Laserfiche WebLink
NOTE 1 <br />CITY OF SANTA ANA <br />NOTES TO SCHEDULE OF MEASURE X REVENUES AND USES/EXPENDITURES <br />JUNE 30, 2025 <br />REVENUES AND USES/EXPENDITURES (CONTINUED) <br />The revenues are higher than uses/expenditures reported for the period; however, <br />management has designated the excess of approximately $9.4 million as an addition to the <br />general fund balance for carryover appropriations during the year ended June 30, 2025. <br />The following is a recap of the activity for fiscal year 2024-2025: <br />Amount <br />Total Measure X Revenue $ 82,628,202 <br />Total Measure X Uses/Expenditures $ 73,195,580 <br />Additions to General Fund Balance for <br />Carryover Appropriations 9,432,622 <br />Total $ 82,628,202 <br />(4) <br />