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WESTLAKE ACADEMY EXPANSION FUND 412


                                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                                                      33,706              15,000             15,000                5,000              (10,000)   -67%             (10,000)  -67%
                              5     Contributions                                                                  -                        -              50,000                    -                        -  0%               (50,000)  -100%
                              6     Donations                                                                      -                        -                      -                    -                        -  0%                     -    0%
                              7     Misc Income                                                                    -                        -                      -                      -                      -  0%                       -  0%
                              8 Total Revenues                                                               33,706              15,000             65,000                5,000              (10,000)  -67%               (60,000)  -92%
                              9     Transfer In from Fund 210 Economic Development                         280,000                    -                        -                    -                        -  0%                       -  0%
                             10     Other Sources                                                                  -                      -                        -                    -                        -  0%                       -  0%
                             11 Total Transfers In and Other Sources                                       280,000                      -                    -                      -                       -    0%                     -    0%



                             12                GRAND TOTAL REVENUES & OTHER SOURCES              $       313,706  $          15,000 $          65,000  $             5,000  $         (10,000)  -67%  $         (60,000)  -92%
                           EXPENDITURES & OTHER USES
                             13     Projects - Capital improvement                                                 -                      -                      -                        -                      -  0%                     -    0%
                             14     Projects - Maintenance & Replacement                                           -                        -                    -                        -                      -  0%                       -  0%
                             15 Total Capital and Mainteance & Replacement                                         -                      -                      -                      -                         -  100%                     -    0%
                             16     Transfers Out to Fund 100 General Fund                                         -                      -                        -                      -                      -  0%                      -  0%
                             17     Transfers Out to Fund 411 A&S Building                                 100,000            250,000        1,250,000            250,000                      -  0%          (1,000,000)  -80%
                             18 Total Transfers Out & Other Uses                                           100,000            250,000        1,250,000           250,000                        -  0%        (1,000,000)  -80%


                             19 SUB-TOTAL NON-OPERATING EXPENDITURES                             $         100,000  $       250,000 $    1,250,000  $       250,000  $                   -  100%  $    (1,000,000)  -80%

                             20           GRAND TOTAL ALL EXPENDITURES & OTHER USES              $         100,000  $         250,000 $    1,250,000  $       250,000  $                 -    100%  $    (1,000,000)  -80%
                           SUMMARY

                             21 EXCESS REVENUES OVER(UNDER) EXPENDITURES                                   213,706          (235,000)      (1,185,000)            (245,000)              (10,000)  4%             940,000  -79%



                             22 FUND BALANCE, BEGINNING                                                  2,798,212        3,011,918        3,011,918          1,826,918         (1,185,000)  -39%        (1,185,000)  -39%

                             23 FUND BALANCE, ENDING                                             $    3,011,918   $    2,776,918 $    1,826,918    $    1,581,918   $    (1,195,000)  -43%        $       (245,000)  -13%


                             24     Restricted/Assigned/Committed Funds                                  3,011,918        2,776,918        1,826,918        1,581,918          (1,195,000)  -43%            (245,000)  -13%
                             25 UNASSIGNED FUND BALANCE, ENDING                                  $                -  $                -  $                -  $                -  $                   -  0%  $                 -    0%











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