Page 63 - FY 2024-25 ADOPTED BUDGET
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TEN YEAR COMPARISON OF REVENUES AND EXPENDITURES

 OPERATING FUNDS (GENERAL FUND AND DEBT SERVICE FUND)

 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  $   10,775,138  $   10,670,866  $   11,820,511  $   12,722,537  $   13,635,240
 Franchise Taxes  1,631,434  1,524,760  1,399,945  1,546,789   1,444,339
 Sales & 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  637,689  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  $   17,652,135  $   17,502,992  $   18,444,418  $   20,110,665  $   21,365,522

 Expenditures by Function
 General Government  $     1,814,921  $     2,003,291  $     1,982,517  $     2,156,889  $     2,160,934
 Staff Services  918,377  1,003,403  1,016,521  1,200,743      1,069,757
 Public Safety  9,362,889  9,987,972  10,268,960  10,431,137   9,669,200
 Public Services  3,181,993  3,386,576  3,402,292  3,835,985   4,108,396
 Community Development  763,599  916,164  739,384  757,961       810,827
 Debt Service  1,495,107  954,816  1,519,300  1,540,099        1,549,905
 TOTAL EXPENDITURES  $   17,536,886  $   18,252,222  $   18,928,974  $   19,922,815  $   19,369,018

 VARIANCE REVENUES VERSUS EXPENDITURES  $         115,249  $        (749,230) $        (484,556) $         187,850  $     1,996,504
 Other Financing Sources

 Transfers-In  $     1,060,504  $         458,203  $     1,170,467  $     1,255,824  $     1,189,888
 Transfers-Out  (800,000)  (1,360,000)  (2,000,000)  (1,884,804)  (1,202,170)
 Adjustments                       -                       -  (2,266)                      -                       -
 TOTAL OTHER FINANCING SOURCES (USES)  $         260,504  $        (901,797) $        (831,799) $        (628,980) $          (12,282)


 VARIANCE REVENUES VERSUS EXPENDITURES  $         375,753  $    (1,651,027) $    (1,316,355) $        (441,130) $     1,984,222


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