Page 71 - Manfield FY21 Budget
P. 71

Major Revenues




               GENERAL FUND

               City revenues are based on a combination of factors including analysis of historical revenue, anticipated
               changes in the local economic environment and projected growth and development throughout the City.
               The City of Mansfield also uses a variety of factors in determining the availability of revenue to fund
               operations throughout the  City,  including but not limited  to  qualitative and quantitative  revenue
               forecasting,  trend  analysis,  time series analysis, multi-year historical data, national, state and local
               economic  trends,  undeveloped  land, actual and proposed development, quantitative and qualitative
               factors including plats and building permits, and the Long Term Financial Plan.

               In FY 2020-2021, the City has aggressively estimated revenues based on current residential and
               commercial developments approved by City Council, robust economic development efforts and increased
               commercial and residential developments within the City. Development in the medical corridor and the
               southern portion of the City are expected to continue in FY 2020-2021. Residential and commercial
               property valuations have followed recent local, state and national trends.

                                   Actual       Actual       Actual       Budget       Budget
                 Description      2016-2017    2017-2018   2018-2019    2019-2020    2020-2021    Percent
                 Property Tax    $  27,006,899 $  29,975,619 $  33,966,794 $  39,607,046 $  41,077,151  3.71%
                 Sales Tax           10,988,730     11,797,895     12,772,346     13,167,875     13,733,261  4.29%
                 Franchise Fees        6,494,225       6,734,684       7,609,435       6,414,079       7,138,603  11.30%
                 Fines & Fees          2,198,449       2,351,638       2,229,651       2,059,279       2,093,639  1.67%
                 Permits               1,931,400       2,515,107       2,447,342       2,191,069       1,931,400  -11.85%
                 Transfers             1,562,352       1,968,843       2,201,911       1,905,711       2,295,947  20.48%
                 Other                 3,025,130       4,089,792       3,390,321       2,902,312       2,761,853  -4.84%

                 Total           $  53,207,185 $  59,433,579 $  64,617,800 $  68,247,371 $  71,031,853  4.08%
                 Percentage           -0.18%      11.70%        8.72%        5.62%        4.08%

               Total revenues appear to fluctuate year to year in the “Other” category due to unbudgeted collections such
               as contributions  and grants.  For example, in  FY 2016-2017, ambulance service and grant  proceeds
               account for 73% of the “Other” category. FY 2017-2018 includes $1,107,183 in bonds.

               A total of $71,031,853  is projected  in the General Fund for FY 2020-2021. This represents  a  4.08%
               increase over the FY 2019-2020 budget, or $2,784,482 in increased revenue. The assumptions used by the
               City to formulate the projected 2020-2021 budget are explained and illustrated on the pages that follow.
               The property tax rate is $0.69 in FY 2020-2021 and represents a 2 cent reduction in the property tax rate.











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