Adopted Budget (Final Document)
FY 2022-23 Combined Statement: Revenues, Expenditures and Changes in Fund Balance
Special Revenue
Capital Project
Debt
Internal Services
All
General
Service
Enterprise
Agency
Funds
SOURCES OF FUNDS Property Tax/Assessments
17,383,705 18,255,413
235,150
- - - -
- - - - - - - -
- - - -
- - - -
-
17,618,855 19,090,542
- - -
835,129
Other Taxes
223,975 69,412
- -
223,975 69,412
Licenses & Permits Fines & Penalties
1,454,787 1,482,540 8,216,201
92,083
204,425
448,355
112,841
51,950
2,364,441 15,392,505 72,495,504 2,757,625 37,250,802 167,263,661 44,887,532 38,945,383 2,545,245 12,312,642 9,464,552 37,250,801 60,072,986 205,479,142
Use of Money & Property
1,009,478 10,092,582
6,646,460 6,232,951 1,673,000 7,311,050
-
-
6,254,027
Other Agencies
36,786,276
11,167,494
- - -
Charges for Current Services
279,998
373,095 638,430
253,174
178,358 20,000
Other Revenues
3,145,538 50,511,568
679,674
25,456,110
Transfers In
TOTAL SOURCES
12,440,818
22,067,886
679,674
62,943,915
11,478,693
7,141,106
USES OF FUNDS Salaries Supplies and Services
28,127,753 18,385,442
6,323,138 3,247,680
- -
- - -
6,367,065 12,426,652
4,069,576 4,861,584 1,858,300
-
24,025
3,000
- -
63,000
620,945
-
Capital Outlay Debt Service Internal Services Transfers Out
11,700
-
672,363
3,955,184 2,499,403 26,544,035 32,121,946 84,535,230
-
7,673,395
4,420,614 1,521,585
1,476,182 1,400,406 1,000,486 13,447,891
248,858
7,312
762,575 571,953
49,607
7,212,823 26,950,554 34,475,235
- -
- -
-
-
Project Expenditures
TOTAL USES
52,470,094
679,674
12,123,988
7,747,028
SOURCE/USE VARIANCE
(1,958,526)
(1,007,073)
(12,407,349)
(0)
(21,591,315)
(645,296)
(605,922)
(38,215,480)
FUND BALANCE 7/1/22
26,606,965
12,645,075
26,607,782
343,016
63,632,508
15,068,933
7,255,618
152,159,897
PROJ. BALANCE 6/30/23
24,648,439
11,638,001
14,200,433
343,015
42,041,193
14,423,637
6,649,696
113,944,416
76 BUDGET SUMMARY
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