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UTILITY MAINTENANCE & REPLACEMENT FUND 510

 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  Investment Earnings                     4,533                     1,750                    1,750                      1,750                         -    0%                         -    0%
 2  Contributions                         -                         -                         -                         -                         -    0%                           -  0%
 3  Donations                         -                         -                         -                         -                           -  0%                           -  0%
 4  Misc Income                         -                         -                         -                         -                           -  0%                           -  0%
 5 Total Revenues                     4,533                     1,750                     1,750                      1,750                         -    0%                         -    0%

 6  Transfer In from Fund 500 Utility Fund                         -                   30,000                  30,000                350,000                 320,000  1067%                 320,000  1067%
 7  Other Sources                         -                         -                         -                         -                         -    0%                         -    0%

 8 Total Transfers In and Other Sources                         -                    30,000                  30,000                350,000                 320,000  1067%                 320,000  1067%

 9  GRAND TOTAL REVENUES & OTHER SOURCES  $                  4,533  $              31,750  $              31,750  $           351,750  $            320,000  1008%  $            320,000   1008%

 EXPENDITURES & OTHER USES

 10  Services                   47,690                         -                         -                         -                          -  0%                          -  0%
 11  Supplies                         -                         -                         -                         -                          -  0%                          -  0%
 14 Operations and Maintenance                    47,690                         -                         -                        -                           -    0%                         -    0%
 15 SUB-TOTAL OPERATIONS and MAINTENANCE EXPENDITURES    $              47,690  $                     -  $                     -  $                    -    $                     -    0%  $                     -    0%

 17  Projects - Maintenance & Replacement                130,538                321,500                  59,500                514,000                 192,500  60%                 454,500  764%


 18 Total Capital and Mainteance & Replacement                130,538                321,500                    59,500                514,000                 192,500  60%                 454,500  764%
 19  Transfers out                         -                         -                         -                         -                          -  0%                          -  0%
 20  Other Uses                         -                         -                         -                         -                          -  0%                          -  0%
 21 Total Transfers Out and Other Uses                         -                         -                         -                        -                           -    0%                         -    0%

 22 SUB-TOTAL NON-OPERATING EXPENDITURES  $            130,538  $            321,500  $              59,500  $             514,000  $            192,500  60%  $            454,500  764%

 23  GRAND TOTAL ALL EXPENDITURES & OTHER USES  $            178,228  $            321,500  $              59,500  $             514,000  $              192,500  60%  $              454,500  764%

 SUMMARY
 24 EXCESS REVENUES OVER(UNDER) EXPENDITURES               (173,695)               (289,750)                (27,750)               (162,250)                 127,500  -44%                (134,500)  485%


 25 FUND BALANCE/WORKING CAPTIAL, BEGINNING                454,352                280,657                280,657                252,907                  (27,750)  -10%                  (27,750)  -10%



 26 FUND BALANCE/WORKING CAPITAL, ENDING  $            280,657  $               (9,093) $            252,907  $              90,657  $               99,750  -1097%  $             (162,250)  -64%

 27  Restricted/Assigned/Committed Funds                280,657                    (9,093)                252,907                   90,657                   99,750  -1097%                (162,250)  -64%

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













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