2020 Comprehensive Annual Financial Report
CITY OF SHAKOPEE
SCHEDULE OF REVENUES, EXPENDITURES AND For the Year Ended December 31, 2020 BUDGET AND ACTUAL - GENERAL FUND CHANGES IN FUND BALANCES -
Variance with Final Budget - Over (Under)
Actual
Budget
Amounts
Original
Final
EXPENDITURES (Continued) Public Safety Current: Police
9,214,600 2,762,700 1,286,900
9,225,578 3,062,253 1,286,900
9,202,855 3,075,083 1,260,375
(22,723) 12,830 (26,525) 60,987 24,569
Fire
Building Inspection
Capital Outlay
-
-
60,987
Total Public Safety
13,264,200
13,574,731
13,599,300
Public Works Current: Engineering
1,113,900 2,405,300 450,500 2,681,700
1,113,900 2,405,740 501,051 2,656,842
1,153,125 2,252,158 524,777 2,621,178
39,225
Streets
(153,582) 23,726 (35,664) (6,000) (132,295)
Shop
Park Maintenance
Capital Outlay
6,000
6,000
-
Total Public Works
6,657,400
6,683,533
6,551,238
Culture and Recreation Current: Recreation
4,210,400
4,260,281
3,559,908 148,073 3,707,981
(700,373)
Capital Outlay
-
48,093
99,980
Total Parks and Recreation
4,210,400
4,308,374
(600,393)
Current:
Total Expenditures
29,143,000
29,805,494
28,883,520
(921,974)
Excess of Revenues Over (Under) Expenditures
(1,045,000)
1,460,329
2,529,768
1,069,439
OTHER FINANCING SOURCES (USES) Proceeds from Sale of Capital Asset
-
-
10,284 250,000
10,284
Transfers In Transfers Out
250,000
250,000
-
-
-
(2,535,510) (2,275,226)
(2,535,510) (2,525,226)
Total Other Financing Sources (Uses)
250,000
250,000
$
(795,000)
$
1,710,329
254,542
(1,455,787) $
Net Change in Fund Balances
FUND BALANCES Beginning of Year
15,879,343
16,133,885 $
End of Year
121
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