Current Financial Report
Statement of Revenues, and Expenditures for the fiscal year ending June 30, 2011
Revenues:
| Taxes | $ 2,904,768 |
| Investment Earnings | $ 23,782 |
| Other Revenue | $ 13,577 |
Expenditures:
| Fire Operations | $ 2,277,242 |
| Capital Outlay | $ 180,748 |
| Debt Service and Interest | $ 51,287 |