Page 62 - FY 2021-22 ADOPTED BUDGET
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TEN YEAR COMPARISON OF REVENUES AND EXPENDITURES

                              OPERATING FUNDS (GENERAL FUND AND DEBT SERVICE FUND)

                              FY 2012-13 TO 2021-22

                                                                                                           Actual               Actual              Actual               Actual            Actual
                                                             Revenues by Source                           2012-13             2013-14              2014-15             2015-16            2016-17

                                               Ad Valorem Taxes                                       $     10,165,033    $     10,304,836     $     10,577,266    $     10,775,138     $     10,670,866
                                               Franchise Taxes                                             1,498,012           1,596,603            1,623,683           1,631,434           1,524,760
                                               Sales & Other Taxes                                         2,499,156           2,291,227            2,281,930           2,173,723           2,319,533
                                               Licenses                                                       35,614              35,113               69,415              98,713                1,577
                                               Permits and Filing Fees                                       238,331             281,242              410,778             515,236             661,986
                                               Fines and Forfeitures                                         682,919             675,477              809,654             802,523             826,297
                                               Use of Money and Property                                     114,896             110,076               86,607             106,167             147,018
                                               Revenue from Other Agencies                                   381,872             426,198              466,660             637,689             449,344

                                               Citizen Services                                              734,845             752,691              939,835             824,666             764,223
                                               Recreation Services                                            54,828              57,316               51,272              55,973               53,996
                                               Sale of Goods                                                  12,447              13,485               14,854              28,718               37,461
                                               Other Revenue                                                  95,170              72,528               87,292                2,155              45,930
                                               TOTAL REVENUE                                          $     16,513,121    $     16,616,790     $     17,419,249    $     17,652,135     $     17,502,992

                                                          Expenditures by Function

                                               General Government                                     $       1,815,478   $       1,935,476    $       1,796,930   $       1,814,921    $       2,003,291
                                               Staff Services                                                773,219             922,433              941,959             918,377           1,003,403
                                               Public Safety                                               8,295,673           8,240,355            8,541,857           9,362,889           9,987,972
                                               Public Services                                             2,896,465           2,898,717            3,065,344           3,181,993           3,386,576
                                               Community Development                                         734,109             741,534              738,076             763,599             916,164
                                               Debt Service                                                1,417,933           3,996,393            1,532,001           1,495,107             954,816
                                               TOTAL EXPENDITURES                                     $     15,932,877    $     18,734,908     $     16,616,167    $     17,536,886     $     18,252,222

                                               VARIANCE REVENUES VERSUS EXPENDITURES                  $          580,244    $      (2,118,118)    $          803,082  $          115,249  $         (749,230)
                                                           Other Financing Sources

                                               Transfers-In                                           $          956,596   $          960,316   $       1,567,560   $       1,060,504   $          458,203
                                               Transfers-Out                                                         -        (1,700,000)            (300,000)           (800,000)          (1,360,000)
                                               Adjustments                                                (2,596,383)            (72,756)                 868                     -                    -

                                               TOTAL OTHER FINANCING SOURCES (USES)                   $      (1,639,787)    $         (812,440)    $       1,268,428  $          260,504  $         (901,797)


                                               VARIANCE REVENUES VERSUS EXPENDITURES                  $      (1,059,543)    $      (2,930,558)    $       2,071,510  $          375,753  $      (1,651,027)

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