Page 6 - Trophy Club ORD 2023-15 Adoption FY23-24
P. 6

All Funds Summary -  Fiscal Year 2024
                                                                                 COMPONENTNT
 FY24 Tax Rate  GOVERNMENTAL  FUNDS                           PROPRIETARY  FUNDS   UNITS
 Capital  Information
 Hotel  Street  Court             P.  rklimd                            Stor  vvater
 DebtServlce  Capital Projects  Equi p  ment  Services  Court Security  Recrea  ion  Trophy  Club
 0. 415469  General  Fund  O ctip..  cy  M  intenance  Technolo g  y  CCPC)  Fund  Dedication  TIRZ N1  Grants  Fund  11 a In"' r,   EDC413Fund  Total
 Fund  Fund  Repl. cement  Replacement  fund  P ' rogram  Fund  Park  Fund
 Fund  5. 1:  sT..  Fu.  d  Fund   Fund                                 U ,t,  I Fund
 Fund  Fund
 t                                                                     r, $               I
 Balance .
 FY22
 inning Fund
 tF   less FY2  3 Exp   J  g'"   165 269 [$ ( L  912,74S)IS  679,  94  21S, S73  2i633, 723 IS  259, ZS3 IS  9, 514  50, 015 (  1$   196,044  21, 550  5  177, 656  s  98, 737)', $   9,  886 IS  355332  72, 424  1, 719 735  13 471 SOS
 Revenue
 Property Tax _   71, E53, jj5                  9,  44
 Ucenses  and  Permits  255, 000                                                              255, ODD
 Franchise  Fees                                                                               17, 500
 SaIes/ OccuparicyTa!____   1, 1! 5, n  j1nODO  L 5, n  5, l n  1, 339               752,625  3, 728, 964
 Fines  and  Fees                                                  0 000   43 OS                0,476
 1, 195, 440                                                                                 1, 195, 440
 Charges  forsel,  M-   909, 154                                                              909, 154
 LI-U1R,EeRt -Inclim-,   160, 000  2-   50                          2
 J                                                                                     500    171, 500
 Contributions
 lEs  4,16TK'[-   6f2  0:0  IT  TREE  5, 99.:

 Expenditures
 General Government
                                                                                      M18     69121- 7
 Manager'  s oRfc- e                                                                          549, 873
 Town Secretary' s Office  262, 275                                                              27I
 225, 430                                                                                     225, 430
 Police  3, 870, 180  449,436                                                                4, 319, 616
 EMergtRcV_Medial Services  i,625, 895
 Fire                                                                                        1, 76L663
 1,761, 163
 StreetsI-   14jJ18                                                         1, 465              2, 2773
 3U5, 490
 Parks  1, 644, 559  167, 500                                    270, 302                    2, 082, 361
 li. cnlilon  127,9 7  217                                                                   1, 061, 164
 Community Events  56, 300  378,  309                                                         434, 609
 Community  Development  459, 071  5219E                                                      511,071L
 Finance..-   91, 261                                                                         591, 264
 Municipal court_____   109, 240                                                              114. 495
 R-Uniann  Resources  487, 281                                                                487, 281
 communication,   217, 577                                                                    217571.
 Information  Services  941, 297  50, 000                                                     991, 297
 E. S[lity Melntenance,                                                                       308,724
 Debt  Service  2, 692, 720                                                            408   2, 893, 128
 ICapltal -  Projects  6, 725, 000  100, 000  97, 000                                        6,922, 0001


 Current  Revenues  to Expenditures  121, 458 $ (  264, 233) $ (  6, 705, 000) $ (  494, 217) $ (  50, 000)   134, 191  6AS2 $ (  1, 755) $   2, 500 $ (  99, 436) $ $ (  9S, ZSO)   S  101,704 $ $ (  69,102)  5  163, 53S $   112, 699 (  7, 129, 729)

 Other  sources (  Uses):
 Debtlssuance
 i&m  4
 I'
                                                                                              147,L3 5
 Excess  Current  Revenue  121, 458
 Available for Transfer to Capltal-   272, 958
                                                                                y
 Transfers,  Out  2, 744, 217  soo                                15,000   20,000            2. 7119, 7171
 Total 9therS' o"Urje; jUs; sj '  1,$   Z, i7l,259)   201,  S If$   J'44, 21  J$   k,00O..!  S  95665  i$- (  20, 000)' I$.   J$ (  1, 50Q)  I$   lqlqOOf.[$   20,9.00)  Is  562,' 97k
 Nei Increase ( Decrjase),   2, 47:1, 259)  J$ 7 (  62" 720)' i$   P, 70P, OL0)  Is  2, 250, OPO  iZ9, 191  13, 213),$   1 ? S.5)  1 S  i3OOO !$ (  9!, j36) J$   95 2SO) Is  101, 704 is  Ls  b,.3 5  r, ;  S, 69 -  L$ ( 6, 68;, 211),
                                                                                        9
 Ending Fund b. la_._Ce  4, ii,IiZO  10i, 149 I[$   7, 61,  79)   Z, 929, 954 J$   J12373 ; 1$   2, 9   914  i45, 435, 1$   6 7  9 1 $   S1, 015  1$   97, 608 1$   21, Sib  92  100 I $   i,967  9, 226 - 1$   i7l. 236". rs  1,-  xi; 's
 FY24  PROPOSED -   911W023
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