Regular Board Meeting - April 19, 2017
GANADO FIRE DISTRICT
STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCES - BUDGET AND ACTUAL (GAAP BASIS) GENERAL FUND FOR THE YEAR ENDED
JUNE 30, 2016
Exhibit G
Variance with Final Budget Positive (Negative)
Budgeted Amounts
Original
Final
Actual
Revenues:
Property Taxes
$
552,430 110,590
$
552,430 110,590
$
552,591 110,590
$
161
Fire District Assistance
-
Fees for Service Miscellaneous
- -
- -
887
887
19,792
19,792
Total Revenues
663,020
663,020
683,860
20,840
Expenditures: Current:
Public Safety Administration Capital Outlay
536,526 96,000 30,494
536,526 96,000 30,494
724,606 107,466
(188,080) (11,466)
4,527
25,967
Total Expenditures
663,020
663,020
836,599
(173,579)
Excess (Deficiency) of Revenues over Expenditures
-
-
(152,739)
(152,739)
Net Change in Fund Balances
-
-
(152,739)
(152,739)
0 DRAFT 0 (152,733) 0 $ 0 $ (305,472) $ $
Fund Balances at Beginning of Year
(152,733)
Fund Balances at End of Year
(305,472)
Made with FlippingBook