Page 20 - Saginaw FY24 Adopted Budget
P. 20

CITY OF SAGINAW
 BUDGET SUMMARY - ALL FUNDS
 2023-2024

 DEBT  CAPITAL  POLICE  DRAINAGE  STREET     GENERAL     W/WW      BELTMILL
 GENERAL   SERVICE  ENTERPRISE  PROJECTS  CCPD  EXPENDABLE  UTILITY  MAINTENANCE  DONATIONS  ESCROW  ESCROW  PID  TIRZ  TOTAL
  DESCRIPTION    FUND    FUND    FUND    FUND     FUND     FUND    FUND    FUND    FUND    FUND    FUND    FUND    FUND    ALL FUNDS



  BEGINNING FUND BALANCE     $       12,065,453    $      1,303,014    $          7,929,526    $        14,387,391    $       820,060    $           12,610    $       2,694,217    $            865,043    $        642,801   $      1,945,198  $       958,599  $          519,801  $      10,865   $        44,154,578
  Current Property Taxes    $            7,805,825  $       6,943,825  $                          -  $                          -    $                    -  $                      -  $                       -  $                         -  $                     -  $                     -  $                   -  $        58,705  $         14,808,355
  Sales Tax                 7,458,265                          -                              -                                -          1,807,485                          -                           -                 633,815                         -               9,899,565

  Other Taxes, Fines & Fees                 3,252,920                12,000                              -                                -                        -                          -                           -                             -                         -              132,235               3,397,155


  Interest on Investments                  540,000              140,000                  420,000                   818,800               36,000                     350               120,000                     84,000               16,205                23,640             29,450               20,400               240               2,249,085
  Transfer from Other Funds                 2,564,510                          -                  574,600                                -                        -                          -                           -                             -                         -              102,945             36,215               3,278,270
  Water Charges & Fees                              -                          -             10,573,865                                -                        -                          -                           -                             -                         -             10,573,865
  Drainage Utility Fees                              -                          -                              -                                -                        -                          -            1,020,000                             -                         -               1,020,000
  Grant Assistance                    25,000                          -                              -                              -                          -                          -                           -                             -                         -                    25,000

  Other Revenue                  259,755                          -               3,243,225                   335,000                        -                          -                           -                             -             335,875                90,565             495,910            41,685               4,802,015

 TOTAL REVENUES  $          21,906,275  $       7,095,825  $         14,811,690  $            1,153,800  $      1,843,485  $                 350  $        1,140,000  $             717,815  $         352,080  $          349,385  $         65,665  $         516,310  $    100,630  $         50,053,310



  Use of Reserves for Special Requests                  669,335                  148,925             133,410                          -                             -                         -                         -                  951,670
  Use of Reserves for Debt Service                   7,470                                                 7,470
  Use of Reserves for Capital Projects                              -                              -                7,217,470                        -            1,403,845                 782,185                         -           385,335               9,788,835

  Use of Reserves-Other                              -                              -                12,150                         -                         -                       -                    12,150


 TOTAL RESOURCES  $        22,575,610  $       7,103,295  $         14,960,615  $            8,371,270  $      1,976,895  $            12,500  $        2,543,845  $            1,500,000  $         352,080  $          349,385  $       451,000  $         516,310  $    100,630  $         60,813,435
  Operating   $        21,793,330  $            17,000  $           9,756,835  $                          -    $         273,350  $            12,500  $             80,000  $             600,000  $         208,670  $          126,500  $                   -  $           18,960  $      30,000  $         32,917,145



  Capital Outlay/Special Requests                  679,335                          -               3,922,000                8,371,270             374,700                          -            2,200,000                 900,000               35,000                13,000             16,495,305


  Debt Service Payments                              -           7,086,295                  170,175                              -                          -                          -                           -                             -                         -                         -               7,256,470

  Transfers to Other Funds                  102,945                          -               1,111,605                              -            1,328,845                          -               263,845                             -               10,530                  9,500           385,335               3,212,605


 TOTAL EXPENSES/EXPENDITURES  $          22,575,610  $       7,103,295  $         14,960,615  $            8,371,270  $      1,976,895  $            12,500  $        2,543,845  $          1,500,000  $         254,200  $          149,000  $       385,335  $           18,960  $      30,000  $         59,881,525
  ENDING FUND BALANCE   $     11,396,118  $    1,295,544  $         7,780,601  $        7,169,921  $      686,650  $              460  $     1,290,372  $            82,858  $      740,681  $    2,145,583  $     638,929  $   1,017,151  $    81,495  $         34,326,363




























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