Page 294 - FY 2024-25 ADOPTED BUDGET
P. 294

DEBT SERVICE FUND

 TEN YEAR SUMMARY OF REVENUES AND EXPENDITURES

 ACTUAL AND ESTIMATED

 FY 2015-16 TO 2024-25
                                  Estimated           Variance
 Actual  Actual  Budget           12 Months          Favorable           Budget

 Revenues by Source  2021-22  2022-23  2023-24  2023-24  (Unfavorable)  2024-25


 Ad Valorem Taxes  $        870,179  $         571,065  $    1,199,414  $    1,201,455  $          (1,916) $    1,199,539
 Other Revenue  373  569                     500                     500                     -                     500

 Proceeds from Refunding Bonds                      -                       -                      -                      -                     -                      -
 TOTAL REVENUES  $        870,552  $         571,634  $    1,199,914  $    1,201,955  $          (1,916) $    1,200,039


 Expenditures

 Bond Principal Maturities
    General Obligation Bonds  $    1,370,000  $         305,000  $        950,000  $        950,000  $                -  $        985,000
    Certificates of Obligation                      -                      -                     -                      -
    Capitalized Leases                      -                      -                     -                      -
 Miscellaneous Expenses                      -                      -                     -                      -

 Interest  535,537  599,429  578,829  578,829                          -   544,763
 Agent Fees and Other Expenditures  3,800  4,100  3,800  4,100                     -  4,100
 TOTAL EXPENDITURES  $    1,909,337  $         908,529  $    1,532,629  $    1,532,929  $                -  $    1,533,863


 REVENUES OVER (UNDER) EXPENDITURES  $  (1,038,785) $        (336,895) $      (332,715) $      (330,974) $          (1,916) $      (333,824)


 Other Financing Sources

 Transfers-In
    Stormwater Utility Fund  $        742,415  $         331,485  $        338,485  $        338,485  $            1,634  $        340,119
    Other Funds  297,586                       -                      -                      -                     -                      -
 Transfers-Out                      -                       -                      -                      -                     -                      -
    Bond Escrow Account                      -                       -                      -                      -                     -                      -
 TOTAL OTHER FINANCING SOURCES   $    1,040,001  $         331,485  $        338,485  $        338,485  $            1,634  $        340,119


 REVENUES AND OTHER SOURCES OVER
 (UNDER) EXPENDITURES  $             1,216  $             (5,410) $             5,770  $             7,511  $              (282) $             6,295

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