Page 37 - CityofDalworthingtonGardensFY25AdoptedBudget
P. 37

115-COURT SECURITY SUMMARY




 BEGINNING FUND BALANE                  22,052                 33,759                 43,933               54,264               54,264             63,460  Variance Calculations


                                           FY 23/24                  FY 24/25
           FY 23/24                        Actual +     Proposed Budget          FY 24/25
 FY 23/24                FY 24/25
  FY 20/21        FY 21/22        FY 22/23       TOTAL             Projected                   r/(Under)      Proposed Budget
                                                         Ove
 REVENUE CATEGORY  Original   Proposed
                                                        FY 23/24 Actu
 Actual   Actual   Actual   Actual plus   Over/(Under)                                al   Over/(Under)
 Budget                  Budget
                                                              plus               FY 23/24 Budget
          Projected                        FY 23/24
                                            Budget         Projected
 Fines & Fees                  12,795                 10,287                 10,727                10,000               14,012             14,000                      4,012                          (12)         4,000  29%

 Miscellaneous Revenue                        171                         36                       548                     720                    708                  720                          (12)                           12             -  0%
 Other Sources                                                  -                            -                -
 TOTAL REVENUE                  12,966                 10,324                 11,275               10,720               14,720             14,720                      4,000                            (0)         4,000  27%






                                           FY 23/24                  FY 24/25
           FY 23/24                        Actual +     Proposed Budget          FY 24/25
 FY 23/24                FY 24/25
  FY 20/21        FY 21/22        FY 22/23       TOTAL             Projected                   r/(Under)      Proposed Budget
                                                         Ove
 EXPENDITURE CATEGORY  Original   Proposed
                                                        FY 23/24 Actu
 Actual   Actual   Actual   Actual plus   Over/(Under)                                al   Over/(Under)
 Budget                  Budget
                                                              plus               FY 23/24 Budget
          Projected                        FY 23/24
                                            Budget         Projected
 Personnel Salary & Wages                         -                         -                        732                     663                     -                    -                        (663)                          -            (663)
 Personnel Taxes & Benefits                         -                         -                        214                     208                     -                    -                        (208)                          -            (208)
 Training                         -                         -                         -                       -                      -                    -                          -                            -                -
 Materials & Supplies                     1,256                       150                        -                       -                  5,525                  100                      5,525                    (5,425)            100  100%
 Other Expenses                            2                        -                       -                      -                    -                            -                            -              -

 Capital Outlay                         -                         -                         -                       -                      -                    -                          -                            -                -
 Other Uses                         -                         -                         -                            -                          -                -
 TOTAL EXPENDITURES                    1,256                       152                       946                     871                 5,525                  100                      4,654                    (5,425)           (771)  -771%

 REVENUE OVER EXPENDITURES                  11,710                 10,171                 10,329                  9,849                 9,195             14,620                        (654)                     5,425         4,771  33%


 ENDING FUND BALANCE                  33,759                 43,933                 54,264               64,114               63,460             78,080
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