Page 7 - FY 2022-23 Revenue Outlook
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TABLE OF CONTENTS (Continued)



               Section
                3 (Cont.) DETAIL OF DEPARTMENTAL RECEIPTS
                           Public Works Sanitation………………………………………………...………182
                           Public Works Street Lighting………………………………………………...…184
                           Public Works Street Services………………………………………………... 186
                           Transportation………………………………………………...………………… 190
                           CTIEP………………………………………………...………………………… 194
                           Capital Financing and Administration………………………………………… 196
                           General City Purposes………………………………………………...……… 198
                           Liability Claims………………………………………………...…………………200
                           Water and Electricity………………………………………………...………… 202
                           Transit Shelter Income………………………………………………...……… 204
                           Civic Center Parking Income………………………………………………...…206
                           Los Angeles Mall Rental Income………………………………………………208
                           Court Fines………………………………………………...…………………… 210
                           General Fund Miscellaneous………………………………………………... 212



                    4      SPECIAL FUNDS DIRECTLY FINANCING THE BUDGET
                           Summary………………………………………………………………………… 215
                           Solid Waste Fee…………………………………………………………………216
                           Local Public Safety………………………………………………………………217
                           Traffic Safety Fund………………………………………………………………218
                           State Gas Tax ………………………………………………………………… 219
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