Every dollar in any document
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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 2,473 figures.
| Amount | Category | Direction | Purpose | Where | Year |
|---|---|---|---|---|---|
| $662,079,000 662,079 | asset_value | historical | Market value of city for 2019. <td>Market value ($000)</td> <td></td> <td>736,554</td> <td>662,079</td> Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-09-14) p.21 Sep 14, 2021 | 2019 |
| $6,040,969 6,040,969 | asset_value | reported | 2019 tax capacity for Nowthen. <td>Nowthen</td> <td>6,040,969</td> Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-12-10) p.25 Dec 10, 2019 | 2019 |
| $5,850,907 5,850,907 | asset_value | historical | Net tax capacity for levy payable year 2019/20. 2019/20 1,571,350 5,850,907 1,378,450 192,900 1,418,976 24.252% 5.48% Auto-extracted | Meeting City Council Work Session — Agenda Packet (2022-08-2 p.21 Aug 29, 2022 | 2019 |
| $5,478,598 5,478,598 | asset_value | historical | Net tax capacity for 2018/19. 2018/19 1,489,716 5,478,598 1,345,349 144,367 - 1,323,858 24.164% 1.95% Auto-extracted | Meeting City Council Work Session — Agenda Packet (2021-09-2 p.18 Sep 27, 2021 | 2019 |
| $3,293,584.79 $ 3,293,584.79 | asset_value | reported | Total cash in all city accounts as of July 31, 2019. Total of all Cash in ALL accounts: $ 3,293,584.79 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-08-13) p.7 Aug 13, 2019 | 2019 |
| $3,290,973.15 $ 3,290,973.15 | asset_value | reported | Adjusted bank total as of July 31, 2019. Adjusted Bank Total $ 3,290,973.15 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-08-13) p.7 Aug 13, 2019 | 2019 |
| $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 |
| $3,290,962.47 $ 3,290,962.47 | asset_value | reported | Cash per CTAS as of July 31, 2019. Cash per CTAS 07-31/19 SCHEDULE 1 Ending Balance: $ 3,290,962.47 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-08-13) p.7 Aug 13, 2019 | 2019 |
| $2,933,584.79 Total of all Cash in ALL accounts:
$ 3,293,584.79 | other | unknown | Total cash in all accounts as of July 31, 2019 Total cash in all accounts reported as of July 31, 2019. Bucket: July 2019 Treasurer's Report Auto-extracted | July 2019 Treasurer's Report p.1 Aug 13, 2019 | 2019 |
| $2,379,475.47 Cash per CTAS
08-31/19 SCHEDULE 1 Ending Balance:
$ 2,379,475.47 | other | unknown | August 2019 CTAS cash ending balance August 31, 2019 CTAS ending balance in treasurer's report. Bucket: Cash per CTAS Auto-extracted | August 2019 Financial Report p.1 Sep 10, 2019 | 2019 |
| $2,379,464.79 Total of all Cash in ALL accounts:
$ 2,383,237.43
YTD Outstanding Chks as of 08-31-2019:
$ 3,772.64
Adjusted Bank Total
$ 2,379,464.79 | other | unknown | August 2019 adjusted bank total August 31, 2019 adjusted bank total in treasurer's report. Bucket: Adjusted Bank Total Auto-extracted | August 2019 Financial Report p.1 Sep 10, 2019 | 2019 |
| $2,244,578 Total City Cash & Investments
$ 2,244,578
$ 1,904,111
$ 340,467 | other | unknown | September 30, 2019 total cash and investments September 30, 2019 cash and investments in September financial report. Bucket: Total City Cash & Investments Auto-extracted | September 2019 Financial Report Nov 12, 2019 | 2019 |
| $2,200,000 so if you add in a million plus now you're bonding over 2.2 million dollars to do all 10 of
these projects | debt_service | unknown | F-7 Council discussion stated that doing all ten road projects would mean bonding over $2.2 million. Bucket: Potential combined bonding for ten road projects Road and Bridge FundAuto-extracted | 2019 | |
| $2,181,435.45 Total of all Cash in ALL accounts:
$ 2,181,435.45 | other | unknown | Total cash in all accounts 11-30-2019 Total cash in all accounts as of November 30, 2019. Bucket: Treasurer's report Auto-extracted | November 2019 Treasurer's Report p.1 Dec 10, 2019 | 2019 |
| $2,181,435.45 $ 2,181,435.45 | asset_value | reported | Total cash in all city accounts as of 11/30/2019. <td colspan="2">Total of all Cash in ALL accounts:</td> <td>$ 2,181,435.45</td> Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-12-10) p.7 Dec 10, 2019 | 2019 |
| $2,178,727.79 October 2019 Treasurer's Report total cash | other | unknown | October 2019 Treasurer's Report total cash October 31, 2019 Treasurer's Report total of all cash in all accounts approved with the consent agenda. Bucket: Total cash in all accounts Auto-extracted | 2019 | |
| $2,178,727.79 $ 2,178,727.79 | asset_value | reported | Total cash in all city accounts as of October 31, 2019. Total of all Cash in ALL accounts: $ 2,178,727.79 Auto-extracted | Meeting City Council Meeting — Agenda (2019-11-12) p.5 Nov 12, 2019 | 2019 |
| $2,178,727.79 $
2,178,727.79 | asset_value | reported | Total cash balance in all accounts as of 10/31/2019. Total of all Cash in ALL accounts: $2,178,727.79 Auto-extracted | Meeting City Council Meeting — Agenda (2019-11-12) p.4 Nov 12, 2019 | 2019 |
| $2,175,891.55 $ 2,175,891.55 | asset_value | reported | Adjusted bank total as of 11/30/2019. <td></td> <td>Adjusted Bank Total</td> <td>$ 2,175,891.55</td> Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-12-10) p.7 Dec 10, 2019 | 2019 |
| $2,171,368.68 $ 2,171,368.68 | asset_value | reported | Cash per CTAS as of October 31, 2019. Cash per CTAS 10/31/19 SCHEDULE 1 Ending Balance: $ 2,171,368.68 Auto-extracted | Meeting City Council Meeting — Agenda (2019-11-12) p.5 Nov 12, 2019 | 2019 |
| $2,171,368.68 $ 2,171,368.68 | asset_value | reported | Cash balance per CTAS Schedule 1 as of 10/31/2019. Cash per CTAS 10/31/19 SCHEDULE 1 Ending Balance: $2,171,368.68 Auto-extracted | Meeting City Council Meeting — Agenda (2019-11-12) p.4 Nov 12, 2019 | 2019 |
| $2,167,434.14 Cash per CTAS
11/30/19 SCHEDULE 1 Ending Balance:
$ 2,167,434.14 | other | unknown | CTAS Schedule 1 ending balance 11-30-2019 Cash per CTAS Schedule 1 ending balance as of November 30, 2019. Bucket: Treasurer's report Auto-extracted | November 2019 Treasurer's Report p.1 Dec 10, 2019 | 2019 |
| $2,167,434.14 $ 2,167,434.14 | asset_value | reported | Cash per CTAS as of 11/30/19, SCHEDULE 1 Ending Balance. <td>Cash per CTAS</td> <td>11/30/19 SCHEDULE 1 Ending Balance:</td> <td>$ 2,167,434.14</td> Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-12-10) p.7 Dec 10, 2019 | 2019 |
| $2,161,671.13 $ 2,161,671.13 | asset_value | reported | Adjusted bank total after outstanding checks. Adjusted Bank Total $ 2,161,671.13 Auto-extracted | Meeting City Council Meeting — Agenda (2019-11-12) p.5 Nov 12, 2019 | 2019 |
| $2,161,671.13 $ 2,161,671.13 | asset_value | reported | Adjusted bank total balance as of 10/31/2019. Adjusted Bank Total $2,161,671.13 Auto-extracted | Meeting City Council Meeting — Agenda (2019-11-12) p.4 Nov 12, 2019 | 2019 |
| $2,099,979.5 $1,219,979.50 | asset_value | reported | Balance of 4M & 4MP Funds Money Market Fund as of 4/30/2019. 4/30/2019 4M & 4MP Funds Money Market Fund Interest Earned $2,099.45 Balance $1,219,979.50 General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2019-05-07) p.9 May 7, 2019 | 2019 |
| $1,998,535.18 Total of all Cash in ALL accounts:
$ 1,998,535.18 | other | unknown | treasurer_total_cash_all_accounts Treasurer's Report as of February 28, 2019. Bucket: Total cash in all accounts Auto-extracted | 2019-02-28 Treasurers Report p.1 Mar 12, 2019 | 2019 |
| $1,998,535.18 $ 1,998,535.18 | asset_value | reported | Total cash in all City of Nowthen accounts as of 2/28/2019. Total of all Cash in ALL accounts: $ 1,998,535.18 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-03-12) p.13 Mar 12, 2019 | 2019 |
| $1,991,799.59 $ 1,991,799.59 | asset_value | reported | Adjusted bank total after outstanding checks as of 2/28/2019. Adjusted Bank Total $ 1,991,799.59 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-03-12) p.13 Mar 12, 2019 | 2019 |
| $1,930,581.5 Total of all Cash in ALL accounts: $ 1,930,581.50 | other | unknown | treasurer_total_cash Treasurer's Report total of all cash in all accounts. Bucket: Total cash in all accounts Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-04-09) Apr 9, 2019 | 2019 |
| $1,930,581.5 $ 1,930,581.50 | asset_value | reported | Total cash in all city accounts as of 3/31/2019. Total of all Cash in ALL accounts: $ 1,930,581.50 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-04-09) p.14 Apr 9, 2019 | 2019 |
| $1,894,257.49 Adjusted Bank Total $ 1,894,257.49 | other | unknown | treasurer_adjusted_bank_total Treasurer's Report adjusted bank total. Bucket: Adjusted bank total Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-04-09) Apr 9, 2019 | 2019 |
| $1,894,257.49 $ 1,894,257.49 | asset_value | reported | Adjusted bank total after outstanding checks as of 3/31/2019. Adjusted Bank Total $ 1,894,257.49 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-04-09) p.14 Apr 9, 2019 | 2019 |
| $1,857,383.42 F002 | other | unknown | F002 Total of all cash in all accounts as of April 30, 2019. Bucket: Treasurer's Report Auto-extracted | 2019 | |
| $1,857,383.42 $ 1,857,383.42 | asset_value | reported | Total cash in all city accounts as of 4/30/2019. Total of all Cash in ALL accounts: $ 1,857,383.42 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-05-07) p.10 May 7, 2019 | 2019 |
| $1,857,383.42 $ 1,857,383.42 | asset_value | reported | Total cash in all City accounts as of April 30, 2019. Total of all Cash in ALL accounts: $ 1,857,383.42 YTD Outstanding Chks as of 04-30-2018: $ 1,485.38 Adjusted Bank Total $ 1,855,898.04 Unreconciled $ 381.20 Cash per CTAS 04-30/19 SCHEDULE 1 Ending Balance: $ 1,855,516.84 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-05-07) p.10 May 7, 2019 | 2019 |
| $1,855,898.04 $ 1,855,898.04 | asset_value | reported | Adjusted bank total after accounting for outstanding checks as of April 30, 2019. Total of all Cash in ALL accounts: $ 1,857,383.42 YTD Outstanding Chks as of 04-30-2018: $ 1,485.38 Adjusted Bank Total $ 1,855,898.04 Unreconciled $ 381.20 Cash per CTAS 04-30/19 SCHEDULE 1 Ending Balance: $ 1,855,516.84 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-05-07) p.10 May 7, 2019 | 2019 |
| $1,855,898.04 $ 1,855,898.04 | asset_value | reported | Adjusted bank total as of 4/30/2019. Adjusted Bank Total $ 1,855,898.04 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-05-07) p.10 May 7, 2019 | 2019 |
| $1,855,516.84 F003 | other | unknown | F003 Final CTAS Schedule 1 ending balance as of April 30, 2019. Bucket: Treasurer's Report Auto-extracted | 2019 | |
| $1,855,516.84 1,855,516.84 | asset_value | reported | Total balance for all funds. Total : 2,013,950.31 120,976.04 245,577.43 15,000.00 587,490.50 251,367.86 15,000.00 1,541,645.42 313,871.42 1,855,516.84 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-05-07) p.13 May 7, 2019 | 2019 |
| $1,855,516.84 $ 1,855,516.84 | asset_value | reported | Cash per CTAS as of 4/30/2019. Cash per CTAS 04-30/19 SCHEDULE 1 Ending Balance: $ 1,855,516.84 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-05-07) p.10 May 7, 2019 | 2019 |
| $1,855,516.84 $ 1,855,516.84 | asset_value | reported | Cash balance per CTAS schedule as of April 30, 2019. Total of all Cash in ALL accounts: $ 1,857,383.42 YTD Outstanding Chks as of 04-30-2018: $ 1,485.38 Adjusted Bank Total $ 1,855,898.04 Unreconciled $ 381.20 Cash per CTAS 04-30/19 SCHEDULE 1 Ending Balance: $ 1,855,516.84 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-05-07) p.10 May 7, 2019 | 2019 |
| $1,743,536.98 $1,743,536.98 | asset_value | reported | Total account value for 4M General Fund investment pool as of Nov 30, 2019. <td>ACCOUNT TOTAL</td> <td>$1,743,536.98</td> General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2019-12-10) p.9 Dec 10, 2019 | 2019 |
| $1,700,000 Our
levy is only about 1.7 million dollars. | levy | in_to_city | F17 Mayor Pilon cited the City's levy while explaining why 100% city funding for road improvements was not practical. Bucket: City levy Auto-extracted | Meeting City Council Public Hearing — Minutes (2019-05-14) p.6 May 14, 2019 | 2019 |
| $1,664,802 $1,664,802 | revenue | historical | 2019 total actual general fund revenue. Total $2,065,360 $1,664,802 $1,606,003 General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2021-02-09) p.6 Feb 9, 2021 | 2019 |
| $1,653,279 TOTAL
$1,403,279
$250,000
$0
$1,653,279 | asset_value | unknown | Current cash and investments total at June 30, 2019 Current cash and investments total for the quarter ending June 30, 2019. Bucket: Current Cash & Investments Auto-extracted | June 2019 Financial Reports p.12 Aug 13, 2019 | 2019 |
| $1,653,278.48 Total of all Cash in ALL accounts: | other | unknown | Total cash in all accounts Total of all cash in all accounts as of June 30, 2019. Bucket: Treasurer's report Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-07-07) p.5 Jul 7, 2019 | 2019 |
| $1,653,278.48 $ 1,653,278.48 | asset_value | reported | Total cash in all accounts as of 6/30/2019. Total of all Cash in ALL accounts: $ 1,653,278.48 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-07-07) p.5 Jul 7, 2019 | 2019 |
| $1,633,980.94 $ 1,633,980.94 | asset_value | reported | Adjusted bank total as of 6/30/2019. Adjusted Bank Total $ 1,633,980.94 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-07-07) p.5 Jul 7, 2019 | 2019 |
| $1,633,970.26 Cash per CTAS 06-30/19 SCHEDULE 1 Ending Balance: | other | unknown | Cash per CTAS ending balance Cash per CTAS Schedule 1 ending balance as of June 30, 2019. Bucket: Treasurer's report Auto-extracted | Meeting City Council Meeting — Agenda Packet (2019-07-07) p.5 Jul 7, 2019 | 2019 |