Page 124 - FY 2023-24 ADOPTED BUDGET
P. 124

GENERAL FUND

 TEN YEAR SUMMARY OF REVENUES AND EXPENDITURES

 FY 2014-15 TO 2023-24




                                                          Variance
 Actual  Actual   Actual            Estimated            Favorable              Budget
 Revenues by Source  2019-20  2020-21  2021-22  2022-23  (Unfavorable)         2023-24

 Ad Valorem Taxes  $   13,172,607  $   13,621,451  $   13,888,739  $   15,477,222  $            752,521  $   16,229,743
 Franchise Taxes          1,444,339          1,208,965          1,234,011          1,306,049                  (36,049)          1,270,000
 Other Taxes          3,315,099          3,402,472          3,907,011          4,010,100                        (100)          4,010,000
 Licenses                15,463                17,588                17,260                15,300                    (3,000)                12,300
 Permits and Filing Fees              638,656              486,461              993,460              352,000                      6,100              358,100
 Fines and Forfeitures              669,883              617,919              510,500              442,000                 103,000              545,000
 Use of Money and Property              150,384                66,436                95,941              499,500               (130,000)              369,500
 Revenue from Other Agencies              540,257              518,927              530,960              500,000                      5,000              505,000
 Citizen Services              849,834              989,714          1,029,340              811,500                         500              812,000
 Recreation Services                53,262                56,716                81,011                64,000                          -                64,000
 Sale of Goods                14,601              814,497                78,476              343,947               (321,947)                22,000
 Other Revenue                38,504                39,433                56,143                40,000                          -                40,000
 TOTAL REVENUE  $   20,902,888  $   21,840,579  $   22,422,852  $   23,861,618     $            376,025     $   24,237,643

 Expenditures by Division
 General Government  $     2,160,934  $     2,455,048  $     2,668,485  $     2,868,782  $       (1,375,529)  $     1,493,253
 Staff Services  1,069,757  1,159,286  1,174,034  1,302,686    90,442           1,393,128
 Public Safety  9,669,200  9,563,971  9,559,614  9,617,660  3,591,245         13,208,905
 Public Services  4,108,396  4,286,396  4,609,810  7,117,754  101,093           7,218,847
 Community Development  810,827  776,038  820,121  888,681     34,829             923,510
 TOTAL EXPENDITURES  $   17,819,114  $   18,240,739  $   18,832,063  $   21,795,563  $        2,442,080  $   24,237,643


 EXCESS OF REVENUES OVER (UNDER) EXPENDITURES  $     3,083,775  $     3,599,840  $     3,590,789  $     2,066,055     $       (2,066,055)    $                   -


 Other Financing Sources

 Transfers  (150,000)  (188,055)                19,309                       -                          -                       -
 Unappropriated Reserves            (952,170)                       -                       -                       -                          -                       -
 TOTAL OTHER FINANCING SOURCES (USES)  $    (1,102,170)  $        (188,055)  $            19,309  $                   -     $                      -  $                   -


 EXCESS OF REVENUES AND OTHER SOURCES
 OVER (UNDER) EXPENDITURES   $     1,981,605  $     3,411,785  $     3,610,098  $     2,066,055     $       (2,066,055)    $                   -




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