FY 24-26 ADOPTED BUDGET
Summary of Expenditures & Transfers Out
FY 22-23
FY 23-24
FY 23-24
FY 24-25
FY 25-26
Actual
Amended Year End Projection
Adopted
Adopted
General Fund by Program City Council
410,227 823,148
435,652
443,192 905,307
520,395
520,418
City Attorney
1,081,241 3,263,767
1,025,429 1,458,230 1,007,624 1,393,914 1,196,165 4,647,968 778,205
1,046,783 1,259,077 1,041,692 1,464,336 1,267,811 4,809,798 790,148
Transfers
4,647,315
4,443,767
City Manager
649,151 705,756
886,041 701,504
717,956 750,301
Building Maintenance Community and Cultural Center
Building Maintenance Aquatics Center
1,172,805
1,270,720 1,184,899 4,111,839
1,342,503 1,078,280 4,278,630
Building Maintenance Centennial Recreation Center Membership Services and Recreation Programs
925,763
3,884,102
Recreation Facility Rentals
513,021 562,148 566,041 824,618 549,404 220,600
573,524 850,612 672,192 898,203 628,281 37,728
624,650 686,631 665,422 884,140 495,034 33,481
633,051 437,058 761,973
661,365
Innovative Transit Community Services Human Resources
-
783,254
1,087,175
1,032,289
Council Services and Records Management
609,913 354,364
627,757 38,516
Elections Finance
1,934,280
2,522,016
2,582,551
2,092,366
2,155,204
Code Compliance PD Administration PD Field Operations PD Support Services PD Emergency Services PD Special Operations PD Building Maintenance
200,669
340,153
296,752
405,637
420,943
1,571,335 10,216,743 2,780,072
1,735,700 11,210,613 3,586,324
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
234,847
222,865
250,085
275,047
278,548
3,993,423
4,098,765
3,736,104
4,244,340
4,405,650
-
-
-
664,355
691,964
Fire
7,466,976
9,139,905
9,250,400
10,381,160
10,845,858
Cable Services
59,092 207,023 243,919 375,622
74,940 345,237 907,406 472,354
87,447 378,287 507,178 401,244
91,234 377,094
91,406 396,152 734,702 563,961
Downtown Maintenance Environmental Services
1,058,289
Countywide Solid Waste Program
540,327
Street Maintenance
2,474,784
3,025,578
2,762,915
3,510,669
3,587,418
Infrastructure Planning, Operational Support and Traffic Congestion Management
353,782 781,588
415,141
425,545
555,166
547,566
Economic Development
1,267,792 1,567,049 2,201,937 59,729,978
1,250,850 1,413,706 2,158,550 60,568,987
1,166,986 1,471,160 2,341,249 62,533,138
1,209,265 1,563,160 2,426,058 63,252,902
Parks and Open Space Maintenance
1,191,559 2,140,588 52,680,398
Dispatch Services
Total General Fund
BUDGET SUMMARY 99
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