CAFR 2017
Schedule 35
Debt Service Fund Schedule of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual For the Fiscal Year Ended June 30, 2017
Variance Positive (Negative)
Final
Budget
Actual
Revenues:
Interest Earnings: Investment Income
$
1,316,750
$
1,489,938 (408,968) 1,080,970
$
173,188 (408,968) (235,780)
Net Increase (Decrease) in the Fair Value of Investments
Total Investment Income
1,316,750
Miscellaneous: Sales and Use Tax Refund
116,000
120,799
4,799 9,720
Other Revenue
9,720
Total Miscellaneous
116,000
130,519
14,519
Appropriated Fund Balance
734,714
(734,714)
Total Revenues
2,167,464
1,211,489
(955,975)
Expenditures: Operating Expenditures: Personal Services
104,768 37,009 113,275 255,052
116,941 35,542 69,178 221,661
(12,173)
Fringe Benefits
1,467
Maintenance and Operations Total Operating Expenditures
44,097 33,391
Debt Service: Principal Retirement
14,182,432 8,424,090 1,064,565 23,671,087
11,612,462 5,172,199
2,569,970 3,251,891
Interest
Fees and Other
402,622
661,943
Total Debt Service Expenditures
17,187,283
6,483,804
Total Expenditures
23,926,139
17,408,944
6,517,195
Excess of Revenues Under Expenditures
(21,758,675)
(16,197,455)
5,561,220
Other Financing Sources (Uses): Debt Issuances: General Obligation Refunding Bonds Issued
62,590,000 10,276,035 (72,345,470) 21,238,110 21,758,675
62,590,000 10,500,223 (72,555,141) 21,240,623 21,775,705
Premium on Debt
224,188 (209,671)
Payment to Escrow Agent for Refunding of Debt
Transfers In
2,513
Total Other Financing Sources
17,030
Excess of Revenues and Other Financing Sources Over Expenditures
$
5,578,250
5,578,250
Fund Balance - July 1
10,909,425
10,909,425
Fund Balance - June 30
16,487,675 $
16,487,675 $
-93-
Made with FlippingBook - Online magazine maker