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GENERAL VEHICLE MAINTENANCE & REPLACEMENT FUND 605

 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                   10,870                      3,000                     3,000                       2,000                      (1,000)  -33%               (1,000)  -33%

 2  Contributions                          -                          -                 187,500                         -                             -  100%           (187,500)  100%
 3  Donations                          -                          -                          -                         -                             -  0%                     -  0%

 4  Misc Income                          -                          -                   45,000                           -                           -  0%             (45,000)  -100%



 5 Total Revenues                   10,870                      3,000                 235,500                     2,000                    (1,000)  -33%            (233,500)  -99%
 6  Transfer In from Fund 100 General Fund                          -                          -                   75,000             1,000,000             1,000,000  100%            925,000  1233%




 7  Other Sources                          -                          -                          -                         -                             -  0%                     -  0%
 8 Total Transfers In and Other Sources                          -                          -                     75,000             1,000,000             1,000,000  100%            925,000  1233%





 9  GRAND TOTAL REVENUES & OTHER SOURCES  $               10,870  $                 3,000  $             310,500  $         1,002,000  $            999,000  33300%  $       691,500   223%
 EXPENDITURES & OTHER USES
 22  Repair & Maintenance                          -                          -                          -                           -                          -  0%                     -  0%
 23  Services                          -                          -                          -                         -                            -  0%                     -  0%
 27 Operations and Maintenance                          -                          -                          -                           -                         -    0%                     -  0%
 28 SUB-TOTAL OPERATIONS and MAINTENANCE EXPENDITURES    $                      -  $                      -  $                      -  $                       -  $                     -    0%  $                -    0%

 11  Projects - Maintenance & Replacement                   81,090                     18,000                         -                 163,000                 145,000  806%            163,000  100%

 12 Total Capital and Mainteance & Replacement                   81,090                   18,000                          -                 163,000                 145,000  806%            163,000  100%


 13  Transfers Out                          -                          -                          -                           -                          -  0%                     -  0%
 14  Other Uses                          -                          -                          -                         -                            -  0%                     -  0%
 15 Total Transfers Out and Other Uses                          -                          -                          -                         -                             -  0%                     -  0%

 16 SUB-TOTAL NON-OPERATING EXPENDITURES  $               81,090  $               18,000  $                      -  $              163,000  $            145,000  806%  $         163,000  100%

 17  GRAND TOTAL ALL EXPENDITURES & OTHER USES  $               81,090  $               18,000  $                      -  $            163,000  $              145,000  806%  $         163,000  100%

 SUMMARY
 18 EXCESS REVENUES OVER(UNDER) EXPENDITURES                  (70,220)                  (15,000)                310,500                 839,000                 854,000  -5693%              528,500  170%


 19 FUND BALANCE, BEGINNING                 926,191                 855,972                855,972              1,166,472                 310,500  36%            310,500  36%

 20 FUND BALANCE, ENDING  $             855,972  $             840,972  $         1,166,472  $         2,005,472  $         1,164,500  138%  $       839,000  72%




 21  Restricted/Assigned/Committed Funds                 855,972                 840,972             1,166,472              2,005,472              1,164,500  138%              839,000  72%
 22 UNASSIGNED FUND BALANCE, ENDING  $                      -  $                      -  $                      -  $                     -    $                     -    0%  $                -    0%













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