2018 City of Shakopee Budget
167
2018 Annual Budget Self Insurance Internal Service Fund
2017
2017 Final
2018
2015
2016
Original Budget
Proposed
Actual
Actual
Budget
Budget
Sources Charges for Services
- - - - - -
$
$
466,950
$
457,500
$
800,000 14,500 4,500 50,000
$
840,000 6,000 6,000 50,000
Reimbursement
-
- - - -
Interest
179
Insurance Dividends
145,757
Donations
-
-
-
Total Revenue
612,886
457,500
869,000
902,000
Uses
Capital Liability Insurance
- - -
134,014
347,500 40,000 387,500
623,400 25,000 648,400
685,000 40,000 725,000
Claims
5,621
Total Expenditures
139,635
Excess (deficiency) of Sources over Uses
-
473,251
70,000
220,600
177,000
Transfer In Transfer Out
- - -
75,000
- -
- -
- -
-
Net
$
$
548,251
$
70,000
$
220,600
$
177,000
Cash Balance December 31
$
-
$
362,791
$
432,791
$
583,391
$
760,391
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