Page 17 - Report
P. 17

Department and Fund Summary Continued




                                                                               2020-2021           2021-2022           2022-2023          2022-2023          2023-2024       Change in Dollars from  Change in % from
                                                                            Total Activity      Total Activity       Total Budget        YTD Activity        Adopted             FY 2023 budget             FY 2023


                          Fund: 600 - Debt Service
                            Revenue

                             100 - Debt Service                            $            15,650.92  $          80,380.54  $        594,640.77  80,202.51 $        641,388.00   $           46,747.23                 7.86%


                            Expense

                             100 - Debt Service                            $           (1.21) $                -   $          594,470.79      76,594.37 $        589,664.00   $              (4,806.79)             -0.81%
                          Fund: 900 - Utility Fund
                            Revenue

                             900 - Water Dept                              $      1,418,059.12  $      1,370,821.66  $      1,402,800.00   1,183,914.62 $     1,394,160.00    $            (8,640.00)               -0.62%
                            Expense
                             900 - Water Dept                              $          787,524.71  $          631,090.12  $      1,394,498.52  644,939.46 $     1,383,287.00   $            (11,211.52)              -0.80%



                             915 - Utility Billing                         $                315.00  $          37,042.30  $          56,466.16  35,585.21 $          77,015.52  $         20,549.36                36.39%

                          Fund: 910 - Utility Drainage Fund
                            Revenue
                             910 - Utility Drainage                        $             -     $            53,832.00  $            54,000.00  44,920.00 $          52,800.00  $             (1,200.00)             -2.22%
                            Expense
                             910 - Utility Drainage                        $               -   $             3,815.46  $            99,081.41  12,084.93 $          81,224.00  $           (17,857.41)            -18.02%



































                                                                                                                         9/18                                                          FY 2024 Adopted Budget
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