Page 121 - FINAL BUDGET WO DETAIL.pdf
P. 121

8-27-2021 11:33 AM                                        CITY  OF  WHITE  SETTLEMENT                                            PAGE:   60
                                                                  PROPOSED BUDGET
                                                               AS OF:  AUGUST 31ST, 2021
 07 -SPLASH DAYZ
 FACILITY SERVICES
                                                                                       (------- 2020-2021 --------)(------- 2021-2022 --------)
                                                2017-2018      2018-2019      2019-2020      CURRENT        Y-T-D      REQUESTED      PROPOSED
 EXPENDITURES                                     ACTUAL         ACTUAL         ACTUAL        BUDGET       ACTUAL        BUDGET        BUDGET
 ______________________________________________________________________________________________________________________________________________

 CAPITAL OUTLAY
  07-572-40-415 OTHER EQUIPMENT                          0              0             0             0             0         6,300         6,300
  07-572-40-425 POOLS/SLIDES/RIDES                       0              0             0             0             0       300,000             0
  07-572-40-450 DEPRECIATION EXPENSE                     0          5,254        12,606             0             0             0             0
    TOTAL CAPITAL OUTLAY                                 0          5,254        12,606             0             0       306,300         6,300
 ______________________________________________________________________________________________________________________________________________


    TOTAL FACILITY SERVICES                        176,363        354,549       236,467       368,847       327,101       849,125       610,285
   116   117   118   119   120   121   122   123   124   125   126