Adopted Budget (Final Document)
Summary of Revenues &Transfer In
2021
2022
2022
2023
2024
Amended Budget
Year End Projection
Actual
Adopted
Adopted
General Fund
Property Taxes (Secured and Unsecured)
$
11,011,736 4,499,046
$
10,803,488 4,451,000
$
11,300,925 4,757,965
$
11,672,422 5,091,023
$
12,031,500 5,295,000
VLF In-Lieu Property Tax
RDA Pass-Through
566,795
555,000
614,000
656,980
683,000
Sales Tax
10,597,100 1,299,126 2,471,875
10,699,601 2,235,300 2,375,000
12,141,348 2,235,300 2,551,000
11,950,308 2,600,000 2,760,000
12,218,967 2,800,000 2,873,800
Transient Occupancy Taxes Franchise (Refuse,Cable,PG&E)
Public Safety Sales Tax Property Transfer Tax
365,512 646,892
399,000 541,000
467,474 541,000
445,105 500,000
455,000 510,000
Total Taxes
$
31,458,081
$
32,059,389
$
34,609,012
$
35,675,838
$
36,867,267
Business License Other Permits
$
136,791 34,013 170,804 19,852 45,832 65,684
$
159,135 80,045 239,180 18,571 75,854 94,425
$
188,000 84,475 272,475
$
170,000 86,489 256,489 22,932 46,480 69,412
$
170,000 87,464 257,464 23,019 47,875 70,894
Total Licenses/Permits
$
$
$
$
$
Parking Enforcement
$
$
$
(2,307) 45,127 42,820
$
$
Code Compliance
Total Fines And Penalties
$
$
$
$
$
$
$
40,800
Motor Vehicle In-Lieu
$
40,357
$
26,026
$
26,026
40,000
Other Revenue/Other Agencies
6,262,946 6,303,303
6,221,518 6,247,544
6,098,358 6,124,384
1,475,820 1,515,820
1,003,589 1,044,389
Total Other Agencies
$
$
$
$
$
RCSD Programs
$
2,942,694 1,787,564
$
4,792,801 1,825,440
$
4,204,164 1,516,873
$
5,264,367 1,775,408
$
5,808,763 1,822,869
General Administration Overhead
Fire Fees
191,424 407,785
321,700 556,037
321,700 499,473
328,000 559,310
334,000 632,789
Other Charges For Current Services
Total Current Services
$
5,329,466
$
7,495,978
$
6,542,210
$
7,927,085
$
8,598,421
Interest Earnings Facility Rentals
$
134,982 120,642 516,537 415,977
$
251,558 506,683 571,878 261,095
$
150,000 495,678 570,819 327,088
$
200,000 819,459 574,829 327,100 81,100 75,000 650,000 150,000 750,000 355,000 904,438 180,000 1,921,387 3,145,538
$
250,000 952,826 584,293 334,400 81,100 75,000 650,000 150,000 788,000 373,000 949,760 180,000 2,121,519 3,246,860
Other Rentals Miscellaneous
Total Other Revenue
$
1,188,138
$
1,591,214
$
1,543,585
$
$
Transfer from Agricultural Preservation and Open S
$
-
$
-
$
-
$
$
Transfer from Park Development Transfer from Park Maintenance
75,000 650,004 100,000 708,864 54,127 699,696 204,988
75,000 650,000 125,000 714,318 649,526 699,735 180,000
75,000 650,000 125,000 714,318 324,763 829,099 180,000
Transfer from Public Safety
Transfer from Wastewater/Water
Transfer from Solid Waste
Transfer from Street Maintenance Transfer from Various Funds
Total Transfers In
$
2,492,679
$
3,093,579
$
2,898,180
$
$
Total General Fund
47,008,155 $
50,821,309 $
52,032,666 $
50,511,568 $
52,206,814 $
BUDGET SUMMARY 89
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