Laserfiche WebLink
City of Santa Ana General Fund 11 Revenue Summary Table <br />Account <br />ACTUAL <br />ACTUAL <br />ADOPTED <br />PROPOSED <br />Code <br />Account Description <br />FY 16-17 <br />FY 17-18 <br />FY 18-19 <br />FY 19-20 <br />Miscellaneous <br />57100 <br />Attorney Reimbursement <br />910,026 <br />1,018,765 <br />979,890 <br />700,000 <br />53331 <br />City Events <br />195,461 <br />112,175 <br />100,000 <br />100,000 <br />57000 <br />Expense Reimbursement <br />76,482 <br />102,369 <br />54,124 <br />88,400 <br />57006 <br />Expense Reimbursement - Condemn Deposit <br />0 <br />11 <br />0 <br />0 <br />57901 <br />Indirect Cost Recovery <br />2,463,857 <br />2,581,967 <br />2,700,000 <br />2,839,300 <br />57461 <br />Jail Kitchen Rental <br />29,341 <br />28,532 <br />24,000 <br />28,000 <br />57081 <br />Planning & Building Gifts & Donations <br />1,000 <br />0 <br />0 <br />0 <br />57991 <br />Miscellaneous Receipts <br />2,958 <br />10,819 <br />1,500 <br />1,500 <br />57010 <br />Miscellaneous Recoveries <br />46,187 <br />2,641 <br />16,175 <br />31,700 <br />57895 <br />Monitoring/PI LOT fees <br />93,124 <br />0 <br />0 <br />0 <br />57200 <br />Other Library Recoveries <br />3,448 <br />2,401 <br />2,500 <br />1,200 <br />57402 <br />Police Miscellaneous Reimbursements <br />209,773 <br />25,820 <br />306,955 <br />306,900 <br />57400 <br />Police OT Reimbursement <br />0 <br />199,492 <br />5,000 <br />206,000 <br />57404 <br />Property & Evidence Recovery <br />24,076 <br />10,832 <br />11,000 <br />0 <br />57301 <br />Recreation Expense Reimbursement <br />3,520 <br />7,005 <br />7,000 <br />4,000 <br />50052 <br />Refuse Contract Program Surcharge <br />4,972,000 <br />4,972,000 <br />4,972,000 <br />5,667,200 <br />57700 <br />Refuse Program Savings Recovery <br />1,352,000 <br />1,352,000 <br />1,352,000 <br />1,352,000 <br />57071 <br />Sale of Land <br />0 <br />29,105 <br />2,100,000 <br />0 <br />57770 <br />Sale of Maps and Documents <br />27,454 <br />31,503 <br />30,300 <br />27,700 <br />58001 <br />Stale Dated Checks <br />11,298 <br />0 <br />0 <br />0 <br />53409 <br />Storage of Weapon Fee <br />3,700 <br />900 <br />1,000 <br />1,000 <br />57796 <br />Treasury & Accounting Reimbursement <br />0 <br />0 <br />0 <br />2,217,840 <br />57993 <br />Write -Off of Collections <br />(300) <br />0 <br />0 <br />0 <br />Total Miscellaneous <br />10,425,405 <br />10,488,337 <br />12,663,444 <br />13,572,740 <br />Franchise Fees <br />50053 <br />CAN Franchise Fees <br />1,243,674 <br />1,469,559 <br />1,425,000 <br />1,439,000 <br />50051 <br />Electrical Utility <br />1,162,336 <br />1,217,256 <br />1,400,000 <br />1,250,000 <br />50050 <br />Gas Utility <br />399,149 <br />411,064 <br />533,000 <br />435,000 <br />Total Franchise Fees <br />2,805,060 <br />3,097,879 <br />3,358,000 <br />3,124,000 <br />Charges for Services <br />53416 <br />Animal Quarantines <br />1,550 <br />2,079 <br />5,000 <br />2,000 <br />53911 <br />Advertising -Sponsorship <br />0 <br />0 <br />100,000 <br />0 <br />53600 <br />Building Plan Check <br />3,155,860 <br />1,801,705 <br />2,533,975 <br />2,700,900 <br />51512 <br />Building Standards Revolving fund <br />2,703 <br />(3,122) <br />0 <br />9,000 <br />53301 <br />Center Programs <br />90,657 <br />96,274 <br />90,500 <br />100,100 <br />57601 <br />Code Enforcement Reimbursement <br />0 <br />5,386 <br />0 <br />0 <br />53309 <br />Concession Vending Machines <br />3,600 <br />4,500 <br />5,400 <br />3,900 <br />57470 <br />Copy of Lost Citation <br />44 <br />15 <br />0 <br />100 <br />- 53606 <br />Discretionary Application Fee <br />252,435 <br />407,060 <br />340,000 <br />337,400 <br />53607 <br />EIR Review Fees <br />(24,104) <br />82,021 <br />120,000 <br />66,200 <br />53601 <br />Electrical Plan Check <br />497,175 <br />214,940 <br />256,375 <br />355,200 <br />53415 <br />Emergency Response Reimbursement-PD <br />33,969 <br />46,960 <br />55,000 <br />55,000 <br />15 <br />