HomeMy WebLinkAboutAGENDA REPORT 1996 1002 CC REG ITEM 07GAGENDA REPORT
CITY OF MOORPARK
TO: Honorable City Council
............
FROM: Richard Hare, Deputy City Managle `
Prepared By: SG Shellabar e , Recreation Supervisor
DATE: September 6, 1996 (CC Meeting of October 2, 1996)
SUBJECT: Consider Resolution 96- Approving a Budget Amendment
in the Amount of $12,232.62
BACKGROUND
The City of Moorpark has offered Summer Camp at Arroyo Vista Community Park
since 1994. Camp Moorpark has seen increased success and popularity. The
following table shows gross revenues for the history of the program:
YEAR REVENUE
1994 $30,214
1995 $43,520
1996 $75,243
Camp runs from June to September, Monday through Friday from 10:00 am to 4:00
pm with extended care from 6:30 am to 6:00 pm. A change from a 3 day -a -week
minimum enrollment to 2 day -a -week minimum enrollment, as well as the addition
of attractive features to the camp schedule of activities, caused a sharp
participant increase for 1996. At the peak of our season, Camp Moorpark had an
enrollment of over 100 children per day.
DISCUSSION
Staff had compiled the direct costs and revenues for Camp Moorpark. Revenue
projections for the 1996 program were conservative when the budget was
prepared. Increased registrations led to additional revenues and increased
expenditures for required supplies, materials and staff. Because of the
program's higher than expected enrollment, the expenditure budget for Camp
Moorpark was insufficient to meet the program's needs. An additional 20% has
been added to the requested amendment amounts which will serve as a reserve
for Camp start up costs for 1997 Camp Moorpark as approximately 20% of the
camp season occurs in June, the last month of FY 96/97.
REVENUES
TOTAL 1996 CAMP REVENUE $75,243.47
1996 Camp Revenues in FY 95/96 $14,622.00
1996 Camp Revenues in FY 96/97 $60,621.47
1997 Revenues in FY 96/97 (20% Projected) $15,048.69
TOTAL FY 96/97 CAMP REVENUE PROJECTION $75,670.16
FY 96/97 ADOPTED BUDGET $40,000.00
VARIANCE $35,670.16
cMiiS
FROM: Richard Hare, Deputy City Managle `
Prepared By: SG Shellabar e , Recreation Supervisor
DATE: September 6, 1996 (CC Meeting of October 2, 1996)
SUBJECT: Consider Resolution 96- Approving a Budget Amendment
in the Amount of $12,232.62
BACKGROUND
The City of Moorpark has offered Summer Camp at Arroyo Vista Community Park
since 1994. Camp Moorpark has seen increased success and popularity. The
following table shows gross revenues for the history of the program:
YEAR REVENUE
1994 $30,214
1995 $43,520
1996 $75,243
Camp runs from June to September, Monday through Friday from 10:00 am to 4:00
pm with extended care from 6:30 am to 6:00 pm. A change from a 3 day -a -week
minimum enrollment to 2 day -a -week minimum enrollment, as well as the addition
of attractive features to the camp schedule of activities, caused a sharp
participant increase for 1996. At the peak of our season, Camp Moorpark had an
enrollment of over 100 children per day.
DISCUSSION
Staff had compiled the direct costs and revenues for Camp Moorpark. Revenue
projections for the 1996 program were conservative when the budget was
prepared. Increased registrations led to additional revenues and increased
expenditures for required supplies, materials and staff. Because of the
program's higher than expected enrollment, the expenditure budget for Camp
Moorpark was insufficient to meet the program's needs. An additional 20% has
been added to the requested amendment amounts which will serve as a reserve
for Camp start up costs for 1997 Camp Moorpark as approximately 20% of the
camp season occurs in June, the last month of FY 96/97.
REVENUES
TOTAL 1996 CAMP REVENUE $75,243.47
1996 Camp Revenues in FY 95/96 $14,622.00
1996 Camp Revenues in FY 96/97 $60,621.47
1997 Revenues in FY 96/97 (20% Projected) $15,048.69
TOTAL FY 96/97 CAMP REVENUE PROJECTION $75,670.16
FY 96/97 ADOPTED BUDGET $40,000.00
VARIANCE $35,670.16
cMiiS
Memorandum to the Honorable City Council
Budget Amendment for Camp Moorpark
September 6, 1996
Page 2
EXPENDITURES
TOTAL 1996 CAMP EXPENDITURE
$49,250.87
1996 Camp Expenditures in FY 95/96
$4,948.43
1996 Camp Expenditures in FY 96/97
$44,302.44
1997 Expenditures in FY 96/97 (Budgeted)
$400.00
1997 Expenditures in FY 96/97
(Projected 20% of total 1996 Expenditure)
$9,850.17
TOTAL FY 96/97 CAMP EXPENDITURE PROJECTION
$54,552.61
FY 96/97 ADOPTED BUDGET
$42,320.00
BUDGET AMENDMENT REQUEST
$12,232.62
96197 ADOPTED BUDGET LESS PROJECTED FINAL
RECOMMENDATION (Roll Call Vote Required)
That the City Council adopt Resolution 96- Approving a Budget Amendment in
the Amount of $12,232.62
0MIZU
CampAmendment Revenues
LINE ITEM DATE
DESCRIPTION
ACTUAL
TO 8/31
PROJECTED
AFTER 8/31
01.3.400.496 6/7/96
95/96 Earned
$4,771.00
$4,771.00
01.3.400.496 6/14/96
95/96 Earned
$2,392.00
$2,392.00
01.3.400.496 6/18/96
95/96 Earned
$61.00
$61.00
01 .3.400.496 6/21/96
95/96 Earned
$4,528.00
$4,528.00
01 .3.400.496 6/21/96
95/96 Earned
$108.00
$108.00
01.3.400.496 6/28/96
95/96 Earned
$2,313.00
$2,313.00
01.3.400.496 6/28/96
95/96 Earned
$449.00
$449.00
Registration Fee
$14,622.00
$14,622.00
FY 94/95 Only
LINE ITEM DATE
DESCRIPTION
ACTUAL
PROJECTED
TO 8/31
AFTER 8/31
100.700.7001 .000.3702 DEFERRED
96/97 To Be Earned
$3,687.00
$3,687.00
100.700.7001.000.3702 DEFERRED
96/97 To Be Earned
$2,813.00
$2,813.00
100.700.7001.000.3702 DEFERRED
96/97 To Be Earned
$1,941.00
$1,941.00
100.700.7001.000.3702 DEFERRED
96/97 To Be Earned
$432.00
$432.00
100.700.7001.000.3702 DEFERRED
96/97 To Be Earned
$1,546.07
$1,546.07
100.700.7001.000.3702 DEFERRED
96/97 To Be Earned
$5,100.00
$5,100.00
100.700.7001 .000.3702 DEFERRED
96/97 To Be Earned
$287.00
$287.00
100.700.7001 .000.3702 DEFERRED
96/97 To Be Earned
$47.00
$47.00
100.700.7001.000.3702 7/9/96
96/97 Earned
$4,569.00
$4,569.00
100.700.7001.000.3702 7/12/96
96/97 Earned
$7,646.00
$7,646.00
100.700.7001.000.3702 7/12/96
96/97 Earned
$691.00
$691.00
100.700.7001.000.3702 7/16/96
96/97 Earned
$761.00
$761.00
100.700.7001.000.3702 7/23/96
96/97 Earned
$5,967.00
$5,967.00
100.700.7001.000.3702 7/26/96
96/97 Earned
$75.00
$75.00
100.700.7001.000.3702 7/30/96
96/97 Earned
$5,916.00
$5,916.00
100.700.7001.000.3702 7/30/96
96/97 Earned
$239.00
$239.00
100.700.7001.000.3702 7/30/96
96/97 Earned
$65.00
$65.00
100.700.7001.000.3702 7/30/96
96/97 Earned
$125.00
$125.00
100.700.7001.000.3702 8/6/96
96/97 Earned
$6,221.50
$6,221.50
100.700.7001.000.3702 8/9/96
96/97 Earned
$171.00
$171.00
100.700.7001.000.3702 8/9/96
96/97 Earned
$4,040.00
$4,040.00
100.700.7001.000.3702 8/16/96
96/97 Earned
$68.00
$68.00
100.700.7001.000.3702 8/16/96
96/97 Earned
$75.00
$75.00
100.700.7001.000.3702 8/16/96
96/97 Earned
$4,170.00
$4,170.00
100.700.7001.000.3702 8/20/96
96/97 Earned
$51.00
$51.00
100.700.7001.000.3702 8/20/96
96/97 Earned
$3,401.00
$3,401.00
100.700.7001.000.3702 8/30/96
96/97 Earned
$265.00
$265.00
100.700.7001.000.3702 8/30/96
96/97 Earned
$2,009.80
$2,009:80
100.700.7001.000.3702 8/30/96
96/97 Earned
$30.00
100.700.7001.000.3702 8/30/96
96/97 Earned
$228.10
100.700.7001.000.3702 7/30/96
Refund
($66.00)
($66.00)
100.700.7001.000.3702 7/30/96
Refund
($75.00)
($75.00)
Vv6i��
Page 1
CampAmendment Revenues
LINE ITEM DATE
DESCRIPTION
ACTUAL
PROJECTED
TO 8/31
AFTER 8/31
100.700.7001.000.3702 7/30/96
Refund
($239.00)
($239.00)
100.700.7001.000.3702 7/30/96
Refund
($171.00)
($171.00)
100.700.7001.000.3702 7/30/96
Refund
($116.00)
($116.00)
100.700.7001.000.3702 7/30/96
Refund
($92.00)
($92.00)
100.700.7001 .000.3702 7/30/96
Refund Fee
$10.00
$10.00
100.700.7001 .000.3702 7/30/96
Refund Fee
$10.00
$10.00
100.700.7001.000.3702 7/30/96
Refund
($78.00)
($78.00)
100.700.7001.000.3702 7/30/96
Refund
($280.00)
($280.00)
100.700.7001 .000.3702 8/31/96
Refund
($75.00)
($75.00)
100.700.7001 .000.3702 8/31/96
Refund
($68.00)
($68.00)
100.700.7001 .000.3702 8/31/96
Refund
($89.00)
($89.00)
100.700.7001 .000.3702 8/31/96
Refund
($51.00)
($51.00)
100.700.7001 .000.3702 8/31/96
Refund
($209.00)
($209.00)
100.700.7001 .000.3702 8/31/96
Refund
($76.00)
($76.00)
100.700.7001.000.3702 8/31/96
Refund
($183.00)
($183.00)
100.700.7001.000.3702 8/31/96
Refund Fee
$10.00
$10.00
100.700.7001.000.3702 8/31/96
Refund
($346.00)
($346.00)
100.700.7001.000.3702 8/31/96
Refund Fee
$10.00
$10.00
100.700.7001.000.3702 8/31/96
Refund
($102.00)
($102.00)
100.700.7001 .000.3702 8/31/96
Refund
($36.00)
($36.00)
100.700.7001 .000.3702 8/31/96
Refund Fee
$10.00
$10.00
Registration Fee Total
$60,077.37
$60,335.47
FY 96/97 Only
ACTUAL
PROJECTED FINAL
LINE ITEM DATE
DESCRIPTION
ACTUAL
PROJECTED
TO 8/31
FINAL
100.700.7001.000.3711 7/12/96
Admin Fee
$180.00
$180.00
100.700.7001.000.3711 7/16/96
Admin Fee
$20.00
$20.00
100. 700.7001-000.371 1 8/31/96
Admin Fee
$20.00
$20.00
Admin Fee TOTAL
$200.00
$220.00
FY 96/97 Only
LINE ITEM DATE
DESCRIPTION
ACTUAL
PROJECTED
TO 8/31
FINAL
100.700.7001.000.3799 7/12/96
T -Shirt
$42.00
$42.00
100.700.7001.000.3799 7/16/96
T -Shirt
$24.00
$24.00
Other Fees TOTAL
$66.00
$66.00
FY 96/97 Only
Page 2
-cw�
Camp Amendment Expenditures
LINE ITEM
DATE
EXPENDITURE
ACTUAL
PROJECTED
TO 8/31
FINAL
01 .4.149.994
6/19/96
Wildwood Bus
$210.45
$210.45
01 .4.149.994
6/21/96
Pool Bus
$180.90
$180.90
01.4.149.994
6/26/96
Bowling Bus
$180.90
$180.90
01 .4.149.994
6/28/96
Pool Bus
$180.90
$180.90
01 .4.149.994
3/31/96
Training Video
$181.29
$181.29
01 .4.149.994
3/31/96
Paper Direct
$101.67
$101.67
01 .4.149.994
5/31/96
Pizza Party
$46.35
$46.35
01 .4.149.994
5/31/96
WorldWide Games
$516.75
01 .4.149.994
5/31/96
Hardware
$34.66
$34.66
01.4.149.994
6/29/96
T- Shirts
$821.66
$821.66
01 .4.149.994
6/29/96
Petty Cash
$48.83
$48.83
01 .4.149.994
6/29/96
Smart & Final
$154.22
$154.22
01 .4.149.994
6/30/96
S &S Crafts
$232.36
$232.36
01.4.149.994
6/30/96
Kmart - -file cabinet
$98.99
$98.99
01.4.149.994
6/30/96
T- Shirts
$167.25
$167.25
01 .4.149.994
3/31/96
MUSD Flyers
$321.75
$321.75
01.4.149.994
6/30/96
Hugg -- Gymnastics
$502.50
$502.50
01 .4.149.994
6/30/96
Harley's Simi Bowl
$142.00
$142.00
01 .4.149.994
6/30/96
Pony Rides
$825.00
$825.00
Camp Moorpark 95/96
Total
$4,431.68
$4,948.43
LINE ITEM
DATE
EXPENDITURE
ACTUAL
PROJECTED
TO 8/31
FINAL
100.700.7001 .000.9003 7/5/96
Payroll
$1,812.60
$1,812.60
100.700.7001.000.9003 7/31/96
Payroll
$5,289.29
$5,289.29
100.700.7001.000.9003
8/8/96
Payroll
$5,981.36
$5,981.36
100.700.7001.000.9003
8/23/96
Payroll
$5,313.54
$5,313.54
100.700.7001.000.9003
9/6/96
Payroll
$4,600.00
100.700.7001.000.9003
9/20/96
Payroll
$2,300.00
Payroll
Total
$18,396.79
$25,296.79
LINE ITEM
DATE
EXPENDITURE
ACTUAL
PROJECTED
TO 8/31
FINAL
100.700.7001.000.9004
7/31/96
Overtime
$21.21
$21.21
100.700.7001.000.9004
8/9/96
Overtime
$8.56
$8.56
Overtime
Total
$29.77
$29.77
Page 1 0M ,,2`3
Camp Amendment Expenditures
LINE ITEM DATE
EXPENDITURE
ACTUAL
PROJECTED
TO 8/31
FINAL
100.700.7001.000.9012 7/5/96
Unemployment Insurance
$61.63
$1,812.60
100.700.7001 .000.9012 7/31/96
Unemployment Insurance
$177.86
$177.86
100.700.7001.000.9012 8/8/96
Unemployment Insurance
$202.75
$202.75
100.700.7001.000.9012 8/23/96
Unemployment Insurance
$180.66
$180.66
100.700.7001.000.9012 9/6/96
Unemployment Insurance
$160.00
100.700.7001.000.9012 9/20/96
Unemployment Insurance
$60.00
Unemployment Insurance Total
$622.90
$2,593.87
LINE ITEM DATE
EXPENDITURE
ACTUAL
PROJECTED
TO 8/31
FINAL
100.700.7001.000.9013 7/31/96
Retirement Contributions
$12.90
$12.90
100.700.7001.000.9013 8/8/96
Retirement Contributions
$3.45
$3.45
100.700.7001.000.9013 8/23/96
Retirement Contributions
$7.00
100.700.7001.000.9013 9/6/96
Retirement Contributions
$3.50
Retirement Contributions Total
$16.35
$26.85
LINE ITEM DATE
EXPENDITURE
ACTUAL
PROJECTED
TO 8/31
FINAL
100.700.7001 .000.9014 7/5/96
Medicare & Social Security
$26.28
100.700.7001 .000.9014 7/31/96
Medicare & Social Security
$76.87
$76.87
100.700.7001.000.9014 7/31/96
Medicare & Social Security
$388.77
$388.77
100.700.7001.000.9014 8/8/96
Medicare & Social Security
$86.85
$86.85
100.700.7001.000.9014 8/8/96
Medicare & Social Security
$407.03
$407.03
100.700.7001.000.9014 8/23/96
Medicare & Social Security
$77.05
$77.05
100.700.7001.000.9014 8/23/96
Medicare & Social Security
$398.51
$398.51
100.700.7001 .000.9014 9/6/96
Medicare & Social Security
$500.00
100.700.7001.000.9014 9/20/96
Medicare & Social Security
$250.00
Medicare & Social Securi• Total
$1,435.08
$2,211.36
LINE ITEM DATE
EXPENDITURE
ACTUAL
PROJECTED
TO 8/31
FINAL
100.700.7001.000.9199 7/17/96
Movie Trip (Melody)
$52.00
$52.00
100.700.7001.000.9199 7/17/96
CPR Course
$270.00
$270.00
100.700.7001.000.9199 7/17/96
Movie Trip (Mann)
$231.00
$231.00
100.700.7001.000.9199 7/24/96
Magic Mountain
$1,355.00
$1,355.00
100.700.7001 .000.9199 7/30/96
Union Ice
$545.58
$545.58
100.700.7001 .000.9199 7/12/96
Pool Bus
$228.03
$228.03
100.700.7001 .000.9199 7/16/96
Dodger Bus
$268.21
$268.21
100.700.7001 .000.9199 7/19/96
Pool Bus
$224.88
$224.88
100.700.7001 .000.9199 7/24/96
Magic Mountain Bus
$342.35
$342.35
100.700.7001.000.9199 7/31/96
Chuck E. Cheese Bus
$180.90
$180.90
100.700.7001.000.9199 7/26/96
Pool
$210.45
$210.45
100.700.7001.000.9199 7/31/96
Monarch (Shirts)
$513.92
$513.92
100.700.7001 .000.9199 7/5/96
Pool Bus
$198.49
$198.49
100.700.7001 .000.9199 8/30/96
Movie Trip Bus Bus
$230.85
$230.85
Page 2
000IZ4
Camp Amendment Expenditures
LINE ITEM DATE
EXPENDITURE
ACTUAL
TO 8/31
PROJECTED
FINAL
100.700.7001 .000.9199 7/31/96
Chuck E. Cheese
$460.37
$460.37
100.700.7001 .000.9199 8/31/96
Dodger Tickets
$564.00
$564.00
100.700.7001 .000.9199 8/14/96
Discovery Zone
$273.00
$273.00
100.700.7001 .000.9199 8/2/96
Pool Bus
$180.90
$180.90
100.700.7001.000.9199 8/20/96
Gymnastics
$427.50
$427.50
100.700.7001.000.9199 8/8/96
Woodworking
$544.00
$544.00
100.700.7001.000-9199 8/31/96
Pony Rides
$300.00
$300.00
100.700.7001 .000.9199 8/7/96
Roller Rink
$290.50
$290.50
100.700.7001 .000.9199 8/21/96
Space Station
$186.00
$186.00
100.700.7001.000.9199 7/30/96
Jolly Jump
$69.00
$69.00
100.700.7001 .000.9199 6/21/96
Pool
$75.00
100.700.7001.000.9199 7/5/96
Pool
$45.00
100.700.7001.000.9199 7/12/96
Pool
$96.00
100.700.7001.000.9199 7/19/96
Pool
$94.50
100.700.7001.000.9199 7/26/96
Pool
$99.00
100.700.7001.000.9199 7/29/96
Karate
$250.00
100.700.7001.000.9199 8/2/96
Pool
$96.00
100.700.7001 .000.9199 8/7/96
Roller Rink Bus
$230.00
100.700.7001 .000.9199 8/9/96
Pool Bus
$230.00
100.700.7001.000.9199 8/9/96
Pool
$96.00
100.700.7001 .000.9199 8/14/96
Discovery Zone Bus
$230.00
100.700.7001.000.9199 8/16/96
Pool Bus
$230.00
100.700.7001.000.9199 8/16/96
Pool
$96.00
100.700.7001 .000.9199 8/21/96
Space Station Bus
$230.00
100.700.7001 .000.9199 8/23/96
Pool Bus
$230.00
100.700.7001.000.9199 8/23/96
Pool
$96.00
100.700.7001 .000.9199 8/26/96
Paint Pals
$200.00
100.700.7001.000.9199 8/28/96
Zoo Bus
$230.00
100.700.7001.000.9199 8/28/96
Zoo
$172.00
100.700.7001 .000.9199 8/30/96
Pool Bus
$230.00
100.700.7001.000.9199 8/30/96
Pool
$96.00
Services Total
$8,146.93
$11,498.43
LINE ITEM DATE
EXPENDITURE
ACTUAL
PROJECTED
TO 8/31
FINAL
100.700.7001.000.9225 7/17/96
Cake
$19.99
$19.99
100.700.7001.000.9225 7/17/96
Supplies
$49.04
$49.04
100.700.7001.000.9225 7/9/96
Smart & Final
$235.92
$235.92
100.700.7001 .000.9225 7/8/96
Smart & Final
$127.00
$127.00
100.700.7001.000.9225 7/25/96
Smart & Final
$89.86
$89.86
100.700.7001.000.9225 7/26/96
Smart & Final
$83.71
$83.71
100.700.7001 .000.9225 8/6/96
Smart & Final
$147.96
$147.96
100.700.7001 .000.9225 7/31/96
Smart & Final
$173.32
$173.32
100.700.7001 .000.9225 7/20/96
Smart & Final
$34.86
$34.86
Page 3 ()M :LZ5
Camp Amendment Expenditures
LINE ITEM DATE EXPENDITURE
ACTUAL
TO 8/31
PROJECTED
FINAL
100.700.7001.000.9225 8/30/96 General Supplies
$94.24
$94.24
100.700.7001.000.9225 8/31/96 Oriental Trading
$251.30
$251.30
100.700.7001 .000.9225 8/31/96 General Supplies
$47.01
$47.01
100.700.7001 .000.9225 8/31/96 Smart & Final
$158.24
$158.24
100.700.7001.000.9225 7/8/96 Oriental Trading
$144.81
100.700.7001.000.9225 7/8/96 US Toy
$87.95
100.700.7001.000.9225 7/17/96 Conejo Lock & Key
$205.92
100.700.7001 .000.9225 ENCUMBERED Smart & Final
$100.00
100.700.7001 .000.9225 ENCUMBERED Smart & Final
$100.00
100.700.7001.000.9225 ENCUMBERED Smart & Final
$152.04
100.700.7001.000.9225 ENCUMBERED S &S Crafts
$292.20
100.700.7001.000.9225 ENCUMBERED Smart & Final
$50.00
Supplies Total
$1,512.45
$2,645.37
TOTAL 1996 CAMP EXPENDITURE $49,250.87
1996 Camp Expenditures in FY 95/96 $4,948.43
1996 Camp Expenditures in FY 96/97 $44,302.44
1997 Expenditures in FY 96/97 (Budgeted) $400.00
1997 Expenditures in FY 96/97 (20% Projected) $9,850.17
TOTAL FY 96/97 CAMP EXPENDITURE PROJECTION $54,552.61
FY 96/97 ADOPTED BUDGET $42,320.00
BUDGET AMENDMENT REQUEST $12,232.61
96197 ADOPTED BUDGET LESS PROJECTED FINAL
4J()C, b
Page 4
RESOLUTION NUMBER 96 -
RESOLUTION OF THE CITY COUNCIL OF THE CITY OF MOORPARK
AUTHORIZING A BUDGET AMENDMENT TO THE FISCAL YEAR 1996/1997
ADOPTED BUDGET FOR THE GENERAL FUND (FUND 100)
WHEREAS, on June 19, 1996, the City Council adopted the Budget for Fiscal
Year 1996/1997; and,
WHEREAS, a staff report has been presented to said Council requesting a
budget amendment in the aggregate amount of $12,232.62; and,
WHEREAS, Exhibit "A" hereof describes said budget amendment and its
resultant impacts to the budget line item(s) and projected year end fund balance(s).
NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF MOORPARK DOES
RESOLVE AS FOLLOWS:
A budget amendment in the amount of $12,232.62 to Fund 100 as more
particularly described in Exhibit "A" attached hereto is hereby approved.
PASSED, APPROVED AND ADOPTED this 2nd day of October, 1996.
ATTEST:
Lillian E. Hare
City Clerk
Paul W. Lawrason Jr.
Mayor
()WIZ7
Resolution 96 -
Exhibit "A"
SUPPLEMENTAL APPROPRIATIONS BY ACCOUNT NUMBER
ACCOUNT
NUMBER
CURRENT
APPROPRIATION
SUPPLEMENTAL
APPROPRIATION/
REDUCTION
REVISED
APPROPRIATION
100.700.7001.000.9003
$
29,520.00
$
1,350.93
$
30,870.93
100.700.7001.000.9004
$
0.00
$
36.33
$
36.33
100.700.7001.000.9012
$
0.00
$
3,165.43
$
3,165.43
100.700.7001.000.9013
$
0.00
$
32.77
$
32.77
100.700.7001.000.9014
$
0.00
$
2,698.63
$
2,698.63
100.700.7001.000.9035
$
250.00
$
55.09
$
305.09
100.700.7001.000.9199
$
9,900.00
$
4,132.11
$
14,032.11
100.700.7001.000.9225
$
2,500.00
$
728.28
$
3,228.28
100.700.7001.000.9233
$
100.00
$
22.03
$
122.03
100.700.7001.000.9272
$
50.00
$
11.02
$
61.02
ITOTALS:
$
42,320.00
$
12,232.62
$
54,552.62
EFFECTS OF PROPOSED SUPPLEMENTAL APPROPRIATIONS TO FUND BALANCES
FUND
CURRENT
SUPPLEMENTAL
REVISED
PROJECTED FY 96/97
APPROPRIATION
PROJECTED FY 96197
YEAR END BALANCE
YEAR END BALANCE
100 (General Fund)
$4,555,729.00
$12,233.00
$4,567,962.00
TOTAL:
$12,233.00
U0ovs