| 2022 actual change in fund balance for Fire Engine Debt Revenues. FY 2021 → FY 2022 | $-590 | $-2,261 | +283.22% | other | 1 |
| Cost for Area 3 fertilization/weed control by Best Outdoor Services. FY 2025 → FY 2025 | $870 | $3,290 | +278.16% | contract | 1 |
| 2021 General Fund revenue from intergovernmental sources. FY 2020 → FY 2021 | $124,198 | $468,764 | +277.43% | revenue | 1 |
| 2012 invoice for Meetings from The Planning Company. FY 2011 → FY 2012 | $1,000 | $3,750 | +275% | invoice | 1 |
| Recycling center hauling expense. FY 2019 → FY 2019 | $320 | $1,165 | +264.06% | expenditure | 1 |
| Donation from Elk River Youth Hockey Association to City of Nowthen. FY 2019 → FY 2019 | $2,736 | $9,643 | +252.45% | donation | 1 |
| 2023 budgeted other miscellaneous revenue. FY 2019 → FY 2023 | $9,000 | $31,500 | +250% | revenue | 1 |
| 2021 actual delinquent tax revenue. FY 2020 → FY 2021 | $8,314 | $28,683 | +245% | revenue | 1 |
| Investment balance for General Fund. FY 2019 → FY 2019 | $248,632 | $850,000 | +241.87% | asset_value | 1 |
| Disbursements from General Fund for the period. FY 2019 → FY 2019 | $396,811 | $1,348,148 | +239.75% | expenditure | 1 |
| 2022 budgeted change in fund balance for Equipment Replacement capital fund. FY 2021 → FY 2022 | $-246,500 | $-830,920 | +237.09% | other | 1 |
| Year-to-date revenue from Interest Earnings as of June 2024. FY 2023 → FY 2024 | $7,024 | $23,529 | +234.98% | revenue | 1 |
| 2023 budgeted miscellaneous revenue. FY 2022 → FY 2023 | $9,500 | $31,500 | +231.58% | revenue | 1 |
| 2015 invoice for Zoning Admin. (pass through, building permits) from The Planning Company. FY 2014 → FY 2015 | $3,501 | $11,607 | +231.53% | invoice | 1 |
| Invoice for Zoning Admin. (pass through, bldg, permits) for 2015. FY 2014 → FY 2015 | $3,501 | $11,607 | +231.53% | invoice | 1 |
| 2021 General Fund revenue from miscellaneous sources. FY 2020 → FY 2021 | $12,222 | $40,108 | +228.16% | revenue | 1 |
| 2023 budgeted use of fund balance. FY 2021 → FY 2023 | $-95,425 | $-295,070 | +209.22% | other | 1 |
| 2020 actual supplies expenditure in Equipment Replacement capital fund. FY 2019 → FY 2020 | $4,585 | $14,098 | +207.48% | expenditure | 1 |
| 2026 projected year-end working capital balance for Road Improvement Fund. FY 2025 → FY 2026 | $241,773 | $742,015 | +206.91% | asset_value | 1 |
| Estimated cost per vote if 5% of registered voters participate in special election. FY 2025 → FY 2025 | $19 | $58 | +205.26% | estimate | 1 |
| Expenditure for turnout gear in 2030. FY 2029 → FY 2030 | $5,000 | $15,000 | +200% | capital | 1 |
| Increase in utilities/maintenance expenditures over 2022. FY 2023 → FY 2023 | $14,000 | $42,000 | +200% | expenditure | 1 |
| 2021 budgeted expenditure for Farmer's Market. FY 2019 → FY 2021 | $500 | $1,500 | +200% | expenditure | 1 |
| Budgeted capital expenditure for turnout gear in 2023. FY 2022 → FY 2023 | $7,500 | $22,500 | +200% | capital | 1 |
| Estimated project cost for a road project in Anoka (Zip 55303). FY 2020 → FY 2020 | $100,000 | $300,000 | +200% | estimate | 1 |
| Balance in 4M, 4MP & GO Funds Money Market Fund as of July 31, 2022. FY 2021 → FY 2022 | $409,761 | $1,225,352 | +199.04% | asset_value | 1 |
| 2022 budgeted interest earnings. FY 2021 → FY 2022 | $5,200 | $15,525 | +198.56% | revenue | 1 |
| 2021 actual miscellaneous revenue. FY 2020 → FY 2021 | $25,890 | $77,194 | +198.16% | revenue | 1 |
| 2025 Road Improvement Project expenditure. FY 2025 → FY 2025 | $380,400 | $1,120,063 | +194.44% | capital | 1 |
| Dividend received by the City of Nowthen in 2021. FY 2020 → FY 2021 | $1,878 | $5,437 | +189.51% | revenue | 1 |
| Year-to-date total general fund expenditures in 2024. FY 2022 → FY 2024 | $786,030 | $2,261,208 | +187.67% | expenditure | 1 |
| 2023 actual interest earnings for 2019A Improvement Bonds. FY 2022 → FY 2023 | $3,887 | $11,160 | +187.11% | revenue | 1 |
| Invoice for planning services for 5606 Verde Valley Road from The Planning Company LLC. FY 2023 → FY 2023 | $260 | $741 | +185% | invoice | 1 |
| 2022 budgeted Fire expenditures. FY 2020 → FY 2022 | $101,355 | $288,625 | +184.77% | expenditure | 1 |
| 2023 budgeted expenditure for Building Inspection surcharge. FY 2022 → FY 2023 | $3,000 | $8,500 | +183.33% | expenditure | 1 |
| 2022 budgeted total expenditures for Equipment Replacement capital fund. FY 2021 → FY 2022 | $321,000 | $908,420 | +183% | expenditure | 1 |
| Year-to-date revenue from Other Miscellaneous sources as of June 2024. FY 2023 → FY 2024 | $17,755 | $50,212 | +182.8% | revenue | 1 |
| Admin fee for Bashir Moghul, 6/22/22 citation. FY 2022 → FY 2022 | $4 | $11 | +175% | assessment | 1 |
| Admin fee for Dan Larson, 7/1/22 citation. FY 2022 → FY 2022 | $3 | $8 | +166.67% | assessment | 1 |
| 2028 projected year-end working capital balance for Road Improvement Fund. FY 2027 → FY 2028 | $266,505 | $707,990 | +165.66% | asset_value | 1 |
| Year-to-date property tax revenue received in 2024. FY 2022 → FY 2024 | $638,632 | $1,696,445 | +165.64% | revenue | 1 |
| Increase in general fund operating and capital improvement levy for 2025. FY 2023 → FY 2025 | $65,495 | $173,190 | +164.43% | levy | 1 |
| Balance in 4M, 4MP & GO Funds Money Market Fund as of 1/31/2022. FY 2019 → FY 2022 | $1,215,604 | $3,131,493 | +157.61% | asset_value | 1 |
| 2023 interest earnings for Park Capital fund. FY 2022 → FY 2023 | $3,225 | $8,192 | +154.02% | revenue | 1 |
| Dividend received by the City of Nowthen in 2020. FY 2019 → FY 2020 | $742 | $1,878 | +153.1% | revenue | 1 |
| Base funding granted for 2025. FY 2023 → FY 2025 | $11,815 | $29,874 | +152.85% | grant | 1 |
| Dividend received by the City of Nowthen in 2015. FY 2014 → FY 2015 | $974 | $2,460 | +152.57% | revenue | 1 |
| Invoice for city technical assistance (ordinance, zoning, comp plan work) in 2019. FY 2018 → FY 2019 | $6,663 | $16,768 | +151.66% | invoice | 1 |
| Invoice for City TA (ordinance, zoning, comp plan work) for 2019. FY 2018 → FY 2019 | $6,663 | $16,768 | +151.66% | invoice | 1 |
| 2019 invoice for City TA (ordinance, zoning, comp plan work) from The Planning Company. FY 2018 → FY 2019 | $6,663 | $16,768 | +151.66% | invoice | 1 |
| 2023 total drop-off grant requested by Nowthen. FY 2022 → FY 2023 | $9,200 | $23,102 | +151.11% | grant | 1 |
| New fee for 1/2 page ad in city newsletter. FY 2024 → FY 2024 | $100 | $250 | +150% | fee | 1 |
| 2022 budgeted interest earnings revenue in Equipment Replacement capital fund. FY 2021 → FY 2022 | $2,000 | $5,000 | +150% | revenue | 1 |
| 2019 actual interest earnings revenue. FY 2018 → FY 2019 | $10,604 | $26,438 | +149.32% | revenue | 1 |
| 2027 Road Improvement Project expenditure. FY 2027 → FY 2027 | $356,700 | $864,539 | +142.37% | capital | 1 |
| 2022 General Fund capital outlay. FY 2021 → FY 2022 | $42,417 | $101,539 | +139.38% | capital | 1 |
| Bond proceeds for Road Improvement Fund in 2027. FY 2026 → FY 2027 | $760,000 | $1,815,572 | +138.89% | revenue | 1 |
| Adjusted bank total as of 1/31/2022. FY 2019 → FY 2022 | $1,855,898 | $4,402,124 | +137.2% | asset_value | 1 |
| 2020 taxable value for residential city tax scenario. FY 2020 → FY 2020 | $360,842 | $854,321 | +136.76% | asset_value | 1 |
| 2020 taxable value for monthly city tax example. FY 2020 → FY 2020 | $360,842 | $854,321 | +136.76% | asset_value | 1 |