Page 427 - FY 2021-22 Adopted Budget file_Neat
P. 427

Other Special Purpose Funds
               Actual        Adopted       Estimated                                                    Total
            Expenditures      Budget      Expenditures                                                 Budget
              2019-20        2020-21        2020-21                                                    2021-22
                                        EXPENDITURES AND APPROPRIATIONS

                  22,073              -             - Mural Project Implementation                               -
                 141,955        150,000       150,000 Others (Prop K Maintenance)                          150,000
                   8,530         17,000        10,000 Solid Waste Resources Revenue Fund                    15,000
                6,872,038     8,272,533      8,273,000 Reimbursement of General Fund Costs                       -

                                                     Arts Development Fee Trust Fund (Sch. 25)
                                                      Arts and Cultural Facilities and Services Fund
                       -        419,803       915,000                                                      561,073
                                                      (Schedule 24)
                3,454,299             -      3,702,000 Arts Projects                                     3,000,000
                       -      3,994,108             - Arts Projects                                              -

                                                     City Employees Ridesharing Fund (Sch. 28)

                       -      2,393,092             - Reserve                                            2,075,790

                                                     Animal Sterilization Fund (Sch. 29)
                 299,000        353,333       268,000 Reimbursement of General Fund Costs                  369,130

                                                     City Attorney Consumer Protection Fund (Sch. 29)

                2,025,000     1,927,351      1,927,000 Reimbursement of General Fund Costs               2,953,665
                                                     City Planning System Development Fund (Sch. 29)

                3,367,000     3,743,983      3,744,000 Reimbursement of General Fund Costs               4,076,236

                                                     Coastal Transportation Corridor Trust Fund (Sch. 29)
                 350,000        570,950       329,000 Reimbursement of General Fund Costs                  639,059

                                                     CRA Non-Housing Bond Proceeds Fund (Sch. 29)

                 208,000        511,264       153,000 Reimbursement of General Fund Costs                  293,649

                                                     Deferred Compensation Plan Trust Fund (Sch. 29)
                       -              -             - Reimbursement of General Fund Costs                  292,932

                                                     DOT Expedited Fee Trust Fund (Sch. 29)

                       -        388,468             - Reimbursement of General Fund Costs                  429,486
                                                     Economic Development Trust Fund (Sch. 29)

                       -              -             - Reimbursement of General Fund Costs                   32,799

                                                     Federal Emergency Shelter Grant Fund (Sch. 29)
                  35,000         52,640       146,000 Reimbursement of General Fund Costs                   65,455

                                                     Foreclosure Registry Program Fund (Sch. 29)


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