Page 56 - TownofWestlakeFY25BudgetOrd1005
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Parks and     Information    Human        Commun-
                                           Department                                                                          Police Services  FY2025 PROPOSED  FY2024 ADOPTED  CHANGE       FY2023 ACTUAL   FY2022 ACTUAL
                                                                         Recreation    Technology    Resources      ications


                          VISITORS ASSOCIATION FUND
                          BEGINNING FUND BALANCE                                                                                                    368,562         345,372                         430,479         183,189
                          REVENUES AND OTHER SOURCES
                               General Sales Tax
                               Property Tax
                               Hotel Occupancy Tax                                                                                                  500,000         446,000          54,000          503,153         457,230
                               Beverage Tax
                               Franchise Fees
                               Permits & Fees Other
                               Permits & Fees Building
                               Charge for Services
                               Fines and Forfeitures
                                                                                                                                                                                                      12,
                               Investment Earnings                                                                                                    5,000           5,000 -                                                             166  2,166
                               Contributions
                               Misc Income                                                                                                                            5,100 (         5,100)                                                    9,933
                                                                                                                                                                                                       3,598
                               Total Revenues                                                                                                       505,000         456,100           48,900         518,917         469,329
                               Transfers In                                                                                                                                                                          500,000
                               Total Other Sources                                                                                                                                                                   500,000
                          TOTAL REVENUES AND OTHER SOURCES                                                                                          505,000         456,100           48,900         518,917         969,329


                          FY2025 EXPENDITURES AND OTHER USES
                                                                                                                                                    315,
                               Total Payroll & Related                                                                188,520                                 -                      909  210,376  105,533  393,769  435,319
                                                                                                                                                    253,
                               Total Operations                                                                       135,500                                 -                      322  222,534  30,788  210,255   286,720
                               Facilities Expenditures
                               Transfers Out
                                                                                                                                                    569,
                          TOTAL EXPENDITURES AND OTHER USES                                                           324,020                                 -                      231  432,910  136,321  604,024  722,039

                          FY2025 WA SHARED SERVICES
                               Total Payroll & Related
                               Total Operations
                               Transfers Out
                          TOTAL WESTLAKE ACADEMY EXPENDITURES


                                                                                                                                                    569,
                          TOTAL FUND EXPENDITURES                                                                     324,020                                 -                      231  432,910  136,321  604,024  722,039
                          REVENUES OVER (UNDER) EXPENDITURES                                                          324,020)                                -                       (231)                        23,190                       (87,421)                      (85,107)                     247,290
                                                                                                                                                     64,
                          ENDING FUND BALANCE                                                                                                       304,331         368,562          64,231         345,372         430,479










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