2023 Annual Comprehensive Report
Schedule 4 0
Parks & Recreation Bond Fund - Series 2022 Schedule of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual From Project Inception and For the Fiscal Year Ended June 30, 2023
Actual Current
Project
Prior Years
Total
Authorization
Year
To Date
Expenditures: Capital Improvements: Culture and Recreation
$ 78,000,000
$
$
653,421
$
653,421
Excess of Revenues Under Expenditures
(78,000,000)
(653,421)
(653,421)
Other Financing Sources: Debt Issuances:
General Obligation Bonds Issued
70,000,000
24,850,000 2,292,413 8,000,000
24,850,000 2,292,413 8,000,000
Premium on Debt
Transfers In
8,000,000
Total Other Financing Sources
78,000,000
35,142,413
35,142,413
Excess of Revenues and Other Financing Sources Over Expenditures
$
34,488,992
34,488,992
Fund Balance - July 1
Fund Balance - June 30
$
$ 34,488,992
$ 34,488,992
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