Schenley Park Rink Trust Fund

Section 53 · Pages 287–287 · 3 tables · includes narrative

2026 Budget
$157,000
Content
3 tables· 1 pg

Key changes

  • Budget decreases 0.0% ($0)
On this page
Page 287

Department: Parks & Recreation

Authorizing Resolution: 1213 of 1990, as amended by Resolution 119 of 2020 Description: The trust fund oversees year-round daily admissions, various fee-based programs, and special activities for the rink. Revenues: Rink fees, concession revenue, and room rentals from the Schenley Skating Rink Expenditures: Any salary, materials, repairs, equipment, and other miscellaneous service cost incurred while operating the skating rink

Projected Beginning Balance $645,064
financial Page 0, Table 1 (p. 287 in full PDF)

Shows planned spending by budget category.

Subclass Detail2025 Budget2026 BudgetIncrease/ (Decrease)% Change
Revenues
42 - LICENSES & PERMITS REVENUE25,00025,000—%
42377 - Meeting Rooms25,00025,000
43 - CHARGES FOR SERVICES135,000135,000—%
43411 - Ice Hockey Rinks77,50077,500
43913 - Admissions32,50032,500
43915 - Admissions - Youth25,00025,000
Revenues Total160,000160,000—%
Expenditures
53 - PROFESSIONAL & TECHNICAL SERVICES8,0008,000—%
53701 - Repairs8,0008,000
54 - PROPERTY SERVICES126,500126,500—%
54201 - Maintenance47,50047,500
54601 - Electric78,00078,000
54603 - Natural Gas1,0001,000
55 - OTHER SERVICES2,5002,500—%
55201 - Telephone500500
55701 - Transportation2,0002,000
56 - SUPPLIES14,00014,000—%
56151 - Operational Supplies10,00010,000
56401 - Materials4,0004,000
57 - PROPERTY6,0006,000—%
57531 - Vehicles1,0001,000
57571 - Furniture And Fixtures5,0005,000
Expenditures Total157,000157,000—%
Net Total3,0003,000
Projected Ending Balance $648,064