Page 65 - FY 2023-24 ADOPTED BUDGET
P. 65

TEN YEAR COMPARISON OF REVENUES AND EXPENDITURES

 OPERATING FUNDS (GENERAL FUND AND DEBT SERVICE FUND)

 FY 2014-15 TO 2023-24




 Actual  Actual  Actual         Estimated          Budget
 Revenues by Source     2019-20  2020-21  2021-22  2022-23  2023-24  Trend
 Ad Valorem Taxes  $   13,635,240  $   14,098,749  $   14,758,918  $   16,056,798  $   17,429,157
 Franchise Taxes  1,444,339  1,208,965  1,234,011  1,306,049  1,270,000
 Sales & Other Taxes  3,315,099  3,402,472  3,907,011  4,010,100  4,010,000
 Licenses  15,463  17,588  17,260     15,300           12,300
 Permits and Filing Fees  638,656  486,461  993,460  352,000  358,100
 Fines and Forfeitures  669,883  617,919  510,500  442,000  545,000
 Use of Money and Property  150,384  66,436  95,941  499,500  369,500
 Revenue from Other Agencies  540,257  518,927  530,960  500,000  505,000
 Citizen Services  849,834  989,714  1,029,340  811,500  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       22,000
 Other Revenue  38,504  39,433  56,516  40,500         40,500
 TOTAL REVENUE    $   21,365,522  $   22,317,877  $   23,293,405  $   24,441,694  $   25,437,557

 Expenditures by Function
 General Government  $     2,160,934  $     2,455,048  $     2,668,485  $     2,868,782  $     1,493,253
 Staff Services  1,069,757  1,159,286  1,174,034          1,302,686          1,393,128
 Public Safety  9,669,200  9,563,971  9,559,614          9,617,660       13,208,905
 Public Services  4,108,396  4,286,396  4,609,810          7,117,754          7,218,847
 Community Development  810,827  776,038  820,121              888,681              923,510
 Debt Service  1,549,905  1,605,259  1,909,337  908,229  1,532,629
 TOTAL EXPENDITURES  $   19,369,018  $   19,845,998  $   20,741,400  $   22,703,792  $   25,770,272

 VARIANCE REVENUES VERSUS EXPENDITURES    $     1,996,504  $     2,471,879  $     2,552,005  $     1,737,902  $        (332,715) $                   -
 Other Financing Sources
 Transfers-In     $     1,189,888  $     1,546,514  $     1,359,310  $         631,485  $         638,485
 Transfers-Out  (1,202,170)  (500,000)  (300,000)  (300,000)  (300,000)
 Adjustments                       -                       -                       -                       -                       -
 TOTAL OTHER FINANCING SOURCES (USES)    $          (12,282) $     1,046,514  $     1,059,310  $         331,485  $         338,485


 VARIANCE REVENUES VERSUS EXPENDITURES    $     1,984,222  $     3,518,393  $     3,611,315  $     2,069,387  $              5,770





 56
   60   61   62   63   64   65   66   67   68   69   70