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Year End Budget Slides 11-22-21General Fund Reserve 1 General Fund Reserve Q3 Q4 Pre-COVID Reserve $80.6 million $80.6 million Use of Reserve in FY 2020 ($3.3 million)($3.3 million) Additional Reserve in FY 2021 $7.8 million $14.1 million Planned use of Reserve in FY 2022 ($5.4 million)($5.9 million) Proposed FY 2022 Reserve $79.7 million $85.5 million General Fund Reserve 2 General Fund Reserve Q3 Q4 Remaining FY 2022 Reserve $79.7 million $85.5 million Renovation of donated Fire Boat ($0.4 million) Set aside for Fire SCBAs replacement ($0.5 million) Addt’l security guards on Ocean Drive ($0.3 million) South Shore daycare buildout & lease ($1.6 million) Addt’l capital project funding ($3.5 million) Proposed FY 2022 Reserve $79 7 million $79 2 million Resort Tax Fund Reserve 3 Resort Tax Fund Reserve Q3 Q4 Pre-COVID Reserve $15.2 million $15.2 million Use of Reserve in FY 2020 ($3.5 million)($3.5 million) Additional Reserve in FY 2021 $15.3 million $22.5 million Planned use of Reserve in FY 2022 ($5.4 million)($6.7 million) Proposed FY 2022 Reserve $21.6 million $27.5 million