Page 90 - CityofMansfieldFY25Budget
P. 90

BUDGET SUMMARY-ALL MAJOR FUNDS COMBINED
 FISCAL YEAR 2024-2025
                                              2024-2025         2023-2024          2022-2023
 Special   Debt   Capital                       Budget            Budget             Actual
 General  Revenue  Service  Projects  Enterprise  All Fund        All Fund          All Fund
 Fund  Funds  Funds  Funds*  Funds              Types              Types              Types

 SOURCES


 Property Taxes  $           56,549,824  $           22,633,200  $             79,183,024 $            73,385,766 $            69,429,703
 General Sales & Use Tax                 20,945,448               17,127,801                 4,477,647               42,550,896               41,649,288               40,707,475


 Franchise Taxes                 8,741,527                 8,741,527                 8,395,334                 8,949,636



 Fines & Fees                 1,731,000                    164,350                 2,708,173                 4,603,523                 5,135,853                 6,702,149



 Charges for Services                   2,050,000                 2,500,684                 7,309,994                 42,778,006               54,638,684               52,094,880               49,778,302
 Licenses & Permits                   2,743,888                   2,743,888                 2,771,994                 3,378,244
 Interest                      300,000                    350,000                      125,000                      775,000                    282,000                 8,789,097

 Miscellaneous Revenue                    848,611                        70,000                    918,611                    834,337                 4,984,543


 Bond Proceeds & Prior Year Projects*                   9,059,075               306,166,855             315,225,930             158,683,286               94,185,222

 Grant Proceeds & Contributions                    340,000                      340,000                    300,000               11,889,331
 Impact Fees                 4,000,000                      4,000,000                 2,500,000                 5,563,853


 Operating Transfers In                   5,527,782                    309,975                   2,819,417                 8,657,174                 9,256,955                 9,353,311
 TOTAL SOURCES               99,778,080               29,347,535               34,585,191             312,986,272               45,681,179               522,378,257             355,289,693             313,710,865
 USES

 Salary & Benefits                 62,242,474                 5,298,338                 1,527,041                 8,223,149                 77,291,002               73,417,249               68,586,960


 Operations & Maintenance                 14,654,059                 3,016,387               28,224,163               45,894,609               41,942,054               42,308,143


 Contactural Services               12,420,161                    881,000                      140,000                 1,190,091               14,631,252               12,274,411               14,543,994

 Other Miscellaneous Expenses                 1,692,004                    117,277                      458,410                   2,267,690                 3,095,694                 4,064,497
 Capital Outlay & Prior Year Projects*                 15,796,903             311,319,231               327,116,134             169,761,036               63,092,996


 Economic Incentives                 2,929,500                   2,929,500                 1,992,440                 3,283,437

 Reserve                 1,522,870                 3,439,675                   2,832,272                   7,794,816               11,690,183                           -
 Debt Service               34,585,191                  34,585,191               30,756,476               35,388,339


 Operating Transfers Out                 4,317,012                    797,956                 4,753,094                 9,868,062               10,360,150                 7,765,040



 Depreciation                                                        -                            -                 6,295,820

 TOTAL USES               99,778,080               29,347,535               34,585,191             312,986,272               45,681,179               522,378,257             355,289,693             245,329,226
 TOTAL SOURCES/(USES)                           -                            -                            -                            -                            -                            -                            -                 68,381,639


 BEGINNING NET ASSETS               32,601,574               35,725,734                 7,433,259               91,097,188             270,095,200             436,952,955             368,458,716             376,100,009

 TOTAL SOURCES/(USES)                            -                            -                            -                            -                            -                            -                            -               68,381,639

 ENDING NET ASSETS  $           32,601,574 $            35,725,734 $              7,433,259 $            91,097,188 $          270,095,200  $           436,952,955 $          368,458,716 $          444,481,648
 * Includes proceeds from previous bond issues and remaining funding for on-going projects.

 The difference between FY 2022-2023 ending net assets and FY 2024-2025 beginning net assets is due to other minor governmental funds included in the financial statements but not in the budget.


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