FY 2018-19 and 2019-20 Adopted Operating and CIP Budget
Summary of Revenues &Transfer In (continued)
16-17
17-18
17-18
18-19
19-20
Year End Projection
Actual
Amended
Adopted
Adopted
Special Revenue Funds 202 Streets
$
722,044 129,709
$
761,530 100,395
$
742,310 100,000
$
751,089 100,202
$
738,968 100,135
205 Supplemental Law Enforcement
Planning Building
744,127
1,131,054 1,937,862
968,098
1,396,529 2,996,450
1,476,912 3,275,864
2,652,798 1,029,646
2,740,977
Engineering
601,640
771,034 46,032
462,524 24,265
495,976 14,682
Other Revenue
257,195
9,417
206 Development Services
4,683,767
3,679,973
4,526,141
4,879,768
5,263,434
207 Long Range Planning
744,726 24,959
706,212 120,000
726,991 120,052
741,894
736,371
215 CDBG
1,881
2,407 1,253 2,227
216 CDBG Revolving Loan
4,603
417 250
2,500 1,589
940
225 Asset Seizure
69,462 184,542 40,660 373,277
1,670
229 Lighting and Landscape District 230 Community Facilities District 232 Environmental Programs 234 Mobile Home Park Rent 235 Senior Housing Trust 236 Housing Mitigation 240 Employee Assistance 247 Environment Remediation 250 COMH Successor to MHRDA 255 Housing Successor Agency
187,321 43,340 382,164
187,690 43,574 450,290
188,591 44,198 394,158
189,158 44,504 409,842
5,876 2,362
3,931 1,633
4,072 2,400
661
873
3,347
4,462
2,847,585
842,443 30,966
2,198,682
1,613,912
2,336,690
26,602
28,400
28,949
29,256
1,596
1,104
1,500
2,118
2,824
9,308,555 1,653,243
7,131,889 1,285,374
8,751,321 2,130,706
7,946,430 2,386,006
6,935,750
553,622
Total Special Revenue Funds
$
20,823,568
$
15,278,942
$
20,018,218
$
19,085,814
$
17,351,776
Capital Project Funds 301 Park Impact
$
2,171,149
$
3,693,620
$
2,209,405 1,520,341 2,168,525
$
7,959,013 1,320,332 1,394,482
$
2,447,562 1,371,696 1,652,576
302 Park Maintenance
968,237
905,061
303 Local Drainage Impact
1,321,950
1,822,884
304 Local Drainage Impact-Non AB1600
171,987
70,894
151,373
80,981
83,498
306 Agricultural Preservation and Open Space
260,662
1,539,970 1,603,833 1,348,287 256,218 94,577 617,956 171,217 53,236 544,341 985,274 1,250,509
1,279,570 3,149,705
2,652,538 3,861,662 17,251,157
3,420,324 5,068,938 1,283,196
308 Streets CIP 309 Traffic Impact 311 Police Impact 313 Fire Impact
1,423,399
756,978 114,215 138,504 789,254 75,969 383,576 897,996 857,795 232,728
873,784 250,214 77,973 221,669 174,831
277,713 349,306 590,499 198,932 909,565 45,800 684,678
295,109 469,220 630,420 221,932 936,224 50,079 656,864
346 Public Facilities Impact-Non AB1600
347 Public Facilities Impact
348 Library Impact 350 Undergrounding
1,318,158
202,100 264,484
355 School Pedestrian and Traffic Safety 360 Community Recreation Centers Impact
1,003,623
1,275,010
1,359,693
Total Capital Project Funds
$
10,564,401
$
14,957,877
$
14,865,754
$
38,851,668
$
19,947,330
$
10,564,402
$
14,957,877
$
14,865,754
$
38,851,668
$
19,947,330
90 BUDGET SUMMARY
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