Page 281 - FortWorthFY22AdoptedBudget
P. 281

The Special Donations Fund is a special revenue fund for managing donation and similar
                gratuitous revenue received from outside entities and generally specified for particular purpose and for

                FY2022 shall  have receipts and appropriations as follows:



                 REVENUES
                            Donations                                                                $2,000,000
                                                                                                     $2,000,000

                 EXPENDITURES
                            Non-Departmental                                                         $2,000,000
                                                                                                     $2,000,000


                       The  Economic  Incentive  Fund  is  a special  revenue fund  for managing revenues generated from
                various  projects  that  meet  eligibility  under Section  9,  Technology  Company  Projects,  and  Section  14,

                Employment  Designated  Project  Fund,  in  the  Economic  Development  Program  Policy  for  Grants
                Authorized by Chapter 380.



                 REVENUES
                                Transfer from General Fund                                          $2,000,000
                                                                                                    $2,000,000

                 EXPENDITURES
                                Economic Development                                                $2,000,000
                                                                                                    $2,000,000


                       The Community Tree Planting Program Fund  is a special  revenue fund for managing revenues
                generated primarily from tree removal fees and gas revenues and  used for planting trees on public

                property in partnership with third parties and for FY2022 shall have receipts and appropriations as
                follows:



                 REVENUES
                                Use of Fund Balance/Net Position                                      $495,282
                                                                                                      $495,282

                 EXPENDITURES
                                Park and Recreation                                                   $480,282
                                Transfer to Capital Fund                                               $15,000
                                                                                                      $495,282








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             Ordinance No. 25073-09-2021
                                                                                                           Page 281 of 581
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