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FISCAL YEAR 2025-2026 PROPOSED BUDGET
                                                                                  CONSOLIDATED MUNICIPAL COURT BUILDING SECURITY TECH FUND


                                                                                      2022-2023           2023-2024           2024-2025             2025-2026
             FUND 117 | OTHER
                                                                                      ACTUAL               ACTUAL             APPROVED              ADOPTED
             30.8010            Other- Membership/Dues                                                                -                                 -                                      -                                          -
             30.8070            Other-Miscellaneous                                                                   -                                  -                                    -                                        -
             TOTAL OTHER                                                         $                              -    $                         -  $                            -  $                                -


                                                                                      2022-2023           2023-2024           2024-2025             2025-2026
             FUND 117 | CAPITAL OUTLAY
                                                                                      ACTUAL               ACTUAL             APPROVED              ADOPTED
             30.9010            Capital Outlay:Computer/Offc Equip                                                    -                                   -                                    -                                          -
             30.9030            Capital Outlay:Court Equipment                                                        -                                  -                                    -                                          -
             TOTAL CAPITAL OUTLAY                                                $                              -    $                         -  $                            -  $                                -
             TOTAL EXPENDITURES                                                  $                              -    $                         -  $                            -  $                                -


             REVENUES OVER (UNDER) EXPENDITURES                                                                      -                                    -                                    -                              27,000


             NET CHANGE IN FUND BALANCE                                          $                              -    $                         -  $                            -  $                          27,000

             BEGINNING FUND BALANCE - OCT 1
             ENDING FUND BALANCE - SEPT 30

             UNASSIGNED FUND BALANCE - SEPT 30


             AVERAGE DAILY EXPENDITURES
             NUMBER OF DAYS RESERVE


























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