Page 7 - FY 2020-21 Revenue Outlook
P. 7

TABLE OF CONTENTS (Continued)



                Section
                 3 (Cont.) DETAIL OF DEPARTMENTAL RECEIPTS
                            Public Works Street Lighting………………………………………………...… 198
                            Public Works Street Services………………………………………………...…201
                            Transportation………………………………………………...………………… 206
                            CIEP………………………………………………...…………………………… 211
                            Capital Financing and Administration………………………………………… 213
                            General City Purposes………………………………………………...……… 215
                            Liability Claims………………………………………………...………………… 217
                            Water and Electricity………………………………………………...………… 219
                            Transit Shelter Income………………………………………………...……… 221
                            Civic Center Parking Income………………………………………………...… 223
                            Los Angeles Mall Rental Income……………………………………………… 225
                            Court Fines………………………………………………...…………………… 227
                            General Fund Miscellaneous………………………………………………...… 229



                     4      SPECIAL FUNDS DIRECTLY FINANCING THE BUDGET
                            Summary………………………………………………………………………… 232
                            Solid Waste Fee………………………………………………………………… 233
                            Local Public Safety……………………………………………………………… 234
                            Traffic Safety Fund……………………………………………………………… 235
                            State Gas Tax ……………………………………………………………………236
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