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19 <br /> ATTACHMENT 4: Chapel Hill High School/Lincoln Center Projects (Major Facility Renovations Project in CIP) <br /> Project Original Budget Revised Budget Actuals" Balance Remaining Notes <br /> Chapel Hill High School 68,000,000 68,000,000 73,340,493 (5,340,493) Bond Funds <br /> CHHS-Major Renovations -this amount not included in Combined Bond Project 600,900 598,478 598,478 - Older Facilities Funding <br /> Totals Below <br /> Total 68,600,900 68,598,478 73,938,971 (5,340,493) <br /> Available Funds(Capital Reserve Funds): <br /> Lincoln Center Conversion 1,436,000 1,436,000 796,868 639,132 Bond Funds <br /> Major Facility Renovations 1,724,900 1,733,892 - 1,733,892 All in a Contingency account <br /> Total 3,160,900 3,169,892 796,868 2,373,024 <br /> Grand Total-Major Facility Renovations 71,761,800 71,768,370 74,735,839 (2,967,469) <br /> `Actuals as of Munis Report through 6/30/21 <br /> Total CHCCS Projected Expenditures and Revenues: Notes <br /> Total Projected <br /> Combined Bond Projects: Expenditures As estimated by CHCCS Finance <br /> Chapel Hill High School Project $74,965,546 <br /> Lincoln Center Project(includes$750K in Preliminary Planning Exps) 1,546,868 <br /> Total 76,512,414 <br /> Total Projected <br /> Revenues <br /> Bond Funds-Chapel Hill High School(CHHS) 68,000,000 <br /> Bond Funds Used-Lincoln Center 796,868 <br /> Apply Unused Bond Funds from Lincoln Center towards the CHHS Project 639,132 FY 2021-22 Budget Amendment 1 <br /> Advanced Preliminary Planning Funds-Bond Funds 750,000 <br /> Final Tranche of 2016 Bond Funds in FY 2021-22 1,922,000 <br /> Total 2016 Bond Funds 72,108,000 <br /> Estimated Sales Tax Reimbursements 1,200,000 <br /> Additional Incentives and Reimbursements 488,062 Detail of reimbursements below <br /> Contingency Funds-Major Facility Renovations Project towards CHHS Project 1,733,892 FY 2021-22 Budget Amendment 1 <br /> 75,529,954 <br /> Projected Surplus/(Deficit) (982,460) <br /> Deficit to be Covered with available School Capital Outlay Fund Balance-CHCCS 998,654 <br /> Projected Surplus/(Deficit) 16,194 <br /> reimbursement <br /> reimbursement <br /> u e Energy incentives <br /> eim ursemen s I otal $488,062 <br />