Laserfiche WebLink
EXHIBIT 1 <br />Fund 020 <br />- Traffic Offender Program $ <br />48,770 <br />Fund 023 <br />- Inmate Welfare Fund <br />1,693,360 <br />Fund 024 <br />- Police Special Revenue Fund <br />744,050 <br />Fund 026 <br />- Criminal Activites <br />69,040 <br />Fund 029 <br />- Special Gas Tax <br />14,500,270 <br />Fund 074 <br />- Civic Center Authority (PRCSA) <br />6,612,220 <br />Fund 074 <br />- Civic Center Authority (Police) <br />2,225,380 <br />Fund 133 <br />- Housing Authority Issuer Fee <br />95,000 <br />Fund 166 <br />- US DOJ Asset Forfeiture Fund <br />860,930 <br />Fund 167 <br />- US Treasury Asset Forfeiture <br />136,470 <br />Fund 417 <br />- Inclusionary Housing <br />6,078,830 <br />Fund 607 <br />- Santa Ana Financing Authority <br />1,497,720 <br />Fund 655 <br />- 2018 A & B Tax Allocation Refunding Bonds <br />3,042,160 <br />Fund 670 <br />- City of Santa Ana Redevelopment Agency <br />840,000 <br />Fund 671- <br />City of Santa Ana Redevelopment Agency Obligation Rei <br />3,709,140 <br />Total Other Restricted Funds $ <br />42,153,340 <br />Fund 032 <br />- Measure M <br />$ 15,160,200 <br />Fund 034 <br />- New Transportation System Improvement Area E <br />119,750 <br />Fund 035 <br />- New Transportation System Improvement Area F <br />130,000 <br />Fund 054 <br />- Sewer Capital Recovery Fund <br />10,915,000 <br />Fund 059 <br />- Select Street Construction <br />7,046,890 <br />Fund 148 <br />- Traffic Saftey Management Program <br />12,610,000 <br />Fund 224 <br />- Local Drainage Area IV <br />181,500 <br />Fund 312 <br />- Residential Development District 2 <br />550,000 <br />Fund 313 <br />- Residential Development District 3 <br />2,800,000 <br />Fund 400 <br />- Policing Building Debt Service Fund <br />4,623,300 <br />Fund 404 <br />- City of Santa Ana Lease Financing Debt Service <br />5,172,350 <br />Fund 418 <br />- Peebler Capital Fund <br />6,969,990 <br />Total Capital <br />Funds <br />$ 66,278,980 <br />Fund 027 <br />- Parking Operations <br />$ 5,392,860 <br />Fund 056 <br />- Sanitary Sewer Fund <br />8,032,640 <br />Fund 057 <br />- Federal Clean Water Protection <br />4,991,220 <br />Fund 060 <br />- Water Enterprise <br />76,180,850 <br />Fund 066 <br />- Water Utility Capital Construction <br />27,150,000 <br />Fund 067 <br />- Santa Ana Regional Transportation Center <br />1,962,000 <br />Fund 068 <br />- Sanitiation Fund <br />8,346,330 <br />Fund 069 <br />- Refuse Collection <br />14,891,500 <br />Total Enterprise Funds <br />$ 146,947,400 <br />GRANDTOTAL <br />$ 669,948,530 <br />65D-12 <br />