Administration Division
| 2021-22 | 2022-23 | 2023-24 | 2024-25 |
Actual | Actual | Actual | Budget |
Total Revenue |
22,521 |
27,262 |
29,849 |
30,766 |
Operating Transfers |
253,855 |
291,239 |
322,767
|
312,643 |
Total Revenue & Transfers |
276,377 |
318,501 |
352,616 |
343,408 |
Total Compensation |
216,251 |
241,807 |
260,167 |
273,348 |
Total Non Compensation without Recharge Income |
106,162 |
127,904 |
118,790 |
97,184 |
Total Expenses without Recharge Income |
322,413 |
369,712 |
378,956 |
370,532 |
Total Recharge Income |
67,459 |
48,841 |
50,361 |
52,988 |
Net Operating Surplus/(Deficit) |
21,422 |
(2,370) |
24,021 |
25,865 |
Changes in Fund Balance - Pos/(Neg) |
(19,471) |
(500) |
(14,001) |
(16,848) |
Change in Net Assets - Pos/(Neg) |
1,951 |
(2,870) |
10,091 |
9,017 |
Beginning Balance |
15,187 |
17,138 |
14,267 |
24,287 |
Ending Balance |
17,138 |
14,268 |
24,287 |
33,304 |
Notes: |
1. Source of data: Cal Reporting, POV Current Funds, Year Total, Final, and Amount in $000s. |
2. International House has a special arrangement with an Agency Fund. This table only includes its activities in Current Funds. |
3. Recharge Income is recorded as a credit of Non-Comp in the ledger. These tables present them separately. |
4. Changes in Fund Balance include divisional sweep. |
5. 2024-25 Operating Transfers and Expenses include adjustments upon the campus budget decisions. |