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TEN YEAR COMPARISON OF REVENUES AND EXPENDITURES

 OPERATING FUNDS (GENERAL FUND AND DEBT SERVICE FUND)

 FY 2016-17 TO 2025-26




 Actual  Actual  Actual          Estimated           Budget
 Revenues by Source     2021-22  2022-23  2023-24  2024-25  2025-26     Trend
 Ad Valorem Taxes  $    14,758,918 $    16,068,225 $    17,346,295 $    17,779,284 $    18,589,771
 Franchise Taxes  1,234,011  1,291,484  1,333,688  1,227,053  1,235,000
 Sales & Other Taxes  3,907,011  4,690,258  4,379,798  4,510,100  4,510,000
 Licenses  17,260  18,295  23,485      18,800            18,800
 Permits and Filing Fees  993,460  464,497  408,102  627,000  362,000
 Fines and Forfeitures  510,500  449,447  692,637  671,383  624,000
 Use of Money and Property  95,941  725,485  1,333,829  1,019,500  569,500
 Revenue from Other Agencies  530,960  570,886  812,459  563,000  525,000
 Citizen Services  1,029,340  1,016,045  1,178,878  865,000  865,000
 Recreation Services  81,011  77,626  95,523  75,000     75,000
 Sale of Goods  78,476  334,377  19,393  182,670         23,250
 Other Revenue  56,516  32,639  221,068  30,500          30,500
 TOTAL REVENUE    $    23,293,405 $    25,739,264 $    27,845,155 $    27,569,290 $    27,427,821

 Expenditures by Function

 General Government  $       2,668,485 $       2,936,073 $       1,590,220 $       1,633,820 $       1,706,501
 Staff Services  1,174,034  1,253,391  1,331,296          1,608,362          1,727,480
 Public Safety  9,559,614  11,872,562  12,400,773        13,943,427        14,278,112
 Public Services  4,609,810  6,306,447  6,920,024          8,136,360          7,222,288
 Community Development  820,121  850,241  874,556              973,263              994,060
 Debt Service  1,909,337  908,529  1,534,079  1,533,863  1,268,338
 TOTAL EXPENDITURES  $    20,741,400 $    24,127,242 $    24,650,948 $    27,829,095 $    27,196,779

 VARIANCE REVENUES VERSUS EXPENDITURES    $       2,552,005 $       1,612,022 $       3,194,207 $         (259,805) $          231,042 $                    -
 Other Financing Sources

 Transfers-In    $       1,359,310 $       3,354,465 $       2,738,639 $          640,119 $          374,444
 Transfers-Out  (300,000)  (300,000)  (4,015,685)  (300,000)  (600,000)
 Adjustments                        -                        -                        -
 TOTAL OTHER FINANCING SOURCES (USES)    $       1,059,310 $       3,054,465 $     (1,277,046) $          340,119 $         (225,556)



 VARIANCE REVENUES VERSUS EXPENDITURES    $       3,611,315 $       4,666,487 $       1,917,161 $             80,314 $               5,486


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