CITY OF LOGAN REVENUE JUNE 2026 DESCRIPTION, AMOUNT Building Permits, $265.00 Cigarette Permit, $131.25 Comm. Center Rent, $225.00 Comm. Visioning Interest, $1,009.50 General Interest, $1,170.20 Landfill Charges, $3,615.51 Local Option Sales Tax, $10,913.72 Local Option Sales Tax Int, $796.20 Office Reimb., $5,000.00 Park Rent, $50.00 Property Taxes, $12,153.38 Senior Center Interest, $441.10 Senior Center Meals, $1,441.00 Sewer Rental, $17,447.01 Sewer Interest, $420.16 Street Road Use, $19,500.70 Swim Concession, $4,327.40 Swim Fees, $17,314.00 Swim Lessons, $1,760.00 Swim Misc, $1,285.00 Water Capital Proj., $58,877.00 Water Deposits, $450.00 Water Interest, $727.10 Water Misc, $308.40 Water Sales, $45,225.88 Total Revenue Received by City, $204,854.51 Transfers In General Fund, $- Total Revenue and Transfers, $204,854.51 Library Revenue from City/County, $2,899.67 Library Fines/Memorials/Gifts/Other, $2,234.75 Library Total, $5,134.42 Total City & Library Revenue & Transfers, $209,988.93 General Fund, $44,770.23 Library, $5,134.42 Street Road Use Tax Fund, $19,500.70 Employee Benefit Fund, $1,189.78 Local Option Sales Tax Fund, $11,709.92 Debt Service Fund, $3,218.83 Capital Proj. Visioning, $1,009.50 Water Fund, $46,711.38 Water Plant Capital Proj. Fund, $58,877.00 Sewer Fund, $17,867.17 Total Revenues by Fund, $209,988.93 HCTR 7-8-26