Adopted Budget (Final Document)
FY 2022-23 Fund Balance Projection (continued)
07.01.2022
22-23
22-23
22-23
22-23
06.30.2023
Projected Starting Fund Balance
Projected Ending Fund Balance
Projected Revenues
Projected Transfers In
Projected Transfers Out
Projected Expenditures
Enterprise Funds 640
Wastewater Operations Wastewater Impact
$
3,895,947 8,593,950 2,841,176 27,770,164 2,967,257 2,805,850 3,287,045 11,471,120 63,632,508
$
14,758,357 4,401,111
$
-
$
6,808,776
$
9,363,651 21,453,674 8,963,945 12,430,883 1,818
$
2,481,877 4,017,289 2,889,358 12,205,892 3,267,395 2,885,536 3,285,683 11,008,163 42,041,193
641 642 643 650 651 652 653
13,310,782
834,880
Wastewater Rate Stabilization Wastewater Capital Project
-
50,000
-
208,276
6,502,180
13,310,782 4,914,120
Water Operations
17,094,770
550,372
Water Impact
939,258
- -
675,476
184,096
Water Rate Stabilization Water Capital Project
-
- -
1,362
86,033
5,042,776 25,456,110
5,591,766 57,991,196
Subtotal
$
$
37,487,805
$
$
26,544,035
$
$
Internal Service Funds 730
Information Systems Building Maintenance Building Replacement
1,029,342
2,233,768 1,655,704
- - - - - - - - - - - - - - - -
2,711
2,447,265 1,667,629 977,500 1,969,287 1,106,358 780,800 700,000 1,888,196 11,552,035 15,000
813,134 (11,578)
740 741 745 760 770 790 791 795
347
-
3,725,650
826,114
10,000
561,050
3,023,214
Capital Project Implementation Unemployment Insurance Workers' Compensation Equipment Replacement Employee Benefits Fund General Liability Insurance
55,590 316,471
1,977,307
7,603
56,007 303,788
2,317
- - - -
1,886,739 5,586,189 1,115,073 1,353,532 15,068,933
719,150
1,499,532 6,064,984 1,228,791 1,445,766 14,423,637
1,249,595 813,718 1,981,019 11,458,693
10,000
589
Subtotal
20,000
571,953
Agency Funds 250
COMH as the Successor Agency of the MHRDA
$
5,030,605
$
6,291,868
$
$
- - - - - - - - -
$
6,224,248
$
5,098,225
820 830 835 843 844 845 846 881
Special Deposits
73,344 107,119
550 768
-
73,894 98,455
Downtown MH PBID
9,432
MH Tourism Business Improvement District
1,726
13
-
1,739
MH Business Ranch - 1998 AD
1,133,231
5,724
740,110
398,845 42,868 831,986 75,492 28,192
MH Business Ranch Reassessment 2004 Madrone Business Park - Exempt Madrone Business Park - Taxable
42,549 765,911 73,151 27,982
319
-
749,403 92,251
683,328 89,910
Police Donation Trust
210
-
Subtotal
$
7,255,618
$
7,141,106
$
-
$
-
$
7,747,028
$
6,649,696
Total All Funds
$
152,159,897
$
130,012,859
$
37,250,802
$
37,250,801
$
168,228,340
$
113,944,416
BUDGET SUMMARY 81
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