Page 81 - City of DWG FY 2022-23 BUDGET
P. 81

150  -  DEBT FUND  2020-21  2021-22  2021-22      2022-2023               Variance        Variance


                                                                           FY 22/23
                                                           % Proposed     Proposed         FY 22/23
                 VARIANCE                                                                 Proposed
                                                                                           Budget
  YTD Actual +   Actual +                     Proposed     Budget    vs      Budget
 ACTUAL   Budget              % of Budget                   FY 21/22          vs
 Projected     Projected vs                    Budget                                        vs
                  Budget                                   Actual plus               FY 21/22                 FY 21/22
                                                                           Act
                                                            Projected                  ual +    Budget
 Account Number  Account Description                                      Projected

 00.4000  Other Rev: Property-I&S Curr Year                310,700                        314,151                  316,311                      2,159  101%                   367,310  116%                   50,999                 53,158
 00.4005  Other Rev: Property-I&S Prior Year                     3,453                              500                          500                          -    100%                         500  100%                           -                        -


 Total Property Taxes  $             314,153  $                  314,651  $             316,811  $                  2,159  101%  $             367,810  116%  $              50,999  $             53,158
 00.4800  Other Revenue:Int from Invest                        369                              114                          856                          742  753%                      2,783  325%                     1,927                   2,669




 Total Other Revenue  $                     369  $                          114  $                     856  $                     742  753%  $                 2,783  325%  $                 1,927  $               2,669
 00.4900  Transfer In                     2,134                              -                           -                           -  0%                          -  0%                         -                          -
 00.4901  Proceeds from Bond Issuance                         -                               -                           -                           -  0%                          -  0%                         -                          -
 00.4902  Premium on Bonds Issued                         -                               -                           -                           -  0%                          -  0%                           -                        -
 Total Sources  $                2,134  $                           -  $                      -    $                      -    0%  $                     -    0%  $                     -  $                    -

 TOTAL REVENUE  $         316,656  $               314,765  $           317,667 $                2,902  101%  $          370,593  117%                52,926               55,827
 40.7838  C.O. 2014 Principal                  60,000                          60,000                    60,000                            -  100%                    60,000  100%                           -                        -
 40.7839  C.O. 2014 Interest                  51,625                          49,825                    49,825                            -  100%                    48,025  96%                    (1,800)                  (1,800)
 40.7840  G.O. 2017 Principal                  80,000                          80,000                    80,000                          -    100%                    85,000  106%                     5,000                   5,000

 40.7841  G.O. 2017 Interest                113,163                        111,563                  111,563                            -  100%                 109,913  99%                    (1,650)                  (1,650)
 40.7842  G.O. 2021 Principal                         -                         35,000                   35,000                          -  100%                    35,000  100%                           -                        -
 40.7843  G.O. 2021 Interest                         -                         29,310                   29,310                          -  100%                    29,306  100%                            (4)                          (4)


 Total Debt Expense  $             304,788  $                  365,698  $             365,698  $                      -    100%  $             367,244  100%  $                 1,546  $               1,546
 40.8100  Debt Related Costs                         -                               -                           -                           -  0%                          -  0%                           -                        -
 00.9700  Transfer Out                         -                               -                           -                           -  0%                          -  0%                           -                        -
 Total Other Uses  $                    -    $                           -  $                      -    $                      -    0%  $                     -    0%  $                     -  $                    -

 TOTAL EXPENDITURES  $         304,788  $               365,698  $           365,698  $                   -    100%  $          367,244  100%  $              1,546  $             1,546
 Revenue Over/(Under) Expenditures  $            11,868 $                (50,933) $            (48,031) $                2,902  $               3,349  $            51,380 $           54,282
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