TAMC Annual Report 2024

2024 ANNUAL REPORT • 3 FINANCIALS FY 2023-24 MEASURE X To review how Measure X funds were expended by local cities and the County tamcmonterey.org/city-and-county-annual-reports-on-measure-x-spending REVENUES REVENUES EXPENDITURES EXPENDITURES *Revenue and expenditures includes fiduciary funds TAMC administers in a trustee capacity and obligated federal funds. **Figures are unaudited $93.5 M $40.4 M $93.5 M $40.4 M Federal Funds $17.7M Bus $30.5M Local Roads $26.2M Highways $8.5M Designated Reserves $12.7M Rail $0.8M Bike/Ped $12.5M Interest $1.6M Regional Projects $5.9M Administration $0.2M Reserves $11.4M Cities/County $22.9M Operations $1.8M Motorist Assistance $0.5M State Funds $34.5M Measure X Funds $40.4M Sales Tax $38.8M Local Funds $0.9M

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