Page 497 - 2022-23 Blue Book Vol 2
P. 497

Special Parking Revenue Fund

                                                                                       2021-22         2022-23
                                                                                       Adopted        Proposed
                                                                                        Budget         Budget





            Replacement Parts, Tools,  and  Equipment - Funds are continued for the      1,400,000       1,400,000
            purchase of parts, supplies, and tools needed to repair and maintain electronic
            parking meters.

            Travel and Training  -  Funds  are  provided  for  annual  parking-related           -          32,000
            conferences, exhibits, and work-related training.






            Subtotal Special Purpose Fund Appropriations                             $  42,828,604    $   44,840,000




            GENERAL FUND REIMBURSEMENTS


            Reimbursement of General Fund Costs - Funds are provided to reimburse the    7,365,267        7,776,256
            General Fund for fringe, central services, and department administration and
            support.

            Capital Finance Administration Fund - Funds are provided to pay debt service    6,412,730     6,379,862
            on Municipal Improvement Corporation of Los Angeles bonds issued for the Vine
            Street Garage, the Aiso Street Garage, and the Hollywood and Highland Parking
            Garage.



            Subtotal General Fund Reimbursements                                     $  13,777,997    $   14,156,118


            TOTAL APPROPRIATIONS                                                    $     57,001,201   $    60,016,314




























                                                            1033
   492   493   494   495   496   497   498   499   500   501   502