FY 24-26 ADOPTED BUDGET
General Fund Six - Year Forecast (continued)
23-24
24-25
25-26
26-27
27-28
28-29
29-30
Year End Projection
Adopted
Adopted
Forecast
Forecast
Forecast
Forecast
GENERAL FUND EXPENDITURES BY DIVISION City Council
443,192 905,307 717,956
520,395
520,418
530,674
541,585
553,226
565,637
City Attorney City Manager
1,025,429 1,007,624
1,046,783 1,041,692
1,056,739 1,059,057
1,060,098 1,061,358
1,073,868 1,075,822
1,086,628 1,089,032
Building Maintenance Community and Cultural Center Building Maintenance Aquatics Center Building Maintenance Centennial Recreation Center Membership Services and Recreation Programs
750,301
778,205
790,148
822,297
854,564
889,951
927,153
1,342,503
1,393,914
1,464,336
1,518,433
1,571,458
1,629,616
1,690,028
1,078,280
1,196,165
1,267,811
1,313,588
1,358,103
1,407,690
1,459,406
4,278,630
4,647,968
4,809,798
4,930,115
5,036,651
5,160,888
5,287,539
Recreation Facility Rentals
624,650 686,631 665,422 884,140
633,051 437,058 761,973
661,365
674,359
682,366
694,755
706,918
Innovative Transit Community Services Human Resources
-
-
-
-
-
783,254
799,954
808,698
824,471
839,924
1,087,175
1,032,289
1,052,336
1,059,525
1,077,537
1,094,722
Council Services and Records Management
495,034 33,481
609,913 354,364
627,757 38,516
640,119 188,197
644,662 39,351
655,882 248,939
666,611 40,479
Elections Finance
2,582,551
2,092,366
2,155,204
2,198,000
2,214,729
2,253,694
2,291,115
Code Compliance PD Administration PD Field Operations PD Support Services PD Emergency Services PD Special Operations PD Building Maintenance
296,752
405,637
420,943
429,353
432,164
439,747
446,999
1,719,852 12,311,509 3,686,719
1,867,938 13,022,277 2,556,380
1,930,200 13,441,730 2,619,872
1,890,478 13,625,676 2,673,416
1,903,964 13,716,565 2,707,329
1,933,282 13,954,513 2,759,050
1,957,950 14,141,180 2,810,111
250,085
275,047
278,548
281,922
283,243
287,763
292,013
3,736,104
4,244,340
4,405,650
4,455,343
4,479,694
4,556,350
4,613,040
-
664,355
691,964
722,482
753,852
787,830
823,721
Fire
9,250,400
10,381,160
10,845,858
11,314,740
11,842,522
11,938,822
12,520,205
Cable Services
87,447 378,287 507,178 401,244
91,234 377,094
91,406 396,152 734,702 563,961
91,531 408,333 750,886 575,349
91,494 420,332 759,934 579,453
91,574 433,236 775,436 589,350
91,634 446,514 790,701 598,820
Downtown Maintenance Environmental Services
1,058,289
Countywide Solid Waste Program
540,327
Street Maintenance
2,762,915
3,510,669
3,587,418
3,703,024
3,803,651
3,925,860
4,051,861
Infrastructure Planning, Operational Support and Traffic Congestion Management
425,545
555,166
547,566
557,755
561,825
571,007
579,801
Economic Development
1,250,850 1,413,706 2,158,550
1,166,986 1,471,160 2,341,249
1,209,265 1,563,160 2,426,058
1,234,954 1,606,165 2,470,384
1,248,576 1,643,887 2,480,204
1,272,657 1,688,418 2,518,809
1,296,077 1,733,792 2,554,977
Parks and Open Space Maintenance
Dispatch Services
TOTAL GENERAL FUND EXPENDITURES BY DIVISION
56,125,220
61,074,908
61,993,825
63,575,659
64,641,839
66,070,045
67,494,587
TRANSFERS OUT TO: Fund 206 Development Services Fund 207 Long Range Planning Fund 232 Environmental Programs
1,000,000
-
-
-
-
-
-
23,100 280,667 280,000
23,100 224,726
23,100 235,977
23,100 243,848
23,100 249,060
23,100 256,288
23,100 256,288
Fund 302 Park Maintenance
-
-
-
-
-
-
Fund 304 Local Drainage Non-AB1600
-
210,404
Fund 308 Streets CIP
1,560,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
Fund 741 Future Building Replacement Fund 790 Equipment Replacement Fund Fund 791 Employee Benefits Fund
180,000 560,000 560,000
-
-
-
-
-
-
TOTAL TRANSFERS OUT
4,443,767
1,458,230
1,259,077
1,266,948
1,272,160
1,279,388
1,279,388
TOTAL EXPENDITURES
60,568,987
62,533,138
63,252,902
64,842,607
65,913,999
67,349,433
68,773,975
SPECIAL ANALYSIS 327
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