Page 59 - CityofDalworthingtonGardensFY25AdoptedBudget
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141  -  BOND CAPITAL STREET FUND  2022-23  2023-24  2023-24  2024-25    Variance         Variance


                                                                         FY 24/25         FY 24/25
                                                         % Proposed     Proposed
                VARIANCE                                                                 Proposed
  Original    YTD Actual +   Actual +    % of    Proposed   Budget    vs      Budget                      Budget
 ACTUAL                                                   FY 23/24          vs
 Budget   Projected   Projected vs   Budget  Budget      Actual plus               FY 23/24                  vs
                 Budget                                                                  FY 23/24
                                                                         Actual +
                                                          Projected
 Account Number  Account Description                                    Projected         Budget
 00.4800  Other Revenue: Interest                       33,144             10,665                       27,566                 16,901  258%                           -  0%                 (27,566)                    (10,665)
 00.4895  Other Revenue: Contributed Capital                     543,381           520,170                       36,789              (483,381)  7%                           -  0%                 (36,789)                  (520,170)

 Total Other Revenue  $                576,525  $       530,835  $                  64,355  $         (466,481)  0%  $                      -    0%  $            (64,355) $              (530,835)

 00.4900  Transfer In                             -                    -                               -                        -  0%                           -  0%                         -                             -
 00.4901  Bond Issuance                             -                    -                             -                          -  0%                           -  0%                         -                             -
 00.4902  Premium on Bonds Issued                             -                    -                             -                          -  0%                           -  0%                         -                             -
 Total Other Sources  $                         -  $                -  $                         -  $                     -  0%  $                      -    0%  $                    -  $                        -
 TOTAL REVENUE  $             576,525  $     530,835  $                64,355  $       (466,481)  0%  $                   -    0%  $          (64,355) $            (530,835)
 00.6602  Streets                     855,806           380,298                       25,200              (355,098)  7%                  519,016  2060%                493,816                   138,718


 Total Capital Outlay   $                855,806  $       380,298  $                    25,200  $         (355,098)  0%  $               519,016  2060%  $           493,816  $                 138,718
 40.8100  Debt Related Costs                             -                    -                             -                          -  0%                           -  0%                         -                             -
 Total Other   $                         -  $                -  $                         -  $                   -    0%  $                      -    0%  $                    -  $                        -
 40.9700  Transfer Out                       15,432             38,841                     133,848                 95,007  345%                           -  0%                (133,848)                    (38,841)
 Total Other Uses  $                  15,432  $           38,841  $                  133,848  $             95,007  0%  $                      -    0%  $          (133,848) $                 (38,841)

 TOTAL EXPENDITURES  $             871,238  $     419,139  $               159,048  $       (260,091)  0%  $           519,016  326%  $         359,968  $               99,877


 Revenue Over/(Under) Expenditures                (294,712) $     111,696 $               (94,693) $       (206,389)  $          (519,016)  $        (424,323) $            (630,712)
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