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8-27-2021 11:33 AM                                        CITY  OF  WHITE  SETTLEMENT                                            PAGE:  112
                                                                                      PROPOSED BUDGET
                                                                                   AS OF:  AUGUST 31ST, 2021
                     33 -INTERNAL SERVICE FUND

                                                                                                           (------- 2020-2021 --------)(------- 2021-2022 --------)
                                                                    2017-2018      2018-2019      2019-2020      CURRENT        Y-T-D      REQUESTED      PROPOSED
                     REVENUES                                         ACTUAL         ACTUAL         ACTUAL        BUDGET       ACTUAL        BUDGET        BUDGET
                     ______________________________________________________________________________________________________________________________________________


                     UTILITY CHARGES FOR SERV
                      33-400-50-591 LEASE PAYMENTS-GENERAL FUND              0              0       107,581        67,459        66,530       113,876       113,876
                      33-400-50-592 LEASE PAYMENTS- W/S FUND                 0              0        49,668        54,354        43,324        46,508        55,508
                      33-400-50-593 LEASE PAYMENTS - STORMWATER FU           0              0             0        11,045         8,424         9,545         9,545
                      33-400-50-598 LEASE PAYMENTS-CCPD FUND                 0              0       100,070        91,210        83,839       174,326       174,326
                        TOTAL UTILITY CHARGES FOR SERV                       0              0       257,319       224,068       202,118       344,255       353,255

                     INTEREST INCOME
                      33-400-60-601 INTEREST INCOME                          0              0         1,137             0            70             0             0
                        TOTAL INTEREST INCOME                                0              0         1,137             0            70             0             0

                     OTHER REVENUE
                      33-400-70-707 GAIN/(LOSS) ON SALES OF ASSETS           0              0           445             0             0             0             0
                      33-400-70-715 PROCEEDS FROM CAPITAL LEASE              0              0             0       115,494             0             0             0
                        TOTAL OTHER REVENUE                                  0              0           445       115,494             0             0             0

                     TRANSFERS
                      33-400-90-901 TRANSFER FROM GENERAL FUND               0              0             0             0             0     1,663,727     1,663,727
                      33-400-90-910 TRANSFER FROM STREET FUND                0              0             0             0             0     1,240,000     1,240,000
                        TOTAL TRANSFERS                                      0              0             0             0             0     2,903,727     2,903,727
                     ______________________________________________________________________________________________________________________________________________

                     TOTAL REVENUES                                          0              0       258,901       339,562       202,187     3,247,982     3,256,982
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