Adopted Budget (Final Document)
Water Operations (continued) FY 20-21 FY 21-22
FY 21-22 Year End Projection
FY 22-23
FY 23-24
Object GL Account
Actual Amended Budget
Adopted
Adopted
43825 Machinery/Equipment 43845 Computer Software
11,628
- -
-
- -
- -
-
72,000 321,807 393,807 151,110 79,674 14,039 305,985 27,969 191,993 340,207 1,110,977
43897 Meters
261,433 273,061 125,090 124,860 13,632 305,988 26,316 157,512 331,908
450,000 450,000 151,110 79,674 14,039 305,985 27,969 191,993 340,207 1,110,977
558,195 558,195 170,308 196,314 20,516 319,754 33,759 161,668 350,689
602,348 602,348 180,530 196,314 20,927 334,143 31,572 185,830 361,210 1,310,526
Capital Outlay Total
45003 General Liability Insurance 45004 Building Maint - Current Services 45005 Building Maint.-Future Replacement
45006 Fleet Replacement
45007 GIS
45009 Info System Services
45010 GF Admin
Internal Services Total
1,085,306
1,253,009
49210 Transfer Out-010 (General Fund) 49212 Transfer Out-232 (Environmental Prog) 49241 Transfer Out-420 (Civic Center Debt) 49273 Transfer Out-653 (Water Replacement) 49275 Transfer Out-652 (Water Stabilization) 49321 Transfer out-791(Employee Benefits Fund)
354,432 105,492
357,159 108,269
357,159 108,269
375,000 132,107
394,000 140,333
-
-
-
1,356
1,351
5,150,000
4,350,000
4,350,000
4,400,000
6,200,000
- -
50,004
125,000 27,062
125,000 27,062
- -
-
Transfers Total
5,659,928
4,967,490
4,967,490
4,908,463
6,735,684
650.5710 - Water Operations Total
15,390,604
15,292,037
14,692,062
15,849,938
18,234,284
216 PUBLIC SERVICES
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