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HomeMy WebLinkAboutNovember 2024 Financial Report
Monthly Financial
Reports
November 2024
Table of Contents
General Fund ................................................................................................ 1
Harnett Regional Jetport Fund ..................................................................... 6
American Rescue Plan Act Fund ................................................................... 9
Harnett Regional Water Fund .................................................................... 10
Solid Waste Fund ....................................................................................... 12
Worker’s Compensation Fund .................................................................... 14
Unemployment Insurance Fund ................................................................. 16
Employee Clinic Fund ................................................................................. 18
Medical Self Insurance Fund ...................................................................... 20
Dental Self Insurance Fund ........................................................................ 22
Retiree Self Insurance Fund ....................................................................... 24
Fleet Services Fund ..................................................................................... 26
Information Technology Fund .................................................................... 28
Veteran’s Treatment Court Fund .............................................................. 30
Monthly Sales Tax Analysis by Article ........................................................ 32
Harnett County Towns Summary ............................................................... 33
Revenue
Category Budget Actual Budget Actual Budget Actual
30 - TAXES - AD VALOREM 77,645,000 79,931,250.14 81,560,000 83,804,630.86 86,760,145 51,267,848.62 44,897,287.06
31 - TAXES - SALES 21,416,000 28,878,720.90 26,561,800 30,207,510.88 30,003,000 4,918,751.45 4,853,172.44
32 - TAXES - OTHER 1,164,000 1,536,643.83 1,164,000 1,660,194.64 1,300,000 736,507.90 656,109.48
33 - RESTRICTED REVENUE 23,410,407 23,850,972.56 23,773,916 21,152,756.95 23,013,067 6,150,813.42 5,632,959.19
34 - RESTRICTED REVENUE 3,110,000 6,619,121.15 6,100,000 5,338,962.28 4,000,000 0.00 0.00
35 - SERVICE CHARGES 14,615,204 17,190,916.66 16,578,749 18,749,478.90 20,069,977 7,450,067.05 10,330,663.62
36 - ENTERPRISE CHARGES 0 4,392.51 0 6,325.96 0 1,420.10 2,582.13
37 - FACILITY FEES 0 2,783.82 0 3,487.26 0 0.00 2,084.99
38 - MISCELLANEOUS INCOME 2,109,210 2,487,949.62 820,092 302,645.92 948,847 846,142.66 1,112,399.72
39 - NON-REVENUE RECEIPTS 27,735,817 1,274,238.00 12,468,816 164,375.00 12,590,246 0.00 0.00
110 - GENERAL FUND REVENUE 171,205,638 $161,776,989.19 169,027,373 $161,390,368.65 178,685,282 $71,371,551.20 $65,262,459.19
Expense Function
Department Budget Actual Budget Actual Budget Actual
110 - GENERAL
00 - GENERAL GOVERNMENT
4110 - GOVERNING BODY 918,415 846,695.96 675,930 598,562.56 600,438 215,585.35 209,563.65
4120 - COUNTY ADMINISTRATION 1,160,594 1,060,696.45 1,406,990 1,371,737.43 1,488,742 561,887.71 548,217.70
4130 - FINANCE 1,619,365 1,533,443.87 1,910,725 1,894,440.46 1,989,322 702,842.36 668,740.39
4131 - RETIREE INSURANCE 944,351 919,464.87 930,000 929,999.03 956,573 298,811.75 304,233.18
4140 - TAX 1,999,758 1,714,142.62 2,076,484 2,038,840.72 2,343,796 771,530.20 610,803.50
4150 - LEGAL SERVICES 387,832 369,867.69 589,456 571,875.48 634,280 226,554.07 164,528.47
4160 - HUMAN RESOURCES 966,968 882,574.81 967,288 956,690.67 672,502 252,932.91 593,324.39
4161 - INSURANCE 0 0.00 0 0.00 336,230 336,230.00 0.00
4170 - BOARD OF ELECTIONS 577,506 562,798.02 875,726 802,482.70 801,696 521,593.46 199,201.58
4180 - CLERK OF COURT 28,233 17,713.99 51,810 45,359.68 53,815 9,274.56 9,699.47
4190 - REGISTER OF DEEDS 810,075 771,787.47 903,433 896,393.98 964,136 405,555.92 373,020.07
4210 - GENERAL SERVICES 255,027 252,022.15 272,931 272,763.64 296,962 118,855.86 106,261.84
4230 - FACILITIES MAINTENANCE 3,595,600 3,399,030.41 3,916,231 3,940,618.80 4,298,026 1,371,930.81 1,410,956.85
4250 - FLEET MAINTENANCE 907,315 841,138.04 1,120,753 1,108,538.90 1,111,197 393,862.61 335,582.42
4270 - INFORMATION TECHNOLOGY 2,736,780 2,617,423.22 2,850,044 2,838,039.08 2,125,815 739,336.94 1,067,336.74
4290 - GIS 846,687 810,806.18 1,005,874 999,473.46 1,087,118 469,409.55 448,652.34
9800 - INTERFUND TRANSFERS 33,106,322 27,336,394.00 18,017,337 18,017,337.00 11,000,000 0.00 0.00
9910 - CONTINGENCY 426,055 0.00 94,866 0.00 6,754,722 0.00 0.00
00 - GENERAL GOVERNMENT Total 51,286,883 43,935,999.75 37,665,878 37,283,153.59 37,515,370 7,396,194.06 7,050,122.59
FY 2024
FY 2024
General Fund
Unaudited as of November 30, 2024
Same Period Last
Year
FY 2025 Same Period Last
Year
FY 2023
FY 2023 FY 2025
General Fund 110 1 of 37 11.2024 Monthly Master
Expense Function
Department Budget Actual Budget Actual Budget Actual
FY 2024 Same Period Last
Year
FY 2023 FY 2025
4300 - PUBLIC SAFETY 0 0.00 0 0.00 0 0.00 0.00
4310 - SHERIFF 14,093,457 13,505,215.48 15,809,147 15,649,054.18 18,199,385 6,870,414.73 5,690,983.13
4330 - CAMPBELL DEPUTIES 586,694 575,389.37 727,436 624,155.97 691,536 261,099.62 243,740.49
4350 - SCHOOL RESOURCE OFFICER 2,147,192 1,580,281.44 2,480,674 2,057,966.99 2,697,805 744,201.07 745,694.98
4370 - CHILD SUPPORT ENFORCEMENT 98,087 96,248.57 110,767 104,587.47 107,988 39,370.55 45,017.85
4390 - JAIL 7,546,385 6,768,434.38 8,146,079 7,656,019.93 8,297,349 2,806,724.20 2,592,247.00
4410 - EMERGENCY MANAGEMENT 1,187,136 1,127,582.44 1,314,553 1,303,274.39 1,620,022 611,719.57 472,876.99
4411 - EMERGENCY SERVICES GRANTS 442,695 250,499.57 374,520 272,654.20 242,502 42,864.14 86,301.08
4451 - EMS TRANSPORTS 0 0.00 0 0.00 0 0.00 0.00
4470 - RESCUE DISTRICTS 5,792,107 5,792,106.70 4,592,173 4,592,168.96 5,372,140 2,238,351.70 1,913,403.75
4510 - FIELD SERVICES 423,264 398,306.11 465,803 440,958.26 583,542 183,113.60 171,480.85
4512 - ANIMAL SHELTER 442,446 366,985.54 554,249 488,399.22 619,987 170,112.98 155,408.99
4530 - MEDICAL EXAMINER 100,000 82,400.00 100,000 67,545.90 100,000 40,640.30 25,850.00
4591 - RADIO SYSTEM 0 0.00 0 0.00 0 0.00 0.00
4915 - INSPECTIONS 1,152,661 1,046,161.57 1,451,754 1,275,922.68 1,553,416 536,214.66 459,238.37
10 - PUBLIC SAFETY Total 47,369,756 43,149,365.11 50,324,414 48,266,396.74 55,640,943 20,216,323.04 17,534,263.64
20 - TRANSPORTATION
4610 - TRANSPORTATION 1,493,881 1,040,368.09 1,576,325 1,320,124.60 1,882,468 586,469.93 483,277.11
4650 - HARNETT REGIONAL JETPORT 0 0.00 0 0.00 0 0.00 0.00
20 - TRANSPORTATION Total 2,625,480 1,494,569.19 3,020,228 1,765,441.27 3,433,530 1,078,922.53 587,631.23
30 - ENVIRONMENTAL PROTECTION
4710 - SOIL & WATER 309,461 295,848.31 339,110 328,969.13 365,978 136,106.19 126,159.25
4730 - FORESTRY PROGRAM 152,709 132,587.79 164,599 151,180.07 149,122 23,740.63 28,839.25
4750 - ENVIROMENTAL PROT ALLOC 12,000 11,900.00 12,000 11,900.00 12,000 11,900.00 11,900.00
30 - ENVIRONMENTAL PROTECTION Total 474,170 440,336.10 515,709 492,049.20 527,100 171,746.82 166,898.50
40 - ECONOMIC & PHYSICAL DEVELOPMNT
4910 - DEVELOPMENT SERVICES 1,119,722 1,033,858.20 1,252,686 1,184,125.19 1,464,512 611,440.72 491,462.69
4930 - ECONOMIC DEVELOPMENT 1,111,354 883,701.25 1,038,781 1,008,995.31 1,177,107 326,460.44 253,930.31
4951 - ABANDONED MFG HOME 0 0.00 0 0.00 0 0.00 0.00
4970 - HARNETT 0 0.00 35,000 21,380.51 629,807 3,750.34 0.00
4971 - WIOA - ADULT 0 0.00 102,365 97,736.86 33,036 51,457.00 0.00
4973 - WIAO - NC WORKS CAREER CENTER 0 0.00 78,353 76,863.24 15,391 31,184.24 0.00
4975 - WIOA - DISLOCATED WORKER 0 0.00 57,292 57,086.71 19,161 18,488.60 0.00
4978 - WIOA - YOUTH - IN 0 0.00 34,283 34,201.47 11,412 20,722.10 0.00
4979 - WIOA - YOUTH - OUT 0 0.00 102,867 100,899.76 33,834 53,472.05 0.00
4990 - COOPERATIVE EXTENSION 443,332 402,432.61 459,580 396,348.23 508,465 97,797.16 120,307.63
4995 - COOPERATIVE EXT SPECIAL PROG 158,799 125,770.09 123,638 101,761.52 69,725 16,004.73 42,856.06
40 - ECONOMIC & PHYSICAL DEVELOPMNT Total 2,833,664 2,445,941.02 3,295,554 3,079,713.95 3,973,390 1,230,919.99 908,636.64
50 - HUMAN SERVICES
5110 - GENERAL ADMINISTRATION 9,637,937 7,349,865.69 269,764 236,698.78 523,711 146,111.83 206,412.58
5112 - VITAL RECORDS 0 0.00 28,215 27,310.61 29,625 11,073.08 10,300.55
5114 - AGING 0 0.00 105,919 95,122.53 86,858 40,530.47 35,250.31
5118 - LABORATORY SERVICES 0 0.00 312,717 274,791.38 321,694 109,512.93 99,218.79
General Fund 110 2 of 37 11.2024 Monthly Master
Expense Function
Department Budget Actual Budget Actual Budget Actual
FY 2024 Same Period Last
Year
FY 2023 FY 2025
5120 - CHILD HEALTH 0 0.00 1,306,713 1,219,429.64 1,345,610 424,359.72 459,098.02
5121 - IMMUNIZATION ACTION PLAN 0 0.00 97,163 65,191.17 73,571 19,266.00 14,175.11
5122 - LEAD 0 0.00 8,170 2,675.12 8,462 103.00 685.37
5124 - SCHOOL HEALTH NURSE 0 0.00 150,000 150,000.00 150,000 50,000.01 50,000.01
5130 - ADULT HEALTH 0 0.00 256,177 226,480.21 227,881 124,288.51 126,187.58
5131 - SEXUALLY TRANSMITTED DISEASE 0 0.00 277,218 237,488.12 357,078 87,140.53 72,387.71
5134 - MATERNAL HEALTH 0 0.00 586,715 538,216.41 605,192 220,174.28 186,274.35
5135 - FAMILY PLANNING 0 0.00 576,156 548,420.49 523,190 213,622.22 188,186.81
5137 - TUBERCULOSIS PROGRAM 0 0.00 67,620 62,105.69 73,222 21,496.15 22,741.36
5138 - COMMUNICABLE DISEASES 0 0.00 77,717 72,534.17 124,027 38,182.27 36,182.45
5139 - TANF 0 0.00 16,728 16,278.87 16,652 231.92 4,266.28
5140 - HEALTH EDUCATION 0 0.00 92,013 73,556.22 90,097 38,414.80 31,271.08
5142 - CHILD FATALITY PREVENTION TEAM 0 0.00 7,625 3,293.66 8,064 608.57 822.01
5144 - HIV-STD COUNTY 0 0.00 22,904 19,528.32 23,873 4,712.95 7,728.20
5145 - HEALTH PROMOTION 0 0.00 82,393 79,431.17 85,991 30,641.86 28,900.12
5146 - HEALTHY COMMUNITIES 0 0.00 50,186 42,936.46 51,750 11,984.59 13,138.88
5148 - ITTS 0 0.00 55,484 55,051.06 57,915 19,161.47 17,999.01
5149 - MOBILE HEALTH PROGRAM 0 0.00 0 0.00 15,658 2,742.31 0.00
5150 - WIC - ADMINISTRATION 0 0.00 70,695 66,801.57 74,197 19,740.52 26,191.70
5151 - WIC - CLIENT SERVICES 0 0.00 614,554 570,918.38 549,947 207,606.33 200,285.63
5152 - WIC - NUTRITION EDUCATION 0 0.00 166,801 150,390.07 144,129 54,455.50 55,745.09
5153 - WIC - BREASTFEEDING 0 0.00 43,401 38,215.92 36,157 13,914.76 14,339.43
5154 - WIC - PEER BREASTFEEDING 0 0.00 73,647 59,881.45 72,604 22,373.77 26,737.90
5160 - CMARC 0 0.00 371,875 335,212.47 357,219 125,938.74 128,381.67
5161 - CMARC - STATE 0 0.00 45,033 45,024.50 49,414 18,823.38 16,581.09
5162 - CMHRP 0 0.00 781,013 313,625.40 391,933 127,412.00 105,893.75
5170 - BIOTERRORISM 0 0.00 60,784 53,216.80 62,353 19,678.28 17,740.67
5180 - ENVIRONMENTAL SERVICES 0 0.00 1,525,283 1,358,455.02 1,442,578 532,177.60 506,039.81
5190 - HEALTH DEPARTMENT GRANTS 0 0.00 1,919,424 654,166.12 804,448 65,664.95 114,165.26
5210 - MENTAL HEALTH 605,679 605,679.00 605,679 605,678.17 609,673 304,836.00 302,839.50
5260 - HEALTH - SENIOR SERVICES 1,726,073 1,498,416.92 1,880,207 1,532,420.78 1,890,651 567,105.65 560,637.06
5310 - DSS - ADMINISTRATION 2,398,802 2,245,120.78 2,941,166 2,794,604.11 3,569,841 1,549,495.19 1,188,268.11
5311 - DSS - FRAUD PREVENTION 386,647 381,047.15 421,935 419,664.62 450,236 162,720.14 158,062.75
5320 - DSS - ADULT SERVICES 1,156,996 1,108,910.38 1,271,699 1,217,479.51 1,338,691 487,237.83 468,311.40
5321 - DSS - WORKFIRST 378,702 320,704.29 396,816 373,131.55 415,868 150,652.61 141,651.28
5322 - DSS - ENERGY PROGRAMS 1,636,534 860,566.17 1,557,687 284,774.54 401,281 65,389.35 139,774.89
5330 - DSS - CHILD CARE SUBSIDY 459,647 456,670.30 486,115 474,729.32 511,098 189,554.23 185,419.61
5331 - DSS - CHILD PROTECTIVE SRVCS 2,330,626 2,089,094.95 2,480,613 2,321,403.62 2,586,132 964,166.19 869,298.16
5332 - DSS - FOSTER CARE 3,993,959 3,880,305.23 6,361,621 5,159,177.19 6,426,693 1,905,058.23 1,748,017.59
5334 - DSS - DAY CARE 0 0.00 0 0.00 0 0.00 0.00
5350 - DSS - MEDICAID 0 0.00 0 0.00 0 0.00 0.00
5351 - DSS - ADULT MEDICAID 2,463,225 2,083,213.56 2,615,865 2,390,812.12 3,261,260 1,030,419.15 869,734.33
General Fund 110 3 of 37 11.2024 Monthly Master
Expense Function
Department Budget Actual Budget Actual Budget Actual
FY 2024 Same Period Last
Year
FY 2023 FY 2025
5352 - DSS - FAMILY & CHLDRN MEDICAID 1,791,823 1,688,979.80 2,016,885 1,931,151.58 2,780,244 924,435.17 655,647.57
5353 - DSS - MEDICAID TRANSPORTATION 258,360 223,756.60 275,609 216,570.94 260,744 69,714.26 87,572.84
5390 - DSS - TRUST ACCOUNTS 0 0.00 0 8.85 0 0.00 0.00
5810 - VETERANS SERVICES 356,053 347,566.64 431,651 417,728.17 500,440 179,377.63 136,364.11
5895 - HUMAN SERVICES APPROPRIATIONS 0 0.00 0 0.00 0 0.00 0.00
50 - HUMAN SERVICES Total 33,847,172 28,853,647.19 38,433,227 32,009,151.53 38,625,722 12,990,350.99 11,884,673.85
70 - EDUCATION
5910 - BOARD OF EDUCATION 26,121,589 26,121,589.00 28,301,509 28,301,509.00 30,804,606 12,835,252.50 11,717,420.44
5920 - CCCC 1,752,605 1,557,732.28 1,818,075 1,636,093.93 1,818,075 646,046.79 599,197.90
70 - EDUCATION Total 27,874,194 27,679,321.28 30,119,584 29,937,602.93 32,622,681 13,481,299.29 12,316,618.34
80 - CULTURAL & RECREATION
6110 - PARKS & RECREATION 1,752,797 1,504,187.17 1,945,628 1,836,627.94 2,167,462 943,017.02 760,615.24
6170 - MAIN LIBRARY 2,040,861 1,736,352.80 2,236,929 2,047,113.44 2,467,025 926,485.31 748,395.90
6172 - ANGIER BRANCH LIBRARY 253,527 211,733.68 278,867 264,042.58 303,057 109,689.27 95,675.44
6173 - BENHAVEN BRANCH LIBRARY 0 0.00 191,243 121,440.34 224,719 68,442.02 6,886.31
6175 - COATS BRANCH LIBRARY 151,658 122,622.63 172,056 159,036.07 187,073 66,182.46 56,594.45
6176 - DUNN BRANCH LIBRARY 278,839 242,816.32 341,711 321,304.52 352,080 126,967.73 107,848.40
6177 - ERWIN BRANCH LIBRARY 156,084 132,742.84 179,104 152,479.21 187,901 69,942.09 67,234.37
6199 - CULTURAL & REC APPROP 260,553 260,466.04 307,241 157,241.00 457,229 381,079.00 0.00
80 - CULTURAL & RECREATION Total 4,894,319 4,210,921.48 5,652,779 5,059,285.10 6,346,546 2,691,804.90 1,843,250.11
110 - GENERAL FUND EXPENSE 171,205,638 $152,210,101.12 169,027,373 $157,892,794.31 178,685,282 $59,257,561.62 $52,292,094.90
110 - GENERAL FUND REVENUE (OVER) /
UNDER EXPENSES 0 $9,566,888.07 0 $3,497,574.34 0 $12,113,989.58 $12,970,364.29
General Fund 110 4 of 37 11.2024 Monthly Master
Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2020 2021 2022 2023 2024 2025
July $33,238,397.31 $42,138,468.69 $54,281,722.96 $61,938,453.15 $69,472,830.58
August $30,766,642.59 $27,193,882.75 $50,916,962.51 $60,497,443.11 $68,019,517.82
September $31,436,740.68 $28,797,031.28 $53,275,613.95 $62,210,399.86 $68,167,756.54
October $32,621,237.60 $29,562,531.87 $53,221,696.77 $61,191,258.32 $64,666,747.52
November $55,768,728.62 $53,048,249.28 $84,574,717.48 $88,644,054.16 $64,062,792.31
December $52,233,891.79 $62,382,452.13 $98,791,252.21 $98,640,706.84
January $49,307,366.28 $53,864,998.95 $66,631,763.25 $103,901,132.64 $105,847,987.63
February $46,553,686.81 $52,435,487.27 $64,815,294.91 $95,758,773.44 $107,597,437.01
March $48,087,241.40 $54,340,963.07 $68,066,131.09 $86,276,904.65 $109,589,425.92
April $45,974,675.17 $53,068,500.85 $67,511,156.89 $85,610,715.71 $99,944,582.15
May $41,927,274.60 $52,229,820.40 $63,702,091.44 $72,169,732.05 $79,620,028.38
June $40,106,511.08 $45,039,854.80 $57,567,146.97 $67,132,348.80 $72,798,979.77
CASH
General Fund
Unaudited as of November 30, 2024
General Fund Cash 5 of 37 11.2024 Monthly Master
Revenue
Category Budget Actual Budget Actual Budget Actual
33 - RESTRICTED REVENUE 82,000 82,000.00 0 0.00 0 0.00 0.00
35 - SERVICE CHARGES 1,086,377 827,387.06 1,274,808 825,782.31 1,306,709 372,279.28 316,582.46
38 - MISCELLANEOUS INCOME 74,329 88,846.99 45,000 48,185.06 48,500 12,725.00 17,493.00
39 - NON-REVENUE RECEIPTS 0 0.00 2,500,000 1,860,060.01 0 0.00 1,860,060.01
120 - HR JETPORT FUND REVENUE 1,242,706 $998,234.05 3,819,808 $2,734,027.38 1,355,209 $385,004.28 $2,194,135.47
Expense Function
Department Budget Actual Budget Actual Budget Actual
120 - HARNETT REGIONAL JETPORT
4650 - HARNETT REGIONAL JETPORT
50 - SALARIES & BENEFITS 310,165 $202,559.90 312,508 $268,444.59 334,795 $109,898.98 86,709.70
51 - PROFESSIONAL SRVCS 8,234 $8,234.00 70 $0.00 0 $2,592.00 0.00
52 - SUPPLIES & MATERIALS 739,487 $699,730.80 892,922 $650,791.14 894,000 $258,041.49 176,731.22
53 - CURRENT SRVCS 84,113 $46,912.48 63,208 $51,167.06 55,738 $21,976.59 14,641.87
54 - FIXED CHARGES 58,347 $50,298.73 51,042 $51,077.51 70,276 $49,216.33 36,297.07
55 - CAPITAL OUTLAY 42,000 $41,301.00 2,500,000 $1,860,060.01 0 $0.00 1,860,060.01
58 - NON-CAPTALIZED ASSTS 360 $349.00 58 $58.00 400 $0.00 0.00
70 - PCARD ENCUMBRANCE 0 $0.00 0 $26.80 0 $0.00 0.00
120 - HR JETPORT FUND EXPENSE 1,242,706 $1,049,385.91 3,819,808 $2,881,625.11 1,355,209 $441,725.39 $2,174,439.87
120 - HR JETPORT FUND REVENUE (OVER) /
UNDER EXPENSES 0 $51,151.86 0 $147,597.73 0 $56,721.11 $19,695.60
FY 2024
FY 2024
Harnett Regional Jetport Fund
Unaudited as of November 30, 2024
Same Period Last
Year
FY 2025
FY 2025FY 2023
FY 2023 Same Period Last
Year
HRJetport Fund 120 6 of 37 11.2024 Monthly Master
Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2020 2021 2022 2023 2024 2025
July $0.00 ($10,408.95) $87,758.33 $1,113,436.56 ($164,413.27)
August $0.00 $38,091.69 $45,064.56 ($27,058.80) ($161,354.09)
September $0.00 $36,352.20 $11,220.79 ($4,428.86) ($169,096.56)
October $0.00 $21,459.01 $48,823.98 ($31,682.99) ($193,160.59)
November $0.00 $16,092.97 $49,802.68 $1,940.37 ($183,679.36)
December $0.00 ($6,777.19) $58,287.77 $22,770.51
January $0.00 $0.00 ($13,727.75) $81,982.97 ($4,432.89)
February $0.00 $0.00 $13,226.32 $165,139.85 ($60,194.85)
March $0.00 $0.00 ($31,248.47) $142,889.96 ($42,900.23)
April $0.00 $0.00 $26,128.75 $115,037.01 ($104,515.90)
May $0.00 $0.00 $21,848.15 $52,398.54 ($106,573.94)
June $0.00 $0.00 $29,385.38 $28,888.28 ($115,594.27)
CASH
Harnett Regional Jetport
Unaudited as of November 30, 2024
HRJetport Fund Cash 7 of 37 11.2024 Monthly Master
Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2020 2021 2022 2023 2024 2025
July $0.00 $16,178.82 $38,753.86 $37,999.75 $72,759.56
August $0.00 $29,721.24 $38,363.43 $57,579.29 $55,584.84
September $0.00 $33,441.27 $31,163.35 $84,158.29 $61,134.73
October $0.00 $50,458.29 $19,255.25 $65,460.75 $57,936.53
November $0.00 $47,552.93 $29,640.04 $60,956.54 $51,828.89
December $0.00 $48,472.67 $19,400.81 $43,883.34
January $0.00 $0.00 $65,652.06 $19,764.97 $54,137.84
February $0.00 $0.00 $58,787.79 $23,447.84 $41,123.31
March $0.00 $0.00 $42,570.99 $5,971.34 $35,832.58
April $0.00 $0.00 $65,608.49 $17,990.72 $60,587.75
May $0.00 $0.00 $35,441.10 $31,028.82 $45,057.49
June $0.00 $0.00 $22,313.20 $73,394.41 $45,057.49
INVENTORY
Harnett Regional Jetport
Unaudited as of November 30, 2024
HRJetport Fund Inventory 8 of 37 11.2024 Monthly Master
Revenue
Category Budget Actual Budget Actual Budget Actual
33 - RESTRICTED REVENUE 10,015,000 7,001,497.09 2,000,000 4,847,916.65 5,458,946 5,458,945.26 0.00
35 - SERVICE CHARGES 0 880,075.62 0 1,182,786.74 0 189,967.07 495,831.64
38 - MISCELLANEOUS INCOME 0 0.00 0 0.00 0 0.00 0.00
39 - NON-REVENUE RECEIPTS 0 0.00 3,276,608 0.00 2,083,858 0.00 0.00
292 - ARPA FUND REVENUE 10,015,000 $7,881,572.71 5,276,608 $6,030,703.39 7,542,804 $5,648,912.33 $495,831.64
Revenue
Category Budget Actual Budget Actual Budget Actual
292 - AMERICAN RESCUE PLAN ACT SRF
9990 - NON-DEPARTMENTAL 4,262,949 $1,249,448.00 3,276,608 $3,276,608.00 0 $0.00 $0.00
4120 - COUNTY ADMINISTRATION 15,000 $15,000.00 0 $0.00 0 $0.00 $0.00
4450 - EMERGENCY MEDICAL SERVICE 117,823 $117,822.60 0 $0.00 0 $0.00 $0.00
4591 - RADIO SYSTEM 5,619,228 $5,619,227.49 2,000,000 $1,571,308.65 7,542,804 $1,500,000.00 $0.00
292 - ARPA FUND EXPENSE 10,015,000 $7,001,498.09 5,276,608 $4,847,916.65 7,542,804 $1,500,000.00 $0.00
292 - ARPA FUND REVENUE (OVER) /
UNDER EXPENSES 0 $880,074.62 0 $1,182,786.74 0 $4,148,912.33 $495,831.64
Same Period Last
Year
Same Period Last
Year
American Rescue Plan Act Fund
Unaudited as of November 30, 2024
FY 2023
FY 2023
FY 2024
FY 2024
FY 2025
FY 2025
ARPA Fund 292 9 of 37 11.2024 Monthly Master
Revenue
Category Budget Actual Budget Actual Budget Actual
33 - RESTRICTED REVENUE 0 0.00 0 0.00 0 0.00 0.00
35 - SERVICE CHARGES 10,000 555,432.17 250,000 1,297,115.47 750,000 540,759.96 462,247.08
36 - ENTERPRISE CHARGES 1,761,500 2,477,357.11 2,113,000 2,448,342.41 2,418,000 1,140,462.88 971,033.89
37 - FACILITY FEES 37,564,650 41,935,719.04 40,635,000 47,630,098.56 43,600,000 21,894,891.89 20,485,670.18
38 - MISCELLANEOUS INCOME 320,000 761,792.20 340,000 16,810,585.32 340,000 212,031.03 8,626,966.60
39 - NON-REVENUE RECEIPTS 25,359,677 0.00 1,993,600 0.00 97,700 0.00 0.00
610 - HRW FUND REVENUE 65,015,827 $45,730,300.52 45,331,600 $68,186,141.76 47,205,700 $23,788,145.76 $30,545,917.75
Expense Function
Department Budget Actual Budget Actual Budget Actual
610 - HARNETT REGIONAL WATER
91 - WATER & SEWER
7111 - HRW ADMINISTRATION 6,253,837 5,289,649.82 8,811,539.00 6,501,417.80 9,178,719 3,036,839.10 2,000,489.24
7113 - WATER TREATMENT PLANT 8,435,629 7,994,486.61 9,504,517.00 9,095,173.58 11,393,000 3,792,193.25 3,855,153.13
7115 - WASTEWATER TREATMENT PLANT 3,583,141 3,157,253.44 4,179,100.00 3,785,761.12 4,285,216 1,352,476.06 1,132,431.17
7117 - SOUTH HARNETT WASTEWATER PLANT 3,737,799 3,169,127.62 4,218,793.00 3,736,967.98 4,587,358 1,384,705.25 1,045,890.63
7119 - WATER DISTRIBUTION 6,396,571 5,348,263.00 7,439,204.00 6,301,870.38 7,056,458 2,474,500.59 2,463,636.83
7121 - SEWER COLLECTIONS 5,697,048 5,072,871.48 6,002,962.00 5,148,795.61 6,218,016 1,542,015.21 1,472,689.32
7131 - RETIREE INSURANCE HRW 63,829 64,280.10 75,824.00 75,724.44 55,426 27,475.00 22,984.00
9990 - NON-DEPARTMENTAL 30,847,973 48,202,047.68 5,099,661.00 $19,538,625.53 4,431,507 $0.00 0.00
610 - HRW FUND EXPENSE 65,015,827 $78,297,979.75 45,331,600 $54,184,336.44 47,205,700 $13,610,204.46 $11,993,274.32
610 - HRW FUND REVENUE (OVER) /
UNDER EXPENSES 0 $32,567,679.23 0 $14,001,805.32 0 $10,177,941.30 $18,552,643.43
FY 2024
FY 2024FY 2023 Same Period Last
Year
Harnett Regional Water Fund
Unaudited as of November 30, 2024
FY 2025
Same Period Last
Year
FY 2025FY 2023
HRW Fund 610 10 of 37 11.2024 Monthly Master
Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2020 2021 2022 2023 2024 2025
July $56,308,485.60 $51,396,573.71 $69,906,540.92 $47,872,143.43 $61,041,794.93
August $57,887,471.15 $53,478,105.50 $71,395,812.59 $49,668,609.87 $62,646,189.50
September $53,052,496.69 $54,740,839.35 $72,918,273.72 $51,309,490.06 $63,393,445.79
October $41,972,645.61 $57,802,598.49 $74,956,217.38 $53,345,216.44 $65,943,625.57
November $44,623,020.08 $59,929,869.87 $77,010,360.42 $55,515,423.72 $64,649,702.11
December $46,244,526.10 $61,433,187.37 $78,805,658.04 $56,834,058.40
January $57,818,912.12 $47,842,388.74 $63,336,473.21 $79,769,987.45 $58,466,164.77
February $58,911,946.79 $49,655,875.28 $65,045,521.23 $56,832,826.21 $59,569,273.61
March $60,961,613.87 $51,249,479.82 $62,345,519.84 $53,955,027.95 $61,972,230.67
April $60,643,544.18 $52,788,896.94 $62,323,826.87 $55,336,607.53 $62,083,104.02
May $61,748,714.89 $55,026,201.87 $57,960,361.56 $56,053,548.68 $59,428,422.60
June $55,307,862.26 $48,531,475.46 $58,710,523.48 $45,653,091.25 $59,303,866.71
CASH
Harnett Regional Water Fund
Unaudited as of November 30, 2024
HRW Fund Cash 11 of 37 11.2024 Monthly Master
Revenue
Category Budget Actual Budget Actual Budget Actual
30 - TAXES - AD VALOREM 0 0.00 0 0.00 0 0.00 0.00
33 - RESTRICTED REVENUE 260,000 378,939.22 300,000 418,365.90 300,000 120,474.73 96,615.09
35 - SERVICE CHARGES 0 18,173.48 0 8,172.54 6,858 73,693.86 2,830.44
36 - ENTERPRISE CHARGES 3,414,080 3,525,625.02 4,122,082 3,472,431.85 3,512,000 1,541,353.09 1,415,272.93
37 - FACILITY FEES 4,520,000 4,824,835.93 4,822,000 4,919,568.05 4,822,000 3,050,933.10 2,733,534.96
38 - MISCELLANEOUS INCOME 251,981 166,073.65 185,000 2,428,484.73 185,000 81,641.85 47,293.30
39 - NON-REVENUE RECEIPTS 103,000 0.00 0 0.00 0 0.00 0.00
660 - SOLID WASTE FUND REVENUE 8,549,061 $8,913,647.30 9,429,082 $11,247,023.07 8,825,858 $4,868,096.63 $4,295,546.72
Expense Function
Department Budget Actual Budget Actual Budget Actual
660 - SOLID WASTE MANAGEMENT
96 - SOLID WASTE
7410 - SOLID WASTE MANAGEMENT 7,628,133 6,113,890.52 7,763,141 7,002,160.47 7,964,989 2,651,245.13 2,323,053.60
7431 - RETIREE INSURANCE SW 20,000 26,509.00 29,712 23,993.00 19,356 7,173.00 11,268.00
9990 - NON-DEPARTMENTAL 900,928 $1,146,781.72 1,636,229 $2,107,556.06 841,513 $0.00 0.00
610 - SOLID WASTE FUND EXPENSE 8,549,061 $7,287,181.24 9,429,082 $9,133,709.53 8,825,858 $2,658,418.13 $2,334,321.60
660 - SOLID WASTE FUND REVENUE (OVER)
/ UNDER EXPENSES 0 $1,626,466.06 0 $2,113,313.54 0 $2,209,678.50 $1,961,225.12
FY 2024
FY 2024FY 2023
Solid Waste Fund
Unaudited as of November 30, 2024
Same Period Last
Year
FY 2025
FY 2025
FY 2023 Same Period Last
Year
Solid Waste Fund 660 12 of 37 11.2024 Monthly Master
Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2020 2021 2022 2023 2024 2025
July $3,387,995.72 $4,457,425.74 $5,242,053.75 $6,062,990.75 $6,329,191.67
August $3,375,944.64 $4,647,598.39 $5,341,058.08 $6,031,473.51 $6,555,248.78
September $3,607,274.52 $4,882,131.66 $5,547,560.45 $6,165,598.96 $6,517,382.00
October $3,759,678.53 $5,029,336.00 $5,661,414.55 $6,206,732.64 $6,431,467.18
November $5,581,197.69 $6,828,615.40 $7,650,032.21 $7,989,843.51 $6,372,115.74
December $6,451,303.81 $7,686,623.97 $8,441,890.85 $8,430,714.10
January $4,616,721.91 $5,784,640.53 $8,071,097.98 $8,957,335.18 $9,146,711.33
February $4,751,271.26 $5,844,033.09 $8,201,845.59 $9,072,792.36 $9,137,363.91
March $4,565,672.41 $5,773,139.20 $8,188,060.38 $8,162,225.83 $9,040,116.04
April $4,268,648.15 $5,713,193.95 $7,697,878.34 $7,939,798.65 $8,593,194.34
May $4,194,405.45 $5,677,132.65 $7,291,803.85 $7,812,630.66 $6,819,352.41
June $3,590,915.49 $4,646,306.54 $5,409,762.66 $6,655,083.50 $6,621,106.76
CASH
Solid Waste Fund
Unaudited as of November 30, 2024
Solid Waste Fund Cash 13 of 37 11.2024 Monthly Master
Revenue
Category Budget Actual Budget Actual Budget Actual
35 - SERVICE CHARGES 850,000 553,775.07 850,000 543,551.73 850,000 258,286.92 248,661.71
38 - MISCELLANEOUS INCOME 0 5,792.57 0 0.00 0 0.00 0.00
39 - NON-REVENUE RECEIPTS 0 0.00 0 0.00 0 0.00 0.00
810 - WORKER'S COMP FUND REVENUE 850,000 $559,567.64 850,000 $543,551.73 850,000 $258,286.92 $248,661.71
Expense Function
Department Budget Actual Budget Actual Budget Actual
810 - WORKERS COMPENSATION FUND
00 - GENERAL GOVERNMENT
9301 - WORKER'S COMPENSATION 850,000 854,566.54 850,000 516,873.53 850,000 $782,137.80 436,273.04
810 - WORKER'S COMP FUND EXPENSE 850,000 $854,566.54 850,000 $516,873.53 850,000 $782,137.80 $436,273.04
810 - WORKERS'S COMP FUND REVENUE
(OVER) / UNDER EXPENSES 0 $294,998.90 0 $26,678.20 0 $523,850.88 $187,611.33
Worker's Compensation Fund
Unaudited as of November 30, 2024
FY 2024
FY 2024FY 2023 FY 2025
FY 2025FY 2023
Same Period Last
Year
Same Period Last
Year
Worker's Comp Fund 810 14 of 37 11.2024 Monthly Master
Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2020 2021 2022 2023 2024 2025
July $4,629,563.32 $5,397,537.95 $6,198,476.66 $5,745,898.77 $5,625,560.56
August $4,708,459.01 $5,246,986.87 $5,963,212.81 $5,771,021.35 $5,315,957.68
September $4,785,314.35 $5,461,742.83 $5,986,205.95 $5,802,536.61 $5,360,212.35
October $4,844,771.48 $5,445,463.58 $6,015,973.71 $5,813,455.58 $5,384,442.80
November $4,925,635.39 $5,542,243.37 $6,011,959.38 $5,836,855.64 $5,378,925.01
December $4,982,050.03 $5,731,380.38 $6,036,954.24 $5,860,191.16
January $3,318,944.43 $5,056,960.44 $5,816,058.20 $6,008,286.38 $5,855,288.99
February $3,402,272.55 $5,098,194.24 $5,865,374.15 $6,023,150.11 $5,885,825.14
March $4,462,485.39 $5,134,695.99 $5,944,781.80 $6,034,359.79 $5,919,860.47
April $4,544,990.12 $5,193,817.86 $6,032,017.52 $6,041,866.35 $5,916,637.42
May $4,545,144.92 $5,139,295.68 $6,116,497.62 $6,028,294.55 $5,955,062.65
June $4,627,680.64 $5,380,269.92 $6,163,362.66 $6,036,996.00 $5,936,887.32
CASH
Worker's Compensation Fund
Unaudited as of November 30, 2024
Worker's Comp Fund Cash 15 of 37 11.2024 Monthly Master
Revenue
Category Budget Actual Budget Actual Budget Actual
35 - SERVICE CHARGES 250,000 128,054.68 250,000 93,115.66 250,000 34,268.77 46,837.51
39 - NON-REVENUE RECEIPTS 1,000,000 0.00 0 0.00 0 0.00 0.00
820 - UNEMPLOYMENT FUND REVENUE 1,250,000 $128,054.68 250,000 $93,115.66 250,000 $34,268.77 $46,837.51
Expense Function
Department Budget Actual Budget Actual Budget Actual
820 - UNEMPLOYMENT INSURANCE
00 - GENERAL GOVERNMENT
9305 - UNEMPLOYMENT INSURANCE 250,000 $31,606.81 250,000 $49,731.76 250,000 $0.00 0.00
9910 - CONTINGENCY 1,000,000 $1,000,000.00 0 $0.00 0 $0.00 0.00
820 - UNEMPLOYMENT FUND EXPENSE 1,250,000 $1,031,606.81 250,000 $49,731.76 250,000 $0.00 $0.00
820 - UNEMPLOYMENT FUND REVENUE
(OVER) / UNDER EXPENSES 0 $903,552.13 0 $43,383.90 0 $34,268.77 $46,837.51
FY 2024
FY 2024FY 2023
Unemployment Insurance Fund
Unaudited as of November 30, 2024
FY 2025
Same Period Last
Year
FY 2025FY 2023
Same Period Last
Year
Unemployment Ins Fund 820 16 of 37 11.2024 Monthly Master
Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2020 2021 2022 2023 2024 2025
July $1,564,861.07 $1,753,400.43 $1,850,881.89 $947,753.76 $987,222.77
August $1,582,832.12 $1,762,410.64 $1,861,008.73 $959,484.99 $994,087.29
September $1,600,689.65 $1,780,727.76 $1,871,494.58 $971,341.68 $1,000,995.70
October $1,618,305.74 $1,780,727.76 $1,881,948.64 $977,672.85 $1,007,932.59
November $1,638,946.38 $1,789,872.72 $1,892,577.25 $984,071.05 $1,007,932.59
December $1,657,035.68 $1,782,256.94 $1,871,937.68 $941,412.99
January $1,474,589.24 $1,675,333.87 $1,791,497.73 $1,882,907.21 $947,943.54
February $1,475,924.07 $1,673,523.80 $1,801,313.49 $1,893,735.82 $954,312.49
March $1,493,866.97 $1,691,308.04 $1,811,113.56 $1,904,454.36 $960,712.51
April $1,511,420.05 $1,709,071.02 $1,820,978.24 $1,915,349.90 $967,206.02
May $1,511,420.05 $1,709,071.02 $1,830,806.28 $926,042.90 $973,806.50
June $1,529,156.27 $1,748,924.02 $1,840,785.67 $937,233.54 $980,617.44
CASH
Unemployment Insurance Fund
Unaudited as of November 30, 2024
Unemployment Ins Fund Cash 17 of 37 11.2024 Monthly Master
Revenue
Category Budget Actual Budget Actual Budget Actual
35 - SERVICE CHARGES 191,875 154,380.00 228,762 186,444.79 229,901 70,575.00 66,465.59
38 - MISCELLANEOUS INCOME 0 0.00 0 0.00 0 0.00 0.00
39 - NON-REVENUE RECEIPTS 0 0.00 0 0.00 0 0.00 0.00
830 - EMPLOYEE CLINIC FUND REVENUE 191,875 $154,380.00 228,762 $186,444.79 229,901 $70,575.00 $66,465.59
Expense Function
Department Budget Actual Budget Actual Budget Actual
830 - EMPLOYEE CLINIC
00 - GENERAL GOVERNMENT
9302 - EMPLOYEE CLINIC 191,875 178,079.32 228,762 195,365.09 229,901 69,478.79 61,698.27
830 - EMPLOYEE CLINIC FUND EXPENSE 191,875 $178,079.32 228,762 $195,365.09 229,901 $69,478.79 $61,698.27
830 - EMPLOYEE CLINIC FUND REVENUE
(OVER) / UNDER EXPENSES 0 $23,699.32 0 $8,920.30 0 $1,096.21 $4,767.32
Employee Clinic Fund
Unaudited as of November 30, 2024
FY 2023 Same Period Last
Year
Same Period Last
Year
FY 2025
FY 2025
FY 2023
FY 2024
FY 2024
Employee Clinic Fund 830 18 of 37 11.2024 Monthly Master
Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2020 2021 2022 2023 2024 2025
July $700,090.56 $692,061.11 $723,019.23 $699,682.16 $690,186.90
August $697,900.58 $703,376.13 $723,881.09 $699,923.80 $689,090.44
September $697,339.53 $723,948.07 $723,117.23 $697,036.81 $689,606.00
October $696,760.57 $714,556.04 $721,661.50 $697,128.72 $683,863.04
November $695,238.45 $715,794.77 $722,166.94 $696,707.23 $682,610.72
December $697,288.04 $714,986.69 $722,572.03 $700,493.76
January $653,534.82 $696,374.16 $709,565.30 $712,125.82 $693,199.86
February $653,489.63 $691,759.00 $709,021.02 $715,311.33 $690,188.80
March $655,093.01 $690,369.37 $708,705.76 $706,441.27 $688,889.09
April $655,094.11 $691,478.87 $709,557.47 $704,910.81 $685,804.45
May $639,617.51 $679,723.63 $703,692.41 $700,768.29 $681,320.31
June $668,125.25 $688,250.11 $720,716.69 $699,088.15 $689,555.70
CASH
Employee Clinic Fund
Unaudited as of November 30, 2024
Employee Clinic Fund Cash 19 of 37 11.2024 Monthly Master
Revenue
Category Budget Actual Budget Actual Budget Actual
35 - SERVICE CHARGES 11,253,500 11,097,615.91 12,000,000 11,495,416.84 12,000,000 5,052,752.55 4,679,444.64
38 - MISCELLANEOUS INCOME 650,000 1,261,002.15 0 1,449,859.89 0 243,954.95 323,371.36
39 - NON-REVENUE RECEIPTS 323,000 0.00 486,500 0.00 1,503,500 0.00 0.00
841 - MEDICAL SELF INS FUND REVENUE 12,226,500 $12,358,618.06 12,486,500 $12,945,276.73 13,503,500 $5,296,707.50 $5,002,816.00
Expense Function
Department Budget Actual Budget Actual Budget Actual
841 - MEDICAL INSURANCE - SELF
00 - GENERAL GOVERNMENT
9303 - MEDICAL INSURANCE - SELF 12,226,500 10,662,369.55 12,486,500 12,466,348.43 13,503,500 5,491,887.25 5,013,227.81
841 - MEDICAL SELF INS FUND EXPENSE 12,226,500 $10,662,369.55 12,486,500 $12,466,348.43 13,503,500 $5,491,887.25 $5,013,227.81
841 - MEDICAL SELF INS FUND REVENUE
(OVER) / UNDER EXPENSES 0 $1,696,248.51 0 $478,928.30 0 $195,179.75 $10,411.81
FY 2024
FY 2024FY 2023
Medical Self Insurance Fund
Unaudited as of November 30, 2024
FY 2023 Same Period Last
Year
Same Period Last
Year
FY 2025
FY 2025
Medical Self Ins Fund 841 20 of 37 11.2024 Monthly Master
Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2020 2021 2022 2023 2024 2025
July $8,394,410.05 $9,936,719.25 $11,349,904.41 $13,123,302.23 $14,221,280.41
August $8,309,827.07 $9,558,799.23 $10,768,815.17 $12,519,779.60 $13,144,389.65
September $8,147,930.01 $10,182,610.45 $10,928,333.21 $12,632,767.66 $12,901,570.06
October $8,437,620.01 $9,335,253.68 $11,370,700.94 $13,321,922.90 $13,149,587.55
November $8,763,538.51 $9,233,189.07 $11,135,597.77 $12,957,084.14 $12,608,083.39
December $9,045,130.83 $9,259,586.30 $11,221,624.97 $13,278,900.80
January $7,007,592.83 $8,831,273.60 $9,612,099.50 $11,189,119.32 $13,180,590.67
February $7,354,736.35 $9,169,687.18 $9,498,226.66 $11,364,307.86 $12,991,069.68
March $7,342,921.96 $8,848,785.68 $9,065,970.50 $11,660,274.02 $13,767,320.08
April $7,508,905.85 $9,411,546.73 $9,200,399.34 $11,986,582.01 $13,252,347.95
May $7,195,825.04 $8,592,344.42 $9,240,938.82 $11,881,979.85 $13,130,670.41
June $6,837,286.28 $9,752,219.84 $10,485,775.01 $12,332,058.18 $13,223,952.94
CASH
Medical Self Insurance Fund
Unaudited as of November 30, 2024
Medical Self Ins Fund Cash 21 of 37 11.2024 Monthly Master
Revenue
Category Budget Actual Budget Actual Budget Actual
35 - SERVICE CHARGES 650,000 519,533.60 650,000 570,909.91 650,000 184,029.70 220,717.00
39 - NON-REVENUE RECEIPTS 0 0.00 0 0.00 0 0.00 0.00
843 - DENTAL SELF INS FUND REVENUE 650,000 $519,533.60 650,000 $570,909.91 650,000 $184,029.70 $220,717.00
Expense Function
Department Budget Actual Budget Actual Budget Actual
843 - DENTAL INSURANCE - SELF
00 - GENERAL GOVERNMENT
9307 - DENTAL INSURANCE - SELF 650,000 459,020.75 650,000 461,934.46 650,000 223,762.59 233,185.12
843 - DENTAL SELF INS FUND EXPENSE 650,000 $459,020.75 650,000 $461,934.46 650,000 $223,762.59 $233,185.12
843 - DENTAL SELF INS FUND REVENUE
(OVER) / UNDER EXPENSES 0 $60,512.85 0 $108,975.45 0 $39,732.89 $12,468.12
FY 2024
FY 2024
Dental Self Insurance Fund
Unaudited as of November 30, 2024
FY 2025FY 2023
FY 2023 Same Period Last
Year
Same Period Last
Year
FY 2025
Dental Self Ins Fund 843 22 of 37 11.2024 Monthly Master
Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2020 2021 2022 2023 2024 2025
July $612,444.32 $724,520.63 $822,532.24 $853,196.58 $966,594.06
August $602,629.10 $696,545.18 $790,185.12 $843,955.60 $955,082.74
September $609,678.56 $734,630.02 $797,437.93 $851,846.69 $963,285.78
October $603,363.16 $695,046.20 $795,743.33 $872,196.82 $917,813.28
November $620,268.72 $701,911.17 $804,974.47 $854,937.88 $894,427.90
December $653,169.60 $711,856.70 $812,872.25 $879,346.67
January $536,850.80 $657,824.44 $731,212.41 $832,304.92 $881,010.37
February $547,206.22 $665,545.09 $737,896.84 $837,835.80 $883,889.09
March $544,639.17 $673,523.14 $739,863.15 $832,355.91 $928,991.11
April $551,952.84 $676,078.18 $739,741.66 $836,984.76 $913,926.03
May $551,708.84 $605,182.75 $738,936.50 $834,680.46 $911,791.97
June $544,280.85 $703,042.49 $780,381.70 $846,057.74 $956,557.53
CASH
Dental Self Insurance Fund
Unaudited as of November 30, 2024
Dental Self Ins Fund Cash 23 of 37 11.2024 Monthly Master
Revenue
Category Budget Actual Budget Actual Budget Actual
35 - SERVICE CHARGES 1,500,000 1,409,301.62 1,500,000 1,303,659.91 1,500,000 230,056.66 188,019.70
36 - ENTERPRISE CHARGES 0 225.00 0 75.00 0 0.00 50.00
39 - NON-REVENUE RECEIPTS 0 0.00 0 0.00 0 0.00 0.00
845 - RETIREE SELF INS FUND REVENUE 1,500,000 $1,409,526.62 1,500,000 $1,303,734.91 1,500,000 $230,056.66 $188,069.70
Expense Function
Department Budget Actual Budget Actual Budget Actual
845 - MEDICAL INSURANCE RETIREE
00 - GENERAL GOVERNMENT
9304 - MEDICAL INSURANCE - RETIREE 1,500,000 1,357,594.41 1,500,000 1,006,284.77 1,500,000 523,110.05 511,142.90
845 - RETIREE SELF INS FUND EXPENSE 1,500,000 $1,357,594.41 1,500,000 $1,006,284.77 1,500,000 $523,110.05 $511,142.90
845 - RETIREE SELF INS FUND REVENUE
(OVER) / UNDER EXPENSES 0 $51,932.21 0 $297,450.14 0 $293,053.39 $323,073.20
Retiree Self Insurance Fund
Unaudited as of November 30, 2024
FY 2025FY 2024
FY 2024 FY 2025FY 2023
FY 2023 Same Period Last
Year
Same Period Last
Year
Retiree Self Ins Fund 845 24 of 37 11.2024 Monthly Master
Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2020 2021 2022 2023 2024 2025
July $646,924.11 $433,059.43 $829,677.64 $872,551.83 $1,188,298.72
August $590,241.30 $433,709.18 $770,327.59 $728,469.75 $1,027,180.31
September $489,464.41 $465,741.89 $736,325.28 $692,915.07 $1,001,682.78
October $466,294.49 $453,817.31 $706,499.95 $688,896.83 $997,312.08
November $396,067.66 $466,968.91 $641,611.83 $590,078.99 $947,470.05
December $334,887.79 $476,600.30 $599,142.27 $556,000.08
January ($315,453.19) $206,371.20 $490,226.98 $445,630.08 $478,336.05
February ($386,583.22) $180,684.24 $500,421.34 $318,834.16 $443,975.85
March ($530,399.34) $35,718.25 $509,125.50 $246,480.74 $444,219.44
April ($611,564.54) $93,954.23 $519,585.17 $123,809.37 $410,838.87
May ($622,617.07) $594,052.00 $532,894.99 $60,110.80 $376,172.06
June ($625,264.03)$428,365.66 $807,090.69 $859,022.90 $1,175,632.62
CASH
Retiree Self Insurance Fund
Unaudited as of November 30, 2024
Retiree Self Ins Fund Cash 25 of 37 11.2024 Monthly Master
Revenue
Category Budget Actual Budget Actual Budget Actual
35 - SERVICE CHARGES 240,909 121,749.00 148,008 417,816.00 192,640 0.00 72,460.00
38 - MISCELLANEOUS INCOME 12,000 16,269.51 22,360 22,360.00 12,000 21,491.00 10,900.00
39 - NON-REVENUE RECEIPTS 100,000 100,000.00 484,521 0.00 306,000 0.00 0.00
880 - FLEET SERVICES FUND REVENUE 352,909 $238,018.51 654,889 $440,176.00 510,640 $21,491.00 $83,360.00
Expense Function
Department Budget Actual Budget Actual Budget Actual
880 - FLEET SERVICES
00 - GENERAL GOVERNMENT
9410 - FLEET SERVICES 290,679 159,127.40 654,889 531,943.48 510,640 329,155.16 265,519.66
9910 - CONTINGENCY 62,230 0.00 0 0.00 0 0.00 0.00
880 - FLEET SERVICES FUND EXPENSE 352,909 $159,127.40 654,889 $531,943.48 510,640 $329,155.16 $265,519.66
880 - FLEET SERVICES FUND REVENUE
(OVER) / UNDER EXPENSES 0 $78,891.11 0 $91,767.48 0 $307,664.16 $182,159.66
Fleet Services Fund
Unaudited as of November 30, 2024
FY 2025FY 2024
FY 2024 FY 2025FY 2023
FY 2023 Same Period Last
Year
Same Period Last
Year
Fleet Services Fund 880 26 of 37 11.2024 Monthly Master
Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2020 2021 2022 2023 2024 2025
July $601,279.16 $1,090,458.91 $1,203,969.99 $1,179,589.10 $1,180,461.62
August $609,506.58 $1,184,866.91 $1,199,951.99 $1,072,380.65 $1,093,700.62
September $615,658.56 $1,229,825.91 $1,167,317.99 $1,061,842.35 $943,991.47
October $624,166.20 $1,229,825.91 $1,199,618.20 $1,075,577.44 $871,180.46
November $632,714.95 $1,214,819.91 $1,212,931.71 $1,090,069.44 $871,180.46
December $791,230.55 $1,236,861.91 $1,223,968.71 $1,116,021.44
January $565,853.83 $799,782.08 $1,244,772.91 $1,232,852.73 $1,130,513.44
February $572,455.44 $808,107.96 $1,170,235.91 $1,245,938.71 $1,145,005.44
March $573,647.74 $816,344.80 $1,179,361.91 $1,354,781.71 $1,100,152.11
April $574,877.57 $823,803.80 $1,188,487.91 $1,266,466.50 $908,851.49
May $616,138.99 $831,262.80 $1,110,625.14 $1,265,171.10 $922,857.62
June $571,361.34 $1,090,458.91 $1,193,337.99 $1,272,229.10 $1,180,461.62
CASH
Fleet Services Fund
Unaudited as of November 30, 2024
Fleet Services Fund Cash 27 of 37 11.2024 Monthly Master
Revenue
Category Budget Actual Budget Actual Budget Actual
35 - SERVICE CHARGES 1,748,415 0.00 0 471,493.44 0 237.43 162.62
38 - MISCELLANEOUS INCOME 0 1,601,809.13 1,773,310 1,695,382.86 3,434,960 1,441,473.19 698,571.34
39 - NON-REVENUE RECEIPTS 2,046,804 2,074,009.00 350,350 350,000.00 0 0.00 0.00
890 - INFO TECHNOLOGY FUND REVENUE 3,795,219 $3,675,818.13 2,123,660 $2,516,876.30 3,434,960 $1,441,710.62 $698,733.96
Expense Function
Department Budget Actual Budget Actual Budget Actual
890 - INFORMATION TECHNOLOGY
00 - GENERAL GOVERNMENT
9420 - TECHNOLOGY 3,795,219 2,647,317.05 2,123,660 1,928,442.68 3,434,960 1,279,911.08 795,808.89
890 - INFO TECHNOLOGY FUND EXPENSE 3,795,219 $2,647,317.05 2,123,660 $1,928,442.68 3,434,960 $1,279,911.08 $795,808.89
890 - INFO TECHNOLOGY FUND REVENUE
(OVER) / UNDER EXPENSES 0 $1,028,501.08 0 $588,433.62 0 $161,799.54 $97,074.93
FY 2024
FY 2024
Information Technology Fund
Unaudited as of November 30, 2024
FY 2025
FY 2025FY 2023
FY 2023 Same Period Last
Year
Same Period Last
Year
Info Technology Fund 890 28 of 37 11.2024 Monthly Master
Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2020 2021 2022 2023 2024 2025
July $852,093.02 $1,491,852.27 $2,011,076.10 $2,884,692.29 $3,513,264.13
August $804,366.93 $1,558,798.40 $2,089,994.83 $2,653,325.67 $2,552,211.87
September $800,161.86 $1,577,002.07 $1,729,069.00 $2,696,925.55 $2,682,173.61
October $902,530.92 $1,729,919.23 $1,725,039.53 $2,703,241.31 $3,493,601.40
November $889,233.88 $1,765,161.46 $894,683.88 $2,772,283.57 $3,445,643.66
December $1,046,992.00 $1,751,059.99 $906,874.68 $2,820,549.17
January $515,312.48 $1,189,759.12 $1,792,688.16 $1,055,166.45 $2,860,009.70
February $534,562.33 $1,297,161.54 $1,843,447.45 $1,128,314.64 $2,970,161.23
March $536,134.58 $1,426,825.09 $1,790,864.84 $2,844,280.84 $3,057,280.14
April $570,566.56 $1,207,565.76 $1,763,694.03 $2,751,244.56 $3,368,404.90
May $612,977.73 $973,972.46 $1,845,823.82 $2,796,637.32 $3,654,990.78
June $798,424.51 $1,492,175.30 $1,924,106.94 $3,140,915.15 $3,563,465.34
CASH
Information Technology Fund
Unaudited as of November 30, 2024
Info Technology Fund Cash 29 of 37 11.2024 Monthly Master
Revenue
Category Budget Actual Budget Actual Budget Actual
33 - RESTRICTED REVENUE 884,546 455,436.16 1,489,942 145,268.47 677,936 62,394.93 0.00
38 - MISCELLANEOUS INCOME 73,000 28,254.50 68,250 15,570.81 50,000 0.00 5,105.00
39 - NON-REVENUE RECEIPTS 195,350 0.00 293,112 0.00 52,000 0.00 0.00
250 - VET TREATMENT COURT REVENUE 1,152,896 $483,690.66 1,851,304 $160,839.28 779,936 $62,394.93 $5,105.00
Expense Function
Department Budget Actual Budget Actual Budget Actual
250 - VETERANS TREATMENT COURT
00 - GENERAL GOVERNMENT
4185 - VETERANS TREATMENT COURT 1,152,896 435,225.61 1,851,304 359,985.64 779,936 99,178.66 105,531.79
250 - VET TREATMENT COURT EXPENSE 1,152,896 $435,225.61 1,851,304 $359,985.64 779,936 $99,178.66 $105,531.79
250 - VET TREATMENT COURT REVENUE
(OVER) / UNDER EXPENSES 0 $48,465.05 0 $199,146.36 0 $36,783.73 $100,426.79
FY 2024
FY 2024
Veteran's Treatment Court
Unaudited as of November 30, 2024
FY 2025 Same Period Last
Year
Same Period Last
Year
FY 2023
FY 2025FY 2023
Veteran's Treatment Court 250 30 of 37 11.2024 Monthly Master
Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2020 2021 2022 2023 2024 2025
July $3,916.48 $26,014.22 $106,617.08 $128,518.38 $16,907.36
August ($19.11) $6,936.02 $197,695.62 $241,771.52 $30,883.74
September ($5,847.89) $1,617.01 $170,316.49 $182,473.08 ($18,308.88)
October ($52,239.74) ($48,042.22) $236,136.83 $146,746.36 $27,668.34
November ($55,209.63) ($67,669.08) $228,538.41 $145,108.22 $20,568.34
December ($10,827.18) ($74,565.51) $144,375.79 $93,188.19
January $7,582.66 ($54,087.90) ($93,893.26) $120,098.68 $117,979.77
February $35,756.46 ($60,437.65) ($36,255.36) $154,587.98 $98,451.54
March $19,011.14 ($63,403.68) ($66,528.04) $113,762.06 $32,231.97
April $30,146.67 ($63,500.51) ($80,604.24) $132,819.22 $41,767.57
May $42,612.59 ($72,985.76) $162,839.31 $120,571.26 $86,167.58
June $28,305.11 $36,571.92 $127,852.90 $69,181.84 $23,146.04
CASH
Veteran's Treatment Court
Unaudited as of November 30, 2024
Veteran's Treatment Court Cash 31 of 37 11.2024 Monthly Master
as of December 31, 2020
1. Current year activity :City Hold
Harmless
School Hold
HarmlessFiscal Year 2025as of October 31, 2022Article 39 Article 40 Article 42 Article 40 Article 42 Article 44 Article 44 *524 Article 46 Article 39 Article 39 Special Total
July, 2024 1,121,135.77$ 777,528.29$ 348,226.03$ 269,945.50$ 539,891.00$ -$ 590,867.64$ 340,930.54$ (162,164.56)$ (210,582.22)$ 302,941.29$ 3,918,719.28$ August, 2024 1,109,757.30$ 786,730.30$ 348,683.09$ 271,930.14$ 543,860.29$ (0.26)$ 590,867.64$ 336,087.52$ (164,190.67)$ (218,106.90)$ 301,119.57$ 3,906,738.02$ September, 2024 -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ October, 2024 -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ November, 2024 -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ December, 2024 -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ January, 2025 -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ February, 2025 -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ March, 2025 -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ April, 2025 -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ May, 2025 -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ June, 2025 -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ 2,230,893.07$ 1,564,258.59$ 696,909.12$ 541,875.64$ 1,083,751.29$ (0.26)$ 1,181,735.28$ 677,018.06$ (326,355.23)$ (428,689.12)$ 604,060.86$ 7,825,457.30$
Year over Year
Change -0.29% 1.17% 1.53% -0.63% -0.63% -101.57% 3.58% -0.96% -1.89% 0.86% 1.67% 0.76%
2. Comparison to prior year :City Hold
Harmless
School Hold
HarmlessFiscal Year 2024 Article 39 Article 40 Article 42 Article 40 Article 42 Article 44 Article 44 *524 Article 46 Article 39 Article 39 Special Total July, 2023 1,035,583.41$ 773,305.30$ 327,403.11$ 268,373.83$ 536,747.66$ 5.59$ 570,454.78$ 312,864.36$ (168,342.48)$ (229,814.96)$ 278,193.55$ 3,704,774.15$ August, 2023 1,201,849.83$ 772,804.38$ 358,990.46$ 276,925.50$ 553,851.00$ 10.98$ 570,454.78$ 370,719.99$ (164,305.00)$ (195,227.74)$ 315,963.24$ 4,062,037.42$ September, 2023 1,031,910.81$ 721,961.21$ 329,415.98$ 245,520.27$ 491,040.55$ 6.37$ 570,454.78$ 309,637.87$ (151,909.00)$ (193,764.77)$ 278,110.38$ 3,632,384.45$ October, 2023 1,165,607.28$ 721,527.97$ 349,281.49$ 256,135.52$ 512,271.05$ -$ 570,454.78$ 360,990.99$ (150,622.69)$ (168,863.21)$ 306,809.49$ 3,923,592.67$ November, 2023 1,202,560.07$ 756,539.66$ 366,845.52$ 261,640.34$ 523,280.67$ -$ 570,752.19$ 368,841.50$ (157,081.80)$ (175,826.78)$ 318,990.36$ 4,036,541.73$ December, 2023 1,387,799.81$ 846,760.69$ 423,079.69$ 291,740.05$ 583,480.09$ (0.27)$ 570,752.19$ 425,882.76$ (172,913.63)$ (184,438.54)$ 368,166.70$ 4,540,309.54$ January, 2024 859,007.54$ 666,882.28$ 276,021.98$ 230,147.34$ 460,294.68$ -$ 570,752.19$ 256,929.96$ (146,422.23)$ (206,154.47)$ 231,969.63$ 3,199,428.90$ February, 2024 1,124,516.50$ 647,707.95$ 341,505.27$ 221,020.11$ 442,040.22$ -$ 570,752.19$ 348,519.97$ (129,765.29)$ (123,903.60)$ 297,707.24$ 3,740,100.56$ March, 2024 1,270,326.22$ 790,798.55$ 390,665.44$ 271,202.28$ 542,404.57$ -$ 570,752.19$ 388,355.30$ (162,016.25)$ (178,179.20)$ 337,965.90$ 4,222,275.00$ April, 2024 1,201,866.80$ 716,192.55$ 363,012.44$ 247,387.85$ 494,775.69$ -$ 570,752.19$ 371,473.65$ (146,398.25)$ (149,875.72)$ 317,671.73$ 3,986,858.93$ May, 2024 1,281,135.07$ 788,223.04$ 387,558.63$ 272,764.27$ 545,528.54$ -$ 572,592.25$ 394,389.00$ (158,903.21)$ (176,130.01)$ 339,612.62$ 3,728,709.61$ June, 2024 1,288,556.41$ 842,887.43$ 397,748.48$ 290,159.72$ 580,319.45$ -$ 590,867.64$ 392,144.04$ (171,788.08)$ (207,496.28)$ 344,098.00$ 4,347,496.81$ 2,237,433.24$ 1,546,109.68$ 686,393.57$ 545,299.33$ 1,090,598.66$ 16.57$ 1,140,909.56$ 683,584.35$ (332,647.48)$ (425,042.70)$ 594,156.79$ 7,766,811.57$
AnnualizedBudget % Collected(02 month)to Date1103100 310231 1,475,848.72$ 10,403,000$ (8,927,151.28)$ 1,733,833$ (257,984.61)$ 14.19%NC Sales Tax - Article 39 1103100 310233 1,564,258.59$ 9,000,000$ (7,435,741.41)$ 1,500,000$ 64,258.59$ 17.38%NC Sales Tax - Article 40 (General Fund)1103100 310235 696,909.12$ 4,100,000$ (3,403,090.88)$ 683,333$ 13,575.79$ 17.00%NC Sales Tax - Article 42 (General Fund)1103100 310237 1,181,735.02$ 6,500,000$ (5,318,264.98)$ 1,083,333$ 98,401.69$ 18.18%NC Sales Tax - Article 44 & Article 44 *5244,918,751.45$ 30,003,000$ (25,084,248.55)$ 5,000,500.00$ (81,748.55)$ 16.39%
2118401 - 380892 604,060.86$ 3,710,014$ (3,105,953.14)$ 618,335.67$ (14,274.81)$ 16.28%NC Sales Tax Special Districts
3003100 310233 541,875.64$ 2,415,182$ (1,873,306.36)$ 402,530$ 139,345.31$ 22.44%NC Sales Tax - Article 40 (Education)3003100 310235 1,083,751.29$ 5,244,640$ (4,160,888.71)$ 874,107$ 209,644.62$ 20.66%NC Sales Tax - Article 42 (Education)3003100 310239 677,018.06$ 3,122,285$ (2,445,266.94)$ 520,381$ 156,637.23$ 21.68%NC Sales Tax - Article 462,302,644.99$ 10,782,107$ (8,479,462.01)$ 1,797,017.83$ 505,627.16$ 21.36%
HARNETT COUNTY
SALES TAX ANALYSIS BY ARTICLE
General Fund Board of Education
General Fund Board of Education
3. Reconciliation to general ledger :Over/(Under)
Annualized
BudgetBalance to Tyler Activity Budget
Over/(Under)
Budget
Monthly Sales Tax 32 of 37 11.2024 Monthly Master
HARNETT COUNTY
FINANCIAL SUMMARY REPORT
12/20/2024
June 30, 2023
HARNETT COUNTY TOWNS 1
0.00%
20.00%
40.00%
60.00%
80.00%
100.00%
ANGIER
(5,832)
COATS
(2,222)
DUNN
(8,535)
ERWIN
(4,631)
LILLINGTON
(4,583)
62.11%
113.95%
36.50%
133.52%
87.64%
Fund Balance %
Towns Pier Group (population based)
Towns 33 of 37 11.2024 Monthly Master
HARNETT COUNTY
FINANCIAL SUMMARY REPORT
12/20/2024
June 30, 2023
HARNETT COUNTY TOWNS 1
Angier Coats Dunn Erwin Lillington
$ 5.9 M
$ 1.7 M
$ 13.0 M
$ 3.4 M
$ 6.0 M
$ 7.2 M
$ 1.9 M
$ 14.0 M
$ 4.4 M
$ 7.3 M
Revenues / Expenditures
Revenues Expenditures
Towns 34 of 37 11.2024 Monthly Master
HARNETT COUNTY
FINANCIAL SUMMARY REPORT
12/20/2024
June 30, 2023
HARNETT COUNTY TOWNS 1
1 https://www.nctreasurer.com/slg/lfm/financial-analysis/Pages/Analysis-by-Population.aspx
$7,544,825
$2,234,595
$8,730,621 $8,745,888
$7,314,204
Cash
Angier Coats Dunn Erwin Lillington
Towns 35 of 37 11.2024 Monthly Master
HARNETT COUNTY
FINANCIAL SUMMARY REPORT
12/20/2024
June 30, 2023
HARNETT COUNTY TOWNS 1
2023 2022 2021 2020 2019
Angier 7,219,289$ 5,923,124$ 5,288,373$ 4,375,452$ 4,053,035$
Coats 1,866,471$ 1,707,416$ 1,711,011$ 1,500,712$ 1,573,107$
Dunn 13,973,183$ 12,199,936$ 11,915,650$ 11,229,699$ 10,563,357$
Erwin 4,382,568$ 3,663,444$ 3,748,461$ 4,033,682$ 3,633,664$
Lillington 7,256,602$ 5,317,115$ 4,726,743$ 4,859,861$ 4,587,021$
2023 2022 2021 2020 2019
Angier 5,937,125$ 6,194,572$ 3,962,912$ 4,304,101$ 3,720,425$
Coats 1,733,305$ 1,593,374$ 1,531,197$ 1,266,203$ 1,320,523$
Dunn 12,967,028$ 13,238,300$ 11,244,080$ 11,407,762$ 10,266,268$
Erwin 3,384,063$ 3,215,958$ 2,951,464$ 3,722,740$ 3,353,894$
Lillington 5,976,399$ 5,194,662$ 4,574,759$ 4,881,660$ 7,645,088$
Revenues
Expenditures
Towns 36 of 37 11.2024 Monthly Master
HARNETT COUNTY
FINANCIAL SUMMARY REPORT
12/20/2024
June 30, 2023
HARNETT COUNTY TOWNS 1
2023 2022 2021 2020 2019
Angier 62.11%68.84%128.50%100.44%111.09%
Coats 113.95%113.11%108.74%117.72%89.67%
Dunn 36.50%38.09%52.13%37.71%41.02%
Erwin 133.52%109.53%104.68%63.75%55.49%
Lillington 87.64%38.78%34.70%48.21%37.66%
2023 2022 2021 2020 2019
Angier 7,544,825$ 5,800,297$ 5,860,512$ 4,584,238$ 4,360,056$
Coats 2,234,595$ 2,271,149$ 1,746,630$ 1,583,822$ 1,354,638$
Dunn 8,730,621$ 8,000,720$ 5,418,437$ 4,642,176$ 1,611,418$
Erwin 8,745,888$ 7,571,325$ 6,166,810$ 5,605,754$ 5,337,622$
Lillington 7,314,204$ 2,523,527$ 2,399,357$ 2,536,487$ 2,475,675$
1 https://logos.nctreasurer.com/Reporting/Report/External?applicationCode=AFIR
Cash
Fund Balance %
Towns 37 of 37 11.2024 Monthly Master