Capital Strategies FY22 Operating Results and FY23 Budget

Capital Strategies

2019-20 2020-21 2021-22 2022-23
Actual  Actual  Actual  Budget
Total Revenue 8,518 8,346 8,219 8,534
Operating Transfers 4,173 4,631 3,957 1,371
Total Revenue & Transfers 12,687 12,977 12,176 9,905
Total Compensation 10,723 10,551 10,044 12,419
45Total Non Compensation without Recharge Income (166) 935 (1,929) (12,159)
Total Expenses without Recharge Income 10,557 11,486 8,115 260
Total Recharge Income (8,632) (7,715) (7,776) (180)
Net Operating Surplus/(Deficit) 10,763 9,206 11,838

9.824

Changes in Fund Balance - Pos/(Neg) (10,913) (19,821) (11,844) (9,809)
Change in Net Assets - Pos/(Neg) (150) (10,615) (6) 16
Beginning Balance 11,972 11,822 1,207 1,229
Ending Balance 11,822 1,207 1,201 1,245
Notes:    
1. Source of data: Cal Reporting, POV Current Funds, Year Total, Final, and Amount in $000s. 
2. Recharge income is recorded as a credit of Non-Comp in the ledger. These tables present them separately.
3. 2020-21, 2021-22, and 2022-23 Changes in Fund Balance include divisional sweep.