| Beaufort County | |||
| General Fund | |||
| Revenues and Expenditures | |||
| Budget vs Actual | |||
| For The Three Months Ended | |||
| September 30, 2001 | |||
| Current Year | Current Year | Prior Year | |
| Budget | Actual | Actual | |
| (12 months) | (3 Months) | (3 Months) | |
| Revenues | |||
| Property Taxes | 30,884,154 | 7,509,564 | 7,227,600 |
| Licenses and Permits | 2,140,025 | 548,745 | 525,782 |
| Intergovernmental | 6,291,483 | 1,526,468 | 1,338,377 |
| Charges for Services | 8,590,509 | 2,106,868 | 1,774,543 |
| Fines and Foreitures | 793,500 | 178,176 | 136,452 |
| Interest | 785,600 | 167,909 | 181,528 |
| Miscellaneous | 161,000 | 38,232 | 34,638 |
| Total Revenues | 49,646,271 | 12,075,962 | 11,218,920 |
| Expenditures | |||
| General Government | 17,451,169 | 4,041,657 | 3,317,284 |
| Public Safety | 24,356,857 | 5,445,701 | 4,900,896 |
| Public Works | 3,817,234 | 831,234 | 651,872 |
| Public Health | 2,071,943 | 692,195 | 642,961 |
| Public Welfare | 672,896 | 140,907 | 138,828 |
| Cultural and Recreation | 2,591,821 | 575,383 | 507,346 |
| Total Expenditures | 50,961,920 | 11,727,077 | 10,159,187 |
| Excess Revenues over Expenditrues | (1,315,649) | 348,885 | 1,059,733 |
| Other Financing Sources | |||
| Transfers in | 36,250 | 10,000 | 10,000 |
| Transfers out | (3,719,813) | (933,620) | (1,020,241) |
| Total Other Financing Sources | (3,683,563) | (923,620) | (1,010,241) |
| Excess Revenues and Other Sources | |||
| Over Expenditures and Other Uses | (5,299,212) | (574,735) | 49,492 |
| Fund Balance July 1, 2001 | 10,954,868 | ||
| Projected Fund Balance June 30, 2002 | 5,655,656 | ||
FY2002 Revenue and Expenditures 0930011
| Beaufort County | |||
| General Fund | |||
| Revenues and Expenditures | |||
| Budget vs Actual | |||
| For The Three Months Ended | |||
| September 30, 2001 | |||
| Current Year | Current Year | Prior Year | |
| Budget | Actual | Actual | |
| (12 months) | (3 Months) | (3 Months) | |
| Revenues | |||
| Property Taxes | 30,884,154 | 7,509,564 | 7,227,600 |
| Licenses and Permits | 2,140,025 | 548,745 | 525,782 |
| Intergovernmental | 6,291,483 | 1,526,468 | 1,338,377 |
| Charges for Services | 8,590,509 | 2,106,868 | 1,774,543 |
| Fines and Foreitures | 793,500 | 178,176 | 136,452 |
| Interest | 785,600 | 167,909 | 181,528 |
| Miscellaneous | 161,000 | 38,232 | 34,638 |
| Total Revenues | 49,646,271 | 12,075,962 | 11,218,920 |
| Expenditures | |||
| General Government | 17,451,169 | 4,041,657 | 3,317,284 |
| Public Safety | 24,356,857 | 5,445,701 | 4,900,896 |
| Public Works | 3,817,234 | 831,234 | 651,872 |
| Public Health | 2,071,943 | 692,195 | 642,961 |
| Public Welfare | 672,896 | 140,907 | 138,828 |
| Cultural and Recreation | 2,591,821 | 575,383 | 507,346 |
| Total Expenditures | 50,961,920 | 11,727,077 | 10,159,187 |
| Excess Revenues over Expenditrues | (1,315,649) | 348,885 | 1,059,733 |
| Other Financing Sources | |||
| Transfers in | 36,250 | 10,000 | 10,000 |
| Transfers out | (3,719,813) | (933,620) | (1,020,241) |
| Total Other Financing Sources | (3,683,563) | (923,620) | (1,010,241) |
| Excess Revenues and Other Sources | |||
| Over Expenditures and Other Uses | (5,299,212) | (574,735) | 49,492 |
| Fund Balance July 1, 2001 | 10,954,868 | ||
| Projected Fund Balance June 30, 2002 | 5,655,656 | ||