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CAPITAL PROJECTS FUND 410

                                     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     Permits & Fees Building                                                   -                          -                          -                           -                           -  0%                         -    0%
                                   2     Permits & Fees Utility                                                    -                          -                          -                         -                             -  0%                         -    0%
                                   3     Fines & Forfeitures Court                                                 -                          -                          -                         -                             -  0%                         -    0%
                                   4     Investment Earnings                                                  30,095                     15,000                     3,000                       5,000                  (10,000)  -67%                     2,000  67%

                                   5     Contributions                                                           (565)                          -                          -                           -                           -  0%                           -  0%
                                   6     Donations                                                                 -                          -                          -                         -                           -    0%                           -  0%
                                   7     Misc Income                                                               -                          -                          -                         -                             -  0%                           -  0%



                                   8 Total Revenues                                                         29,530                   15,000                      3,000                     5,000                   (10,000)  -67%                     2,000  67%


                                   9     Transfers In                                                              -                          -                          -               1,000,000             1,000,000  #DIV/0!             1,000,000   #DIV/0!



                                  10     Other Sources                                                       (3,323)                          -                          -             3,353,602               3,353,602  100%             3,353,602  100%

                                  11 Total Other Sources                                                     (3,323)                          -                          -               4,353,602             4,353,602  100%             4,353,602  100%

                                  12            GRAND TOTAL REVENUES & OTHER SOURCES       $               26,207  $               15,000  $                   3,000  $         4,358,602  $           4,343,602  28957%  $           4,355,602  145187%

                                EXPENDITURES & OTHER USES
                                  13     Projects - Capital improvement                                1,293,500              1,113,830                919,130              2,491,720              1,377,890  124%              1,572,590  171%
                                  14     Projects - Maintenance & Replacement                                      -                          -                          -                          -                          -  0%                          -  0%

                                  15 Total Capital and Mainteance & Replacement                        1,293,500              1,113,830                 919,130               2,491,720             1,377,890  124%             1,572,590  171%

                                  16     Transfers Out                                                             -                          -                          -                          -                          -  0%                          -  0%
                                  17     Other Uses                                                                -                          -                          -                          -                          -  0%                          -  0%
                                  18 Total Transfers Out & Other Uses                                              -                          -                          -                         -                           -    0%                         -    0%
                                  19 SUB-TOTAL NON-OPERATING EXPENDITURES                  $           1,293,500  $         1,113,830  $             919,130  $         2,491,720   $           1,377,890  124%  $           1,572,590  171%

                                  20        GRAND TOTAL ALL EXPENDITURES & OTHER USES      $         1,293,500  $           1,113,830  $             919,130  $         2,491,720  $           1,377,890  124%  $         1,572,590  171%



                                SUMMARY
                                  21 EXCESS REVENUES OVER(UNDER) EXPENDITURES                          (1,267,293)              (1,098,830)               (916,130)              1,866,882              2,965,712  -270%              2,783,012  -304%


                                  22 FUND BALANCE, BEGINNING                                           2,708,144              1,440,851             1,440,851                 524,721                (916,130)  -                (916,130)  -
                                  23 FUND BALANCE, ENDING                                  $           1,440,851  $             342,021  $             524,721  $         2,391,603  $           2,049,582  599%  $           1,866,882  356%

                                  24     Restricted/Assigned/Committed Funds                           1,440,851                 342,021                524,721              2,391,603              2,049,582  599%              1,866,882  356%
                                  25 UNASSIGNED FUND BALANCE, ENDING                       $                      -  $                      -  $                      -  $                     -    $                     -    0%  $                     -    0%















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