Budget and Five-Year Capital Plan

FISCAL YEAR 2022/2023 BUDGET SUMMARY
Operating Fund Capital Fund Self Insurance Fund Total Fund Budget
Revenues
Projected Cash at October 1, 2022 $2,000,000 $79,753,659 $525,000 $82,278,659
Water & Sewer Revenue $63,660,738 $63,660,738
Miscellaneous Revenue/Borrowing $3,198,252 34,000,000 $37,426,255
Fund Transfers $13,426,255 $13,426,255
Total Revenues $68,858,990 $127,179,914 $525,000 $196,563,904

Expenditures
Debt Service $9,238,085 $9,238,085
Fund Transfers $13,426,255 $13,426,255
Operation Expenses $41,670,797 $41,670,797
Due In Lieu of Taxes $2,523,853 $2,523,853
Capital Projects $125,194,754 $125,194,754
Projected Cash at Sept 30, 2023 $2,000,000 $1,985,160 $525,000 $4,510,160
Total Expenditures $68,858,990 $127,179,914 $525,000 $196,563,904