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8-18-2023 02:33 PM                               CITY  OF  SANSOM  PARK                                         PAGE:  2
                                                       APPROVED BUDGET
                                                    AS OF:  JULY 31ST, 2023
 307-TAX INCREMENT FINANCING
 ADMINISTRATION
                                                                    (------- 2022-2023 --------)(------- 2023-2024 --------)
                                          2020-2021      2021-2022      CURRENT    YEAR-TO-DATE    REQUESTED      APPROVED
 DEPARTMENTAL EXPENDITURES                  ACTUAL         ACTUAL        BUDGET       ACTUAL         BUDGET        BUDGET

 ___________________________________________________________________________________________________________________________




 PERSONNEL SERVICES
 307-612-1006-00 Health/Life/Dental Ins.           0              0             0             0             0             0
    TOTAL PERSONNEL SERVICES                       0              0             0             0             0             0


 CONTRACTUAL & OTHER SRVC
 307-612-3400-00 Attorney Fees                     0              0         1,000             0             0             0
 307-612-3404-00 Professional Services         3,100          7,926        53,609         5,608             0        25,000
 307-612-3417-00 Admin Services                    0              0        17,712             0             0        23,889
 307-612-3605-00 Incentives                        0              0       485,000             0             0             0
 307-612-3800-00 Bank Service Charges              0              0             0             0             0             0
 307-612-3888-00 Developer Reimb                   0              0             0             0             0             0
    TOTAL CONTRACTUAL & OTHER SRVC             3,100          7,926       557,321         5,608             0        48,889

 612-3404-00  Professional Services     CURRENT YEAR NOTES:
                                        CPA and Auditors and Engineering

 612-3417-00  Admin Services            CURRENT YEAR NOTES:
                                        15% of Accounting-L Barber and Secretary-W Blocker Salary


 CAPITAL OUTLAY
 307-612-8000-00 Interest                          0         17,067        20,200        22,159             0        18,700
 307-612-8050-00 Principal                         0         55,000        50,000        50,000             0        50,000
 307-612-8055-00 Paying Agent                      0              0           700             0             0             0
 307-612-8867-00 Drainage Improvements             0              0        65,000             0             0             0
 307-612-8868-00 Infrastructure Impv               0              0       150,000             0             0             0
 307-612-8869-00 Commercial Site Impv              0              0       300,000             0             0             0
 307-612-8870-00 Facade Impv Program               0              0        50,000             0             0             0
    TOTAL CAPITAL OUTLAY                           0         72,067       635,900        72,159             0        68,700

 612-8000-00  Interest                  PERMANENT NOTES:
                                        TIF portion of the 2021 CO annual interest debt payment

 612-8050-00  Principal                 PERMANENT NOTES:
                                        TIF portion of the 2021 CO annual debt service



 TRANSFERS
 307-612-9106-00 Transfer to General Fd       69,000         63,250        69,000        57,500             0       125,000

 307-612-9907-00 Transfer to WS CIP Fund     139,575        137,275       135,000       135,000             0       137,300
    TOTAL TRANSFERS                          208,575        200,525       204,000       192,500             0       262,300


 612-9907-00  Transfer to WS CIP Fund   PERMANENT NOTES:
                                        Trf to WS CIP for annual debt service on 2016 CO's
 ___________________________________________________________________________________________________________________________


  TOTAL ADMINISTRATION                       211,675        280,518     1,397,221       270,267             0       379,889
 ___________________________________________________________________________________________________________________________


 TOTAL EXPENDITURES                          211,675        280,518     1,397,221       270,267             0       379,889
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