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Net General Fund Impact2FY20‐21 FY20‐21 FY20‐21 FY20‐21Original Updates Prior Midyear UpdatedBudget to Midyear** Updates BudgetBeginning Balance 70,822,050$     11,046,654$     ‐$               81,868,704$    Revenue 307,392,970     500,000             15,695,173   323,588,143    Expenditures (307,026,470)    (8,334,040)        2,129,737     (313,230,773)  Net Transfers (18,921,560)      2,351,900          (4,720,600)    (21,290,260)     Net Activity (18,555,060)$    (10,932,890)$  Estimated Ending Balance 52,266,990$     70,935,814$    Operating Reserve (16.67% of annual revenue) (51,242,408)      (53,858,793)     Economic Uncertainty Reserve (minimum 1%) (1,000,000)        (3,230,881)       Estimated Available at June 30, 2021 24,582$             13,846,139$    **Updates prior to Midyear include City Council approved items such as carryover of unspent FY19‐20appropriations, sale of the YMCA Building, funding for Clean & Safe, and COVID‐19 Testing.