Page 230 - FY 2020-21 Revenue Outlook
P. 230
2020-21 Proposed 78,000 $ 78,000 $ 78,000
2019-20 Revised - - - - - - - - - - - - - - - $ - $
2019-20 Budget $ - $ - $ - $ - $ - $ - $ - $ - 70,000 $ 70,000 $ 70,000
General Fund Departmental Receipts
2018-19 Actual - - 7,310 - 4,448 $ 11,758 88,262 $ 88,262 $ 100,021
2017-18 Actual - $ - - $ - 8,785 - - $ 8,785 14,226 $ 14,226 $ 23,012
2016-17 Actual - $ - - $ - - - 3,017 $ 3,017 66,232 $ 66,232 $ 69,249 216
2015-16 Actual
- $ - - $ - 34 - 1,285 $ 1,319 13,842 $ 13,842 $ 15,161
General City Purposes 459 QUASI EXTERNAL TRANSACTIONS SERVICE TO WATER & POWER QUASI EXTERNAL TRANSACTIONS 510 DONATIONS & CONTRIBUTIONS DONATIONS & CONTRIBUTIONS DONATIONS & CONTRIBUTIONS 516 MISCELLANEOUS REVENUE REIMBURSEMENT OF EXPENDITURES DEPOSIT RECEIPTS-AGENCY FUNDS MISCELLANEOUS REVENUE-OTHERS MISCELLANEOUS REVENUE 530 REIMB FROM OTHER FUNDS REIMB FROM OTHER FUNDS REIMB FROM OTHER FUNDS
Class/ Revenue Source 4596 TOTAL 5102 TOTAL 5161 5166 5188 TOTAL 5301 TOTAL Total General City Purposes