COG Comprehensive Annual Financial Report
Schedule 24
Special Tax Districts Fund Schedule of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual For the Fiscal Year Ended June 30, 2018
Variance Positive (Negative)
Final
Budget
Actual
Revenues: Taxes:
Ad Valorem Taxes
$
679,600 140,000 819,600
$
735,575 173,226 908,801
$
55,975 33,226 89,201
Local Option Sales Tax
Total Taxes
Charges for Current Services: Other Revenue
48
48
Investment Income
9,240
9,240
Appropriated Fund Balance
849,491
(849,491)
Total Revenues
1,669,091
918,089
(751,002)
Expenditures: Neighborhood Development: Dunleath Historic District
282,091 348,000
23,888 75,389
258,203 272,611
College Hill Historic District Business Improvement District
1,039,000
1,038,331
669
Total Expenditures
1,669,091
1,137,608
531,483
Excess of Revenues Under Expenditures
$
(219,519)
(219,519)
Fund Balance - July 1
1,373,284
1,373,284
Fund Balance - June 30
1,153,765 $
1,153,765 $
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