Page 52 - Dalworthington Gardens FY20 Approved Budget
P. 52

115-COURT SECURITY SUMMARY


                                      Beginning Fund Balance                                                         45,120                   13,676                13,676              11,442
                                                                                                                                                   FY 18/17                    FY 19/20
                                                                                                                 FY 18/19            FY 19/20     Projected                   oposed Budget
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                                                           FY 13/14       FY 14/15       FY 15/16       FY 16/17       FY 17/18       FY 18/19
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                                       REVENUE CATEGORY                                                          Amended             Proposed    Over/(Under)                                nder)
                                                                                                                                                              O
                                                                                                                                                                  (
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                                                            Actual     Actual    Actual     Actual     Actual               Projected
                                                                                                                  Budget              Budget       FY18/19                                  18/19
                                                                                                                                                                FY
                                                                                                                                                Amended Budget  Projected

                                   Fines & Fees                           15,317                  13,791                     9,841                  10,361                  11,386                  12,000               10,155             10,000                          (1,845)                               (155)
                                   Miscellaneous Revenue                                                          -                         166                        480                     425                   500                                (55)                                  75
                                   Other Sources                                                                                                                              -                                  -
                                        TOTAL REVENUE                     15,317                   13,791                     9,841                   10,361                   11,552                   12,480                10,580              10,500                          (1,900)                                 (80)
                                                                                                                                                   FY 18/17                    FY 19/20
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                                                                                                                 FY 18/19            FY 18/19     Projected                   oposed Budget
                                                                                                      FY 17/18              FY 18/19
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                                       EXPENSE CATEGORY                                                          Amended             Proposed    Over/(Under)                                nder)
                                                                                                                                                                  (
                                                                                                                                                              O
                                                                                                                                                                ve
                                                                                                       Actual              Projected
                                                                                                                                                                FY
                                                                                                                  Budget              Budget       FY18/19                                  18/19
                                                                                                                                                Amended Budget  Projected
                                   Personnel Salary & Wages                                                          40,116                     1,799                  3,303               1,763                            1,503                           (1,540)

                                   Personnel Taxes & Benefits                                                            2,801                        178                     238                   130                                 60                               (108)
                                   Training                                                                                  50                        625                      -                     -                              (625)                                 -
                                   Materials & Supplies                                                                     -                     3,500                  2,587                    -                              (913)                           (2,587)

                                   Other Expenses                                                                            30                         -                       -                     -                                -                                  -
                                   Capital Outlay                                                                           -                     6,000                  6,686                    -                               686                           (6,686)

                                   Other Uses                                                                               -                                                 -                                  -
                                        TOTAL EXPENSES                                                               42,996                   12,102                12,814                1,893                               712                          (10,921)
                                     REVENUE OVER EXPENSES                                                           (31,444)                        378                 (2,234)               8,607                          (2,612)                          10,841
                                      ENDING FUND BALANCE                                                            13,676                   14,053                11,442              20,049
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