Page 69 - Dalworthington Gardens FY19 Budget
P. 69

180-PRFDC FUND SUMMARY




 Beginning Fund Balance                  424,865              537,672            519,980


                                                                      FY 17/18                    FY 18/19
                     FY 17/18                      FY 18/19           Projected                   oposed Budget
                                                                                       r
                                                                                      P
 FY 11/12       FY 12/13       FY 13/14       FY 14/15       FY 15/16       FY 16/17       FY 17/18
 REVENUE CATEGORY    Amended                      Proposed               vs                                 vs
 Actual  Actual  Actual  Actual  Actual  Actual  Projected
                                                                                           Y
                                                                                             7
                                                                                          F
                      Budget                       Budget              FY17/18                                  /18
                                                                                            1
                                                                  Amended Budget         Projected
 Sales & Use Tax                  196,895                160,506                183,778                193,953                194,128                194,895                190,000             190,067               95,033                                 67                         (95,033)

 Miscellaneous Revenue                         528                        327                        130                        175                     2,900                    5,906               12,532               86,340                           6,626                          73,808
 Other Sources                         -                           -                         -                      -                                -                                   -
 TOTAL REVENUE                197,423                160,834                183,908                194,128                194,128                197,794                195,906             202,599            181,373                           6,693                         (21,226)


                                                                      FY 17/18                    FY 18/19
                                                                                       r
                                                                                      P
                     FY 17/18                      FY 18/19           Projected                   oposed Budget
     FY 16/17                       FY 17/18
 EXPENSE CATEGORY    Amended                      Proposed               vs                                 vs
       Actual                       Projected
                                                                                             7
                                                                                          F
                                                                                           Y
                                                                                            1
                      Budget                       Budget              FY17/18                                  /18
                                                                  Amended Budget         Projected

 Personnel Salary & Wages                           -                   10,914               12,956               22,456                           2,041                            9,501
 Personnel Taxes & Benefits                           -                     7,068                  6,820               12,972                               (248)                            6,152

 Training & Travel                           -                         500                     382                    500                             (118)                                118
 Materials & Supplies                           -                     7,617                  9,117                    500                           1,500                           (8,617)

 Utilities                     6,395                    9,937               16,887                 8,032                           6,950                           (8,855)

 Maintenance                   23,267                  12,907               25,739               10,000                         12,832                         (15,739)
 Consultants                   21,405                  76,340               93,033               25,000                         16,693                         (68,033)
 Contractual                           -                         -                        480                 1,666                               480                            1,186
 Other Expenses                   19,475                  23,000               18,610               15,700                          (4,390)                           (2,910)
 Capital Outlay                   14,446                  65,925               35,925            129,620                        (30,000)                          93,695
 Other Uses                         -                           -                        344                     -                               344                              (344)
 TOTAL EXPENSES                   84,988                214,207             220,291            226,445                           6,085                            6,154


 REVENUE OVER EXPENSES                112,807                 (18,301)              (17,692)             (45,072)                               609                         (27,380)


 ENDING FUND BALANCE                  537,672              519,980            474,908                           (45,072)
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