CITY OF LOGAN REVENUE FEBRUARY 2026 DESCRIPTION, AMOUNT Building Permits, $192.00 Comm. Center Rent, $890.00 Comm. Visioning Interest, $882.19 General Interest, $986.29 Golf Cart Fees, $25.00 Insurance Reimb., $13,513.97 Landfill Charges, $3,022.56 Local Option Sales Tax, $10,977.26 Local Option Sales Tax Int, $681.82 Pet License, $110.00 Property Taxes, $5,168.49 Senior Center Meals, $1,406.00 Sewer Rental, $15,989.71 Sewer Interest, $368.17 Street Road Use, $12,688.35 Swim Donations, $50,000.00 Visioning Trail Donation, $500.00 Water Capital Proj., $16,757.80 Water Deposits, $150.00 Water Interest, $550.74 Water Sales, $44,156.39 Total Revenue Received by City, $179,016.74 Transfers In General Fund, $- Total Revenue and Transfers, $179,016.74 Library Revenue from City/County, $- Library Fines/Memorials/Gifts/Other, $11,093.24 Library Total, $11,093.24 Total City & Library Revenue & Transfers, $190,109.98 General Fund, $73,439.37 Library, $11,093.24 Street Road Use Tax Fund, $12,688.35 Employee Benefit Fund, $506.00 Local Option Sales Tax Fund, $11,659.08 Debt Service Fund, $1,368.94 Capital Proj. Visioning, $1,382.19 Water Fund, $44,857.13 Water Plant Capital Proj. Fund, $16,757.80 Sewer Fund, $16,357.88 Total Revenues by Fund, $190,109.98 HCTR 3-11-26