Adopted Budget (Final Document)
FY 2023-24 Fund Balance Projection
07.01.2023
23-24
23-24
23-24
23-24
06.30.2024
Projected Starting Fund Balance
Projected Ending Fund Balance
Projected Revenues
Projected Transfers In
Projected Transfers Out
Projected Expenditures
General Fund 010
General Fund
$24,648,439
$48,959,954
$3,246,860
$1,538,062
$53,048,367
$14,924,832 7,343,993 22,268,825
General Fund Reserve
Subtotal
$
24,648,439
$
48,959,954
$
3,246,860
$
1,538,062
$
53,048,367
$
Special Revenue Funds 202
Street Maintenance
$
7,742
$
955,030 101,905
$
- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -
$
949,760 100,000 23,465
$
5,192 1,289
$
7,820
205 206 207 215 216 225 229 230 232 234 235 236 237 238 240 246 247 255 260 302 303 304 306 308 309 315 346 347 348 350 355 360 375
Supplemental Law Enforcement
192,570 216,648
193,186 238,103 929,007 (34,579) 67,551 131,694 122,536 141,484 333,879 59,190 241,743
Development Services Long Range Planning
6,291,896
6,246,976 1,562,915
1,480,609
903,392
110,000
2,079
CDBG
(34,157) 66,887 131,178 157,062 144,819 304,989 59,067 239,811
(339)
- - -
83
CDBG Revolving Fund
664
-
Asset Seizure
1,298
782
Lighting And Landscape District Community Facilities District
200,028 37,914 28,890
59
234,496 41,249 558,661
-
Environmental Programs Mobile Home Park Rent Senior Housing Trust
561,333
2,672
- - - - -
461 446
584
2,378
Inclusionary Housing In-Lieu Fee
4,757,410
4,451,482
10,489
919,410
8,278,993
BEGIN
267,603
3,061
9,963
260,701
Cal Homes
486
3
-
489
Employee Assistance
70,002
20,889
20,946
69,945
Countywide Solid Waste Administrative Services
966
1,645,138
373,000
1,273,097
7
Environmental Remediation Housing Successor Agency
137,104
1,358
-
633
137,829
3,386,925
239,202
2,085
1,170,025
2,454,017
Public Art Subtotal
50,280
668
-
-
50,948
$
11,638,001
$
14,885,441
$
671,333
$
1,463,609
$
12,046,625
$
13,684,542
Capital Project Funds 301
Park Impact
$
922,358
$
1,673,505
$
$
82,700 650,000 22,700
$
231,474
$
2,281,689 1,386,885 83,093 853,454 310,053 875,953 582,572 505,006 273,373 23,972 522,998 110,340 2,002,664 1,123,545 2,118,876 13,054,472
Park Maintenance
1,953,846 1,148,736 1,090,070 1,287,301 2,971,969 403,617 42,791 692,587 976,221 252,028 80,785 665,876 28,480 1,683,768 14,200,433
83,038 447,897 30,901
-
Local Drainage Impact
1,490,840 267,517 4,338,004 2,139,331 -
Local Drainage (Non-AB 1600)
-
Agricultural Preservation and Open Space
4,036
97,600
Street CIP
2,926,656 1,276,925
1,000,000
-
Traffic Impact
106,900 255,530 25,000 206,525 -
Public Safety Facilities Impact Public Facilities (Non-AB 1600)
801,703 822,102 176,602 657,457 22,520 492,717
6,393
1,009,682
Public Facilities Impact
4,278
Library Impact Undergrounding
15,824
-
1,175
School Pedestrian and Traffic Safety Community/Recreation Center Impact
15,000
534,529 1,285,575 529,000 11,853,622
1,142,697 610,860 11,169,616
- -
Quimby Fee
Subtotal
$
$
$
1,000,000
$
1,461,955
$
$
Debt Service Funds 420
Civic Center Debt Service
$
178,482 164,533 343,015
$
- -
$
290,850 387,792 678,642
$
- -
$
290,852 387,792 678,644
$
178,481 164,533 343,014
441
Police Facility Bond Debt Service
Subtotal
$
$
-
$
$
-
$
$
82 BUDGET SUMMARY
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