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DATA PROVIDED AND VERIFIED BY THE CITY OF SANTA ANA <br />Fund Fund description Amount <br />011 GENERAL FUND 127,770,769.23 <br />012 CANNABIS PUBLIC BENEFIT 20,597,509.30 <br />016 CASP CERTIFICATION & TRAINING 523,607.90 <br />020 OTS-TRAFFIC OFFENDER PROGRAM 29,460.83 <br />021 PRCSA CATV FUND 2,216,995.68 <br />022 PRCSA FEE & DONATION 262,216.61 <br />023 INMATE WELFARE FUND 2,585,770.42 <br />024 PD ATHLETIC ACTIVITIES LEAGUE (350,858.67) <br />025 IDB & EZ VOUCHER MONITORING 235,975.61 <br />026 ASSET FORFEITURE FUND 182,781.19 <br />027 PARKING FUND 4,216,365.62 <br />029 SPECIAL GAS TAX 28,497,781.91 <br />030 PROP 1B BOND ACT OF 2006 157,042.11 <br />031 AIR QUALITY IMPR. (AB 2766)723,663.13 <br />032 MEASURE M-STREET CONSTRUCTION (9,099,975.28) <br />033 NEW TRANSPO SYS IMPR AREA B 587,745.98 <br />034 NEW TRANSPO SYS IMPR AREA E 1,797,632.61 <br />035 NEW TRANSPO SYS IMPR AREA F 2,247,283.61 <br />041 TRANSP SYS IMPR AREA A-2 714,765.11 <br />042 TRANSPO SYS IMPR AREA B 9,786.78 <br />043 TRANSPO SYS IMPR AREA C 73,813.36 <br />044 TRANSPO SYS IMPR AREA D 796.15 <br />048 TRANSPO SYS IMPR AREA C-2 327,926.08 <br />049 TRANSPO SYS IMPR AREA G 100,753.84 <br />051 CAPITAL OUTLAY FUND 2,667,955.71 <br />053 CITY SERVICES 6,518,589.31 <br />054 SANITARY SEWER CAPITAL 7,138,923.62 <br />055 SEWER CONNECTION FEE 4,760,740.14 <br />056 SANITARY SEWER SERVICE 10,519,085.12 <br />057 FED CLEAN WATER PROTECTION ENT 7,684,130.87 <br />058 RESIDENTIAL STREET IMPROVEMENT 5,910,024.36 <br />059 SELECT STREET CONSTRUCTION 23,858,782.14 <br />060 WATER REVENUE 42,132,201.01 <br />066 ACQUISITION & CONSTRUCTION (8,029,799.30) <br />067 REGIONAL TRANSP CENTER 811,419.25 <br />068 SANITATION FUND 3,747,213.89 <br />069 REFUSE COLLECTION SERVICE 6,822,817.73 <br />070 EQUIPMENT REPLACEMENT FUND 7,188,014.10 <br />073 BUILDING MAINT FUND 1,483,355.79 <br />  <br />  <br />City Council 5 – 25 12/3/2024