FY 2018-19 and 2019-20 Adopted Operating and CIP Budget
Water Operations (continued)
Expenditure Details
16-17
17-18
17-18
18-19
19-20
Year End Projection
Object Description
Actual 82,492
Amended
Adopted 95,000 450,000
Adopted
43825 MACHINERY/EQUIPMENT
95,968
90,203
97,850
43830 AUTO/TRUCKS
- - - -
- -
-
- -
43835 FURNITURE/OFFICE EQUIPMENT
2,182
- - -
43840 COMPUTER EQUIPMENT 43845 COMPUTER SOFTWARE
5,465
- -
30,000
14,210 530,000 645,643 88,124 115,204 90,921 132,302 226,601 655,985 347,025 2,833 -
-
43897 METERS
692,142 774,634
530,000 622,385 88,124 115,204
650,000
650,000 777,850
Capital Total
1,195,000
45003 GENERAL LIABILITY INSURANCE 45004 BUILDING MAINT - CURRENT SERVICES 45005 BUILDING MAINT - FUTURE REPLACEMENT
80,112 85,584
84,165 113,967
88,373 95,103
2,748
2,833
2,919
3,006
45007 GIS
-
-
15,626 148,921 148,088 306,897 820,583 349,376 97,689 800,000 943,336
12,432 148,921 145,871 322,242 815,949 351,845 101,327
45006 FLEET REPLACEMENT 45009 INFO SYSTEM SERVICES
131,508 132,300 215,808 648,060 345,000
90,921 132,302 226,601 655,985 347,025
45010 GF ADMIN
Internal Services Total
49210 TRANSFER OUT-010 (GENERAL FUND)
49212 TRANSFER OUT-232 (ENVIRONMENTAL PROGRAMS)
78,696
81,951
81,951
49273 TRANSFER OUT-653 (WATER REPLACE) 49273 TRANSFER OUT-653 (WATER REPLACE)
-
-
1,100,000
2,200,000
945,552 500,004 55,382
1,351,771
944,774
944,184
49275 TRANSFER OUT-652 (WATER RATE STABILIZATION) 49321 TRANSFER OUT - EMPLOYEE BENEFITS FUND
500,000 27,690
-
-
-
27,690
27,062
27,062
Transfer Total
1,924,634 10,154,643
2,308,437 11,005,629
2,501,440 11,128,053
2,217,464 12,023,809
3,624,418 13,233,474
5710 - Water Operations Total
ENGINEERING AND UTILITIES 277
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