Page 43 - City of DWG FY 2022-23 BUDGET
P. 43

115-COURT SECURITY SUMMARY



 BEGINNING FUND BALANE               13,676.7                    12,979                  22,050                    33,759                33,759              43,949  Variance Calculations



                                        FY 21/22                    FY 22/23
        FY 21/22                                                            FY 22/23
                                                      Proposed Budget
  FY 18/19        FY 19/20        FY 20/21       FY 21/22   TOTAL              FY 22/23   Actual + Projected                     Proposed Budget
 REVENUE CATEGORY    Proposed         Over/(Under)
                                                     Over/(Under)    FY
                                                                          Over/(Under)
 Actual   Actual   Actual   Budget  Actual plus   Budget   FY 21/22                                  al plus
                                                      21/22 Actu
        Projected                                                       FY 21/22 Budget
                                         Budget          Projected
 Fines & Fees                   11,092                  10,080                  12,795                  12,000               10,300             10,000                          (1,700)                           (300)        (2,000)  -20%
 Miscellaneous Revenue                        391                       258                       171                       200                       40                     51                             (160)                               11           (149)  -292%

 Other Sources                                                    -                              -              -

 TOTAL REVENUE                  11,483                    10,338                    12,966                  12,200                10,340              10,051                          (1,860)                           (289)       (2,149)  -21%





                                        FY 21/22                    FY 22/23
        FY 21/22                                                            FY 22/23
                                                      Proposed Budget
  FY 18/19        FY 19/20        FY 20/21       FY 21/22   TOTAL              FY 22/23   Actual + Projected                     Proposed Budget
 EXPENDITURE CATEGORY  Proposed       Over/(Under)
                                                     Over/(Under)    FY
 Actual   Actual   Actual   Budget  Actual plus   Budget   FY 21/22                                  al plus
                                                                          Over/(Under)
                                                      21/22 Actu
        Projected                                                       FY 21/22 Budget
                                         Budget          Projected
 Personnel Salary & Wages                     3,417                    1,181                        -                        598                      -                     571                             (598)                            571             (27)  -5%

 Personnel Taxes & Benefits                        247                          86                        -                           44                      -                      42                                (44)                               42                (2)  -5%
 Training                         -                         -                         -                     1,250                      -                    -                          (1,250)                             -        (1,250)

 Materials & Supplies                     2,731                        -                     1,256                        -                      150                   -                               150                           (150)             -
 Other Expenses                         -                         -                             2                        -                       -                    -                                -                              -              -
 Capital Outlay                     5,786                        -                         -                         -                       -                    -                                -                              -              -
 Other Uses                         -                         -                         -                                -                              -              -

 TOTAL EXPENDITURES                  12,180                     1,267                     1,258                     1,892                      150                   613                          (1,742)                            463        (1,279)  -208%

 REVENUE OVER EXPENDITURES                       (698)                    9,071                    11,707                  10,308                10,190                9,438                             (118)                           (752)           (870)  -9%


 ENDING FUND BALANCE                  12,979                  22,050                    33,759                  44,067                43,949              53,387
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