Page 116 - FY 2021-22 ADOPTED BUDGET
P. 116

LONG RANGE-FINANCIAL FORECAST

 ESTIMATED AND ACTUAL REVENUES, EXPENDITURES, AND OTHER SOURCES (USES)
 FY 2019-20 TO 2026-27







 Actual  Estimated  Adopted  Projected  Projected  Projected  Projected  Projected
 2019-20  2020-21  2021-22  2022-23  2023-24  2024-25  2025-26          2026-27
 BEGINNING BALANCE  $       8,789,748  $     10,690,643  $     11,364,412  $     11,287,656  $     11,605,806  $     12,365,908  $     13,224,460  $     14,185,381

 REVENUES
 Ad Valorem Taxes  $      13,635,240   $      14,269,848   $      14,977,057  $      15,501,254  $      16,043,798  $      16,605,331  $      17,186,517  $      17,788,045
 Franchise Taxes  1,444,339  1,417,165  1,410,000  1,438,200  1,466,964  1,496,303  1,526,229  1,556,754
 Sales & Other Taxes  3,315,099  3,254,600  3,250,000  3,315,000  3,381,300  3,448,926  3,517,905  3,588,263
 Licenses & Permits  638,656  379,160    388,500  398,213  408,168  420,413  433,025  446,016

 Fines & Forfeitures  669,883  621,300    651,000  667,275  690,630  711,349  732,689  754,670
 Money & Property  150,384  89,000    190,000  194,750  197,671  203,601  209,709  216,001
 Revenue from Other Agencies  540,257  530,000    470,000  481,750  494,998  509,848  525,144  540,898
 Service Charges  849,834  785,000    785,000  804,625  826,752  851,555  877,101  903,414
 Other Revenues  38,504  36,000    25,000  25,625  26,330  27,120  27,933    28,771
 Transfers-In  1,189,888  1,257,008            1,040,001  331,485  338,485  340,119  74,444  76,515

 TOTAL REVENUES  $     22,472,084  $     22,639,081  $     23,186,558  $     23,158,176  $     23,875,096  $     24,614,564  $     25,110,697  $     25,899,347

 TOTAL AVAILABLE  $     31,261,832  $     33,329,724  $     19,535,298  $     34,445,832  $     35,480,902  $     36,980,472  $     38,335,157  $     40,084,728

 EXPENDITURES
 General Government  2,160,934  2,485,560  2,520,449    2,596,062    1,673,944  1,724,163  1,775,888  1,829,164
 Staff Services  1,069,757  1,149,418  1,223,571  1,260,278  1,298,086  1,337,029  1,377,139  1,418,454
 Public Safety  9,669,200  10,934,412  11,736,348  12,088,438  12,451,092  12,824,624  13,209,363  13,605,644

 Public Services  4,108,396  4,452,167  4,703,608  4,844,716  4,990,058    5,139,759  5,293,952  5,452,771
 Community Development  810,827  837,013  870,002  896,102  922,985  950,675  979,195  1,008,571
 Debt Service  1,549,905    1,606,741  1,909,337  904,429  1,528,829  1,529,763  1,264,238  1,265,659
 Transfers and Other Uses  1,202,170  500,000  300,000  250,000  250,000  250,000  250,000  250,000

 TOTAL EXPENDITURES  $     20,571,188  $     21,965,311  $     23,263,315  $     22,840,026  $     23,114,994  $     23,756,013  $     24,149,775  $     24,830,262
 ENDING BALANCE  $     10,690,643  $     11,364,412  $     11,287,656  $     11,605,806  $     12,365,908  $     13,224,460  $     14,185,381  $     15,254,466




 100
   111   112   113   114   115   116   117   118   119   120   121