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COMBINED SUMMARY STATEMENT – THREE YEAR SUMMARY

 OPERATING FUNDS (GENERAL FUND AND DEBT SERVICE FUND)

 FY 2019-20, 2020-21, AND 2021-22




 GENERAL FUND  2019-20 ACTUAL  2020-21 ESTIMATED   2021-22 PROJECTED


 BEGINNING BALANCE  $                    8,001,014  $                    9,982,618  $                 11,437,039
      Revenues  20,902,888  21,790,552                   21,354,964

      Expenditures  (17,819,114)  (19,858,570)          (21,053,978)

      Net Transfers  (1,102,170)  (477,561)                 (300,000)

 ENDING BALANCE  $                    9,982,618  $                 11,437,039  $                 11,438,025


 DEBT SERVICE FUND  2019-20 ACTUAL  2020-21 ESTIMATED   2021-22 PROJECTED


 BEGINNING BALANCE  $                        345,129  $                        347,745  $                        456,758
      Revenues  462,633  481,185                             884,493

      Expenditures  (1,549,905)  (1,606,741)              (1,909,337)

      Net Transfers  1,089,888  1,234,569                  1,040,001

 ENDING BALANCE  $                        347,745  $                        456,758  $                        471,915



 TOTAL OPERATING FUNDS  2019-20 ACTUAL  2020-21 ESTIMATED   2021-22 PROJECTED


 BEGINNING BALANCE  $                    8,346,143  $                 10,330,363  $                 11,893,797
      Revenues                      21,365,521                      22,271,737                      22,239,457

      Expenditures                    (19,369,019)                    (21,465,311)                    (22,963,315)

      Net Transfers                             (12,282)                            757,008                            740,001

 ENDING BALANCE  $                 10,330,363  $                 11,893,797  $                 11,909,940











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