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8-04-2025 12:13 PM                                       CITY  OF  WHITE SETTLEMENT                              PAGE:   2
                                                      REVENUE & EXPENSE REPORT (UNAUDITED)
                                                            AS OF:  OCTOBER 31ST, 2025
 02 -WATER & SEWER FUND
 FINANCIAL SUMMARY                                                                                % OF YEAR COMPLETED:  08.33

                                           CURRENT       CURRENT       YEAR TO DATE         TOTAL          BUDGET      % YTD
                                            BUDGET        PERIOD          ACTUAL         ENCUMBERED       BALANCE      BUDGET
 ____________________________________________________________________________________________________________________________

 SANITATION
   MATERIALS & SUPPLIES                            0            0.00            0.00            0.00            0.00     0.00
   CONTRACTUAL SERVICES                    1,119,143            0.00            0.00       85,835.24    1,033,307.76     7.67
   CAPITAL OUTLAY                                  0            0.00            0.00            0.00            0.00     0.00
       TOTAL SANITATION                    1,119,143            0.00            0.00       85,835.24    1,033,307.76     7.67

 ENVIRONMENTAL
   PERSONNEL                                 255,874            0.00            0.00            0.00      255,874.00     0.00
   MATERIALS & SUPPLIES                        4,500            0.00            0.00            0.00        4,500.00     0.00
   CONTRACTUAL SERVICES                       84,529            0.00            0.00            0.00       84,528.54     0.00
       TOTAL ENVIRONMENTAL                   344,903            0.00            0.00            0.00      344,902.54     0.00

 WATER & SEWER DEBT SVC
   CONTRACTUAL SERVICES                        5,000            0.00            0.00            0.00        5,000.00     0.00
   DEBT SERVICE                              740,272            0.00            0.00            0.00      740,272.00     0.00
       TOTAL WATER & SEWER DEBT SVC          745,272            0.00            0.00            0.00      745,272.00     0.00

 NON-DEPARTMENTAL
   PERSONNEL                                 613,994            0.00            0.00            0.00      613,994.00     0.00
   MATERIALS & SUPPLIES                      165,000            0.00            0.00          166.00      164,834.00     0.10
   CONTRACTUAL SERVICES                    1,070,341            0.00            0.00        9,532.97    1,060,807.81     0.89
   CAPITAL OUTLAY                             10,000            0.00            0.00            0.00       10,000.00     0.00
   DEBT SERVICE                                1,400            0.00            0.00            0.00        1,400.00     0.00
   TRANSFERS                                 187,178            0.00            0.00            0.00      187,178.00     0.00
       TOTAL NON-DEPARTMENTAL              2,047,913            0.00            0.00        9,698.97    2,038,213.81     0.47

 TOTAL EXPENDITURES                       10,418,059            0.00            0.00      886,188.66    9,531,870.10     8.51

 REVENUE OVER/(UNDER) EXPENDITURES           201,765            0.00            0.00 (    886,140.66)   1,087,905.64   439.19-
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