Page 91 - City of DWG FY 2022-23 BUDGET
P. 91

185-CCPD FUND SUMMARY



 BEGINNING FUND BALANCE                  18,805                 60,129                 88,043               202,438             202,438              25,756  Variance Calculations


                                           FY 21/22                   Y 22/23
                                                          F
                                           Actual +       Proposed           FY 22/23
          FY 21/22
 FY 21/22                FY 22/23         Projected                    Budget          Proposed Budget
 FY 18/19       FY 19/20       FY 20/21       TOTAL
                                                        Over/(Under)
 REVENUE CATEGORY  Amended   Proposed   Over/(Under)                                  Over/(Under)
 Actual  Actual  Actual  Actual plus
                                                       FY 21/22 Actual
 Budget                  Budget            FY 21/22                                   FY 21/22 Amended
          Projected
                                          Amended           plus                Budget
                                           Budget         Projected

 Sales & Use Tax                206,185               250,195               276,653               267,167             293,023            301,813                 25,856                    8,791           34,646  11%
 Other Revenue                        339                       525                         89                         95                    661                    750                       566                          89                 655  87%
 Other Sources                  18,200                 13,450                        -                  20,000               65,872              10,000                 45,872                 (55,872)          (10,000)  -100%

 TOTAL REVENUE                224,724               264,170               276,742               287,262             359,555            312,563                 72,294                 (46,992)           25,302  8%



                                           FY 21/22                   Y 22/23
                                                          F
                                           Actual +       Proposed      FY 22/23 Proposed
          FY 21/22
 FY 21/22                FY 22/23         Projected                    Budget          Budget
 FY 18/19       FY 19/20       FY 20/21       TOTAL
                                                        Over/(Under)
 EXPENDITURE CATEGORY  Amended   Proposed   Over/(Under)                                  Over/(Under)
 Actual  Actual  Actual  Actual plus
                                                       FY 21/22 Actual
 Budget                  Budget            FY 21/22                                   FY 21/22 Amended
          Projected
                                          Amended           plus                Budget
                                           Budget         Projected
 Personnel Salary & Wages                138,993                 73,253               131,092               102,900             108,256            111,197                    5,356                    2,941              8,297  7%
 Personnel Taxes & Benefits                  10,110                    5,225                    9,379                 49,718               51,155              55,668                    1,437                    4,513              5,950  11%

 Materials & Supplies                         -                            2                         56                 18,962                     -                      -                (18,962)                         -           (18,962)
 Consultants                         -                         -                         -                         -                      -                      -                        -                           -                   -
 Contractual                         -                         -                         -                     5,000                 5,000                 5,000                        -                         -                     -  0%
 Other Expenses                        101                            7                        -                         -                      -                      -                        -                           -                   -
 Capital Outlay                  34,196               157,770                 21,820               276,367             371,827            120,000                   95,460               (251,827)        (156,367)  -130%
 Other Uses                         -                         -                         -                         -                      -                      -                        -                         -                     -
 TOTAL EXPENDITURES                183,400               236,256               162,347               452,947             536,237            291,864                (12,169)                    7,454        (161,083)  -55%

 REVENUE OVER EXPENDITURES                  41,324                 27,914               114,395              (165,685)           (176,682)              20,699                (10,997)                197,381         186,384  900%


 ENDING FUND BALANCE                  60,129                 88,043               202,438                 36,752               25,756              46,455
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