Page 156 - RG APPROVED BUDGET REPORT - 3921.pdf
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8-18-2023 02:33 PM                               CITY  OF  SANSOM  PARK                                         PAGE:  3
                                                                           APPROVED BUDGET
                                                                        AS OF:  JULY 31ST, 2023
                     610-WATER & SEWER CAP. PROJ.
                     Administration
                                                                                        (------- 2022-2023 --------)(------- 2023-2024 --------)
                                                              2020-2021      2021-2022      CURRENT    YEAR-TO-DATE    REQUESTED      APPROVED
                     DEPARTMENTAL EXPENDITURES                  ACTUAL         ACTUAL        BUDGET       ACTUAL         BUDGET        BUDGET

                     ___________________________________________________________________________________________________________________________




                     CONTRACTUAL & OTHER SRVC
                     610-612-3400-00 Attorney                          0              0             0             0             0             0
                     610-612-3404-00 Professional Services             0          4,880        10,000             0             0             0
                     610-612-3405-00 Project Boicourt                  0              0             0             0             0             0
                     610-612-3406-00 Sansom Ridge/Point                0              0             0             0             0             0
                     610-612-3600-00 Legal Publications                0              0             0             0             0             0
                        TOTAL CONTRACTUAL & OTHER SRVC                 0          4,880        10,000             0             0             0


                     CAPITAL OUTLAY
                     610-612-8000-00 Interest Expense             73,274        118,918        70,000        35,650             0        67,300
                     610-612-8010-00 Debt Issue Costs                350            452             0           175             0             0
                     610-612-8050-00 Principal                         0              0        65,000        65,000             0        70,000
                     610-612-8800-00 Capital Outlay                    0              0             0             0             0             0
                     610-612-8825-00 Boicourt Project                  0              0             0             0             0             0
                     610-612-8826-00 Sansom Ridge Project              0            540             0             0             0             0
                     610-612-8830-00 Graham Site                       0              0             0             0             0             0
                     610-612-8840-00 43 Acres Project A                0              0             0             0             0             0
                     610-612-8845-00 43 Acres Project B                0              0             0             0             0             0
                        TOTAL CAPITAL OUTLAY                      73,624        119,910       135,000       100,825             0       137,300


                     TRANSFERS
                     610-612-9906-00 Transfer to WS Operating     54,000         70,739             0             0             0             0
                        TOTAL TRANSFERS                           54,000         70,739             0             0             0             0
                     ___________________________________________________________________________________________________________________________


                      TOTAL Administration                       127,624        195,528       145,000       100,825             0       137,300
                     ___________________________________________________________________________________________________________________________


                     TOTAL EXPENDITURES                          127,624        195,528       145,000       100,825             0       412,300
                                                             ===========    ===========   ===========   ===========   ===========   ===========


                     REVENUE OVER/(UNDER) EXPENDITURES            13,039   (     49,819) (     10,000)       62,101             0  (    275,000)
                                                             ===========    ===========   ===========   ===========   ===========   ===========
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