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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 501–550 of 958 figures.
| Amount | Category | Direction | Purpose | Where | Year |
|---|---|---|---|---|---|
| $16,218 16,218 | revenue | historical | 2019 actual fines and forfeitures revenue. Fines and Forfeitures 5,574 16,218 7,713 General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2021-02-09) p.6 Feb 9, 2021 | 2019 |
| $16,000 $16,000 | revenue | historical | Increase in general fund revenues over 2023. General fund revenues UP $16,000 over 2023. Property tax revenues are down ($19,000) Planning & Zoning fees are down ($4,000) Permits & Licenses are down ($9,000) Charges for Services are up $1,000 Interest earnings are up $17,000 Other receipts are up $32,000 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-08-20) p.50 Aug 20, 2024 | 2024 |
| $16,000 16,000 | revenue | projected | 2020 budgeted interest earnings. Interest Earnings 16,000 13,645 85.28% General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2021-02-09) p.5 Feb 9, 2021 | 2020 |
| $16,000 $16,000 | revenue | historical | Increase in license and permit fee revenue compared to prior year. License and Permit fees are up about $16,000. Auto-extracted | Meeting City Council Meeting — Agenda (2019-11-12) p.44 Nov 12, 2019 | — |
| $15,750 15,750 | revenue | in_to_city | Interest earnings for Road Improvement Fund in 2029. Interest 32,265 31,518 21,000 16,700 14,800 18,913 15,750 Road and Bridge FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2024-05-0 p.21 May 6, 2024 | 2029 |
| $15,613 15,613 | revenue | in_to_city | Year-to-date planning & zoning fees revenue received as of March 31, 2023. <tr> <td>Planning & Zoning Fees</td> <td>105,000</td> <td>15,613</td> <td>14.87%</td> </tr> General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2023-05-09) p.7 May 9, 2023 | 2023 |
| $15,525 15,525 | revenue | historical | 2022 budgeted interest earnings. <td>Interest Earnings</td> <td>15,525</td> Auto-extracted | Meeting City Council Meeting — Agenda Packet (2022-09-13) p.8 Sep 13, 2022 | 2022 |
| $15,376.63 $15,376,63 | revenue | in_to_city | Grader Debt Service Fund receipts for the period. 306 Grader Debt Servic $2,941.89 $15,376,63 $28,868.00 $0.00 $0.00 $0.00 ($10,549.48) In Bal Debt Service FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2021-10-12) p.3 Oct 12, 2021 | — |
| $15,337 15,337 | revenue | reported | Year-to-date miscellaneous revenue received. Other Miscellaneous ... 15,337 ... Year to Date Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-07-13) p.9 Jul 13, 2021 | 2021 |
| $15,000 Bailey Estates - At the last Council Meeting the Council made a motion
requesting Chase Johnson/21st Century Bank contribute $15,000
towards the final improvements and outstanding invoices | revenue | in_to_city | F1 Prior motion (at last council meeting) requesting Chase Johnson/21st Century Bank contribute toward Bailey Estates final improvements and outstanding invoices as part of partial release terms (reported as agreed to at this meeting). Bucket: Bailey Estates Auto-extracted | Public Hearing & City Council Meeting — 2011-06-14 PH & CC M p.2 Jun 14, 2011 | — |
| $15,000 she had fifteen thousand dollars um of revenue coming in so i don't know if that 15 000 it doesn't say tony grant it just was 15 000 in revenue | revenue | in_to_city | FF-2 questioned $15,000 recycling revenue Council members discussed an additional $15,000 revenue figure and questioned whether it was an extra county amount or a different revenue line. Bucket: possible additional recycling revenue Special Revenue FundAuto-extracted | 2021 | |
| $15,000 F3 | revenue | in_to_city | F3 Requested contribution from Chase Johnson/21st Century Bank for Bailey Estates final improvements and outstanding invoices. Bucket: Bailey Estates Auto-extracted | — | |
| $15,000 $ 15,000 | revenue | projected | 2025 projected increase in interest earnings. Interest $ 15,000 General FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2024-09-2 p.4 Sep 23, 2024 | 2025 |
| $14,816 14,816 | revenue | reported | Year-to-date charges for services received. Charges for Services ... 14,816 ... Year to Date Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-07-13) p.9 Jul 13, 2021 | 2021 |
| $14,800 14,800 | revenue | in_to_city | Interest earnings for Road Improvement Fund in 2027. Interest 32,265 31,518 21,000 16,700 14,800 18,913 15,750 Road and Bridge FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2024-05-0 p.21 May 6, 2024 | 2027 |
| $14,711 14,711 | revenue | in_to_city | 2023 year-to-date miscellaneous revenue. Other Miscellaneous 31,500 14,711 46.70% Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-02-13) p.6 Feb 13, 2024 | 2023 |
| $14,638.08 $ 14,638.08 | revenue | in_to_city | Outstanding amount owed to the city by Mackenize Hills development property owner. Mackenize Hills development has involved much of staff, Bob, Cindy, Shane's time. The dispute with the developer's agreement and other items that the property owners were choosing not to comply with. This property owner still owes the city $ 14,638.08 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2025-03-11) p.97 Mar 11, 2025 | — |
| $14,567 14,567 | revenue | in_to_city | Year-to-date licenses and permits revenue received as of March 31, 2023. <tr> <td>Licenses and Permits</td> <td>117,550</td> <td>14,567</td> <td>12.39%</td> </tr> General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2023-05-09) p.7 May 9, 2023 | 2023 |
| $14,322 14,322 | revenue | in_to_city | Interest earnings for Equipment Fund in 2024. Interest earnings 11,911 14,322 1,288 1,346 1,250 17,763 10,562 Auto-extracted | Meeting City Council Work Session — Agenda Packet (2024-05-0 p.31 May 6, 2024 | 2024 |
| $14,257.22 $ 14,257.22 | revenue | in_to_city | December 2023 net profit from lawful gambling at Northwoods Bar & Grill. D. Net Profit $ 23,781.00 $ 21,074.01 $ 14,257.22 $ 59,112.23 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-02-13) p.22 Feb 13, 2024 | 2023 |
| $14,160 14,160 | revenue | projected | Projected interest revenue for Road Improvement Fund in 2028. Interest 30,412 32,796 23,000 23,373 18,000 14,160 18,000 Road and Bridge FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2024-08-1 p.9 Aug 15, 2024 | 2028 |
| $13,907.71 $13,907.71 | revenue | in_to_city | Recycling Center Fund receipts for May 2021. <td>603 Recycling Center</td> <td>$27,618.05</td> <td>$13,907.71</td> <td>$7,288.76</td> Special Revenue FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2021-06-08) p.7 Jun 8, 2021 | — |
| $13,645 13,645 | revenue | historical | 2020 General Fund revenue from investment income. Investment income 13,645 3,498 16,869 Miscellaneous 12,222 40,108 35,652 General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2023-07-11) p.3 Jul 11, 2023 | 2020 |
| $13,645 13,645 | revenue | in_to_city | 2020 actual interest earnings received. Interest Earnings 16,000 13,645 85.28% General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2021-02-09) p.5 Feb 9, 2021 | 2020 |
| $13,645 13,645 | revenue | in_to_city | 2020 actual interest earnings revenue. Interest Earnings 13,645 26,438 10,604 General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2021-02-09) p.6 Feb 9, 2021 | 2020 |
| $13,400 Yep. 13,400. Okay. | revenue | in_to_city | F25 Profit figure stated during the Recycling Center discussion. Bucket: Recycling Center profit Special Revenue FundAuto-extracted | 2024 | |
| $13,132 $13,132 | revenue | reported | Current fund balance in the Recycling Center fund. There is currently $13,132 fund balance and will need 25,000 from fund balance for 2024 leaving a deficit of $9,156.43 by the end of 2024. Special Revenue FundPublic WorksAuto-extracted | Meeting City Council Meeting — Agenda Packet (2024-07-09) p.210 Jul 9, 2024 | 2024 |
| $13,132 $13,132 | revenue | reported | Current fund balance for the Recycling Center. The 2023 grant was not as much as anticipated as the city did not do the capital improvements as expected for a new bailer and new roll-off. There is currently $13,132 fund balance and will need 25,000 from fund balance for 2024 leaving a deficit of $9,156.43 by the end of 2024. Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-04-09) p.4 Apr 9, 2024 | — |
| $13,132 $13,132 | revenue | reported | Current fund balance for the Recycling Center. There is currently $13,132 fund balance and will need 25,000 from fund balance for 2024 leaving a deficit of $9,156.43 by the end of 2024. General FundAuto-extracted | Meeting City Council Meeting — Minutes (2024-03-12) p.3 Mar 12, 2024 | — |
| $13,000 $ 13,000 | revenue | projected | 2025 projected increase in interest earnings. <tr> <td>Interest</td> <td>$ 13,000</td> </tr> Auto-extracted | Meeting City Council Work Session — Agenda Packet (2024-07-2 p.6 Jul 29, 2024 | 2025 |
| $12,912.41 Council Member Rainville noted that the recycling center had a profit of $12,912.41 in 2024,
despite being projected to run at a deficit. | revenue | in_to_city | F10 Recycling center profit figure reported in discussion of the recycling fund. Bucket: Recycling center profit (2024) Special Revenue FundAuto-extracted | July 23, 2025 Signed Meeting Minutes p.3 Jul 23, 2025 | 2024 |
| $12,845 $ 12,845 | revenue | projected | Projected increase in licenses and permits revenue for 2023. Licenses & Permits $ 12,845 General FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2022-07-2 p.7 Jul 25, 2022 | 2023 |
| $12,222 12,222 | revenue | historical | 2020 General Fund revenue from miscellaneous sources. Miscellaneous 12,222 40,108 35,652 Total Revenues $ 1,772,181 $ 2,380,190 $ 2,308,099 General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2023-07-11) p.3 Jul 11, 2023 | 2020 |
| $12,128.68 $12,128.68 | revenue | in_to_city | Fire Engine Debt Service Fund receipts for the period. 312 Fire Engine Debt S $23,899.24 $12,128.68 $21,215.00 $0.00 $0.00 $0.00 $14,812.92 In Bal Debt Service FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2021-10-12) p.3 Oct 12, 2021 | — |
| $12,000 12,000 | revenue | projected | Projected interest earnings for 2023 Budget (Debt Fund). <tr> <td>Interest earnings</td> <td>2,836</td> <td>25</td> <td></td> <td>16,000</td> <td>2,800</td> <td>12,000</td> <td>9,200</td> <td>328.57%</td> </tr> Debt Service FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2023-09-12) p.3 Sep 12, 2023 | 2023 |
| $11,911 11,911 | revenue | in_to_city | Interest earnings for Equipment Fund in 2023. Interest earnings 11,911 14,322 1,288 1,346 1,250 17,763 10,562 Auto-extracted | Meeting City Council Work Session — Agenda Packet (2024-05-0 p.31 May 6, 2024 | 2023 |
| $11,500 11,500 | revenue | projected | Original and amended 2024 budget for fines and forfeitures. Fines and Forfeitures 11,500 11,500 6,801 59.14% General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2025-02-27) p.91 Feb 27, 2025 | 2024 |
| $11,500 11,500 | revenue | projected | 2024 budgeted revenue from Fines and Forfeitures. <td>Fines and Forfeitures</td> <td>11,500</td> <td>3,989</td> <td>34.69%</td> General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2024-08-20) p.57 Aug 20, 2024 | 2024 |
| $11,488.28 $11,488.28 | revenue | in_to_city | Net gain for recycling center in 2018. 2018 Revenue - $76,703.48 Expenditures - $65,215.20 Gain (Loss) - $11,488.28 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-04-13) p.1 Apr 13, 2021 | 2018 |
| $11,300 11,300 | revenue | projected | Projected interest earnings revenue for Equipment Replacement in 2022. Interest Earnings 2,120 - 11,300 5,000 6,500 1,500 30.00% Auto-extracted | Meeting City Council Work Session — Agenda Packet (2022-08-2 p.20 Aug 29, 2022 | 2022 |
| $11,223.54 With these funds, the total received for the 2024 First Quarter deposited into the new fund R
230-36230 is $11,223.54. | revenue | in_to_city | F7 Total first-quarter amount deposited into the new fund. Bucket: R 230-36230 Auto-extracted | Meeting City Council Meeting — Minutes (2024-05-14) p.8 May 14, 2024 | 2024 |
| $11,223.54 $11,223.54 | revenue | in_to_city | Total first quarter ERYHA and ARAA funds received and deposited into fund R 230-36230. e) ERYHA Funds Received for first quarter $6,399.53. ARAA Funds Received for first quarter $4,824.01. With these funds, the total received for the 2024 First Quarter deposited into the new fund R 230-36230 is $11,223.54. Special Revenue FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2024-06-11) p.10 Jun 11, 2024 | 2024 |
| $11,223.54 $11,223.54 | revenue | in_to_city | Total first quarter ERYHA and ARAA funds received and deposited into fund R 230-36230. e) ERYHA Funds Received for first quarter $6,399.53. ARAA Funds Received for first quarter $4,824.01. With these funds, the total received for the 2024 First Quarter deposited into the new fund R 230-36230 is $11,223.54. Auto-extracted | Meeting City Council Meeting — Minutes (2024-05-14) p.12 May 14, 2024 | 2024 |
| $11,200 11,200 | revenue | reported | 2024 amended budget ACFPC annual dues revenue. ACFPC Annual Dues 11,200 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-04-09) p.123 Apr 9, 2024 | 2024 |
| $11,200 11,200 | revenue | in_to_city | Annual dues revenue for ACFPC. ACFPC Annual Dues 11,200 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-04-09) p.122 Apr 9, 2024 | 2025 |
| $11,200 11,200 | revenue | projected | 2025 proposed budget ACFPC annual dues revenue. ACFPC Annual Dues 11,200 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-04-09) p.123 Apr 9, 2024 | 2025 |
| $11,200 11,200 | revenue | projected | 2024 projected ACFPC annual dues revenue. ACFPC Annual Dues 11,200 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-04-09) p.123 Apr 9, 2024 | 2024 |
| $11,160 11,160 | revenue | in_to_city | 2023 actual interest earnings for 2019A Improvement Bonds. 315-36210 Interest earnings - 3,887 11,160 3,000 1,800 3,000 1,200 66.67% Debt Service FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2024-09-2 p.2 Sep 23, 2024 | 2023 |
| $11,088 The county receives $11,088 in police state aid on
behalf of Nowthen and so the net cost to the city is $411,835.00 | revenue | in_to_city | F7 Police state aid credit amount referenced for 2023 contract (county receives on behalf of Nowthen). Bucket: Police state aid credit estimate Auto-extracted | Meeting City Council Meeting — Agenda Packet (2022-09-13) Sep 13, 2022 | 2023 |
| $11,088 $11,088 | revenue | in_to_city | State Police Aid received by City of Nowthen for 2022. *Less Amount Received From State for Police State Aid $11,088 $373,981 Auto-extracted | Meeting City Council Work Session — Agenda Packet (2021-08-0 p.2 Aug 5, 2021 | 2022 |