Page 98 - Dalworthington Gardens FY20 Approved Budget
P. 98

180-PRFDC FUND SUMMARY



                                       Beginning Fund Balance                    537,672                555,140             555,140            547,784


                                                                                                                              FY 18/19          FY 19/20
                                                                                  FY 18/19                  FY 19/20          Projected                   roposed Budget
                                                                                                                                            P
                                                                   FY 17/18                    FY 18/19
                                         REVENUE CATEGORY                        Amended                    Proposed             vs                                 vs
                                                                    Actual                     Projected
                                                                                                                                                  18/
                                                                                  Budget                     Budget           FY18/19                      19
                                                                                                                                                FY
                                                                                                                           Amended Budget      Projected

                                   Sales & Use Tax                             199,320                  95,033             103,396            103,839    8,362    444
                                   Other Revenue                                  12,643                114,720               11,870               74,754    (102,850)    62,884
                                   Other Sources                          -              -            -                  20,548        -                20,548
                                           TOTAL REVENUE                         211,963                209,753             115,266            199,142    (94,487)  83,876



                                                                                                                              FY 18/19          FY 19/20
                                                                                  FY 18/19                  FY 19/20          Projected                   roposed Budget
                                                                                                                                            P
                                                                   FY 17/18                    FY 18/19
                                         EXPENSE CATEGORY                        Amended                    Proposed             vs                                 vs
                                                                    Actual                     Projected
                                                                                                                                                  18/
                                                                                  Budget                     Budget           FY18/19                      19
                                                                                                                                                FY
                                                                                                                           Amended Budget      Projected
                                   Personnel Salary & Wages                       13,965                  22,644               23,669               23,340    1,026    (330)
                                   Personnel Taxes & Benefits             6,897                  11,685               11,682               11,732    (3)    49

                                   Training & Travel                        382           500         -             675               (500)               675
                                   Materials & Supplies                   6,967           600                 8,439    500             7,839          (7,939)


                                   Utilities                              8,526          8,032                 6,982                 6,463  (1,050)     (519)

                                   Maintenance                                    24,559                  10,000               22,918                 9,000    12,918    (13,918)
                                   Consultants                                    79,118                  20,000                 4,800               18,000    (15,200)    13,200
                                   Contractual                              480          2,824                 2,766                 5,772    (57)       3,006
                                   Other Expenses                                 17,332                  15,700                 6,364               12,300    (9,336)  5,936

                                   Capital Outlay                                 35,925                158,400               35,000            121,108    (123,400)    86,108
                                   Other Uses                               344          -            -            -                   -                 -
                                          TOTAL EXPENSES                         194,495                250,385             122,621            208,889  (127,763)  86,268


                                       REVENUE OVER EXPENSES                      17,468                (40,631)                (7,356)                (9,748)    33,276  (2,392)



                                       ENDING FUND BALANCE                     555,140                514,508             547,784            538,036
   93   94   95   96   97   98   99   100   101   102   103