FY 24-26 ADOPTED BUDGET
Summary of Revenues & Transfer In
FY 22-23
FY 23-24
FY 23-24
FY 24-25
FY 25-26
Actual
Amended Year End Projection
Adopted
Adopted
General Fund
Property Taxes (Secured and Unsecured)
12,414,372 5,119,570
12,531,500 5,295,000
12,890,000 5,444,000
12,848,960 5,770,640
13,748,012 6,174,585
VLF In-Lieu Property Tax
RDA Pass-Through
644,655
683,000
782,000
828,920
886,944
Sales Tax
12,261,509 2,562,041 2,767,746
12,218,967 2,800,000 3,005,800
12,107,355 2,600,000 3,010,000
12,352,215 2,678,000 3,185,872
12,711,087 2,958,340 3,354,166
Transient Occupancy Taxes Franchise (Refuse,Cable,PG&E)
Public Safety Sales Tax Property Transfer Tax
423,088 378,297
455,000 510,000
451,390 510,000
464,254 600,000
478,182 642,000
Total Taxes
36,571,278
37,499,267
37,794,745
38,728,861
40,953,316
Business License Other Permits
147,660 669,022 816,681
200,000 97,464 297,464
200,000 95,039 295,039
200,000 114,239 314,239
200,000 116,239 316,239
Total Licenses/Permits
Parking Enforcement Code Compliance
(4,574) 54,912 50,338
23,019 47,875 70,894
29,800 47,875 77,675
29,800 55,000 84,800
29,800 55,000 84,800
Total Fines And Penalties
Motor Vehicle In-Lieu
47,613
40,800
60,000
61,800
63,654 866,895 930,549
Other Revenue/Other Agencies
1,349,139 1,396,752
1,483,733 1,524,533
1,593,738 1,653,738
1,924,881 1,986,681
Total Other Agencies
RCSD Programs
5,207,749 1,765,976
5,808,763 1,822,869
5,638,174 1,631,584
6,369,897 1,756,111
6,969,458 1,727,037
General Administration Overhead
Fire Fees
180,936 571,662
334,000 632,789
216,150 625,698
222,000 591,629
222,000 598,808
Other Charges For Current Services
Total Current Services
7,726,323
8,598,421
8,111,606
8,939,637
9,517,303
Interest Earnings Facility Rentals Other Rentals Miscellaneous
375,355
351,013 902,826 584,293 334,400
800,000
900,000
800,000
1,253,496
1,557,515
1,271,957
1,322,975
375,466 273,615
409,006 631,470
400,483 228,500
406,053 75,000
Total Other Revenue
2,277,932
2,172,532
3,397,991
2,800,941
2,604,029
Transfer from Agricultural Preservation and Open Space 81,100
81,100
81,100 145,427 75,000 650,000 277,000 788,000 472,354 845,311 180,000
81,100
81,100
Transfer from Environmental Remediation
-
-
-
-
Transfer from Park Development Transfer from Park Maintenance
75,000 650,000 150,000 750,000 392,680 785,024 180,000
75,000 650,000 150,000 788,000 468,680 949,760 180,000
100,000 650,000 150,000 827,400 540,328 851,932 165,000
100,000 650,000 150,000 868,780 563,961 851,932 165,000
Transfer from Public Safety
Transfer from Wastewater/Water
Transfer from Solid Waste
Transfer from Street Maintenance Transfer from Various Funds
Total Transfers In
3,063,803
3,342,540
3,514,192
3,365,760
3,430,773
Total General Fund
51,903,108
53,505,651
54,844,986
56,220,919
57,837,008
BUDGET SUMMARY 95
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