Page 63 - FY 2023-24 ADOPTED BUDGET
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TEN YEAR COMPARISON OF REVENUES AND EXPENDITURES

 OPERATING FUNDS (GENERAL FUND AND DEBT SERVICE FUND)

 FY 2014-15 TO 2023-24



 Actual  Actual            Actual            Actual             Actual
 Revenues by Source  2014-15  2015-16  2016-17  2017-18        2018-19
 Ad Valorem Taxes  $   10,577,266  $   10,775,138  $   10,670,866  $   11,820,511  $   12,722,537
 Franchise Taxes  1,623,683  1,631,434  1,524,760  1,399,945    1,546,789
 Sales & Other Taxes  2,281,930  2,173,723  2,319,533  2,456,901  2,895,454
 Licenses  69,415  98,713       1,577             1,445             26,808
 Permits and Filing Fees  410,778  515,236  661,986  444,173      676,545
 Fines and Forfeitures  809,654  802,523  826,297  748,566        687,162
 Use of Money and Property  86,607  106,167  147,018  173,905     254,723
 Revenue from Other Agencies  466,660  637,689  449,344  422,003  556,195
 Citizen Services  939,835  824,666  764,223   821,516            697,744
 Recreation Services  51,272  55,973  53,996     48,625             50,719
 Sale of Goods  14,854  28,718  37,461           29,322             27,001
 Other Revenue  87,292  2,155  45,930            77,506            (31,012)
 TOTAL REVENUE  $   17,419,249  $   17,652,135  $   17,502,992  $   18,444,418  $   20,110,665

 Expenditures by Function

 General Government  $     1,796,930  $     1,814,921  $     2,003,291  $     1,982,517  $     2,156,889
 Staff Services  941,959  918,377  1,003,403  1,016,521         1,200,743
 Public Safety  8,541,857  9,362,889  9,987,972  10,268,960   10,431,137
 Public Services  3,065,344  3,181,993  3,386,576  3,402,292    3,835,985
 Community Development  738,076  763,599  916,164  739,384        757,961
 Debt Service  1,532,001  1,495,107  954,816  1,519,300         1,540,099
 TOTAL EXPENDITURES  $   16,616,167  $   17,536,886  $   18,252,222  $   18,928,974  $   19,922,815

 VARIANCE REVENUES VERSUS EXPENDITURES  $         803,082  $         115,249  $        (749,230) $        (484,556) $         187,850

 Other Financing Sources

 Transfers-In  $     1,567,560  $     1,060,504  $         458,203  $     1,170,467  $     1,255,824
 Transfers-Out  (300,000)  (800,000)  (1,360,000)  (2,000,000)  (1,884,804)
 Adjustments  868                       -                       -  (2,266)                      -
 TOTAL OTHER FINANCING SOURCES (USES)  $     1,268,428  $         260,504  $        (901,797) $        (831,799) $        (628,980)


 VARIANCE REVENUES VERSUS EXPENDITURES  $     2,071,510  $         375,753  $    (1,651,027) $    (1,316,355) $        (441,130)

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