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142  -  BOND CAPITAL CITY HALL FUND  2021-22  2022-23  2022-23  2023-24   Variance        Variance


                                                                           FY 23/24        FY 23/24
                                                        % Proposed        Proposed
              VARIANCE                                                                    Proposed
  YTD                    Actual +         Proposed      Budget    vs       Budget
                                                                                           Budget
 ACTUAL   Original Budget   Actual +   Projected vs   % of Budget  Budget   FY 22/23   vs
                                                                                             vs
 Projected                                              Actual plus              FY 22/23
               Budget                                                                     FY 22/23
                                                         Projected                   Actual +
 Account Number  Account Description                                     Projected         Budget

 00.4800  Other Revenue: Interest                          1,698                          4,800                     14,330                 9,530  299%                   10,000  70%                       (4,330)                  5,200
 00.4886  Other Revenue: Grants                             930                                -                            -                     -  0%                          -  0%                              -                       -
 Total Other Revenue                          2,628  $                      4,800  $                 14,330  $              9,530  299%                   10,000  70%  $                  (4,330) $              5,200

 00.4900  Transfer In                      100,000                     588,716                  607,135              18,419  103%                   10,200  2%                    (596,935)            (578,516)

 Total Other Sources                     100,000  $                   588,716  $               607,135  $          18,419  103%                   10,200  2%  $              (596,935) $         (578,516)




 TOTAL REVENUE                    102,628  $              593,516  $            621,466  $        27,950  105%                20,200  3%  $           (601,266) $      (573,316)
 00.6230  Mat/Supplies:Office Equip                          7,231                                -                            -                     -  0%                          -  0%                            -                         -
 00.6276  Mat/Supplies:Furnishings                          4,874                              -                              -                     -  0%                          -  0%                              -                       -
 Total Materials & Supplies                         12,106  $                       -    $                 -  0%                         -    0%  $                        -    $                  -
 00.6602  New City Hall                              -                            -                     -  0%                          -  0%                              -                       -
 00.6603  DPS Complex                        12,517                      858,291                     54,314           (803,977)  6%                 840,616  1548%                    786,302              (17,675)

 Total Projects                         12,517  $                 858,291  $                 54,314  $       (803,977)  6%                 840,616  1548%  $               786,302  $            (17,675)


 00.6810  Maintenance:Bldg/Grounds/Park                          1,990                              -                              -                     -  0%  0%                              -                       -
 Total Maintenance                          1,990  $                          -  $                         -  $                 -  0%                           -  0%  $                        -  $                    -
 00.9010  Capital Outlay:Computer/Offc                        10,773                              -                            -                     -  0%                          -  0%                              -                       -
 00.9325  Capital Outlay:Building Improvem                        19,020                       60,000                           -              (60,000)  0%                   60,000  0%                      60,000                      -

 Total Capital Outlay                        29,793  $                   60,000  $                         -  $         (60,000)  0%                   60,000  0%  $                  60,000  $                    -

 00.9700  Transfer Out                              -                               -                      25,000              25,000  0%                          -  0%                     (25,000)                      -
 Total Other Uses                              -  $                          -  $                 25,000  $          25,000  0%                           -  0%  $                  (25,000) $                   -


 TOTAL EXPENDITURES                      56,406  $              918,291 $               79,314  $      (838,977)  9%              900,616  1136%  $             821,302 $         (17,675)
 Revenue Over/(Under) Expenditures                     46,222 $             (324,775) $            542,152 $      866,927             (880,416)  $        (1,422,568) $      (555,641)
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