2020 City of Shakopee Budget
183
2020 Annual Budget Self Insurance Internal Service Fund
2019
2019 Final
2020
2017
2018
Original Budget
Proposed
Actual
Actual
Budget
Budget
Sources
Rental Charges Reimbursement
$
844,509
$
858,642
$
918,100
$
928,000
$
950,000
8,436 1,231
6,704 7,225
6,700
5,000
5,000
Investment Income
12,000
12,000
10,000
Miscellaneous
-
-
Miscellaneous
5,264
6,739
-
7,900
8,000
Insurance Dividends
62,788 922,228
19,446 898,756
50,000 986,800
20,000 972,900
20,000 993,000
Total Revenue
Uses Liability Insurance
622,701 45,187
707,513 27,545
775,000 50,000
802,700 70,000
872,000 80,000
Claims
Miscellaneous
-
-
-
5,000
-
Total Expenditures
667,888
735,058
825,000
877,700
952,000
Excess (deficiency) of Sources over Uses
254,340
163,698
161,800
95,200
41,000
Transfer In
600,000 854,340
-
-
-
-
Net
$
$
163,698
$
161,800
$
95,200
$
41,000
$
362,790
1,217,130 $
1,380,828 $
1,380,828 $
1,476,028 $
Cash Balance- January 1
1,217,130 $
1,380,828 $
1,542,628 $
1,476,028 $
1,517,028 $
Cash Balance December 31
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