Page 275 - FY 2021-22 Proposed Budget
P. 275

Other Special Purpose Funds
               Actual        Adopted       Estimated                                                    Total
            Expenditures      Budget      Expenditures                                                 Budget
              2019-20        2020-21        2020-21                                                    2021-22
                                        EXPENDITURES AND APPROPRIATIONS

                 422,777         723,437       723,000 Reimbursement of General Fund Costs                 535,722
                                                     Building and Safety Building Permit Fund (Sch. 40)

                       -       5,000,000      2,500,000 Alterations and Improvements                     2,500,000
                       -         100,000       100,000 Bank Fees                                           100,000
                5,276,020     17,112,000     17,112,000 Building and Safety Contractual Services        17,028,000
                4,124,602      4,082,000      3,732,000 Building and Safety Expense and Equipment        2,127,000
                 474,599         534,000       534,000 Building and Safety Lease Costs                     550,000
                 891,989         278,000       278,000 Building and Safety Training                        373,000
                 129,040              -              - Engineering Special Service Fund                          -
                       -     279,746,266             - Reserve for Future Costs                        278,138,642
                  17,006         200,000       200,000 Special Services Costs                              200,000
                1,235,115      7,561,000      7,561,000 Systems Development Project Costs                7,349,000
               63,109,606     65,923,504     55,398,000 Reimbursement of General Fund Costs             56,601,000
                                                     Housing Opportunities for Persons with AIDS Fund (Sch. 41)

                  88,527          90,000        90,000 Outside Auditor                                      90,000
                 124,869         107,800       189,000 Reimbursement of General Fund Costs                 164,875

                                                     Systematic Code Enforcement Fee Fund (Sch. 42)
                   9,156          30,000        71,000 Code Enforcement Training                            30,000
                  23,033              -         57,000 Code Enforcement (SCEP) Fee Study                         -
                 378,713       1,248,000      4,270,000 Contract Programming - Systems Upgrades            828,000
                  17,862              -          5,000 Engineering Special Service Fund                          -
                 183,599         245,000       379,000 Hearing Officer Contract                            245,000
                 741,956         742,500       892,000 Rent and Code Outreach Program                      742,500
                  31,625          37,500        57,000 Service Delivery                                     37,500
                   4,895          45,575        72,000 Translation Services                                 34,500
               19,379,304     19,814,918     15,419,000 Reimbursement of General Fund Costs              4,837,119

                                                     El Pueblo de Los Angeles Historical Monument Fund (Sch. 43)

                       -          50,000             - El Pueblo Parking Automation Project                      -
                 555,300       1,423,142             - Reimbursement of General Fund Costs                       -
                                                     Zoo Enterprise Trust Fund (Sch. 44)

                   9,793              -         80,000 Animal Purchases and Sales                                -
                       -              -       1,513,000 Capital Improvement Exp Prog                             -
                1,364,057             -              - GLAZA Marketing Refund                                    -
                 378,000              -              - Zoo Perimeter Road Repairs                                -
                  43,714              -        116,000 Zoo Programs and Operations                               -




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