENERAL FUND <br /> .0 Cash 2,492,796.41 881,927.80 2,126,433.14 1,248,291.07 <br /> <br />Fund #: 101 2,492,796.41 881,927.80 2,126,433.14 1,248,291.07 <br /> <br />Fund #: 211 LIBRARY <br /> 1010 Cash <br /> <br />Fund #: 211 <br /> <br />169,042.31 19,712.38 9,337.91 179,416.78 <br />169,042.31 19,712.38 9,337.91 179,416.78 <br /> <br />Fund #: 221 ICE ARENA <br /> 1010 Cash <br /> <br />Fund #: 221 <br /> <br />-5,637.96 272,743.68 204,027.50 63,078.22 <br />-5,637.96 272,743.68 204,027.50 63,078.22 <br /> <br />Fund #: 223 SR CITIZEN ACCOUNT <br /> 1010 Cash <br /> <br />Fund #: 223 <br /> <br />12,957.34 2,402.52 1,931.25 13,428.61 <br />12,957.34 2,402.52 1,931.25 13,428.61 <br /> <br />Fund #: 225 PARK DEDICATION <br /> 1010 Cash <br /> <br />Fund #: 225 <br /> <br />628,805.04 109,035.24 1,697.55 7-56,142.7-5 <br />628,805.04 109,035.24 1,697.55 736,142.73 <br /> <br />Fund #: 228 LANDFILL <br /> 1010 Cash <br /> <br />Fund #: 228 <br /> <br />1,006,411.88 105,337.96 94,104.98 1,017,644.86 <br />1,006,411.88 105,337.96 94,104.98 1,017,644.86 <br /> <br />Fund #: 231 LANDFILL-CONST DEBRIS <br /> 1010 Cash <br /> <br />Fur,a#: 231 <br /> <br />203,~1.93 16,902.67 0.00 220,744.60 <br />203,8/,1.93 16,902.67 0.00 220,744.60 <br /> <br />Ful.. #: 240 MICRO LOAN FUND <br /> 1010 Cash <br /> <br />Fund #: 240 <br /> <br />370,563.75 43,382.31 61,636.95 352,309.11 <br />370,563.75 43,382.31 61,636.95 352,309.11 <br /> <br />Fund #: 241DTED LOAN FUND <br /> 1010 Cash <br /> <br />Fund #: 241 <br /> <br />68,038.79 11,478.29 24,201.17 55,315.91 <br />68,038.79 11,478.29 24,201.17 55,315.91 <br /> <br />Fund #: 245 DEVELOPMENT FUND <br /> 1010 Cash <br /> <br />Fund #: 245 <br /> <br />696,524.30 91,182.13 95,155.74 692,550.69 <br />696,524.30 91,182.13 95,155.74 692,550.69 <br /> <br />Fund #: 290 CAPITAL OUTLAY RESERVE <br /> 1010 Cash <br /> <br />Fund #: 290 <br /> <br />232,477.01 167,724.67 130,696.55 269,505.13 <br />232,477.01 167,724.67 130,696.55 269,505.13 <br /> <br />Fund #: 291 INSURANCE RESERVE <br /> 1010 Cash <br /> <br />Fund #: 291 <br /> <br />406,660.78 75,690.34 25,221.17 457,129.95 <br />406,660.78 75,690.34 25,221.17 457,129.95 <br /> <br />Fund #: 292 GOVT BUILDINGS RESERVE <br /> 1010 Cash <br /> <br />Fund #: 292 <br /> <br />1,088,527.89 164,199.80 150.00 1,252,577.69 <br />1,088,527.89 164,199.80 150.00 1,252,577.69 <br /> <br />Fund #: 293 STREET IMPROVEMENT RESERVE <br /> 1010 Cash <br /> <br />F~ ,: 293 <br /> <br />765,659.45 74,215.76 10,428.39 829,446.82 <br />765,659.45 74,215.76 10,428.39 829,446.82 <br /> <br />Fund #: 294 DRUG FORFEITURE RESERVE <br /> 1010 Cash 49,534.45 8,461.64 13,625.81 44,370.28 <br /> <br /> <br />