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HomeMy WebLinkAboutRes 2013-23RESOLUTION NO. 2013-23 A RESOLUTION OF THE MAYOR AND COUNCIL OF THE TOWN OF FOUNTAIN HILLS, ARIZONA, ADOPTING THE TENTATIVE BUDGET AS THE 2013 -2014 FISCAL YEAR BUDGET FOR THE TOWN OF FOUNTAIN HILLS. WHEREAS, in accordance with the provisions of Title 42, Chapter 17, Arizona Revised Statutes (the "Applicable Law "), the Mayor and Council of the Town of Fountain Hills (the "Town Council ") did, on May 16, 2013, prepare (i) a full and complete statement of the Town's financial affairs for the preceding fiscal year and (ii) an estimate of the different amounts that will be required to meet the Town's public expense for the current fiscal year, including all of the items prescribed by ARiz. REv. STAT. § 42- 17102, which estimate was entered in the Town Council's minutes; and WHEREAS, in accordance with the Applicable Law, and following due public notice, the Town Council met on May 16, 2013, at which meeting any taxpayer was provided the opportunity to appear and be heard in favor of or against any of the proposed expenditures /expenses or tax levies; and WHEREAS, publication has been duly made as required by law, of said estimates together with a notice that the Town Council would meet on June 20, 2013, at the Fountain Hills Town Council Chambers for the purpose of hearing taxpayers and with respect to said estimates or any of the proposed expenditures /expenses or tax levies. NOW, THEREFORE, BE IT RESOLVED BY THE MAYOR AND COUNCIL OF THE TOWN OF FOUNTAIN HILLS as follows: SECTION 1. The recitals above are hereby incorporated as if fully set forth herein. SECTION 2. The statements and schedules attached hereto as Exhibit A and incorporated herein by reference, are hereby adopted as the budget of the Town of Fountain Hills, Arizona, for the fiscal year July 1, 2013 through June 30, 2014. SECTION 3. The Mayor, the Town Manager, the Town Clerk and the Town Attorney are hereby authorized and directed to take all steps necessary to carry out the purpose and intent of this Resolution. PASSED AND ADOPTED by the Mayor and Council of the Town of Fountain Hills, Arizona, June 20, 2013. FOR THE TOWN OF FOUNTAIN HILLS R�w =2t REVIEWED BY: Kenneth W. Buchanan, Town Manager 1961421.2 ATTESTED TO: APPROVED AS TO FORM: EXHIBIT A TO RESOLUTION NO. 2013-23 [Budget Statements and Schedules] See following pages. 1961421.2 TOWN OF FOUNTAIN HILLS Summary Schedule of Estimated Revenues and Expenditures/Expenses Fiscal Year 2014 EXPENDITURE LIMITATION COMPARISON 1. Budgeted expenditures/expenses 2. Add/sublmct: estimated not reconciling items 3. Budgeted expentlitures/expenses adjusted for reconciling items 4. Less: estimated exclusions 5. Amount subject to the expenditure limitation 6. EEC or voter-approved alternative expenditure limitation 07he c0yAown does not levy property taxes and does not have special assessment districts for which property taxes are levied. Therefore, Schedule B has been omihed. • Includes Expenditure/Expense Adjustments Approved in current year from Schedule E. '• Includes actual amounts as of the date the proposed budget was prepared, adjusted for estimated activity for the remainder of the fiscal year. Amounts in this column represent Fund Balance/Net Position amounts except for amounts not In spendable form (e.g., prepaids and Inventories) or legally or contractually required to be maintained Intact (e.g., principal of a permanent fund). 4/13 SCHEDULE A ESTIMATED ADOPTED FUND REVENUES TOTAL BUDGETED ACTUAL BALANCE/ OTHER THAN FINANCIAL BUDGETED EXPENDITURES/ EXPENDITURES/ NET PROPERTYTAX PROPERTY OTHER FINANCING INTERFUND TRANSFERS RESOURCES EXPENDITURES/ EXPENSES* EXPENSES— POSITION"' REVENUES TAXES 2014 2014 AVAILABLE EXPENSES FUND 2013 2013 July 1, 2013^ 2014 2014 SOURCES <USES> IN <DITT> 2014 2074 1. General Fund Primary: $ 13,115619 s 13,115619 $ 6,867,842 $ S 13,183,057 $ $ $ S 377258 $ 19,673641 $ 13,1 057 2. Special Revenue Funds Secondary: 4,088 413 4048 413 2,188121 3,869 871 2,093,354 3,961.838 8 013 596 3. Debt Service Funds Available 2,500723 2,500,723 90,474 1,013,040 2,232,088 183,500 3,529,112 2,552,485 4. Less: Amounts for Future Debt Retirement NO- S. Total Debt Service Funds 2,500,723 - 2,500,723 90,474 1,013,040 2,232,098 193,500 3,529,112 2,552,485 6. Capital Projects Funds 11,3D3,281 11,303,287 7,382,762 14,621,732 B 00,000 R B 00,1100 ,2 2,093,000 24,097,494 18,248,080 7. Permanent Funds B. Enterprise Funds Available 9, Less: Amounts for Future Debt Retirement 10. Total Enterprise Funds 11. Internal Service Funds 7 604,696 184,112 184,112 973,720 658,210 12. TOTAL ALL FUNDS 1777 $ $ 17,132,095 S 1,013,040 $ 34,090,070 $ 8,200,000 $ 2,470,512 $ 2,470,612 S 52,235,205 $ 41,655,378 EXPENDITURE LIMITATION COMPARISON 1. Budgeted expenditures/expenses 2. Add/sublmct: estimated not reconciling items 3. Budgeted expentlitures/expenses adjusted for reconciling items 4. Less: estimated exclusions 5. Amount subject to the expenditure limitation 6. EEC or voter-approved alternative expenditure limitation 07he c0yAown does not levy property taxes and does not have special assessment districts for which property taxes are levied. Therefore, Schedule B has been omihed. • Includes Expenditure/Expense Adjustments Approved in current year from Schedule E. '• Includes actual amounts as of the date the proposed budget was prepared, adjusted for estimated activity for the remainder of the fiscal year. Amounts in this column represent Fund Balance/Net Position amounts except for amounts not In spendable form (e.g., prepaids and Inventories) or legally or contractually required to be maintained Intact (e.g., principal of a permanent fund). 4/13 SCHEDULE A TOWN OF FOUNTAIN HILLS Tax Levy and Tax Rate Information Fiscal Year 2014 * Includes actual property taxes collected as of the date the proposed budget was prepared, plus estimated property tax collections for the remainder of the fiscal year. 4/13 SCHEDULE B 2013 2014 1. Maximum allowable primary property tax levy. A.R. S. §42- 17051(A) $ $ 2. Amount received from primary property taxation in the current year in excess of the sum of that year's maximum allowable primary property tax levy. A.R.S. §42- 17102(A)(18) $ 3. Property tax levy amounts A. Primary property taxes $ $ B. Secondary property taxes C. Total property tax levy amounts 1,000,800 1 013 040 $ 1,000,800 $ 1,013, 4. Property taxes collected* A. Primary property taxes (1) Current year's levy $ (2) Prior years' levies (3) Total primary property taxes $ B. Secondary property taxes (1) Current year's levy $ 1,000,800 (2) Prior years' levies (3) Total secondary property taxes $ 1,000,800 C. Total property taxes collected $ 1,000,800 5. Property tax rates A. City/Town tax rate (1) Primary property tax rate (2) Secondary property tax rate 0.2651 0.2765 (3) Total city /town tax rate 0.2651 0.2765 B. Special assessment district tax rates Secondary property tax rates - As of the date the proposed budget was prepared, the city /town was operating two special assessment districts for which secondary property taxes are levied. For information pertaining to these special assessment districts and their tax rates, please contact the city/town. * Includes actual property taxes collected as of the date the proposed budget was prepared, plus estimated property tax collections for the remainder of the fiscal year. 4/13 SCHEDULE B TOWN OF FOUNTAIN HILLS Revenues Other Than Property Taxes Fiscal Year 2014 SOURCE OF REVENUES GENERAL FUND ESTIMATED ACTUAL REVENUES REVENUES" 2013 2013 ESTIMATED REVENUES 2014 Local taxes Local Sales Tax $ 6,715,080 $ 61715,080 $ 7,016,880 Franchise Tax 603,000_ 603,000 303,000 Licenses and permits Animal License Fees 47,365 Business License Fees 114,679 Liquor License Fees 11500 Building Permit Fees 84,650 Sign Permits 3,350 Landscape Permit Fees 1,260 Subdivision Fees 21,000 Special Event Permits _ 1,825 Engineering Fees 2,500 Planning & Zoning Fees 10,000 Improvement Plan Review Fees 94P650 Intergovern mental State Sales Tax 1,880,400 Fire Insurance Premium Tax 116776 Shared Income Tax 2,259,840 Vehicle License Tax 7581400 Charges for services Parks & Rec User Fees 204,414 Encroachment Fees 35,000 Variances 4,000 Inspection Fees 17,000 Community Center Rental Fees 86,634 Leases & Rents 135,456 Fines and forfeits Court Fines 289,800 Interest on Investments Interest on Investments 60,000 In -lieu property taxes Contributions 47.365 114,679_ 1,500 84,650 3,350 1,260 21,000 1,825 2,500 10,000 94,650 1,880,400 116,776 2,259,840 758,400 204,414 35,000 4,000 17,000 86,634 135,456 289,800 47,365 108,960 1,500 299,020 3,350 1,260 21,000 1,825 2,500 10,000 50,000 1,936,920 1091769 2,508,960 124,848 35,000 4,000 17,000 89,088 135,456 246,420 60,000 61,200 Miscellaneous Miscellaneous 49,636 49,636 47,736 Total General Fund $ 13,558,215 $ 13,598,215 $ 13,183,057 Includes actual revenues recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared, plus estimated revenues for the remainder of the fiscal year. 4/13 SCHEDULE C TOWN OF FOUNTAIN HILLS Revenues Other Than Property Taxes Fiscal Year 2014 SOURCE OF REVENUES SPECIAL REVENUE FUNDS ESTIMATED ACTUAL ESTIMATED REVENUES REVENUES* REVENUES 2013 2013 2014 Highway User Revenue Fund Highway User Tax $ 1,265,640 $ 1,265,640 $ 1,268,640 Vehicle License Tax 749,700_ In -Lieu Fees 50,000 50,000 25,000 Interest 1,200 1,200 1 200 Miscellaneous 5,040 5,040 6,300 $ 1,321,880 $ 1,321,880 $ 2,050,840 Downtown Strategy Fund Sales- Excise Tax $ 295,560 $ 295,560 $ 114,084 $ $ 114,084 295,560 $ 295,560 .Economic Development Fund Sales- Excise Tax $ $ $ 171,119 $ $ 171,119 $ Grants Miscellaneous 1,540,000 1,540,000 1,498,655 $ 1,5402000 $ 1,540,000 $ 1,498,655 Public Art Public Art $ 210,000 $ 210,000 $ 151000 $ 210,000 $ 210,000 $ 15,000 Court Enhancement Fund Court Enhancement Fund $ 14,550 $ 14,550 $ 14,550 $ 14,550 $ 14,550 $ 14,550 Cottonwoods Maintenance District Cottonwoods Maintenance District $ 3,315 $ 3,315 $ 4,823 $ 3,315 $ 3,315 $ 4,823 Total Special Revenue Funds $ 31385,305 $ 3,385,305 $ 3,869,071 ' Includes actual revenues recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared, plus estimated revenues for the remainder of the fiscal year. 4/13 SCHEDULE C TOWN OF FOUNTAIN HILLS Revenues Other Than Property Taxes Fiscal Year 2014 Total Debt Service Funds $ 2,209,820 $ 2,209,820 $ 2,232,098 CAPITAL PROJECTS FUNDS Sales Tax -Local ._. $ ESTIMATED $ ACTUAL $ ESTIMATED Grants _ REVENUES REVENUES* REVENUES SOURCE OF REVENUES 2013 2013 2014 DEBT SERVICE FUNDS 15,000 15,000 8,400,000 General Obligation Debt Service $ 7,192,000 $ 7,1921000 $ 14,491,000 Secondary Property Tax $ 1,000,800 $ 1,000,800 $ 1,013,040 Interest Income $ 1,200 Fire /Emergency Development Fees 1,200 3,540 210 3,540 $ 11002,000 $ 1,002,000 $ 1,013,250 Eagle Mountain CFO $ 422,700 $ 422,700 $ 430,848 Munici al Property Corp 785,120 Library/Museum Development Fees 785,120 1,740 788,000 1,740 $ 1,207,820 $ 1,207,820 $ -- 1,218,848 Total Debt Service Funds $ 2,209,820 $ 2,209,820 $ 2,232,098 CAPITAL PROJECTS FUNDS Sales Tax -Local ._. $ 120,000 $ 120,000 $ 120,000 Grants _ 5,758,000 5,758,000 3,878,000 Transfers 1 299, 000 1, 299, 000 2,093, 000 Miscellaneous 15,000 15,000 8,400,000 $ 7,192,000 $ 7,1921000 $ 14,491,000 Law Enforcement Development Fees $ 15,860 $ 15,860 $ 15,860 Fire /Emergency Development Fees 3,540 3,540 3,540 Streets Development Fees 94,802 94,802 94,802 Parks & Recreation Development Fees 14,790 1.41790 14,790 Library/Museum Development Fees 1,740 1,740 1,740 $ 130,732 $ 130,732 $ 130,732 Total Capital Projects Funds $ 7,322,732 $ 7,322,732 $ 14,621,732 * Includes actual revenues recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared, plus estimated revenues for the remainder of the fiscal year. 4/13 SCHEDULE C TOWN OF FOUNTAIN HILLS Revenues Other Than Property Taxes Fiscal Year 2014 ESTIMATED ACTUAL ESTIMATED REVENUES REVENUES" REVENUES SOURCE OF REVENUES 2013 2013 2014 PERMANENT FUNDS 4/13 SCHEDULE C Total Permanent Funds $ $ $ ENTERPRISE FUNDS Total Enterprise Funds $ $ $ Includes actual revenues recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared, plus estimated revenues for the remainder of the fiscal year. INTERNAL SERVICE FUNDS Internal Service Fund $ 73,065 $ 73,065 $ 61,330 Vehicle Replacement Fund 168,574 168,574 122,782 $ 241,639 $ 241.639 $ 184,112 Total Internal Service Funds $ 241,639 $ 241,639 $ 184,112 TOTAL ALL FUNDS $ 2%757 711 $ 26,757,711 $ 34,090,070 ` Includes actual revenues recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared, plus estimated revenues for the remainder of the fiscal year. 4/13 SCHEDULE C TOWN OF FOUNTAIN HILLS Other Financing SourceskUses> and Interfund Transfers Fiscal Year 2014 4113 SCHEDULE D OTHER FINANCING INTERFUND TRANSFERS 2814 2014 FUND SOURCES <USES> IN < UT> GENERAL FUND Annual Debt Pmt for Community Center $ $ $ $ 193,500 Project F4025 12,000 Pro ect F4027 16,000 Interfund charges - vehicle replacement -- 97,537 Interfund charges _ _ 58,222 Total General Fund $ $ $ $ 377,258 SPECIAL REVENUE FUNDS Excise Tax - Project E8602 $ $ $ $ 200,000 Excise Tax-Project E8504 1,600,000 Excise Tax-Project S6009 40,000 HURF - Project F4002 — 225,000 HURF- Interfund Charges 31109 HURF - Interfund Charges- vehicle replace 25,245 Total Special Revenue Funds $ $ $ $ 2,093,354 DEBT SERVICE FUNDS Annual Debt Pmt for Community Center $ $ $ 193,500 $ Total Debt Service Funds $ $ $ 193,500 $ CAPITAL PROJECTS FUNDS Project E8502 $ $ $ 200,000 $ Project E8504 _ 1,600,000 Project S6009 40,000 Project F4002 225,000 Project F4025 16,000 Project F4027 12,000 Bond Proceeds 8,200,000 Project S6010 8,200,000 Total Capital Projects Funds $ 8,200,000 $ 8,204,000 $ 2,093,000 $ PERMANENT FUNDS Total Permanent Funds $ $ $ $ ENTERPRISE FUNDS Total Enterprise Funds $ $ $ $ INTERNAL SERVICE FUNDS Interfund Charges $ $ $ 61,330 $ Vehicle Replacement & Motor Pool 122,782 Total Internal Service Funds $ $ $ 184,112 $ TOTAL ALL FUNDS $ 8,200,000 $ 8,200,000 $ 2,470,612 $ 2,470,612 4113 SCHEDULE D TOWN OF FOUNTAIN HILLS Expenditures/Expenses by Fund Fiscal Year 2014 ADOPTED EXPENDITURE/ BUDGETED EXPENSE ACTUAL BUDGETED EXPENDITURES/ ADJUSTMENTS EXPENDITURES/ EXPENDITURES/ EXPENSES APPROVED EXPENSES* EXPENSES FUND/DEPARTMENT 2013 2013 2013 2014 GENERAL FUND Mayor & Town Council $ 82,811 $ $ 82,811 $ 79,702 Municipal Court 402,933 402,933 3621401 Administration 2,585,022 (390,350) 2,194,672 2,120,074 Development Services 2,042,578 (35,000) 2,007,578 1,849,106 Community Services 2,233,838 (7,650 2,2252188 2,232,231 Law Enforcement 2,946,102 _ 2,946,102 3,121,325 Fire & Emergency Medical 3,255,335 3,255,335 3.418,218 Total General Fund $ 13,548,619 $ (433,000) $ 13,115,619 $ 13,183,057 SPECIAL REVENUE FUNDS Highway User Revenue Fund $ 1,321,880 $ 767,000 $ 2,088,880 $ 2,322,318 Downtown Strategy Fund _ 183,968_ 183,968 1,954,079 Economic Development Fund 171,119 Public Art Fund 210,000 210,000 15,000 Court Enhancement Fund 47,250 471250 48,875 Grants Fund 1,540,000 11500,000 _ _ 1,498,655 Cottonwoods Maint District 18,315 18,315 3,500 Total Special Revenue Funds $ 3,3211413 $ 767,000 $ 4,048,413 $ . 6,013,546 DEBT SERVICE FUNDS General! Obligation Bonds $ 1,002,913 $ $ 1,002,913 $ 1,015,850 Eagle Mountain CFD 421,110 421,110 425,235 Municipal Property Corp _ 1,076,700 1,076,700 1,111,400 Total Debt Service Funds $ 2,500,723 _ $ $ 2,500,723 $ 2,552,485 CAPITAL PROJECTS FUNDS Capital Projects $ 11,587,281 $ (334,000) $_ 11,253,281 $ 19,198,080 Law Enforcement Dev Fee 5,000_ 5,000 5,000 Fire/Emergency Dev Fee 5,000 51000 5,000 Streets Dev Fee _ 20,000 _ 20,000 20,000 ParldRec Dev Fee 15,000 15,000 15,000 Library/Museum Dev Fee 5,000 5,000 5,000 Total Capital Projects Funds $ 11,637,281 $ (334,000) $ 11,303,281 $ 19,248,080 PERMANENT FUNDS Total Permanent Funds $ $ $ $ ENTERPRISE FUNDS Total Enterprise Funds $ $ $ $ INTERNAL SERVICE FUNDS Internal Service $ 102,370 $ $ 102,370 $ 71,010 Vehicle Replacement 401 000 1,704 402,704 5871200 Total Internal Service Funds $ 503,370 $ 1,704 $ 505,074 $ 658,210 TOTALALLFUNDS $ 31,511,406 $ 1,704 $ 31,473,110 $ 41,655,378 " Includes actual expenditureslexpenses recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared, plus estimated expenditurestexpenses for the remainder of the fiscal year. 4/13 SCHEDULE E TOWN OF FOUNTAIN HILLS Expenditures /Expenses by Department Fiscal Year 2014 General Fund $ 2,585,022 $ (390,350) $ 2094,672 Downtown Strategy Fund 183,968 183,968 Economic Development Fund Special Revenue Fund General Obligation Debt Municipal Property Corp Cottonwoods Malnt District Capital Projects Internal Service Vehicle Replacement Administration Total Municipal Court 1,540,000 1,002,913 11076,700 18,315 2,260,281 (25,000) 102,370 401,000 1 704 $ 9,170,569 $ (413,646) 1,500,000_ 1,002 913 1,076,700 18,315 2,235,281 102,370 402,704 $ 8,716_,923 $ 2,120,074 1,954 079 171,119 1,49$ 655 1,015,850 1,111,400 3,500 2,130,080 71,010 587,200 $ 10,662,967 General Fund ADOPTED EXPENDITURE/ $ $ 402,933 BUDGETED EXPENSE ACTUAL BUDGETED 471250 EXPENDITURES/ ADJUSTMENTS EXPENDITURES/ EXPENDITURES/ 48,875 EXPENSES APPROVED EXPENSES* EXPENSES DEPARTMENTIFUND 2013 2013 2013 2014 Mayor & Council General Fund $ 82,811 $ $ 82,811 $ 79,702 Mayor & Council Total $ 82,811 $ $ 82 811 $ 79,702 Administration 1,321,880 767,000 General Fund $ 2,585,022 $ (390,350) $ 2094,672 Downtown Strategy Fund 183,968 183,968 Economic Development Fund Special Revenue Fund General Obligation Debt Municipal Property Corp Cottonwoods Malnt District Capital Projects Internal Service Vehicle Replacement Administration Total Municipal Court 1,540,000 1,002,913 11076,700 18,315 2,260,281 (25,000) 102,370 401,000 1 704 $ 9,170,569 $ (413,646) 1,500,000_ 1,002 913 1,076,700 18,315 2,235,281 102,370 402,704 $ 8,716_,923 $ 2,120,074 1,954 079 171,119 1,49$ 655 1,015,850 1,111,400 3,500 2,130,080 71,010 587,200 $ 10,662,967 General Fund $ 402,933 $ $ 402,933 $ 362,401 Court Enhancement Fund $ 471250 $ $ 47,250 $ 48,875 Municipal Court Total $ 450,183 $ $ 450183 $ 411,276 Development Services General Fund $ 2,042,578 $ _ (35,000) $ 2,007,578 $ 1,849,106 Highway User Revenue Fund 1,321,880 767,000 2,088,880 2,322,318 Eagle Mountain CFD 421,110 421,110 425,235 Capital Pro'ec� is 5,969,000 (309,000) 5,660,000 15,223,000 Streets Development Fee 20,000 20,000 20,000 Development Services Total $ 91774,568 $ 4 _ $ 10 197 568 $ 19,8393659 Community Services General Fund $ 2,233,838 $ (7,650) $ 2,226,188 $ 2,232,231 Public Art Fund 210,000 210,000 15,000 Capital Projects 398,000 398,000 1,145,000 Park/Rec Development Fee 15,000 15,000 15,000 Open Space Development Fee Library/Museum Dev Fee 5,000 51 000 5,000 Community Services Total $ 21861,838 $ (7,650) $ 2,854,188 $ 3,412,231 Fire & Emergency Medical General Fund $ 3,255,335 $ $ 3,255,335 $ 3,418,218 Capital Projects 2:960,000 2,960,000 700,000 Fire/Emergency Dev Fee $ 5,000 $ $ 5,000. $ 5,000 Fire & Emergency Med Total $ 6,220,335 $ $ 6 220 335 $ 4,123,218 Law Enforcement General Fund $ 2,946,102 $ $ 2,946,102 $ 3,121,325 Law Enforcement Dev Fee $ 5,000 $ $ 5,000 $ _ 5,000 Law Enforcement Total $ 24951,102 $ $ 2,951,102 $ 3,126,325 Includes actual expenditures /expenses recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared, plus estimated expenditures /expenses for the remainder of the fiscal year. 4/13 SCHEDULE F TOWN OF FOUNTAIN HILLS Full -Time Employees and Personnel Compensation Fiscal Year 2014 4113 SCHEDULE G Total Estimated Full -Time Employee Salaries Other Benefit Personnel Equivalent (FTE) and Hourly Costs Retirement Costs Healthcare Costs Costs Compensation FUND 2014 2014 2014 2014 2014 2014 GENERAL FUND 45 $ 2,559,476 $ 234,761 $ 302,041 $ 114,739 = $ 3,211,017 SPECIAL REVENUE FUNDS Highway User Revenue Fund 51$ 272,553 $ 29,984 $ 57,686 $ 25,036 = $ 385,259 Total Special Revenue Funds 5 $ 272,553 $ 29,984 $ 57,686 $ 25,036 = $ 385,259 DEBT SERVICE FUNDS Total Debt Service Funds $ $ $ $ _ $ CAPITAL PROJECTS FUNDS Total Capital Projects Funds $ $ $ $ _ $ PERMANENT FUNDS Total Permanent Funds $ $ $ $ _ $ ENTERPRISE FUNDS Total Enterprise Funds $ $ $ $ _ $ TOTAL ALL FUNDS 50 $ 2,832,029 $ 2649745 $ 3594727 $ 139,775 = $ 3,596,276 4113 SCHEDULE G