FY 2020 Budget
2019-2020 Annual Budget GOVERNMENT WIDE FUNDS
SPECIAL REVENUE FUNDS
DEBT SERVICE FUNDS
CAPITAL PROJECTS FUNDS
GENERAL FUND
TOTAL
REVENUES: TAXES
4,107,398 $
1,350,475 $
$
577,666
$
- - -
$
6,035,539 1,292,654 2,439,201
TIF REVENUES
-
1,292,654 1,939,806
-
OTHER CITY TAXES SPECIAL ASSESSMENTS LICENSES AND PERMITS INTERGOVERNMENTAL CHARGES FOR SERVICES
492,026
7,369
-
- -
- -
165,181
165,181 74,550
74,550
-
1,107,816
1,596,774
59,903
459,325
3,223,818
206,570 89,575
359,539 15,700
-
-
566,109 124,275
USE OF MONEY AND PROPERTY
4,000
15,000
FINES AND FORFEITURES
-
- - -
- - -
- - -
-
MISCELLANEOUS PROCEEDS OF DEBT TOTAL REVENUES
162,100
162,100
-
-
6,240,035
6,554,948
648,938
639,506
14,083,427
EXPENDITURES: PUBLIC SAFETY PUBLIC WORKS
(3,127,839) (1,858,403)
(1,381,018) (388,601)
- - - - - -
- - - - - - -
(4,508,857) (2,247,004)
HEALTH AND SOCIAL SERVICES CULTURE AND RECREATION COMMUNITY AND ECON. DEVLOP
-
-
-
(1,702,757) (348,925) (1,412,003)
(388,845) (1,834,319) (672,791)
(2,091,602) (2,183,244) (2,084,794) (738,331) (1,936,841) (15,790,673)
GENERAL GOVERNMENT
DEBT SERVICE
- -
- -
(738,331)
CAPITAL PROJECTS
-
(1,936,841) (1,936,841)
TOTAL EXPENDITURES
(8,449,927)
(4,665,574)
(738,331)
EXCESS (DEFICIENCY) OF REVENUES OVER EXPENDITURES
(2,209,892)
1,889,374
(89,393)
(1,297,335)
(1,707,246)
OTHER FINANCING: TRANSFERS IN
2,979,096 (1,266,976)
1,047,951 (2,823,163)
279,650
3,240,834 (1,260,455)
7,547,531 (5,350,594)
TRANSFERS OUT
-
EXCESS (DEFICIENCY) OF REVENUES AND OTHER SOURCES OVER EXPENDITURES AND OTHER USES
$
(497,772)
$
114,162
$
190,257
$
683,044
$
489,691
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