Page 83 - Dalworthington Gardens FY20 Approved Budget
P. 83

142-BOND CAPITAL CITY HALL FUND SUMMARY



 Beginning Fund Balance                          -             2,008,750            1,995,548            1,995,548             1,780,497


                                                          F
                                            FY 18/19                   Y 19/20
                                                          Proposed
                                           Projected
 FY 18/19                 FY 19/20
                                                           Budget
 FY 16/17       FY 17/18       FY 18/19    Over/(Under)
 REVENUE CATEGORY  Amended   Proposed
 Actual  Actual  Projected                  FY18/19                                  r)
                                                        Over/(Unde
 Budget                    Budget
                                           Amended        FY18/19
                                            Budget        Projected
 Other Miscellaneous                     2,827                  31,028                  20,000                  44,000                  20,000                   24,000                 (24,000)
 Other Sources               2,093,123                    3,862                         -                          -                          -                          -                          -
 TOTAL REVENUE             2,095,949                  34,890                  20,000                  44,000                  20,000                   24,000                 (24,000)



                                                          F
                                            FY 18/19                   Y 19/20
                                                          Proposed
                                           Projected
 FY 18/19                 FY 19/20
 FY 16/17       FY 17/18       FY 18/19    Over/(Under)
                                                           Budget
 EXPENSE CATEGORY  Amended   Proposed
                                                        Over/(Unde
 Actual  Actual  Projected                  FY18/19                                  r)
 Budget                    Budget
                                           Amended        FY18/19
                                            Budget        Projected
 Capital Outlay                          -                   48,091             1,542,500                254,452             1,800,497            (1,288,048)             1,546,045
 Other Expenses                   87,199                         -                          -                          -                          -                          -                          -
 Other Uses                          -                          -                          -                     4,600                         -                     4,600                   (4,600)
 TOTAL EXPENSES                   87,199                  48,091            1,542,500                259,052             1,800,497            (1,283,448)             1,541,445

 REVENUE OVER EXPENSES             2,008,750                 (13,202)           (1,522,500)               (215,052)           (1,780,497)             1,307,448           (1,565,445)

 ENDING FUND BALANCE             2,008,750            1,995,548                473,048            1,780,497                         -
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