Page 27 - Kennedale Budget FY21
P. 27
TOTAL REVENUE SUMMARY BY FUND
$169,624
0.78%
GENERAL FUNDS
$8,296,992
$6,107,210 38.08%
28.03% GENERAL DEBT SERVICE
FUND
WATER AND SEWER FUNDS
$21.7M EDC4B FUNDS
$724,440 CAPITAL PROJECT FUNDS
3.33%
SPECIAL REVENUE FUNDS
$4,843,211
22.23% $1,644,815
7.55%
FUND STRUCTURE
SPECIAL
REVENUE FUND
EDC
OTHER GENERAL
FUND (STREETS)
BUDGET FUNDS GENERAL FUND
WATER/SEWER
FUND
DEBT SERVICE FUND
CAPITAL PROJECTS FUND
1 9