CITY OF LOGAN REVENUE APRIL 2025 DESCRIPTION AMOUNT Building Permits $318.00 Comm. Center Rent $450.00 Comm. Visioning Interest $771.32 Franchise Fees $21,145.79 Fuel Tax Refund $126.30 General Interest $847.79 Golf Cart Permit $50.00 Landfill Charges $3,202.17 Lease of Land $100.00 Local Option Sales Tax $13,307.09 Local Option Sales Tax Int $871.60 Pet License $15.00 Swim Misc $300.00 Property Taxes $315,305.99 Senior Center Meals $1,118.00 Sewer Rental $14,331.35 Sewer Interest $452.53 Street Road Use $16,345.74 Water Interest $478.38 Water Sales $34,614.91 Total Revenue Received by City $424,151.96 Transfers $- Total Revenue and Transfers $424,151.96 Library Revenue from City/County $- Library Fines/Memorials/Gifts/Other $548.90 Library Total $548.90 Total City & Library Revenue & Transfers $424,700.86 General Fund $226,805.34 Library $548.90 Street Road Use Tax Fund $16,345.74 Employee Benefit Fund $39,861.40 Local Option Sales Tax Fund $14,178.69 Debt Service Fund $76,312.30 Capital Proj. Visioning $771.32 Water Fund $35,093.29 Sewer Fund $14,783.88 Total Revenues by Fund $424,700.86 HCTR 5-7-25