LONG TERM DEBT SERVICE - 8200Actual 2023-2024Actual 2024-20252025-2026 Budget7 Month Actual Year to DateEstimated 2025-20262026-2027 Budget
582.7110PRINCIPAL (COMPLEX ADDITIONAL LAND) - MCSJ SOFTWARE000000
582.7112PRINCIPAL (CITY HALL)163,476173,110196,065183,291196,065206,696
582.7212INTEREST (CITY HALL)58,15848,23937,91537,91637,91626,985
***SUB-TOTAL***221,634221,349233,980221,207233,981233,681
LIBRARY, PARKS, SP EVENTS, DEBT TOTAL755,1061,470,6911,619,297746,9601,884,2081,760,260
***TOTAL GENERAL FUND EXPENDITURES***3,311,6893,988,7705,017,1812,888,1785,312,9775,754,195
***TOTAL GENERAL FUND EXCESS/DEFICIENT2,370,2332,960,4501,822,3171,324,4481,711,4061,753,449
LESS RESERVE FOR COMMUNITY TRUST FUND000000
FUND BALANCE/COUNCIL COMMITTED FUNDS USED000000
***TOTAL GENERAL FUND BALANCE ADDITIONS/DELETIONS2,370,2332,960,4501,822,3171,324,4481,711,4061,753,449