Page 5 - Lakeside FY22 Operating Budget
P. 5

Utility - Water / Sewer
                                                          Revenue
                                              Account / Description

                                600-00- 5413 Late Charges                            11,000
                                600-00- 5437 Returned Check Fees                        700
                                600-00- 5440 Sanitation Fees                        135,000

                                600-00- 5441 Sewer Charges                           61,000
                                600-00- 5446 Water Sales                            745,500
                                600-00- 5447 Water Taps, Connections & Extensions      7,500
                                600-00-5448 Connections                                5,000
                                600-00-5530 Stormwater Management Fee                14,440
                                600-00- 5690 Miscellaneous Revenue                     4,000
                                600-00- 5699 Fund Balance Reserve                   106,216
                                                                  Water Revenues  1,090,356























































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