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<br />2005-06 OPERATING BUDGET <br /> <br /> ESTIMATED CHANGES IN FUND BALANCES (Recommended Amendments) <br /> PROU(TED PROJECTED PROJECTED <br /> JUNE 30, 1005 PROJEC11:D NET PROPOSED NET JUNE 30,1006 <br /> BALANCE REVENUE TRANSFl:RS EXPENDITURES INCOME BALANCE <br />GENERAL FUND $7,849,420 $318,175 $318,175 $0 $7,849,420 <br />ENTERPRISE FUNDS <br />Storm Drain 9,400 0 9.400 <br />Water Ooerations and Maintenance 838,988 727,706 727,706 0 838,988 <br />Sewer Operations and Maintenance 268,690 642,472 642,472 0 268,690 <br /> Utility Funds $1,117,078 $0 $1,370,178 $1,370,178 $0 $1,117,078 <br />INTERNAL SERVICE FUNDS <br />Employee Benefit Fund 166,440 0 166,440 <br />LPFD Info System Replacement 13,932 0 13,932 <br />Public Art Acauisition Fund 1,195 0 1,195 <br />Public Art Maintenance Fund 2,270 0 2,270 <br />Vehicle Replacement Fund 7,079 0 7,079 <br />Equioment Reolacement Fund 274,374 0 274,374 <br />Facilities Renovation Fund 771,898 0 m,898 <br />Info Systems Reulacement Fund 1,373,473 0 1,373,473 <br />Pleas Fire Aooaratus Reolacement 74,421 0 74,421 <br />Police Vehicle Replacement Fund 111,292 0 111,292 <br />Park & Median Renovation Fund 83,847 2,931,697 2,746,278 185,419 269,266 <br />Street Light Reolacement Fund 207,202 0 207,202 <br />Traffic Signal Replacement Fund 13,210 0 13,210 <br />LPFD Retirees Medical Reserve 44,575 0 44,575 <br />Workers Compensation Fund 446,200 0 446,200 <br />Self-Insurance Retention Fund 500,597 0 500,597 <br />LPFD Workers Comp Fund 320,965 0 320,965 <br />Retirees Medical Reserve Fund 108,048 0 108,048 <br /> Internal Service Funds $4,521,018 $0 $2,931,697 $2,746,278 $185,419 $4,706,437 <br />SPECIAL REVENUE FUNDS <br />DARE Fund 6,013 0 6,013 <br />Asset Forfeiture Fund 6,303 0 6,303 <br />Downtown. Parking Fund 894 0 894 <br />Recycling & Waste Mgmt. Fund 715,229 0 715,229 <br />Sf Center Donations Fund (1 0 (1 <br />Miscellaneous Donations Fund 10,841 0 10,841 <br />Youth Master Plan Fund 14 0 14 <br />Downtown Economic Devel Loan Fund 155 0 155 <br />Lower Income Housing Fund 1,114,900 0 1,114,900 <br />Ridlleview Morte.ae.e Fund 2,683 0 2,683 <br />Livermore-Pleas Fire Department 98,668 0 98,668 <br />Used Oil Grant Fund 2,257 0 2,257 <br />Law Enforcement 94,038 318,175 318,175 0 94,038 <br />Misc. Federal Block Grant 0 0 0 <br />Lemoine Geoloe.ic Hazard District 11,430 0 11,430 <br />Laurel Creek Geologic Hazard District 9,675 0 9,675 <br />Ponderosa Landscape District 3,482 0 3,482 <br />Windsor Landscaoe District 1,708 0 1,708 <br />Moller Geologic Hazard Dist 5,290 0 5,290 <br />Oak Tree Fann Geologic Hazard Dist (3,229 0 (3,229 <br />Bonde Landscaoe District 2,634 0 2,634 <br />Moller Ranch Landscape District 5,944 0 5,944 <br />Ridgeview Commons Housing 11,002 0 11,002 <br />Oak Tree Fann Landscaoe Dist (1,712 0 (1,712 <br />Community Develop Block Grant 0 0 0 <br />HOME Prooram Fund 0 0 0 <br />HBPOA Maint District 0 0 0 <br />Abandoned Vehicle 2,908 0 2,908 <br />Urban Forestry Fund 6,939 0 6,939 <br />Library Donations Fund 9,138 0 9,138 <br /> Special Revenue Funds $2,117,203 $318,175 $0 $318,175 $0 $2,117,203 <br />TRUST FUNDS <br />2003 & 2004 Certificates of Participation 402,694 583,775 583,775 0 402,694 <br />PTCWD #3 Trust Fund 18,158 0 18,158 <br /> Trust Funds $420,852 $0 $583,775 $583,775 $0 $420,852 <br />TOTAL - ALL FUNDS $16,025,571 $636,350 $4,885,650 $5,336,581 $185,419 $16,210,990 <br /> <br />SR06-085 Appendix A Attachment 1.xlsREC AMEND <br /> <br />A.3 <br />