Page 221 - FY 2022-23 Proposed Budget
P. 221

Tax and Revenue Anticipation Notes


           A sum is appropriated to this Fund for payment of the entire debt service on tax and revenue anticipation notes issued
           to pay the annual contributions to both the Los Angeles City Employees' Retirement System (Retirement Fund) and the
           Fire and Police Pension Fund (Pension Fund) in July. The additional interest earned by the Pension and Retirement
           Funds from this early payment is used to discount the required City contribution to both Funds without reducing its
           annual receipts. A sum is also appropriated to this Fund for the interest portion of the debt service on notes issued to
           alleviate the short-term cash flow deficits that occur early in the fiscal year when certain taxes and revenues have not
           yet been received. The principal portion of the notes has not been appropriated in the budget since the principal is
           treated as temporary borrowing rather than expenditure.

               Actual        Adopted       Estimated                                                    Total
            Expenditures      Budget      Expenditures                                                 Budget
              2020-21        2021-22        2021-22                                                    2022-23
                                        EXPENDITURES AND APPROPRIATIONS

                                                     General Fund
              741,462,633    724,711,122    723,180,000 Debt Service - Pensions                        683,810,474
              534,673,651    601,349,841    602,440,000 Debt Service - Retirement                      647,023,580
                1,902,606      7,625,108       985,000 Debt Service - Cash Flow                         13,511,878

            1,278,038,890  1,333,686,071  1,326,605,000 Total Tax and Revenue Anticipation Notes      1,344,345,932


               Actual        Adopted       Estimated                                                    Total
            Expenditures     Budget       Expenditures                                                 Budget
              2020-21        2021-22        2021-22                                                    2022-23

                                                  SOURCES OF FUNDS
             1,278,038,890  1,333,686,071  1,326,605,000 General Fund                                1,344,345,932
             1,278,038,890  1,333,686,071  1,326,605,000 Total Funds                                 1,344,345,932





































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