FY 24-26 ADOPTED BUDGET
FY 2025 - 26 Fund Balance Projection
07.01.2025 Projected Starting Fund Balance
25-26
25-26
25-26
25-26
06.30.2026
Projected Revenues
Projected Transfers In
Projected Transfers Out
Projected Expenditures
Projected Ending Fund Balance
010 General Fund
21,187,816
54,406,235
3,430,773
1,496,155
61,756,747
15,771,922
Special Revenue Funds
202 Street Maintenance
60,419 382,475 (939,597) 123,462
853,597 111,065
- - - - - - - - - - - - - - - - -
851,932 100,000 23,805
5,560 1,380
56,524 392,160
205 Supplemental Law Enforcement
206 Development Services 207 Long Range Planning
5,878,318
6,466,535 1,139,548
(1,551,619) (192,133)
717,760
110,000
3,807
215 CDBG
31,669
917
- - - - -
90
32,496
216 CDBG Revolving Fund
2,641
77
-
2,718
225 Asset Seizure
107,608 196,113 113,892 539,804 84,698 256,265 625,309 135,591 27,848 7,034,861
1,631
840
108,399 184,393 117,829 595,675 86,655 263,206
229 Lighting And Landscape District 230 Community Facilities District
207,135 28,314 53,331
218,856 24,377 467,817
232 Environmental Programs 234 Mobile Home Park Rent 235 Senior Housing Trust
471,955
1,597
2,447 7,421
- -
490 480
236 Housing Mitigation
3,032,409
11,021
1,258,777
8,797,472
237 BEGIN
17,960
- - -
10,670
632,599 139,521
238 Cal Homes
3,930
-
240 Employee Assistance
481
21,010
7,319
Countywide Solid Waste Administrative Services
246
222,653
2,393,478
563,961
1,843,607 1,372,899
208,563
255 Housing Successor Agency
2,793,482
418,260
2,432
1,836,411
260 Public Art
33,576
869
-
6,430
28,015
Subtotal
11,832,769
13,729,400
581,955
1,558,556
12,839,365
11,746,202
Capital Project Funds
301 Park Impact
501,033 122,282 59,278 769,889
2,324,852
-
107,700 650,000 22,700
1,497,665
1,220,520
302 Park Maintenance 303 Local Drainage Impact
8,792
1,000,000
-
481,074
3,672,294
- -
2,108,713
1,600,158
304 Local Drainage (Non-AB 1600)
28,357
-
265,529
532,717
306 Agricultural Preservation and Open Space
408,198
10,461
-
97,600
31,170
289,889
308 Street CIP
2,725,909 3,862,441
6,777,340 3,584,714 2,217,137
1,000,000
-
7,457,905 3,434,879
3,045,344 3,905,376 1,248,044
309 Traffic Impact
- - - - - - - -
106,900
315 Public Safety Facilities Impact 346 Public Facilities (Non-AB 1600)
294,082 994,254 21,578 396,438
1,256,325
6,850
26,226 994,483
-
162,289 791,477
858,191 199,584
347 Public Facilities Impact
25,000 208,756
348 Library Impact 350 Undergrounding
2,180,740
6,730
2,361,692
1,482,935 2,010,456
47,258
- - -
1,050,456 3,789,298 2,363,117 22,966,078
479,737
360 Community/Recreation Center Impact
3,802,095 4,268,487 29,943,236
2,023,253 2,320,880 20,566,459
375 Quimby Fee
415,510
Subtotal
14,064,282
2,000,000
2,474,981
Debt Service Funds 420 Civic Center Debt Service
188,831 172,880 361,711
5,509 5,011
296,867 389,293 686,160
- - -
294,598 389,293 683,891
196,609 177,891 374,500
441 Police Facility Bond Debt Service
Subtotal
10,520
88 BUDGET SUMMARY
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