Page 128 - CityofDalworthingtonGardensFY26AdoptedBudget
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FISCAL YEAR 2025-2026 PROPOSED BUDGET
 PARK AND RECREATION FACILITY DEVELOPMENT CORPORATION FUND



 40.8010  Other: Membership/Dues                3,000                  3,000                3,000                           3,000  0.0%



 40.8020  Other: Meetings                      -                      -                        -                                 -    0.0%
 40.8022  Other: Special Events                2,693                  7,941                3,575                             5,925  65.7%



 40.8028  Other: Cell Phone Reimbursement                   260                       65                        -                                 -    0.0%
 40.8035  Other: Marketing/Advertising                   575                      -                        -                                 -    0.0%

 40.8051  Other: Scout Projects                    -                        -                        -                                 -    0.0%
 40.8052  Other: Historical Committee                      -                       65                        -                               1,375  0.0%
 40.8068  Other: Economic Development Exp                   950                      -                        -                                 -    0.0%

 40.8070  Other: Misc                    -                        -                     200                                700  250.0%
 40.8085  Other:Interest on Cash Deficit                       0                      -                        -                                 -    0.0%

 FUND 180 |TOTAL OTHER                7,479  $            11,071  $              6,775                         11,000  62.4%


 40.9005  Capital Outlay:Buildings              20,532                      -                        -                                 -    0.0%

 40.9100  Capital Outlay:Vehicle                    -                        -                        -                                 -    0.0%
 40.9320  Capital Outlay:Park Improvemts            117,071                      -                        -                                 -    0.0%

 40.9350  Capital Outlay:Equipment                      -                      -                        -                                 -    0.0%
 FUND 180 | TOTAL CAPITAL OUTLAY            137,603  $                  -  $                -                                 -    0.0%


 FUND 180 | TOTAL EXPENDITURES            256,406  $            87,339  $          138,701                       152,791  10.2%





 REVENUES OVER (UNDER) EXPENDITURES               (18,947)               72,391              14,516                           7,709


 NET CHANGE IN FUND BALANCE             (18,947)               72,391                14,516                             7,709


 BEGINNING FUND BALANCE - OCT 1
 ENDING FUND BALANCE - SEPT 30             678,595              659,648


 UNASSIGNED FUND BALANCE - SEPT 30             678,595              659,649










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