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HomeMy WebLinkAbout13-00086 Financial Summary 1-28-2013Southeast Overtown Park West Community Redevelopment Agency Financial Summary December 31, 2012 SEOPW CRA Combined Statement of Financial Position December 31, 2012 Assets Cash - Unrestricted Cash Allocated For Administration (Agency Administration, Outside Legal Counsel and State/Federal Lobbyists) Cash Allocated For Residential Developments/Real Estate Acquisition Cash Allocated For Future Debt Service Relating to the Residential Developments Cash Allocated For Other Redevelopment Expenditures (Job Creation, Quality of Life and Arts and Culture) Cash Allocated For Infrastructure Cash Allocated For Gibson Park and Indoor Basketball Court Total Assets Liabilities and Fund Balance Account Payables Due to FY 2012 Children's Trust Fund Contribution FY 2012 Fund Balance (Audited) Current Year Fiscal Year 2013 Total Liabilities and Fund Balance SEOPW $300,000 $1,636,378 $11,263,635 $5,006,269 $7,219,447 $4,080,627 $4,509,658 $34ti016,015 $0 $403,250 $25,490, 841 $8 121 924 $34,016,015 1 SEOPW CRA Combined Statement of Revenues and Expenditures for the period ended December 31, 2012 SOUTHEAST OVERTOWN PARK WEST FY 2013 FY 2013 FY 2013 APPROVED AS OF %of BUDGET 1213112012 Budget Variance SUMMARY REVENUES I TAX INCREMENT REVENUES $5,791,631 $6,077,996 $1 -$286,365 CONTRIBUTION GOVTS-COUNTY $3,709,255 $3,709,255 $1, $0 CHILDREN TRUST FUND CONTRIBUTION $0 OTHER REVENUES/CARRYOVER FB 2012 $26,376,416 $48,027 $0 $26,328,389 I I TOTAL REVENUES $35,877,302 $9,835,278 $0 $26,042,024 I I EXPENDITURES I 1 COMMUNITY REDEV EXPENSES $34,404,366 $1,608,385 $0 $32,795,981 GENERAL GOVERNMENT $1,272,936 $104,969 $0 $1167,967 BUDGET RESERVE $200,000 $0 $200,000 I 1 TOTAL EXPENDITURES $35,877,302 $1,713,354 $0 $34,163,948 I REVENUE LESS EXPENDITURES $8,121,924 1 1 2