Page 291 - FY 2024-25 ADOPTED BUDGET
P. 291

DEBT SERVICE FUND

                              TEN YEAR SUMMARY OF REVENUES AND EXPENDITURES
                              ACTUAL AND ESTIMATED

                              FY 2015-16 TO FY 2024-25


                                                                                                       Actual            Actual           Actual            Actual           Actual           Actual

                                                          Revenues by Source                          2015-16           2016-17          2017-18          2018-19           2019-20          2020-21

                                             Ad Valorem Taxes                                       $        409,627  $        470,706  $        508,075  $        645,696  $        462,633  $        477,298

                                             Other Revenue                                                              -                      -                      -                      -                      -                      -
                                             Proceeds from Refunding Bonds                                              -                      -                      -                      -                      -                      -
                                             TOTAL REVENUES                                         $        409,627  $        470,706  $        508,075  $        645,696  $        462,633  $        477,298


                                                              Expenditures

                                             Bond Principal Maturities
                                                General Obligation Bonds                            $    1,260,000   $    1,410,011   $    1,340,000    $    1,390,000   $    1,430,000    $    1,520,000
                                                Certificates of Obligation                                              -                      -                      -                      -                      -                      -
                                                Capitalized Leases                                                      -                      -                      -                      -                      -                      -
                                             Miscellaneous Expenses                                                     -                      -                      -                      -                      -                      -
                                             Interest                                                    234,807          107,414           179,000          149,799          119,605            84,959
                                             Agent Fees and Other Expenditures                            12,705               300               300              300              300               300

                                             TOTAL EXPENDITURES                                     $    1,507,512   $    1,517,725   $    1,519,300    $    1,540,099   $    1,549,905    $    1,605,259

                                             REVENUES OVER (UNDER) EXPENDITURES                     $   (1,097,885) $   (1,047,019) $    (1,011,225) $      (894,403) $    (1,087,272) $     (1,127,961)


                                                        Other Financing Sources

                                             Transfers-In
                                                Stormwater Utility Fund                             $        568,236  $        582,188  $        578,580  $        586,189  $        586,752  $        733,366
                                                Other Funds                                                   492,268            490,566            491,887            493,186            503,136            501,203
                                             Transfers-Out                                                              -                      -                      -                      -                      -                      -
                                                Bond Escrow Account                                                     -                      -                      -                      -                      -                      -
                                             TOTAL OTHER FINANCING SOURCES                          $    1,060,504   $    1,072,754   $    1,070,467    $    1,079,375   $    1,089,888    $    1,234,569

                                             REVENUES AND OTHER SOURCES OVER
                                             (UNDER) EXPENDITURES                                   $         (37,381) $          25,735  $          59,242  $        184,972  $             2,616  $        106,608

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