Page 206 - CityofLakeWorthFY26AdoptedBudget
P. 206

CITY OF LAKE WORTH

                                                                                               2025/2026 ADOPTED BUDGET

                                                                                STREET MAINTENANCE SUMMARY (FUND 107)





                                                                                            2020/2021      2021/2022       2022/2023       2023/2024               2024/2025              2025/2026
                                                           CATEGORY                          ACTUAL          ACTUAL          ACTUAL          ACTUAL        ADOPTED        ESTIMATED        ADOPTED
                                         REVENUE
                                            SALES TAX
                                            INVESTMENT & MISC INCOME                               (729)        (10,532)        (71,382)       (77,335)        (72,025)        (53,086)        (47,750)
                                            TRANSFERS IN                                       (402,000)        (94,830)      (152,172)
                                            USE OF PRIOR YEAR RESERVES
                                         TOTAL REVENUE                                         (402,729)       (105,362)      (223,554)        (77,335)        (72,025)        (53,086)        (47,750)
                                         EXPENDITURES
                                            SALARIES (100 SERIES)
                                            SUPPLIES (200 SERIES)                                    95
                                            MAINTENANCE (300 & 400 SERIES)                      217,192          24,818        350,774         112,004         590,760         760,000        360,000
                                            SERVICES (500 SERIES)                                                                                 6,695          2,000           3,000           3,000
                                            MISCELLANEOUS (600 SERIES)
                                            EQUIPMENT (700 SERIES)
                                            CAPITAL (800 SERIES)
                                            TRANSFERS OUT (900 SERIES)
                                         TOTAL EXPENDITURES                                     217,287          24,818        350,774         118,699         592,760         763,000        363,000

                                         VARIANCE-(SURPLUS)/DEFICIT                            (185,442)        (80,544)       127,220          41,364         520,735         709,914        315,250


                                                                                          The Street Maintenance Fund does not fund any positions

                                         ESTIMATED FUND BALANCES


                                         Fund Balance 09/30/24                                1,401,509
                                         FYE 09/25 Estimated Surplus/(Deficit)                 (709,914)
                                         Estimated Fund Balance 09/30/25                        691,595
                                         FYE 09/26 Budgeted Surplus/(Deficit)                  (315,250)

                                         Estimated Fund Balance 09/30/26                        376,345
   201   202   203   204   205   206   207   208   209   210   211