Page 118 - CityofDalworthingtonGardensFY26AdoptedBudget
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FISCAL YEAR 2025-2026 PROPOSED BUDGET
 GENERAL DEBT  FUND



 150  |  DEBT  FUND  2022-2023  2023-2024  2024-2025        2025–2026
 GENERAL DEBT SERVICE  ACTUAL   ACTUAL  APPROVED            ADOPTED

 2022-2023  2023–2024             2024-2025                 2025-2026
 REVENUES
 ACTUAL   ACTUAL                 APPROVED                   ADOPTED
 00.4000  Taxes: Property-I&S Curr Year                                   370,702                                       355,137                                       374,964                                       374,964

 00.4005  Taxes: Property-I&S Prior Year                                               -                                                   -                                                  -                                                     -
 Total Taxes                                   370,702                                       355,137                                       374,964                                       374,964


 00.4800  Other Revenue-Int from Investm                                       5,711                                           7,176                                           8,725                                           6,500
 00.4890  Other Revenue-Miscellaneous                                               -                                                    -                                                   -
 Total Other Revenue                                       5,711                                           7,176                                           8,725                                           6,500

 00.4900  Transfer In                                               -                                                   -                                                    -                                                   -
 Total Other Sources                                               -                                                   -                                                  -                                                     -

 TOTAL REVENUES  $                               376,413  $                                   362,313  $                                   383,689  $                                   381,464
 2022-2023  2023–2024             2024-2025                 2025-2026
 EXPENDITURES
 ACTUAL   ACTUAL                 APPROVED                   ADOPTED
 40.7838  C.O. 2014 Principal                                     60,000                                         60,000                                       100,000                                       105,000

 40.7839  C.O. 2014 Interest Expense                                     48,025                                         46,225                                         44,125                                         40,625

 40.7840  G.O. 2017 Principal                                     85,000                                         85,000                                         50,000                                         50,000

 40.7841  G.O. 2017 Interest Expense                                   109,913                                       107,788                                       105,763                                       104,263

 40.7842  G.O. 2021 Principal                                     35,000                                         35,000                                         35,000                                         40,000

 40.7843  G.O. 2021 Interest Expense                                     29,306                                         27,906                                         26,506                                         25,006

 Total Debt Service                                   367,244                                       361,919                                       361,394                                       364,894

 40.8100  Debt Related Issuance Costs                                               -                                                   -                                                    -                                                   -
 40.8105  Debt Related Arbitrage Fees                                       4,250                                           1,500                                           2,000                                           2,000

 40.8110  Bond Refunding-Escrow Agent                                               -                                                   -                                                   -
 Total Other                                       4,250                                           1,500                                           2,000                                           2,000

 TOTAL EXPENDITURES  $                               371,494  $                                   363,419  $                                   363,394  $                                   366,894

 NET CHANGE IN FUND BALANCE  $                                   4,919  $                                      (1,106) $                                     20,295  $                                     14,570


 BEGINNING FUND BALANCE - OCT 1
 ENDING FUND BALANCE - SEPT 30                                     52,334                                          59,885


 UNASSIGNED FUND BALANCE - SEPT 30                                     52,334                                          59,885

 MATURITY DATES FOR BONDS
 2014 CO Tax and Revenue Bonds -02.01.2033
 2017 GO Refunding and Improvement Bonds — 02.01.2034
 2021 GO Bonds — 02.01.2034
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