CITY OF LOGAN REVENUE OCTOBER 2025 DESCRIPTION, AMOUNT Building Permits $40.00 Comm. Center Rent $225.00 Comm. Visioning Interest $840.04 Franchise Fees $20,360.91 Fuel Tax Refund $126.60 General Interest $787.78 Goods & Services $20.00 Landfill Charges $3,134.31 Local Option Sales Tax $13,730.75 Local Option Sales Tax Int $773.54 Pet License $5.00 Property Taxes $368,047.04 Senior Center Meals $1,438.00 Sewer Rental $16,064.51 Sewer Interest $453.38 Special Assess $1,005.30 Street Road Use $15,606.15 Swim Misc $300.00 Water Capital Proj. $10,641.00 Water Deposits $300.00 Water Interest $546.61 Water Sales $42,968.52 Total Revenue Received by City $497,414.44 Transfers In General Fund $- Total Revenue and Transfers $497,414.44 Library Revenue from City/County $840.00 Library Fines/Memorials/Gifts/Other $2,680.01 Library Total $3,520.01 Total City & Library Revenue & Transfers $500,934.45 General Fund $261,010.81 Library $3,520.01 Street Road Use Tax Fund $15,606.15 Employee Benefit Fund $36,021.80 Local Option Sales Tax Fund $14,504.29 Debt Service Fund $97,452.03 Capital Proj. Visioning $840.04 Water Fund $44,462.68 Water Plant Capital Proj. Fund $10,641.00 Sewer Fund $16,875.64 Total Revenues by Fund $500,934.45 HCTR 11-12-25