2022 Annual Comprehensive Financial Report
Schedule 68
-14 3 Parking Facilities Capital Project Fund Schedule of Revenues and Expenses - Budget and Actual (Non-GAAP) From Project Inception and For the Year Ended June 30, 2022 Expenses: Capital Improvements: Parking Facilities Nonoperating Revenues: Investment Income Net Increase (Decrease) in the Fair Value of Investments Total Investment Income Excess of Revenues Under Expenses Before Other Financing Sources (Uses) Other Financing Sources (Uses): Transfers In - Parking Facilities Operating Fund Transfers In - Parking Facilities Capital Reserve Fund Transfers In - Parking Facilities Transfers Out -Parking Facilities Bond Fund Total Other Financing Sources (Uses) Appropriated Fund Balance Excess of Revenues and Other Financing Sources Over (Under) Expenses and Other Financing (Uses) $
Actual Current
Project
Prior Years
Total
Authorization
Year
To Date
2,794,962 $
$
831,122
$
589,464
1,420,586 $
20,334
10,963
31,297
(5,797) 14,537
(111,326) (100,363)
(117,123) (85,826)
(2,794,962)
(816,585)
(689,827)
(1,506,412)
2,617,795 280,000 171,114 (282,804) 2,786,105
1,320,998 280,000 2,304,873 (282,804) 3,623,067
200,000
1,520,998 280,000 2,304,873 (282,804) 3,823,067
200,000
8,857
2,806,482 $
(489,827) $
2,316,655 $
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