Revised 7/8/2026
CITY OF BUSHNELL FISCAL YEAR 2026-2027 BUDGET
WASTEWATER REVENUES - 426Actual 2023-2024Actual 2024-20252025-2026 Budget7 Month Actual Year to DateEstimated 2025-20262026-2027 Budget
PROCEEDS FROM DEBT ISSUANCE00050,00150,00153,000
004 SRF GRANT PROCEEDS0000604,0550
***SUBTOTALS***00050,001654,05653,000
WASTEWATER EXPENDITURES - 4250Actual 2023-2024Actual 2024-20252025-2026 Budget7 Month Actual Year to DateEstimated 2025-20262026-2027 Budget
00 PROFESSIONAL SERVICES00041,60541,60550,000
000 OTHER CURRENT CHARGES0005188881,000
000 INTEREST - LINE OF CREDIT0001,1451,9632,000
***SUBTOTALS***00043,26844,45653,000
BUDGET EXCESS/DEFICIENCY0006,733609,6000
Less Cash Provided From Operations For Capital/Funding Source0000609,600
Net income after Capitalization (Fund Balance Additions)0006,73300