Page 81 - CityofDalworthingtonGardensFY25AdoptedBudget
P. 81

185-CCPD FUND SUMMARY




 BEGINNING FUND BALANCE                  88,043               202,438               307,294               252,576             252,576              29,856  Variance Calculations

                                                          F
                                           FY 23/24                   Y 24/25
                                           Actual +       Proposed           FY 24/25
          FY 23/24
 FY 23/24                FY 24/25         Projected                    Budget          Proposed Budget
 FY 20/21       FY 21/22      FY 22/23      TOTAL
                                                        Over/(Under)
 REVENUE CATEGORY  Amended   Proposed   Over/(Under)                                  Over/(Under)
 Actual  Actual  Actual  Actual plus
                                                       FY 23/24 Actual
 Budget                  Budget            FY 23/24                            FY 23/24 Amended
          Projected
                                          Amended           plus                Budget
                                           Budget         Projected
 Sales & Use Tax                276,653               294,486               285,849               299,770             254,224            254,355                (45,546)                        131          (45,415)  -18%
 Other Revenue                          89                       821                    7,719                    7,200                 6,367                 3,205                      (833)                   (3,162)            (3,995)  -125%
 Other Sources                         -                     9,200                 81,198                 10,000               10,000              10,000                        -                         -                     -  0%
 TOTAL REVENUE                276,742               304,507               374,766               316,970             270,591            267,560                (46,378)                   (3,031)          (49,410)  -18%



                                                          F
                                           FY 23/24                   Y 24/25
                                           Actual +       Proposed      FY 23/24 Proposed
          FY 23/24
 FY 23/24                FY 24/25         Projected                    Budget          Budget
 FY 20/21       FY 21/22      FY 22/23      TOTAL
                                                        Over/(Under)
 EXPENDITURE CATEGORY  Amended   Proposed   Over/(Under)                                  Over/(Under)
 Actual  Actual  Actual  Actual plus
                                                       FY 23/24 Actual
 Budget                  Budget            FY 23/24                            FY 22/23 Amended
          Projected
                                          Amended           plus                Budget
                                           Budget         Projected

 Personnel Salary & Wages                131,092               110,195               117,226               170,521             183,391              86,877                 12,869                 (96,513)          (83,644)  -96%
 Personnel Taxes & Benefits                     9,379                 53,186                 57,641                 92,782               94,696              49,361                    1,914                 (45,335)          (43,421)  -88%
 Materials & Supplies                          56                        -                     4,622                        -                34,647                     -                   34,647                 (34,647)                  -
 Consultants                         -                         -                         -                         -                      -                      -                        -                         -                     -
 Contractual                         -                         -                         -                  14,000               10,950              16,300                  (3,050)                    5,350              2,300  14%
 Other Expenses                         -                         -                  19,250                        -                19,248              19,248                 19,248                         -            19,248  100%

 Capital Outlay                  21,820                 36,269               230,744               202,208             150,379              90,000                (51,829)                 (60,379)        (112,208)  -125%
 Other Uses                         -                         -                         -                         -                      -                      -                        -                         -                     -
 TOTAL EXPENDITURES                162,347               199,650               429,484               479,511             493,311            261,787                 13,800               (231,524)        (217,725)  -83%


 REVENUE OVER EXPENDITURES                114,395               104,856                (54,718)              (162,542)           (222,720)                 5,773                (60,178)                228,493         168,315  2915%

 ENDING FUND BALANCE                202,438               307,294               252,576                 90,034               29,856              35,630


               140,528               163,381               198,740               277,303             342,932            171,787
                       385                       448                       544                       760                    940                    471
                 34,651                 40,286                 49,004                 68,376               84,559              42,358
                       526                       687                       464                       119                       32                      76
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