Page 429 - FY 2021-22 Adopted Budget file_Neat
P. 429

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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