Adopted Budget (Final Document)
FY 2023-24 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
17,972,000 18,857,767
235,150
- - - -
- - - - - - - -
- - - -
- - - -
-
18,207,150 19,692,896
- - -
835,129
Other Taxes
223,975 70,894
- -
223,975 70,894
Licenses & Permits Fines & Penalties
1,636,119 1,011,889 8,907,312
132,412
147,289
371,430
152,429
64,531
2,504,210 10,947,777 82,154,934 1,748,338 18,305,315 153,855,490 47,228,241 40,380,269 2,201,048 10,811,324 9,970,840 18,305,316 39,787,499 168,684,537
Use of Money & Property
1,054,952 13,089,832
2,623,783 7,583,544
-
-
6,257,153
Other Agencies
40,558,299
12,015,947
- - -
Charges for Current Services
279,998
373,095 671,333
815,000
260,769
19,476 20,000
Other Revenues
3,246,860 52,206,814
1,000,000
678,642
12,688,480 53,878,978
Transfers In
TOTAL SOURCES
15,556,775
12,169,616
678,642
12,207,852
7,156,813
USES OF FUNDS Salaries Supplies and Services
29,669,548 18,662,556
6,617,576 3,895,626
- - - -
- - -
6,656,737 13,006,555
4,284,381 4,791,507 1,575,850
-
24,025
-
- -
625,198
-
Capital Outlay Debt Service Internal Services Transfers Out
11,700
671,113
2,851,044 2,617,921 13,830,827 28,160,613 67,748,895
-
7,277,467
4,704,563 1,538,062
1,532,937 1,463,609
227,222
7,531
800,870 10,863
79,796
1,461,955 11,626,400
- -
- -
-
486
-
Project Expenditures
TOTAL USES
54,586,429
13,510,234
13,315,577
678,644
11,463,470
7,381,288
SOURCE/USE VARIANCE
(2,379,614)
2,046,541
(1,145,961)
(2)
(13,869,917)
744,382
(224,475)
(14,829,047)
FUND BALANCE 7/1/23
24,648,439
11,638,001
14,200,433
343,015
42,041,193
14,423,637
6,649,696
113,944,416
PROJ. BALANCE 6/30/24
22,268,825
13,684,542
13,054,472
343,014
28,171,276
15,168,019
6,425,221
99,115,370
BUDGET SUMMARY 77
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