Annual Budget 2015-2016
Transcription
Annual Budget 2015-2016
A48.1 INDEX - 2015-2016 RATE SETTING BUDGET Section 010 - Chief Executive Officer 020 - Human Resources/Payroll 040 - Executive Services 060 - Records Management 070 - Governance 080 - Belmont Trust 090 - Finance 100 - Financing Activitites 110 - Insurance 120 - Reserve Transfers 130 - Rates 140 - General Purpose Income 170 - Information Technology 180 - Marketing & Communications 210 - Property & Economic Development 220 - Technical Services 240 - Road Construction 250 - Road Maintenance 260 - Footpath Construction 270 - Footpath Maintenance 280 - Drainage Construction 290 - Drainage Maintenance 300 - Works Overheads 320 - Other Works 330 - Operations Centre 340 - Plant Operating 430 - Volunteer Emergency Services 310 - Streetscapes 350 - Parks Construction 360 - Parks Maintenance 370 - Parks Active Reserves 380 - Parks & Environment Overheads 385 - Parks Administration 420 - Environment 440 - Planning Services 450 - Building Control 460 - Building Construction 470 - Building Maintenance 480 - Building Active Reserves 490 - Pre-Schools & Kindys 500 - Building Overheads 510 - Accommodation Costs 540 - Customer Services 530 - Criminal Damage 550 - Environmental Health 560 - Immunisation 570 - Sanitation Charges 580 - Rangers 590 - Belmont Community Watch 600 - Neighbourhood Watch 610 - Community Safety 072 - Sister City Activities 200 - Donations & Grants 620 - Aboriginal & CALD Programs 640 - Community Development 645 - Volunteer Programs 650 - Home and Community Care 670 - Senior Citizens Centre 700 - Aged Care Housing Assistance 710 - Youth Services 720 - Alternative Youth Programs 730 - Ascot Close Housing 740 - Wahroonga Housing 750 - Orana Housing 760 - Gabriel Gardens Housing 770 - Faulkner Park Retirement Villiage 390 - Leisure 400 - Public Facilities Operations 410 - Belmont Oasis 630 - Library 633 - Community Lifestyle & Learning 900 - Opening/Closing Balances Page No. 1 2 3 6 7 9 10 11 13 14 15 16 16 18 23 27 30 36 37 41 41 43 43 44 47 48 49 51 53 57 63 63 65 66 69 70 72 75 77 80 80 81 81 82 83 85 85 86 88 88 89 90 91 91 92 93 94 102 102 104 104 105 105 106 107 107 108 113 116 116 120 121 A48.2 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 05 - Chief Executive Officer 005 - Chief Executive Officer 010 - Chief Executive Officer 920100 - Chief Executive Officer 1 - Expenditure 920100-00-1200-000 Salaries 920100-00-1202-000 Allowances 553,395 433,395 401,856 458,328 24,933 6% As per Salaries Spreadsheet 250 250 142 150 -100 -40% As per Salaries spreadsheet 9,413 9,413 9,236 7,795 -1,618 -17% As per Salaries Spreadsheet 920100-00-1209-000 Superannuation 62,790 51,690 42,161 46,484 -5,206 -10% As per Salaries Spreadsheet 920100-00-1211-000 Fringe Benefits Tax 920100-00-1208-000 Workers Compensation 14,204 14,204 13,914 14,815 611 920100-00-1226-000 Stationery 1,500 1,500 170 1,500 0 0% Misc stationery requirements 920100-00-1252-000 Equipment 500 500 0 500 0 0% Minor equipment repairs or replacement 920100-00-1263-000 Services - Advertising 920100-00-1271-000 Services - Other Consultants 920100-00-1322-000 Telephone 920100-00-1330-000 Subscriptions 0 0 143 500 500 50,000 181,100 43,661 150,000 -31,100 7,460 7,460 5,845 7,606 146 500 500 415 500 0 4% New Advertising for Faulkner Park Precinct project -17% Consultancy for Faulkner Park Precinct project 2% Utilities to increase by CPI based on 2014/15 forecasts. 0% Misc subscriptions 920100-00-1371-000 Travel - Conferences 2,500 2,500 1,722 2,500 0 0% CEO attendance at LGMA, ALGA and CEO Meetings 920100-00-1372-000 Accommodation - Conferences 3,000 3,000 1,706 3,000 0 0% CEO attendance at LGMA, ALGA and CEO Meetings 920100-00-1373-000 Registration - Train/Conf 9,000 9,000 7,404 9,000 0 0% Staff training and CEO Conf attendance 0% Misc Expenditure 920100-00-1399-000 Miscellaneous 3,000 3,000 1,379 3,000 0 118,191 118,191 88,992 124,495 6,304 920100-40-1119-000 Licenses 329 329 294 337 8 920100-40-1201-000 Wages 439 439 154 450 11 3% 920100-40-1216-000 Agency Staff 920100-00-1400-000 ABC Cost Allocation 5% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 2% Fleet 4 110 110 0 113 3 3% 920100-40-1221-000 Tyres 55 55 0 56 1 2% 920100-40-1222-000 Materials 55 55 0 56 1 2% 920100-40-1223-000 Parts 55 55 0 56 1 2% 920100-40-1224-000 Fuel 3,733 3,733 2,807 3,826 93 2% 920100-40-1225-000 External Repairs 1,098 1,098 648 1,125 27 2% 920100-40-1279-000 Services - Other 439 439 0 450 11 3% 920100-40-1314-000 Ins. Prem - Motor Vehicle 457 457 341 341 -116 -25% 842,473 842,473 622,988 836,983 -5,490 -1% 920100-32-3253-000 Fleet / Plant 0 0 0 53,115 53,115 New Replacement of Fleet FL4 TOTAL 3 - Capital Expenditure 0 0 0 53,115 53,115 New 920100-00-4399-000 Miscellaneous 0 0 -217 -250 -250 New TOTAL 4 - Income 0 0 -217 -250 -250 New 0 0 0 -30,000 -30,000 New Income from Fleet FL4 TOTAL 1 - Expenditure 3 - Capital Expenditure 4 - Income 6 - Capital Income 920100-00-6253-000 Fleet / Plant TOTAL 6 - Capital Income 0 0 0 -30,000 -30,000 New 842,473 842,473 622,771 859,848 17,375 2% TOTAL 010 - Chief Executive Officer 842,473 842,473 622,771 859,848 17,375 2% TOTAL 005 - Chief Executive Officer 842,473 842,473 622,771 859,848 17,375 2% TOTAL 920100 - Chief Executive Officer Page 1 of 121 A48.3 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 010 - Human Resources 020 - Human Resources/Payroll 921000 - Human Resources 1 - Expenditure 921000-00-1077-000 Reimb - Miscellaneous 921000-00-1119-000 Licenses 921000-00-1128-000 Photocopying 921000-00-1200-000 Salaries 921000-00-1202-000 Allowances 921000-00-1204-000 Long Service Leave 921000-00-1208-000 Workers Compensation 0 90 90 0 -90 -100% 0 0 717 0 0 0% 4,000 3,000 1,720 3,000 0 0% Reflects current costs. 740,462 735,182 636,859 832,295 97,113 13% Net organisational salary adjustment following organisational review. 449 449 413 499 50 11% 0 5,280 5,576 0 -5,280 -100% 12,596 12,596 12,360 14,157 1,561 12% 921000-00-1209-000 Superannuation 87,463 87,463 78,168 103,875 16,412 921000-00-1210-000 Staff Medicals 28,500 28,500 14,114 25,000 -3,500 921000-00-1211-000 Fringe Benefits Tax 21,164 21,164 17,565 22,074 910 921000-00-1222-000 Materials 2,000 2,000 203 2,000 0 921000-00-1224-000 Fuel 3,000 3,000 2,096 2,500 -500 -17% To reflect current costs. -17% To reflect current costs. 921000-00-1226-000 Stationery 3,000 3,000 1,952 2,500 -500 921000-00-1227-000 Printing 1,000 1,000 0 1,000 0 200 200 88 500 300 921000-00-1234-000 Uniforms/Protective Clothing 19% -12% Pre-emp medicals & hearing tests - $7000, Health Assessments - $12,000, Flu Vacs - $2000, Skin Cancer Checks -$3000, One off staff consults - $1000 4% 0% OSH Training DVD’s, posters etc., EAP Promotional Materials, Safety Week promotion etc. 0% Business Cards $100, OSH Induction Booklets $700, HR General / Induction $200, 150% OSH Protective clothing & Uniform refunds. 921000-00-1252-000 Equipment 3,000 3,000 1,116 3,000 0 0% OSH requirements e.g. measuring tools, desktop ergonomic aids, phone. 921000-00-1263-000 Services - Advertising 3,000 3,000 0 3,000 0 0% 1 x advert. 921000-00-1265-000 Services - Equipment Maint. 200 200 0 100 -100 921000-00-1271-000 Services - Other Consultants 100,000 100,000 31,500 80,000 -20,000 37,000 37,000 34,129 37,000 0 7,401 7,401 6,853 6,830 -571 921000-00-1280-000 Services - Training 921000-00-1317-000 Ins. Prem - Other 921000-00-1322-000 Telephone -50% Reflects current costs. -20% EAP $8000, OSH - (Inductions $1000, Consults $7000 inc chemical audit = $8000),Remuneration process - Annual Costs $5000, CEO Perf Reviews $9000, Staff Inductions $10,000, Org Consults (including Org Review & Industrial Services) $40,000. 0% E-Learning annual costs. -8% 6,517 6,517 5,034 6,678 161 22,000 22,000 20,080 22,000 0 921000-00-1371-000 Travel - Conferences 2,500 2,500 1,278 2,500 0 0% CCI Membership $9,000 OSH (Biz News, Wellness Mag, OSH Alerts) $2500, Thomsons $2000, AIM Org Membership $4500, CCH $3500, Misc publications $500 0% Interstate &/or intrastate conferences - HRM & HRA to AHRI National Conf & Coordinator OSH to Safety Conference. 921000-00-1372-000 Accommodation - Conferences 3,000 3,000 2,079 3,000 0 0% Reflects current costs associated with interstate conferences. 15,000 15,000 8,548 14,500 -500 1,000 1,000 280 1,000 0 36,000 36,000 28,722 36,000 0 112,284 112,284 84,327 97,633 -14,651 921000-00-1330-000 Subscriptions 921000-00-1373-000 Registration - Train/Conf 921000-00-1377-000 Travel - General 921000-00-1399-000 Miscellaneous 921000-00-1400-000 ABC Cost Allocation 2% Utilities to increase by CPI based on 2014/15 forecasts. -3% HRM : $3500 Conf & General, Coord OSH : $2500 Conf & General, HR Adviser : $2500 Conf & General, 6 x HR/OSH/Payroll staff = $6000 0% Reflects costs associated with food, taxis, parking etc. linked to attendance by all HR dept. staff at training courses and conferences. 0% Staff Reward & Recognition (External $28,000, Internal $5000), OSH/HR Awards, Parking, Couriers etc. $3000. -13% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 921000-40-1119-000 Licenses 659 659 588 675 16 2% Fleet 18 - 40 921000-40-1201-000 Wages 878 878 283 900 22 3% 921000-40-1216-000 Agency Staff 165 165 90 169 4 2% 921000-40-1221-000 Tyres 110 110 0 113 3 3% 921000-40-1222-000 Materials 110 110 14 113 3 3% 55 55 0 56 1 2% 921000-40-1223-000 Parts 921000-40-1224-000 Fuel 4,063 4,063 2,189 4,165 102 3% 921000-40-1225-000 External Repairs 1,098 1,098 1,002 1,125 27 2% 921000-40-1279-000 Services - Other 878 878 0 900 22 3% Page 2 of 121 A48.4 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 921000-40-1314-000 Ins. Prem - Motor Vehicle Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 595 595 444 444 -151 -25% 1,261,347 1,260,437 1,000,475 1,331,301 70,864 6% 921000-32-3253-000 Fleet / Plant 77,977 77,977 0 0 -77,977 -100% TOTAL 3 - Capital Expenditure 77,977 77,977 0 0 -77,977 -100% 0 -223 -223 0 223 -100% 921000-00-4400-000 ABC Cost Recovery -1,261,347 -1,261,347 -919,525 -1,331,301 -69,954 6% TOTAL 4 - Income -1,261,347 -1,261,570 -919,748 -1,331,301 -69,731 6% -43,000 -43,000 0 0 43,000 -100% 0 -5,280 0 0 5,280 -100% -43,000 -48,280 0 0 48,280 -100% 34,977 28,564 80,728 0 -28,564 -100% TOTAL 1 - Expenditure 3 - Capital Expenditure 4 - Income 921000-00-4399-000 Miscellaneous 6 - Capital Income 921000-00-6253-000 Fleet / Plant 921000-00-6835-000 LSL Reserve - Salaries TOTAL 6 - Capital Income TOTAL 921000 - Human Resources TOTAL 020 - Human Resources/Payroll 34,977 28,564 80,728 0 -28,564 -100% TOTAL 010 - Human Resources 34,977 28,564 80,728 0 -28,564 -100% 877,450 871,037 703,499 859,848 -11,189 -1% 6,000 6,000 6,906 6,000 0 TOTAL 05 - Chief Executive Officer 10 - Corporate & Governance 015 - Governance 040 - Executive Services 920000 - Executive Services 1 - Expenditure 920000-00-1127-000 Hire (Property & Equipment) 920000-00-1128-000 Photocopying 920000-00-1200-000 Salaries 920000-00-1202-000 Allowances 920000-00-1204-000 Long Service Leave 920000-00-1208-000 Workers Compensation 0% Letter Folder/Mail Inserter Lease 4,500 4,500 2,196 4,500 0 0% 430,212 427,072 399,549 444,513 17,441 4% 250 250 244 250 0 0% 0 3,676 12,684 0 -3,676 -100% 7,318 7,318 7,181 7,561 243 3% 920000-00-1209-000 Superannuation 46,929 46,929 43,650 51,359 4,430 9% 920000-00-1211-000 Fringe Benefits Tax 23,086 23,086 13,666 24,079 993 4% 920000-00-1216-000 Agency Staff 0 9,102 8,006 10,000 898 920000-00-1222-000 Materials 0 250 195 250 0 4,000 4,000 5,500 5,000 1,000 25% 920000-00-1226-000 Stationery 920000-00-1227-000 Printing 920000-00-1228-000 Book Purchases Local 920000-00-1234-000 Uniforms/Protective Clothing 920000-00-1250-000 Furniture 10% Switchboard relief 0% First Aid Kits Servicing 0 0 15,454 0 0 0% 350 350 0 350 0 0% 0 0 58 0 0 0% 1,000 0 0 0 0 0% 920000-00-1252-000 Equipment 3,000 3,000 2,914 3,000 0 0% 920000-00-1263-000 Services - Advertising 3,000 1,500 1,544 1,500 0 0% 920000-00-1265-000 Services - Equipment Maint. 1,000 2,000 2,087 2,000 0 0% 300 300 126 300 0 0% 920000-00-1268-000 Services - Postal 920000-00-1267-000 Services - Courier 65,000 65,000 49,377 65,000 0 0% Predicted postal charge increases. 920000-00-1270-000 Services - Legal 10,000 12,000 11,468 12,000 0 0% Legal advice and retainer costs. 920000-00-1280-000 Services - Training 920000-00-1317-000 Ins. Prem - Other 0 367 367 500 133 30,950 30,950 28,659 28,564 -2,386 Page 3 of 121 36% OSH Emergency Drills -8% Comment A48.5 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 920000-00-1322-000 Telephone Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 12,730 12,730 8,066 10,768 -1,962 920000-00-1330-000 Subscriptions 1,000 1,000 415 1,000 0 0% LGMA, IPAA, 920000-00-1371-000 Travel - Conferences 1,500 1,500 105 1,500 0 0% Includes LGMA, Tech One (ECM) and Benchmarking Best Practice. 920000-00-1372-000 Accommodation - Conferences 1,500 1,500 0 1,500 0 0% Includes LGMA, Tech One (ECM) and Benchmarking Best Practice. 920000-00-1373-000 Registration - Train/Conf 6,500 4,500 2,074 4,500 0 0% LGMA $1200, Tech One (ECM) $1200, Process excellence & best practice $2500, specialised courses for governance staff on local government and word, excel, etc. 0% Miscellaneous Expenses. 920000-00-1399-000 Miscellaneous -15% Utilities to increase by CPI based on 2014/15 forecasts. 2,500 2,500 1,833 2,500 0 186,543 186,543 140,455 182,969 -3,574 920000-40-1119-000 Licenses 329 329 158 337 8 920000-40-1201-000 Wages 554 554 570 568 14 3% 920000-40-1216-000 Agency Staff 920000-00-1400-000 ABC Cost Allocation -2% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 2% Fleet 10 111 111 90 114 3 3% 920000-40-1221-000 Tyres 56 56 0 57 1 2% 920000-40-1222-000 Materials 56 56 0 57 1 2% 920000-40-1223-000 Parts 56 56 312 320 264 471% 8,300 8,300 6,701 8,508 208 3% 920000-40-1225-000 External Repairs 998 998 1,583 1,023 25 3% 920000-40-1279-000 Services - Other 1,109 1,109 185 1,137 28 3% 378 378 282 282 -96 -25% 861,115 869,870 774,658 883,866 13,996 2% 920000-32-3252-000 Equipment 20,000 13,460 13,460 0 -13,460 -100% 920000-32-3253-000 Fleet / Plant 41,814 41,814 38,992 41,814 0 TOTAL 3 - Capital Expenditure 61,814 55,274 52,452 41,814 -13,460 920000-40-1224-000 Fuel 920000-40-1314-000 Ins. Prem - Motor Vehicle TOTAL 1 - Expenditure 3 - Capital Expenditure 0% Replacement of Fleet FL10 -24% 4 - Income 920000-00-4077-000 Reimb - Miscellaneous 0 0 -27 0 0 920000-00-4263-000 Services - Advertising -30,000 -30,000 -36,011 0 30,000 -100% Income received from WALGA in relation to an advertising subsidy will not be received as a lump sum in 2015/16 but will be reflected as a discount on an ongoing basis. 0% TOTAL 4 - Income -30,000 -30,000 -36,038 0 30,000 -100% -24,000 -24,000 -29,617 -24,000 0 0 -3,676 0 0 3,676 -100% TOTAL 6 - Capital Income -24,000 -27,676 -29,617 -24,000 3,676 -13% TOTAL 920000 - Executive Services 868,929 867,468 761,454 901,680 34,212 4% 264,286 264,286 182,453 263,273 -1,013 0% 150 150 104 150 0 0% 4,495 4,495 4,411 4,478 -17 0% 6 - Capital Income 920000-00-6253-000 Fleet / Plant 920000-00-6835-000 LSL Reserve - Salaries 0% Income from Fleet FL10 920001 - Compliance 1 - Expenditure 920001-00-1200-000 Salaries 920001-00-1202-000 Allowances 920001-00-1208-000 Workers Compensation 920001-00-1209-000 Superannuation 32,675 32,675 23,011 34,107 1,432 4% 920001-00-1211-000 Fringe Benefits Tax 11,009 11,009 10,311 11,482 473 4% 0 0 7,846 0 0 0% 920001-00-1216-000 Agency Staff 920001-00-1222-000 Materials 920001-00-1224-000 Fuel 920001-00-1226-000 Stationery 0 250 195 250 0 2,500 2,500 1,977 2,200 -300 0% First Aid Kit Servicing 0 100 99 100 0 0% -12% Fuel Card 920001-00-1250-000 Furniture 500 0 0 0 0 0% 920001-00-1252-000 Equipment 200 200 0 200 0 0% Page 4 of 121 A48.6 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 920001-00-1263-000 Services - Advertising Current Budget 3,000 4,303 Budget YTD at Proposed Budget YTD Actual 4,303 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase 4,500 Increase (%) 197 5% 920001-00-1270-000 Services - Legal 1,500 1,500 0 1,500 0 0% 920001-00-1271-000 Services - Other Consultants 2,500 1,500 2,800 1,500 0 0% Credit checks for tender process. 920001-00-1322-000 Telephone 1,177 1,177 329 433 -744 920001-00-1330-000 Subscriptions -63% Utilities to increase by CPI based on 2014/15 forecasts. 300 627 627 650 23 920001-00-1371-000 Travel - Conferences 1,000 1,000 0 1,000 0 0% LGMA State and National conferences. 920001-00-1372-000 Accommodation - Conferences 1,000 1,000 227 1,000 0 0% LGMA State and National conferences. 920001-00-1373-000 Registration - Train/Conf 4,500 3,500 2,403 23,200 19,700 920001-00-1399-000 Miscellaneous 4% LGMA membership & Chartered Institute of Purchasing membership. 563% LGMA 2 x $1200, Contract Management $19,700 (Organisational Training) and Compliance seminars $1100 & other seminars. 250 250 165 250 0 34,010 34,010 25,290 21,925 -12,085 920001-40-1119-000 Licenses 329 329 316 337 8 920001-40-1201-000 Wages 439 439 345 450 11 3% 920001-40-1216-000 Agency Staff 920001-00-1400-000 ABC Cost Allocation 0% Miscellaneous Expenses. -36% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 2% Fleet 45 110 110 60 113 3 3% 920001-40-1221-000 Tyres 55 55 0 56 1 2% 920001-40-1222-000 Materials 55 55 0 56 1 2% 920001-40-1223-000 Parts 55 55 0 56 1 2% 920001-40-1224-000 Fuel 2,525 2,525 1,907 2,588 63 2% 920001-40-1225-000 External Repairs 549 549 438 563 14 3% 920001-40-1279-000 Services - Other 439 439 0 450 11 3% 920001-40-1314-000 Ins. Prem - Motor Vehicle 318 318 237 237 -81 -25% 369,926 369,406 269,854 377,104 7,698 2% 920001-32-3253-000 Fleet / Plant 41,814 41,814 36,540 0 -41,814 -100% TOTAL 3 - Capital Expenditure 41,814 41,814 36,540 0 -41,814 -100% -19,000 -19,000 0 0 19,000 -100% TOTAL 1 - Expenditure Comment 3 - Capital Expenditure 6 - Capital Income 920001-00-6253-000 Fleet / Plant TOTAL 6 - Capital Income -19,000 -19,000 0 0 19,000 -100% TOTAL 920001 - Compliance 392,740 392,220 306,394 377,104 -15,116 -4% 161,746 161,746 144,743 172,092 10,346 6% 920002 - Business Improvement 1 - Expenditure 920002-00-1200-000 Salaries 920002-00-1202-000 Allowances 920002-00-1204-000 Long Service Leave 920002-00-1208-000 Workers Compensation 920002-00-1209-000 Superannuation 100 100 92 100 0 0% 0 6,066 6,066 0 -6,066 -100% 2,888 2,888 2,833 2,928 40 1% 15,273 15,273 13,599 16,265 992 6% 920002-00-1211-000 Fringe Benefits Tax 2,736 2,736 1,802 2,854 118 4% 920002-00-1224-000 Fuel 2,500 2,500 1,636 2,500 0 0% Fuel Card. 920002-00-1227-000 Printing 2,000 2,000 656 2,000 0 0% 920002-00-1271-000 Services - Other Consultants 18,000 18,000 17,575 13,000 -5,000 -28% SGS Surveillance Audit $13,000, 920002-00-1330-000 Subscriptions 7,000 7,000 3,380 4,000 -3,000 -43% Includes annual subscription to Online Select Standards via SAI Global $3,500. 920002-00-1371-000 Travel - Conferences 2,500 2,500 1,917 2,500 0 0% Travel - Conferences for Manager Governance, BI Coordinator and BI Administrator. 920002-00-1372-000 Accommodation - Conferences 2,500 2,500 1,421 2,500 0 0% Accommodation - Conferences for Manager Governance, BI Coordinator and BI Administrator. Page 5 of 121 A48.7 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 920002-00-1373-000 Registration - Train/Conf 920002-00-1399-000 Miscellaneous 920002-00-1400-000 ABC Cost Allocation Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 36,700 36,700 19,901 32,400 -4,300 500 500 0 500 0 28,505 28,505 21,163 31,541 3,036 Comment -12% ABEF Training In-house $6,000 (10 OSA Assessors); SGS Internal Auditors Training In-house $10,000 (20 Auditors); ISO9001:2015 Introduction $2,400 (QSE Coordinators and BI); Conferences - Best Practice In LG Conference $3,000 (Three Attendees); LGMA Leadership Forum $1000 (Two Attendees); SAI Global LEAN Active Workshop $10,000 (Business Improvement Team). 0% Miscellaneous Expenses. 11% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. TOTAL 1 - Expenditure 282,948 289,014 236,784 285,180 -3,833 -1% TOTAL 920002 - Business Improvement 282,948 289,014 236,784 285,180 -3,833 -1% 44,566 44,566 38,490 46,015 1,449 3% 920003 - Legal 1 - Expenditure 920003-00-1200-000 Salaries 920003-00-1202-000 Allowances 50 50 46 50 0 0% 758 758 744 783 25 3% 4,179 4,179 3,610 4,315 136 3% 200 200 0 200 0 0% 0 373 373 350 -23 -6% 20,000 10,000 0 25,000 15,000 920003-00-1330-000 Subscriptions 800 800 0 800 0 0% Law Society Subscription. 920003-00-1371-000 Travel - Conferences 500 500 0 500 0 0% Relevant Legal or associated conference. 920003-00-1372-000 Accommodation - Conferences 500 500 0 500 0 0% Relevant Legal or associated conference. 1,000 1,000 344 1,000 0 0% Relevant Legal or associated conference. 0% Miscellaneous Expenses. 920003-00-1208-000 Workers Compensation 920003-00-1209-000 Superannuation 920003-00-1228-000 Book Purchases Local 920003-00-1250-000 Furniture 920003-00-1270-000 Services - Legal 920003-00-1373-000 Registration - Train/Conf 920003-00-1399-000 Miscellaneous 150% Consolidated Local Law Project 250 250 0 250 0 920003-00-1400-000 ABC Cost Allocation 13,367 13,367 9,909 14,023 657 TOTAL 1 - Expenditure 86,170 76,543 53,515 93,786 17,244 23% TOTAL 920003 - Legal 86,170 76,543 53,515 93,786 17,244 23% 0 0 7,862 0 0 0% 50,000 0 0 0 0 0% 100,000 85,000 77,724 0 -85,000 -100% 80,000 0 0 0 0 0% 230,000 85,000 85,585 0 -85,000 -100% 920004-00-4032-000 Grant - Operating -230,000 0 0 0 0 0% TOTAL 4 - Income -230,000 0 0 0 0 0% 5% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 920004 - Local Government Reform 1 - Expenditure 920004-00-1263-000 Services - Advertising 920004-00-1270-000 Services - Legal 920004-00-1271-000 Services - Other Consultants 920004-00-1284-000 Services - Project Mgmt TOTAL 1 - Expenditure 4 - Income TOTAL 920004 - Local Government Reform TOTAL 040 - Executive Services 0 85,000 85,585 0 -85,000 -100% 1,630,786 1,710,244 1,443,733 1,657,750 -52,494 -3% 0 0 30 0 0 0% 575,699 515,669 454,539 482,274 -33,395 -6% 449 449 425 399 -50 -11% 9,795 9,795 9,611 8,205 -1,590 -16% 65,070 65,070 52,056 57,755 -7,315 -11% 060 - Records Management 920500 - Records Management 1 - Expenditure 920500-00-1115-000 Freedom of Information 920500-00-1200-000 Salaries 920500-00-1202-000 Allowances 920500-00-1208-000 Workers Compensation 920500-00-1209-000 Superannuation Page 6 of 121 A48.8 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 920500-00-1211-000 Fringe Benefits Tax 920500-00-1216-000 Agency Staff Current Budget Budget YTD at Proposed Budget YTD Actual 1,460 1,460 3,979 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 1,523 63 4% -100% 0 60,000 39,979 0 -60,000 920500-00-1224-000 Fuel 3,000 3,000 2,914 3,000 0 0% Fuel Card 920500-00-1226-000 Stationery 4,000 4,000 1,880 4,000 0 0% 920500-00-1250-000 Furniture 1,000 1,000 1,151 1,500 500 920500-00-1252-000 Equipment 1,000 1,000 784 1,000 0 0% 920500-00-1263-000 Services - Advertising 3,000 1,500 0 1,000 -500 -33% 920500-00-1271-000 Services - Other Consultants 5,000 5,000 945 35,000 30,000 920500-00-1275-000 Services - Record Storage 50% Shelving in storage room 600% ECM Consultant for ECM upgrade training and report writing. Rendering of TIF to PDF for ECM 4.03 conversion. 0% Offsite record storage & retrieval 40,000 40,000 34,880 40,000 0 920500-00-1371-000 Travel - Conferences 2,500 2,500 2,165 2,500 0 0% Attend RIMPA Conference & Tech One Conference 920500-00-1372-000 Accommodation - Conferences 2,500 2,500 487 2,500 0 0% Attend RIMPA Conference & Tech One Conference 14,640 9,640 2,780 3,000 -6,640 920500-00-1373-000 Registration - Train/Conf 920500-00-1377-000 Travel - General -69% Training outlined in SDR's & RIMPA Membership Fee and Conference Registration 0 0 70 0 0 0% 250 250 102 250 0 0% 920500-00-1400-000 ABC Cost Allocation 133,100 133,100 99,099 179,490 46,390 TOTAL 1 - Expenditure 862,464 855,934 707,877 823,396 -32,537 -4% 920500-32-3250-000 Furniture 2,500 2,500 0 0 -2,500 -100% TOTAL 3 - Capital Expenditure 2,500 2,500 0 0 -2,500 -100% 920500-00-1399-000 Miscellaneous 35% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 3 - Capital Expenditure 4 - Income 920500-00-4115-000 Freedom of Information -800 -800 -240 -250 550 -69% 920500-00-4400-000 ABC Cost Recovery -861,664 -861,664 -654,447 -823,146 38,517 -4% TOTAL 4 - Income -862,464 -862,464 -654,687 -823,396 39,067 -5% 2,500 -4,030 53,190 0 4,030 -100% 2,500 -4,030 53,190 0 4,030 -100% TOTAL 920500 - Records Management TOTAL 060 - Records Management 070 - Governance 921500 - Governance 1 - Expenditure 921500-00-1077-000 Reimb - Miscellaneous 921500-00-1128-000 Photocopying 921500-00-1201-000 Wages 0 0 654 0 0 500 10,000 2,218 20,000 10,000 0 0 429 0 0 0% 100% Agenda & Minute production. 0% 921500-00-1211-000 Fringe Benefits Tax 0 0 98 0 0 0% 921500-00-1216-000 Agency Staff 0 0 3,949 0 0 0% 921500-00-1219-000 Overheads 0 0 472 0 0 0% 921500-00-1226-000 Stationery 3,500 3,500 987 3,500 0 0% 921500-00-1227-000 Printing 3,500 3,500 742 3,500 0 0% 500 500 0 200 -300 -60% 30,000 30,000 23,802 30,000 0 0% 921500-00-1228-000 Book Purchases Local 921500-00-1234-000 Uniforms/Protective Clothing 921500-00-1249-000 Artwork 2,000 2,000 0 2,000 0 0% 921500-00-1250-000 Furniture 1,000 1,000 0 1,000 0 0% 921500-00-1252-000 Equipment 3,500 3,500 2,868 3,500 0 0% 921500-00-1253-000 Fleet / Plant 921500-00-1263-000 Services - Advertising 921500-00-1265-000 Services - Equipment Maint. 0 0 42 0 0 0% 3,500 3,500 560 3,500 0 0% 500 500 0 500 0 0% Page 7 of 121 Comment A48.9 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 921500-00-1266-000 Services - Cleaning Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 0 0 55 0 0 10,000 12,000 17,390 10,000 -2,000 0 0 17,757 0 0 0% 921500-00-1279-000 Services - Other 20,000 20,000 20,296 20,000 0 0% AMAC membership fees and attendance at AMAC meetings and conferences. $500 annual PAMG subscription.:: 921500-00-1317-000 Ins. Prem - Other 27,499 27,499 25,463 25,379 -2,120 921500-00-1270-000 Services - Legal 921500-00-1271-000 Services - Other Consultants 921500-00-1322-000 Telephone 0% -17% Elected member Legal Support. -8% 1,184 1,184 696 849 -335 41,000 41,000 44,416 45,000 4,000 0 0 347 0 0 921500-00-1371-000 Travel - Conferences 10,000 10,000 1,187 10,000 0 0% Councillor travel expenses for Conferences as per Council policy. 921500-00-1372-000 Accommodation - Conferences 10,000 10,000 992 10,000 0 0% Councillor travel expenses for Conferences as per Council policy. 921500-00-1373-000 Registration - Train/Conf 45,000 45,000 9,388 45,000 0 0% Councillor registration expenses for Conferences as per Council policy, local government week and general training. 921500-00-1378-000 Councillors Expense Allowance 45,000 45,000 23,167 45,000 0 0% No change expected. 921500-00-1330-000 Subscriptions 921500-00-1332-000 Advertising -28% Utilities to increase by CPI based on 2014/15 forecasts. 10% WALGA and other subscriptions. 0% 921500-00-1379-000 Deputy Mayoral Allowance 15,000 15,450 11,588 15,797 347 921500-00-1380-000 Mayoral - Allowance 60,000 61,800 52,196 63,190 1,390 2% 2015 value + 2.25% CPI 205,500 211,665 152,028 216,427 4,762 2% 2015 + 2.25% CPI 0 0 0 80,000 80,000 921500-00-1381-000 Members - Sitting Fee 921500-00-1382-000 Election Expenses 2% 2015 + 2.25% CPI New $67,500 WAEC, Owner and Occupiers Roll Campaign $12,500 921500-00-1383-000 Ceremonies 9,000 9,000 10,841 9,000 0 0% 921500-00-1399-000 Miscellaneous 8,000 8,000 3,979 8,000 0 0% 2,291,943 2,291,943 1,601,302 2,207,811 -84,132 0 0 185 0 0 0% 2,847,626 2,867,541 2,030,093 2,879,153 11,612 0% 921500-32-3252-000 Equipment 50,000 50,000 43,082 0 -50,000 -100% 921500-32-3253-000 Fleet / Plant 53,115 53,115 37,073 0 -53,115 -100% 103,115 103,115 80,155 0 -103,115 -100% 0 0 -2,191 0 0 0% 921500-00-1400-000 ABC Cost Allocation 921500-40-1279-000 Services - Other TOTAL 1 - Expenditure -4% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 3 - Capital Expenditure TOTAL 3 - Capital Expenditure 4 - Income 921500-00-4077-000 Reimb - Miscellaneous 921500-00-4222-000 Materials 0 0 195 0 0 0% 921500-00-4399-000 Miscellaneous -2,000 -2,000 -2,587 -2,000 0 0% TOTAL 4 - Income -2,000 -2,000 -4,583 -2,000 0 0% -30,000 -30,000 -21,364 0 30,000 -100% 0 0 0 -80,000 -80,000 -30,000 -30,000 -21,364 -80,000 -50,000 167% 2,918,741 2,938,656 2,084,302 2,797,153 -141,503 -5% 50 50 0 50 0 199,915 199,915 168,567 197,891 -2,024 6 - Capital Income 921500-00-6253-000 Fleet / Plant 921500-00-6830-000 Election expenses reserve TOTAL 6 - Capital Income TOTAL 921500 - Governance New Transfer from reserve to offset the estimated cost of the election. 921503 - Functions & Catering 1 - Expenditure 921503-00-1128-000 Photocopying 921503-00-1200-000 Salaries 0% Photocopying for functions area -1% 921503-00-1201-000 Wages 500 500 179 500 0 0% 921503-00-1202-000 Allowances 313 313 312 362 50 16% 3,405 3,405 3,341 3,370 -35 -1% 19,676 19,676 16,603 19,636 -40 250 250 250 250 0 921503-00-1208-000 Workers Compensation 921503-00-1209-000 Superannuation 921503-00-1219-000 Overheads Page 8 of 121 0% 0% Overheads for wages staff A48.10 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 921503-00-1226-000 Stationery 921503-00-1234-000 Uniforms/Protective Clothing 921503-00-1252-000 Equipment 921503-00-1253-000 Fleet / Plant 921503-00-1263-000 Services - Advertising 921503-00-1265-000 Services - Equipment Maint. 921503-00-1279-000 Services - Other 921503-00-1322-000 Telephone Current Budget 50 50 Budget YTD at Proposed Budget YTD Actual 0 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase 50 Increase (%) 0 Comment 0% Stationery for functions and catering area 150 150 0 150 0 5,000 7,000 4,914 5,000 -2,000 -29% 0% Catering staff requirements 50 50 13 50 0 0% 0 1,000 919 1,000 0 0% 5,000 5,000 4,734 5,000 0 0% Maintenance of various function related equipment including sound system in function room. 20,000 22,000 16,853 25,000 3,000 374 374 257 311 -63 921503-00-1373-000 Registration - Train/Conf 1,000 1,000 10 1,000 0 921503-00-1384-000 Other Functions 7,000 1,000 4,510 5,000 4,000 921503-00-1385-000 Catering - Functions 30,000 27,000 24,056 32,000 5,000 921503-00-1386-000 Catering - Meals 60,000 60,000 40,142 60,000 0 14% Laundry expenses, hire and installation of Christmas decorations and external lights -17% Utilities to increase by CPI based on 2014/15 forecasts. 0% Training needs for functions and catering staff 400% Minor function expenses including purchase of new decorations for function area for X'mas etc. 19% Catering expenses for Council functions including Civic Dinner. 0% Catering for Council meetings and workshops 921503-00-1387-000 Food - Other 60,000 64,000 49,865 65,000 1,000 921503-00-1388-000 Beverages 10,000 10,000 10,020 10,000 0 0% Purchase of beverages for council purposes. 1,000 1,000 504 1,000 0 0% Expenses for functions and catering 40,558 40,558 29,874 49,183 8,625 464,291 464,291 375,924 481,804 17,513 921503-32-3252-000 Equipment 5,000 5,000 0 5,000 0 0% Purchase of equipment for Functions Area TOTAL 3 - Capital Expenditure 5,000 5,000 0 5,000 0 0% 921503-00-4077-000 Reimb - Miscellaneous -4,000 -4,000 -3,954 -2,000 2,000 -50% Reimbursement for functions and catering costs by external parties TOTAL 4 - Income -4,000 -4,000 -3,954 -2,000 2,000 -50% 921503-00-1399-000 Miscellaneous 921503-00-1400-000 ABC Cost Allocation TOTAL 1 - Expenditure 2% Food purchases for internal catering 21% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 4% 3 - Capital Expenditure 4 - Income TOTAL 921503 - Functions & Catering 465,291 465,291 371,970 484,804 19,513 4% 3,384,032 3,403,947 2,456,272 3,281,957 -121,990 -4% 50,000 350,000 307,119 50,000 -300,000 921600-00-1271-000 Services - Other Consultants 100,000 100,000 0 100,000 0 TOTAL 1 - Expenditure 150,000 450,000 307,119 150,000 -300,000 56,999 56,999 35,611 35,075 -21,924 -38% Transfer investment income to Reserve. 56,999 56,999 35,611 35,075 -21,924 -38% 921600-00-4854-000 Belmont Trust Reserve -56,999 -56,999 -35,611 -35,075 21,924 -38% Allow for a return of 2.5%. TOTAL 4 - Income -56,999 -56,999 -35,611 -35,075 21,924 -38% 921600-00-6854-000 Belmont Trust Reserve -168,771 -468,771 -300,000 -158,900 309,871 TOTAL 6 - Capital Income -168,771 -468,771 -300,000 -158,900 309,871 -66% -18,771 -18,771 7,119 -8,900 9,871 -53% TOTAL 1 - Expenditure 18,771 18,771 0 8,900 -9,871 -53% TOTAL P14300 - Belmont Trust - Gen Mtce 18,771 18,771 0 8,900 -9,871 -53% TOTAL 070 - Governance 080 - Belmont Trust 921600 - Belmont Trust 1 - Expenditure 921600-00-1270-000 Services - Legal -86% Potential Trust Deed Amendment Supreme Court 0% Strategic Plan Preparation and cost of community consultation process for strategic plan. -67% 3 - Capital Expenditure *921600-00-3854-000 Belmont Trust Reserve * TOTAL 3 - Capital Expenditure 4 - Income 6 - Capital Income TOTAL 921600 - Belmont Trust -66% Recovery of costs from reserve. P14300 - Belmont Trust - Gen Mtce Page 9 of 121 A48.11 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL 080 - Belmont Trust TOTAL 015 - Governance Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 0 0 7,119 0 0 -100% 5,017,317 5,110,160 3,960,314 4,939,707 -170,454 -3% 0 0 90 0 0 0% Comment 020 - Finance 090 - Finance 911000 - Finance Department 1 - Expenditure 911000-00-1077-000 Reimb - Miscellaneous 911000-00-1128-000 Photocopying 9,000 9,000 3,008 5,000 -4,000 -44% 1,174,774 1,174,774 1,051,830 1,172,841 -1,933 0% 674 674 623 649 -25 -4% 911000-00-1204-000 Long Service Leave 22,913 22,913 52,410 58,409 35,496 155% 911000-00-1208-000 Workers Compensation 20,373 20,373 19,990 20,944 571 3% 132,964 132,964 127,228 148,023 15,059 11% 37,053 37,053 38,004 38,646 1,593 4% 5,000 5,000 0 5,000 0 0% 0 0 301 200 200 New 3,300 3,300 2,151 3,300 0 0% 911000-00-1200-000 Salaries 911000-00-1202-000 Allowances 911000-00-1209-000 Superannuation 911000-00-1211-000 Fringe Benefits Tax 911000-00-1216-000 Agency Staff 911000-00-1222-000 Materials 911000-00-1224-000 Fuel 911000-00-1226-000 Stationery 6,000 6,000 5,451 6,000 0 911000-00-1227-000 Printing 1,200 1,200 0 1,000 -200 911000-00-1231-000 Software - Other 1,300 1,300 1,510 1,500 200 0% Operational stationery expenses 15/16 -17% Cheque and other pre-printed stationery costs 15% FBT software 911000-00-1234-000 Uniforms/Protective Clothing 0 0 16 0 0 0% 911000-00-1239-000 Consumables 0 0 4 0 0 0% 500 500 0 0 -500 -100% 911000-00-1252-000 Equipment 2,000 2,000 2,582 0 -2,000 -100% 911000-00-1263-000 Services - Advertising 5,000 5,000 1,349 3,500 -1,500 0 0 90 0 0 0% 200 200 0 0 -200 -100% 911000-00-1269-000 Services - Audit 38,000 38,000 32,111 25,000 -13,000 911000-00-1270-000 Services - Legal 5,000 5,000 4,882 2,000 -3,000 50,000 50,000 17,264 25,000 -25,000 911000-00-1250-000 Furniture 911000-00-1266-000 Services - Cleaning 911000-00-1267-000 Services - Courier 911000-00-1271-000 Services - Other Consultants 911000-00-1272-000 Services - Banking (Input Txd) 45,000 45,000 34,235 45,000 0 911000-00-1317-000 Ins. Prem - Other 10,766 10,766 9,969 9,936 -830 911000-00-1322-000 Telephone 17,992 17,992 13,453 16,785 -1,207 4,000 4,000 1,847 4,000 0 911000-00-1330-000 Subscriptions 911000-00-1332-000 Advertising -30% Advertising costs for budget, placements, tenders etc. -34% Annual Financial Report audit plus acquittals. -60% Small allowance for legal advice. -50% Allowance for valuations as per fair value requirements 0% Banking and independent investment advice fees. -8% -7% Utilities to increase by CPI based on 2014/15 forecasts. 0% Subscription costs including professional fees for LGMA & CPA. 0 0 347 0 0 911000-00-1371-000 Travel - Conferences 5,000 5,000 1,813 2,500 -2,500 -50% Includes Professional Development Courses run by Australian Society of Certified Practising Accountants, Local Government Managers Australia, Risk Management Institution of Australasia and the Infor User Group. 911000-00-1372-000 Accommodation - Conferences 5,000 5,000 2,102 2,500 -2,500 -50% Includes Professional Development Courses run by Australian Society of Certified Practising Accountants, Local Government Managers Australia, Risk Management Institution of Australasia and the Infor User Group. 15,000 15,000 3,769 15,000 0 0% Includes Professional Development Courses run by Australian Society of Certified Practising Accountants, Local Government Managers Australia, Risk Management Institution of Australasia and the Infor User Group. 50 50 0 0 -50 911000-00-1395-000 Doubtful Debt Expense 1,000 1,000 0 1,000 0 911000-00-1399-000 Miscellaneous 5,000 5,000 3,386 0 -5,000 280,427 280,427 209,131 302,513 22,086 911000-00-1373-000 Registration - Train/Conf 911000-00-1377-000 Travel - General 911000-00-1400-000 ABC Cost Allocation Page 10 of 121 0% -100% 0% Provision for doubtful debt expense -100% 8% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. A48.12 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 911000-40-1119-000 Licenses 1,757 1,757 1,448 2,152 395 911000-40-1201-000 Wages 22% Fleet 69-12-57-63-46 + Fleet 5707 GD 2,196 2,196 1,318 2,690 494 911000-40-1216-000 Agency Staff 439 439 503 538 99 23% increase by 122.5% 911000-40-1219-000 Overheads 227 227 0 278 51 22% 911000-40-1221-000 Tyres 274 274 0 336 62 23% 911000-40-1222-000 Materials 274 274 0 336 62 23% 911000-40-1223-000 Parts 165 165 0 202 37 22% 911000-40-1224-000 Fuel Comment 22% Budget to include one additional vehicle 14,823 14,823 13,227 18,158 3,335 22% 911000-40-1225-000 External Repairs 2,855 2,855 2,781 3,497 642 22% 911000-40-1279-000 Services - Other 1,867 1,867 0 2,287 420 22% 911000-40-1314-000 Ins. Prem - Motor Vehicle 1,728 1,728 1,290 1,306 -422 -24% 1,931,091 1,931,091 1,661,514 1,948,026 16,935 1% 911000-32-3252-000 Equipment 2,000 2,000 0 13,000 11,000 550% Allows for the replacement of the Finance and Marketing photocopier. 911000-32-3253-000 Fleet / Plant 51,077 51,077 77,328 114,140 63,063 123% Replacement of Fleet FL12-63-46- TOTAL 3 - Capital Expenditure 53,077 53,077 77,328 127,140 74,063 140% -709 -709 -627 -709 0 TOTAL 1 - Expenditure 3 - Capital Expenditure 4 - Income 911000-00-4076-000 Reimb - Staff Fuel 911000-00-4077-000 Reimb - Miscellaneous 0% Fuel contribution for purchased private use. -200 -200 0 0 200 -6,500 -6,500 -7,358 -6,500 0 -500 -500 -2,502 -1,500 -1,000 911000-00-4400-000 ABC Cost Recovery -1,923,182 -1,923,182 -1,515,777 -1,939,317 -16,135 1% TOTAL 4 - Income -1,931,091 -1,931,091 -1,526,264 -1,948,026 -16,935 1% 911000-00-6253-000 Fleet / Plant -47,000 -47,000 0 -62,000 -15,000 911000-00-6835-000 LSL Reserve - Salaries -22,913 -22,913 0 -58,409 -35,496 TOTAL 6 - Capital Income -69,913 -69,913 0 -120,409 -50,496 911000-00-4135-000 Administration Fee 911000-00-4399-000 Miscellaneous -100% 0% BCITF & BRBWA commissions 200% Minor misc. income 6 - Capital Income TOTAL 911000 - Finance Department 32% Income from Fleet FL12-63-46 155% Tfr from LSL Reserve to cover the estimated LSL expense. 72% -16,836 -16,836 212,578 6,731 23,567 -140% -16,836 -16,836 212,578 6,731 23,567 -140% 913500-00-1746-000 Loans - Recreation & Cult 150,874 150,874 150,874 122,715 -28,159 -19% Repayment of loans 178,179,181,182 TOTAL 1 - Expenditure 150,874 150,874 150,874 122,715 -28,159 -19% 913500-32-3746-000 Loans - Recreation & Cult 448,009 448,009 448,009 476,169 28,160 6% Repayment of loans 178,179,181,182 TOTAL 3 - Capital Expenditure 448,009 448,009 448,009 476,169 28,160 6% TOTAL 090 - Finance 100 - Financing Activitites 913500 - Financing Activities 1 - Expenditure 3 - Capital Expenditure 4 - Income 913500-00-4164-000 Interest - Bank -650,000 -650,000 -390,560 -465,000 185,000 913500-00-4544-000 Loan Interest - FESA -60,133 -60,133 -50,141 -56,349 3,784 913500-00-4820-000 Information Technology Reserve -31,485 -31,485 -18,811 -21,348 10,137 -32% Based on a return of 2.65% as provided by CPG. 913500-00-4821-000 Administration Building Reserve -11,299 -11,299 -6,597 -8,702 2,597 -23% Based on a return of 2.65% as provided by CPG. 913500-00-4822-000 Aged persons housing reserve -48,761 -48,761 -27,948 -41,519 7,242 -15% Based on a return of 2.65% as provided by CPG. 0 0 0 -3,975 -3,975 -12,098 -12,098 -7,058 -8,048 4,050 913500-00-4823-000 Streetscapes reserve 913500-00-4824-000 Parks Development reserve Page 11 of 121 -28% Based on a return of 2.5% as provided by CPG. -6% Repayment of loan for SES building by DFES New -33% Based on a return of 2.65% as provided by CPG. A48.13 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 913500-00-4826-000 Belmont District Band reserve 913500-00-4829-000 District valuation reserve Current Budget -721 -721 Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) -421 -634 87 -12% Based on a return of 2.65% as provided by CPG. -382 -382 -967 -3,362 -2,980 780% Based on a return of 2.65% as provided by CPG. 913500-00-4830-000 Election expenses reserve -5,772 -5,772 -3,512 -5,553 219 -4% Based on a return of 2.65% as provided by CPG. 913500-00-4831-000 Faulkner Park Ret. Vill. owner -9,739 -9,739 -5,653 -8,095 1,644 -17% Based on a return of 2.65% as provided by CPG. -293,267 -293,267 -131,174 -169,186 124,081 -42% Based on a return of 2.65% as provided by CPG. 913500-00-4834-000 LSL Reserve - Welfare 913500-00-4833-000 Land acquisition reserve -1,001 -1,001 -722 -1,594 -593 59% Based on a return of 2.65% as provided by CPG. 913500-00-4835-000 LSL Reserve - Salaries -49,851 -49,851 -32,665 -45,206 4,645 -9% Based on a return of 2.65% as provided by CPG. 913500-00-4836-000 LSL Reserve - Wages -12,125 -12,125 -7,434 -9,859 2,266 -3,226 -3,226 -1,878 0 3,226 -14,223 -14,223 -9,720 -11,359 2,864 -20% Based on a return of 2.65% as provided by CPG. -191,664 -191,664 -111,909 -200,224 -8,560 4% Based on a return of 2.65% as provided by CPG. 913500-00-4837-000 Environment reserve 913500-00-4838-000 Plant replacement reserve 913500-00-4839-000 Property development reserve -19% Based on a return of 2.65% as provided by CPG. -100% 913500-00-4840-000 Ruth Faulkner library reserve -1,352 -1,352 -789 -1,041 311 -23% Based on a return of 2.65% as provided by CPG. 913500-00-4841-000 Waste Management Reserve -10,349 -10,349 -9,633 -21,819 -11,470 111% Based on a return of 2.65% as provided by CPG. -3,678 -3,678 -2,136 -2,586 1,092 -30% Based on a return of 2.65% as provided by CPG. -38,478 -38,478 -23,464 -32,573 5,905 -15% Based on a return of 2.65% as provided by CPG. 913500-00-4843-000 History Reserve 913500-00-4844-000 Workers Comp/Insurance Reserve 913500-00-4845-000 Building maintenance reserve -179,164 -179,164 -104,590 -128,160 51,004 -28% Based on a return of 2.65% as provided by CPG. 913500-00-4846-000 HomesWest Reserve -24,595 -24,595 -14,356 -17,095 7,500 -30% Based on a return of 2.65% as provided by CPG. 913500-00-4847-000 Misc Entitlements Reserve -44,008 -44,008 -25,669 -39,737 4,271 -10% Based on a return of 2.65% as provided by CPG. 913500-00-4848-000 Ascot Waters Marina Mtc & Rest -25,732 -25,732 -17,609 -21,058 4,674 -18% Based on a return of 2.65% as provided by CPG. 913500-00-4849-000 Retiremnt Village Buy Back Res -55,973 -55,973 -31,044 -43,963 12,010 -21% Based on a return of 2.65% as provided by CPG. -4,410 -4,410 -2,582 -4,625 -215 5% Based on a return of 2.65% as provided by CPG. -36,650 -36,650 -21,395 -28,220 8,430 -23% Based on a return of 2.65% as provided by CPG. 0 0 0 -2,650 -2,650 New Based on a return of 2.65% as provided by CPG. -1,820,136 -1,820,136 -1,060,438 -1,403,540 416,596 -72,249 -72,249 -72,249 -76,033 -3,784 913500-00-4850-000 Public Art Reserve 913500-00-4851-000 Aged Services Reserve 913500-00-4855-000 Urban Forest Strategic Management Reserve TOTAL 4 - Income Comment -23% 6 - Capital Income 913500-00-6544-000 Loan Repayment - FESA TOTAL 6 - Capital Income TOTAL 913500 - Financing Activities 5% Repayment of loan for SES building by DFES -72,249 -72,249 -72,249 -76,033 -3,784 5% -1,293,502 -1,293,502 -533,803 -880,689 412,813 -32% 914000 - Reimbursements 1 - Expenditure 914000-00-1073-000 Reimb - Utilities 100,000 100,000 82,764 100,000 0 914000-00-1077-000 Reimb - Miscellaneous 35,000 35,000 85,987 75,000 40,000 914000-00-1208-000 Workers Compensation 80,000 80,000 22,150 40,000 -40,000 0 0 81,123 0 0 0% 215,000 215,000 272,024 215,000 0 0% -100,000 -100,000 -82,764 -100,000 0 0% Reimbursements for utilities 914000-00-4077-000 Reimb - Miscellaneous -35,000 -35,000 -86,499 -75,000 -40,000 914000-00-4208-000 Workers Compensation -80,000 -80,000 -21,757 -40,000 40,000 -215,000 -215,000 -191,020 -215,000 0 0% 0 0 81,003 0 0 0% 1,000 1,000 0 1,000 0 0% Relates to work performed by the City as part of an emergency response (e.g.. fire). 914000-00-1215-000 Wages Suspense TOTAL 1 - Expenditure 0% Utilities to increase by CPI based on 2014/15 forecasts. 114% Miscellaneous reimbursable expenses incl. uniforms -50% Workers Comp claims reimbursed by LGIS 4 - Income 914000-00-4073-000 Reimb - Utilities TOTAL 4 - Income TOTAL 914000 - Reimbursements 114% Miscellaneous reimbursable expenses -50% Workers Comp claims reimbursed by LGIS 914001 - Emergency Response Reimbursements 1 - Expenditure 914001-00-1201-000 Wages Page 12 of 121 A48.14 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 914001-00-1219-000 Overheads Current Budget 1,800 1,800 Budget YTD at Proposed Budget YTD Actual 0 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase 1,800 Increase (%) 0 Comment 0% 914001-00-1222-000 Materials 2,200 2,200 0 2,200 0 0% 914001-00-1253-000 Fleet / Plant 1,000 1,000 0 1,000 0 0% TOTAL 1 - Expenditure 6,000 6,000 0 6,000 0 0% 914001-00-4080-000 Reimbursement - Services -6,000 -6,000 -5,064 -6,000 0 0% Relates to work performed by the City as part of an emergency response (e.g.. fire). TOTAL 4 - Income -6,000 -6,000 -5,064 -6,000 0 0% 0 0 -5,064 0 0 0% 914002-00-1201-000 Wages 1,000 1,000 0 1,000 0 0% Relates to work performed by the City as part of an emergency response (e.g.. fire). 914002-00-1219-000 Overheads 1,800 1,800 0 1,800 0 0% 4 - Income TOTAL 914001 - Emergency Response Reimbursements 914002 - Emergency Response Reimbursements Event 2 1 - Expenditure 914002-00-1222-000 Materials 2,200 2,200 0 2,200 0 0% 914002-00-1279-000 Services - Other 1,000 1,000 0 1,000 0 0% TOTAL 1 - Expenditure 6,000 6,000 0 6,000 0 0% 914002-00-4080-000 Reimbursement - Services -6,000 -6,000 0 -6,000 0 0% Relates to work performed by the City as part of an emergency response (e.g.. fire). TOTAL 4 - Income -6,000 -6,000 0 -6,000 0 0% 4 - Income TOTAL 914002 - Emergency Response Reimbursements Event 2 TOTAL 100 - Financing Activitites 0 0 0 0 0 0% -1,293,502 -1,293,502 -457,865 -880,689 412,813 -32% 10,000 10,000 39,207 10,000 0 0% 110 - Insurance 914500 - Insurance 1 - Expenditure 914500-00-1072-000 Reimb - Insurance Claims 914500-00-1077-000 Reimb - Miscellaneous 10,000 10,000 0 10,000 0 914500-00-1310-000 Ins. Prem - Property 299,475 266,561 266,561 266,000 -561 0% As per LGIS estimate. 914500-00-1311-000 Ins. Prem - Public Liability 246,513 234,916 234,916 235,000 84 0% As per LGIS estimate. 914500-00-1314-000 Ins. Prem - Motor Vehicle 77,500 56,983 56,983 57,000 17 0% As per LGIS estimate. 914500-00-1315-000 Ins. Prem - Personal Risk 0% 3,087 2,800 2,800 2,800 0 0% As per LGIS estimate. 914500-00-1317-000 Ins. Prem - Other 34,434 42,889 42,889 33,000 -9,889 -23% As per LGIS estimate. 914500-00-1318-000 Insurance - Self Insurance 30,000 30,000 27,916 30,000 0 914500-00-1319-000 Ins. Prem - Workers Comp 378,818 375,262 325,262 341,058 -34,204 -9% Based on total wages at 1.6%. 1,089,827 1,029,411 996,533 984,858 -44,553 -4% -10,000 -10,000 -40,652 -10,000 0 0% TOTAL 1 - Expenditure 0% 4 - Income 914500-00-4072-000 Reimb - Insurance Claims 914500-00-4077-000 Reimb - Miscellaneous -20,000 -165,000 -155,228 -40,000 125,000 -76% 914500-00-4310-000 Ins. Prem - Property -299,475 -266,559 -266,559 -266,000 559 0% 914500-00-4311-000 Ins. Prem - Public Liability -246,513 -262,946 -262,946 -235,000 27,946 -11% 914500-00-4314-000 Ins. Prem - Motor Vehicle -76,330 -56,984 -56,984 -57,000 -16 0% 914500-00-4315-000 Ins. Prem - Personal Risk -3,087 0 0 -2,800 -2,800 New -34,434 -8,347 -8,347 -33,000 -24,653 295% -328,716 -322,549 -322,549 -341,058 -18,509 6% -1,018,555 -1,092,385 -1,113,265 -984,858 107,527 -10% 914500-00-4317-000 Ins. Prem - Other 914500-00-4319-000 Ins. Prem - Workers Comp TOTAL 4 - Income 6 - Capital Income Page 13 of 121 A48.15 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget YTD Actual Increase 0 Increase (%) 50,000 Comment -71,272 TOTAL 6 - Capital Income -71,272 -50,000 0 0 50,000 -100% 0 -112,974 -116,732 0 112,974 -100% 0 -112,974 -116,732 0 112,974 -100% Information Technology Reserve 31,485 31,485 0 146,348 114,863 Administration building reserv 11,299 11,299 0 8,702 -2,597 365% Transfer of investment income plus $125000 transferred to IT Reserve to partially fund a major server and SAN replacement project in 2016-2017. -23% Transfer of investment income to reserve. Aged persons housing reserve 48,761 48,761 0 41,519 -7,242 -15% Transfer of investment income to reserve. 0 150,000 0 3,975 -146,025 -97% Transfer of investment income to reserve. TOTAL 110 - Insurance 0 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR 914500-00-6844-000 Workers Comp/Insurance Reserve TOTAL 914500 - Insurance -50,000 Budget YTD at Proposed Budget -100% 120 - Reserve Transfers 915000 - Transfer To Reserve 3 - Capital Expenditure *915000-00-3820-000 * *915000-00-3821-000 * *915000-00-3822-000 * *915000-00-3823-000 * *915000-00-3824-000 * *915000-00-3825-000 * *915000-00-3826-000 * *915000-00-3829-000 * *915000-00-3830-000 * *915000-00-3831-000 * *915000-00-3833-000 * *915000-00-3834-000 * *915000-00-3835-000 * *915000-00-3836-000 * *915000-00-3837-000 * *915000-00-3838-000 * *915000-00-3839-000 * *915000-00-3840-000 * *915000-00-3841-000 * *915000-00-3843-000 * *915000-00-3844-000 * *915000-00-3845-000 * *915000-00-3846-000 * *915000-00-3847-000 * *915000-00-3848-000 * *915000-00-3849-000 * *915000-00-3850-000 * *915000-00-3851-000 * *915000-00-3855-000 * Streetscapes reserve Parks Development reserve 12,098 314,098 0 8,048 -306,050 -97% Transfer of investment income to reserve. 305,000 305,000 0 305,000 0 0% Transfer of investment income to reserve. 3,721 3,721 0 3,634 -87 District valuation reserve 80,382 80,382 0 83,362 2,980 Election expenses reserve 40,772 40,772 0 5,553 -35,219 Development Contributions Reserve Belmont District Band reserve Faulkner Park Ret. Vill. owner 9,739 9,739 0 8,095 -1,644 5,909,817 5,888,580 0 8,290,736 2,402,156 LSL Reserve - Welfare 25,444 25,444 0 4,594 -20,850 LSL Reserve - Salaries 154,126 289,699 0 305,206 15,507 LSL Reserve - Wages 80,525 49,241 0 53,859 4,618 3,226 3,226 0 0 -3,226 Plant replacement reserve 467,664 467,664 0 526,980 59,316 Property development reserve 191,664 2,177,070 0 2,168,181 -8,889 Land acquisition reserve Environment reserve Ruth Faulkner library reserve 1,352 1,352 0 1,041 -311 Waste Management Reserve 10,349 10,349 0 21,819 11,470 History Reserve 13,678 13,678 0 22,586 8,908 Workers Comp/Insurance Reserve 38,478 151,452 0 32,573 -118,879 179,164 179,164 0 128,160 -51,004 Building maintenance reserve -2% Transfer of investment income to reserve plus $3,000 for instrument replacement. 4% Transfer of investment income to reserve and 1/3 of the expected triennium cost($80,000) to reserve. -86% Transfer of investment income to reserve and given the reserve balance there is no need to tfr additional funds in 15/16. -17% Transfer of investment income to reserve. 41% Transfer of investment income to reserve plus value of net land transactions ($8,121,550). -82% Transfer of investment income to reserve plus $3k for growth in the LSL provision. 5% Transfer of investment income to reserve plus $260k for growth in the LSL provision. 9% Transfer of investment income to reserve plus $44k for growth in the LSL provision. -100% 13% Transfer of investment income and net plant recoveries to reserve. 0% Transfer of investment income to reserve ($200,224) plus surplus funds transferred to the Property Development Reserve which are available to fund future council developments. -23% Transfer of investment income to reserve. 111% Transfer of investment income to reserve. 65% Transfer of investment income plus $20,000 to the Local History Reserve to go towards digital technologies in the new museum. -78% Transfer of investment income to reserve. -28% Transfer of investment income to reserve. HomesWest Reserve 24,595 24,595 0 17,095 -7,500 -30% Transfer of investment income to reserve. Misc Entitlements Reserve 44,008 294,008 0 39,737 -254,271 -86% Transfer of investment income to reserve. Ascot Waters Marina Mtc & Rest 25,732 25,732 0 21,058 -4,674 -18% Transfer of investment income to reserve. Retiremnt Village Buy Back Res 55,973 55,973 0 43,963 -12,010 -21% Transfer of investment income to reserve. 4,410 50,410 0 4,625 -45,785 -91% Transfer of investment income to reserve. 36,650 36,650 0 28,220 -8,430 -23% Transfer of investment income to reserve. 0 100,000 0 2,650 -97,350 -97% Transfer of investment income to reserve. 7,810,112 10,839,544 0 12,327,319 1,487,775 -305,000 -305,000 0 -305,000 0 Public Art Reserve Aged Services Reserve Urban Forest Strategic Management Reserve TOTAL 3 - Capital Expenditure 14% 6 - Capital Income 915000-00-6825-000 Development Contributions Reserve TOTAL 6 - Capital Income TOTAL 915000 - Transfer To Reserve 0% Development Contribution funds will be paid to Landcorp when requested, they will therefore need to transferred from Reserve. The actual payment to Landcorp has been budgeted within Planning and the overall impact on the budget is nil. -305,000 -305,000 0 -305,000 0 0% 7,505,112 10,534,544 0 12,022,319 1,487,775 14% Page 14 of 121 A48.16 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL 120 - Reserve Transfers Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 7,505,112 10,534,544 0 12,022,319 1,487,775 323,150 323,150 291,057 313,587 -9,563 250 250 193 200 -50 -20% 910000-00-1204-000 Long Service Leave 18,376 18,376 25,819 10,212 -8,164 -44% 910000-00-1207-000 Gratuities 13,200 13,200 12,861 0 -13,200 -100% 5,810 5,810 5,701 5,508 -302 -5% 44,319 44,319 36,076 41,786 -2,533 Comment 14% 130 - Rates 910000 - Rates 1 - Expenditure 910000-00-1200-000 Salaries 910000-00-1202-000 Allowances 910000-00-1208-000 Workers Compensation 910000-00-1209-000 Superannuation 910000-00-1211-000 Fringe Benefits Tax 3,370 3,370 2,732 3,515 145 910000-00-1224-000 Fuel 2,708 2,708 2,207 2,700 -8 359 359 844 1,000 641 37,000 37,000 30,890 38,000 1,000 0 0 56 0 0 8,000 8,000 2,620 3,000 -5,000 300 300 350 350 50 910000-00-1268-000 Services - Postal 13,000 13,000 9,181 13,000 0 910000-00-1270-000 Services - Legal 60,000 60,000 38,238 50,000 -10,000 910000-00-1271-000 Services - Other Consultants 20,000 20,000 30,931 30,000 10,000 910000-00-1272-000 Services - Banking (Input Txd) 55,000 55,000 57,279 60,000 5,000 0 0 939 0 0 1,276,324 1,350,000 1,352,860 1,400,000 50,000 910000-00-1226-000 Stationery 910000-00-1227-000 Printing 910000-00-1252-000 Equipment 910000-00-1263-000 Services - Advertising 910000-00-1267-000 Services - Courier 910000-00-1332-000 Advertising 910000-00-1333-000 Discount Allowed -3% As per salaries database -6% As per salaries database 15/16. 4% 0% Staff fuel expense 179% General stationery expense 3% Increased printing & design costs - rate notices, finals etc. 0% -63% Rates advertising costs. 17% Rate notice data etc. 0% Postage charges for rates productions -17% Rates collection costs which are largely recoverable 50% Landgate valuation fees for interim rates 9% Rates specific bank fees, merchant fees are likely to increase. 0% 4% 5% discount provided for payment by due date 35 days after notice 910000-00-1334-000 Previous Year Write Off 1,000 1,000 0 0 -1,000 910000-00-1371-000 Travel - Conferences 1,000 1,000 0 1,000 0 0% Infor User Group Forum - Senior Rates Officer 910000-00-1372-000 Accommodation - Conferences 1,000 1,000 1,441 1,000 0 0% Infor User Group Forum - Senior Rates Officer 910000-00-1373-000 Registration - Train/Conf 1,500 1,500 2,375 2,500 1,000 67% Infor User Group Forum - Senior Rates Officer 500 500 -8 500 0 381,849 381,849 293,677 326,717 -55,133 2,268,015 2,341,691 2,198,318 2,304,574 -37,117 -15,857,104 -15,757,104 -15,950,842 -16,772,188 -1,015,084 910000-00-1399-000 Miscellaneous 910000-00-1400-000 ABC Cost Allocation TOTAL 1 - Expenditure -100% 0% General minor expenses not otherwise categorised -14% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. -2% 4 - Income 910000-00-4000-000 General Rates - Residential 910000-00-4001-000 General Rates - Commercial -8,419,649 -8,319,649 -8,263,698 -8,560,886 -241,237 6% 2.25% increase in total rates yield plus 1.75% natural growth March: Adjust to allow for the actual allocation of interims for the year to date. 3% 2.25% increase in total rates yield plus 1.75% natural growth 910000-00-4002-000 General Rates - Industrial -7,613,443 -7,813,443 -7,773,901 -8,083,671 -270,228 3% 2.25% increase in total rates yield plus 1.75% natural growth 910000-00-4009-000 Ex Gratia Rates -7,628,980 -9,418,565 -9,405,191 -9,189,301 229,264 -2% 2.25% increase in total rates yield plus 2.00% natural growth 0 0 -985 0 0 910000-00-4108-000 Administration - ESL 910000-00-4077-000 Reimb - Miscellaneous -44,000 -44,000 -43,660 -45,000 -1,000 910000-00-4109-000 Deferred Rates Interest -10,500 -10,500 -11,837 -12,190 -1,690 -100,000 -100,000 -99,208 -100,000 0 910000-00-4110-000 Instalment Fee 0% 2% Emergency Services Levy - admin fees. 16% Interest paid by OSR for deferred rates 0% Instalment fee as per Fees & Charges 910000-00-4111-000 Penalty Interest -61,000 -61,000 -73,733 -73,000 -12,000 910000-00-4113-000 Settlement Enquiries -16,000 -16,000 -19,427 -17,000 -1,000 -250 -250 -500 -500 -250 -110,500 -110,500 -108,846 -111,500 -1,000 1% Instalment interest on four instalment option. -42,000 -42,000 -42,904 -45,000 -3,000 7% Recovery of legal costs incurred in accordance with LGA. 910000-00-4114-000 Sale of Rolls 910000-00-4160-000 Instalment Interest - Rates 910000-00-4270-000 Services - Legal Page 15 of 121 20% Penalty interest on overdue rates. 6% Statements issued to settlement agents 100% A48.17 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 910000-00-4272-000 Services - Banking (Input Txd) Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) -40,000 -40,000 -41,518 -42,000 -2,000 0 0 -41 -50 -50 New -39,943,426 -41,733,011 -41,836,292 -43,052,286 -1,319,275 3% 910000-00-6835-000 LSL Reserve - Salaries -18,376 -18,376 0 -10,212 8,164 910000-00-6847-000 Misc Entitlements Reserve -13,200 -13,200 0 0 13,200 -100% TOTAL 6 - Capital Income -31,576 -31,576 0 -10,212 21,364 -68% 910000-00-4399-000 Miscellaneous TOTAL 4 - Income Comment 5% Credit card merchant service fee 6 - Capital Income TOTAL 910000 - Rates -44% LSL expense recovered from reserve. -37,706,987 -39,422,896 -39,637,974 -40,757,924 -1,335,028 3% -37,706,987 -39,422,896 -39,637,974 -40,757,924 -1,335,028 3% 910500-00-1077-000 Reimb - Miscellaneous 1,000 1,000 0 0 -1,000 -100% 910500-00-1398-000 Rounding Adjustments 40 40 27 40 0 1,040 1,040 27 40 -1,000 -830,000 -833,196 -833,196 -858,192 -24,996 -22,800 -22,800 0 -11,772 11,028 -852,800 -855,996 -833,196 -869,964 -13,968 TOTAL 130 - Rates 140 - General Purpose Income 910500 - General Purpose Income 1 - Expenditure TOTAL 1 - Expenditure 0% Minor rounding adjustments -96% 4 - Income 910500-00-4020-000 Financial Assistance Grant 910500-00-4399-000 Miscellaneous TOTAL 4 - Income TOTAL 910500 - General Purpose Income TOTAL 140 - General Purpose Income TOTAL 020 - Finance 3% Financial Assistance Grant based on a full year allocation. -48% Relates to bonds/deposits that are older than 10 years 2% -851,760 -854,956 -833,169 -869,924 -14,968 2% -851,760 -854,956 -833,169 -869,924 -14,968 2% -32,363,973 -31,166,620 -40,833,162 -30,479,486 687,134 -2% 647,900 647,900 564,351 678,220 30,320 5% 349 349 336 349 0 0% 19,660 19,660 5,549 9,689 -9,971 -51% 025 - Information Technology 170 - Information Technology 911500 - Computing 1 - Expenditure 911500-00-1200-000 Salaries 911500-00-1202-000 Allowances 911500-00-1204-000 Long Service Leave 911500-00-1208-000 Workers Compensation 11,355 11,355 11,142 11,702 347 3% 911500-00-1209-000 Superannuation 76,120 76,120 68,754 90,926 14,806 19% 911500-00-1211-000 Fringe Benefits Tax 11,829 11,829 16,215 12,338 509 4% 911500-00-1222-000 Materials 100 100 0 100 0 0% 911500-00-1224-000 Fuel 300 300 0 250 -50 -17% 5,000 5,000 3,728 5,000 0 0% 911500-00-1230-000 Software - PC 202,700 202,700 143,005 277,000 74,300 911500-00-1231-000 Software - Other 120,734 120,734 95,574 88,608 -32,126 -27% 200 200 0 200 0 0% 911500-00-1226-000 Stationery 911500-00-1233-000 Freight Page 16 of 121 37% Full Platform Software Assurance for 226 Desktops $8000, Additional Software Assurance $10000, One year renewal of Check Point Maintenance Renewal support & subscription $38500, Veritas SSL certificate $4200, Bently Microstation $1800, Vmware software license subscription includes vSphere,vCentre Server, vCentre Mgmt Suite, Site Recovery Manager $70000, Vmware TAM subscription $10000, Symantec Messaging Gateway Mail security for exchange Antivirus $4800, Vmware view Premier Bundle Starter Kit $4000, 3 Modules of IntraMaps $25000, Terra Explorer Pro $1900, CommvVault Simpana Backup and Restoration software $26800 A48.18 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 911500-00-1237-000 Business Applications 911500-00-1252-000 Equipment 911500-00-1256-000 Infrastructure (<$1,000) Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 416,168 416,168 352,502 486,072 69,904 67,700 107,700 107,154 134,700 27,000 900 900 0 500 -400 17% Increase is due to the new Library Management System and 4% in Pathway applications, Pathway $132400, FinanceOne Maintenace$65700, Aurion HR $11440, Web Recruitment $1800, Career Manager (for set up and training) $1800, Aurion upgrade Training and support $8000,Learning Seat Maintenance $2080, DataWorks Support Maintenance $40668, ECM 4.03 upgrade $13500, Library public PC Reservation system $1456, Trapeze Desktop- Plan Manager 15 copies $2720,Trapeze Capture with Multi-Function Device Link Integration $800, Library Software $11700, Library Management software Licences $40000, Training of Library Management System $5000, Contracts and Tendering software - Annual support and Maintenance $18400, Open Windows Contract Portal Implementation $5800, Core Business Application training, airfare and accomm. $8000, Archive Manager $2288, Redman Solution - RapidDedact $520, RMSS hosting, support and Maint $12480, Upgrades Applications Software $10000, Annual support and maint COB Internet and Intranet $31200,SLA Support BeCrime Free Site $37440, Enhancement COB Web $10400 25% 20 new PCs $38000, 25 Notebooks/ tablets $47500, Screens$12000, Printers - including ID printer Rangers $5000, Computer equipment parts $20000, 30 LTO-3 Backup tapes $8000 -44% 911500-00-1258-000 Councillor's Equipment 5,000 5,000 0 5,000 0 0% 911500-00-1263-000 Services - Advertising 2,000 2,000 0 2,000 0 0% 76,100 76,100 72,467 76,600 500 1% 911500-00-1265-000 Services - Equipment Maint. 911500-00-1266-000 Services - Cleaning 911500-00-1271-000 Services - Other Consultants 911500-00-1279-000 Services - Other 911500-00-1317-000 Ins. Prem - Other 911500-00-1322-000 Telephone 600 600 0 500 -100 -17% 69,000 49,000 20,766 95,000 46,000 94% 600 600 0 500 -100 -17% 16,381 16,381 15,168 15,118 -1,263 -8% 1,897 1,897 1,986 2,451 554 911500-00-1324-000 Communications - IT 135,164 105,164 63,713 138,864 33,700 911500-00-1371-000 Travel - Conferences 3,500 3,500 1,112 3,500 0 0% 911500-00-1372-000 Accommodation - Conferences 3,500 3,500 1,580 3,500 0 0% 29% Utilities to increase by CPI based on 2014/15 forecasts. 32% New cable outlets & relocation existing outlets $5000, Library Internet - High Speed ADSL connections with unlimited down load $10000, Web Hosting $29500, 50M Ethernet Civic Centre $56000, 10M Ethernet MAN Bandwidth on demand at Ops Centre $17800, 10M GWIP Metro Civic Centre $15200 911500-00-1373-000 Registration - Train/Conf 8,000 8,000 2,673 6,500 -1,500 -19% 911500-00-1374-000 Training - Non Staff 1,000 1,000 0 900 -100 -10% 500 500 0 500 0 0% 911500-00-1377-000 Travel - General 911500-00-1387-000 Food - Other 911500-00-1399-000 Miscellaneous 911500-00-1400-000 ABC Cost Allocation 911500-40-1119-000 Licenses 300 300 0 300 0 0% 1,000 1,000 321 1,000 0 0% 28,066 28,066 21,353 33,861 5,795 643 643 610 659 16 21% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 2% Fleet 15 911500-40-1201-000 Wages 643 643 721 659 16 2% 911500-40-1216-000 Agency Staff 214 214 120 219 5 2% 60 60 0 62 2 3% 911500-40-1219-000 Overheads 911500-40-1221-000 Tyres 107 107 705 110 3 3% 911500-40-1222-000 Materials 107 107 14 110 3 3% 911500-40-1223-000 Parts 107 107 0 110 3 3% 911500-40-1224-000 Fuel 7,070 7,070 5,085 7,247 177 3% 911500-40-1225-000 External Repairs 1,071 1,071 1,022 1,098 27 3% 911500-40-1279-000 Services - Other 857 857 185 878 21 2% 911500-40-1314-000 Ins. Prem - Motor Vehicle 374 374 279 279 -95 -25% 1,944,876 1,934,876 1,578,188 2,193,179 258,303 13% 138,000 110,000 0 130,000 20,000 TOTAL 1 - Expenditure Comment FL75 3 - Capital Expenditure 911500-32-3237-000 Business Applications Page 17 of 121 18% Library Management system data migration and implementation $35000, Website and Portal New features and enhancements $25000, BelNet new features and enhancements $45000, Mobile Apps $25000 A48.19 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 911500-32-3252-000 Equipment Current Budget 305,000 Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase 265,000 1,415 213,500 Increase (%) -51,500 -19% Server and SAN upgrades including servers for Library Management System $20000, Laser Printer includes Op Centre Parks Admin Office $4500, Floor standing information monitor system- CIT Customer Service $12000, Data Projectors replacement $5000, AO Copier for Tech Service $35000, Photocopier Tech service $15000, AV upgrades at Council Chamber $100000, Upgrade of CheckPoint Security Appliances $22000, Include $125000 in IT Business System Reserve for major server and SAN replacement in 2016-2017 911500-32-3253-000 Fleet / Plant 41,814 41,814 36,518 41,814 0 911500-32-3258-000 Councillor's Equipment 18,000 18,000 0 22,000 4,000 22% 911500-32-3324-000 Communications - IT 25,000 25,000 0 13,000 -12,000 -48% 527,814 459,814 37,933 420,314 -39,500 -9% -100 -100 0 -100 0 0% 0 0 1,065 -700 -700 New TOTAL 3 - Capital Expenditure Comment 0% Replacement of Fleet FL75 4 - Income 911500-00-4252-000 Equipment 911500-00-4264-000 Services - Rubbish Disposal 911500-00-4399-000 Miscellaneous 0 0 -9 -50 -50 New 911500-00-4400-000 ABC Cost Recovery -1,944,776 -1,944,776 -1,454,383 -2,192,330 -247,553 13% TOTAL 4 - Income -1,944,876 -1,944,876 -1,453,327 -2,193,180 -248,303 13% 6 - Capital Income 911500-00-6252-000 Equipment -500 -500 0 -500 0 0% -24,000 -24,000 -19,091 -24,000 0 0% Income from Fleet FL75 -130,000 -130,000 0 0 130,000 -19,660 -19,660 0 -9,689 9,971 -174,160 -174,160 -19,091 -34,189 139,971 -80% 353,654 275,654 143,703 386,125 110,471 40% TOTAL 170 - Information Technology 353,654 275,654 143,703 386,125 110,471 40% TOTAL 025 - Information Technology 353,654 275,654 143,703 386,125 110,471 40% 50 50 0 50 0 911500-00-6253-000 Fleet / Plant 911500-00-6820-000 Information Technology Reserve 911500-00-6835-000 LSL Reserve - Salaries TOTAL 6 - Capital Income TOTAL 911500 - Computing -100% -51% Tfr from LSL Reserve to cover the estimated LSL expense. 030 - Marketing & Communications 180 - Marketing & Communications 911700 - Marketing & Communications 1 - Expenditure 911700-00-1128-000 Photocopying 911700-00-1200-000 Salaries 0% Photocopying costs for marketing section 467,453 467,453 390,648 452,820 -14,633 -3% 911700-00-1201-000 Wages 150 150 0 150 0 0% 911700-00-1202-000 Allowances 275 275 261 349 75 27% 7,952 7,952 7,803 7,704 -248 -3% 911700-00-1209-000 Superannuation 911700-00-1208-000 Workers Compensation 55,622 55,622 45,240 51,739 -3,883 -7% 911700-00-1211-000 Fringe Benefits Tax 11,963 11,963 8,692 12,477 514 4% 200 200 0 200 0 911700-00-1219-000 Overheads 911700-00-1222-000 Materials 100 100 0 100 0 1,000 1,000 213 500 -500 911700-00-1227-000 Printing 200 200 0 200 0 911700-00-1234-000 Uniforms/Protective Clothing 911700-00-1226-000 Stationery 0% Overheads for general marketing wages 0% Purchase of minor materials -50% Printer cartridges, special paper, etc. for marketing purposes. 0% General printing - invitations, opportunity card, business cards etc. 250 200 0 0 -200 -100% 911700-00-1239-000 Consumables 50 100 68 100 0 0% 911700-00-1240-000 Safety Equipment 50 50 0 50 0 0% 911700-00-1252-000 Equipment 15,000 15,000 8,648 15,000 0 0% Marketing equipment purchase - promotional material, banners, new displays, new shade marquees, etc. 911700-00-1262-000 Services - Marketing 45,000 25,000 20,414 40,000 15,000 Page 18 of 121 60% Licence fee for on-line consultation program $20,000; Updating Corporate Video $10,000; Events Video for Website $5,000; Continuation of Marketing Strategy Development; Opportunity Card Strategy; Updates for style guide $5,000. A48.20 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 911700-00-1263-000 Services - Advertising 911700-00-1267-000 Services - Courier 911700-00-1269-000 Services - Audit 911700-00-1271-000 Services - Other Consultants 911700-00-1279-000 Services - Other 911700-00-1322-000 Telephone 911700-00-1368-000 Sponsorship/Promotions 911700-00-1371-000 Travel - Conferences Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 20,000 20,000 16,194 25,000 5,000 1,000 1,000 160 500 -500 50 50 0 50 0 5,000 5,000 0 2,500 -2,500 20,000 20,000 15,610 20,000 0 5,973 5,973 5,071 6,340 367 15,000 15,000 11,581 32,500 17,500 3,000 3,000 2,162 3,000 0 Comment 25% General Press Advertising, Mayors message, Social Media and Engagement Campaigns. -50% Courier services for marketing activities. 0% -50% Support for marketing workshops for staff and councillors and continuation of Marketing Plan and Strategy 0% General photography-$2,500;General services-$2,500;Media monitoring-$15,000. 6% Utilities to increase by CPI based on 2014/15 forecasts. 117% Sponsorship- Belmont Community Race Day -$30,000;General Sponsorships-$2,500. 0% Attendance at marketing related conferences. 911700-00-1372-000 Accommodation - Conferences 4,000 4,000 2,510 4,000 0 0% Accommodation costs for attending marketing related conferences. 911700-00-1373-000 Registration - Train/Conf 7,000 8,000 4,972 8,000 0 0% Registration for conferences and other training and marketing related conferences attended by Marketing & Comms staff. 38,000 36,500 36,500 38,500 2,000 1,000 1,500 913 1,000 -500 116,898 116,898 87,679 213,416 96,517 911700-00-1375-000 Customer Service 911700-00-1399-000 Miscellaneous 911700-00-1400-000 ABC Cost Allocation 5% Annual Community Perceptions Survey and Focus Group/Internal Surveys. -33% Miscellaneous items for marketing - stakeholder meetings, etc. 83% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 911700-40-1119-000 Licenses 329 329 158 337 8 911700-40-1201-000 Wages 439 439 563 450 11 3% 911700-40-1216-000 Agency Staff 110 110 45 113 3 3% 911700-40-1219-000 Overheads 42 42 0 43 1 2% 911700-40-1221-000 Tyres 55 55 0 56 1 2% 911700-40-1222-000 Materials 55 55 0 56 1 2% 911700-40-1223-000 Parts 55 55 0 56 1 2% 911700-40-1224-000 Fuel 2% Fleet 55 2,196 2,196 1,302 2,251 55 3% 911700-40-1225-000 External Repairs 549 549 153 563 14 3% 911700-40-1279-000 Services - Other 439 439 82 450 11 3% 911700-40-1314-000 Ins. Prem - Motor Vehicle 366 366 273 273 -93 -25% 846,871 826,871 667,915 940,893 114,022 14% 3,500 3,500 0 3,500 0 0% Minor asset equipment purchases. 0 0 41,063 0 0 0% 3,500 3,500 41,063 3,500 0 0% 911700-00-6253-000 Fleet / Plant 0 0 -18,182 0 0 0% TOTAL 6 - Capital Income 0 0 -18,182 0 0 0% 850,371 830,371 690,796 944,393 114,022 14% 118,000 110,000 105,542 154,500 44,500 39,000 39,000 8,771 5,500 -33,500 TOTAL 1 - Expenditure 157,000 149,000 114,314 160,000 11,000 7% TOTAL 911701 - Corporate Documents 157,000 149,000 114,314 160,000 11,000 7% 6,000 6,100 6,086 6,500 400 TOTAL 1 - Expenditure 3 - Capital Expenditure 911700-32-3252-000 Equipment 911700-32-3253-000 Fleet / Plant TOTAL 3 - Capital Expenditure 6 - Capital Income TOTAL 911700 - Marketing & Communications 911701 - Corporate Documents 1 - Expenditure 911701-00-1227-000 Printing 911701-00-1262-000 Services - Marketing 40% Belmont Bulletin-$98,000 (includes enveloping and delivery); Business Talk-$18,000;Annual Report and Budget$10,000;Community Directory (half cost)-$20,000;Promotional brochures, folders etc. for marketing strategy-$2,500;Update of Business Profile-$6,000. -86% Delivery costs for Community and Events Services Guide 911702 - Avon Descent 1 - Expenditure 911702-00-1127-000 Hire (Property & Equipment) Page 19 of 121 7% Hire of marquees, tables, chairs etc. for Avon Descent Community day. A48.21 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 911702-00-1200-000 Salaries 2,500 2,500 1,389 1,500 -1,000 911702-00-1201-000 Wages 2,500 2,500 2,403 2,750 250 0 150 101 150 0 0% Agency Staff Wages 3,500 3,500 3,451 3,500 0 0% Overheads for wages staff. 911702-00-1216-000 Agency Staff 911702-00-1219-000 Overheads 911702-00-1222-000 Materials -40% Salaries for Event Staff 10% Wages for Event Staff 0 250 215 250 0 2,000 1,000 371 500 -500 0 50 7 50 0 0% Consumables used for event 911702-00-1252-000 Equipment 0 100 90 100 0 0% Minor equipment purchased for event 911702-00-1253-000 Fleet / Plant 50 50 0 50 0 0% Fleet & Plant used for events 15,000 15,000 14,972 16,000 1,000 0 500 290 350 -150 911702-00-1227-000 Printing 911702-00-1239-000 Consumables 911702-00-1263-000 Services - Advertising 911702-00-1266-000 Services - Cleaning 911702-00-1279-000 Services - Other 911702-00-1368-000 Sponsorship/Promotions 911702-00-1399-000 Miscellaneous TOTAL 1 - Expenditure Comment 0% Materials purchased for event -50% Printing of vouchers, posters, flyers, etc. 7% Advertising costs - radio, print etc. -30% Cleaning costs for event 3,000 3,100 2,562 3,000 -100 25,000 24,750 23,295 27,000 2,250 -3% Photography, first-aid, electrician, security, etc. 250 250 102 150 -100 -40% 59,800 59,800 55,334 61,850 2,050 3% -14,000 -14,000 -14,000 -15,000 -1,000 -200 -200 -327 -200 0 0% -14,200 -14,200 -14,327 -15,200 -1,000 7% 45,600 45,600 41,007 46,650 1,050 2% 9% Sponsorship Fee-$10,000;Entertainment,food,drinks etc.-$17,000. 4 - Income 911702-00-4032-000 Grant - Operating 911702-00-4394-000 Stallholder App Payment TOTAL 4 - Income TOTAL 911702 - Avon Descent 7% Lotterywest Grant. 911703 - Autumn River Festival 1 - Expenditure 911703-00-1127-000 Hire (Property & Equipment) 20,000 20,000 18,912 20,000 0 911703-00-1200-000 Salaries 14,000 14,000 11,290 15,000 1,000 911703-00-1201-000 Wages 8,000 8,000 6,476 9,000 1,000 911703-00-1216-000 Agency Staff 911703-00-1219-000 Overheads 911703-00-1227-000 Printing 911703-00-1234-000 Uniforms/Protective Clothing 0% Hire of all event infrastructure such as marquees, tables, chairs, cookers, etc. 7% Salaries for Event Staff 13% Wages for Event Staff 0 0 390 500 500 10,000 10,000 9,584 10,000 0 New Agency Staff Wages 0% Overheads for wages events staff 3,000 3,000 2,645 3,000 0 0% Printing of vouchers, posters, fliers etc. 50 50 0 50 0 0% 911703-00-1239-000 Consumables 100 100 422 100 0 0% 911703-00-1252-000 Equipment 500 500 0 500 0 0% Purchase of equipment for event such as flooring, event specific signage, etc. 911703-00-1253-000 Fleet / Plant 500 500 357 500 0 0% Fleet and Plant used for events 911703-00-1263-000 Services - Advertising 20,000 20,000 6,072 20,000 0 911703-00-1266-000 Services - Cleaning 0 0 0 350 350 New 911703-00-1268-000 Services - Postal 0 0 7 0 0 0% 911703-00-1279-000 Services - Other 0% Advertising costs - radio, print etc. 7,500 7,500 5,681 7,500 0 37,500 37,500 48,100 40,000 2,500 50 50 0 50 0 0% 121,200 121,200 109,936 126,550 5,350 4% 911703-00-4368-000 Sponsorship/Promotions -15,000 -15,000 -14,395 -20,000 -5,000 33% Lotterywest, Belmont Forum, SRT and Perth Airport sponsorship and income from sales on the day e.g. fish and chips, cool drinks, golf, stalls, etc. TOTAL 4 - Income -15,000 -15,000 -14,395 -20,000 -5,000 33% TOTAL 911703 - Autumn River Festival 106,200 106,200 95,541 106,550 350 0% 911703-00-1368-000 Sponsorship/Promotions 911703-00-1399-000 Miscellaneous TOTAL 1 - Expenditure 0% Photography, first aid, electrician, security guards, etc. 7% Entertainment, food and drinks, prizes etc. 4 - Income 911704 - Banners in the Terrace 1 - Expenditure Page 20 of 121 A48.22 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 911704-00-1201-000 Wages Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 500 500 0 500 0 0% 911704-00-1368-000 Sponsorship/Promotions 4,500 4,500 73 4,500 0 0% Purchase of banners, paint, prizes etc. TOTAL 1 - Expenditure 5,000 5,000 73 5,000 0 0% 911704-00-4368-000 Sponsorship/Promotions -2,000 -2,000 -2,000 -2,000 0 0% Sponsorship from Belmont Forum TOTAL 4 - Income -2,000 -2,000 -2,000 -2,000 0 0% 3,000 3,000 -1,927 3,000 0 0% 911706-00-1368-000 Sponsorship/Promotions 1,000 0 0 1,000 1,000 New Purchase of prizes etc. linked to Opportunity Card. TOTAL 1 - Expenditure 1,000 0 0 1,000 1,000 New TOTAL 911706 - Council Promotions - Lets Celebrate Belmont 1,000 0 0 1,000 1,000 New 10,000 9,750 9,442 10,000 250 911708-00-1200-000 Salaries 1,500 1,250 1,053 1,250 0 911708-00-1201-000 Wages 1,750 2,000 1,959 2,500 500 911708-00-1219-000 Overheads Comment 4 - Income TOTAL 911704 - Banners in the Terrace 911706 - Council Promotions - Lets Celebrate Belmont 1 - Expenditure 911708 - Carols in the Park 1 - Expenditure 911708-00-1127-000 Hire (Property & Equipment) 3% Hire of marquees, tables, chairs, bins, etc. 0% Salaries for event staff. 25% Wages for event staff 1,700 3,000 2,925 3,000 0 0% Overheads for wages staff working on events 911708-00-1227-000 Printing 350 350 225 350 0 0% Printing of programmes and fliers 911708-00-1253-000 Fleet / Plant 200 200 65 200 0 0% Fleet and Plant used for events 8,000 8,000 6,618 8,000 0 0% Advertising costs - radio, print, etc. 0 250 0 250 0 0% Cleaning costs 3,000 3,000 2,564 3,000 0 0% Photography, first-aid, electrician, security, etc. 10,500 9,200 8,964 10,000 800 100 100 0 100 0 37,100 37,100 33,816 38,650 1,550 911708-00-4368-000 Sponsorship/Promotions -5,500 -5,500 -5,809 -5,500 0 0% Sponsorship - Belmont Forum and Perth Airport TOTAL 4 - Income -5,500 -5,500 -5,809 -5,500 0 0% TOTAL 911708 - Carols in the Park 31,600 31,600 28,007 33,150 1,550 5% 24,000 24,000 21,610 25,000 1,000 4% Hire of staging, toilets, marquees, tables, chairs, bins, etc. 911710-00-1200-000 Salaries 3,500 3,500 1,677 2,000 -1,500 911710-00-1201-000 Wages 5,000 5,000 3,911 4,500 -500 911708-00-1263-000 Services - Advertising 911708-00-1266-000 Services - Cleaning 911708-00-1279-000 Services - Other 911708-00-1368-000 Sponsorship/Promotions 911708-00-1399-000 Miscellaneous TOTAL 1 - Expenditure 9% Entertainment, MC, Food, Fireworks and drinks. 0% Purchase of lollies etc. for kids 4% 4 - Income 911710 - Lets Celebrate Belmont 1 - Expenditure 911710-00-1127-000 Hire (Property & Equipment) 911710-00-1216-000 Agency Staff 911710-00-1219-000 Overheads 911710-00-1222-000 Materials 911710-00-1227-000 Printing 911710-00-1253-000 Fleet / Plant 911710-00-1263-000 Services - Advertising 911710-00-1266-000 Services - Cleaning -10% Includes allowance for traffic management staff for safety reasons and event growth 0 250 240 250 0 0% Agency staff costs 5,000 5,500 5,306 5,500 0 0% Overheads for wages staff. 50 100 105 150 50 10,000 10,000 9,907 12,000 2,000 300 300 280 300 0 0% Fleet and Plant used for events 55,000 55,000 52,396 55,000 0 0% Advertising costs - radio, print, etc. 0 500 0 500 0 911710-00-1267-000 Services - Courier 1,500 500 0 100 -400 911710-00-1279-000 Services - Other 7,500 7,500 6,823 7,500 0 45,000 43,700 43,273 50,000 6,300 911710-00-1368-000 Sponsorship/Promotions -43% Event staff salaries Page 21 of 121 50% Materials from Store. 20% Printing of posters, fliers and event guide, etc. 0% Cleaning costs -80% Courier costs for banners - pick-up and delivery. 0% Photographer, first-aid, electrician, security guards, erection of banners etc. 14% Entertainment, promotions, SES donation, etc. - includes cost for fireworks. Includes additional event for 2015. A48.23 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL 1 - Expenditure Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 156,850 155,850 145,528 162,800 6,950 911710-00-4368-000 Sponsorship/Promotions -16,000 -15,000 -15,000 -15,000 0 0% Sponsorship funds - Belmont Forum and Perth Airport. 911710-00-4394-000 Stallholder App Payment -1,500 -1,500 -1,865 -1,500 0 0% Payment for food and entertainment stalls. Comment 4% 4 - Income TOTAL 4 - Income -17,500 -16,500 -16,865 -16,500 0 0% TOTAL 911710 - Lets Celebrate Belmont 139,350 139,350 128,662 146,300 6,950 5% 0 0 41 0 0 0% 911711 - Harmony Day 1 - Expenditure 911711-00-1266-000 Services - Cleaning TOTAL 1 - Expenditure 0 0 41 0 0 0% TOTAL 911711 - Harmony Day 0 0 41 0 0 0% 911712 - Kidz Fest 1 - Expenditure 911712-00-1127-000 Hire (Property & Equipment) 11,000 11,000 9,811 11,000 0 911712-00-1200-000 Salaries 1,000 1,000 1,643 2,000 1,000 911712-00-1201-000 Wages 2,500 2,500 2,207 2,500 0 911712-00-1219-000 Overheads 3,500 3,500 2,565 3,000 -500 0% Hire of marquees, chairs, bins, etc. 100% 0% Wages for event staff - setting up infrastructure, traffic management, etc. -14% Overheads for wages staff 911712-00-1227-000 Printing 1,000 1,000 0 1,000 0 0% Printing posters, fliers etc. 911712-00-1235-000 Signs 1,000 1,000 1,364 1,000 0 0% Additional signage required for Kidz Fest 0 0 9 50 50 911712-00-1239-000 Consumables 911712-00-1253-000 Fleet / Plant 911712-00-1263-000 Services - Advertising 911712-00-1266-000 Services - Cleaning 911712-00-1279-000 Services - Other 250 250 52 150 -100 22,000 16,500 14,881 18,000 1,500 0 0 321 350 350 New -40% Fleet and Plant used for events 9% Advertising costs - radio, print, etc. New 2,000 2,500 1,650 2,500 0 40,000 45,000 40,007 50,000 5,000 50 50 0 50 0 0% 84,300 84,300 74,510 91,600 7,300 9% 911712-00-4032-000 Grant - Operating -20,000 -20,000 -20,878 -20,000 0 911712-00-4368-000 Sponsorship/Promotions -12,500 -12,500 -15,000 -15,000 -2,500 911712-00-4394-000 Stallholder App Payment -500 -500 -618 -500 0 -33,000 -33,000 -36,496 -35,500 -2,500 8% 51,300 51,300 38,014 56,100 4,800 9% 911712-00-1368-000 Sponsorship/Promotions 911712-00-1399-000 Miscellaneous TOTAL 1 - Expenditure 0% Photographer, bins, first-aid, security, etc. 11% Entertainment, promotions, etc. 4 - Income TOTAL 4 - Income TOTAL 911712 - Kidz Fest 0% Lotterywest Grant 20% Sponsorship from Perth Airport and Belmont Forum. 0% Income from food and activity stalls 911713 - Mayoral Dinner 1 - Expenditure 911713-00-1200-000 Salaries 2,500 2,500 2,570 1,000 -1,500 -60% 911713-00-1201-000 Wages 200 200 0 200 0 0% 911713-00-1219-000 Overheads 250 250 0 250 0 0% 911713-00-1226-000 Stationery 250 250 0 250 0 0% 50 50 0 50 0 0% 22,000 22,000 20,604 25,000 3,000 911713-00-1253-000 Fleet / Plant 911713-00-1385-000 Catering - Functions 14% Costs associated with Mayoral dinner - food, gifts, promotional material, etc. TOTAL 1 - Expenditure 25,250 25,250 23,174 26,750 1,500 6% TOTAL 911713 - Mayoral Dinner 25,250 25,250 23,174 26,750 1,500 6% TOTAL 180 - Marketing & Communications 1,410,671 1,381,671 1,157,630 1,523,893 142,222 10% TOTAL 030 - Marketing & Communications 1,410,671 1,381,671 1,157,630 1,523,893 142,222 10% Page 22 of 121 A48.24 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 035 - Property & Economic Development 210 - Property & Economic Development 911900 - Property & Economic Development 1 - Expenditure 911900-00-1059-000 Cont - Other 911900-00-1077-000 Reimb - Miscellaneous 911900-00-1200-000 Salaries 911900-00-1201-000 Wages 911900-00-1202-000 Allowances 911900-00-1204-000 Long Service Leave 115,000 114,500 51,925 117,500 3,000 3% Belmont Small Business Awards - $27,500. Belmont BEC Accommodation Support - $40,000. Continuation of Belmont Business Innovation Grants - $50,000 New Reimbursement for payments made by Hall & Prior on the City's behalf. 0 0 1,405 1,500 1,500 313,506 313,506 269,220 316,325 2,819 1% 0 0 1,353 1,440 1,440 New 150 150 132 150 0 0% 0 0 16,303 16,949 16,949 New 5,332 5,332 5,232 5,669 337 6% 911900-00-1209-000 Superannuation 40,817 40,817 33,680 43,228 2,411 6% 911900-00-1211-000 Fringe Benefits Tax 14,310 14,310 15,375 14,925 615 4% 100 100 180 200 100 100% 0 0 1,686 1,500 1,500 New 4,000 4,000 1,773 3,000 -1,000 -25% 911900-00-1208-000 Workers Compensation 911900-00-1216-000 Agency Staff 911900-00-1219-000 Overheads 911900-00-1224-000 Fuel 911900-00-1226-000 Stationery 800 800 750 900 100 13% 911900-00-1228-000 Book Purchases Local 100 100 0 100 0 0% 0 0 357 360 360 New 5,000 26,237 23,665 25,000 -1,237 30,000 22,500 11,680 30,000 7,500 911900-00-1253-000 Fleet / Plant 911900-00-1254-000 Land 911900-00-1263-000 Services - Advertising 911900-00-1267-000 Services - Courier -5% Settlement fees, conveyancing costs and other expenditure for land acquisition or disposal, property amalgamation or other actions associated with land management. 33% Property advertisements & business support initiatives - $10,000, Business News Marketing Strategy - $20,000 100 100 74 100 0 0% 7,500 7,500 10,218 7,500 0 0% Legal costs associated with lease or contracts development or review. 30,000 44,525 41,967 42,000 -2,525 911900-00-1279-000 Services - Other 5,000 4,167 0 4,000 -167 911900-00-1281-000 Services - Valuations 6,000 9,600 8,127 6,000 -3,600 911900-00-1317-000 Ins. Prem - Other 5,853 5,853 5,420 5,402 -451 -8% 420 420 200 0 -420 -100% 2,999 2,999 2,811 3,612 613 25,000 25,000 22,395 24,000 -1,000 911900-00-1270-000 Services - Legal 911900-00-1271-000 Services - Other Consultants 911900-00-1321-000 Water 911900-00-1322-000 Telephone 911900-00-1330-000 Subscriptions 911900-00-1371-000 Travel - Conferences 3,000 2,000 1,738 2,000 0 911900-00-1372-000 Accommodation - Conferences 2,500 1,875 1,705 2,000 125 12,000 10,000 5,738 7,000 -3,000 911900-00-1377-000 Travel - General 500 125 28 120 -5 911900-00-1384-000 Other Functions 28,000 17,390 13,559 18,000 610 100 100 0 100 0 911900-00-1373-000 Registration - Train/Conf 911900-00-1387-000 Food - Other 911900-00-1399-000 Miscellaneous -6% Expenditure for advice on property transactions, business development strategies or other approved projects. -4% Expenditure for services other than consultants. Includes expenditure associated with the maintenance of Council owned property. -38% Expenditure for property valuations. 20% Utilities to increase by CPI based on 2014/15 forecasts. -4% EDA membership, PCA membership, .id subscription, Grant search subscription, Easygrants subscription, REMPlan subscription. 0% Expenditure for travel to conferences or interstate meetings. 7% Expenditure for accommodation whilst at interstate or rural conferences or meetings. -30% Attendance at events hosted by Property Council Australia, Economic Development Australia and other appropriate organisations - $5,000. Staff participation in training courses or other approved activities - $2,000. -4% Miscellaneous expenditure associated with inter or intrastate travel. 4% Expenditure for hosting a minimum of three Business Briefings and on Grants Writing workshop per year. Expenditure includes catering, room/equipment hire, etc. 0% Catering for launches of funded projects 0 0 685 450 450 55,280 55,280 41,502 70,550 15,270 911900-40-1119-000 Licenses 329 329 158 337 8 911900-40-1201-000 Wages 439 439 605 620 181 41% 911900-40-1216-000 Agency Staff 110 110 105 113 3 3% 911900-00-1400-000 ABC Cost Allocation Page 23 of 121 New 28% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 2% Fleet 47 A48.25 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 911900-40-1221-000 Tyres 55 55 0 56 1 2% 911900-40-1222-000 Materials 55 55 0 56 1 2% 911900-40-1223-000 Parts 55 55 0 56 1 2% 2,196 2,196 1,663 2,251 55 3% 911900-40-1224-000 Fuel Comment 911900-40-1225-000 External Repairs 549 549 273 563 14 3% 911900-40-1279-000 Services - Other 439 439 1,424 1,460 1,021 233% 911900-40-1314-000 Ins. Prem - Motor Vehicle 366 366 273 273 -93 -25% 717,960 733,878 595,382 777,365 43,487 6% 0 0 38,355 0 0 0% 911900-32-3254-000 Land 503,450 503,450 785,000 503,450 0 0% Acquisition of: 464 Belmont Ave ($30,450); land for Belgravia Road Reserve throughout the year ($350,000): rationalisation of land holdings at 60 Parkview Parade ($123,000). TOTAL 3 - Capital Expenditure 503,450 503,450 823,355 503,450 0 0% 911900-00-4399-000 Miscellaneous 0 0 -47 0 0 0% TOTAL 4 - Income 0 0 -47 0 0 0% TOTAL 1 - Expenditure 3 - Capital Expenditure 911900-32-3253-000 Fleet / Plant 4 - Income 6 - Capital Income 911900-00-6253-000 Fleet / Plant 911900-00-6254-000 Land 911900-00-6835-000 LSL Reserve - Salaries 0 0 -21,636 0 0 -6,125,000 -6,125,000 0 -8,650,000 -2,525,000 0 0 0 -16,949 -16,949 0% 41% Revenue from sale of Matheson Road Subdivision and 52 Grandstand Rd. New Reserve tfr to fund LSL TOTAL 6 - Capital Income -6,125,000 -6,125,000 -21,636 -8,666,949 -2,541,949 42% TOTAL 911900 - Property & Economic Development -4,903,591 -4,887,672 1,397,054 -7,386,134 -2,498,462 51% 911901-00-1077-000 Reimb - Miscellaneous 0 0 2,301 2,500 2,500 New Maintenance etc. for 5 Kemp Place TOTAL 1 - Expenditure 0 0 2,301 2,500 2,500 New 0 0 -3,705 -3,000 -3,000 New 911901-00-4122-000 Rent/Lease -187,495 -187,495 -172,171 -193,119 -5,624 3% Belmont Community Nursing Home TOTAL 4 - Income -187,495 -187,495 -175,876 -196,119 -8,624 5% TOTAL 911901 - 5 Kemp Nursing home -187,495 -187,495 -173,576 -193,619 -6,124 3% 911903-00-4122-000 Rent/Lease -21,550 -21,550 -18,814 -21,550 0 0% Lease to Optus for telecommunications tower TOTAL 4 - Income -21,550 -21,550 -18,814 -21,550 0 0% TOTAL 911903 - 107 Daly: Centenary CMTS: optus -21,550 -21,550 -18,814 -21,550 0 0% 911905-00-4122-000 Rent/Lease -7,720 -7,720 -7,249 -7,500 220 -3% Lease is for land only TOTAL 4 - Income -7,720 -7,720 -7,249 -7,500 220 -3% TOTAL 911905 - 34 Oats: land tomato lake kiosk -7,720 -7,720 -7,249 -7,500 220 -3% 911906-00-4122-000 Rent/Lease -23,690 -23,690 -15,101 -23,690 0 0% Lease to Telstra for telecommunications tower. TOTAL 4 - Income -23,690 -23,690 -15,101 -23,690 0 0% 911901 - 5 Kemp Nursing home 1 - Expenditure 4 - Income 911901-00-4077-000 Reimb - Miscellaneous 911903 - 107 Daly: Centenary CMTS: optus 4 - Income 911905 - 34 Oats: land tomato lake kiosk 4 - Income 911906 - 107 Daly: Centenary CMTS: telstra 4 - Income Page 24 of 121 A48.26 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL 911906 - 107 Daly: Centenary CMTS: telstra Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) -23,690 -23,690 -15,101 -23,690 0 0% 911908-00-4122-000 Rent/Lease -2,400 -800 -1,091 0 800 -100% TOTAL 4 - Income -2,400 -800 -1,091 0 800 -100% TOTAL 911908 - 60 Parkview Clubhouse -2,400 -800 -1,091 0 800 -100% -36,188 -36,188 -34,227 -39,151 -2,963 911908 - 60 Parkview Clubhouse 4 - Income 911910 - 275 Abernethy: YFS C wing 4 - Income 911910-00-4122-000 Rent/Lease 8% Leased to Ngala. TOTAL 4 - Income -36,188 -36,188 -34,227 -39,151 -2,963 8% TOTAL 911910 - 275 Abernethy: YFS C wing -36,188 -36,188 -34,227 -39,151 -2,963 8% -2,014 -2,014 0 -2,014 0 911911 - 275 Abernethy: Office B1 4 - Income 911911-00-4122-000 Rent/Lease 0% Currently vacant. To be let. TOTAL 4 - Income -2,014 -2,014 0 -2,014 0 0% TOTAL 911911 - 275 Abernethy: Office B1 -2,014 -2,014 0 -2,014 0 0% 911912-00-4122-000 Rent/Lease -1,272 -1,272 -2,442 -1,272 0 0% Currently vacant. To be let TOTAL 4 - Income -1,272 -1,272 -2,442 -1,272 0 0% TOTAL 911912 - 275 Abernethy: Office B2 -1,272 -1,272 -2,442 -1,272 0 0% 911913-00-4122-000 Rent/Lease -2,332 -2,332 -2,774 -3,807 -1,475 63% Leased to Phylos TOTAL 4 - Income -2,332 -2,332 -2,774 -3,807 -1,475 63% TOTAL 911913 - 275 Abernethy : Office B3 -2,332 -2,332 -2,774 -3,807 -1,475 63% 911918-00-4122-000 Rent/Lease -8,000 -1,300 -1,326 -4,000 -2,700 208% Renewed lease with Tasovacs TOTAL 4 - Income -8,000 -1,300 -1,326 -4,000 -2,700 208% TOTAL 911918 - 1 Fauntleroy: garvey clubhouse kiosk -8,000 -1,300 -1,326 -4,000 -2,700 208% 911919-00-4122-000 Rent/Lease -4,800 -4,800 0 0 4,800 -100% TOTAL 4 - Income -4,800 -4,800 0 0 4,800 -100% TOTAL 911919 - 1 Fauntleroy: garvey clubhouse -4,800 -4,800 0 0 4,800 -100% -2,600 -2,600 -2,600 -2,600 0 911912 - 275 Abernethy: Office B2 4 - Income 911913 - 275 Abernethy : Office B3 4 - Income 911918 - 1 Fauntleroy: garvey clubhouse kiosk 4 - Income 911919 - 1 Fauntleroy: garvey clubhouse 4 - Income 911921 - 314 Kew Street 4 - Income 911921-00-4122-000 Rent/Lease 0% Maintenance contribution from Mrs Hay TOTAL 4 - Income -2,600 -2,600 -2,600 -2,600 0 0% TOTAL 911921 - 314 Kew Street -2,600 -2,600 -2,600 -2,600 0 0% -31,998 -31,998 -29,440 -32,640 -642 911926 - 232 Fulham St 4 - Income 911926-00-4122-000 Rent/Lease Page 25 of 121 2% Lease to private sector accountancy firm Comment A48.27 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) TOTAL 4 - Income -31,998 -31,998 -29,440 -32,640 -642 2% TOTAL 911926 - 232 Fulham St -31,998 -31,998 -29,440 -32,640 -642 2% 911928-00-1271-000 Services - Other Consultants 0 12,000 11,402 10,000 -2,000 -17% Maintenance etc. for 117 Epsom Ave TOTAL 1 - Expenditure 0 12,000 11,402 10,000 -2,000 -17% 911928-00-4122-000 Rent/Lease 0 -27,000 -25,993 -31,200 -4,200 911928-00-4399-000 Miscellaneous 0 0 -17 0 0 0% Comment 911928 - 117 Epsom Ave 1 - Expenditure 4 - Income 16% Private residential rental TOTAL 4 - Income 0 -27,000 -26,010 -31,200 -4,200 16% TOTAL 911928 - 117 Epsom Ave 0 -15,000 -14,608 -21,200 -6,200 41% 911929-00-1271-000 Services - Other Consultants 0 0 0 10,000 10,000 New New Item; Maintenance etc. for 4 Homewood St TOTAL 1 - Expenditure 0 0 0 10,000 10,000 New 911929-00-4122-000 Rent/Lease 0 0 0 -18,200 -18,200 911929-00-4399-000 Miscellaneous 0 0 0 -60 -60 New TOTAL 4 - Income 0 0 0 -18,260 -18,260 New TOTAL 911929 - 4 Homewood St 0 0 0 -8,260 -8,260 New 911930-00-1271-000 Services - Other Consultants 0 0 0 4,000 4,000 New New Item: Maintenance etc. for Redcliffe Centre Office 1 TOTAL 1 - Expenditure 0 0 0 4,000 4,000 New 911930-00-4122-000 Rent/Lease 0 0 0 -6,750 -6,750 911930-00-4399-000 Miscellaneous 0 0 0 -60 -60 TOTAL 4 - Income 0 0 0 -6,810 -6,810 New TOTAL 911930 - Redcliffe Office 1 0 0 0 -2,810 -2,810 New 941000-00-1226-000 Stationery 0 0 13 0 0 0% 941000-00-1280-000 Services - Training 0 0 367 400 400 941000-00-1400-000 ABC Cost Allocation 400 400 314 0 -400 -100% TOTAL 1 - Expenditure 400 400 694 400 0 0% -60,000 -60,000 -32,389 -40,000 20,000 0 0 195 0 0 0% TOTAL 4 - Income -60,000 -60,000 -32,194 -40,000 20,000 -33% TOTAL 941000 - Youth & Family Services Centre -59,600 -59,600 -31,500 -39,600 20,000 -34% 40,123 40,123 40,123 20,983 -19,140 0 0 0 135 135 911929 - 4 Homewood St 1 - Expenditure 4 - Income New New budget item stemming from acquisition of 4 Homewood St. Private rental. 911930 - Redcliffe Office 1 1 - Expenditure 4 - Income New New budget item stemming from change of Redcliffe Community Centre Office 1 from temporary hire to permanent lease. Community support services lease. New 941000 - Youth & Family Services Centre 1 - Expenditure New Use of Training Rooms at 275 Abernethy Rd 4 - Income 941000-00-4073-000 Reimb - Utilities 941000-00-4222-000 Materials -33% Reduced as two of the clients are being reimbursed in other locations. 963500 - Regional Development 1 - Expenditure 963500-00-1284-000 Services - Project Mgmt 963500-00-1400-000 ABC Cost Allocation Page 26 of 121 -48% Contribution to EMRC for Regional Economic Development and Tourism activities. New A48.28 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) TOTAL 1 - Expenditure 40,123 40,123 40,123 21,118 -19,005 -47% TOTAL 963500 - Regional Development 40,123 40,123 40,123 21,118 -19,005 -47% Comment B02699 - 314 Kew Street TOTAL 1 - Expenditure 1,225 2,853 3,175 4,294 1,441 51% TOTAL B02699 - 314 Kew Street 1,225 2,853 3,175 4,294 1,441 51% B03099 - Garvey Prk Kayak Store Bld Mnt TOTAL 1 - Expenditure 25,250 24,585 24,188 27,319 2,735 11% TOTAL B03099 - Garvey Prk Kayak Store Bld Mnt 25,250 24,585 24,188 27,319 2,735 11% TOTAL 1 - Expenditure 10,697 9,619 7,778 10,897 1,278 13% TOTAL B81699 - Kewdale Kindy Bld Mnt 10,697 9,619 7,778 10,897 1,278 13% TOTAL 1 - Expenditure 16,186 15,080 11,597 14,163 -917 -6% TOTAL B81799 - Museum Building Bld Mnt 16,186 15,080 11,597 14,163 -917 -6% TOTAL 1 - Expenditure 1,598 1,848 517 1,555 -293 -16% TOTAL B81899 - Belmont Rsl Leake St Bld Mnt 1,598 1,848 517 1,555 -293 -16% TOTAL 1 - Expenditure 1,290 1,290 0 1,218 -73 -6% TOTAL B82799 - Blmnt Cmnty Nursng Hme Bld Mnt 1,290 1,290 0 1,218 -73 -6% TOTAL 1 - Expenditure 5,489 2,029 976 1,718 -311 -15% TOTAL B82899 - 232 Fulham St 5,489 2,029 976 1,718 -311 -15% B81699 - Kewdale Kindy Bld Mnt B81799 - Museum Building Bld Mnt B81899 - Belmont Rsl Leake St Bld Mnt B82799 - Blmnt Cmnty Nursng Hme Bld Mnt B82899 - 232 Fulham St B83399 - Youth and Family Services Cent TOTAL 1 - Expenditure 152,329 161,634 119,847 161,448 -186 0% TOTAL B83399 - Youth and Family Services Cent 152,329 161,634 119,847 161,448 -186 0% TOTAL 1 - Expenditure 0 0 158 0 0 0% TOTAL P82800 - 232 Fulham St 0 0 158 0 0 0% TOTAL 210 - Property & Economic Development -5,041,063 -5,026,971 1,270,665 -7,546,118 -2,519,147 50% TOTAL 035 - Property & Economic Development -5,041,063 -5,026,971 1,270,665 -7,546,118 -2,519,147 50% -30,623,394 -29,426,106 -34,300,850 -31,175,879 -1,749,773 6% 0 0 412 0 0 0% 22,000 22,000 14,210 22,000 0 999,859 999,859 971,035 1,049,500 49,641 0% Toner & maintenance for Design Office Xerox, secretary's HP, PAMG and internal bulk photocopying done by department copiers 5% As per salary spread sheet 524 524 635 699 175 7,216 7,216 15,085 7,468 252 3% Manager Design and Assets 19,786 19,786 19,415 20,771 985 5% As per salary spread sheet 153,095 153,095 136,561 157,653 4,558 3% As per salary spread sheet P82800 - 232 Fulham St TOTAL 10 - Corporate & Governance 15 - Technical Services 040 - Works 220 - Technical Services 994000 - Technical Services 1 - Expenditure 994000-00-1077-000 Reimb - Miscellaneous 994000-00-1128-000 Photocopying 994000-00-1200-000 Salaries 994000-00-1202-000 Allowances 994000-00-1204-000 Long Service Leave 994000-00-1208-000 Workers Compensation 994000-00-1209-000 Superannuation Page 27 of 121 33% Cost of electronic banking A48.29 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 994000-00-1211-000 Fringe Benefits Tax Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 49,704 49,704 46,981 51,841 2,137 Comment 4% 994000-00-1216-000 Agency Staff 0 16,100 16,069 5,000 -11,100 994000-00-1222-000 Materials 0 0 51 0 0 -69% Mapping and GIS development 0% 994000-00-1224-000 Fuel 0 0 467 0 0 0% 994000-00-1226-000 Stationery 7,000 7,000 6,628 7,000 0 0% Photocopying supplies and general office stationery 994000-00-1227-000 Printing 2,000 2,000 2,212 2,000 0 0% HP 4500 and OCE A0 plotter paper rolls, inks, business cards, block prints and info sheets 994000-00-1234-000 Uniforms/Protective Clothing 1,000 1,000 1,144 1,200 200 994000-00-1239-000 Consumables 20% Personal safety equipment hats, boots, vests, jackets, glasses or as required 0 0 63 0 0 994000-00-1240-000 Safety Equipment 1,500 1,500 0 1,000 -500 -33% Safety equipment signs, cones, lights or as required 994000-00-1243-000 Electronic Data 1,500 1,500 0 1,500 0 0% Coordinator GIS Mapping electronic data purchases 994000-00-1250-000 Furniture 1,000 1,000 409 1,000 0 0% Office furniture and storage 994000-00-1252-000 Equipment 0% 1,500 1,500 2,272 2,000 500 25,000 25,000 17,020 20,000 -5,000 -20% Tenders, road closures, employment notices etc. 5,000 5,000 2,776 4,000 -1,000 -20% Easements and legal assistance Director Technical Services & Manager Project & Development 994000-00-1271-000 Services - Other Consultants 95,000 73,500 27,836 270,000 196,500 994000-00-1279-000 Services - Other 24,000 14,000 1,710 7,000 -7,000 994000-00-1322-000 Telephone 5,806 5,806 6,154 8,386 2,580 994000-00-1330-000 Subscriptions 4,500 4,500 628 2,000 -2,500 -56% Standards, journals, magazines etc. 994000-00-1371-000 Travel - Conferences 3,000 3,000 0 2,000 -1,000 -33% Flights to conferences interstate 994000-00-1372-000 Accommodation - Conferences 3,000 3,000 0 2,000 -1,000 -33% Accommodation at conferences interstate 30,000 25,000 22,377 20,000 -5,000 -20% Training, conferences, courses, seminars etc. $20,000 350 350 202 350 0 0 0 123 300 300 4,000 4,000 1,766 3,000 -1,000 994000-00-1263-000 Services - Advertising 994000-00-1270-000 Services - Legal 994000-00-1373-000 Registration - Train/Conf 994000-00-1377-000 Travel - General 994000-00-1387-000 Food - Other 994000-00-1399-000 Miscellaneous 994000-00-1400-000 ABC Cost Allocation 33% Surveyor small equipment purchases ($1,000) Other small purchases ($1,000) 267% Belgravia Street dual carriageway study Stg2 $50,000 (Dec), Abernethy Rd street lighting design and install $150,000 (Oct), Moreing St street lighting design and install $70,000 (Mar) -50% $2,000 annual plan scanning, $5,000 Technical Services projects 44% Utilities to increase by CPI based on 2014/15 forecasts. 0% PAMG Officer New Technical Services Administration catering -25% Parking, association fees, minor petty cash costs to department 396,208 396,208 297,280 471,002 74,795 994000-40-1119-000 Licenses 2,635 2,635 2,194 2,701 66 3% Fleet 2-5-8-17-20-40-58-62-66 994000-40-1201-000 Wages 1,995 1,995 3,179 2,045 50 3% 554 554 465 568 14 3% 15 15 0 15 0 0% 994000-40-1221-000 Tyres 333 333 623 341 8 2% 994000-40-1222-000 Materials 333 333 63 341 8 2% 994000-40-1223-000 Parts 554 554 14 568 14 3% 27,314 27,314 20,967 27,997 683 3% 2,217 2,217 5,983 2,272 55 2% 994000-40-1216-000 Agency Staff 994000-40-1219-000 Overheads 994000-40-1224-000 Fuel 994000-40-1225-000 External Repairs 19% 994000-40-1279-000 Services - Other 2,217 2,217 370 2,272 55 2% 994000-40-1314-000 Ins. Prem - Motor Vehicle 3,157 3,157 2,357 2,357 -800 -25% 1,904,872 1,884,472 1,647,735 2,182,147 297,675 16% 994000-32-3253-000 Fleet / Plant 125,441 125,441 104,592 245,232 119,791 95% Replacement of Fleet FL2-8-5-58-62-40 TOTAL 3 - Capital Expenditure 125,441 125,441 104,592 245,232 119,791 95% -2,000 -2,000 -2,509 -2,500 -500 0 0 -4,409 0 0 TOTAL 1 - Expenditure 3 - Capital Expenditure 4 - Income 994000-00-4076-000 Reimb - Staff Fuel 994000-00-4077-000 Reimb - Miscellaneous Page 28 of 121 25% Repayments by staff for Purchase Private Use and fuel costs Design Surveyor & Design Coordinator 0% A48.30 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 994000-00-4113-000 Settlement Enquiries Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) -8,000 -8,000 -8,873 -8,000 0 -22,000 -22,000 -24,410 -25,000 -3,000 -2,000 -2,000 0 -1,000 1,000 994000-00-4400-000 ABC Cost Recovery -332,187 -332,187 -261,176 -377,081 -44,895 14% TOTAL 4 - Income -366,187 -366,187 -301,376 -413,581 -47,395 13% -65,000 -65,000 -68,542 -138,000 -73,000 -7,216 -7,216 0 -7,468 -252 -72,216 -72,216 -68,542 -145,468 -73,252 101% 1,591,910 1,571,510 1,382,409 1,868,330 296,820 19% 179,461 179,461 160,270 188,394 8,933 5% As per salaries worksheet. 116 116 95 150 33 29% Cost of electronic banking 3,052 3,052 2,995 3,205 153 5% As per salaries worksheet. 21,560 21,560 18,941 22,562 1,002 5% As per salaries worksheet. 7,717 7,717 7,491 8,049 332 100 100 0 100 0 1,000 1,000 0 250 -750 25,000 5,000 4,800 36,000 31,000 2,000 2,000 0 2,000 0 0 0 2 0 0 0% 1,500 1,500 1,100 1,500 0 0% NAMS plus subscription $900 and publications $600 17,853 17,853 13,169 11,783 -6,070 -34% TOTAL 1 - Expenditure 259,360 239,360 208,863 273,993 34,633 14% TOTAL 994001 - Asset Management 259,360 239,360 208,863 273,993 34,633 14% 47,485 47,485 43,392 47,362 -123 0 0 78 0 0 141 141 27 300 158 994000-00-4124-000 Application Fees 994000-00-4132-000 Road Closures Comment 0% Yellow envelope percentage of revenue 14% Assessment of pre building permit applications - Manager Project Development -50% Road Closures - Manager Project Development 6 - Capital Income 994000-00-6253-000 Fleet / Plant 994000-00-6835-000 LSL Reserve - Salaries TOTAL 6 - Capital Income TOTAL 994000 - Technical Services 112% Income Fleet FL2-5-8-58-62-40 3% LSL expense recovered from reserve. 994001 - Asset Management 1 - Expenditure 994001-00-1200-000 Salaries 994001-00-1202-000 Allowances 994001-00-1208-000 Workers Compensation 994001-00-1209-000 Superannuation 994001-00-1211-000 Fringe Benefits Tax 994001-00-1227-000 Printing 994001-00-1252-000 Equipment 994001-00-1271-000 Services - Other Consultants 994001-00-1279-000 Services - Other 994001-00-1322-000 Telephone 994001-00-1330-000 Subscriptions 994001-00-1400-000 ABC Cost Allocation 4% 0% Business cards or project printing -75% Asset Management general small purchases 620% RoMAN2 yearly update $6,000 for asset valuation of road network (Aug), RoMAN2 road network visual assessment conducted every 4 years $30,000 (Mar to May) 0% General $2,000. 994003 - Traffic/Road Investigation 1 - Expenditure 994003-00-1200-000 Salaries 994003-00-1201-000 Wages 994003-00-1202-000 Allowances 994003-00-1208-000 Workers Compensation 0% As per salary spread sheet 0% 112% Cost of electronic banking 809 809 794 811 2 0% As per salary spread sheet 994003-00-1209-000 Superannuation 5,594 5,594 5,103 5,667 73 1% As per salary spread sheet 994003-00-1222-000 Materials 1,000 1,000 597 1,000 0 994003-00-1271-000 Services - Other Consultants 19,000 14,000 5,411 14,000 0 0% OPUS MRRG report $10,000 (May). Road Safety Review $4,000 (Apr) 994003-00-1279-000 Services - Other 30,000 30,000 30,344 30,000 0 0% 2016/17 Project borehole testing of materials and service locating (Jan to Jun)$7,500/mth 0 0 0 2,803 2,803 New TOTAL 1 - Expenditure 104,029 99,029 85,745 101,943 2,913 3% TOTAL 994003 - Traffic/Road Investigation 104,029 99,029 85,745 101,943 2,913 3% 994005-00-1080-000 Reimbursement - Services 4,000 4,000 0 4,000 0 994005-00-1200-000 Salaries 7,077 7,077 3,290 7,070 -7 0% As per salary spread sheet 50 50 0 100 50 100% As per salary spread sheet 994003-00-1400-000 ABC Cost Allocation 0% Traffic classifier replacement rubber road tubes, hold downs, nails and other consumables 994005 - Perth Airports Municipalities Group (PAMG) 1 - Expenditure 994005-00-1202-000 Allowances Page 29 of 121 0% AMAC Conference $3,000 (airfares, conference registration and accommodation), Incidentals $1,000 A48.31 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 994005-00-1208-000 Workers Compensation 121 121 119 121 0 0% As per salary spread sheet 994005-00-1209-000 Superannuation 962 962 0 831 -131 -14% As per salary spread sheet 994005-00-1377-000 Travel - General 200 200 9 200 0 12,410 12,410 3,418 12,322 -88 994005-00-4080-000 Reimbursement - Services -4,200 -4,200 0 -4,200 0 0% Reimbursement for AMAC Conference expenses for PAMG Secretary and travel costs for external meetings and incidentals TOTAL 4 - Income -4,200 -4,200 0 -4,200 0 0% 8,210 8,210 3,418 8,122 -88 -1% TOTAL 1 - Expenditure 0% Travel costs of Secretary to attend external meeting venues -1% 4 - Income TOTAL 994005 - Perth Airports Municipalities Group (PAMG) 994006 - Community Aviation Consultancies Group 1 - Expenditure 994006-00-1080-000 Reimbursement - Services 8,000 8,000 0 8,000 0 994006-00-1200-000 Salaries 7,077 7,077 3,347 6,046 -1,031 -15% As per salary spread sheet 50 50 0 100 50 100% As per salary spread sheet 994006-00-1208-000 Workers Compensation 121 121 119 105 -16 -13% As per salary spread sheet 994006-00-1209-000 Superannuation 962 962 0 715 -247 -26% As per salary spread sheet 994006-00-1377-000 Travel - General 0 0 9 0 0 0% 16,210 16,210 3,475 14,966 -1,244 -8% 994006-00-4080-000 Reimbursement - Services -16,210 -16,210 -8,335 -16,210 0 TOTAL 4 - Income -16,210 -16,210 -8,335 -16,210 0 0% 0 0 -4,860 -1,244 -1,244 New 1,963,509 1,918,109 1,675,575 2,251,144 333,034 17% 123,625 123,625 109,109 126,450 2,825 2% 0 0 6,393 0 0 0% 58 58 48 100 42 71% 994006-00-1202-000 Allowances TOTAL 1 - Expenditure 0% CACG Administration expenses including Catering - $8,000 4 - Income TOTAL 994006 - Community Aviation Consultancies Group TOTAL 220 - Technical Services 0% Reimbursement of CACG Administration expenses including labour charged at $50phr 240 - Road Construction 990000 - Roadworks 1 - Expenditure 990000-00-1200-000 Salaries 990000-00-1201-000 Wages 990000-00-1202-000 Allowances 990000-00-1208-000 Workers Compensation 2,102 2,102 2,063 2,151 49 2% 18,257 18,257 16,575 18,758 501 3% 8,896 8,896 8,794 9,279 383 4% 990000-00-1213-000 Salaries - Supervisors 0 0 208 0 0 0% 990000-00-1226-000 Stationery 0 0 169 0 0 0% 990000-00-1377-000 Travel - General 0 0 9 0 0 0% 4,851 4,851 3,537 5,097 246 5% 157,790 157,790 146,905 161,835 4,045 3% 990000-00-4021-000 Grant - Formula Local -515,000 -523,976 -523,974 -539,693 -15,717 3% Financial Assistance Grant based on previous year allocation plus minor increase. TOTAL 4 - Income -515,000 -523,976 -523,974 -539,693 -15,717 3% -250,110 -297,493 -278,302 -495,821 -198,328 -99,502 -100,800 -100,800 -105,200 -4,400 990000-00-1209-000 Superannuation 990000-00-1211-000 Fringe Benefits Tax 990000-00-1400-000 ABC Cost Allocation TOTAL 1 - Expenditure 4 - Income 6 - Capital Income 990000-00-6024-000 Grant - Other Roads 990000-00-6025-000 Direct Local 67% Funds received from Federal Government for Roads To Recovery Program 4% Direct Grant under Regional Road Group funding (RRG). TOTAL 6 - Capital Income -349,612 -398,293 -379,102 -601,021 -202,728 51% TOTAL 990000 - Roadworks -706,822 -764,479 -756,171 -978,879 -214,400 28% Page 30 of 121 A48.32 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget YTD Actual Budget YTD at Proposed Budget Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) WR1315 - ST KILDA RD (C): Alexander Rd - Roberts Rd TOTAL 1 - Expenditure 0 0 147 0 0 0% TOTAL WR1315 - ST KILDA RD (C): Alexander Rd - Roberts Rd 0 0 147 0 0 0% TOTAL 1 - Expenditure 100,800 225,000 239,116 0 -225,000 -100% TOTAL WR1438 - Armadale Road-Fulham St to Oats St 100,800 225,000 239,116 0 -225,000 -100% WR1438 - Armadale Road-Fulham St to Oats St WR1439 - Sydenham St-Wicca St Imtersection TOTAL 1 - Expenditure 85,680 85,680 94,472 0 -85,680 -100% TOTAL WR1439 - Sydenham St-Wicca St Imtersection 85,680 85,680 94,472 0 -85,680 -100% TOTAL 6 - Capital Income 0 0 -51,824 0 0 0% TOTAL WR1448 - Abernethy Road-Campbell St Intersection 0 0 -51,824 0 0 0% TOTAL 1 - Expenditure 226,800 5,000 225 0 -5,000 -100% TOTAL WR1501 - Barker Street-Abernethy Rd to Hehir St 226,800 5,000 225 0 -5,000 -100% TOTAL 1 - Expenditure 151,200 151,200 144,140 0 -151,200 -100% TOTAL WR1502 - Stanton St-Epsom Ave to Moreing 151,200 151,200 144,140 0 -151,200 -100% TOTAL 1 - Expenditure 342,720 280,000 275,221 0 -280,000 -100% TOTAL WR1503 - Stanton Rd-Lyall St to Second St 342,720 280,000 275,221 0 -280,000 -100% TOTAL 1 - Expenditure 186,480 318,532 334,170 0 -318,532 -100% TOTAL WR1504 - Epsom Ave-Klem St to Orpington St 186,480 318,532 334,170 0 -318,532 -100% TOTAL 1 - Expenditure 136,080 302,961 303,176 0 -302,961 -100% TOTAL WR1505 - Copeland Drive-Walsh Ave to Grand Parade 136,080 302,961 303,176 0 -302,961 -100% TOTAL 1 - Expenditure 136,080 5,000 3,203 0 -5,000 -100% TOTAL WR1506 - Grand Parade-Copeland Drive to Klem Ave 136,080 5,000 3,203 0 -5,000 -100% TOTAL 1 - Expenditure 136,080 207,231 202,631 0 -207,231 -100% TOTAL WR1507 - Belmont Ave-Scott St to Kew St 136,080 207,231 202,631 0 -207,231 -100% WR1448 - Abernethy Road-Campbell St Intersection WR1501 - Barker Street-Abernethy Rd to Hehir St WR1502 - Stanton St-Epsom Ave to Moreing WR1503 - Stanton Rd-Lyall St to Second St WR1504 - Epsom Ave-Klem St to Orpington St WR1505 - Copeland Drive-Walsh Ave to Grand Parade WR1506 - Grand Parade-Copeland Drive to Klem Ave WR1507 - Belmont Ave-Scott St to Kew St WR1508 - Oats St-Approach to Orrong Rd TOTAL 1 - Expenditure 50,904 50,904 36,601 0 -50,904 -100% TOTAL WR1508 - Oats St-Approach to Orrong Rd 50,904 50,904 36,601 0 -50,904 -100% WR1509 - General-Various Sites - City Wide TOTAL 1 - Expenditure 25,212 25,212 17,152 0 -25,212 -100% TOTAL WR1509 - General-Various Sites - City Wide 25,212 25,212 17,152 0 -25,212 -100% TOTAL 1 - Expenditure 25,212 25,212 9,015 0 -25,212 -100% TOTAL WR1510 - Various-Various Sites - City Wide 25,212 25,212 9,015 0 -25,212 -100% TOTAL 1 - Expenditure 65,325 65,325 52,984 0 -65,325 -100% TOTAL WR1511 - Urquhart Place-Armitt St to Cul-de-sac 65,325 65,325 52,984 0 -65,325 -100% WR1510 - Various-Various Sites - City Wide WR1511 - Urquhart Place-Armitt St to Cul-de-sac Page 31 of 121 Comment A48.33 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget YTD Actual Budget YTD at Proposed Budget Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) WR1512 - Green Street-Armitt St to Osbourn Pl TOTAL 1 - Expenditure 50,250 50,250 34,066 0 -50,250 -100% TOTAL WR1512 - Green Street-Armitt St to Osbourn Pl 50,250 50,250 34,066 0 -50,250 -100% WR1513 - Osbourn Place-Green St to Cul-de-sac TOTAL 1 - Expenditure 40,200 40,200 35,500 0 -40,200 -100% TOTAL WR1513 - Osbourn Place-Green St to Cul-de-sac 40,200 40,200 35,500 0 -40,200 -100% WR1514 - Compton Place-Green St to Cul-de-sac TOTAL 1 - Expenditure 45,225 45,225 27,189 0 -45,225 -100% TOTAL WR1514 - Compton Place-Green St to Cul-de-sac 45,225 45,225 27,189 0 -45,225 -100% TOTAL 1 - Expenditure 45,225 45,225 28,249 0 -45,225 -100% TOTAL WR1515 - Somers Street-Belvidrere St half way to Ellard St 45,225 45,225 28,249 0 -45,225 -100% TOTAL 1 - Expenditure 145,725 4,320 609 0 -4,320 -100% TOTAL WR1516 - Beverley St-Abernethy Rd to Fisher St 145,725 4,320 609 0 -4,320 -100% TOTAL 1 - Expenditure 40,200 40,200 20,301 0 -40,200 -100% TOTAL WR1517 - Crown St-Acton Ave to Menzies St 40,200 40,200 20,301 0 -40,200 -100% TOTAL 1 - Expenditure 332,384 332,384 209,114 0 -332,384 -100% TOTAL WR1518 - Kanowna Ave east-Second St and First St 332,384 332,384 209,114 0 -332,384 -100% TOTAL 1 - Expenditure 126,000 300,000 300,855 0 -300,000 -100% TOTAL WR1519 - Robinson Ave-Esther St intersection 126,000 300,000 300,855 0 -300,000 -100% TOTAL 1 - Expenditure 201,600 201,600 96,192 0 -201,600 -100% TOTAL WR1520 - Kooyong Rd-Newey St intersection 201,600 201,600 96,192 0 -201,600 -100% TOTAL 1 - Expenditure 161,280 267,391 268,183 0 -267,391 -100% TOTAL WR1521 - Centenary Park-Carpark 161,280 267,391 268,183 0 -267,391 -100% TOTAL 1 - Expenditure 656,208 482,377 17,304 0 -482,377 -100% TOTAL WR1522 - Cambell St-Abernethy Rd to Knutsford Ave 656,208 482,377 17,304 0 -482,377 -100% TOTAL 1 - Expenditure 151,200 6,200 769 0 -6,200 -100% TOTAL WR1523 - The Esplanade-Forbes St to Ford St 151,200 6,200 769 0 -6,200 -100% TOTAL 1 - Expenditure 147,497 147,497 179,818 0 -147,497 -100% TOTAL 6 - Capital Income -72,259 -72,259 -72,259 0 72,259 -100% 75,238 75,238 107,559 0 -75,238 -100% 165,931 165,931 108,004 0 -165,931 -100% -81,291 -81,291 -72,003 0 81,291 -100% 84,640 84,640 36,001 0 -84,640 -100% WR1515 - Somers Street-Belvidrere St half way to Ellard St WR1516 - Beverley St-Abernethy Rd to Fisher St WR1517 - Crown St-Acton Ave to Menzies St WR1518 - Kanowna Ave east-Second St and First St WR1519 - Robinson Ave-Esther St intersection WR1520 - Kooyong Rd-Newey St intersection WR1521 - Centenary Park-Carpark WR1522 - Cambell St-Abernethy Rd to Knutsford Ave WR1523 - The Esplanade-Forbes St to Ford St WR1524 - Wright St-Armadale Rd to Knutsford Ave (Northern Lane) TOTAL WR1524 - Wright St-Armadale Rd to Knutsford Ave (Northern Lane) WR1525 - Wright St-Knutsford Ave to Belmont Ave TOTAL 1 - Expenditure 6 - Capital Income TOTAL 6 - Capital Income TOTAL WR1525 - Wright St-Knutsford Ave to Belmont Ave Page 32 of 121 Comment A48.34 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) WR1526 - Stanton St-Moreing St to Lyall St TOTAL 1 - Expenditure 106,659 106,659 149,172 0 -106,659 -100% -52,254 -52,254 -20,902 0 52,254 -100% 54,405 54,405 128,270 0 -54,405 -100% 174,809 174,809 14,559 0 -174,809 -100% -85,641 -85,641 -55,158 0 85,641 -100% 89,168 89,168 -40,599 0 -89,168 -100% TOTAL 1 - Expenditure 166,320 166,320 195,370 0 -166,320 -100% TOTAL WR1528 - Campbell St-Knutsford Ave to Action St 166,320 166,320 195,370 0 -166,320 -100% TOTAL 1 - Expenditure 85,537 85,537 29,719 0 -85,537 -100% TOTAL WR1529 - Menzies St-Campbell St to Esther St 85,537 85,537 29,719 0 -85,537 -100% 133,560 195,000 220,058 0 -195,000 -100% 6 - Capital Income TOTAL 6 - Capital Income TOTAL WR1526 - Stanton St-Moreing St to Lyall St WR1527 - Second St-Kanowna Ave to Brearley Ave TOTAL 1 - Expenditure 6 - Capital Income TOTAL 6 - Capital Income TOTAL WR1527 - Second St-Kanowna Ave to Brearley Ave WR1528 - Campbell St-Knutsford Ave to Action St WR1529 - Menzies St-Campbell St to Esther St WR1530 - Abernethy Road-Chilver Street TOTAL 1 - Expenditure 6 - Capital Income TOTAL 6 - Capital Income -33,333 -33,333 -33,333 0 33,333 -100% TOTAL WR1530 - Abernethy Road-Chilver Street 100,227 161,667 186,725 0 -161,667 -100% WR1531 - Lyons Street – Esther St to Campbell St TOTAL 1 - Expenditure 0 85,000 33,899 0 -85,000 -100% TOTAL WR1531 - Lyons Street – Esther St to Campbell St 0 85,000 33,899 0 -85,000 -100% TOTAL 1 - Expenditure 0 0 0 174,307 174,307 New TOTAL WR1601 - Fulham Street: Kooyong Rd to Rinsey Pl 0 0 0 174,307 174,307 New TOTAL 1 - Expenditure 0 0 0 208,000 208,000 New TOTAL WR1602 - Rinsey Place: Fulham Rd to CDS 0 0 0 208,000 208,000 New TOTAL 1 - Expenditure 0 0 0 91,000 91,000 New TOTAL WR1603 - Kooyong Road: Kestal Pl to Fulham St 0 0 0 91,000 91,000 New TOTAL 1 - Expenditure 0 0 0 182,000 182,000 New TOTAL WR1604 - Acton Avenue: Leach Hwy to Kew St 0 0 0 182,000 182,000 New TOTAL 1 - Expenditure 0 0 0 205,000 205,000 New TOTAL WR1605 - Chester Street: Daly St to Hardey Rd 0 0 0 205,000 205,000 New TOTAL 1 - Expenditure 0 0 0 125,000 125,000 New TOTAL WR1606 - Cohn Street: Harrow St to CDS 0 0 0 125,000 125,000 New WR1601 - Fulham Street: Kooyong Rd to Rinsey Pl WR1602 - Rinsey Place: Fulham Rd to CDS WR1603 - Kooyong Road: Kestal Pl to Fulham St WR1604 - Acton Avenue: Leach Hwy to Kew St WR1605 - Chester Street: Daly St to Hardey Rd WR1606 - Cohn Street: Harrow St to CDS WR1607 - General TOTAL 1 - Expenditure 0 0 0 20,000 20,000 New TOTAL WR1607 - General 0 0 0 20,000 20,000 New Page 33 of 121 Comment A48.35 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) WR1608 - Various TOTAL 1 - Expenditure 0 0 0 20,000 20,000 New TOTAL WR1608 - Various 0 0 0 20,000 20,000 New WR1609 - Elizabeth Street: Knutsford Ave to Belmont Ave TOTAL 1 - Expenditure 0 0 0 98,494 98,494 New TOTAL WR1609 - Elizabeth Street: Knutsford Ave to Belmont Ave 0 0 0 98,494 98,494 New WR1610 - Ross Street: Knutsford Ave to Belmont Ave TOTAL 1 - Expenditure 0 0 0 88,110 88,110 New TOTAL WR1610 - Ross Street: Knutsford Ave to Belmont Ave 0 0 0 88,110 88,110 New TOTAL 1 - Expenditure 0 0 0 58,999 58,999 New TOTAL WR1611 - Chester Street: Belgravia St to Daly St 0 0 0 58,999 58,999 New TOTAL 1 - Expenditure 0 0 0 61,001 61,001 New TOTAL WR1612 - Toorak Road: CDS (Francisco St) - Campbell St 0 0 0 61,001 61,001 New TOTAL 1 - Expenditure 0 0 0 64,999 64,999 New TOTAL WR1613 - Kooyong Road: Wright St to Kestal Pl 0 0 0 64,999 64,999 New TOTAL 1 - Expenditure 0 0 0 52,999 52,999 New TOTAL WR1614 - Thompson Place: Acton Ave to CDS 0 0 0 52,999 52,999 New TOTAL 1 - Expenditure 0 0 0 36,000 36,000 New TOTAL WR1615 - Bignel Place: Townton St to CDS 0 0 0 36,000 36,000 New WR1611 - Chester Street: Belgravia St to Daly St WR1612 - Toorak Road: CDS (Francisco St) - Campbell St WR1613 - Kooyong Road: Wright St to Kestal Pl WR1614 - Thompson Place: Acton Ave to CDS WR1615 - Bignel Place: Townton St to CDS WR1616 - Board Avenue: Field Ave to CDS TOTAL 1 - Expenditure 0 0 0 27,500 27,500 New TOTAL WR1616 - Board Avenue: Field Ave to CDS 0 0 0 27,500 27,500 New WR1617 - Hardey Road: Wallace St to Durban St TOTAL 1 - Expenditure 0 0 0 204,999 204,999 New TOTAL WR1617 - Hardey Road: Wallace St to Durban St 0 0 0 204,999 204,999 New WR1618 - Belgravia Street: Chester St Intersection TOTAL 1 - Expenditure 0 0 0 185,001 185,001 New TOTAL WR1618 - Belgravia Street: Chester St Intersection 0 0 0 185,001 185,001 New 0 0 0 279,999 279,999 New TOTAL 6 - Capital Income 0 0 0 -53,333 -53,333 New TOTAL WR1619 - Alexander Road: Kooyong Rd Intersection 0 0 0 226,666 226,666 New TOTAL 1 - Expenditure 0 0 0 50,001 50,001 New TOTAL WR1620 - Abernethy Road: Wright St Intersection 0 0 0 50,001 50,001 New WR1619 - Alexander Road: Kooyong Rd Intersection TOTAL 1 - Expenditure 6 - Capital Income WR1620 - Abernethy Road: Wright St Intersection WR1621 - President Street: Jeffrey St Intersection TOTAL 1 - Expenditure 0 0 0 174,999 174,999 New TOTAL WR1621 - President Street: Jeffrey St Intersection 0 0 0 174,999 174,999 New WR1622 - Courtland Cres: McEwing St Intersection Page 34 of 121 Comment A48.36 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) TOTAL 1 - Expenditure 0 0 0 174,999 174,999 New TOTAL WR1622 - Courtland Cres: McEwing St Intersection 0 0 0 174,999 174,999 New WR1623 - Belgravia St : Scott St intersection TOTAL 1 - Expenditure 0 0 0 84,999 84,999 New TOTAL WR1623 - Belgravia St : Scott St intersection 0 0 0 84,999 84,999 New 0 0 0 75,000 75,000 New TOTAL 6 - Capital Income 0 0 0 -50,000 -50,000 New TOTAL WR1624 - Gabriel Street: Fisher St Intersection 0 0 0 25,000 25,000 New WR1624 - Gabriel Street: Fisher St Intersection TOTAL 1 - Expenditure 6 - Capital Income WR1625 - Blacklock Rd: Alfred St Intersection TOTAL 1 - Expenditure 0 0 0 75,000 75,000 New TOTAL WR1625 - Blacklock Rd: Alfred St Intersection 0 0 0 75,000 75,000 New TOTAL 1 - Expenditure 0 0 0 150,000 150,000 New TOTAL WR1626 - Garvey Park: Adjacent to existing car park 0 0 0 150,000 150,000 New WR1626 - Garvey Park: Adjacent to existing car park WR1627 - Alexander Road: Adjacent to Robinson Rd TOTAL 1 - Expenditure 0 0 0 30,000 30,000 New TOTAL WR1627 - Alexander Road: Adjacent to Robinson Rd 0 0 0 30,000 30,000 New 0 0 0 300,000 300,000 New TOTAL 6 - Capital Income 0 0 0 -150,000 -150,000 New TOTAL WR1628 - Abernethy Road: Wynyard St to Faulkner St 0 0 0 150,000 150,000 New 0 0 0 350,000 350,000 New TOTAL 6 - Capital Income 0 0 0 -175,000 -175,000 New TOTAL WR1629 - Robinson Avenue: Francisco St to Campbell St 0 0 0 175,000 175,000 New TOTAL 1 - Expenditure 0 0 0 225,000 225,000 New TOTAL WR1630 - The Esplanade: Forbes St to Ford St 0 0 0 225,000 225,000 New TOTAL 1 - Expenditure 0 0 0 219,986 219,986 New TOTAL WR1631 - Campbell Street: Surrey Rd to Kooyong Rd 0 0 0 219,986 219,986 New TOTAL 1 - Expenditure 0 0 0 70,000 70,000 New TOTAL WR1632 - Hutchinson Street: Sydenham St to Alexander Rd 0 0 0 70,000 70,000 New TOTAL 1 - Expenditure 0 0 0 170,000 170,000 New TOTAL WR1633 - Daly Street: CDS (Sydenham St) to Alexander Rd 0 0 0 170,000 170,000 New TOTAL 1 - Expenditure 0 0 0 135,000 135,000 New TOTAL WR1634 - Gladstone Street: Francisco St to Roberts Rd 0 0 0 135,000 135,000 New WR1628 - Abernethy Road: Wynyard St to Faulkner St TOTAL 1 - Expenditure 6 - Capital Income WR1629 - Robinson Avenue: Francisco St to Campbell St TOTAL 1 - Expenditure 6 - Capital Income WR1630 - The Esplanade: Forbes St to Ford St WR1631 - Campbell Street: Surrey Rd to Kooyong Rd WR1632 - Hutchinson Street: Sydenham St to Alexander Rd WR1633 - Daly Street: CDS (Sydenham St) to Alexander Rd WR1634 - Gladstone Street: Francisco St to Roberts Rd WR1635 - Wright Street: Armadale Rd Intersection Page 35 of 121 Comment A48.37 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL 1 - Expenditure Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 0 0 0 84,999 84,999 New TOTAL 6 - Capital Income 0 0 0 -56,667 -56,667 New TOTAL WR1635 - Wright Street: Armadale Rd Intersection 0 0 0 28,332 28,332 New 0 0 0 120,000 120,000 New 6 - Capital Income WR1636 - Alexander Road: Belgravia St Intersection TOTAL 1 - Expenditure 6 - Capital Income TOTAL 6 - Capital Income 0 0 0 -80,000 -80,000 New TOTAL WR1636 - Alexander Road: Belgravia St Intersection 0 0 0 40,000 40,000 New 0 0 0 120,000 120,000 New WR1637 - Belmont Ave: Campbell St Intersection TOTAL 1 - Expenditure 6 - Capital Income TOTAL 6 - Capital Income 0 0 0 -80,000 -80,000 New TOTAL WR1637 - Belmont Ave: Campbell St Intersection 0 0 0 40,000 40,000 New TOTAL 1 - Expenditure 0 0 0 167,476 167,476 New TOTAL WR1638 - Belmont Ave Upgrade: Alexander to GEH 0 0 0 167,476 167,476 New WR1638 - Belmont Ave Upgrade: Alexander to GEH WS1601 - Bus Shelter Repair Program TOTAL 1 - Expenditure 0 0 0 10,000 10,000 New TOTAL WS1601 - Bus Shelter Repair Program 0 0 0 10,000 10,000 New 3,612,781 3,600,123 2,619,535 3,346,988 -253,135 -7% TOTAL 1 - Expenditure 320,320 395,320 388,234 328,327 -66,993 -17% TOTAL W59900 - Streets-Gen Mntc 320,320 395,320 388,234 328,327 -66,993 -17% TOTAL 240 - Road Construction 250 - Road Maintenance W59900 - Streets-Gen Mntc W59909 - Streets-Gen-Bins TOTAL 1 - Expenditure 9,700 9,700 7,520 9,700 0 0% TOTAL W59909 - Streets-Gen-Bins 9,700 9,700 7,520 9,700 0 0% W59911 - Streets-Gen-Signs TOTAL 1 - Expenditure 70,300 70,300 28,327 70,300 0 0% TOTAL W59911 - Streets-Gen-Signs 70,300 70,300 28,327 70,300 0 0% TOTAL 1 - Expenditure 10,850 10,850 8,815 10,850 0 0% TOTAL W59914 - Streets Gen - LineMarking 10,850 10,850 8,815 10,850 0 0% W59914 - Streets Gen - LineMarking W59916 - Streets-RoadWorks Signs TOTAL 1 - Expenditure 6,400 6,400 5,123 6,400 0 0% TOTAL W59916 - Streets-RoadWorks Signs 6,400 6,400 5,123 6,400 0 0% W59930 - Streets Gen - Boat Ramps TOTAL 1 - Expenditure 10,000 10,000 335 10,000 0 0% TOTAL W59930 - Streets Gen - Boat Ramps 10,000 10,000 335 10,000 0 0% TOTAL 1 - Expenditure 0 0 1,973 67,978 67,978 New TOTAL W59942 - Streets-Gen-Bus Seat/Shlt 0 0 1,973 67,978 67,978 New 100,000 100,000 11,206 100,000 0 0% W59942 - Streets-Gen-Bus Seat/Shlt W59945 - Streets General Street Lightin TOTAL 1 - Expenditure Page 36 of 121 Comment A48.38 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL W59945 - Streets General Street Lightin Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 100,000 100,000 11,206 100,000 0 0% TOTAL 1 - Expenditure 10,000 10,000 19,960 27,500 17,500 175% TOTAL W59950 - Streets Gen - Gross Pollutent Trap 10,000 10,000 19,960 27,500 17,500 175% TOTAL 1 - Expenditure 220,200 220,200 196,698 225,705 5,505 3% TOTAL W59960 - Streets - Sweeping 220,200 220,200 196,698 225,705 5,505 3% TOTAL 1 - Expenditure 25,000 25,000 23,265 25,625 625 3% TOTAL W59961 - Streets - Crack Sealing 25,000 25,000 23,265 25,625 625 3% W59950 - Streets Gen - Gross Pollutent Trap W59960 - Streets - Sweeping W59961 - Streets - Crack Sealing W59962 - Streets Gen - Safety Devices TOTAL 1 - Expenditure 15,000 15,000 12,110 16,700 1,700 11% TOTAL W59962 - Streets Gen - Safety Devices 15,000 15,000 12,110 16,700 1,700 11% W59998 - Streets - Specific TOTAL 1 - Expenditure 5,250 5,250 9,384 5,385 135 3% TOTAL W59998 - Streets - Specific 5,250 5,250 9,384 5,385 135 3% W82900 - Shopping Cnt C/P-Gen Mntc TOTAL 1 - Expenditure 37,770 37,770 37,258 38,365 595 2% TOTAL W82900 - Shopping Cnt C/P-Gen Mntc 37,770 37,770 37,258 38,365 595 2% 840,790 915,790 750,208 942,835 27,045 3% 991000-00-1226-000 Stationery 0 0 221 0 0 0% TOTAL 1 - Expenditure 0 0 221 0 0 0% TOTAL 991000 - Footpath Works 0 0 221 0 0 0% TOTAL 1 - Expenditure 45,130 60,000 22,161 0 -60,000 -100% TOTAL WF1501 - Path Connectivity-Various 45,130 60,000 22,161 0 -60,000 -100% TOTAL 1 - Expenditure 30,090 30,090 2,934 0 -30,090 -100% TOTAL WF1502 - Path Rehabilitation-Various 30,090 30,090 2,934 0 -30,090 -100% TOTAL 1 - Expenditure 20,180 20,180 8,196 0 -20,180 -100% TOTAL WF1503 - Foreshore Paths-Various 20,180 20,180 8,196 0 -20,180 -100% TOTAL 1 - Expenditure 34,892 2,697 2,697 0 -2,697 -100% TOTAL WF1504 - Waterway Crescent-From The Riverwalk to Riverina Dve 34,892 2,697 2,697 0 -2,697 -100% TOTAL 1 - Expenditure 32,991 0 0 0 0 0% TOTAL WF1505 - Wicca Reserve-To be determined 32,991 0 0 0 0 0% TOTAL 1 - Expenditure 57,654 0 81 0 0 0% TOTAL WF1506 - Wickham Street-Redcliffe Bridge to GEH Overpass 57,654 0 81 0 0 0% TOTAL 250 - Road Maintenance 260 - Footpath Construction 991000 - Footpath Works 1 - Expenditure WF1501 - Path Connectivity-Various WF1502 - Path Rehabilitation-Various WF1503 - Foreshore Paths-Various WF1504 - Waterway Crescent-From The Riverwalk to Riverina Dve WF1505 - Wicca Reserve-To be determined WF1506 - Wickham Street-Redcliffe Bridge to GEH Overpass WF1507 - Abernethy Road-From Faulkner Ave to Campbell St Page 37 of 121 Comment A48.39 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) TOTAL 1 - Expenditure 22,000 14,928 17,102 0 -14,928 -100% TOTAL WF1507 - Abernethy Road-From Faulkner Ave to Campbell St 22,000 14,928 17,102 0 -14,928 -100% TOTAL 1 - Expenditure 31,540 31,540 29,378 0 -31,540 -100% TOTAL WF1508 - Acton Avenue-From Alexander Rd to Hs No 221 Acton Ave 31,540 31,540 29,378 0 -31,540 -100% TOTAL 1 - Expenditure 21,020 0 0 0 0 0% TOTAL WF1509 - Bike Path-From Fauntleroy Ave for 133m 21,020 0 0 0 0 0% TOTAL 1 - Expenditure 22,525 0 0 0 0 0% TOTAL WF1510 - Bike Path-From Esplanade CDS to Nth side 22,525 0 0 0 0 0% TOTAL 1 - Expenditure 6,758 8,730 8,930 0 -8,730 -100% TOTAL WF1511 - Acton Avenue (access way)-From Acton Ave CDS to Gabriel St 6,758 8,730 8,930 0 -8,730 -100% TOTAL 1 - Expenditure 14,783 14,783 21,613 0 -14,783 -100% TOTAL WF1512 - Alexander Road-From Hardey Rd to Williamson Ave 14,783 14,783 21,613 0 -14,783 -100% TOTAL 1 - Expenditure 14,783 14,783 16,339 0 -14,783 -100% TOTAL WF1513 - Alexander Road-From Williamson Ave to Daly St 14,783 14,783 16,339 0 -14,783 -100% TOTAL 1 - Expenditure 29,288 29,288 38,751 0 -29,288 -100% TOTAL WF1514 - Alexander Road-From Surrey Rd to Orrong Rd 29,288 29,288 38,751 0 -29,288 -100% WF1508 - Acton Avenue-From Alexander Rd to Hs No 221 Acton Ave WF1509 - Bike Path-From Fauntleroy Ave for 133m WF1510 - Bike Path-From Esplanade CDS to Nth side WF1511 - Acton Avenue (access way)-From Acton Ave CDS to Gabriel St WF1512 - Alexander Road-From Hardey Rd to Williamson Ave WF1513 - Alexander Road-From Williamson Ave to Daly St WF1514 - Alexander Road-From Surrey Rd to Orrong Rd WF1515 - Armadale Road-From Deli-R to Chamberlain Rd TOTAL 1 - Expenditure 4,550 0 0 0 0 0% TOTAL WF1515 - Armadale Road-From Deli-R to Chamberlain Rd 4,550 0 0 0 0 0% WF1516 - Armadale Road-From Campbell St to Francisco St TOTAL 1 - Expenditure 35,540 35,540 39,882 0 -35,540 -100% TOTAL WF1516 - Armadale Road-From Campbell St to Francisco St 35,540 35,540 39,882 0 -35,540 -100% WF1517 - Armadale Road-From Roberts Rd to Salem Pl TOTAL 1 - Expenditure 6,573 11,124 11,841 0 -11,124 -100% TOTAL WF1517 - Armadale Road-From Roberts Rd to Salem Pl 6,573 11,124 11,841 0 -11,124 -100% TOTAL 1 - Expenditure 9,584 0 133 0 0 0% TOTAL WF1518 - Faulkner Park-To be determined 9,584 0 133 0 0 0% WF1518 - Faulkner Park-To be determined WF1519 - Belgravia Street-From Fulham St to Wright St TOTAL 1 - Expenditure 34,931 19,285 35,446 0 -19,285 -100% TOTAL WF1519 - Belgravia Street-From Fulham St to Wright St 34,931 19,285 35,446 0 -19,285 -100% TOTAL 1 - Expenditure 65,308 51,617 52,023 0 -51,617 -100% TOTAL WF1520 - Belmont Avenue-From Kew St to Scott St 65,308 51,617 52,023 0 -51,617 -100% TOTAL 1 - Expenditure 24,268 7,947 16,564 0 -7,947 -100% TOTAL WF1521 - Belmont Avenue-From LHS Hs No 11 to Cleaver Tce 24,268 7,947 16,564 0 -7,947 -100% WF1520 - Belmont Avenue-From Kew St to Scott St WF1521 - Belmont Avenue-From LHS Hs No 11 to Cleaver Tce WF1522 - Bike Path-From GE Hwy to rear of 98 GEHwy Page 38 of 121 Comment A48.40 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) TOTAL 1 - Expenditure 25,634 0 0 0 0 0% TOTAL WF1522 - Bike Path-From GE Hwy to rear of 98 GEHwy 25,634 0 0 0 0 0% TOTAL 1 - Expenditure 63,882 39,563 102,211 0 -39,563 -100% TOTAL WF1523 - Chester Street-From Belgravia St to Hardey Rd 63,882 39,563 102,211 0 -39,563 -100% WF1523 - Chester Street-From Belgravia St to Hardey Rd WF1524 - McClarty Park-New footpath TOTAL 1 - Expenditure 27,067 20,729 20,729 0 -20,729 -100% TOTAL WF1524 - McClarty Park-New footpath 27,067 20,729 20,729 0 -20,729 -100% TOTAL 1 - Expenditure 27,067 0 225 0 0 0% TOTAL WF1525 - Adachi Park-New footpath 27,067 0 225 0 0 0% 0 86,078 108,954 0 -86,078 -100% TOTAL 6 - Capital Income 0 -28,693 0 0 28,693 -100% TOTAL WF1526 - Belmont Avenue-Alexander Rd to Wright St 0 57,385 108,954 0 -57,385 -100% TOTAL 1 - Expenditure 0 16,745 0 0 -16,745 -100% TOTAL WF1528 - Willow Park-Connectivity via Knutsford St 0 16,745 0 0 -16,745 -100% WF1525 - Adachi Park-New footpath WF1526 - Belmont Avenue-Alexander Rd to Wright St TOTAL 1 - Expenditure WF1528 - Willow Park-Connectivity via Knutsford St WF1529 - Epsom Avenue-Klem Ave to Orpington St TOTAL 1 - Expenditure 0 77,173 77,173 0 -77,173 -100% TOTAL WF1529 - Epsom Avenue-Klem Ave to Orpington St 0 77,173 77,173 0 -77,173 -100% TOTAL 1 - Expenditure 0 70,700 0 0 -70,700 -100% TOTAL WF1530 - Brindley Street-Belmont Ave to Alexander Rd 0 70,700 0 0 -70,700 -100% TOTAL 1 - Expenditure 0 0 0 15,000 15,000 New TOTAL WF1601 - Path Rehabiltation : Various 0 0 0 15,000 15,000 New TOTAL 1 - Expenditure 0 0 0 7,000 7,000 New TOTAL WF1602 - Priority Projects : Various 0 0 0 7,000 7,000 New TOTAL 1 - Expenditure 0 0 0 19,200 19,200 New TOTAL WF1603 - Belmont Avenue : From Francisco St to Eyre St 0 0 0 19,200 19,200 New TOTAL 1 - Expenditure 0 0 0 67,500 67,500 New TOTAL WF1604 - Bike Path : From Boardwalk Nth End to Fauntleroy A 0 0 0 67,500 67,500 New TOTAL 1 - Expenditure 0 0 0 20,400 20,400 New TOTAL WF1605 - Bike Path : From 133 Fauntleroy Ave to Hilton Gr 0 0 0 20,400 20,400 New TOTAL 1 - Expenditure 0 0 0 146,880 146,880 New TOTAL WF1606 - Bike Path : From Resolution Dve to The Boardwalk 0 0 0 146,880 146,880 New WF1530 - Brindley Street-Belmont Ave to Alexander Rd WF1601 - Path Rehabiltation : Various WF1602 - Priority Projects : Various WF1603 - Belmont Avenue : From Francisco St to Eyre St WF1604 - Bike Path : From Boardwalk Nth End to Fauntleroy A WF1605 - Bike Path : From 133 Fauntleroy Ave to Hilton Gr WF1606 - Bike Path : From Resolution Dve to The Boardwalk WF1607 - Centenary Park : To be determined TOTAL 1 - Expenditure 0 0 0 19,500 19,500 New TOTAL WF1607 - Centenary Park : To be determined 0 0 0 19,500 19,500 New Page 39 of 121 Comment A48.41 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) WF1608 - Epsom Avenue : From Garvey St to Orpington St TOTAL 1 - Expenditure 0 0 0 13,500 13,500 New TOTAL WF1608 - Epsom Avenue : From Garvey St to Orpington St 0 0 0 13,500 13,500 New WF1609 - Epsom Avenue : From GE Hwy to Victoria St TOTAL 1 - Expenditure 0 0 0 40,800 40,800 New TOTAL WF1609 - Epsom Avenue : From GE Hwy to Victoria St 0 0 0 40,800 40,800 New TOTAL 1 - Expenditure 0 0 0 27,600 27,600 New TOTAL WF1610 - Epsom Avenue : From Matheson Road to Gould Reserve 0 0 0 27,600 27,600 New TOTAL 1 - Expenditure 0 0 0 16,320 16,320 New TOTAL WF1611 - Fairbrother Street : From Hubert St to Fisher St 0 0 0 16,320 16,320 New TOTAL 1 - Expenditure 0 0 0 13,177 13,177 New TOTAL WF1612 - Fairbrother Street : From old depot XO to Aberneth 0 0 0 13,177 13,177 New TOTAL 1 - Expenditure 0 0 0 6,240 6,240 New TOTAL WF1613 - Fairetha Court : From Tibradden Circle to End of F 0 0 0 6,240 6,240 New TOTAL 1 - Expenditure 0 0 0 55,200 55,200 New TOTAL WF1614 - Fauntleroy Avenue : From GE Hwy to Hilton Gr 0 0 0 55,200 55,200 New TOTAL 1 - Expenditure 0 0 0 15,615 15,615 New TOTAL WF1615 - First Avenue : From Bulong Ave to Central Ave 0 0 0 15,615 15,615 New WF1610 - Epsom Avenue : From Matheson Road to Gould Reserve WF1611 - Fairbrother Street : From Hubert St to Fisher St WF1612 - Fairbrother Street : From old depot XO to Aberneth WF1613 - Fairetha Court : From Tibradden Circle to End of F WF1614 - Fauntleroy Avenue : From GE Hwy to Hilton Gr WF1615 - First Avenue : From Bulong Ave to Central Ave WF1616 - Fitzroy Road : From Francisco St to Fitzroy north TOTAL 1 - Expenditure 0 0 0 16,800 16,800 New TOTAL WF1616 - Fitzroy Road : From Francisco St to Fitzroy north 0 0 0 16,800 16,800 New WF1617 - Fitzroy Road : From Francisco St to Roberts Rd TOTAL 1 - Expenditure 0 0 0 27,640 27,640 New TOTAL WF1617 - Fitzroy Road : From Francisco St to Roberts Rd 0 0 0 27,640 27,640 New WF1618 - Mort Street : Campbell Street to Roberts Road TOTAL 1 - Expenditure 0 0 0 24,000 24,000 New TOTAL WF1618 - Mort Street : Campbell Street to Roberts Road 0 0 0 24,000 24,000 New WF1619 - Adachi Foreshore Path Upgrade : Belinum Apartments TOTAL 1 - Expenditure 0 0 0 109,440 109,440 New TOTAL WF1619 - Adachi Foreshore Path Upgrade : Belinum Apartments 0 0 0 109,440 109,440 New WF1620 - Whiteside Street : Gabriel Stret to HN 2 Ritchie W TOTAL 1 - Expenditure 0 0 0 17,280 17,280 New TOTAL WF1620 - Whiteside Street : Gabriel Stret to HN 2 Ritchie W 0 0 0 17,280 17,280 New TOTAL 1 - Expenditure 0 0 0 33,560 33,560 New TOTAL WF1621 - Rinsey Place : Fulham St to CDS 0 0 0 33,560 33,560 New TOTAL 1 - Expenditure 0 0 0 22,693 22,693 New TOTAL WF1622 - Abernethy Road : From Cleaver Terrace to Barker St 0 0 0 22,693 22,693 New WF1621 - Rinsey Place : Fulham St to CDS WF1622 - Abernethy Road : From Cleaver Terrace to Barker St Page 40 of 121 Comment A48.42 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL 260 - Footpath Construction Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 708,033 634,827 633,585 735,345 100,518 16% 198,706 198,706 199,343 203,674 4,968 3% 270 - Footpath Maintenance W59500 - Foot Paths-Gen Mntc TOTAL 1 - Expenditure TOTAL W59500 - Foot Paths-Gen Mntc 198,706 198,706 199,343 203,674 4,968 3% 198,706 198,706 199,343 203,674 4,968 3% TOTAL 1 - Expenditure 20,100 46,457 37,143 0 -46,457 -100% TOTAL WD1501 - Side entry pit upgrades-Various 20,100 46,457 37,143 0 -46,457 -100% TOTAL 1 - Expenditure 20,100 20,100 12,579 0 -20,100 -100% TOTAL WD1502 - General drainage improvements-Various 20,100 20,100 12,579 0 -20,100 -100% TOTAL 1 - Expenditure 15,620 2,595 2,595 0 -2,595 -100% TOTAL WD1503 - Pollution Control Improvement-Various 15,620 2,595 2,595 0 -2,595 -100% TOTAL 1 - Expenditure 15,000 3,588 3,588 0 -3,588 -100% TOTAL WD1504 - Pipe condition investigation-Various 15,000 3,588 3,588 0 -3,588 -100% TOTAL 1 - Expenditure 50,000 0 0 0 0 0% TOTAL WD1505 - Grandstand Road-Waterway Crescent to Resolution Drive 50,000 0 0 0 0 0% TOTAL 1 - Expenditure 35,000 35,000 2,680 0 -35,000 -100% TOTAL WD1506 - Bulong Avenue-Helcor pipe in easement at #90 Bulong Avenue 35,000 35,000 2,680 0 -35,000 -100% TOTAL 270 - Footpath Maintenance 280 - Drainage Construction WD1501 - Side entry pit upgrades-Various WD1502 - General drainage improvements-Various WD1503 - Pollution Control Improvement-Various WD1504 - Pipe condition investigation-Various WD1505 - Grandstand Road-Waterway Crescent to Resolution Drive WD1506 - Bulong Avenue-Helcor pipe in easement at #90 Bulong Avenue WD1507 - Acton Avenue-Cleaver Tce to Kemp Place TOTAL 1 - Expenditure 52,440 30,727 30,726 0 -30,727 -100% TOTAL WD1507 - Acton Avenue-Cleaver Tce to Kemp Place 52,440 30,727 30,726 0 -30,727 -100% WD1508 - Somers Street-Ellard St to Belvidere St TOTAL 1 - Expenditure 35,860 37,446 37,446 0 -37,446 -100% TOTAL WD1508 - Somers Street-Ellard St to Belvidere St 35,860 37,446 37,446 0 -37,446 -100% TOTAL 1 - Expenditure 116,000 120,458 120,458 0 -120,458 -100% TOTAL WD1509 - Newey Street-Surrey Road to Norwood Road 116,000 120,458 120,458 0 -120,458 -100% WD1509 - Newey Street-Surrey Road to Norwood Road WD1510 - Daly Street-225 mm diameter pipe on #95 Daly St TOTAL 1 - Expenditure 40,360 86,496 86,496 0 -86,496 -100% TOTAL WD1510 - Daly Street-225 mm diameter pipe on #95 Daly St 40,360 86,496 86,496 0 -86,496 -100% TOTAL 1 - Expenditure 108,860 108,860 108,679 0 -108,860 -100% TOTAL WD1511 - Alexander Road -Belgravia Street to Harman Street 108,860 108,860 108,679 0 -108,860 -100% TOTAL 1 - Expenditure 104,910 125,000 123,490 0 -125,000 -100% TOTAL WD1512 - Elizabeth St-Belmont Ave to Faulkner Park 104,910 125,000 123,490 0 -125,000 -100% 25,200 37,000 37,263 0 -37,000 -100% WD1511 - Alexander Road -Belgravia Street to Harman Street WD1512 - Elizabeth St-Belmont Ave to Faulkner Park WD1513 - Acton Ave-Downsborough Ave to Cottage Park Way TOTAL 1 - Expenditure Page 41 of 121 Comment A48.43 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL WD1513 - Acton Ave-Downsborough Ave to Cottage Park Way Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 25,200 37,000 37,263 0 -37,000 -100% TOTAL 1 - Expenditure 10,100 10,100 119 0 -10,100 -100% TOTAL WD1514 - Resolution Drive-Cnr of Marina Drive 10,100 10,100 119 0 -10,100 -100% TOTAL 1 - Expenditure 20,300 20,300 452 0 -20,300 -100% TOTAL WD1515 - Hill 60 Path-Soakwells in centre of foreshore path 20,300 20,300 452 0 -20,300 -100% TOTAL 1 - Expenditure 28,320 52,114 52,114 0 -52,114 -100% TOTAL WD1516 - Kooyong Rd-Kestral Place intersection 28,320 52,114 52,114 0 -52,114 -100% TOTAL 1 - Expenditure 20,200 20,200 8,916 0 -20,200 -100% TOTAL WD1517 - Adachi Park-Adachi Park 20,200 20,200 8,916 0 -20,200 -100% WD1514 - Resolution Drive-Cnr of Marina Drive WD1515 - Hill 60 Path-Soakwells in centre of foreshore path WD1516 - Kooyong Rd-Kestral Place intersection WD1517 - Adachi Park-Adachi Park WD1518 - Daly Street-Centenary Park TOTAL 1 - Expenditure 76,000 64,972 65,053 0 -64,972 -100% TOTAL WD1518 - Daly Street-Centenary Park 76,000 64,972 65,053 0 -64,972 -100% TOTAL 1 - Expenditure 130,000 130,000 0 0 -130,000 -100% TOTAL WD1519 - GEH - Gross Pollutant Traps-Acton Ave & Epsom Avenue 130,000 130,000 0 0 -130,000 -100% TOTAL 1 - Expenditure 0 46,164 470 0 -46,164 -100% TOTAL WD1520 - Operations Centre - Wash Bay Connection 0 46,164 470 0 -46,164 -100% TOTAL 1 - Expenditure 0 0 0 50,000 50,000 New TOTAL WD1601 - Side entry pit upgrades 0 0 0 50,000 50,000 New TOTAL 1 - Expenditure 0 0 0 20,000 20,000 New TOTAL WD1602 - General drainage improvements 0 0 0 20,000 20,000 New TOTAL 1 - Expenditure 0 0 0 20,000 20,000 New TOTAL WD1603 - Pollution Control Improvement 0 0 0 20,000 20,000 New TOTAL 1 - Expenditure 0 0 0 20,000 20,000 New TOTAL WD1604 - Pipe condition investigation 0 0 0 20,000 20,000 New TOTAL 1 - Expenditure 0 0 0 72,688 72,688 New TOTAL WD1605 - Fulham Street: Kooying Rd to Rinsey Pl 0 0 0 72,688 72,688 New TOTAL 1 - Expenditure 0 0 576 105,000 105,000 New TOTAL WD1606 - Rinsey Place: Fulham Rd to CDS 0 0 576 105,000 105,000 New TOTAL 1 - Expenditure 0 0 0 102,000 102,000 New TOTAL WD1607 - Whiteside Street: Gabriel St to Vidler St 0 0 0 102,000 102,000 New 0 0 0 63,000 63,000 New WD1519 - GEH - Gross Pollutant Traps-Acton Ave & Epsom Avenue WD1520 - Operations Centre - Wash Bay Connection WD1601 - Side entry pit upgrades WD1602 - General drainage improvements WD1603 - Pollution Control Improvement WD1604 - Pipe condition investigation WD1605 - Fulham Street: Kooying Rd to Rinsey Pl WD1606 - Rinsey Place: Fulham Rd to CDS WD1607 - Whiteside Street: Gabriel St to Vidler St WD1608 - Fisher Street: Morago Cres to Gabriel St TOTAL 1 - Expenditure Page 42 of 121 Comment A48.44 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL WD1608 - Fisher Street: Morago Cres to Gabriel St Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 0 0 0 63,000 63,000 New TOTAL 1 - Expenditure 0 0 0 112,000 112,000 New TOTAL WD1609 - Middleton Street: Vidler St to Hoskins St 0 0 0 112,000 112,000 New TOTAL 1 - Expenditure 0 0 0 70,000 70,000 New TOTAL WD1610 - Raleigh Street: Hardey Rd to Keymer St 0 0 0 70,000 70,000 New TOTAL 1 - Expenditure 0 0 0 94,188 94,188 New TOTAL WD1611 - McGlinn Way: Middleton St to Jay St 0 0 0 94,188 94,188 New WD1609 - Middleton Street: Vidler St to Hoskins St WD1610 - Raleigh Street: Hardey Rd to Keymer St WD1611 - McGlinn Way: Middleton St to Jay St WD1612 - Orpington Street: Jay St to Keymer St TOTAL 1 - Expenditure 0 0 0 88,000 88,000 New TOTAL WD1612 - Orpington Street: Jay St to Keymer St 0 0 0 88,000 88,000 New WD1613 - Ascot Racecourse Compensation Basin TOTAL 1 - Expenditure 0 0 0 10,000 10,000 New TOTAL WD1613 - Ascot Racecourse Compensation Basin 0 0 0 10,000 10,000 New 924,370 997,577 730,843 826,876 -170,700 -17% 50,000 50,000 307 50,000 0 0% TOTAL 280 - Drainage Construction 290 - Drainage Maintenance W59448 - Ascot Waters Marina Maint TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL W59448 - Ascot Waters Marina Maint 0 0 0 -50,000 -50,000 New 50,000 50,000 307 0 -50,000 -100% 273,663 273,663 284,199 280,505 6,842 3% W59948 - Streets-Gen-Drainage TOTAL 1 - Expenditure TOTAL W59948 - Streets-Gen-Drainage 273,663 273,663 284,199 280,505 6,842 3% 323,663 323,663 284,505 280,505 -43,158 -13% 993000-00-1119-000 Licenses 0 0 305 0 0 0% 993000-00-1122-000 Rent/Lease 0 0 5,979 0 0 0% 993000-00-1127-000 Hire (Property & Equipment) 0 0 4,245 0 0 0% 993000-00-1200-000 Salaries 119,724 119,724 105,569 125,200 5,476 5% 993000-00-1201-000 Wages TOTAL 290 - Drainage Maintenance 300 - Works Overheads 993000 - Public Works Overheads 1 - Expenditure 235,832 235,832 217,317 255,282 19,450 8% 993000-00-1202-000 Allowances 1,324 1,324 4,442 1,349 25 2% 993000-00-1203-000 Service Pay 17,679 17,679 13,966 18,719 1,040 6% 993000-00-1204-000 Long Service Leave 993000-00-1208-000 Workers Compensation 993000-00-1209-000 Superannuation 993000-00-1211-000 Fringe Benefits Tax 993000-00-1213-000 Salaries - Supervisors 993000-00-1216-000 Agency Staff 993000-00-1219-000 Overheads 993000-00-1220-000 Stores 993000-00-1222-000 Materials 5,145 5,145 14,227 0 -5,145 -100% 27,394 27,394 26,880 28,309 915 3% 168,228 168,228 137,894 177,620 9,392 6% 10,843 10,843 18,789 11,309 466 4% 306,263 306,263 239,411 309,108 2,845 1% 5,000 5,000 4,083 5,000 0 0% 0 0 273 0 0 0% 516 516 0 200 -316 -61% 2,634 2,634 0 500 -2,134 -81% Page 43 of 121 Comment A48.45 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 993000-00-1223-000 Parts 993000-00-1226-000 Stationery Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 516 516 0 200 -316 -61% 5,121 5,121 1,323 2,000 -3,121 -61% 993000-00-1227-000 Printing 196 196 0 0 -196 -100% 993000-00-1228-000 Book Purchases Local 104 104 0 0 -104 -100% 993000-00-1232-000 Stores Issues 993000-00-1234-000 Uniforms/Protective Clothing 993000-00-1238-000 Stores Adjustments 516 516 0 0 -516 -100% 11,615 11,615 12,409 11,605 -10 0% 516 516 549 516 0 0% 993000-00-1239-000 Consumables 6,150 6,150 4,873 7,000 850 14% 993000-00-1240-000 Safety Equipment 2,567 2,567 2,864 3,000 433 17% 516 516 656 516 0 0% 114,021 114,021 60,640 101,871 -12,150 -11% 993000-00-1263-000 Services - Advertising 10,254 10,254 3,403 5,000 -5,254 -51% 993000-00-1271-000 Services - Other Consultants 30,000 30,000 35,591 30,000 0 5,120 5,120 25,101 30,900 25,780 993000-00-1252-000 Equipment 993000-00-1253-000 Fleet / Plant 993000-00-1279-000 Services - Other 993000-00-1317-000 Ins. Prem - Other 0% Consulting budget to allow for unforeseen issues which may arise. 504% 128,714 128,714 119,186 118,789 -9,925 993000-00-1322-000 Telephone 10,182 10,182 8,913 11,204 1,022 10% Utilities to increase by CPI based on 2014/15 forecasts. 993000-00-1373-000 Registration - Train/Conf 31,928 31,928 7,063 10,000 -21,928 -69% Includes specialist training for first-aid, using plant, etc... 1,054 1,054 0 0 -1,054 -100% 310 310 47 310 0 0% 993000-00-1387-000 Food - Other 4,612 4,612 3,069 4,727 115 2% 993000-00-1388-000 Beverages 2,434 2,434 994 2,434 0 0% 993000-00-1374-000 Training - Non Staff 993000-00-1377-000 Travel - General 993000-00-1399-000 Miscellaneous 993000-00-1400-000 ABC Cost Allocation 993000-40-1119-000 Licenses -8% 310 310 0 310 0 0% 308,789 308,789 232,412 238,241 -70,548 -23% 3,104 3,104 1,634 3,182 78 3% Fleet FL21-22-34-43-49-58 993000-40-1201-000 Wages 2,761 2,761 2,851 2,830 69 2% 993000-40-1216-000 Agency Staff 1,441 1,441 1,330 1,477 36 2% 776 776 2,109 795 19 2% 993000-40-1221-000 Tyres 993000-40-1222-000 Materials 610 610 135 625 15 2% 993000-40-1223-000 Parts 610 610 699 625 15 2% 17,193 17,193 11,877 17,623 430 3% 2,439 2,439 3,023 2,500 61 3% 993000-40-1224-000 Fuel 993000-40-1225-000 External Repairs 993000-40-1279-000 Services - Other 1,552 1,552 2,402 2,000 448 29% 993000-40-1314-000 Ins. Prem - Motor Vehicle 1,740 1,740 1,299 1,299 -441 -25% 1,608,353 1,608,353 1,339,833 1,544,175 -64,178 -4% 993000-00-4217-000 Cont - Traineeships 0 0 -8,000 0 0 0% 993000-00-4399-000 Miscellaneous 0 0 -1,229 0 0 0% 993000-00-4402-000 Public Works Overheads -1,603,208 -1,603,208 -1,348,430 -1,544,175 59,033 -4% TOTAL 4 - Income -1,603,208 -1,603,208 -1,357,660 -1,544,175 59,033 -4% 993000-00-6836-000 LSL Reserve - Wages -5,145 -5,145 0 0 5,145 -100% TOTAL 6 - Capital Income -5,145 -5,145 0 0 5,145 -100% 0 0 -17,827 0 0 -33% 0 0 -17,827 0 0 -33% TOTAL 1 - Expenditure 4 - Income 6 - Capital Income TOTAL 993000 - Public Works Overheads TOTAL 300 - Works Overheads 320 - Other Works Page 44 of 121 Comment A48.46 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 994500 - Other Public Works 1 - Expenditure 994500-00-1028-000 Street Lighting 994500-00-1055-000 Cont to - Crossover 994500-00-1119-000 Licenses 994500-00-1201-000 Wages 994500-00-1219-000 Overheads 994500-00-1222-000 Materials 994500-00-1226-000 Stationery 800,000 800,000 599,078 800,000 0 0% Street lighting costs for 14/15 are expected to be well under budget and although street lighting costs are to significantly increase in 15/16 the current budget should be sufficient to absorb the additional costs. 30,000 30,000 20,844 30,000 0 0% Based on current year trend. 4,000 4,000 2,805 4,000 0 0% 5,000 5,000 0 0 -5,000 -100% 12,000 12,000 0 0 -12,000 -100% 500 500 0 0 -500 -100% 0 0 22 0 0 0% 994500-00-1279-000 Services - Other 1,000 1,000 0 0 -1,000 -100% 994500-00-1400-000 ABC Cost Allocation 2,397 2,397 1,882 2,700 303 13% 854,897 854,897 624,631 836,700 -18,197 -2% -17,000 -17,000 -2,582 -3,000 14,000 -2,000 -2,000 0 0 2,000 -100% 0 0 -330 -500 -500 New 994500-00-4263-000 Services - Advertising -23,000 -23,000 -35,881 -30,000 -7,000 TOTAL 4 - Income -42,000 -42,000 -38,793 -33,500 8,500 -20% TOTAL 994500 - Other Public Works 812,897 812,897 585,838 803,200 -9,697 -1% TOTAL 1 - Expenditure 1,478 1,478 620 3,444 1,967 133% TOTAL B03030 - Garvey Park-Boat Ramp/Jetty 1,478 1,478 620 3,444 1,967 133% TOTAL 1 - Expenditure 1,597 2,153 2,577 5,661 3,508 163% TOTAL B11030 - Cracknell Park-Boat Ramp/Jetty 1,597 2,153 2,577 5,661 3,508 163% TOTAL 1 - Expenditure 1,619 3,992 3,926 13,097 9,105 228% TOTAL B15530 - The Esplanade-Boat Ramp/Jetty 1,619 3,992 3,926 13,097 9,105 228% TOTAL 1 - Expenditure 285 285 84 2,975 2,690 944% TOTAL B65030 - Ascot Inn Jetty 285 285 84 2,975 2,690 944% TOTAL 1 - Expenditure 1,620 1,617 489 3,560 1,943 120% TOTAL B65130 - Sandringham Jetty 1,620 1,617 489 3,560 1,943 120% TOTAL 1 - Expenditure 4 - Income 994500-00-4055-000 Cont to - Crossover 994500-00-4059-000 Cont - Other 994500-00-4131-000 Inspection Fee -82% Crossover recovery 30% Advertising fee-bus shelters B03030 - Garvey Park-Boat Ramp/Jetty B11030 - Cracknell Park-Boat Ramp/Jetty B15530 - The Esplanade-Boat Ramp/Jetty B65030 - Ascot Inn Jetty B65130 - Sandringham Jetty PR1003 - Turf & Gardens at Belmont Oasis - Maintain TOTAL 1 - Expenditure 0 0 2,885 0 0 0% TOTAL PR1003 - Turf & Gardens at Belmont Oasis - Maintain 0 0 2,885 0 0 0% PR1209 - Maintain DPI land adjoining Garvey Park TOTAL 4 - Income 0 0 0 0 0 0% TOTAL PR1209 - Maintain DPI land adjoining Garvey Park 0 0 0 0 0 0% PR1333 - Tree Removal and Replacement TOTAL 1 - Expenditure 0 0 9,253 0 0 0% TOTAL PR1333 - Tree Removal and Replacement 0 0 9,253 0 0 0% PR1334 - Income for Trees removal/replacement Page 45 of 121 A48.47 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) TOTAL 4 - Income 0 0 -15,445 0 0 0% TOTAL PR1334 - Income for Trees removal/replacement 0 0 -15,445 0 0 0% PR1404 - Removal of Car Bay & existing drainage. TOTAL 1 - Expenditure 0 0 11,638 0 0 0% TOTAL 4 - Income 0 0 -10,904 0 0 0% TOTAL PR1404 - Removal of Car Bay & existing drainage. 0 0 735 0 0 0% TOTAL 1 - Expenditure 0 0 -1,507 0 0 0% TOTAL 4 - Income 0 0 1,507 0 0 0% TOTAL PR1412 - 12A Wndron St Cloverdale Drainage chute install grate etc 0 0 0 0 0 0% TOTAL 4 - Income 0 0 -4,032 0 0 0% TOTAL PR1413 - 182 Epsom Ave, Drainage and Crossover 0 0 -4,032 0 0 0% TOTAL 1 - Expenditure 0 0 37 0 0 0% TOTAL 4 - Income 0 0 -150 0 0 0% TOTAL PR1501 - Supply & Install Memorial Plaque Kambalda Way Tom Lake 0 0 -113 0 0 0% PR1412 - 12A Wndron St Cloverdale Drainage chute install grate etc PR1413 - 182 Epsom Ave, Drainage and Crossover PR1501 - Supply & Install Memorial Plaque Kambalda Way Tom Lake PR1502 - Mowing of Foreshore Res Hay Road & Ivy St Redcliffe TOTAL 1 - Expenditure 0 0 1,371 0 0 0% TOTAL 4 - Income 0 0 -1,371 0 0 0% TOTAL PR1502 - Mowing of Foreshore Res Hay Road & Ivy St Redcliffe 0 0 0 0 0 0% TOTAL 1 - Expenditure 0 0 843 0 0 0% TOTAL 4 - Income 0 0 -843 0 0 0% TOTAL PR1503 - Mowing/Slashing of Lot 603 Hay Rd Lillian Grove Ascot 0 0 0 0 0 0% TOTAL 1 - Expenditure 0 0 791 0 0 0% TOTAL 4 - Income 0 0 -791 0 0 0% TOTAL PR1504 - Mowing/Slashing Firebreaks of Lot 602 Coolgardie Ave Ascot 0 0 0 0 0 0% PR1503 - Mowing/Slashing of Lot 603 Hay Rd Lillian Grove Ascot PR1504 - Mowing/Slashing Firebreaks of Lot 602 Coolgardie Ave Ascot PR1505 - Remove side entry pit manhole/relocate/replace gully grate TOTAL 1 - Expenditure 0 0 3,397 0 0 0% TOTAL 4 - Income 0 0 -3,397 0 0 0% TOTAL PR1505 - Remove side entry pit manhole/relocate/replace gully grate 0 0 0 0 0 0% TOTAL 4 - Income 0 0 -1,235 0 0 0% TOTAL PR1506 - Remove & Dispose Manhole cover replacel trafficable manhole 0 0 -1,235 0 0 0% PR1506 - Remove & Dispose Manhole cover replacel trafficable manhole PR1507 - Remove side entry gully & replace, repair asphalt TOTAL 1 - Expenditure 0 0 3,311 0 0 0% TOTAL 4 - Income 0 0 -1,576 0 0 0% TOTAL PR1507 - Remove side entry gully & replace, repair asphalt 0 0 1,735 0 0 0% TOTAL 4 - Income 0 0 -4,496 0 0 0% TOTAL PR1508 - Upgrade manhole, drainage chute & side entre pit 0 0 -4,496 0 0 0% TOTAL 1 - Expenditure 0 0 9,363 0 0 0% TOTAL 4 - Income 0 0 -9,363 0 0 0% PR1508 - Upgrade manhole, drainage chute & side entre pit PR1509 - Drainae Modification for development 154 Epsom Ave Page 46 of 121 Comment A48.48 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL PR1509 - Drainae Modification for development 154 Epsom Ave Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 0 0 0 0 0 0% TOTAL 1 - Expenditure 0 0 1,400 0 0 0% TOTAL 4 - Income 0 0 -1,908 0 0 0% TOTAL PR1510 - Removal of shrubs/trees & mulch gardens Belmont Police Stat 0 0 -508 0 0 0% Comment PR1510 - Removal of shrubs/trees & mulch gardens Belmont Police Stat PR1511 - Memorial Plaque at Tomato Lake TOTAL 1 - Expenditure 0 0 37 0 0 0% TOTAL 4 - Income 0 0 -102 0 0 0% TOTAL PR1511 - Memorial Plaque at Tomato Lake 0 0 -65 0 0 0% 819,496 822,422 582,248 831,937 9,515 1% 995000-00-1127-000 Hire (Property & Equipment) 2,060 2,060 2,095 2,060 0 0% 995000-00-1128-000 Photocopying 4,000 4,000 3,897 4,000 0 0% 995000-00-1200-000 Salaries 167,412 167,412 135,676 174,268 6,856 4% 995000-00-1201-000 Wages 35,000 35,000 39,311 35,000 0 0% 100 100 83 100 0 0% TOTAL 320 - Other Works 330 - Operations Centre 995000 - Operations Centre 1 - Expenditure 995000-00-1202-000 Allowances 995000-00-1204-000 Long Service Leave 995000-00-1208-000 Workers Compensation 995000-00-1209-000 Superannuation 995000-00-1216-000 Agency Staff 995000-00-1219-000 Overheads 995000-00-1222-000 Materials 995000-00-1226-000 Stationery 995000-00-1227-000 Printing 0 0 8,146 0 0 0% 2,848 2,848 2,795 2,965 117 4% 15,922 15,922 13,573 16,590 668 4% 1,000 1,000 1,201 1,000 0 0% 84,000 84,000 84,775 84,000 0 0% 824 824 212 824 0 0% 1,000 1,000 728 1,000 0 0% 206 206 0 206 0 0% 995000-00-1234-000 Uniforms/Protective Clothing 1,236 1,236 822 1,236 0 0% 995000-00-1239-000 Consumables 1,500 1,500 3,185 2,000 500 33% 10,815 10,815 6,267 10,815 0 0% 2,500 2,500 218 1,500 -1,000 -40% 515 515 6 515 0 0% 17,000 17,000 3,563 9,500 -7,500 -44% 0 0 63,224 67,440 67,440 995000-00-1259-000 Chargeable Plant 1,030 1,030 0 1,030 0 0% 995000-00-1264-000 Services - Rubbish 1,000 1,000 0 1,000 0 0% 995000-00-1279-000 Services - Other 3,605 3,605 4,201 3,605 0 0% 995000-00-1240-000 Safety Equipment 995000-00-1250-000 Furniture 995000-00-1251-000 Fixtures 995000-00-1252-000 Equipment 995000-00-1253-000 Fleet / Plant 995000-00-1280-000 Services - Training New Plant used for maintenance (including cleaning, moving materials, etc.) around the Op's Centre. 0 0 720 0 0 0% 995000-00-1317-000 Ins. Prem - Other 4,096 4,096 3,793 3,780 -316 -8% 995000-00-1322-000 Telephone 5,055 5,055 4,314 5,436 381 995000-00-1373-000 Registration - Train/Conf 1,030 1,030 0 1,030 0 0% 50 50 0 0 -50 -100% 618 618 0 0 -618 -100% 995000-00-1377-000 Travel - General 995000-00-1387-000 Food - Other 995000-00-1399-000 Miscellaneous 995000-00-1400-000 ABC Cost Allocation 995000-40-1279-000 Services - Other 8% Utilities to increase by CPI based on 2014/15 forecasts. 206 206 -62 0 -206 -100% 36,589 36,589 27,452 60,648 24,059 66% 0 0 800 0 0 0% Page 47 of 121 A48.49 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL 1 - Expenditure Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 401,217 401,217 410,994 491,548 90,331 23% 0 0 1,639 0 0 0% 995000-32-3253-000 Fleet / Plant 253,141 253,141 126,019 361,630 108,489 995000-32-3259-000 Chargeable Plant 847,473 847,473 385,831 722,379 -125,094 1,100,614 1,100,614 513,489 1,084,009 -16,605 -2% Comment 3 - Capital Expenditure 995000-32-3252-000 Equipment TOTAL 3 - Capital Expenditure 43% Replacement of Fleet FL49-43-26-28-31-32-35-48-60-61 -15% Plant Equipment replacement Plant CN04-Loader, rollers CN07-CN08 Trucks TRU05-11 Tractor TRA04 General Parks & Works small plant (To be Included 140,000 for emergency generators 4 - Income 995000-00-4076-000 Reimb - Staff Fuel 0 0 -406 0 0 0% 995000-00-4222-000 Materials 0 0 -2,779 0 0 0% 995000-00-4259-000 Chargeable Plant 0 0 -1,409 0 0 0% TOTAL 4 - Income 0 0 -4,594 0 0 0% 0 0 0 -74,201 -74,201 New State Govt NDRP grant for Emergency Power Generators 995000-00-6253-000 Fleet / Plant -109,000 -109,000 -84,182 -184,000 -75,000 69% Income from Fleet FL49-43-26-28-31-32-35-48-60-61 995000-00-6259-000 Chargeable Plant -317,350 -317,350 -172,364 -250,409 66,941 -21% Income from Plant equipment CN04-Loader, rollers CN07-CN08 Trucks TRU05-11 Tractor TRA04 General Parks & Works small plant ( to be included grant 74,201for emergency generators 995000-00-6838-000 Plant replacement reserve -531,153 -531,153 0 -471,970 59,183 -11% Tfr the net capital cost of plant from reserve TOTAL 6 - Capital Income -957,503 -957,503 -256,545 -980,580 -23,077 2% 544,328 544,329 663,343 594,977 50,648 9% 6 - Capital Income 995000-00-6036-000 Grant - Equipment TOTAL 995000 - Operations Centre B80699 - Operations Centre - Blg Mntc TOTAL 1 - Expenditure 153,316 148,512 112,634 151,711 3,199 2% TOTAL B80699 - Operations Centre - Blg Mntc 153,316 148,512 112,634 151,711 3,199 2% 33,845 33,845 32,889 34,437 592 2% P80600 - Operations Centre - Gen Mntc TOTAL 1 - Expenditure TOTAL P80600 - Operations Centre - Gen Mntc TOTAL 330 - Operations Centre 33,845 33,845 32,889 34,437 592 2% 731,489 726,685 808,867 781,125 54,440 7% 340 - Plant Operating 993500 - Plant Operating Overheads 1 - Expenditure 993500-00-1200-000 Salaries 34,002 34,002 53,362 65,385 31,383 92% 993500-00-1201-000 Wages 12,000 12,000 8,202 5,759 -6,241 -52% 100 100 127 150 50 50% 9,216 9,216 5,655 0 -9,216 -100% 993500-00-1202-000 Allowances 993500-00-1204-000 Long Service Leave 993500-00-1208-000 Workers Compensation 993500-00-1209-000 Superannuation 993500-00-1211-000 Fringe Benefits Tax 993500-00-1213-000 Salaries - Supervisors 993500-00-1216-000 Agency Staff 993500-00-1219-000 Overheads 993500-00-1222-000 Materials 6,127 6,127 6,012 4,839 -1,288 -21% 33,326 33,326 25,464 38,641 5,315 16% 6,344 6,344 7,077 6,617 273 4% 77,871 77,871 72,160 84,200 6,329 8% 0 0 370 0 0 0% 528 528 0 541 13 2% 264 264 104 271 7 3% 1,818 1,818 3,804 1,863 45 2% 993500-00-1225-000 External Repairs 106 106 0 109 3 3% 993500-00-1226-000 Stationery 211 211 294 216 5 2% 993500-00-1234-000 Uniforms/Protective Clothing 739 739 210 757 18 2% 993500-00-1224-000 Fuel Page 48 of 121 A48.50 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 993500-00-1239-000 Consumables Current Budget 7,390 7,390 Budget YTD at Proposed Budget YTD Actual 5,266 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase 7,575 Increase (%) 185 3% 993500-00-1240-000 Safety Equipment 2,639 2,639 0 2,705 66 3% 993500-00-1252-000 Equipment 2,639 2,639 1,471 2,705 66 3% 993500-00-1279-000 Services - Other 2,112 2,112 3,064 2,165 53 3% 993500-00-1322-000 Telephone 993500-00-1373-000 Registration - Train/Conf 993500-00-1399-000 Miscellaneous 341 341 270 342 1 1,320 1,320 0 1,353 33 3% 0% Utilities to increase by CPI based on 2014/15 forecasts. 44 44 0 45 1 2% -51% 993500-00-1400-000 ABC Cost Allocation 89,093 89,093 67,332 43,432 -45,661 993500-40-1119-000 Licenses 13,236 13,236 11,691 13,567 331 993500-40-1201-000 Wages 134,278 134,278 73,935 87,635 -46,643 -35% 993500-40-1216-000 Agency Staff 113,242 113,242 138,084 146,073 32,831 29% 3% Fleet & Plant operation 993500-40-1219-000 Overheads 30,576 30,576 33,634 31,340 764 2% 993500-40-1221-000 Tyres 20,000 20,000 32,859 27,090 7,090 35% 8,202 8,202 4,854 8,407 205 2% 993500-40-1222-000 Materials 993500-40-1223-000 Parts 40,866 40,866 22,485 41,888 1,022 3% 993500-40-1224-000 Fuel 185,066 185,066 142,979 179,693 -5,373 -3% 993500-40-1225-000 External Repairs 107,596 107,596 83,485 95,286 -12,310 -11% 993500-40-1239-000 Consumables 13 13 568 582 569 4377% 950 950 20 974 24 3% 993500-40-1279-000 Services - Other 27,341 27,341 8,142 15,025 -12,316 -45% 993500-40-1314-000 Ins. Prem - Motor Vehicle 48,568 48,568 36,258 36,258 -12,310 -25% 1,018,164 1,018,164 849,239 953,488 -64,676 -6% -10,000 -10,000 -6,194 -10,000 0 0% 993500-00-4405-000 Plant Operating -1,452,389 -1,452,389 -1,171,200 -1,459,109 -6,720 0% TOTAL 4 - Income -1,462,389 -1,462,389 -1,177,394 -1,469,109 -6,720 0% -9,216 -9,216 0 0 9,216 -100% 993500-40-1253-000 Fleet / Plant TOTAL 1 - Expenditure 4 - Income 993500-00-4031-000 Grant - Deisel Fuel Rebate 6 - Capital Income 993500-00-6835-000 LSL Reserve - Salaries TOTAL 6 - Capital Income TOTAL 993500 - Plant Operating Overheads TOTAL 340 - Plant Operating -9,216 -9,216 0 0 9,216 -100% -453,441 -453,441 -328,155 -515,621 -62,181 14% -453,441 -453,441 -328,155 -515,621 -62,181 14% 0 0 18 0 0 0% 1,538 1,538 719 1,576 38 2% SES Vehicles 430 - Volunteer Emergency Services 997000 - Volunteer Emergency Services 1 - Expenditure 997000-00-1324-000 Communications - IT 997000-40-1119-000 Licenses 997000-40-1201-000 Wages 410 410 606 420 10 2% 997000-40-1216-000 Agency Staff 410 410 0 420 10 2% 997000-40-1221-000 Tyres 1,179 1,179 32 1,208 29 2% 997000-40-1223-000 Parts 4,100 4,100 0 4,203 103 3% 997000-40-1224-000 Fuel 2,460 2,460 1,966 2,522 62 3% 997000-40-1225-000 External Repairs 6,150 6,150 4,978 6,304 154 3% 997000-40-1314-000 Ins. Prem - Motor Vehicle 4,030 3,009 3,009 3,009 0 0% 20,277 19,256 11,327 19,662 406 2% TOTAL 1 - Expenditure 3 - Capital Expenditure Page 49 of 121 Comment A48.51 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 997000-32-3253-000 Fleet / Plant 0 77,220 77,220 0 -77,220 -100% TOTAL 3 - Capital Expenditure 0 77,220 77,220 0 -77,220 -100% 997000-00-4032-000 Grant - Operating -123,799 -78,176 -80,750 -83,873 -5,697 7% TOTAL 4 - Income -123,799 -78,176 -80,750 -83,873 -5,697 7% 0 -77,220 -77,220 0 77,220 -100% 4 - Income 6 - Capital Income 997000-00-6058-000 Cont - Fleet/Plant TOTAL 6 - Capital Income TOTAL 997000 - Volunteer Emergency Services 0 -77,220 -77,220 0 77,220 -100% -103,522 -58,920 -69,423 -64,211 -5,291 9% 200 200 250 200 0 0% 0 0 381 500 500 997002 - VES Operations 1 - Expenditure 997002-00-1128-000 Photocopying 997002-00-1226-000 Stationery New April Increased due to expenditure 14/15 997002-00-1239-000 Consumables 1,000 1,000 1,005 1,000 0 997002-00-1252-000 Equipment 1,500 1,000 73 750 -250 -25% April Decrease due to lower expenditure 14/15 0% 997002-00-1265-000 Services - Equipment Maint. 1,000 500 0 375 -125 -25% April Decrease due to lower expenditure 14/15 997002-00-1268-000 Services - Postal 100 100 105 100 0 0% 997002-00-1279-000 Services - Other 200 200 40 200 0 0% 4,000 3,000 1,855 3,125 125 4% 997002-32-3252-000 Equipment 4,500 3,500 3,499 2,825 -675 -19% Replacement chainsaw & rescue manikin TOTAL 3 - Capital Expenditure 4,500 3,500 3,499 2,825 -675 -19% 997002-00-4077-000 Reimb - Miscellaneous 0 0 -2,148 0 0 0% TOTAL 4 - Income 0 0 -2,148 0 0 0% 8,500 6,500 3,206 5,950 -550 -8% TOTAL 1 - Expenditure 3 - Capital Expenditure 4 - Income TOTAL 997002 - VES Operations 997003 - VES Communications 1 - Expenditure 997003-00-1119-000 Licenses 400 400 0 400 0 0% 997003-00-1252-000 Equipment 3,000 1,000 565 1,000 0 0% 997003-00-1265-000 Services - Equipment Maint. 2,000 0 0 0 0 0% 997003-00-1322-000 Telephone 8,000 8,000 7,552 9,899 1,899 997003-00-1324-000 Communications - IT 1,500 1,500 476 1,500 0 0% 14,900 10,900 8,594 12,799 1,899 17% 997003-32-3252-000 Equipment 7,953 8,620 8,620 0 -8,620 -100% TOTAL 3 - Capital Expenditure 7,953 8,620 8,620 0 -8,620 -100% 22,853 19,520 17,214 12,799 -6,721 -34% 500 500 0 375 -125 997004-00-1252-000 Equipment 17,000 9,250 7,040 9,250 0 0% TOTAL 1 - Expenditure 17,500 9,750 7,040 9,625 -125 -1% 1,295 0 0 0 0 0% TOTAL 1 - Expenditure 24% Utilities to increase by CPI based on 2014/15 forecasts. 3 - Capital Expenditure TOTAL 997003 - VES Communications 997004 - VES Rescue 1 - Expenditure 997004-00-1239-000 Consumables -25% April Decrease due to lower expenditure 14/15 3 - Capital Expenditure 997004-32-3252-000 Equipment Page 50 of 121 Comment A48.52 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL 3 - Capital Expenditure TOTAL 997004 - VES Rescue Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 1,295 0 0 0 0 0% 18,795 9,750 7,040 9,625 -125 -1% 500 1,000 2,754 2,000 1,000 997005 - VES Stores 1 - Expenditure 997005-00-1239-000 Consumables 100% April increase due to higher expenditure 14/15 997005-00-1252-000 Equipment 2,000 1,000 3,176 1,750 750 75% April increase due to higher expenditure 14/15 997005-00-1265-000 Services - Equipment Maint. 3,000 3,000 3,167 2,500 -500 -17% April Decrease due to lower expenditure 14/15 TOTAL 1 - Expenditure 5,500 5,000 9,097 6,250 1,250 25% 997005-32-3252-000 Equipment 2,800 2,800 0 2,000 -800 -29% TOTAL 3 - Capital Expenditure 2,800 2,800 0 2,000 -800 -29% TOTAL 997005 - VES Stores 8,300 7,800 9,097 8,250 450 6% 500 500 157 500 0 0% 5,000 5,000 5,011 5,000 0 0% 3 - Capital Expenditure 997007 - VES Welfare 1 - Expenditure 997007-00-1252-000 Equipment 997007-00-1387-000 Food - Other TOTAL 1 - Expenditure 5,500 5,500 5,168 5,500 0 0% TOTAL 997007 - VES Welfare 5,500 5,500 5,168 5,500 0 0% 997008-00-1400-000 ABC Cost Allocation 2,797 2,797 2,195 6,750 3,954 141% TOTAL 1 - Expenditure 2,797 2,797 2,195 6,750 3,954 141% TOTAL 997008 - VES Admin COB 2,797 2,797 2,195 6,750 3,954 141% 997008 - VES Admin COB 1 - Expenditure 997009 - VES Training 1 - Expenditure 997009-00-1239-000 Consumables 500 500 0 375 -125 -25% April Decrease due to lower expenditure 14/15 997009-00-1252-000 Equipment 3,000 1,500 94 1,000 -500 -33% April Decrease due to lower expenditure 14/15 997009-00-1373-000 Registration - Train/Conf 5,000 4,000 47 2,000 -2,000 -50% April Decrease due to lower expenditure 14/15 TOTAL 1 - Expenditure 8,500 6,000 141 3,375 -2,625 -44% TOTAL 997009 - VES Training 8,500 6,000 141 3,375 -2,625 -44% 997010-00-1276-000 Services - Security 0 0 484 500 500 New April Increase due to higher expenditure 14/15 TOTAL 1 - Expenditure 0 0 484 500 500 New TOTAL 997010 - VES Buillding Mntce 0 0 484 500 500 New TOTAL 1 - Expenditure 38,964 38,760 23,147 33,237 -5,523 -14% TOTAL B02799 - SES facility Kew St 38,964 38,760 23,147 33,237 -5,523 -14% 997010 - VES Buillding Mntce 1 - Expenditure B02799 - SES facility Kew St P02700 - SES 314 Kew St - Gen Mntc TOTAL 1 - Expenditure 5,000 5,211 1,827 5,213 2 0% TOTAL P02700 - SES 314 Kew St - Gen Mntc 5,000 5,211 1,827 5,213 2 0% TOTAL 430 - Volunteer Emergency Services TOTAL 040 - Works 15,687 42,917 96 26,989 -15,929 -37% 9,685,083 9,727,379 7,938,823 9,711,797 -15,582 0% 045 - Parks & Environment 310 - Streetscapes Page 51 of 121 Comment A48.53 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 990500 - Streetscapes 1 - Expenditure 990500-00-1279-000 Services - Other 0 0 326 0 0 0% TOTAL 1 - Expenditure 0 0 326 0 0 0% TOTAL 990500 - Streetscapes 0 0 326 0 0 0% B59906 - Bus Shelter - Pergola/Gazebo TOTAL 1 - Expenditure 2,857 2,857 387 13,995 11,138 390% TOTAL B59906 - Bus Shelter - Pergola/Gazebo 2,857 2,857 387 13,995 11,138 390% B59942 - Streets-Gen-Bus Seat/Shlt TOTAL 1 - Expenditure 29,817 43,927 28,322 3,580 -40,347 -92% TOTAL B59942 - Streets-Gen-Bus Seat/Shlt 29,817 43,927 28,322 3,580 -40,347 -92% P15200 - Entry Statement Grdns-Gen Mntc TOTAL 1 - Expenditure 13,385 13,385 14,514 13,648 263 2% TOTAL P15200 - Entry Statement Grdns-Gen Mntc 13,385 13,385 14,514 13,648 263 2% P16200 - The Springs – General Streetscapes TOTAL 1 - Expenditure 3,000 3,000 0 14,500 11,500 383% TOTAL P16200 - The Springs – General Streetscapes 3,000 3,000 0 14,500 11,500 383% P32195 - Wright Street-Median TOTAL 1 - Expenditure 16,832 16,832 14,120 17,028 196 1% TOTAL P32195 - Wright Street-Median 16,832 16,832 14,120 17,028 196 1% 117,097 117,097 100,455 118,344 1,247 1% -106,221 -106,221 -68,938 -108,344 -2,123 2% 10,876 10,876 31,517 10,000 -876 -8% P37000 - Orrong Road-Gen Mntc TOTAL 1 - Expenditure 4 - Income TOTAL 4 - Income TOTAL P37000 - Orrong Road-Gen Mntc P44100 - GT Eastern Highway TOTAL 1 - Expenditure 13,289 13,289 8,351 13,524 235 2% -13,089 -13,089 -5,850 -13,352 -263 2% 200 200 2,501 172 -28 -14% TOTAL 1 - Expenditure 9,558 9,558 8,822 10,140 582 6% TOTAL P44200 - Tanunda Drive Streetscape 9,558 9,558 8,822 10,140 582 6% TOTAL 1 - Expenditure 78,134 78,134 63,329 80,391 2,257 3% TOTAL P59700 - Round Abouts-Gen Mntc 78,134 78,134 63,329 80,391 2,257 3% TOTAL 1 - Expenditure 34,324 34,324 34,364 35,067 743 2% TOTAL P59800 - Cul-De-Sacs-Gen Mntc 34,324 34,324 34,364 35,067 743 2% TOTAL 4 - Income TOTAL P44100 - GT Eastern Highway P44200 - Tanunda Drive Streetscape P59700 - Round Abouts-Gen Mntc P59800 - Cul-De-Sacs-Gen Mntc P59912 - Streets-Gen-Street Trees TOTAL 1 - Expenditure 305,396 305,396 192,755 309,363 3,967 1% TOTAL P59912 - Streets-Gen-Street Trees 305,396 305,396 192,755 309,363 3,967 1% P59913 - Street Trees - Gen-PwrL Prune TOTAL 1 - Expenditure 283,000 283,000 202,042 290,000 7,000 2% TOTAL P59913 - Street Trees - Gen-PwrL Prune 283,000 283,000 202,042 290,000 7,000 2% P59915 - Street Trees - Gen - Watering Page 52 of 121 Comment A48.54 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) TOTAL 1 - Expenditure 98,000 98,000 116,923 99,500 1,500 2% TOTAL P59915 - Street Trees - Gen - Watering 98,000 98,000 116,923 99,500 1,500 2% TOTAL 1 - Expenditure 226,247 226,247 9,865 230,000 3,753 2% TOTAL P59918 - Street Trees - Gen Planting 226,247 226,247 9,865 230,000 3,753 2% P59918 - Street Trees - Gen Planting P59920 - Street Trees Gen - Maintenance TOTAL 1 - Expenditure 43,773 43,773 58,929 44,510 737 2% TOTAL P59920 - Street Trees Gen - Maintenance 43,773 43,773 58,929 44,510 737 2% TOTAL 1 - Expenditure 236,008 236,008 175,684 253,852 17,844 8% TOTAL P59996 - Streets-Gen-Verge 236,008 236,008 175,684 253,852 17,844 8% TOTAL 1 - Expenditure 0 0 0 26,000 26,000 New TOTAL P59997 - Streets-Unkempt Verges 0 0 0 26,000 26,000 New TOTAL 1 - Expenditure 40,000 40,000 8,751 0 -40,000 -100% TOTAL PS1501 - Streetscape Infrastructure 40,000 40,000 8,751 0 -40,000 -100% TOTAL 1 - Expenditure 40,000 40,000 22,572 0 -40,000 -100% TOTAL PS1502 - Streetscape Landscaping 40,000 40,000 22,572 0 -40,000 -100% TOTAL 1 - Expenditure 150,000 0 0 0 0 0% TOTAL PS1503 - Shopping Centre Revitalisation Programme 150,000 0 0 0 0 0% P59996 - Streets-Gen-Verge P59997 - Streets-Unkempt Verges PS1501 - Streetscape Infrastructure PS1502 - Streetscape Landscaping PS1503 - Shopping Centre Revitalisation Programme PS1601 - Streetscape Infrastructure TOTAL 1 - Expenditure 0 0 0 40,000 40,000 New TOTAL PS1601 - Streetscape Infrastructure 0 0 0 40,000 40,000 New PS1602 - Streetscape Landscaping TOTAL 1 - Expenditure 0 0 0 40,000 40,000 New TOTAL PS1602 - Streetscape Landscaping 0 0 0 40,000 40,000 New TOTAL 1 - Expenditure 0 0 0 150,000 150,000 New TOTAL PS1604 - Shopping Centre Revitalisation Programme 0 0 0 150,000 150,000 New 1,621,406 1,485,516 985,722 1,681,746 196,230 13% TOTAL 1 - Expenditure 0 0 158 0 0 0% TOTAL P80000 - Admin Building-Gen Mntc 0 0 158 0 0 0% TOTAL 1 - Expenditure 0 0 24 0 0 0% TOTAL PG0910 - Garvey Park Walking Trails 0 0 24 0 0 0% PS1604 - Shopping Centre Revitalisation Programme TOTAL 310 - Streetscapes 350 - Parks Construction P80000 - Admin Building-Gen Mntc PG0910 - Garvey Park Walking Trails PG1406 - Symthe Lake landscape improvements TOTAL 1 - Expenditure 0 5,590 3,111 0 -5,590 -100% TOTAL PG1406 - Symthe Lake landscape improvements 0 5,590 3,111 0 -5,590 -100% 0 0 1,978 0 0 0% PG1408 - Sporting Facilities renewal programme TOTAL 1 - Expenditure Page 53 of 121 Comment A48.55 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL PG1408 - Sporting Facilities renewal programme Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 0 0 1,978 0 0 0% TOTAL 1 - Expenditure 0 0 282 0 0 0% TOTAL PG1409 - Harman Park - landscape works 0 0 282 0 0 0% TOTAL 1 - Expenditure 0 2,059 2,059 0 -2,059 -100% TOTAL PG1410 - Centenary Park - landscape works 0 2,059 2,059 0 -2,059 -100% TOTAL 1 - Expenditure 0 25,000 26,583 0 -25,000 -100% TOTAL PG1414 - Playground Equipment - Peachey Park (East) 0 25,000 26,583 0 -25,000 -100% TOTAL 1 - Expenditure 0 110,000 109,998 0 -110,000 -100% TOTAL PG1418 - Playground Equipment - Wicca Park 0 110,000 109,998 0 -110,000 -100% PG1409 - Harman Park - landscape works PG1410 - Centenary Park - landscape works PG1414 - Playground Equipment - Peachey Park (East) PG1418 - Playground Equipment - Wicca Park PG1419 - Playground Equipment - Faulkner Park Skate Park TOTAL 1 - Expenditure 0 5,000 3,780 0 -5,000 -100% TOTAL PG1419 - Playground Equipment - Faulkner Park Skate Park 0 5,000 3,780 0 -5,000 -100% PG1434 - Ayers Bushland Boardwalk TOTAL 1 - Expenditure 0 36,500 35,897 20,000 -16,500 -45% TOTAL 6 - Capital Income 0 0 0 -20,000 -20,000 New TOTAL PG1434 - Ayers Bushland Boardwalk 0 36,500 35,897 0 -36,500 -100% 100,000 25,000 235 250,000 225,000 900% -100,000 -100,000 0 -75,000 25,000 -25% 0 -75,000 235 175,000 250,000 -333% 60,000 80,000 57,280 0 -80,000 -100% -40,000 -40,000 0 0 40,000 -100% 20,000 40,000 57,280 0 -40,000 -100% TOTAL 1 - Expenditure 35,000 9,400 9,445 0 -9,400 -100% TOTAL PG1503 - Park gate upgrade program 35,000 9,400 9,445 0 -9,400 -100% 80,000 6,000 50 100,000 94,000 1567% 0 0 0 -74,000 -74,000 New 80,000 6,000 50 26,000 20,000 333% TOTAL 1 - Expenditure 40,000 40,000 25,870 0 -40,000 -100% TOTAL PG1505 - Harman Park improvements 40,000 40,000 25,870 0 -40,000 -100% PG1501 - Copley Park upgrade - stage 1 TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL PG1501 - Copley Park upgrade - stage 1 PG1502 - Alfred Park improvements TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL PG1502 - Alfred Park improvements PG1503 - Park gate upgrade program PG1504 - Gould Reserve improvements TOTAL 1 - Expenditure 6 - Capital Income TOTAL 6 - Capital Income TOTAL PG1504 - Gould Reserve improvements PG1505 - Harman Park improvements PG1506 - Hoskins Park improvements TOTAL 1 - Expenditure 45,000 45,000 38,419 0 -45,000 -100% TOTAL PG1506 - Hoskins Park improvements 45,000 45,000 38,419 0 -45,000 -100% PG1507 - McLarty Park improvements TOTAL 1 - Expenditure 80,000 55,000 24,682 0 -55,000 -100% TOTAL PG1507 - McLarty Park improvements 80,000 55,000 24,682 0 -55,000 -100% Page 54 of 121 Comment A48.56 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) PG1508 - Alfred Park - irrigation TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL PG1508 - Alfred Park - irrigation 35,000 17,500 1,200 0 -17,500 -100% -35,000 -35,000 0 0 35,000 -100% 0 -17,500 1,200 0 17,500 -100% 20,000 7,000 4,235 25,000 18,000 257% PG1509 - Gould Reserve - irrigation TOTAL 1 - Expenditure TOTAL 6 - Capital Income 0 0 0 -13,000 -13,000 New 20,000 7,000 4,235 12,000 5,000 71% TOTAL 1 - Expenditure 70,000 70,000 69,761 0 -70,000 -100% TOTAL PG1510 - Centenary Park - landscape works 70,000 70,000 69,761 0 -70,000 -100% TOTAL 1 - Expenditure 37,000 16,000 1,200 0 -16,000 -100% TOTAL PG1511 - Harman Park - irrigation 37,000 16,000 1,200 0 -16,000 -100% TOTAL 1 - Expenditure 20,000 20,000 1,100 0 -20,000 -100% TOTAL PG1512 - Hoskins Park - irrigation 20,000 20,000 1,100 0 -20,000 -100% TOTAL 1 - Expenditure 20,000 20,000 1,100 0 -20,000 -100% TOTAL PG1513 - McLarty Park - irrigation 20,000 20,000 1,100 0 -20,000 -100% TOTAL 1 - Expenditure 40,000 55,000 43,691 0 -55,000 -100% TOTAL PG1514 - Irrigation discharge assembly 40,000 55,000 43,691 0 -55,000 -100% TOTAL PG1509 - Gould Reserve - irrigation PG1510 - Centenary Park - landscape works PG1511 - Harman Park - irrigation PG1512 - Hoskins Park - irrigation PG1513 - McLarty Park - irrigation PG1514 - Irrigation discharge assembly PG1515 - Irrigation cabinet replacement TOTAL 1 - Expenditure 80,000 80,000 44,042 0 -80,000 -100% TOTAL PG1515 - Irrigation cabinet replacement 80,000 80,000 44,042 0 -80,000 -100% PG1516 - Park Furniture renewal programme TOTAL 1 - Expenditure 50,000 50,000 18,527 0 -50,000 -100% TOTAL PG1516 - Park Furniture renewal programme 50,000 50,000 18,527 0 -50,000 -100% TOTAL 1 - Expenditure 90,000 110,000 101,120 0 -110,000 -100% TOTAL PG1517 - Sporting Facilities renewal programme 90,000 110,000 101,120 0 -110,000 -100% PG1517 - Sporting Facilities renewal programme PG1518 - Wicca Park - Playground equipment and softfall TOTAL 1 - Expenditure 110,000 140,000 126,916 0 -140,000 -100% -110,000 -110,000 0 0 110,000 -100% 0 30,000 126,916 0 -30,000 -100% 50,000 0 0 50,000 50,000 New 0 0 0 -50,000 -50,000 New 50,000 0 0 0 0 0% TOTAL 1 - Expenditure 20,000 20,000 19,342 0 -20,000 -100% TOTAL PG1520 - Hoskins Park - Playground equipment and softfall 20,000 20,000 19,342 0 -20,000 -100% 50,000 30,000 18,256 0 -30,000 -100% TOTAL 6 - Capital Income TOTAL PG1518 - Wicca Park - Playground equipment and softfall PG1519 - Gibson Park - Playground equipment and softfall TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL PG1519 - Gibson Park - Playground equipment and softfall PG1520 - Hoskins Park - Playground equipment and softfall PG1521 - Miles Park Community Centre - Playground equipment and softf TOTAL 1 - Expenditure Page 55 of 121 Comment A48.57 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL PG1521 - Miles Park Community Centre - Playground equipment and softf Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 50,000 30,000 18,256 0 -30,000 -100% TOTAL 1 - Expenditure 35,000 35,000 0 0 -35,000 -100% TOTAL PG1522 - Rivervale Community Centre - Playground equipment and softfa 35,000 35,000 0 0 -35,000 -100% TOTAL 1 - Expenditure 20,000 20,000 23,650 0 -20,000 -100% TOTAL PG1523 - Wilson Park - Playground equipment and softfall 20,000 20,000 23,650 0 -20,000 -100% TOTAL 1 - Expenditure 30,000 30,000 13,160 0 -30,000 -100% TOTAL PG1524 - Park furniture - drinking fountains 30,000 30,000 13,160 0 -30,000 -100% TOTAL 1 - Expenditure 150,000 100,000 42,371 50,000 -50,000 -50% TOTAL 6 - Capital Income -64,616 -64,616 0 -50,000 14,616 -23% 85,384 35,384 42,371 0 -35,384 -100% TOTAL 1 - Expenditure 20,000 20,000 23,045 0 -20,000 -100% TOTAL PG1526 - Gerry Archer shade provision 20,000 20,000 23,045 0 -20,000 -100% 50,000 20,000 18,156 50,000 30,000 150% PG1522 - Rivervale Community Centre - Playground equipment and softfa PG1523 - Wilson Park - Playground equipment and softfall PG1524 - Park furniture - drinking fountains PG1525 - Outdoor Exercise Equipment - Centenary Park/ Tomat TOTAL PG1525 - Outdoor Exercise Equipment - Centenary Park/ Tomat PG1526 - Gerry Archer shade provision PG1527 - Civic Centre landscape renewal TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL PG1527 - Civic Centre landscape renewal 0 0 0 -39,732 -39,732 New 50,000 20,000 18,156 10,268 -9,732 -49% 0 0 0 340,000 340,000 New PG1601 - former Hardey Park TOTAL 1 - Expenditure TOTAL 6 - Capital Income 0 0 0 -340,000 -340,000 New TOTAL PG1601 - former Hardey Park 0 0 0 0 0 0% PG1602 - Gibson Park - irrigation upgrade TOTAL 1 - Expenditure 0 0 0 15,000 15,000 New TOTAL PG1602 - Gibson Park - irrigation upgrade 0 0 0 15,000 15,000 New PG1603 - Gibson Park - park upgrade TOTAL 1 - Expenditure 0 0 0 25,000 25,000 New TOTAL PG1603 - Gibson Park - park upgrade 0 0 0 25,000 25,000 New TOTAL 1 - Expenditure 0 0 0 90,000 90,000 New TOTAL PG1604 - Centenary Park Community Centre - playground equipment 0 0 0 90,000 90,000 New PG1604 - Centenary Park Community Centre - playground equipment PG1605 - Miles Park Community Centre - playground equipment TOTAL 1 - Expenditure 0 0 0 80,000 80,000 New TOTAL PG1605 - Miles Park Community Centre - playground equipment 0 0 0 80,000 80,000 New TOTAL 1 - Expenditure 0 0 0 45,000 45,000 New TOTAL PG1614 - Irrigation discharge assembly 0 0 0 45,000 45,000 New TOTAL 1 - Expenditure 0 0 0 80,000 80,000 New TOTAL PG1615 - rrigation cabinet replacement 0 0 0 80,000 80,000 New 0 0 0 50,000 50,000 New PG1614 - Irrigation discharge assembly PG1615 - Irrigation cabinet replacement PG1616 - Park Furniture renewal programme TOTAL 1 - Expenditure Page 56 of 121 Comment A48.58 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL PG1616 - Park Furniture renewal programme Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 0 0 0 50,000 50,000 New TOTAL 1 - Expenditure 0 0 0 80,000 80,000 New TOTAL PG1617 - Sporting Facilities renewal programme 0 0 0 80,000 80,000 New 0 0 0 30,000 30,000 New PG1617 - Sporting Facilities renewal programme PG1624 - Park furniture - drinking fountains TOTAL 1 - Expenditure TOTAL PG1624 - Park furniture - drinking fountains 0 0 0 30,000 30,000 New 1,087,384 955,433 910,722 718,268 -237,165 -25% TOTAL 1 - Expenditure 357,193 357,193 445,291 364,084 6,891 2% TOTAL P00100 - Faulkner Park-Gen Mntc 357,193 357,193 445,291 364,084 6,891 2% TOTAL 1 - Expenditure 123,566 123,566 110,880 125,704 2,138 2% TOTAL P00105 - Volcano Playground 123,566 123,566 110,880 125,704 2,138 2% TOTAL 1 - Expenditure 28,182 28,182 19,143 28,623 441 2% TOTAL P00128 - Faulkner Park - SkatePark 28,182 28,182 19,143 28,623 441 2% TOTAL 1 - Expenditure 226 226 31 250 24 11% TOTAL P00133 - Faulkner Park-Herb Grdn 226 226 31 250 24 11% TOTAL 1 - Expenditure 2,795 2,795 2,958 2,831 36 1% TOTAL P00300 - Garden Demonstrations 2,795 2,795 2,958 2,831 36 1% TOTAL 1 - Expenditure 15,258 15,258 9,456 15,769 511 3% TOTAL P00700 - Dod Reserve-Gen Mntc 15,258 15,258 9,456 15,769 511 3% TOTAL 350 - Parks Construction 360 - Parks Maintenance P00100 - Faulkner Park-Gen Mntc P00105 - Volcano Playground P00128 - Faulkner Park - SkatePark P00133 - Faulkner Park-Herb Grdn P00300 - Garden Demonstrations P00700 - Dod Reserve-Gen Mntc P01500 - Parkview Chase TOTAL 1 - Expenditure 33,087 33,087 38,132 33,566 479 1% TOTAL P01500 - Parkview Chase 33,087 33,087 38,132 33,566 479 1% P03000 - Garvey Park-Gen Mntc TOTAL 1 - Expenditure 195,983 195,983 185,333 195,009 -974 0% TOTAL P03000 - Garvey Park-Gen Mntc 195,983 195,983 185,333 195,009 -974 0% P04000 - Tomato Lake-Gen Mntc TOTAL 1 - Expenditure 220,489 220,489 214,583 224,574 4,085 2% TOTAL P04000 - Tomato Lake-Gen Mntc 220,489 220,489 214,583 224,574 4,085 2% TOTAL 1 - Expenditure 14,460 14,460 16,097 14,500 40 0% TOTAL P04100 - Tomato Lake Gardens 14,460 14,460 16,097 14,500 40 0% TOTAL 1 - Expenditure 38,578 38,578 19,876 37,589 -989 -3% TOTAL P10000 - Arlunya Park -Gen Mntc 38,578 38,578 19,876 37,589 -989 -3% TOTAL 1 - Expenditure 51,127 51,127 57,358 52,186 1,059 2% TOTAL P10200 - Peachey Park - Gen Mntc 51,127 51,127 57,358 52,186 1,059 2% P04100 - Tomato Lake Gardens P10000 - Arlunya Park -Gen Mntc P10200 - Peachey Park - Gen Mntc Page 57 of 121 Comment A48.59 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget YTD Actual Budget YTD at Proposed Budget Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) P10300 - Alfred Park - Gen Mntc TOTAL 1 - Expenditure 9,284 9,284 18,389 9,676 392 4% TOTAL P10300 - Alfred Park - Gen Mntc 9,284 9,284 18,389 9,676 392 4% P10400 - Andell Park - Gen Mntc TOTAL 1 - Expenditure 7,146 7,146 7,881 7,323 177 2% TOTAL P10400 - Andell Park - Gen Mntc 7,146 7,146 7,881 7,323 177 2% P10500 - Fred McKenzie Park - Gen Mntc TOTAL 1 - Expenditure 3,995 3,995 4,322 4,255 260 7% TOTAL P10500 - Fred McKenzie Park - Gen Mntc 3,995 3,995 4,322 4,255 260 7% TOTAL 1 - Expenditure 56,156 56,156 56,293 58,420 2,264 4% TOTAL P10600 - Brearley Avenue Res.-Gen Mntc 56,156 56,156 56,293 58,420 2,264 4% TOTAL 1 - Expenditure 3,928 3,928 6,733 4,032 104 3% TOTAL P10700 - Campbell Street Res.-Gen Mntc 3,928 3,928 6,733 4,032 104 3% TOTAL 1 - Expenditure 23,904 23,904 18,285 24,473 570 2% TOTAL P10800 - Jack Ring Park-Gen Mntc 23,904 23,904 18,285 24,473 570 2% TOTAL 1 - Expenditure 32,654 32,654 26,571 33,443 789 2% TOTAL P10900 - Copley Park - Gen Mntc 32,654 32,654 26,571 33,443 789 2% TOTAL 1 - Expenditure 16,888 16,888 11,917 17,372 484 3% TOTAL P11000 - Cracknell Park-Gen Mntc 16,888 16,888 11,917 17,372 484 3% P10600 - Brearley Avenue Res.-Gen Mntc P10700 - Campbell Street Res.-Gen Mntc P10800 - Jack Ring Park-Gen Mntc P10900 - Copley Park - Gen Mntc P11000 - Cracknell Park-Gen Mntc P11300 - Hoskin Park - Gen Mntc TOTAL 1 - Expenditure 13,946 13,946 13,076 14,310 365 3% TOTAL P11300 - Hoskin Park - Gen Mntc 13,946 13,946 13,076 14,310 365 3% P11400 - Kennerly Street Res.-Gen Mntc TOTAL 1 - Expenditure 3,835 3,835 5,909 4,020 185 5% TOTAL P11400 - Kennerly Street Res.-Gen Mntc 3,835 3,835 5,909 4,020 185 5% P11500 - Locock Street Res.-Gen Mntc TOTAL 1 - Expenditure 3,295 3,295 5,799 3,366 70 2% TOTAL P11500 - Locock Street Res.-Gen Mntc 3,295 3,295 5,799 3,366 70 2% P11800 - McLarty Park - Gen Mntc TOTAL 1 - Expenditure 9,682 9,682 10,433 9,591 -91 -1% TOTAL P11800 - McLarty Park - Gen Mntc 9,682 9,682 10,433 9,591 -91 -1% P11900 - Morgan Park - Gen Mntc TOTAL 1 - Expenditure 14,853 14,853 14,412 14,708 -145 -1% TOTAL P11900 - Morgan Park - Gen Mntc 14,853 14,853 14,412 14,708 -145 -1% TOTAL 1 - Expenditure 12,897 12,897 10,125 13,407 510 4% TOTAL P12000 - Nance Park - Gen Mntc 12,897 12,897 10,125 13,407 510 4% TOTAL 1 - Expenditure 2,933 2,933 2,339 2,981 48 2% TOTAL P12300 - Paulette Park -Gen Mntc 2,933 2,933 2,339 2,981 48 2% P12000 - Nance Park - Gen Mntc P12300 - Paulette Park -Gen Mntc Page 58 of 121 Comment A48.60 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget YTD Actual Budget YTD at Proposed Budget Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) P12600 - Small Res.-Gen Mntc TOTAL 1 - Expenditure 72,732 72,732 32,367 76,167 3,435 5% TOTAL P12600 - Small Res.-Gen Mntc 72,732 72,732 32,367 76,167 3,435 5% P12700 - Stoneham Street Res.-Gen Mntc TOTAL 1 - Expenditure 5,293 5,293 12,314 5,415 123 2% TOTAL P12700 - Stoneham Street Res.-Gen Mntc 5,293 5,293 12,314 5,415 123 2% TOTAL 1 - Expenditure 1,970 1,970 605 2,152 182 9% TOTAL P12800 - Sutherland Way Res.-Gen Mntc 1,970 1,970 605 2,152 182 9% TOTAL 1 - Expenditure 11,044 11,044 9,989 11,487 443 4% TOTAL P12900 - Silcox Park - Gen Mntc 11,044 11,044 9,989 11,487 443 4% TOTAL 1 - Expenditure 8,152 8,152 8,889 8,417 265 3% TOTAL P13000 - Kinghorn Park-Gen Mntc 8,152 8,152 8,889 8,417 265 3% TOTAL 1 - Expenditure 96,159 96,159 98,575 99,374 3,215 3% TOTAL P13100 - Adachi/Bristile Pk-Gen Mntc 96,159 96,159 98,575 99,374 3,215 3% TOTAL 1 - Expenditure 1,460 1,460 155 1,154 -306 -21% TOTAL P13200 - The Court - Gen Mntc 1,460 1,460 155 1,154 -306 -21% TOTAL 1 - Expenditure 6,080 6,080 9,555 6,574 494 8% TOTAL P13300 - Frank Treen Park-Gen Mntc 6,080 6,080 9,555 6,574 494 8% P12800 - Sutherland Way Res.-Gen Mntc P12900 - Silcox Park - Gen Mntc P13000 - Kinghorn Park-Gen Mntc P13100 - Adachi/Bristile Pk-Gen Mntc P13200 - The Court - Gen Mntc P13300 - Frank Treen Park-Gen Mntc P13400 - Gibson Park-Gen Mntc TOTAL 1 - Expenditure 14,448 14,448 12,549 14,835 387 3% TOTAL P13400 - Gibson Park-Gen Mntc 14,448 14,448 12,549 14,835 387 3% P13500 - Lions Park - Gen Mntc TOTAL 1 - Expenditure 16,670 16,670 13,247 17,084 413 2% TOTAL P13500 - Lions Park - Gen Mntc 16,670 16,670 13,247 17,084 413 2% P13600 - Mozart Mews Park-Gen Mntc TOTAL 1 - Expenditure 5,749 5,749 6,848 5,861 112 2% TOTAL P13600 - Mozart Mews Park-Gen Mntc 5,749 5,749 6,848 5,861 112 2% P13700 - Smythe Lake Park-Gen Mntc TOTAL 1 - Expenditure 39,771 39,771 28,691 40,413 642 2% TOTAL P13700 - Smythe Lake Park-Gen Mntc 39,771 39,771 28,691 40,413 642 2% P13800 - Hoffman Park-Gen Mntc TOTAL 1 - Expenditure 12,833 12,833 12,128 13,150 317 2% TOTAL P13800 - Hoffman Park-Gen Mntc 12,833 12,833 12,128 13,150 317 2% TOTAL 1 - Expenditure 47,188 47,188 28,619 47,865 677 1% TOTAL P13900 - Wicca Park-Gen Mntc 47,188 47,188 28,619 47,865 677 1% TOTAL 1 - Expenditure 271,355 271,355 173,777 277,317 5,962 2% TOTAL P14100 - Ascot Waters-Gen Mntc 271,355 271,355 173,777 277,317 5,962 2% P13900 - Wicca Park-Gen Mntc P14100 - Ascot Waters-Gen Mntc Page 59 of 121 Comment A48.61 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) P14110 - Ascot Waters Marina TOTAL 1 - Expenditure 77,403 77,403 0 8,200 -69,203 -89% -77,403 -77,403 0 -8,200 69,203 -89% 0 0 0 0 0 -120% TOTAL 1 - Expenditure 8,377 8,377 6,816 8,356 -21 0% TOTAL P14200 - Ascot Water Playgrnd-Gen Mntc 8,377 8,377 6,816 8,356 -21 0% TOTAL 1 - Expenditure 31,107 31,107 42,036 32,510 1,403 5% TOTAL P14400 - Ascot Gdns-Gen Mntc 31,107 31,107 42,036 32,510 1,403 5% TOTAL 1 - Expenditure 14,969 14,969 10,353 13,327 -1,641 -11% TOTAL P14500 - Aquanita Park - Gen Mntc 14,969 14,969 10,353 13,327 -1,641 -11% TOTAL 6 - Capital Income TOTAL P14110 - Ascot Waters Marina P14200 - Ascot Water Playgrnd-Gen Mntc P14400 - Ascot Gdns-Gen Mntc P14500 - Aquanita Park - Gen Mntc P14600 - Rosedale Gardens-Gen Mntc TOTAL 1 - Expenditure 13,023 13,023 13,021 13,438 415 3% TOTAL P14600 - Rosedale Gardens-Gen Mntc 13,023 13,023 13,021 13,438 415 3% P14700 - Shopping Centre Grdns-Gen Mntc TOTAL 1 - Expenditure 7,097 7,097 3,054 7,256 159 2% TOTAL P14700 - Shopping Centre Grdns-Gen Mntc 7,097 7,097 3,054 7,256 159 2% P14800 - Grandstand Road Maintenance TOTAL 1 - Expenditure 71,468 71,468 66,267 72,579 1,111 2% TOTAL P14800 - Grandstand Road Maintenance 71,468 71,468 66,267 72,579 1,111 2% TOTAL 1 - Expenditure 1,736 1,736 1,355 1,799 63 4% TOTAL P15300 - Newey / Fitzroy Sump 1,736 1,736 1,355 1,799 63 4% TOTAL 1 - Expenditure 25,883 25,883 12,671 22,038 -3,845 -15% TOTAL P15400 - Gould Park - Gen Mntc 25,883 25,883 12,671 22,038 -3,845 -15% TOTAL 1 - Expenditure 14,948 14,948 9,242 15,215 267 2% TOTAL P15600 - Whiteside Park 14,948 14,948 9,242 15,215 267 2% TOTAL 1 - Expenditure 11,916 11,916 10,829 12,188 272 2% TOTAL P15700 - Invercloy Park 11,916 11,916 10,829 12,188 272 2% TOTAL 1 - Expenditure 42,116 42,116 40,929 47,123 5,008 12% TOTAL P15800 - Belgravia Estate 42,116 42,116 40,929 47,123 5,008 12% TOTAL 1 - Expenditure 12,340 12,340 10,331 19,136 6,796 55% TOTAL P15900 - Flame Tree Park 12,340 12,340 10,331 19,136 6,796 55% P15300 - Newey / Fitzroy Sump P15400 - Gould Park - Gen Mntc P15600 - Whiteside Park P15700 - Invercloy Park P15800 - Belgravia Estate P15900 - Flame Tree Park P16000 - Leslie Deague Park TOTAL 1 - Expenditure 5,000 5,000 355 10,200 5,200 104% TOTAL P16000 - Leslie Deague Park 5,000 5,000 355 10,200 5,200 104% 5,000 5,000 0 5,500 500 10% P16100 - Shortland Jones Park TOTAL 1 - Expenditure Page 60 of 121 Comment A48.62 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL P16100 - Shortland Jones Park Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 5,000 5,000 0 5,500 500 10% TOTAL 1 - Expenditure 26,122 26,122 20,511 26,639 517 2% TOTAL P29500 - Signal Hill Bushland 26,122 26,122 20,511 26,639 517 2% TOTAL 1 - Expenditure 121,792 121,792 96,119 122,693 901 1% TOTAL P29800 - Swan River Foreshore-Gen Mntc 121,792 121,792 96,119 122,693 901 1% TOTAL 1 - Expenditure 90,000 90,000 37,860 90,000 0 0% TOTAL P29947 - Parks - General-Bore 90,000 90,000 37,860 90,000 0 0% P29500 - Signal Hill Bushland P29800 - Swan River Foreshore-Gen Mntc P29947 - Parks - General-Bore P29948 - Parks-General-aerators TOTAL 1 - Expenditure 50,000 50,000 20,867 50,000 0 0% TOTAL P29948 - Parks-General-aerators 50,000 50,000 20,867 50,000 0 0% P29949 - Parks - General-Pump TOTAL 1 - Expenditure 225,000 225,000 207,387 230,000 5,000 2% TOTAL P29949 - Parks - General-Pump 225,000 225,000 207,387 230,000 5,000 2% TOTAL 1 - Expenditure 15,573 15,573 6,775 15,990 417 3% TOTAL P30100 - Epsom Ave-Gen Mntc 15,573 15,573 6,775 15,990 417 3% P30100 - Epsom Ave-Gen Mntc P30550 - Fulham St-Sump TOTAL 1 - Expenditure 12,179 12,179 11,927 12,954 775 6% TOTAL P30550 - Fulham St-Sump 12,179 12,179 11,927 12,954 775 6% TOTAL 1 - Expenditure 39,724 39,724 31,012 40,218 494 1% TOTAL P30600 - Abernethy Island-Gen Mntc 39,724 39,724 31,012 40,218 494 1% TOTAL 1 - Expenditure 49,640 49,640 37,290 53,775 4,135 8% TOTAL P35800 - Severin Walk - Gen Mntc 49,640 49,640 37,290 53,775 4,135 8% 9,536 9,536 6,000 9,774 238 2% 0 0 -6,090 0 0 0% 9,536 9,536 -89 9,774 238 2% P30600 - Abernethy Island-Gen Mntc P35800 - Severin Walk - Gen Mntc P36330 - Goodwood Pde-Boat Ramp/Jetty TOTAL 1 - Expenditure TOTAL 4 - Income TOTAL P36330 - Goodwood Pde-Boat Ramp/Jetty P36850 - Newey/Toorak-Sump TOTAL 1 - Expenditure 1,869 1,869 2,642 1,832 -37 -2% TOTAL P36850 - Newey/Toorak-Sump 1,869 1,869 2,642 1,832 -37 -2% P36950 - Noble St-Sump TOTAL 1 - Expenditure 18,121 18,121 12,915 18,784 663 4% TOTAL P36950 - Noble St-Sump 18,121 18,121 12,915 18,784 663 4% TOTAL 1 - Expenditure 12,954 12,954 13,201 13,133 178 1% TOTAL P37400 - Redgum Court-Gen Mntc 12,954 12,954 13,201 13,133 178 1% TOTAL 1 - Expenditure 11,929 11,929 10,676 11,864 -65 -1% TOTAL P38000 - The Crescent-Gen Mntc 11,929 11,929 10,676 11,864 -65 -1% P37400 - Redgum Court-Gen Mntc P38000 - The Crescent-Gen Mntc P38100 - Albert Jordan Park-Gen Mnt Page 61 of 121 Comment A48.63 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) TOTAL 1 - Expenditure 37,779 37,779 23,487 34,107 -3,672 -10% TOTAL P38100 - Albert Jordan Park-Gen Mnt 37,779 37,779 23,487 34,107 -3,672 -10% P59600 - Cycle Ways-Gen Mntc TOTAL 1 - Expenditure 15,027 15,027 11,965 15,321 294 2% TOTAL P59600 - Cycle Ways-Gen Mntc 15,027 15,027 11,965 15,321 294 2% P59921 - Street Trees - Aboricultural S TOTAL 1 - Expenditure 0 0 18 0 0 0% TOTAL P59921 - Street Trees - Aboricultural S 0 0 18 0 0 0% TOTAL 1 - Expenditure 27,475 27,475 34,789 27,668 194 1% TOTAL P60550 - Willow Lake Park 27,475 27,475 34,789 27,668 194 1% TOTAL 1 - Expenditure 11,329 11,329 10,197 11,675 346 3% TOTAL P60650 - Cottage Park 11,329 11,329 10,197 11,675 346 3% TOTAL 1 - Expenditure 25,866 25,866 12,713 26,526 660 3% TOTAL P60750 - Norlin Park 25,866 25,866 12,713 26,526 660 3% TOTAL 1 - Expenditure 28,672 28,672 22,262 29,359 687 2% TOTAL P79900 - Blocks Gen-Maint 28,672 28,672 22,262 29,359 687 2% TOTAL 1 - Expenditure 35,187 35,187 21,166 35,961 774 2% TOTAL P79950 - Blocks Gen-Sump 35,187 35,187 21,166 35,961 774 2% P60550 - Willow Lake Park P60650 - Cottage Park P60750 - Norlin Park P79900 - Blocks Gen-Maint P79950 - Blocks Gen-Sump P80400 - Nursery-Gen Mntc TOTAL 1 - Expenditure 7,258 7,258 6,901 7,375 117 2% TOTAL P80400 - Nursery-Gen Mntc 7,258 7,258 6,901 7,375 117 2% P80500 - Carbon Plus Planting TOTAL 1 - Expenditure 7,373 7,373 2,737 7,206 -166 -2% TOTAL P80500 - Carbon Plus Planting 7,373 7,373 2,737 7,206 -166 -2% P81000 - Harman Park TOTAL 1 - Expenditure 12,157 12,157 25,715 12,034 -123 -1% TOTAL P81000 - Harman Park 12,157 12,157 25,715 12,034 -123 -1% P81500 - Harman St Community Centre Grounds TOTAL 1 - Expenditure 8,600 8,600 6,737 8,802 202 2% TOTAL P81500 - Harman St Community Centre Grounds 8,600 8,600 6,737 8,802 202 2% P83300 - Youth & Family Services - Gen TOTAL 1 - Expenditure 18,234 18,234 16,322 18,542 308 2% TOTAL P83300 - Youth & Family Services - Gen 18,234 18,234 16,322 18,542 308 2% TOTAL 1 - Expenditure 2,913 0 0 0 0 0% TOTAL P83900 - Redcliffe Clinic - Gen Mntc 2,913 0 0 0 0 0% 10,321 10,321 11,595 10,524 203 2% P83900 - Redcliffe Clinic - Gen Mntc P85500 - Rivervale Comm Cntr - Gen Mnt TOTAL 1 - Expenditure TOTAL P85500 - Rivervale Comm Cntr - Gen Mnt TOTAL 360 - Parks Maintenance 10,321 10,321 11,595 10,524 203 2% 3,104,852 3,101,939 2,722,887 3,166,745 64,806 2% Page 62 of 121 Comment A48.64 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 370 - Parks Active Reserves P00500 - Forster Park-Gen Mntc TOTAL 1 - Expenditure 136,626 136,626 112,277 138,169 1,543 1% TOTAL P00500 - Forster Park-Gen Mntc 136,626 136,626 112,277 138,169 1,543 1% 161,418 161,418 143,077 166,637 5,219 3% P01000-00-4056-000 Cont to - Parks & Gardens 0 0 1,451 0 0 0% TOTAL 4 - Income 0 0 1,451 0 0 0% 161,418 161,418 144,528 166,637 5,219 3% TOTAL 1 - Expenditure 114,827 114,827 158,681 118,019 3,192 3% TOTAL P02500 - Gerry Archer Athletic Park 114,827 114,827 158,681 118,019 3,192 3% TOTAL 1 - Expenditure 108,291 108,291 93,221 108,743 452 0% TOTAL P03500 - Middleton Park-Gen Mntc 108,291 108,291 93,221 108,743 452 0% TOTAL 1 - Expenditure 52,482 52,482 47,683 54,785 2,303 4% TOTAL P04500 - Selby Park-Gen Mntc 52,482 52,482 47,683 54,785 2,303 4% TOTAL 1 - Expenditure 41,794 41,794 42,610 43,987 2,193 5% TOTAL P05000 - Wilson Park-Gen Mntc 41,794 41,794 42,610 43,987 2,193 5% TOTAL 1 - Expenditure 102,144 102,144 79,634 102,592 448 0% TOTAL P05500 - Peet Park-Gen Mntc 102,144 102,144 79,634 102,592 448 0% P01000 - Centenary Park-Gen Mntc TOTAL 1 - Expenditure 4 - Income TOTAL P01000 - Centenary Park-Gen Mntc P02500 - Gerry Archer Athletic Park P03500 - Middleton Park-Gen Mntc P04500 - Selby Park-Gen Mntc P05000 - Wilson Park-Gen Mntc P05500 - Peet Park-Gen Mntc P06000 - Miles Park-Gen Mntc TOTAL 1 - Expenditure 95,382 95,382 85,182 96,999 1,617 2% TOTAL P06000 - Miles Park-Gen Mntc 95,382 95,382 85,182 96,999 1,617 2% P06500 - Redcliffe Park General Maint TOTAL 1 - Expenditure 82,323 82,323 83,970 83,202 879 1% TOTAL P06500 - Redcliffe Park General Maint 82,323 82,323 83,970 83,202 879 1% P15000 - Belmont Oval-Gen Mntc TOTAL 1 - Expenditure 76,345 76,345 77,507 76,963 618 1% TOTAL P15000 - Belmont Oval-Gen Mntc 76,345 76,345 77,507 76,963 618 1% P82300 - Cl'vdale Sprt/Rec Cnt-Gen Mntc TOTAL 1 - Expenditure 50,340 50,340 47,199 51,106 766 2% TOTAL P82300 - Cl'vdale Sprt/Rec Cnt-Gen Mntc 50,340 50,340 47,199 51,106 766 2% 1,021,974 1,021,974 972,492 1,041,202 19,229 2% TOTAL 370 - Parks Active Reserves 380 - Parks & Environment Overheads 996500 - Grounds Overheads 1 - Expenditure 996500-00-1119-000 Licenses 200 200 0 200 0 0% Maintain Green Stamp Accreditation 996500-00-1122-000 Rent/Lease 1,000 1,000 0 1,000 0 0% Equipment lease as required 996500-00-1127-000 Hire (Property & Equipment) 2,000 2,000 0 2,000 0 0% additional Plant Hire that cannot be directly attributed to jobs. 0 0 4,541 0 0 0% 996500-00-1200-000 Salaries Page 63 of 121 A48.65 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 996500-00-1201-000 Wages Current Budget 347,003 347,003 Budget YTD at Proposed Budget YTD Actual 205,321 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 283,155 -63,848 -18% from wages budget 996500-00-1202-000 Allowances 1,649 1,649 5,331 1,499 -150 -9% from wages budget 996500-00-1203-000 Service Pay 28,952 28,952 21,392 29,212 260 1% from wages budget 996500-00-1204-000 Long Service Leave 26,231 26,231 22,434 20,394 -5,837 -22% from wages budget 996500-00-1207-000 Gratuities 15,000 15,000 13,956 15,000 0 996500-00-1208-000 Workers Compensation 33,124 33,124 32,502 36,774 3,650 11% from wages budget 210,568 210,568 164,706 217,460 6,892 3% from wages budget 996500-00-1209-000 Superannuation 996500-00-1211-000 Fringe Benefits Tax 4,290 4,290 3,551 4,474 184 232,538 232,538 186,195 245,816 13,278 996500-00-1216-000 Agency Staff 20,000 20,000 -13,784 20,000 0 996500-00-1217-000 Apprenticeships 47,697 47,697 19,982 29,816 -17,881 996500-00-1213-000 Salaries - Supervisors 0% potential retirement of one staff member 4% 6% Parks Supervisors x 3 0% agency staff to cover positions promoted whilst staff are on LSL and annual leave -37% 996500-00-1222-000 Materials 1,500 1,500 1,761 1,500 0 0% 996500-00-1226-000 Stationery 3,000 3,000 2,201 3,000 0 0% 996500-00-1227-000 Printing 400 400 0 400 0 0% 996500-00-1228-000 Book Purchases Local 250 250 0 250 0 0% 0 0 14 0 0 0% 996500-00-1234-000 Uniforms/Protective Clothing 25,000 25,000 12,474 25,000 0 0% 996500-00-1239-000 Consumables 996500-00-1230-000 Software - PC 25,000 25,000 28,206 25,000 0 0% 996500-00-1240-000 Safety Equipment 4,000 4,000 5,158 4,000 0 0% 996500-00-1252-000 Equipment 5,000 5,000 3,352 5,000 0 0% 996500-00-1253-000 Fleet / Plant 5,000 5,000 5,060 5,000 0 0% 996500-00-1263-000 Services - Advertising 20,000 20,000 3,155 15,000 -5,000 -25% 996500-00-1264-000 Services - Rubbish 30,000 30,000 19,353 30,000 0 0% 5,000 5,000 3,267 5,000 0 0% 996500-00-1279-000 Services - Other 996500-00-1280-000 Services - Training 996500-00-1317-000 Ins. Prem - Other 996500-00-1322-000 Telephone 996500-00-1371-000 Travel - Conferences 996500-00-1373-000 Registration - Train/Conf 996500-00-1374-000 Training - Non Staff 996500-00-1376-000 Registration - General Comment 0 0 315 0 0 0% 122,601 122,601 113,526 113,148 -9,453 -8% 10,130 10,130 8,141 10,389 259 3% Utilities to increase by CPI based on 2014/15 forecasts. 0 0 194 0 0 0% 30,000 30,000 11,196 30,000 0 0% Training of staff for competency based skills for the operation of small plant and equipment, chainsaws, traffic management, heavy equipment and equipment (truck/tractor/hiab) and first aid. 1,000 1,000 0 1,000 0 0% 500 500 0 500 0 0% 996500-00-1387-000 Food - Other 4,200 4,200 3,802 4,200 0 0% for catering of staff and corporate events/presentations etc. 996500-00-1388-000 Beverages 2,000 2,000 813 2,000 0 0% for catering of staff and corporate events/presentations etc. 996500-00-1399-000 Miscellaneous 996500-00-1400-000 ABC Cost Allocation 996500-40-1119-000 Licenses 500 500 659 500 0 0% 311,278 311,278 232,631 303,367 -7,911 -3% 1,647 1,647 1,383 1,688 41 2% Fleet 19-33-36-48-69 996500-40-1201-000 Wages 522 522 945 535 13 2% 996500-40-1216-000 Agency Staff 817 817 570 837 20 2% 996500-40-1221-000 Tyres 272 272 77 279 7 3% 996500-40-1222-000 Materials 272 272 0 279 7 3% 996500-40-1223-000 Parts 272 272 25 279 7 3% 12,257 12,257 11,164 12,563 306 2% 996500-40-1225-000 External Repairs 2,043 2,043 2,315 2,094 51 2% 996500-40-1279-000 Services - Other 953 953 672 977 24 3% 996500-40-1224-000 Fuel Page 64 of 121 A48.66 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 996500-40-1314-000 Ins. Prem - Motor Vehicle Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 1,357 1,357 1,013 1,013 -344 -25% 1,597,024 1,597,024 1,139,569 1,511,599 -85,425 -5% 996500-00-4076-000 Reimb - Staff Fuel 0 0 -631 0 0 0% 996500-00-4204-000 Long Service Leave 0 0 -6,383 0 0 0% 996500-00-4403-000 Grounds Overheads -1,555,793 -1,555,793 -1,292,268 -1,476,205 79,588 -5% TOTAL 4 - Income -1,555,793 -1,555,793 -1,299,283 -1,476,205 79,588 -5% 996500-00-6836-000 LSL Reserve - Wages -26,231 -26,231 0 -20,394 5,837 996500-00-6847-000 Misc Entitlements Reserve -15,000 -15,000 0 -15,000 0 TOTAL 6 - Capital Income -41,231 -41,231 0 -35,394 5,837 TOTAL 1 - Expenditure Comment 4 - Income 6 - Capital Income TOTAL 996500 - Grounds Overheads -22% Tfr from LSL Reserve to cover the estimated LSL expense. 0% To cover the cost of retiring staff. -14% 0 0 -159,714 0 0 -129% 0 0 -159,714 0 0 -129% 6,000 6,000 5,800 7,000 1,000 0 0 3,848 0 0 0% 996000-00-1119-000 Licenses 1,000 1,000 0 1,000 0 0% includes licence amount for Severin Walk maintenance agreement currently $500 plus GST 996000-00-1128-000 Photocopying 1,000 1,000 0 1,000 0 0% 574,949 574,949 502,744 653,130 78,181 458 458 394 499 41 996000-00-1204-000 Long Service Leave 7,318 7,318 15,622 0 -7,318 -100% 996000-00-1208-000 Workers Compensation 9,906 9,906 9,720 12,570 2,664 27% TOTAL 380 - Parks & Environment Overheads 385 - Parks Administration 996000 - Grounds Operations 1 - Expenditure 996000-00-1059-000 Cont - Other 996000-00-1077-000 Reimb - Miscellaneous 996000-00-1200-000 Salaries 996000-00-1202-000 Allowances 17% UWA Turf Research Project $4,000 pa as per letter of agreement - project name “Managing Turfgrass on a Water Allocation”. Agreement goes for 4 years from 2011/12 to 2014/15.October:UWA Turf Research Project - "Soil Amendments for Water Retention" - $2,000 pa over 4 years from 2012/13 to 2016/17. $1000 contribution to Green Space Alliance position paper 14% Increase due to a change in hours for P/T Admin Officer P+E Civic Centre from 40 hours per fortnight to 62 hours per fortnight and Technical Assistant Parks proposed increase in hours from P/T 48 hours per fortnight to full time. 9% as per the salaries spreadsheet 996000-00-1209-000 Superannuation 67,660 67,660 55,197 73,075 5,415 996000-00-1211-000 Fringe Benefits Tax 15,559 15,559 18,082 16,228 669 4% 2,000 2,000 699 2,000 0 0% 996000-00-1222-000 Materials 8% as per the salaries spreadsheet 996000-00-1224-000 Fuel 3,500 3,500 0 3,500 0 0% 996000-00-1226-000 Stationery 3,000 3,000 1,925 3,000 0 0% 996000-00-1227-000 Printing 2,000 2,000 0 2,000 0 0% 996000-00-1228-000 Book Purchases Local 500 500 373 500 0 0% 996000-00-1234-000 Uniforms/Protective Clothing 400 400 0 400 0 0% 996000-00-1235-000 Signs 100 100 0 100 0 0% 996000-00-1239-000 Consumables 300 300 0 350 50 17% 996000-00-1240-000 Safety Equipment 250 250 89 250 0 0% 0 0 114 0 0 0% 5,000 5,000 3,357 5,000 0 0% to support job recruitment ads (if needed) and Urban Forest Strategy campaign 996000-00-1269-000 Services - Audit 10,000 10,000 0 10,000 0 996000-00-1271-000 Services - Other Consultants 65,000 95,000 21,632 73,000 -22,000 996000-00-1252-000 Equipment 996000-00-1263-000 Services - Advertising Page 65 of 121 0% Annual safety audit of playground equipment/playground softfall -23% funds required for Garvey Park (Ayers Bushland) board walk interpretive signage design $5,000; Copley Park community consultation $12,000; Severin Walk - feature survey $10,000, flora and fauna survey $8,000 and community consultation $14,000; Wilson Park feature survey $4,000 and park usage concepts $5,000; Urban Forest Strategy community workshop facilitation and communication plan $15,000. A48.67 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 996000-00-1279-000 Services - Other 996000-00-1280-000 Services - Training Current Budget 250 250 Budget YTD at Proposed Budget YTD Actual 250 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase 250 Increase (%) 0 0 0 182 0 0 996000-00-1322-000 Telephone 1,341 1,341 1,096 1,396 55 996000-00-1330-000 Subscriptions 2,500 2,500 1,236 2,500 0 996000-00-1332-000 Advertising Comment 0% 0% 4% Utilities to increase by CPI based on 2014/15 forecasts. 0% 500 500 1,880 500 0 0% 996000-00-1371-000 Travel - Conferences 1,000 1,000 1,174 1,000 0 0% Travel costs for attendance at Parks & Leisure Australia National Conference. 996000-00-1372-000 Accommodation - Conferences 1,000 1,000 2,018 1,000 0 0% Accommodation costs for attendance at Parks & Leisure Australia National Conference. 12,000 12,000 3,667 12,000 0 0% for attendance at Parks and Leisure Aust National Conference (1-2 staff - $4000). Treenet conference and Tree Symposium for Arborist ($3000). Attendance at relevant local training conferences and workshops for staff development - playground provision and siting, new playground standards, project management, WSUD, stormwater harvesting, tree management and technology related to the Urban Forest Strategy etc. 996000-00-1377-000 Travel - General 0 0 68 0 0 0% 996000-00-1395-000 Doubtful Debt Expense 0 0 538 0 0 0% 996000-00-1373-000 Registration - Train/Conf 996000-00-1399-000 Miscellaneous 1,000 1,000 658 1,000 0 0% 996000-00-1400-000 ABC Cost Allocation 124,256 124,256 92,994 269,267 145,012 117% TOTAL 1 - Expenditure 919,746 949,746 745,356 1,153,515 203,769 21% 996000-00-4076-000 Reimb - Staff Fuel 0 0 -577 -700 -700 New 996000-00-4077-000 Reimb - Miscellaneous 0 0 -654 -700 -700 New TOTAL 4 - Income 0 0 -1,231 -1,400 -1,400 New 996000-00-6835-000 LSL Reserve - Salaries -7,318 -7,318 0 0 7,318 -100% TOTAL 6 - Capital Income -7,318 -7,318 0 0 7,318 -100% 912,428 942,428 744,125 1,152,115 209,687 22% 912,428 942,428 744,125 1,152,115 209,687 22% 4 - Income 6 - Capital Income TOTAL 996000 - Grounds Operations TOTAL 385 - Parks Administration 420 - Environment 994002 - Shuttle Bus-Belmont Business Park 1 - Expenditure 994002-00-1263-000 Services - Advertising 0 0 0 5,000 5,000 994002-00-1279-000 Services - Other 0 40,000 12,314 31,070 -8,930 New Promotion of Belmont Buslink shuttle trial 994002-00-1322-000 Telephone 0 0 0 400 400 New 994002-00-1399-000 Miscellaneous 0 0 25 0 0 0% 994002-40-1201-000 Wages 0 0 274 0 0 0% 994002-40-1216-000 Agency Staff 0 0 75 0 0 0% 994002-40-1222-000 Materials 0 0 169 0 0 0% -22% Belmont BusLink shuttle- driver wages for 12 month trial ending 29 April. 994002-40-1224-000 Fuel 0 0 17 5,000 5,000 994002-40-1279-000 Services - Other 0 0 451 0 0 New -2146826246 0% TOTAL 1 - Expenditure 0 40,000 13,325 41,470 1,470 4% 994002-00-4032-000 Grant - Operating 0 -21,000 0 0 21,000 -100% 994002-00-4059-000 Cont - Other 0 0 -15,000 0 0 0% TOTAL 4 - Income 0 -21,000 -15,000 0 21,000 -100% TOTAL 994002 - Shuttle Bus-Belmont Business Park 0 19,000 -1,675 41,470 22,470 118% 71,597 71,597 50,918 79,250 7,653 4 - Income 994004 - Travel Smart 1 - Expenditure 994004-00-1200-000 Salaries Page 66 of 121 11% The level has been reclassified. A48.68 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 994004-00-1202-000 Allowances Current Budget 50 50 Budget YTD at Proposed Budget YTD Actual 38 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase 50 Increase (%) 0 0% 994004-00-1208-000 Workers Compensation 1,218 1,218 1,195 1,348 130 11% 994004-00-1209-000 Superannuation 6,657 6,657 6,119 10,394 3,737 56% 994004-00-1222-000 Materials 12,800 12,800 10,021 13,670 870 994004-00-1279-000 Services - Other 44,900 6,100 5,572 10,145 4,045 108 108 92 112 4 994004-00-1373-000 Registration - Train/Conf 1,500 1,500 245 1,500 0 994004-00-1387-000 Food - Other 2,600 2,600 1,573 2,950 350 13,002 13,002 9,632 14,533 1,531 154,432 115,632 85,407 133,952 18,320 994004-00-4032-000 Grant - Operating 0 -1,000 -909 -1,000 0 994004-00-4069-000 School Programs 0 0 0 -3,000 -3,000 TOTAL 4 - Income 0 -1,000 -909 -4,000 -3,000 300% 154,432 114,632 84,497 129,952 15,320 13% 996002-00-1119-000 Licenses 11,750 11,750 10,242 6,675 -5,075 996002-00-1200-000 Salaries 288,658 288,658 249,925 313,205 24,547 0 0 785 0 0 0% 996002-00-1202-000 Allowances 225 225 195 250 25 11% 996002-00-1203-000 Service Pay 0 0 68 0 0 0% 3,604 3,604 7,586 1,864 -1,740 -48% 994004-00-1322-000 Telephone 994004-00-1400-000 ABC Cost Allocation TOTAL 1 - Expenditure Comment 7% Bike to Work Breakfast Advert ($1350); Bike to Work Breakfast and schools merchandise/prizes ($4750); Bike to Work Breakfast signage ($1000); Active Travel Be Rewarded program ($3500); Fleet bike equipment ($200); Staff incentives/prizes ($270); SmartRider top ups ($600); Travelsmart Event Flags ($800); Bike Maintenance Station ($1200) Cost identified in TravelSmart Plan for 15/16 action implementation ($27,152 )- amount budgeted ($26,765): assoc with expenditure under 1222,1279 & 1387. 66% Bike maintenance for Bike to Work Breakfast ($315); Bike maintenance for community events ($730); Schools bike education ($4000)- offset by $3,000 RAC grant income; Fleet bike servicing ($600); Springs Travelsmart guide map ($3000); Community TravelSmart Workshop ($1500). Cost identified in TravelSmart Plan for 15/16 action implementation ($27,152 )- amount budgeted ($26,765): assoc with expenditure under 1222, 1279 & 1387. 4% Utilities to increase by CPI based on 2014/15 forecasts. 0% TravelSmart Officer to attend local training and seminars on active travel, behaviour change, transport etc. including the Bike Futures conference. 13% Bike to Work Breakfast Catering ($1500)- offset by $1000 Bike Week Grant; School breakfast grants ($1350); Community TravelSmart Workshop catering ($100). Cost identified in TravelSmart Plan for 15/16 action implementation ($27,152 )- amount budgeted ($26,765): assoc with expenditure under 1222, 1279 & 1387. 12% 16% 4 - Income TOTAL 994004 - Travel Smart 0% BikeWeek funding from Department of Transport for Bike to Work Breakfast New Potential RAC funding Grant - To support the schools with bike education. 996002 - Environmental Services 1 - Expenditure 996002-00-1201-000 Wages 996002-00-1204-000 Long Service Leave 996002-00-1208-000 Workers Compensation -43% Green stamp certification ($275), EnviroLaw subscription ($1200) Switch your thinking annual licence fee ($5000), Tranen seed storage fee ($200) 9% 6,077 6,077 5,963 6,566 489 8% 996002-00-1209-000 Superannuation 38,877 38,877 33,142 42,014 3,137 8% 996002-00-1211-000 Fringe Benefits Tax 14,586 14,586 13,353 15,213 627 4% 996002-00-1213-000 Salaries - Supervisors 61,931 61,931 50,880 61,673 -258 0% 996002-00-1222-000 Materials 600 600 656 600 0 0% Volunteer giveaways 996002-00-1227-000 Printing 500 500 500 500 0 0% 996002-00-1240-000 Safety Equipment 2,112 2,112 1,832 2,112 0 996002-00-1263-000 Services - Advertising 9,000 9,000 9,066 9,000 0 94,382 94,382 78,194 136,666 42,284 996002-00-1271-000 Services - Other Consultants Page 67 of 121 0% 6-monthly inspection of fall arrest gear and annual inspection of anchor points at Hill 60 (41) , Hilton Grove (2) & Daddow Rd (10). Based on 2 x day rates of$1056/ day. 0% Advertising 6 community events, 1/4 page ad ($6000), syt! advertising for rewards 4 residents, 2 series of 6 weeks 1/4 page advert split between two Councils ($3000). 45% EMRC programmes; Future Proofing (15,000), Water Quality & Conservation (12,576), Achieving Carbon Emission Reduction (10,545), *Emissions reporting platform (10,545) & *Flood mapping (10,000). Lysimeter monitoring inc soil moisture ($13,000), energy fund (25,000), Design development - urgent foreshore stabilisation Ascot racecourse path & Garvey Park S2 (40,000). *$20,545 of this amount is associated with new actions identified in the Environment Plan as requiring additional funds. Energy fund includes $5,000 not expended 14/15. A48.69 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 996002-00-1279-000 Services - Other 996002-00-1283-000 Services - Environmental 996002-00-1322-000 Telephone 996002-00-1373-000 Registration - Train/Conf 996002-00-1387-000 Food - Other 996002-00-1399-000 Miscellaneous 996002-00-1400-000 ABC Cost Allocation Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 95,621 95,621 70,506 96,000 379 0% General water sampling (20,000), Groundwater bore sampling (3,000), Light Industry water sampling ($3,000), Soil zyme application ($15,000) & Environmental watering ($55,000), 163% Living Smart workshop facilitator (5,500), Facilitator- new Enviro Plan development (5,000). $10,500 of this amount is associated with new actions identified in the Environment Plan as requiring additional funds. 4,000 4,000 4,000 10,500 6,500 578 578 449 557 -21 4,500 4,500 1,015 4,500 0 0% Coordinator Environment & 2 x Environmental Officers to attend training courses/ seminars on water management, energy/ water efficiency, carbon reduction, biodiversity, community awareness and behaviour change. 600 600 470 600 0 0 0 4 0 0 0% Catering for 1 community planting day ($200), Grab a Gladdi ($100), Volunteer thankyou event ($150), Carbon Plus planting day ($150) 0% 57,246 57,246 42,625 78,671 21,426 -4% Utilities to increase by CPI based on 2014/15 forecasts. 37% 996002-40-1119-000 Licenses 739 739 588 757 18 2% Fleet 60-62 996002-40-1201-000 Wages 988 988 298 1,013 25 3% 996002-40-1216-000 Agency Staff 329 329 195 337 8 2% 996002-40-1219-000 Overheads 55 55 0 56 1 2% 996002-40-1221-000 Tyres 110 110 0 113 3 3% 996002-40-1222-000 Materials 110 110 0 113 3 3% 55 55 0 56 1 2% 996002-40-1223-000 Parts 996002-40-1224-000 Fuel 7,137 7,137 4,037 7,315 178 2% 996002-40-1225-000 External Repairs 1,537 1,537 831 1,575 38 2% 996002-40-1279-000 Services - Other 439 439 49 450 11 3% 996002-40-1314-000 Ins. Prem - Motor Vehicle 597 597 446 446 -151 -25% 706,942 706,942 587,900 799,397 92,455 13% -25,000 -37,485 -30,306 -1,856 35,629 0 0 -627 0 0 0% -1,250 -1,250 -500 -1,250 0 0% 0 0 -1,684 0 0 0% -26,250 -38,735 -33,117 -3,106 35,629 -92% 996002-00-6835-000 LSL Reserve - Salaries -3,604 -3,604 0 -1,864 1,740 -48% TOTAL 6 - Capital Income -3,604 -3,604 0 -1,864 1,740 -48% 677,088 664,603 554,782 794,427 129,824 20% TOTAL 1 - Expenditure 10,000 10,000 7,103 10,000 0 0% TOTAL P12400 - Hill 60 - Foreshore 10,000 10,000 7,103 10,000 0 0% TOTAL 1 - Expenditure Comment 4 - Income 996002-00-4059-000 Cont - Other 996002-00-4076-000 Reimb - Staff Fuel 996002-00-4149-000 Fines - Other 996002-00-4204-000 Long Service Leave TOTAL 4 - Income -95% Expected contribution from Town of Victoria Park for Grab A Gladdi ($774) and Rewards for Residents advertising ($1082). Reduced income due to end of MoU between City and Belgravia Leisure for reimbursement of solar pool heating costs. 6 - Capital Income TOTAL 996002 - Environmental Services P12400 - Hill 60 - Foreshore PE1305 - Garvey Park Foreshore Stabilisation - Section 3 TOTAL 1 - Expenditure 80,000 80,000 49,591 813,435 733,435 917% -40,000 -300,000 -300,000 0 300,000 -100% 40,000 -220,000 -250,409 813,435 1,033,435 -470% TOTAL 1 - Expenditure 40,000 19,032 19,462 0 -19,032 -100% TOTAL PE1401 - Swan River Foreshore - erosion control 40,000 19,032 19,462 0 -19,032 -100% 235,000 265,078 262,076 0 -265,078 -100% -163,226 -100,381 -7,155 0 100,381 -100% TOTAL 6 - Capital Income TOTAL PE1305 - Garvey Park Foreshore Stabilisation - Section 3 PE1401 - Swan River Foreshore - erosion control PE1402 - Esplanade works - Ford St to Forbes St TOTAL 1 - Expenditure TOTAL 6 - Capital Income Page 68 of 121 A48.70 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL PE1402 - Esplanade works - Ford St to Forbes St Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 71,774 164,697 254,921 0 -164,697 -100% 19,000 22,363 22,364 0 -22,363 -100% Comment PE1403 - Foreshore revegetation TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL PE1403 - Foreshore revegetation TOTAL 420 - Environment TOTAL 045 - Parks & Environment TOTAL 15 - Technical Services -19,000 0 0 0 0 0% 0 22,363 22,364 0 -22,363 -100% 993,294 794,327 691,046 1,789,284 994,957 125% 8,741,338 8,301,617 6,867,281 9,549,361 1,247,744 15% 18,426,421 18,028,997 14,806,104 19,261,159 1,232,162 7% 305,000 305,000 0 0 -305,000 0 0 765 1,000 1,000 20 - Statutory & Community Services 050 - Planning Services 440 - Planning Services 980000 - Town Planning 1 - Expenditure 980000-00-1059-000 Cont - Other 980000-00-1127-000 Hire (Property & Equipment) 980000-00-1128-000 Photocopying 980000-00-1200-000 Salaries 980000-00-1202-000 Allowances 980000-00-1204-000 Long Service Leave 980000-00-1208-000 Workers Compensation 980000-00-1209-000 Superannuation 980000-00-1211-000 Fringe Benefits Tax -100% Now budgeted within natural a/c 3059. New 9,000 9,000 4,067 9,000 0 1,080,766 1,132,848 1,004,546 1,226,053 93,205 0% 649 649 588 699 50 8% 32,082 0 0 16,631 16,631 New 8% Includes a Senior Planning Officer position which started in late 14/15. 18,930 18,930 18,575 21,137 2,207 12% 119,105 119,105 113,162 142,770 23,665 20% 31,553 31,553 31,507 32,910 1,357 4% 980000-00-1224-000 Fuel 4,000 4,000 3,555 4,000 0 0% 980000-00-1226-000 Stationery 9,100 9,100 4,251 9,000 -100 -1% 980000-00-1227-000 Printing 5,000 45,000 1,670 45,000 0 980000-00-1228-000 Book Purchases Local 0% Planning Brochure LPS 15 Vision 150 150 0 0 -150 -100% 20,000 28,000 25,545 30,000 2,000 7% 400 700 476 700 0 0% 80,000 200,000 221,439 200,000 0 0% 230,000 380,000 186,811 503,000 123,000 980000-00-1322-000 Telephone 9,940 9,940 7,620 9,096 -844 980000-00-1330-000 Subscriptions 2,000 2,000 791 2,000 0 0% 0 0 -346 0 0 0% 980000-00-1371-000 Travel - Conferences 2,000 2,000 756 3,000 1,000 50% Interstate conference travel for Director and Manager as per contracts. Pathway Conference for Pathway Officer 980000-00-1372-000 Accommodation - Conferences 2,000 2,000 2,161 3,000 1,000 50% Conference accommodation for Director and Manager for PIA National Congress. Pathway Conference accommodation. 18,000 18,000 15,505 18,000 0 0% 980000-00-1263-000 Services - Advertising 980000-00-1267-000 Services - Courier 980000-00-1270-000 Services - Legal 980000-00-1271-000 Services - Other Consultants 980000-00-1332-000 Advertising 980000-00-1373-000 Registration - Train/Conf 32% DA6 25,000 contract Vision Plan production; DA6 $150,000 structure plan and implementation progression; IMNS $80,000 existing contract; Belvidere Design Study30,000; Ascot Kilns Structure Plan preparation $130,000; Multi Unit review progression $30,000; $15,000 Compliance investigations; $20,000 specialist advice; $23,000 DA4, 5 & 6 detailed GIS 3D imagery; -8% Utilities to increase by CPI based on 2014/15 forecasts. 980000-00-1377-000 Travel - General 0 0 49 0 0 0% 980000-00-1385-000 Catering - Functions 0 1,500 418 1,500 0 0% Catering budget required for community consultation exercises. 2,000 2,000 1,781 2,000 0 0% 980000-00-1399-000 Miscellaneous 538,288 538,288 408,325 541,329 3,041 980000-40-1119-000 Licenses 980000-00-1400-000 ABC Cost Allocation 1,017 1,017 746 1,042 25 2% Fleet FL3-7-10 980000-40-1201-000 Wages 1,356 1,356 1,040 1,390 34 3% Page 69 of 121 1% A48.71 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 980000-40-1216-000 Agency Staff 226 226 120 232 6 3% 980000-40-1221-000 Tyres 226 226 36 232 6 3% 980000-40-1222-000 Materials 170 170 0 174 4 2% 57 57 0 58 1 2% 980000-40-1223-000 Parts 980000-40-1224-000 Fuel Comment 8,246 8,246 6,989 8,452 206 2% 980000-40-1225-000 External Repairs 565 565 899 579 14 2% 980000-40-1279-000 Services - Other 1,130 1,130 1,381 1,158 28 2% 980000-40-1314-000 Ins. Prem - Motor Vehicle 1,023 1,023 764 764 -259 -25% 2,533,979 2,873,779 2,065,992 2,835,906 -37,873 -1% 0 0 0 305,000 305,000 980000-32-3253-000 Fleet / Plant 89,278 89,278 79,413 36,163 -53,115 New Budget to allow for the subsequent payment to Landcorp in regards to development contributions received from the Springs development. The funds will be transferred from the Development Contribution Reserve. Previously budgeted within natural a/c 1059. -59% Replacement of Fleet FL7 TOTAL 3 - Capital Expenditure 89,278 89,278 79,413 341,163 251,885 282% TOTAL 1 - Expenditure 3 - Capital Expenditure 980000-32-3059-000 Contribution - Capital 4 - Income 980000-00-4075-000 Reimb - Legal Costs 980000-00-4077-000 Reimb - Miscellaneous 980000-00-4106-000 Zoning Certificate 980000-00-4107-000 Planning Advice 980000-00-4113-000 Settlement Enquiries 980000-00-4124-000 Application Fees 980000-00-4125-000 Sale of Publications 980000-00-4145-000 Fines - Planning 0 -196,196 -198,897 -50,000 146,196 -75% -500 -90,909 -90,909 0 90,909 -100% -11,500 -11,500 -7,373 -10,000 1,500 -13% -2,000 -2,000 -221 -1,000 1,000 -50% -15,000 -15,000 -15,476 -15,000 0 0% -700,000 -900,000 -856,783 -900,000 0 0% large scale development with large fees will continue to occur along GEH -150 -150 0 0 150 -100% -2,000 0 0 0 0 0% 0 100 -115 -100 -200 -200% -540,849 -540,849 -242,485 -557,942 -17,093 3% -1,271,999 -1,756,504 -1,412,259 -1,534,042 222,462 -13% 980000-00-6059-000 Cont - Other -305,000 -305,000 0 -305,000 0 980000-00-6253-000 Fleet / Plant -52,000 -52,000 -54,318 0 52,000 980000-00-6835-000 LSL Reserve - Salaries -32,082 0 0 -16,631 -16,631 -389,082 -357,000 -54,318 -321,631 35,369 -10% 980000-00-4399-000 Miscellaneous 980000-00-4400-000 ABC Cost Recovery TOTAL 4 - Income 6 - Capital Income TOTAL 6 - Capital Income TOTAL 980000 - Town Planning 0% Allow for the possible receipt of development contribution income. This is subsequently transferred to Reserve. -100% New Reserve Tfr to cover LSL expense. 962,176 849,553 678,828 1,321,396 471,843 56% TOTAL 440 - Planning Services 962,176 849,553 678,828 1,321,396 471,843 56% TOTAL 050 - Planning Services 962,176 849,553 678,828 1,321,396 471,843 56% 055 - Building Services 450 - Building Control 980500 - Building Control 1 - Expenditure 980500-00-1128-000 Photocopying 980500-00-1200-000 Salaries 980500-00-1202-000 Allowances 980500-00-1204-000 Long Service Leave 980500-00-1208-000 Workers Compensation 4,000 1,667 -428 1,700 33 2% 529,323 510,000 451,806 542,065 32,065 6% 399 399 265 300 -100 -25% 20,426 6,000 0 16,906 10,906 182% 9,351 9,351 9,175 9,508 157 2% 980500-00-1209-000 Superannuation 72,929 72,929 57,879 73,342 413 1% 980500-00-1211-000 Fringe Benefits Tax 17,435 17,435 22,025 18,185 750 4% Page 70 of 121 A48.72 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 980500-00-1216-000 Agency Staff Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 10,000 24,000 24,643 20,000 -4,000 980500-00-1226-000 Stationery 3,500 3,500 2,341 3,500 0 980500-00-1227-000 Printing 2,500 4,500 3,174 7,200 2,700 980500-00-1228-000 Book Purchases Local 2,000 500 0 500 0 980500-00-1240-000 Safety Equipment 500 500 0 800 300 980500-00-1252-000 Equipment 500 500 282 500 0 980500-00-1263-000 Services - Advertising 10,000 7,500 2,811 7,500 0 7,500 5,000 1,739 6,500 1,500 15,000 12,500 6,280 15,000 2,500 980500-00-1317-000 Ins. Prem - Other 8,074 8,074 7,476 7,451 -623 980500-00-1322-000 Telephone 7,859 7,859 6,680 8,394 535 980500-00-1270-000 Services - Legal 980500-00-1271-000 Services - Other Consultants -17% Agency for support during vacancies and leave. Also for the historic building records project 0% Kept consistent with last financial year 60% Increased for purchase of swimming pool inspection books, application envelopes and certification advert printing 0% Purchase of Standards, etc. 60% For purchase of safety equipment for officers attending sites 0% Minor equipment purchases for the Department 0% Advertising for Staff Vacancies and Certification Services provided by the Department 30% Legal advice on Building matters and/or prosecutions, increased due to proposed mid year Building Regulation changes including introduction of Instant Start 20% Building Permit assessments, fire solutions, peer reviews, additional pool inspections and other minor consultancies -8% 7% Utilities to increase by CPI based on 2014/15 forecasts. 980500-00-1330-000 Subscriptions 1,600 1,000 906 1,400 400 980500-00-1371-000 Travel - Conferences 1,000 0 0 1,400 1,400 New National ABCB Conference 980500-00-1372-000 Accommodation - Conferences 1,500 0 0 1,000 1,000 New National ABCB Conference 980500-00-1373-000 Registration - Train/Conf 6,500 4,500 3,856 4,500 0 980500-00-1397-000 Refunds General 500 400 0 400 0 0% 980500-00-1399-000 Miscellaneous 600 600 465 600 0 0% 443,784 443,784 337,401 418,032 -25,752 -6% 980500-00-1400-000 ABC Cost Allocation 40% AIBS and practitioner registration reimbursements 0% National ABCB Conference, AIBS State Conference and other training for Building Services Staff 980500-40-1119-000 Licenses 1,295 1,295 757 1,327 32 2% Fleet 13-14-39-73 980500-40-1201-000 Wages 1,381 1,381 1,905 1,416 35 3% 980500-40-1216-000 Agency Staff 691 691 572 708 17 2% 980500-40-1221-000 Tyres 288 288 0 295 7 2% 980500-40-1222-000 Materials 208 208 0 213 5 2% 69 69 0 71 2 3% 11,656 11,656 11,702 11,947 291 2% 980500-40-1223-000 Parts 980500-40-1224-000 Fuel Comment 980500-40-1225-000 External Repairs 2,997 2,997 926 3,072 75 3% 980500-40-1279-000 Services - Other 1,381 1,381 555 1,416 35 3% 920 920 687 687 -233 -25% 1,197,666 1,163,384 955,881 1,187,834 24,450 2% 980500-32-3253-000 Fleet / Plant 108,489 108,489 100,972 77,977 -30,512 -28% Replacement of Fleet FL13-73 TOTAL 3 - Capital Expenditure 108,489 108,489 100,972 77,977 -30,512 -28% -1,000 -1,000 -1,255 -1,000 0 0% 0 -15 -15 -15 0 0% -42,000 -46,000 -47,762 -47,500 -1,500 -470,000 -500,000 -463,474 -500,000 0 0% Income from licence application fees. A small allowance has been made for developments at the Springs. -2,500 -1,525 -1,654 -1,525 0 0% 980500-40-1314-000 Ins. Prem - Motor Vehicle TOTAL 1 - Expenditure 3 - Capital Expenditure 4 - Income 980500-00-4076-000 Reimb - Staff Fuel 980500-00-4077-000 Reimb - Miscellaneous 980500-00-4113-000 Settlement Enquiries 980500-00-4124-000 Application Fees 980500-00-4128-000 Photocopying 3% Increased slightly to account for projected jump in Settlement enquires for the Springs Precinct. 980500-00-4136-000 Pool Levy -14,650 -15,023 -15,219 -15,000 23 980500-00-4139-000 Other Fees -31,000 -17,000 -15,595 -17,000 0 980500-00-4400-000 ABC Cost Recovery -31,826 -31,826 -18,871 -29,290 2,536 -8% -592,976 -612,389 -563,844 -611,330 1,059 0% TOTAL 4 - Income Page 71 of 121 0% Income from the annual pool levy 0% other miscellaneous fees (archive searches) A48.73 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 6 - Capital Income 980500-00-6253-000 Fleet / Plant -57,000 -57,000 -49,955 -43,000 14,000 980500-00-6835-000 LSL Reserve - Salaries -20,426 -6,000 0 -16,906 -10,906 182% TOTAL 6 - Capital Income -77,426 -63,000 -49,955 -59,906 3,094 -5% TOTAL 980500 - Building Control TOTAL 450 - Building Control -25% Income Fleet FL13-73 635,753 596,484 443,054 594,575 -1,909 0% 635,753 596,484 443,054 594,575 -1,909 0% 480 865 1,285 1,235 370 43% 460 - Building Construction 981500 - Building Operations 1 - Expenditure 981500-00-1128-000 Photocopying 220,673 220,673 190,357 229,478 8,805 4% 981500-00-1202-000 Allowances 981500-00-1200-000 Salaries 125 125 119 150 25 20% 981500-00-1203-000 Service Pay 0 0 25 0 0 0% 981500-00-1208-000 Workers Compensation 981500-00-1209-000 Superannuation 981500-00-1211-000 Fringe Benefits Tax 981500-00-1226-000 Stationery 3,753 3,753 3,683 3,903 150 4% 29,360 29,360 25,092 30,551 1,191 4% 9,674 9,674 8,138 10,090 416 4% 500 500 105 350 -150 -30% 981500-00-1228-000 Book Purchases Local 400 400 373 400 0 0% Cordells or Rawlinsons Project costing books 981500-00-1240-000 Safety Equipment 250 250 182 250 0 0% 981500-00-1252-000 Equipment 400 400 541 400 0 0% Miscellaneous equipment for building operations staff. 981500-00-1263-000 Services - Advertising 3,000 3,000 5,108 3,500 500 22,000 17,000 14,466 17,000 0 0% Jetty annual maintenance inspections, asset inspections, cleaning audits and asbestos register review 0 0 180 0 0 0% 1,323 1,323 984 1,209 -114 -9% Utilities to increase by CPI based on 2014/15 forecasts. 981500-00-1373-000 Registration - Train/Conf 750 1,100 654 1,000 -100 -9% Local conferences and training for Coordinator and Supervisor 981500-00-1399-000 Miscellaneous 100 100 0 100 0 52,727 52,727 39,351 219,461 166,734 981500-00-1271-000 Services - Other Consultants 981500-00-1280-000 Services - Training 981500-00-1322-000 Telephone 981500-00-1400-000 ABC Cost Allocation 981500-40-1119-000 Licenses 17% Advertising for Staff Vacancies and Tenders 0% Miscellaneous expenses for Coordinator and Supervisor 316% 659 659 566 675 16 2% Fleet 6-37 1,647 1,647 611 1,688 41 2% 981500-40-1216-000 Agency Staff 110 110 328 113 3 3% 981500-40-1221-000 Tyres 220 220 0 226 6 3% 981500-40-1222-000 Materials 220 220 0 226 6 3% 981500-40-1223-000 Parts 220 220 0 226 6 3% 981500-40-1224-000 Fuel 6,807 6,807 3,583 6,977 170 2% 981500-40-1201-000 Wages 981500-40-1225-000 External Repairs 1,098 1,098 1,600 1,125 27 2% 981500-40-1279-000 Services - Other 878 878 185 900 22 3% 981500-40-1314-000 Ins. Prem - Motor Vehicle 560 560 418 418 -142 -25% 357,934 353,668 297,933 531,651 177,983 50% 981500-32-3253-000 Fleet / Plant 36,163 36,163 35,361 0 -36,163 -100% TOTAL 3 - Capital Expenditure 36,163 36,163 35,361 0 -36,163 -100% 981500-00-6253-000 Fleet / Plant -19,000 -19,000 -16,364 0 19,000 -100% TOTAL 6 - Capital Income -19,000 -19,000 -16,364 0 19,000 -100% TOTAL 981500 - Building Operations 375,097 370,831 316,931 531,651 160,820 43% TOTAL 1 - Expenditure 3 - Capital Expenditure 6 - Capital Income Page 72 of 121 A48.74 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) BB1103 - Centenary Park Community Centre TOTAL 1 - Expenditure 360,000 538,054 538,014 5,000 -533,054 -99% -360,000 -334,491 -329,761 0 334,491 -100% 0 203,563 208,253 5,000 -198,563 -98% TOTAL 1 - Expenditure 15,000 12,000 11,600 15,000 3,000 25% TOTAL BB1109 - Architectural Services - Building 15,000 12,000 11,600 15,000 3,000 25% 50,000 40,000 12,380 105,000 65,000 163% -10,000 -10,000 0 0 10,000 -100% 40,000 30,000 12,380 105,000 75,000 250% TOTAL 1 - Expenditure 0 1,250 1,250 0 -1,250 -100% TOTAL BB1205 - Harman Street Community Facility 0 1,250 1,250 0 -1,250 -100% TOTAL 1 - Expenditure 50,000 50,000 51,142 25,000 -25,000 -50% TOTAL BB1303 - Security System Upgrade 50,000 50,000 51,142 25,000 -25,000 -50% 63,000 0 0 0 0 0% -42,000 0 0 0 0 0% 21,000 0 0 0 0 0% 260,000 300,000 289,820 5,000 -295,000 -98% -260,000 -280,000 -65,455 0 280,000 -100% 0 20,000 224,365 5,000 -15,000 -75% TOTAL 1 - Expenditure 20,000 3,000 517 0 -3,000 -100% TOTAL BB1405 - Disability and access inclusion upgrades 20,000 3,000 517 0 -3,000 -100% TOTAL 6 - Capital Income TOTAL BB1103 - Centenary Park Community Centre BB1109 - Architectural Services - Building BB1202 - Jetty works TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL BB1202 - Jetty works BB1205 - Harman Street Community Facility BB1303 - Security System Upgrade BB1401 - Miles Park - Sport Light TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL BB1401 - Miles Park - Sport Light BB1404 - War Memorial Upgrade TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL BB1404 - War Memorial Upgrade BB1405 - Disability and access inclusion upgrades BB1406 - Matheson road Sub-division Demolition TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL BB1406 - Matheson road Sub-division Demolition 500,000 500,000 0 150,000 -350,000 -70% -500,000 -500,000 0 -150,000 350,000 -70% 0 0 0 0 0 0% 50,000 40,000 33,892 0 -40,000 -100% -50,000 -40,000 0 0 40,000 -100% 0 0 33,892 0 0 0% 2,500,000 30,000 1,150 1,250,000 1,220,000 4067% BB1407 - Lintonmarc Drive Sub-division Demolition TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL BB1407 - Lintonmarc Drive Sub-division Demolition BB1410 - Civic Centre Revitalisation - Major project in cen TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL BB1410 - Civic Centre Revitalisation - Major project in cen -2,500,000 0 0 -1,250,000 -1,250,000 New 0 30,000 1,150 0 -30,000 -100% BB1411 - Administration office alterations TOTAL 1 - Expenditure 50,000 55,000 55,176 50,000 -5,000 -9% TOTAL BB1411 - Administration office alterations 50,000 55,000 55,176 50,000 -5,000 -9% 35,000 22,825 22,825 0 -22,825 -100% BB1415 - Centenary Park Car Park Lighting Project TOTAL 1 - Expenditure Page 73 of 121 Comment A48.75 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL BB1415 - Centenary Park Car Park Lighting Project Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 35,000 22,825 22,825 0 -22,825 -100% 150,000 150,000 0 150,000 0 0% -150,000 -150,000 0 -150,000 0 0% 0 0 0 0 0 0% TOTAL 1 - Expenditure 150,000 115,000 82,130 0 -115,000 -100% TOTAL BB1502 - Forster Park Toilets 150,000 115,000 82,130 0 -115,000 -100% TOTAL 1 - Expenditure 150,000 128,582 128,582 0 -128,582 -100% TOTAL BB1503 - Gerry Archer Toilets 150,000 128,582 128,582 0 -128,582 -100% TOTAL 1 - Expenditure 45,000 23,140 23,140 0 -23,140 -100% TOTAL BB1504 - Willow Park Lighting 45,000 23,140 23,140 0 -23,140 -100% TOTAL 1 - Expenditure 7,000 2,230 2,230 0 -2,230 -100% TOTAL BB1506 - Middleton Park Community Centre Bin Store 7,000 2,230 2,230 0 -2,230 -100% TOTAL 1 - Expenditure 0 160,000 49,353 0 -160,000 -100% TOTAL BB1507 - Wilson Park Auto Toilet 0 160,000 49,353 0 -160,000 -100% TOTAL 1 - Expenditure 0 12,675 12,675 0 -12,675 -100% TOTAL 6 - Capital Income 0 -12,675 -12,675 0 12,675 -100% TOTAL BB1508 - Oasis Hard Court Light Installation 0 0 0 0 0 0% TOTAL 1 - Expenditure 0 30,000 24,182 0 -30,000 -100% TOTAL BB1509 - Tennis Club Air-Con Installation 0 30,000 24,182 0 -30,000 -100% TOTAL 1 - Expenditure 0 12,000 12,985 0 -12,000 -100% TOTAL BB1510 - Tomato Lake Lighting 0 12,000 12,985 0 -12,000 -100% TOTAL 1 - Expenditure 0 40,000 0 0 -40,000 -100% TOTAL BB1511 - Operations Centre Carpet Replacement 0 40,000 0 0 -40,000 -100% TOTAL 1 - Expenditure 0 6,000 0 0 -6,000 -100% TOTAL BB1512 - Garvey Park Kiosk Air-Con 0 6,000 0 0 -6,000 -100% TOTAL 1 - Expenditure 0 0 0 40,000 40,000 New TOTAL BB1601 - Hardey Park Doll House 0 0 0 40,000 40,000 New BB1501 - Belmont Nursing Home TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL BB1501 - Belmont Nursing Home BB1502 - Forster Park Toilets BB1503 - Gerry Archer Toilets BB1504 - Willow Park Lighting BB1506 - Middleton Park Community Centre Bin Store BB1507 - Wilson Park Auto Toilet BB1508 - Oasis Hard Court Light Installation BB1509 - Tennis Club Air-Con Installation BB1510 - Tomato Lake Lighting BB1511 - Operations Centre Carpet Replacement BB1512 - Garvey Park Kiosk Air-Con BB1601 - Hardey Park Doll House BB1602 - Wilson Park Netball Sport Lights TOTAL 1 - Expenditure 0 0 0 20,000 20,000 New TOTAL BB1602 - Wilson Park Netball Sport Lights 0 0 0 20,000 20,000 New BB1603 - Miles Park Community Centre TOTAL 1 - Expenditure 0 0 0 85,000 85,000 New TOTAL BB1603 - Miles Park Community Centre 0 0 0 85,000 85,000 New Page 74 of 121 Comment A48.76 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) BB1605 - Disability Access Inclusion TOTAL 1 - Expenditure 0 0 0 50,000 50,000 New TOTAL BB1605 - Disability Access Inclusion 0 0 0 50,000 50,000 New BB1608 - Men’s Shed TOTAL 1 - Expenditure 0 0 0 50,000 50,000 New TOTAL BB1608 - Men’s Shed 0 0 0 50,000 50,000 New BB1609 - Emergency Power Belmont Oasis TOTAL 1 - Expenditure 0 0 0 40,000 40,000 New TOTAL BB1609 - Emergency Power Belmont Oasis 0 0 0 40,000 40,000 New 958,097 1,315,421 1,262,083 1,021,651 -293,770 -22% TOTAL 460 - Building Construction 470 - Building Maintenance B00101 - Faulkner Park Toilet Block TOTAL 1 - Expenditure 20,922 22,554 17,625 22,123 -431 -2% TOTAL B00101 - Faulkner Park Toilet Block 20,922 22,554 17,625 22,123 -431 -2% B00105 - Faulkner Park Feature Playgrou TOTAL 1 - Expenditure 319 319 834 1,265 946 297% TOTAL B00105 - Faulkner Park Feature Playgrou 319 319 834 1,265 946 297% B00106 - Faulkner Park-Pergola/Gazebo TOTAL 1 - Expenditure 5,876 7,897 5,710 3,047 -4,850 -61% TOTAL B00106 - Faulkner Park-Pergola/Gazebo 5,876 7,897 5,710 3,047 -4,850 -61% B00126 - Faulkner Park-Memorials TOTAL 1 - Expenditure 1,465 1,465 538 1,616 151 10% TOTAL B00126 - Faulkner Park-Memorials 1,465 1,465 538 1,616 151 10% TOTAL 1 - Expenditure 1,060 4,728 1,412 2,552 -2,176 -46% TOTAL B00127 - Faulkner Park-Public Artworks 1,060 4,728 1,412 2,552 -2,176 -46% TOTAL 1 - Expenditure 500 978 478 1,780 802 82% TOTAL B00128 - Faulkner Park - SkatePark 500 978 478 1,780 802 82% TOTAL 1 - Expenditure 4,673 12,673 12,415 30,640 17,967 142% TOTAL B00129 - Faulkner Park Lighting 4,673 12,673 12,415 30,640 17,967 142% TOTAL 1 - Expenditure 910 910 644 3,922 3,012 331% TOTAL B00130 - Lake Observation Platform 910 910 644 3,922 3,012 331% TOTAL 1 - Expenditure 17,616 21,429 16,310 19,022 -2,407 -11% TOTAL B03001 - Garvey Park-Toilets-Main 17,616 21,429 16,310 19,022 -2,407 -11% TOTAL 1 - Expenditure 6,000 1,500 899 1,500 0 0% TOTAL B03029 - Garvey Park Lighting 6,000 1,500 899 1,500 0 0% TOTAL 1 - Expenditure 545 5,545 0 10,545 5,000 90% TOTAL B03031 - Garvey Park Boardwalk Kanowna 545 5,545 0 10,545 5,000 90% B00127 - Faulkner Park-Public Artworks B00128 - Faulkner Park - SkatePark B00129 - Faulkner Park Lighting B00130 - Lake Observation Platform B03001 - Garvey Park-Toilets-Main B03029 - Garvey Park Lighting B03031 - Garvey Park Boardwalk Kanowna B04001 - Tomato Lake-Toilets-Main Page 75 of 121 Comment A48.77 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) TOTAL 1 - Expenditure 28,933 28,808 20,315 27,256 -1,552 -5% TOTAL B04001 - Tomato Lake-Toilets-Main 28,933 28,808 20,315 27,256 -1,552 -5% TOTAL 1 - Expenditure 22,736 22,736 17,205 16,626 -6,110 -27% TOTAL B04002 - Tomato Lake-Toilets Pres. St. 22,736 22,736 17,205 16,626 -6,110 -27% B04002 - Tomato Lake-Toilets Pres. St. B04029 - Tomato Lake Lighting TOTAL 1 - Expenditure 7,000 1,500 0 1,500 0 0% TOTAL B04029 - Tomato Lake Lighting 7,000 1,500 0 1,500 0 0% TOTAL 1 - Expenditure 11,101 10,361 7,365 14,987 4,626 45% TOTAL B04030 - Tomato Boardwalk 11,101 10,361 7,365 14,987 4,626 45% TOTAL 1 - Expenditure 250 250 0 250 0 0% TOTAL B11029 - Cracknell Pk Lighting 250 250 0 250 0 0% TOTAL 1 - Expenditure 9,743 10,337 7,099 10,578 241 2% TOTAL B13101 - Hardey Park - Auto Toilet 9,743 10,337 7,099 10,578 241 2% TOTAL 1 - Expenditure 3,199 3,199 1,872 3,166 -33 -1% TOTAL B13129 - Adachi Park Tea House Lighting 3,199 3,199 1,872 3,166 -33 -1% TOTAL 1 - Expenditure 5,307 5,212 3,357 4,657 -555 -11% TOTAL B13199 - Adachi Park Tea House 5,307 5,212 3,357 4,657 -555 -11% B04030 - Tomato Boardwalk B11029 - Cracknell Pk Lighting B13101 - Hardey Park - Auto Toilet B13129 - Adachi Park Tea House Lighting B13199 - Adachi Park Tea House B14129 - Ascot Waters Lighting TOTAL 1 - Expenditure 15,000 24,750 23,295 10,000 -14,750 -60% TOTAL B14129 - Ascot Waters Lighting 15,000 24,750 23,295 10,000 -14,750 -60% B14130 - Ascot Waters Jetties TOTAL 1 - Expenditure 5,515 5,515 2,257 8,240 2,725 49% TOTAL B14130 - Ascot Waters Jetties 5,515 5,515 2,257 8,240 2,725 49% TOTAL 1 - Expenditure 2,450 2,533 765 2,950 417 16% TOTAL B14199 - Ascot Waters General Buildings 2,450 2,533 765 2,950 417 16% B14199 - Ascot Waters General Buildings B14429 - Ascot Gardens Park Lighting TOTAL 1 - Expenditure 600 600 392 600 0 0% TOTAL B14429 - Ascot Gardens Park Lighting 600 600 392 600 0 0% TOTAL 1 - Expenditure 500 500 0 500 0 0% TOTAL B14529 - Mural Park Lighting 500 500 0 500 0 0% TOTAL 1 - Expenditure 645 645 0 645 0 0% TOTAL B15429 - Gould Reserve Lighting 645 645 0 645 0 0% TOTAL 1 - Expenditure 22,516 23,282 18,084 26,592 3,310 14% TOTAL B36301 - Goodwood Pde-Toilets-Main 22,516 23,282 18,084 26,592 3,310 14% B14529 - Mural Park Lighting B15429 - Gould Reserve Lighting B36301 - Goodwood Pde-Toilets-Main B36329 - Goodwood Pde Lighting Page 76 of 121 Comment A48.78 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) TOTAL 1 - Expenditure 2,500 2,500 358 2,500 0 0% TOTAL B36329 - Goodwood Pde Lighting 2,500 2,500 358 2,500 0 0% TOTAL 1 - Expenditure 1,935 1,630 296 1,410 -220 -13% TOTAL B36330 - Goodwood Pde-Boat Ramp/Jetty 1,935 1,630 296 1,410 -220 -13% TOTAL 1 - Expenditure 300 300 0 300 0 0% TOTAL B38129 - Tribradden Park Lighting 300 300 0 300 0 0% TOTAL 1 - Expenditure 7,870 6,370 0 8,580 2,210 35% TOTAL B79913 - Blocks General-Fencing 7,870 6,370 0 8,580 2,210 35% TOTAL 1 - Expenditure 11,843 11,113 8,687 10,454 -659 -6% TOTAL B81099 - Cloverdale Clinic-Bldg Mntc 11,843 11,113 8,687 10,454 -659 -6% B82099-00-1317-000 Ins. Prem - Other 322 322 298 0 -322 -100% TOTAL 1 - Expenditure 322 322 298 0 -322 -100% TOTAL B82099 - Peachey Ave Scout Hall Bld Mnt 322 322 298 0 -322 -100% TOTAL 1 - Expenditure 241 241 223 0 -241 -100% TOTAL B83999 - Redcliffe Clinic - Bldg Mntc 241 241 223 0 -241 -100% TOTAL 1 - Expenditure 3,765 3,640 2,156 14,550 10,910 300% TOTAL B99806 - General Properties - Pergola/Gazebo 3,765 3,640 2,156 14,550 10,910 300% TOTAL 1 - Expenditure 29,572 29,572 23,739 30,077 505 2% TOTAL B99829 - Power Watch Lighting 29,572 29,572 23,739 30,077 505 2% 77,379 78,572 76,689 85,180 6,608 8% B36330 - Goodwood Pde-Boat Ramp/Jetty B38129 - Tribradden Park Lighting B79913 - Blocks General-Fencing B81099 - Cloverdale Clinic-Bldg Mntc B82099 - Peachey Ave Scout Hall Bld Mnt 1 - Expenditure B83999 - Redcliffe Clinic - Bldg Mntc B99806 - General Properties - Pergola/Gazebo B99829 - Power Watch Lighting B99899 - General Properties-Blding Mnt TOTAL 1 - Expenditure TOTAL B99899 - General Properties-Blding Mnt 77,379 78,572 76,689 85,180 6,608 8% 331,108 354,486 271,316 379,610 25,124 7% TOTAL 1 - Expenditure 15,000 3,250 0 3,250 0 0% TOTAL 981000 - Building - Active Reserves 15,000 3,250 0 3,250 0 0% TOTAL 1 - Expenditure 18,130 11,856 7,401 11,604 -252 -2% TOTAL B00501 - Forster Park-Toilets-Main 18,130 11,856 7,401 11,604 -252 -2% 400 400 624 420 20 5% 12,575 12,575 9,875 15,675 3,100 25% B00504-00-1276-000 Services - Security 750 750 270 775 25 3% B00504-00-1286-000 Services - Hygiene 0 0 130 655 655 New TOTAL 470 - Building Maintenance 480 - Building Active Reserves 981000 - Building - Active Reserves B00501 - Forster Park-Toilets-Main B00504 - Forster Park-Clubrooms 1 - Expenditure B00504-00-1239-000 Consumables B00504-00-1266-000 Services - Cleaning Page 77 of 121 Comment A48.79 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget B00504-00-1287-000 Services - Pest Control Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 670 850 655 800 -50 1,614 1,614 1,495 1,490 -124 263 263 196 253 -10 -4% Utilities to increase by CPI based on 2014/15 forecasts. B00504-10-1201-000 Wages 1,500 1,700 1,758 2,200 500 29% B00504-10-1219-000 Overheads B00504-00-1317-000 Ins. Prem - Other B00504-00-1322-000 Telephone -6% -8% 2,100 2,380 2,461 3,080 700 29% B00504-10-1222-000 Materials 450 450 545 660 210 47% B00504-10-1253-000 Fleet / Plant 300 300 195 440 140 47% B00504-10-1265-000 Services - Equipment Maint. 775 775 1,010 1,720 945 2,500 2,500 2,173 6,500 4,000 B00504-11-1201-000 Wages 130 130 53 130 0 0% B00504-11-1219-000 Overheads 182 182 74 182 0 0% B00504-11-1222-000 Materials 39 39 0 39 0 0% B00504-11-1253-000 Fleet / Plant 26 26 13 26 0 0% 650 380 0 350 -30 -8% B00504-10-1279-000 Services - Other B00504-11-1279-000 Services - Other 122% 160% Replace Shade sails to external of Clubrooms TOTAL 1 - Expenditure 24,924 25,314 21,526 35,395 10,081 40% TOTAL B00504 - Forster Park-Clubrooms 24,924 25,314 21,526 35,395 10,081 40% B00505 - Forster Park-Hall TOTAL 1 - Expenditure 37,571 40,523 34,782 56,469 15,946 39% TOTAL B00505 - Forster Park-Hall 37,571 40,523 34,782 56,469 15,946 39% TOTAL 1 - Expenditure 750 750 374 713 -37 -5% TOTAL B00507 - Forster Park-Public Seating 750 750 374 713 -37 -5% B00507 - Forster Park-Public Seating B00529 - Forster Park Lighting TOTAL 1 - Expenditure 3,145 3,145 0 2,145 -1,000 -32% TOTAL B00529 - Forster Park Lighting 3,145 3,145 0 2,145 -1,000 -32% TOTAL 1 - Expenditure 945 6,705 4,479 6,705 0 0% TOTAL B01001 - Centenary Park Auto Toilet 945 6,705 4,479 6,705 0 0% TOTAL 1 - Expenditure 25,632 24,380 18,833 26,250 1,870 8% TOTAL B01004 - Centenary Park-Clubrooms 25,632 24,380 18,833 26,250 1,870 8% TOTAL 1 - Expenditure 18,495 15,839 10,583 35,770 19,931 126% TOTAL B01005 - Centenary Park-Hall 18,495 15,839 10,583 35,770 19,931 126% TOTAL 1 - Expenditure 500 500 147 2,145 1,645 329% TOTAL B01029 - Centenary Park Lighting 500 500 147 2,145 1,645 329% TOTAL 1 - Expenditure 4,352 4,146 4,054 0 -4,146 -100% TOTAL B01504 - Ascot Park-Clubrooms 4,352 4,146 4,054 0 -4,146 -100% TOTAL 1 - Expenditure 500 0 0 0 0 0% TOTAL B01529 - Ascot Park Carpark Lighting 500 0 0 0 0 0% 1,435 4,395 3,460 3,435 -960 -22% B01001 - Centenary Park Auto Toilet B01004 - Centenary Park-Clubrooms B01005 - Centenary Park-Hall B01029 - Centenary Park Lighting B01504 - Ascot Park-Clubrooms B01529 - Ascot Park Carpark Lighting B02529 - Athletic Park Lighting TOTAL 1 - Expenditure Page 78 of 121 Comment A48.80 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL B02529 - Athletic Park Lighting Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 1,435 4,395 3,460 3,435 -960 -22% TOTAL 1 - Expenditure 49,614 46,513 42,770 23,318 -23,195 -50% TOTAL B02599 - Athletic Park - Bldg Mntc 49,614 46,513 42,770 23,318 -23,195 -50% TOTAL 1 - Expenditure 27,923 26,838 21,148 27,683 846 3% TOTAL B03504 - Middleton Park-Clubrooms 27,923 26,838 21,148 27,683 846 3% TOTAL 1 - Expenditure 720 720 3,094 1,645 925 128% TOTAL B03529 - Middleton Park Lighting 720 720 3,094 1,645 925 128% TOTAL 1 - Expenditure 0 0 0 1,414 1,414 New TOTAL B04504 - Selby Park-Clubrooms 0 0 0 1,414 1,414 New TOTAL 1 - Expenditure 80 0 0 0 0 0% TOTAL B04529 - Selby Park Lighting 80 0 0 0 0 0% TOTAL 1 - Expenditure 24,681 22,415 14,575 19,779 -2,636 -12% TOTAL B05004 - Wilson Park-Clubrooms 24,681 22,415 14,575 19,779 -2,636 -12% TOTAL 1 - Expenditure 645 395 0 4,145 3,750 949% TOTAL B05006 - Wilson Park-Pergola/Gazebo 645 395 0 4,145 3,750 949% B02599 - Athletic Park - Bldg Mntc B03504 - Middleton Park-Clubrooms B03529 - Middleton Park Lighting B04504 - Selby Park-Clubrooms B04529 - Selby Park Lighting B05004 - Wilson Park-Clubrooms B05006 - Wilson Park-Pergola/Gazebo B05029 - Wilson Park Lighting TOTAL 1 - Expenditure 7,145 4,400 1,472 4,435 35 1% TOTAL B05029 - Wilson Park Lighting 7,145 4,400 1,472 4,435 35 1% TOTAL 1 - Expenditure 20,019 19,469 14,159 13,905 -5,564 -29% TOTAL B05501 - Peet Park-Toilets-Main 20,019 19,469 14,159 13,905 -5,564 -29% B05501 - Peet Park-Toilets-Main B05504 - Peet Park-Clubrooms TOTAL 1 - Expenditure 38,870 36,411 25,751 43,251 6,840 19% TOTAL B05504 - Peet Park-Clubrooms 38,870 36,411 25,751 43,251 6,840 19% B05529 - Peet Park Lighting TOTAL 1 - Expenditure 1,000 1,000 0 1,000 0 0% TOTAL B05529 - Peet Park Lighting 1,000 1,000 0 1,000 0 0% B06004 - Miles Park-Clubrooms TOTAL 1 - Expenditure 22,189 21,483 18,706 20,147 -1,336 -6% TOTAL B06004 - Miles Park-Clubrooms 22,189 21,483 18,706 20,147 -1,336 -6% TOTAL 1 - Expenditure 4,080 8,325 7,964 2,870 -5,455 -66% TOTAL B06029 - Miles Park Lighting 4,080 8,325 7,964 2,870 -5,455 -66% TOTAL 1 - Expenditure 91,746 83,151 81,532 80,300 -2,851 -3% TOTAL B06504 - Redcliffe Park - Hall 91,746 83,151 81,532 80,300 -2,851 -3% 1,100 1,100 827 11,500 10,400 945% B06029 - Miles Park Lighting B06504 - Redcliffe Park - Hall B06529 - Redcliffe Park Lighting TOTAL 1 - Expenditure Page 79 of 121 Comment A48.81 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL B06529 - Redcliffe Park Lighting Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 1,100 1,100 827 11,500 10,400 945% TOTAL 1 - Expenditure 1,466 1,379 923 1,889 510 37% TOTAL B14299 - Ascot Water Playgrnd-Blg Mntc 1,466 1,379 923 1,889 510 37% TOTAL 1 - Expenditure 3,000 3,000 0 5,000 2,000 67% TOTAL B15029 - Belmont Oval Lighting 3,000 3,000 0 5,000 2,000 67% TOTAL 1 - Expenditure 618 618 431 545 -73 -12% TOTAL B15099 - Belmont Oval-Building Mntc 618 618 431 545 -73 -12% TOTAL 1 - Expenditure 13,707 12,257 7,398 8,692 -3,565 -29% TOTAL B80599 - Arts & Crafts Centre Bld Mnt 13,707 12,257 7,398 8,692 -3,565 -29% B14299 - Ascot Water Playgrnd-Blg Mntc B15029 - Belmont Oval Lighting B15099 - Belmont Oval-Building Mntc B80599 - Arts & Crafts Centre Bld Mnt B81599 - Harman St Community Centre TOTAL 1 - Expenditure 16,999 39,357 29,020 44,275 4,918 12% TOTAL B81599 - Harman St Community Centre 16,999 39,357 29,020 44,275 4,918 12% B82329 - Cl'Vdale Sprt/Rec Cnt Lighting TOTAL 1 - Expenditure 2,000 2,000 0 2,000 0 0% TOTAL B82329 - Cl'Vdale Sprt/Rec Cnt Lighting 2,000 2,000 0 2,000 0 0% B82399 - Cl'vdale Sprt/Rec Cnt-Blg Mntc TOTAL 1 - Expenditure 8,287 7,787 5,785 11,055 3,268 42% TOTAL B82399 - Cl'vdale Sprt/Rec Cnt-Blg Mntc 8,287 7,787 5,785 11,055 3,268 42% TOTAL 1 - Expenditure 11,573 14,643 10,041 10,958 -3,685 -25% TOTAL B82499 - Tennis Club-Bldg Mntc 11,573 14,643 10,041 10,958 -3,685 -25% 76,174 70,532 59,001 76,634 6,102 9% B82499 - Tennis Club-Bldg Mntc B85599 - Rivervale Comm Cntr - Blg Mnt TOTAL 1 - Expenditure TOTAL B85599 - Rivervale Comm Cntr - Blg Mnt 76,174 70,532 59,001 76,634 6,102 9% 575,013 564,596 450,234 600,322 35,726 6% 984000-00-1400-000 ABC Cost Allocation 133 133 105 0 -133 -100% TOTAL 1 - Expenditure 133 133 105 0 -133 -100% TOTAL 480 - Building Active Reserves 490 - Pre-Schools & Kindys 984000 - Pre-Schools & Kindys 1 - Expenditure TOTAL 984000 - Pre-Schools & Kindys 133 133 105 0 -133 -100% 133 133 105 0 -133 -100% 982000-00-1200-000 Salaries 25,399 25,399 20,430 25,173 -226 -1% 982000-00-1201-000 Wages 26,050 20,000 12,251 17,113 -2,887 -14% TOTAL 490 - Pre-Schools & Kindys 500 - Building Overheads 982000 - Building Overheads 1 - Expenditure 982000-00-1202-000 Allowances 125 125 102 150 25 20% 982000-00-1203-000 Service Pay 2,756 2,756 2,413 2,756 0 0% 0 3,131 3,131 7,544 4,413 141% 2,391 2,391 2,346 2,633 242 10% 982000-00-1204-000 Long Service Leave 982000-00-1208-000 Workers Compensation Page 80 of 121 Comment A48.82 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 982000-00-1209-000 Superannuation Current Budget 15,876 Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 15,876 13,907 16,396 520 3% 982000-00-1222-000 Materials 750 750 274 600 -150 -20% non allocatable materials 982000-00-1226-000 Stationery 450 450 59 300 -150 -33% 982000-00-1234-000 Uniforms/Protective Clothing 700 700 1,114 800 100 14% safety protective clothing or equipment 982000-00-1239-000 Consumables 650 650 846 800 150 982000-00-1240-000 Safety Equipment 350 350 171 250 -100 1,200 1,200 540 1,200 0 350 350 286 350 0 0% non allocatable plant use 0 0 4 0 0 0% 982000-00-1279-000 Services - Other 100 100 0 100 0 0% 982000-00-1322-000 Telephone 932 932 590 721 -211 -23% Utilities to increase by CPI based on 2014/15 forecasts. 1,000 1,000 609 750 -250 -25% training for trades 100 100 0 100 0 0% 45,927 45,927 35,508 16,736 -29,191 -64% 125,106 122,187 94,582 94,472 -27,715 -23% 982000-00-4404-000 Building Overheads -125,106 -125,106 -110,678 -86,928 38,178 -31% TOTAL 4 - Income -125,106 -125,106 -110,678 -86,928 38,178 -31% 982000-00-6836-000 LSL Reserve - Wages 0 -3,131 0 -7,544 -4,413 141% TOTAL 6 - Capital Income 0 -3,131 0 -7,544 -4,413 141% 982000-00-1252-000 Equipment 982000-00-1253-000 Fleet / Plant 982000-00-1257-000 Laptops (<$1,000) 982000-00-1373-000 Registration - Train/Conf 982000-00-1399-000 Miscellaneous 982000-00-1400-000 ABC Cost Allocation TOTAL 1 - Expenditure 23% Minor consumables, nails, glue, screws, etc. -29% checking and repair of safety harnesses and rope for working at height 0% workshop equipment repairs and replacements 4 - Income 6 - Capital Income TOTAL 982000 - Building Overheads 0 -6,050 -16,096 0 6,050 -100% 0 -6,050 -16,096 0 6,050 -100% 923000-00-4400-000 ABC Cost Recovery -649,366 -649,366 -494,042 -651,824 -2,459 0% TOTAL 4 - Income -649,366 -649,366 -494,042 -651,824 -2,459 0% TOTAL 923000 - Accommodation Costs -649,366 -649,366 -494,042 -651,824 -2,459 0% TOTAL 1 - Expenditure 639,762 630,347 530,303 641,982 11,635 2% TOTAL B80099 - Administration Buildng Bld Mnt 639,762 630,347 530,303 641,982 11,635 2% TOTAL 500 - Building Overheads 510 - Accommodation Costs 923000 - Accommodation Costs 4 - Income B80099 - Administration Buildng Bld Mnt P80017 - Admin Blg-Indoor Plants TOTAL 1 - Expenditure 9,604 9,604 4,640 9,842 239 2% TOTAL P80017 - Admin Blg-Indoor Plants 9,604 9,604 4,640 9,842 239 2% 0 -9,415 40,902 0 9,415 -100% 0 0 1,750 0 0 0% 236,199 236,199 202,936 243,953 7,754 3% TOTAL 510 - Accommodation Costs 540 - Customer Services 980600 - Building Control Customer Service 1 - Expenditure 980600-00-1128-000 Photocopying 980600-00-1200-000 Salaries 980600-00-1202-000 Allowances 200 200 219 200 0 980600-00-1204-000 Long Service Leave 7,248 5,030 5,016 8,108 3,078 980600-00-1208-000 Workers Compensation 4,143 4,143 4,065 4,288 145 3% 32,823 32,823 27,838 33,889 1,066 3% 980600-00-1209-000 Superannuation Page 81 of 121 Comment 0% 61% Staff LSL A48.83 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 980600-00-1226-000 Stationery Current Budget 500 500 Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 246 500 0 0% 980600-00-1250-000 Furniture 1,000 1,000 0 1,000 0 0% storage and display 980600-00-1252-000 Equipment 1,000 1,000 854 1,000 0 0% Minor equipment for front counter 980600-00-1263-000 Services - Advertising 1,500 1,500 0 1,500 0 0% Advertising for Staff vacancy if applicable 980600-00-1322-000 Telephone 5,004 5,004 3,984 5,123 119 500 500 0 500 0 50 670 570 100 -570 -85% 980600-00-1400-000 ABC Cost Allocation 122,412 122,412 91,710 127,504 5,092 4% TOTAL 1 - Expenditure 412,578 410,980 339,187 427,664 16,684 4% 980600-32-3252-000 Equipment 15,000 8,000 8,626 0 -8,000 -100% TOTAL 3 - Capital Expenditure 15,000 8,000 8,626 0 -8,000 -100% 980600-00-4400-000 ABC Cost Recovery -412,579 -412,579 -317,290 -427,664 -15,086 4% TOTAL 4 - Income -412,579 -412,579 -317,290 -427,664 -15,086 4% 980600-00-6835-000 LSL Reserve - Salaries -7,248 -5,030 0 -8,108 -3,078 61% fund LSL for staff TOTAL 6 - Capital Income -7,248 -5,030 0 -8,108 -3,078 61% 7,752 1,372 30,523 -8,108 -9,480 -691% 7,752 1,372 30,523 -8,108 -9,480 -691% 2,507,856 2,817,027 2,482,121 2,588,049 -228,978 -8% 250 250 0 200 -50 -20% 27,364 27,364 27,387 42,909 15,545 57% 50 50 46 50 0 0% 14,195 10,246 10,411 0 -10,246 -100% 707 707 694 730 23 3% 5,617 5,617 5,094 5,799 182 3% 15,000 11,453 11,453 0 -11,453 -100% 4,000 4,000 453 3,000 -1,000 922300-00-1226-000 Stationery 350 350 20 300 -50 922300-00-1234-000 Uniforms/Protective Clothing 500 500 0 500 0 0% PPE 0 0 14 0 0 0% 1,000 1,000 1,482 500 -500 980600-00-1373-000 Registration - Train/Conf 980600-00-1399-000 Miscellaneous Comment 2% Utilities to increase by CPI based on 2014/15 forecasts. 0% staff training costs 3 - Capital Expenditure 4 - Income 6 - Capital Income TOTAL 980600 - Building Control Customer Service TOTAL 540 - Customer Services TOTAL 055 - Building Services 060 - Health & Ranger Services 530 - Criminal Damage 922300 - Criminal Damage 1 - Expenditure 922300-00-1128-000 Photocopying 922300-00-1200-000 Salaries 922300-00-1202-000 Allowances 922300-00-1204-000 Long Service Leave 922300-00-1208-000 Workers Compensation 922300-00-1209-000 Superannuation 922300-00-1216-000 Agency Staff 922300-00-1222-000 Materials 922300-00-1239-000 Consumables 922300-00-1240-000 Safety Equipment 922300-00-1263-000 Services - Advertising 922300-00-1279-000 Services - Other 922300-00-1322-000 Telephone 922300-00-1373-000 Registration - Train/Conf 922300-00-1377-000 Travel - General 922300-00-1399-000 Miscellaneous 922300-00-1400-000 ABC Cost Allocation TOTAL 1 - Expenditure -25% Paint/other materials-comm.action days & painting over private property -14% stationery costs -50% Safety equipment 500 500 0 500 0 0% Minor Advertising Costs 50,000 45,000 27,329 45,000 0 0% CD removal costs- Pressure King 2,478 2,478 1,723 2,195 -283 500 500 0 500 0 -11% Utilities to increase by CPI based on 2015/16 forecasts. 0% All training/conference costs 100 100 86 100 0 0% 1,500 1,500 1,133 1,500 0 0% Minor unforeseen costs & community action day food etc. 66,684 66,684 49,915 95,324 28,640 43% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 190,795 178,299 137,241 199,107 20,808 12% Page 82 of 121 A48.84 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 6 - Capital Income 922300-00-6835-000 LSL Reserve - Salaries -14,195 -10,246 0 0 10,246 -100% TOTAL 6 - Capital Income -14,195 -10,246 0 0 10,246 -100% TOTAL 922300 - Criminal Damage 176,600 168,053 137,241 199,107 31,054 18% 922301 - Criminal Damage - Council Property 1 - Expenditure 922301-11-1201-000 Wages 1,500 1,500 1,291 1,800 300 922301-11-1219-000 Overheads 2,000 2,000 1,807 2,000 0 0% Council related CD o/heads 750 750 267 750 0 0% Council property related material costs 922301-11-1222-000 Materials 922301-11-1253-000 Fleet / Plant 20% Wages for Council related graffiti works 0 0 137 0 0 922301-11-1279-000 Services - Other 60,000 55,000 36,406 50,000 -5,000 -9% Contractor costs on council property TOTAL 1 - Expenditure 64,250 59,250 39,908 54,550 -4,700 -8% TOTAL 922301 - Criminal Damage - Council Property TOTAL 530 - Criminal Damage 0% 64,250 59,250 39,908 54,550 -4,700 -8% 240,850 227,303 177,149 253,657 26,354 12% 1,850 1,850 1,660 2,000 150 550 - Environmental Health 982500 - Health 1 - Expenditure 982500-00-1119-000 Licenses 982500-00-1124-000 Application Fees 982500-00-1127-000 Hire (Property & Equipment) 982500-00-1128-000 Photocopying 982500-00-1200-000 Salaries 8% Airport ID for CM & annual software NVMS license (Dec) 0 0 68 100 100 250 250 0 250 0 New Refunds 0% Emergency equipment hire e.g. pool kit 6,000 6,000 137 6,000 0 0% Photocopying costs 526,625 526,625 482,300 547,016 20,391 982500-00-1201-000 Wages 250 250 0 250 0 0% Op Centre assist 982500-00-1202-000 Allowances 300 300 276 300 0 0% 982500-00-1204-000 Long Service Leave 4% 0 0 5,575 0 0 0% 8,958 8,958 8,790 9,306 348 4% 64,273 64,273 60,331 69,873 5,600 9% 100 100 0 100 0 0% 982500-00-1211-000 Fringe Benefits Tax 27,789 27,789 26,454 28,984 1,195 4% 982500-00-1216-000 Agency Staff 12,000 8,000 3,455 8,000 0 0% Relief staff e.g. food, PB inspections 300 300 0 300 0 0% Op Centre Assist 982500-00-1222-000 Materials 1,000 1,000 300 1,000 0 982500-00-1224-000 Fuel 3,000 3,000 4,516 4,500 1,500 50% 982500-00-1226-000 Stationery 5,000 5,000 5,145 6,000 1,000 20% 982500-00-1228-000 Book Purchases Local 2,000 2,000 387 2,000 0 0% ANSTAT annual FZANZ subscription/legislation/stat 500 500 285 500 0 0% Safety shoes, hats, jackets 982500-00-1239-000 Consumables 4,500 4,500 4,167 4,500 0 0% Rat bait, water sampling tablets, food sampling gear 982500-00-1252-000 Equipment 2,000 2,000 256 2,000 0 0% Phones, chairs etc. 982500-00-1263-000 Services - Advertising 7,500 7,500 4,041 7,500 0 0% .All health related adverts-vacancies, fees & charges ads: 982500-00-1265-000 Services - Equipment Maint. 2,500 2,500 2,186 2,500 0 0% Calibration of equipment-pool testing, thermometers, noise meter & calibrator 982500-00-1270-000 Services - Legal 50,000 50,000 33,789 50,000 0 0% Solicitor's costs 982500-00-1279-000 Services - Other 20,000 20,000 9,126 20,000 0 982500-00-1208-000 Workers Compensation 982500-00-1209-000 Superannuation 982500-00-1210-000 Staff Medicals 982500-00-1219-000 Overheads 982500-00-1234-000 Uniforms/Protective Clothing 982500-00-1317-000 Ins. Prem - Other 3,510 3,510 3,250 3,239 -271 982500-00-1322-000 Telephone 4,407 4,407 3,995 4,935 528 982500-00-1330-000 Subscriptions 1,500 1,500 1,282 1,500 0 Page 83 of 121 0% equipment <$1000: 0% Services provided by others-analytical tax, food/water/other analysis, dept. internal survey cost, emergency clean up costs (private) -8% 12% Utilities to increase by CPI based on 2015/16 forecasts. 0% Corporate subscription to EHA institute for all EHOs A48.85 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 982500-00-1371-000 Travel - Conferences Current Budget 0 0 Budget YTD at Proposed Budget YTD Actual -545 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase 0 Increase (%) 0 Comment 0% 982500-00-1372-000 Accommodation - Conferences 1,000 1,000 0 1,000 0 0% 982500-00-1373-000 Registration - Train/Conf 7,500 7,500 3,605 7,500 0 0% MHRS & EHOs conference, ongoing and new training courses 982500-00-1399-000 Miscellaneous 8,000 8,000 857 8,000 0 0% Health emergencies, parking, id pics 982500-00-1400-000 ABC Cost Allocation 251,013 251,013 190,338 226,318 -24,695 982500-40-1119-000 Licenses 1,317 1,317 610 1,350 33 3% Fleet 9-54-41 982500-40-1201-000 Wages 1,610 1,610 1,918 1,650 40 2% 982500-40-1216-000 Agency Staff 1,025 1,025 443 1,051 26 3% 0 0 14 0 0 0% 982500-40-1221-000 Tyres 732 732 445 750 18 2% 982500-40-1222-000 Materials 732 732 0 750 18 2% 982500-40-1219-000 Overheads 982500-40-1223-000 Parts -10% 293 293 46 300 7 2% 10,540 10,540 8,887 10,804 264 3% 982500-40-1225-000 External Repairs 2,108 2,108 696 2,161 53 3% 982500-40-1279-000 Services - Other 1,171 1,171 370 1,200 29 2% 995 995 743 743 -252 -25% 1,044,148 1,040,148 870,198 1,046,230 6,082 1% 982500-32-3253-000 Fleet / Plant 114,140 114,140 104,605 36,163 -77,977 -68% Replacement of fleet FL42 TOTAL 3 - Capital Expenditure 114,140 114,140 104,605 36,163 -77,977 -68% -1,000 -1,000 -777 -1,000 0 982500-40-1224-000 Fuel 982500-40-1314-000 Ins. Prem - Motor Vehicle TOTAL 1 - Expenditure 3 - Capital Expenditure 4 - Income 982500-00-4076-000 Reimb - Staff Fuel 982500-00-4077-000 Reimb - Miscellaneous 982500-00-4113-000 Settlement Enquiries 982500-00-4119-000 Licenses 982500-00-4124-000 Application Fees -500 -500 0 -500 0 0% unforseen income sources -9,500 -9,500 -8,873 -9,500 0 0% Settlement enquiry fees income -93,000 -93,000 -90,867 -93,000 0 0% Food Audit,Stables…licenses income -4,500 -4,500 -4,051 -4,500 0 982500-00-4131-000 Inspection Fee -10,000 -10,000 -11,012 -12,000 -2,000 982500-00-4142-000 Fines - Health Act -30,000 -50,000 -59,763 -50,000 0 982500-00-4282-000 Services - Bulk Collections 0% staff fortnightly fuel contribution 0% Septic, grey water, public building ...applications income: 20% septic inspection, food settlement, rat bait/demo, fit out, s39 fees income 0% Court fines/costs, UDR/noise fines -100 -100 0 0 100 -100% 982500-00-4400-000 ABC Cost Recovery -203,397 -203,397 -137,247 -188,511 14,887 -7% TOTAL 4 - Income -351,997 -371,997 -312,590 -359,011 12,987 -3% 982500-00-6253-000 Fleet / Plant -62,000 -62,000 -70,909 -19,000 43,000 -69% Income from Fleet FL42 TOTAL 6 - Capital Income -62,000 -62,000 -70,909 -19,000 43,000 -69% TOTAL 982500 - Health 744,290 720,290 591,304 704,382 -15,908 -2% 77,222 30,000 25,672 31,473 1,473 5% 0 0 42 0 0 0% 982501-00-1208-000 Workers Compensation 1,313 1,313 1,288 535 -778 -59% 982501-00-1209-000 Superannuation 7,336 7,336 2,443 2,990 -4,346 -59% 500 500 0 500 0 0% PPE 10,000 10,000 10,166 10,000 0 0% Vectobac, dry ice, batteries,, mesh, stakes 982501-00-1240-000 Safety Equipment 300 300 0 300 0 0% Boots, clothing, nets, repellent 982501-00-1252-000 Equipment 750 750 521 750 0 0% Traps, stakes, 6 - Capital Income 982501 - Mosquito Control 1 - Expenditure 982501-00-1200-000 Salaries 982501-00-1202-000 Allowances 982501-00-1234-000 Uniforms/Protective Clothing 982501-00-1239-000 Consumables Page 84 of 121 A48.86 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 982501-00-1263-000 Services - Advertising Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 1,000 1,000 0 1,000 0 0% 982501-00-1279-000 Services - Other 150 150 0 150 0 0% Trap maintenance 982501-00-1373-000 Registration - Train/Conf 500 500 0 500 0 0% 3,000 3,000 2,790 3,250 250 982501-00-1377-000 Travel - General 982501-00-1399-000 Miscellaneous 8% Travel costs for mozzie officer 150 150 0 150 0 4,851 4,851 3,537 6,582 1,731 36% 107,072 59,850 46,458 58,180 -1,670 -3% 982501-00-4077-000 Reimb - Miscellaneous -8,000 -8,000 -12,947 -10,000 -2,000 25% Income from 6IX and DPI land treating TOTAL 4 - Income -8,000 -8,000 -12,947 -10,000 -2,000 25% 982501-00-1400-000 ABC Cost Allocation TOTAL 1 - Expenditure Comment 0% Unforseen costs 4 - Income TOTAL 982501 - Mosquito Control 99,072 51,850 33,511 48,180 -3,670 -7% TOTAL 550 - Environmental Health 843,363 772,141 624,815 752,562 -19,579 -3% 100 100 0 50 -50 -50% Eskies,boxes 200% gloves,needles, cotton, sharps boxes 560 - Immunisation 983500 - Immunisation 1 - Expenditure 983500-00-1222-000 Materials 983500-00-1239-000 Consumables 983500-00-1279-000 Services - Other 983500-00-1322-000 Telephone 983500-00-1399-000 Miscellaneous 100 100 275 300 200 4,000 4,000 2,544 4,000 0 420 420 151 238 -182 0% DOH nurse time/ 2clinics/mth ($300), medicollect sharps disposal -43% Utilities to increase by CPI based on 2015/16 forecasts. 0 0 4 0 0 0% 9,079 9,079 6,200 8,742 -337 -4% 13,699 13,699 9,173 13,330 -369 -3% 983500-00-4399-000 Miscellaneous 0 -2,000 -1,950 -2,000 0 0% income from DOH TOTAL 4 - Income 0 -2,000 -1,950 -2,000 0 0% 13,699 11,699 7,223 11,330 -369 -3% 13,699 11,699 7,223 11,330 -369 -3% 983000-00-1201-000 Wages 35,000 35,000 29,413 40,000 5,000 983000-00-1216-000 Agency Staff 10,000 10,000 1,660 5,000 -5,000 983000-00-1219-000 Overheads 70,000 70,000 65,317 70,000 0 0% 2,500 2,500 0 2,500 0 0% bins, padlocks, chains, poles etc. 50 50 0 50 0 0% 983500-00-1400-000 ABC Cost Allocation TOTAL 1 - Expenditure 4 - Income TOTAL 983500 - Immunisation TOTAL 560 - Immunisation 570 - Sanitation Charges 983000 - Sanitation Charges 1 - Expenditure 983000-00-1222-000 Materials 983000-00-1234-000 Uniforms/Protective Clothing 983000-00-1236-000 Sales 983000-00-1239-000 Consumables 983000-00-1240-000 Safety Equipment 983000-00-1252-000 Equipment 983000-00-1253-000 Fleet / Plant 983000-00-1263-000 Services - Advertising 983000-00-1264-000 Services - Rubbish 983000-00-1265-000 Services - Equipment Maint. 983000-00-1266-000 Services - Cleaning 14% Op Centre-drop off days, verge clean ups -50% Op Centre agency staff-drop off days, verge clean ups etc. 500 500 0 500 0 0% purchase of worm farms, compost bins 10,000 10,000 9,166 10,000 0 0% doggie bags ($8000) & resid.sulo bin attrition rate 200 200 70 200 0 0% PPE 750 750 0 750 0 0% <$1K 32,250 32,250 19,502 32,250 0 0% allocation of fleet/plant costs from drop off days and verge clean ups 5,000 5,000 6,879 7,000 2,000 5,020,069 4,670,069 3,907,099 5,154,540 484,471 500 500 0 500 0 0% bin repairs 9,500 9,500 8,216 9,500 0 0% quarterly bin bath services in parks/halls/streets and where required Page 85 of 121 40% asbestos/white goods day & other advertising (including $500/yr half share of bulk bin flyer costs) 10% Sanitation costs for uplift (PC), recycling (PC & Purearth) and disposal (EMRC & PC for sorted blue bin waste). . A48.87 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 983000-00-1279-000 Services - Other Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 20,000 20,000 22,194 25,000 5,000 223,545 223,545 163,519 141,981 -81,565 5,439,864 5,089,864 4,233,037 5,499,771 409,906 8% 0 350,000 0 0 -350,000 -100% 0 350,000 0 0 -350,000 -100% -500 -500 0 -500 0 -5,203,613 -5,203,613 -5,172,033 -5,265,211 -61,598 -231,751 -231,751 -236,983 -231,560 191 -3,500 -3,500 -2,035 -2,000 1,500 -500 -500 0 -500 0 0% sale of worm farms, compost bins 0 0 -17,669 0 0 0% -5,439,864 -5,439,864 -5,428,719 -5,499,771 -59,907 1% 0 0 -1,195,682 0 -1 -252% 0 0 -1,195,682 0 -1 -252% 922500-00-1071-000 Reimb - Private Works 2,500 2,500 2,184 5,000 2,500 922500-00-1077-000 Reimb - Miscellaneous 1,000 1,000 212 1,000 0 983000-00-1400-000 ABC Cost Allocation TOTAL 1 - Expenditure Comment 25% op centre verge clean/up & disposal, asbestos/disposal bin hire costs, degassing ($2K), oil, waste guide annual distribution costs ($1K),mattress recycling costs -36% 3 - Capital Expenditure *983000-00-3841-000 Waste Management Reserve * TOTAL 3 - Capital Expenditure 4 - Income 983000-00-4034-000 Grant - Recycling Svces 983000-00-4126-000 Sanitation Charges 983000-00-4137-000 Sanitation - 2nd or Subsequent 983000-00-4139-000 Other Fees 983000-00-4236-000 Sales 983000-00-4399-000 Miscellaneous TOTAL 4 - Income TOTAL 983000 - Sanitation Charges TOTAL 570 - Sanitation Charges 0% recycling rebate 1% Based on charges remaining fixed due to CPI rates for rubbish collection reducing in 14/15. 0% Based on charges remaining fixed due to CPI rates for rubbish collection reducing in 14/15. -43% 580 - Rangers 922500 - Rangers 1 - Expenditure 100% Bush fire clearance work by private contractor in default of notice 0% unforseen expenditure, dog license rebates 922500-00-1118-000 Poundage-Dogs 8,000 8,000 9,840 9,000 1,000 13% Julie's Kennels poundage fees- dogs 922500-00-1120-000 Poundage-Cats 1,000 8,000 8,128 10,000 2,000 25% Julie's Kennels poundage fees- cats 100 100 0 0 -100 7,500 7,500 6,640 8,500 1,000 350 350 131 350 0 0% photocopying 0 0 66 0 0 0% 366,886 366,886 326,775 446,377 79,491 1,500 1,500 275 1,500 0 250 250 227 300 50 20% 24,438 13,845 13,845 23,205 9,360 68% 922500-00-1122-000 Rent/Lease 922500-00-1127-000 Hire (Property & Equipment) 922500-00-1128-000 Photocopying 922500-00-1129-000 Lost & Damaged Books 922500-00-1200-000 Salaries 922500-00-1201-000 Wages 922500-00-1202-000 Allowances 922500-00-1204-000 Long Service Leave 922500-00-1208-000 Workers Compensation 922500-00-1209-000 Superannuation 922500-00-1211-000 Fringe Benefits Tax 922500-00-1216-000 Agency Staff -100% 13% towing fees 22% Includes an additional Ranger position. 0% Op Centre staff - verge firebreak work 6,656 6,656 6,531 7,988 1,332 20% 40,841 40,841 35,656 51,142 10,301 25% 1,368 1,368 7,409 1,427 59 4% 30,000 30,000 30,274 30,000 0 0% Agency cover for LSL April- Jun 2016 & proposed dog/cat door knock survey costs 922500-00-1219-000 Overheads 2,500 2,500 303 2,500 0 0% 922500-00-1222-000 Materials 5,000 5,000 824 5,000 0 0% printer cartridges, dog tags, cat tags, 922500-00-1226-000 Stationery 1,000 1,000 3,461 3,000 2,000 922500-00-1227-000 Printing 8,000 8,000 1,414 6,000 -2,000 922500-00-1234-000 Uniforms/Protective Clothing 2,000 2,000 2,010 2,000 0 0% PPE 500 500 0 500 0 0% animal/miscell.warning signs 922500-00-1235-000 Signs 922500-00-1239-000 Consumables 200% stationery, postage etc. -25% infringement notices & warning books (cat, fire, parking, dog), tow flyer, dog & cat flyer, cat rego forms 450 450 226 450 0 0% cable ties, batteries, tape, cat bait 922500-00-1240-000 Safety Equipment 1,000 1,000 0 1,000 0 0% muzzles, poles 922500-00-1252-000 Equipment 2,000 2,000 4,752 2,000 0 0% Cat traps, cameras, leads, mobiles Page 86 of 121 A48.88 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 922500-00-1253-000 Fleet / Plant 1,000 1,000 1,047 1,000 0 922500-00-1263-000 Services - Advertising 3,500 3,500 4,771 5,000 1,500 922500-00-1265-000 Services - Equipment Maint. 300 300 0 300 0 922500-00-1268-000 Services - Postal 150 150 0 0 -150 0% car signs/decals 43% notice advertising, cat awareness adverts, vacancy ads 0% maintenance of equipment -100% 922500-00-1270-000 Services - Legal 4,000 4,000 0 6,000 2,000 50% prosecution fees and charges 922500-00-1279-000 Services - Other 5,000 5,000 5,191 6,000 1,000 20% 0 0 920 0 0 0% 922500-00-1280-000 Services - Training 922500-00-1288-000 Services - A/h answering Comment 7,500 7,500 7,434 8,000 500 922500-00-1322-000 Telephone 11,930 11,930 10,972 13,823 1,893 922500-00-1332-000 Advertising 4,000 4,000 0 4,000 0 0% increased vet fees (for cats), DPI searches, FER fees, City of Stirling euthanised dog disposal 500 500 0 500 0 0% Accommodation (Conference in Perth this year) 2,000 2,000 2,537 3,000 1,000 922500-00-1387-000 Food - Other 100 100 0 100 0 0% Meal allowances 922500-00-1395-000 Doubtful Debt Expense 500 500 60 500 0 0% 922500-00-1399-000 Miscellaneous 500 500 644 500 0 0% Parking, other minor expenses 142,967 142,967 107,806 160,457 17,491 922500-00-1372-000 Accommodation - Conferences 922500-00-1373-000 Registration - Train/Conf 922500-00-1400-000 ABC Cost Allocation 7% 16% Utilities to increase by CPI based on 2014/15 forecasts. 50% all training/registration needs including OSH 12% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 922500-40-1119-000 Licenses 1,318 1,318 1,158 1,351 33 3% Fleet 25-44-50-55 922500-40-1201-000 Wages 1,757 1,757 2,096 1,801 44 3% 922500-40-1216-000 Agency Staff 1,647 1,647 635 1,688 41 2% 31 31 42 32 1 3% 922500-40-1221-000 Tyres 922500-40-1219-000 Overheads 220 220 1,086 226 6 3% 922500-40-1222-000 Materials 220 220 0 226 6 3% 922500-40-1223-000 Parts 110 110 195 113 3 3% 13,176 13,176 13,551 13,505 329 2% 922500-40-1225-000 External Repairs 3,843 3,843 2,086 3,939 96 2% 922500-40-1279-000 Services - Other 2,196 2,196 1,274 2,251 55 3% 922500-40-1314-000 Ins. Prem - Motor Vehicle 1,151 1,151 859 859 -292 -25% 724,454 720,861 625,545 853,410 132,549 18% 922500-32-3253-000 Fleet / Plant 108,489 108,489 96,088 36,163 -72,326 -67% Replacement of Fleet FL50 TOTAL 3 - Capital Expenditure 108,489 108,489 96,088 36,163 -72,326 -67% -700 -700 -507 -700 0 0% 922500-40-1224-000 Fuel TOTAL 1 - Expenditure 3 - Capital Expenditure 4 - Income 922500-00-4076-000 Reimb - Staff Fuel 922500-00-4077-000 Reimb - Miscellaneous -2,000 -2,000 -3,708 -5,000 -3,000 -53,000 -55,000 -62,991 -60,000 -5,000 0 0 -297 0 0 0% 922500-00-4120-000 Poundage Vehicles -15,000 -15,000 -21,772 -15,000 0 0% income from sold abandoned vehicles-note this money must be kept in trust for owner to recover: 922500-00-4134-000 Cat Registration -20,000 -12,000 -9,530 -12,000 0 0% cat registration income 922500-00-4141-000 Fines - Dog Act -2,000 -2,000 -1,800 -2,000 0 0% dog fines & penalties 922500-00-4143-000 Fines - Parking -40,000 -52,000 -52,480 -55,000 -3,000 922500-00-4146-000 Fines - Cat Act -500 -500 0 -500 0 922500-00-4116-000 Dog Registration 922500-00-4118-000 Poundage 922500-00-4149-000 Fines - Other -20,000 -10,000 -7,500 -10,000 0 922500-00-4270-000 Services - Legal -500 -500 -3,245 -4,000 -3,500 922500-00-4399-000 Miscellaneous -300 -300 -270 -300 0 Page 87 of 121 150% unforseen income & payment of fire clearance work in default of infringement 9% dog registration income 6% parking fines & penalties 0% cat fines & penalties- income minimal in first year 0% other fines & penalties-trolleys, litter, fire 700% fines enforcement registry fees 0% unforseen income A48.89 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 922500-00-4400-000 ABC Cost Recovery Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) -4,278 -4,278 -3,074 -5,137 -858 20% -158,278 -154,278 -167,173 -169,637 -15,358 10% 922500-00-6253-000 Fleet / Plant -54,000 -54,000 -36,435 -18,000 36,000 922500-00-6835-000 LSL Reserve - Salaries -24,438 -13,845 0 -23,205 -9,360 68% TOTAL 6 - Capital Income -78,438 -67,845 -36,435 -41,205 26,640 -39% TOTAL 4 - Income Comment 6 - Capital Income TOTAL 922500 - Rangers TOTAL 580 - Rangers -67% Income Fleet 50 596,227 607,227 518,024 678,731 71,504 12% 596,227 607,227 518,024 678,731 71,504 12% 35,000 35,000 29,852 35,000 0 590 - Belmont Community Watch 922000 - Belmont Community Watch 1 - Expenditure 922000-00-1253-000 Fleet / Plant 922000-00-1263-000 Services - Advertising 1,000 1,000 0 1,000 0 1,207,000 1,096,000 829,456 1,206,234 110,234 922000-00-1322-000 Telephone 752 752 545 687 -65 922000-00-1399-000 Miscellaneous 500 500 46 500 0 922000-00-1400-000 ABC Cost Allocation 799 799 627 3,240 2,441 922000-00-1276-000 Services - Security 922000-40-1119-000 Licenses 0% Costs associated with strip/ refitting out of all three cars i.e. electrics/cut/light bars/software configuration swap over ($3000 x 3) , decals ($1500 x 3), recording server replacements ($2K x 2) 0% Promo material 10% Community Watch services:- Mobile ($1,052,697), Static Guard ($96,097) plus CPI(approx 5%) -9% Utilities to increase by CPI based on 2015/16 forecasts. 0% 305% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 918 918 420 941 23 3% Fleet 65-66-76 922000-40-1201-000 Wages 3,294 3,294 4,924 3,376 82 2% 922000-40-1216-000 Agency Staff 2,306 2,306 1,915 2,364 58 3% 922000-40-1219-000 Overheads 82 82 0 84 2 2% 922000-40-1221-000 Tyres 3,459 3,459 2,664 3,545 86 2% 922000-40-1222-000 Materials 1,647 1,647 241 1,688 41 2% 247 247 530 253 6 2% 922000-40-1224-000 Fuel 922000-40-1223-000 Parts 39,071 39,071 27,492 40,048 977 3% 922000-40-1225-000 External Repairs 11,529 11,529 6,644 11,817 288 2% 922000-40-1279-000 Services - Other 3,294 3,294 2,413 3,376 82 2% 900 900 672 672 -228 -25% 1,311,798 1,200,798 908,440 1,314,825 114,027 9% 922000-32-3253-000 Fleet / Plant 108,489 108,489 87,456 108,489 0 0% Replacement of Fleet FL65-66-76 TOTAL 3 - Capital Expenditure 108,489 108,489 87,456 108,489 0 0% -26,000 -26,000 -43,909 -39,000 -13,000 50% Income Fleet 65-66-76 922000-40-1314-000 Ins. Prem - Motor Vehicle TOTAL 1 - Expenditure 3 - Capital Expenditure 6 - Capital Income 922000-00-6253-000 Fleet / Plant TOTAL 6 - Capital Income TOTAL 922000 - Belmont Community Watch TOTAL 590 - Belmont Community Watch -26,000 -26,000 -43,909 -39,000 -13,000 50% 1,394,287 1,283,287 951,988 1,384,314 101,027 8% 1,394,287 1,283,287 951,988 1,384,314 101,027 8% 3,000 3,000 3,659 3,000 0 0% NHW promo costs 12,000 12,000 5,623 12,000 0 0% NHW material and merchandise & BBQs/events 4,000 4,000 506 4,000 0 0% miscell.costs including member travel costs 600 - Neighbourhood Watch 922100 - BelmontNeighbourhood Watch 1 - Expenditure 922100-00-1263-000 Services - Advertising 922100-00-1284-000 Services - Project Mgmt 922100-00-1399-000 Miscellaneous Page 88 of 121 A48.90 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 922100-00-1400-000 ABC Cost Allocation Current Budget 533 533 Budget YTD at Proposed Budget YTD Actual 418 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase 810 Increase (%) 277 52% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. TOTAL 1 - Expenditure 19,533 19,533 10,205 19,810 277 1% TOTAL 922100 - BelmontNeighbourhood Watch 19,533 19,533 10,205 19,810 277 1% 19,533 19,533 10,205 19,810 277 1% 1,500 1,500 1,285 1,500 0 0% 165,762 165,762 153,877 173,570 7,808 5% 100 100 92 100 0 0% TOTAL 600 - Neighbourhood Watch Comment 610 - Community Safety 922600 - Crime Prevention & Comm Safety 1 - Expenditure 922600-00-1128-000 Photocopying 922600-00-1200-000 Salaries 922600-00-1202-000 Allowances 922600-00-1208-000 Workers Compensation 2,819 2,819 2,766 2,952 133 5% 15,307 15,307 14,052 16,136 829 5% 50 50 0 50 0 0% 8,260 8,260 10,629 8,615 355 4% 500 500 0 500 0 0% office equipment 3,500 3,500 2,391 3,500 0 0% 500 500 645 750 250 0 0 22 0 0 0% 922600-00-1252-000 Equipment 3,000 3,000 2,458 3,000 0 0% telephone, equipment <$1K 922600-00-1263-000 Services - Advertising 4,000 4,000 513 5,000 1,000 922600-00-1209-000 Superannuation 922600-00-1210-000 Staff Medicals 922600-00-1211-000 Fringe Benefits Tax 922600-00-1222-000 Materials 922600-00-1224-000 Fuel 922600-00-1226-000 Stationery 922600-00-1239-000 Consumables 50% office stationery 25% Promotion of AlarmAssist and other core initiatives 922600-00-1269-000 Services - Audit 3,000 3,000 2,745 0 -3,000 -100% 922600-00-1270-000 Services - Legal 4,000 0 0 0 0 0% 922600-00-1276-000 Services - Security 5,000 5,000 956 3,000 -2,000 80,000 80,000 88,405 105,000 25,000 0 0 118 0 0 922600-00-1284-000 Services - Project Mgmt 25,000 25,000 26,123 25,000 0 922600-00-1317-000 Ins. Prem - Other 23,402 23,402 21,670 21,598 -1,804 1,845 1,845 1,964 2,501 656 0 0 82 0 0 922600-00-1373-000 Registration - Train/Conf 500 4,500 556 5,000 500 922600-00-1399-000 Miscellaneous 500 500 0 0 -500 48,962 48,962 36,771 60,456 11,494 329 329 319 337 8 922600-00-1279-000 Services - Other 922600-00-1280-000 Services - Training 922600-00-1322-000 Telephone 922600-00-1371-000 Travel - Conferences 922600-00-1400-000 ABC Cost Allocation 922600-40-1119-000 Licenses -40% Message Media costs. 31% CCTV maintenance by Zenien ($60K) Pressure King camera cleaning, battery swaps & sign installation ($15K) & Constable Care ($25K- annual fee plus play development programme) & other equipment maintenance (e.g. VMS) 0% 0% Ongoing Implementation of CP & CS action plans;- padlock alarms ($5K ) ,bike locks ($5K), Window sensors ($3K), other crime related projects($12K) -8% 36% Utilities to increase by CPI based on 2015/16 forecasts. 0% 11% Management training course ($5K) -100% 23% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 2% Fleet 29 922600-40-1201-000 Wages 549 549 778 563 14 3% 922600-40-1216-000 Agency Staff 220 220 285 226 6 3% 922600-40-1219-000 Overheads 220 220 43 226 6 3% 922600-40-1221-000 Tyres 55 55 482 56 1 2% 922600-40-1222-000 Materials 55 55 0 56 1 2% 922600-40-1223-000 Parts 55 55 0 56 1 2% 922600-40-1224-000 Fuel 3,514 3,514 3,020 3,602 88 3% 922600-40-1225-000 External Repairs 1,098 1,098 1,016 1,125 27 2% 922600-40-1279-000 Services - Other 439 439 0 450 11 3% Page 89 of 121 A48.91 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 922600-40-1314-000 Ins. Prem - Motor Vehicle Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 558 558 417 417 -141 -25% 404,598 404,598 374,479 445,342 40,744 10% 170,000 170,000 97,240 122,000 -48,000 0 0 0 36,163 36,163 170,000 170,000 97,240 158,163 -11,837 922600-00-6036-000 Grant - Equipment 0 -50,000 -50,000 -50,000 0 922600-00-6253-000 Fleet / Plant 0 0 0 -19,000 -19,000 New Income from Fleet FL29 TOTAL 1 - Expenditure Comment 3 - Capital Expenditure 922600-32-3252-000 Equipment 922600-32-3253-000 Fleet / Plant TOTAL 3 - Capital Expenditure -28% Belvidere Street shops Phase 2 ($15K), Centenary Park ($15K), SES/Gerry Archer ($7K +$25K),War Memorial ($15K )& Ongoing Upgrade/of older equipment ($50K) New Replacement of Fleet FL29 -7% 6 - Capital Income TOTAL 6 - Capital Income 0% Safer Streets federal grant money for CCTV project around Forum precinct, second $50K 0 -50,000 -50,000 -69,000 -19,000 38% 574,598 524,598 421,719 534,505 9,907 2% 125,000 125,000 42,786 100,000 -25,000 0 0 356 0 0 0% 125,000 125,000 43,142 100,000 -25,000 -20% 922601-00-4139-000 Other Fees -125,000 -125,000 -69,205 -100,000 25,000 -20% Income associated with AlarmAssist program & private commercial CCTV installations repayments. TOTAL 4 - Income -125,000 -125,000 -69,205 -100,000 25,000 -20% 0 0 -26,063 0 0 0% TOTAL 922600 - Crime Prevention & Comm Safety 922601 - CCTV/Alarm Assist Program 1 - Expenditure 922601-00-1252-000 Equipment 922601-00-1399-000 Miscellaneous TOTAL 1 - Expenditure -20% Alarm Assist Programme 4 - Income TOTAL 922601 - CCTV/Alarm Assist Program TOTAL 610 - Community Safety TOTAL 060 - Health & Ranger Services 574,598 524,598 395,656 534,505 9,907 2% 3,682,557 3,445,788 1,489,377 3,634,909 189,121 5% 32,015 32,015 31,115 32,000 -15 3,800 3,800 2,746 3,800 0 0% Memorandum of Understanding (MOU) annual contribution made to the Belmont Sister City Association (BSCA) including Indexation. 0% Forecasts for: Power ($), Water ($), Photocopying costs ($), phone and internet($) for BSCA- to be reimbursed by BSCA. 0 0 2,687 0 0 0% 065 - Community Development 072 - Sister City Activities 921501 - Sister City 1 - Expenditure 921501-00-1059-000 Cont - Other 921501-00-1077-000 Reimb - Miscellaneous 921501-00-1200-000 Salaries 0 0 0 3,000 3,000 921501-00-1222-000 Materials 921501-00-1216-000 Agency Staff 1,250 1,388 1,388 1,600 212 921501-00-1263-000 Services - Advertising 3,000 3,000 1,235 0 -3,000 -100% 921501-00-1279-000 Services - Other 3,720 4,324 4,324 0 -4,324 -100% 921501-00-1330-000 Subscriptions New Additional staffing resources for Sister City functions (security, catering). 15% Gifts for Adachi staff and delegation for Student Exchange delegations to Belmont (August 2015) and Adachi (Jan 2016) 550 550 500 500 -50 10,845 10,000 10,000 4,200 -5,800 5,490 5,179 5,179 1,500 -3,679 500 0 0 500 500 921501-00-1384-000 Other Functions 32,520 24,500 24,500 12,000 -12,500 -51% Welcome & farewell functions in August for Adachi student delegation (including entertainment). 921501-00-1387-000 Food - Other 14,640 10,736 10,951 500 -10,236 -95% Food reimbursement for Tour Manager & Council Representative in Adachi January 2016 ($500). 3,500 1,213 1,213 2,500 1,287 111,830 96,705 95,837 62,100 -34,605 921501-00-1371-000 Travel - Conferences 921501-00-1372-000 Accommodation - Conferences 921501-00-1373-000 Registration - Train/Conf 921501-00-1399-000 Miscellaneous TOTAL 1 - Expenditure 4 - Income Page 90 of 121 -9% Sister Cities Australia Subscription -58% Flights for Tour Manager and Council Representative to Adachi - January 2016 ($4k) Reimbursement of travel expenses Tour Manager and Council Representative ($200) -71% Accommodation for Council Representative & Tour Leader in Adachi (Jan 2106) New Training for Tour Manager First Aid Course ($500). 106% Misc expenses for August student delegation ($1k). Misc expenses for January delegation ($500), Emergency Allowance for January 2016 delegation to Adachi ($1k). -36% A48.92 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 921501-00-4077-000 Reimb - Miscellaneous TOTAL 4 - Income Current Budget -3,800 -3,800 Budget YTD at Proposed Budget YTD Actual -2,694 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase -3,800 Increase (%) 0 Comment 0% Forecasts for: Power ($), Water ($), Photocopying costs ($), phone and internet($) for BSCA- to be reimbursed by BSCA. -3,800 -3,800 -2,694 -3,800 0 0% 108,030 92,905 93,144 58,300 -34,605 -37% 108,030 92,905 93,144 58,300 -34,605 -37% 912000-00-1369-000 Donations - Ongoing 26,000 26,000 26,000 76,000 50,000 192% Existing Memorandums of Understanding (MOU): $20kYouth CARE School Chaplaincy program, $1k Ruby Benjamin Animal Foundation. $5k RSL Australia Day event, $5k Jacaranda Community Centre NAIDOC event (moved from Aboriginal Strategies budget), $25k Belmont City College (moved from Youth Service budget). New MOU: $20k Aboriginal Alcohol & Drug Services (weekly community engagement sessions & events to address public drinking & substance use). 912000-00-1370-000 Donations - General 100,000 92,000 29,395 95,000 3,000 3% $80k for Community Contribution Fund (x2 Rounds). $5k Sand & Line Marking as per Donations SB2 Policy - for sports clubs, schools, community groups. $10k for natural disasters as per Lord Mayor Appeal i.e. for Bush Fire Appeals etc.). TOTAL 1 - Expenditure 126,000 118,000 55,395 171,000 53,000 45% 0 0 -7 0 0 0% TOTAL 921501 - Sister City TOTAL 072 - Sister City Activities 200 - Donations & Grants 912000 - Donations and Grants 1 - Expenditure 4 - Income 912000-00-4077-000 Reimb - Miscellaneous TOTAL 4 - Income TOTAL 912000 - Donations and Grants TOTAL 200 - Donations & Grants 0 0 -7 0 0 0% 126,000 118,000 55,388 171,000 53,000 45% 126,000 118,000 55,388 171,000 53,000 45% 146,820 115,000 99,938 151,367 36,367 0 624 1,047 0 -624 -100% 100 100 71 100 0 0% 620 - Aboriginal & CALD Programs 922400 - Aboriginal & CALD Programs 1 - Expenditure 922400-00-1200-000 Salaries 922400-00-1201-000 Wages 922400-00-1202-000 Allowances 922400-00-1208-000 Workers Compensation 922400-00-1209-000 Superannuation 922400-00-1216-000 Agency Staff 922400-00-1219-000 Overheads 922400-00-1226-000 Stationery 922400-00-1227-000 Printing 922400-00-1252-000 Equipment 32% Aboriginal & Cultural Diversity Engagement Officer roles 2,497 2,497 2,450 2,575 78 3% 16,695 16,695 9,264 14,179 -2,516 -15% 0 120 120 0 -120 -100% -100% 0 819 1,284 0 -819 500 800 799 1,000 200 5,000 5,000 1,247 10,000 5,000 15,000 20,000 20,694 34,000 14,000 25% Stationary for dept. 100% Printing of promotional materials (Marketforce): Cultural Diversity Engagement Plan & community forums, Harmony/ Close the Gap Day event, NAIDOC events. 70% External hire of community events equip. (i.e. marquees, stage, sound, weather proofing etc.) - Harmony/Close the Gap concert $15k, NAIDOC events (x2) $18k, resources for Cultural Plan artwork $1k. 922400-00-1253-000 Fleet / Plant 0 13 13 0 -13 -100% 922400-00-1263-000 Services - Advertising 0 4,849 4,849 0 -4,849 -100% 922400-00-1271-000 Services - Other Consultants 70,000 47,000 19,650 22,200 -24,800 922400-00-1279-000 Services - Other 17,000 23,000 19,846 26,000 3,000 2,000 2,000 804 7,500 5,500 922400-00-1280-000 Services - Training 922400-00-1322-000 Telephone 0 1,000 625 839 -161 922400-00-1332-000 Advertising 12,000 16,000 11,904 12,000 -4,000 922400-00-1371-000 Travel - Conferences 1,000 0 818 1,000 1,000 922400-00-1372-000 Accommodation - Conferences 1,000 0 940 1,000 1,000 500 1,263 2,464 1,000 -263 922400-00-1373-000 Registration - Train/Conf Page 91 of 121 -53% CaLD Consultant for development of Cultural Diversity Engagement Plan - $22k (as per agreed Tender). 13% NAIDOC events $10k, Harmony & Close the Gap Day event $10k, other cultural community events $6k (National Reconciliation Week, Refugee Week etc.). 275% Aboriginal & Cultural Awareness Training for internal staff & Councillors (x5 sessions @$1.5k) - $7.5k. -16% Utilities to increase by CPI based on 2014/15 forecasts. -25% Advertising for NAIDOC, Harmony & Close the Gap Day, Cultural Diversity Engagement Plan community forums (approx. $2k per advertisement). New Provision for local or interstate conference. New Provision for local or interstate conference. -21% Registration fees for relevant professional development courses. A48.93 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 922400-00-1377-000 Travel - General Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 500 300 103 500 200 922400-00-1385-000 Catering - Functions 12,000 14,000 10,976 16,000 2,000 922400-00-1399-000 Miscellaneous 11,000 11,000 9,745 6,500 -4,500 799 799 627 675 -124 314,411 282,879 220,277 308,434 25,555 9% 0 0 -227 0 0 0% 922400-00-1400-000 ABC Cost Allocation TOTAL 1 - Expenditure Comment 67% General travel expenses. 14% NAIDOC events - $6k, Harmony & Close the Gap Day event - $3k, community events $4k, Cultural Diversity Plan community forums - $3k. -41% Misc. resources for Aboriginal Committees - $2k. NAIDOC & Harmony Student Award resources - $2.5k. Misc items - $2k. -16% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 4 - Income 922400-00-4399-000 Miscellaneous TOTAL 4 - Income TOTAL 922400 - Aboriginal & CALD Programs TOTAL 620 - Aboriginal & CALD Programs 0 0 -227 0 0 0% 314,411 282,879 220,049 308,434 25,555 9% 314,411 282,879 220,049 308,434 25,555 9% 0 346 346 0 -346 -100% 2,000 2,000 1,873 2,000 0 292,948 292,948 270,098 314,449 21,501 0 168 168 0 -168 -100% 150 150 141 150 0 0% 4,983 4,983 4,889 5,348 365 7% 640 - Community Development 962500 - Community Services 1 - Expenditure 962500-00-1077-000 Reimb - Miscellaneous 962500-00-1128-000 Photocopying 962500-00-1200-000 Salaries 962500-00-1201-000 Wages 962500-00-1202-000 Allowances 962500-00-1208-000 Workers Compensation 0% General photocopying for Department. 7% Salaries for department. 962500-00-1209-000 Superannuation 27,384 27,384 25,021 29,746 2,362 9% 962500-00-1211-000 Fringe Benefits Tax 15,012 15,012 15,670 15,658 646 4% 962500-00-1216-000 Agency Staff 0 0 0 80,000 80,000 962500-00-1219-000 Overheads 0 185 185 0 -185 -100% -100% 962500-00-1222-000 Materials New Client Liaison Officer role to assist with transition of Independent Living Units to Southern Cross Care. 0 300 301 0 -300 962500-00-1226-000 Stationery 3,000 3,000 1,997 3,000 0 962500-00-1227-000 Printing 2,000 1,112 1,112 2,000 888 962500-00-1250-000 Furniture 2,000 2,000 344 500 -1,500 -75% General furniture for Department. 962500-00-1252-000 Equipment 3,000 1,500 1,247 500 -1,000 -67% General equipment for Department. 962500-00-1263-000 Services - Advertising 25,000 15,000 8,687 15,000 0 962500-00-1270-000 Services - Legal 20,000 1,655 1,655 0 -1,655 -100% 962500-00-1271-000 Services - Other Consultants 50,000 30,000 24,045 40,000 10,000 962500-00-1279-000 Services - Other 18,000 22,613 4,693 15,000 -7,613 0 1,387 1,020 0 -1,387 33% Fees to engage Consultant to facilitate formal Evaluation of Sister City Exchange Program - $30k. Provision for use of OSH specific Consultants $10k. -34% Mental Health & Domestic Violence Awareness Project as per Corporate Plan actions $10k. Safe4Kids Protective Behaviours community workshops $5k. -100% 85,000 85,000 31,777 0 -85,000 674 674 643 787 113 962500-00-1330-000 Subscriptions 2,000 2,000 776 1,000 -1,000 962500-00-1371-000 Travel - Conferences 2,000 113 113 2,000 1,887 962500-00-1280-000 Services - Training 962500-00-1284-000 Services - Project Mgmt 962500-00-1322-000 Telephone 962500-00-1372-000 Accommodation - Conferences 2,000 0 0 2,000 2,000 11,000 11,000 9,568 5,000 -6,000 962500-00-1384-000 Other Functions 6,000 6,000 4,462 6,000 0 962500-00-1399-000 Miscellaneous 2,000 2,000 1,713 2,000 0 962500-00-1373-000 Registration - Train/Conf Page 92 of 121 0% Stationary for Department. 80% Printing for early years community workshops. 0% Community Contribution Fund advertisements (x4) $3k, Early Years forums (x4) $4k, Community Services Events Guide advertisements $2.5k, Community Services Awards advertisements $2.5k. $3k for misc. advertisement. -100% 17% Utilities to increase by CPI based on 2014/15 forecasts. -50% CD Manager - Membership to Australian Company Directors, Social Return On Investment, Local Government Managers Australia. 1670% Provision for Manager or Coordinator to attend local or interstate Conference $2k. New Provision for Manager or Coordinator to attend local or interstate Conference $2k. -55% For Community Development staff registration at conferences & professional development/ training for all CD staff @ approximately $1,000 per person. 0% Annual Children's Week event ($5k), Staff functions (1k). 0% Misc Items for Department $2k. A48.94 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 962500-00-1400-000 ABC Cost Allocation Current Budget 52,831 52,831 Budget YTD at Proposed Budget YTD Actual 39,539 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase 165,799 Increase (%) 112,968 214% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 962500-40-1119-000 Licenses 1,584 1,584 1,198 1,624 40 3% FL06 MB01 MB 07 962500-40-1201-000 Wages 3,202 3,202 2,461 3,282 80 2% 962500-40-1216-000 Agency Staff 1,601 1,601 790 1,641 40 2% 962500-40-1219-000 Overheads 457 457 0 468 11 2% 962500-40-1221-000 Tyres 457 457 636 468 11 2% 962500-40-1222-000 Materials 229 229 0 235 6 3% 962500-40-1223-000 Parts 457 457 771 468 11 2% 962500-40-1224-000 Fuel 6,405 6,405 3,562 6,565 160 2% 962500-40-1225-000 External Repairs 1,830 1,830 6,855 1,876 46 3% 962500-40-1279-000 Services - Other 915 915 185 938 23 3% 1,295 1,295 967 967 -328 -25% 647,414 599,793 469,508 726,469 126,676 21% 962500-32-3253-000 Fleet / Plant 41,814 41,814 0 36,163 -5,651 -14% Replacement of Fleet FL74 TOTAL 3 - Capital Expenditure 41,814 41,814 0 36,163 -5,651 -14% 962500-00-4058-000 Cont - Fleet/Plant 0 0 -454 0 0 0% 962500-00-4076-000 Reimb - Staff Fuel 0 0 -35 0 0 0% TOTAL 4 - Income 0 0 -490 0 0 0% -24,000 -24,000 -23,182 -24,000 0 0% Income from Fleet FL74 962500-40-1314-000 Ins. Prem - Motor Vehicle TOTAL 1 - Expenditure Comment 3 - Capital Expenditure 4 - Income 6 - Capital Income 962500-00-6253-000 Fleet / Plant TOTAL 6 - Capital Income -24,000 -24,000 -23,182 -24,000 0 0% TOTAL 962500 - Community Services 665,228 617,607 445,836 738,632 121,025 20% TOTAL 640 - Community Development 665,228 617,607 445,836 738,632 121,025 20% 100 0 0 0 0 0% 1,000 500 362 500 0 0% National Police Clearances and Working With Children Checks for Volunteers. 645 - Volunteer Programs 964500 - Volunteer Programs 1 - Expenditure 964500-00-1079-000 Reimb - Volunteer Mileage 964500-00-1119-000 Licenses 964500-00-1128-000 Photocopying 964500-00-1200-000 Salaries 964500-00-1202-000 Allowances 964500-00-1208-000 Workers Compensation 200 200 160 250 50 30,479 30,479 29,962 38,377 7,898 50 50 36 50 0 25% Photocopying for volunteer operations. 26% Salary for officer responsible for Volunteer Program. 0% 519 519 509 653 134 26% 4,121 4,121 2,611 3,652 -469 -11% 0 1,386 1,386 0 -1,386 -100% 964500-00-1227-000 Printing 5,000 5,000 0 0 -5,000 -100% 964500-00-1234-000 Uniforms/Protective Clothing 3,500 0 0 3,000 3,000 100 100 0 100 0 0% 5,000 2,000 0 2,000 0 0% Provision for training courses for Volunteers. 964500-00-1209-000 Superannuation 964500-00-1216-000 Agency Staff 964500-00-1252-000 Equipment 964500-00-1280-000 Services - Training 964500-00-1324-000 Communications - IT 964500-00-1330-000 Subscriptions 964500-00-1332-000 Advertising New CoB uniforms for Volunteers (approximately x100) 0 2,500 0 0 -2,500 500 350 350 350 0 0% Volunteering WA Membership $250, Vira (Software) Subscription $250. 5,000 5,000 242 5,000 0 0% Advertising for Volunteers Week $2k, Southern Gazette x2 advertisements $3k. Page 93 of 121 -100% A48.95 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 964500-00-1365-000 Volunteers - Other 964500-00-1385-000 Catering - Functions 964500-00-1399-000 Miscellaneous TOTAL 1 - Expenditure TOTAL 964500 - Volunteer Programs Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 2,000 1,000 1,029 1,500 500 12,000 10,000 4,188 12,000 2,000 500 500 79 500 0 70,069 63,705 40,915 67,932 4,227 50% Recognition & rewards for Volunteers. 20% 2 x Volunteer functions- End of year celebration & Volunteer's Week Lunch. Quarterly volunteer supervision workshops (x4) $2k. 0% Misc items for Volunteer Program operations. 7% 70,069 63,705 40,915 67,932 4,227 7% 70,069 63,705 40,915 67,932 4,227 7% 6,500 646 646 0 -646 -100% 65,778 60,778 25,308 16,500 -44,278 122 122 21 150 28 23% 960500-00-1208-000 Workers Compensation 1,120 1,120 1,099 282 -838 -75% 960500-00-1209-000 Superannuation TOTAL 645 - Volunteer Programs Comment 650 - Home and Community Care 960500 - Meals On Wheels 1 - Expenditure 960500-00-1079-000 Reimb - Volunteer Mileage 960500-00-1200-000 Salaries 960500-00-1202-000 Allowances -73% Partial salaries for two staff involved in service delivery coordination based at Civic Centre. 8,164 8,164 2,333 1,583 -6,581 -81% 960500-00-1226-000 Stationery 500 500 125 0 -500 -100% 960500-00-1239-000 Consumables 100 100 10 0 -100 -100% 960500-00-1240-000 Safety Equipment 1,000 420 980 0 -420 -100% 960500-00-1252-000 Equipment 500 362 362 0 -362 -100% 960500-00-1271-000 Services - Other Consultants 500 0 0 0 0 0% 0 0 0 16,142 16,142 11,644 11,644 2,783 0 -11,644 -100% MOW no longer based at Senior Citizen Centre. 755 755 464 0 -755 -100% MOW no longer based at Senior Citizen Centre. 49 49 382 0 -49 -100% MOW no longer based at Senior Citizen Centre. 960500-00-1279-000 Services - Other 960500-00-1320-000 Power 960500-00-1322-000 Telephone 960500-00-1323-000 Gas New Fees for subcontractor Home Chef to deliver meals directly to client. 960500-00-1377-000 Travel - General 300 300 120 0 -300 -100% 960500-00-1386-000 Catering - Meals 38,000 35,350 18,249 0 -35,350 -100% 300 140 140 0 -140 -100% 36,874 36,874 27,786 9,257 -27,616 172,205 157,323 80,807 43,914 -113,409 960500-00-4032-000 Grant - Operating -15,440 -15,440 -15,697 -34,675 -19,235 960500-00-4121-000 Meals on Wheels -49,000 -49,000 -11,948 0 49,000 -100% TOTAL 4 - Income -64,440 -64,440 -27,644 -34,675 29,765 -46% TOTAL 960500 - Meals On Wheels 107,765 92,883 53,163 9,239 -83,644 -90% 0 0 0 22,737 22,737 960500-00-1399-000 Miscellaneous 960500-00-1400-000 ABC Cost Allocation TOTAL 1 - Expenditure -75% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. -72% 4 - Income 125% Funding received per meal is $2.01 est. 7300 meals. 30% July, 25% October, 25% January, 20% April 965302 - HACC Administration 1 - Expenditure 965302-00-1040-000 Asset Replacement Contrib 965302-00-1077-000 Reimb - Miscellaneous 965302-00-1119-000 Licenses 965302-00-1128-000 Photocopying 965302-00-1200-000 Salaries 965302-00-1202-000 Allowances 965302-00-1204-000 Long Service Leave 965302-00-1208-000 Workers Compensation 965302-00-1209-000 Superannuation New Tfr HACC surplus to reserve 0 0 143 0 0 0% 650 650 0 0 -650 -100% 7,000 10,000 8,086 8,000 -2,000 159,017 139,017 124,920 137,405 -1,612 67 67 87 200 133 200% 0 0 6,498 0 0 0% 2,705 2,705 2,654 2,340 -365 -13% 16,545 16,545 12,881 14,552 -1,993 -12% Page 94 of 121 -20% Maintenance of photocopier & photocopier consumables. -1% Partial salaries for HACC staff with administrative duties. A48.96 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 965302-00-1210-000 Staff Medicals 965302-00-1211-000 Fringe Benefits Tax 965302-00-1222-000 Materials 965302-00-1226-000 Stationery Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 50 50 0 50 0 8,071 8,071 6,809 8,418 347 4% 105 105 0 0 -105 -100% 8,000 8,000 7,238 10,000 2,000 0% Medicals for any new staff 25% Stationery for all service types 965302-00-1234-000 Uniforms/Protective Clothing 1,000 1,000 491 600 -400 965302-00-1240-000 Safety Equipment 2,000 2,000 1,248 2,000 0 750 888 1,407 500 -388 -44% Office equipment 3,000 4,000 3,480 3,500 -500 -13% Advertising for staff positions 965302-00-1252-000 Equipment 965302-00-1263-000 Services - Advertising 965302-00-1271-000 Services - Other Consultants -40% Uniforms/protective clothing for all service types 0% Items such as sunscreen, hand-wash for all service types. Ongoing monitoring for Safe T card. 500 500 0 0 -500 0 25,000 38,751 8,000 -17,000 965302-00-1290-000 Services - IT Support 2,500 2,500 1,364 2,000 -500 965302-00-1317-000 Ins. Prem - Other 1,756 1,756 1,626 1,621 -135 18,598 18,598 16,903 21,713 3,115 17% Utilities to increase by CPI based on 2014/15 forecasts. 4,000 4,000 4,009 4,010 10 0% Memberships or peak Industry Organisations (ACSWA). 750 750 0 750 0 965302-00-1372-000 Accommodation - Conferences 1,500 1,500 76 1,000 -500 965302-00-1373-000 Registration - Train/Conf 8,000 8,000 1,777 5,000 -3,000 965302-00-1376-000 Registration - General 8,000 8,000 4,684 5,000 -3,000 -38% Registration costs for general staff/volunteer training 0 1,150 1,150 500 -650 -57% Catering for all functions that cover all service types. 500 860 791 850 -10 280,679 280,679 209,431 270,589 -10,090 646 646 904 926 280 965302-40-1201-000 Wages 2,369 2,369 1,348 2,428 59 2% 965302-40-1216-000 Agency Staff 965302-00-1279-000 Services - Other 965302-00-1322-000 Telephone 965302-00-1330-000 Subscriptions 965302-00-1371-000 Travel - Conferences 965302-00-1385-000 Catering - Functions 965302-00-1399-000 Miscellaneous 965302-00-1400-000 ABC Cost Allocation 965302-40-1119-000 Licenses -100% -68% Current agency role to be filled with permanent staff for 2015-16. $8k - Agency staff as required. -20% CareAssist Database Support, non supported modifications & Licenses / other consultants as required. -8% 0% Travel for conferences (HACC Conference/Aged Care Reforms) -33% Accommodation for conferences (HACC Conference/Aged Care Reforms) -38% Registration costs for conferences (HACC Conference/Aged Care Reforms) -1% Office expenses, parking etc. -4% 43% Fleet 53-22 3,231 3,231 135 3,312 81 3% 965302-40-1219-000 Overheads 431 431 0 442 11 3% 965302-40-1221-000 Tyres 108 108 668 111 3 3% 965302-40-1222-000 Materials 108 108 0 111 3 3% 965302-40-1223-000 Parts 323 323 0 331 8 2% 965302-40-1224-000 Fuel 4,307 4,307 2,848 4,415 108 3% 965302-40-1225-000 External Repairs 1,077 1,077 704 1,104 27 3% 965302-40-1279-000 Services - Other 861 861 370 883 22 3% 965302-40-1314-000 Ins. Prem - Motor Vehicle 560 560 418 418 -142 -25% 549,764 560,412 463,899 545,816 -14,596 -3% 0 0 0 150,000 150,000 965302-32-3253-000 Fleet / Plant 36,163 36,163 31,382 0 -36,163 TOTAL 3 - Capital Expenditure 36,163 36,163 31,382 150,000 113,837 TOTAL 1 - Expenditure Comment 3 - Capital Expenditure 965302-32-3237-000 Business Applications New Purchase of new Client Management System (software) to replace CareAssist database (funds to be transferred from HACC Asset Replacement Account). -100% 315% 4 - Income 965302-00-4139-000 Other Fees 0 0 -8,183 0 0 0% 965302-00-4406-000 Internal Recovery -549,764 -549,764 -428,506 -545,814 3,950 -1% TOTAL 4 - Income -549,764 -549,764 -436,688 -545,814 3,950 -1% -17,163 -17,163 0 -163,000 -145,837 6 - Capital Income 965302-00-6040-000 Asset Replacement Contribution Page 95 of 121 850% Transfer from Reserve to cover the cost of the new Client Management System and photocopier. A48.97 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 965302-00-6253-000 Fleet / Plant -19,000 -19,000 -38,000 0 19,000 -100% TOTAL 6 - Capital Income -36,163 -36,163 -38,000 -163,000 -126,837 351% 0 10,648 20,592 -12,998 -23,646 -222% 79,074 99,074 102,650 130,173 31,099 23 23 21 150 126 543% 0 0 259 0 0 0% TOTAL 965302 - HACC Administration Comment 965303 - Domestic Assistance 1 - Expenditure 965303-00-1200-000 Salaries 965303-00-1202-000 Allowances 965303-00-1204-000 Long Service Leave 31% Staff who provide Domestic Assistance support to clients. 965303-00-1208-000 Workers Compensation 1,346 1,346 1,321 2,217 871 65% 965303-00-1209-000 Superannuation 7,697 7,697 5,798 12,754 5,057 66% 965303-00-1239-000 Consumables 1,500 1,500 1,149 250 -1,250 60,000 135,000 124,128 110,000 -25,000 965303-00-1279-000 Services - Other 965303-00-1377-000 Travel - General -83% Cleaning products used in service delivery -19% Agency Staff to cover service delivery where required. 6,000 6,000 3,167 3,500 -2,500 965303-00-1406-000 Internal Allocation 115,278 115,278 78,769 92,789 -22,489 -42% Travel - Support Staff kilometre allowance to facilitate service delivery. TOTAL 1 - Expenditure 270,918 365,918 317,263 351,833 -14,086 -284,379 -284,379 -289,110 -300,500 -16,121 -42,000 -42,000 -44,700 -48,000 -6,000 14% -326,379 -326,379 -333,809 -348,500 -22,121 7% -55,461 39,539 -16,547 3,333 -36,207 -92% 181,695 136,695 128,370 147,863 11,168 119 119 73 449 330 -20% Allocation of Admin Costs - 17% of HACC Admin -4% 4 - Income 965303-00-4032-000 Grant - Operating 965303-00-4139-000 Other Fees TOTAL 4 - Income TOTAL 965303 - Domestic Assistance 6% Contract value of$1,659,685 Income reflects 16% service type expenditure. 30% July, 25% October, 25% January, 20% April. 965304 - Social Support 1 - Expenditure 965304-00-1200-000 Salaries 965304-00-1202-000 Allowances 965304-00-1204-000 Long Service Leave 8% Salaries for staff providing Social Support service delivery. 278% 0 0 259 0 0 0% 3,091 3,091 3,033 2,521 -570 -18% 19,671 19,671 13,701 16,715 -2,956 -15% 965304-00-1239-000 Consumables 500 500 0 0 -500 -100% 965304-00-1252-000 Equipment 800 800 0 0 -800 -100% Equipment required for Social groups. 965304-00-1279-000 Services - Other 3,000 1,000 0 0 -1,000 965304-00-1366-000 Volunteer meals 1,000 1,000 303 400 -600 965304-00-1377-000 Travel - General 4,400 4,400 3,220 3,600 -800 500 500 0 0 -500 1,000 2,000 1,061 1,250 -750 965304-00-1208-000 Workers Compensation 965304-00-1209-000 Superannuation 965304-00-1385-000 Catering - Functions 965304-00-1386-000 Catering - Meals 965304-00-1399-000 Miscellaneous -100% -60% Meals for volunteers attending social group outings. -18% Travel - Support Staff kilometre allowance to facilitate service delivery. -100% -38% Catering for social events 150 150 287 300 150 965304-00-1406-000 Internal Allocation 123,689 123,689 31,799 70,956 -52,733 100% Miscellaneous expenses associated with service delivery. -43% Allocation of Admin Costs - 13% of HACC Admin TOTAL 1 - Expenditure 339,615 293,615 182,105 244,054 -49,561 -17% -239,572 -239,572 -243,557 -230,000 9,572 -20,000 -20,000 -19,957 -20,000 0 0% -259,572 -259,572 -263,514 -250,000 9,572 -4% 80,043 34,043 -81,409 -5,946 -39,989 -117% 4 - Income 965304-00-4032-000 Grant - Operating 965304-00-4139-000 Other Fees TOTAL 4 - Income TOTAL 965304 - Social Support 965305 - Personal Care 1 - Expenditure Page 96 of 121 -4% Contract value of$1,659,685 Income reflects 14% service type expenditure. 30% July, 25% October, 25% January, 20% April. A48.98 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 965305-00-1200-000 Salaries 965305-00-1202-000 Allowances 965305-00-1204-000 Long Service Leave 965305-00-1208-000 Workers Compensation Current Budget 66,216 51,216 23 0 1,128 Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 46,104 67,064 15,848 23 21 150 126 543% 0 259 0 0 0% 1,128 1,107 1,143 15 1% 31% Salaries for staff providing Personal Care service delivery. 965305-00-1209-000 Superannuation 6,475 6,475 5,115 6,574 99 965305-00-1279-000 Services - Other 10,000 30,000 27,059 29,000 -1,000 965305-00-1377-000 Travel - General 3,000 3,000 2,565 3,000 0 18,036 18,036 30,685 49,123 31,087 104,878 109,878 112,914 156,054 46,175 -140,706 -140,706 -143,047 -148,000 -7,294 -5,000 -5,000 -6,976 -7,500 -2,500 -145,706 -145,706 -150,022 -155,500 -9,794 7% -40,828 -35,828 -37,108 554 36,381 -102% 965306-00-1406-000 Internal Allocation 0 0 31,627 0 0 0% TOTAL 1 - Expenditure 0 0 31,627 0 0 0% TOTAL 965306 - Assessments 0 0 31,627 0 0 0% 965305-00-1406-000 Internal Allocation TOTAL 1 - Expenditure Comment 2% -3% Agency Staff used to support delivery of services where required. 0% Travel - Support Staff kilometre allowance to facilitate service delivery. 172% Allocation of Admin Costs - 9% of HACC Admin 42% 4 - Income 965305-00-4032-000 Grant - Operating 965305-00-4139-000 Other Fees TOTAL 4 - Income TOTAL 965305 - Personal Care 5% Contract value of$1,659,685 Income reflects 9% service type expenditure. 30% July, 25% October, 25% January, 20% April. 50% 965306 - Assessments 1 - Expenditure 965307 - Client Care 1 - Expenditure 965307-00-1200-000 Salaries 0 0 13,804 0 0 0% Service type no longer funded by HACC. 965307-00-1202-000 Allowances 0 0 10 0 0 0% 965307-00-1209-000 Superannuation 0 0 1,294 0 0 0% 965307-00-1377-000 Travel - General 0 0 48 0 0 0% 965307-00-1406-000 Internal Allocation 0 0 37,113 0 0 0% TOTAL 1 - Expenditure 0 0 52,269 0 0 0% TOTAL 965307 - Client Care 0 0 52,269 0 0 0% 39,037 39,037 30,127 28,559 -10,478 55 55 24 200 145 965308 - Home Maintenance 1 - Expenditure 965308-00-1200-000 Salaries 965308-00-1202-000 Allowances 965308-00-1204-000 Long Service Leave -27% Partial staff salaries for providing Home Maintenance coordination support. 264% 0 0 2,355 0 0 0% 665 665 653 489 -176 -26% 965308-00-1209-000 Superannuation 4,286 4,286 3,495 3,325 -961 -22% 965308-00-1279-000 Services - Other 21,000 21,000 26,267 30,660 9,660 965308-00-1377-000 Travel - General 200 200 48 50 -150 7,901 7,901 9,942 32,749 24,848 73,144 73,144 72,912 96,032 22,888 -80,611 -80,611 -81,952 -98,410 -17,799 -4,000 -4,000 -2,953 -4,000 0 965308-00-1208-000 Workers Compensation 965308-00-1406-000 Internal Allocation TOTAL 1 - Expenditure 46% Sub-contractor fees to provide Home Maintenance service. -75% Travel - Support Staff kilometre allowance to facilitate service delivery. 314% Allocation of Admin Costs - 6% of HACC Admin 31% 4 - Income 965308-00-4032-000 Grant - Operating 965308-00-4139-000 Other Fees 22% Contract value of$1,659,685 Income reflects 6% service type expenditure. 30% July, 25% October, 25% January, 20% April. 0% TOTAL 4 - Income -84,611 -84,611 -84,905 -102,410 -17,799 21% TOTAL 965308 - Home Maintenance -11,467 -11,467 -11,993 -6,378 5,089 -44% Page 97 of 121 A48.99 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 965309 - HACC Transport 1 - Expenditure 965309-00-1079-000 Reimb - Volunteer Mileage 965309-00-1200-000 Salaries 965309-00-1202-000 Allowances 965309-00-1204-000 Long Service Leave 965309-00-1208-000 Workers Compensation 2,000 2,000 1,650 1,750 -250 -13% Reimbursement to volunteers for mileage claims. 54,977 89,977 84,907 81,048 -8,929 55 55 72 250 195 355% 0 0 3,533 0 0 0% -10% Partial salaries for staff providing scheduling & coordination of Transport service delivery. 936 936 918 1,382 446 48% 6,087 6,087 8,958 8,613 2,526 41% 965309-00-1239-000 Consumables 200 200 0 0 -200 -100% 965309-00-1240-000 Safety Equipment 200 200 0 200 0 0% Safety equipment for vehicles/drivers. 965309-00-1252-000 Equipment 500 500 402 250 -250 -50% Purchase of equipment for Transport. 965309-00-1266-000 Services - Cleaning 3,000 3,000 603 1,250 -1,750 965309-00-1279-000 Services - Other 3,000 5,934 4,196 5,000 -934 200 200 346 200 0 965309-00-1209-000 Superannuation 965309-00-1365-000 Volunteers - Other -58% Professional cleaning of HACC vehicles. -16% Use of Taxi Transport in circumstances where normal volunteer transport is not available or appropriate. 0% Misc volunteer expenses. 965309-00-1366-000 Volunteer meals 1,500 1,500 1,132 1,500 0 965309-00-1377-000 Travel - General 200 200 48 50 -150 965309-00-1399-000 Miscellaneous 100 100 22 100 0 19,185 19,185 39,427 49,123 29,938 549 549 294 563 14 965309-40-1201-000 Wages 5,709 5,709 311 5,852 143 3% 965309-40-1216-000 Agency Staff 1,098 1,098 180 1,125 27 2% 965309-40-1221-000 Tyres 2,196 2,196 0 2,251 55 3% 220 220 0 226 6 3% 965309-00-1406-000 Internal Allocation 965309-40-1119-000 Licenses 965309-40-1222-000 Materials 965309-40-1223-000 Parts 0% Volunteer driver meal expenses. -75% Travel - Support Staff kilometre allowance to provide service. 0% Miscellaneous expenses associated with service. 156% Allocation of Admin Costs - 9% of HACC Admin 3% MB09 Fleet23 878 878 0 900 22 3% 965309-40-1224-000 Fuel 6,334 6,334 910 6,492 158 2% 965309-40-1225-000 External Repairs 6,778 6,778 909 6,947 169 2% 965309-40-1279-000 Services - Other 2,635 2,635 0 2,701 66 3% 442 442 330 330 -112 -25% 118,979 156,913 149,147 178,103 21,190 14% -144,099 -144,099 -146,496 -148,000 -3,901 0 0 -53 0 0 0% -9,000 -9,000 -7,172 -7,800 1,200 -13% -153,099 -153,099 -153,720 -155,800 -2,701 2% -34,120 3,814 -4,573 22,303 18,489 485% 28,424 28,424 27,410 0 -28,424 965309-40-1314-000 Ins. Prem - Motor Vehicle TOTAL 1 - Expenditure 4 - Income 965309-00-4032-000 Grant - Operating 965309-00-4139-000 Other Fees 965309-00-4377-000 Transport/Travel Fees TOTAL 4 - Income TOTAL 965309 - HACC Transport 3% Contract value of$1,659,685 Income reflects 9% service type expenditure. 30% July, 25% October, 25% January, 20% April. 965310 - Counc/Supp /Advoc 1 - Expenditure 965310-00-1200-000 Salaries 965310-00-1202-000 Allowances -100% Service Type no longer funded by HACC as of 2015-16. 26 26 19 100 74 287% 484 484 475 2 -482 -100% 2,993 2,993 2,865 12 -2,981 -100% 965310-00-1239-000 Consumables 100 100 0 0 -100 -100% 965310-00-1377-000 Travel - General 300 300 138 0 -300 -100% 965310-00-1208-000 Workers Compensation 965310-00-1209-000 Superannuation Page 98 of 121 A48.100 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual 965310-00-1385-000 Catering - Functions 1,500 1,500 0 965310-00-1386-000 Catering - Meals 1,000 1,000 100 100 965310-00-1406-000 Internal Allocation 38,831 TOTAL 1 - Expenditure Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 0 -1,500 -100% 76 0 -1,000 -100% 0 0 -100 -100% 38,831 19,114 0 -38,831 -100% 73,758 73,758 50,097 114 -73,644 -100% 965310-00-4032-000 Grant - Operating -50,887 -50,887 -51,733 0 50,887 -100% TOTAL 4 - Income -50,887 -50,887 -51,733 0 50,887 -100% 22,871 22,871 -1,636 114 -22,757 -100% 79,360 39,360 34,201 52,042 12,682 57 57 26 200 143 253% 0 0 259 0 0 0% 965311-00-1208-000 Workers Compensation 1,352 1,352 1,327 887 -465 -34% 965311-00-1209-000 Superannuation 8,088 8,088 5,879 5,433 -2,655 -33% 965310-00-1399-000 Miscellaneous Comment 4 - Income TOTAL 965310 - Counc/Supp /Advoc 965311 - Respite 1 - Expenditure 965311-00-1200-000 Salaries 965311-00-1202-000 Allowances 965311-00-1204-000 Long Service Leave 965311-00-1239-000 Consumables 32% Salaries for staff providing Respite services. 100 100 0 0 -100 -100% 965311-00-1279-000 Services - Other 1,000 1,000 0 0 -1,000 -100% 965311-00-1377-000 Travel - General 2,500 2,500 2,552 2,500 0 965311-00-1386-000 Catering - Meals 100 100 0 0 -100 -100% 50 50 0 0 -50 -100% 4,008 4,008 2,743 38,207 34,199 96,615 56,615 46,987 99,269 42,654 -116,959 -116,959 -118,905 -100,000 16,959 -500 -500 0 -500 0 -117,459 -117,459 -118,905 -100,500 16,959 -14% -20,844 -60,844 -71,918 -1,231 59,613 -98% 965312-00-1406-000 Internal Allocation 5,716 5,716 1,843 0 -5,716 -100% TOTAL 1 - Expenditure 5,716 5,716 1,843 0 -5,716 -100% 0 0 -2,168 0 0 0% 965311-00-1399-000 Miscellaneous 965311-00-1406-000 Internal Allocation TOTAL 1 - Expenditure 0% Travel - Support Staff kilometre allowance to facilitate service delivery. 853% Allocation of Admin Costs - 7% of HACC Admin 75% 4 - Income 965311-00-4032-000 Grant - Operating 965311-00-4139-000 Other Fees TOTAL 4 - Income TOTAL 965311 - Respite -14% Contract value of$1,659,685 Income reflects 7% service type expenditure. 30% July, 25% October, 25% January, 20% April. 0% 965312 - Non HACC (HCP) 1 - Expenditure 4 - Income 965312-00-4049-000 Other Agency Income TOTAL 4 - Income TOTAL 965312 - Non HACC (HCP) 0 0 -2,168 0 0 0% 5,716 5,716 -325 0 -5,716 -100% 750 750 837 650 -100 -13% -80% 965313 - Centre Based Services 1 - Expenditure 965313-00-1079-000 Reimb - Volunteer Mileage 965313-00-1128-000 Photocopying 965313-00-1200-000 Salaries 965313-00-1202-000 Allowances 965313-00-1208-000 Workers Compensation 965313-00-1209-000 Superannuation 500 500 68 100 -400 185,491 175,491 145,570 190,235 14,744 101 101 123 300 199 198% 3,156 3,156 3,097 3,239 83 3% 21,265 21,265 15,637 21,977 712 3% Page 99 of 121 8% Salaries for staff providing services from Harman Park Community Centre. A48.101 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 965313-00-1210-000 Staff Medicals 50 50 0 50 0 965313-00-1239-000 Consumables 1,000 3,000 1,990 2,500 -500 -17% Art/Craft/Games for group activities. 500 500 0 250 -250 -50% Safety Equipment at Day Centre for staff & clients 965313-00-1250-000 Furniture 2,000 0 0 0 0 965313-00-1252-000 Equipment 1,500 1,500 558 500 -1,000 -67% Purchases of new equipment to replace old equipment. 965313-00-1263-000 Services - Advertising 5,000 5,000 143 1,500 -3,500 -70% Advertising for staff recruitment. 965313-00-1271-000 Services - Other Consultants 1,750 1,750 1,456 0 -1,750 965313-00-1240-000 Safety Equipment 965313-00-1279-000 Services - Other 0% Medicals for any new staff. 0% -100% 25,000 35,000 43,060 15,000 -20,000 965313-00-1320-000 Power 5,511 5,511 3,383 4,307 -1,204 -22% Utilities to increase by CPI based on 2014/15 forecasts. 965313-00-1321-000 Water 1,166 1,166 1,711 1,991 825 71% Utilities to increase by CPI based on 2014/15 forecasts. 965313-00-1366-000 Volunteer meals 1,000 1,000 778 750 -250 965313-00-1373-000 Registration - Train/Conf 0 0 282 0 0 965313-00-1377-000 Travel - General 500 500 292 250 -250 965313-00-1384-000 Other Functions 0 0 0 1,500 1,500 965313-00-1386-000 Catering - Meals 0 0 35 0 0 965313-00-1399-000 Miscellaneous Comment -57% Agency Staff to provide service delivery where necessary. -25% Volunteer lunches. 0% -50% Travel - Support Staff kilometre allowance to facilitate service delivery. New Entertainers /guest speakers/demonstrations for group activities (moved from Services - Other Consultants). 0% 2,000 1,800 1,429 750 -1,050 965313-00-1406-000 Internal Allocation 201,170 201,170 76,124 114,621 -86,549 -58% Miscellaneous expenses for Centre. -43% Allocation of Admin Costs - 21% of HACC Admin TOTAL 1 - Expenditure 459,410 459,210 296,571 360,469 -98,740 -22% 965313-32-3252-000 Equipment 0 0 0 13,000 13,000 New Purchase of new photocopier. TOTAL 3 - Capital Expenditure 0 0 0 13,000 13,000 New -300,636 -300,636 -305,637 -345,000 -44,364 3 - Capital Expenditure 4 - Income 965313-00-4032-000 Grant - Operating 15% Contract value of$1,659,685 Income reflects 21% service type expenditure. 30% July, 25% October, 25% January, 20% April. 965313-00-4139-000 Other Fees -25,000 -25,000 -22,752 -26,000 -1,000 4% 965313-00-4377-000 Transport/Travel Fees -12,000 -12,000 -12,186 -13,500 -1,500 13% -5,000 -5,000 -6,387 -7,500 -2,500 50% -342,636 -342,636 -346,962 -392,000 -49,364 14% 116,774 116,574 -50,391 -18,531 -135,104 -116% 0 250 186 250 0 965314-00-1239-000 Consumables 1,750 1,750 1,297 1,250 -500 -29% Kitchen supplies. 965314-00-1252-000 Equipment 1,200 950 688 500 -450 -47% Kitchen equipment 15,000 15,000 17,557 18,000 3,000 0 0 9,900 10,916 10,916 New Allocation of Admin Costs - 2% of HACC Admin 17,950 17,950 29,627 30,916 12,966 72% 965314-00-4032-000 Grant - Operating -32,309 -32,309 -32,846 -23,400 8,909 965314-00-4386-000 Catering - Meals -15,000 -15,000 -14,368 -15,000 0 965313-00-4399-000 Miscellaneous TOTAL 4 - Income TOTAL 965313 - Centre Based Services 965314 - Meals at Centre 1 - Expenditure 965314-00-1234-000 Uniforms/Protective Clothing 965314-00-1386-000 Catering - Meals 965314-00-1406-000 Internal Allocation TOTAL 1 - Expenditure 0% Uniforms / protective clothing used in the provision of this service 20% Cost of purchasing food to deliver meals to clients for lunch, morning tea for approximately 120 clients/ five days per week. 4 - Income -28% Contract value of$1,659,685 Income reflects 2% service type expenditure. 30% July, 25% October, 25% January, 20% April. 0% TOTAL 4 - Income -47,309 -47,309 -47,214 -38,400 8,909 -19% TOTAL 965314 - Meals at Centre -29,359 -29,359 -17,587 -7,484 21,875 -75% 1,600 1,600 186 500 -1,100 -69% Ad hoc hire of vehicle for service delivery. 965315 - Centre Based Transport 1 - Expenditure 965315-00-1127-000 Hire (Property & Equipment) Page 100 of 121 A48.102 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 965315-00-1200-000 Salaries 965315-00-1202-000 Allowances 965315-00-1208-000 Workers Compensation 965315-00-1209-000 Superannuation 965315-00-1240-000 Safety Equipment Current Budget 58,689 58,689 Budget YTD at Proposed Budget YTD Actual 52,224 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 65,945 7,256 62 62 44 250 187 300% 998 979 1,125 127 13% 6,752 6,752 5,479 7,491 739 11% 200 200 0 0 -200 1,000 1,100 1,045 250 -850 965315-00-1266-000 Services - Cleaning 3,000 2,900 182 500 -2,400 965315-00-1377-000 Travel - General 965315-00-1406-000 Internal Allocation 965315-40-1119-000 Licenses 12% Salaries for staff providing transport services to clients (to and from Harman Park). 998 965315-00-1252-000 Equipment 200 200 81 100 -100 15,950 15,950 59,526 43,665 27,715 1,312 1,312 1,175 1,345 33 -100% Safety equipment for vehicle/staff/clients. -77% Equipment for improving or upgrading features of vehicles. -83% Professional cleaning of vehicles. -50% Travel - Support Staff kilometre allowance to facilitate service delivery. 174% Allocation of Admin Costs - 8% of HACC Admin 3% MB03-06-10-11 965315-40-1201-000 Wages 4,406 4,406 2,103 4,516 110 2% 965315-40-1216-000 Agency Staff 1,705 1,705 1,438 1,748 43 3% 246 246 38 252 6 2% 965315-40-1219-000 Overheads 965315-40-1221-000 Tyres 965315-40-1222-000 Materials 965315-40-1223-000 Parts 965315-40-1224-000 Fuel 500 500 50 513 13 3% 1,025 1,025 42 1,051 26 3% 181 181 0 186 5 3% 11,820 11,820 7,585 12,116 296 3% 965315-40-1225-000 External Repairs 2,937 2,937 3,542 3,010 73 2% 965315-40-1279-000 Services - Other 1,267 1,267 0 1,299 32 3% 965315-40-1314-000 Ins. Prem - Motor Vehicle 1,756 1,756 1,311 1,311 -445 -25% 115,606 115,606 137,031 147,173 31,566 27% 965315-00-4032-000 Grant - Operating -126,652 -126,652 -128,759 -131,000 -4,348 TOTAL 4 - Income -126,652 -126,652 -128,759 -131,000 -4,348 3% -11,046 -11,046 8,272 16,173 27,218 -246% 75,548 27,548 23,535 48,474 20,926 23 23 14 150 126 TOTAL 1 - Expenditure Comment 4 - Income TOTAL 965315 - Centre Based Transport 3% Contract value of$1,659,685 Income reflects 8% service type expenditure. 30% July, 25% October, 25% January, 20% April. 965316 - Other Food Services 1 - Expenditure 965316-00-1200-000 Salaries 965316-00-1202-000 Allowances 965316-00-1204-000 Long Service Leave 76% Salaries for staff providing service delivery in clients homes. 543% 0 0 259 0 0 0% 965316-00-1208-000 Workers Compensation 1,286 1,286 1,262 826 -460 -36% 965316-00-1209-000 Superannuation 7,361 7,361 4,847 4,714 -2,647 -36% 965316-00-1252-000 Equipment 200 200 0 0 -200 -100% 965316-00-1271-000 Services - Other Consultants 1,500 1,500 0 0 -1,500 -100% 965316-00-1377-000 Travel - General 4,000 4,000 3,131 3,500 -500 100 100 0 0 -100 0 0 0 43,665 43,665 90,018 42,018 33,047 101,329 59,311 141% -121,805 -121,805 -123,831 -100,700 21,105 -17% Contract value of$1,659,685 Income reflects 8% service type expenditure. 30% July, 25% October, 25% January, 20% April. -2,000 -2,000 -368 -500 1,500 -75% -123,805 -123,805 -124,199 -101,200 22,605 -18% -33,787 -81,787 -91,152 129 81,916 -100% 965316-00-1399-000 Miscellaneous 965316-00-1406-000 Internal Allocation TOTAL 1 - Expenditure -13% Travel - Support Staff kilometre allowance to provide service. -100% Travel - Support Staff kilometre allowance to facilitate service delivery New Allocation of Admin Costs - 8% of HACC Admin 4 - Income 965316-00-4032-000 Grant - Operating 965316-00-4139-000 Other Fees TOTAL 4 - Income TOTAL 965316 - Other Food Services Page 101 of 121 A48.103 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 965317 - Carer Support 1 - Expenditure 965317-00-1239-000 Consumables 0 0 0 100 100 965317-00-1271-000 Services - Other Consultants 0 500 965317-00-1279-000 Services - Other 0 0 965317-00-1386-000 Catering - Meals 0 0 New Disposable supplies; e.g. paper hand towels, cleaning products etc. 500 0 -500 0 225 225 New Guest speakers for Carer's events (moved from Services - Other Consultants). 0 400 400 New Catering for monthly Carer support groups held at Harman Park. -100% TOTAL 1 - Expenditure 0 500 500 725 225 45% TOTAL 965317 - Carer Support 0 500 500 725 225 45% B80399 - Ascot Pk Aged Day Cntr Bld Mnt TOTAL 1 - Expenditure 3,795 2,208 2,481 0 -2,208 -100% TOTAL B80399 - Ascot Pk Aged Day Cntr Bld Mnt 3,795 2,208 2,481 0 -2,208 -100% 100,052 98,465 -215,735 0 -98,465 -100% 960000-00-1077-000 Reimb - Miscellaneous 0 0 81 0 0 0% 960000-00-1280-000 Services - Training 0 0 367 0 0 0% 4,990 4,990 4,342 4,330 -660 960000-00-1400-000 ABC Cost Allocation 799 799 627 1,485 686 960000-40-1119-000 Licenses 439 439 460 471 32 7% Seniors Bus MB05 960000-40-1201-000 Wages 549 549 787 563 14 3% 960000-40-1216-000 Agency Staff 549 549 480 563 14 3% 960000-40-1219-000 Overheads 110 110 0 113 3 3% 960000-40-1221-000 Tyres 494 494 0 506 12 2% 960000-40-1222-000 Materials 110 110 0 113 3 3% TOTAL 650 - Home and Community Care 670 - Senior Citizens Centre 960000 - Senior Citizens Centre 1 - Expenditure 960000-00-1320-000 Power 960000-40-1223-000 Parts -13% Utilities to increase by CPI based on 2014/15 forecasts. 86% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 110 110 0 113 3 3% 960000-40-1224-000 Fuel 2,196 2,196 1,308 2,251 55 3% 960000-40-1225-000 External Repairs 1,098 1,098 1,286 1,125 27 2% 960000-40-1279-000 Services - Other 659 659 0 675 16 2% 960000-40-1314-000 Ins. Prem - Motor Vehicle 818 818 611 611 -207 -25% 12,921 12,921 10,348 12,919 -2 0% 960000-00-4058-000 Cont - Fleet/Plant 0 0 -1,473 0 0 0% 960000-00-4073-000 Reimb - Utilities 0 0 -3,962 0 0 0% TOTAL 1 - Expenditure 4 - Income TOTAL 4 - Income TOTAL 960000 - Senior Citizens Centre 0 0 -5,436 0 0 0% 12,921 12,921 4,913 12,919 -2 0% 47,966 49,888 40,046 50,304 416 1% B82299 - Senior Citizens Centre Bld Mnt TOTAL 1 - Expenditure TOTAL B82299 - Senior Citizens Centre Bld Mnt TOTAL 670 - Senior Citizens Centre 47,966 49,888 40,046 50,304 416 1% 60,887 62,809 44,958 63,223 414 1% 5,000 5,000 1,205 0 -5,000 -100% 700 - Aged Care Housing Assistance 968000 - Aged Care & Housing Assistance 1 - Expenditure 968000-00-1127-000 Hire (Property & Equipment) Page 102 of 121 A48.104 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 968000-00-1200-000 Salaries 968000-00-1202-000 Allowances Current Budget 63,114 43,114 Budget YTD at Proposed Budget YTD Actual 46,108 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase 0 Increase (%) -43,114 -100% 67 67 35 0 -67 -100% 968000-00-1208-000 Workers Compensation 1,074 1,074 1,054 0 -1,074 -100% 968000-00-1209-000 Superannuation 6,003 6,003 4,107 0 -6,003 -100% 968000-00-1216-000 Agency Staff 968000-00-1227-000 Printing 968000-00-1262-000 Services - Marketing 0 40,000 12,702 0 -40,000 -100% 500 500 0 0 -500 -100% 1,000 1,000 0 0 -1,000 -100% 968000-00-1276-000 Services - Security 1,000 1,000 385 0 -1,000 -100% 968000-00-1279-000 Services - Other 1,000 1,000 958 0 -1,000 -100% 49 49 88 0 -49 500 500 127 0 -500 968000-00-1322-000 Telephone 968000-00-1330-000 Subscriptions 968000-00-1371-000 Travel - Conferences 968000-00-1373-000 Registration - Train/Conf 968000-00-1377-000 Travel - General 968000-00-1399-000 Miscellaneous Comment -100% Utilities to increase by CPI based on 2014/15 forecasts. -100% 200 200 0 0 -200 -100% 1,000 1,000 902 0 -1,000 -100% 500 500 55 0 -500 -100% 2,677 2,677 88 0 -2,677 -100% 968000-00-1400-000 ABC Cost Allocation 14,359 14,359 10,830 0 -14,359 -100% TOTAL 1 - Expenditure 98,043 118,043 78,644 0 -118,043 -100% 968000-00-4032-000 Grant - Operating -101,670 -101,670 -93,680 0 101,670 -100% TOTAL 4 - Income -101,670 -101,670 -93,680 0 101,670 -100% -3,627 16,373 -15,036 0 -16,373 -100% 968500-00-1200-000 Salaries 0 0 0 69,051 69,051 968500-00-1202-000 Allowances 0 0 0 50 50 4 - Income TOTAL 968000 - Aged Care & Housing Assistance 968500 - Seniors & Disability Programs 1 - Expenditure New Seniors & Disability Engagement Officer New 968500-00-1208-000 Workers Compensation 0 0 0 1,175 1,175 New 968500-00-1209-000 Superannuation 0 0 0 6,565 6,565 New 968500-00-1226-000 Stationery 0 0 0 500 500 New 968500-00-1227-000 Printing 0 0 0 3,000 3,000 968500-00-1252-000 Equipment 0 0 0 1,000 1,000 New Printing & design (Marketforce) of community Age Friendly & Disability information sessions (previously in Community Services budget). New Equipment - Seniors & Disability Week activities. 968500-00-1271-000 Services - Other Consultants 0 0 0 10,000 10,000 968500-00-1279-000 Services - Other 0 0 0 3,000 3,000 968500-00-1280-000 Services - Training 0 0 0 2,500 2,500 968500-00-1330-000 Subscriptions 0 0 0 200 200 968500-00-1332-000 Advertising 0 0 0 7,000 7,000 968500-00-1373-000 Registration - Train/Conf 0 0 0 500 500 New $500 - professional development for Seniors & Disability Officer (previously in ACHA budget). 968500-00-1377-000 Travel - General 0 0 0 250 250 New Travel expenses - $250 - Seniors & Disability Officer (previously in ACHA budget). 968500-00-1385-000 Catering - Functions 0 0 0 1,500 1,500 968500-00-1399-000 Miscellaneous 0 0 0 500 500 TOTAL 1 - Expenditure 0 0 0 106,791 106,791 TOTAL 968500 - Seniors & Disability Programs TOTAL 700 - Aged Care Housing Assistance New $10k - consultant to commence review of Age Friendly Community Plan expiring in2016. New $3k - Age Friendly & Disability community information session resources & presenters (previously in Community Services budget). New $2.5k - facilitation of staff (x1) & community (x1) Disability Awareness training (previously in Community Services budget). New New Advertising - $3k - Seniors & Disability Engagement role recruitment (x2 weeks), $4k - Senior & Disability community information sessions (previously in Community Services budget). New Catering - $1,500 - Seniors & Disability Week activities, Senior & Disability community information sessions. New Misc. items - $500 (previously in ACHA budget). New 0 0 0 106,791 106,791 New -3,627 16,373 -15,036 106,791 90,418 552% Page 103 of 121 A48.105 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 710 - Youth Services 966500 - Youth Services General 1 - Expenditure 966500-00-1062-000 Cont - Belmont City College 25,000 25,000 23,864 0 -25,000 966500-00-1077-000 Reimb - Miscellaneous 14,860 14,860 12,389 14,860 0 966500-00-1128-000 Photocopying 966500-00-1200-000 Salaries 966500-00-1201-000 Wages 966500-00-1202-000 Allowances -100% 0% Forecasts for: Photocopying ($1,000), Power ($12,000), Water ($1,860) to be reimbursed by YMCA. 0 0 220 0 0 86,234 47,270 47,270 87,276 40,006 0% 0 13 13 0 -13 -100% 85% One FT for full year as opposed which budget moved from agency. 50 50 27 0 -50 -100% 966500-00-1208-000 Workers Compensation 1,467 1,467 1,439 1,484 17 1% 966500-00-1209-000 Superannuation 7,835 7,835 4,088 8,189 354 5% 966500-00-1216-000 Agency Staff 0 46,000 26,400 0 -46,000 -100% 966500-00-1219-000 Overheads 0 0 14 0 0 0% 1,000 0 0 0 0 0% 10,000 10,000 2,765 3,000 -7,000 -70% 966500-00-1252-000 Equipment 5,000 5,000 1,087 1,000 -4,000 -80% 966500-00-1263-000 Services - Advertising 3,000 0 0 0 0 0% 0 0 24 0 0 0% 966500-00-1222-000 Materials 966500-00-1227-000 Printing 966500-00-1279-000 Services - Other 577,266 580,859 481,253 591,636 10,778 966500-00-1293-000 Services - Youth Prog External 966500-00-1289-000 Services - Youth Programs 0 1,400 1,400 1,500 100 966500-00-1322-000 Telephone 0 500 159 182 -318 36,244 36,244 27,484 28,554 -7,689 -21% 966500-40-1119-000 Licenses 333 333 0 0 -333 -100% 966500-40-1201-000 Wages 443 443 0 0 -443 -100% 966500-40-1216-000 Agency Staff 333 333 0 0 -333 -100% 966500-40-1221-000 Tyres 56 56 0 0 -56 -100% 966500-40-1222-000 Materials 56 56 0 0 -56 -100% 966500-40-1223-000 Parts 56 56 0 0 -56 -100% 1,663 1,663 0 0 -1,663 -100% 966500-40-1225-000 External Repairs 554 554 0 0 -554 -100% 966500-40-1279-000 Services - Other 443 443 0 0 -443 -100% 771,892 780,434 629,897 737,681 -42,753 -5% 966500-00-4037-000 Grant - DCP -56,979 -56,979 -58,489 -58,489 -1,510 966500-00-4077-000 Reimb - Miscellaneous -14,860 -14,860 -12,389 -14,860 0 966500-00-1400-000 ABC Cost Allocation 966500-40-1224-000 Fuel TOTAL 1 - Expenditure 2% Tender 02/2013 – Provision of Youth Services 7% $1,500 for Youth Skate Series Local Govt partnership registration for event held in January 2016. -64% Utilities to increase by CPI based on 2014/15 forecasts. 4 - Income 3% Child Protection & Family Support Funding has been renewed for a further 2 years. 0% Photocopying ($1,000), Power ($12,000), Water ($1,860) to be reimbursed by YMCA. TOTAL 4 - Income -71,839 -71,839 -70,878 -73,349 -1,510 2% TOTAL 966500 - Youth Services General 700,053 708,595 559,018 664,332 -44,263 -6% 700,053 708,595 559,018 664,332 -44,263 -6% 922200-00-1400-000 ABC Cost Allocation 533 533 418 0 -533 -100% TOTAL 1 - Expenditure 533 533 418 0 -533 -100% TOTAL 922200 - Alternative Youth Programs 533 533 418 0 -533 -100% TOTAL 710 - Youth Services 720 - Alternative Youth Programs 922200 - Alternative Youth Programs 1 - Expenditure Page 104 of 121 A48.106 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL 720 - Alternative Youth Programs Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 533 533 418 0 -533 950000-00-1059-000 Cont - Other 0 0 0 10,000 10,000 950000-00-1201-000 Wages 0 0 95 0 0 950000-00-1279-000 Services - Other 0 0 0 77,922 77,922 950000-00-1317-000 Ins. Prem - Other 2,588 2,588 2,396 2,388 -200 950000-00-1400-000 ABC Cost Allocation 1,598 1,598 1,254 0 -1,598 -100% TOTAL 1 - Expenditure 4,186 4,186 3,745 90,310 86,124 2057% 39,900 41,319 0 0 -41,319 -100% 39,900 41,319 0 0 -41,319 -100% Comment -100% 730 - Ascot Close Housing 950000 - Ascot Close Housing 1 - Expenditure New Allows for a contribution from Council to subsidise a deficit position if required. No impact on Municipal budget with any deficits being funded from reserve and surpluses being transferred to reserve. 0% New Payment to the contractor which includes the upfront one off fee ($180k) plus ongoing operational fee ($120k). The fees are apportioned to all ILU's based on number of units. -8% 3 - Capital Expenditure *950000-00-3822-000 Aged persons housing reserve * TOTAL 3 - Capital Expenditure 4 - Income 950000-00-4122-000 Rent/Lease -26,936 -26,936 -22,812 0 26,936 -100% 950000-00-4123-000 Maintenance -64,796 -64,796 -55,948 0 64,796 -100% TOTAL 4 - Income -91,732 -91,732 -78,760 0 91,732 -100% 950000-00-6822-000 Aged persons housing reserve 0 0 0 -107,272 -107,272 New Reserve used to fund the first year of the new contract period. TOTAL 6 - Capital Income 0 0 0 -107,272 -107,272 New -47,646 -46,227 -75,015 -16,962 29,265 -63% TOTAL 1 - Expenditure 27,691 26,271 30,357 1,985 -24,286 -92% TOTAL B84299 - Ascot Close Units-Blg Mntc 27,691 26,271 30,357 1,985 -24,286 -92% 33,000 5,000 12,635 33,000 28,000 560% -33,000 -5,000 0 -33,000 -28,000 560% 0 0 12,635 0 0 0% TOTAL 1 - Expenditure 19,955 19,955 9,788 14,977 -4,978 -25% TOTAL P84200 - Ascot Close Units-Gen Mntc 19,955 19,955 9,788 14,977 -4,978 -25% 0 0 -22,235 0 0 -104% 950500-00-1059-000 Cont - Other 0 0 0 10,000 10,000 New Allows for a contribution from Council to subsidise a deficit position if required. No impact on Municipal budget with any deficits being funded from reserve and surpluses being transferred to reserve. 950500-00-1279-000 Services - Other 0 0 0 58,442 58,442 950500-00-1317-000 Ins. Prem - Other 1,925 1,925 1,783 1,777 -148 New Payment to the contractor which includes the upfront one off fee ($180k) plus ongoing operational fee ($120k). The fees are apportioned to all ILU's based on number of units. -8% 950500-00-1400-000 ABC Cost Allocation 1,465 1,465 1,150 0 -1,465 -100% TOTAL 1 - Expenditure 3,390 3,390 2,933 70,219 66,829 1971% 35,618 37,434 0 0 -37,434 -100% 6 - Capital Income TOTAL 950000 - Ascot Close Housing B84299 - Ascot Close Units-Blg Mntc BB1403 - Ascot Close TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL BB1403 - Ascot Close P84200 - Ascot Close Units-Gen Mntc TOTAL 730 - Ascot Close Housing 740 - Wahroonga Housing 950500 - Wahroonga Housing 1 - Expenditure 3 - Capital Expenditure *950500-00-3822-000 Aged persons housing reserve * Page 105 of 121 A48.107 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget TOTAL 3 - Capital Expenditure Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 35,618 37,434 0 0 -37,434 -100% 950500-00-4122-000 Rent/Lease -27,300 -27,300 -16,447 0 27,300 -100% 950500-00-4123-000 Maintenance -50,174 -50,174 -33,724 0 50,174 -100% TOTAL 4 - Income -77,474 -77,474 -50,171 0 77,474 -100% 0 0 0 -102,272 -102,272 Comment 4 - Income 6 - Capital Income 950500-00-6822-000 Aged persons housing reserve TOTAL 6 - Capital Income New Reserve used to fund the first year of the new contract period. 0 0 0 -102,272 -102,272 New -38,466 -36,650 -47,238 -32,053 4,597 -13% TOTAL 1 - Expenditure 20,702 18,886 13,922 16,040 -2,846 -15% TOTAL B84199 - Wahroonga Units-Blg Mntc 20,702 18,886 13,922 16,040 -2,846 -15% 33,500 0 1,026 33,500 33,500 New TOTAL 950500 - Wahroonga Housing B84199 - Wahroonga Units-Blg Mntc BB1402 - Wahroonga Aged Persons TOTAL 1 - Expenditure TOTAL 6 - Capital Income -33,500 0 0 -33,500 -33,500 New 0 0 1,026 0 0 0% TOTAL 1 - Expenditure 17,764 17,764 9,996 16,013 -1,751 -10% TOTAL P84100 - Wahroonga Units-Gen Mntc 17,764 17,764 9,996 16,013 -1,751 -10% 0 0 -22,293 0 0 -114% 951000-00-1059-000 Cont - Other 0 0 0 10,000 10,000 New Allows for a contribution from Council to subsidise a deficit position if required. No impact on Municipal budget with any deficits being funded from reserve and surpluses being transferred to reserve. 951000-00-1279-000 Services - Other 0 0 0 85,714 85,714 951000-00-1317-000 Ins. Prem - Other 2,842 2,842 2,632 2,623 -219 New Payment to the contractor which includes the upfront one off fee ($180k) plus ongoing operational fee ($120k). The fees are apportioned to all ILU's based on number of units. -8% 951000-00-1400-000 ABC Cost Allocation 1,065 1,065 836 0 -1,065 -100% TOTAL 1 - Expenditure 3,907 3,907 3,468 98,337 94,430 2417% 25,653 26,075 0 0 -26,075 -100% 36,588 36,588 0 0 -36,588 -100% 62,241 62,663 0 0 -62,663 -100% 951000-00-4122-000 Rent/Lease -117,119 -117,119 -95,690 0 117,119 -100% TOTAL 4 - Income -117,119 -117,119 -95,690 0 117,119 -100% 951000-00-6822-000 Aged persons housing reserve 0 0 0 -56,681 -56,681 New Reserve used to fund the first year of the new contract period. 951000-00-6846-000 HomesWest Reserve 0 0 0 -56,681 -56,681 New Reserve used to fund the first year of the new contract period. TOTAL 6 - Capital Income 0 0 0 -113,362 -113,362 New -50,971 -50,549 -92,222 -15,025 35,524 -70% TOTAL 1 - Expenditure 35,286 34,864 22,970 2,235 -32,629 -94% TOTAL B84099 - Orana Age Units-Blg Mntc 35,286 34,864 22,970 2,235 -32,629 -94% TOTAL BB1402 - Wahroonga Aged Persons P84100 - Wahroonga Units-Gen Mntc TOTAL 740 - Wahroonga Housing 750 - Orana Housing 951000 - Orana Aged Housing 1 - Expenditure 3 - Capital Expenditure *951000-00-3822-000 Aged persons housing reserve * *951000-00-3846-000 HomesWest Reserve * TOTAL 3 - Capital Expenditure 4 - Income 6 - Capital Income TOTAL 951000 - Orana Aged Housing B84099 - Orana Age Units-Blg Mntc BB1413 - Orana Living Units Upgrade Page 106 of 121 A48.108 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 1 - Expenditure BB1413-30-1279-000 Services - Other 10,000 50,000 9,893 15,000 -35,000 -70% Upgrades to vacated units and purchase of capital equipment to replace old. TOTAL 1 - Expenditure 10,000 50,000 9,893 15,000 -35,000 -70% BB1413-00-6846-000 HomesWest Reserve -10,000 -50,000 0 -15,000 35,000 -70% income to offset capital expenditure TOTAL 6 - Capital Income -10,000 -50,000 0 -15,000 35,000 -70% 0 0 9,893 0 0 0% TOTAL 1 - Expenditure 15,684 15,684 8,387 12,790 -2,894 -18% TOTAL P84000 - Orana Age Units-Gen Mntc 15,684 15,684 8,387 12,790 -2,894 -18% 0 0 -50,972 0 1 -106% 951500-00-1059-000 Cont - Other 0 0 0 10,000 10,000 New Allows for a contribution from Council to subsidise a deficit position if required. No impact on Municipal budget with any deficits being funded from reserve and surpluses being transferred to reserve. 951500-00-1279-000 Services - Other 0 0 0 77,922 77,922 3,275 3,275 3,033 3,022 -253 New Payment to the contractor which includes the upfront one off fee ($180k) plus ongoing operational fee ($120k). The fees are apportioned to all ILU's based on number of units. -8% 6 - Capital Income TOTAL BB1413 - Orana Living Units Upgrade P84000 - Orana Age Units-Gen Mntc TOTAL 750 - Orana Housing 760 - Gabriel Gardens Housing 951500 - Gabriel Gardens 1 - Expenditure 951500-00-1317-000 Ins. Prem - Other 0 0 20 0 0 0% 951500-00-1400-000 ABC Cost Allocation 951500-00-1399-000 Miscellaneous 1,465 1,465 1,150 0 -1,465 -100% TOTAL 1 - Expenditure 4,740 4,740 4,203 90,944 86,204 1819% 78,502 74,916 0 0 -74,916 -100% 10,000 10,000 0 0 -10,000 -100% 88,502 84,916 0 0 -84,916 -100% 951500-00-4122-000 Rent/Lease -139,699 -139,699 -122,579 0 139,699 -100% TOTAL 4 - Income -139,699 -139,699 -122,579 0 139,699 -100% 3 - Capital Expenditure *951500-00-3822-000 Aged persons housing reserve * *951500-00-3846-000 HomesWest Reserve * TOTAL 3 - Capital Expenditure 4 - Income 6 - Capital Income 951500-00-6822-000 Aged persons housing reserve 0 0 0 -53,410 -53,410 New Reserve used to fund the first year of the new contract period. 951500-00-6846-000 HomesWest Reserve 0 0 0 -53,410 -53,410 New Reserve used to fund the first year of the new contract period. TOTAL 6 - Capital Income 0 0 0 -106,819 -106,819 New -46,457 -50,043 -118,376 -15,875 34,168 -68% TOTAL 1 - Expenditure 31,580 35,166 33,362 2,535 -32,631 -93% TOTAL B84399 - Gabriel Gardens-Blg Mntc 31,580 35,166 33,362 2,535 -32,631 -93% 80,000 66,086 67,159 0 -66,086 -100% -80,000 -66,086 0 0 66,086 -100% 0 0 67,159 0 0 0% TOTAL 1 - Expenditure 14,877 14,877 10,079 13,340 -1,537 -10% TOTAL P84300 - Gabriel Gardens-Gen Mntc 14,877 14,877 10,079 13,340 -1,537 -10% 0 0 -7,777 0 0 -100% TOTAL 951500 - Gabriel Gardens B84399 - Gabriel Gardens-Blg Mntc BB1505 - Gabriel Gardens - Internal Painting TOTAL 1 - Expenditure TOTAL 6 - Capital Income TOTAL BB1505 - Gabriel Gardens - Internal Painting P84300 - Gabriel Gardens-Gen Mntc TOTAL 760 - Gabriel Gardens Housing 770 - Faulkner Park Retirement Villiage Page 107 of 121 A48.109 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 953000 - Faulkner Park Retirement Vill. 1 - Expenditure 953000-00-1059-000 Cont - Other 60,000 225,000 205,949 60,000 -165,000 -73% Expected contribution for the management of the Village (to the Board). TOTAL 1 - Expenditure 60,000 225,000 205,949 60,000 -165,000 -73% 24,024 24,024 0 28,278 4,254 18% Expected contribution based on net sales. 115,976 110,976 0 111,722 746 1% Expected contribution based on net sales. 140,000 135,000 0 140,000 5,000 953000-00-4274-000 Services - Property Management -200,000 -360,000 -337,872 -200,000 160,000 -44% Estimated sales of units at FPRV. TOTAL 4 - Income 3 - Capital Expenditure *953000-00-3831-000 Faulkner Park Ret. Vill. owner * *953000-00-3849-000 Retiremnt Village Buy Back Res * TOTAL 3 - Capital Expenditure 4% 4 - Income -200,000 -360,000 -337,872 -200,000 160,000 -44% TOTAL 953000 - Faulkner Park Retirement Vill. 0 0 -131,923 0 0 0% TOTAL 770 - Faulkner Park Retirement Villiage 0 0 -131,923 0 0 0% 2,141,636 2,061,871 993,757 2,178,645 116,774 6% 963000-00-1079-000 Reimb - Volunteer Mileage 100 100 0 100 0 0% Reimbursement of mileage for walking group leader volunteer. 963000-00-1119-000 Licenses 800 800 609 800 0 0% Annual APRA license TOTAL 065 - Community Development 070 - Community Lifestyle & Learning 390 - Leisure 963000 - Community & Recreation Service 1 - Expenditure 963000-00-1128-000 Photocopying 1,600 1,600 1,507 1,800 200 270,231 270,231 226,024 295,935 25,704 0 0 483 0 0 0% To cover wages for support staff such as Parks and Buildings for setting up events and maintenance support as well as the catering staff for the annual Art and Photographic Exhibition. 200 200 192 200 0 0% 0 0 5,077 0 0 0% 4,597 4,597 4,511 5,035 438 10% 28,085 28,085 23,634 30,693 2,608 9% 7,885 7,885 7,798 8,224 339 4% 0 0 30 0 0 0% 963000-00-1219-000 Overheads 3,300 3,300 564 3,300 0 963000-00-1226-000 Stationery 1,600 2,500 2,753 2,800 300 963000-00-1227-000 Printing 20,500 20,500 15,819 20,500 0 963000-00-1249-000 Artwork 7,500 12,000 11,530 11,000 -1,000 963000-00-1200-000 Salaries 963000-00-1201-000 Wages 963000-00-1202-000 Allowances 963000-00-1204-000 Long Service Leave 963000-00-1208-000 Workers Compensation 963000-00-1209-000 Superannuation 963000-00-1211-000 Fringe Benefits Tax 963000-00-1216-000 Agency Staff 963000-00-1250-000 Furniture 3,000 3,700 3,632 4,000 300 963000-00-1252-000 Equipment 2,000 2,000 1,932 4,000 2,000 200 200 0 200 0 13,800 17,000 10,287 8,600 -8,400 963000-00-1265-000 Services - Equipment Maint. 100 100 0 300 200 963000-00-1267-000 Services - Courier 100 100 0 100 0 963000-00-1253-000 Fleet / Plant 963000-00-1263-000 Services - Advertising Page 108 of 121 13% Charges for use of photocopier machine for general administrative and fliers. 10% Slight increase in hours to maintain the Community Wellbeing programs. 0% 12% General stationery requirements for the Community Wellbeing department and to replace toner cartridges in photocopier. 0% Contribution to the 2016 Community Services and Event Guide ($15000) includes delivery and additional funds for printing of Active, Nutritious and Creative Term Program flyers and any other general flyers/notices etc. ($5000.00). -8% Maintenance of Civic Centre Art Collection, e.g. repairs, purchase of frames, photography for update of catalogue and hanging system. Provision for COB Art and Cultural Exhibitions purchase of artwork under $2000 (not capital expenditure) and for a valuation to be undertaken on the Civic Centre Art Collection. 8% Purchase of deck chairs and suitable storage for events equipment. 100% Development and purchase of a' banner up' promoting Community Wellbeing programs and services. Extra funds for other equipment items that may arise. 0% -49% Advertising of Active, Nutritious and Creative Lifestyle Term Programs x 4 ($5600); general advertising to promote Community Wellbeing initiatives ($3000) 200% First Aid kit servicing 0% For courier costs to transfer artworks, health mascots and miscellaneous items. A48.110 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 963000-00-1271-000 Services - Other Consultants 0 9,300 9,282 35,000 25,700 963000-00-1284-000 Services - Project Mgmt 0 0 29 0 0 0% 963000-00-1317-000 Ins. Prem - Other 5,382 5,382 4,984 4,967 -415 -8% 963000-00-1322-000 Telephone 5,557 5,557 3,705 4,551 -1,006 800 800 877 1,200 400 963000-00-1371-000 Travel - Conferences 1,300 1,300 865 1,000 -300 -23% Attendance at the Parks Leisure Australia Conference in Sydney in October 2015 963000-00-1372-000 Accommodation - Conferences 1,500 1,500 946 1,000 -500 -33% Accommodation required to attend the Parks Leisure Australia Conference in Sydney in October 2015 963000-00-1373-000 Registration - Train/Conf 4,250 4,750 4,554 4,000 -750 -16% 0 0 221 900 900 1,500 1,500 1,053 1,200 -300 84,692 84,692 63,901 115,945 31,252 963000-40-1119-000 Licenses 329 329 294 337 8 2% FL61 963000-40-1201-000 Wages 111 111 187 114 3 3% 963000-40-1216-000 Agency Staff 769 769 45 788 19 2% 963000-40-1219-000 Overheads 220 220 0 226 6 3% 963000-40-1221-000 Tyres 220 220 0 226 6 3% 963000-40-1222-000 Materials 110 110 0 113 3 3% 963000-00-1330-000 Subscriptions 963000-00-1377-000 Travel - General 963000-00-1399-000 Miscellaneous 963000-00-1400-000 ABC Cost Allocation 963000-40-1223-000 Parts 276% To engage a consultant to develop an active sporting reserve infrastructure and lighting plan and to review the functionality of 400 Abernethy Rd as actioned in the Leisure Arts and Lifestyle Plan. -18% Utilities to increase by CPI based on 2014/15 forecasts. 50% Subscription to Parks Leisure Australia (PLA) Membership, Cultural Arts NetworkWA, Artsource and FORM. New To cover costs associated with use of the Club Development Officer using their personal vehicle when a commuter vehicle is not possible due to working after standard working hours and parking fees to attend external meetings -20% Small cost items and staff xmas lunch allocations. 37% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 220 220 0 226 6 3% 3,074 3,074 2,033 3,151 77 3% 963000-40-1225-000 External Repairs 878 878 240 900 22 3% 963000-40-1279-000 Services - Other 439 439 0 450 11 3% 963000-40-1314-000 Ins. Prem - Motor Vehicle 320 320 239 239 -81 -25% 477,269 496,369 409,834 574,119 77,750 16% 963000-32-3249-000 Artwork 8,000 4,000 4,000 4,000 0 0% Acquisitive art and photographic works at COB Exhibition $4000 TOTAL 3 - Capital Expenditure 8,000 4,000 4,000 4,000 0 0% 963000-00-4399-000 Miscellaneous 0 0 -64 0 0 0% TOTAL 4 - Income 0 0 -64 0 0 0% 485,269 500,369 413,771 578,119 77,750 16% 963001-00-1284-000 Services - Project Mgmt 45,000 45,000 34,296 46,200 1,200 3% Expected cost of 2015/2015 Art Exhibition which has been indexed at 2.5% TOTAL 1 - Expenditure 45,000 45,000 34,296 46,200 1,200 3% 963001-00-4399-000 Miscellaneous -12,000 -14,987 -22,123 -15,000 -13 0% Income from art entry fees and sponsorship from Perth Airport. TOTAL 4 - Income -12,000 -14,987 -22,123 -15,000 -13 0% 33,000 30,013 12,173 31,200 1,187 4% 963000-40-1224-000 Fuel TOTAL 1 - Expenditure 3 - Capital Expenditure 4 - Income TOTAL 963000 - Community & Recreation Service 963001 - Art Exhibition 1 - Expenditure 4 - Income TOTAL 963001 - Art Exhibition 963005 - Fit for Business 1 - Expenditure Page 109 of 121 A48.111 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 963005-00-1284-000 Services - Project Mgmt 8,000 8,000 3,080 8,600 600 8% $2000 towards partnership with Belmont Oasis to run the 'Corporate Fit For Business Challenge; $2500 toward staff subsidy to participate in the 'Corporate FitFor Business Challenge' for the entire year; $3600 toward staff weekly fitness sessions as determined by the Staff Nutrition and Fitness Working Group indexed at 2.5% $500 towards the replacement of fitness equipment (racquets) TOTAL 1 - Expenditure 8,000 8,000 3,080 8,600 600 8% -700 -700 -300 -700 0 4 - Income 963005-00-4399-000 Miscellaneous TOTAL 4 - Income 0% Income received from staff to participate in staff health programs as arranged by the Staff Nutrition and Fitness Working Group. -700 -700 -300 -700 0 0% 7,300 7,300 2,780 7,900 600 8% 963006-00-1284-000 Services - Project Mgmt 5,000 5,000 5,065 1,000 -4,000 -80% Heart foundation walking group support $1000 TOTAL 1 - Expenditure 5,000 5,000 5,065 1,000 -4,000 -80% TOTAL 963006 - Walking projects 5,000 5,000 5,065 1,000 -4,000 -80% 963007-00-1284-000 Services - Project Mgmt 8,000 8,000 8,166 8,200 200 3% To provide Active and Nutritious term based programs. 2.5% CPI applied. TOTAL 1 - Expenditure 8,000 8,000 8,166 8,200 200 3% 963007-00-4399-000 Miscellaneous -200 -200 0 -100 100 -50% Income from Active and Nutrition term programs TOTAL 4 - Income -200 -200 0 -100 100 -50% 7,800 7,800 8,166 8,100 300 4% 963009-00-1263-000 Services - Advertising 2,800 0 0 2,500 2,500 963009-00-1284-000 Services - Project Mgmt 5,500 2,500 2,692 4,000 1,500 TOTAL 1 - Expenditure 8,300 2,500 2,692 6,500 4,000 160% TOTAL 963009 - Junior Sports Expo 8,300 2,500 2,692 6,500 4,000 160% TOTAL 963005 - Fit for Business 963006 - Walking projects 1 - Expenditure 963007 - Healthy Living Seminars 1 - Expenditure 4 - Income TOTAL 963007 - Healthy Living Seminars 963009 - Junior Sports Expo 1 - Expenditure New Advertising for Junior Sports Expo's to be held in February in-conjunction with KidzFest and another similar type of Expo to be held in conjunction with Avon Descent. 60% Minor infrastructure associated with the two events that include - hire of marquees, pin up boards, tables ($2000 allocated towards each event). 963012 - Educational Strategies 1 - Expenditure 963012-00-1227-000 Printing 14,000 0 0 0 0 963012-00-1284-000 Services - Project Mgmt 17,600 19,600 19,513 22,100 2,500 0% 13% Promotion of physical activity and healthy eating at City of Belmont community events as follows: $1600 to fund a 'physical activity option' at the Autumn River Festival ; $500 towards the Autumn River Festival Kayak activity ; $2500 for healthy eating options at major events ; $3000 Health Promotion activities at nominated major events. $2000 for staff wellbeing month ; $1500 healthy promotion merchandise ; $5,500 towards an annual health and well being event. $5,500 towards a joint Library and Community Wellbeing educational project TOTAL 1 - Expenditure 31,600 19,600 19,513 22,100 2,500 13% TOTAL 963012 - Educational Strategies 31,600 19,600 19,513 22,100 2,500 13% 0 320 320 0 -320 -100% 963014 - Club Development Seminars 1 - Expenditure 963014-00-1252-000 Equipment Page 110 of 121 A48.112 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 963014-00-1284-000 Services - Project Mgmt Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 7,300 7,300 3,673 8,500 1,200 0 0 11 100 100 New Miscellaneous items that are incurred for Club Development purposes e.g.. Car parking fees. 7,300 7,620 4,004 8,600 980 13% 963014-00-4032-000 Grant - Operating -30,000 -30,000 -30,000 -30,000 0 0% Club Development Officer Scheme grant income for 2015/2016 ($30,000) as endorsed by Council at OCM February 2014. TOTAL 4 - Income -30,000 -30,000 -30,000 -30,000 0 0% TOTAL 963014 - Club Development Seminars -22,700 -22,380 -25,996 -21,400 980 -4% 7,000 9,000 9,750 9,000 0 963014-00-1399-000 Miscellaneous TOTAL 1 - Expenditure 16% Seniors Club Development Day $5500 Contribution towards the 2016 South East Regions Clubs Conference $1000 Miscellaneous Club Development Opportunities identified by the City's Club Development Officer $2000 4 - Income 963016 - Sporting Donations 1 - Expenditure 963016-00-1284-000 Services - Project Mgmt 0% Funds allocated to implement Sporting and Cultural donations in line with Policy SB 2. TOTAL 1 - Expenditure 7,000 9,000 9,750 9,000 0 0% TOTAL 963016 - Sporting Donations 7,000 9,000 9,750 9,000 0 0% 1,500 0 0 0 0 0% 0 403 403 0 -403 -100% TOTAL 1 - Expenditure 1,500 403 403 0 -403 -100% TOTAL 963019 - Official Openings 1,500 403 403 0 -403 -100% 4,000 4,000 3,047 4,000 0 0 0 0 3,000 3,000 New To seek specific Arts legal advice on contracts between the City and Artist's for public art projects. 3,146 3,146 2,340 4,146 1,000 32% Art Consultant to attend the Public Art Advisory Panel Meetings $286 x 11 meetings. Photographer costs to take professional photographs for the Public Art Inventory and Public trails. ($1000) 963023-00-1284-000 Services - Project Mgmt 103,000 76,000 73,830 50,000 -26,000 -34% Funds required to complete one public art project as advised by the Public Art Advisory Panel TOTAL 1 - Expenditure 110,146 83,146 79,217 61,146 -22,000 -26% TOTAL 963023 - Public Art 110,146 83,146 79,217 61,146 -22,000 -26% 72,472 72,472 66,536 77,030 4,558 6% 50 50 46 50 0 0% 1,233 1,233 1,210 1,310 77 6% 963019 - Official Openings 1 - Expenditure 963019-00-1284-000 Services - Project Mgmt 963019-00-1385-000 Catering - Functions 963023 - Public Art 1 - Expenditure 963023-00-1123-000 Maintenance 963023-00-1270-000 Services - Legal 963023-00-1271-000 Services - Other Consultants 0% To cover any costs associated with maintenance. 963025 - Healthy Communities Initiative 1 - Expenditure 963025-00-1200-000 Salaries 963025-00-1202-000 Allowances 963025-00-1208-000 Workers Compensation 963025-00-1209-000 Superannuation 9,460 9,460 6,841 9,980 520 5% 963025-00-1211-000 Fringe Benefits Tax 3,245 3,245 0 3,385 140 4% 963025-00-1227-000 Printing 2,000 2,000 1,126 1,000 -1,000 0 0 0 2,000 2,000 963025-00-1252-000 Equipment 963025-00-1263-000 Services - Advertising -50% For the printing of CountUSin program/promotional material. New To design and develop a pull up banner for CountUSin promotion activities. 3,000 400 400 0 -400 -100% 963025-00-1269-000 Services - Audit 0 700 700 0 -700 -100% 963025-00-1320-000 Power 0 0 95 150 150 New Utilities to increase by CPI based on 2014/15 forecasts. 188 188 106 130 -58 -31% Utilities to increase by CPI based on 2014/15 forecasts. 0 1,440 0 2,000 560 4,851 4,851 3,537 5,097 246 963025-00-1322-000 Telephone 963025-00-1399-000 Miscellaneous 963025-00-1400-000 ABC Cost Allocation Page 111 of 121 39% To replenish merchandise as required for CountUSin participants (t/shirt/hat/towel) 5% A48.113 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment TOTAL 1 - Expenditure 96,499 96,039 80,597 102,132 6,093 6% TOTAL 963025 - Healthy Communities Initiative 96,499 96,039 80,597 102,132 6,093 6% 963026-00-1059-000 Cont - Other 125,000 125,000 58,133 32,500 -92,500 -74% Anticipate rolling over unspent KidSport grant funding amount of $32,500 from 2014/2015 budget. TOTAL 1 - Expenditure 125,000 125,000 58,133 32,500 -92,500 -74% 963026-00-4032-000 Grant - Operating -100,000 -100,000 -103,350 0 100,000 -100% TOTAL 4 - Income -100,000 -100,000 -103,350 0 100,000 -100% 25,000 25,000 -45,217 32,500 7,500 30% 963029-00-1284-000 Services - Project Mgmt 2,000 2,000 187 2,000 0 0% Delivery/contribution towards Aboriginal health programs in partnership with other Aboriginal health providers. 963029-00-1387-000 Food - Other 1,000 1,000 0 1,000 0 0% Delivery/contribution towards Aboriginal health programs in partnership with other Aboriginal Health Service providers. TOTAL 1 - Expenditure 3,000 3,000 187 3,000 0 0% TOTAL 963029 - HCI - Journey of Living With Diabetes 3,000 3,000 187 3,000 0 0% 963030-00-1387-000 Food - Other 1,200 1,200 686 1,200 0 0% Groceries to deliver FOODcents program to CountUSin participants (2 rounds per year). TOTAL 1 - Expenditure 1,200 1,200 686 1,200 0 0% TOTAL 963030 - HCI - FOODcents 1,200 1,200 686 1,200 0 0% 0 60 60 0 -60 -100% 963026 - KidSport 1 - Expenditure 4 - Income TOTAL 963026 - KidSport 963029 - HCI - Journey of Living With Diabetes 1 - Expenditure 963030 - HCI - FOODcents 1 - Expenditure 963031 - HCI - Belmont Oasis Membership 1 - Expenditure 963031-00-1284-000 Services - Project Mgmt TOTAL 1 - Expenditure 0 60 60 0 -60 -100% TOTAL 963031 - HCI - Belmont Oasis Membership 0 60 60 0 -60 -100% 963035-00-1271-000 Services - Other Consultants 0 1,456 1,456 0 -1,456 -100% 963035-00-1284-000 Services - Project Mgmt 0 0 -920 0 0 0% TOTAL 1 - Expenditure 0 1,456 536 0 -1,456 -100% TOTAL 963035 - HCI - Community Exercise Classes 0 1,456 536 0 -1,456 -100% 963037-00-1271-000 Services - Other Consultants 12,400 12,400 5,582 12,400 0 0% CountUSin Mentor costs for 2 rounds - $6200 per round to be held during school Term 3, 2015 and Term 2, 2016. TOTAL 1 - Expenditure 12,400 12,400 5,582 12,400 0 0% TOTAL 963037 - HCI - Mentors 12,400 12,400 5,582 12,400 0 0% 963039-00-1284-000 Services - Project Mgmt 2,000 2,000 -895 2,200 200 10% CountUSin crèche costs for 2 rounds - $1100 per round to be held during school Term 2, 2015 and Term 3, 2015. TOTAL 1 - Expenditure 2,000 2,000 -895 2,200 200 10% TOTAL 963039 - HCI - Crèche 2,000 2,000 -895 2,200 200 10% 963035 - HCI - Community Exercise Classes 1 - Expenditure 963037 - HCI - Mentors 1 - Expenditure 963039 - HCI - Crèche 1 - Expenditure 963040 - HCI - Transport Services Page 112 of 121 A48.114 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 1 - Expenditure 963040-00-1323-000 Gas 0 0 7 0 0 0% TOTAL 1 - Expenditure 0 0 7 0 0 0% TOTAL 963040 - HCI - Transport Services 0 0 7 0 0 0% -100% 963042 - HCI - Recognition Events 1 - Expenditure 963042-00-1227-000 Printing 100 100 62 0 -100 963042-00-1387-000 Food - Other 800 1,900 1,352 1,200 -700 0 600 0 1,200 600 TOTAL 1 - Expenditure 900 2,600 1,413 2,400 -200 -8% TOTAL 963042 - HCI - Recognition Events 900 2,600 1,413 2,400 -200 -8% 963043-00-1239-000 Consumables 370 370 0 350 -20 963043-00-1252-000 Equipment 200 200 0 200 0 963043-00-1320-000 Power 0 700 692 463 -237 -34% Utilities to increase by CPI based on 2014/15 forecasts. 963043-00-1323-000 Gas 0 56 12 14 -42 -75% Utilities to increase by CPI based on 2014/15 forecasts. TOTAL 1 - Expenditure 570 1,326 704 1,027 -299 -23% TOTAL 963043 - HCI - Community Kitchen 570 1,326 704 1,027 -299 -23% 5,000 15,100 11,710 0 -15,100 -100% 963044-00-1284-000 Services - Project Mgmt 29,440 29,440 25,300 35,500 6,060 TOTAL 1 - Expenditure 34,440 44,540 37,010 35,500 -9,040 963044-00-4399-000 Miscellaneous -1,440 -3,000 -2,845 -3,000 0 0% Income from Creative art term programs. TOTAL 4 - Income -1,440 -3,000 -2,845 -3,000 0 0% TOTAL 963044 - Arts Development Program 33,000 41,540 34,164 32,500 -9,040 -22% 848,784 829,372 605,355 893,024 63,652 8% 930000-00-1077-000 Reimb - Miscellaneous 1,500 3,000 0 1,500 -1,500 930000-00-1127-000 Hire (Property & Equipment) 1,000 1,000 1,265 1,000 0 930000-00-1201-000 Wages 500 500 226 500 0 930000-00-1219-000 Overheads 400 400 543 400 0 0% 0 0 53 0 0 0% 15,000 15,000 12,481 5,000 -10,000 6,000 2,000 1,017 2,000 0 963042-00-1399-000 Miscellaneous -37% Catering for two rounds of CountUSin - $600 per round. 100% Funds to be used for CountUSin participants end of program celebration event for Round 10 (Term 3,2015) and Round 11 (Term 2, 2016). 963043 - HCI - Community Kitchen 1 - Expenditure -5% Dishwashing liquid for commercial dishwasher at the Community Kitchen = $130 per purchase (detergent and rinse aid) and to replace disposable hand towels. 0% To cover any broken or missing items at the community kitchen. 963044 - Arts Development Program 1 - Expenditure 963044-00-1271-000 Services - Other Consultants 21% Annual arts/theatrical event $22,500 to be held during Let's Celebrate Belmont in November 2015; Art programs $13,000 as identified in the Corporate Business (action 176). Note budget allocation for Art programs is higher than the allocation in the Corporate Business Plan due to an expected income of $3000 to be received. . -20% 4 - Income TOTAL 390 - Leisure 400 - Public Facilities Operations 930000 - Public Facilities Operations 1 - Expenditure 930000-00-1239-000 Consumables 930000-00-1250-000 Furniture 930000-00-1252-000 Equipment 930000-00-1253-000 Fleet / Plant 930000-00-1271-000 Services - Other Consultants -50% To cover any refunds / reimbursement to users who have spent monies on fixing our building (minor maintenance) and the City reimburses them or for any hall hire refunds 0% Equipment required to be hired as an interim arrangement in the event equipment within a Council facility breaks down e.g. fridge, stove top 0% -67% Replacement of damaged furniture at community centres. 0% Equipment required at Community Centres such as Microwave, Fridges, Notice Boards etc. 600 600 0 0 -600 -100% 1,000 3,970 4,150 0 -3,970 -100% Page 113 of 121 A48.115 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 930000-00-1322-000 Telephone Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 1,750 1,750 0 0 -1,750 -100% 930000-00-1400-000 ABC Cost Allocation 32,789 32,789 25,435 44,736 11,947 TOTAL 1 - Expenditure 60,539 61,009 45,169 55,136 -5,873 930000-32-3252-000 Equipment 0 15,000 12,745 5,000 -10,000 -67% For the replacement of any equipment in community centres that cost over $2000. TOTAL 3 - Capital Expenditure 0 15,000 12,745 5,000 -10,000 -67% 930000-00-4127-000 Hire (Property & Equipment) -18,000 -18,000 -24,826 -24,000 -6,000 33% TOTAL 4 - Income -18,000 -18,000 -24,826 -24,000 -6,000 33% 42,539 58,009 33,089 36,136 -21,873 -38% -30,000 -40,000 -47,688 -45,000 -5,000 13% 36% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. -10% 3 - Capital Expenditure 4 - Income TOTAL 930000 - Public Facilities Operations 930001 - Forster Park Income 4 - Income 930001-00-4127-000 Hire (Property & Equipment) TOTAL 4 - Income -30,000 -40,000 -47,688 -45,000 -5,000 13% TOTAL 930001 - Forster Park Income -30,000 -40,000 -47,688 -45,000 -5,000 13% 930002-00-4127-000 Hire (Property & Equipment) -5,000 -5,000 -25,877 -20,000 -15,000 300% TOTAL 4 - Income -5,000 -5,000 -25,877 -20,000 -15,000 300% TOTAL 930002 - Centenary Park Income -5,000 -5,000 -25,877 -20,000 -15,000 300% -1,000 -1,000 -640 -600 400 -40% 930002 - Centenary Park Income 4 - Income 930004 - Wilson Park Income 4 - Income 930004-00-4127-000 Hire (Property & Equipment) TOTAL 4 - Income -1,000 -1,000 -640 -600 400 -40% TOTAL 930004 - Wilson Park Income -1,000 -1,000 -640 -600 400 -40% 930005-00-4127-000 Hire (Property & Equipment) -6,500 -6,500 -1,879 -6,000 500 -8% TOTAL 4 - Income -6,500 -6,500 -1,879 -6,000 500 -8% TOTAL 930005 - Peet Park Income -6,500 -6,500 -1,879 -6,000 500 -8% 930006-00-1320-000 Power 438 438 279 384 -54 -12% Utilities to increase by CPI based on 2014/15 forecasts. TOTAL 1 - Expenditure 438 438 279 384 -54 -12% 930006-00-4127-000 Hire (Property & Equipment) -11,000 -14,000 -11,255 -14,000 0 0% TOTAL 4 - Income -11,000 -14,000 -11,255 -14,000 0 0% TOTAL 930006 - Miles Park Income -10,562 -13,562 -10,976 -13,616 -54 0% 930007-00-1200-000 Salaries 0 0 268 0 0 0% TOTAL 1 - Expenditure 0 0 268 0 0 0% -35,000 -39,000 -43,283 -42,000 -3,000 8% 930005 - Peet Park Income 4 - Income 930006 - Miles Park Income 1 - Expenditure 4 - Income 930007 - Redcliffe Park - Income 1 - Expenditure 4 - Income 930007-00-4127-000 Hire (Property & Equipment) Page 114 of 121 A48.116 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget YTD Actual Budget YTD at Proposed Budget Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) TOTAL 4 - Income -35,000 -39,000 -43,283 -42,000 -3,000 8% TOTAL 930007 - Redcliffe Park - Income -35,000 -39,000 -43,015 -42,000 -3,000 8% -2,100 -2,100 -2,333 -2,100 0 0% Comment 930008 - Arts & Crafts Bldg Income 4 - Income 930008-00-4127-000 Hire (Property & Equipment) TOTAL 4 - Income -2,100 -2,100 -2,333 -2,100 0 0% TOTAL 930008 - Arts & Crafts Bldg Income -2,100 -2,100 -2,333 -2,100 0 0% 930009 - Rivervale Comm Cntr-Income 4 - Income 930009-00-4077-000 Reimb - Miscellaneous 930009-00-4122-000 Rent/Lease 930009-00-4127-000 Hire (Property & Equipment) 0 0 -100 0 0 0% -2,000 -2,000 -3,000 0 2,000 -100% -63,000 -63,000 -71,612 -66,000 -3,000 5% TOTAL 4 - Income -65,000 -65,000 -74,712 -66,000 -1,000 2% TOTAL 930009 - Rivervale Comm Cntr-Income -65,000 -65,000 -74,712 -66,000 -1,000 2% 930010-00-1059-000 Cont - Other 30,850 30,850 31,005 32,000 1,150 4% Annual contribution made to the tennis club as stated in the lease, increased according to CPI. . TOTAL 1 - Expenditure 30,850 30,850 31,005 32,000 1,150 4% TOTAL 930010 - Tennis Club 30,850 30,850 31,005 32,000 1,150 4% 930011-00-4127-000 Hire (Property & Equipment) -850 -850 -944 -1,000 -150 18% TOTAL 4 - Income -850 -850 -944 -1,000 -150 18% TOTAL 930011 - Belmont Sport & Recreation -850 -850 -944 -1,000 -150 18% -3,000 -10,000 -11,708 -12,000 -2,000 20% 930010 - Tennis Club 1 - Expenditure 930011 - Belmont Sport & Recreation 4 - Income 930012 - Athletic Track 4 - Income 930012-00-4127-000 Hire (Property & Equipment) TOTAL 4 - Income -3,000 -10,000 -11,708 -12,000 -2,000 20% TOTAL 930012 - Athletic Track -3,000 -10,000 -11,708 -12,000 -2,000 20% -6,000 -6,000 -4,436 -6,000 0 0% 930013 - Middleton Park 4 - Income 930013-00-4127-000 Hire (Property & Equipment) TOTAL 4 - Income -6,000 -6,000 -4,436 -6,000 0 0% TOTAL 930013 - Middleton Park -6,000 -6,000 -4,436 -6,000 0 0% 930015-00-1320-000 Power 711 711 428 604 -107 -15% Utilities to increase by CPI based on 2014/15 forecasts. TOTAL 1 - Expenditure 711 711 428 604 -107 -15% -4,000 -4,000 -5,152 -5,000 -1,000 25% 930015 - Belmont Oval 1 - Expenditure 4 - Income 930015-00-4127-000 Hire (Property & Equipment) TOTAL 4 - Income -4,000 -4,000 -5,152 -5,000 -1,000 25% TOTAL 930015 - Belmont Oval -3,289 -3,289 -4,724 -4,396 -1,107 34% 930017 - Garvey Park Page 115 of 121 A48.117 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 4 - Income 930017-00-4122-000 Rent/Lease 930017-00-4127-000 Hire (Property & Equipment) TOTAL 4 - Income TOTAL 930017 - Garvey Park -3,600 -3,600 -4,068 -4,800 -1,200 33% Lease of Garvey Park Art studios to Nulsen Haven at $400/month. -600 -600 0 -500 100 -17% -4,200 -4,200 -4,068 -5,300 -1,100 26% -4,200 -4,200 -4,068 -5,300 -1,100 26% -99,112 -107,642 -168,906 -155,876 -48,234 45% 937000-00-1059-000 Cont - Other 18,000 18,000 12,945 18,000 0 937000-00-1122-000 Rent/Lease 90,471 95,770 97,809 99,306 3,536 TOTAL 400 - Public Facilities Operations 410 - Belmont Oasis 937000 - Belmont Oasis 1 - Expenditure 937000-00-1227-000 Printing 0% Use of swimming pool at Belmont Oasis by Council Staff - $2000 Free Family Swim Passes - $16,000 4% Payment of cardio equipment lease STAGE 1 (renewed) $ 7908.12/qtr; STAGE 2 (renewed) $11418.44 /qtr; STAGE 3 $5500/qtr 0% Printing of free family passes. 440 440 406 440 0 1,000 1,000 0 1,000 0 500 500 1,870 3,000 2,500 35,000 12,000 0 32,000 20,000 253,655 253,655 234,484 253,655 0 666 666 523 1,215 549 399,732 382,031 348,037 408,616 26,585 937000-32-3252-000 Equipment 84,000 84,000 62,358 44,000 -40,000 -48% Replacement of 16 x Spin Bikes $24,000 $20,000 allocated for Oasis plant renewal/replacement items TOTAL 3 - Capital Expenditure 84,000 84,000 62,358 44,000 -40,000 -48% 937000-00-4252-000 Equipment 0 0 0 -1,000 -1,000 937000-00-4399-000 Miscellaneous 0 0 -455 0 0 0% TOTAL 4 - Income 0 0 -455 -1,000 -1,000 New 483,732 466,031 409,940 451,616 -14,415 -3% 937000-00-1250-000 Furniture 937000-00-1267-000 Services - Courier 937000-00-1271-000 Services - Other Consultants 937000-00-1274-000 Services - Property Management 937000-00-1400-000 ABC Cost Allocation TOTAL 1 - Expenditure 0% To replace worn furniture . 500% Removalist charges for the removal of disposed equipment to auctioneers 167% $32,000 for a consultant to continue developing the Belmont Oasis Leisure Centre strategic plan/master plan that will guide the City in the asset renewal and future management of the Centre. The second term of the contract with Belgravia Leisure will cease 30 June 2019. It is imperative that the City forward plans for this major community asset as it will be due for upgrade as per the asset renewal program. 0% Referring back to the Belgravia Leisure contract, the annual management fee is $253 655 (ex GST) 82% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 7% 3 - Capital Expenditure 4 - Income TOTAL 937000 - Belmont Oasis New Income to be received for the auction of the old 16 Spin Bikes. B80229 - Belmont Oasis Lighting TOTAL 1 - Expenditure 4,145 7,145 5,290 12,145 5,000 70% TOTAL B80229 - Belmont Oasis Lighting 4,145 7,145 5,290 12,145 5,000 70% B80299 - Belmont Oasis Bld Mnt TOTAL 1 - Expenditure 73,602 66,499 46,427 105,987 39,488 59% TOTAL B80299 - Belmont Oasis Bld Mnt 73,602 66,499 46,427 105,987 39,488 59% 561,479 539,675 461,657 569,748 30,073 6% 1,000 1,000 0 1,000 0 0% Friends of the Community grant to support CaLD collections and programs 500 500 76 500 0 0% Reimbursement for travel associated with Volunteers working in the library and museum TOTAL 410 - Belmont Oasis 630 - Library 945000 - Ruth Faulkner Library 1 - Expenditure 945000-00-1032-000 Grant - Operating 945000-00-1079-000 Reimb - Volunteer Mileage Page 116 of 121 A48.118 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 945000-00-1128-000 Photocopying 945000-00-1129-000 Lost & Damaged Books 945000-00-1200-000 Salaries 945000-00-1202-000 Allowances 945000-00-1204-000 Long Service Leave 945000-00-1208-000 Workers Compensation 8,500 Current Budget 8,500 Budget YTD at Proposed Budget YTD Actual 4,631 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase 8,500 Increase (%) 0 Comment 0% Ongoing costs associated with photocopier 2,000 2,000 1,202 2,500 500 1,026,934 1,016,767 932,728 1,097,781 81,014 25% Replacement costs associated with lost and damaged stock including State owned assets 849 849 987 949 100 12% 11,202 21,369 22,451 16,759 -4,610 -22% 8% Salary budget allows for Library to be fully resourced in 15/16 which wasn't the case in 14/15. 17,665 17,665 17,333 18,963 1,298 7% 122,244 122,244 97,596 119,905 -2,339 -2% 945000-00-1211-000 Fringe Benefits Tax 4,826 4,826 6,891 5,034 208 4% 945000-00-1222-000 Materials 6,000 6,000 3,463 6,000 0 945000-00-1226-000 Stationery 7,000 7,000 6,560 8,000 1,000 945000-00-1227-000 Printing 5,200 5,200 3,044 13,700 8,500 945000-00-1228-000 Book Purchases Local 39,000 39,000 23,479 40,000 1,000 945000-00-1229-000 Specialist Collections 5,700 5,700 24 5,700 0 945000-00-1233-000 Freight 2,000 2,000 1,980 2,200 200 945000-00-1240-000 Safety Equipment 1,000 1,000 255 1,000 0 945000-00-1250-000 Furniture 7,000 11,000 3,078 8,000 -3,000 0% Safety equipment required as per OSH Representative recommendations and the Working Alone Card monthly service fee for monitoring -27% Replacement of public PC seating to address OSH concerns and general public area seating 945000-00-1252-000 Equipment 8,100 4,100 4,567 3,000 -1,100 -27% Replacement of deteriorated equipment ($3,000) 945000-00-1262-000 Services - Marketing 10,300 10,300 4,864 10,000 -300 945000-00-1263-000 Services - Advertising 5,000 5,000 2,248 5,000 0 0% General advertising including contribution to the Let's Celebrate Belmont marketing campaign 945000-00-1266-000 Services - Cleaning 7,800 7,800 0 7,800 0 0% 945000-00-1268-000 Services - Postal 7,600 7,600 0 7,600 0 0% 945000-00-1279-000 Services - Other 18,300 18,300 12,395 23,000 4,700 945000-00-1294-000 Senior Services 4,500 4,500 2,491 4,500 0 945000-00-1322-000 Telephone 8,727 8,727 6,624 8,574 -153 23,586 23,586 16,299 24,490 904 4,000 4,500 3,501 4,500 0 0% Annual write off to State Library stock which has been stolen or is missing from the collection 945000-00-1371-000 Travel - Conferences 600 0 0 0 0 0% 945000-00-1372-000 Accommodation - Conferences 700 0 0 0 0 0% 6,300 6,300 4,877 6,300 0 0% Ongoing training identified in Staff Development Reviews including professional development. 300 300 281 300 0 0% General travel and parking expenses related to Library and Heritage meetings. 2,600 2,600 1,780 2,600 0 0% General miscellaneous items required for service delivery and staff xmas lunch allowance of $20 per person 945000-00-1209-000 Superannuation 945000-00-1330-000 Subscriptions 945000-00-1334-000 Previous Year Write Off 945000-00-1373-000 Registration - Train/Conf 945000-00-1377-000 Travel - General 945000-00-1399-000 Miscellaneous Page 117 of 121 0% Materials required for library programs and processing of local stock. State Library have cut the amount of processing to stock (book covering, spine labelling etc.] prior to delivery of stock to libraries. This includes limiting book covering to popular titles only. Local Governments are now expected to absorb the additional costs to ensure materials remain in good condition for longer. 14% General stationery supplies including toner cartridges for printers and laminating supplies 163% Reprinting of library promotional flyers and membership cards including key tag membership cards. Printing including artwork design of display signage as per key action 7.1 of the Library and Heritage Plan 2013-2017. 3% Local stock purchases including audio visual materials, e resources and new collections to meet reader interests. 0% Replenishment of the highly popular Express DVD collection 10% Cost set by State Library of Western Australia -3% General marketing of the library service to raise profile in the community as per Library Plan 2013-2017 including merchandise and promotional materials for Sunday openings during KidsFest and Let's Celebrate Belmont. LG contribution to the State Library's Better Beginnings initiative to provide each newborn baby in the City of Belmont with a early literacy gift pack including board books, growth chart, parenting materials and posters ($3000). 26% Funds required to support delivery of increased library programs and outreach to the local community as per Library and Heritage Plan 2013-2017 including the introduction of Lifelong Learning Term Based Programs. The library catered to approx 15,000 attendees at programmes and events in 2014/15 financial year. A creative writing and art illustration project will be undertaken as a joint project between the Library & Heritage and Community Wellbeing sections. This project will address a number of key actions within the Library & Heritage Plan and the Leisure Arts and Lifestyle Plan. 0% Magnified Reader for sight impaired library members. Costs associated with the delivery of events and services for seniors including presenter fees. -2% Utilities to increase by CPI based on 2014/15 forecasts. 4% Subscriptions include $ 600 APRA licence; $700 ALIA membership; $1,900 the computerschool.net licence; $160 PLWA membership; $4,500 Catalogue enhancement "Library Thing" licence; $50 Children's Book Council membership; and $16,580 yourtutor and lifelong learning licence. A48.119 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 945000-00-1400-000 ABC Cost Allocation Current Budget 471,404 471,404 Budget YTD at Proposed Budget YTD Actual 351,514 Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase 480,187 Increase (%) 8,783 2% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 945000-40-1119-000 Licenses 329 329 158 337 8 945000-40-1201-000 Wages 549 549 529 563 14 3% 945000-40-1216-000 Agency Staff 220 220 75 226 6 3% 945000-40-1219-000 Overheads 2% Fleet 72 220 220 0 226 6 3% 945000-40-1221-000 Tyres 55 55 0 56 1 2% 945000-40-1222-000 Materials 55 55 0 56 1 2% 945000-40-1223-000 Parts 55 55 0 56 1 2% 945000-40-1224-000 Fuel 3,514 3,514 1,576 3,602 88 3% 945000-40-1225-000 External Repairs 1,098 1,098 750 1,125 27 2% 945000-40-1279-000 Services - Other 439 439 185 450 11 3% 945000-40-1314-000 Ins. Prem - Motor Vehicle 695 695 519 519 -176 -25% 1,855,666 1,854,866 1,541,013 1,951,558 96,692 5% 0 0 0 6,000 6,000 945000-32-3252-000 Equipment 99,000 99,000 34,418 11,297 -87,703 945000-32-3253-000 Fleet / Plant 36,163 36,163 68,663 0 -36,163 135,163 135,163 103,081 17,297 -117,866 945000-00-4032-000 Grant - Operating -1,000 -1,000 0 -1,000 0 945000-00-4076-000 Reimb - Staff Fuel -450 -450 -600 -600 -150 TOTAL 1 - Expenditure Comment 3 - Capital Expenditure 945000-32-3251-000 Fixtures TOTAL 3 - Capital Expenditure New Upgrades to existing library shelving to include metal framed signage inserts. These will be re-usable in a new library building. The signage upgrade addresses key action 7.1 in the Library and Heritage Plan 2013-2017 -89% RFID stock take all in one reader efficient and regular stocktaking ($7297);replacement of the existing cash register that allows an electronic link to existing financial software ($4,000) -100% -87% 4 - Income 945000-00-4127-000 Hire (Property & Equipment) 0% Grant from Friends of the Community to buy resources for library programs. 33% -17,500 -17,500 -23,381 -22,000 -4,500 945000-00-4128-000 Photocopying -4,100 -4,100 -1,474 -1,500 2,600 945000-00-4129-000 Lost & Damaged Books -3,000 -3,000 -3,592 -3,500 -500 -300 -300 -265 -250 50 -7,000 -7,000 -7,434 -7,000 0 0% Fees for overdue items 0 0 -762 0 0 0% -1,600 -1,600 -1,795 -2,500 -900 -600 -600 -180 -250 350 -35,550 -35,550 -39,484 -38,600 -3,050 9% 945000-00-6253-000 Fleet / Plant -18,000 -18,000 -47,500 0 18,000 -100% 945000-00-6835-000 LSL Reserve - Salaries -11,202 -21,369 0 -16,759 4,610 -22% TOTAL 6 - Capital Income -29,202 -39,369 -47,500 -16,759 22,610 -57% 1,926,077 1,915,110 1,557,110 1,913,496 -1,614 0% 945000-00-4130-000 Laminating 945000-00-4149-000 Fines - Other 945000-00-4204-000 Long Service Leave 945000-00-4236-000 Sales 945000-00-4399-000 Miscellaneous TOTAL 4 - Income 26% Income from hire of public internet computers -63% Income from photocopier 17% Payment for lost and damaged stock -17% Income from laminating machine 56% Library bags and book sales. An increase in book sales is anticipated due to decision by State Library to allow stock to be sold with income to be retained by individual LGs -58% Miscellaneous Sale Items 6 - Capital Income TOTAL 945000 - Ruth Faulkner Library 945004 - Local History Project 1 - Expenditure 945004-00-1128-000 Photocopying 1,100 2,000 106 2,000 0 945004-00-1201-000 Wages 0 0 275 220 220 New Costs associated with utilising outside workers to assist with moving heavier items on exhibition 945004-00-1219-000 Overheads 0 0 385 160 160 New 2,000 2,000 1,164 2,000 0 945004-00-1222-000 Materials Page 118 of 121 0% Photocopying and Ricoh Valet billing and maintenance service for colour copier 0% Ongoing supplies related to the conservation and display of museum artefacts. A48.120 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget 945004-00-1226-000 Stationery Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) 1,200 300 0 300 0 19,760 24,313 2,830 5,800 -18,513 945004-00-1240-000 Safety Equipment 2,044 0 0 0 0 945004-00-1250-000 Furniture 2,900 1,000 0 4,000 3,000 945004-00-1252-000 Equipment 2,440 2,440 982 1,000 -1,440 945004-00-1227-000 Printing 945004-00-1253-000 Fleet / Plant Comment 0% General stationery supplies associated with administration of the museum. -76% Printing of educational resource kits for distribution during museum tours and outreach programs $1000. Printing of slipcases to house local history publications as boxed sets $4800 0% 300% Display plinths to showcase artefacts and artefact display boxes to be interspersed amongst shelves in the library linking history to related subjects in the non-fiction book collections. -59% Equipment required for artefact conservation 0 0 7 0 0 945004-00-1262-000 Services - Marketing 2,600 3,674 1,819 2,700 -974 -27% Award prizes for the annual City of Belmont Local History Competition as per the Library and Heritage Plan (Item 10.2) ($600); General promotional merchandise ($600) Launch of local history publications incl. catering and invitations ($1500) 945004-00-1263-000 Services - Advertising 2,000 2,000 143 2,000 0 945004-00-1270-000 Services - Legal 2,000 0 0 0 0 0% Two adverts in the Southern Gazette to promote museum events during the Let's Celebrate Belmont festival and the launch of the Local History competition in 2016 0% 945004-00-1271-000 Services - Other Consultants 13,137 23,556 4,025 30,000 6,444 27% Continuation of the Oral History program with specific focus on the DA6 area relating to the migrant community. Funds will also be used for Stage 1 of the DA6History Project to engage a videographer to capture current footage of residential area of DA6. The Curator will endeavour to obtain grant funding to assist with this project and to allow for interactive web content. 945004-00-1279-000 Services - Other 12,400 19,950 13,964 12,400 -7,550 -38% Costs associated with digital interpretative displays as per the Library and Heritage Plan action to utilise current technologies to enhance visitor experience($7000). Costs associated with engaging guest speakers for the museum's 'Our Heritage' series of talks ($1000). $4400 for audio narration of the 8 local history publications recorded by the Association for the Blind. 945004-00-1330-000 Subscriptions 1,054 1,054 731 1,610 556 53% Vivid Wireless connection for the museum's public access research computer ($395) ; APRA licence to provide music in the museum ($350); subscriptions to Museums Australia ($220) History Council ($80) and the Royal WA History Society ($90) and AICCM, the professional organisation for conservators in Australia ($475.00) 945004-00-1373-000 Registration - Train/Conf 1,500 1,500 1,391 1,500 0 0 0 17 50 50 900 900 309 500 -400 67,035 84,687 28,146 66,240 -18,447 -22% 945004-32-3251-000 Fixtures 27,480 34,994 4,700 6,000 -28,994 -83% Acrylic cabinets for the museum courtyard to safely display sharper objects including tools and small machinery. TOTAL 3 - Capital Expenditure 27,480 34,994 4,700 6,000 -28,994 -83% -24,617 -24,617 -363 0 24,617 -100% -200 -200 -842 -1,000 -800 -24,817 -24,817 -1,205 -1,000 23,817 -96% 945004-00-6843-000 History Reserve -18,760 -18,760 0 0 18,760 -100% TOTAL 6 - Capital Income -18,760 -18,760 0 0 18,760 -100% 50,938 76,104 31,641 71,240 -4,864 -6% TOTAL 1 - Expenditure 164,558 167,193 116,568 152,000 -15,193 -9% TOTAL B80199 - Library Building Bld Mnt 164,558 167,193 116,568 152,000 -15,193 -9% 1,640 1,640 563 1,676 36 2% 133 133 0 132 -1 -1% 1,968 1,968 620 2,011 43 2% 945004-00-1377-000 Travel - General 945004-00-1399-000 Miscellaneous TOTAL 1 - Expenditure 0% 0% Professional development and training for the Curator and Museum Clerical Assistant as identified in the Staff Development Review process. New Parking fees to attend external network meetings. -44% Supplies for holiday programs and outreach activities 3 - Capital Expenditure 4 - Income 945004-00-4032-000 Grant - Operating 945004-00-4399-000 Miscellaneous TOTAL 4 - Income 400% Sale of local history books and small coin donations to the museum by visitors 6 - Capital Income TOTAL 945004 - Local History Project B80199 - Library Building Bld Mnt P80117 - Library-Indoor Plants 1 - Expenditure P80117-10-1201-000 Wages P80117-10-1216-000 Agency Staff P80117-10-1219-000 Overheads Page 119 of 121 A48.121 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget P80117-10-1253-000 Fleet / Plant Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment 0 0 91 0 0 0% TOTAL 1 - Expenditure 3,741 3,741 1,274 3,819 78 2% TOTAL P80117 - Library-Indoor Plants 3,741 3,741 1,274 3,819 78 2% 2,145,314 2,162,148 1,706,594 2,140,555 -21,593 -1% 0 0 127 0 0 0% 300 350 263 500 150 43% 118,831 118,831 116,367 122,987 4,156 3% 50 50 49 50 0 0% 2,021 2,021 1,983 2,092 71 4% 17,832 17,832 16,778 18,456 624 3% 7,410 7,410 8,258 7,729 319 4% 962700-00-1226-000 Stationery 100 100 94 150 50 50% 962700-00-1250-000 Furniture 300 300 0 0 -300 -100% 962700-00-1271-000 Services - Other Consultants 0 2,000 3,567 0 -2,000 -100% 962700-00-1280-000 Services - Training 0 367 367 400 33 962700-00-1322-000 Telephone 165 165 121 161 -4 962700-00-1330-000 Subscriptions 300 300 0 900 600 962700-00-1371-000 Travel - Conferences 900 751 751 1,000 249 33% Economy flights required to attend the Parks and Leisure Australia National Conference in October 2015 to be held in Sydney. 75% Accommodation required to attend interstate conference TOTAL 630 - Library 633 - Community Lifestyle & Learning 962700 - Community Lifestyle & Learning 1 - Expenditure 962700-00-1077-000 Reimb - Miscellaneous 962700-00-1128-000 Photocopying 962700-00-1200-000 Salaries 962700-00-1202-000 Allowances 962700-00-1208-000 Workers Compensation 962700-00-1209-000 Superannuation 962700-00-1211-000 Fringe Benefits Tax 962700-00-1372-000 Accommodation - Conferences 9% Emergency training drills for the Community Lifestyle and Learning Department -2% Utilities to increase by CPI based on 2014/15 forecasts. 200% Renewal of Australian Company Directors subscription and organisational membership with The Chamber of Arts and Culture 900 572 572 1,000 428 3,000 3,000 2,856 3,000 0 962700-00-1377-000 Travel - General 100 100 49 100 0 0% Registration to attend the Parks and Leisure Australia National Conference in October 2015 and professional development training as identified in Staff Development Review process 0% 962700-00-1399-000 Miscellaneous 500 500 550 500 0 0% Includes catering and misc. items for community workshops organised by the Community Lifestyle and Learning Dept. 4,851 4,851 3,537 8,472 3,621 962700-40-1119-000 Licenses 329 329 294 337 8 962700-40-1201-000 Wages 549 549 439 563 14 3% 962700-40-1216-000 Agency Staff 220 220 75 226 6 3% 962700-40-1219-000 Overheads 962700-00-1373-000 Registration - Train/Conf 962700-00-1400-000 ABC Cost Allocation 75% All ABC drivers (e.g. FTE's, PC's, records, cost centres, office space, etc..) have been reviewed for 15/16. 2% Fleet 71 220 220 0 226 6 3% 962700-40-1221-000 Tyres 55 55 1,232 56 1 2% 962700-40-1222-000 Materials 55 55 0 56 1 2% 962700-40-1223-000 Parts 55 55 0 56 1 2% 962700-40-1224-000 Fuel 3,514 3,514 1,631 3,602 88 3% 962700-40-1225-000 External Repairs 1,098 1,098 0 1,125 27 2% 962700-40-1279-000 Services - Other 439 439 432 450 11 3% 962700-40-1314-000 Ins. Prem - Motor Vehicle 306 306 228 228 -78 -25% 164,400 166,340 160,619 174,422 8,082 5% 962700-00-4222-000 Materials 0 0 195 0 0 0% TOTAL 4 - Income 0 0 195 0 0 0% 164,400 166,340 160,814 174,422 8,082 5% TOTAL 1 - Expenditure 4 - Income TOTAL 962700 - Community Lifestyle & Learning Page 120 of 121 A48.122 Proposed Budget Manual Current Budget: 15CLRBD2, Auth Budget Current Budget Budget YTD at Proposed Budget YTD Actual Proposed Budget: 16CLBUD &SECTION.DESCR &SECTION.DESCR Increase Increase (%) Comment TOTAL 633 - Community Lifestyle & Learning 164,400 166,340 160,814 174,422 8,082 5% TOTAL 070 - Community Lifestyle & Learning 3,620,866 3,589,894 2,765,514 3,621,873 31,980 1% TOTAL 20 - Statutory & Community Services 12,915,091 12,764,132 8,409,597 13,344,873 580,740 5% 999700-00-4995-000 Opening Balance - Budget Only -2,095,568 -3,038,060 0 -2,790,000 248,060 -8% The closing balance reflects a reduction in anticipated capital expenditure of approx $448k. This includes IT, fleet, equipment, Roads, Drainage and Building construction projects. Operating costs are expected to be approx $1.5m (or 2.8%) below budget mainly due to a reduction in employee related, utilities, consulting, security, printing, training, streetscape maintenance and minor equipment costs. Income is expected to be above budget by $40k. Overall the closing balance is $2.0m above budget. TOTAL 4 - Income -2,095,568 -3,038,060 0 -2,790,000 248,060 -8% TOTAL 999700 - Opening Balance -2,095,568 -3,038,060 0 -2,790,000 248,060 -8% 999800-00-1997-000 Closing Balance - Budget Only 500,000 800,000 0 500,000 -300,000 -38% TOTAL 1 - Expenditure 500,000 800,000 0 500,000 -300,000 -38% 90 - Opening & Closing Balances 900 - Opening & Closing Balances 900 - Opening/Closing Balances 999700 - Opening Balance 4 - Income 999800 - Closing Balance 1 - Expenditure TOTAL 999800 - Closing Balance TOTAL 900 - Opening/Closing Balances 500,000 800,000 0 500,000 -300,000 -38% -1,595,568 -2,238,060 0 -2,290,000 -51,940 2% TOTAL 900 - Opening & Closing Balances -1,595,568 -2,238,060 0 -2,290,000 -51,940 2% TOTAL 90 - Opening & Closing Balances -1,595,568 -2,238,060 0 -2,290,000 -51,940 2% 0 0 -10,381,650 0 0 -15% Nett Page 121 of 121