Page 64 - City of DWG FY 2022-23 BUDGET
P. 64

141  -  BOND CAPITAL STREET FUND                      2020-21            2021-22                        2021-22                             2022-2023                Variance        Variance


                                                                                                                                                                                        FY 22/23        FY 22/23
                                                                                                                                                                       % Proposed      Proposed
                                                                                                                               VARIANCE                                                                Proposed
                                                                                                             YTD Actual +      Actual +       % of        Proposed     Budget    vs      Budget                      Budget
                                                                         ACTUAL              Budget                                                                     FY 21/22          vs
                                                                                                             Projected       Projected vs   Budget        Budget       Actual plus               FY 21/22                  vs
                                                                                                                               Budget                                                                   FY 21/22
                                                                                                                                                                                       Actual +
                                                                                                                                                                        Projected
            Account Number        Account Description                                                                                                                                  Projected        Budget
            00.4800               Other Revenue: Interest                                         66                             354                         7,059                     6,704  1992%                    13,885  197%                    6,826                     13,531
            Total Other Revenue                                      $                          66  $                         354  $                     7,059  $               6,704  0%  $                13,885  197%  $                6,826  $                  13,531
            00.4901               Bond Issuance                                         955,000                              -                             -                          -  0%                           -  0%                         -                             -
            00.4902               Premium on Bonds Issued                                 98,234                              -                               -                        -  0%                           -  0%                         -                             -
            Total Other Sources                                      $             1,053,234  $                          -  $                         -  $                   -    0%  $                      -    0%  $                    -  $                        -
            TOTAL REVENUE                                            $          1,053,301  $                      354  $                  7,059  $             6,704  0%  $             13,885  197%  $             6,826  $               13,531

            00.6602               Streets                                                       -                      500,000                       79,285              (420,715)  16%                  174,845  221%                  95,560                  (325,155)


            Total Capital Outlay                                     $                         -  $                 500,000  $                    79,285  $           (420,715)  0%  $             174,845  221%  $               95,560  $              (325,155)
            40.8100               Debt Related Costs                                      51,100                              -                               -                        -  0%                           -  0%                         -                             -
            Total Other                                              $                    51,100  $                          -  $                         -  $                   -    0%  $                      -    0%  $                    -  $                        -
            40.9700               Transfer Out                                            84,844                              -                       73,374                 73,374  0%                       3,000  4%                 (70,374)                        3,000
            Total Other Uses                                         $                    84,844  $                          -  $                    73,374  $             73,374  0%  $                  3,000  4%  $            (70,374) $                    3,000
            TOTAL EXPENDITURES                                       $             135,944  $                500,000  $             152,660  $       (347,341)  0%  $           177,845  116%  $           25,186 $            (322,155)


                      Revenue Over/(Under) Expenditures              $             917,356 $             (499,646) $            (145,601) $         354,045  $          (163,960)   $          (18,359) $             335,686
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