Page 530 - FY 2021-22 Adopted Budget file_Neat
P. 530

RESERVE FUND

            This is a text box for the Schedule description.
                 Actual         Estimated                                                           Adopted
                2019-20          2020-21                                                            2021-22
            Cash at Beginning of Fiscal Year
             $      525,591,233  $      378,329,308  Cash Balance, July 1............................................................................  $      784,789,221
                                              ADD:
                    30,842,870       14,196,464  Charter Section 261i Advances Returned on 7/1.............................    20,000,000
                        -                 --    Adjustment of Allocation....................................................................  --
                     7,639,914       12,343,213  Appropriation to Reserve Fund.........................................................  --
                        (125,581,845)             (169,327,830)  Reappropriation of Prior Year's Unexpended Capital             (209,833,000)
                                                   Improvement Appropriations and Advances and
                        -                 --       Technical Adjustments................................................................   --

                  (7,000,000)             --    Transfers to Budget Stabilization Fund.............................................  --
                        -                 --    Transfer to Budget*...........................................................................    (85,090,146)
             $      431,492,172  $      235,541,155  Balance Available, July 1 .....................................................................  $      509,866,075
                                              LESS:
                   180,668,000      183,902,000  Emergency Reserve** (2.75% of GF Budget)..................................    206,339,000
             $      250,824,172  $      51,639,155  Contingency Reserve - Balance Available, July 1................................  $      303,527,075

             RECEIPTS
             $      68,731,253  $      16,670,652  Loans.....................................................................................................  $      2,150,000
                    33,383,779       18,926,104  Charter Section 261i Advances Returned after 7/1.............................    30,000,000
                   229,913,000      218,355,000  Transfer of Power Revenue Surplus....................................................    225,819,000
                        -               -     Transfer of Water Revenue Surplus.....................................................  --
                 163,917,960        386,085,319  Unencumbered Balance.......................................................................  --

                        -            45,973,677  Unallocated Revenue............................................................................  --
                    31,294,008          -     Transfer of Special Parking Revenue Surplus.....................................  8,476,580

                        -               -     Reversion of Special Parking Revenue Surplus..................................   --
                        -           139,331,123  Transfer of Federal Funds....................................................................  --
                    16,450,832       17,000,000  Reversion of Unencumbered and Special Funds................................  --
                     6,261,175       1,959,060  Miscellaneous.......................................................................................  3,500,000

             $      549,952,007  $      844,300,935   Total Receipts.....................................................................................  $      269,945,580
             $      800,776,179  $      895,940,090   Total Available Cash and Receipts.....................................................  $      573,472,655

             DISBURSEMENTS
             $      60,945,894  $      24,836,547  Loans.....................................................................................................  $   --
                        -               -     Transfer of Charter 261i receipts to General Fund After 7/1...............  --
                   229,913,000      218,355,000  Budget--Power Revenue Surplus.........................................................    225,819,000
                        -               -     Budget--Water Revenue Surplus.........................................................  --

                    31,294,008          -     Budget--Special Parking Revenue Surplus..........................................  8,476,580
                        -               -     Transfer of Special Parking Revenue Surplus to General Fund..........  --
                   249,593,170       1,861,322  Transfers--Contingencies.....................................................................  --
                        -               -     Transfers--Budget.................................................................................   --
                        -               -     Transfers--Budget Stabilization Fund...................................................  --
                    31,368,299     50,000,000  Charter Section 261i Advances to Departments on 6/30.....................    50,000,000

                         500            -     Advances for Unfunded Expenditure - Year-end Closing....................  --
             $      603,114,871  $      295,052,869   Total Disbursements...........................................................................  $      284,295,580

             Cash at Close of Fiscal Year
             $          180,668,000  $         183,902,000  Add, Emergency Reserve**..................................................................  $      206,339,000
             $      378,329,308  $      784,789,221   Cash Balance, June 30.......................................................................  $      495,516,075
             * Transfers are made during the fiscal year by the Controller subject to the cash condition.
             ** Pursuant to the City Charter, a minimum of 2.75% of the General Fund Budget must be kept in reserves for emergencies as an Emergency Reserve account, which may
             only be used after a finding of "urgent economic necessity" made by the Mayor with confirmation of the City Council.  The rem aining available balance within the Reserve
             Fund is allocated to the Contingency Reserve account.
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