HomeMy WebLinkAbout2023-02 TCSD ResolutionRESOLUTION NO. CSD 2023-02
A RESOLUTION OF THE BOARD OF DIRECTORS OF THE
TEMECULA COMMUNITY SERVICES DISTRICT OF THE
CITY OF TEMECULA AMENDING THE FISCAL YEAR
2022-23 ANNUAL OPERATING BUDGETS
THE BOARD OF DIRECTORS OF THE TEMECULA COMMUNITY SERVICES
DISTRICT OF THE CITY OF TEMECULA DOES HEREBY RESOLVE AS FOLLOWS:
Section 1. The purpose of this review is to conduct an analysis of revenues and
expenditures to ensure that the Temecula Community Services District (TCSD) maintains a
prudent and healthy fiscal position.
Section 2. That each year a Mid -Year review is conducted of all Temecula Community
Services (TCSD) operating budgets.
Section 3. That the Mid -Year review has been completed and the recommended
adjustments are reflected in the schedules attached hereto as Exhibit A.
Section 4. That the Fiscal Year 2022-23 TCSD operating budgets are amended in
accordance with the attached schedules.
PASSED, APPROVED, AND ADOPTED by the Board of Directors of the Temecula
Community Services District of the City of Temecula this 14th day of-F-apruary, 2023.
James Stewart, President
ATTEST
Randi Johl,
[SEAL]
STATE OF CALIFORNIA )
COUNTY OF RIVERSIDE ) ss
CITY OF TEMECULA )
I, Randi Johl, Secretary of the Temecula Community Services District of the City of
Temecula, do hereby certify that the foregoing Resolution No. CSD 2023-02 was duly and
regularly adopted by the Board of Directors of the Temecula Community Services District of the
City of Temecula at a meeting thereof held on the 14'h day of February, 2023, by the following
vote:
AYES: 5 BOARD MEMBERS: Alexander, Brown, Kalfus, Schwank,
Stewart
NOES: 0 BOARD MEMBERS: None
ABSTAIN: 0 BOARD MEMBERS: None
ABSENT: 0 BOARD MEMBERS: None
Randi Johl, Secretary
N
EXHIBIT A
FUND: 190 - TEMECULA COMMUNITY SERVICES DISTRICT FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Taxes and Franchises
Special Tax (Measure C)1,923,561 1,891,352 45,539 1,891,352 0 0.0 %
Licenses, Permits and Service Charges
Development Impact Fees 902 500 391 500 0 0.0 %
Contract Classes 823,734 800,000 622,584 1,000,000 200,000 25.0 %
Classes/Activities 59,239 39,162 30,302 39,360 198 0.5 %
Facility Rentals 295,437 251,457 219,980 371,645 120,188 47.8 %
Aquatics 227,981 132,912 98,940 128,312 (4,600)-3.5 %
Museum Admissions 91,610 97,612 53,199 97,612 0 0.0 %
Theater Admissions 266,927 246,000 191,881 246,000 0 0.0 %
Sports Leagues & Tournaments 190,761 156,305 98,680 180,208 23,903 15.3 %
Day Camps 113,187 79,540 9,988 79,540 0 0.0 %
Fines and Forfeitures
Fines & Forfeitures 50 0 0 0 0 0.0 %
Use of Money and Property
Investment Interest (25,199)0 5,006 0 0 0.0 %
Reimbursements
Other Reimbursements 172,308 83,000 122,965 85,845 2,845 3.4 %
Operating Transfers In
Operating Transfers In 0 1,000,000 0 1,000,000 0 0.0 %
Contribution From Measure S 10,002,131 11,784,280 5,892,140 10,295,571 (1,488,709)-12.6 %
Miscellaneous
Miscellaneous 94,479 59,560 20,018 83,766 24,206 40.6 %
Total Revenues and Other Sources 14,237,109 16,621,680 7,411,612 15,499,712 (1,121,968)-6.8 %
Expenditures by Category
Salaries & Benefits 7,797,103 9,171,900 4,941,922 9,285,417 113,517 1.2 %
Operations & Maintenance 3,908,584 5,043,725 3,076,398 5,219,169 175,444 3.5 %
Internal Service Fund Allocations 1,942,165 2,363,872 1,249,966 2,363,872 0 0.0 %
Capital Outlay 248,732 116,784 0 116,784 0 0.0 %
Total Expenditures and Other Financing
Uses 13,896,584 16,696,281 9,268,286 16,985,242 288,961 1.7 %
Excess of Revenues Over (Under) Expenditures 340,525 (74,601)(1,856,674)(1,485,530)(1,410,929)1,891.3 %
Fund Balance, Beginning of Year 1,238,945 1,579,470 1,579,470
Fund Balance, End of Year 1,579,470 1,504,869 93,940
Fund Description
Citywide Operations reflects the collection of the Special Tax (Measure C) charged to households for recreation programs as well as
fees for classes and activities. Accounts for facility operations, maintenance, and community recreation programs. Measure C was
approved by residents in 1997 at a rate of $74.44 per parcel for the purpose of maintaining the City's parks, recreation facilities,
arerial street lighting and traffic signals. The Special Tax revenue is allocated equally between TCSD and the General Fund to fund
both recreation programs and parks maintenance.
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 191 - TCSD SERVICE LEVEL "B" STREETLIGHT REPLACEMENT FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Expenditures by Category
Operations & Maintenance 87 0 0 0 0 0.0 %
Total Expenditures and Other Financing
Uses 87 0 0 0 0 0.0 %
Excess of Revenues Over (Under) Expenditures (87)0 0 0 0 0.0 %
Fund Balance, Beginning of Year 0 (87)(87)
Fund Balance, End of Year (87)(87)(87)
Fund Description
This fund was established to accumulate resources for the replacement of street light equipment, poles and lightbulbs, as the City
has acquired street lights from Southern California Edison.
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 192 - TCSD SERVICE LEVEL "B" STREET LIGHTS FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 640,790 640,767 3,668 640,767 0 0.0 %
Use of Money and Property
Investment Interest (6,965)1,378 415 0 (1,378)-100.0 %
Total Revenues and Other Sources 633,825 642,145 4,083 640,767 (1,378)-0.2 %
Expenditures by Category
Operations & Maintenance 285,166 502,030 132,123 502,030 0 0.0 %
Transfers 852,930 0 0 0 0 0.0 %
Total Expenditures and Other Financing
Uses 1,138,096 502,030 132,123 502,030 0 0.0 %
Excess of Revenues Over (Under) Expenditures (504,271)140,115 (128,040)138,737 (1,378)-1.0 %
Fund Balance, Beginning of Year 761,638 257,367 257,367
Fund Balance, End of Year 257,367 397,481 396,103
Fund Description
Service Level B reflects the collection of benefit assessments charged to property owners. Service Level B includes only those
parcels within residential subdivisions that receive residential street lighting services. This service level includes operational,
administrative, maintenance and utility costs of residential street lights.
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 194 - TCSD SERVICE LEVEL "D" REFUSE/RECYCLING FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 8,913,039 9,450,621 52,277 9,550,621 100,000 1.1 %
Recycling Program 5,000 153,929 0 153,929 0 0.0 %
Use of Money and Property
Investment Interest (872)1,500 (327)0 (1,500)-100.0 %
Intergovernmental Revenues
Grants 0 0 159,957 0 0 0.0 %
Total Revenues and Other Sources 8,917,167 9,606,050 211,907 9,704,550 98,500 1.0 %
Expenditures by Category
Salaries & Benefits 67,898 71,467 39,714 71,467 0 0.0 %
Operations & Maintenance 8,756,428 9,464,999 (14,223)9,564,999 100,000 1.1 %
Total Expenditures and Other Financing
Uses 8,824,325 9,536,466 25,491 9,636,466 100,000 1.0 %
Excess of Revenues Over (Under) Expenditures 92,842 69,584 186,416 68,084 (1,500)-2.2 %
Fund Balance, Beginning of Year 186,902 279,744 279,744
Fund Balance, End of Year 279,744 349,327 347,827
Fund Description
Service Level D Fund is used to collect benefit assessments charged to property owners for the purpose of providing refuse
collection, recycling, and street sweeping throughout the City, which is provided by CR&R. In addition, Service Level D has received
grants to increase recycling efforts Citywide.
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 195 - TCSD SERVICE LEVEL "R" STREET/ROAD MAINT FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 115 5,532 0 5,532 0 0.0 %
Use of Money and Property
Investment Interest (201)0 16 0 0 0.0 %
Total Revenues and Other Sources (86)5,532 16 5,532 0 0.0 %
Expenditures by Category
Operations & Maintenance 3,321 10,532 0 10,532 0 0.0 %
Total Expenditures and Other Financing
Uses 3,321 10,532 0 10,532 0 0.0 %
Excess of Revenues Over (Under) Expenditures (3,407)(5,000)16 (5,000)0 0.0 %
Fund Balance, Beginning of Year 30,688 27,281 27,281
Fund Balance, End of Year 27,281 22,281 22,281
Fund Description
Service Level R Fund reflects the operational, administrative, construction and maintenance costs for certain unpaved roads that
become inaccessible after inclement weather. Zone R-1 provides service in the Nicolas/Liefer Road area. The maximum rate that
can be charged for Zone R-1 for an improved parcel is $115.26 and for an unimproved parcel is $57.62.
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 196 - TCSD SERVICE LEVEL "L" LAKE PARK MAINT. FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 250,186 251,691 (25)251,691 0 0.0 %
Harveston Lake Boat Revenue 7,211 4,200 3,001 4,200 0 0.0 %
Use of Money and Property
Investment Interest (3,145)2,650 346 0 (2,650)-100.0 %
Miscellaneous
Miscellaneous 0 0 1,815 22,500 22,500 100.0 %
Total Revenues and Other Sources 254,252 258,541 5,137 278,391 19,850 7.7 %
Expenditures by Category
Salaries & Benefits 29,581 11,459 6,731 11,459 0 0.0 %
Operations & Maintenance 257,342 291,727 166,261 291,727 0 0.0 %
Total Expenditures and Other Financing
Uses 286,922 303,186 172,992 303,186 0 0.0 %
Excess of Revenues Over (Under) Expenditures (32,670)(44,645)(167,855)(24,795)19,850 -44.5 %
Fund Balance, Beginning of Year 409,961 377,291 377,291
Fund Balance, End of Year 377,291 332,646 352,496
Fund Description
Service Level L Fund reflects the benefit assessments charged to property owners for the purpose of maintaining the Harveston Lake
Park. Expenditures include operational, administrative and maintenance costs.
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 197 - TEMECULA LIBRARY FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Printing & Copies 6,924 6,419 4,969 6,419 0 0.0 %
Fines and Forfeitures
Fines & Forfeitures 25,446 16,000 15,287 16,000 0 0.0 %
Use of Money and Property
Investment Interest (4,206)3,000 231 0 (3,000)-100.0 %
Lease/Rental Income 10,268 8,120 9,067 8,120 0 0.0 %
Operating Transfers In
Contribution From Measure S 947,149 975,563 487,782 975,563 0 0.0 %
Total Revenues and Other Sources 985,581 1,009,102 517,335 1,006,102 (3,000)-0.3 %
Expenditures by Category
Salaries & Benefits 158,714 218,817 105,256 218,817 0 0.0 %
Operations & Maintenance 511,742 541,111 223,070 526,111 (15,000)-2.8 %
Internal Service Fund Allocations 321,367 359,643 185,531 359,643 0 0.0 %
Capital Outlay 0 0 0 30,829 30,829 100.0 %
Total Expenditures and Other Financing
Uses 991,823 1,119,572 513,857 1,135,401 15,829 1.4 %
Excess of Revenues Over (Under) Expenditures (6,242)(110,470)3,478 (129,299)(18,829)17.0 %
Fund Balance, Beginning of Year 531,981 525,739 525,739
Fund Balance, End of Year 525,739 415,270 396,441
Fund Description
The Library Fund is used to account for the maintenance and operations of the Ronald H. Roberts Temecula Public Library on Pauba
Road.
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 501 - SERVICE LEVEL"C"ZONE 1 SADDLEWOOD FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 37,944 37,932 0 37,932 0 0.0 %
Use of Money and Property
Investment Interest (98)21 30 0 (21)-100.0 %
Total Revenues and Other Sources 37,846 37,953 30 37,932 (21)-0.1 %
Expenditures by Category
Salaries & Benefits 2 0 0 0 0 0.0 %
Operations & Maintenance 39,158 37,619 29,741 37,619 0 0.0 %
Total Expenditures and Other Financing
Uses 39,161 37,619 29,741 37,619 0 0.0 %
Excess of Revenues Over (Under) Expenditures (1,315)334 (29,711)313 (21)-6.3 %
Fund Balance, Beginning of Year 14,333 13,018 13,018
Fund Balance, End of Year 13,018 13,352 13,331
Fund Description
Service Level C Fund reflects the collection of benefit assessments charged to property owners for the purpose of providing
perimeter landscaping and slope maintenance throughout the City. Service Level C assesses only those parcels within residential
subdivisions receiving TCSD perimeter landscaping and slope maintenance and are separated into 32 zones. The rate levels for
Zones 6 and 29, are subject to a Consumer Price Index-Urban Consumers (CPI-U) annual inflator while all other rate levels will not
increase. Zones 30-32 will not be assessed, as the property owners have elected to have the landscaping maintained by the
respective Homeowner's Associations (HOAs).
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 502 - SERVICE LEVEL"C"ZONE 2 WINCHESTER CREEK FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 42,659 42,542 0 42,542 0 0.0 %
Use of Money and Property
Investment Interest (864)57 76 0 (57)-100.0 %
Total Revenues and Other Sources 41,795 42,599 76 42,542 (57)-0.1 %
Expenditures by Category
Salaries & Benefits 27 0 0 0 0 0.0 %
Operations & Maintenance 36,678 59,360 26,949 59,360 0 0.0 %
Total Expenditures and Other Financing
Uses 36,705 59,360 26,949 59,360 0 0.0 %
Excess of Revenues Over (Under) Expenditures 5,090 (16,761)(26,873)(16,818)(57)0.3 %
Fund Balance, Beginning of Year 111,673 116,763 116,763
Fund Balance, End of Year 116,763 100,002 99,945
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 503 - SERVICE LEVEL"C"ZONE 3 RANCHO HIGHLANDS FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 47,534 47,328 0 47,328 0 0.0 %
Use of Money and Property
Investment Interest (362)29 44 0 (29)-100.0 %
Total Revenues and Other Sources 47,171 47,357 44 47,328 (29)-0.1 %
Expenditures by Category
Salaries & Benefits 27 0 0 0 0 0.0 %
Operations & Maintenance 35,529 50,859 34,582 50,859 0 0.0 %
Total Expenditures and Other Financing
Uses 35,557 50,859 34,582 50,859 0 0.0 %
Excess of Revenues Over (Under) Expenditures 11,615 (3,502)(34,537)(3,531)(29)0.8 %
Fund Balance, Beginning of Year 46,464 58,079 58,079
Fund Balance, End of Year 58,079 54,577 54,548
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 504 - SERVICE LEVEL"C"ZONE 4 THE VINEYARDS FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 6,394 6,394 0 6,394 0 0.0 %
Use of Money and Property
Investment Interest (36)4 5 0 (4)-100.0 %
Total Revenues and Other Sources 6,358 6,398 5 6,394 (4)-0.1 %
Expenditures by Category
Salaries & Benefits 102 0 0 0 0 0.0 %
Operations & Maintenance 5,171 6,503 4,410 6,503 0 0.0 %
Total Expenditures and Other Financing
Uses 5,273 6,503 4,410 6,503 0 0.0 %
Excess of Revenues Over (Under) Expenditures 1,085 (105)(4,405)(109)(4)3.8 %
Fund Balance, Beginning of Year 4,727 5,812 5,812
Fund Balance, End of Year 5,812 5,707 5,703
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 505 - SERVICE LEVEL"C"ZONE 5 SIGNET SERIES FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 39,365 39,025 0 39,025 0 0.0 %
Use of Money and Property
Investment Interest (211)14 20 0 (14)-100.0 %
Total Revenues and Other Sources 39,154 39,039 20 39,025 (14)0.0 %
Expenditures by Category
Salaries & Benefits 27 0 0 0 0 0.0 %
Operations & Maintenance 48,406 38,053 26,471 38,053 0 0.0 %
Total Expenditures and Other Financing
Uses 48,434 38,053 26,471 38,053 0 0.0 %
Excess of Revenues Over (Under) Expenditures (9,280)986 (26,451)972 (14)-1.4 %
Fund Balance, Beginning of Year 31,202 21,922 21,922
Fund Balance, End of Year 21,922 22,908 22,894
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 506 - SERVICE LEVEL"C"ZONE 6 WOODCREST COUNTRY FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 27,266 28,625 0 28,625 0 0.0 %
Use of Money and Property
Investment Interest (308)17 26 0 (17)-100.0 %
Total Revenues and Other Sources 26,957 28,642 26 28,625 (17)-0.1 %
Expenditures by Category
Salaries & Benefits 27 0 0 0 0 0.0 %
Operations & Maintenance 24,043 30,755 16,460 30,755 0 0.0 %
Total Expenditures and Other Financing
Uses 24,071 30,755 16,460 30,755 0 0.0 %
Excess of Revenues Over (Under) Expenditures 2,887 (2,113)(16,434)(2,130)(17)0.8 %
Fund Balance, Beginning of Year 36,900 39,787 39,787
Fund Balance, End of Year 39,787 37,674 37,657
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 507 - SERVICE LEVEL"C"ZONE 7 RIDGEVIEW FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 15,314 15,308 0 15,308 0 0.0 %
Use of Money and Property
Investment Interest (70)4 7 0 (4)-100.0 %
Total Revenues and Other Sources 15,245 15,312 7 15,308 (4)0.0 %
Expenditures by Category
Salaries & Benefits 2 0 0 0 0 0.0 %
Operations & Maintenance 17,757 15,179 8,526 15,179 0 0.0 %
Total Expenditures and Other Financing
Uses 17,759 15,179 8,526 15,179 0 0.0 %
Excess of Revenues Over (Under) Expenditures (2,514)133 (8,519)129 (4)-3.0 %
Fund Balance, Beginning of Year 9,992 7,478 7,478
Fund Balance, End of Year 7,478 7,611 7,607
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 508 - SERVICE LEVEL"C"ZONE 8 VILLAGE GROVE FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 137,155 137,025 0 137,025 0 0.0 %
Use of Money and Property
Investment Interest (816)45 100 0 (45)-100.0 %
Total Revenues and Other Sources 136,339 137,070 100 137,025 (45)0.0 %
Expenditures by Category
Salaries & Benefits 13,643 0 0 0 0 0.0 %
Operations & Maintenance 114,724 151,464 113,590 151,464 0 0.0 %
Total Expenditures and Other Financing
Uses 128,368 151,464 113,590 151,464 0 0.0 %
Excess of Revenues Over (Under) Expenditures 7,971 (14,394)(113,491)(14,439)(45)0.3 %
Fund Balance, Beginning of Year 109,757 117,728 117,728
Fund Balance, End of Year 117,728 103,334 103,289
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 509 - SERVICE LEVEL"C"ZONE 9 RANCHO SOLANA FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 5,106 5,106 0 5,106 0 0.0 %
Use of Money and Property
Investment Interest (237)16 15 0 (16)-100.0 %
Total Revenues and Other Sources 4,869 5,122 15 5,106 (16)-0.3 %
Expenditures by Category
Salaries & Benefits 2 0 0 0 0 0.0 %
Operations & Maintenance 3,785 14,115 6,371 14,115 0 0.0 %
Total Expenditures and Other Financing
Uses 3,787 14,115 6,371 14,115 0 0.0 %
Excess of Revenues Over (Under) Expenditures 1,081 (8,993)(6,356)(9,009)(16)0.2 %
Fund Balance, Beginning of Year 31,064 32,145 32,145
Fund Balance, End of Year 32,145 23,153 23,137
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 510 - SERVICE LEVEL"C"ZONE 10 MARTINIQUE FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 9,744 9,744 0 9,744 0 0.0 %
Use of Money and Property
Investment Interest (102)7 10 0 (7)-100.0 %
Total Revenues and Other Sources 9,642 9,751 10 9,744 (7)-0.1 %
Expenditures by Category
Salaries & Benefits 27 0 0 0 0 0.0 %
Operations & Maintenance 10,203 12,052 5,152 12,052 0 0.0 %
Total Expenditures and Other Financing
Uses 10,230 12,052 5,152 12,052 0 0.0 %
Excess of Revenues Over (Under) Expenditures (588)(2,301)(5,142)(2,308)(7)0.3 %
Fund Balance, Beginning of Year 14,882 14,294 14,294
Fund Balance, End of Year 14,294 11,994 11,987
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 511 - SERVICE LEVEL"C"ZONE 11 MEADOWVIEW FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 2,450 2,450 0 2,450 0 0.0 %
Use of Money and Property
Investment Interest (29)1 3 0 (1)-100.0 %
Total Revenues and Other Sources 2,421 2,451 3 2,450 (1)0.0 %
Expenditures by Category
Salaries & Benefits 2 0 0 0 0 0.0 %
Operations & Maintenance 2,854 2,379 1,438 2,379 0 0.0 %
Total Expenditures and Other Financing
Uses 2,856 2,379 1,438 2,379 0 0.0 %
Excess of Revenues Over (Under) Expenditures (435)72 (1,435)71 (1)-1.4 %
Fund Balance, Beginning of Year 3,923 3,488 3,488
Fund Balance, End of Year 3,488 3,561 3,560
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 512 - SERVICE LEVEL"C"ZONE 12 VINTAGE HILLS FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 96,326 96,396 0 96,396 0 0.0 %
Use of Money and Property
Investment Interest (733)41 64 0 (41)-100.0 %
Total Revenues and Other Sources 95,594 96,437 64 96,396 (41)0.0 %
Expenditures by Category
Salaries & Benefits 6,821 0 0 0 0 0.0 %
Operations & Maintenance 119,428 113,543 79,174 113,543 0 0.0 %
Total Expenditures and Other Financing
Uses 126,249 113,543 79,174 113,543 0 0.0 %
Excess of Revenues Over (Under) Expenditures (30,656)(17,106)(79,110)(17,147)(41)0.2 %
Fund Balance, Beginning of Year 116,858 86,202 86,202
Fund Balance, End of Year 86,202 69,097 69,056
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 513 - SERVICE LEVEL"C"ZONE 13 PRESLEY DEVELOP FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 34,173 34,224 0 34,224 0 0.0 %
Use of Money and Property
Investment Interest (218)3 30 0 (3)-100.0 %
Total Revenues and Other Sources 33,955 34,227 30 34,224 (3)0.0 %
Expenditures by Category
Salaries & Benefits 684 0 0 0 0 0.0 %
Operations & Maintenance 29,369 38,151 24,940 38,151 0 0.0 %
Total Expenditures and Other Financing
Uses 30,052 38,151 24,940 38,151 0 0.0 %
Excess of Revenues Over (Under) Expenditures 3,902 (3,924)(24,911)(3,927)(3)0.1 %
Fund Balance, Beginning of Year 30,775 34,677 34,677
Fund Balance, End of Year 34,677 30,754 30,751
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 514 - SERVICE LEVEL"C"ZONE 14 MORRISON HOMES FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 14,774 14,774 0 14,774 0 0.0 %
Use of Money and Property
Investment Interest (95)5 11 0 (5)-100.0 %
Total Revenues and Other Sources 14,679 14,779 11 14,774 (5)0.0 %
Expenditures by Category
Salaries & Benefits 2 0 0 0 0 0.0 %
Operations & Maintenance 14,806 16,247 12,070 16,247 0 0.0 %
Total Expenditures and Other Financing
Uses 14,808 16,247 12,070 16,247 0 0.0 %
Excess of Revenues Over (Under) Expenditures (129)(1,468)(12,058)(1,473)(5)0.3 %
Fund Balance, Beginning of Year 12,311 12,182 12,182
Fund Balance, End of Year 12,182 10,714 10,709
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 515 - SERVICE LEVEL"C"ZONE 15 BARCLAY ESTATES FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 9,904 9,800 0 9,800 0 0.0 %
Use of Money and Property
Investment Interest (92)2 9 0 (2)-100.0 %
Total Revenues and Other Sources 9,812 9,802 9 9,800 (2)0.0 %
Expenditures by Category
Salaries & Benefits 2 0 0 0 0 0.0 %
Operations & Maintenance 10,090 11,038 5,399 11,038 0 0.0 %
Total Expenditures and Other Financing
Uses 10,092 11,038 5,399 11,038 0 0.0 %
Excess of Revenues Over (Under) Expenditures (280)(1,236)(5,390)(1,238)(2)0.2 %
Fund Balance, Beginning of Year 12,013 11,733 11,733
Fund Balance, End of Year 11,733 10,497 10,495
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 516 - SERVICE LEVEL"C"ZONE 16 TRADEWINDS FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 38,022 37,800 0 37,800 0 0.0 %
Use of Money and Property
Investment Interest (542)59 54 0 (59)-100.0 %
Total Revenues and Other Sources 37,480 37,859 54 37,800 (59)-0.2 %
Expenditures by Category
Salaries & Benefits 684 0 0 0 0 0.0 %
Operations & Maintenance 20,918 53,417 29,254 53,417 0 0.0 %
Total Expenditures and Other Financing
Uses 21,601 53,417 29,254 53,417 0 0.0 %
Excess of Revenues Over (Under) Expenditures 15,879 (15,558)(29,200)(15,617)(59)0.4 %
Fund Balance, Beginning of Year 66,211 82,090 82,090
Fund Balance, End of Year 82,090 66,532 66,473
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 517 - SERVICE LEVEL"C"ZONE 17 MONTE VISTA FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 2,116 2,116 0 2,116 0 0.0 %
Use of Money and Property
Investment Interest (17)1 2 0 (1)-100.0 %
Total Revenues and Other Sources 2,099 2,117 2 2,116 (1)0.0 %
Expenditures by Category
Salaries & Benefits 2 0 0 0 0 0.0 %
Operations & Maintenance 1,823 2,089 1,229 2,089 0 0.0 %
Total Expenditures and Other Financing
Uses 1,826 2,089 1,229 2,089 0 0.0 %
Excess of Revenues Over (Under) Expenditures 273 28 (1,227)27 (1)-3.5 %
Fund Balance, Beginning of Year 2,293 2,566 2,566
Fund Balance, End of Year 2,566 2,595 2,594
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 518 - SERVICE LEVEL"C"ZONE 18 TEMEKU HILLS FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 93,342 94,010 0 94,010 0 0.0 %
Use of Money and Property
Investment Interest (473)30 45 0 (30)-100.0 %
Total Revenues and Other Sources 92,869 94,040 45 94,010 (30)0.0 %
Expenditures by Category
Salaries & Benefits 4,094 0 0 0 0 0.0 %
Operations & Maintenance 98,813 89,427 68,140 89,427 0 0.0 %
Total Expenditures and Other Financing
Uses 102,906 89,427 68,140 89,427 0 0.0 %
Excess of Revenues Over (Under) Expenditures (10,037)4,613 (68,095)4,583 (30)-0.7 %
Fund Balance, Beginning of Year 62,293 52,256 52,256
Fund Balance, End of Year 52,256 56,869 56,839
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 519 - SERVICE LEVEL"C"ZONE 19 CHANTEMAR FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 54,612 54,450 0 54,450 0 0.0 %
Use of Money and Property
Investment Interest (604)62 67 0 (62)-100.0 %
Total Revenues and Other Sources 54,009 54,512 67 54,450 (62)-0.1 %
Expenditures by Category
Salaries & Benefits 5,731 0 0 0 0 0.0 %
Operations & Maintenance 48,160 82,041 60,276 82,041 0 0.0 %
Total Expenditures and Other Financing
Uses 53,891 82,041 60,276 82,041 0 0.0 %
Excess of Revenues Over (Under) Expenditures 118 (27,529)(60,209)(27,591)(62)0.2 %
Fund Balance, Beginning of Year 87,754 87,872 87,872
Fund Balance, End of Year 87,872 60,342 60,280
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 520 - SERVICE LEVEL"C"ZONE 20 CROWNE HILL FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 177,513 177,975 0 177,975 0 0.0 %
Use of Money and Property
Investment Interest (1,698)160 195 0 (160)-100.0 %
Total Revenues and Other Sources 175,815 178,135 195 177,975 (160)-0.1 %
Expenditures by Category
Salaries & Benefits 13,638 0 0 0 0 0.0 %
Operations & Maintenance 139,232 191,303 132,438 191,303 0 0.0 %
Total Expenditures and Other Financing
Uses 152,870 191,303 132,438 191,303 0 0.0 %
Excess of Revenues Over (Under) Expenditures 22,944 (13,168)(132,243)(13,328)(160)1.2 %
Fund Balance, Beginning of Year 232,805 255,749 255,749
Fund Balance, End of Year 255,749 242,582 242,422
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 521 - SERVICE LEVEL"C"ZONE 21 VAIL RANCH FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 228,591 228,201 0 228,201 0 0.0 %
Use of Money and Property
Investment Interest (1,227)132 161 0 (132)-100.0 %
Total Revenues and Other Sources 227,365 228,333 161 228,201 (132)-0.1 %
Expenditures by Category
Salaries & Benefits 25,952 0 0 0 0 0.0 %
Operations & Maintenance 211,908 233,386 192,260 233,386 0 0.0 %
Total Expenditures and Other Financing
Uses 237,860 233,386 192,260 233,386 0 0.0 %
Excess of Revenues Over (Under) Expenditures (10,495)(5,053)(192,099)(5,185)(132)2.6 %
Fund Balance, Beginning of Year 195,719 185,224 185,224
Fund Balance, End of Year 185,224 180,170 180,038
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 522 - SERVICE LEVEL"C"ZONE 22 SUTTON PLACE FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 4,408 4,408 0 4,408 0 0.0 %
Use of Money and Property
Investment Interest (79)1 8 0 (1)-100.0 %
Total Revenues and Other Sources 4,329 4,409 8 4,408 (1)0.0 %
Expenditures by Category
Salaries & Benefits 2 0 0 0 0 0.0 %
Operations & Maintenance 3,793 5,955 3,017 5,955 0 0.0 %
Total Expenditures and Other Financing
Uses 3,796 5,955 3,017 5,955 0 0.0 %
Excess of Revenues Over (Under) Expenditures 534 (1,546)(3,009)(1,547)(1)0.1 %
Fund Balance, Beginning of Year 10,707 11,241 11,241
Fund Balance, End of Year 11,241 9,695 9,694
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 523 - SERVICE LEVEL"C"ZONE 23 PHEASENT RUN
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 8,363 8,400 (25)8,400 0 0.0 %
Use of Money and Property
Investment Interest (188)12 18 0 (12)-100.0 %
Total Revenues and Other Sources 8,175 8,412 (7)8,400 (12)-0.1 %
Expenditures by Category
Salaries & Benefits 54 0 0 0 0 0.0 %
Operations & Maintenance 4,401 16,468 6,059 16,468 0 0.0 %
Total Expenditures and Other Financing
Uses 4,455 16,468 6,059 16,468 0 0.0 %
Excess of Revenues Over (Under) Expenditures 3,720 (8,056)(6,067)(8,068)(12)0.1 %
Fund Balance, Beginning of Year 23,667 27,387 27,387
Fund Balance, End of Year 27,387 19,331 19,319
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 524 - SERVICE LEVEL"C"ZONE 24 HARVESTON FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 162,547 162,100 (25)162,100 0 0.0 %
Use of Money and Property
Investment Interest (302)142 76 0 (142)-100.0 %
Total Revenues and Other Sources 162,246 162,242 51 162,100 (142)-0.1 %
Expenditures by Category
Salaries & Benefits 10,927 0 0 0 0 0.0 %
Operations & Maintenance 155,928 162,041 116,369 162,041 0 0.0 %
Total Expenditures and Other Financing
Uses 166,855 162,041 116,369 162,041 0 0.0 %
Excess of Revenues Over (Under) Expenditures (4,609)201 (116,318)59 (142)-70.6 %
Fund Balance, Beginning of Year 55,446 50,837 50,837
Fund Balance, End of Year 50,837 51,038 50,896
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 525 - SERVICE LEVEL"C"ZONE 25 SERENA HILLS FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 43,913 44,000 0 44,000 0 0.0 %
Use of Money and Property
Investment Interest (492)42 51 0 (42)-100.0 %
Total Revenues and Other Sources 43,421 44,042 51 44,000 (42)-0.1 %
Expenditures by Category
Salaries & Benefits 1,366 0 0 0 0 0.0 %
Operations & Maintenance 41,115 56,995 34,418 56,995 0 0.0 %
Total Expenditures and Other Financing
Uses 42,481 56,995 34,418 56,995 0 0.0 %
Excess of Revenues Over (Under) Expenditures 940 (12,953)(34,367)(12,995)(42)0.3 %
Fund Balance, Beginning of Year 69,972 70,912 70,912
Fund Balance, End of Year 70,912 57,959 57,917
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 526 - SERVICE LEVEL"C"ZONE 26 GALLERY TRADITION FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 2,025 2,160 0 2,160 0 0.0 %
Use of Money and Property
Investment Interest (14)0 1 0 0 0.0 %
Total Revenues and Other Sources 2,011 2,160 1 2,160 0 0.0 %
Expenditures by Category
Salaries & Benefits 2 0 0 0 0 0.0 %
Operations & Maintenance 1,929 2,110 1,116 2,110 0 0.0 %
Total Expenditures and Other Financing
Uses 1,931 2,110 1,116 2,110 0 0.0 %
Excess of Revenues Over (Under) Expenditures 80 50 (1,114)50 0 0.0 %
Fund Balance, Beginning of Year 1,921 2,001 2,001
Fund Balance, End of Year 2,001 2,050 2,050
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 527 - SERVICE LEVEL"C"ZONE 27 AVONDALE FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 9,071 9,100 0 9,100 0 0.0 %
Use of Money and Property
Investment Interest (68)2 9 0 (2)-100.0 %
Total Revenues and Other Sources 9,003 9,102 9 9,100 (2)0.0 %
Expenditures by Category
Salaries & Benefits 27 0 0 0 0 0.0 %
Operations & Maintenance 8,605 11,120 4,807 11,120 0 0.0 %
Total Expenditures and Other Financing
Uses 8,632 11,120 4,807 11,120 0 0.0 %
Excess of Revenues Over (Under) Expenditures 371 (2,018)(4,799)(2,020)(2)0.1 %
Fund Balance, Beginning of Year 9,261 9,632 9,632
Fund Balance, End of Year 9,632 7,614 7,612
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 528 - SERVICE LEVEL"C"ZONE 28 WOLF CREEK FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 234,250 232,974 0 232,974 0 0.0 %
Use of Money and Property
Investment Interest (5,457)262 (420)0 (262)-100.0 %
Total Revenues and Other Sources 228,793 233,236 (420)232,974 (262)-0.1 %
Expenditures by Category
Salaries & Benefits 27,314 0 0 0 0 0.0 %
Operations & Maintenance 216,874 230,690 177,788 230,690 0 0.0 %
Transfers 28,346 0 0 0 0 0.0 %
Total Expenditures and Other Financing
Uses 272,534 230,690 177,788 230,690 0 0.0 %
Excess of Revenues Over (Under) Expenditures (43,741)2,546 (178,208)2,284 (262)-10.3 %
Fund Balance, Beginning of Year 336,098 292,357 292,357
Fund Balance, End of Year 292,357 294,903 294,641
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 529 - SERVICE LEVEL"C"ZONE 29 GALLERY PORTRAIT FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments 5,301 4,462 0 4,462 0 0.0 %
Use of Money and Property
Investment Interest (53)4 6 0 (4)-100.0 %
Total Revenues and Other Sources 5,248 4,466 6 4,462 (4)-0.1 %
Expenditures by Category
Salaries & Benefits 2 0 0 0 0 0.0 %
Operations & Maintenance 2,201 3,978 2,538 3,978 0 0.0 %
Total Expenditures and Other Financing
Uses 2,202 3,978 2,538 3,978 0 0.0 %
Excess of Revenues Over (Under) Expenditures 3,046 488 (2,532)484 (4)-0.8 %
Fund Balance, Beginning of Year 5,195 8,241 8,241
Fund Balance, End of Year 8,241 8,729 8,725
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report
FUND: 530 - SERVICE LEVEL"C"ZONE 30 FUTURE ZONES FUND
Description
2021-22
Actuals
2022-23
Current
Budget
Year to Date
Actuals
12-31-2022
2022-23 Q2
Revised
Budget
Requested
Adjustments
% Change
from
Current
Budget
Revenues by Source
Use of Money and Property
Investment Interest (268)268 21 0 (268)-100.0 %
Total Revenues and Other Sources (268)268 21 0 (268)-100.0 %
Excess of Revenues Over (Under) Expenditures (268)268 21 0 (268)-100.0 %
Fund Balance, Beginning of Year 36,330 36,062 36,062
Fund Balance, End of Year 36,062 36,330 36,062
Fund Description
City of Temecula
Fiscal Year 2022-23
Quarterly Budget Report