Page 291 - FY 2021-22 ADOPTED BUDGET
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DEBT SERVICE FUND

                              SUMMARY OF REVENUES AND EXPENDITURES

                              FUND BALANCE SUMMARY
                              FY 2021-22

                                                                                                                                                                                              FY 2021-22
                                                                                                                                                                                                 BUDGET

                                        BEGINNING BALANCE                                                                                                                                    $         456,758

                                       REVENUES

                                           Ad Valorem Taxes                                                                                                                 884,493

                                           Use of Money & Property                                                                                                                        -

                                        TOTAL REVENUES                                                                                                                                                  884,493

                                        TOTAL FUNDS AVAILABLE                                                                                                                                $     1,341,251

                                       EXPENDITURES

                                           Bond Principal Retirements                                                                                                     1,370,000
                                           Certificate of Obligation Retirements                                                                                                       -

                                           Long-Term Note Retirements                                                                                                                  -

                                           Interest Expenses                                                                                                                535,537
                                           Agent Fees and Other Expenditures                                                                                                    3,800

                                        TOTAL EXPENDITURES                                                                                                                                           1,909,337

                                        AVAILABLE OVER (UNDER) EXPENDITURES                                                                                                                  $       (568,086)

                                       OTHER FINANCING SOURCES (USES)

                                           Transfers-In                                                                                                                   1,040,001

                                           Transfers-Out                                                                                                                                -

                                        TOTAL OTHER FINANCING SOURCES (USES)                                                                                                                         1,040,001

                                        ENDING BALANCE                                                                                                                                       $         471,915



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