Page 124 - FY 2021-22 ADOPTED BUDGET
P. 124

GENERAL FUND

                              TEN YEAR SUMMARY OF REVENUES AND EXPENDITURES

                              FY 2012-13 TO 2021-22



                                                                                                                                                                               Variance
                                                                                                      Actual            Actual            Actual           Estimated          Favorable            Budget
                                                        Revenues by Source                           2017-18           2018-19            2019-20           2020-21         (Unfavorable)          2021-22
                                         Ad Valorem Taxes                                          $      11,312,436  $      12,076,838  $      13,172,607  $      13,788,662  $              303,902  $      14,092,564
                                         Franchise Taxes                                                     1,399,945            1,546,789            1,444,339            1,417,165                     (7,165)            1,410,000
                                         Other Taxes                                                         2,456,901            2,895,454            3,315,099            3,254,600                        (100)            3,254,500
                                         Licenses                                                                    1,445                  26,808                  15,463                  12,400                     (2,000)                  10,400
                                         Permits and Filing Fees                                                444,173               676,545               638,656               379,160                       9,340               388,500
                                         Fines and Forfeitures                                                  748,566               687,162               669,883               621,300                     29,700               651,000
                                         Use of Money and Property                                              173,905               254,723               150,384                  89,000                  101,000               190,000
                                         Revenue from Other Agencies                                            422,003               556,195               540,257               530,000                   (60,000)               470,000
                                         Citizen Services                                                       821,516               697,744               849,834               785,000                           -               785,000
                                         Recreation Services                                                       48,625                  50,719                  53,262                  63,000                     (9,000)                  54,000
                                         Sale of Goods                                                             29,322                  27,001                  14,601               814,264                 (790,264)                  24,000
                                         Other Revenue                                                             77,506                (31,012)                  38,504                  36,000                   (11,000)                  25,000
                                         TOTAL REVENUE                                             $      17,936,343  $      19,464,966  $      20,902,888  $      21,790,551     $             (435,587)    $      21,354,964
                                                      Expenditures by Division
                                         General Government                                        $        1,982,517  $        2,156,889  $        2,160,934  $        2,485,560  $                34,889  $        2,520,449
                                         Staff Services                                                1,016,521          1,200,743         1,069,757         1,149,418              74,153          1,223,571
                                         Public Safety                                                10,268,960         10,431,134         9,669,200        10,934,412             801,936         11,736,348
                                         Public Services                                               3,402,292          3,835,985         4,108,396         4,452,167             251,441          4,703,608
                                         Community Development                                           739,384           757,961            810,827           837,013              32,989           870,002
                                         TOTAL EXPENDITURES                                        $      17,409,674  $      18,382,712  $      17,819,114  $      19,858,570  $           1,195,407  $      21,053,978


                                         EXCESS OF REVENUES OVER (UNDER) EXPENDITURES              $           526,669  $        1,082,254  $        3,083,775  $        1,931,981     $         (1,630,995)    $           300,986

                                                       Other Financing Sources

                                         Transfers                                                    (2,000,000)         (993,551)          (150,000)         (477,561)            177,561           (300,000)
                                         Unappropriated Reserves                                                   (2,266)              (714,804)              (952,170)                        -                           -                        -
                                         TOTAL OTHER FINANCING SOURCES (USES)                      $      (2,002,266)  $      (1,708,355)  $      (1,102,170)  $          (477,561)    $              177,561  $          (300,000)

                                         EXCESS OF REVENUES AND OTHER SOURCES
                                         OVER (UNDER) EXPENDITURES                                 $      (1,475,597)  $          (626,101)  $        1,981,605  $        1,454,420     $         (1,453,434)    $                   986











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