CITY OF LOGAN REVENUE JULY 2025 DESCRIPTION, AMOUNT Building Permits $270.00 Comm. Center Rent $725.00 Comm. Visioning Interest $869.63 Franchise Fees $12,670.41 Fuel Tax Refund $129.00 General Interest $817.34 Golf Cart Permits $50.00 Landfill Charges $2,431.86 Lease of Land $3,000.00 Local Option Sales Tax $17,303.60 Local Option Sales Tax Int $840.95 Office Reimb. $1,254.06 Park Rent $150.00 Property Taxes $1,974.51 Senior Center Meals $1,471.00 Sewer Rental $15,045.21 Sewer Interest $469.34 Street Road Use $15,261.45 Swim Concessions $5,033.40 Swim Fees $6,955.00 Swim Lessons $5,360.00 Swim Misc $1,786.00 Water Capital Proj. $9,005.00 Water Deposits $450.00 Water Interest $565.80 Water Sales $42,612.34 Total Revenue Received by City $146,500.90 Transfers In General Fund $- Total Revenue and Transfers $146,500.90 Library Revenue from City/County $1,129.00 Library Fines/Memorials/Gifts/Other $525.00 Library Total $1,654.00 Total City & Library Revenue & Transfers $148,154.90 General Fund $43,350.62 Library $1,654.00 Street Road Use Tax Fund $15,261.45 Employee Benefit Fund $249.44 Local Option Sales Tax Fund $18,144.55 Debt Service Fund $477.52 Capital Proj. Visioning $869.63 Water Fund $43,628.14 Water Plant Capital Proj. Fund $9,005.00 Sewer Fund $15,514.55 Total Revenues by Fund $148,154.90 HCTR 8-6-25