FY2020 Budget
SECTION 2. MUNICIPAL SERVICE DISTRICT FUND
ANTICIPATED REVENUES
Ad Valorem Special District Tax
100,700
Transfer from General Fund
110,000
Total Anticipated Revenues
$210,700
AUTHORIZED EXPENDITURES
Operations
210,700
Total Anticipated Expenditures
$210,700
SECTION 3. STORMWATER FUND
ANTICIPATED REVENUES
Permits, Sales and Fees
638,300
Total Anticipated Revenues
$638,300
AUTHORIZED EXPENDITURES
Personnel
270,300
Operations
313,000
Capital Outlay
55,000
0Transfer out to Capital Project
-
Total Anticipated Expenditures
$638,300
SECTION 4. OTHER POST EMPLOYMENT BENEFITS (OPEB) FUND
ANTICIPATED REVENUES
Transfer from General Fund
326,100
Interest
29,360
Total Anticipated Revenues
$355,460
AUTHORIZED EXPENDITURES
Net Assets in Trust
312,935
OPEB Benefits Paid
42,525
Total Expenditures
$355,460
46
Made with FlippingBook Online newsletter