Page 44 - CityofHaltomFY24Budget
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City Of Haltom City Annual Budget, Fy2024                     Budget Overview                                              City Of Haltom City Annual Budget, Fy2024                    Budget Overview




          WHERE THE MONEY COMES FROM - BY FUND TYPE                                                                                   WHERE THE MONEY GOES - BY EXPENDITURE TYPE


                                       Actual     EOY Estimated        Budget      Change from FY2023                                                            Actual     EOY Estimated        Budget       Change from FY2023
           Revenue                    FY2022          FY2023           FY2024            to FY2024       Percent                     Expenditure                 FY2022         FY2023           FY2024            to FY2024        Percent
           General Fund                  35,048,016            35,936,191            38,195,478  $2,259,287  6%                      Personnel                 $28,052,996      $33,046,412      $36,790,224            $3,743,811    11%
           Debt Service Fund        $13,500,844               8,068,656               7,365,016  ($703,641)  -9%                     Operations                $23,844,211      $28,191,902      $33,992,926            $5,801,024    21%
           Special Revenue Funds     $2,965,459               3,237,393               4,558,291  $1,320,898  41%                     Capital Outlay             $9,365,603      $22,825,200      $54,988,128          $32,162,928    141%
           Capital Project Funds    $14,073,618      $20,839,950             11,477,662      ($9,362,288)  -45%                      Debt Service              $14,262,741       $9,332,252       $9,307,309              ($24,943)   0%
           Water and Sewer Fund     $25,210,279             24,658,200            26,053,200  $1,395,000    6%
           Drainage Fund             $1,936,409               1,878,160               1,862,500  ($15,660)  -1%                      Transfers                 $12,034,896      $15,955,000      $10,625,585           ($5,329,415)  -33%
               Total                $92,734,624      $94,618,550      $89,512,146            ($5,106,404)  -5%                           Total                 $87,560,447    $109,350,766     $145,704,172           $36,353,405    33%


                                                                                                                                      Personnel  –  Are  the  salaries  and  benefits  costs  associated  with  all  employees.  Council

          General Fund is the general operating fund of the City. It provides a broad spectrum of programs                            approved a 7% salary increase and for the City to cover the increased insurance premiums for
          and services such as police, fire, parks and recreation, public works, and administrative services.                         employees. Four new positions were added City-wide.
          Most of the revenue comes from property tax, sales taxes, franchise fees, permits & inspections.                            Operations – Decision packages were added this year to help the departments perform their
          Total General Fund revenue is 5% less, because of less transfers than in the previous budget.                               duties with maximum efficiency. Departments make every opportunity to offset additional cost

          Debt Service Fund is used for the accumulation of resources specifically for the payment of both                            and inflation, by find savings in operational expenses. Operational expenses include supplies,
          principal and interest on long-term governmental debt. Financing is provided primarily by property                          maintenance, and contracts for the operations of the City.
          tax and transfers from other resources.                                                                                     Capital Outlay – Expenditures in capital project funds and large capital purchases are capital

          Special Revenue Funds are used to account for revenue sources that are legally restricted to be                             outlays. Many of the projects span multiple years and are expected to increase in FY24 because
          spent for specified purposes, meaning they must be spent for specific purposes outlined by law or                           of the planned parks, streets, water and sewer, building the new Law Enforcement Center, and
          regulation. Revenues include sales tax, special fees, and donations.                                                        the new City Hall projects.

          Capital Project Funds are used to account for all major capital improvements are financed certificates                      Debt Service – The debt is used for the accumulation of resources specifically for the payment
          of obligation, general  obligation  bonds, intergovernmental  grants, developer  contributions,  and                        of both principal and interest on both general government debt service and proprietary debt
          other designated resources.                                                                                                 service.  No new debt was issued in FY23 or planned in FY24.
                                                                                                                                      Transfers - Fewer transfers are budgeted in FY24 to cover debt service payments, capital
          Water and Sewer Fund provides water and sewer services to the City. Major revenue comes from                                project operations and related debt.
          charges for services. Increases in revenues are mainly due to new commercial water and sewer
          accounts. Revenues help cover operational and capital expenditures.

          Drainage Fund is for recording revenues and expenses related to watershed and storm water
          drainage improvements.

                                   FY2024 All Funds Total Revenue $89,512,146 (By Fund Type)                                                         FY2024 All Funds Total Expenditure $145,704,172 (By Expenditure Type)
             45,000,000                                                                                                                                                              $54,988,128
             40,000,000  38,195,478
             35,000,000                                                                                                                          $36,790,223.67
             30,000,000                                                               26,053,200                                                                   $33,992,926
             25,000,000
             20,000,000
             15,000,000                                                11,477,662                                                                                                                      $9,307,309        $10,625,585
             10,000,000                 7,365,016       4,558,291
             5,000,000                                                                                1,862,500
                  -                                                                                                                                Personnel       Operations        Capital Outlay     Debt Service      Transfers
                        General Fund  Debt Service Fund  Special Revenue Funds  Capital Project Funds  Water and Sewer Fund  Drainage Fund
   39   40   41   42   43   44   45   46   47   48   49