2024 Annual Comprehensive Report
Schedule 5 8
Coliseum Capital Improvement Bond Fund Schedule of Revenues and Expenses - Budget and Actual (Non-GAAP) From Project Inception and For the Year Ended June 30, 2024
Actual Current
Project
Prior Years
Total
Authorization
Year
To Date
Revenues: Sales and Use Tax Refund
$
410,000
$
460,664
$
$
460,664
Expenses:
Capital Improvements: Development League Offices
908,197 3,997,771 4,638,034 8,732,564 5,751,340 5,941,111 1,034,587 31,003,604
908,197 3,987,834 4,622,128 8,722,184 5,788,404 5,941,110
908,197 3,987,834 4,622,128 8,722,184 5,807,464 5,941,110
Parking Improvements Roof Replacement
Aquatic Center Pool Addition Other Facility Improvements
19,060
Fieldhouse
Bond Issue Expense
29,969,857
19,060
29,988,917
Total Expenses
Excess of Revenues Under Expenses Before Other Financing Sources
(30,593,604)
(29,509,193)
(19,060)
(29,528,253)
Nonoperating Revenues: Investment Income
223,193 1,000,000 1,223,193
200,000 1,000,000 1,200,000
223,193 1,000,000 1,223,193
Donations and Private Contributions Total Nonoperating Revenues
Excess of Revenues Under Expenses Before Other Financing Sources
(29,393,604)
(28,286,000)
(19,060)
(28,305,060)
Other Financing Sources: Transfer from Hotel/Motel Occupancy Tax Fund
28,275,000 1,118,604 29,393,604
27,542,141 1,118,604 28,660,745
27,542,141 1,118,604 28,660,745
Transfer from Coliseum Fund
Total Other Financing Sources
Excess of Revenues and Other Financing Sources Over (Under) Expenses
$
$
374,745
$
(19,060)
$
355,685
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