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COMBINED SUMMARY STATEMENT

                              OPERATING FUNDS (GENERAL FUND AND DEBT SERVICE FUND)

                              FY 2021-22





                                                                                                                                           OPERATING FUNDS



                                                                                                                                                      Debt                          Total

                                                                                                                      General                       Service                     Operating

                                                                                                                        Fund                          Fund                         Funds




                                                    BEGINNING FUND BALANCE                                        $     11,437,039              $           456,758           $     11,893,798



                                                    REVENUES AND TRANSFERS IN

                                                         Revenues                                                     21,354,964                        884,493                   22,239,457
                                                         Transfers In                                                                    -           1,040,001                     1,040,001

                                                    TOTAL REVENUES AND TRANSFERS IN                               $     21,354,964              $       1,924,494             $     23,279,458




                                                    EXPENDITURES AND TRANSFERS OUT
                                                         Expenditures                                                 21,053,978                     1,909,337                    22,963,315

                                                         Transfers-Out                                                    300,000                                      -              300,000

                                                    TOTAL EXPENDITURES AND TRANSFERS OUT $                            21,353,978                $       1,909,337             $     23,263,315



                                                    NET CHANGE TO FUND BALANCE                                    $                    986      $             15,157          $             16,143




                                                    ENDING FUND BALANCE                                           $     11,438,026              $           471,915           $     11,909,941










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