Page 429 - FY 2021-22 Adopted Budget file_Neat
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Other Special Purpose Funds
Actual Adopted Estimated Total
Expenditures Budget Expenditures Budget
2019-20 2020-21 2020-21 2021-22
EXPENDITURES AND APPROPRIATIONS
- 28,652 - Reimbursement of General Fund Costs -
Ventura/Cahuenga Corridor Plan Fund (Sch. 29)
181,000 145,041 105,000 Reimbursement of General Fund Costs 72,768
Warner Center Mobility Trust Fund (Sch. 29)
232,000 194,426 194,000 Reimbursement of General Fund Costs 147,523
Warner Center Transportation Trust Fund (Sch. 29)
272,000 316,422 195,000 Reimbursement of General Fund Costs 362,749
West LA Transportation Improvement & Mitigation (Sch. 29)
223,000 318,434 273,000 Reimbursement of General Fund Costs 361,869
City Ethics Commission Fund (Sch. 30)
214,939 - Ethics Commission - Future Year 227,500
Staples Center Trust Fund (Sch. 31)
- 6,086,974 - Unallocated 4,072,133
Citywide Recycling Trust Fund (Sch. 32)
- 5,000,000 490,000 Capital Infrastructure -
Commercial Recycling Development and Capital
- 200,000 200,000 100,000
Costs
2,200,156 1,050,000 1,870,000 Private Sector Recycling Programs 860,000
1,416,186 3,560,000 3,600,000 PW-Sanitation Expense and Equipment 6,147,179
- 4,659,945 - Rate Stabilization Reserve -
- 8,209,468 6,100,000 Recycling Incentives 8,300,000
1,123,774 766,930 767,000 Solid Waste Resources Revenue Fund (Schedule 2) 664,292
8,797,369 16,920,569 16,920,000 Reimbursement of General Fund Costs 13,755,274
Cannabis Regulation Special Revenue Fund (Sch. 33)
- - 8,688,000 Social Equity Program 6,938,334
4,767,366 11,583,645 5,585,908 Reimbursement of General Fund Costs 7,098,773
- - - Reserve for Future Costs 20,294,023
Local Transportation Fund (Sch. 34)
691,098 - - ATP Cycle I SRTS Bike/Ped Rehabilitation 2,000,000
342,101 - - Bike Path Maintenance & Refurbishment -
3,574,470 2,000,000 - Bikeshare Capital Expansion 590,332
36,139 1,126,779 - Bikeways Program 500,000
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