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DEBT SERVICE FUND 301

                               Program Summary
                               Fiscal Year 2022

                                                                                            Audited           Adopted          Revised          Proposed          FY 2022        Proposed          FY 2022        Proposed
                                                                                            Actuals            Budget           Budget           Budget                     vs                                vs
                                                                                            FY 2020            FY 2021         FY 2021           FY 2022          FY 2021        Adopted           FY 2021         Revised


                         REVENUES & OTHER SOURCES
                             1     General Sales Tax                                     $                        -  $                         -  $                         -  $                  -    $                      -    0%  $                       -   0%
                             2     Property Tax                                                          685,914                    632,381                    699,383          1,134,763                  502,382  79%                  435,380  62%



                             3     Contributions                                                                  -                             -                             -                        -                            -  0%                             -  0%
                             4     Donations                                                                      -                             -                             -                        -                            -  0%                           -    0%
                             5     Misc Income                                                                    -                             -                             -                        -                            -  0%                           -    0%


                             6 Total Revenues                                                            685,914                    632,381                   699,383            1,134,763                 502,382  79%                  435,380  62%
                             7     Transfer In                                                                    -                             -                             -                      -                            -    0%                           -    0%
                             8     Other Sources                                                                  -                             -                             -                        -                            -  0%                           -    0%
                             9 Total Transfers In and Other Sources                                               -                             -                             -                      -                            -    0%                           -    0%

                            10                GRAND TOTAL REVENUES & OTHER SOURCES                       685,914                    632,381                   699,383          1,134,763                   502,382  79%                   435,380  62%
                         EXPENDITURES & OTHER USES
                            11 Total Payroll and Related                                                          -                             -                             -                        -                          -    0%                           -    0%
                            12     Capital Outlay                                                                 -                             -                             -                       -                           -  0%                            -  0%
                            13     Debt Service                                                          579,340                    668,643                    740,488           1,242,856                  574,213  86%                   502,368  68%

                            14     Repair & Maintenance                                                           -                             -                             -                       -                           -  0%                            -  0%
                            15     Services                                                                      740                            440                           440                      880                          440  100%                           440  100%

                            16 Operations and Maintenance                                                580,080                    669,083                   740,928          1,243,736                 574,653  86%                  502,808  68%





                            17 SUB-TOTAL OPERATIONS and MAINTENANCE EXPENDITURES                         580,080                    669,083                   740,928            1,243,736                 574,653  86%                  502,808  68%
                            18     Projects - Capital improvement                                                 -                             -                             -                       -                           -  0%                            -  0%
                            19     Projects - Maintenance & Replacement                                           -                             -                             -                       -                           -  0%                            -  0%
                            20 Total Capital and Mainteance & Replacement                                         -                             -                             -                      -                            -    0%                             -  0%
                            21     Transfer Out                                                                   -                             -                             -                       -                           -  0%                            -  0%
                            22     Other Uses                                                                     -                             -                             -                       -                           -  0%                            -  0%
                            23 Total Transfers Out and Other Uses                                                 -                             -                             -                      -                            -    0%                           -    0%
                            24 SUB-TOTAL NON-OPERATING EXPENDITURES                                               -                             -                             -                        -                          -    0%                           -    0%


                            25            GRAND TOTAL ALL EXPENDITURES & OTHER USES                      580,080                    669,083                   740,928          1,243,736                   574,653  86%                  502,808  68%
                         SUMMARY
                            26 EXCESS REVENUES OVER(UNDER) EXPENDITURES                                  105,835                     (36,702)                    (41,545)             (108,973)                   (72,271)  197%                    (67,428)  162%


                            27 FUND BALANCE, BEGINNING                                                     44,683                    150,518                    150,518              108,973                   (41,545)  -28%                    (41,545)  -28%


                            28 FUND BALANCE, ENDING                                      $             150,518  $                113,816 $                108,973                         (0)  $            (113,816)  -100%  $             (108,973)  -100%




                            29     Restricted/Assigned/Committed Funds                                   150,518                    113,816                    108,973                         (0)                 (113,816)  -100%                   (108,973)  -100%

                            30 UNASSIGNED FUND BALANCE, ENDING                           $                       -  $                         -  $                         -                        -  $                      -    0%  $                       -   0%








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