Page 196 - Bedford-FY25-26 Budget
P. 196
This governmental fund was established to have a pay-as-you-go maintenance fund
for the Library. Funding is provided through an operating transfer from the General
Fund. This allows the accumulation of funds for larger maintenance efforts that
Library
cannot be absorbed in the operating budget.
Maintenance
Fund (Closing)
This fund will be closed at the end of FY 2024-2025. The remaining fund balance
will be transferred to a committed fund balance in the new Facilities
Maintenance internal service fund.
Summary
City of Bedford, TX is projecting $0 of revenue in FY2026, which represents a 100% decrease over the prior year. Budgeted
expenditures are projected to decrease by 100% or $61.46K to $0 in FY2026.
$100K
$75K
$50K
Actual Revenue Source
Budgeted Revenue Source
Actual Expenditures
$25K
Budgeted Expenditures
$0
FY2023 FY2024 FY2025 FY2026
Library Maintenance Fund (Closing) Comprehensive Summary
Name FY2023 Actual FY2024 Actual FY2025 Amended Budget FY2025 Projected FY2026 Budgeted
Beginning Fund Balance: $75,339 $8,783 $34,818 $34,818 N/A
Revenues
Miscellaneous Income $3,595 $1,035 $1,644 $1,644 $0
Other Transfers In $25,000 $25,000 $25,000 $25,000 $0
Total Revenues: $28,595 $26,035 $26,644 $26,644 $0
Expenditures
Debt Service & Transfers $0 $0 $61,462 $61,462 $0
Capital Outlay $95,151 $0 $0 $0 $0
Total Expenditures: $95,151 $0 $61,462 $61,462 $0
Total Revenues Less Expenditures: -$66,556 $26,035 -$34,818 -$34,818 $0
Ending Fund Balance: $8,783 $34,818 $0 $0 N/A
City of Bedford, TX | Proposed Budget FY 2025-2026 Page 196