Page 58 - FY 2023-24 ADOPTED BUDGET
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COMBINED SUMMARY STATEMENT – THREE YEAR SUMMARY

                              OPERATING FUNDS (GENERAL FUND AND DEBT SERVICE FUND)

                              FY 2021-22, 2022-23, AND 2023-24




                                          GENERAL FUND                                        2021-22 ACTUAL                          2022-23 ESTIMATED                      2023-24 PROJECTED

                                          BEGINNING BALANCE                          $                        13,431,716        $                        17,041,815        $                        19,107,870

                                               Revenues                                               22,422,853                                 23,861,618                                 24,237,643

                                               Expenditures                                          (18,832,063)                               (21,795,563)                               (24,237,643)

                                               Net Transfers                                                19,309                                                        -                                            -
                                          ENDING BALANCE                             $                        17,041,815        $                        19,107,870        $                        19,107,870



                                          DEBT SERVICE FUND                                   2021-22 ACTUAL                          2022-23 ESTIMATED                      2023-24 PROJECTED

                                          BEGINNING BALANCE                          $                              454,353     $                              455,569     $                              458,901

                                               Revenues                                                   870,179                                    580,076                                  1,199,914

                                               Expenditures                                           (1,909,337)                                   (908,229)                                (1,532,629)
                                               Net Transfers                                           1,040,374                                     331,485                                    338,485

                                          ENDING BALANCE                             $                              455,569     $                              458,901     $                              464,671



                                          TOTAL OPERATING FUNDS                               2021-22 ACTUAL                          2022-23 ESTIMATED                      2023-24 PROJECTED


                                          BEGINNING BALANCE                          $                        13,886,069        $                        17,497,384        $                        19,566,771

                                               Revenues                                                        23,293,032                                 24,441,694                                 25,437,557
                                               Expenditures                                                   (20,741,400)                               (22,703,792)                               (25,770,272)

                                               Net Transfers                                                      1,059,683                                     331,485                                    338,485

                                          ENDING BALANCE                             $                        17,497,384        $                        19,566,771        $                        19,572,541












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