Page 60 - Dalworthington Gardens FY20 Approved Budget
P. 60

120-ENTERPRISE FUND SUMMARY



                     Beginning Net Position                                                      861,790          1,919,007          1,904,785        1,904,785       1,798,168

                                                                                                                                                           FY 18/19                   FY 19/20
                                                                                                                                                                        P
                                                                                                                  FY 18/19                 FY 19/20        Projected                   oposed Budget
                                                                                                                                                                         r
                                                  FY 13/14       FY 14/15       FY 15/16       FY 16/17       FY 17/18         FY 18/19
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                                                                                                                                                                          v
                                                                                                                                                                             /(
                                                                                                                                                                         O
                      REVENUE CATEGORY                                                                            Amended                 Proposed       Over/(Under)                                der)
                                                                                                                                                                           e
                                                  Actual       Actual       Actual       Actual       Actual                  Projected
                                                                                                                   Budget                  Budget          FY 18/19                                  Y 18/19
                                                                                                                                                                           F
                                                                                                                                                        Amended Budget     Projected
              Water/Sewer Sales & Fees                    1,219,464            1,073,419            1,133,983            1,492,984            1,583,936            1,443,422          1,417,408          1,687,648                        (26,014)                       270,240

              Charges for Services                           120,581                129,956                160,960                176,715                168,481                175,304             175,453             187,588                               149                          12,135
              Other Revenue                                     41,417                  32,902                  35,861                227,113                  45,368                  42,119               40,488                41,828                          (1,631)                            1,340
              Other Sources                                                                           838,644                154,563                        -                      -                         -                                 -                                 -
                        TOTAL REVENUE                     1,381,462            1,236,277            1,330,805            2,735,456            1,952,347            1,660,845          1,633,349          1,917,064                        (27,496)                       283,715
                                                                                                                                                           FY 18/19                   FY 19/20
                                                                                                                  FY 18/19                 FY 19/20        Projected                   oposed Budget
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                                                                                                                                                                         r
                                                                                        FY 16/17       FY 17/18                FY 18/19
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                                                                                                                                                                             /(
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                      EXPENSE CATEGORY                                                                            Amended                 Proposed       Over/(Under)                                der)
                                                                                                                                                                          v
                                                                                         Actual       Actual                  Projected
                                                                                                                                                                           F
                                                                                                                   Budget                  Budget          FY 18/19                                  Y 18/19
                                                                                                                                                        Amended Budget     Projected

              Personnel Salary & Wages                                                              192,183                249,076                222,353             221,504             236,524                             (849)                          15,020
              Personnel Taxes & Benefits                                                               92,833                106,291                  94,325               93,410             107,348                             (914)                          13,938
              Training & Travel                                                                             200                    1,050                    2,329                 2,329                  2,839                                   0                               511
              Materials & Supplies                                                                     20,046                  21,626                  33,796               33,318                15,694                             (478)                        (17,624)
              Utilities                                                                                27,653                  31,409                  34,530               29,651                23,208                          (4,880)                           (6,442)
              Bad Debt                                                                                 19,459                        -                         -                      -                         -                               -                                   -
              Maintenance                                                                              35,491                  10,227                  49,745               49,812                24,400                                 67                        (25,412)
              Consultants                                                                              10,141                  11,805                  12,950               12,776                13,348                             (174)                               572
              Contractual                                                                        1,089,439            1,135,478            1,247,905          1,062,699          1,112,087                       (185,207)                          49,388

              Other Expenses (includes Depreciation)                                                181,648                188,352                  73,980             230,328             272,917                       156,348                          42,590
              Other Uses                                                                                     -                211,254                    4,140                 4,140                14,583                                 -                          10,443


                       TOTAL EXPENSES                                                            1,669,093            1,966,569            1,776,054          1,739,966          1,822,949                        (36,088)                          82,983
                    REVENUE OVER EXPENSES                                                        1,066,363                 (14,222)              (115,209)            (106,617)                94,115                           8,592                       200,732

                    ENDING NET POSITION                                                       1,928,153          1,904,785          1,789,576       1,798,168       1,892,283
              Audit Retatement for OPED Liabiltity realized by the adoption of GASB 75                     (9,146)
                                                                                              1,919,007
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