Page 4 - Dalworthington Gardens FY20 Approved Budget
P. 4

City of Dalworthington Gardens
        FY 19/20 Proposed Budget
        Fund Balance Recap
                                                                          Assigned  Assigned  Restricted  Restricted  Restricted  Restricted  Restricted  Restricted  Restricted  Restricted  Restricted Restricted Restricted
                                          110     111    140    TOTAL       112     207        141      142     150     145       115       118     130     143     180     185    208        120
                                                  Gas   CDBG              Fire Truck   Vol Fire   2017 Bond  2017 Bond                     Court           Street                          Enterprise
                                      General Fund  Reserve  Capital  GEN FUND  Fund  Fund   Streets  City Hall  Debt  Grant Fund Court Security Automation Park Fund (Sales Tax)   PRFDC  CCPD  Seizure  Fund

        Fund Balance Projected for FY 18/19             539,583      229,199              -         768,782            100,000            1,243           112,972          1,780,497         95,688    1                 11,442          114,885           20,548           63,886       547,784         59,939           6,290         1,781,315




        Budgeted Revenue                         3,330,531      156,000     213,407        3,699,938             27,500            4,800               2,000             20,000       320,756               2,736                 10,500             18,200               -          104,339       199,142       217,878  -      1,917,064









        Budgeted Expenses                      3,329,791              -     213,407      3,543,198                   -            2,500             48,824          1,800,497       303,038             2,736    1,893             21,953         20,548          40,000       208,889       238,534  -      1,822,949



        Budget Revenue Over (Under) Expenses  741      156,000              -          156,741             27,500          2,300            (46,824)       (1,780,497)        17,719                   -  8,607               (3,753)        (20,548)          64,339         (9,748)       (20,656)  -    94,115






        Fund Balance Projected for FY 19/20             540,324      385,199              -         925,523            127,500          3,543             66,148  -      113,407  1                    20,049           111,133                 -        128,225         538,036         39,283           6,290         1,875,430




                                                                                                                                                                                              120
                                                                                                                                                                                           Enterprise
                                                                                                                                                                                            Capital
        Non-Spendable (prepaids)                                        12,872                                                                                                              Budget


        Un-assigned Fund Balance                                      912,651                                                                    Cash Beginning Balance (Unrestricted)               (142,914)
        Budgeted Expenses                                          3,543,198                                                                     Revenue over Expenses                                 94,115


        Less non-operating expenses                                  (406,023)                                                                   Add back depreciation  (non-cash expense)            155,506
        Budgeted operating expenses                                3,137,175                                                                     Capital Outlay-Computer/Off Eq                         (1,064)

        Daily budgeted operating expenses                                  8,595                                                                 Capital Outlay - Water System                       (225,000)
        Operating Days of Fund Balance                                        106                                                                Capital Outlay - Equipment                      -
                                                                                                                                                 Use of restricted funds for growth project            143,000
                                                                                                                                                 Cash Ending Balance (Unrestricted)                    23,643
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