Page 105 - CityofDalworthingtonGardensFY26AdoptedBudget
P. 105

FISCAL YEAR 2025-2026 PROPOSED BUDGET
                                                                                                        CIP STREET FUND


             141 | CIP STREET FUND                                                           2022–2023         2023–2024         2024–2025            2025–2026
             REVENUES                                                                        ACTUAL             ACTUAL           APPROVED             ADOPTED
             00.4800                            Other Revenue: Interest                                         33,144                    27,566                              -                                      -
             00.4895                            Other Revenue: Contributed Capital                          543,381                    36,789                              -                                      -

             Total Other Revenue                                                                              576,525                    64,355                          -                                  -
             00.4900                            Transfer In                                                             -                      2,323                              -                                      -
             00.4901                            Bond Issuance                                                           -                             -                                -                                      -
             00.4902                            Premium on Bonds Issued                                                 -                             -                                -                                      -
             Total Other Sources                                                                                    -                      2,323                          -                                  -


             TOTAL REVENUE                                                               $                 576,525  $                66,678  $                      -  $                              -


                                                                                             2022–2023         2023–2024         2024–2025            2025–2026
             EXPENDITURES
                                                                                             ACTUAL           PROJECTED          APPROVED             ADOPTED
             00.6602                            Streets                                                     855,806                    25,200                    519,016                            590,918

             Total Capital Outlay                                                                             855,806                    25,200                  519,016                            590,918

             40.8100                            Debt Related Costs                                                      -                               -                              -                                      -
             Total Other                                                                                            -                         -                            -                                  -
             40.9700                            Transfer Out                                                    15,432                  100,171                              -                                      -
             Total Other Uses                                                                                   15,432                  100,171                          -                                  -

             TOTAL EXPENDITURES                                                          $                 871,238  $              125,371  $                519,016  $                      590,918




             REVENUES OVER (UNDER) EXPENDITURES                                          $                (294,713) $               (58,693) $             (519,016)



             NET CHANGE IN FUND BALANCE                                                  $                  (294,713) $               (58,693) $             (519,016)

             BEGINNING FUND BALANCE - OCT 1
             ENDING FUND BALANCE - SEPT 30                                                                   908,422                  613,710


             UNASSIGNED FUND BALANCE - SEPT 30                                                               908,422                  613,710









                                                                                                                                                                                                                  51
   100   101   102   103   104   105   106   107   108   109   110