Page 108 - CityofDalworthingtonGardensFY26AdoptedBudget
P. 108

FISCAL YEAR 2025-2026 PROPOSED BUDGET
 CIP CITY HALL FUND


 142 |  CIP CITY HALL FUND  2022-2023  2023-2024  2024-2025     2025-2026
 REVENUES  ACTUAL   ACTUAL            APPROVED                  ADOPTED
 00.4800  Other Revenue:GO 2017 Interest                                     14,464                           15,270                             4,000                                           -

 00.4886  Other Revenue: Grants                                              -                                       -                                           -
 Total Other Revenue                                     14,464                           15,270                             4,000  $                                   -

 00.4900  Other Financing Source: Transfer From 112                                   607,272                           21,570                      1,179,994                                           -


 Total Other Financing Source                                   607,272                           21,570                      1,179,994  $                                   -
 TOTAL REVENUES  $                               621,736  $                       36,840  $                  1,183,994  $                                   -




 2022-2023      2023-2024              2024-2025                2025-2026
 EXPENDITURES
 ACTUAL         ACTUAL                APPROVED                  ADOPTED
 00.6230  Mat/Supplies:Office Equip                                              -                                       -                                     -                                           -
 00.6276  Mat/Supplies:Furnishings                                                -                                     -                                     -                                           -
 Total Materials & Supplies                                          -                                   -  $                                   -
 00.6602  New City Hall                                              -                                       -                                           -
 00.6603  DPS Complex                                     54,924                             2,400                         872,108                                           -

 Total Projects                                     54,924                             2,400                         872,108  $                                   -

 00.6810  Maintenance:Bldg/Grounds/Park                                                -                                     -                                     -                                           -
 Total Maintenance                                          -                                   -                                 -  $                                   -
 00.9010  Capital Outlay:Computer/Offc                                              -                                       -                                           -
 00.9325  Capital Outlay:Building Improvem                                              -                                       -                           60,000                            1,176,045


 Total Capital Outlay                                             -                                 -                           60,000  $                        1,176,045
 00.9700  Transfer Out                                                                            -
 Total Other Uses                                          -                                   -                                 -  $                                   -


 TOTAL EXPENDITURES  $                                 54,924  $                         2,400  $                     932,108  $                        1,176,045














                                                                                                    52
   103   104   105   106   107   108   109   110   111   112   113