Page 217 - FY 2022-23 Revenue Outlook
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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
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