CITY OF LOGAN REVENUE JUNE 2025 DESCRIPTION AMOUNT Building Permits $455.00 Cigarette Permits $150.00 Comm. Center Rent $900.00 Comm. Visioning Interest $838.05 General Interest $875.98 Insurance settlement $14,255.46 Landfill Charges $2,211.99 Local Option Sales Tax $9,337.59 Local Option Sales Tax Int $931.58 Office Reimb. $10,003.00 Park Rent $50.00 Pet License $10.00 Property Taxes $5,875.49 Senior Center Interest $535.61 Senior Center Meals $1,279.00 Sewer Rental $15,879.44 Sewer Interest $452.29 Street Road Use $21,847.88 Swim Concessions $4,853.05 Swim Fees $22,417.00 Swim Lessons $3,380.00 Swim Misc $1,031.00 Water Capital Proj. $2,606.00 Water Deposits $450.00 Water Interest $545.33 Water Sales $41,319.84 Total Revenue Received by City $162,490.58 Transfers In $- Total Revenue and Transfers $162,490.58 Library Revenue from City/County $528.00 Library Fines/Memorials/Gifts/Other $727.49 Library Total $1,255.49 Total City & Library Revenue & Transfers $163,746.07 General Fund $66,116.97 Library $1,255.49 Street Road Use Tax Fund $21,847.88 Employee Benefit Fund $743.06 Local Option Sales Tax Fund $10,269.17 Debt Service Fund $1,422.55 Capital Proj. Visioning $838.05 Water Fund $42,315.17 Water Plant Capital Proj. Fund $2,606.00 Sewer Fund $16,331.73 Total Revenues by Fund $163,746.07 HCTR 7-9-25