Page 442 - FY 2021-22 Blue Book Volume 2
P. 442

Solid Waste Resources Revenue Fund

                                                                                       2020-21            2021-22
                                                                                   Adopted Budget        Proposed
                                                                                                          Budget

             SPECIAL PURPOSE FUND APPROPRIATIONS

             Arbitrage  –  Funds provided for the arbitrage costs, as needed, for    $           40,000   $             40,000
             outstanding revenue bonds.

             Central Los Angeles Recycling and  Transfer Station  Community                550,000             550,000
             Amenities Fee – Funds are provided for financing community amenities
             within Council District 14.

             Debt  Administration  –  Funds  are  provided  for  the  issuance  and         12,000              12,000
             administration costs for revenue bonds.


             Debt Service – Funds are provided for the payment of principal and interest   28,696,425       23,953,175
             on outstanding revenue bonds.


             Department of Water and Power Fees – Funds are provided for the costs       1,315,200           1,315,200
             of billing and collection of the Solid Waste and Multi-family Bulky Item fees.

             Neighborhood Empowerment Fund – Funds are provided to reimburse                60,445              60,445
             the Department of Neighborhood Empowerment for one position that
             conducts outreach at Neighborhood Councils.

             Public Works  –  Sanitation Expense and Equipment  –  Funds are           113,823,671         113,823,671
             provided for non-capital expenses  and equipment for the  Bureau of
             Sanitation, which include tip fees, container replacements, and minor facility
             repairs.

             Utilities – Funds are provided to pay for water and electricity expenses at   1,000,000         1,000,000
             Solid Resources facilities.  These expenses were previously paid out of the
             Citywide Water and Electricity Fund.

             Reimbursement of General Fund Costs  –  Funds are provided to                 84,216,087          18,621,447
             reimburse the General Fund for fringe and central services indirect costs.
             The subsidy provided by the General Fund in 2021-22 is $73,141,023.
                 Subtotal Special Purpose Fund Appropriations                      $     229,713,828   $     159,375,938
                 TOTAL APPROPRIATIONS                                              $     392,727,609   $     319,493,245





















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