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24,141 financial figures extracted across all council records, ordinances, and the city code. Each row carries the surrounding paragraph that explains the number, the page citation, and anAuto-extracted badge so you remember these are AI-extracted and ready for human review, not the official budget baseline.
Financial figure index, not official budget truth.
These rows are for discovery and audit. The simulator only uses rows promoted into the official budget baseline after an admin confirms the number against an official source.
Showing 1–50 of 1,960 figures.
| Amount | Category | Direction | Purpose | Where | Year |
|---|---|---|---|---|---|
| $2,800,000,000,000 $2800000000000 | other | unknown | Unknown; appears in a table under '2023 TOTALS' with no clear context. <td>2023 TOTALS</td><td></td><td></td><td></td><td></td><td></td><td>$2800000000000</td> Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-02-13) p.16 Feb 13, 2024 | — |
| $109,000,000 $109 million | other | reported | Total settlement fund available in Tyler v. Hennepin County class action. This letter is to notify you that former owners and lienholders of Minnesota property that was forfeited for non-payment of property taxes may be eligible to collect compensation under the proposed Settlement of the above-referenced class action lawsuit (the "Settlement") currently pending in the Ramsey County District Court, Second Judicial District of Minnesota (the "Court"). Up to $109 million is available under the Settlement. Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-10-08) p.62 Oct 8, 2024 | — |
| $109,000,000 $109 million | other | reported | Total settlement fund for Tyler v. Hennepin County, including claims, costs, and fees. The Settlement provides $109 million to pay Approved Claims, Notice and Administration Costs, and attorneys' fees and expenses. Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-10-08) p.66 Oct 8, 2024 | — |
| $109,000,000 $109 Million | other | reported | Total class action settlement fund for tax forfeiture lawsuit. A Minnesota Court authorized this Class Notice. This is not a solicitation from a lawyer. · A settlement (the "Settlement") has been proposed in the class action lawsuit called Tyler v. Hennepin County (62-CV-19-6012) pending in the Ramsey County District Court, Second Judicial District of Minnesota. Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-10-08) p.63 Oct 8, 2024 | — |
| $12,000,000 $12 million | other | reported | Reported overall budget for the City of St. Francis. There are 35 full time employees and an overall budget of over $12 million. The City of St. Francis is a growing community of approximately 8,100. Currently, the city has a number of residential housing projects underway and through the concept plan stage. Auto-extracted | Meeting City Council Meeting — Agenda Packet (2022-03-10) p.13 Mar 10, 2022 | — |
| $7,800,000 $7.8 million | other | reference | General Fund Budget threshold for ICMA small community discount eligibility. If you are a Manager or Assistant/Deputy in a smaller community, you are eligible for an additional 20% reduction if your population is 7500 or less AND your General Fund Budget is under $7.8 million. Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-11-12) p.80 Nov 12, 2024 | — |
| $6,766,554 4\. Audit Review Presentation by Andrew Grice from Creative Planning. | other | unknown | F005 The 2024 audit reported total net position at year-end. Bucket: 2024 total net position Auto-extracted | Meeting City Council Meeting — Minutes (2025-05-13) p.2 May 13, 2025 | 2024 |
| $6,411,975 The assets and deferred outflows of resources of the City exceeded its liabilities and deferred
inflows of resources at the close of the most recent fiscal year by $6,411,975 (net position). | other | unknown | F32 Audited total net position at December 31, 2025. Bucket: 2025 audited total net position Auto-extracted | May 12, 2026 Packet p.91 May 12, 2026 | 2025 |
| $4,543,975.4 $4,543,975.40 | other | unknown | Treasurer's Report bank total Treasurer's Report listed total before outstanding checks. Bucket: Treasurer's Report total cash Auto-extracted | Meeting City Council Meeting — Agenda Packet (2022-08-11) Aug 11, 2022 | 2022 |
| $4,470,077.82 Adjusted Bank Total $ 4,470,077.82 | other | unknown | Adjusted bank total Adjusted bank total and Schedule 1 ending balance in Treasurer's Report. Bucket: Adjusted bank total Auto-extracted | Meeting City Council Meeting — Agenda Packet (2022-08-11) Aug 11, 2022 | 2022 |
| $4,253,197.83 Adjusted Bank Total
$ 4,253,197.83
SCHEDULE 1 Ending Balance:
$ 4,253,197.83 | other | unknown | Adjusted bank total Adjusted bank total and Schedule 1 ending balance. Bucket: Treasurer's report Auto-extracted | Meeting City Council Meeting — Agenda Packet (2023-01-10) p.9 Jan 10, 2023 | 2022 |
| $4,206,000 Assets are $4,206,000
$2,564,000 in Cash & Investment's
$1,121,000 in Long-term receivables
$ 521,000 in Prepaid expenditures | other | unknown | F11 First quarter financial report summary of governmental funds assets. Bucket: Governmental funds assets Auto-extracted | May 12, 2026 Packet p.39 May 12, 2026 | 2026 |
| $4,132,321 TOTAL ASSETS 1,630,792 $2,699 $45,287 ($5,826) $1,038,538 $212,108 $374 $267,538 $507,964 $432,847 $4,132,321 | other | unknown | Total governmental fund assets Total governmental fund assets at December 31, 2024; report was tabled. Bucket: 2024 Fourth Quarter Financial Report Auto-extracted | Meeting Council Meeting — Agenda Packet (2025-02-11) p.40 Feb 11, 2025 | 2024 |
| $4,132,000 GOVERNMENTAL FUNDS
Assets are $4,132,000 | other | unknown | F023 Fourth quarter financial report governmental funds asset total. Bucket: Governmental fund assets Auto-extracted | Meeting City Council Meeting — Agenda Packet (2025-02-27) p.82 Feb 27, 2025 | 2024 |
| $4,060,261.15 Adjusted Bank Total $ 4,060,261.15
SCHEDULE 1 Ending Balance:
$ 4,060,261.15 | other | unknown | Adjusted bank total Adjusted bank total and Schedule 1 ending balance in the Treasurer's Report. Bucket: Treasurer's Report Auto-extracted | Meeting City Council Meeting — Agenda Packet (2022-11-10) Nov 10, 2022 | 2022 |
| $4,000,000 Typically, budget is about $3M - $4M annually on
research | other | unknown | F15 Presentation background: “Typically, budget is about $3M - $4M annually on research” (MnDOT pavement research). Bucket: MnDOT pavement research (contextual) Auto-extracted | June 2, 2026 Packet p.23 Jun 2, 2026 | — |
| $3,841,590 As of the close of the current fiscal year, the City's governmental funds reported combined
ending fund balances of $3,841,590, an increase of $425,587 in comparison with the prior
year. | other | unknown | F35 Audited combined ending fund balances for governmental funds. Bucket: 2025 governmental funds combined ending fund balances Auto-extracted | May 12, 2026 Packet p.91 May 12, 2026 | 2025 |
| $3,827,435.23 Adjusted Bank Total
$ 3,827,435.23 | other | unknown | December adjusted bank total Adjusted Bank Total as of December 31, 2023. Bucket: December 2023 Treasurer's Report Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-02-13) Feb 13, 2024 | 2023 |
| $3,732,000 Assets are $3,732,000
$2,497,000 in Cash & Investment's
$ 785,000 in Long-term receivables
$ 450,000 in Prepaid expenditures | other | unknown | F9 Second quarter financial report summary of assets. Bucket: Governmental fund assets Auto-extracted | August 12, 2025 Packet p.48 Aug 12, 2025 | 2025 |
| $3,662,534.86 Adjusted Bank
Total
$ 3,662,534.86 | other | unknown | January 31 adjusted bank total Adjusted bank total in the January 31, 2023 treasurer's report accepted with the consent agenda. Bucket: Treasurer's Report Auto-extracted | Meeting City Council Meeting — Agenda Packet (2023-02-14) Feb 14, 2023 | 2023 |
| $3,585,484.17 Adjusted Bank
Total
$ 3,585,484.17 | other | unknown | November 30 adjusted bank total Treasurer's report approved on the consent agenda. Bucket: Adjusted Bank Total Auto-extracted | Meeting City Council Meeting — Agenda Packet (2022-12-13) p.31 Dec 13, 2022 | 2022 |
| $3,585,463.12 12/31/2022
PMA Financial Network
CD's Fixed Income
$3,585,463.12 | other | unknown | PMA Financial Network CDs balance PMA Financial Network fixed-income CDs balance as of Dec. 31, 2022. Bucket: Treasurer's report Auto-extracted | Meeting City Council Meeting — Agenda Packet (2023-01-10) p.9 Jan 10, 2023 | 2022 |
| $3,513,222 Of this amount, $3,513,222 (unrestricted net position) may be used to meet the City's ongoing
obligations to citizens and creditors. | other | unknown | F33 Audited unrestricted net position at December 31, 2025. Bucket: 2025 unrestricted net position Auto-extracted | May 12, 2026 Packet p.91 May 12, 2026 | 2025 |
| $3,510,841 <tr>
<td>Total City Cash & Investments</td>
<td>$ 3,510,841</td>
<td>$ 4,188,427</td>
<td>$ (677,586)</td>
</tr> | other | unknown | Total City Cash and Investments Status of cash balances as of June 30, 2023. Bucket: Total City Cash & Investments Auto-extracted | Meeting City Council Meeting — Agenda Packet (2023-08-08) Aug 8, 2023 | 2023 |
| $3,504,333 $3,504,333.00
YTD Outstanding Chks $ (38,562.52)
Adjusted Bank Total $ 3,465,770.48 | other | unknown | Treasurer report bank total before outstanding checks Total cash balance shown before outstanding checks. Bucket: Treasurer's Report Auto-extracted | Meeting City Council Meeting — Agenda Packet (2023-03-14) p.8 Mar 14, 2023 | 2023 |
| $3,465,770.48 Adjusted Bank Total $ 3,465,770.48
SCHEDULE 1 Ending Balance: $ 3,465,770.48 | other | unknown | Treasurer report adjusted bank total Adjusted bank total and Schedule 1 ending balance in the Treasurer's Report. Bucket: Adjusted Bank Total Auto-extracted | Meeting City Council Meeting — Agenda Packet (2023-03-14) p.8 Mar 14, 2023 | 2023 |
| $3,452,380.12 $3,452,380.12 | other | unknown | Treasurer report cash total Treasurer's report total cash before outstanding checks. Bucket: Cash total Auto-extracted | Meeting City Council Meeting — Agenda Packet (2023-09-12) Sep 12, 2023 | 2023 |
| $3,426,109.43 Adjusted Bank Total $ 3,426,109.43
SCHEDULE 1 Ending Balance: $ 3,426,109.43 | other | unknown | Treasurer report adjusted bank total Treasurer's report adjusted bank total and Schedule 1 ending balance. Bucket: Adjusted Bank Total / Schedule 1 Ending Balance Auto-extracted | Meeting City Council Meeting — Agenda Packet (2023-09-12) Sep 12, 2023 | 2023 |
| $3,416,003 4\. Audit Review Presentation by Andrew Grice from Creative Planning. | other | unknown | F006 The 2024 audit reported combined ending governmental fund balances. Bucket: 2024 governmental fund balances Auto-extracted | Meeting City Council Meeting — Minutes (2025-05-13) p.2 May 13, 2025 | 2024 |
| $3,409,192 TOTAL FUND BALANCE $1,499,095 $2,699 $45,287 ($5,826) $466,685 $212,108 $374 $267,538 $488,385 $23,347 $3,409,192 | other | unknown | Total governmental fund balance Total governmental fund balance at December 31, 2024; report was tabled. Bucket: 2024 Fourth Quarter Financial Report Auto-extracted | Meeting Council Meeting — Agenda Packet (2025-02-11) p.40 Feb 11, 2025 | 2024 |
| $3,409,000 Fund Balances are $3,409,000 | other | unknown | F026 Fourth quarter financial report total fund balances. Bucket: Governmental fund balances Auto-extracted | Meeting City Council Meeting — Agenda Packet (2025-02-27) p.82 Feb 27, 2025 | 2024 |
| $3,384,658 Total City Cash & Investments
$ 3,384,658
$ 2,972,805
$ 411,853 | other | unknown | Fourth quarter total cash and investments Total city cash and investments in the fourth quarter financial report accepted on the consent agenda. Bucket: Total City Cash & Investments Auto-extracted | January 13, 2026 Packet p.81 Jan 13, 2026 | 2025 |
| $3,375,000 Fund Balances are $3,375,000
$1,990,000 is
restricted/committed/assigned
$1,385,000 is unassigned or available | other | unknown | F14 First quarter financial report summary of fund balances. Bucket: Governmental funds fund balances Auto-extracted | May 12, 2026 Packet p.39 May 12, 2026 | 2026 |
| $3,369,874.22 Adjusted Bank Total
$3,369,874.22
SCHEDULE 1 Ending Balance:
$ 3,369,874.22 | other | unknown | December 2025 adjusted bank total December 31, 2025 Treasurer's Report adjusted bank total approved on the consent agenda. Bucket: Adjusted Bank Total Auto-extracted | January 13, 2026 Packet p.48 Jan 13, 2026 | 2025 |
| $3,290,962.47 Cash per CTAS
07-31/19 SCHEDULE 1 Ending Balance:
$ 3,290,962.47 | other | unknown | CTAS Schedule 1 ending balance as of July 31, 2019 Cash per CTAS ending balance on Schedule 1 as of July 31, 2019. Bucket: July 2019 Treasurer's Report Auto-extracted | July 2019 Treasurer's Report p.1 Aug 13, 2019 | 2019 |
| $3,284,723.93 Adjusted Bank Total
$3,284,723.93 | other | unknown | January adjusted bank total Adjusted Bank Total as of January 31, 2024. Bucket: January 2024 Treasurer's Report Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-02-13) Feb 13, 2024 | 2024 |
| $3,278,664.03 Adjusted Bank Total $ 3,278,664.03 | other | unknown | Adjusted bank total Adjusted bank total in Treasurer's Report. Bucket: Adjusted Bank Total Auto-extracted | Meeting City Council Meeting — Agenda Packet (2023-04-11) p.9 Apr 11, 2023 | 2023 |
| $3,235,252.61 Adjusted Bank Total $ 3,235,252.61 | other | unknown | Adjusted bank total Adjusted bank total in the October 31, 2023 Treasurer's Report. Bucket: Treasurer's Report Auto-extracted | Meeting City Council Meeting — Agenda Packet (2023-11-14) Nov 14, 2023 | 2023 |
| $3,199,604.05 $3,199,604.05 | other | unknown | treasurer_july_cash_total July 31, 2024 cash total before outstanding checks/adjustments. Bucket: Treasurer's Report July 31, 2024 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-09-10) Sep 10, 2024 | 2024 |
| $3,117,363.12 7/31/2022 PMA Financial Network CD's Fixed Income $3,117,363.12 | other | unknown | PMA Financial Network CD balance Treasurer's Report cash balance as of July 31, 2022. Bucket: PMA Financial Network CDs Auto-extracted | Meeting City Council Meeting — Agenda Packet (2022-08-11) Aug 11, 2022 | 2022 |
| $3,082,126.12 Adjusted Bank Total
$3,082,126.12
SCHEDULE 1 Ending Balance:
$ 3,082,126.12 | other | unknown | treasurer_july_adjusted_total July 31, 2024 adjusted bank total and Schedule 1 ending balance. Bucket: Treasurer's Report July 31, 2024 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-09-10) Sep 10, 2024 | 2024 |
| $3,042,883.67 Adjusted Bank Total
$3,042,883.67
SCHEDULE 1 Ending Balance:
$ 3,042,883.67 | other | unknown | treasurer_august_adjusted_total August 31, 2024 adjusted bank total and Schedule 1 ending balance. Bucket: Treasurer's Report August 31, 2024 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-09-10) Sep 10, 2024 | 2024 |
| $3,000,000 Typically, budget is about $3M - $4M annually on
research | other | unknown | F14 Presentation background: “Typically, budget is about $3M - $4M annually on research” (MnDOT pavement research). Bucket: MnDOT pavement research (contextual) Auto-extracted | June 2, 2026 Packet p.23 Jun 2, 2026 | — |
| $2,982,318.41 $2,982,318.41
YTD Outstanding Chks
$ (33,628.86)
Adjusted Bank Total
$2,948,689.55 | other | unknown | F4 Total cash amount before subtracting outstanding checks. Bucket: Treasurer report bank total before outstanding checks Auto-extracted | Meeting City Council Meeting — Agenda Packet (2025-01-23) p.7 Jan 23, 2025 | 2024 |
| $2,974,915.63 8/31/2023 PMA Financial CD's Fixed Income Network $2,974,915.63 | other | unknown | Treasurer report PMA Financial CD balance Treasurer's report cash balance for PMA Financial CDs as of August 31, 2023. Bucket: PMA Financial CD's Fixed Income Network Auto-extracted | Meeting City Council Meeting — Agenda Packet (2023-09-12) Sep 12, 2023 | 2023 |
| $2,973,000 $2,973,000 in Cash & Investment's | other | unknown | F024 Fourth quarter financial report governmental funds cash and investments. Bucket: Governmental funds cash and investments Auto-extracted | Meeting City Council Meeting — Agenda Packet (2025-02-27) p.82 Feb 27, 2025 | 2024 |
| $2,972,804 Total City Cash & Investments
$ 3,827,435
$ 2,972,804
$ (854,631) | other | unknown | F029 Cash and investment balance as of December 31, 2024. Bucket: Total city cash and investments Auto-extracted | Meeting City Council Meeting — Agenda Packet (2025-02-27) p.98 Feb 27, 2025 | 2024 |
| $2,972,804 Total City Cash & Investments $ 3,827,435 $ 2,972,804 $ (854,631) | other | unknown | Total city cash and investments at year-end 2024 Total City Cash & Investments at December 31, 2024; report was tabled. Bucket: 2024 Fourth Quarter Financial Report Auto-extracted | Meeting Council Meeting — Agenda Packet (2025-02-11) p.39 Feb 11, 2025 | 2024 |
| $2,971,340 $2,971,340.00 | other | reported | Total uses of funds for the bond issue. Total Uses $305,200.00 $366,140.00 $555,000.00 $865,000.00 $880,000.00 $2,971,340.00 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-08-10) p.2 Aug 10, 2021 | — |
| $2,971,340 $2,971,340.00 | other | reported | Total sources of funds for the bond issue. Total Sources $305,200.00 $366,140.00 $555,000.00 $865,000.00 $880,000.00 $2,971,340.00 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-08-10) p.2 Aug 10, 2021 | — |