Beaufort County | ||||
General Fund | ||||
Revenues and Expenditures | ||||
Budget vs Actual | ||||
For The Six Months Ended | ||||
December 31, 2006 | ||||
Current Year | Current Year | Current | Prior Year | |
Budget | Actual | Year | Actual | |
(12 months) | (6 months) | % | (6 months) | |
Revenues | ||||
Property Taxes | 56,531,000 | 31,153,646 | 55.11% | 29,654,406 |
Licenses and Permits | 6,502,456 | 1,785,779 | 27.46% | 2,068,478 |
Intergovernmental | 6,531,934 | 3,360,498 | 51.45% | 3,030,422 |
Charges for Services | 12,327,407 | 5,762,649 | 46.75% | 6,331,177 |
Fines and Foreitures | 686,500 | 440,920 | 64.23% | 528,746 |
Interest | 501,619 | 226,997 | 45.25% | 61,259 |
Miscellaneous | 245,600 | 237,798 | 96.82% | 250,158 |
Total Revenues | 83,326,516 | 42,968,287 | 51.57% | 41,924,646 |
Expenditures | ||||
General Government | 20,081,313 | 9,013,304 | 44.88% | 8,348,460 |
Public Safety | 38,145,440 | 17,147,239 | 44.95% | 15,428,811 |
Public Works | 17,160,633 | 7,374,664 | 42.97% | 7,025,592 |
Public Health | 2,956,613 | 1,380,529 | 46.69% | 1,369,272 |
Public Welfare | 923,854 | 316,777 | 34.29% | 341,097 |
Cultural and Recreation | 8,243,029 | 3,866,825 | 46.91% | 3,613,656 |
Total Expenditures | 87,510,882 | 39,099,338 | 44.68% | 36,126,888 |
Excess Revenues over Expenditrues | (4,184,366) | 3,868,949 | 5,797,758 | |
Other Financing Sources | ||||
Transfers in | 457,500 | 235,238 | 51.42% | 235,888 |
Transfers out | (2,134,714) | (1,056,857) | 49.51% | (904,222) |
Total Other Financing Sources | (1,677,214) | (821,619) | 48.99% | (668,334) |
Excess Revenues and Other Sources | ||||
Over Expenditures and Other Uses | (5,861,580) | 3,047,330 | 5,129,424 | |
Fund Balance July 1, 2006 | 20,367,493 | 20,367,493 | ||
Projected Fund Balance June 30, 2007 | 14,505,913 | 23,414,823 | ||
*prior year restated to include Solid Waste / Recycling for better comparison | ||||
FY2006 Revenues and Expenditures 2Q 12-31-2006
Beaufort County | ||||
General Fund | ||||
Revenues and Expenditures | ||||
Budget vs Actual | ||||
For The Six Months Ended | ||||
December 31, 2006 | ||||
Current Year | Current Year | Current | Prior Year | |
Budget | Actual | Year | Actual | |
(12 months) | (6 months) | % | (6 months) | |
Revenues | ||||
Property Taxes | 56,531,000 | 31,153,646 | 55.11% | 29,654,406 |
Licenses and Permits | 6,502,456 | 1,785,779 | 27.46% | 2,068,478 |
Intergovernmental | 6,531,934 | 3,360,498 | 51.45% | 3,030,422 |
Charges for Services | 12,327,407 | 5,762,649 | 46.75% | 6,331,177 |
Fines and Foreitures | 686,500 | 440,920 | 64.23% | 528,746 |
Interest | 501,619 | 226,997 | 45.25% | 61,259 |
Miscellaneous | 245,600 | 237,798 | 96.82% | 250,158 |
Total Revenues | 83,326,516 | 42,968,287 | 51.57% | 41,924,646 |
Expenditures | ||||
General Government | 20,081,313 | 9,013,304 | 44.88% | 8,348,460 |
Public Safety | 38,145,440 | 17,147,239 | 44.95% | 15,428,811 |
Public Works | 17,160,633 | 7,374,664 | 42.97% | 7,025,592 |
Public Health | 2,956,613 | 1,380,529 | 46.69% | 1,369,272 |
Public Welfare | 923,854 | 316,777 | 34.29% | 341,097 |
Cultural and Recreation | 8,243,029 | 3,866,825 | 46.91% | 3,613,656 |
Total Expenditures | 87,510,882 | 39,099,338 | 44.68% | 36,126,888 |
Excess Revenues over Expenditrues | (4,184,366) | 3,868,949 | 5,797,758 | |
Other Financing Sources | ||||
Transfers in | 457,500 | 235,238 | 51.42% | 235,888 |
Transfers out | (2,134,714) | (1,056,857) | 49.51% | (904,222) |
Total Other Financing Sources | (1,677,214) | (821,619) | 48.99% | (668,334) |
Excess Revenues and Other Sources | ||||
Over Expenditures and Other Uses | (5,861,580) | 3,047,330 | 5,129,424 | |
Fund Balance July 1, 2006 | 20,367,493 | 20,367,493 | ||
Projected Fund Balance June 30, 2007 | 14,505,913 | 23,414,823 | ||
*prior year restated to include Solid Waste / Recycling for better comparison | ||||