5584-R1_NewGloucester_2017AnnualReport_Web
STATEMENT
STATEMENT E
STATEMENT E TOWN OF NEW GLOUCESTER, MAINE STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCES GOVERNMENTAL FU DS FOR THE YEAR ENDED JUNE 30, 2017 STATEMENT E N W GLOUCESTER, MAINE , EXPENDITURES AND CHANGES IN FUND BALANCES GOV MENTAL FUNDS Y A ENDED JUNE 30, 2017 TOWN OF NEW GLOUCESTER, MAINE STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCES GOVERNMENTAL FUNDS FOR THE YEAR ENDED JUNE 30, 2017 T M T E TOWN OF NE GL UCESTER, MAINE TATE ENT OF REVENUES, E NDITURES AND CHANGES IN FUND B L GOVERN ENTAL FUNDS FOR THE YE R E DED JUNE 30, 2017 TOWN OF NEW GLOUCESTER, MAINE STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCES GOVERNMENTAL FUNDS FOR THE YEAR ENDED JUNE 30, 2017
Tax Incremental
Other
Total
Tax Incremental Tax Incremental Tax Incremental Financing Tax Incremental Financing Fi ancing Financing District District District District District Financing
Other Other Funds Governmental Governmental Other Other
Total Total Funds Governmental Governmental Total Total
General
Governmental
Government
General General Fund Fund Fund Fund General General
Fund
Funds
Funds
Governmental Governmental
Governmental Govern ental
REVENUES Taxes: Property
Funds
Funds
Funds
Funds
Funds
Funds
REVENUES Taxes: Property
REVENUES Taxes: Property N t Excise REVENUES Taxes: Property
6,843,991 $ 1,129,611 $
$
- - - - -
$
- - -
6,843,99 $
6,843,991 $ 1,129,611 6,843, 91 $ 1,129,6 1 6,843,991 $ 1,129,611 641,028 6,843,991 $ ,129,611 641,028 39,781 247,638 69,595 39,781 247,638 69,595 8,971,644 8,971,644 8,971,6 4 8,971,6 4 1,100,750 387,662 137,155 1,567,276 225,023 1,1 0,750 387, 62 137,1 5 1,567,276 25,023 1,100,750 387,662 137,155 1,567,276 225,023 20,000 ,100,750 387,662 137,155 1,567,276 225,023 20,000 15,251 328,766 4,991,742 124,498 4, 91,742 124,498 15,251 328,766 4,991,742 124,498 2 ,000 15,251 328,766 4,991,742 12 ,498 641,028 39,781 247,638 69,595 20, 0 15,251 328,7 6 641,028 39,781 247,638 69,595
- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -
$ $
- - -
6,843,991 $ 6,843,991 $ 1,129,611
Excise
1,129,61 641,02
$
$
$
- - - - -
- - - - -
$
$
- - -
- - -
- - -
6,843,991 $ 6,843, 91 $
Excise e Intergovernmental Interest income Charges for services Excise Intergovernmental Interest income Intergovernmental Interest income Charges for services Interest income Other revenue l e o e f se i es Other revenue Charges for services Othe revenue TOTAL REVENUES Other revenue r e TOTAL REVENUES TOTAL REVENUES General government Public safety e nt General government Public safety Culture and recreation General government Public safety Culture and recreation Public safety c s e y Culture and recreation Public works r e r ation Public works Public works Solid waste Cemeteries c s d s Health and welfare Public works Solid waste Cemeteries Health and welfare County tax nd lfa County tax Health and welfare Solid waste Cemeteries Health and welfare Solid waste Cemeteries County tax Education Unclassified Debt service: Principal y ax i n e: Education Unclassified Interest County tax Education Uncla s fied Debt service: Principal Interest t Water District debt Interest Water District debt Capital outlay tr ct debt ater District debt Education Unclassified Debt service: Principal Interest Debt service: Principal Capital outlay Capital outlay y TOTAL EXPENDITURES Capital outlay TOTAL EXPENDITURES TOTAL EXPENDITURES Water District debt Intergovernmental Charges for services TOTAL REVENUES EXPENDITURES Current: EXPENDITURES Current: U S : EXPENDITURES Current: EXPENDITURES Cu rent:
641,028 39,781 247,638 69,595
1,129,611 641,028 641,028 41,376 247,638 105,522 9,009,166 41,376 247,638 105,522 9,009,166 1,100,750 387,662 137,155 1,567,276 225,023 - - - - 1,100,750 387,662 137,155 1,567,276 225,023 20,000 20,000 15,251 328,766 4,991,742 137,226 - - 15,251 328,766 4,991,742 137,226 140,000 11,725 32,896 48,953 140,000 11,725 32,896 48,953 9,144,425 9,144,425 - - - - - - -
1,129,611 641,028 1,129,611 641,028 41,376 247,638 10 ,522 9,009,166 41,376 247,638 105,522 9, 09,1 6 1,100,750 387,662 137,155 1,567,276 225,023 1,100,750 387,662 137,155 1,567,276 225,023 2 ,000 15,251 328,766 4,991,742 137,226 20, 00 15,251 328,766 4,991,742 137, 26
1,145
450
41,37 247,63 105,52
1,145 1,145
450 450
1,145
1,145
450 -
450
35,927 36,377 -
-
-
35,927 36,377 35,927 36,377
8,971,644
1,145
9,009,16
35,927 36,377
35,927 36,3 7
1,145 1,145
1,145
1,145
General government
1,100,750 387,662 137,155 1,567,276 225,023 20,000 15,251 328,766 4,991,742 124,498
- - - - - - - - - - - - - - -
1,100,75 387,66 137,15 1,567,27 225,02
- - - - - - - - -
- - - - - - - - - - - - - - -
- - - - - - - - - - - - - - -
- - - - - - - - -
- - - - - - - - -
- - - - - - - - -
Culture and recreation
20,00 15,25 328,76
4,991,74 137,22
12,728
12,728 12,728
12,728
12,728
140,000 11,725 32,896
140,00 11,72 32,89 48,95
140,000 11,725 32,896 140,000 11,725 32,896
- - -
140, 0
1,725 32,896 14 , 0 11,725 32,896
- - -
- - -
- -
14 ,000 11,725 32,896 48,953
140, 00 11,725 32,896 48,953
-
48,953 61,681 -
-
48,953 61,681 48,953 61,681
TOTAL EXPENDITURES
9,082,744
9,144,42
-
-
-
48,953 61,681
48,953 61,681
9,082,744 9,082,7 4 9,082,744 9,082,7 4
9,14 ,425 9,1 4,425
EXCESS OF REVENUES OVER (UNDER) EXPENDITURES OTHER FINANCING SOURCES (USES) Transfers in TOTAL OTHER FINANCING SOURCES (USES)
EXCESS OF REVENUES OVER (UNDER) EXPENDITURES OTHER FINANCING SOURCES (USES) Transfers in TOTAL OTHER FINANCING SOURCES (USES) Transfers (out) NET CHANGE IN FUND BALANCES S NUES (U ER) N I G (U ES) n T s t I S EXCESS OF REVENUES OVER (UNDER) P NDITURES OTHER FINANCING SOURCES (USES) Transfers in Transfers (out) TO AL OTHER FINANCING SOURCES (USES) NET CHANGE IN FUND BALANCES EXCE S OF REVENUES OVER (UNDER) EXPENDITURES OTHER FINANCING SOURCES (USES) Transfers in Transfers (out) TOTAL OTHER FINANCING SOURCES (USES) NET CHANGE IN FUND BALANCES Transfers (out) NET CHANGE IN FUND BALANCES FUND BALANCES - JULY 1 A S FUND BALANCES - JULY 1 FUND BALANCES - JULY 1 FUND BALANCES - JULY 1 U Y FUND BALANCES - JUNE 30 FUND BALANCES - JUNE 30 FUND BALANCES - JUNE 30 U 0 FUND BALANCES - JUNE 30
(111,100)
1,145
(25,304)
(135,25
(111,100) (111,100) (
1,145 1,145
(25,304) (25,304)
(135,259) (135,259)
(1 1,1 0) ,1 0)
1,145
1,145
(25,304)
(25,304)
(135,259) (13 ,259)
1,068,200 (485,625)
235,000 (890,000)
250,625 (178,200)
1,553,82 (1,553,82
1,068,200 (485,625) 1,068,2 0 (485,625) 1,068,200 (485,625) 1,068,200 (485,625)
235,000 (890,000) 235,000 (89 , 0) 235,000 (890,000) (655,000) 235,000 (890, 00) (655, 00) (655,000) (653,855) (653,855) 979,138 (6 5, 0) (653,8 5) (653,855) 979,138 79,138 979,138 325,283 325,283 $ 325,283 325,283
250,625 (178,200) 250,625 (178,200)
1,553,825 (1,553,825) 1,553,825 (1,553,825)
250,625 (178,200) 250,625 (178,2 0)
1,553,825 (1,553,825) 1,553,825 (1, 53,825)
582,575
(655,000)
72,425
582,575 582,575 471,475 471,475
72,425 72,425 47,121 47,121
-
582,575
582,575
72,425
72,425
-
-
-
471,475
(653,855)
47,121
(135,25
(135,259) (135,259) 6,021,115 6,021,115
471,475
471,475
47,121
47, 21
(135,259) (13 ,259)
3,497,203
979,138
1,544,774
6,021,11
3,497,203 3,497,203 3,497,203 3,497,203 3,968,678 $ 3,968,678 $ 3,968,678 $ 3,968,678 $
1,544,774 1,544,774
1,544, 74 1,5 4, 74
6,02 ,115 6,02 , 15
3,968,678 $
325,283
1,591,895 $
5,885,85 $
$
1,591,895 $ 1,591,895 $
5,885,856 $ 5,885,856 $ 5, $
$
$
$
1,591,895 $ 1,591,895 $
5,885,856 $ ,856
See accompanying independent auditors' report and notes to financial statements. 16 See accompanying independent auditors' report and notes to financial statements. 16 i i nt auditors' report and notes to financial statements. 16 See accompanying independent auditors' report and notes to financial statements. 16 e a co panying independent auditors' report and notes to financial statements. 16
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