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141  -  BOND CAPITAL STREET FUND  2021-22  2022-23  2022-23  2022-23  2023-2024     Variance        Variance


                                                                                     FY 23/24        FY 23/24
                                                                    % Proposed      Proposed
                            VARIANCE                                                                Proposed
          YTD Actual +      Actual +      % of         Proposed     Budget    vs      Budget                      Budget
 ACTUAL   Original Budget   Amended Budget                           FY 22/23          vs
          Projected       Projected vs   Budget        Budget       Actual plus               FY 22/23                  vs
                            Budget                                                                   FY 22/23
                                                                                    Actual +
                                                                     Projected
 Account Number  Account Description                                                Projected        Budget
 00.4800  Other Revenue: Interest                         7,434                     13,885                       13,885                       33,599                 19,714  242%                    10,665  32%                 (22,934)                      (3,220)
 00.4895  Other Revenue: Contributed Capital                             -                       60,000                 60,000  0%                  520,170  867%                460,170                   520,170



 Total Other Revenue  $                    7,434  $                 13,885  $                     13,885  $                    93,599  $             79,714  0%  $               530,835  567%  $           437,236  $               516,950
 00.4900  Transfer In                             -                            -                               -                             -                          -  0%                           -  0%                         -                             -
 00.4901  Bond Issuance                             -                            -                               -                             -                          -  0%                           -  0%                         -                             -
 00.4902  Premium on Bonds Issued                             -                            -                               -                               -                        -  0%                           -  0%                         -                             -
 Total Other Sources  $                         -  $                       -    $                          -  $                         -  $                   -    0%  $                      -    0%  $                    -  $                        -

 TOTAL REVENUE  $                  7,434 $               13,885  $                  13,885  $                93,599  $          79,714  0%  $           530,835  567%  $         437,236  $             516,950

 00.6602  Streets                       25,684                  174,845                     253,723                     894,772               641,049  512%                  380,298  43%              (514,474)                   205,453


 Total Capital Outlay   $                    25,684  $               174,845  $                 253,723  $                894,772  $          641,049  0%  $               380,298  43%  $          (514,474) $                205,453

 40.8100  Debt Related Costs                             -                            -                               -                             -                          -  0%                           -  0%                         -                             -
 Total Other   $                         -  $                         -  $                          -  $                         -  $                   -    0%  $                      -    0%  $                    -  $                        -
 40.9700  Transfer Out                       73,374                       3,000                         3,000                       27,600                 24,600  920%                    38,841  141%                  11,241                     35,841
 Total Other Uses  $                    73,374  $                   3,000  $                      3,000  $                    27,600  $             24,600  0%  $                38,841  141%  $             11,241  $                  35,841



 TOTAL EXPENDITURES  $               99,058  $            177,845  $                256,723  $             922,371 $         665,649  0%  $           419,139  45%  $       (503,232) $             241,294


 Revenue Over/(Under) Expenditures  $              (91,624) $           (163,960) $             (242,837) $            (828,772) $       (585,935)  $           111,696  $         940,468 $             275,656
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