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Fiscal Year 2021 ‐ Budget1998‐2007 DS Funds2008 DS Fund2009 DS Fund2010 DS Fund2011 DS Fund 2012 DS Fund 2013 DS Fund 2014 DS Fund 2015 DS Fund 2016 DS Fund 2017 DS Fund 2018 DS Fund 2019 DS Fund 2020 DS Fund Combined Est.  Budget503/345 365 512 514 516 518 520 522 524 526 528 530 532 534 2020REVENUESSTREET IMPROVEMENT LEVY, LESS DLR296,171$       150,966$    181,518$     68,859$       121,883$     142,802$     84,582$       122,028$     144,016$     76,956$       84,591$       102,067$   101,430$   235,830$    1,913,699$          SPECIAL ASSESSMENTS20,251            ‐              16,764         4,321           11,015         25,582         15,023         18,722         25,599         9,712           31,824         33,700        ‐              ‐               212,513                INVESTMENT INCOME14,250            2,000          1,975           725              925              4,775           3,100           2,425           4,175           3,275           5,325           4,975          775             1,729          50,429                  OTHER‐                  ‐              ‐               ‐               ‐               ‐               ‐               ‐               ‐               ‐               ‐               ‐              ‐               ‐                           TOTAL REVENUES330,672          152,966      200,257       73,905         133,823       173,159       102,705       143,175       173,790       89,943         121,740       140,742     102,205     237,559      2,176,641             EXPENDITURESDEBT SERVICE:   PRINCIPAL520,000          145,000      165,000       80,000         100,000       145,000       115,000       130,000       165,000       90,000         155,000       150,000     60,000       ‐               2,020,000                INTEREST17,037            14,275        24,075         21,000         28,800         28,762         22,583         40,030         45,263         25,037         66,825         82,475        37,800       52,220        506,182                PAYING AGENT FEES2,500              450             250              400              250              150              550              450              450              450              ‐               ‐              450             450              6,800                    PROFESSIONAL SERVICE3,000              250             250              150              125              150              150              150              150              150              150               150             150             150              5,125                         TOTAL EXPENDITURES542,537          159,975      189,575       101,550       129,175       174,062       138,283       170,630       210,863       115,637       221,975       232,625     98,400       52,820        2,538,107             REVENUES OVER (UNDER) EXPENDITURES(211,865)$      (7,009)$       10,682$       (27,645)$     4,648$         (903)$           (35,578)$     (27,455)$     (37,073)$     (25,694)$     (100,235)$   (91,883)$    3,805$       184,739$    (361,466)$            (1)OTHER FINANCING SOURCES (USES)   CAPITALIZED INTEREST‐                  ‐              ‐               ‐               ‐               ‐               ‐               ‐               ‐               ‐               ‐               ‐              ‐              ‐                           BOND FUND CLOSED AND TRANSFERED IN‐                  ‐              ‐               ‐               ‐               ‐               ‐               ‐               ‐               ‐               ‐               ‐              ‐                           PROJECT SAVINGS TRANSFERED IN‐                  ‐              ‐               ‐               ‐               ‐               ‐               ‐               ‐               ‐               ‐               ‐              ‐              ‐                           DLR TRANSFERS IN50,000            ‐              35,000         41,728         30,000         ‐               ‐               ‐               ‐               ‐               ‐               ‐              ‐              156,728                TOTAL OTHER FINANCING SOURCES50,000            ‐              35,000         41,728         30,000         ‐               ‐               ‐               ‐               ‐               ‐               ‐              ‐              ‐               156,728                NET CHANGE IN FUND BALANCE(161,865)$      (7,009)$       45,682$       14,083$       34,648$       (903)$           (35,578)$     (27,455)$     (37,073)$     (25,694)$     (100,235)$   (91,883)$    3,805$       184,739$    (204,738)$            FUND BALANCE ‐ JANUARY 1 20211,295,067      169,576      141,733       53,514         61,188         382,907       276,355       216,882       366,108       286,614       441,835       460,318     21,092       52,620        4,225,809             EST. FUND BALANCE ‐ DECEMBER 31 2021 1,133,202$    162,567$    187,415$     67,597$       95,836$       382,004$     240,777$     189,427$     329,035$     260,920$     341,600$     368,435$   24,897$     237,359$    4,021,071$          1) Deby Levy Reduction plan called for use of Fund BalanceSTREET IMPROVEMENT DEBT SERVICE FUNDS37