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2022-23 Proposed LJ 5,135,674 $ 5,135,674 $ 5,135,674
2021-22 Revised LJ 5,010,000 $ 5,010,000 $ 5,010,000
2021-22 Budget 5,010,000 $ 5,010,000 $ 5,010,000
General Fund Departmental Receipts
2020-21 Actual 4,430,823 $ 4,430,823 $ 4,430,823
2019-20 Actual 4,717,689 $ 4,717,689 $ 4,717,689
2018-19 Actual 5,303,066 $ 5,303,066 $ 5,303,066 203
2017-18 LJ C _____.I Actual 5,760,286 $ 5,760,286 $ 5,760,286
Water & Electricity ___ REIMB FROM OTHER FUNDS COST REIMBURSEMENT FROM LIBRARY REIMB FROM OTHER FUNDS Water & Electricity
.____ Class/ Revenue Source 530 5370 TOTAL Total