FY 2018-19 and 2019-20 Adopted Operating and CIP Budget
Building Maintenance Police Station (continued)
Expenditure Details
16-17
17-18
17-18
18-19
19-20
Year End Projection
Object Description
Actual 33,504
Amended
Adopted
Adopted
41100 SALARIES - GENERAL 41320 EARNED LEAVE LIABILITY 41490 OVERTIME - GENERAL 41620 RETIREMENT - GENERAL 41690 DEFERRED COMPENSATION
37,219
36,735
10,282
10,511
- -
-
-
- -
- -
510
510
5,214
6,938
6,672
1,970
2,126
720
491
812
308 865 141
315 908 145
41700 GROUP INSURANCE
2,397
3,938
2,654
41701 MEDICARE
12,015
547
557
41701 MEDICARE PTT AND OT 41730 INCOME PROTECTION INS
-
-
-
-
-
515 838
576 931
553 922
96
96
41760 WORKERS COMP
257
263
41760 WORKERS COMP PTT AND OT
- -
- -
-
-
-
41799 BENEFITS
180
324
324
Salaries Total
55,203 121,859
51,150
49,595 120,258
14,243 121,460
14,688 122,675
42208 ELECTRIC
120,258
42210 WATER/SEWER 42228 GASOLINE & OIL 42231 CONTRACT SERVICES 42248 OTHER SUPPLIES
6,991
5,304
6,900
7,532
7,895
-
948
450
250
250
105,099
94,077
125,500
137,363
141,240
4,774
6,120
6,120
6,000
6,180
42510 MAINT - BLDGS/IMPROVEMENTS
24,160
31,700
31,700
41,500 314,105 24,062
20,000
Supplies Total
262,883
258,407
290,928
298,240
45003 GENERAL LIABILITY INSURANCE
14,304
15,737
15,737
25,265
45009 INFO SYSTEM SERVICES
-
-
-
5,004
4,929
Internal Services Total
14,304
15,737
15,737
29,066
30,194
49321 TRANSFER OUT - EMPLOYEE BENEFITS FUND
1,828 1,828
915 915
915 915
908 908
908 908
Transfer Total
3225 - PD Support Services Total
334,218
326,209
357,175
358,322
344,030
INTERNAL SERVICE FUNDS/MISCELLANEOUS PROGRAMS 303
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