Page 26 - CityofDalworthingtonGardensFY25AdoptedBudget
P. 26

110 - GENERAL FUND



                                        GENERAL FUND                           2022-2023           2023-2024           OCT-JUN      JUL-SEP                 2023-2024                       2024-2025            Variance      Variance

                                                                                                                                                                                                                 FY 24/25
                                                                                                                                                                                                 % Proposed     Proposed        FY 24/25
                                                                                                                                                                VARIANCE                                                      Proposed
                                                                                                                                                    YTD                                                             % of   Budget    vs    FY   Budget
                                                                                              Original    Amended                   3 months                Actual +  Projected       Proposed                                 Budget
                                                                                ACTUAL                               9 mths      Actual          Actual +                  Amended               23/24 Actual     vs
                                                                                              Budget      Budget                    Projected                 vs Amended              Budget                                     vs
                                                                                                                                                 Projected                  Budget                  plus                FY 23/24
                                                                                                                                                                Budget                                                        FY 23/24
                                                                                                                                                                                                  Projected                   Actual +    Amended Budget
                 Dept  Account Number    Account Description                                                                                                                                                    Projected
                  60   7215              Contractual:Filing Fees                                       100                     100                      100                         100                        -                          100                              -  100%                       100  100%                            -                            -
                  60   7300              Contractual:Computer System                                   960                 5,444                   5,444                      4,179                    1,431                      5,610                             165  103%                   5,720  102%                             111                           276
                  60   7420              Contractual:Animal Control Vet                                300                     500                      500                           75                       425                         500                              -  100%                       500  100%                            -                            -

                  60   7505              Contractual:Liability Insurance                            3,636                 4,544                   4,544                      3,460                    1,153                      4,613                               70  102%                   5,514  120%                           901                           970
                  60   7510              Contractual:Worker's Compensation                          1,549                 1,710                   1,710                      1,140                       427                      1,567                           (143)  92%                   1,585  101%                              17                         (125)
                  60   7515              Contractual: Inspections                                         40,000                 40,000                   70,961                 13,000                   83,961                       43,961  210%                 82,700  98%                       (1,261)                     42,700
                  60   7600              Contractual:Refuse Collection                                  -                      -                          -                      1,500                        -                      1,500                         1,500  0%                   1,500  100%                            -                        1,500


                       Public Works      Total Contractual                  $                      6,544 $            52,298 $              52,298                   81,414 $              16,437 $                97,851 $                    45,553  706%  $             97,619  100%  $                      (232) $                  45,321
                  60   8010              Other:Membership&Dues                                          -                      670                      670                          -                        670                         670                              -  100%                       150  22%                          (520)                         (520)
                  60   8028              Other:Cell Phone Reimbursement                                400                     360                      360                         100                        -                          100                           (260)  28%                       -    0%                          (100)                         (360)
                  60   8070              Other:Miscellaneous                                            -                      100                      100                          -                        100                         100                              -  100%                       600  600%                             500                           500
                       Public Works      Total Other                        $                         400 $              1,130 $                1,130                         100 $                    770 $                      870 $                        (260)  77%  $                  750  86%  $                      (120) $                      (380)
                  60   9100              Capital Outlay: Vehicle                                        -                        -                        -                           -                         -                           -                               -  0%                   2,750  0%                        2,750                       2,750
                  60   9350              Capital Outlay:Equipment                                       -                        -                        -                           -                         -                           -                               -  0%                       -    0%                            -                            -
                       Public Works      Total Capital Outlay               $                          -  $                  -  $                    -                           -  $                    -    $                        -  $                          -  0%  $               2,750  0%  $                    2,750 $                    2,750
                       Public Works      TOTAL EXPENDITURES                  $              162,676  $       327,868  $        327,868               251,432  $           81,483  $            332,914  $                  5,046  102% $        358,735  108%  $              25,611  $              30,867
                  40   9700              Transfer Out to Enterprise                                   5,187                      -                        -                           -                        -                            -                                -    0%                       -    0%                            -                            -
                  40   9700              Transfer Out to PRFDC                                    20,532                      -                        -                           -                        -                            -                                -    0%                         -  0%                            -                            -

                  40   9700              Transfer Out to CCPD                                            -                10,000                 10,000                          -                  10,000                    10,000                              -    100%                  10,000  100%                            -                            -

                  40   9700              Transfer Out to DPS Complex                            607,272               10,200                 10,200                   16,143                    5,453                    21,596                        11,396  212%                   9,000  42%                    (12,596)                      (1,200)


                  40   9700              Transfer Out to Oil Reserve                            113,901               35,000                 35,000                   14,774                    2,333                    17,107                      (17,893)  49%                11,000  64%                        (6,107)                    (24,000)





                  40   9700              Transfer Out to GF Capital Reserve-Tasers                              -                            -                  58,478                    58,478                        58,478  0%                         -  0%                    (58,478)                           -

                  40   9700              Transfer Out to GF Capital Reserve-Fire Truck                         25,000               25,000                 25,000                   18,750                    6,250                    25,000                              -    100%                  25,000  100%                            -                            -
                       Other Uses        Total Other Uses                   $                 771,892 $            80,200 $              80,200                   49,667 $              82,514 $              132,181 $                    51,981  165%  $             55,000  42%  $                (77,181) $                (25,200)
                                         TOTAL EXPENDITURES                  $          4,043,000  $   3,930,518  $     4,025,381           2,585,005  $       1,190,829  $       3,775,834  $             (249,547)  94%        4,014,606  106%  $            238,562  $             (43,982)
                                         Revenue Over/(Under) Expenditures   $            (207,766) $           2,656  $         (92,207)          1,004,733  $       (800,364) $           204,369  $              296,576                        0  $           (204,159) $               (3,046)
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