Page 259 - FY 19 Budget Forecast 91218.xlsx
P. 259

DRAINAGE UTILITY FUND



                FUND DESCRIPTION:
                The Drainage Utility Fund provides drainage utility services and drainage channel maintenance on public lands which
                is funded thru a monthly drainage fee.




                                                 REVENUE SUMMARY


                                                                                        FY 2018-19   Budget
                                                    FY 2016-17   FY 2017-18   FY 2017-18   Adopted   Variance
                REVENUES                              Actual      Budget     YE Proj.     Budget       ($)
                Write Off Recovery                  $          1,144  $           1,000  $          1,000  $           1,000  $             –
                Drainage Utility Fees                    1,440,672        1,441,703       1,456,371        1,456,371          14,668
                Auction Proceeds                                   180                    –                   –                     –                 –
                Gain/Loss On Disp Of Assets                     5,088                    –                   –                     –                 –
                Interest Revenue-Investments                  27,912             16,282            13,153             20,075            3,793

                 TOTAL                              $  1,474,997  $   1,458,985  $  1,470,524  $    1,477,446  $     18,461



                                              EXPENDITURE SUMMARY

                                                                                        FY 2018-19   Budget
                                                    FY 2016-17   FY 2017-18   FY 2017-18   Adopted   Variance
                                                      Actual      Budget     YE Proj.     Budget       ($)

                EXPENDITURES BY DIVISION:
                All Programs                        $      862,570  $       988,691  $      935,476  $    1,128,314  $    139,623
                Capital Improvements                        500,000           200,000          200,000           300,000        100,000
                Non-Departmental                            210,838           251,969          251,969           262,214          10,245

                 TOTAL                              $  1,573,408  $   1,440,660  $  1,387,445  $    1,690,528  $   249,868






                EXPENDITURES BY CATEGORY:
                Personnel services                  $      568,228  $       614,519  $      601,604  $       631,885  $      17,366
                Operations & maintenance                      84,147           157,350          126,800           161,000            3,650
                Services & other                            416,433           468,791          459,041           597,643        128,852
                Transfers to other funds                    500,000           200,000          200,000           300,000        100,000
                Capital outlay                                  4,600                    –                   –                     –                 –

                 TOTAL                              $  1,573,408  $   1,440,660  $  1,387,445  $    1,690,528  $   249,868

















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