Page 122 - FY 2024-25 ADOPTED BUDGET
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GENERAL FUND

 TEN YEAR SUMMARY OF REVENUES AND EXPENDITURES

 FY 2015-16 TO 2024-25






 Actual    Actual               Actual               Actual                Actual
 Revenues by Source  2015-16  2016-17  2017-18      2018-19               2019-20

 Ad Valorem Taxes  $   10,365,511  $   10,670,866  $   11,312,436  $   12,076,838  $   13,172,607
 Franchise Taxes          1,631,434          1,524,760          1,399,945          1,546,789          1,444,339
 Other Taxes          2,173,723          2,319,533          2,456,901          2,895,454          3,315,099
 Licenses                98,713                   1,577                   1,445                26,808                15,463
 Permits and Filing Fees              515,236              661,986              444,173              676,545              638,656
 Fines and Forfeitures              802,523              826,297              748,566              687,162              669,883
 Use of Money and Property              106,167              147,018              173,905              254,723              150,384
 Revenue from Other Agencies              637,389              449,344              422,003              556,195              540,257
 Citizen Services              824,666              764,223              821,516              697,744              849,834
 Recreation Services                55,973                53,996                48,625                50,719                53,262
 Sale of Goods                28,718                37,461                29,322                27,001                14,601
 Other Revenue                   2,155                45,930                77,506               (31,012)                38,504

 TOTAL REVENUE  $   17,242,208     $   17,502,991  $   17,936,343  $   19,464,966  $   20,902,888

 Expenditures by Division
 General Government  $     1,814,921  $     1,937,738  $     1,982,517  $     2,156,889  $     2,160,934
 Staff Services  918,377  1,020,362  1,016,521       1,200,743            1,069,757
 Public Safety  9,362,889  9,914,721  10,268,960    10,431,134            9,669,200
 Public Services  3,181,993  3,331,694  3,402,292    3,835,985            4,108,396
 Community Development  763,599  882,081  739,384      757,961              810,827

 TOTAL EXPENDITURES  $   16,041,779  $   17,086,596  $   17,409,674  $   18,382,712  $   17,819,114


 EXCESS OF REVENUES OVER (UNDER) EXPENDITURES  $     1,200,429     $         416,395  $         526,669  $     1,082,254  $     3,083,775


 Other Financing Sources

 Transfers  (800,000)        (1,370,000)  (2,000,000)  (993,551)            (150,000)
 Unappropriated Reserves  -               (65,742)                 (2,266)            (714,804)            (952,170)
 TOTAL OTHER FINANCING SOURCES (USES)  $        (800,000)    $    (1,435,742)  $    (2,002,266)  $    (1,708,355)  $    (1,102,170)


 EXCESS OF REVENUES AND OTHER SOURCES
 OVER (UNDER) EXPENDITURES   $         400,429     $    (1,019,347)  $    (1,475,597)  $        (626,101)  $     1,981,605

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