Page 25 - Dalworthington Gardens FY21 Budget
P. 25

110 - GENERAL FUND                                                                             09/17/2020






 GENERAL FUND DETAILS
 2018-19  2019-20  2019-20  2019-20  2020-21   FY 20/21
                                           Budget
                                             vs
                               % of         FY 19/20
  Original    Amended    Over/(Under)   % of   Projected         Projected
 Dept  Account Number  Account Description  ACTUAL  Adopted Budget   Budget   Actual/Projected  Amended Budget   Budget   Proposed       FY 2019-20
 60  7215  Contractual:Filing Fees                               500                           -                           100 $                           100 $                            -  100%                                    -  0%                        (100)
 60  7300  Contractual:Computer System                            2,699                           -                           -    $                       1,078   $                       1,078   0%                                      22  2%                    (1,056)
 60  7305  Contractual:Copy Machine                            1,277                           -                           -    $                            -  $                            -  0%                                    -  0%                          -
 60  7410  Contractual:Animal Control                                -                             -                             -  $                            -  $                            -  0%                                    -  0%                          -
 60  7415  Contractual:Contract Labor                                -                             -                           -    $                            -  $                            -  0%                                    -  0%                          -
 60  7420  Contractual:Animal Control Vet                                -                           -                             -    $                            -  $                            -  0%                                1,000  0%                      1,000
 60  7440  Contractual:Janitor Services                               421                           -                           -    $                            -  $                            -  0%                                    -  0%                          -
 60  7505  Contractual:Liability Insurance                            3,194                      1,449                      1,449 $                        1,366 $                            (83)  94%                                1,860  136%                         494
 60  7510  Contractual:Worker's Compensation                            2,068                          956                          956 $                        1,398 $                           442  146%                                1,654  118%                         256
 60  7600  Contractual:Refuse Collection                            6,055                      6,000                      6,000 $                        3,668 $                      (2,332)  61%                                1,600  44%                      (2,068)
 60  7601  Contractual:Animal Disposal                                -                             -                             -  $                            -  $                            -  0%                                    -  0%                          -
 Public Works  Total Contractual                         16,215  $                   8,405  $                   8,505  $                       7,609  $                         (895)  402%                                6,136  81%                    (1,474)



 60  8010  Other:Membership&Dues                                -                           -                               -  $                            -  $                            -  0%                                    -  0%                          -
 60  8020  Other:Meetings                                -                             -                           -    $                            -  $                            -  0%                                    -  0%                          -
 60  8028  Other:Cell Phone Reimbursement                                -                             -                             25 $                             25 $                            -  100%                                    -  0%                          (25)
 60  8070  Other:Miscellaneous                                -                             -                           -    $                           147 $                           147  0%                                   100  68%                          (47)

 Public Works  Total Other                                -                           -                               25  $                           172  $                           147  688%                                   100  58%                          (72)
 60  9010  Capital Outlay:Computer/Off Eq                            1,625                           -                           -    $                            -  $                            -  0%                                    -  0%                          -
 60  9350  Capital Outlay:Equipment                               482                           -                       1,824 $                        4,224 $                        2,400  232%                                    -  0%                    (4,224)

 Public Works  Total Capital Outlay                            2,107                           -                         1,824  $                       4,224   $                       2,400  232%                                    -  0%                    (4,224)
 Public Works  TOTAL EXPENSES                   136,260               113,534               135,439                   109,170                    (26,269)  81%                      159,459  146%                50,289


 40  9700  Transfer Out to Reserve                       224,943                  150,000                  125,000  $                    125,712  $                          712  101%                             60,000  48%                  (65,712)
 40  9700  Transfer Out                          18,200                    10,000                    10,000  $                     10,000  $                             -  100%                               10,000  100%                          -

 40  9700  Transfer Out to Fire Truck Fund                       100,000                    25,000                    25,000  $                           -    $                   (25,000)  0%                                    -  0%                          -





 Other Uses  Total Other Uses                       343,143                  185,000                  160,000  $                  135,712  $                   (24,288)  85%                             70,000  52%                  (65,712)

 TOTAL EXPENSES                    3,259,889               3,329,791               3,277,639                    3,793,244  $                   515,605  116%                       3,350,081  88%                (443,163)
































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