Page 528 - FY 2021-22 Adopted Budget file_Neat
P. 528

DETAILED STATEMENT OF RECEIPTS (Continued)


             Actual       Adopted        Estimated                                                        Adopted
            Receipts       Budget        Receipts                                                         Budget
            2019-20        2020-21        2020-21                                                         2021-22
          $                        --  $                 444,310  $                             --  El Pueblo Revenue Fund............................................................................  $                   77,714
                                    --                               --                                   --  Zoo Enterprise Trust Fund..........................................................................                       99,830

                                    --                  5,328,225                               --  Central Recycling and Transfer Fund..........................................................                  4,911,672
                                    --                10,665,170                                 --  Supplemental Law Enforcement Services Fund.........................................                            861
                                    --                       36,374                               --  Street Damage Restoration Fee Fund........................................................                     966,488

                                    --                  6,496,808                                 --  Municipal Housing Finance Fund................................................................                11,274,952

                                    --                  6,089,285                               --  Measure R Traffic Relief and Rail Expansion Fund....................................                  9,070,643
                                    --                  7,020,757                               --  Multi-Family Bulky Item Fund......................................................................                  6,010,855


                                    --                  2,548,630                               --  Sidewalk Repair Fund.................................................................................                  1,737,551
                                    --                12,441,856                               --  Measure M Local Return Fund....................................................................                11,597,621

                                    --                     848,543                                 --  Code Compliance Fund..............................................................................                     368,860
                                    --                  3,683,676                                 --  Road Maintenance and Rehabilitation Fund...............................................                  6,042,651
                                    --                               --                                 --  Measure W Local Return Fund...................................................................                     571,072

          $                        --  $          628,390,708  $                             --    Total Available Balances...........................................................................   $          640,068,929
          $   2,730,731,756  $       3,715,480,442  $       3,233,913,054    Total Special Purpose Funds....................................................................   $       3,857,740,333
          Bond Redemption and Interest Funds
          $      136,286,497  $          128,455,723  $          128,455,723  Property Tax - City Levy for Bond Redemption      $          119,324,987
                                                      and Interest.............................................................................................
          $      136,286,497  $          128,455,723  $          128,455,723    Total Bond Redemption and Interest Funds.............................................  $          119,324,987
          $   9,241,249,568  $     10,531,278,041  $     10,320,134,330    Total Receipts...........................................................................................  $     11,480,288,112


















































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