View original file203825
CITY OF POTLATCH - QUARTERLY REPORT
AS OF DEC. 31, 2025 - FOR 1st QUARTER FY 25-26
QUARTER YEAR
GENERAL FUND TO DATE TO DATE
REVENUE
GENERAL $38,392.33 $38,392.33
PARKS $2,947.46 $2,947.46
POOL $1,178.64 $1,178.64
STREETS $14,838.62 $14,838.62
CEMETERY $200.00 $200.00
RV PARK $26,118.04 $26,118.04
TOTAL REVENUE $83,675.09 $83,675.09
EXPENSES
GENERAL $60,077.05 $60,077.05
PARKS $11,430.84 $11,430.84
POOL $5,434.81 $5,434.81
STREETS $52,515.92 $52,515.92
CEMETERY $- $-
RV PARK $24,439.71 $24,439.71
TOTAL EXPENSES $153,898.33 $153,898.33
NET PROFIT/(LOSS) $(70,223.24) $(70,223.24)
ENTERPRISE FUND
REVENUE
WATER $88,295.65 $88,295.65
SEWER $107,233.73 $107,233.73
GARBAGE $54,207.07 $54,207.07
YARD WASTE $520.00 $520.00
TOTAL REVENUE $250,256.45 $250,256.45
EXPENSES
WATER $70,372.92 $70,372.92
SEWER $122,605.01 $122,605.01
GARBAGE $45,397.97 $45,397.97
YARD WASTE $90.06 $90.06
TOTAL EXPENSES $238,465.96 $238,465.96
NET PROFIT/(LOSS) $11,790.49 $11,790.49
SPECIAL PROJECTS
REVENUE
REGIONAL WW PROJECT $- $-
CDBG POOL GRANT $- $-
TOTAL REVENUE $- $-
EXPENSES
REGIONAL WW PROJECT $5,915.00 $5,915.00
CDBG POOL GRANT $3,500.00 $3,500.00
TOTAL EXPENSES $9,415.00 $9,415.00
NET PROFIT/(LOSS) $(9,415.00) $(9,415.00)
TOTAL REVENUE
- ALL FUNDS $333,931.54 $333,931.54
TOTAL EXPENSES
- ALL FUNDS $401,779.29 $401,779.29
NET - ALL FUNDS $(67,847.75) $(67,847.75)
Citizens are invited to inspect the detailed supporting records of the above financial statement.
Harmony Nowack, City Clerk-Treasurer
Placed on the City's Website: cityofpotlatch.org
January 30, 2026