Page 18 - PowerPoint Presentation
P. 18

•  Support of public health expenditures and negative economic impacts caused by the pandemic
                    •  Revenue replacement for specific governmental services relative to the pandemic
                    •  Investments in water, sewer, and broadband infrastructure
                    •  Premium pay for essential workers

                                               GENERAL FUND REVENUES

                                        Permits & Fees
                                           Building
                                             24%                         General Sales
                                                                             Tax
                                                                             42%


                                           All Other
                                           Revenue       Property Tax
                                             18%             16%


                 EXPENDITURES
                 Budgeted to be $14M in all expenditures and other uses. This reflects a 41% increase of $4.1M from
                 the prior year revised, with the majority of this increase from transfers out.

                 The largest expenditure in the proposed General Fund budget is allocated to  payroll  and related
                 benefits. This amount is budgeted to be $5.2M and comprises 37% of General Fund total expenditures
                 and other uses.  This includes a 3% increase in payroll for municipal employees.

                 The second largest expenditure is operations and maintenance. This amount is budgeted at $4.8M,
                 comprising 34% of General Fund total expenditures and other uses.  This reflects a 5% increase of
                 $217K when compared to prior year revised.  The operations and maintenance costs consist of the
                 dollars necessary to provide our public services.

                 The third type of expenditure is transfers out. This amount is budgeted at $4M. This is a 3.9M increase of
                 prior year and consists of a transfer out to the General Maintenance and Replacement Fund, Vehicle
                 Maintenance and Replacement Fund, Visitor Association Fund, and Capital Project Funds.

                                            GENERAL FUND EXPENDITURES







                                                   Transfers Out
                                                       28%     Total Payroll and
                                                                Related 37%


                                                      Operations and
                                                       Maintenance
                                                           34%






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