CITY OF LAWRENCE, KANSAS
Recreation Special Revenue Fund
Schedule of Revenues, Expenditures and Changes
in Fund Balance - Budget and Actual
Year Ended December 31, 2005
(With Comparative Actual Amounts for 2004)
2005
Variance
Original Revised Positive 2004
Budget Budget Actual (Negative) Actual
 
Revenues:
Taxes $ 313,349 313,349 318,183 4,834 390,817
Charges for services 1,258,810 1,258,810 1,315,059 56,249 1,218,077
Miscellaneous 104,500 104,500 99,038 (5,462) 87,474
Total revenues 1,676,659 1,676,659 1,732,280 55,621 1,696,368
Expenditures:
Culture and recreation:
Personal services 2,578,759 2,497,547 2,403,034 94,513 2,145,720
Contractual service 381,384 435,675 389,028 46,647 375,681
Commodities 210,955 296,818 292,840 3,978 238,579
Capital outlay 59,500 558   558 42,835
Total expenditures 3,230,598 3,230,598 3,084,902 145,696 2,802,815
Excess (deficiency) of revenues over
(under) expenditures (1,553,939) (1,553,939) (1,352,622) 201,317 (1,106,447)
Other financing sources –  transfers in 1,304,000 1,304,000 1,304,000   1,200,000
Excess (deficiency) of revenues over
(under) expenditures and other uses $ (249,939) (249,939) (48,622) 201,317 93,553
Fund balance, beginning of year 610,061 497,937
Net change in reserve for encumbrances (33,964) 18,571
Fund balance, end of year $ 527,475 610,061
See independent auditor's report on the basic financial statements.