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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 24,141 figures.
| Amount | Category | Direction | Purpose | Where | Year |
|---|---|---|---|---|---|
| $2,239,206 $ 2,239,206 | asset_value | reported | Total city cash and investments as of 9/30/2021. Total City Cash & Investments $ 2,239,206 $ 2,716,119 $ (476,913) Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-10-12) p.8 Oct 12, 2021 | — |
| $2,238,317.22 $ 2,238,317.22 | asset_value | reported | Adjusted bank total after outstanding checks as of 9/30/2021. Adjusted Bank Total $ 2,238,317.22 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-10-12) p.2 Oct 12, 2021 | — |
| $2,238,206.45 00/30/2021 SCHEDULE 1 Ending Balance:
$ 2,238,206.45 | other | unknown | treasurer_schedule_1_ending_balance Schedule 1 ending balance as of September 30, 2021. Bucket: Treasurer's Report Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-10-12) Oct 12, 2021 | 2021 |
| $2,238,206.45 $ 2,238,206.45 | asset_value | reported | Ending balance per Schedule 1 as of 9/30/2021. SCHEDULE 1 Ending Balance: $ 2,238,206.45 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2021-10-12) p.2 Oct 12, 2021 | — |
| $2,237,463 2,237,463 | levy | projected | Total levy before credits for 2026/27. 2026/27 2,237,463 7,735,184 1,975,163 262,300 - 2,041,297 26.390% 4.47% Auto-extracted | Meeting City Council Work Session — Agenda Packet (2021-09-2 p.18 Sep 27, 2021 | 2027 |
| $2,232,703.85 Adjusted Bank Total $2,232,703.85
SCHEDULE 1 Ending Balance: $2,232,703.85 | other | unknown | May 2026 adjusted bank total Adjusted bank total and Schedule 1 ending balance in the May 2026 Treasurer's Report. Bucket: Adjusted Bank Total Auto-extracted | June 9, 2026 City Council Packet p.45 Jun 9, 2026 | 2026 |
| $2,207,595 This levy is made based on current law and the 2023 General Fund Budget of $2,207,595. | estimate | out_from_city | 2023 General Fund Budget 2023 General Fund Budget adopted with the levy. Bucket: General Fund Budget General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2022-12-13) p.22 Dec 13, 2022 | 2023 |
| $2,207,595 $2,207,595 | expenditure | out_from_city | 2023 General Fund budget appropriation. The budget for the City of Nowthen for the year 2023 is hereby proposed with appropriations for each of the various activities (which are more fully detailed in the official copy of the 2023 budget, available in the office of the City Clerk or online at (www.nowthenmn.govoffice2.com) as follows: <td>General</td> <td>$2,207,595</td> General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2022-09-13) p.7 Sep 13, 2022 | 2023 |
| $2,207,595 $2,207,595 | expenditure | out_from_city | 2023 General Fund expenditure budget. 2023 General Fund Expenditure Budget Budget $2,207,595 Increase from last year of $274,180 or 14.2% General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2022-12-13) p.6 Dec 13, 2022 | 2023 |
| $2,207,595 $2,207,595 | expenditure | out_from_city | 2023 General Fund budget appropriation. <td>General</td> <td>$2,207,595</td> General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2022-12-13) p.22 Dec 13, 2022 | 2023 |
| $2,200,303.78 $2,200,303.78 | asset_value | reported | Total city cash and investments as of March 31, 2025. $2,200,303.78 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2025-04-29) p.16 Apr 29, 2025 | 2025 |
| $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 | |
| $2,192,415 2,192,415 | estimate | projected | 2022 budgeted General Fund total revenues. Miscellaneous 12,700 52,521 39,821 Total Revenues 2,192,415 2,308,099 115,684 General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2023-07-11) p.7 Jul 11, 2023 | 2022 |
| $2,191,419 2,191,419 | levy | projected | Total city tax levy after credits for levy payable year 2025/26. 2025/26 2,366,880 9,378,087 2,095,880 271,000 2,191,419 23.367% 9.80% Auto-extracted | Meeting City Council Work Session — Agenda Packet (2022-08-2 p.21 Aug 29, 2022 | 2025 |
| $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 |
| $2,169,915 2,169,915 | estimate | projected | 2022 budgeted General Fund total expenditures. Capital Outlay 95,359 101,539 6,180 Total Expenditures 2,169,915 2,075,496 (94,419) General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2023-07-11) p.7 Jul 11, 2023 | 2022 |
| $2,169,595 TOTAL EXPENDITURES</td>
<td>1,584,880</td>
<td>1,837,061</td>
<td>1,860,915</td>
<td>2,169,595</td>
<td>16.6%</td> | estimate | out_from_city | General Fund current expenditures Proposed 2023 General Fund current expenditures before financing uses. Bucket: General Fund total expenditures General FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2022-08-2 p.2 Aug 29, 2022 | 2023 |
| $2,169,595 2,169,595 | expenditure | projected | 2023 budgeted total General Fund expenditures. TOTAL EXPENDITURES 1,584,880 1,837,061 1,860,915 2,169,595 16.6% General FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2022-08-2 p.2 Aug 29, 2022 | 2023 |
| $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 |
| $2,165,087.5 $2,165,087.50 | asset_value | reported | Balance in PMA Financial Network CDs as of January 31, 2025. 1/31/2025 PMA Financial Network CD's Fixed Income $2,165,087.50 Auto-extracted | Meeting Council Meeting — Agenda Packet (2025-02-11) p.6 Feb 11, 2025 | 2025 |
| $2,165,087.5 1/31/2025 PMA Financial Network CD's Fixed Income $2,165,087.50 | other | unknown | January CD fixed income balance PMA Financial Network CD fixed income balance as of January 31, 2025. Bucket: January 2025 Treasurer's Report Auto-extracted | Meeting Council Meeting — Agenda Packet (2025-02-11) p.6 Feb 11, 2025 | 2025 |
| $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 |
| $2,158,700 Project Name:</td>
<td>Jasper St. NW</td>
</tr>
<tr>
<td>Project Year:</td>
<td>2029</td>
</tr>
<tr>
<td>Department:</td>
<td>Engineering</td>
</tr>
</table>
Description:
Reconstruction of Jasper St NW. The streets were constructed in 1993 and have
surpassed their 20-year design life. The existing road is narrow, and the in-slopes
do not meet current safety standards. A full reconstruction is necessary, including
widening. The total equivalent length is 7800 LF.
Justification:
Each paved street within the city is scheduled to receive preventative
maintenance and structural improvements on a regularly scheduled basis. Design
life of 20 years is utilized.
Budget Impact/Other:
$2,158,700, includes 5% for construction cost increase. | capital | out_from_city | FIN-012 Jasper St. NW project sheet Reconstruction of Jasper St NW, including widening. Bucket: Road improvement fund Road and Bridge FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2024-05-0 p.18 May 6, 2024 | 2029 |
| $2,158,700 $2,158,700 | capital | out_from_city | Estimated cost for full reconstruction of Jasper St NW in 2029. Project Name: Jasper St. NW Project Year: 2029 Department: Engineering Description: Reconstruction of Jasper St NW. The streets were constructed in 1993 and have surpassed their 20-year design life. Budget Impact/Other: $2,158,700, includes 5% for construction cost increase. Road and Bridge FundPublic WorksAuto-extracted | Meeting City Council Work Session — Agenda Packet (2024-05-0 p.18 May 6, 2024 | 2029 |
| $2,158,688 <tr>
<td>RIP's</td>
<td></td>
<td></td>
<td></td>
<td>0</td>
<td>864,539</td>
<td>1,030,400</td>
<td>2,158,688</td>
</tr> | capital | out_from_city | FIN-032 RIP table 2029 RIP use shown in the road improvement fund financial-planning table for 2029. Bucket: Road improvement fund Road and Bridge FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2024-05-0 p.21 May 6, 2024 | 2029 |
| $2,158,688 2,158,688 | capital | out_from_city | 2029 Road Improvement Project expenditure. RIP's 2,158,688 Road and Bridge FundAuto-extracted | Meeting City Council Work Session — Agenda Packet (2024-05-0 p.21 May 6, 2024 | 2029 |
| $2,157,918 MOTION BY COUNCIL MEMBER RAINVILLE, SECONDED BY COUNCIL MEMBER SWENSON TO
APPROVE THE CONSENT AGENDA AS AMENDED. 5 AYES. MOTION CARRIED. | other | unknown | F003 First quarter financial report showed total city cash and investments at March 31, 2025. Bucket: Total City Cash & Investments 3/31/2025 Auto-extracted | Meeting City Council Meeting — Minutes (2025-05-13) p.2 May 13, 2025 | 2025 |
| $2,155,655 2,155,655 | levy | projected | Total levy before credits for levy payable year 2024/25. 2024/25 2,155,655 9,215,203 1,949,655 206,000 1,992,353 21.620% 6.82% Auto-extracted | Meeting City Council Work Session — Agenda Packet (2022-08-2 p.21 Aug 29, 2022 | 2024 |
| $2,152,055 $ 2,152,055 | revenue | projected | Original 2024 budget for total general fund revenues. Total $ 2,152,055 2,247,055 $ 2,271,012 101.07% General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2025-02-27) p.91 Feb 27, 2025 | 2024 |
| $2,152,055 Total
$ 2,152,055
$ 856,211
39.79% | estimate | in_to_city | General Fund 2024 revenue budget 2024 General Fund revenue budget in the approved 2nd Quarter Financial Report. Bucket: General Fund revenue budget General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2024-08-20) p.57 Aug 20, 2024 | 2024 |
| $2,152,055 $ 2,152,055 | revenue | projected | 2024 budgeted total general fund revenue. <td>Total</td> <td>$ 2,152,055</td> <td>$ 856,211</td> <td>39.79%</td> General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2024-08-20) p.57 Aug 20, 2024 | 2024 |
| $2,141,800 2,141,800 | levy | projected | Total levy before credits for 2025/26. 2025/26 2,141,800 7,623,399 1,919,500 222,300 - 1,948,484 25.559% 4.46% Auto-extracted | Meeting City Council Work Session — Agenda Packet (2021-09-2 p.18 Sep 27, 2021 | 2026 |
| $2,137,163 2,137,163 | levy | projected | Tax levy after credits for 2027/28. 2027/28 2,336,221 7,848,628 2,073,921 262,300 2,137,163 27.230% 4.41% Auto-extracted | Meeting City Council Work Session — Agenda Packet (2021-09-2 p.18 Sep 27, 2021 | 2028 |
| $2,132,595 FIN-4 | estimate | out_from_city | FIN-4 2023 Budget to Actual - March listed the General Fund expenditure budget total at $2,132,595. Bucket: General Fund expenditures, budget General FundAuto-extracted | 2023 | |
| $2,132,595 $ 2,132,595 | expenditure | out_from_city | 2023 budgeted total general fund expenditures. Total $ 2,132,595 $ 2,048,376 96.05% Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-02-13) p.6 Feb 13, 2024 | 2023 |
| $2,132,595 $ 2,132,595 | expenditure | projected | 2023 budgeted total general fund expenditures. Total $ 2,132,595 $ 1,507,753 70.70% General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2023-11-14) p.17 Nov 14, 2023 | 2023 |
| $2,132,595 $ 2,132,595 | expenditure | projected | 2023 total budgeted general fund expenditures. Total $ 2,132,595 $ 1,100,946 51.62% General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2023-08-08) p.24 Aug 8, 2023 | 2023 |
| $2,132,595 $ 2,132,595 | expenditure | projected | 2023 total budgeted general fund expenditures. <tr> <td>Total</td> <td>$ 2,132,595</td> <td>$ 399,679</td> <td>18.74%</td> </tr> General FundAuto-extracted | Meeting City Council Meeting — Agenda Packet (2023-05-09) p.7 May 9, 2023 | 2023 |
| $2,130,050 9/30/2024 PMA Financial Network CD's Fixed Income $2,130,050.00 | other | unknown | Treasurer report CD balance September 30, 2024 Treasurer's Report CD balance at PMA Financial Network. Bucket: CD's Fixed Income Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-11-12) p.45 Nov 12, 2024 | 2024 |
| $2,130,050 $2,130,050.00 | asset_value | reported | City CD's fixed income balance at PMA Financial Network as of 9/30/2024. 9/30/2024 PMA Financial Network CD's Fixed Income $2,130,050.00 Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-11-12) p.45 Nov 12, 2024 | — |
| $2,129,366 The total tax levy is $2,129,366. | levy | in_to_city | 2025 total tax levy 2025 total tax levy adopted with the 2025 levy and budget. Bucket: 2025 total tax levy Auto-extracted | Meeting City Council Meeting — Agenda Packet (2024-12-10) p.7 Dec 10, 2024 | 2025 |