FINAL ADOPTED BUDGET 2020-2021
PARKING FACILITIES OPERATING FUND Parking Operations: Transportation staff manages all City-owned parking facilities, including on- and off-street facilities, spaces, etc. Staff collects and accounts for revenue, installs and maintains traffic counting devices, coordinates monthly parking contracts and maintains parking facilities and equipment. The current inventory of off-street parking includes the Davie, Greene, Church and Bellemeade parking decks and six surface lots.
Actual
Budget 2019-20
Adopted 2020-21
Projected
2018-19
2021-22
Expenditures by Program Parking Operations
4,299,500
2,119,532
3,530,500
6,575,630
Total
4,299,500
2,119,532
3,530,500
6,575,630
Actual
Budget 2019-20
Adopted 2020-21
Projected
2018-19
2021-22
Full-time Equivalents by Program Parking Operations
16.7 5
19.7 5
13.7 5
13.7 5
Total
16.7 5
13.7 5
13.7 5
19.7 5
Actual 2018-19
Budget 2019-20
Adopted 2020-21
Projected
2021-22
Expenditures by Type Personnel Costs
1,032,965 3,238,535
889,816
924,457
1,208,360 5,339,270
Maintenance & Operations
1,229,716
2,606,043
28,000
Capital Outlay
-
-
28,000
Total
4,299,500
2,119,532
3,530,500
6,575,630
Revenues by Type User Charges Other Revenues Interfund Transfers
4,284,500
3,265,031
3,515,500
5,111,800
15,000
136,770
15,000
15,000 460,000 988,830
- -
-
- -
Appropriated Fund Balance
396,167
Total
4,299,500
3,797,968
3,530,500
6,575,630
Adopted 2020-21 Budget
102
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