Page 525 - FY 2021-22 Adopted Budget file_Neat
P. 525

EXPENDITURES AND APPROPRIATIONS BY FUNDING SOURCE (Continued)


                Actual         Adopted        Estimated                                                Budget
             Expenditures      Budget        Expenditures                                            Appropriation
               2019-20         2020-21         2020-21                                                 2021-22
             SPECIAL PURPOSE FUNDS
            $    1,220,203,420  $       1,118,794,787  $       1,137,406,000  Budgetary Departments......................................................  $     1,158,222,557
                         5,680,009                     100,000                     100,000  Recreation and Parks Fund.................................................                  100,000
                       98,264,293              113,251,104                97,389,000  City Employees' Retirement Fund.......................................            129,047,678
                       29,440,969                28,254,622                28,254,000  Capital Finance Administration............................................             27,550,075
                     308,165,589              346,768,984              350,575,000  Capital Improvement Expenditure Program.........................           355,098,353
                         2,497,816                  1,316,015                     711,000  General City Purposes........................................................               4,216,015
                                      --                  2,000,000                               --  Unappropriated Balance......................................................               4,068,000
                                      --                               --                               --  Leasing...............................................................................                  196,235
                       23,482,195                  7,922,072                  3,147,000  Liability Claims....................................................................               7,370,072
                     515,309,706              576,990,112              517,943,000  Wastewater Special Purpose Fund.....................................            615,263,626
                     833,987,087           1,520,082,746           1,010,791,163  Appropriations to Special Purpose Funds............................        1,556,607,722
            $    3,037,031,084  $       3,715,480,442  $       3,146,316,163  Total Special Funds......................................................... $     3,857,740,333



            BOND REDEMPTION AND INTEREST FUNDS

            $       136,286,497  $          128,455,723  $          128,455,723  General City Bonds............................................................. $        119,324,987
            $       136,286,497  $          128,455,723  $          128,455,723  Total Bond Redemption and Interest Funds..................... $        119,324,987
            $    9,781,469,334  $     10,531,278,041  $       9,869,252,886  Total (All Purposes)............................................................. $   11,480,288,112


















































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