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Exhibit CC 03-01-2016 Item #21 Mid-Year Financial Report and Budget Adjustments for Fiscal Year 2015-16cc Proposed Budget: $113.6 ~ Capital Project Funds: $16.2 #J B .. · ,_. ·--'·"·· ·~, I ' .... ~n!~rp·~~~ F~nds: $10.8.I '3.--J-l(p Council and Commission: S0.8 ---Admlnls\ratlon: $5.0 • Law Enforcement: $11.0 Lq ·-~ Public-ili'fairs: $5.8 I Admln Services: S5.5 Planning: $22.5 ·--·M··I ~l ~:capital Projects/Non Departmental: $50.0 :,'~ ~~ .-J:} z ( 1 cc Fund $6,997,5 S ecial Revenue $9,102,42 Debt Service $1,106,22 $183,78 Internal Service Total All Funds $17,486,57 $47.6 $ ilw $51.1 $54.7 $19.3 $21.6 •-•--2011-12 2012-13 2013-14 2014-15 1 6 Month Actual 1 Year End Actual iJ Budget $500,00 $34,51 $111,87 $3,164,02 Amended Budget as Dec31 2015 $79,023,931 $36,067,21 $3,167,53 $69.4 $68.2 $24.9 I_ 2015-16 2 cc $90.0 $80.0 $70.0 $60.0 $50.0 $40.0 $30.0 $20.4 $20.0 I $1o.O $- 2011-12 2012-13 2013-14 2014-15 2015-16 -6MonthActual llllllllllYearEndActual -Budget c~TransfersOut 3 cc Funding Source Department Fund Department Expenditures Revenue Balance Administration (40,000) 0 Administrative Services 241,000 0 City Council and Commissions (5,145) 0 Recreation & Community Services 55,000 35,000 Planning & Community Development 120,000 0 Public Affairs 41,160 0 Public Works 291,000 0 Non-Departmental 3,018,725 0 4 cc Funding Source Department Fund Department Expenditures Revenue Balance Total General Fund 3,721,740 35,000 Public Affairs 190,985 227,000 Public Works 350,000 350,000 Non-Departmental 0 2,791,725 Total Other Funds 540,985 3,368,725 Total Restricted 0.76 0.76 Economi~ Uncertainty I 12.50 0.03 19.00 Ec01:10mic Uncertainty II 1.40 12.50 2.00 2.00 1.40 1.40 0.50 0.50 0.10 Equipment Fund Loan for lA Reserve for Encuthbr.ances 1.27 7.00 2.08 3.92 1.15 Wolfe Road Transportation Study 1.00 1.00 1.00 X-280 Trail Study 0.25 0.25 0.25 (0.25) Total Assigned 23.99 24.68 32.83 5 cc 6 cc 7