FY 18 Annual Report
Revenues and Expenditures by Category
CURRENT BUDGET
YEAR TO DATE
% OF
FY 2017 ACTUAL
ACTUAL
BUDGET
Dedicated Revenues by Category: TAXES
- - - - - - - - - - - - - - - - - -
- - - - - -
- - - - - -
LICENSES & PERMITS
USE OF MONEY/PROPERTY INTERGOVERNMENTAL CHARGES FOR SERVICE SPECIAL ASSESSMENTS
MISCELLANEOUS OTHER FINANCING
25,922.00
237.63
-
-
TOTAL DEPT. REVENUE
25,922.00
237.63
Expenditures by Category: SALARIES & WAGES
- - - - - - - - -
- - - - - - - - -
EMPLOYEE BENEFITS STAFF DEVELOPMENT
REPAIRS, MAINT, UTILITIES
CONTRACTUAL SVCS
COMMODITIES
12,000.00
28,313.64
235.95%
6,984.39
MINOR CAPITAL IMPROVEMENT
CAPITAL OUTLAY DEBT SERVICE
TRANSFERS
TOTAL DEPT. EXPENDITURES
12,000.00
28,313.64
235.95%
6,984.39
Summary Revenues and Expenditures by Fund Type Departmental activities are included in one budgetary category. This fund is classified as an Internal Service Fund. A description of the activities included in each of these fund types follows: Internal Service Fund - This is the main departmental fund and accounts for the purchase and dispersing of stock maintenance and repair items utilized by the City's vehicle fleet and equipment. Bulk purchasing of certain items can save the city money and these purchase are originally expensed from the Central Garage Fund and then charged back to the individual departments as items are used.
INTERNAL
SERVICE FUND
REVENUES
25,922.00 28,313.64
EXPENDITURES
(2,391.64)
-
-
-
-
REVENUES OVER/(UNDER) EXPENDITURES
141
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