FY 2024-25 Adopted Budget Book

Drainage Fund Revenues Total Budget $1,625,000

DRAINAGE FEES 98.46%

INTEREST & PENALTY FEES 1.54%

Drainage Fund Expenditures Total Budget $1,6 78 ,199

TRANSFERS TO OTHER FUNDS 36.96%

DEBT SERVICE 0.03%

PERSONNEL 35.12%

SERVICES & PROFESSIONAL FEES 27.15%

SUPPLIES 0.74%

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