Page 89 - City of DWG FY 2022-23 BUDGET
P. 89

180 - PARK & RECREATION FACILITY
 DEVELOPMENT CORPORATION  2020-21  2021-22  2021-22  2021-22  2022-23   Variance    Variance

                                                                FY 22/23       FY 22/23
          Variance                               % Proposed    Proposed       Proposed
         Actual +       % of                     Budget    vs      Budget                      Budget
  Original    Amended    YTD Actual +    Proposed
                                                                                 vs
 ACTUAL  Projected vs   Amended                   FY 21/22         vs
 Budget   Budget   Projected         Budget
        Amended        Budget                    Actual plus               FY 21/22                 FY 21/22
                                                                Actual +
          Budget                                  Projected                    Amended
 Account Number  Account Description                           Projected       Budget

 40.8010  Other: Membership/Dues                       3,008                3,000                   3,000                    3,000                       -    100%                     3,005  100%                            5                           5
 40.8020  Other: Meetings                           -                    -                        -                        -                           -  0%                          -  0%                         -                        -

 40.8022  Other: Special Events                       1,005                4,655                   2,755                    2,209                     (546)  80%                     3,625  164%                      1,416                      870
 40.8028  Other: Cell Phone Reimbursement                           -                    -                          45                        110                         65  244%                         360  327%                        250                      315
 40.8035  Other: Marketing/Advertising                          575                6,000                   3,000                    3,000                         -  100%                     2,000  67%                   (1,000)                 (1,000)


 40.8051  Other: Scout Projects                           -                    -                    1,500                        895                     (605)  60%                          -  0%                      (895)                 (1,500)
 40.8052  Other: Historical Committee                           -                    -                        -                          -                       -    0%                          -  0%                         -                        -
 40.8070  Other: Misc                           -                     200                       200                        200                       -    100%                         200  100%                         -                        -
 40.8085  Other:Interest on Cash Deficit                           -                    -                        -                        -                         -    0%                          -  0%                         -                        -


 Total Other  $                  4,587  $         13,855  $             10,500  $                9,414  $               (1,086)  90%  $                 9,190  98%  $                  (224) $              (1,310)
 40.9100  Capital Outlay:Vehicle                           -                          -                       -    0%                          -  0%                         -                        -

 40.9320  Capital Outlay:Park Improvements                      15,163           100,000                   50,000                      6,755               (43,245)  14%                   50,000  740%                  43,245                       -

 40.9350  Capital Outlay:Equipment                           -                          -                         -  0%                          -  0%                         -                        -


 Total Capital Outlay  $                15,163  $       100,000  $             50,000  $                6,755  $           (43,245)  14%  $              50,000  740%  $               43,245  $                   -
 40.9700  Transfer Out                           -                        -                          -                         -  0%                          -  0%                         -                        -
 Total Other Uses  $                      -    $                -  $                    -  $                      -  $                   -  0%  $                     -  0%  $                    -  $                   -


 TOTAL EXPENDITURES  $                93,690  $       203,420  $           230,099  $             174,192  $           (55,908)  76%  $            204,063  117%  $             29,871  $             (26,036)
 Revenue Over/(Under) Expenditures  $             94,539  $      (17,856) $          (94,536) $          (22,685) $          71,851  24%  $            (47,850)  211%  $           (25,165) $           46,686
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