TC Res. No. 2012-17 Amend 2012 TOA BudgetTOWN OF AVON, COLORADO
RESOLUTION NO. 12 -17
SERIES OF 2012
A RESOLUTION TO AMEND THE 2012 TOWN OF AVON BUDGET
A RESOLUTION SUMMARIZING EXPENDITURES AND REVENUES BY
FUND AND AMENDING THE 2012 BUDGET FOR THE TOWN OF AVON,
COLORADO, FOR THE CALENDAR YEAR BEGINNING ON THE FIRST DAY
OF JANUARY, 2012 AND ENDING ON THE LAST DAY OF DECEMBER, 2012
WHEREAS, the Town Council of the Town of Avon has previously adopted the
2012 budget; and
WHEREAS, the Town Council reviewed the revised estimated revenues and
expenditures for all operating funds for 2012; and
WHEREAS, the Town Council finds it necessary to amend the 2012 budget to
more accurately reflect the revenues and expenditures for 2012; and
WHEREAS, upon due and proper notice, published or posted in accordance with
the law, the proposed budget amendment to the 2012 budget was open for inspection by
the public at a designated place, a public hearing was held on October 23, 2012 and
interested taxpayers were given the opportunity to file or register any objections to the
proposed budget amendment; and
WHEREAS, whatever increases may have been made in the expenditures, like
increases were added to the revenues so that the budget remains in balance as required by
law.
NOW, THEREFORE, BE IT RESOLVED BY THE TOWN COUNCIL OF
THE TOWN OF AVON, COLORADO:
Section 1. That estimated revenues and expenditures for the following funds are
revised as follows for 2012:
Original or
Previously
Amended
2012 Budget
General Fund
Beginning Fund Balance $ 4,872,313
Revenues and Other Sources 12,910,363
Expenditures and Other Uses 12,076,770
Ending Fund Balance $ 5,705,906
Town of Avon
Resolution No. 12 -17
Page 1 of 3
Current
Proposed
Amended
2012 Budget
$ 3,787,944
11,814,249
12,133,611
$ 3,468,582
Town Center West Maintenance Fund
Beginning Fund Balance
Revenues and Other Sources
Expenditures and Other Uses
Ending Fund Balance
Community Enhancement Fund
Beginning Fund Balance
Revenues and Other Sources
Expenditures and Other Uses
Ending Fund Balance
Water Fund
Beginning Fund Balance
Revenues and Other Sources
Expenditures and Other Uses
Ending Fund Balance
Debt Service Fund
Beginning Fund Balance
Revenues and Other Sources
Expenditures and Other Uses
Ending Fund Balance
Transit Enterprise Fund
Beginning Fund Balance
Revenues and Other Sources
Expenditures and Other Uses
Ending Fund Balance
Town of Avon
Resolution No. 12 -17
Page 2 of 3
Original or
Previously
Amended
2012 Budget
$ 74,318
240,000
289,933
$ 24,385
$ 381,085
70,000
350,000
$ 101,085
$ 2,217,739
165,000
804,238
$ 1578,501
$ 502,885
1,264,800
1,264,800
$ 502,885
$ 662,769
1,258,668
1,391,607
$ 529,830
Current
Proposed
Amended
2012 Budget
$ 76,793
240,000
290,020
$ 26,773
$ 385,468
75,000
0
�•1 �•:
$ 2,339,866
181,896
858;699
$ 1.663,063
$ 494,552
1,264,800
1,264,800
$ 494,552
$ 702,512
1,246,550
1,384,404
564,658
Fleet Maintenance Enterprise Fund
Beginning Fund Balance
Revenues and Other Sources
Expenditures and Other Uses
Ending Fund Balance
Equipment Replacement Internal Service
Fund
Beginning Fund Balance
Revenues and Other Sources
Expenditures and Other Uses
Ending Fund Balance
Original or
Previously
Amended
2012 Budget
$ 605,804
1,491,049
1,666,452
$ 430,401
$ 1,959,491
744,399
598,892
$ 2,104,998
Current
Proposed
Amended
2012 Budget
$ 553,491
1,283,629
1,386,236
..,
$ 1,982,423
744,399
598,024
$ 2,128,798
Section 2. That the budget, as submitted, amended, and hereinabove summarized
by fund, hereby is approved and adopted as the budget of the Town of Avon for the year
stated above.
Section 3. That the budget hereby approved and adopted shall be signed by the
Mayor and made part of the public record of the Town.
ADOPTED this 13" day of November, 2012.
TOWN OF AVON, COLORADO
RichCarrol , -yor
Town of Avon
Resolution No. 12 -17
Page 3 of 3
llAk I I
To: Honorable Mayor and Town Council
Thru: Patty McKenny, Acting Town Manager Initials
Legal: Eric Heil, Town Attorney
From: Scott Wright, Finance Director
Date: November 8, 2012
Re: Adoption of Proposed 2013 and Final Revised 2012 Operating Budgets
Summary:
The Town's final revised operating budgets for 2012 and the proposed 2013 operating budgets
are hereby submitted for adoption by the Avon Town Council.
According to State Statute, because the Town levies a property tax, the budget must be
adopted by December 15, and filed with the Division of Local Governments no later than
January 31. This budget meets this and all other legal requirements for submission.
Previous Council Action:
Previously, the Acting Town Manager presented her recommended budget at the Council
budget retreat held on October 18th. Material changes to the proposed 2013 General Fund
budget subsequent to the budget retreat that have been incorporated into the final version for
adoption on November 13 include the following:
• Added $42,500 to economic development for two additional programs: the Vail
Leadership Entrepreneurs Base Camp - $7,500, and the 2013 Women's Birds of Prey
World Cup - $35,000. Partially offset by an error in the MTRiPS appropriation of
$8,325 and by applying unused contingency of $11,150.
• Increased miscellaneous revenues by $12,000 for additional lease revenues. Increased
estimated sales tax revenues by $14,950.
• Identified salary savings of $40,727 through staff attrition and turnover. Added a 3%
merit pool in the amount of $38,036.
• Capital lease reduction in Public Works of $25,950 due to sale and payoff of LeeBoy.
• Discontinued short-term leave benefit for employees - $18,687.
Page 1
• Increased group health insurance costs due to increase in 2013 renewal by $68,791.
These changes result in a final General Fund surplus for 2013 of $260. There were no other
significant changes to any of the Town's other budgets.
Public Hearing. As required by Town Charter, on October 23, 2012, a public hearing was
held for members of the public to comment on the proposed 2013 budget. No comments were
presented at that meeting by the public.
Recommendation:
Staff recommends that Council adopt the resolutions discussed above as presented.
Town Manager Comments:
Attachments:
A - 2013 Financial Overview, Total - All Funds
B - 2013 Financial Overview, Total by Fund
C — Resolution 12 -17
D — Resolution 12 -19
• Page 2
A T� AM 2
To: Honorable Mayor and Town Council
Thru: Patty McKenny, Acting Town Manager Initials
Legal: Eric Heil, Town Attorney
From: Scott Wright, Finance Director
Date: November 8, 2012
Re: Adoption of Proposed 2013 and Final Revised 2012 Operating Budgets
Summary
The Town's final revised operating budgets for 2012 and the proposed 2013 operating budgets
are hereby submitted for adoption by the Avon Town Council.
According to State Statute, because the Town levies a property tax, the budget must be
adopted by December 15, and filed with the Division of Local Governments no later than
January 31. This budget meets this and all other legal requirements for submission.
Previous Council Action:
Previously, the Acting Town Manager presented her recommended budget at the Council
budget retreat held on October 18d'. Material changes to the proposed 2013 General Fund
budget subsequent to the budget retreat that have been incorporated into the final version for
adoption on November 13 include the following:
• Added $42,500 to economic development for two additional programs: the Vail
Leadership Entrepreneurs Base Camp - $7,500, and the 201' ) Women's Birds of Prey
World Cup - $35,000. Partially offset by an error in the MTRiPS appropriation of
$8,325 and by applying unused contingency of $11,150.
• Increased miscellaneous revenues by $12,000 for additional lease revenues. Increased
estimated sales tax revenues by $14,950.
• Identified salary savings of $40,727 through staff attrition and turnover. Added a 3%
merit pool in the amount of $38,036.
• Capital lease reduction in Public Works of $25,950 due to sale and payoff of LeeBoy.
• Discontinued short-term leave benefit for employees - $18,687.
Page 1
• Increased group health insurance costs due to increase in 2013 renewal by $68,791.
These changes result in a final General Fund surplus for 2013 of $260. There were no other
significant changes to any of the Town's other budgets.
Public Hearing. As required by Town Charter, on October 23, 2012, a public hearing was
held for members of the public to comment on the proposed 2013 budget. No comments were
presented at that meeting by the public.
Recommendation:
Staff recommends that Council adopt the resolutions discussed above as presented.
Town Manager Comments:
Attachments:
A - 201' ) Financial Overview, Total - All Funds
B - 2013 Financial Overview, Total by Fund
C — Resolution 12 -17
D — Resolution 12 -19
0 Page 2
TOWN OF AVON, COLORADO
RESOLUTION NO. 12 -19
SERIES OF 2012
A RESOLUTION TO AMEND THE 2012 TOWN OF AVON BUDGET
A RESOLUTION SUMMARIZING EXPENDITURES AND REVENUES BY
FUND AND AMENDING THE 2012 BUDGET FOR THE TOWN OF AVON,
COLORADO, FOR THE CALENDAR YEAR BEGINNING ON THE FIRST DAY
OF JANUARY, 2012 AND ENDING ON THE LAST DAY OF DECEMBER, 2012
WHEREAS, the Town Council of the Town of Avon has previously adopted the
2012 budget; and
WHEREAS, the Town Council reviewed the revised estimated revenues and
expenditures for all operating funds for 2012; and
WHEREAS, the Town Council finds it necessary to amend the 2012 budget to
more accurately reflect the revenues and expenditures for 2012; and
WHEREAS, upon due and proper notice, published or posted in accordance with
the law, the proposed budget amendment to the 2012 budget was open for inspection by
the public at a designated place, a public hearing was held on October 23, 2012 and
interested taxpayers were given the opportunity to file or register any objections to the
proposed budget amendment; and
WHEREAS, whatever increases may have been made in the expenditures, like
increases were added to the revenues so that the budget remains in balance as required by
law.
NOW, THEREFORE, BE IT RESOLVED BY THE TOWN COUNCIL OF
THE TOWN OF AVON, COLORADO:
Section 1. That estimated revenues and expenditures for the following funds are
revised as follows for 2012:
Original or
Previously
Amended
2012 Budget
General Fund
Beginning Fund Balance $ 4,872,313
Revenues and Other Sources 12,910,363
Expenditures and Other Uses 12,076,770
Ending Fund Balance $ 5705,906
Town of Avon
Resolution No. 12 -17
Page 1 of 3
Current
Proposed
Amended
2012 Budget
$ 3,787,944
11,814,249
12,133,611
$ 3,468,582
Town Center West Maintenance Fund
Beginning Fund Balance
Revenues and Other Sources
Expenditures and Other Uses
Ending Fund Balance
Community Enhancement Fund
Beginning Fund Balance
Revenues and Other Sources
Expenditures and Other Uses
Ending Fund Balance
Water Fund
Beginning Fund Balance
Revenues and Other Sources
Expenditures and Other Uses
Ending Fund Balance
Debt Service Fund
Beginning Fund Balance
Revenues and Other Sources
Expenditures and Other Uses
Ending Fund Balance
Transit Enterprise Fund
Beginning Fund Balance
Revenues and Other Sources
Expenditures and Other Uses
Ending Fund Balance
Town of Avon
Resolution No. 12 -17
Page 2 of 3
Original or
Previously
Amended
2012 Budget
$ 74,318
240,000
289.933
$ 24,385
$ 381,085
70,000
350,000
$ 101,085
$ 2,217,739
165,000
804,238
$ 1,578,501
$ 502,885
1,264,800
1,264,800
$ 502,885
$ 662,769
1,258,668
1,391,607
$ 529,830
Current
Proposed
Amended
2012 Budget
$ 76,793
240,000
290,020
$ 26,773
$ 385,468
75,000
0
$ 460,468
$ 2,339,866
181,896
858,699
$ 1,663,063
$ 494,552
1,264,800
1,264,800
$ 494,552
$ 702,512
1,246,550
1,384,404
$ 564,658
Fleet Maintenance Enterprise Fund
Beginning Fund Balance
Revenues and Other Sources
Expenditures and Other Uses
Ending Fund Balance
Equipment Replacement Internal Service
Fund
Beginning Fund Balance
Revenues and Other Sources
Expenditures and Other Uses
Ending Fund Balance
Original or
Previously
Amended
2012 Budget
$ 605,804
1,491,049
1.666.452
$ 430,401
$ 1,959,491
744,399
598,892
$ 2,104,998
Current
Proposed
Amended
2012 Budget
$ 553,491
1,283,629
1,386,236
$ 450,884
$ 1,982,423
744,399
598,024
$ 2,128,798
Section 2. That the budget, as submitted, amended, and hereinabove summarized
by fund, hereby is approved and adopted as the budget of the Town of Avon for the year
stated above.
Section 3. That the budget hereby approved and adopted shall be signed by the
Mayor and made part of the public record of the Town.
ADOPTED this 13th day of November, 2012.
TOWN OF AVON, COLORADO
Rich Carroll, Mayor
ATTEST:
Patty McKenny
Town Clerk
Town of Avon
Resolution No. 12 -17
Page 3 of 3
TOWN OF AVON
RESOLUTION NO. 12 -19
SERIES OF 2012
A RESOLUTION TO ADOPT THE 2013 TOWN OF AVON BUDGET
A RESOLUTION SUMMARIZING EXPENDITURES AND REVENUES FOR
EACH FUND AND ADOPTING A BUDGET FOR THE TOWN OF AVON, COLORADO,
FOR THE CALENDAR YEAR BEGINNING ON THE FIRST DAY OF JANUARY, 2013
AND ENDING ON THE LAST DAY OF DECEMBER, 2013
WHEREAS, the Town Council of the Town of Avon has appointed the Town Manager
to prepare and submit a proposed budget to said governing body for its consideration; and
WHEREAS, upon due and proper notice, published and posted in accordance with the
law, said proposed budget was open for inspection by the public at a designated place. A public
hearing was held on October 23, 2012, and interested taxpayers were given the opportunity to file
or register any comment to said proposed budget; and
WHEREAS, whatever increases may have been made in the expenditures, like increases
were added to the revenues so that the budget remains in balance, as required by law.
NOW, THEREFORE, BE IT RESOLVED BY THE TOWN COUNCIL OF THE
TOWN OF AVON, COLORADO:
Section 1. That estimated revenues and expenditures for each fund are as follows for
2013:
2013
Proposed
Budget
General Fund
Beginning Fund Balance $ 3,468,582
Revenues and Other Sources 12,353,925
Expenditures and Other Uses 12,353,665
Ending Fund Balance $ 3,468,842
Town Center West Maintenance Fund
Beginning Fund Balance $ 26,773
Revenues and Other Sources 290,000
Expenditures and Other Uses 300,700
Ending Fund Balance $ 16,073
Town of Avon
Resolution No. 12 -19
Page 1 of 3
Affordable Housing Fund
2013
Beginning Fund Balance
Proposed
Revenues and Other Sources
Budge
Community Enhancement Fund
1,700
Beginning Fund Balance
$ 460,468
Revenues and Other Sources
75,000
Expenditures and Other Uses
350,000
Ending Fund Balance
$ 185,468
Water Fund
0
Beginning Fund Balance
$ 1,663,063
Revenues and Other Sources
397,000
Expenditures and Other Uses
1,390,621
Ending Fund Balance
$ 669,442
Affordable Housing Fund
Beginning Fund Balance
$ 535,975
Revenues and Other Sources
0
Expenditures and Other Uses
1,700
Ending Fund Balance
$ 534,275
Facilities Reserve Fund
Beginning Fund Balance
$ 413,251
Revenues and Other Sources
0
Expenditures and Other Uses
0
Ending Fund Balance $ 413,251
Debt Service Fund
Beginning Fund Balance $ 494,552
Revenues and Other Sources 1,261,806
Expenditures and Other Uses 1,261,806
Ending Fund Balance $ 494,552
Transit Enternrise Fund
Beginning Fund Balance $ 564,658
Revenues and Other Sources 956,817
Expenditures and Other Uses 1,007,440
Ending Fund Balance $ 514,035
Town of Avon
Resolution No. 12 -19
Page 2 of 3
Equipment Replacement Internal Service Fund
Beginning Fund Balance $ 2,128,798
Revenues and Other Sources 461,035
Expenditures and Other Uses 216,489
Ending Fund Balance $ 2,373,344
Section 2. That the budget, as submitted, amended, and hereinabove summarized by
fund, hereby is approved and adopted as the budget of the Town of Avon for the year stated
above.
Section 3. That the budget hereby approved and adopted shall be signed by the Mayor
and made part of the public record of the Town.
ADOPTED this 13" day of November, 2012.
TOWN OF AVON, COLORADO
Rich Carroll, Mayor
ATTEST:
Patty McKenny
Town Clerk
Town of Avon
Resolution No. 12 -19
Page 3 of 3
2013
Proposed
Budget
Fleet Maintenance Enterprise Fund
Beginning Fund Balance
$ 450,884
Revenues and Other Sources
1,432,629
Expenditures and Other Uses
1,457,654
Ending Fund Balance
$ 425,884
Equipment Replacement Internal Service Fund
Beginning Fund Balance $ 2,128,798
Revenues and Other Sources 461,035
Expenditures and Other Uses 216,489
Ending Fund Balance $ 2,373,344
Section 2. That the budget, as submitted, amended, and hereinabove summarized by
fund, hereby is approved and adopted as the budget of the Town of Avon for the year stated
above.
Section 3. That the budget hereby approved and adopted shall be signed by the Mayor
and made part of the public record of the Town.
ADOPTED this 13" day of November, 2012.
TOWN OF AVON, COLORADO
Rich Carroll, Mayor
ATTEST:
Patty McKenny
Town Clerk
Town of Avon
Resolution No. 12 -19
Page 3 of 3
TOWN OF AVON
Financial Overview
REVENUES
Taxes
Licenses and Permits
Intergovernmental
Charges for Services
Fines and Forfeitures
Investment Earnings
Other Revenue
Total Operating Revenues
Other Sources
Sales of Fixed Assets
Transfers -In From Other Funds
Capital Lease Proceeds
TOTAL REVENUES
EXPENDITURES
f- General Government and Finance
Community Development
Public Safety
Public Works, Engineering and Utilities
Transportation and Fleet Maintenance
Recreation and Culture
Total Operating Expenditures
Debt Service
Capital Improvements and Equipment Replacement
Other Uses
Transfers -Out To Other Funds
TOTAL EXPENDITURES
NET SOURCE (USE) OF FUNDS
FUND BALANCES, Beginning of Year
FUND BALANCES, End of Year
Original or Final
Prev. Amend. Revised Proposed
Actual Budget Budget Budget
2011 2012 2012 2013
$ 12,123,774
11,788,802 $
11,398,717 $
11,793,748
219,265
265,600
195,600
325,600
1,164,171
12,052,551
12,075,566
918,883
3,553,833
3,813,844
3,173,021
3,584,235
197,103
204,250
173,750
177,750
87,099
181,316
68,663
71,525
379,383
373,780
365,684
409,180
17,724,628
28,680,143
27,451,001
17,280,921
64,972
38,700
108,700
11,000
2,325,335
3,306,001
3,109,493
3,757,237
563,811
260,000
260,000
55,000
20,678,746
32,284,844
30,929,194
21,104,158
3,411,329
2,841,750
2,986,291
2,707,571
519,268
530,633
431,971
526,808
2,516,612
2,518,896
2,568,767
2,603,773
3,429,238
3,424,684
3,480,400
3,637,397
2,921,284
3,058,059
2,770,640
2,465,094
2,054,477
2,358,678
2,274,856
2,382,087
14, 852,208
14,732,700
14,512,925
14, 322,730
1,777,902
1,754,973
1,757,711
1,765,791
1,637,893
17,701,884
16,601,016
3,474,338
2,315,515
3,406,001
3,110,393
3,757,237
20,583,518
37,595,558
35,982,045
23,320,096
95,228
(5,310,714)
(5,052,851)
(2,215,938)
19,242,583 20,203,841 19,337,811 14,284,960
$ 19,337,811 $ 14,893,127 $ 14,284,960 $ 12,069,022
Section I, Page 1
REVENUE
Taxes
Licenses and Permits
Intergovernmental
Charges for Services
Fines and Forfeitures
Investment Earnings
Other Revenue
Total Operating Revenues
Other Sources
Sales of Fixed Assets
Capital Lease Proceeds
Transfers -In From Other Funds
TOTAL REVENUES
EXPENDITURES
General Government, Housing and Finance
Community Development
Police
Public Works, Engineering and Utilities
Transportation and Fleet Maintenance
Recreation and Culture
Total Operating Expenditures
Debt Service
Capital Expenditures
Other Uses
Transfers -Out To Other Funds
TOTAL EXPENDITURES
NET SOURCE (USE) OF FUNDS
FUND BALANCES, Beginning of Year
FUND BALANCES, End of Year
TOWN OF AVON
Financial Overview
25,000 - -
227,571 290,000 - - - -
12,353,925 290,000 759,446 75,000 397,000 -
2,704,921
Special Revenue Funds
526,808 -
Town
Urban
Community
Affordable
General Center
Renewal
Enhancement
Water Housing
Fund West
Fund
Fund
Fund Fund
350,000
- -
503,985 - - -
-
$ 8,953,370 $ -
$ 753,921
$ - $
$ -
325,600 -
-
(10,700)
(379,232)
918,883 -
(993,621)
(1,700)
3,468,582
1,369,571 -
1,170,387
-
397,000 -
177,750 -
-
-
50,000 -
5,525
$ 3,468,842
306,180 -
-
75,000
-
534,275
12,101,354 -
759,446
75,000
397,000 -
25,000 - -
227,571 290,000 - - - -
12,353,925 290,000 759,446 75,000 397,000 -
2,704,921
950 1,700
526,808 -
- - -
2,603,773 -
- -
3,196,076 300,700
- 140,621
2,382,087 -
- - -
11,413,665 300,700
950 140,621 1,700
1,138,678
350,000
- -
503,985 - - -
-
358,743
940,000
-
275,000
350,000
1,250,000
-
12,353,665
300,700
1,138,678
350,000
1,390,621
1,700
260
(10,700)
(379,232)
(275,000)
(993,621)
(1,700)
3,468,582
26,773
1,170,387
460,468
1,663,063
535,975
$ 3,468,842
$ 16,073
$ 791,155
$ 185,468
$ 669,442 $
534,275
Section I, Page 2
TOWN OF AVON
Financial Overview
- - 11,000 11,000
- - - - 30,000 - 55,000
- 714,666 1,600,000 800,000 125,000 - 3,757,237
- 1,261,806 3,116,500 956,817 1,432,629 461,035 21,104,158
- - - - 2,707,571
18.90%
- - - 526,808
3.68%
- - - - - 2,603,773
18.18%
- - 3,637,397
25.40%
1,007,440 1,457,654 2,465,094
17.21%
- - - - - 2,382,087
16.63%
Debt Service
100.00%
Internal
- - (724,843)
Facilities
Fund
Capital
Enterprise Funds
Service
564,658
Percent
Reserve
Bond
Projects
Transit
Fleet
Equipment
$ 413,251 $ 494,552 $ 2,182,726 $
of
Fund
Redemption
Fund
Fund
Maintenance
Replacement
Total
Total
$
- $ 546,140
$ 1,500,000
$ 40,317
$
$
$ 11,793,748
68.25%
-
-
-
-
325,600
1.88%
-
-
918,883
5.32%
90,000
1,277,629
450,035
3,584,235
20.74%
- -
-
-
-
-
177,750
1.03%
- 1,000
15,000
-
71,525
0.41%
- -
1,500
26,500
-
-
409,180
2.37%
- 547,140
1,516,500
156,817
1,277,629
450,035
17,280,921
100.00%
- - 11,000 11,000
- - - - 30,000 - 55,000
- 714,666 1,600,000 800,000 125,000 - 3,757,237
- 1,261,806 3,116,500 956,817 1,432,629 461,035 21,104,158
- - - - 2,707,571
18.90%
- - - 526,808
3.68%
- - - - - 2,603,773
18.18%
- - 3,637,397
25.40%
1,007,440 1,457,654 2,465,094
17.21%
- - - - - 2,382,087
16.63%
- - 1,007,440 1,457,654 14,322,730
100.00%
1,261,806 - - - - 1,765,791
- 2,899,106 - 216,489 3,474,338
- - 942,237
-
-
3,757,237
- 1,261,806 3,841,343
1,007,440
1,457,654
216,489
23,320,096
- - (724,843)
(50,623)
(25,025)
244,546
(2,215,938)
413,251 494,552 2,907,569
564,658
450,884
2,128,798
14,284,960
$ 413,251 $ 494,552 $ 2,182,726 $
514,035
$ 425,859
$ 2,373,344
$ 12,069,022
Section I, Page 3