Every dollar in any document
Loading records…
Loading records…
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 251–300 of 958 figures.
| Amount | Category | Direction | Purpose | Where | Year |
|---|---|---|---|---|---|
| $82,126 82,126 | revenue | historical | 2018 actual planning & zoning fees revenue. Planning & Zoning Fees 103,352 69,673 82,126 General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2021-02-09) p.6 Feb 9, 2021 | 2018 |
| $80,100 80,100 | revenue | in_to_city | CAT revenue allocation for ACFPC. Chemical Assessment Team (CAT) 80,100 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-04-09) p.122 Apr 9, 2024 | 2025 |
| $78,400 I move that the council accept the purchase agreement in the amount of $78,400 for this Barrett Street property submitted by Reagan Shield Investments Incorporated. | revenue | in_to_city | F-009 Barrett Street property purchase agreement Council accepted a purchase agreement for the Barrett Street property in the amount of $78,400. Bucket: Barrett Street property sale Road and Bridge FundAuto-extracted | 2017 | |
| $77,500 77,500 | revenue | projected | 2022 budgeted total revenues for Equipment Replacement capital fund. TOTAL REVENUES 82,500 64,620 953,500 74,500 77,500 3,000 4.03% Capital Projects FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2021-09-2 p.17 Sep 27, 2021 | 2022 |
| $77,500 77,500 | revenue | projected | Budgeted total revenues for Equipment Replacement in 2022. TOTAL REVENUES 64,620 941,890 83,800 77,500 6,500 (71,000) -91.61% Auto-extracted | Meeting City Council Work Session — Agenda Packet (2022-08-2 p.20 Aug 29, 2022 | 2022 |
| $77,360 $77,360 | revenue | in_to_city | 2023 projected recycling center revenues. Total revenues for recycling are $77,360 which are derived from fees for recycling from the county. This is an increase in revenues of $27,385. Special Revenue FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2022-12-13) p.12 Dec 13, 2022 | 2023 |
| $77,194 77,194 | revenue | historical | 2021 actual miscellaneous revenue. <td>Miscellaneous</td> <td>77,194</td> Auto-extracted | Meeting City Council Meeting — Agenda Packet (2022-09-13) p.8 Sep 13, 2022 | 2021 |
| $77,105 77,105 | revenue | projected | 2021 budgeted intergovernmental revenue. Intergovernmental Revenue ... 77,105 ... 2021 Budget Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-07-13) p.9 Jul 13, 2021 | 2021 |
| $76,703.48 $76,703.48 | revenue | in_to_city | Total recycling center revenue for 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 |
| $76,500 76,500 | revenue | projected | 2021 budgeted planning and zoning fees. Planning & Zoning Fees ... 76,500 ... 2021 Budget Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-07-13) p.9 Jul 13, 2021 | 2021 |
| $74,913 74,913 | revenue | in_to_city | 2022 year-to-date licenses and permits revenue received. <tr> <td>Licenses and Permits</td> <td>104,705</td> <td>74,913</td> <td>71.55%</td> </tr> General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2022-08-11) p.3 Aug 11, 2022 | 2022 |
| $74,500 74,500 | revenue | reported | 2021 budgeted total revenues for Equipment Replacement capital fund. TOTAL REVENUES 82,500 64,620 953,500 74,500 77,500 3,000 4.03% Capital Projects FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2021-09-2 p.17 Sep 27, 2021 | 2021 |
| $74,500 74,500 | revenue | projected | 2020 budgeted planning & zoning fees revenue. Planning & Zoning Fees 74,500 103,352 138.73% General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2021-02-09) p.5 Feb 9, 2021 | 2020 |
| $74,000 She informed the Council that state aid (Local Government Aid, LGA)
was minimal and doesn't provide any funds to us, with 2026 state road funding projected at
$74,000, a small sum relative to the city's needs. | revenue | in_to_city | F13 Projected 2026 state road funding discussed as a small revenue source. Bucket: State road funding Road and Bridge FundAuto-extracted | Meeting City Council Work Session — Minutes (2025-06-05) p.2 Jun 5, 2025 | 2026 |
| $71,792.7 71,792.70 | revenue | in_to_city | Net gambling profit at Bootleggers site (Jan-Mar 2019). C) Line A (Above) minus (-) Line B (Above) C) 71,792.70 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-06-11) p.26 Jun 11, 2019 | 2019 |
| $71,000 $71,000 | revenue | in_to_city | Increase in general fund receipts compared to prior year. General fund receipts are up about 9.5% or $71,000 compared to the same time last year. Property taxes are up $65,000 or 11%. Licenses and permits are up about 16% or $10,000 while at the same time planning & zoning fess are down ($10,000) or 15%. Fines & forfeitures are also down ($1,500) while interest earnings are up about $3,000. Auto-extracted | Meeting City Council Meeting — Agenda Packet (2022-08-11) p.1 Aug 11, 2022 | — |
| $70,000 70,000 | revenue | projected | Original and amended 2024 budget for planning & zoning fees. Planning & Zoning Fees 70,000 70,000 69,540 99.34% General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2025-02-27) p.91 Feb 27, 2025 | 2024 |
| $70,000 70,000 | revenue | projected | 2024 budgeted revenue from Planning & Zoning fees. <td>Planning & Zoning Fees</td> <td>70,000</td> <td>29,520</td> <td>42.17%</td> General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2024-08-20) p.57 Aug 20, 2024 | 2024 |
| $69,673 69,673 | revenue | historical | 2019 actual planning & zoning fees revenue. Planning & Zoning Fees 103,352 69,673 82,126 General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2021-02-09) p.6 Feb 9, 2021 | 2019 |
| $69,644 69,644 | revenue | reported | Year-to-date planning and zoning fees received. Planning & Zoning Fees ... 69,644 ... Year to Date Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-07-13) p.9 Jul 13, 2021 | 2021 |
| $69,540 69,540 | revenue | reported | Year-to-date planning & zoning fees revenue received in 2024. Planning & Zoning Fees 70,000 70,000 69,540 99.34% General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2025-02-27) p.91 Feb 27, 2025 | 2024 |
| $68,452.48 68,452.48 | revenue | reported | Net profit after deductions for ERYHA gambling at Bootleggers. E) Line C minus (-) Line D E) 68,452.48 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-11-12) p.47 Nov 12, 2024 | 2024 |
| $68,240.99 $68,240.99 | revenue | in_to_city | Total recycling center revenue for 2019. 2019 Revenue - $68,240.99 Expenditures - $61,219.55 Gain (Loss) - $7,021.44 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-04-13) p.1 Apr 13, 2021 | 2019 |
| $66,500 66,500 | revenue | projected | 2023 proposed miscellaneous revenue. <td>Miscellaneous</td> <td>66,500</td> Auto-extracted | Meeting City Council Meeting — Agenda Packet (2022-09-13) p.8 Sep 13, 2022 | 2023 |
| $65,776 65,776 | revenue | projected | 2019 budgeted charges for services. <tr> <td>Charges for Services</td> <td>65,776</td> <td>24,637</td> <td>37.46%</td> </tr> General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2019-08-13) p.9 Aug 13, 2019 | 2019 |
| $65,387 65,387 | revenue | reported | Year-to-date revenue from licenses and permits as of June 2023. Licenses and Permits 117,550 65,387 55.62% General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2023-08-08) p.24 Aug 8, 2023 | 2023 |
| $65,000 because the revenue stream was kind of breaking even and she was she seemed to indicate in our levee that we were not getting 50 000 from the 49 whatever from the county but 65. | revenue | in_to_city | FF-3 questioned approximately $65,000 recycling revenue total The mayor said he understood the county-related revenue may have been described as about $65,000 rather than about $49,000, but this was questioned and assigned for clarification. Bucket: possible total recycling county revenue Special Revenue FundAuto-extracted | 2021 | |
| $65,000 $65,000 | revenue | in_to_city | Increase in property tax revenue compared to prior year. Property taxes are up $65,000 or 11%. Licenses and permits are up about 16% or $10,000 while at the same time planning & zoning fess are down ($10,000) or 15%. Fines & forfeitures are also down ($1,500) while interest earnings are up about $3,000. Auto-extracted | Meeting City Council Meeting — Agenda Packet (2022-08-11) p.1 Aug 11, 2022 | — |
| $64,758 64,758 | revenue | historical | Total sources for Road Improvement Fund in 2024. Total Sources 35,013 64,758 1,005,642 60,690 924,685 156,697 765,827 Road and Bridge FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2024-08-1 p.9 Aug 15, 2024 | 2024 |
| $64,645 603 Recycling Center
$75,621.50
$66,060.53
$16,909.35
$0.00
$64,645.00 | revenue | in_to_city | 2025 Recycling Center revenue The revenue worksheet listed 2025 Recycling Center revenue at $64,645. Bucket: Recycling Center revenue Special Revenue FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2024-07-2 p.35 Jul 29, 2024 | 2025 |
| $64,635 64,635 | revenue | reported | Year-to-date revenue from licenses and permits. Licenses and Permits ... 64,635 ... Year to Date Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-07-13) p.9 Jul 13, 2021 | 2021 |
| $64,620 64,620 | revenue | in_to_city | 2020 actual total revenues for Equipment Replacement capital fund. TOTAL REVENUES 82,500 64,620 953,500 74,500 77,500 3,000 4.03% Capital Projects FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2021-09-2 p.17 Sep 27, 2021 | 2020 |
| $64,620 64,620 | revenue | historical | Total revenues for Equipment Replacement in 2020. TOTAL REVENUES 64,620 941,890 83,800 77,500 6,500 (71,000) -91.61% Auto-extracted | Meeting City Council Work Session — Agenda Packet (2022-08-2 p.20 Aug 29, 2022 | 2020 |
| $64,089.74 2020
Revenue - $64,089.74
Expenditures - $63,664.45
Gain (Loss) - $425.29 | revenue | in_to_city | Recycle Center 2020 revenue Recycle Center 2020 revenue in the Clerk's presentation; item was continued. Bucket: Recycle Center 2020 revenue Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-04-13) Apr 13, 2021 | 2020 |
| $64,089.74 $64,089.74 | revenue | in_to_city | Total recycling center revenue for 2020. 2020 Revenue - $64,089.74 Expenditures - $63,664.45 Gain (Loss) - $425.29 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-04-13) p.1 Apr 13, 2021 | 2020 |
| $63,731.55 $63,731.55 | revenue | reported | Total balance in fund R 230-36230 after first quarter deposits. With these funds, the total received for the 2024 First Quarter deposited into the new fund R 230-36230 is $11,223.54. Adding this amount to the fund brings the total in the account to: $63,731.55 Special Revenue FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2024-06-11) p.10 Jun 11, 2024 | 2024 |
| $63,731.55 $63,731.55 | revenue | reported | Total balance in fund R 230-36230 after first quarter 2024 deposits. With these funds, the total received for the 2024 First Quarter deposited into the new fund R 230-36230 is $11,223.54. Adding this amount to the fund brings the total in the account to: $63,731.55 Auto-extracted | Meeting City Council Meeting — Minutes (2024-05-14) p.12 May 14, 2024 | 2024 |
| $62,075 62,075 | revenue | in_to_city | 2021 actual ad valorem taxes (current) for 2019A Improvement Bonds. 315-31001 Ad Valorem Taxes-Current 62,075 61,894 - - - 25,775 25,775 100.00% Debt Service FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2024-09-2 p.2 Sep 23, 2024 | 2021 |
| $61,894 61,894 | revenue | in_to_city | 2022 actual ad valorem taxes (current) for 2019A Improvement Bonds. 315-31001 Ad Valorem Taxes-Current 62,075 61,894 - - - 25,775 25,775 100.00% Debt Service FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2024-09-2 p.2 Sep 23, 2024 | 2022 |
| $61,600 61,600 | revenue | projected | Original and amended 2024 budget for charges for services. Charges for Services 61,600 61,600 29,606 48.06% General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2025-02-27) p.91 Feb 27, 2025 | 2024 |
| $61,600 61,600 | revenue | projected | 2024 budgeted revenue from Charges for Services. <td>Charges for Services</td> <td>61,600</td> <td>17,544</td> <td>28.48%</td> General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2024-08-20) p.57 Aug 20, 2024 | 2024 |
| $61,149 61,149 | revenue | in_to_city | Year-to-date planning & zoning fees revenue as of September 2023. Planning & Zoning Fees 105,000 61,149 58.24% General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2023-11-14) p.17 Nov 14, 2023 | 2023 |
| $60,690 60,690 | revenue | projected | Total sources for Road Improvement Fund in 2026. Total Sources 35,013 64,758 1,005,642 60,690 924,685 156,697 765,827 Road and Bridge FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2024-08-1 p.9 Aug 15, 2024 | 2026 |
| $60,418 60,418 | revenue | in_to_city | 2023 year-to-date interest earnings. Interest Earnings 6,000 60,418 1006.97% Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-02-13) p.6 Feb 13, 2024 | 2023 |
| $59,153 59,153 | revenue | reported | Year-to-date interest earnings revenue received in 2024. Interest Earnings 35,000 35,000 59,153 169.01% General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2025-02-27) p.91 Feb 27, 2025 | 2024 |
| $59,112.23 D. Net Profit
$ 23,781.00
$ 21,074.01
$ 14,257.22
$ 59,112.23 | revenue | unknown | Quarterly gambling net profit Quarterly net profit used to compute the 10% city fund installment. Bucket: Anoka Ramsey Athletic Association gambling report Special Revenue FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2024-02-13) Feb 13, 2024 | 2023 |
| $59,112.23 $ 59,112.23 | revenue | in_to_city | Total Q4 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 |
| $59,022 59,022 | revenue | in_to_city | Year-to-date revenue from licenses and permits as of June 2024. <td>Licenses and Permits</td> <td>133,350</td> <td>59,022</td> <td>44.26%</td> General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2024-08-20) p.57 Aug 20, 2024 | 2024 |
| $58,932 58,932 | revenue | in_to_city | 2022 year-to-date planning & zoning fees revenue received. <tr> <td>Planning & Zoning Fees</td> <td>90,000</td> <td>58,932</td> <td>65.48%</td> </tr> General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2022-08-11) p.3 Aug 11, 2022 | 2022 |
| $58,472 58,472 | revenue | historical | 2022 projected miscellaneous revenue. <td>Miscellaneous</td> <td>58,472</td> Auto-extracted | Meeting City Council Meeting — Agenda Packet (2022-09-13) p.8 Sep 13, 2022 | 2022 |