Laserfiche WebLink
CITY OF SANTA ANA <br />NOTES TO SCHEDULE OF MEASURE X REVENUES AND USES/EXPENDITURES <br />YEAR ENDED JUNE 30, 2022 <br />(4) <br />NOTE 1 REVENUES AND USES/EXPENDITURES (CONTINUED) <br />The following is a recap of the activity for fiscal year 2021-22: <br /> <br />Amount <br />Total Measure X Revenue 86,003,001$ <br />Total Measure X Uses/Expenditures 64,036,507$ <br />Additions to Reserves 21,966,494 <br />Subtotal 86,003,001$ <br /> <br />Included in additions to reserves are $13,860,920 of budget carryovers for amounts that <br />have been committed but not yet expended as of June 30, 2022. <br />  <br />City Council 10 – 41 2/21/2023 <br />