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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 GOES - BY FUND TYPE                                                                                        WHERE THE MONEY GOES - BY FUNCTIONS



                                       Actual     EOY Estimated        Budget      Change from FY2023    Percent                                                 Actual     EOY Estimated        Budget       Change from FY2023    Percent
           Expenditure                FY2022          FY2023           FY2024            to FY2024                                   Expenditure                 FY2022         FY2023           FY2024            to FY2024
           General Fund             $32,819,639             37,758,751            44,158,982  $6,400,231   17%                       General Government        $25,022,521     $24,103,219       $41,022,905          $16,919,686     70%
           Debt Service Fund        $13,302,737       $7,480,549                7,488,984        $8,436     0%                       Police                    $15,185,316     $25,639,838       $26,354,405             $714,568     3%
           Special Revenue Fund      $2,632,290       $2,683,906                4,863,587    $2,179,681    81%                       Fire                       $9,980,715       $8,688,765       $9,467,278             $778,514     9%
           Capital Project Fund     $11,367,943      $28,315,000             53,887,128     $25,572,128    90%                       Parks                      $3,126,216       $2,803,421       $6,871,624            $4,068,203   145%
           Water and Sewer Fund     $25,489,288      $30,541,512             32,880,803      $2,339,291     8%                       Library                    $1,003,348       $1,272,934       $1,291,593              $18,659     1%
           Drainage Fund             $1,948,550       $2,571,049                2,424,688     ($146,361)   -6%                       Public Works              $33,242,331     $46,842,590       $60,696,366          $13,853,776     30%
               Total                $87,560,447     $109,350,766     $145,704,172           $36,353,405    33%                           Total                 $87,560,447    $109,350,766     $145,704,172           $36,353,405    33%

            General Fund is the general operating fund of the City.  It provides a broad spectrum of programs
            and services such as police, fire, parks and recreation, public works and administrative services.

            Debt Service Fund is used for the accumulation of resources specifically for the payment of both                         General Government – Expenditures increased due to building a new City Hall, increase salaries,
            principal and interest on long-term governmental debt. Financing is provided primarily by property                       and several other new decision packages.
            tax and transfers from other resources.                                                                                  Police  – The increase is due to continued construction of the new Law Enforcement Center, salary
                                                                                                                                     increases, and step increases, and drones.
            Special Revenue Funds are used to account for revenue sources that are legally restricted to be
            spent for specified purposes, meaning they must be spent for specific purposes outlined by law                           Fire – The increase is due to the a new fire engine, salary increases, and employee step increases.
            or regulation. Revenues include sales tax, special fees, and donations.                                                  Parks – The increase is due to the completion of North Park, salary increase to employees, and

            Capital Project Funds are used to account for all capital projects and major capital purchases.                          replacement of equipment. This year’s budget will also replace a two-decade old Christmas tree
            The significant changes from year to year are due to various capital construction projects and                           and a sidewalk in Broadway Park.
            purchase of capital assets budgeted for each individual year.                                                            Library – Operational expenditures are due increased salaries and addinf furniture and shelving
                                                                                                                                     in the reading area.
            Water and Sewer Fund provides water and sewer services to the City. Decision packages in this                            Public Works – This includes streets, facilities, water and sewer, and storm water drainage. The
            fund were to fund much needed equipment purchases. Current Supply chain issues have been                                 increase is due to equipment purchases for streets and drainage, increased salaries, and planned
            challenging in ordering equipment and taking possession of equipment within the same budget                              projects.
            year.  There will be a need to carry over expenses for any large equipment items requiring longer
            lead times based on availability.
            Drainage Fund is for recording revenues and expenses related to watershed and storm drainage
            improvements. Drainage capital projects are important for improving drainage areas where water
            can accumulate and cause flooding.



                              FY2024 All Funds Total Expenditure 145,704,172 (By Fund Type)                                                              FY2024 All Funds Total Expenditure 145,704,172 (By Functions)

                                                                   53,887,128                                                                                                                                              $60,696,366
                     44,158,982
                                                                                  32,880,803                                                   $41,022,905
                                                                                                                                                              $26,354,405

                                    7,488,984                                                                                                                                 $9,467,278
                                                    4,863,587                                     2,424,688                                                                                  $6,871,624
                                                                                                                                                                                                            $1,291,593
                   General Fund  Debt Service Fund  Special Revenue Fund  Capital Project Fund  Water and Sewer Fund  Drainage Fund            General Government    Police        Fire        Parks        Library       Public Works
   41   42   43   44   45   46   47   48   49   50   51