FY 2008 Original Budget
Transcription
FY 2008 Original Budget
THE CITY OF HOOVER, ALABAMA FY 2008 BUDGET Adopted October 15, 2007 (This page intentionally left blank) 1 of 192 (This page intentionally left blank) 2 of 192 CLASSIFICATION OVERVIEW To better understand what constitutes a non-recurring capital improvement item versus a recurring/other capital item or an operating item, definitions are below. Specifically, four categories have been established. These categories are 1) non-recurring capital improvement, 2) other/recurring capital, 3) operating/other. 1. Non-Recurring Capital Improvement Project/Item A Capital Improvement Project is defined as “a major, nonrecurring expenditure used to expand or improve a government’s physical assets, including facilities and infrastructure that are not consumed within a year but rather have a multi-year useful life.” In addition, equipment items of a non-recurring nature (multi-year useful life) and a significant value ($50,000 or greater in estimated total cost) are included in the non-recurring capital improvement plan. In order to qualify as a Non-Recurring Capital Improvement Project, the item in question must meet one of the following criteria (70 account element ranges represent capitalized items - $10,000 and greater): • Real property acquisition (Land) (71-99) • Construction of new facilities (73-99) • Addition (a modification that changes the structural “footprint” of the facility) to existing facilities greater than or equal to $50,000 (73-99) • Remodeling/repair/preservation of the interior/exterior of any facility greater than or equal to $50,000 (4310/6110) • Demolition of existing facilities greater than or equal to $50,000 (4310 or 4320) • Major equipment items or projects including computer infrastructure, which as a whole are greater than or equal to $50,000 • Infrastructure projects (a road, bridge, intersection, drainage system, or sewer structure, etc.) (79-99) • Planning and inventory studies in excess of $50,000 (32-10 or capitalized) • Any vehicle >= $50,000 should not be budgeted in Fund 115. Instead, they should be budgeted in a special revenue fund (if applicable) or a capital projects fund • Miscellaneous drainage funds (7999) – These require council approval if the project is $10,000 or greater. For projects less than $10,000, the mayor’s or finance director’s approval is adequate to transfer funds from MISCDR to the defined project code. Project costs should include all phases of a project, including planning, design, utility relocation, right of way acquisition, etc. All phases of the project are budgeted in a Capital Projects Fund. 3 of 192 2. Operating/Recurring Capital Asset or Other Capital Asset An item is considered an Operating/Recurring or Other Capital Asset if it is greater than or equal to $10,000 and less than $50,000, has a useful life beyond one year, and does not meet one of the criteria set above under Non-Recurring Capital. Recurring capital expenditures are considered to be more related to the development of the Operating Budget. For this reason, all purchased vehicles will be considered Recurring Capital items, unless they are >= to $50,000. Items, which qualify as a Recurring Capital Asset, should be budgeted as an Operating Request within the following capital accounts 74-99 (Equipment), 75-99 (Vehicles), or 76-99 (Furniture & Fixtures). In addition, because they may be less than $50,000 threshold set in the non-recurring capital section, Other Capital Items may include 7199 (Land), 73-99 (Improvements to Buildings), 78-99 (Improvements Other Than Buildings), or 79-99 (Infrastructure Improvements), and should also be budgeted in the appropriate department’s operating budget. 3. Operating/Other Items that do not fall under the above two categories (non-recurring capital improvement items, and operating/recurring capital assets) should be budgeted within the appropriate operating accounts. This includes repair and maintenance expenditures that would be on the above non-recurring capital or recurring capital assets and below the $50,000 threshold set above for non-recurring capital assets. In addition, all software/software licenses/services should be purchased from 61-07 or 74-99 depending on the dollar amount. If the item has recurring costs over multiple years, such as renewals, etc., then all of these items should attach the project code SOFLIC. Otherwise, the project code SOFMIC should be used. In general, all software items are budgeted in Fund 117 – Support Services Fund (with the exception of the Library). Beginning with fiscal year 2008, the 6115 (inventoriable items) account has been removed for all departments. These expenditures were consolidated with 6110 supplies. Because we still have a need to track certain expenditures on some of these items, project required has been added to all 6110 accounts. Other than grants and projects that are already set up as needed by departments, other items that need to be delineated by project code in 6110 are below: Items that fall under this account include all purchases below $10,000 within the following categories: 1. Desktop Computers/Servers/Monitors/Laptops – (MIS budget) – PCREPL project if replacement, and PCNEW if additional 2. Printers/Desktop Scanners/Fax Machines – (MIS budget) – PCREPL project if replacement, and PCNEW if additional 3. Regular, Digital, or Video Cameras/Camcorders/LCD Projectors - (MIS budget)- DIGCAM project (> $200 each – if less than $200, then they can be purchased from departmental budgets) 4. Guns – GUNS 5. Ammunition – AMMO 6. All other non-assigned expenditures - NONE 4 of 192 FUND DESCRIPTIONS FY 2008 FUND 101 110 111 112 113 114 115 117 119 120 150 178 199 201 202 211 212 215 217 218 220 230 235 240 250 251 253 254 255 260 261 262 263 303 305 307 308 309 370 371 372 373 374 375 376 379 380 390 501 502 503 510 515 520 FUND NAME GENERAL FUND LIBRARY FUND LIBRARY ACTIVITY FUND PARKS & RECREATION FUND JEFFCO GRANT/P&R SOCCER FUND PARKS & RECREATION ACTIVITY FUND FLEET FUND SUPPORT SERVICES FUND BUILDING SERVICES FUND RISK MANAGEMENT FUND NEW HORIZONS ENGINEERING - 280/459 FUND PUBLIC ASSISTANCE FUND E-911 FUND WIRELESS E-911 FUND 7 CENT GAS TAX FUND 4&5 CENT GAS TAX FUND COURT/CORRECTIONS FUND COURT TRAINING FUND COURT REFERRAL OFFICER FUND TRAFFIC SAFETY FUND CDBG FUND GENERAL GRANT FUND ALABAMA TRUST FUND LOCAL LAW ENFORCEMENT BLOCK GRANT FUND TOBACCO COMPLIANCE PROGRAM FUND BULLET PROOF VEST PROGRAM FUND COPS GRANT BRPC HIGHWAY SAFETY GRANT FUND SCHOOL SERVICES (DARE) FUND DRUG ENFORCEMENT FUND - STATE DRUG ENFORCEMENT FUND - FEDERAL - DOJ DRUG ENFORCEMENT FUND - FEDERAL - TREASURY CAPITAL PROJECTS FUND GOW 2000A CAPITAL PROJECTS FUND GOW 2003A CAPITAL PROJECTS FUND LIBRARY GOW 1999A FUND GOW 2007A CAPITAL PROJECTS FUND ENGINEERING - TOPICS I FUND ENGINEERING - TOPICS II FUND ENGINEERING - TOPICS III FUND ENGINEERING - TOPICS IV FUND PEDESTRIAN/BICYCLE GREENWAY FUND ENGINEERING - TOPICS VI FUND ENGINEERING - CMAQ/HWY 31 FUND ENGINEERING - CMIM FUND PERFORMANCE BOND REDEMPTION FUND ENGINEERING - ALDOT/REIMBURSEMENT GRANTS SEWER ENTERPRISE FUND STATE REVOLVING LOAN FUND GOW07A SEWER WARRANTS FLEET SERVICES FUND HEALTH INSURANCE ISF WORKERS COMPENSATION ISF 800 GENERAL FIXED ASSET ACCOUNT GROUP GENERAL LONG TERM DEBT ACCOUNT GROUP POOLED CASH GENERAL FUNDS SPECIAL REVENUE FUNDS CAPITAL PROJECT FUNDS COMPONENT UNIT FUNDS PROPRIETARY FUNDS GENERAL INFORMATION Resources not required legally or by sound financial mgmt to be accounted for in another fund FY 2003 converted from Fund 110 and changed to General Fund from Component Unit Fund; FY 2004 converted from Fund 410 FY 2003 converted from Fund 112 and changed to General Fund from Component Unit Fund; FY 2004 converted from Fund 412 Ended FY 2003; Changed to General Fund from Component Unit Fund with FY 2003; FY 2003 converted from Fund 113; FY 2004 converted from Fund 413; FY 2006 separated new horizons to new fund 150 Created in FY 2006 FY 2003 converted from Fund 278; Ended FY 2003 Created for disasters or other events that come up before an amendment can be done i.e. Hurrican Ivan Received from citizens for the development and operation of the City wide emergency phone system Received from citizens for the development and operation of the City wide wireless emergency phone system Includes motor vehicle license tag tax & 2 cent State inspection fee; Restricted expenditures related to construction, improvement & maintenance of highways, bridges & streets Restricted to expenditures for the construction, renovation, rehabilitation, and resurfacing of City streets and bridges Received from additional court costs & fees on certain municipal cases; Restricted for operation & maint. of the municipal jail or any court complex $2 per fine for education money; FY 2003 converted from General Fund to Special Revenue Fund Defensive Driving receipts; FY 2003 converted from General Fund to Special Revenue Fund Received from HUD to carry out a wide range of comm dev activities; FY 2001 converted from a General Fund to a Special Revenue Fund Various grants/other funds that are one time approvals From the State for new/restored municipal capital improvements, such as municipal buildings, streets, & roads; FY 2001 converted from General Fund to Special Revenue Fund FY 2003 converted from General Fund to Special Revenue Fund; Ended in FY 2005 Ended FY 2001 FY 2003 converted from General Fund to Special Revenue Fund; Ended in FY 2006 FY 2003 converted from General Fund to Special Revenue Fund; Ended FY 2006 FY 2003 converted from General Fund to Special Revenue Fund; Ended FY 2005 FY 2003 converted from General Fund to Special Revenue Fund; Ended FY 2007 Funds confiscated in drug enforcement activities - restricted for enforcement only; FY 2003 converted from Fund 720 FY 2007, this fund was separated into 2 funds, one department of justice awards and the other department of treasury awards FY 2007, this fund was created as a separation from fund 262 into 2 funds, one department of justice awards and the other department of treasury awards Budget transfers from the General Fund for the acquisition or construction of major capital projects Ended FY 2002; Capital expenditures from the proceeds of long term borrowing in FY99 and anticipated borrowing in FY00 Ended FY 2002; Capital expenditures from the proceeds of long term borrowings for the expansion of the library To be borrowed in FY 2007; Did not borrow funds so it was not needed; FY 2001 converted from a General Fund to a Capital Projects Fund; FY 2003 converted from Fund 270; Ended FY 2005 FY 2001 converted from a General Fund to a Capital Projects Fund; Ended FY 2001; FY 2003 converted from Fund 271 FY 2001 converted from a General Fund to a Capital Projects Fund; FY 2003 converted from Fund 272 FY 2001 converted from a General Fund to a Capital Projects Fund; FY 2003 converted from Fund 273; Ended FY 2004 FY 2001 converted from a General Fund to a Capital Projects Fund; Ended FY 2000; FY 2003 converted from Fund 274 FY 2001 converted from a General Fund to a Capital Projects Fund; FY 2003 converted from Fund 275 FY 2001 converted from a General Fund to a Capital Projects Fund; Ended FY 2002; FY 2003 converted from Fund 276 FY 2001 converted from a General Fund to a Capital Projects Fund; Ended FY 2001 Ended FY 2003; FY 2003 converted from Fund 280 FY 2003 converted from Fund 290 Sewer services to the Riverchase, Southlake, and Inverness communities FY 2003 converted from Fund 310 To be borrowed in FY 2007; Began spending in FY 2007 but money arrived November, 2007 (FY 2008); Accounts for the repairs and maintenance of all city vehicles - Internal Service Fund - ended FY 2001 Created with FY 2007 Created with FY 2007 (3 attributes: 1) a tangible nature, 2) life longer than the year of acquisition, and 3) a significant value) Includes general obligation warrants, bonds and other obligations, which have a maturity of more than one year Specific Revenues that are legally restricted to expenditures for particular purposes Resources to be used for the acquisition or construction of major capital facilities As of FY 2003, we no longer have any component unit funds Providing goods or services to the general public on a continuing basis to be financed or recovered primarily through user charges FUNDS CLOSED OUT 5 of 192 (This page intentionally left blank) 6 of 192 PRIMARY DEPARTMENTS/DIVISIONS - FY 2008 FUND FUND NAME DEPT DEPARTMENT NAME DIVISION DIVISION NAME ACTIVITY 101 GENERAL FUND 01 ADMIN. SUPPORT 10 MAYOR'S OFFICE 410 101 GENERAL FUND 01 ADMIN. SUPPORT 25 INTERNAL AUDITOR 410 101 GENERAL FUND 01 ADMIN. SUPPORT 80 BEAUTIFICATION BOARD 410 101 GENERAL FUND 02 COUNCIL SUPPORT 10 CITY COUNCIL 411 101 GENERAL FUND 02 COUNCIL SUPPORT 20 CITY CLERK 411 101 GENERAL FUND 02 COUNCIL SUPPORT 30 CIVIC/CONTRACT SERVICES 411 101 GENERAL FUND 02 COUNCIL SUPPORT 40 ELECTION EXPENSES 411 101 GENERAL FUND 03 OPERATIONS 10 SUPPORT STAFF 413 101 GENERAL FUND 03 OPERATIONS 55 EVENTS MGMT 413 101 GENERAL FUND 04 CITY ENGINEER 10 ADMINISTRATION 413 101 GENERAL FUND 04 CITY ENGINEER 20 LANDSCAPE/TREE CONSERVATION 413 101 GENERAL FUND 04 CITY ENGINEER 30 280/459 MAINTENANCE 413 101 GENERAL FUND 04 CITY ENGINEER 40 STORMWATER MANAGEMENT 413 101 GENERAL FUND 06 HUMAN RESOURCES 10 HUMAN RESOURCES ADMINISTRATION 416 101 GENERAL FUND 11 FINANCE 10 ADMINISTRATION 414 101 GENERAL FUND 11 FINANCE 20 ACCOUNTING & DISBURSEMENTS 414 101 GENERAL FUND 12 REVENUE 10 ADMINISTRATION 414 101 GENERAL FUND 12 REVENUE 20 OPERATIONS 414 101 GENERAL FUND 12 REVENUE 30 AUDIT 414 101 GENERAL FUND 18 HOMELAND SEC/IMMIG 10 ADMINISTRATION 415 101 GENERAL FUND 20 POLICE 10 ADMINISTRATION 415 101 GENERAL FUND 20 POLICE 15 EXPLOSIVE ORDNANCE DISPOSAL 415 101 GENERAL FUND 20 POLICE 20 CRIMINAL INVESTIGATIONS 415 101 GENERAL FUND 20 POLICE 25 SPECIAL INVESTIGATIONS 415 101 GENERAL FUND 20 POLICE 30 CRIME LAB & TECH SERVICES 415 101 GENERAL FUND 20 POLICE 35 SPECIAL RESPONSE TEAM 415 101 GENERAL FUND 20 POLICE 40 PATROL 415 101 GENERAL FUND 20 POLICE 41 K-9 UNIT 415 101 GENERAL FUND 20 POLICE 45 TRAFFIC 415 101 GENERAL FUND 20 POLICE 46 INTERSTATE CRIME ENF (ICE) 415 101 GENERAL FUND 20 POLICE 50 DARE 415 101 GENERAL FUND 20 POLICE 51 JUVENILE/DOMESTIC VIOLENCE INV 415 101 GENERAL FUND 20 POLICE 55 TRAINING 415 101 GENERAL FUND 20 POLICE 65 WARRANTS 415 101 GENERAL FUND 20 POLICE 75 RECORDS/RESEARCH 415 101 GENERAL FUND 21 FIRE 10 ADMINISTRATION 415 101 GENERAL FUND 21 FIRE 20 OPERATIONS 415 101 GENERAL FUND 22 INSPECTIONS 10 ADMINISTRATION 413 101 GENERAL FUND 22 INSPECTIONS 20 OPERATIONS 413 101 GENERAL FUND 22 INSPECTIONS 30 PROPERTY MAINTENANCE CODE 413 101 GENERAL FUND 30 MUNICIPAL COURT 20 ANIMAL CONTROL 415 101 GENERAL FUND 40 PUBLIC WORKS 10 ADMINISTRATION 413 101 GENERAL FUND 40 PUBLIC WORKS 20 STREETS, SEWER, & DRAINAGE 413 101 GENERAL FUND 40 PUBLIC WORKS 50 SOLID WASTE 413 101 GENERAL FUND 40 PUBLIC WORKS 80 CHRISTMAS 413 101 GENERAL FUND 70 HEALTH & WELFARE 10 HEALTH & WELFARE SERVICES 413 119 GENERAL FUND 75 OTHER DEPARTMENTS 10 AL DEPT OF REVENUE 417 119 GENERAL FUND 75 OTHER DEPARTMENTS 20 RED CROSS 417 101 GENERAL FUND 80 DEBT SERVICE 30 MUNI BONDS & WARRANTS 417 101 GENERAL FUND 84 REVENUE REBATE 10 REVENUE REBATE 417 101 GENERAL FUND 85 BOARD OF ED 85 BOARD OF EDUCATION 417 101 GENERAL FUND 90 OTHER FIN USES 90 OPERATING TRANSFERS OUT 491 101 GENERAL FUND 90 OTHER FIN USES 92 WARRANT ISSUE DISCOUNT 493 101 GENERAL FUND 90 OTHER FIN USES 93 DEFEASANCE OF DEBT 493 101 GENERAL FUND 90 OTHER FIN USES 94 SPECIAL ITEMS 493 110 LIBRARY FUND 60 LIBRARY 10 ADMINISTRATION 418 110 LIBRARY FUND 60 LIBRARY 20 FICTION 418 110 LIBRARY FUND 60 LIBRARY 30 YOUTH 418 110 LIBRARY FUND 60 LIBRARY 40 REFERENCE 418 110 LIBRARY FUND 60 LIBRARY 50 CIRCULATION 418 110 LIBRARY FUND 60 LIBRARY 60 ARTS 418 110 LIBRARY FUND 60 LIBRARY 70 TECHNOLOGY 418 112 P&R FUND 50 PARKS & REC. 20 RECREATION 419 112 P&R FUND 50 PARKS & REC. 40 PARK MAINTENANCE OPERATIONS 419 112 P&R FUND 50 PARKS & REC. 50 SENIOR CENTER 419 112 P&R FUND 50 PARKS & REC. 70 PARK RANGERS 419 115 FLEET SERVICES FUND 45 FLEET SERVICES 60 FLEET ADMINISTRATION 413 117 SUPPORT SERVICES FUND 07 SUPPORT SERVICES 10 ADMINISTRATION 416 117 SUPPORT SERVICES FUND 07 SUPPORT SERVICES 30 INFORMATION TECHNOLOGY 416 117 SUPPORT SERVICES FUND 07 SUPPORT SERVICES 40 NETWORK SERVICES 416 117 SUPPORT SERVICES FUND 07 SUPPORT SERVICES 50 TELECOMMUNICATIONS 416 117 SUPPORT SERVICES FUND 07 SUPPORT SERVICES 60 DESKTOP SERVICES 416 117 SUPPORT SERVICES FUND 07 SUPPORT SERVICES 70 APPLICATION SERVICES/GIS 416 119 BUILDING SERVICES FUND 40 PUBLIC WORKS 30 BUILDING SERVICES 413 120 RISK MGMT. FUND 03 OPERATIONS 15 RISK MANAGEMENT ADMINISTRATION 413 120 RISK MGMT. FUND 03 OPERATIONS 20 RISK MANAGEMENT OPERATIONS 413 201 911 FUND 19 PUBLIC SAFETY 10 DISPATCH 415 215 GENERAL FUND 20 POLICE 60 CUSTODY OF PRISONERS 415 215 COURT/CORRECTIONS FUND 30 10 OPERATIONS 415 MUNICIPAL COURT 218 COURT REFERRAL PROGRAM 30 MUNICIPAL COURT 10 OPERATIONS 415 501 SEWER FUND 05 SEWER ENTERPRISE 10 INVERNESS 413 501 SEWER FUND 05 SEWER ENTERPRISE 20 RIVERCHASE 413 501 SEWER FUND 05 SEWER ENTERPRISE 40 TRACE CROSSINGS 413 501 SEWER FUND 05 SEWER ENTERPRISE 50 SOUTHLAKE 413 515 HEALTH INS ISF 89 HEALTH INSURANCE 10 ACTIVES 489 515 HEALTH INS ISF 89 HEALTH INSURANCE 20 ACTIVES COBRA 489 515 HEALTH INS ISF 89 HEALTH INSURANCE 30 RETIREES 489 515 HEALTH INS ISF 89 HEALTH INSURANCE 40 RETIREES COBRA 489 520 WORKERS COMP ISF 26 WORKERS COMP 10 ADMINISTRATION 426 7 of 192 CAFR CATEGORY GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT HIGHWAY AND ROADWAY IMPROVEMENTS HIGHWAY AND ROADWAY IMPROVEMENTS HIGHWAY AND ROADWAY IMPROVEMENTS HIGHWAY AND ROADWAY IMPROVEMENTS GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY PUBLIC SAFETY HEALTH HIGHWAY AND ROADWAY IMPROVEMENTS HIGHWAY AND ROADWAY IMPROVEMENTS SANITATION GENERAL GOVERNMENT HEALTH GENERAL GOVERNMENT GENERAL GOVERNMENT DEBT SERVICE SPECIAL ITEMS EDUCATION OTO OFU - DISCOUNT ON REFUNDING BONDS ISSUED OFU - PAYMENT TO REFUND BOND ESCROW AGENT SPECIAL ITEMS LIBRARY LIBRARY LIBRARY LIBRARY LIBRARY LIBRARY LIBRARY RECREATION RECREATION RECREATION RECREATION GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT GENERAL GOVERNMENT PUBLIC SAFETY PUBLIC SAFETY MUNICIPAL COURT MUNICIPAL COURT SEWER SEWER SEWER SEWER HEALTH INSURANCE & WORKERS COMP HEALTH INSURANCE & WORKERS COMP HEALTH INSURANCE & WORKERS COMP HEALTH INSURANCE & WORKERS COMP HEALTH INSURANCE & WORKERS COMP (This page intentionally left blank) 8 of 192 HTE ACCESS TO INFORMATION Account Inquiry Information #7 #1 #1 GMBA (accounting) Inquiry menu Account balance inquiry Type the account number, press enter, and select (#1) then enter F5 F7 F8 F10 F13 F14 F15 Shows encumbrances (purchase orders) on the account Shows project information Shows notes/adjustment information after original budget Shows detail transactions on the account Shows original budget line item information (budget requests) Shows pre-encumbrance detail (items that are still in requisition status) Shows budget allocations by period If you do not have access to an account number or one of the above function (F) keys, please contact Finance or MIS, respectively. There are many other functions or capabilities for accessing or specifying particular information. Please examine your function keys at the bottom of the screens. If there is something you would like to do but you are not sure how to achieve it , please contact the Finance Department. Sub-setting Account Balance Information: This process allows inquiry information to be defined in a way that only presents certain information. In other words, if you want to narrow information that is shown (i.e. fiscal year totals or department totals), subsets allow you to do this. After going to the Account Balance/Description Inquiry screen, F17 will take you to a subset screen that allows you to define the following (recommendations for the general user are included in parentheses): Fiscal year (2008) Fund Department Division Basic activity Activity sub account Element Object Category Department group Account types (Expenditures) Actual (Unposted & Encumbrances) usually the current fiscal year use to total by a fund use to total by a department use to total by a division along with a department subset 1=Salaries & Benefits, 2= Operating, 3 = Capital, 4 = Other Uses of Funds Assets, Liabilities, Revenue, and Expenditures Unposted, Encumbrances (PO’s), Pre-Encumbrances (Requisitions), and Pending (Groups not updated) F21 from the subset menu allows you to define what data you want to total (i.e. fund, department, division, etc.) 9 of 192 Project Inquiry Information #7 #1 #3 GMBA (accounting) Inquiry menu Project master Type the project code, press enter, and select (#8 detail accounts) Like the account balance inquiry, project inquiry has many function keys. Please examine these at the bottom of the screens. If there is something you would like to do but you are not sure how to achieve it, please contact the Finance Department. Sub-setting Project Information: Like account inquiry above, subsets allow you to define what information automatically appears on the inquiry screens. For project information, the following information can be defined in a subset: Account type: Assets, Liabilities, Revenue, and/or Expense (For most users selecting Expense will suffice) Account range: From (For most users put all To (For most users put all Fiscal year range: For annual budget information define the from and to as the current fiscal year (2008 on both) For lifetime project information define the from and to as the first and last year in the project Account balance totals: Include un-posted amounts Include encumbrances (purchase orders) Include pre-encumbrances (requisitions) Include pending (groups not updated) 000-0000-000-00-00 999-9999-999-99-99 Y Y N N These can be changed at will. The above represents the settings that most users will use. F20 Saves the above subset so that the next time you enter project inquiry, only the information defined above will show. 10 of 192 THE CITY OF HOOVER, ALABAMA SUMMARY CAFR FORMAT - ALL FUND TYPES FY 2008 ORIGINAL BUDGET TOTAL GOVERNMENTAL FUND TYPES ONLY REVENUES TOTAL REVENUES GENERAL FUND CAPITAL PROJECTS FUND 2003 GOW CAPITAL PROJECTS FUND OTHER GOVERNMENTAL FUNDS 129,171,846 96,739,996 125,269 - 32,306,581 12,021,623 141,193,469 129,171,846 96,739,996 125,269 - 32,306,581 12,021,623 141,193,469 PROPRIETARY FUNDS TOTAL ALL FUND TYPES DEPARTMENTAL EXPENDITURES PERSONNEL EXPENDITURES 54,824,090 50,143,948 - - 4,680,142 111,956 54,936,046 OPERATING EXPENDITURES CAPITAL EXPENDITURES 28,983,775 53,192,235 24,298,747 1,469,162 1,153,673 21,402,431 - 3,531,355 30,320,642 1,936,366 12,936,661 30,920,141 66,128,896 137,000,100 75,911,857 22,556,104 - 38,532,139 14,984,983 151,985,083 9,643,176 TOTAL DEPARTMENTAL EXPENDITURES OTHER EXPENDITURES DEBT SERVICE 9,141,534 9,141,534 - - - 501,642 TRANSFERS TO BD OF EDUCATION 7,500,000 7,500,000 - - - - 7,500,000 - - - - - 5,915,122 1,700,000 5,915,122 1,700,000 16,641,534 16,641,534 - - - 8,116,764 24,758,298 (24,469,788) 4,186,605 (11,080,124) (35,549,912) REBATES DEPRECIATION EXPENSE TOTAL OTHER EXPENDITURES EXCESS (DEFICIENCY) OF REVENUES OVER (UNDER) EXPENDITURES (22,430,835) - (6,225,558) OTHER FINANCING SOURCES (USES): SPECIAL ITEMS 400,000 BOND PROCEEDS, NET NET OPERATING TRANSFERS IN (OUT) TOTAL OTHER FINANCING SOURCES (USES) - - 400,000 (235,198) - (3,788,689) 400,000 - (235,198) - - 3,788,689 15,000,000 - 14,764,802 - 164,802 (3,788,689) 400,000 (235,198) 3,788,689 15,000,000 15,164,802 (22,030,835) (235,198) (2,436,869) 3,919,876 (20,385,110) 27,635,849 235,198 7,220,078 EXCESS (DEFICIENCY) OF REVENUES AND OTHER FINANCING SOURCES OVER (UNDER) EXPENDITURES AND OTHER FINANCING USES (24,304,986) FUND BALANCE BOY (ESTIMATED) 397,916 66,191,125 31,100,000 964,436 67,155,561 (Reserved and Unreserved) ESTIMATED FUND BALANCE EOY $ 41,886,139 $ 31,497,916 $ 11 of 192 5,605,014 $ - $ 4,783,209 $ 4,884,312 $ 46,770,451 THE CITY OF HOOVER, ALABAMA SUMMARY - ALL FUND TYPES FY 2008 ORIGINAL BUDGET TOTAL GOVERNMENTAL FUND TYPES ONLY GENERAL FUND SPECIAL REVENUE FUNDS 129,171,846 96,739,996 4,886,072 27,545,778 12,021,623 141,193,469 129,171,846 96,739,996 4,886,072 27,545,778 12,021,623 141,193,469 REVENUES TOTAL REVENUES CAPITAL PROJECTS FUNDS PROPRIETARY FUNDS TOTAL ALL FUND TYPES DEPARTMENTAL EXPENDITURES PERSONNEL EXPENDITURES 54,824,090 50,143,948 4,680,142 - 111,956 54,936,046 OPERATING EXPENDITURES 28,983,775 24,298,747 3,007,355 1,677,673 1,936,366 30,920,141 CAPITAL EXPENDITURES 53,192,235 1,469,162 3,424,133 48,298,940 12,936,661 66,128,896 137,000,100 75,911,857 11,111,630 49,976,613 14,984,983 151,985,083 DEBT SERVICE 9,141,534 9,141,534 - - 501,642 9,643,176 TRANSFERS TO BD OF EDUCATION 7,500,000 7,500,000 - - - 7,500,000 - - - - 5,915,122 5,915,122 TOTAL DEPARTMENTAL EXPENDITURES OTHER EXPENDITURES REBATES DEPRECIATION EXPENSE TOTAL OTHER EXPENDITURES - - - - 1,700,000 1,700,000 16,641,534 16,641,534 - - 8,116,764 24,758,298 (24,469,788) 4,186,605 (11,080,124) (35,549,912) EXCESS (DEFICIENCY) OF REVENUES OVER (UNDER) EXPENDITURES (6,225,558) (22,430,835) OTHER FINANCING SOURCES (USES): SPECIAL ITEMS BOND PROCEEDS, NET NET OPERATING TRANSFERS IN (OUT) TOTAL OTHER FINANCING SOURCES (USES) 400,000 - - 400,000 (235,198) - - (235,198) - 400,000 15,000,000 14,764,802 - (3,788,689) 3,788,689 - - - 164,802 (3,788,689) 3,788,689 164,802 15,000,000 15,164,802 3,919,876 (20,385,110) EXCESS (DEFICIENCY) OF REVENUES AND OTHER FINANCING SOURCES OVER (UNDER) EXPENDITURES AND OTHER FINANCING USES (24,304,986) FUND BALANCE BOY (ESTIMATED) 397,916 66,191,125 31,100,000 (2,436,869) (22,266,033) 7,220,078 27,871,047 964,436 67,155,561 (Reserved and Unreserved) ESTIMATED FUND BALANCE EOY $ 41,886,139 $ 31,497,916 12 of 192 $ 4,783,209 $ 5,605,014 $ 4,884,312 $ 46,770,451 THE CITY OF HOOVER, ALABAMA SUMMARY - GENERAL, SPECIAL REVENUE, CAPITAL PROJECT, AND PROPRIETARY FUNDS FY 2008 ORIGINAL BUDGET TOTAL GOVERNMENTAL FUND TYPES ONLY PROJECTED REVENUE $ OTHER FINANCING SOURCES: BOND PROCEEDS OPERATING TRANSFERS IN SPECIAL ITEMS LESS OTHER EXPENDITURES: DEBT SERVICE BOND USES OTHER USES OF FUNDS/REBATES DEPRECIATION EXPENSE 129,171,846 SPECIAL REVENUE GENERAL $ 96,739,996 $ CAPITAL PROJECT 4,886,072 $ TOTAL ALL FUND TYPES PROPRIETARY 27,545,778 $ 12,021,623 $ 141,193,469 25,627,952 400,000 21,839,263 - 3,788,689 - 400,000 15,000,000 - 15,000,000 25,627,952 400,000 9,141,534 235,198 - 9,141,534 - - 235,198 - 501,642 5,915,122 9,643,176 235,198 5,915,122 - - - - 1,700,000 1,700,000 7,500,000 7,500,000 - - - 7,500,000 AMOUNT REMAINING FOR EXPENDITURES 138,323,066 101,937,725 8,674,761 27,710,580 18,904,859 157,227,925 DEPARTMENTAL/OTHER EXPENDITURES PERSONNEL EXPENDITURES OPERATING EXPENDITURES CAPITAL/MAJOR EXPENDITURES 54,824,090 28,983,775 53,192,235 50,143,948 24,298,747 1,469,162 4,680,142 3,007,355 3,424,133 1,677,673 48,298,940 111,956 1,936,366 12,936,661 54,936,046 30,920,141 66,128,896 TOTAL DEPARTMENTAL EXPENDITURES 137,000,100 75,911,857 11,111,630 49,976,613 14,984,983 151,985,083 OTHER FINANCING USES: OPERATING TRANSFERS OUT TO GENERAL FUND (FUND 101) TO LIBRARY (FUND 110) TO LIBRARY ACTIVITIES (FUND 111) TO PARKS & RECREATION (FUND 112) TO FLEET (FUND 115) TO SUPPORT SERVICES FUND (FUND 117) TO BUILDING SERVICES FUND (FUND 119) TO RISK MANAGEMENT (FUND 120) TO PUBLIC ASSISTANCE (FUND 199) TO E-911 FUND (FUND 201) TO E-911 FUND (FUND 202) TO COURT/CORRECTIONS FUND (FUND 215) TO COURT REFERRAL FUND (FUND 218) TO GENERAL GRANTS FUND (FUND 235) TO CAPITAL PROJECTS (FUND 303) TOTAL OPERATING TRANSFERS OUT 4,644,347 65,000 4,476,673 3,449,205 3,867,941 4,179,737 1,156,360 1,278,203 2,331,659 83,778 95,049 25,627,952 4,644,347 65,000 4,476,673 3,449,205 3,867,941 4,179,737 1,156,360 1,278,203 2,331,659 83,778 95,049 25,627,952 - - - 4,644,347 65,000 4,476,673 3,449,205 3,867,941 4,179,737 1,156,360 1,278,203 2,331,659 83,778 95,049 25,627,952 TRANSFERS TO BD OF EDUCATION INCREASE IN FUND BALANCE (24,304,986) ESTIMATED FUND BALANCE BOY (Reserved and Unreserved) ESTIMATED FUND BALANCE EOY 397,916 66,191,125 $ 41,886,139 31,100,000 $ 31,497,916 13 of 192 $ (2,436,869) (22,266,033) 7,220,078 27,871,047 4,783,209 $ 5,605,014 3,919,876 (20,385,110) 964,436 $ 4,884,312 67,155,561 $ 46,770,451 THE CITY OF HOOVER, ALABAMA SUMMARY - GENERAL FUNDS FY 2008 ORIGINAL BUDGET TOTAL 101 GENERAL FUND $ 96,739,996 $ 94,624,485 21,839,263 - - 4,644,347 - 65,000 - 4,476,673 - - 3,449,205 - 3,867,941 - 4,179,737 - 1,156,360 - - - 9,141,534 7,500,000 9,141,534 7,500,000 - - - - - - - - - - 101,937,725 77,982,951 4,674,347 404,708 5,284,425 415,000 3,674,205 3,867,941 4,397,788 1,156,360 80,000 - DEPARTMENTAL/OTHER EXPENDITURES PERSONNEL EXPENDITURES OPERATING EXPENDITURES CAPITAL/MAJOR EXPENDITURES TOTAL DEPARTMENTAL EXPENDITURES 50,143,948 24,298,747 1,469,162 75,911,857 39,850,786 11,865,121 348,876 52,064,783 3,648,470 1,025,877 4,674,347 404,708 404,708 4,083,693 1,035,732 165,000 5,284,425 307,300 307,300 575,733 2,449,972 648,500 3,674,205 821,349 2,929,987 116,605 3,867,941 960,906 3,246,701 190,181 4,397,788 203,011 953,349 1,156,360 80,000 80,000 - OTHER FINANCING USES: OPERATING TRANSFERS OUT TO GENERAL FUND (FUND 101) TO LIBRARY (FUND 110) TO LIBRARY ACTIVITIES (FUND 111) TO PARKS & RECREATION (FUND 112) TO FLEET (FUND 115) TO SUPPORT SERVICES FUND (FUND 117) TO BUILDING SERVICES FUND (FUND 119) TO RISK MANAGEMENT (FUND 120) TO PUBLIC ASSISTANCE (FUND 199) TO E-911 FUND (FUND 201) TO E-911 FUND (FUND 202) TO COURT/CORRECTIONS FUND (FUND 215) TO COURT REFERRAL FUND (FUND 218) TO GENERAL GRANTS FUND (FUND 235) TO CAPITAL PROJECTS (FUND 303) TOTAL OPERATING TRANSFERS OUT 4,644,347 65,000 4,476,673 3,449,205 3,867,941 4,179,737 1,156,360 1,278,203 2,331,659 83,778 95,049 25,627,952 4,644,347 65,000 4,476,673 3,449,205 3,867,941 4,179,737 1,156,360 1,278,203 2,331,659 83,778 95,049 25,627,952 - - - - - - - - - - 397,916 290,216 - - - 107,700 - - - - - - ESTIMATED FUND BALANCE BOY (Reserved and Unreserved) 31,100,000 30,661,591 - 203,406 - 202,348 - - - - 32,655 - ESTIMATED FUND BALANCE EOY $ 31,497,916 $ 30,951,807 PROJECTED REVENUE OTHER FINANCING SOURCES: BOND PROCEEDS OPERATING TRANSFERS IN SPECIAL ITEMS LESS: DEBT SERVICE BOND USES OTHER USES OF FUNDS/REBATES DEPRECIATION EXPENSE TRANSFERS TO BD OF EDUCATION AMOUNT REMAINING FOR EXPENDITURES INCREASE IN FUND BALANCE 110 111 LIBRARY ACTIVITIES LIBRARY $ $ 30,000 - $ $ 112 PARKS & RECREATION 339,708 203,406 $ 807,752 $ 14 of 192 - 114 P&R ACTIVITY $ $ 115 117 SUPPORT SERVICES FLEET 415,000 310,048 $ $ 225,000 - $ $ 119 BUILDING SERVICES - - $ $ 120 RISK MGMT FUND 218,051 - $ $ - - 150 NEW HORIZONS $ $ 199 PUBLIC ASSISTANCE 80,000 32,655 $ $ - - THE CITY OF HOOVER, ALABAMA SUMMARY - SPECIAL REVENUE FUNDS FY 2008 ORIGINAL BUDGET TOTAL PROJECTED REVENUE $ OTHER FINANCING SOURCES: BOND PROCEEDS OPERATING TRANSFERS IN SPECIAL ITEMS LESS: DEBT SERVICE BOND USES OTHER USES OF FUNDS/REBATES DEPRECIATION EXPENSE TRANSFERS TO BD OF EDUCATION AMOUNT REMAINING FOR EXPENDITURES DEPARTMENTAL/OTHER EXPENDITURES PERSONNEL EXPENDITURES OPERATING EXPENDITURES CAPITAL/MAJOR EXPENDITURES TOTAL DEPARTMENTAL EXPENDITURES OTHER FINANCING USES: OPERATING TRANSFERS OUT TO GENERAL FUND (FUND 101) TO LIBRARY (FUND 110) TO LIBRARY ACTIVITIES (FUND 111) TO PARKS & RECREATION (FUND 112) TO FLEET (FUND 115) TO SUPPORT SERVICES FUND (FUND 117) TO BUILDING SERVICES FUND (FUND 119) TO RISK MANAGEMENT (FUND 120) TO PUBLIC ASSISTANCE (FUND 199) TO E-911 FUND (FUND 201) TO E-911 FUND (FUND 202) TO COURT FUND/CORRECTIONS (FUND 215) TO COURT REFERRAL FUND (FUND 218) TO GENERAL GRANTS FUND (FUND 235) TO CAPITAL PROJECTS (FUND 303) TOTAL OPERATING TRANSFERS OUT INCREASE IN FUND BALANCE ESTIMATED FUND BALANCE BOY (Reserved and Unreserved) ESTIMATED FUND BALANCE EOY 4,886,072 $ 202 211 212 215 217 218 220 E-911 WIRELESS E911 7 CENT GAS TAX 4 & 5 CENT GAS TAX COURT CORRECT COURT TRAINING CRO PROGRAM TRAFFIC SAFETY $ $ 775,000 200,000 785,500 $ 500,000 $ 761,500 $ 35,000 $ 36,000 $ 135,000 $ 230 235 240 261 262 CDBG GENERAL GRANTS ALABAMA TRUST DRUG ENF ALABAMA DRUG ENF FEDERAL DOJ 667,300 $ 540,772 $ 450,000 $ - $ - 263 DRUG ENF FEDERAL TREASURY $ - 3,788,689 - 1,278,203 - - - - 2,331,659 - - 83,778 - - - 95,049 - - - - - - - - - - - - - - - - - - - - 8,674,761 2,053,203 200,000 785,500 500,000 3,093,159 35,000 119,778 135,000 667,300 635,821 450,000 - - - 4,680,142 3,007,355 3,424,133 11,111,630 1,946,029 107,174 2,053,203 323 650,000 650,323 858,700 290,413 1,149,113 500,000 2,212 502,212 2,643,460 449,699 3,093,159 30,611 30,611 69,298 50,480 119,778 68,524 68,524 106,030 561,270 667,300 21,355 619,193 640,548 70,000 840,943 910,943 - 146,621 1,079,295 1,225,916 - - - - - - - - - - - - - - - - - 4,389 - 66,476 - (4,727) - 109,934 - 410,805 - 5,016 (2,436,869) 7,220,078.38 $ 201 4,783,209 $ - (450,323) - 683,345 - $ 233,022 (363,613) (2,212) 1,265,544 $ 901,931 1,412,997 $ 1,410,785 $ - $ 15 of 192 114,323 $ - $ 477,281 $ - $ 289 (460,943) - 1,216,686 $ 755,743 20,859 $ 20,859 $ (1,225,916) - 2,094,892 - 868,976 $ - THE CITY OF HOOVER, ALABAMA SUMMARY - CAPITAL PROJECTS FUNDS FY 2008 ORIGINAL BUDGET 303 CAPITAL PROJECTS TOTAL PROJECTED REVENUE $ OTHER FINANCING SOURCES: BOND PROCEEDS OPERATING TRANSFERS IN SPECIAL ITEMS 27,545,778 $ 307 GOW 2003A 125,269 $ - 372 ENGINEERING TOPICS III 375 ENGINEERING TOPICS VI 390 ENGINEERING ALDOT REIMB $ $ $ 234,307 1,906,531 25,279,671 400,000 - 400,000 - - - - 235,198 - - 235,198 - - - - AMOUNT REMAINING FOR EXPENDITURES 27,710,580 525,269 234,307 1,906,531 25,279,671 DEPARTMENTAL/OTHER EXPENDITURES PERSONNEL EXPENDITURES OPERATING EXPENDITURES CAPITAL/MAJOR EXPENDITURES TOTAL DEPARTMENTAL EXPENDITURES 1,677,673 48,298,940 49,976,613 1,153,673 21,402,431 22,556,104 - 234,307 234,307 1,906,531 1,906,531 524,000 24,755,671 25,279,671 - - - - - - LESS: DEBT SERVICE BOND USES OTHER USES OF FUNDS/REBATES DEPRECIATION EXPENSE TRANSFERS TO BD OF EDUCATION OTHER FINANCING USES: OPERATING TRANSFERS OUT TO GENERAL FUND (FUND 101) TO LIBRARY (FUND 110) TO LIBRARY ACTIVITIES (FUND 111) TO PARKS & RECREATION (FUND 112) TO FLEET (FUND 115) TO SUPPORT SERVICES FUND (FUND 117) TO BUILDING SERVICES FUND (FUND 119) TO RISK MANAGEMENT (FUND 120) TO PUBLIC ASSISTANCE (FUND 199) TO E-911 FUND (FUND 201) TO E-911 FUND (FUND 202) TO COURT/CORRECTIONS FUND (FUND 215) TO COURT REFERRAL FUND (FUND 218) TO GENERAL GRANTS FUND (FUND 235) TO CAPITAL PROJECTS (FUND 303) TOTAL OPERATING TRANSFERS OUT INCREASE IN FUND BALANCE ESTIMATED FUND BALANCE BOY (Reserved and Unreserved) ESTIMATED FUND BALANCE EOY $ (235,198) (22,266,033) (22,030,835) (235,198) - - - 27,871,047 27,635,849 235,198 - - - 5,605,014 $ 5,605,014 16 of 192 $ - $ - $ - $ - THE CITY OF HOOVER, ALABAMA SUMMARY - PROPRIETARY FUNDS FY 2008 ORIGINAL BUDGET TOTAL PROJECTED REVENUE OTHER FINANCING SOURCES: BOND PROCEEDS OPERATING TRANSFERS IN SPECIAL ITEMS $ 12,021,623 501 SEWER ENTERPRISE 503 GOW 2007A FUND 515 HEALTH INSURANCE $ $ $ 5,008,000 - 6,199,913 520 WORKERS COMP $ 813,710 15,000,000 - - 15,000,000 - - - 501,642 5,915,122 1,700,000 - 501,642 1,700,000 - - 5,213,643 - 701,479 - AMOUNT REMAINING FOR EXPENDITURES 18,904,859 2,806,358 15,000,000 986,270 112,231 DEPARTMENTAL/OTHER EXPENSES PERSONNEL EXPENSE OPERATING EXPENSE CAPITAL/MAJOR EXPENSE TOTAL DEPARTMENTAL EXPENSES 111,956 1,936,366 12,936,661 14,984,983 111,956 1,936,366 600,000 2,648,322 12,336,661 12,336,661 - - - - - - - 3,919,876 158,036 2,663,339 986,270 112,231 964,436 200,000 - 339,785 424,651 4,884,312 358,036 2,663,339 1,326,055 536,882 LESS: DEBT SERVICE* BOND USES OTHER USES OF FUNDS/REBATES DEPRECIATION EXPENSE TRANSFERS TO BD OF EDUCATION OTHER FINANCING USES: OPERATING TRANSFERS OUT TO GENERAL FUND (FUND 101) TO LIBRARY (FUND 110) TO LIBRARY ACTIVITIES (FUND 111) TO PARKS & RECREATION (FUND 112) TO FLEET (FUND 115) TO SUPPORT SERVICES FUND (FUND 117) TO BUILDING SERVICES FUND (FUND 119) TO RISK MANAGEMENT (FUND 120) TO PUBLIC ASSISTANCE (FUND 199) TO E-911 FUND (FUND 201) TO E-911 FUND (FUND 202) TO COURT/CORRECTIONS FUND (FUND 215) TO COURT REFERALL FUND (FUND 218) TO GENERAL GRANTS FUND (FUND 235) TO CAPITAL PROJECTS (FUND 303) TOTAL OPERATING TRANSFERS OUT CHANGE IN RETAINED EARNINGS RETAINED EARNINGS, BEGINNING OF YEAR (ESTIMATED) ESTIMATED RETAINED EARNINGS, END OF YEAR * $785,000 is not budgeted because it is applied to Bonds Payable 17 of 192 (This page intentionally left blank) 18 of 192 REVENUE BY CATEGORY - GENERAL FUND ONLY EXCLUDES TRANSFERS IN OF $21,839,263 FY 2008 ORIGINAL BUDGET TOTAL REVENUE - $96,739,996 CHARGES FOR SERVICES $1,320,575 1.37% RENTS & ROYALTIES $695,643 0.72% INVESTMENT INCOME $1,770,380 1.83% CONTRIBUTIONS & REIMBURSEMENTS $958,574 0.99% FINES & FORFEITURES $1,610,000 1.66% OTHER REVENUE $155,000 0.16% INTERGOVERNMENTAL $2,265,078 2.34% LICENSES & PERMITS $8,235,150 8.51% TAXES $79,729,596 82.42% 19 of 192 REVENUE BY FUND TYPE - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES - 39 (SPECIAL ITEMS, BOND PROCEEDS, AND TRANSFERS IN) FY 2008 160,000,000 140,000,000 120,000,000 100,000,000 80,000,000 60,000,000 40,000,000 20,000,000 GENERAL FUND SPECIAL REVENUE FUND CAPITAL PROJECTS FUND PROPRIETARY FUND TOTAL ALL REVENUE FY 2004 ACTUAL 81,563,981 3,652,596 1,021,468 4,059,599 90,297,644 FY 2005 ACTUAL 87,652,945 4,455,015 533,201 4,341,593 96,982,754 FY 2006 ACTUAL 93,930,434 4,770,994 800,406 5,267,447 104,769,281 FY 2007 ACTUAL UNAUDITED 96,390,869 6,217,577 1,614,629 10,510,548 114,733,623 FY 2008 ORIGINAL BUDGET 96,739,996 4,886,072 27,545,778 12,021,623 141,193,469 20 of 192 REVENUE BY CATEGORY - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES - 39 (SPECIAL ITEMS, DEBT PROCEEDS, AND TRANSFERS IN) FY 2008 TOTAL REVENUE - $141,193,469 INVESTMENT INCOME $1,770,380 1.25% RENTS & ROYALTIES $805,643 0.57% CHARGES FOR SERVICES $14,322,198 10.14% CONTRIBUTIONS & REIMBURSEMENTS $958,574 0.68% OTHER REVENUE $155,000 0.11% FINES & FORFEITURES $2,536,500 1.80% TAXES $79,729,596 56.47% INTERGOVERNMENTAL $32,680,428 23.15% LICENSES & PERMITS $8,235,150 5.83% 21 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2006 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2008 ORIGINAL BUDGET GENERAL FUND 101 - GENERAL FUND 101-0000-301.01-70 CURR REAL/PER/UTIL JEFFCO 101-0000-301.02-70 CURR REAL/PER/UTIL SHELCO 101-0000-301.03-70 DEL REAL/PER/UTIL JEFFCO 101-0000-301.04-70 DEL REAL/PER/UTIL SHELCO 101-0000-301.05-70 MOTR VEH/AUTO TAX JEFFCO 101-0000-301.06-70 MOTR VEH/AUTO TAX SHELCO TOTAL PROPERTY TAX 4,296,294 2,522,883 20,186 622 477,289 395,183 7,712,457 4,394,795 2,678,109 12,703 1,193 486,923 479,378 8,053,101 4,891,079 2,810,328 11,336 390 518,301 557,253 8,788,687 5,378,437 3,131,794 10,291 3,441 532,823 361,762 9,418,548 5,837,642 3,457,284 10,000 2,000 527,670 415,000 10,249,596 101-0000-302.01-70 IN LIEU OF PROPERTY TAX TOTAL IN LIEU OF PROPERTY TAX 8,847 8,847 8,847 8,847 8,947 8,947 - - 101-0000-303.01-70 RESIDENTIAL RENTAL TAX TOTAL RENTAL TAX 674,964 674,964 661,148 661,148 738,330 738,330 720,749 720,749 730,000 730,000 101-0000-304.01-70 PUBLIC UTILITY LICENSES 101-0000-304.02-70 INSURANCE CO LICENSES TOTAL GROSS RECEIPTS TAX 2,559,267 203,997 2,763,264 2,764,051 262,881 3,026,932 3,168,649 257,339 3,425,988 3,530,663 262,717 3,793,380 3,800,000 260,000 4,060,000 669,243 669,243 665,780 665,780 704,528 704,528 759,067 759,067 750,000 750,000 51,836,887 161,544 99,458 52,097,889 56,185,145 157,594 106,478 56,449,217 58,859,043 151,961 142,629 59,153,633 58,982,760 169,043 150,053 59,301,856 60,500,000 160,000 140,000 60,800,000 978,868 766,048 352,515 77,289 66 2,174,786 892,902 888,417 408,293 89,735 2,279,347 825,621 1,325,497 552,872 99,106 2,803,096 875,440 1,327,488 579,431 105,373 2,887,732 920,000 1,500,000 610,000 110,000 3,140,000 66,101,450 71,144,372 75,623,209 76,881,332 79,729,596 101-1220-311.01-11 GENERAL BUSINESS LICENSES 101-1220-311.02-11 UNAPPLIED REV FOR LICENSE TOTAL BUSINESS LICENSES 4,290,014 232 4,290,246 4,571,214 316 4,571,530 4,801,731 5,939 4,807,670 5,038,547 5,038,547 5,150,000 5,150,000 101-2210-312.01-12 RESID/COMM PERMIT FEE 101-2210-312.02-12 FRONT DOOR PERMIT FEE 101-2210-312.03-12 ZONING & ANNEX PERMIT FEE 101-2210-312.04-12 ROSS BRIDGE MULTI FAM FEE 101-2210-312.05-12 ROSS BRIDGE SING FAM FEE TOTAL BUILDING PERMITS 2,978,562 1,302,300 175,182 4,456,044 2,314,522 1,345,500 207,233 55,800 3,923,055 2,447,259 1,261,500 299,750 133,200 4,141,709 2,229,598 1,171,500 166,350 144,600 3,712,048 1,845,000 1,050,000 100,000 90,000 3,085,000 4,300 4,300 3,800 3,800 37,975 37,975 2,950 2,950 - 160 160 105 105 115 115 80 80 150 150 8,750,750 8,498,490 8,987,469 8,753,625 8,235,150 101-0000-305.01-70 CABLE CO LICENSES TOTAL FRANCHISE TAX 101-0000-306.01-70 GENERAL SALES & USE TAX 101-0000-306.02-70 CASUAL SALES TAX JEFFCO 101-0000-306.03-70 CASUAL SALES TAX SHELCO TOTAL SALES & USE TAX 101-0000-309.01-70 LEASE/RENTAL TAX 101-0000-309.02-70 LODGING TAX 101-0000-309.03-70 LIQUOR TAX 101-0000-309.04-70 WINE DISTRIBUTOR TAX 101-0000-309.05-70 TOBACCO TAX TOTAL OTHER MUNICIPAL TAX GRAND TOTAL TAXES 101-2210-313.01-12 AUTOMATIC ALARMS TOTAL ALARM PERMITS 101-2110-314.01-12 BLASTING PERMITS TOTAL SPECIAL FIRE PERMITS GRAND TOTAL LICENSES & PERMITS 22 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET GENERAL FUND 101 - GENERAL FUND CONTINUED 101-2010-321.01-20 FEDERAL 101-2010-321.02-20 STATE/FED PASS THROUGH 101-2010-321.04-20 JEFFERSON COUNTY 101-2110-321.01-20 FEDERAL 101-2110-321.02-20 STATE/FED PASS THROUGH 101-2110-321.05-20 SHELBY COUNTY 101-4020-321.02-20 STATE/FED PASS THROUGH TOTAL INTERGOVERNMENTAL GRANTS 12,546 1,420 2,156 2,976 19,098 6,000 6,000 - 10,443 10,443 - 311,404 710,902 36,439 38,809 323,380 91,373 62,790 153,174 27,735 173,434 2,462 17,713 1,949,615 353,515 733,427 33,420 39,606 331,433 93,272 57,502 154,323 27,943 217,373 5,219 15,449 2,062,482 344,449 801,512 46,254 44,896 330,402 104,641 58,824 155,480 28,153 536,208 6,949 14,967 5,002 2,477,737 363,382 877,462 40,568 65,794 336,922 96,566 56,159 156,646 28,364 436,223 6,854 13,644 5,539 2,484,123 360,000 800,000 46,000 55,000 340,000 100,000 62,000 158,000 30,000 250,000 7,000 16,000 2,224,000 - 4,879 30,575 1,785 36,234 241,598 60,776 375,847 1,429 25,588 3,202 30,219 1,224 4,803 6,027 - 1,968,713 2,444,329 2,507,956 2,500,593 2,224,000 FINES 803,766 803,766 1,004,545 1,004,545 1,184,266 1,184,266 1,347,908 1,347,908 1,380,000 1,380,000 101-2010-332.01-14 PROPERTY SOLD IN AUCTION 101-3010-332.03-14 BOND FORFEITURES TOTAL FORFEITURES 2,680 42,994 45,674 69,616 69,616 88,772 88,772 62,200 62,200 70,000 70,000 849,440 1,074,161 1,273,038 1,410,108 1,450,000 101-0000-322.06-70 GAS TAX - JEFFCO 101-0000-322.07-70 ROAD TAX - JEFFCO 101-0000-322.12-70 ALA ALCOH BEV LIQ ST PROF 101-0000-322.13-70 ALA ALCOH BEV LIQ ST TAX 101-0000-322.14-70 ALCOHOL BEER TAX JEFFCO 101-0000-322.15-70 ALCOHOL BEER TAX SHELCO 101-0000-322.16-70 TOBACCO TAX JEFFCO 101-0000-322.17-70 BUS PRIV TAX DIST JEFFCO 101-0000-322.18-70 BUS PRIV TAX DIST SHELCO ALA FIN INST EXCISE TAX 101-0000-322.19-70 101-0000-322.20-70 ALA OIL PROD PRIV TAX 101-0000-322.22-70 BHAM RACING COMM LOCAL 101-0000-322.23-20 SHERIFF DEPUTIES JEFFCO TOTAL SHARED REVENUES 101-1110-324.02-20 STATE/FED PASS THRU 101-2010-324.02-20 STATE/FED PASS THRU 101-2110-324.02-20 STATE/FED PASS THRU 101-4010-324.02-20 STATE/FED PASS THRU 101-4020-324.02-20 STATE/FED PASS THRU 101-4020-324.03-20 STATE DIRECT 101-4050-324.02-20 STATE/FED PASS THRU TOTAL PUBLIC ASSISTANCE GRAND TOTAL INTERGOVERNMENTAL 101-3010-331.01-13 TOTAL FINES GRAND TOTAL FINES & FORFEITURES 23 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2006 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2008 ORIGINAL BUDGET GENERAL FUND 101 - GENERAL FUND CONTINUED 101-0220-341.01-10 ZONING & BZA FEES 101-0220-341.02-10 PRINTING/DUPLICATING CHGS 101-0220-341.04-10 ASSESSMENT LETTERS 101-0220-341.06-10 NOTARY FEE 101-0240-341.05-10 ELECTION QUALIFYING FEES 101-0410-341.02-10 PRINTING/DUPLICATING CHGS 101-0750-341.03-10 COMMISSION ON PAY PHONES TOTAL GENERAL GOVERNMENT CHARGES 15,765 1,362 6,992 1,750 3,000 426 29,295 10,432 1,983 11,435 23,850 12,230 1,647 13,210 27,087 8,685 1,378 13,591 25 23,679 12,000 2,000 10,000 24,000 101-2010-342.01-10 ACCIDENT REPORT CHARGES 101-2010-342.02-10 FALSE ALARM CHARGES 101-2010-342.03-10 INSTRUCTIVE COURSES 101-2010-342.04-10 INCIDENT/OFFENSE REPORTS 101-2010-342.05-10 FINGERPRINT CARDS 101-2010-342.06-10 SUBPOENAED DOCUMENTS 101-2010-342.07-10 EVIDENCE TECHNICIAN PHOTO 101-2035-342.03-10 INSTRUCTIVE COURSES 101-2060-342.08-10 USE OF JAIL PHONE SYSTEM TOTAL SPECIAL POLICE CHARGES 49,063 3,925 52,988 48,519 1,575 400 1,155 265 1,511 2,800 56,225 43,559 4,825 610 675 1,800 9,183 60,652 44,326 4,458 610 3,635 13,492 66,521 45,000 4,500 675 50,175 101-2110-343.01-10 FIRE DUES 101-2110-343.02-10 EMERGENCY TRANSPORT FEES 101-2110-343.03-10 MEDICAL ALERT FEES 101-2110-343.04-10 INSTRUCTIVE COURSES 101-2110-343.05-10 FIRE HYDRANT INSTALL FEE TOTAL SPECIAL FIRE CHARGES 71,197 42,702 2,100 1,375 28,800 146,174 31,950 41,552 900 1,525 24,000 99,927 46,604 34,170 1,800 1,740 54,970 139,284 30,988 85,096 2,340 43,200 161,624 50,000 65,000 900 30,000 145,900 1,636 948 5,700 8,284 1,059 1,456 6,450 8,965 1,357 1,664 6,300 9,321 1,312 2,296 6,450 10,058 1,000 2,000 6,500 9,500 64,925 64,925 79,625 79,625 25,725 25,725 13,475 13,475 - 301,666 268,592 262,069 275,357 229,575 1,415,892 1,415,892 1,698,799 1,698,799 2,098,455 2,098,455 3,453,974 3,453,974 1,770,000 1,770,000 1,415,892 1,698,799 2,098,455 3,453,974 1,770,000 34,328 43,570 77,898 88,402 41,670 130,072 7,973 99,533 51,470 158,976 10,249 95,525 53,659 159,433 85,000 52,000 137,000 8,505 8,505 6,795 4,904 750 101 12,550 8,000 8,000 101-0310-345.03-10 CREDIT CARD USE FEES 101-1220-345.03-10 CREDIT CARD USE FEES 101-4050-345.02-10 BACK DOOR GARBAGE FEE TOTAL SPECIAL CHARGES 101-2210-349.04-10 TAP FEES TRACE CROSSINGS 101-2210-349.05-10 TAP FEES LAKE CREST TOTAL SANITARY SEWER TAP FEE GRAND TOTAL CHARGES FOR SERVICES 101-0000-351.01-70 TOTAL INTEREST INTEREST ON BANK ACCOUNTS GRAND TOTAL INVESTMENT INCOME 101-0310-361.04-70 PUBLIC SAFETY CTR SPACE 101-0310-361.03-15 RV PARK RENTAL 101-1910-361.02-15 TOWER RENTAL TOTAL FACILITY/LEASE RENTALS 101-0180-364.01-16 101-0355-364.03-15 101-0355-364.05-15 101-2010-364.04-16 TOTAL OTHER MAYOR'S BREAKFAST BOOTH RENTAL OTHER RENTS COMMISSIONS 6,234 6,234 101-2110-365.01-15 TOTAL FIRE FIRE HYDRANT RENTAL FEE 8,625 8,625 7,245 7,245 27,798 27,798 12,765 12,765 16,000 16,000 92,757 136,837 195,279 184,748 161,000 GRAND TOTAL RENTS & ROYALTIES 24 of 192 (480) (480) REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2006 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2008 ORIGINAL BUDGET GENERAL FUND 101 - GENERAL FUND CONTINUED 101-0110-371.01-20 CONTRIBUTIONS 101-0180-371.01-20 CONTRIBUTIONS 101-0355-371.01-20 CONTRIBUTIONS 101-2010-371.01-20 CONTRIBUTIONS 101-2110-371.01-20 CONTRIBUTIONS TOTAL CONTRIBUTIONS 500 2,650 770 3,920 2,994 2,000 4,994 1,000 5 1,005 14,000 14,000 - 101-0220-372.01-20 REIMBURSEMENTS 101-0610-372.01-20 REIMBURSEMENTS 101-1810-372.05-20 REIMBURSEMENTS FEDERAL 101-2010-372.05-20 REIMBURSEMENTS FEDERAL 101-2015-372.05-20 REIMBURSEMENTS FEDERAL 101-2020-372.02-20 REIMBURSEMENTS SCHOOL BD 101-2020-372.05-20 REIMBURSEMENTS FEDERAL 101-2025-372.01-20 REIMBURSEMENTS 101-2025-372.05-20 REIMBURSEMENTS FEDERAL 101-2040-372.05-20 REIMBURSEMENTS SCHOOL BD 101-2045-372.02-20 REIMBURSEMENTS SCHOOL BD REIMBURSEMENTS 101-2050-372.01-20 101-2050-372.02-20 REIMBURSEMENTS SCHOOL BD 101-2051-372.02-20 REIMBURSEMENTS SCHOOL BD 101-2055-372.01-20 REIMBURSEMENTS 101-2055-372.02-20 REIMBURSEMENTS SCHOOL BD 101-2065-372.02-20 REIMBURSEMENTS SCHOOL BD 101-2075-372.02-20 REIMBURSEMENTS SCHOOL BD 101-2110-372.02-20 REIMBURSEMENTS SCHOOL BD 101-2110-372.10-20 REIMBURSEMENTS SHELCO 101-2120-372.10-20 REIMBURSEMENTS SHELCO 101-4020-372.01-20 REIMBURSEMENTS 101-4020-372.02-20 REIMBURSEMENTS SCHOOL BD 101-4020-372.03-20 REIMB STATE DIRECT 101-4020-372.04-20 REIMBURSEMTS ST/FED PASS 101-4020-372.06-10 REIMB FROM RESIDENTS PW TOTAL REIMBURSEMENTS 1,925 3,863 22,310 273,823 3,000 131 305,052 1,635 5,348 24,800 294,190 325,973 13 350 6,509 3,000 26,057 368,718 1,225 451 406,323 9,195 1,373 2,451 38,851 25,651 750 496,230 39,284 353 663 622 3,675 996 620,094 552,682 117,482 670,164 GRAND TOTAL CONTRIBUTIONS & REIMBURSEMENTS 308,972 330,967 407,328 634,094 670,164 101-0000-381.01-70 SURPLUS PROPERTY 101-0000-381.02-70 FIXED ASSET DISPOSITION 101-0000-381.03-70 ABANDONED PROPERTY 101-0000-381.04-70 FIXED ASSET DISP - NOT INV TOTAL SALE OF PROPERTY 6,797 6,797 124,608 124,608 13,533 383,636 119 4,180 401,468 3,737 10,770 14,507 - 101-0000-383.01-70 INT PENALTY BUSIN LICEN 101-0000-383.02-70 INT PENALTY RETURNED CK TOTAL INTEREST & PENALTY 129,846 129,846 142,920 142,920 143,792 143,792 184,172 55 184,227 150,000 150,000 101-0000-384.01-70 MISCELLANEOUS REVENUE 101-0000-384.03-70 REFUND OF PRIOR YR EXPS 101-0180-384.01-10 MISCELLANEOUS REVENUE 101-0355-384.06-20 SPONSORSHIPS TOTAL MISCELLANEOUS REVENUE 5,789 16,160 21,949 2,965 94,150 240 97,355 2,691 10,000 12,691 5,000 5,000 GRAND TOTAL OTHER REVENUE GRAND TOTAL GENERAL FUND 101 4,570 (1,065) 105 3,610 158,592 271,138 642,615 211,425 155,000 79,948,232 85,867,685 91,997,418 94,305,256 94,624,485 25 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET LIBRARY FUND 110 - GENERAL FUND 110-6010-346.01-10 PRINT MANAGEMENT 110-6010-346.02-10 MEMBERSHIP FEES 110-6010-346.04-10 COPIER TOTAL LIBRARY CHARGES 22,012 6,662 28,674 25,527 5,927 31,454 21,961 6,008 27,969 24,123 4,396 28,519 25,000 5,000 30,000 GRAND TOTAL CHARGES FOR SERVICES 28,674 31,454 27,969 28,519 30,000 42 42 - - - - 42 - - - - - 250 250 1,423 1,423 - - 110-6010-362.01-15 110-6010-362.02-10 110-6010-362.02-16 TOTAL LIBRARY OTHER RECEIPTS RENTAL OTHER RECEIPTS SALES OTHER RECEIPTS SALES GRAND TOTAL RENTS & ROYALTIES 110-0000-384.03-70 REFUND OF PRIOR YR EXPS TOTAL MISCELLANEOUS REVENUE GRAND TOTAL OTHER REVENUE GRAND TOTAL LIBRARY FUND 110 - 250 1,423 - - 28,716 31,704 29,392 28,519 30,000 26 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET LIBRARY ACTIVITY FUND 111 - GENERAL FUND 111-6010-321.03-20 STATE DIRECT TOTAL INTERGOVERNMENTAL GRANTS 35,451 35,451 34,625 34,625 39,507 39,507 - - - - - 38,141 4,204 42,345 38,141 2,937 41,078 35,451 34,625 39,507 42,345 41,078 121,364 121,364 126,929 126,929 156,035 156,035 164,782 164,782 160,000 160,000 121,364 126,929 156,035 164,782 160,000 111-6010-346.02-10 MEMBERSHIP FEES TOTAL LIBRARY CHARGES 8,520 8,520 8,330 8,330 9,840 9,840 11,400 11,400 11,000 11,000 GRAND TOTAL CHARGES FOR SERVICES 8,520 8,330 9,840 11,400 11,000 44 44 210 210 228 228 376 376 380 380 44 210 228 376 380 1,305 57,325 58,630 322 76,295 76,617 446 78,535 78,981 1,930 104,533 106,463 250 77,000 77,250 111-6010-322.24-20 JEFFCO PORTION OF ST AID 111-6010-322.25-20 SHELCO PORTION OF ST AID TOTAL SHARED REVENUES GRAND TOTAL INTERGOVERNMENTAL 111-6010-331.01-13 TOTAL FINES FINES GRAND TOTAL FINES & FORFEITURES 111-6010-351.01-17 TOTAL INTEREST INTEREST ON BANK ACCOUNTS GRAND TOTAL INVESTMENT INCOME 111-6010-362.01-15 111-6010-362.02-16 TOTAL LIBRARY OTHER RECEIPTS RENTAL OTHER RECEIPTS SALES GRAND TOTAL RENTS & ROYALTIES 58,630 76,617 78,981 106,463 77,250 111-6010-371.01-20 CONTRIBUTIONS TOTAL CONTRIBUTIONS 36,430 36,430 35,830 35,830 39,698 39,698 87,801 87,801 40,000 40,000 111-6010-372.01-20 REIMBURSEMENTS TOTAL REIMBURSEMENTS 11,114 11,114 9,383 9,383 12,127 12,127 10,698 10,698 8,000 8,000 8,000 8,000 17,945 17,945 8,000 8,000 3,000 3,000 2,000 2,000 111-6010-373.01-20 TOTAL GRANTS GRANTS - FOUNDATIONS 55,544 63,158 59,825 101,499 50,000 111-0000-384.03-70 REFUND OF PRIOR YR EXPS TOTAL MISCELLANEOUS REVENUE GRAND TOTAL CONTRIBUTIONS & REIMBURSEMENTS - - - 6,500 6,500 - GRAND TOTAL OTHER REVENUE - - - 6,500 - 279,553 309,869 344,416 433,365 339,708 GRAND TOTAL LIBRARY ACTIVITY FUND 111 27 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET PARKS & RECREATION FUND 112 - GENERAL FUND 112-5010-321.04-20 JEFFERSON COUNTY 112-5040-321.02-20 STATE/FED PASS THROUGH TOTAL INTERGOVERNMENTAL GRANTS 11,375 7,520 18,895 8,450 8,450 - - - - 27,985 27,985 6,581 607 7,188 911 911 - 18,895 36,435 7,188 911 - 112-5010-347.06-10 PARK FACILITY USE FEES 112-5010-347.10-10 TENNIS FEES 112-5020-347.01-10 REC CTR MEMBERSHIP FEES 112-5020-347.02-10 REC CTR ACTIVITY ACCOUNT 112-5020-347.03-10 REC CTR ATHLETIC ACCOUNT 112-5020-347.04-10 REC CTR YOUTH BASKET ACCT 112-5020-347.05-10 REC CTR NEW HORIZONS ACCT 112-5020-347.06-10 PARK FACILITY USE FEES 112-5020-347.07-10 SWIM TEAM FEES 112-5020-347.08-10 SWIM LESSONS PERS FITNESS TRAINING FEE 112-5020-347.09-10 112-5020-347.10-10 TENNIS FEES 112-5020-347.11-10 LIFEGUARDING CLASS FEES TOTAL PARKS & RECREATION CHARGES 29,009 503,833 125 12,585 20,775 2,250 568,577 27,708 487,398 12,440 12,635 3,450 543,631 29,351 537,818 17,085 16,754 2,950 603,958 633,192 14,028 647,220 525,000 30,000 555,000 GRAND TOTAL CHARGES FOR SERVICES 568,577 543,631 603,958 647,220 555,000 112-5010-363.01-15 STADIUM LEASE TO BARONS 112-5020-363.01-15 STADIUM LEASE TO BARONS 112-5040-363.03-16 OTHER RECEIPT SALES TOTAL PARKS & RECREATION 224,430 224,430 224,430 5,040 229,470 238,591 238,591 259,833 259,833 252,752 252,752 GRAND TOTAL RENTS & ROYALTIES 224,430 229,470 238,591 259,833 252,752 619 619 - - 1,275 1,275 - - 1,275 - 195 195 - 112-5040-324.02-20 STATE/FED PASS THRU 112-5040-324.03-20 STATE DIRECT TOTAL PUBLIC ASSISTANCE GRAND TOTAL INTERGOVERNMENTAL 112-5040-372.02-20 REIMBURSEMENTS SCHOOL BOARD 112-5040-372.03-20 REIMB STATE DIRECT 112-5040-372.04-20 REIMBURSEMTS ST/FED PASS TOTAL REIMBURSEMENTS GRAND TOTAL CONTRIBUTIONS & REIMBURSEMENTS 619 - 112-0000-384.01-70 MISCELLANEOUS REVENUE 112-0000-384.03-70 REFUND OF PRIOR YR EXPS TOTAL MISCELLANEOUS REVENUE 290 40 330 1,745 3,037 4,782 GRAND TOTAL OTHER REVENUE GRAND TOTAL PARKS & RECREATION FUND 112 367 (75) 292 330 4,782 292 195 - 812,851 814,318 850,029 909,434 807,752 28 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET RECREATION ACTIVITY FUND 114 - GENERAL FUND 114-5020-347.02-10 REC CTR ACTIVITY ACCOUNT 114-5020-347.03-10 REC CTR ATHLETIC ACCOUNT 114-5020-347.04-10 REC CTR YOUTH BASKET ACCT 114-5020-347.05-10 REC CTR NEW HORIZONS ACCT TOTAL PARKS & RECREATION CHARGES 163,813 164,736 68,122 67,409 464,080 161,358 135,499 64,136 60,196 421,189 148,186 211,422 76,224 435,832 142,336 171,592 67,294 381,222 126,400 222,600 66,000 415,000 GRAND TOTAL CHARGES FOR SERVICES 464,080 421,189 435,832 381,222 415,000 - - 14,168 14,168 - - 114-5020-371.01-20 CONTRIBUTIONS TOTAL CONTRIBUTIONS GRAND TOTAL CONTRIBUTIONS & REIMBURSEMENTS - - 14,168 - - 114-0000-384.01-70 MISCELLANEOUS REVENUE 114-0000-384.03-70 REFUND OF PRIOR YR EXPS 114-5020-384.06-20 SPONSORSHIPS TOTAL MISCELLANEOUS REVENUE - 365 368 733 245 245 5,920 5,920 - GRAND TOTAL OTHER REVENUE - 733 245 5,920 - 464,080 421,922 450,245 387,142 415,000 GRAND TOTAL RECREATION ACTIVITY FUND 114 FLEET FUND 115 - GENERAL FUND 115-4560-324.02-20 STATE/FED PASS THRU TOTAL PUBLIC ASSISTANCE - 456 456 - - - GRAND TOTAL INTERGOVERNMENTAL - 456 - - - 115-4561-366.01-16 TOTAL FLEET - - 1,439 1,439 380 380 - GRAND TOTAL RENTS & ROYALTIES - - 1,439 380 - 115-2050-372.02-20 REIMBURSEMENTS SCHOOL BD TOTAL REIMBURSEMENTS - - - 53,654 53,654 225,000 225,000 GRAND TOTAL CONTRIBUTIONS & REIMBURSEMENTS - - - 53,654 225,000 115-0000-384.03-70 REFUND OF PRIOR YR EXPS TOTAL MISCELLANEOUS REVENUE - - - 9,836 9,836 - GRAND TOTAL OTHER REVENUE - - - 9,836 - GRAND TOTAL FLEET FUND 115 - 456 1,439 63,870 225,000 SALE OF FUEL 29 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET SUPPORT SERVICES FUND 117 - GENERAL FUND 117-0710-324.02-20 STATE/FED PASS THRU TOTAL PUBLIC ASSISTANCE - 4,879 4,879 1,429 1,429 - - GRAND TOTAL INTERGOVERNMENTAL - 4,879 1,429 - - 117-0710-372.04-20 REIMBURSEMTS ST/FED PASS 117-2050-372.02-20 REIMBURSEMENTS SCHOOL BD TOTAL REIMBURSEMENTS 274 274 - - 2,672 2,672 - GRAND TOTAL CONTRIBUTIONS & REIMBURSEMENTS 274 - - 2,672 - 117-0000-384.03-70 REFUND OF PRIOR YR EXPS TOTAL MISCELLANEOUS REVENUE 10,033 10,033 992 992 35 35 - - GRAND TOTAL OTHER REVENUE 10,033 992 35 - - 10,307 5,871 1,464 2,672 - GRAND TOTAL SUPPORT SERVICES FUND 117 BUILDING SERVICES FUND 119 - GENERAL FUND 119-4030-321.02-20 STATE/FED PASS THROUGH TOTAL INTERGOVERNMENTAL GRANTS 4,690 4,690 - - - - - 16,723 16,723 1,902 424 2,326 636 636 - 4,690 16,723 2,326 636 - HOUSEKEEPING SERVICES PSC 119-4030-345.05-10 TOTAL SPECIAL CHARGES - - 754 754 710 710 - GRAND TOTAL CHARGES FOR SERVICES - - 754 710 - 119-7510-361.05-15 PUBLIC SAFETY CENTER SPACE 119-7520-361.05-15 PUBLIC SAFETY CENTER SPACE TOTAL FACILITY/LEASE RENTALS - - - 32,114 1,993 34,107 192,682 11,959 204,641 GRAND TOTAL RENTS & ROYALTIES - - - 34,107 204,641 119-4030-372.01-20 REIMBURSEMENTS 116-5040-372.01-20 REIMBURSEMENTS 119-7510-372.01-20 REIMBURSEMENTS 119-7520-372.01-20 REIMBURSEMENTS TOTAL REIMBURSEMENTS - - 992 123,808 124,800 55,768 1,944 94 57,806 13,410 13,410 119-4030-324.02-20 STATE/FED PASS THRU 119-4030-324.03-20 STATE DIRECT TOTAL PUBLIC ASSISTANCE GRAND TOTAL INTERGOVERNMENTAL GRAND TOTAL CONTRIBUTIONS & REIMBURSEMENTS - - 124,800 57,806 13,410 119-0000-384.03-70 REFUND OF PRIOR YR EXPS TOTAL MISCELLANEOUS REVENUE 1,216 1,216 230 230 - - - GRAND TOTAL OTHER REVENUE 1,216 230 - - - GRAND TOTAL BUILDING SERVICES FUND 119 5,906 16,953 127,880 93,259 218,051 30 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET RISK MANAGEMENT FUND 120 - GENERAL FUND 120-0410-321.02-20 STATE/FED PASS THROUGH TOTAL INTERGOVERNMENTAL GRANTS - 2,932 2,932 - - - 120-5020-324.02-20 STATE/FED PASS THRU 120-5040-324.02-20 STATE/FED PASS THRU TOTAL PUBLIC ASSISTANCE - 1,705 224 1,929 30 227 257 341 45 386 - GRAND TOTAL INTERGOVERNMENTAL - 4,861 257 386 - 120-0000-384.03-70 REFUND OF PRIOR YR EXPS TOTAL MISCELLANEOUS REVENUE 14,141 14,141 154,188 154,188 46,413 46,413 26,677 26,677 - GRAND TOTAL OTHER REVENUE 14,141 154,188 46,413 26,677 - GRAND TOTAL RISK MANAGEMENT FUND 120 14,141 159,049 46,670 # 27,063 # - NEW HORIZONS ACTIVITIES FUND 150 - GENERAL FUND 150-5020-347.05-10 REC CTR NEW HORIZONS ACCT TOTAL PARKS & RECREATION CHARGES - - 73,967 73,967 139,239 139,239 80,000 80,000 GRAND TOTAL CHARGES FOR SERVICES - - 73,967 139,239 80,000 150-0000-351.01-02 INTEREST ON BANK ACCOUNTS TOTAL PUBLIC ASSISTANCE - - 4,030 4,030 1,050 1,050 - GRAND TOTAL INVESTMENT INCOME - - 4,030 1,050 - - - 77,997 140,289 80,000 GRAND TOTAL NEW HORIZONS ACTIVITIES FUND 150 PUBLIC ASSISTANCE FUND 199 - GENERAL FUND STATE/FED PASS THROUGH 199-2110-321.02-20 199-4020-321.02-20 STATE/FED PASS THROUGH TOTAL INTERGOVERNMENTAL GRANTS 42 153 195 - - - - - 287 643 23,547 641 25,118 2,668 816 3,484 - - GRAND TOTAL INTERGOVERNMENTAL 195 25,118 3,484 - - GRAND TOTAL PUBLIC ASSISTANCE FUND 199 195 25,118 3,484 - - 199-1910-324.02-20 STATE/FED PASS THRU 199-2110-324.02-20 STATE/FED PASS THRU 199-4010-324.02-20 STATE/FED PASS THRU 199-4020-324.02-20 STATE/FED PASS THRU 199-4020-324.03-20 STATE DIRECT TOTAL PUBLIC ASSISTANCE 31 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET E-911 FUND 201 - SPECIAL REVENUE FUND 201-1910-321.02-20 STATE/FED PASS THROUGH TOTAL INTERGOVERNMENTAL GRANTS 2,741 2,741 - - - - - 3,223 3,223 - - - 2,741 3,223 - - - 201-1910-344.01-10 E911 PHONE CHARGES TOTAL PUBLIC SAFETY CHARGES 737,307 737,307 744,917 744,917 743,525 743,525 753,686 753,686 775,000 775,000 GRAND TOTAL CHARGES FOR SERVICES 201-1910-324.02-20 STATE/FED PASS THRU TOTAL PUBLIC ASSISTANCE GRAND TOTAL INTERGOVERNMENTAL 737,307 744,917 743,525 753,686 775,000 201-1910-372.03-20 REIMB STATE DIRECT 201-1910-372.04-20 REIMBURSEMTS ST/FED PASS TOTAL REIMBURSEMENTS 164 164 - - - - GRAND TOTAL CONTRIBUTIONS & REIMBURSEMENTS 164 - - - - - - - 164 164 - 201-0000-384.03-70 REFUND OF PRIOR YR EXPS TOTAL MISCELLANEOUS REVENUE GRAND TOTAL OTHER REVENUE GRAND TOTAL E-911 FUND 201 - - - 164 - 740,212 748,140 743,525 753,850 775,000 WIRELESS E-911 FUND 202 - SPECIAL REVENUE FUND 202-1910-344.01-10 E911 PHONE CHARGES TOTAL PUBLIC SAFETY CHARGES 157,894 157,894 155,475 155,475 191,314 191,314 207,636 207,636 200,000 200,000 GRAND TOTAL CHARGES FOR SERVICES 157,894 155,475 191,314 207,636 200,000 GRAND TOTAL WIRELESS E-911 FUND 202 157,894 155,475 191,314 207,636 200,000 7-CENT GAS TAX FUND 211 - SPECIAL REVENUE FUND 211-0410-322.08-20 ALA 7 CENT GAS TAX 211-4020-322.01-20 MOTOR VEH LIC ALA STATE 211-4020-322.02-20 MOTOR VEH LIC ALA JEFFCO 211-4020-322.03-20 MOTOR VEH LIC ALA SHELCO 211-4020-322.04-20 MOTOR VEH LIC JEFFCO 211-4020-322.05-20 MOTOR VEH LIC SHELCO 211-4020-322.08-20 ALA 7 CENT GAS TAX 211-4020-322.10-20 PETROL INSP FEE JEFFCO 211-4020-322.11-20 PETROL INSP FEE SHELCO TOTAL SHARED REVENUES 12,850 222 4,110 2,136 116,656 50,004 503,831 15,083 8,830 713,722 1,702 6,961 3,019 121,614 58,894 528,833 12,418 7,124 740,565 98 9,095 5,143 126,015 60,132 527,551 12,038 7,042 747,114 7,459 4,949 128,513 62,333 513,491 12,129 7,096 735,970 1,000 8,500 6,000 125,000 62,000 560,000 15,000 8,000 785,500 GRAND TOTAL INTERGOVERNMENTAL 713,722 740,565 747,114 735,970 785,500 GRAND TOTAL 7-CENT GAS TAX FUND 211 713,722 740,565 747,114 735,970 785,500 32 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET 4&5-CENT GAS TAX FUND 212 - SPECIAL REVENUE FUND 212-4020-322.09-20 ALA 4 & 5 CENT GAS TAX TOTAL SHARED REVENUES 474,846 474,846 489,795 489,795 488,448 488,448 491,407 491,407 500,000 500,000 GRAND TOTAL INTERGOVERNMENTAL 474,846 489,795 488,448 491,407 500,000 474,846 489,795 488,448 491,407 500,000 GRAND TOTAL 4&5-CENT GAS TAX FUND 212 COURT/CORRECTIONS FUND 215 - SPECIAL REVENUE FUND 215-3010-324.02-20 STATE/FED PASS THRU TOTAL PUBLIC ASSISTANCE - 84 84 - - - GRAND TOTAL INTERGOVERNMENTAL - 84 - - - 246,289 246,289 1,982 353,417 31,100 495 386,994 5,981 531,796 195,047 1,491 734,315 5,893 574,770 220,712 1,473 802,848 5,000 550,000 200,000 1,500 756,500 246,289 386,994 734,315 802,848 756,500 - - - - - 215-3010-345.03-10 CREDIT CARD USE FEES TOTAL SPECIAL CHARGES 2,564 2,564 2,797 2,797 5,432 5,432 5,920 5,920 5,000 5,000 GRAND TOTAL CHARGES FOR SERVICES 215-2065-331.05-13 215-3010-331.02-13 215-3010-331.04-13 215-3010-331.05-13 TOTAL FINES PRISONER TRANSPORT FEES COURT COSTS WARRANT RECALL FEES PRISONER TRANSPORT FEES GRAND TOTAL FINES & FORFEITURES 215-2060-342.08-10 USE OF JAIL PHONE SYSTEM TOTAL SPECIAL POLICE CHARGES 2,564 2,797 5,432 5,920 5,000 215-0000-384.03-70 REFUND OF PRIOR YR EXPS TOTAL MISCELLANEOUS REVENUE - - 45 45 445 445 - GRAND TOTAL OTHER REVENUE - - 45 445 - 248,853 389,875 739,792 809,213 761,500 GRAND TOTAL COURT/CORRECTIONS FUND 215 COURT TRAINING FUND 217 - SPECIAL REVENUE FUND 217-3010-331.03-13 TOTAL FINES TRAFFIC SAFETY EDUCATION 14,411 14,411 17,487 17,487 28,464 28,464 31,648 31,648 35,000 35,000 14,411 17,487 28,464 31,648 35,000 217-0000-384.03-70 REFUND OF PRIOR YEAR EXPS TOTAL MISCELLANEOUS REVENUE - - - 490 490 - GRAND TOTAL OTHER REVENUE - - - 490 - 14,411 17,487 28,464 32,138 35,000 GRAND TOTAL FINES & FORFEITURES GRAND TOTAL COURT TRAINING FUND 217 33 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2006 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2008 ORIGINAL BUDGET CRO PROGRAM FUND 218 - SPECIAL REVENUE FUND 218-3010-323.03-20 STATE DIRECT TOTAL CONTRACTS/AGREEMENTS - 24,750 24,750 29,273 29,273 38,479 38,479 36,000 36,000 GRAND TOTAL INTERGOVERNMENTAL - 24,750 29,273 38,479 36,000 218-3010-345.04-10 COURT DRUG TESTING FEES TOTAL SPECIAL CHARGES - 9,120 9,120 22,400 22,400 33,010 33,010 - GRAND TOTAL CHARGES FOR SERVICES - 9,120 22,400 33,010 - - 33,870 51,673 71,489 36,000 GRAND TOTAL CRO PROGRAM FUND 218 TRAFFIC SAFETY PROGRAM FUND 220 - SPECIAL REVENUE FUND 220-3010-331.03-13 TOTAL FINES TRAFFIC SAFETY EDUCATION GRAND TOTAL FINES & FORFEITURES 53,450 53,450 84,075 84,075 156,100 156,100 143,700 143,700 135,000 135,000 53,450 84,075 156,100 143,700 135,000 - - 650 650 - - 220-0000-384.03-70 REFUND OF PRIOR YR EXPS TOTAL MISCELLANEOUS REVENUE GRAND TOTAL OTHER REVENUE GRAND TOTAL TRAFFIC SAFETY PROGRAM FUND 220 - - 650 - - 53,450 84,075 156,750 143,700 135,000 CDBG FUND 230 - SPECIAL REVENUE FUND 230-0910-321.01-20 FEDERAL TOTAL INTERGOVERNMENTAL GRANTS 241,361 241,361 423,764 423,764 51,710 51,710 423,413 423,413 667,300 667,300 GRAND TOTAL INTERGOVERNMENTAL 241,361 423,764 51,710 423,413 667,300 GRAND TOTAL CDBG FUND 230 241,361 423,764 51,710 423,413 667,300 34 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET GENERAL GRANT FUND 235 - SPECIAL REVENUE FUND 235-2010-321.01-20 FEDERAL 235-2110-321.02-20 STATE/FED PASS THROUGH 235-5050-321.04-20 JEFFERSON COUNTY 235-6010-321.02-20 STATE/FED PASS THROUGH TOTAL INTERGOVERNMENTAL GRANTS 28,550 28,550 553,213 553,213 34,469 60,195 14,487 109,151 15,000 94,155 11,510 120,665 477,663 35,966 12,150 14,993 540,772 - - 4,299 4,299 - - 28,550 553,213 113,450 120,665 540,772 235-2035-342.03-10 INSTRUCTIVE COURSES TOTAL SPECIAL POLICE CHARGES - - - 3,550 3,550 - GRAND TOTAL CHARGES FOR SERVICES - - - 3,550 - 235-2010-371.01-20 CONTRIBUTIONS TOTAL CONTRIBUTIONS - - 3,284 3,284 2,453 2,453 - GRAND TOTAL CONTRIBUTIONS & REIMBURSEMENTS - - 3,284 2,453 - 235-2010-384.04-40 REBATES TOTAL MISCELLANEOUS REVENUE - - 1,040 1,040 - - GRAND TOTAL OTHER REVENUE - - 1,040 - - 28,550 553,213 117,774 126,668 540,772 369,388 369,388 426,105 426,105 450,000 450,000 235-1810-324.06-20 LOCAL TOTAL PUBLIC ASSISTANCE GRAND TOTAL INTERGOVERNMENTAL GRAND TOTAL GENERAL GRANT FUND 235 ALABAMA TRUST FUND 240 - SPECIAL REVENUE FUND 240-0000-322.21-70 ALA TRUST FUND INT DIST 240-0410-322.21-30 ALA TRUST FUND INT DIST TOTAL SHARED REVENUES 265,603 265,603 336,485 336,485 GRAND TOTAL INTERGOVERNMENTAL 265,603 336,485 369,388 426,105 450,000 GRAND TOTAL ALABAMA TRUST FUND 240 265,603 336,485 369,388 426,105 450,000 LOCAL LAW ENFORCE BLOCK GRANT FUND 250 - SPECIAL REVENUE FUND 250-2010-321.01-20 FEDERAL TOTAL INTERGOVERNMENTAL GRANTS 13,962 13,962 - - - - GRAND TOTAL INTERGOVERNMENTAL 13,962 - - - - 13,962 - - - - GRAND TOTAL LOCAL LAW ENFORCE BLOCK GRANT FUND 250 BULLET PROOF VEST PROGRAM FUND 253 - SPECIAL REVENUE FUND 253-2010-321.01-20 FEDERAL TOTAL INTERGOVERNMENTAL GRANTS 5,410 5,410 - - - - GRAND TOTAL INTERGOVERNMENTAL 5,410 - - - - GRAND TOTAL BULLET PROOF VEST PROGRAM FUND 253 5,410 - - - - 35 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET COPS GRANT FUND 254 - SPECIAL REVENUE FUND 254-2050-321.01-20 FEDERAL TOTAL INTERGOVERNMENTAL GRANTS 92,009 92,009 78,493 78,493 - - - GRAND TOTAL INTERGOVERNMENTAL 92,009 78,493 - - - 92,009 78,493 - - - GRAND TOTAL COPS GRANT FUND 254 SCHOOL SERVICES FUND 260 - SPECIAL REVENUE FUND 260-2050-321.03-20 STATE DIRECT TOTAL INTERGOVERNMENTAL GRANTS 8,033 8,033 - - - - GRAND TOTAL INTERGOVERNMENTAL 8,033 - - - - 260-2050-371.01-20 CONTRIBUTIONS TOTAL CONTRIBUTIONS 1,450 1,450 - - - - GRAND TOTAL CONTRIBUTIONS & REIMBURSEMENTS 1,450 - - - - GRAND TOTAL SCHOOL SERVICES FUND 260 9,483 - - - - 8,100 14,083 4,800 26,983 15,932 - 15,932 - DRUG ENFORCEMENT - ALABAMA FUND 261 - SPECIAL REVENUE FUND 261-2010-332.01-14 PROPERTY SOLD IN AUCTION 261-2010-332.02-14 COURT AWARDED DRUG FUNDS 261-2010-332.04-14 PROP SOLD ASSET IN INVENT TOTAL FORFEITURES 68,065 68,065 1,305 230,400 231,705 GRAND TOTAL FINES & FORFEITURES 68,065 231,705 26,983 15,932 - 1,262 1,262 3,887 3,887 13,571 13,571 2,176 2,176 - 1,262 3,887 13,571 2,176 - 69,327 235,592 40,554 18,108 - 261-2010-351.01-17 TOTAL INTEREST INTEREST ON BANK ACCOUNTS GRAND TOTAL INVESTMENT INCOME GRAND TOTAL DRUG ENFORCEMENT - ALABAMA FUND 261 DRUG ENFORCEMENT - FEDERAL FUND 262 - SPECIAL REVENUE FUND 262-2010-332.01-14 PROPERTY SOLD IN AUCTION 262-2010-332.02-14 COURT AWARDED DRUG FUNDS TOTAL FORFEITURES 519,390 519,390 163,384 163,384 7,550 995,073 1,002,623 1,881,695 1,881,695 - GRAND TOTAL FINES & FORFEITURES 519,390 163,384 1,002,623 1,881,695 - 4,113 4,113 4,547 4,547 41,865 41,865 96,185 96,185 - 4,113 4,547 41,865 96,185 - 262-0000-384.03-70 REFUND OF PRIOR YR EXPS TOTAL MISCELLANEOUS REVENUE - 255 255 - - - GRAND TOTAL OTHER REVENUE - 255 - - - 523,503 168,186 1,044,488 1,977,880 - 262-2010-351.01-17 TOTAL INTEREST INTEREST ON BANK ACCOUNTS GRAND TOTAL INVESTMENT INCOME GRAND TOTAL DRUG ENFORCEMENT - FEDERAL FUND 262 36 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET CAPITAL PROJECTS FUND 303 - CAPITAL PROJECTS FUND 303-0310-321.02-30 STATE/FED PASS THROUGH 303-0410-321.02-30 STATE/FED PASS THROUGH 303-0410-321.03-30 STATE DIRECT 303-0420-321.02-20 STATE/FED PASS THROUGH 303-0910-321.02-30 STATE/FED PASS THROUGH TOTAL INTERGOVERNMENTAL GRANTS 80,000 2,208 82,208 463 7,770 8,233 - - - - - 10,000 10,000 187,920 234,730 422,650 15,269 15,269 82,208 8,233 10,000 422,650 15,269 303-2210-332.03-14 BOND FORFEITURES 303-4020-332.03-14 BOND FORFEITURES TOTAL FORFEITURES 9,170 9,170 - 40,095 40,095 14,850 14,850 - GRAND TOTAL FINES & FORFEITURES 9,170 - 40,095 14,850 - - - - 110,000 110,000 110,000 110,000 - - 2,990 2,990 - - GRAND TOTAL RENTS & ROYALTIES - - 2,990 110,000 110,000 303-0000-351.01-70 TOTAL INTEREST - - - - - GRAND TOTAL INVESTMENT INCOME - - - - - 303-0410-371.01-30 CONTRIBUTIONS 303-2010-371.01-20 CONTRIBUTIONS 303-5040-371.01-20 CONTRIBUTIONS 303-5040-371.02-20 CONTRIBUTIONS SHELCO TOTAL CONTRIBUTIONS - - 60,000 200,000 260,000 1,000 69,335 70,335 - 303-0310-372.03-20 REIMB STATE DIRECT 303-0410-372.01-30 REIMBURSEMENTS 303-0410-372.03-30 REIMB STATE DIRECT 303-1910-372.01-30 REIMBURSEMENTS 303-2110-372.01-30 REIMBURSEMENTS 303-5040-372.01-20 REIMBURSEMENTS 303-5040-372.10-20 REIMBURSEMENTS SHELCO TOTAL REIMBURSEMENTS 226,394 35,617 114,711 15,000 391,722 3,623 3,623 3,353 1,732 5,085 1,145 53,487 54,632 - GRAND TOTAL CONTRIBUTIONS & REIMBURSEMENTS 391,722 3,623 265,085 124,967 - 25,000 25,000 - - - - - - - 2,722 153,104 155,826 - 303-0310-323.03-30 STATE DIRECT 303-0310-323.05-30 SHELBY COUNTY 303-5050-323.04-20 JEFFERSON COUNTY TOTAL CONTRACTS/AGREEMENTS GRAND TOTAL INTERGOVERNMENTAL 303-5040-363.04-16 NAMING RIGHTS TOTAL PARKS & RECREATION 303-5040-364.02-16 TOTAL OTHER CONCESSION SALES INTEREST ON BANK ACCOUNTS 303-0000-381.01-70 SURPLUS PROPERTY TOTAL SALE OF PROPERTY 303-0000-384.03-70 REFUND OF PRIOR YR EXPS 303-0000-384.05-70 GENERAL COURT AWARDED FND TOTAL MISCELLANEOUS REVENUE GRAND TOTAL OTHER REVENUE GRAND TOTAL CAPITAL PROJECTS FUND 303 25,000 508,100 37 of 192 11,856 # 318,170 # 155,826 828,293 # 125,269 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET CAPITAL PROJECTS 2003 BOND ISSUE FUND 307 - CAPITAL PROJECTS FUND 307-0000-351.01-70 TOTAL INTEREST INTEREST ON BANK ACCOUNTS GRAND TOTAL INVESTMENT INCOME GRAND TOTAL CAPITAL PROJECTS 2003 BOND ISSUE FUND 307 374,461 374,461 272,617 272,617 381,870 381,870 174,505 174,505 - 374,461 272,617 381,870 174,505 - 374,461 272,617 381,870 174,505 - ENGINEERING - TOPICS III FUND 372 - CAPITAL PROJECTS FUND 372-0410-321.02-30 STATE/FED PASS THROUGH TOTAL INTERGOVERNMENTAL GRANTS - - - - 234,307 234,307 GRAND TOTAL INTERGOVERNMENTAL - - - - 234,307 GRAND TOTAL ENGINEERING - TOPICS III FUND 372 - - - - 234,307 ENGINEERING - TOPICS VI FUND 375 - CAPITAL PROJECTS FUND 375-0410-321.02-30 STATE/FED PASS THROUGH TOTAL INTERGOVERNMENTAL GRANTS 50,170 50,170 - - 266,593 266,593 1,906,531 1,906,531 GRAND TOTAL INTERGOVERNMENTAL 50,170 - - 266,593 1,906,531 50,170 - - 266,593 1,906,531 GRAND TOTAL ENGINEERING - TOPICS VI FUND 375 ENGR/ALDOT REIMB GRANTS FUND 390 - CAPITAL PROJECTS FUND 390-0410-321.02-20 STATE/FED PASS THROUGH 390-0410-321.02-30 STATE/FED PASS THROUGH 390-0730-321.02-20 STATE/FED PASS THROUGH 390-0910-321.02-30 STATE/FED PASS THROUGH TOTAL INTERGOVERNMENTAL GRANTS 88,737 88,737 17,840 230,888 248,728 100,366 100,366 345,238 345,238 24,711,671 524,000 44,000 25,279,671 GRAND TOTAL INTERGOVERNMENTAL 88,737 248,728 100,366 345,238 25,279,671 GRAND TOTAL ENGR/ALDOT REIMB GRANTS FUND 390 88,737 248,728 100,366 345,238 25,279,671 38 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION FY 2004 ACTUAL FY 2005 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET SEWER ENTERPRISE FUND 501 - ENTERPRISE FUND 501-0510-348.01-10 INVERNESS 501-0520-348.02-10 RIVERCHASE TOTAL SANITARY SEWER SERVICE CHARGE 1,764,139 1,954,329 3,718,468 1,727,494 1,901,300 3,628,794 2,007,118 2,215,128 4,222,246 1,670,949 1,839,947 3,510,896 2,000,000 2,200,000 4,200,000 263,459 75,872 1,800 341,131 487,713 212,440 7,425 707,578 860,475 166,163 18,563 1,045,201 345,319 14,846 12,038 372,203 650,000 150,000 8,000 808,000 4,059,599 4,336,372 5,267,447 3,883,099 5,008,000 - - - 196,707 196,707 - GRAND TOTAL INVESTMENT INCOME - - - 196,707 - 501-0510-371.01-30 CONTRIBUTIONS TOTAL CONTRIBUTIONS - 5,200 5,200 - - - GRAND TOTAL CONTRIBUTIONS & REIMBURSEMENTS - 5,200 - - - 501-0000-384.03-70 REFUND OF PRIOR YR EXPS TOTAL MISCELLANEOUS REVENUE - 21 21 - - - GRAND TOTAL OTHER REVENUE - 21 - - - 4,059,599 4,341,593 5,267,447 4,079,806 5,008,000 501-0510-349.01-10 INVERNESS 501-0520-349.02-10 RIVERCHASE 501-0550-349.03-10 SOUTHLAKE TOTAL SANITARY SEWER TAP FEE GRAND TOTAL CHARGES FOR SERVICES 501-0000-351.01-70 TOTAL INTEREST INTEREST ON BANK ACCOUNTS GRAND TOTAL SEWER ENTERPRISE FUND 501 HEALTH INSURANCE FUND 515 - INTERNAL SERVICE FUND 515-8910-345.06-10 HLTH INS PREM CITY REGULAR 515-8910-345.07-10 HLTH INS PREM CITY LOSS RESERVE 515-8910-345.08-10 HLTH INS PREM PARTICIPANTS 515-8920-345.06-10 HLTH INS PREM CITY REGULAR 515-8920-345.08-10 HLTH INS PREM PARTICIPANTS 515-8930-345.06-10 HLTH INS PREM CITY REGULAR 515-8930-345.08-10 HLTH INS PREM PARTICIPANTS 515-8940-345.06-10 HLTH INS PREM CITY REGULAR 515-8940-345.08-10 HLTH INS PREM PARTICIPANTS TOTAL SPECIAL CHARGES - - - 3,890,162 543,317 919,436 21,697 45,727 89,919 62,599 14,094 9,051 5,596,002 3,943,646 986,270 962,364 80,601 30,000 112,857 54,000 24,175 6,000 6,199,913 GRAND TOTAL CHARGES FOR SERVICES - - - 5,596,002 6,199,913 515-8910-372.08-20 STOP LOSS REIMBURSEMENTS TOTAL REIMBURSEMENTS - - - 63,365 63,365 - GRAND TOTAL CONTRIBUTIONS & REIMBURSEMENTS - - - 63,365 - 515-8910-384.04-40 REBATES 515-8910-384.04-40 REBATES 515-8910-384.04-40 REBATES 515-8910-384.04-40 REBATES TOTAL MISCELLANEOUS REVENUE - - - 73,745 1,569 3,455 625 79,394 - GRAND TOTAL OTHER REVENUE - - - 79,394 - GRAND TOTAL HEALTH INSURANCE FUND 515 - - - 5,738,761 6,199,913 39 of 192 REVENUE BUDGET - ALL FUNDS EXCLUDES ALL OTHER FINANCING SOURCES (39) LONG-TERM DEBT, SPECIAL ITEMS, AND TRANSFERS IN FY 2008 ACCOUNT NUMBER FY 2004 ACTUAL ACCOUNT DESCRIPTION FY 2005 ACTUAL FY 2007 ACTUAL UNAUDITED FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET WORKERS COMP FUND 520 - INTERNAL SERVICE FUND 520-2610-345.09-10 WORKERS COMP PREM CITY REGULAR 520-2610-345.10-10 WORKERS COMP PREM CITY LOSS RESERVE TOTAL SPECIAL CHARGES - - - 570,936 98,866 669,802 701,479 112,231 813,710 GRAND TOTAL CHARGES FOR SERVICES - - - 669,802 813,710 520-2610-372.08-20 STOP LOSS REIMBURSEMENTS 520-2610-372.09-20 CLAIM REIMB/SUBROGATION TOTAL REIMBURSEMENTS - - - 21,417 762 22,179 - GRAND TOTAL CONTRIBUTIONS & REIMBURSEMENTS - - - 22,179 - GRAND TOTAL HEALTH INSURANCE FUND 515 - - - 691,981 813,710 90,297,644 96,982,754 104,769,281 114,733,623 141,193,469 GRAND TOTAL ALL FUNDS GRAND TOTAL ALL FUNDS TOTAL TAXES (30) TOTAL LICENSES & PERMITS (31) TOTAL INTERGOVERNMENTAL (32) TOTAL FINES & FORFEITURES (33) TOTAL CHARGES FOR SERVICES (34) TOTAL INVESTMENT INCOME (35) TOTAL RENTS & ROYALTIES (36) TOTAL CONTRIBUTIONS & REIMBURSEMENTS (37) TOTAL OTHER REVENUE(38) TOTAL ALL REVENUE 66,101,450 8,750,750 4,095,296 1,881,579 6,328,881 1,795,772 375,859 758,745 209,312 90,297,644 71,144,372 8,498,490 5,474,759 2,084,735 6,521,877 1,980,060 442,924 402,948 432,589 96,982,754 75,623,209 8,987,469 4,471,896 3,417,653 7,644,507 2,540,019 517,280 874,490 692,758 104,769,281 76,881,332 8,753,625 5,815,391 4,465,563 12,636,372 3,924,973 695,531 1,063,964 496,872 114,733,623 79,729,596 8,235,150 32,680,428 2,536,500 14,322,198 1,770,380 805,643 958,574 155,000 141,193,469 GENERAL FUND SPECIAL REVENUE FUND CAPITAL PROJECTS FUND PROPRIETARY FUND TOTAL ALL REVENUE 81,563,981 3,652,596 1,021,468 4,059,599 90,297,644 87,652,945 4,455,015 533,201 4,341,593 96,982,754 93,930,434 4,770,994 800,406 5,267,447 104,769,281 96,390,869 6,217,577 1,614,629 10,510,548 114,733,623 96,739,996 4,886,072 27,545,778 12,021,623 141,193,469 GRAND TOTAL ALL FUNDS REVENUE 90,297,644 96,982,754 104,769,281 114,733,623 141,193,469 40 of 192 REVENUE BREAKDOWN FY 2008 TYPE OF REVENUE (ACTIVITY BASIC) SUBTYPE OF REVENUE (SUB ACTIVITY) DETAIL (ELEMENT) PROGRAM INCOME (OBJECT) TAXES TAXES TAXES TAXES TAXES TAXES TAXES 30 30 30 30 30 30 30 PROPERTY TAX PROPERTY TAX PROPERTY TAX PROPERTY TAX PROPERTY TAX PROPERTY TAX PROPERTY TAX 1 1 1 1 1 1 1 CURR REAL/PER/UTIL JEFFCO CURR REAL/PER/UTIL SHELCO DEL REAL/PER/UTIL JEFFCO DEL REAL/PER/UTIL SHELCO MOT VEH/AUTO TAX JEFFCO MOT VEH/AUTO TAX SHELCO ADVANCEMENT ON PROP TAX 01 02 03 04 05 06 07 NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME 70 70 70 70 70 70 70 TAXES 30 IN LIEU OF PROPERTY TAX 2 IN LIEU OF PROPERTY TAX 01 NOT PROGRAM INCOME 70 TAXES 30 RENTAL TAX 3 RESIDENTIAL RENTAL TAX 01 NOT PROGRAM INCOME 70 TAXES TAXES 30 30 GROSS RECEIPTS TAX GROSS RECEIPTS TAX 4 4 PUBLIC UTILITY LICENSES INSURANCE CO LICENSES 01 02 NOT PROGRAM INCOME NOT PROGRAM INCOME 70 70 TAXES 30 FRANCHISE TAX 5 CABLE CO LICENSES 01 NOT PROGRAM INCOME 70 TAXES TAXES TAXES 30 30 30 SALES & USE TAX SALES & USE TAX SALES & USE TAX 6 6 6 GENERAL SALES & USE TAX CASUAL SALES TAX JEFFCO CASUAL SALES TAX SHELCO 01 02 03 NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME 70 70 70 TAXES TAXES TAXES TAXES TAXES 30 30 30 30 30 OTHER MUNICIPAL TAX OTHER MUNICIPAL TAX OTHER MUNICIPAL TAX OTHER MUNICIPAL TAX OTHER MUNICIPAL TAX 9 9 9 9 9 LEASE/RENTAL TAX LODGING TAX LIQUOR TAX WINE DISTRIBUTOR TAX TOBACCO TAX 01 02 03 04 05 NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME 70 70 70 70 70 LICENSES & PERMITS LICENSES & PERMITS 31 31 BUSINESS LICENSES BUSINESS LICENSES 1 1 GENERAL BUSINESS LICENSES UNAPPLIED REV FOR LICEN 01 02 LICENSES LICENSES 11 11 LICENSES & PERMITS LICENSES & PERMITS LICENSES & PERMITS LICENSES & PERMITS LICENSES & PERMITS 31 31 31 31 31 BUILDING PERMITS BUILDING PERMITS BUILDING PERMITS BUILDING PERMITS BUILDING PERMITS 2 2 2 2 2 RESID/COMM PERMIT FEE FRONT DOOR PERMIT FEE ZONING & ANNEX PERMIT FEE ROSS BRIDGE MULTI FAM FEE ROSS BRIDGE SING FAM FEE 01 02 03 04 05 PERMITS PERMITS PERMITS PERMITS PERMITS 12 12 12 12 12 LICENSES & PERMITS 31 ALARM SYSTEM PERMITS 3 AUTOMATIC ALARMS 01 PERMITS 12 LICENSES & PERMITS 31 SPECIAL FIRE PERMITS 4 BLASTING PERMITS 01 PERMITS 12 INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL 32 32 32 32 32 32 32 32 32 32 32 32 INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS 1 1 1 1 1 1 1 1 1 1 1 1 FEDERAL FEDERAL STATE/FED PASS THROUGH STATE/FED PASS THROUGH STATE DIRECT STATE DIRECT JEFFERSON COUNTY JEFFERSON COUNTY SHELBY COUNTY SHELBY COUNTY LOCAL LOCAL 01 01 02 02 03 03 04 04 05 05 06 06 OPERATING CAPITAL OPERATING CAPITAL OPERATING CAPITAL OPERATING CAPITAL OPERATING CAPITAL OPERATING CAPITAL 20 30 20 30 20 30 20 30 20 30 20 30 41 of 192 REVENUE BREAKDOWN FY 2008 TYPE OF REVENUE (ACTIVITY BASIC) SUBTYPE OF REVENUE (SUB ACTIVITY) DETAIL (ELEMENT) PROGRAM INCOME (OBJECT) INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL 32 32 32 32 32 32 32 32 32 32 32 32 32 32 32 32 32 32 32 32 32 32 32 32 32 32 SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 MOTOR VEH LIC ALA STATE MOTOR VEH LIC ALA JEFFCO MOTOR VEH LIC ALA SHELCO MOTOR VEH LIC JEFFCO MOTOR VEH LIC SHELCO GAS TAX - JEFFCO ROAD TAX - JEFFCO ALA 7 CENT GAS TAX ALA 4 & 5 CENT GAS TAX PETROL INSP FEE JEFFCO PETROL INSP FEE SHELCO ALA ALCOH BEV LIQ ST PROF ALA ALCOH BEV LIQ ST TAX ALCOHOL BEER TAX JEFFCO ALCOHOL BEER TAX SHELCO TOBACCO TAX JEFFCO BUS PRIV TAX DIST JEFFCO BUS PRIV TAX DIST SHELCO ALA FIN INST EXCISE TAX ALA OIL PROD PRIV TAX ALA TRUST FUND INT DIST ALA TRUST FUND INT DIST BHAM RACING COMM LOCAL SHERIFF DEPUTIES JEFFCO STATE AID JEFFCO DISTRIBUTION STATE AID SHELCO DISTRIBUTION 01 02 03 04 05 06 07 08 09 10 11 12 13 14 15 16 17 18 19 20 21 21 22 23 24 25 OPERATING OPERATING OPERATING OPERATING OPERATING NOT PROGRAM INCOME NOT PROGRAM INCOME OPERATING OPERATING OPERATING OPERATING NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME CAPITAL NOT PROGRAM INCOME NOT PROGRAM INCOME OPERATING OPERATING OPERATING 20 20 20 20 20 70 70 20 20 20 20 70 70 70 70 70 70 70 70 70 30 70 70 20 20 20 INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL 32 32 32 32 32 32 32 32 32 32 32 32 CONTRACTS/AGREEMENTS CONTRACTS/AGREEMENTS CONTRACTS/AGREEMENTS CONTRACTS/AGREEMENTS CONTRACTS/AGREEMENTS CONTRACTS/AGREEMENTS CONTRACTS/AGREEMENTS CONTRACTS/AGREEMENTS CONTRACTS/AGREEMENTS CONTRACTS/AGREEMENTS CONTRACTS/AGREEMENTS CONTRACTS/AGREEMENTS 3 3 3 3 3 3 3 3 3 3 3 3 FEDERAL FEDERAL STATE/FED PASS THROUGH STATE/FED PASS THROUGH STATE DIRECT STATE DIRECT JEFFERSON COUNTY JEFFERSON COUNTY SHELBY COUNTY SHELBY COUNTY LOCAL LOCAL 01 01 02 02 03 03 04 04 05 05 06 06 OPERATING CAPITAL OPERATING CAPITAL OPERATING CAPITAL OPERATING CAPITAL OPERATING CAPITAL OPERATING CAPITAL 20 30 20 30 20 30 20 30 20 30 20 30 INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL INTERGOVERNMENTAL 32 32 32 32 32 32 32 32 32 32 32 32 PUBLIC ASSISTANCE PUBLIC ASSISTANCE PUBLIC ASSISTANCE PUBLIC ASSISTANCE PUBLIC ASSISTANCE PUBLIC ASSISTANCE PUBLIC ASSISTANCE PUBLIC ASSISTANCE PUBLIC ASSISTANCE PUBLIC ASSISTANCE PUBLIC ASSISTANCE PUBLIC ASSISTANCE 4 4 4 4 4 4 4 4 4 4 4 4 FEDERAL FEDERAL STATE/FED PASS THROUGH STATE/FED PASS THROUGH STATE DIRECT STATE DIRECT JEFFERSON COUNTY JEFFERSON COUNTY SHELBY COUNTY SHELBY COUNTY LOCAL LOCAL 01 01 02 02 03 03 04 04 05 05 06 06 OPERATING CAPITAL OPERATING CAPITAL OPERATING CAPITAL OPERATING CAPITAL OPERATING CAPITAL OPERATING CAPITAL 20 30 20 30 20 30 20 30 20 30 20 30 42 of 192 REVENUE BREAKDOWN FY 2008 TYPE OF REVENUE (ACTIVITY BASIC) SUBTYPE OF REVENUE (SUB ACTIVITY) DETAIL (ELEMENT) PROGRAM INCOME (OBJECT) FINES & FORFEITURES FINES & FORFEITURES FINES & FORFEITURES FINES & FORFEITURES FINES & FORFEITURES 33 33 33 33 33 FINES FINES FINES FINES FINES 1 1 1 1 1 FINES COURT COSTS TRAFFIC SAFETY EDUCATION WARRANT RECALL FEES PRISONER TRANSPORT FEES 01 02 03 04 05 FINES FINES FINES FINES FINES 13 13 13 13 13 FINES & FORFEITURES FINES & FORFEITURES FINES & FORFEITURES FINES & FORFEITURES FINES & FORFEITURES 33 33 33 33 33 FORFEITURES FORFEITURES FORFEITURES FORFEITURES FORFEITURES 2 2 2 2 2 PROPERTY SOLD IN AUCTION COURT AWARDED DRUG FUNDS BOND FORFEITURES PROPERTY SOLD IN AUCTION ASSET INVENT PROPERTY SOLD IN AUCTION ASSET NOT INV 01 02 03 04 04 FORFEITURES FORFEITURES FORFEITURES FORFEITURES FORFEITURES 14 14 14 14 14 CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES 34 34 34 34 34 34 34 GENERAL GOVT CHARGES GENERAL GOVT CHARGES GENERAL GOVT CHARGES GENERAL GOVT CHARGES GENERAL GOVT CHARGES GENERAL GOVT CHARGES GENERAL GOVT CHARGES 1 1 1 1 1 1 1 ZONING & BZA FEES PRINTING/DUPLICATING CHGS COMMISSION ON PAY PHONES ASSESSMENT LETTERS ELECTION QUALIFYING FEE NOTARY FEE OTHER CHARGES 01 02 03 04 05 06 07 CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE 10 10 10 10 10 10 10 CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES 34 34 34 34 34 34 34 34 SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES 2 2 2 2 2 2 2 2 ACCIDENT REPORT CHARGES FALSE ALARM CHARGES INSTRUCTIVE COURSES INCIDENT/OFFENSE REPORTS FINGERPRINT CARDS SUBPOENAED DOCUMENTS EVIDENCE TECHNICIAN PHOTOS USE OF PHONE BY INMATES 01 02 03 04 05 06 07 08 CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE 10 10 10 10 10 10 10 10 CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES 34 34 34 34 34 SPECIAL FIRE CHARGES SPECIAL FIRE CHARGES SPECIAL FIRE CHARGES SPECIAL FIRE CHARGES SPECIAL FIRE CHARGES 3 3 3 3 3 FIRE DUES EMERGENCY TRANSPORT FEES MEDICAL ALERT FEES INSTRUCTIVE COURSES FIRE HYDRANT INSTALLATION FEE 01 02 03 04 05 CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE 10 10 10 10 10 CHARGES FOR SERVICES 34 PUBLIC SAFETY CHARGES 4 E911 PHONE CHARGES 01 CHARGES FOR SERVICE 10 CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES 34 34 34 34 34 34 34 34 34 34 34 SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES 5 5 5 5 5 5 5 5 5 5 5 BACK DOOR GARBAGE FEE CREDIT CARD USE FEES COURT DRUG TESTING FEES HOUSEKEEPING SERVICES PSC HEALTH INSURANCE PREMIUMS CITY REGULAR HEALTH INSURANCE PREMIUMS CITY LOSS RESERVES HEALTH INSURANCE PREMIUMS PARTICIPANTS WORKERS COMP PREMIUMS CITY REGULAR WORKERS COMP PREMIUMS CITY LOSS RESERVES STORMWATER FEE - JEFFCO STORMWATER FEE - JEFFCO - LAND REDEMPTIONS 02 03 04 05 06 07 08 09 10 11 12 CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE 10 10 10 10 10 10 10 10 10 10 10 CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES 34 34 34 34 LIBRARY CHARGES LIBRARY CHARGES LIBRARY CHARGES LIBRARY CHARGES 6 6 6 6 PRINT MANAGEMENT MEMBERSHIP FEES OTHER RECEIPTS/ACTIVITY COPIER 01 02 03 04 CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE 10 10 10 10 43 of 192 REVENUE BREAKDOWN FY 2008 TYPE OF REVENUE (ACTIVITY BASIC) SUBTYPE OF REVENUE (SUB ACTIVITY) DETAIL (ELEMENT) PROGRAM INCOME (OBJECT) CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES 34 34 34 34 34 34 34 34 34 34 34 34 34 PARKS & REC CHARGES PARKS & REC CHARGES PARKS & REC CHARGES PARKS & REC CHARGES PARKS & REC CHARGES PARKS & REC CHARGES PARKS & REC CHARGES PARKS & REC CHARGES PARKS & REC CHARGES PARKS & REC CHARGES PARKS & REC CHARGES PARKS & REC CHARGES PARKS & REC CHARGES 7 7 7 7 7 7 7 7 7 7 7 7 7 REC CTR MEMBERSHIP FEES REC CTR ACTIVITY ACCOUNT REC CTR ATHLETIC ACCOUNT REC CTR YOUTH BASKET ACCT REC CTR NEW HORIZONS ACCT PARK FACILITY USE FEES SWIM TEAM FEES SWIM LESSONS PERS FITNESS TRAINING FEES TENNIS FEES LIFEGUARDING CLASS FEES OTHER RECEIPTS/ACTIVITY SPORT SPECIFIC TRAINING 01 02 03 04 05 06 07 08 09 10 11 12 13 CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE 10 10 10 10 10 10 10 10 10 10 10 10 10 CHARGES FOR SERVICES CHARGES FOR SERVICES 34 34 SANITARY SEWER SVC CHARGE SANITARY SEWER SVC CHARGE 8 8 INVERNESS RIVERCHASE 01 02 CHARGES FOR SERVICE CHARGES FOR SERVICE 10 10 CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES CHARGES FOR SERVICES 34 34 34 34 34 SANITARY SEWER TAP FEE SANITARY SEWER TAP FEE SANITARY SEWER TAP FEE SANITARY SEWER TAP FEE SANITARY SEWER TAP FEE 9 9 9 9 9 INVERNESS RIVERCHASE SOUTHLAKE TAP FEES TRACE CROSSINGS TAP FEES LAKE CREST 01 02 03 04 05 CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE CHARGES FOR SERVICE 10 10 10 10 10 INVESTMENT INCOME INVESTMENT INCOME 35 35 INTEREST INTEREST 1 1 INTEREST ON BANK ACCOUNTS INTEREST ON BANK ACCOUNTS 01 01 NOT PROGRAM INCOME INVESTMENT INCOME 70 17 RENTS & ROYALTIES RENTS & ROYALTIES RENTS & ROYALTIES RENTS & ROYALTIES RENTS & ROYALTIES 36 36 36 36 36 FACILITY LEASE/RENTALS FACILITY LEASE/RENTALS FACILITY LEASE/RENTALS FACILITY LEASE/RENTALS FACILITY LEASE/RENTALS 1 1 1 1 1 MUN CTR RENTAL 2 BD OF ED TOWER RENTAL RV PARK RENTAL PUBLIC SAFETY CENTER SPACE PUBLIC SAFETY CENTER SPACE 01 02 03 04 05 RENTS RENTS RENTS NOT PROGRAM INCOME RENTS 15 15 15 70 15 RENTS & ROYALTIES RENTS & ROYALTIES 36 36 LIBRARY LIBRARY 2 2 OTHER RECEIPTS RENTAL OTHER RECEIPTS SALES 01 02 RENTS ROYALTIES 15 16 RENTS & ROYALTIES RENTS & ROYALTIES RENTS & ROYALTIES RENTS & ROYALTIES 36 36 36 36 PARKS & RECREATION PARKS & RECREATION PARKS & RECREATION PARKS & RECREATION 3 3 3 3 STADIUM LEASE TO BARONS POOL RENTAL OTHER RECEIPTS SALES NAMING RIGHTS 01 02 03 04 RENTS RENTS ROYALTIES ROYALTIES 15 15 16 16 RENTS & ROYALTIES RENTS & ROYALTIES RENTS & ROYALTIES RENTS & ROYALTIES RENTS & ROYALTIES RENTS & ROYALTIES RENTS & ROYALTIES 36 36 36 36 36 36 36 OTHER OTHER OTHER OTHER OTHER OTHER OTHER 4 4 4 4 4 4 4 MAYOR'S BREAKFAST CONCESSION SALES BOOTH RENTAL COMMISSIONS OTHER RENTS OTHER ROYALTIES COMISSARY SALES 01 02 03 04 05 05 06 ROYALTIES ROYALTIES RENTS ROYALTIES RENTS ROYALTIES ROYALTIES 16 16 15 16 15 16 16 RENTS & ROYALTIES 36 FIRE 5 FIRE HYDRANT RENTAL FEE 01 RENTS 15 RENTS & ROYALTIES 36 FLEET 6 SALE OF FUEL 01 ROYALTIES 16 CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS 37 37 37 CONTRIBUTIONS CONTRIBUTIONS CONTRIBUTIONS 1 1 1 CONTRIBUTIONS CONTRIBUTIONS CONTRIBUTIONS - SHELBY COUNTY 01 01 02 OPERATING CAPITAL OPERATING 20 30 20 44 of 192 REVENUE BREAKDOWN FY 2008 TYPE OF REVENUE (ACTIVITY BASIC) SUBTYPE OF REVENUE (SUB ACTIVITY) DETAIL (ELEMENT) PROGRAM INCOME (OBJECT) CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS 37 37 37 37 37 37 37 37 37 37 37 37 37 37 37 37 37 37 REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 REIMBURSEMENTS REIMBURSEMENTS SCHOOL BD REIMBURSEMENTS STATE DIRECT REIMBURSEMTS ST/FED PASS REIMBURSEMENTS FEDERAL REIMBURSEMENTS REIMBURSEMENTS SCHOOL BD REIMBURSEMENTS STATE DIRECT REIMBURSEMTS ST/FED PASS REIMBURSEMENTS FEDERAL REIMB FROM RESIDENTS PW REIMB MVR & CRIM HIST STOP LOSS REIMBURSEMENTS CLAIM REIMBURSEMENTS (SUBROGRATION) REIMBURSEMENTS SHELCO REIMBURSEMENTS JEFFCO REIMBURSEMENTS SHELCO REIMBURSEMENTS JEFFCO 01 02 03 04 05 01 02 03 04 05 06 07 08 09 10 11 10 11 OPERATING OPERATING OPERATING OPERATING OPERATING CAPITAL CAPITAL CAPITAL CAPITAL CAPITAL CHARGES FOR SERVICE OPERATING OPERATING OPERATING OPERATING OPERATING CAPITAL CAPITAL 20 20 20 20 20 30 30 30 30 30 10 20 20 20 20 20 30 30 CONTRIB & REIMBURSEMENTS CONTRIB & REIMBURSEMENTS 37 37 GRANTS GRANTS 3 3 GRANTS - FOUNDATIONS GRANTS - FOUNDATIONS 01 01 OPERATING CAPITAL 20 30 OTHER REVENUE OTHER REVENUE OTHER REVENUE OTHER REVENUE 38 38 38 38 SALE OF PROPERTY SALE OF PROPERTY SALE OF PROPERTY SALE OF PROPERTY 1 1 1 1 SURPLUS PROPERTY FIXED ASSET DISPOSITION ABANDONED PROPERTY FIXED ASSET DISPOSITION NOT INVENTORIED 01 02 03 04 NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME 70 70 70 70 OTHER REVENUE OTHER REVENUE OTHER REVENUE 38 38 38 LIBRARY LIBRARY LIBRARY 2 2 2 OTHER RECEIPTS/ACTIVITY OTHER RECEIPTS/ACTIVITY OTHER RECEIPTS/ACTIVITY 02 02 02 OPERATING CAPITAL NOT PROGRAM INCOME 20 30 70 OTHER REVENUE OTHER REVENUE OTHER REVENUE OTHER REVENUE OTHER REVENUE 38 38 38 38 38 INTEREST & PENALTY INTEREST & PENALTY INTEREST & PENALTY INTEREST & PENALTY INTEREST & PENALTY 3 3 3 3 3 INT PENALTY BUS LICEN/TAX INT PENALTY RETURNED CK LATE FEES INTEREST LAND REDEMPTION PROPERTY TAX JEFFCO INTEREST LAND REDEMPTION PROPERTY TAX SHELCO 01 02 03 04 05 NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME 70 70 70 70 70 OTHER REVENUE OTHER REVENUE OTHER REVENUE OTHER REVENUE OTHER REVENUE OTHER REVENUE OTHER REVENUE OTHER REVENUE 38 38 38 38 38 38 38 38 MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE 4 4 4 4 4 4 4 4 MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE BOND REDEMPTION REFUND OF PRIOR YR EXPS REBATES GENERAL COURT AWARDED FUNDS SPONSORSHIPS OVERPAYMENT REFUNDS 01 01 02 03 04 05 06 07 CHARGES FOR SERVICE NOT PROGRAM INCOME NOT PROGRAM INCOME NOT PROGRAM INCOME OTHER PROGRAM INCOME NOT PROGRAM INCOME OPERATING OTHER PROGRAM INCOME 10 70 70 70 40 70 20 40 OTHER FINANCING SOURCES OTHER FINANCING SOURCES OTHER FINANCING SOURCES OTHER FINANCING SOURCES 39 39 39 39 LONG TERM DEBT PROCEEDS LONG TERM DEBT PROCEEDS SPECIAL ITEMS OPERATING TRANSFERS IN 1 1 8 9 DEBT ISSUANCE PREMIUMS ON DEBT ISSUED MATERIAL CAPITAL ASSET SALES TRANSFERS 01 02 02 99 OTHER FINANCING SOURCE OTHER FINANCING SOURCE OTHER FINANCING SOURCE OTHER FINANCING SOURCE 99 99 99 99 45 of 192 (This page intentionally left blank) 46 of 192 BUDGET SUMMARY - SALARY AND BENEFITS, OPERATING, CAPITAL, AND OTHER EXPENDITURES GENERAL FUND ONLY FY 2008 ORIGINAL BUDGET GRAND TOTAL = $92,553,391 (EXCLUDES TRANSFERS OUT OF $25,627,952) WHICH TOTALS $118,181,343 Board of Education 8.10% Debt Service 9.88% Capital 1.59% Salary & Benefits 54.18% Operating 26.25% 47 of 192 BUDGET SUMMARY - SALARY AND BENEFITS, OPERATING, CAPITAL, AND OTHER EXPENDITURES ALL FUND TYPES FY 2008 ORIGINAL BUDGET GRAND TOTAL = $176,978,579 (EXCLUDES TRANSFERS OUT OF $25,627,952) WHICH TOTALS $202,606,531 Other Uses of Funds and/or Rebates 3.34% Depreciation Expense 0.96% Board of Education 4.24% Salary & Benefits 31.04% Debt Service 5.58% Operating 17.47% Capital 37.37% 48 of 192 BUDGET SUMMARY- SALARY AND BENEFITS, OPERATING, CAPITAL, AND OTHER EXPENDITURES BY DEPARTMENT ALL FUND TYPES FY 2008 ORIGINAL BUDGET DEPARTMENT Administrative Support (Includes 0110, 0125, and 0180) Salary & Benefits Operating Capital Total GENERAL FUND SPECIAL REVENUE FUND CAPITAL PROJECTS FUND PROPRIETARY FUND TOTAL ALL FUNDS GENERAL FUND SPECIAL REVENUE FUND CAPITAL PROJECTS FUND PROPRIETARY FUND TOTAL ALL FUNDS 396,616 430,446 827,062 - 28,600 28,600 - 396,616 430,446 28,600 855,662 47.95 % 52.05 0.00 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 46.35 % 50.31 3.34 100.00 City Council Support (Includes 0210, 0220, 0230, and 0240) Salary & Benefits Operating Capital Total 456,484 1,405,707 1,862,191 - - - 456,484 1,405,707 1,862,191 24.51 % 75.49 0.00 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 24.51 % 75.49 0.00 100.00 Operations Support (Includes 0310, 0315, 0320, and 0355) Salary & Benefits Operating Capital Total 801,451 1,512,466 50,000 2,363,917 - 195,885 198,911 394,796 - 801,451 1,708,351 248,911 2,758,713 33.90 % 63.98 2.12 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 29.05 % 61.93 9.02 100.00 Engineering & Horticulture (Includes 0410, 0420, 0430, and 0440) Salary & Benefits Operating Capital Total 520,537 1,011,153 91,876 1,623,566 335,000 333,568 668,568 131,857 39,317,528 39,449,385 - 520,537 1,478,010 39,742,972 41,741,519 32.06 % 62.28 5.66 100.00 0.00 % 50.11 49.89 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 1.25 % 3.54 95.21 100.00 - - - 111,956 1,936,366 12,936,661 14,984,983 111,956 1,936,366 12,936,661 14,984,983 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.75 % 12.92 86.33 100.00 0.75 % 12.92 86.33 100.00 Human Resources (Includes 0610) Salary & Benefits Operating Capital Total 1,052,047 286,704 7,658 1,346,409 - 43,527 43,527 - 1,052,047 330,231 7,658 1,389,936 78.14 % 21.29 0.57 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 75.69 % 23.76 0.55 100.00 Support Services (Includes 0710, 0730, 0740, 0750, 0760, and 0770) Salary & Benefits Operating Capital Total 821,349 1,413,235 26,502 2,261,086 - 640,058 253,408 893,466 - 821,349 2,053,293 279,910 3,154,552 36.33 % 62.50 1.17 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 26.04 % 65.09 8.87 100.00 Development (Includes 0910) Salary & Benefits Operating Capital Total 117,427 84,966 202,393 106,030 561,270 667,300 67,801 78,745 146,546 - 117,427 258,797 640,015 1,016,239 58.02 % 41.98 0.00 100.00 0.00 % 15.89 84.11 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 11.56 % 25.47 62.98 100.00 Finance (Includes 1110 and 1120) Salary & Benefits Operating Capital Total 696,257 246,521 4,945 947,723 - 184,919 184,919 - 696,257 431,440 4,945 1,132,642 73.47 % 26.01 0.52 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 61.47 % 38.09 0.44 100.00 Sewer (Includes 0510, 0520, and 0550) Salary & Benefits Operating Capital Total 49 of 192 BUDGET SUMMARY- SALARY AND BENEFITS, OPERATING, CAPITAL, AND OTHER EXPENDITURES BY DEPARTMENT ALL FUND TYPES FY 2008 ORIGINAL BUDGET DEPARTMENT Revenue (Includes 1210, 1220, and 1230) Salary & Benefits Operating Capital Total GENERAL FUND SPECIAL REVENUE FUND CAPITAL PROJECTS FUND PROPRIETARY FUND TOTAL ALL FUNDS GENERAL FUND SPECIAL REVENUE FUND CAPITAL PROJECTS FUND PROPRIETARY FUND TOTAL ALL FUNDS 890,977 577,692 1,468,669 - - - 890,977 577,692 1,468,669 60.67 % 39.33 0.00 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 60.67 % 39.33 0.00 100.00 Homeland Security (Includes 1810) Salary & Benefits Operating Capital Total 176,740 16,195 192,935 - - - 176,740 16,195 192,935 91.61 % 8.39 0.00 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 91.61 % 8.39 0.00 100.00 Dispatch (Includes 1910) Salary & Benefits Operating Capital Total 261,237 261,237 1,946,029 107,174 1,667,795 3,720,998 151,135 1,336,737 1,487,872 - 1,946,029 519,546 3,004,532 5,470,107 0.00 % 100.00 0.00 100.00 52.30 % 2.88 44.82 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 35.58 % 9.50 54.93 100.00 Police (Includes 2010, 2015, 2020, 2025, 2030, 2035, 2040, 2041, 2045, 2046, 2050, 2051, 2055, 2060, 2065, and 2075) Salary & Benefits Operating Capital Total 15,642,802 3,346,660 377,000 19,366,462 1,663,348 988,358 61,500 2,713,206 2,277,434 2,277,434 - 17,306,150 4,335,018 2,715,934 24,357,102 80.77 % 17.28 1.95 100.00 61.31 % 36.43 2.27 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 71.05 % 17.80 11.15 100.00 Fire (Includes 2110 and 2120) Salary & Benefits Operating Capital Total 14,995,070 1,492,755 137,500 16,625,325 36,883 300,000 336,883 2,939 2,332,903 2,335,842 - 14,995,070 1,532,577 2,770,403 19,298,050 90.19 % 8.98 0.83 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 77.70 % 7.94 14.36 100.00 1,930,780 333,687 20,000 2,284,467 - 227,500 227,500 - 1,930,780 333,687 247,500 2,511,967 84.52 % 14.61 0.88 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 76.86 % 13.28 9.85 100.00 165,279 186,586 20,000 371,865 1,049,410 317,290 1,366,700 - - 1,214,689 503,876 20,000 1,738,565 44.45 % 50.18 5.38 100.00 76.78 % 23.22 0.00 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 69.87 % 28.98 1.15 100.00 3,172,236 6,884,932 185,000 10,242,168 1,093,700 1,093,700 561,099 561,099 - 3,172,236 7,978,632 746,099 11,896,967 30.97 % 67.22 1.81 100.00 0.00 % 100.00 0.00 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 26.66 % 67.06 6.27 100.00 575,733 328,893 80,500 985,126 - - - 575,733 328,893 80,500 985,126 58.44 % 33.39 8.17 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 58.44 % 33.39 8.17 100.00 Inspection Services (Includes 2210, 2220, and 2230) Salary & Benefits Operating Capital Total Municipal Court & Animal Control (Includes 3010 and 3020) Salary & Benefits Operating Capital Total Public Works (Includes 4010, 4020, 4030, 4050 and 4080) Salary & Benefits Operating Capital Total Fleet (Includes 4560 and 4561) Salary & Benefits Operating Capital Total 50 of 192 BUDGET SUMMARY- SALARY AND BENEFITS, OPERATING, CAPITAL, AND OTHER EXPENDITURES BY DEPARTMENT ALL FUND TYPES FY 2008 ORIGINAL BUDGET DEPARTMENT GENERAL FUND CAPITAL PROJECTS FUND SPECIAL REVENUE FUND PROPRIETARY FUND TOTAL ALL FUNDS GENERAL FUND SPECIAL REVENUE FUND CAPITAL PROJECTS FUND PROPRIETARY FUND TOTAL ALL FUNDS Parks & Recreation (Includes 5010, 5020, 5050, and 5070) Salary & Benefits Operating Capital Total 1,687,203 1,321,390 63,681 3,072,274 21,355 2,930 24,285 26,134 26,134 - 1,708,558 1,324,320 89,815 3,122,693 54.92 % 43.01 2.07 100.00 87.93 % 12.07 0.00 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 54.71 % 42.41 2.88 100.00 Park Maintenance (Includes 5040) Salary & Benefits Operating Capital Total 2,396,490 1,180,051 404,500 3,981,041 - 259,552 606,732 866,284 - 2,396,490 1,439,603 1,011,232 4,847,325 60.20 % 29.64 10.16 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 49.44 % 29.70 20.86 100.00 Library (Includes 6010, 6020, 6030, 6040, 6050, 6060, and 6070) Salary & Benefits Operating Capital Total 3,648,470 1,867,335 5,515,805 19,990 500,000 519,990 1,053,209 1,053,209 - 3,648,470 1,887,325 1,553,209 7,089,004 66.15 % 33.85 0.00 100.00 0.00 % 3.84 96.16 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 51.47 % 26.62 21.91 100.00 Health & Welfare (Includes 7010) Salary & Benefits Operating Capital Total 63,255 63,255 - - - 63,255 63,255 0.00 % 100.00 0.00 100.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 100.00 0.00 100.00 Other Departments (Includes 7510 and 7520) Salary & Benefits Operating Capital Total 46,881 46,881 - - - 46,881 46,881 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 0.00 % 0.00 0.00 0.00 9,141,534 7,500,000 25,627,952 42,269,486 - 235,198 235,198 501,642 701,479 5,213,643 1,700,000 8,116,764 9,878,374 7,500,000 701,479 5,213,643 25,627,952 1,700,000 50,621,448 21.63 % 0.00 17.74 0.00 0.00 60.63 0.00 100.00 0.00 % 0.00 0.00 0.00 0.00 0.00 0.00 0.00 6.18 % 0.00 0.00 8.64 64.23 0.00 0.21 79.27 6.18 % 0.00 0.00 8.64 64.23 0.00 20.94 100.00 19.51 % 0.00 14.82 1.39 10.30 50.63 3.36 100.00 50,143,948 24,298,747 1,469,162 9,141,534 7,500,000 25,627,952 $ 118,181,343 4,680,142 3,007,355 3,424,133 11,111,630 1,677,673 48,298,940 235,198 50,211,811 111,956 1,936,366 12,936,661 501,642 5,915,122 1,700,000 23,101,747 54,936,046 30,920,141 66,128,896 9,878,374 5,915,122 7,500,000 25,627,952 1,700,000 $ 202,606,531 42.43 % 20.56 1.24 7.74 0.00 6.35 21.69 0.00 100.00 % 42.12 % 27.06 30.82 0.00 0.00 0.00 0.00 0.00 100.00 % 0.00 % 3.34 96.19 0.47 0.00 0.00 0.00 0.00 100.00 % 0.48 % 8.38 56.00 2.17 25.60 0.00 0.00 7.36 100.00 % 27.11 % 15.26 32.64 4.88 2.92 3.70 12.65 0.84 100.00 % Other Expenditures (Includes 8030, 8410, 8585, 0510/8001, and 0510/99) Debt Service (8030 and 0510/99) Rebates (8410) Board of Education (8585) Workers Comp (2610) Health Insurance ISF (89) Operating Transfers Out (9090) Depreciation Expense (0510/8001) Total Grand Total (Includes All Departments, Divisions, and Other Expenditures) Salary & Benefits Operating Capital Debt Service Other Uses of Funds and/or Rebates Board of Education Transfers Out Depreciation Expense Total $ $ $ 51 of 192 (This page intentionally left blank) 52 of 192 SALARY AND BENEFITS SUMMARY ALL FUNDS FY 2008 ORIGINAL BUDGET GRAND TOTAL = $54,936,046 MEDICARE-SOCIAL SECURITY $3,075,945.00 5.60% OTHER BENEFITS $60,200 0.11% RETIREMENT (9.30%) $3,681,468 6.70% WORKERS COMP $813,710 1.48% OTHER HEALTH INSURANCE RETIREE AND COBRA $217,633 0.40% LIFE & DISABILITY INSURANCE $265,086 0.48% HEALTH & DENTAL INSURANCE $4,965,814 9.04% SALARIES $41,850,154 76.18% CAR ALLOWANCE $6,036 0.01% 53 of 192 OVERTIME AND GENERAL TEMP FUND BUDGET FY 2008 DEPARTMENT DISPATCH Dispatch (201) TOTAL DIVISION OT 1910 $ FY 2007 POLICE Administration EOD Criminal Investigations Special Investigations Crime Lab Patrol K-9 Traffic ICE School Services Juv/Dom Violence Training Custody of Prisoners Warrants Records/Research TOTAL 2010 2015 2020 2025 2030 2040 2041 2045 2046 2050 2051 2055 2060 2065 2075 $ FY 2007 COURT Municipal Court (215) Municipal Court (218) Animal Control TOTAL 3010 3010 3020 $ FY 2007 ACCT # 105,000 105,000 113,269 1101 17,000 10,000 177,000 64,000 39,000 434,000 12,500 155,500 50,000 5,000 22,500 24,500 123,843 25,000 24,000 1,183,843 953,163 1101 1101 1101 1101 1101 1101 1101 1101 1101 1101 1101 1101 1101 1101 1101 85,000 8,400 25,000 118,400 101,455 DEPARTMENT FLEET Administration TOTAL DIVISION OT 4560 23,000 23,000 17,166 1101 $ 5,000 5,000 3,089 1101 $ 14,600 160,900 49,700 225,200 150,114 1101 1101 1101 142,000 142,000 142,185 1101 $ 1,500 1,500 - 1101 $ 2,500 2,500 2,111 1101 $ 75,000 8,000 3,000 3,500 7,000 3,000 500 100,000 69,488 1101 1101 1101 1101 1101 1101 1101 1,500 4,000 2,000 7,500 3,465 1101 25,000 25,000 1006 FY 2007 HUMAN RESOURCES Administration TOTAL 4010 4020 4030 $ FY 2007 PARK MAINTENANCE Park Maintenance TOTAL 5040 FY 2007 COUNCIL SUPPORT City Clerk TOTAL 1101 1101 1101 0610 FY 2007 PUBLIC WORKS Administration Streets, Sewer, Drainage Building Services TOTAL 0220 FY 2007 RISK MANAGEMENT Administration (120) TOTAL 0315 FY 2007 PARKS & RECREATION Rec Center Rec Center Rec Center Rec Center Park Rangers (fy05 in 20) TOTAL 5020 5020 5020 5050 5070 $ FY 2007 FIRE Fire Administration Fire Operations TOTAL 2110 2120 $ FY 2007 OPERATIONS Operations Support TOTAL 0310 $ FY 2007 FINANCE Accounting & Disbursements TOTAL 1120 $ FY 2007 SUPPORT SERVICES Desktop Services Application Services/GIS 0760 0770 $ FY 2007 8,000 1,500 5,000 500 5,000 20,000 12,030 1101 1102 1106 1101 1101 16,000 185,000 201,000 338,410 1101 1101 1,500 1,500 402 1101 2,000 2,000 422 2,800 200 3,000 118 LIBRARY Administration Fiction Youth Reference Circulation Arts Technology TOTAL 6010 6020 6030 6040 6050 6060 6070 $ FY 2007 BLDG INSPECTIONS Administration Operations Property Maintenance TOTAL 2210 2220 2230 $ FY 2007 LIBRARY General Temporary Funds TOTAL 6010 $ 1101 GRAND TOTAL GEN TEMP FUNDS FY 2008 GRAND TOTAL OT FY 2008 FY 2007 FY 2008 GRAND TOTAL BOTH 54 of 192 ACCT # 25,000 $ 2,141,443 1,906,888 2,166,443 1101 APPROVED BUDGETED POSITIONS FY 2008 ORIGINAL BUDGET Total Full-time Mayor's Office Internal Audit City Council Operations Risk Management Events Management Engineering Horticulture Sewer Human Resources Support Services Development Finance Revenue Homeland Security & Immigration Public Safety Communications (.6 - 1 - ends 9/30/07) Police (TP are school crossing guards - .28) Fire (PT are extra-board fill ins - .58) Inspection Services Municipal Court Animal Control Public Works (4010 and 4020) Building Services Fleet Parks & Recreation (5020, 5070) (TP are 8 summer camp - .17) (PT .25 (1), .5 (19), .75 (3) Park Maintenance (PT (.75) & 5 TP (.5) are groundskeepers) Senior Center - 5050 (.75 split into .3 and .45) 2FT Library (TP are .12 (4)) and (PT are .5 (43), .1 (3), and .19 (1), .25 (8) 3 1 12 4 3 1 3 2 1 5 8 1 8 10 1 28 188 165 21 14 2 33 14 7 52 42 4 103 2 1 5 4 3 1 3 2 1 5 8 1 8 10 1 28 188 153 21 14 2 33 14 7 21 36 2 44 23 1 2 55 TOTAL FOR FY 2008 - ties to HTE 736 618 93 Eligible for Health/Dental Insurance 619 618 POSITIONS @ 09/30/07 (end of previous fiscal year 07) 749 618 Development Analyst deleted (1 ft) Crossing guards deleted (12 tp) Increased extra board hours from .39 to .58 each (12) Library part-time to full-time custodial services specialist Warrant sergeant to lieutenant Increase 2 positions to allow rec center to open 30 minutes earlier (sally hand and kenneth brooks) Craftsman in training upgrade -1 -12 0 0 0 0 0 -1 1 -1 POSITIONS @ 10/01/07 (beginning of new fiscal year 08) 736 618 93 55 of 192 Part-time Elected Officials Temp 1 7 12 8 5 4 8 17 1 94 8 29 -12 8 17 APPROVED BUDGETED POSITIONS FY 2007 as of 9/30/07 Total Full-time Mayor's Office Internal Audit City Council Operations Risk Management Events Management Engineering Horticulture Sewer Human Resources Support Services Development Finance Revenue Homeland Security & Immigration Public Safety Communications (.6 - 1 - ends 9/30/07) Police (TP are school crossing guards - .28) Fire (PT are extra-board fill ins - .39) Inspection Services Municipal Court Animal Control Public Works (4010 and 4020) Building Services Fleet Parks & Recreation (5020, 5070) (TP are 8 summer camp - .17) (PT .25 (1), .5 (19), .75 (3) Park Maintenance (PT (.75) & 5 TP (.5) are groundskeepers) Senior Center - 5050 (.75 split into .3 and .45) 2FT Library (TP are .12 (4)) and (PT are .5 (44), .1 (3), and .19 (1), .25 (8) 3 1 12 4 3 1 3 2 1 5 8 2 8 10 1 28 200 165 21 14 2 33 14 7 52 42 4 103 2 1 5 4 3 1 3 2 1 5 8 2 8 10 1 28 188 153 21 14 2 33 14 7 21 36 2 43 23 1 2 56 TOTAL FOR FY 2007 749 618 94 Eligible for Health/Dental Insurance 619 618 POSITIONS @ 10/01/06 (beginning of new fiscal year) 745 616 90 3 0 0 1 0 0 0 1 -1 -1 1 0 1 4 749 618 Events mgmt separate in FY 2007 No more 5010 divisions Craftsman in training from 4020 to 4030 - 2 Changed Computer Analyst to Police Officer (Grade 16 to Grade 14) Library FT to 4 PT (.5 - 19 hrs) (Traci Wood) (10/8/06) fy 2007 Rec Asst II FT (reduce from 13 to 9 weeks 8 rec asst I tp and rec asst II tp to this position ft) Res # 3809-07 Create Emergency Services Officer and delete Fire captain Rec Asst II FT Res # 3809-07 Craftsman in training to utility workers (2) to grade 11 Craftsman in training from 8 to grade 9 same title Warrants specialist temporary end 9/30/07 - changed to excluded from budget SRO (freshman school) Dispatch temporary excluded from budget TOTAL FOR FY 2007 56 of 192 Part-time Elected Officials Temp 1 7 0 12 12 8 5 4 8 29 1 8 31 -1 0 1 -1 94 8 29 PAYROLL CHANGES FY 2008 ORIGINAL BUDGET DESCRIPTION 2% cola Adoption of FY 2007 "budgeted" health insurance rates State retirement increase from 8.57% TO 8.98% Drop retirement program .32% (TO 9.30%) Fire extra boards increase to 30 hours per week Workers comp adjustment Custodial services specialist pt to ft Rec ctr opening 30 minutes earlier Craftsman in training upgrade - clarke Sergeant to Lieutenant upgrade Delete development analyst position Director of development partial year funding Deleted crossing guards - 12 positions TOTAL SALARIES "10" "11" "12" 740,411 108,284.80 15,364 2,841.78 3,761.14 (916) (53,102) (77,204) (75,247) 664,193 HEALTH INSURANCE "2101" DENTAL INSURANCE "2102" LIFE DISABILITY INSURANCE "2103" MEDICARE SOCIAL SECURITY "2201" 9.30% RETIREMENT "2301" WORKERS COMP "2620" TOTAL PAY TOTAL BENEFITS 388,840 (8,569) - 40,896 (604) - 5,020 417 (383) (543) - 57,036 8,283 289 (4,062) (5,755) 69,641 150,693 113,520 9,539 322 (4,551) - 15,864 3,103 63,244 130 (154) (1,343) 740,411 108,285 15,364 2,842 3,761 (916) (53,102) (77,204) (75,247) 147,561 429,736 150,693 113,520 20,925 63,244 1,157 (18,323) (543) (7,098) 380,271 40,292 4,511 55,790 339,165 80,844 664,193 900,873 57 of 192 TOTAL SALARIES & BENEFITS 887,973 429,736 150,693 113,520 129,210 63,244 15,364 2,842 4,918 (916) (71,425) (77,746) (82,346) 1,565,066 FY 2008 PAYROLL PROJECTION BREAKDOWN BY SALARY AND BENEFITS COMPARISON TO FY 2007 UNAUDITED ACTUAL DESCRIPTION MERCER STUDY OVERTIME PAY FOR BENEFITS EMPLOYEE INCENTIVE PAY MILITARY LEAVE (2010 and 2120) HOLIDAY PAY FIRE (2120) 12 holidays @ $28,000 TEMPORARIES/LIBRARY OTHER BENEFITS SALARIES "10" "11" "12" EMPLOYEE INCENTIVE PAY "1301" CAR ALLOWANCE "2001" HEALTH INSURANCE "2101" LIFE DISABILITY INSURANCE "2103" DENTAL INSURANCE "2102" MEDICARE SOCIAL SECURITY "2201" 9.30% RETIREMENT "2301" WORKERS COMP "2620" OTHER HEALTH INSURANCE RETIREE AND COBRA "2105" "2106" "2107" OTHER BENEFITS "2401" "2406" "2501" TOTAL PAY TOTAL BENEFITS TOTAL SALARIES & BENEFITS 2,157,600 765,000 35,000 336,000 25,000 - 500,000 20,000 - - - - 2,378.00 - 162,761 57,304 2,672 25,704 1,530 - 193,126 30,173.00 - - - 60,200 500,000 2,157,600 765,000 20,000 35,000 336,000 25,000 - 355,887 57,304 2,672 58,255 1,530 60,200 500,000 2,513,487 822,304 20,000 37,672 394,255 26,530 60,200 3,318,600.00 520,000.00 - - - 2,378.00 249,971.00 223,299.00 - - 60,200.00 3,838,600.00 535,848.00 4,374,448.00 38,011,549.53 38,011,554.00 - 6,035.71 6,036.00 4,596,472.06 4,596,471.00 369,341.42 369,343.00 262,704.58 262,708.00 2,825,972.50 2,825,974.00 3,458,166.69 3,458,169.00 813,710.82 813,710.00 217,624.41 217,633.00 - 38,017,585.24 38,017,590.00 12,543,992.48 12,544,008.00 50,561,577.72 50,561,598.00 PROJECTION WITH ABOVE ITEMS 41,330,154 520,000 6,036 4,596,471 369,343 265,086 3,075,945 3,681,468 813,710 217,633 60,200 41,856,190 13,079,856 54,936,046 FY 2007 UNAUDITED ACTUAL 38,672,248 - 6,035 4,110,715 322,764 246,833 2,851,490 3,190,083 720,337 130,400 42,875 38,678,283 11,615,497 50,293,780 2,657,906 520,000 1 485,756 46,579 18,253 224,455 491,385 93,373 87,233 17,325 3,177,907 1,464,359 4,642,266 12.96% 66.90% 40.41% TOTAL OTHER ITEMS PAYROLL SUMMARY ONLY (FROM HTE) AFTER ROLL TO GMBA DIFFERENCE % INCREASE OVER PREVIOUS FISCAL YEAR ACTUAL 6.87% 100.00% 0.02% 11.82% 14.43% 7.40% 58 of 192 7.87% 15.40% 8.22% 12.61% 9.23% HEALTH AND DENTAL INSURANCE RATES FY 2008 - 26 PAYCHECKS REGULAR AND LOSS RESERVE - EMPLOYEE ACTIVES ONLY CURRENT RATES - PER PAY PERIOD SINGLE MEDICAL CITY EMPLOYEE TOTAL 135.24 135.24 SINGLE DENTAL SINGLE TOTAL 14.21 14.21 149.45 149.45 FAMILY MEDICAL FAMILY DENTAL 368.22 85.25 453.47 26.22 7.75 33.97 FAMILY TOTAL 394.44 93.00 487.44 CURRENT RATES - ANNUALLY SINGLE MEDICAL CITY TOTAL EMPLOYEE TOTAL TOTAL 3,516.24 3,516.24 SINGLE DENTAL SINGLE TOTAL 369.46 369.46 3,885.70 3,885.70 FAMILY MEDICAL FAMILY DENTAL 9,573.72 2,216.50 11,790.22 681.72 201.50 883.22 FAMILY TOTAL 10,255.44 2,418.00 12,673.44 CURRENT # OF PARTICIPANTS MEDICAL SINGLE FAMILY TOTAL DENTAL 225 394 619 TOTAL 177 442 619 CURRENT ANNUAL COST BY CATEGORY (SINGLE/FAMILY AND CITY/EMPLOYEE) SINGLE MEDICAL CITY TOTAL EMPLOYEE TOTAL TOTAL 791,154 791,154 SINGLE DENTAL 65,394 65,394 SINGLE TOTAL 856,548 856,548 FAMILY MEDICAL 3,772,046 873,301 4,645,347 FAMILY DENTAL 301,320 89,063 390,383 CURRENT ANNUAL COST BY CATEGORY (MEDICAL/DENTAL AND CITY/EMPLOYEE) ESTIMATE ESTIMATE ESTIMATE BUDGET BUDGET MEDICAL DENTAL TOTAL MEDICAL DENTAL CITY TOTAL EMPLOYEE TOTAL TOTAL 4,563,200 873,301 5,436,501 366,715 89,063 455,778 4,929,914 962,364 5,892,278 59 of 192 4,589,017 369,791 FAMILY TOTAL 4,073,366 962,364 5,035,730 BUDGET TOTAL 4,958,808 HEALTH AND DENTAL INSURANCE RATES FY 2008 - 26 PAYCHECKS REGULAR RATE - EMPLOYEE ACTIVES ONLY CURRENT RATES - PER PAY PERIOD SINGLE MEDICAL CITY EMPLOYEE TOTAL 122.77 122.77 SINGLE DENTAL SINGLE TOTAL 12.93 12.93 135.70 135.70 FAMILY MEDICAL FAMILY DENTAL 283.06 85.25 368.31 23.17 7.75 30.92 FAMILY TOTAL 306.23 93.00 399.23 CURRENT RATES - ANNUALLY SINGLE MEDICAL CITY TOTAL EMPLOYEE TOTAL TOTAL 3,192.02 3,192.02 SINGLE DENTAL SINGLE TOTAL 336.18 336.18 3,528.20 3,528.20 FAMILY MEDICAL FAMILY DENTAL 7,359.56 2,216.50 9,576.06 602.42 201.50 803.92 FAMILY TOTAL 7,961.98 2,418.00 10,379.98 CURRENT # OF PARTICIPANTS MEDICAL SINGLE FAMILY TOTAL DENTAL 225 394 619 TOTAL 177 442 619 CURRENT ANNUAL COST BY CATEGORY (SINGLE/FAMILY AND CITY/EMPLOYEE) SINGLE MEDICAL CITY TOTAL EMPLOYEE TOTAL TOTAL 718,205 718,205 SINGLE DENTAL 59,504 59,504 SINGLE TOTAL 777,708 777,708 FAMILY MEDICAL 2,899,667 873,301 3,772,968 FAMILY DENTAL 266,270 89,063 355,333 CURRENT ANNUAL COST BY CATEGORY (MEDICAL/DENTAL AND CITY/EMPLOYEE) ESTIMATE ESTIMATE ESTIMATE BUDGET BUDGET MEDICAL DENTAL TOTAL MEDICAL DENTAL CITY TOTAL EMPLOYEE TOTAL TOTAL 3,617,871 873,301 4,491,172 325,774 89,063 414,837 3,943,645 962,364 4,906,009 60 of 192 4,589,017 369,791 FAMILY TOTAL 3,165,936 962,364 4,128,300 BUDGET TOTAL 4,958,808 HEALTH AND DENTAL INSURANCE RATES FY 2008 - 26 PAYCHECKS LOSS RESERVE - EMPLOYEE ACTIVES ONLY CURRENT RATES - PER PAY PERIOD SINGLE MEDICAL CITY EMPLOYEE TOTAL 12.47 12.47 SINGLE DENTAL SINGLE TOTAL 1.28 1.28 13.75 13.75 FAMILY MEDICAL FAMILY DENTAL 85.16 85.16 3.05 3.05 FAMILY TOTAL 88.21 88.21 CURRENT RATES - ANNUALLY SINGLE MEDICAL CITY TOTAL EMPLOYEE TOTAL TOTAL 324.22 324.22 SINGLE DENTAL SINGLE TOTAL 33.28 33.28 357.50 357.50 FAMILY MEDICAL FAMILY DENTAL 2,214.16 2,214.16 79.30 79.30 FAMILY TOTAL 2,293.46 2,293.46 CURRENT # OF PARTICIPANTS MEDICAL SINGLE FAMILY TOTAL DENTAL 225 394 619 TOTAL 177 442 619 CURRENT ANNUAL COST BY CATEGORY (SINGLE/FAMILY AND CITY/EMPLOYEE) SINGLE MEDICAL CITY TOTAL EMPLOYEE TOTAL TOTAL 72,950 72,950 SINGLE DENTAL 5,891 5,891 SINGLE TOTAL 78,840 78,840 FAMILY MEDICAL 872,379 872,379 FAMILY DENTAL 35,051 35,051 CURRENT ANNUAL COST BY CATEGORY (MEDICAL/DENTAL AND CITY/EMPLOYEE) ESTIMATE ESTIMATE ESTIMATE BUDGET BUDGET MEDICAL DENTAL TOTAL MEDICAL DENTAL CITY TOTAL EMPLOYEE TOTAL TOTAL 945,329 945,329 40,941 40,941 986,270 986,270 61 of 192 4,589,017 369,791 FAMILY TOTAL 907,430 907,430 BUDGET TOTAL 4,958,808 HEALTH AND DENTAL INSURANCE RATES FY 2008 - 26 PAYCHECKS - BC/BS RATES EXPERIENCE PERIOD 6-01-06 TO 05-31-07 - EMPLOYEE DIVISION WITH OCL CURRENT RATES - PER PAY PERIOD SINGLE MEDICAL CITY EMPLOYEE TOTAL 164.28 164.28 SINGLE DENTAL SINGLE TOTAL 12.46 12.46 176.74 176.74 FAMILY MEDICAL FAMILY DENTAL 408.05 85.25 493.30 21.79 7.75 29.54 FAMILY TOTAL 429.84 93.00 522.84 CURRENT RATES - ANNUALLY SINGLE MEDICAL CITY TOTAL EMPLOYEE TOTAL TOTAL 4,271.28 4,271.28 SINGLE DENTAL SINGLE TOTAL 324.00 324.00 4,595.28 4,595.28 FAMILY MEDICAL FAMILY DENTAL 10,609.34 2,216.50 12,825.84 566.50 201.50 768.00 FAMILY TOTAL 11,175.84 2,418.00 13,593.84 CURRENT # OF PARTICIPANTS MEDICAL SINGLE FAMILY TOTAL DENTAL 225 394 619 TOTAL 177 442 619 CURRENT ANNUAL COST BY CATEGORY (SINGLE/FAMILY AND CITY/EMPLOYEE) SINGLE MEDICAL CITY TOTAL EMPLOYEE TOTAL TOTAL 961,038 961,038 SINGLE DENTAL 57,348 57,348 SINGLE TOTAL 1,018,386 1,018,386 FAMILY MEDICAL 4,180,080 873,301 5,053,381 FAMILY DENTAL 250,393 89,063 339,456 CURRENT ANNUAL COST BY CATEGORY (MEDICAL/DENTAL AND CITY/EMPLOYEE) ESTIMATE ESTIMATE ESTIMATE BUDGET BUDGET MEDICAL DENTAL TOTAL MEDICAL DENTAL CITY TOTAL EMPLOYEE TOTAL TOTAL 5,141,118 873,301 6,014,419 307,741 89,063 396,804 5,448,859 962,364 6,411,223 62 of 192 4,589,017 369,791 FAMILY TOTAL 4,430,473 962,364 5,392,837 BUDGET TOTAL 4,958,808 HEALTH AND DENTAL INSURANCE RATES FY 2008 - 12 MONTHS REGULAR AND LOSS RESERVE - EMPLOYEE ACTIVES ONLY CURRENT RATES - PER MONTH SINGLE MEDICAL CITY EMPLOYEE TOTAL 293.02 293.02 SINGLE DENTAL SINGLE TOTAL 30.79 30.79 323.81 323.81 FAMILY MEDICAL FAMILY DENTAL 797.81 184.71 982.52 56.81 16.79 73.60 FAMILY TOTAL 854.62 201.50 1,056.12 CURRENT RATES - ANNUALLY SINGLE MEDICAL CITY TOTAL EMPLOYEE TOTAL TOTAL 3,516.24 3,516.24 SINGLE DENTAL SINGLE TOTAL 369.46 369.46 8,419.02 8,419.02 FAMILY MEDICAL FAMILY DENTAL 9,573.72 2,216.50 11,790.22 681.72 201.50 883.22 FAMILY TOTAL 10,255.44 2,418.00 12,673.44 CURRENT # OF PARTICIPANTS MEDICAL SINGLE FAMILY TOTAL DENTAL 225 394 619 TOTAL 177 442 619 CURRENT ANNUAL COST BY CATEGORY (SINGLE/FAMILY AND CITY/EMPLOYEE) SINGLE MEDICAL CITY TOTAL EMPLOYEE TOTAL TOTAL 791,154 791,154 SINGLE DENTAL 65,394 65,394 SINGLE TOTAL 856,548 856,548 FAMILY MEDICAL 3,772,046 873,301 4,645,347 FAMILY DENTAL 301,320 89,063 390,383 CURRENT ANNUAL COST BY CATEGORY (MEDICAL/DENTAL AND CITY/EMPLOYEE) ESTIMATE ESTIMATE ESTIMATE BUDGET BUDGET MEDICAL DENTAL TOTAL MEDICAL DENTAL CITY TOTAL EMPLOYEE TOTAL TOTAL 4,563,200 873,301 5,436,501 366,715 89,063 455,778 4,929,914 962,364 5,892,278 63 of 192 4,589,017 369,791 FAMILY TOTAL 4,073,366 962,364 5,035,730 BUDGET TOTAL 4,958,808 HEALTH INSURANCE - EMPLOYEE AND RETIREE DIVISIONS COMBINED BREAKDOWN Estimate based on Cost per claim with and without OCL BCBS PROPOSAL - EXPERIENCE PERIOD 6/1/06 THRU 5/31/07 HEALTH EXCLUDES OCL RATE DESCRIPTION FY 2008 EMPLOYEE DIVISION FY 2008 TOTAL Estimated Cost per Contract Employees Eligible* Montly Claims Estimate X 12 Months Administrative Fee @ 7.5% Total Claims & Admin Fee Specific Stop Loss Aggregate Stop Loss Tax Total Stop Loss EPS Premium Grand Total FY 2008 EMPLOYEE DIVISION FY 2008 TOTAL FY 2008 RETIREE DIVISION 652.30 657 428,561.10 652.30 635 414,210.50 652.30 22 14,350.60 720.24 657 473,197.68 720.24 635 457,352.40 720.24 22 15,845.28 5,142,733.20 4,970,526.00 172,207.20 5,678,372.16 5,488,228.80 190,143.36 385,704.99 372,789.45 12,915.54 425,877.91 411,617.16 14,260.75 5,528,438.19 5,343,315.45 185,122.74 6,104,250.07 5,899,845.96 204,404.11 108,291.00 108,291.00 108,291.00 108,291.00 108,291.00 108,291.00 108,291.00 108,291.00 5,997.25 $ INCLUDES OCL RATE FY 2008 RETIREE DIVISION - 5,865.00 5,642,726 $ 5,457,471 132.25 $ 185,255 5,997.25 $ *FY 2007 Retirees - 19 Active; 3 Cobra Employees - 619 Active; 16 Cobra OCL estimate @ 11/30/07 - 5,865.00 6,218,538 $ 6,014,002 132.25 $ 204,536 535,800.00 DENTAL EXCLUDES OCL RATE DESCRIPTION FY 2008 EMPLOYEE DIVISION FY 2008 TOTAL Estimated Cost per Contract Employees Eligible* Montly Claims Estimate X 12 Months Administrative Fee @ 12.95% Total Claims & Admin Fee INCLUDES OCL RATE FY 2008 RETIREE DIVISION FY 2008 EMPLOYEE DIVISION FY 2008 TOTAL FY 2008 RETIREE DIVISION 42.26 657 27,764.82 42.26 635 26,835.10 42.26 22 929.72 46.27 657 30,399.39 46.27 635 29,381.45 46.27 22 1,017.94 333,177.84 322,021.20 11,156.64 364,792.68 352,577.40 12,215.28 43,146.53 41,701.75 1,444.78 47,240.65 45,658.77 1,581.88 376,324.37 363,722.95 12,601.42 412,033.33 398,236.17 13,797.16 Specific Stop Loss Aggregate Stop Loss Tax Total Stop Loss - - - - - - EPS Premium - - - - - - Grand Total $ 376,324 $ 363,723 $ 12,601 $ *FY 2007 Retirees - 19 Active; 3 Cobra Employees - 619 Active; 16 Cobra OCL estimate @ 11/30/07 412,033 $ 398,236 $ 13,797 30,900.00 HEALTH AND DENTAL COMBINED FY 2008 EMPLOYEE DIVISION FY 2008 TOTAL Estimated Cost per Contract Employees Eligible* Montly Claims Estimate X 12 Months Administrative Fee Total Claims & Admin Fee Specific Stop Loss Aggregate Stop Loss Tax Total Stop Loss EPS Premium Grand Total INCLUDES OCL RATE EXCLUDES OCL RATE DESCRIPTION FY 2008 EMPLOYEE DIVISION FY 2008 TOTAL FY 2008 RETIREE DIVISION 694.56 657 456,325.92 694.56 635 441,045.60 694.56 22 15,280.32 766.51 657 503,597.07 766.51 635 486,733.85 766.51 22 16,863.22 5,475,911.04 5,292,547.20 183,363.84 6,043,164.84 5,840,806.20 202,358.64 428,851.52 414,491.20 14,360.32 473,118.56 457,275.93 15,842.63 5,904,762.56 5,707,038.40 197,724.16 6,516,283.40 6,298,082.13 218,201.27 108,291.00 108,291.00 108,291.00 108,291.00 108,291.00 108,291.00 108,291.00 108,291.00 5,997.25 $ FY 2008 RETIREE DIVISION 6,019,051 - 5,865.00 $ 5,821,194 132.25 $ *FY 2007 Retirees - 19 Active; 3 Cobra Employees - 619 Active; 16 Cobra OCL estimate @ 11/30/07 OCL w/ Oct 2006 balance @ EOM Estimated difference 197,856 5,997.25 $ 6,630,572 566,700.00 572,045.00 5,345.00 64 of 192 - 5,865.00 $ 6,412,238 132.25 $ 218,334 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 515-8910-489.89-01 515-8910-489.89-02 515-8910-489.89-03 515-8910-489.89-04 515-8910-489.89-05 515-8910-489.89-06 515-8910-489.89-07 515-8910-489.89-08 515-8910-489.89-09 515-8910-489.89-10 515-8910-489.89-11 515-8910-489.89-12 515-8910-489.89-13 515-8920-489.89-01 515-8920-489.89-03 515-8920-489.89-04 515-8920-489.89-05 515-8920-489.89-06 515-8920-489.89-07 515-8920-489.89-08 515-8920-489.89-09 515-8920-489.89-10 515-8920-489.89-11 515-8930-489.89-01 515-8930-489.89-02 515-8930-489.89-03 515-8930-489.89-04 515-8930-489.89-05 515-8930-489.89-06 515-8930-489.89-07 515-8930-489.89-08 515-8930-489.89-09 515-8930-489.89-10 515-8930-489.89-11 515-8930-489.89-12 515-8940-489.89-01 515-8940-489.89-03 515-8940-489.89-04 515-8940-489.89-06 515-8940-489.89-07 515-8940-489.89-08 515-8940-489.89-09 515-8940-489.89-10 FY 2005 ACTUAL ACCOUNT DESCRIPTION HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS HEALTH INS TOTAL HEALTH INSURANCE (89) FY 2006 ACTUAL - 65 of 192 - FY 2007 UNAUDITED (3,412) 10,549 1,202,203 1,594,587 357,728 299,359 111,850 1,271,065 340,843 38,767 14,880 60,412 112,991 148 31,325 18,243 1,514 2,181 897 9,613 4,630 282 162 110 190 26,586 56,349 8,814 9,016 2,545 39,710 10,073 1,168 74 1,476 (20) 725 3,408 1,694 250 15,968 1,525 219 5,660,697 FY 2008 ORIGINAL BUDGET 1,157 6,832 1,074,855 1,444,351 304,626 278,949 104,647 1,180,922 308,804 36,123 11,868 54,127 98,749 90 50,166 29,602 2,907 3,760 758 15,095 7,400 487 336 108 34,160 56,647 10,523 7,917 2,611 41,343 10,904 1,025 104 1,515 1,222 5,502 534 421 20,395 2,063 38 5,213,643 (This page intentionally left blank) 66 of 192 WORKERS COMPENSATION RATES FY 2008 BUDGET CLASSIFICATION DESCRIPTION PLUMBING NOC & DRIVERS ST. OR RD CONST-PAVING DRIVERS, CHAUFFEURS/HELP FIRE FIGHTERS & DRIVERS POLICE OFFICERS & DRIVERS AUTO SERV OR REPAIR CTR CLERICAL, OFF OR LIBRARY HOSPITAL-VET. & DRIVERS CHILD DAY CARE CENTER BUILDINGS MAINTENANCE CLUB-COUNTRY,GOLF,FISHING SCHOOLS-ALL OTHER PARKS-ALL EMPS & DRIVERS STREET CLEANING MUNICIPAL EMP/NOC CLASS CODE 5183 5506 7380 7704 7720 8380 8810 8831 8869 9015 9060 9101 9102 9402 9410 TOTAL ACTUAL PAYROLL FROM RISK 33,096 462,861 10,515,779 11,431,456 350,333 8,863,735 109,604 82,748 866,187 133,321 2,497,335 1,852,574 RATE PER $100 OF PAYROLL 7.78 10.37 4.94 4.08 5.30 0.54 3.75 1.19 6.50 3.35 5.50 4.24 RATE BASED ON PAYROLL FOR HTE 0.0778 0.1037 0.0494 0.0408 0.0530 0.0054 0.0375 0.0119 0.0650 0.0335 0.0550 0.0424 37,199,029 Regular Loss Reserve FY 2007 Original Budget ESTIMATED COSTS FY 2008 ACTUAL PREMIUM 2,574.87 47,998.69 519,479.48 466,403.40 18,567.65 47,864.17 4,110.15 984.70 56,302.16 4,466.25 137,353.43 78,549.14 1,287.43 23,999.34 259,739.74 233,201.70 9,283.82 23,932.08 2,055.08 492.35 28,151.08 2,233.13 68,676.71 39,274.57 1,384,654.08 692,327.04 $ $ Regular Loss Reserve FY 2008 Original Budget $ $ Normal Premium Multiplied by: Earned Premium Minimum Premium Flat Charges Additional Premium (what we owe with actual payroll) Earned Premium & Charges after Audit 0.0465 64,386 54,330 64,386 Loss reserve FY 2008 0.1600 67 of 192 626,521.00 100,445.00 726,966.00 701,479.00 112,231.00 813,710.00 RATES BASED ON ESTIMATED COSTS FY 2008 0.0389 0.0519 0.0247 0.0204 0.0265 0.0027 0.0188 0.0060 0.0325 0.0168 0.0275 0.0212 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 520-2610-426.88-01 520-2610-426.88-02 520-2610-426.88-03 520-2610-426.88-04 520-2610-426.88-05 520-2610-426.88-06 520-2610-426.88-07 520-2610-426.88-08 520-2610-426.88-09 520-2610-426.88-10 FY 2005 ACTUAL ACCOUNT DESCRIPTION WORKERS COMP WORKERS COMP WORKERS COMP WORKERS COMP WORKERS COMP WORKERS COMP WORKERS COMP WORKERS COMP WORKERS COMP WORKERS COMP TOTAL WORKERS COMP (26) FY 2006 ACTUAL - 68 of 192 - FY 2007 UNAUDITED 35,782 228,762 14,414 17,440 71,973 12,600 4,019 2,860 2,000 10,060 399,910 FY 2008 ORIGINAL BUDGET 55,631 410,957 17,541 16,339 145,189 25,417 8,107 2,000 20,298 701,479 NON-RECURRING CAPITAL IMPROVEMENT PROJECTS/ITEMS SPECIAL REVENUE, CAPITAL PROJECTS, AND SEWER ENTERPRISE FUNDS ONLY FY 2008 ORIGINAL BUDGET A B E F G H I PRIOR YEAR EXPENDITURE S B/F FY 2008 J K L M N O P Q R ST V W X Y Z FY 2008 CARRYOVER REVENUE 209 - - - - 976,736 342,983 - - FY 2008 CITY REIMB CARRYOVER FY 2008 CITY FUNDING FY 2008 CITY REIMB FUNDING 208.60 - - - - - - FY 2008 GROSS LIFE PROJECT FUNDING U PRIOR YEAR REVENUE RECEIVED B/F FY 2008 FY 2008 CITY FUNDING CARRYOVER ABAC AA FY 2008 GROSS LIFE PROJECT REVENUE FY 2008 REVENUE BUDGET AD AEAF AG AH AI AJ AK AM FY 2008 NET LIFE PROJECT FUNDING FY 2008 TOTAL EXPENDITURE BUDGET FY 2008 TOTAL REVENUE BUDGET - 209 - - - 342,983 633,754 54,181 - 54,181 36,176 DP DV FUNDS 2 459FLO i459 flyover project overruns 0310 303 3 65VAL2 i65/valley modifications 0410 303/390 922,555.44 54,181 4 ALFSIG alford avenue traffic signals 0410 303 88,823.40 36,176 - - - 124,999 - - - - 124,999 36,176 - 5 ALHACK hackberry sidewalks aldot 0410 303/390 - 7,500 30,000 - - 37,500 - 30,000 - 30,000 7,500 37,500 30,000 7,500 6 ALPARK park ave sidewalks aldot 0410 303/390 - 95,331 381,322 - - 476,653 - 381,322 - 381,322 95,331 476,653 381,322 95,331 7 ALROCK rockview sidewalks aldot 0410 303/390 - 32,939 131,754 - - 164,693 - 131,754 - 131,754 32,939 164,693 131,754 32,939 8 BIRREP birchtree improvements 5040 303 - 137,625 - - - 137,625 - - - - 137,625 137,625 - 137,625 9 CAHATR cahaba trails 0910 303 16,204.25 18,776 - - - 34,980 - - - - 34,980 18,776 - 18,776 10 CAHOLD aldot cahaba river east greenway 0910 303/390 - 11,000 44,000 - - 55,000 - 44,000 - 44,000 11,000 55,000 44,000 11,000 1 PROJECT CODE PROJECT DESCRIPTION FY 2008 NET FUNDING ONLY 11 CHAPEL chapel lane extension 0410 303/390 133,696.03 2,103,259 6,739,042 - - 8,975,997 106,957 6,739,042 - 6,845,999 2,129,998 8,842,301 6,739,042 2,103,259 12 COMMCT new communications center 1910 202/262 182,205.62 1,667,794 - 26,500 - 1,876,500 - - - - 1,876,500 1,694,294 - 1,694,294 13 COMMCT new communications center 1910 303/307 597,225.77 1,487,872 - - - 2,085,098 - - - - 2,085,098 1,487,872 - 1,487,872 14 DATATM mobile data terminal & avl 0730 303/390 5,160.00 - 524,000 - - 529,160 - 524,000 - 524,000 5,160 524,000 524,000 - 15 DUMPTK* tandem dump truck replace 255 4020 303 - 130,000 - - - 130,000 - - - - 130,000 130,000 - 130,000 16 EDENSC eden ridge @ ssc impr jeffco 0410 303 35,537.50 89,462 - - - 125,000 - - - - 125,000 89,462 - 89,462 17 FLYTRA 150/lorna/hwy31 post flyover 0410 303 115,704.00 14,296 - - - 130,000 - - - - 130,000 14,296 - 14,296 18 FS2REL fire station 2 relocation 2110 303/307 2,339,202.24 59,263 - - - 2,398,465 - 400,000 - 400,000 1,998,465 59,263 400,000 19 FS6REL fire station 6 rel/FS9 2110 303/307 1,500.00 98,500 - - - 100,000 - - - - 100,000 98,500 - 98,500 20 FSGREY fire station greystone 2110 240 - 300,000 - - - 300,000 - - - - 300,000 300,000 - 300,000 21 FSGREY fire station greystone 2110 303 102,318.26 1,399,477 - - - 1,501,795 - - - - 1,501,795 1,399,477 - 1,399,477 22 GALLRD james w. wilson jr. pkwy 0410 212 37,788.00 2,212 - - - 40,000 - - - - 40,000 2,212 - 2,212 23 GALLRD james w. wilson jr. pkwy 0410 303 889,361.34 1,638 - - - 890,999 1,500,000 - - 1,500,000 1,638 - 1,638 24 GOW03R* gow 2003 refunding & new arb 8030 307 - 235,198 - - - 235,198 - - - - 235,198 235,198 - 235,198 25 HRCOMP class and comp study 0610 303 81,473.00 43,527 - - - 125,000 - - - - 125,000 43,527 - 43,527 26 HUGHDN hugh daniel rd improve ii 0410 211 403,884.37 52,160 - - - 456,044 - - - - 456,044 52,160 - 52,160 27 I65HOV i65 hov lane - add lane to i-65 integrated info system 202/262 29 INFOSY integrated info system 0910 /207 5 /211 0 28,500 28 INFOSY 30 INVFLO inv wwtp outfall flow 0510 501 - - 31 INVPRK inverness park 5040 303 726.18 199,273 - 303 303 (609,001) (340,737) - 28,500 - - - 28,500 - - - - 28,500 28,500 - 927,426.03 1,044 - - - 928,470 - - - - 928,470 1,044 - 1,044 1,404,085.02 93,319 - - - 1,497,404 - - - - 1,497,404 93,319 - 93,319 70,000 - - - - 70,000 70,000 - 70,000 - - 199,999 - - - - 199,999 199,273 - 199,273 70,000 32 LAND65 aldot landscape @ i65 & alford 0410 303/390 - 102,000 288,000 - - 390,000 - 288,000 - 288,000 102,000 390,000 288,000 102,000 33 LANE31 hwy 31 @ 150 turn lane 0410 240 180,647.50 443 - - - 181,091 - - - - 181,091 443 - 443 34 LANE31 hwy 31 @ 150 turn lane 0410 303 72,200.00 - - - - 72,200 - - - - 72,200 - - - 35 LEDSIG led signal replac/battery b/up 0410 240 165,084.24 - - 45,000 - 210,084 - - - - 210,084 45,000 - 45,000 36 LEDSIG led signal replac/battery b/up 0410 303 84,965.81 - - - - 84,966 - - - - 84,966 - - - 37 LEGACY* as400 upgrades 0730 303 - 150,000 - - - 150,000 - - - - 150,000 150,000 - 150,000 38 LIBPLA library plaza phase I and ii 6010 240 - 500,000 - - - 500,000 - - - - 500,000 500,000 - 500,000 39 LIBPLA library plaza phase I and ii 6010 303 26,790.96 1,053,209 - - - 1,080,000 - - - - 1,080,000 1,053,209 - 1,053,209 40 LULL lull for lifting materials 4020 303 - 80,000 - - - 80,000 - - - - 80,000 80,000 - 80,000 41 MDBEDF bedford avenue curb & gutter 0410 303 - 850 - - - 850 - - - - 850 850 - 850 42 MDCIT drainage @ alford citgo 0410 303 - 1,000 - - - 1,000 - - - - 1,000 1,000 - 1,000 43 MDLAR2 replace @ 2212 larkspur dr 0410 303 - 7,000 - - - 7,000 - - - - 7,000 7,000 - 7,000 44 MDLEST 2301 lester lane 0410 303 54,466.86 6,574 - - - 61,041 - - - - 61,041 6,574 - 6,574 45 MDQUA2 6141 quail run end wall 0410 303 - 7,500 - - - 7,500 - - - - 7,500 7,500 - 7,500 replace @ 6522 quail run replace inlet tops row 1136 & 1139 rushing parc drive 0410 303 9,918.25 7,082 - - - 17,000 - - - - 17,000 7,082 - 7,082 0410 303 - 3,000 - - - 3,000 - - - - 3,000 3,000 - 3,000 1,424.69 83,575 - - - 85,000 - - - - 85,000 83,575 - 83,575 - 255,987 - - - 255,987 - - 110,000 110,000 145,987 255,987 110,000 145,987 250,770 46 MDQUAI 47 MDRUS2 48 METSOC met soccer fields restroom 5040 303 49 METSTA* hoover met improvements 5040 303/307 50 MISCDR* miscellaneous drainage 0410 303 - 250,770 - - - 250,770 - - - - 250,770 250,770 - 51 MONUSN hoover monument sign 0110 303 1,400.00 28,600 - - - 30,000 - - - - 30,000 28,600 - 28,600 52 MUNREL municipal drive relocation 0410 303/390 253,258.87 652,130 2,408,360 - - 3,313,749 199,167 2,408,360 - 2,607,527 706,222 3,060,490 2,408,360 652,130 53 MUNREN municipal bldg renovations 0310 303 967,291.36 156,041 - - - 1,123,332 226,394 - - 226,394 896,938 156,041 - 156,041 54 ONETON* one ton replace 304 and 237 4020 303 - 140,000 - - - 140,000 - - - - 140,000 140,000 - 140,000 55 ONETON* one ton truck new with utility bed 4030 303 - 70,000 - - - 70,000 - - - - 70,000 70,000 - 70,000 69 of 192 NON-RECURRING CAPITAL IMPROVEMENT PROJECTS/ITEMS SPECIAL REVENUE, CAPITAL PROJECTS, AND SEWER ENTERPRISE FUNDS ONLY FY 2008 ORIGINAL BUDGET A B E F G H I J K L M P Q R ST U V W X FY 2008 GROSS LIFE PROJECT FUNDING PRIOR YEAR REVENUE RECEIVED B/F FY 2008 FY 2008 CARRYOVER REVENUE 70,000 - - Y Z ABAC AA FY 2008 GROSS LIFE PROJECT REVENUE AEAF AG AH AI AJ FY 2008 CITY FUNDING 303 - 70,000 - - - VAR 240/262 - - - 180,900 58 PAVE* paving and maintaining roads 4020 211/212 - - - 1,000,000 - 1,000,000 - - - - 1,000,000 1,000,000 - 59 PAVEIN* road inventory 4020 211 - 93,700 - - - 93,700 - - - - 93,700 93,700 - 93,700 60 PERMTR permanent traffic ctrl ctr 0410 303/307/390 55,586.33 90,936 373,475 - - 519,997 42,523 373,475 - 415,998 103,999 464,411 373,475 90,936 61 PKROCK park ave/rockview fees 0910 303 24,079.00 5,921 - - - 30,000 - - - - 30,000 5,921 - 5,921 62 POOLRE resurface rec center pool bottom 5020 303 68,245.00 6,754 - - - 74,999 - - - - 74,999 6,754 - 6,754 63 QUINT* fire quint 2110 303 - 727,602 - - - 727,602 - - - - 727,602 727,602 - 727,602 64 PSINWO upg inv woodford ps 0510 501 - - - 265,000 - 265,000 - - - - 265,000 265,000 - 265,000 65 PSRIV1 upg riverchase #1 ps 0520 501 66 RCSEW riverchase sewer system 0520 501/503 67 RIV150 hwy 150 @ riverchase dr 0410 68 ROADWY master rdwy plan update 0410 69 SCAN imaging system 70 SCHOOL 71 SNRCTR 72 SPNTRN 73 SPPKTR 57 OTHER* - FY 2008 TOTAL EXPENDITURE BUDGET FY 2008 TOTAL REVENUE BUDGET 70,000 70,000 - - 180,900 - AM FUNDS - FY 2008 NET LIFE PROJECT FUNDING AK DP DV PROJECT DESCRIPTION FY 2008 REVENUE BUDGET AD 5040 PROJECT CODE FY 2008 CITY REIMB CARRYOVER O one ton truck new other funding spec rev funds det below 1 FY 2008 CITY FUNDING CARRYOVER N FY 2008 CITY REIMB FUNDING 56 ONETON* PRIOR YEAR EXPENDITURE S B/F FY 2008 FY 2008 NET FUNDING ONLY 70,000 1,000,000 - - - 265,000 - 265,000 - - - - 265,000 265,000 - 265,000 2,663,338.83 12,336,661 - - - 15,000,000 - - - - 15,000,000 12,336,661 - 12,336,661 303 68,377.60 272,622 - - - 341,000 - - - - 341,000 272,622 - 272,622 303 75,405.00 7,523 - - - 82,928 - - - - 82,928 7,523 - 7,523 0770 303 119,027.53 30,107 - - - 149,135 - - - - 149,135 30,107 - 30,107 school safety zone project 0410 303 34,430.00 15,570 - - - 50,000 - - - - 50,000 15,570 - 15,570 senior center and parking lot 303 2,376,811.91 19,380 - - - 2,396,192 - - - - 2,396,192 19,380 - 19,380 spain park facilities 5050 /211 0 303 124,877.37 17,521 - - - 142,398 - - - - 142,398 17,521 - 17,521 spain park trails 5040 303 2,124,505.60 53,824 - - - 2,178,330 2,163,822 - - 2,163,822 14,507 53,824 - 53,824 74 SSBYPA sulphur springs bypass 0410 303/390 - 136,876 547,502 - - 684,378 - 547,502 - 547,502 136,876 684,378 547,502 136,876 75 SSIMPR sulphur spr rd improve 0410 211 30,880.50 169,119 - 50,000 - 250,000 - - - - 250,000 219,119 - 219,119 76 SSNCFI secret svc natl forensics 0310 303 423,059.58 26,939 - - - 449,999 422,650 15,269 - 437,919 12,079 26,939 15,269 11,670 77 SSPAVE sulphur springs rd pavement rehab 0410 211 - - - 265,000 - 265,000 - - - - 265,000 265,000 - 265,000 78 STADSW aldot stadium trace sidewalks 0410 303/390 - 122,066 328,264 - - 450,330 - 328,264 - 328,264 122,066 450,330 328,264 122,066 79 STORIN storm sewer inventory 1110 303 275,080.25 184,919 - - - 459,999 - - - - 459,999 184,919 - 184,919 80 STRIPE signalized inter striping 0410 211 40,866.00 19,134 - - - 60,000 - - - - 60,000 19,134 - 19,134 81 STRIPE signalized inter striping 0410 303 54,739.51 657 - - - 55,397 - - - - 55,397 657 - 657 82 SWTRLS sidewalks/trails/bikeways 0910 303/307 765,872.60 4,969 - - - 770,842 - - - - 770,842 4,969 - 4,969 83 TENREN tenant renovations 0310 303 2,533,182.01 191,816 - - - 2,724,998 - - - - 2,724,998 191,816 - 191,816 84 TOPIC3 patton chapel rd widening 0410 303/372 159,258.48 404,167 234,307 - - 797,732 50,785 234,307 - 285,092 512,641 638,474 234,307 404,167 85 TOPIC6 lorna road turn lanes 0410 303/375 549,953.11 557,914 1,906,531 - - 3,014,398 436,642 1,906,531 - 2,343,173 671,225 2,464,445 1,906,531 557,914 86 TOPIC7 tyler/valley/fancher 0410 303/390 495,059.11 686,465 2,205,978 - - 3,387,502 390,267 2,205,978 - 2,596,245 791,257 2,892,443 2,205,978 686,465 87 TOPIC8 improv old mont @ riv pkwy 0410 303/390 85,069.00 567,986 1,515,145 - - 2,168,200 68,055 1,515,145 - 1,583,200 585,000 2,083,131 1,515,145 567,986 88 TRAFCT emer traf ctrl ctr equip 0410 240 24,500.00 5,500 - 60,000 - 90,000 - - - - 90,000 65,500 - 65,500 89 TRAFST traffic study 0410 240 32,999.72 - - - - 33,000 - - - - 33,000 - - - 90 TRAFST traffic study 0410 303/307 116,246.33 36,753 - - - 152,999 - - - - 152,999 36,753 - 36,753 91 TRANBH hwy 31 express (to/fro bham) 0910 303 85,018.16 39,301 - - - 124,319 - - - - 124,319 39,301 - 39,301 92 TREEMP master tree planting plan 0420 303 19,994.47 5,006 - - - 25,000 9,978 - - 9,978 15,023 5,006 - 5,006 93 TROLLY trolley cars 2 4020 303 31,900.00 1,100 - - - 33,000 - - - - 33,000 1,100 - 1,100 94 VAL31 valleydale add lns @ 31 riv pk 0410 303/390 - 1,000,000 4,000,000 - - 5,000,000 - 4,000,000 - 4,000,000 1,000,000 5,000,000 4,000,000 1,000,000 95 VALL-2 valleydale road widening 0410 303/390 951,079.51 5,199,205 5,762,829 - - 11,913,114 760,864 5,762,829 - 6,523,693 5,389,421 10,962,034 5,762,829 5,199,205 96 VEHIC* san sewer vacuum/jet truck 0510 303 - - - 2,697,614 - 2,697,614 - - - - 2,697,614 2,697,614 - 2,697,614 wireless lan/wan 0750 303 33,793.61 177,359 - - - 211,153 - - - - 211,153 177,359 - 177,359 TOTAL ALL 24,545,770 35,241,455 27,420,509 4,925,014 - 91,951,848 6,721,088 27,835,778 110,000 34,666,866 57,284,982 67,586,978 27,945,778 39,460,300 TOTAL SPECIAL REVENUE FUNDS ONLY TOTAL SEWER ENTERPRISE FUNDS ONLY TOTAL CAPITAL PROJECT FUNDS ONLY 2,026,282 2,663,339 19,856,149 24,545,770 2,811,106 12,336,661 20,093,688 35,241,455 27,420,509 27,420,509 1,627,400 600,000 2,697,614 4,925,014 - 6,283,888 15,600,000 70,067,960 91,951,848 6,721,088 6,721,088 27,835,778 27,835,778 110,000 110,000 34,666,866 34,666,866 6,283,888 15,600,000 35,401,094 57,284,982 4,438,506 12,936,661 50,211,811 67,586,978 27,945,778 27,945,778 4,257,606 12,936,661 22,266,033 39,460,300 97 98 99 100 101 102 103 104 107 WIRELN * Prior year expenditures not shown 70 of 192 OUTSTANDING DEBT SUMMARY THRU FY 2025 FY 2008 HIGHLIGHTED Fiscal Year Total Debt Service 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 10,409,173.77 10,432,583.77 10,299,248.76 10,304,805.63 10,303,041.25 10,297,203.75 10,296,058.75 10,305,281.25 10,299,411.25 11,961,266.25 10,322,002.50 10,326,671.25 10,323,573.75 9,737,101.25 9,052,160.00 - Total General Fund 9,136,632.52 9,154,582.52 9,021,986.26 9,024,480.63 9,025,852.50 9,019,350.00 9,018,835.00 9,025,070.00 9,022,595.00 10,684,227.50 9,046,220.00 9,048,720.00 9,050,020.00 9,049,107.50 9,052,160.00 - BALANCE $ 154,669,583.18 $ 137,379,839.43 $ 9/30/2007 Year FY 2008 FY 2009 FY 2010 FY 2011 Fiscal Agent Fees 8305 4,900 6,500 6,500 6,500 Principal 8301 4,805,000 5,020,000 5,050,000 5,305,000 Total Sewer Fund GOW99A Principal (83-01) 1,272,541.25 1,278,001.25 1,277,262.50 1,280,325.00 1,277,188.75 1,277,853.75 1,277,223.75 1,280,211.25 1,276,816.25 1,277,038.75 1,275,782.50 1,277,951.25 1,273,553.75 687,993.75 17,289,743.75 $ Interest 8302 4,331,634 4,134,583 3,971,986 3,719,481 GOW03R Interest (83-02) 1,700,000.00 1,755,000.00 2,800,000.00 - 273,631.26 201,381.26 124,600.00 - 6,255,000.00 $ 599,612.52 $ Total General Fund Debt 9,141,534 9,161,083 9,028,486 9,030,981 Principal (83-01) GOW04R Interest (83-02) 2,925,000.00 3,080,000.00 2,060,000.00 4,360,000.00 1,625,000.00 1,680,000.00 1,760,000.00 1,850,000.00 1,960,000.00 3,090,000.00 7,330,000.00 7,670,000.00 8,045,000.00 8,435,000.00 8,840,000.00 64,710,000.00 $ 2,769,540.00 2,650,215.00 2,570,025.00 2,459,735.00 2,353,372.50 2,290,970.00 2,223,430.00 2,150,305.00 2,067,220.00 1,951,602.50 1,716,220.00 1,378,720.00 1,005,020.00 614,107.50 212,160.00 28,412,642.50 $ Year FY 2008 FY 2009 FY 2010 FY 2011 71 of 192 Principal (83-01) 180,000.00 185,000.00 190,000.00 945,000.00 3,900,000.00 4,080,000.00 4,255,000.00 4,435,000.00 4,605,000.00 5,505,000.00 28,280,000.00 $ Principal 785,000.00 820,000.00 850,000.00 885,000.00 SRL99 Interest (83-02) 1,288,461.26 1,282,986.26 1,277,361.26 1,259,745.63 1,147,480.00 968,380.00 780,405.00 589,765.00 390,375.00 137,625.00 9,122,584.41 $ Interest 487,542.00 458,001.25 427,262.50 395,325.00 Principal (0000/04-01) 380,000.00 395,000.00 410,000.00 425,000.00 440,000.00 455,000.00 470,000.00 490,000.00 505,000.00 525,000.00 540,000.00 560,000.00 580,000.00 - 14,100.00 Principal (0000/04-04) 209,475.00 195,912.50 181,825.00 167,212.50 152,075.00 136,412.50 120,225.00 103,425.00 86,012.50 67,987.50 49,350.00 30,100.00 10,150.00 - 6,175,000.00 $ Bond Issuance Costs SRL00 Interest (0510/99-90) 405,000.00 425,000.00 440,000.00 460,000.00 475,000.00 495,000.00 515,000.00 535,000.00 555,000.00 575,000.00 600,000.00 625,000.00 645,000.00 675,000.00 - 1,510,162.50 $ 7,425,000.00 $ Total Sewer Fund Debt Total Sewer Fund Budgeted Debt 1,286,642.00 1,278,001.25 1,277,262.50 1,280,325.00 501,642.00 458,001.25 427,262.50 395,325.00 Interest (0510/99-91) 278,066.25 262,088.75 245,437.50 228,112.50 210,113.75 191,441.25 171,998.75 151,786.25 130,803.75 109,051.25 86,432.50 62,851.25 38,403.75 12,993.75 2,179,581.25 GRAND TOTAL 9,643,176 FY 2008 DEBT SERVICE BY MONTH PRINCIPAL, INTEREST, AND FEES MONTH GOW04R - 1ST INTEREST PRINCIPAL TOTAL DEBT SERVICE OCTOBER NOVEMBER DECEMBER JANUARY FEBRUARY 15TH MARCH 1ST APRIL MAY 1ST JUNE JULY AUGUST 15TH SEPTEMBER 1ST TOTAL 1,035,993.75 5,308,728.76 236,547.50 3,827,903.76 $ 10,409,173.77 $ GENERAL FUND SEWER TOTAL PRINCIPAL 4,805,000 785,000 $ 5,590,000 INTEREST 4,331,634 487,542 $ 4,819,176 JANUARY FEBRUARY MARCH AUGUST SEPTEMBER TOTAL LESS SEWER NET TOTAL BUDGET GF PRINCIPAL 785,000 3,105,000 1,700,000 5,590,000 (785,000) $ 4,805,000 INTEREST 250,994 2,203,729 236,548 2,127,905 4,819,175 (487,542) $ 4,331,634 GOW03R - 1ST INTEREST PRINCIPAL GOW99A - 1ST INTEREST PRINCIPAL SRL00 - 15TH INTEREST PRINCIPAL 142,931.25 645,580.63 180,000.00 1,421,332.50 2,925,000.00 136,815.63 180,000.00 $ 1,348,207.50 2,769,540.00 2,925,000.00 136,815.63 273,631.26 $ TOTAL 9,141,534 1,272,542 10,414,076 $ $ TOTAL 1,600 1,035,994 5,310,929 236,548 3,829,005 10,414,075 (1,272,542) 9,141,534 W/OUT FEES 1,035,994 5,308,729 236,548 3,827,905 10,409,175 (1,272,542) $ 9,136,634 SRL99 - 15TH INTEREST PRINCIPAL 405,000.00 108,062.50 135,135.00 642,880.63 1,288,461.26 $ FEES 4,900 4,900 $ FEES $ 1,600 2,200 1,100 4,900 4,900 $ W/OUT FEES 10,409,174 72 of 192 $ $ 1,700,000.00 1,700,000.00 $ 278,066.25 380,000.00 101,412.50 $ 405,000.00 $ 209,475.00 $ 380,000.00 VEHICLE LEASING FY 2008 ORIGINAL BUDGET MAKE FLEET EQUIP # FISCAL YEAR LEASED 2005 2007 2005 2005 775 957 773 842 2005 2006 2005 2005 563.02 563.02 511.19 407.25 50.19 (0.01) (0.01) 2005 2005 776 777 778 779 780 781 782 783 784 785 786 787 788 789 790 791 792 797 798 809 810 811 812 813 814 860 861 862 863 864 865 866 867 868 869 870 871 872 894 895 897 898 899 900 901 902 903 904 905 906 908 910 911 912 913 914 915 916 917 918 919 920 921 922 923 924 925 926 927 928 929 930 931 932 933 934 935 937 938 941 803 2005 2005 480.27 563.02 2005 2007 2005 2007 2005 2005 2006 2005 2005 2005 2006 2006 2006 2006 2005 2006 2005 2006 # OF VEHICLES BID VEHICLE 1-11 PURCHASE ORDER LINE ITEM 586.24 711.74 532.27 424.04 1 1 1 1 2 2 6 5 820911 820911 820911 820911 103 105 118 114 19.81 23.22 500.08 586.24 82 1 1 2 820911 820911 25.46 27.87 16.80 28.86 25.46 19.81 22.57 21.09 23.22 25.46 27.87 16.80 28.86 25.46 19.81 22.57 21.09 23.22 642.59 703.57 424.04 728.44 642.59 500.08 569.79 532.27 586.24 11 1 2 1 2 2 2 3 1 3 2 5 2 3 1 1 7 2 21.09 21.71 16.80 17.59 16.80 22.16 22.92 16.80 17.48 21.09 21.71 16.80 17.59 16.80 22.16 22.92 16.80 17.48 532.27 548.13 424.05 444.02 424.05 559.33 578.58 424.04 441.32 5 1 1 1 2 1 1 2 1 7 7 11 5 11 8 8 5 5 TOTAL CURRENT MONTHLY TAX (COST) TAX (COST) ROUNDED 70.33 - 563.02 683.54 511.18 407.24 23.22 28.20 21.09 16.80 23.22 28.20 21.09 16.80 - - 480.27 563.02 19.81 23.22 617.13 563.02 407.25 563.02 617.13 480.27 480.27 511.19 563.02 44.04 (0.01) 67.05 49.10 (0.01) - 68.64 69.51 17.85 - 617.13 675.70 407.24 699.58 617.13 480.27 547.22 511.18 563.02 511.19 511.19 407.25 407.25 407.25 537.17 537.17 407.25 407.25 (0.01) 0.10 (0.01) 4.12 15.23 19.08 18.49 12.47 511.18 526.42 407.25 426.43 407.25 537.17 555.66 407.24 423.84 ANNUAL COST FOR 1 VEHICLE WITH TAX FY 2008 COST FY 2008 LEASE TAX 4.125% FY 2008 TOTAL COST 6,756.24 8,202.48 6,134.16 4,886.88 278.69 338.35 253.03 201.58 7,034.88 8,540.88 6,387.24 5,088.48 7,034.88 8,540.88 6,387.24 5,088.48 15-55, 57, 59-97, 100 9 472,585.68 6,756.24 19,494.16 278.69 492,078.72 7,034.88 6,000.96 7,034.88 820911 820911 820911 820911 820911 820911 820911 820911 820911 1-4, 7-8, 1014 102 98-99 101 5-6 56, 58 121-122 106-108 104 81,461.16 8,108.40 9,773.76 8,394.96 14,811.12 11,526.48 13,133.28 18,402.48 6,756.24 3,360.27 334.47 403.17 346.29 610.96 475.47 541.75 759.10 278.69 84,821.88 8,442.84 10,176.96 8,741.28 15,422.16 12,001.92 13,674.96 19,161.72 7,034.88 7,711.08 8,442.84 5,088.48 8,741.28 7,711.08 6,000.96 6,837.48 6,387.24 7,034.88 820911 820911 820911 820911 820911 820911 820911 820911 820911 109-113 124 119 127 125-126 115 120 116-117 123 30,670.80 6,317.04 4,887.00 5,117.16 9,774.00 6,446.04 6,667.92 9,773.76 5,086.08 1,265.17 260.58 201.59 211.08 403.18 265.90 275.05 403.17 209.80 31,936.20 6,577.56 5,088.60 5,328.24 10,177.20 6,711.96 6,942.96 10,176.96 5,295.84 6,387.24 6,577.56 5,088.60 5,328.24 5,088.60 6,711.96 6,942.96 5,088.48 5,295.84 127 762,429.36 31,450.21 793,879.20 115-0310-413.44-35 115-0410-413.44-35 115-0710-416.44-35 115-2010-415.44-35 115-2050-415.44-35 115-2110-415.44-35 115-2210-413.44-35 115-2220-413.44-35 115-2230-413.44-35 115-3010-415.44-35 115-4560-413.44-35 115-5040-419.44-35 2 1 1 98 6 3 1 5 1 1 3 5 FY 2008 COST 14,958.72 6,134.16 4,886.88 587,080.20 39,470.88 18,402.48 6,756.24 30,670.80 6,317.04 4,887.00 14,891.16 27,973.80 FY 2006 LEASE TAX 4.125% 617.05 253.03 201.58 24,217.06 1,628.17 759.10 278.69 1,265.17 260.58 201.59 614.26 1,153.92 FY 2008 TOTAL COST 15,575.76 6,387.24 5,088.48 611,296.56 41,099.04 19,161.72 7,034.88 31,936.20 6,577.56 5,088.60 15,505.44 29,127.72 FY 2008 BUDGET 15,576.00 6,388.00 5,089.00 611,297.00 41,100.00 19,162.00 7,035.00 31,937.00 6,578.00 5,089.00 15,506.00 29,129.00 GRAND TOTAL 127 762,429.36 31,450.21 793,879.20 793,886.00 ACCOUNT NUMBER DETAIL 115-0310-413.44-35 115-0310-413.44-35 115-0410-413.44-35* 115-0710-416.44-35* 115-2010-415.44-35 115-2010-415.44-35 VEHICLE PACKAGE TAHOE LT 4WD TAHOE LT 4WD 1500 EXTENDED CAB 4WD TRUCK 133" 1500 EXTENDED CAB 2WD TRUCK 133" TAHOE 2WD LT TAHOE 4WD LT 115-2010-415.44-35 115-2010-415.44-35 115-2010-415.44-35* 115-2010-415.44-35 115-2050-415.44-35 115-2050-415.44-35 115-2050-415.44-35 115-2110-415.44-35* 115-2210-413.44-35 TAHOE 4WD LS TAHOE 4WD LT 1500 EXTENDED CAB 2WD TRUCK 133" TAHOE 4WD LT TAHOE 4WD LS TAHOE 2WD LT TAHOE 2WD LT 1500 EXTENDED CAB 4WD TRUCK 119" TAHOE 4WD LT 2005 2007 2005 2007 2005 2005 2006 2005 2005 115-2220-413.44-35* 115-2230-413.44-35 115-3010-415.44-35 115-4560-413.44-35* 115-4560-413.44-35 115-5040-419.44-35 115-5040-419.44-35 115-5040-419.44-35* 115-5040-419.44-35 1500 EXTENDED CAB TRUCK 4WD 119" 1500 EXTENDED CAB TRUCK 4WD 119" IMPALA EXT CAB 133" PU IMPALA 2500 4 DR CREW CAB 157" 4WD 2500 4 DR CREW CAB 157" 4WD 1500 EXT CAB 133" PU 1500 EXT CAB 133" PU 2005 2006 2005 2005 2005 2005 2006 2005 2006 793 794 795 796 801 802 804 805 806 807 808 2009 843 844 2008 799 800 909 936 947 948 819 820 821 823 824 825 826 827 828 949 949 950 944 945 946 851 951 849 850 952 MONTHLY COST DEPREC PRIME GRAND TOTAL MONTHLY COST W/ TAX SUMMARY BY LEASE TAX Receipt Tax State Shelby County Hoover 1.500% 1.625% 1.000% 4.125% 11,436.44 12,389.48 7,624.29 31,450.21 * Had to add # in depreciation column to balance with invoice 73 of 192 CAPITAL VEHICLE BUDGET - 7599 FY 2008 ACCOUNT NUMBER 115-0355-413.75-99 115-2050-415.75-99 115-4020-413.75-99 115-4560-413.75-99 115-4560-413.75-99 262-2035-415-75.99 303-0310-413.75-99 303-0410-413.75-99 303-0710-416.75-99 303-2010-415.75-99 303-2010-415.75-99 303-2010-415.75-99 303-2010-415.75-99 303-2050-415.75-99 303-2060-415.75-99 303-2110-415.75-99 303-2110-415.75-99 303-2220-413.75-99 303-2220-413.75-99 303-4020-413.75-99 303-4020-413.75-99 303-4020-413.75-99 303-4020-413.75-99 303-4020-413.75-99 303-4030-413.75-99 303-4030-413.75-99 303-5040-419.75-99 303-5040-419.75-99 303-5040-419.75-99 ORIGINAL REQUEST # OF VEHICLES New golf carts for special events (GOLFCT) New SRO vehicles - carryover (VEHIC) New forklift for unloading trucks & lifting pallets (FORKLF) New 15000 lb forklift (FORKLF) Refurbish trolleys (TROLLY) New negotiation truck project (HOSTAG) Purchase leased tahoe (VEHIC) Purchase leased pickup (VEHIC) Purchase leased pickup (VEHIC) Purchase leased pickup (VEHIC) Purchase leased tahoe (VEHIC) Replace vehicles with impala (VEHIC) Replace traffic reconstruction vehicle (VEHIC) Purchase leased tahoe (VEHIC) New transport van for inmates Purchase leased pickup (VEHIC) New quint - carryover (QUINT) Replace pickups Purchase leased pickup (VEHIC) Replace pickups Refurbish trolleys (TROLLY) - same 2 above Replace dump truck - carryover (DUMPTK) Replace one ton truck - carryover (ONETON) New lull - carryover (LULL) Replace 3/4 ton painters van (VEHIC) New one ton truck - carryover (ONETON) Replace 1/2 ton truck (VEHIC) Purchase leased pickup (VEHIC) New one ton truck - carryover (ONETON) TOTAL 2 2 1 1 1 1 3 1 153 TOTAL NEW VEHICLES TOTAL REPLACEMENT VEHICLES TOTAL LEASED VEHICLES TOTAL NEW ATV'S TOTAL REFURBISHED TOTAL BUDGETED VEHICLE PURCHASES 14 20 115 2 2 153 74 of 192 2 6 1 1 2 1 1 1 1 2 96 5 1 3 1 3 1 5 5 3 ANNUAL COST FOR 1 VEHICLE 12,500 37,500 37,000 40,500 20,000 20,000 20,000 12,000 12,000 12,000 20,000 21,023 30,000 20,000 45,000 12,000 727,602 33,500 12,000 30,000 1,100 65,000 70,000 80,000 49,999 70,000 30,000 12,000 70,000 FY 2008 BUDGET $ $ $ $ $ $ 25,000 225,000 37,000 40,500 40,000 20,000 20,000 12,000 12,000 24,000 1,920,000 105,115 30,000 60,000 45,000 36,000 727,602 167,500 60,000 90,000 1,100 130,000 140,000 80,000 49,999 70,000 30,000 36,000 70,000 4,303,816 1,315,102 742,614 2,180,000 25,000 41,100 4,303,816 SUMMARY OF LEASED VEHICLES AS OF 2-2-2008 Count of EQUIPMENT NUMBER EQUIPMENT NUMBER 773 775 776 777 778 779 780 781 782 783 784 785 786 787 788 789 790 791 792 793 794 795 796 797 798 799 800 801 802 803 804 805 806 807 808 809 810 811 812 813 814 819 820 821 823 824 825 826 827 828 842 843 844 FISCAL YEAR LEASED YEAR 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2006 2006 2006 2005 2006 2005 2006 2006 2006 2005 2005 2005 CURRENT METER READING 47903 29797 40950 40800 25983 30628 80832 64918 39529 57540 43562 48485 43432 28063 26847 40243 40984 35531 33826 43433 18237 34849 30683 43211 37147 33253 16216 47388 44508 34823 33665 20880 51414 49753 34421 23580 52685 40773 29371 40182 31655 24618 25497 35118 40591 14166 34006 31299 25270 32446 4058 50925 41127 ASSIGNED EMPLOYEE CHRIS REEVES TIM WESTHOVEN JASON MCINTOSH BILLY FIELDS TOMMY STUART CHRIS GRAVES TED DAVIS ALEZ GONZALES DOUG MCKAY CHRIS HUNTER POOL CAR STEVE LEWIS JIM THORNTON DEE SCIVLEY KING JEFF TOMBERLIN MATT PHILLIP BROCK MIKE WEEMS BRIAN FORMAN MILAZZO TANT GLOVER R TANT JOE JONES NORM MCDUFFEY HARGROVE M MAXWELL HARRY LONG CARPENTER KIP COLE NEILL JANIE YORK KIP COLE BARGAINNIER MAC WEEMS W KEN MCGINNIS REAVES DAVID WRIGHT HOLDEN RICKY LINN MUNNERLYN DUKE MOORE STAN BENTON CHARLES HODGES LARRY FRANKS MARK DUNN PIERCE NICK GULAS SIU DEPT DIV 0410 0310 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2050 2050 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2010 2110 2110 2110 2220 2220 2220 2220 2220 2220 0710 2010 2010 DESCRIPTION CHEVROLET 1/2 TON PICKUP CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET PICK UP CHEVROLET PICK UP CHEVROLET PICK UP CHEVROLET TAHOE CHEVROLET PICKUP CHEVROLET PICKUP CHEVROLET PICKUP CHEVROLET PICKUP CHEVROLET PICK UP CHEVROLET PICK UP CHEVROLET PICKUP CHEVROLET PICKUP 75 of 192 TIME COMBINED RECEIVED DATE 9/8/2005 5/5/2005 7/29/2005 6/14/2005 6/2/2005 7/19/2005 6/23/2005 8/9/2005 8/16/2005 8/16/2005 8/9/2005 7/29/2005 5/19/2005 6/23/2005 7/5/2005 7/5/2005 7/19/2005 9/7/2005 9/15/2005 6/23/2005 6/13/2005 6/13/2005 6/23/2005 7/19/2005 8/9/2005 6/23/2005 6/23/2005 5/23/2005 5/25/2005 5/5/2005 5/7/2005 5/13/2005 5/5/2005 5/5/2005 5/6/2005 7/9/2005 8/24/2005 6/16/2005 7/19/2005 7/5/2005 9/2/2005 9/1/2005 9/1/2005 9/1/2005 5/5/2005 9/2/2005 9/2/2005 9/2/2005 9/2/2005 9/2/2005 9/30/2005 6/20/2005 6/20/2005 2005 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 2006 2007 Grand Total 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 SUMMARY OF LEASED VEHICLES AS OF 2-2-2008 Count of EQUIPMENT NUMBER EQUIPMENT NUMBER 849 850 851 860 861 862 863 864 865 866 867 868 869 870 871 872 894 895 896 897 898 899 900 901 902 903 904 905 906 908 909 910 911 912 913 914 915 916 917 918 919 920 921 922 923 924 925 926 927 928 929 930 931 FISCAL YEAR LEASED YEAR 2006 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 2005 CURRENT METER READING 32557 52415 16725 45956 39166 54017 29924 34972 44274 42219 38011 35534 19894 36574 10095 41805 42587 33202 36157 50435 39607 42942 50187 48180 33006 37887 38984 44152 37457 24725 31084 44014 21657 38417 22697 45355 34378 50471 36432 35687 56558 52884 33577 30178 50022 45331 32288 37666 28675 30069 31298 19404 19427 ASSIGNED EMPLOYEE DEPT DIV BIRCHFIELD KEVIN 5040 RANDALL MARTIN 5040 5040 SAUCEDA 2010 BARRY STAMPS 2010 K. CZESKLEBA 2010 PAUL WENDORF 2010 JAMES MINTON 2010 JEHAD AL-DAKKA 2010 MARK MILAZZO 2010 AUSTIN BROWN 2010 ED LEACH 2010 LEE LOVE 2010 MCDANAL TOM 2010 CLAIR MINTON 2010 PORTER STAN 2010 ANDRE BROWN 2010 GREEN GARY 2010 NEAL BYRD 2010 PATROL POOL 2010 MADDOX 2010 RICKEY WILLIAMS 2010 SCOTT SHIRLEY 2010 PERRY, KEVIN 2010 KYLE CUTCLIFF 2010 KEVIN MOSES 2010 MIKE WRIGHT 2010 PATROL POOL 2010 POOL 2010 RAY CHAFFIN 2010 JOHN BARNES 2010 DUNN K 2010 LOWERY 2010 SPLITTGERBER 2010 KEN GREGORY 2010 WALL J 2010 JOE JONES 2010 DEDRICK TURNER 2010 DOYLE BURNS 2010 ZARZOUR 2010 MIKE TOMLIN 2010 REGGIE PARKER 2010 PRESTON GRIFFITH 2010 SCARBROUGH BRUCE 2010 PATROL POOL 2010 ALLEN COHEN 2010 RUSSELL BLACK 2010 CHRIS COCHRAN 2010 JIM TURNER 2010 WASHINGTON 2010 TODD HENNINGSEN 2010 STANDEFFER 2010 WAYNE LOVELL 2010 DESCRIPTION CHEVROLET PICKUP CHEVROLET PICKUP CHEVROLET PICKUP CHEVROLET TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE CHEVROLET TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVRLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE 76 of 192 TIME COMBINED RECEIVED DATE 9/9/2005 9/8/2005 8/29/2005 7/9/2005 7/19/2005 8/16/2005 8/16/2005 7/26/2005 8/16/2005 7/29/2005 8/16/2005 8/2/2005 9/15/2005 7/5/2005 8/9/2005 7/9/2005 8/9/2005 5/1/2005 6/6/2005 5/18/2005 9/2/2005 8/2/2005 9/15/2005 7/9/2005 9/15/2005 7/29/2005 7/5/2005 5/18/2005 9/22/2005 6/23/2005 7/26/2005 8/24/2005 8/24/2005 8/24/2005 9/2/2005 9/15/2005 8/24/2005 7/29/2005 9/7/2005 8/24/2005 7/26/2005 8/18/2005 9/7/2005 7/5/2005 8/18/2005 8/18/2005 8/2/2005 7/26/2005 7/29/2005 8/18/2005 8/2/2005 9/15/2005 9/2/2005 2005 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 2006 2007 Grand Total 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 SUMMARY OF LEASED VEHICLES AS OF 2-2-2008 Count of EQUIPMENT NUMBER EQUIPMENT NUMBER 932 933 934 935 936 937 938 939 941 944 945 946 947 948 949 950 951 952 957 2008 2009 Grand Total FISCAL YEAR LEASED YEAR 2005 2005 2005 2005 2005 2005 2005 2005 2005 2006 2006 2006 2006 2006 2006 2006 2006 2006 2007 2007 2007 CURRENT METER READING 35564 35658 38070 45536 39372 44738 26929 37193 52506 14428 6048 30235 21415 35870 23477 17223 9179 10960 22502 10211 12284 ASSIGNED EMPLOYEE TUCKER MCGAIRTY, C.D. CLIFF HARRIS FOSTER DALE HARDIN TOM KITCHENS CHIP JOHNSEY MIKE LUCAS TIM PUGH MARK TANT OPERATIONS FLEET POOL REGGIE PARKER LINBAUGH WADE COURT ALLEN PATE DERZIS A.C. ROPER DEPT DIV 2010 2010 2010 2010 2050 2010 2010 2010 2010 2010 4560 4560 2050 2050 2220 3010 5040 5040 0310 2010 2010 DESCRIPTION CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE CHEVROLET TAHOE TAHOE TAHOE TAHOE TAHOE TAHOE PICKUP TRUCK IMPALA IMPALA CHEVROLET TAHOE CHEVROLET TAHOE 1500 PICKUP IMPALA SEDAN 2500 1500 TAHOE CHEV TAHOE TAHOE TIME COMBINED RECEIVED DATE 7/9/2005 9/2/2005 8/2/2005 7/9/2005 7/26/2005 7/26/2005 9/2/2005 8/9/2005 8/2/2005 2/16/2006 12/7/2005 12/7/2005 12/1/2005 12/1/2005 11/30/2005 11/30/2005 11/30/2005 12/28/2005 3/23/2006 11/9/2006 12/14/2006 2005 1 1 1 1 1 1 1 1 1 2006 1 1 1 1 1 1 1 1 1 1 115 TAHOE TRUCK IMPALA TOTAL TAHOE TRUCK IMPALA TOTAL 77 of 192 Grand Total 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 127 2007 1 1 2 10 100 15 0 115 2,000,000.00 180,000.00 2,180,000.00 3 4 3 10 - 2 0 0 2 - 105 19 3 127 - EXPENDITURE BUDGET - FUND 115 FLEET SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 115-0310-413.44-35 PROPERTY RENTAL SERVICES TAHOE ASST DIRECTOR W/ TAX TAHOE EXEC DIRECTOR W/ TAX 115-0310-413.61-40 PURCHASED SUPPLIES 115-0310-413.61-50 PURCHASED SUPPLIES 115-0310-413.75-99 VEHICLES 115-0355-413.75-99 VEHICLES GOLF CART FOR SPECIAL EVENTS 2 @ $12,500 (GOLFCT) 115-0410-413.44-35 PROPERTY RENTAL SERVICES 1500 EXT CAB 4WD W/TAX 115-0410-413.61-10 PURCHASED SUPPLIES 115-0410-413.61-40 PURCHASED SUPPLIES 115-0410-413.61-50 PURCHASED SUPPLIES 115-0410-413.75-99 VEHICLES 115-0420-413.61-40 PURCHASED SUPPLIES 115-0420-413.61-50 PURCHASED SUPPLIES 115-0710-416.44-35 PROPERTY RENTAL SERVICES 1500 EXT CAB 2WD W/ TAX 115-0710-416.61-40 PURCHASED SUPPLIES 115-0710-416.61-50 PURCHASED SUPPLIES 115-0710-416.75-99 VEHICLES 115-0730-416.61-40 PURCHASED SUPPLIES 115-0730-416.61-50 PURCHASED SUPPLIES 115-1220-414.61-40 PURCHASED SUPPLIES 115-1220-414.61-50 PURCHASED SUPPLIES 115-1220-414.75-99 VEHICLES 115-1810-415.61-40 PURCHASED SUPPLIES 115-1810-415.61-50 PURCHASED SUPPLIES 115-1810-415.75-99 VEHICLES 115-1910-415.61-40 PURCHASED SUPPLIES 115-1910-415.61-50 PURCHASED SUPPLIES FY 2008 LINE ITEMS $ 7,035 8,541 FY 2005 ACTUAL $ 2,867 FY 2006 ACTUAL $ 11,483 FY 2007 UNAUDITED $ 15,576 FY 2008 ORIGINAL BUDGET $ 15,576 1,608 117 - 4,289 3,263 - 5,335 598 - 10,000 5,000 25,000 532 6,387 6,387 6,388 2,986 555 1,633 1,366 - 2,290 4,636 3,905 2,150 689 5,088 3,913 215 1,944 1,541 5,088 7,000 2,000 3,500 3,000 5,089 1,080 386 915 434 4,149 1,041 852 256 1,813 1,119 6,011 584 559 740 23,847 2,370 548 63,721 603 372 26,643 5,406 396 1,000 2,500 4,000 2,500 700 800 7,500 700 25,000 6,388 5,089 78 of 192 EXPENDITURE BUDGET - FUND 115 FLEET SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 115-2010-415.44-35 PROPERTY RENTAL SERVICES 2010 TAHOE 2WD LT W/TAX 2010 TAHOE 4WD LT W/TAX 2010 TAHOE 4WD LS W/TAX - 5 2015 LEASE INSTEAD OF PURCHASE TAHOE REPLACE 4WD 2025 1500 EXT CAB 2WD 133" W/TAX 2030 TAHOE 4WD LS W/TAX - 4 2040 TAHOE 2WD LT - 69 2045 TAHOE 2WD LT W/TAX - 8 2046 TAHOE 2WD LT W/TAX - 4 2051 LEASE INSTEAD OF PURCHASE REPLACE 4WD TAHOE 2055 1500 EXT CAB 2WD 133" W/TAX 2055 TAHOE 4WD LS W/TAX TAHOE 4WD LS W/TAX 115-2010-415.61-10 PURCHASED SUPPLIES 115-2010-415.61-40 PURCHASED SUPPLIES 2010 2015 2020 2025 2030 2035 2040 2041 2045 2046 2051 2055 2065 2075 FY 2008 LINE ITEMS FY 2005 ACTUAL 18,615 FY 2006 ACTUAL 51,591 FY 2007 UNAUDITED 51,591 FY 2008 ORIGINAL BUDGET 611,297 1,375 18,505 23,085 19,125 575,947 6,001 7,035 38,556 8,443 5,089 30,845 414,061 48,008 24,004 8,742 5,089 7,712 7,712 24,904 3,500 41,000 8,500 15,000 2,000 330,901 19,000 71,902 28,140 1,600 12,000 14,000 3,500 79 of 192 EXPENDITURE BUDGET - FUND 115 FLEET SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 115-2010-415.61-50 PURCHASED SUPPLIES 2010 2015 2020 2025 2030 2035 2040 2041 2045 2046 2055 2065 2075 115-2010-415.75-99 VEHICLES 115-2015-415.44-35 PROPERTY RENTAL SERVICES 115-2015-415.61-10 PURCHASED SUPPLIES 115-2015-415.61-40 PURCHASED SUPPLIES 115-2015-415.61-50 PURCHASED SUPPLIES 115-2020-415.61-40 PURCHASED SUPPLIES 115-2020-415.61-50 PURCHASED SUPPLIES 115-2020-415.75-99 VEHICLES 115-2025-415.44-35 PROPERTY RENTAL SERVICES 115-2025-415.61-40 PURCHASED SUPPLIES 115-2025-415.61-50 PURCHASED SUPPLIES 115-2030-415.44-35 PROPERTY RENTAL SERVICES 115-2030-415.61-40 PURCHASED SUPPLIES 115-2030-415.61-50 PURCHASED SUPPLIES 115-2035-415.44-35 PROPERTY RENTAL SERVICES 115-2035-415.61-40 PURCHASED SUPPLIES 115-2035-415.61-50 PURCHASED SUPPLIES 115-2040-415.44-35 PROPERTY RENTAL SERVICES 115-2040-415.61-10 PURCHASED SUPPLIES 115-2040-415.61-40 PURCHASED SUPPLIES 115-2040-415.61-50 PURCHASED SUPPLIES 115-2040-415.75-99 VEHICLES 115-2041-415.44-35 PROPERTY RENTAL SERVICES 115-2041-415.61-40 PURCHASED SUPPLIES 115-2041-415.61-50 PURCHASED SUPPLIES 115-2045-415.44-35 PROPERTY RENTAL SERVICES 115-2045-415.61-10 PURCHASED SUPPLIES 115-2045-415.61-40 PURCHASED SUPPLIES FY 2008 LINE ITEMS FY 2005 ACTUAL 9,906 FY 2006 ACTUAL 10,068 FY 2007 UNAUDITED 15,033 FY 2008 ORIGINAL BUDGET 135,000 3,519 9,489 25,533 6,629 1,430 11,022 5,474 10,115 10,545 3,796 5,658 12 53 66,418 721,036 171,384 44,890 1,800 5,625 27,056 26,218 503 644 34,390 7,290 5,088 12,106 3,973 30,844 16,364 3,972 5,353 414,066 313,859 56,580 14,936 632 48,008 43,560 6,662 5,633 4,092 1,197 30,937 12,119 5,088 9,262 2,710 30,844 14,565 3,229 141 120 414,066 123,009 314,969 61,712 398,021 15,090 2,979 48,008 42,963 43,798 - 13,000 2,000 14,000 3,300 2,600 2,000 57,000 6,000 20,000 5,500 6,000 3,500 100 80 of 192 EXPENDITURE BUDGET - FUND 115 FLEET SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER 115-2045-415.61-50 115-2045-415.75-99 115-2046-415.44-35 115-2046-415.61-40 115-2046-415.61-50 115-2050-415.44-35 115-2050-415.61-10 115-2050-415.61-40 115-2050-415.61-50 115-2050-415.75-99 115-2051-415.44-35 115-2051-415.61-10 115-2051-415.61-40 115-2055-415.44-35 115-2055-415.61-40 115-2055-415.61-50 115-2060-415.61-40 115-2060-415.61-50 115-2060-415.75-99 115-2065-415.44-35 115-2065-415.61-40 115-2065-415.61-50 115-2070-415.61-40 115-2070-415.61-50 115-2075-415.61-40 115-2075-415.61-50 115-2110-415.43-20 115-2110-415.44-35 115-2110-415.61-10 115-2110-415.61-40 115-2110-415.61-50 115-2110-415.74-99 115-2110-415.75-99 115-2210-413.44-35 115-2210-413.61-40 ACCOUNT DESCRIPTION PURCHASED SUPPLIES VEHICLES PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES PROPERTY RENTAL SERVICES TAHOE 4WD LS W/TAX - 2 TAHOE 2WD LT W/TAX - 2 TAHOE 2WD LT W/TAX - 2 PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES CARRYOVER (VEHIC) 6 SRO'S PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES 1500 EXT CAB 4WD 119" W/TAX - 3 PURCHASED SUPPLIES AERIAL CAMERAS (3 @ 5,000) PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT VEHICLES PROPERTY RENTAL SERVICES TAHOE 4WD LT W/TAX PURCHASED SUPPLIES FY 2008 LINE ITEMS FY 2008 ORIGINAL BUDGET FY 2005 ACTUAL 19,678 3,467 4,713 121 6,141 FY 2006 ACTUAL 12,992 24,004 28,869 7,384 38,828 FY 2007 UNAUDITED 18,450 24,004 26,794 4,967 41,099 14,874 5,588 - 14,291 22,380 2,775 - 4,044 21,779 7,563 32,822 25,000 6,000 225,000 1,430 5,658 2,058 1,975 1,210 1,217 6,866 1,218 3,242 1,163 122 121 408 1,579 12,800 9,359 3,651 12 7,711 11,470 1,618 3,185 393 19,162 7,797 5,633 721 12,800 7,845 3,631 10 7,711 14,218 3,370 1,885 89 19,162 50 19,162 9,531 22,049 - 15,000 71,728 123,957 24,625 2,867 87,667 107,820 16,168 7,035 93,639 117,895 88,992 7,035 113,000 103,000 7,035 147 - - 100 41,100 15,423 12,002 13,675 225,000 19,162 15,000 7,035 81 of 192 EXPENDITURE BUDGET - FUND 115 FLEET SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 115-2220-413.44-35 PROPERTY RENTAL SERVICES 1500 EXT CAB 4WD 119" W/TAX - 5 115-2220-413.61-40 PURCHASED SUPPLIES 115-2220-413.61-50 PURCHASED SUPPLIES 115-2220-413.75-99 VEHICLES 115-2230-413.44-35 PROPERTY RENTAL SERVICES 1500 EXT CAB 4WD 119" W/TAX 115-3010-415.44-35 PROPERTY RENTAL SERVICES IMPALA W/TAX 115-3010-415.61-40 PURCHASED SUPPLIES 115-3010-415.61-50 PURCHASED SUPPLIES 115-3020-415.61-10 PURCHASED SUPPLIES 115-3020-415.61-40 PURCHASED SUPPLIES 115-3020-415.61-50 PURCHASED SUPPLIES 115-4010-413.61-40 PURCHASED SUPPLIES 115-4010-413.61-50 PURCHASED SUPPLIES 115-4020-413.61-40 PURCHASED SUPPLIES 115-4020-413.61-50 PURCHASED SUPPLIES 115-4020-413.74-99 EQUIPMENT FRONT CUT MOWER REPLACE 1165/1267/1251/1266 (TRAMOW) 4 @ 17,500 115-4020-413.75-99 115-4030-413.44-30 115-4030-413.61-40 115-4030-413.61-50 115-4030-413.75-99 115-4560-413.34-15 115-4560-413.39-10 115-4560-413.43-10 115-4560-413.43-20 115-4560-413.44-30 FY 2008 LINE ITEMS FY 2005 ACTUAL 2,644 FY 2006 ACTUAL 31,936 FY 2007 UNAUDITED 31,936 FY 2008 ORIGINAL BUDGET 31,937 26,017 8,720 - 39,812 11,184 5,466 35,400 6,240 6,578 61,000 15,890 6,578 - 4,235 5,089 5,089 436 53 7,827 2,345 31,736 1,903 65,437 81,755 - 1,787 233 10,333 3,248 7,358 2,035 113,860 85,937 - 1,776 285 1,202 9,406 4,618 5,238 1,015 88,341 73,746 - 2,300 500 12,000 7,000 10,000 2,000 125,552 64,000 81,500 - - 32,016 37,000 2,100 5,779 6,280 62,729 1,148 9,695 12,606 57,899 2,320 1,840 11,506 9,469 16,140 1,240 5,200 15,000 5,000 6,000 4,800 4,341 6,294 9 2,951 10,975 188 3,347 9,397 300 4,000 13,000 31,937 6,578 5,089 70,000 JACKHAMMER ATTACHMENT FOR DEMO OF GUTTERS & SIDEWALKS AND BREAKING ROCKS IN DRAINAGE WAYS (JACKHM) VEHICLES FORKLIFTS (1) FOR UNLOADING TRUCKS AND LIFTING PALLETS FOR STORAGE RACKS (FORKLF) PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES PURCHASED MGMT. SERVICES REGIS.FEES-CONF,SEM,CERTI FLEET MANAGEMENT INSTITUTE FOR NAFA LAW ENFORCEMENT GROUP FOR NAFA BOARD OF GOVERNORS FOR NAFA EVT TESTING AND TRAINING MOTORCYCLE REPAIR TESTING AND TRAINING HTE CONFERENCE PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES 11,500 37,000 82 of 192 EXPENDITURE BUDGET - FUND 115 FLEET SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 115-4560-413.44-35 PROPERTY RENTAL SERVICES EXT CAB 133" W/TAX IMPALA W/TAX - 2 115-4560-413.50-99 PERMITS AND FEES 115-4560-413.55-10 PURCH. PRINT. & BIND. SVC 115-4560-413.58-10 TRAVEL, MEALS, & LODGING FLEET MANAGEMENT INSTITUTE FOR NAFA LAW ENFORCEMENT GROUP FOR NAFA BOARD OF GOVERNORS FOR NAFA EVT TESTING AND TRAINING MOTORCYCLE REPAIR TESTING AND TRAINING HTE CONFERENCE NAFA MONTHLY MEETINGS 115-4560-413.58-20 TRAVEL, MEALS, & LODGING 115-4560-413.59-10 MEMBERSHIP DUES NAFA MEMBERSHIP 115-4560-413.59-20 MEMBERSHIP DUES CLEAN CITIES OF ALABAMA 115-4560-413.61-10 PURCHASED SUPPLIES MECHANIC TOOL ALLOWANCES 500 PER MECHANIC OFFICE AND SHOP SUPPLIES AND SHOP TOOLS SHOP EQUIPMENT AND SPECIAL TOOLS ROAD FORCE WHEEL BALANCER TO KEEP UP WITH NEW TIRE SIZE AND TECHNOLOGY MOTORCYCLE AND SMALL EQUIPMENT LIFT FOR ADDITION OF SO MANY SMALL MOWERS & PARKS EQUIP 115-4560-413.61-30 PURCHASED SUPPLIES 115-4560-413.61-40 PURCHASED SUPPLIES 115-4560-413.61-50 PURCHASED SUPPLIES 115-4560-413.61-90 PURCHASED SUPPLIES 115-4560-413.64-10 BKS, PERIODICAL & A/V MAT 115-4560-413.64-20 BKS, PERIODICAL & A/V MAT 115-4560-413.74-99 EQUIPMENT 115-4560-413.75-99 VEHICLES 15000 LB FORKLIFT (FORKLF) REFURBISH TROLLEYS - INSIDE MODIFICATIONS AND MOTOR UPGRADES (TROLLY) 115-4561-413.61-40 PURCHASED SUPPLIES 115-5020-419.61-40 PURCHASED SUPPLIES 115-5020-419.61-50 PURCHASED SUPPLIES 115-5020-419.75-99 VEHICLES FY 2008 LINE ITEMS - FY 2006 ACTUAL 11,434 FY 2007 UNAUDITED 15,505 FY 2008 ORIGINAL BUDGET 15,506 1,202 68 6,714 90 1,663 90 500 8,500 30 415 1,169 435 440 800 500 - - 2,500 46,137 41,984 66,632 71,850 118 8,231 8,140 893 1,500 - 101 12,617 8,979 (12,986) 2,275 13,090 - 202 12,402 15,516 4,465 2,321 47,400 39,495 200 20,000 15,000 1,000 1,000 3,000 80,500 127 3,062 980 - 1,248 4,835 1,891 - 936 5,931 1,539 40,756 5,000 6,000 4,000 - FY 2005 ACTUAL 5,327 10,179 800 2,500 55,850 9,500 6,500 40,500 40,000 83 of 192 EXPENDITURE BUDGET - FUND 115 FLEET SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 115-5040-419.44-35 PROPERTY RENTAL SERVICES 2500 4 DR CREW CAB 157" 4WD W/TAX 2500 4 DR CREW CAB 157" 4WD W/TAX 1500 EXT CAB 133" W/TAX - 2 1500 EXT CAB 133" W/TAX 115-5040-419.61-10 PURCHASED SUPPLIES ENCLOSED TRAILER NEW DUAL AXLE TRAILER NEW (DUTRA) WAS < 10,000 115-5040-419.61-40 PURCHASED SUPPLIES 115-5040-419.61-50 PURCHASED SUPPLIES 115-5040-419.74-99 EQUIPMENT DINGO LOADER PLUS ATTACHMENTS (DINGLD) NEW FRONT CUT MOWER NEW 10 FT CUTTING WIDTH (TRAMOW) REEL MOWER REPLACE (MOWREE) TRACTOR REPLACEMENTS (TRACT) 1 @ $19,000 INFIELD PRO REPLACEMENT (INFPRO) TURF TRUCKSTER NEW (TURFTR) TOP DRESSER NEW (TOPDRE) FRONT CUT MOWER REPLACEMENT (TRAMOW) 115-5040-419.75-99 VEHICLES 115-5050-419.75-99 VEHICLES 115-5070-419.61-40 PURCHASED SUPPLIES 115-5070-419.61-50 PURCHASED SUPPLIES 115-5070-419.75-99 VEHICLES 115-6010-418.61-40 PURCHASED SUPPLIES 115-6010-418.61-50 PURCHASED SUPPLIES 115-6010-418.75-99 VEHICLES FY 2008 LINE ITEMS FY 2005 ACTUAL 1,407 FY 2006 ACTUAL 26,356 FY 2007 UNAUDITED 29,128 FY 2008 ORIGINAL BUDGET 29,129 228 - - 21,499 42,654 43,095 89,627 58,435 32,365 139,901 59,697 40,049 - 67,000 40,008 199,500 35,033 330 740 21,300 1,600 4,932 2,452 861 498 - 15,930 5,125 3,076 22,359 850 279 - 7,500 6,000 2,000 1,000 - 6,712 6,943 10,178 5,296 9,999 11,500 33,000 49,000 25,000 19,000 19,000 22,000 12,500 20,000 GRAND TOTAL FUND 115 OPERATING & CAPITAL $ 84 of 192 2,164,769 $ 2,390,323 $ 3,207,879 $ 3,098,472 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER 117-0110-410.53-05 117-0110-410.53-10 117-0110-410.53-15 117-0110-410.61-10 117-0110-410.61-15 117-0125-410.61-15 117-0210-411.53-15 117-0210-411.61-10 117-0220-411.34-20 117-0220-411.34-50 117-0220-411.43-20 117-0220-411.53-05 117-0220-411.53-10 117-0220-411.53-15 117-0220-411.61-07 117-0220-411.61-10 117-0220-411.61-15 117-0310-413.53-05 117-0310-413.53-10 117-0310-413.53-15 117-0310-413.61-07 117-0310-413.61-10 117-0310-413.61-15 117-0315-413.53-15 117-0315-413.61-07 117-0315-413.61-10 117-0315-413.61-15 117-0315-413.74-99 117-0355-413.53-10 117-0355-413.53-15 117-0355-413.61-15 ACCOUNT DESCRIPTION OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES CAMERA IMAGE PRINTER (PCNEW) CAMERA EQUIPMENT & ACCESSORIES (PCNEW) PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES HTE PLANNING & ENGINEERING TRAINING (NONE) PURCH.RPR.,MNTCE,INST.SVC PLOTTER/SCANNER (HARDMT) OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES HTE PLANNING AND ZONING/ENGINEERING (SOFLIC) MUNIMETRIX CLERKS INDEXING SYSTEM (SOFLIC) MUNICODE MUNICIPAL CODE ON WEBSITE (SOFLIC) PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES SHERTEC PARCS SOFTWARE (SOFLIC) PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES RISKENVISION SOFTWARE (SOFLIC) PURCHASED SUPPLIES NEXTEL RADIO (NONE) DIGITAL CAMERA (DIGCAM) PURCHASED SUPPLIES EQUIPMENT OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES FY 2008 LINE ITEMS $ - FY 2005 ACTUAL $ 663 66 1,025 - FY 2006 ACTUAL $ 628 70 1,224 100 FY 2007 UNAUDITED $ 639 62 1,345 - FY 2008 ORIGINAL BUDGET $ 800 200 1,500 8,000 98 184 - 119 1,334 39 7,978 5,013 25,000 5,000 6,132 6,312 5,962 7,000 675 55 975 3,965 327 44 951 3,725 179 46 896 6,350 1,500 200 1,500 5,900 1,037 2,366 392 1,134 - 256 5,294 2,417 433 2,743 1,645 2,011 412 3,057 - 3,500 300 3,000 2,000 150 166 488 - 300 9,944 476 4,800 288 448 5,280 1,200 5,500 - - - 600 34,315 - - 22 897 240 50 1,000 - 2,000 6,000 5,000 7,000 4,900 500 500 2,000 5,500 100 500 85 of 192 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER 117-0410-413.34-20 117-0410-413.53-05 117-0410-413.53-10 117-0410-413.53-15 117-0410-413.53-55 117-0410-413.61-07 117-0410-413.61-10 117-0410-413.61-15 117-0410-413.74-99 117-0420-413.61-10 117-0420-413.61-15 117-0610-416.53-05 117-0610-416.53-10 117-0610-416.53-15 117-0610-416.53-55 117-0610-416.61-07 117-0610-416.61-10 117-0610-416.61-15 ACCOUNT DESCRIPTION PURCHASED MGMT. SERVICES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. VERIZON AIR CARD REEVES - 12 @ $50 PURCHASED SUPPLIES AUTOCAD (SOFLIC) AASIDRA SOFTWARE (SOFLIC) TRANSSOFT SOFTWARE AUTOTURN (SOFLIC) ADD SYNCHRO STUDIO 7 (SOFMIC) ADD BENTLEY FLOWMASTER/CULVERT/STORMCAD/HECPACK PONDPACK (SOFLIC) BILLED QUARTERLY @ $420 A QUARTER ADD CID CONTROLLER INTERFACE DEVICE (SOFMIC) PURCHASED SUPPLIES COLOR PRINTER REPLACEMENT (PCREPL) COLOR PRINTER REPLACEMENT (PCREPL) 11X17 PURCHASED SUPPLIES EQUIPMENT ADD HP PLOTTER (PLOTEN) PURCHASED SUPPLIES PRINTER @ GREENHOUSE (PCNEW) PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PEOPLEADMIN (SOFLIC) HTE APPLICANT TRACKING (SOFLIC) CRITICALL (SOFLIC) OPAC (SOFLIC) HTE HR SOFTWARE (SOFLIC) PURCHASED SUPPLIES 2ND MONITOR FOR HR ADMIN ASST III/ADAPTER (PCNEW) REPLACEMENT COMPUTERS (PCREPL) REPLACEMENT PRINTERS (PCREPL) PURCHASED SUPPLIES FY 2008 LINE ITEMS 3,714 107 2,443 - 3,861 111 2,665 - 3,863 103 3,596 376 FY 2008 ORIGINAL BUDGET 25,000 5,000 200 3,500 600 9,026 6,020 2,735 8,740 - 240 - 7,387 5,040 - 2,475 - 2,210 - 24,000 - - - 400 1,237 122 88 975 8,739 2,057 125 111 1,135 24 21,059 993 125 152 1,343 292 28,194 250 150 1,500 600 26,100 - 150 2,362 5,100 1,753 6,677 - - FY 2005 ACTUAL FY 2006 ACTUAL FY 2007 UNAUDITED 600 500 1,000 500 2,060 1,680 3,000 3,000 4,387 24,000 400 14,500 3,000 600 500 7,500 600 3,000 1,500 86 of 192 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 117-0610-416.74-99 EQUIPMENT CARRYOVER (HRSOFT) 117-0710-416.35-99 PURCHASED TECHNICAL SVCS. MISC TECHNICAL SERVICES (NONE) 117-0710-416.39-10 REGIS.FEES-CONF,SEM,CERTI IT/TELECOM TRAINING CABLE/TELECOM REGULATION TRAINING GOVT OPERATIONS/TECHNOLOGY TRAINING 117-0710-416.44-30 PROPERTY RENTAL SERVICES COPIER LEASE 117-0710-416.53-05 OTHER PURCH. SVS. COMM. 117-0710-416.53-10 OTHER PURCH. SVS. COMM. 117-0710-416.53-15 OTHER PURCH. SVS. COMM. 117-0710-416.53-50 OTHER PURCH. SVS. COMM. CABLE MODEM INTERNET SERVICE AT RVPARK CABLE MODEM INTERNET SERVICE AT REGIONS PARK CABLE MODEM INTERNET SERVICE AT PUBLIC SAFETY 117-0710-416.53-55 OTHER PURCH. SVS. COMM. 117-0710-416.55-10 PURCH. PRINT. & BIND. SVC 117-0710-416.58-10 TRAVEL, MEALS, & LODGING IT/TELEPHONY TRAINING CABLE/TELECOM REG TRAINING GOVT OPERATIONS/TECHNOLOGY TRAINING 117-0710-416.58-20 TRAVEL, MEALS, & LODGING 117-0710-416.59-10 MEMBERSHIP DUES GFOA AGA IIA TECH ASSOCIATION TELECOM ASSOCIATION 117-0710-416.59-20 MEMBERSHIP DUES NATOA URISA 117-0710-416.61-07 PURCHASED SUPPLIES MISC (SOFMIC) 117-0710-416.61-10 PURCHASED SUPPLIES DEPARTMENT SUPPLIES (NONE) 117-0710-416.61-15 PURCHASED SUPPLIES 117-0710-416.61-30 PURCHASED SUPPLIES 117-0710-416.64-10 BKS, PERIODICAL & A/V MAT FY 2008 LINE ITEMS - FY 2006 ACTUAL 27,600 FY 2007 UNAUDITED 8,741 FY 2008 ORIGINAL BUDGET 7,658 26,227 24,813 10,382 10,000 149 645 440 3,000 2,346 2,490 2,573 8,000 22 35 1,161 - 26 39 1,420 - 29 38 1,322 - 200 100 2,400 15,000 192 - 340 998 584 1,060 1,000 200 3,200 313 380 25 385 465 750 750 1,200 1,200 1,500 - 130 2,520 5,000 3,860 5,041 2,525 3,000 1,551 40 123 194 47 3,238 139 - 250 200 FY 2005 ACTUAL 7,658 10,000 1,000 1,000 1,000 8,000 6,000 3,000 6,000 1,200 1,000 1,000 150 150 150 150 150 1,000 500 5,000 3,000 87 of 192 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 117-0710-416.64-20 BKS, PERIODICAL & A/V MAT MULTI CHANNEL VIDEO COMPLIANCE GUIDE 117-0730-416.34-50 PURCHASED MGMT. SERVICES I-SERIES MANAGEMENT CONSULTING SERVICES (NONE) BACK-UP AND REDUNDANCY MAMAGEMENT SERVICES (NONE) 117-0730-416.39-10 REGIS.FEES-CONF,SEM,CERTI I-SERIES TECHNICAL TRAINING HTE USERS GROUP 117-0730-416.43-20 PURCH.RPR.,MNTCE,INST.SVC HOOVER1 IBM E-SERVER I5 (HARDMT) HOOVER3 IBM E-SERVER I5 (HARDMT) IBM E-SERVER PSERIES (HARDMT) MAGSTAR TAPE LIBRARY DATASERVER (HARDMT) IBM HW MGMT CONSOLE (HARDMT) RACK-MOUNT FLAT PANEL CONSOLE (HARDMT) MISCELLANOUS (HARDMT) 117-0730-416.53-05 OTHER PURCH. SVS. COMM. 117-0730-416.53-10 OTHER PURCH. SVS. COMM. 117-0730-416.53-15 OTHER PURCH. SVS. COMM. 117-0730-416.53-50 OTHER PURCH. SVS. COMM. 117-0730-416.58-10 TRAVEL, MEALS, & LODGING ISERES TECHNICAL TRAINING HTE USERS GROUP OTHER 117-0730-416.58-20 TRAVEL, MEALS, & LODGING 117-0730-416.59-10 MEMBERSHIP DUES HTE USERS GROUP COMMON 117-0730-416.61-07 PURCHASED SUPPLIES HTE NAVILINE (SOFLIC) HTE QREP (SOFLIC) HTE DMS (SOFLIC) HTE RETROFIT MODIFICATIONS (SOFLIC) HOOVER1 OS (SOFLIC) HOOVER3 OS (SOFLIC) MISC (SOFMIC) 117-0730-416.61-10 PURCHASED SUPPLIES OFFICE SUPPLIES/MATERIALS (NONE) 117-0730-416.61-15 PURCHASED SUPPLIES 117-0730-416.61-20 PURCHASED SUPPLIES 117-0730-416.61-30 PURCHASED SUPPLIES FY 2008 LINE ITEMS FY 2005 ACTUAL 549 FY 2006 ACTUAL 594 FY 2007 UNAUDITED 569 FY 2008 ORIGINAL BUDGET 750 - 8,071 5,274 39,000 1,790 - 395 1,700 21,391 26,056 53,750 30,500 549 531 662 32,311 2,392 432 (174) 945 28,077 813 2,159 (351) 896 19,129 1,161 1,000 450 1,200 25,000 3,000 750 14,000 25,000 1,200 500 6,000 12,000 2,000 4,000 1,000 500 5,000 1,500 1,000 500 53 275 184 320 320 350 21,162 8,520 9,499 30,500 1,419 3,277 2,094 3,000 - 870 253 - 250 400 200 150 2,000 2,000 2,000 3,000 4,000 12,500 5,000 3,000 88 of 192 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 117-0730-416.64-10 BKS, PERIODICAL & A/V MAT 117-0730-416.64-20 BKS, PERIODICAL & A/V MAT 117-0730-416.74-99 EQUIPMENT CARRYOVER (UPSISE) UPS FOR ISERIES 117-0740-416.34-50 PURCHASED MGMT. SERVICES NETWORK CONSULTING SERVICES (LANWN2) 117-0740-416.39-10 REGIS.FEES-CONF,SEM,CERTI NETWORK ADMIN/SECURITY TRAINING CISCO TRAINING 117-0740-416.43-20 PURCH.RPR.,MNTCE,INST.SVC CISCO NETWORK EQUIPMENT MAINTENANCE (HARDMT) 117-0740-416.53-15 OTHER PURCH. SVS. COMM. 117-0740-416.58-10 TRAVEL, MEALS, & LODGING NETWORK ADMIN/SECURITY TRAINING OTHER 117-0740-416.58-20 TRAVEL, MEALS, & LODGING 117-0740-416.61-07 PURCHASED SUPPLIES EXCHANGE SERVER ENTERPRISE (SOFLIC) NETILLA REMOTE ACCESS VPN (SOFLIC) DESKTOP AUTHORITY (SOFLIC) SOLARWINDS NETWORK MONITOR (SOFLIC) DAMEWARE REMOTE ADMIN SOFTWARE (SOFLIC) WEBSENSE INTERNET FILTERING (SOFLIC) APPRIVER SPAM FILERING (SOFLIC) 117-0740-416.61-10 PURCHASED SUPPLIES NETWORK EQUIPMENT AND MATERIALS (LANWN2) NETWORK EQUIPMENT (LANWN2) 117-0740-416.61-15 PURCHASED SUPPLIES 117-0740-416.61-20 PURCHASED SUPPLIES 117-0740-416.61-30 PURCHASED SUPPLIES 117-0740-416.64-10 BKS, PERIODICAL & A/V MAT 117-0740-416.74-99 EQUIPMENT CARRYOVER UPS FOR NETWORK (UPSGEN) 117-0750-416.34-50 PURCHASED MGMT. SERVICES VOIP CONSULTING SERVICES (PHONE) 117-0750-416.35-99 PURCHASED TECHNICAL SVCS. CISCO PHONE SYSTEM TECHNICAL SERVICES (PHONE) CABLE INSTALLATIONS, REPAIRS MAINTENANCE (PHONE) 117-0750-416.39-10 REGIS.FEES-CONF,SEM,CERTI ATMA CONFERENCE VOIP CALLMANGER TRAINING CISCO NETWORK TRAINING FY 2008 LINE ITEMS 249 - 249 7,224 249 - FY 2008 ORIGINAL BUDGET 100 300 15,500 7,798 12,048 13,041 36,000 830 - - 5,000 - 23,133 23,673 35,000 650 - 951 - 896 - 750 1,700 44 5,247 9,139 17,355 27,500 45,865 28,957 13,416 75,000 2,875 129 24,547 3,039 224 74,103 63,461 114 - 250 250 200 5,501 29,535 9,500 - 17,500 3,598 9,323 23,662 35,000 6,632 125 125 9,000 FY 2005 ACTUAL FY 2006 ACTUAL FY 2007 UNAUDITED 15,500 36,000 2,000 3,000 35,000 1,500 200 10,000 2,500 2,000 1,000 1,000 5,000 6,000 40,000 35,000 5,501 17,500 17,500 17,500 500 4,000 4,500 89 of 192 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 117-0750-416.43-20 PURCH.RPR.,MNTCE,INST.SVC NORTEL PBX SUPPORT (HARDMT) CISCO VOIP EQUIPMENT SUPPORT (HARDMT) MISC REPAIRS TO PHONE EQUIPMENT (HARDMT) 117-0750-416.53-05 OTHER PURCH. SVS. COMM. 117-0750-416.53-10 OTHER PURCH. SVS. COMM. 117-0750-416.53-15 OTHER PURCH. SVS. COMM. 117-0750-416.53-50 OTHER PURCH. SVS. COMM. ORIGINAL 117-0750-416.53-55 OTHER PURCH. SVS. COMM. 117-0750-416.58-10 TRAVEL, MEALS, & LODGING ATMA CONFERENCE VOIP TRAINING CISCO TRAINING OTHER 117-0750-416.59-10 MEMBERSHIP DUES ALABAMA TELECOM MANAGERS ASSOCIATION 117-0750-416.61-07 PURCHASED SUPPLIES BLACKBERRY ENTERPRISE SERVER (SOFLIC) BLACKBERRY APPLICATION SOFTWARE (SOFLIC) CISCO PERSONAL ASSISTANT SOFTWARE (SOFLIC) CISCO PERSONAL ASSISTANT USER LICENSES (SOFLIC) NORTEL, CALLPILOT, OPTIVITY, SUCCESSION (SOFLIC) CISCO CALLMANAGER (SOFLIC) EMERGENCY RESPONDER - PINPOINT 911 (SOFLIC) NETMOTION WIRELESS MANAGER SOFTWARE (SOFLIC) CISCO UNITY UNIFIED MESSAGING (SOFLIC) 117-0750-416.61-10 PURCHASED SUPPLIES NEXTEL PHONES/RADIOS/BLACKBERRYS (NONE) PHONE/RADIO ACCESSORIES (NONE) CISCO IP PHONES (PHONE) MISCELLENEOUS CISCO VOIP COMPONENTS (PHONE) CISCO VOIP COMPONENTS (PHONE) 117-0750-416.61-15 PURCHASED SUPPLIES 117-0750-416.61-20 PURCHASED SUPPLIES 117-0750-416.61-30 PURCHASED SUPPLIES 117-0750-416.64-10 BKS, PERIODICAL & A/V MAT 117-0750-416.74-99 EQUIPMENT CARRYOVER UPS FOR NETWORK (UPSGEN) 117-0760-416.39-10 REGIS.FEES-CONF,SEM,CERTI PC/PRINTER MAINTENANCE TRAINING NETWORK TRAINING FY 2008 LINE ITEMS FY 2005 ACTUAL 30,177 FY 2006 ACTUAL 74,765 FY 2007 UNAUDITED 50,678 FY 2008 ORIGINAL BUDGET 80,000 23,374 470 55,823 18,535 534 89,674 34,706 2 999 84,963 25,000 1,000 1,200 100,000 1,192 506 503 668 675 727 1,000 4,200 250 250 250 250 15,221 17,593 6,646 65,500 44,132 105,801 83,953 67,500 7,781 129 - 250 250 200 5,501 395 5,000 35,000 35,000 10,000 100,000 1,000 1,500 1,500 200 250 1,000 2,000 4,500 3,000 33,000 6,000 1,000 12,000 3,000 10,000 10,000 20,000 10,000 17,500 6,142 184 23,469 709 (4) 33,109 5,501 1,525 2,500 2,500 90 of 192 395 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 117-0760-416.43-20 PURCH.RPR.,MNTCE,INST.SVC OUTSOURCED PC AND PRINTER REPAIRS (HARDMT) 117-0760-416.53-15 OTHER PURCH. SVS. COMM. 117-0760-416.58-10 TRAVEL, MEALS, & LODGING NETWORK TRAINING OTHER 117-0760-416.61-07 PURCHASED SUPPLIES WINDOWS OS UPGRADES (SOFLIC) VIRUS PROTECTION (SOFLIC) 150 MS-OFFICE 2007 SOFTWARE LICENSES (SOFLIC) MISCELLANEOUS (SOFMIC) 117-0760-416.61-10 PURCHASED SUPPLIES PC AND PRINTER SUPPLIES AND MATERIALS (NONE) PC/PRINTER REPLACEMENT PROGRAM (PCREPL) NEW PC/PRINTERS PROGRAM (PCNEW) 117-0760-416.61-15 PURCHASED SUPPLIES 117-0760-416.61-20 PURCHASED SUPPLIES 117-0760-416.61-30 PURCHASED SUPPLIES 117-0760-416.64-10 BKS, PERIODICAL & A/V MAT 117-0770-416.34-50 PURCHASED MGMT. SERVICES ARCGIS CONSULTING SERVICES (NONE) ARCIMS CONSULTING SERVICES (NONE) SQL DATABASE CONSULTING SERVICES (NONE) JAVA, XML, HTML, ASP, .NET CONSULTING SERV (NONE) 117-0770-416.35-99 PURCHASED TECHNICAL SVCS. COLOR DIGITAL ORTHOPHOTOGRAPHY AND PLANIMETRICS (NONE) RESOLUTION 3986-07 MICROSOFT TECH SUPPORT (NONE) WEBSITE TECH SUPPORT (NONE) WEBSITE HOSTING (NONE) 117-0770-416.39-10 REGIS.FEES-CONF,SEM,CERTI HTE USERS GROUP GIS TRAINING SOFTWARE/PROGRAMMING TRAINING WEBSITE CONTENT MANAGEMENT TRAINING 117-0770-416.43-20 PURCH.RPR.,MNTCE,INST.SVC PLOTTER/SCANNER MAINTENANCE (HARDMT) 117-0770-416.53-10 OTHER PURCH. SVS. COMM. 117-0770-416.53-15 OTHER PURCH. SVS. COMM. 117-0770-416.53-55 OTHER PURCH. SVS. COMM. 117-0770-416.55-10 PURCH. PRINT. & BIND. SVC FY 2008 LINE ITEMS FY 2005 ACTUAL 558 FY 2006 ACTUAL 493 FY 2007 UNAUDITED 75 FY 2008 ORIGINAL BUDGET 10,000 488 - 476 409 448 985 1,200 1,700 17,682 22,631 87,932 106,000 4,125 3,948 4,051 180,000 22,488 136 4,704 35,382 94 48 450 4,871 71 64 10,467 300 500 200 25,000 100,337 147,887 7,615 162,000 3,388 1,751 395 5,000 5,832 3,904 - 12,000 80 1,308 770 139 67 1,432 952 135 100 1,340 2,258 96 200 2,000 1,500 250 10,000 1,500 200 5,000 6,000 90,000 5,000 5,000 150,000 25,000 10,000 5,000 5,000 5,000 150,000 5,000 5,000 2,000 500 1,500 1,500 1,500 12,000 91 of 192 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 117-0770-416.58-10 TRAVEL, MEALS, & LODGING HTE USERS GROUP GIS TRAINING SOFTWARE/PROGRAMMING TRAINING OTHER 117-0770-416.58-20 TRAVEL, MEALS, & LODGING 117-0770-416.59-10 MEMBERSHIP DUES 117-0770-416.61-07 PURCHASED SUPPLIES ESRI GIS SOFTWARE (SOFLIC) ARCGIS EXTENSIONS (SOFLIC) MR SID GIS FILE MANAGER (SOFLIC) SQL (SOFLIC) HTE CLICK2GOV (SOFLIC) BEA WEBLOGIC MIFDDLEWARE (SOFLIC) VERISIGN DIGITAL CERTIFICATES (SOFLIC) ELECTRONIC STORAGE CORP (PD THRU 2007) (SOFLIC) VERITOSE BACK-UP SOFTWARE HTE LAND/PARCEL MGMT (SOFLIC) 117-0770-416.61-10 PURCHASED SUPPLIES OFFICE SUPPLIES (NONE) PLOTTER PAPER (NONE) 117-0770-416.61-15 PURCHASED SUPPLIES 117-0770-416.61-30 PURCHASED SUPPLIES 117-0770-416.64-10 BKS, PERIODICAL & A/V MAT 117-0770-416.64-20 BKS, PERIODICAL & A/V MAT 117-0910-412.53-05 OTHER PURCH. SVS. COMM. 117-0910-412.53-10 OTHER PURCH. SVS. COMM. 117-0910-412.53-15 OTHER PURCH. SVS. COMM. 117-0910-412.61-15 PURCHASED SUPPLIES 117-1110-414.53-05 OTHER PURCH. SVS. COMM. 117-1110-414.53-10 OTHER PURCH. SVS. COMM. 117-1110-414.53-15 OTHER PURCH. SVS. COMM. 117-1110-414.53-55 OTHER PURCH. SVS. COMM. 117-1110-414.61-07 PURCHASED SUPPLIES HTE ASSET MANAGEMENT (SOFLIC) HTE GMBA W/EXTENDED REPORTING (SOFLIC) HTE PURCHASING/INVENTORY (SOFLIC) HTE ACCOUNTS RECEIVABLE (SOFLIC) HTE PAYROLL/PERSONNEL (SOFLIC) 117-1110-414.61-10 PURCHASED SUPPLIES NEW REPLACEMENT PC/SPEAKERS/MONITORS TO RUN QUERIES/GIS (PCREPL) FY 2008 LINE ITEMS FY 2005 ACTUAL 1,301 FY 2006 ACTUAL 2,316 FY 2007 UNAUDITED 1,015 FY 2008 ORIGINAL BUDGET 4,600 118 40 25,083 36,648 30,163 47,200 2,191 3,386 3,736 6,000 5,895 154 274 118 73 533 1,524 850 77 (56) 152 3,150 415 141 90 34 478 1,122 842 83 560 285 19,852 2,114 189 873 5 4 162 842 91 750 292 32,510 200 200 250 150 600 1,200 150 1,000 600 32,300 150 - 5,000 1,500 1,500 1,500 100 20,000 5,000 3,000 1,000 2,000 1,000 5,000 6,000 1,000 3,200 3,000 3,000 3,000 11,700 6,500 4,200 6,900 50 5,000 92 of 192 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER 117-1110-414.61-15 117-1120-414.53-15 117-1120-414.61-07 117-1120-414.61-10 117-1120-414.61-15 117-1120-414.74-99 117-1220-414.34-20 117-1220-414.53-05 117-1220-414.53-10 117-1220-414.53-15 117-1220-414.53-55 117-1220-414.61-07 117-1220-414.61-10 117-1220-414.61-15 117-1810-415.53-05 117-1810-415.53-10 117-1810-415.53-15 117-1810-415.53-55 117-1810-415.61-15 117-1910-415.43-20 117-1910-415.53-05 117-1910-415.53-10 117-1910-415.53-15 117-1910-415.61-07 117-1910-415.61-10 117-1910-415.61-15 117-1910-415.74-99 ACCOUNT DESCRIPTION PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT CARRYOVER (PCARD) PURCHASED MGMT. SERVICES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. ORIGINAL BLACKBERRY SERVICE OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES HTE OCCUPATIONAL LICENSES (SOFLIC) HTE CASH RECEIPTS (SOFLIC) HTE CLICK2GOV FOR BUSINESS LICENSES (SOFLIC) SOFTWARE ONE POINT E CHECKS (SOFLIC) PURCHASED SUPPLIES BLACKBERRY FOR REV DIRECTOR (NONE) PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC MERCOM DIGITAL RECORDER (HARDMT) OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PLANT/911 SYSTEM (SOFLIC) MERCOM DIGITAL RECORDER SOFTWARE (SOFLIC) PSPORTALS ENFORCER SOFTWARE (SOFLIC) MEDICALERT (SOFLIC) NEW WORLD CAD SYSTEM (SOFLIC) HELP SYSTEMS ROBOT ALERT (SOFLIC) PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT FY 2008 LINE ITEMS FY 2008 ORIGINAL BUDGET FY 2005 ACTUAL 1,551 30,741 863 8,773 4,995 FY 2006 ACTUAL 464 5,607 - FY 2007 UNAUDITED 3,056 7,263 25,352 77 438 2,939 60 398 2,983 42 313 3,135 25,000 200 500 5,200 730 6,280 1,762 6,460 2,333 10,100 2,400 14,690 231 80 - 200 6,640 5 20 382 18,723 18,295 10 40 954 68 1,551 16,839 228 10 56 897 584 942 17,320 100 100 1,200 650 20,000 119,558 238 5,052 45,409 113,955 262 4,247 77,075 129,733 858 3,700 78,060 125,000 300 6,000 96,000 426 8,813 - 686 14,973 - 1,800 25,302 - 600 4,945 4,945 4,000 1,200 3,000 2,000 2,000 7,690 200 20,000 60,000 2,000 2,000 1,000 30,000 1,000 93 of 192 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER 117-2010-415.53-05 117-2010-415.53-10 117-2010-415.53-15 117-2010-415.53-55 117-2010-415.61-07 117-2010-415.61-10 117-2010-415.61-15 117-2015-415.53-15 117-2015-415.61-10 117-2015-415.61-15 117-2020-415.53-15 117-2020-415.61-07 117-2020-415.61-10 ACCOUNT DESCRIPTION OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. 2 VERIZON AIR CARD FOR RECRUITING LAPTOPS 2 @ $65 X 12 MONTHS PURCHASED SUPPLIES ADOBE PHOTOSHOP PRO SOFTWARE (RECRUITERS AND WILLIAMS) (SOFMIC) PURCHASED SUPPLIES AIR CARDS RECRUITERS (NONE) PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES DATAWORKS PLUS (SOFLIC) LEADSONLINE TOTAL TRACK (SOFLIC) ATTACHMATE (SOFLIC) GUIDANCE ENCASE FORENSIC SOFTWARE (SOFLIC) PURCHASED SUPPLIES FY 2008 LINE ITEMS 117-2025-415.61-15 FY 2006 ACTUAL 22,703 2,426 4,463 - FY 2007 UNAUDITED 25,095 2,171 4,770 - FY 2008 ORIGINAL BUDGET 26,000 3,000 5,000 1,560 - - - 2,800 900 150 - 585 1,573 684 150 9,137 950 13,605 958 1,550 8,832 7,292 3,650 745 9,738 7,068 1,200 12,000 11,000 110 360 150 10,229 826 2,715 - 6,296 2,854 160 488 8,099 2,640 - 4,000 15,550 - 6,149 3,400 - 1,560 2,800 585 2,000 7,500 500 1,000 PARABEN PS POWER PACK - ENABLES THE COLLECTION OF DIGITAL FORENSIC ARTIFACTS CONTAINED IN CELL PHONES/PDAS/ETC (NONE) 117-2020-415.61-15 117-2020-415.74-99 117-2025-415.53-15 117-2025-415.61-10 FY 2005 ACTUAL 25,304 2,157 2,689 - 3,545 TWISTER BOX - ENABLES THE COLLECTION OF DIGITAL FORENSIC ARTIFACTS CONTAINED IN CELL PHONES (NONE) DIGITAL INTELLIGENCE ULTRA BLOCK ULTRA KIT PRESERVATION & COLLECTION OF EVIDENCE (NONE) DIGITAL INTELLIGENCE FIREFLY IDE KIT (NONE) DIGITAL INTELLIGENCE FIREFLY SATA KIT (NONE) EPSON 4990 SCANNER (PCREPL) CANON PIXMA IP90 PRINTER W/ADAPTERS FOR USE IN VEHICLE (PCNEW) 10 @ $420 PURCHASED SUPPLIES EQUIPMENT OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES SURVEILLANCE CAMERA (DIGCAM) 4 @ $1400 COVERT VIDEO RECORDER (DIGCAM) COVERT DIGITAL RECORDER (DIGCAM) AUDIO PURCHASED SUPPLIES 265 1,274 215 275 455 4,200 5,600 6,950 3,000 94 of 192 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 117-2030-415.53-15 OTHER PURCH. SVS. COMM. 117-2030-415.61-07 PURCHASED SUPPLIES UPGRADES TO FX3 SOFTWARE (SOFLIC) CRIME SCENE RECONSTRUCTION 117-2030-415.61-10 PURCHASED SUPPLIES NIKON D200 CAMERA (DIGCAM) 2 @ $4,000 117-2030-415.61-15 PURCHASED SUPPLIES 117-2035-415.53-15 OTHER PURCH. SVS. COMM. 117-2035-415.61-07 PURCHASED SUPPLIES 117-2035-415.61-10 PURCHASED SUPPLIES 117-2035-415.61-15 PURCHASED SUPPLIES 117-2040-415.53-15 OTHER PURCH. SVS. COMM. 117-2040-415.53-50 OTHER PURCH. SVS. COMM. T-1 DATA COMM SERVICE FOR INVERNESS SUBSTATION 117-2040-415.61-10 PURCHASED SUPPLIES 117-2040-415.61-15 PURCHASED SUPPLIES 117-2045-415.53-15 OTHER PURCH. SVS. COMM. 117-2045-415.61-10 PURCHASED SUPPLIES CRASH DATA RECOVERY SYSTEM (NONE) TOUGHBOOK LAPTOP (PCNEW) 117-2045-415.61-15 PURCHASED SUPPLIES 117-2046-415.53-15 OTHER PURCH. SVS. COMM. 117-2046-415.61-10 PURCHASED SUPPLIES 117-2046-415.61-15 PURCHASED SUPPLIES 117-2050-415.53-15 OTHER PURCH. SVS. COMM. 117-2050-415.53-55 OTHER PURCH. SVS. COMM. AIR CARD SERVICE 117-2050-415.61-10 PURCHASED SUPPLIES AIR CARD (NONE) LAPTOP (PCNEW) DIGITAL CAMERA (DIGCAM) 3 @ $320 MINI DVD CAMCORDER (DIGCAM) 117-2050-415.61-15 PURCHASED SUPPLIES 117-2051-415.53-15 OTHER PURCH. SVS. COMM. 117-2051-415.61-15 PURCHASED SUPPLIES 117-2055-415.53-15 OTHER PURCH. SVS. COMM. 117-2055-415.61-07 PURCHASED SUPPLIES 117-2055-415.61-15 PURCHASED SUPPLIES 117-2060-415.53-15 OTHER PURCH. SVS. COMM. 117-2060-415.61-07 PURCHASED SUPPLIES DATAWORKS PLUS SOFTWARE (SOFLIC) IDENTIIX LIVESACN AFIS (SOFLIC) FY 2008 LINE ITEMS FY 2005 ACTUAL 2,174 - FY 2006 ACTUAL 2,387 - FY 2007 UNAUDITED 2,547 2,499 FY 2008 ORIGINAL BUDGET 4,000 3,000 50 175 25 8,000 7,765 2,995 60 9,070 - 3,889 4,430 2,495 99 3,100 8,112 1,182 13,155 8,374 154 8,092 4,325 5,000 10,000 6,000 5,112 4,321 170 250 8,451 3,080 290 415 3,285 (60) 4,000 8,000 2,910 1,189 50 3,319 - 2,278 2,530 250 266 4,808 - 2,501 2,204 711 5,193 - 3,000 6,000 600 481 240 150 3,113 841 1,204 2,720 6,043 1,393 - 2,384 1,434 360 1,220 1,421 2,397 - 1,449 1,139 3,355 7,580 2,000 1,500 5,000 10,000 3,000 8,000 6,000 4,000 4,000 600 150 1,653 960 350 5,000 5,000 95 of 192 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 117-2060-415.61-10 PURCHASED SUPPLIES MUGSHOT CAMERA - 3 (DIGCAM) 117-2060-415.61-15 PURCHASED SUPPLIES 117-2060-415.74-99 EQUIPMENT CARRYOVER (SOFLIC) INTERFACE FOR ICS - INMATE CALLING SOLUTIONS 117-2065-415.53-15 OTHER PURCH. SVS. COMM. 117-2065-415.61-10 PURCHASED SUPPLIES 117-2065-415.61-15 PURCHASED SUPPLIES 117-2070-415.53-15 OTHER PURCH. SVS. COMM. 117-2075-415.43-20 PURCH.RPR.,MNTCE,INST.SVC RS/6000 MESSAGE SWITCH MAINTENANCE (HARDMT) HOOVER2 IBM E-SERVER I5 (HARDMT) HPD500A IBM E-SERVER (HARDMT) PUBLIC SAFETY MESSAGE SWITCH (HARDMT) 117-2075-415.53-15 OTHER PURCH. SVS. COMM. ORIGINAL 2 BLACKBERRIES MOFFETT & HAYES 117-2075-415.53-55 OTHER PURCH. SVS. COMM. 117-2075-415.61-07 PURCHASED SUPPLIES NEW WORLD CLAW ENFORCEMENT/RECORDS (SOFLIC) NEW WORLD PUBLIC SAFETY INTERFACE (SOFLIC) NEW WORLD CORRECTIONS MGMT (SOFLIC) NEW WORLD PHOTO IMAGING SOFTWARE (SOFLIC) NEW WORLD DATA MGMT/RETRIEVAL (SOFLIC) NEW WORLD GUI INTERFACE (SOFLIC) FY 2008 LINE ITEMS 49 FY 2006 ACTUAL 300 FY 2007 UNAUDITED 100 FY 2008 ORIGINAL BUDGET 1,016 665 - 5,188 16,100 2,933 - 15,000 2,257 120 166 579 - 2,983 819 - 2,512 - 4,000 30,570 1,976 3,414 5,319 6,960 9,401 77,995 61,468 139,481 77,590 199,387 105,000 243,878 FY 2005 ACTUAL 1,016 15,000 1,570 9,000 10,000 10,000 6,000 960 32,000 17,000 13,000 7,500 5,000 2,500 NEW WORLD MOBILE MGMT SERVER SOFTWARE (SOFLIC) NEW WORLD MESSAGE SWITCH SOFTWARE (SOFLIC) NEW WORLD CLIENT LAPTOP SOFTWARE (SOFLIC) 5,000 23,000 47,000 NEW WORLD MOBILE SOFTWARE ON ISERIES/400 (SOFLIC) SPOOLIT (SOFLIC) LIVESCAN ANNUAL MAINTENANCE (SOFLIC) DATAWORKS PLUS MAINTENANCE (LIVESCAN AND MUGSHOT SYSTEM) (SOFLIC) TO TOTAL $9,242 CRIME ANALYSIS SOFTWARE (SOFLIC) 3,000 2,200 5,000 4,242 2,000 IBM HARDWARE & OPERATING SYSTEM MAINTENANCE FOR PUBLIC SAFETY SERVERS/AS400, RS600, MOBILE MGMT (SOFLIC) LOG ME IN RESCUE UTILITY (SOFLIC) HOOVER2 OS (SOFLIC) HPD500 OS (SOFLIC) 49,636 1,300 12,500 12,000 96 of 192 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 117-2075-415.61-10 PURCHASED SUPPLIES 117-2075-415.61-15 117-2110-415.53-05 117-2110-415.53-10 117-2110-415.53-15 117-2110-415.53-50 117-2110-415.53-55 117-2110-415.61-07 117-2110-415.61-10 117-2110-415.61-15 117-2110-415.74-99 117-2210-413.34-20 117-2210-413.53-05 117-2210-413.53-10 117-2210-413.61-07 117-2210-413.61-10 FY 2008 LINE ITEMS 2 BLACKBERRIES MOFFETT AND HAYES 2 @ $150 (NONE) COMPUTER WITH SCANNER (PCNEW) LASERJET 4240N (PCREPL) LASERJET 3005N (PCNEW) GRAPHICAL VIDEO MONITORS FOR DATA ANALYSIS AND MAPPING DISPLAYS (PCNEW) 4 @ $1,000 TRACER MDT'S TO REPLACE THOSE ROLLING OFF WARRANTY (PCREPL) 15 @ $3,750 PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. FIRE OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES FIREHOUSE (SOFLIC) EMS BILLING (SOFLIC) SOFTWARE (SOFLIC) SCBA (SOFLIC) PURCHASED SUPPLIES DIGITAL BULLETIN BOARDS FOR ALL FIRESTATIONS AND BC OFFICES (NONE) LAPTOP FOR TRAINING OFFICERS TO TEACH CLASSES @ ALL STATIONS (PCNEW) VPL ES3 PROJECTOR (PCNEW) FS7 TRAINING ROOM 30 FY 2006 ACTUAL 1,325 FY 2007 UNAUDITED 2,685 FY 2008 ORIGINAL BUDGET 63,450 560 18,721 12,210 19,531 70,266 19,608 24,000 135 29,207 87,787 1,128 4,564 217 31,274 81,405 17,372 7,850 234 28,475 83,706 24,007 12,180 300 40,000 90,000 24,000 14,000 1,787 1,621 150 26,500 20,263 - 24,680 - 10,777 - 18,500 1,122 206 4,280 940 212 4,410 931 294 7,150 25,000 1,500 200 4,000 - 50 - - FY 2005 ACTUAL 300 1,500 700 700 4,000 56,250 24,000 9,000 2,500 1,500 1,000 12,990 2,000 1,000 LAPTOP COMPUTER SCBA TRAILER @ STATION 8 (PCNEW) PRINTER FOR SCBA TRAILER @ FS8 (PCNEW) PSC TO CONTROL MONITORS FOR DIGITAL BULLETIN BOARDS (PCNEW) PURCHASED SUPPLIES EQUIPMENT CARRYOVER (SOFLIC) FIREHOUSE ADDITIONAL FUNDS PURCHASED MGMT. SERVICES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES HTE CODE ENFORCEMENT (SOFLIC) HTE CLICK2GOV FOR BLDG PERMITS/INSPECTS (SOFLIC) PURCHASED SUPPLIES 2,000 500 8,010 18,500 2,100 1,900 97 of 192 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER 117-2210-413.61-15 117-2220-413.53-15 117-2220-413.53-55 117-2220-413.61-07 117-2220-413.61-10 117-2220-413.61-15 117-2220-413.74-99 117-2230-413.53-15 117-2230-413.61-10 117-2230-413.61-15 117-3010-415.53-05 117-3010-415.53-10 117-3010-415.53-15 117-3010-415.61-07 117-3010-415.61-10 117-3010-415.61-15 117-3020-415.53-15 117-3020-415.61-10 117-3020-415.61-15 117-4010-413.53-05 117-4010-413.53-10 117-4010-413.53-15 117-4010-413.61-07 117-4010-413.61-10 117-4010-413.61-15 117-4030-413.53-05 117-4030-413.53-10 117-4030-413.53-15 ACCOUNT DESCRIPTION PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES HTE BUILDING PERMITS (SOFLIC) INT'L CODE COUNCIL SOFTWARE (SOFLIC) PURCHASED SUPPLIES GIS COMPUTER (PCREPL) 3 @ $1,800 DIGITAL CAMERA FOR USE AT CONSTRUCTION SITES (DIGCAM) PURCHASED SUPPLIES EQUIPMENT ADD PLOTTER/SCANNER FOR IMAGING (PLOTBL) OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. ORIGINAL CRO BLACKBERRY PURCHASED SUPPLIES PURCHASED SUPPLIES BLACKBERRY FOR CRO (NONE) ELECTRONIC SIGNATURE HARDWARE (NONE) PC & MONITOR FOR COURTROOM (C132) (PCNEW) PRINTER FOR COURT ROOM (PCNEW) PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES CAMCORDER (DIGCAM) PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES HTE WORK ORDER SYSTEM (SOFLIC) PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. FY 2008 LINE ITEMS FY 2008 ORIGINAL BUDGET FY 2005 ACTUAL 5,480 9,360 1,255 3,885 FY 2006 ACTUAL 4,219 9,166 3,451 4,000 FY 2007 UNAUDITED 871 8,756 7,733 6,910 - 100 - 5,700 2,612 - 5,923 - 61,622 - 20,000 358 278 5,882 773 100 2,440 410 330 7,642 896 565 343 8,596 2,000 500 400 10,960 840 211 300 270 12,699 7,658 975 - 8,395 1,068 80 3,260 1,517 300 1,500 400 240 317 7 14,566 7,105 251 14 13,224 7,320 63 163 9 14,405 8,125 500 100 18,000 7,200 74 5,718 104 21 3,087 973 3,036 104 37 3,355 3,988 104 24 3,117 200 100 5,000 12,500 10,000 7,500 5,000 2,500 5,400 300 20,000 10,000 960 200 9,999 2,000 500 400 7,200 98 of 192 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER 117-4030-413.61-10 117-4030-413.61-15 117-4560-413.53-05 117-4560-413.53-10 117-4560-413.53-15 117-4560-413.53-55 117-4560-413.61-07 117-4560-413.61-10 117-4560-413.61-15 117-5010-419.53-05 117-5010-419.53-10 117-5010-419.53-15 117-5010-419.61-10 117-5010-419.61-15 117-5020-419.34-50 117-5020-419.53-05 117-5020-419.53-10 117-5020-419.53-15 117-5020-419.53-55 117-5020-419.61-07 117-5020-419.61-10 117-5020-419.61-15 117-5020-419.74-99 117-5040-419.53-05 117-5040-419.53-10 117-5040-419.53-15 117-5040-419.53-50 ACCOUNT DESCRIPTION PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES FLEET MGMT SYSTEM (SOFLIC) HTE AUTO FUEL INTERFACE (SOFLIC) OPW/PHOENIX FUEL MGMT SYSTEM (SOFLIC) PURCHASED SUPPLIES PC REPLACEMENT HELEN (PCREPL) PC REPLACEMENT MECHNANIC (PCREPL) PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED MGMT. SERVICES RECTRAC TRAINING (NONE) OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. AIR CARD SERVICE PURCHASED SUPPLIES VERMONT SYSTEMS RECTRAC SOFTWARE (SOFLIC) ADOBE PHOTOSHOP CS2 (SOFMIC) RECTRAC INTERFACE TO CASH RECEIPTS (SOFLIC) RECTRAC INTERFACE TO GMBA (SOFLIC) WEBTRACK UPGRADE (SOFLIC) FACILITY MODULE TO WEBTRAC AND EQUIPMENT MODULE TO RECTRAC PURCHASED SUPPLIES PURCHASE OF AIR CARD (NONE) LAPTOP (PCNEW) PURCHASED SUPPLIES EQUIPMENT OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. FY 2008 LINE ITEMS FY 2008 ORIGINAL BUDGET FY 2005 ACTUAL 200 8,232 119 26 3,969 7,405 FY 2006 ACTUAL 145 150 119 76 4,292 53 7,630 FY 2007 UNAUDITED 100 676 122 61 4,752 584 7,815 - 192 - 2,000 2,730 4,988 292 4,738 320 2,292 - 16,936 5,238 349 7,618 500 1,066 - 871 8,585 5,200 - - 4,292 295 8,221 - 6,000 400 10,000 600 5,231 5,091 7,726 12,450 - - 8,616 1,400 1,472 130 27 10,160 322 7,818 329 30 9,204 249 11,138 13,699 353 25 9,505 440 500 100 12,000 1,200 200 100 5,000 650 8,900 5,800 1,100 2,000 1,000 1,000 5,200 600 6,000 650 400 400 5,000 200 1,200 99 of 192 EXPENDITURE BUDGET - FUND 117 SUPPORT SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER 117-5040-419.53-55 117-5040-419.61-10 117-5040-419.61-15 117-5050-419.61-07 117-5050-419.61-10 117-5050-419.61-15 117-5070-419.53-15 117-5070-419.61-10 117-6010-418.53-05 117-6010-418.53-10 117-6010-418.53-15 117-6010-418.61-10 117-6070-418.53-50 117-6070-418.61-10 ACCOUNT DESCRIPTION OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES (SOFLIC) VERMONT SYSTEMS PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. ORIGINAL ADDITIONAL POINT TO POINTLINE FROM THE LIBRARY TO JCLC PURCHASED SUPPLIES FY 2008 LINE ITEMS FY 2005 ACTUAL FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET 3,000 1,000 145 2,981 - 110 - FY 2007 UNAUDITED 584 9,567 807 11,898 313 5,984 143 4,593 951 100 5,285 383 6,002 390 9,642 133 944 896 4,683 405 5,835 12,258 1,500 10,000 500 10,000 16,000 - 65 - - 1,000 10,000 6,000 GRAND TOTAL $ 100 of 192 1,515,076 $ 2,050,177 $ 2,081,172 $ 3,046,592 EXPENDITURE BUDGET - FUND 119 BUILDING SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 119-0110-410.43-10 PURCH.RPR.,MNTCE,INST.SVC HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS 119-0110-410.61-10 PURCHASED SUPPLIES 119-0110-410.62-10 UTILITIES 119-0110-410.62-20 UTILITIES 119-0110-410.62-25 UTILITIES 119-0110-410.62-50 UTILITIES 119-0210-411.62-20 UTILITIES 119-0220-411.43-10 PURCH.RPR.,MNTCE,INST.SVC HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS 119-0220-411.61-10 PURCHASED SUPPLIES 119-0220-411.62-10 UTILITIES 119-0220-411.62-20 UTILITIES 119-0220-411.62-25 UTILITIES 119-0220-411.62-50 UTILITIES 119-0310-413.43-10 PURCH.RPR.,MNTCE,INST.SVC HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS 119-0310-413.61-10 PURCHASED SUPPLIES RENOVATIONS AND REPAIRS FOR PEDESTRIAN BRIDGE AT MUNICIPAL BUILDING 119-0310-413.62-10 UTILITIES 119-0310-413.62-20 UTILITIES 119-0310-413.62-25 UTILITIES 119-0310-413.62-50 UTILITIES 119-0410-413.42-10 PURCH.PROP. CLEANING SVC. CLEANING 119-0410-413.43-10 PURCH.RPR.,MNTCE,INST.SVC PRITCHARD BID FOR JANITORIAL SVCS PUB SAF CTR RESOLUTION 3211-04 HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS 119-0410-413.61-10 PURCHASED SUPPLIES 119-0410-413.62-10 UTILITIES 119-0410-413.62-20 UTILITIES 119-0410-413.62-25 UTILITIES 119-0410-413.62-50 UTILITIES 119-0420-413.43-10 PURCH.RPR.,MNTCE,INST.SVC HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS 119-0420-413.61-10 PURCHASED SUPPLIES FY 2008 LINE ITEMS $ - FY 2005 ACTUAL $ 201 FY 2006 ACTUAL $ 117 FY 2007 UNAUDITED $ 445 FY 2008 ORIGINAL BUDGET $ 560 1,107 6,895 1,051 407 3,865 1,741 7,398 680 238 1,035 1,923 8,230 24 572 22 903 1,925 5,970 300 987 1,136 1,107 7,274 1,051 134 1,741 7,398 680 78 65 1,923 8,208 24 572 297 1,925 5,830 300 1,236 373 - 5,137 633 3,968 601 - 995 4,258 389 - 1,099 4,749 23 327 - 1,100 3,062 300 735 2,150 6,427 5,844 7,790 8,473 3,688 140,784 4,101 3,255 4,131 5,246 147,390 5,790 409 7,700 6,148 149,823 108 6,405 1,548 6,150 126,519 600 6,254 1,509 - 1,297 - - 560 1,136 373 (97) 25,000 25,000 2,150 5,149 3,324 1,509 101 of 192 EXPENDITURE BUDGET - FUND 119 BUILDING SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 119-0610-416.43-10 PURCH.RPR.,MNTCE,INST.SVC HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS 119-0610-416.62-10 UTILITIES 119-0610-416.62-20 UTILITIES 119-0610-416.62-25 UTILITIES 119-0610-416.62-50 UTILITIES 119-0710-416.42-10 PURCH.PROP. CLEANING SVC. CLEANING 119-0710-416.43-10 PURCH.RPR.,MNTCE,INST.SVC PRITCHARD BID FOR JANITORIAL SVCS PUB SAF CTR RESOLUTION 3211-04 HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS 119-0710-416.61-10 PURCHASED SUPPLIES 119-0710-416.62-10 UTILITIES 119-0710-416.62-20 UTILITIES 119-0710-416.62-25 UTILITIES 119-0710-416.62-50 UTILITIES 119-0730-416.62-50 UTILITIES 119-0770-416.62-20 UTILITIES 119-0910-412.43-10 PURCH.RPR.,MNTCE,INST.SVC HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS 119-0910-412.62-10 UTILITIES 119-0910-412.62-20 UTILITIES 119-0910-412.62-50 UTILITIES 119-1110-414.43-10 PURCH.RPR.,MNTCE,INST.SVC HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS 119-1110-414.62-10 UTILITIES 119-1110-414.62-20 UTILITIES 119-1110-414.62-25 UTILITIES 119-1110-414.62-50 UTILITIES 119-1210-414.61-10 PURCHASED SUPPLIES 119-1220-414.42-10 PURCH.PROP. CLEANING SVC. CLEANING 119-1220-414.43-10 PURCH.RPR.,MNTCE,INST.SVC PRITCHARD BID FOR JANITORIAL SVCS PUB SAF CTR RESOLUTION 3211-04 HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS 119-1220-414.62-10 UTILITIES FY 2008 LINE ITEMS FY 2005 ACTUAL 207 FY 2006 ACTUAL 121 FY 2007 UNAUDITED 458 FY 2008 ORIGINAL BUDGET 577 475 2,955 451 - 746 3,171 292 - 824 3,527 10 245 - 825 3,372 150 470 2,500 7,653 9,360 11,350 10,819 4,215 26,239 4,686 1 754 636 5,995 29,418 6,618 440 7,008 31,140 95 6,943 1,672 7,010 24,204 420 6,300 292 1,251 2,103 1,428 4,835 344 341 539 1,681 191 199 275 1,183 82 755 275 5,161 917 950 791 4,925 751 - 1,244 5,284 486 - 1,374 5,863 17 409 264 - 1,375 4,786 200 918 1,500 3,623 3,339 4,553 4,841 2,108 2,998 3,474 3,475 577 2,500 5,884 4,935 2,103 950 1,500 2,942 1,899 102 of 192 EXPENDITURE BUDGET - FUND 119 BUILDING SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER 119-1220-414.62-20 119-1220-414.62-25 119-1220-414.62-50 119-1810-415.61-10 119-1910-415.43-10 119-1910-415.43-20 119-1910-415.62-10 119-1910-415.62-20 119-1910-415.62-25 119-1910-415.62-50 119-2010-415.43-10 119-2010-415.61-10 119-2010-415.62-10 119-2010-415.62-20 119-2010-415.62-25 119-2010-415.62-50 119-2030-415.61-10 119-2040-415.42-10 119-2040-415.43-10 119-2040-415.61-10 119-2040-415.62-10 119-2040-415.62-20 119-2040-415.62-25 119-2040-415.62-50 119-2055-415.61-10 119-2055-415.62-50 119-2060-415.42-10 119-2060-415.43-10 119-2060-415.61-10 ACCOUNT DESCRIPTION UTILITIES UTILITIES UTILITIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES PURCH.RPR.,MNTCE,INST.SVC HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS PURCHASED SUPPLIES OFFICE FURNITURE FOR RECRUITERS UTILITIES UTILITIES UTILITIES UTILITIES PURCHASED SUPPLIES PURCH.PROP. CLEANING SVC. CLEANING PURCH.RPR.,MNTCE,INST.SVC CLEANING SERVICE @ OPS BLDG PURCHASED SUPPLIES CLEANING SYSTEM FOR TELECOM ROOM @ POLICE OPS BLDG UTILITIES UTILITIES UTILITIES UTILITIES PURCHASED SUPPLIES UTILITIES PURCH.PROP. CLEANING SVC. CLEANING SERVICE FOR JAIL 12 MONTHS PURCH.RPR.,MNTCE,INST.SVC PRITCHARD BID FOR JANITORIAL SVCS PUB SAF CTR RESOLUTION 3211-04 HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS PURCHASED SUPPLIES FY 2008 LINE ITEMS FY 2005 ACTUAL 13,454 2,343 1,135 1,216 FY 2006 ACTUAL 14,709 3,309 1,339 FY 2007 UNAUDITED 14,900 47 3,175 935 FY 2008 ORIGINAL BUDGET 13,203 300 3,500 611 963 3,191 487 19,356 1,182 1,385 3,415 315 21,079 1,178 1,231 3,790 11 265 11,727 1,235 3,101 200 590 11,431 2,769 4,959 7,426 4,000 8,029 50,711 7,623 - 12,628 57,494 4,934 - 13,944 66,735 172 4,150 5,029 - 13,945 44,546 2,000 5,385 5,250 2,375 2,800 14,020 8,400 - 271 94 10,000 4,655 17,622 218 - 2,811 16,072 480 667 - 4,722 30,088 81 722 343 - 4,740 14,640 1,800 439 346 23,820 24,449 32,524 54,435 32,662 454 1,732 1,020 - 611 11,431 4,000 5,250 8,400 10,000 23,820 19,858 12,804 103 of 192 EXPENDITURE BUDGET - FUND 119 BUILDING SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER 119-2060-415.62-10 119-2060-415.62-20 119-2060-415.62-25 119-2060-415.62-50 119-2075-415.61-10 119-2110-415.42-10 119-2110-415.43-10 119-2110-415.61-10 119-2110-415.62-10 119-2110-415.62-20 119-2110-415.62-25 119-2110-415.62-50 119-2210-413.42-10 119-2210-413.43-10 119-2210-413.61-10 119-2210-413.62-10 119-2210-413.62-20 119-2210-413.62-25 119-2210-413.62-50 119-2230-413.61-10 119-3010-415.42-10 119-3010-415.43-10 ACCOUNT DESCRIPTION UTILITIES UTILITIES UTILITIES UTILITIES PURCHASED SUPPLIES REPLACEMENT FURNITURE FOR JIM HAYS & CINDY MOFFETT - 2 @ $4000 PURCH.PROP. CLEANING SVC. CLEANING PURCH.RPR.,MNTCE,INST.SVC THYSSENKRUPP ELEVATOR CORP PRITCHARD BID FOR JANITORIAL SVCS PUB SAF CTR RESOLUTION 3211-04 HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES PURCH.PROP. CLEANING SVC. CLEANING PURCH.RPR.,MNTCE,INST.SVC PRITCHARD BID FOR JANITORIAL SVCS PUB SAF CTR RESOLUTION 3211-04 HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES PURCHASED SUPPLIES PURCH.PROP. CLEANING SVC. CLEANING PURCH.RPR.,MNTCE,INST.SVC PRITCHARD BID FOR JANITORIAL SVCS PUB SAF CTR RESOLUTION 3211-04 HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS FY 2008 LINE ITEMS FY 2005 ACTUAL 14,226 88,549 15,816 - FY 2006 ACTUAL 20,234 99,485 22,334 - FY 2007 UNAUDITED 23,750 120,242 320 25,829 - FY 2008 ORIGINAL BUDGET 23,750 78,552 4,200 21,659 8,000 - - - 3,100 23,329 41,591 37,979 29,670 1,977 40,701 94,738 33,729 - 11,364 56,842 105,025 38,499 - 6,038 56,918 122,307 338 40,012 - 56,740 87,572 3,000 40,870 2,800 8,152 7,513 10,016 10,894 4,839 33,078 5,272 - 9 6,745 36,613 7,445 4,014 - 290 7,915 40,603 107 8,454 781 - 7,915 32,086 1,800 7,252 4,300 13,155 20,325 27,257 18,268 8,000 3,100 1,200 7,355 21,115 2,800 6,620 4,274 4,300 10,297 7,971 104 of 192 EXPENDITURE BUDGET - FUND 119 BUILDING SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 119-3010-415.61-10 PURCHASED SUPPLIES REPLACE CORIAN TOP AND MODIFY TO ACCEPT GLASS VIEW WINDOW PROVIDED BY OTHERS FOR CRO CASED OPENING AT DRUB LAB WITH HM DOOR FRAME FOR CRO PASS THROUGH HOLE AT DRUG LAB AND PAINTING FOR CRO PASS THRU WINDOW AT DRUG WITH PASS THROUGH SLOT FOR CRO 119-3010-415.62-10 UTILITIES 119-3010-415.62-20 UTILITIES 119-3010-415.62-25 UTILITIES 119-3010-415.62-50 UTILITIES 119-3010-415.73-99 BUILDINGS/IMPR TO BLDGS CARRYOVER (CTWIN) RECEIVING WINDOW 119-3020-415.43-10 PURCH.RPR.,MNTCE,INST.SVC HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS 119-3020-415.62-10 UTILITIES 119-3020-415.62-20 UTILITIES 119-4010-413.43-10 PURCH.RPR.,MNTCE,INST.SVC HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS 119-4010-413.62-10 UTILITIES 119-4010-413.62-20 UTILITIES 119-4010-413.62-25 UTILITIES 119-4010-413.62-50 UTILITIES 119-4030-413.34-20 PURCHASED MGMT. SERVICES 119-4030-413.39-10 REGIS.FEES-CONF,SEM,CERTI 119-4030-413.42-10 PURCH.PROP. CLEANING SVC. CLEANING FY 2008 LINE ITEMS 105 of 192 FY 2005 ACTUAL FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET 5,361 - - FY 2007 UNAUDITED 1,562 7,376 45,924 8,478 - 10,492 51,494 11,581 - 12,243 57,973 214 12,357 - 12,245 46,924 1,800 14,524 20,000 36 21 81 102 2,066 419 1,591 387 2,001 770 9,820 22,461 40,948 755 - 6,830 6,593 24,745 21,930 - 284 14,581 3,342 7,815 2,420 - 400 8,105 600 32,586 70,450 3,000 8,550 790 1,819 1,348 1,404 20,000 102 2,001 8,550 EXPENDITURE BUDGET - FUND 119 BUILDING SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 119-4030-413.43-10 PURCH.RPR.,MNTCE,INST.SVC GENERAL HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS THYSSENKRUPP ELEVATOR CORP AUTOMATIC FIRE SYSTEMS GENERAL FOR DEPTS TERMITE BOND PSC ELEVATOR MAINT. PSC PEST CONTROL PSC SPRINKLER SYSTEM INSP PSC FIRE ALARM PANELS PSC GENERATOR/SWITCH GEAR MAINT PSC 119-4030-413.43-20 119-4030-413.43-40 119-4030-413.44-30 119-4030-413.58-10 119-4030-413.59-10 119-4030-413.61-10 119-4030-413.61-20 119-4030-413.61-30 119-4030-413.61-70 119-4030-413.62-10 119-4030-413.62-20 119-4030-413.62-25 119-4030-413.62-50 119-4030-413.64-20 119-4030-413.73-99 FY 2008 LINE ITEMS FY 2006 ACTUAL 79,200 FY 2007 UNAUDITED 81,297 FY 2008 ORIGINAL BUDGET 153,374 2,215 - 888 - 757 - 4,000 16,500 4,250 913 450 85,145 4,679 516 450 97,551 5,949 2,322 640 98,550 10,000 6,633 1,300 108,763 3,524 25,278 3,008 26,761 4,309 - 3,109 300 18,972 4,727 28,646 3,614 - 2,827 81 5,220 30,448 65 3,049 245 - 3,800 1,000 65,000 5,105 293,416 3,706 1,000 25,000 3,595 ELEVATOR SAFETY INSP ALL CITY ELEVATORS NEW LAW SECURITY SYSTEM CAMERA/ELECTRONIC LOCKS AND READER MAINT PSC WALKOFF MATS CLEANING PSC INTERIOR PLANT MAINT HVAC REPAIRS ALL BLDGS (NOT COVERED BY BID) PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC ORIGINAL INTERIOR PLANT LEASE/MAINTENANCE AND OUTSIDE PLANTS FOR CITY HALL, SENIOR CENTER, PSC, RECREATION CENTER, AND POLICE OPS PROPERTY RENTAL SERVICES TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES ORIGINAL PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES BKS, PERIODICAL & A/V MAT BUILDINGS/IMPR TO BLDGS BULLET PROOF MATERIAL/SAFETY GLASS (MUNREN) FY 2005 ACTUAL 60,911 2,500 14,000 108,763 25,000 106 of 192 EXPENDITURE BUDGET - FUND 119 BUILDING SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER 119-4030-413.74-99 EQUIPMENT 119-4080-413.62-20 119-4560-413.42-10 119-4560-413.43-10 119-4560-413.61-10 119-4560-413.62-10 119-4560-413.62-20 119-4560-413.62-25 119-4560-413.62-50 119-5010-419.43-10 119-5010-419.61-10 119-5020-419.42-10 119-5020-419.43-10 119-5020-419.61-10 FY 2008 LINE ITEMS ACCOUNT DESCRIPTION MAN LIFT FOR MAINTENANCE AREAS IN PUBLIC SAFETY CENTER AND REC CENTER LIGHTS & ELECTRICAL (MANLIF) UTILITIES PURCH.PROP. CLEANING SVC. CLEANING PURCH.RPR.,MNTCE,INST.SVC PRITCHARD BID FOR JANITORIAL SVCS PUB SAF CTR RESOLUTION 3211-04 HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES PURCH.PROP. CLEANING SVC. - FY 2008 ORIGINAL BUDGET 41,500 4,265 - 4,066 - 5,361 6,450 19,021 18,245 26,003 25,418 315 15,700 71,068 12,302 87 2,759 - 248 15,738 79,707 17,371 2,738 - 10,591 18,404 91,354 255 19,040 - 18,405 69,001 3,000 16,723 30,000 19,097 84,777 66,701 116,645 1,362 6,601 30,141 2,000 FY 2005 ACTUAL 5,473 FY 2006 ACTUAL 24,000 5,081 - FY 2007 UNAUDITED 41,500 6,450 15,446 9,972 CLEANING SERVICES FOR LOCKER ROOMS, RESTROOMS AND HIGH TRAFFIC AREAS NIGHTLY IN THE REC CTR AND SENIOR CTR PURCH.RPR.,MNTCE,INST.SVC HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS AUTOMATIC FIRE SYSTEMS THYSSENKRUPP ELEVATOR CORP HVAC REPAIRS 30,000 20,945 500 1,200 5,500 HVAC REPAIRS TO BRING AIR CONDITIONING DUCT WORK BACK TO ORIGINAL BUILDING SPECS ABOVE THE RACQUETBALL COURTS REPLACEMENT OF MAIN LOBBY FLOOR TILE PLANT SERVICE TO ENHANCE THE ATMOSPHERE & DÉCOR @ REC CTR AND LAKEHOUSE REPAIR ROOF THAT HAS BEEN LEAKING SINCE THE BUILDING WAS CONSTRUCTED REPLACE DOMESTIC HOT WATER HEATER WHICH IS LEAKING REPLACE EXHAUST VENT THAT IS LEAKING PURCHASED SUPPLIES SECURITY CAMERAS AROUND THE REC CENTER TO DETER VANDALISM AND THEFT 107 of 192 20,000 15,000 3,500 10,000 5,000 35,000 2,000 EXPENDITURE BUDGET - FUND 119 BUILDING SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER 119-5020-419.62-10 119-5020-419.62-20 119-5020-419.62-25 119-5020-419.62-50 119-5020-419.73-99 119-5040-419.43-10 119-5040-419.43-20 119-5040-419.61-10 119-5040-419.62-10 119-5040-419.62-20 119-5040-419.62-25 119-5040-419.62-50 119-5040-419.73-99 119-5040-419.74-99 119-5040-419.78-99 ACCOUNT DESCRIPTION UTILITIES UTILITIES UTILITIES UTILITIES BUILDINGS/IMPR TO BLDGS CARRYOVER (PARK12) PURCH.RPR.,MNTCE,INST.SVC HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS TILE CONCESSION FLOOR HOOVER WEST PAINT CONCESSION BLDG @ SPAIN PARK TILE RESTROOM FLOOR @ SPAIN PARK TILE PRESS BOX FLOORS @ SPAIN PARK REPLACE COUNTER TOPS IN RESTROOMS @ SPAIN PK PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES BATTING CAGE NETS SPAIN PARK COMPLEX DIAMOND TURF BATTING CAGE CARPET SPAIN PARK COMPLEX (MULTIPLE CAGES) CONSTRUCT PICNIC PAVILION HOOV WEST/SHADES CONCRETE PAD ON 1ST BASE SIDE OF FIELD 9 @ HOOVER WEST/SHADES NEW GUTTERS AROUND MAIN CONCESSION STAND @ HOOVER WEST/SHADES DIAMOND TURF BATTING CAGE CARPET @ HOOVER EAST (MULTIPLE CAGES) SOUND SYSTEM & SPEAKERS FOR FOOTBALL FIELD @ HOOVER EAST RESURFACE AND REPAIR BATTING CAGES @ HOOVER CENTRAL UPGRADE LIGHTING @ RIVERCHASE SOCCER COMPLEX UPGRADE FIELD LIGHTS ON FIELDS 3 & 4 @ WEST UTILITIES UTILITIES UTILITIES UTILITIES BUILDINGS/IMPR TO BLDGS NEW STORAGE BLDG/SHED FOR FOOTBALL (EASTBL) EQUIPMENT IMPROVEMENTS O/T BLDGS FY 2008 LINE ITEMS FY 2005 ACTUAL 81,214 115,719 36,212 - FY 2006 ACTUAL 117,132 145,021 48,881 - FY 2007 UNAUDITED 95,914 159,765 490 30,242 30,336 FY 2008 ORIGINAL BUDGET 92,930 117,776 5,000 46,750 28,681 15,348 37,769 102,542 58,910 2,863 3,479 967 16,571 88,999 24,925 76,706 81,941 - 28,227 186,040 231,569 - 39,069 185,721 459 167,743 - 39,745 84,383 3,000 123,555 20,000 - - 15,432 29,975 - 28,681 33,410 5,000 5,000 5,000 5,000 5,500 3,000 12,000 8,500 6,000 2,500 12,000 5,000 20,000 9,999 10,000 20,000 108 of 192 EXPENDITURE BUDGET - FUND 119 BUILDING SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 119-5040-419.79-99 INFRASTRUCTURE IMPROVEMEN ADD CONCRETE PADS AND WALKWAY TO SPAIN PARK COMPLEX (SPPKCO) ADD COVER AND ADD NEW LIGHTING TO BATTING CAGE AREA (SHADBA) CARRYOVER (TRACLT) TRACE CROSSING LIGHTS 119-5050-419.42-10 PURCH.PROP. CLEANING SVC. CLEANING FOR SENIOR CENTER 119-5050-419.43-10 PURCH.RPR.,MNTCE,INST.SVC 119-5050-419.61-10 PURCHASED SUPPLIES 119-5050-419.62-10 UTILITIES 119-5050-419.62-20 UTILITIES 119-5050-419.62-25 UTILITIES 119-5050-419.62-50 UTILITIES 119-6010-418.42-10 PURCH.PROP. CLEANING SVC. CLEANING SERVICES @ LIBRARY 119-6010-418.43-10 PURCH.RPR.,MNTCE,INST.SVC HVAC SERVICE CONTRACT RESOLUTION 3782-06 JOHNSON CONTROLS AUTOMATIC FIRE SYSTEMS THYSSENKRUPP ELEVATOR CORP TERMITE BOND TOWEL SERVICE BUILDING SECURITY MONITORING FIRE ALARM MAINTENANCE FIRE EXTINGUISHER MAINTENANCE WATER SYSTEMS GENERAL REPAIRS: ROOF LOCKS & DOORS GRANITE FLOORING AND PAVERS CAULKING, WINDOW LEAKS SIGNAGE DAMAGED CARPET REPLACEMENT UNFORESEEN REPAIR AND MAINTENANCE NEEDS FIRE ALARM UPGRADE GLASS DOORS REPLACEMENT ON EXTERIOR MAIN ENTRANCE RENOVATION OF BOOKSTORE FOR STAFF OFFICES & PUBLIC STUDY ROOMS RENOVATION OF PUBLIC VENDING AREA FY 2008 LINE ITEMS FY 2005 ACTUAL FY 2006 ACTUAL FY 2008 ORIGINAL BUDGET 55,000 - - FY 2007 UNAUDITED 41,387 - - 11,145 7,400 21,107 17,438 18,703 336 271 8,829 17,205 6,492 14,203 8,830 10,000 2,000 4,000 19,500 30,982 52,943 71,592 89,398 20,000 20,000 15,000 7,400 19,500 23,998 1,000 2,400 40,000 3,000 9,000 5,000 5,000 109 of 192 EXPENDITURE BUDGET - FUND 119 BUILDING SERVICES OPERATING AND CAPITAL ONLY FY 2008 ACCOUNT NUMBER ACCOUNT DESCRIPTION 119-6010-418.61-10 PURCHASED SUPPLIES SEAL COAT ON FRONT LOWER PARKING AREA INSTALL CONCRETE PLATFORM FOR BOOK RETURNS DRIVE UP BOOK RETURNS - 2 @ $9999 MANAGEMENT STAFF OFFICE FURNITURE: 6020 6030 6060 SHELVING UNITS FOR MYSTERY AND FICTION COLLECTIONS SOUND EQUIPMENT IN THEATRE 119-6010-418.61-70 PURCHASED SUPPLIES 119-6010-418.62-10 UTILITIES 119-6010-418.62-20 UTILITIES 119-6010-418.62-25 UTILITIES 119-6010-418.62-50 UTILITIES 119-6010-418.73-99 BUILDINGS/IMPR TO BLDGS 119-6060-418.74-99 EQUIPMENT 119-7510-417.42-10 PURCH.PROP. CLEANING SVC. CLEANING FOR ALDOR 119-7510-417.62-10 UTILITIES 119-7510-417.62-20 UTILITIES 119-7510-417.62-25 UTILITIES 119-7510-417.62-50 UTILITIES 119-7520-417.42-10 PURCH.PROP. CLEANING SVC. CLEANING @ RED CROSS 119-7520-417.43-10 PURCH.PROP. CLEANING SVC. CLEANING FOR RED CROSS 119-7520-417.44-30 PROPERTY RENTAL SERVICES 119-7520-417.62-10 UTILITIES 119-7520-417.62-20 UTILITIES 119-7520-417.62-25 UTILITIES 119-7520-417.62-50 UTILITIES FY 2008 LINE ITEMS FY 2005 ACTUAL 12,087 FY 2006 ACTUAL 9,581 FY 2007 UNAUDITED 16,376 FY 2008 ORIGINAL BUDGET 83,998 4,441 281 170,705 2,632 6,000 - 378 203,462 505 45,130 - 144 223,462 319 43,803 54,973 15,461 1,944 160 179,459 3,600 21,135 4,900 - - 59 7,337 1,251 - 3,060 20,000 3,630 6,000 500 - - 3,145 500 - - 943 13 1,630 278 491 4,000 1,800 2,000 30,000 1,000 19,998 3,500 3,500 3,500 7,500 15,000 4,900 500 500 GRAND TOTAL $ 110 of 192 1,978,903 $ 2,716,428 $ 3,091,075 $ 3,436,882 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-0110-410.10-01 101-0110-410.10-04 101-0110-410.12-03 101-0110-410.12-04 101-0110-410.20-01 101-0110-410.21-01 101-0110-410.21-02 101-0110-410.21-03 101-0110-410.21-05 101-0110-410.21-06 101-0110-410.21-07 101-0110-410.22-01 101-0110-410.23-01 101-0110-410.26-20 101-0110-410.31-50 101-0110-410.32-10 101-0110-410.34-10 101-0110-410.35-99 101-0110-410.38-10 101-0110-410.39-10 101-0110-410.44-30 101-0110-410.54-10 101-0110-410.54-50 101-0110-410.55-10 101-0110-410.58-10 101-0110-410.58-20 101-0110-410.59-10 101-0110-410.59-20 101-0110-410.61-10 101-0110-410.61-30 101-0110-410.64-20 117-0110-410.53-05 117-0110-410.53-10 117-0110-410.53-15 117-0110-410.61-10 117-0110-410.61-15 119-0110-410.43-10 119-0110-410.61-10 119-0110-410.62-10 119-0110-410.62-20 119-0110-410.62-25 119-0110-410.62-50 120-0110-410.52-20 303-0110-410.78-99 101-0125-410.10-01 101-0125-410.21-01 101-0125-410.21-02 101-0125-410.21-03 FY 2005 ACTUAL 120,932 91,454 1,066 6,210 8,236 1,067 1,123 16,841 10,150 21,792 15,000 125 3,471 9,005 2,041 3,368 6,274 117,582 6,222 11,916 258 663 66 1,025 201 1,107 6,895 1,051 76,853 6,595 317 572 ACCOUNT DESCRIPTION EMPLOYEE SALARIES EMPLOYEE SALARIES PAY FOR BENEFITS PAY FOR BENEFITS OTHER EMPLOYEE BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCH. ACCT. & FIN. SVC. PLANNING-ARCH. & ENG. SVC PURCHASED MGMT. SERVICES PURCHASE TECHNICAL SVCS. CIVIC SVCS/CONTRIBUTIONS REGIS.FEES-CONF,SEM,CERTI PROPERTY RENTAL SERVICES OTHER PURCH. SVCS. ADVERT OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES PURCH. RISK MGMT. SVC. IMPROVEMENTS O/T BLDGS EMPLOYEE SALARIES EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS 111 of 192 FY 2006 ACTUAL 129,221 90,277 2,424 6,040 9,603 1,279 1,152 17,085 11,074 508 37,864 10,000 5,064 400 15,000 5,239 13,635 861 4,597 1,209 11,326 123,291 27,932 19,321 160 628 70 1,224 100 119 117 3,865 1,741 7,398 680 150 1,400 78,995 7,411 337 570 FY 2007 UNAUDITED 137,150 90,242 6,035 10,786 1,281 1,197 9 12 3 17,757 11,766 678 47,476 9,740 15,000 300 3,204 15,463 4,883 6,086 12,548 140,077 19,155 15,444 228 639 62 1,345 445 1,035 1,923 8,230 24 572 81,297 8,591 338 581 FY 2008 ORIGINAL BUDGET 143,004 90,247 2,500 6,036 10,597 1,427 1,240 261 366 78 18,594 13,299 750 87,225 10,000 3,400 15,000 1,250 4,250 20,000 500 15,000 8,000 7,000 150,860 27,490 15,650 510 800 200 1,500 8,000 560 1,925 5,970 300 987 28,600 83,155 9,626 371 593 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-0125-410.21-05 101-0125-410.21-06 101-0125-410.21-07 101-0125-410.22-01 101-0125-410.23-01 101-0125-410.26-20 101-0125-410.39-10 101-0125-410.58-10 101-0125-410.59-10 101-0125-410.61-10 101-0125-410.64-10 101-0125-410.64-20 117-0125-410.61-15 101-0180-410.55-10 101-0180-410.58-10 101-0180-410.58-20 101-0180-410.61-10 101-0180-410.61-30 FY 2005 ACTUAL ACCOUNT DESCRIPTION EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. REGIS.FEES-CONF,SEM,CERTI TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT PURCHASED SUPPLIES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES PURCHASED SUPPLIES TOTAL ADMINISTRATION (01) 5,698 6,450 2,580 1,490 635 318 197 590 80 14,889 665 583,070 112 of 192 FY 2006 ACTUAL 5,872 6,770 178 1,090 556 725 1,221 16 1,334 1,046 118 30,384 103 698,780 FY 2007 UNAUDITED 3 4 1 5,987 6,974 236 1,490 1,542 820 20 520 16 585 29,864 100 719,764 FY 2008 ORIGINAL BUDGET 131 183 39 6,126 7,733 260 3,000 2,350 810 750 200 200 862 123 35,654 120 855,662 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-0210-411.10-04 101-0210-411.21-03 101-0210-411.22-01 101-0210-411.26-20 101-0210-411.39-10 101-0210-411.43-10 101-0210-411.55-10 101-0210-411.58-10 101-0210-411.58-20 101-0210-411.61-10 117-0210-411.53-15 117-0210-411.61-10 119-0210-411.62-20 120-0210-411.52-20 101-0220-411.10-01 101-0220-411.11-01 101-0220-411.12-03 101-0220-411.12-04 101-0220-411.21-01 101-0220-411.21-02 101-0220-411.21-03 101-0220-411.21-05 101-0220-411.21-06 101-0220-411.21-07 101-0220-411.22-01 101-0220-411.23-01 101-0220-411.26-20 101-0220-411.30-10 101-0220-411.30-90 101-0220-411.30-95 101-0220-411.30-99 101-0220-411.31-99 101-0220-411.32-10 101-0220-411.32-20 101-0220-411.34-10 101-0220-411.39-10 101-0220-411.43-20 101-0220-411.44-30 101-0220-411.54-10 101-0220-411.55-10 101-0220-411.58-10 101-0220-411.58-20 101-0220-411.59-10 101-0220-411.61-10 101-0220-411.61-30 101-0220-411.64-20 117-0220-411.34-20 117-0220-411.34-50 FY 2005 ACTUAL 49,618 926 3,794 865 3,105 463 236 328 98 184 122,087 254,976 987 1,694 17,698 2,589 1,902 19,441 21,400 317,677 824 3,567 182,970 7,216 28 1,255 2,360 6,551 33,916 3,912 1,544 300 360 5,016 5,916 159 - ACCOUNT DESCRIPTION EMPLOYEE SALARIES EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-WORKERS COMP. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES UTILITIES PURCH. RISK MGMT. SVC. EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCHASE LEGAL SERVICES PURCHASE LEGAL SERVICES PURCHASE LEGAL SERVICES PURCHASE LEGAL SERVICES PURCH. CONS. SVCS. PLANNING-ARCH. & ENG. SVC PLANNING-ARCH. & ENG. SVC PURCHASED MGMT. SERVICES REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES 113 of 192 FY 2006 ACTUAL 52,800 910 4,039 116 1,055 131 1,564 627 39 66,176 272,591 280 1,869 20,214 2,755 1,971 20,371 23,361 613 390,012 5,188 517 2,795 210,906 36 1,900 2,223 6,582 74,971 2,634 4,037 227 419 4,973 9,232 7,978 FY 2007 UNAUDITED 52,800 899 4,039 153 770 112 1,521 331 22 6,013 291,633 22,972 2,761 2,079 14 20 4 21,518 25,020 847 415,686 10,772 222 2,529 19,109 198,675 3,766 1,790 7,098 37,081 1,582 4,199 253 6,813 6,066 176 5,013 FY 2008 ORIGINAL BUDGET 52,984 902 4,053 166 8,300 2,000 14,700 1,500 309,540 1,500 3,000 23,704 3,105 2,218 652 913 196 23,660 28,922 969 380,000 10,500 2,000 5,000 19,100 202,000 5,000 2,400 3,400 2,500 14,750 62,500 8,400 8,800 360 6,500 9,000 200 25,000 5,000 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 117-0220-411.43-20 117-0220-411.53-05 117-0220-411.53-10 117-0220-411.53-15 117-0220-411.61-07 117-0220-411.61-10 117-0220-411.61-15 119-0220-411.43-10 119-0220-411.61-10 119-0220-411.62-10 119-0220-411.62-20 119-0220-411.62-25 119-0220-411.62-50 101-0230-411.38-10 101-0240-411.34-10 101-0240-411.44-30 101-0240-411.54-10 101-0240-411.55-10 101-0240-411.61-10 101-0240-411.61-30 FY 2005 ACTUAL 6,132 675 55 975 3,965 1,037 407 1,107 7,274 1,051 174,870 90 1,273,600 ACCOUNT DESCRIPTION PURCH.RPR.,MNTCE,INST.SVC OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES CIVIC SVCS/CONTRIBUTIONS PURCHASED MGMT. SERVICES PROPERTY RENTAL SERVICES OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC PURCHASED SUPPLIES PURCHASED SUPPLIES TOTAL CITY COUNCIL SUPPORT (02) 114 of 192 FY 2006 ACTUAL 6,312 327 44 951 3,725 256 5,294 238 1,741 7,398 680 302,870 1,525,948 FY 2007 UNAUDITED 5,962 179 46 896 6,350 903 65 1,923 8,208 24 572 360,870 1,540,356 FY 2008 ORIGINAL BUDGET 7,000 1,500 200 1,500 5,900 1,136 1,925 5,830 300 1,236 407,870 57,000 43,400 3,500 50,000 1,500 17,000 1,862,191 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-0310-413.10-01 101-0310-413.11-01 101-0310-413.12-03 101-0310-413.12-04 101-0310-413.21-01 101-0310-413.21-02 101-0310-413.21-03 101-0310-413.21-05 101-0310-413.21-06 101-0310-413.21-07 101-0310-413.22-01 101-0310-413.23-01 101-0310-413.26-20 101-0310-413.31-99 101-0310-413.32-20 101-0310-413.32-30 101-0310-413.34-10 101-0310-413.34-20 101-0310-413.35-99 101-0310-413.39-10 101-0310-413.43-10 101-0310-413.43-20 101-0310-413.44-30 101-0310-413.54-10 101-0310-413.55-10 101-0310-413.58-10 101-0310-413.58-20 101-0310-413.59-10 101-0310-413.59-20 101-0310-413.61-10 101-0310-413.61-30 101-0310-413.61-70 101-0310-413.64-20 101-0310-413.78-99 115-0310-413.44-35 115-0310-413.61-40 115-0310-413.61-50 115-0310-413.75-99 117-0310-413.53-05 117-0310-413.53-10 117-0310-413.53-15 117-0310-413.61-07 117-0310-413.61-10 117-0310-413.61-15 119-0310-413.43-10 119-0310-413.61-10 119-0310-413.62-10 119-0310-413.62-20 FY 2005 ACTUAL 191,116 234 1,597 2,390 8,633 1,153 1,416 11,896 16,060 1,918 5,632 41,302 1,500 685 13,492 19,538 2,815 1,731 2,597 1,765 234 763 7,751 1,582 5,920 370 2,867 1,608 117 2,366 392 1,134 150 166 134 633 3,968 ACCOUNT DESCRIPTION EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCH. ACCT. & FIN. SVC. PLANNING-ARCH. & ENG. SVC PLANNING-ARCH. & ENG. SVC PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES PURCHASED TECHNICAL SVCS. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT IMPROVEMENTS O/T BLDGS PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES 115 of 192 FY 2006 ACTUAL 310,258 2,097 2,683 17,615 1,908 2,223 20,471 26,589 1,654 2,508 6,019 35,389 1,710 1,928 14,183 19,043 4,360 989 3,153 5,694 50 661 16,005 1,425 4,974 234 11,483 4,289 3,263 2,417 433 2,743 1,645 300 9,944 78 5,137 995 4,258 FY 2007 UNAUDITED 381,630 402 2,536 2,874 28,668 2,458 2,727 13 18 4 25,180 32,775 1,698 2,423 8,309 1,500 3,620 4,472 3,300 1,623 6,118 566 346 20,408 1,593 622 15,576 5,335 598 2,011 412 3,057 288 297 (97) 1,099 4,749 FY 2008 ORIGINAL BUDGET 402,055 1,500 7,500 31,114 2,768 2,854 588 823 176 30,908 37,526 1,259 3,000 3,300 1,900 2,100 2,000 2,700 3,500 100 25,566 4,255 3,500 18,000 1,350 1,500 9,000 2,000 1,000 25,000 15,576 10,000 5,000 3,500 300 3,000 2,000 373 25,000 1,100 3,062 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 119-0310-413.62-25 119-0310-413.62-50 120-0310-413.52-20 303-0310-413.32-20 303-0310-413.32-30 303-0310-413.42-10 303-0310-413.43-10 303-0310-413.43-20 303-0310-413.43-40 303-0310-413.44-30 303-0310-413.61-10 303-0310-413.73-99 303-0310-413.75-99 307-0310-413.31-99 307-0310-413.34-20 307-0310-413.43-10 307-0310-413.61-10 307-0310-413.73-99 117-0315-413.53-15 117-0315-413.61-07 117-0315-413.61-10 117-0315-413.61-15 117-0315-413.74-99 120-0315-413.10-01 120-0315-413.11-01 120-0315-413.12-03 120-0315-413.12-04 120-0315-413.21-01 120-0315-413.21-02 120-0315-413.21-03 120-0315-413.21-05 120-0315-413.21-06 120-0315-413.21-07 120-0315-413.22-01 120-0315-413.23-01 120-0315-413.26-20 120-0315-413.30-90 120-0315-413.34-20 120-0315-413.39-10 120-0315-413.43-20 120-0315-413.54-50 120-0315-413.55-10 120-0315-413.58-10 120-0315-413.58-20 120-0315-413.59-10 120-0315-413.59-20 120-0315-413.61-10 120-0315-413.64-20 FY 2005 ACTUAL ACCOUNT DESCRIPTION UTILITIES UTILITIES PURCH. RISK MGMT. SVC. PLANNING-ARCH. & ENG. SVC PLANNING-ARCH. & ENG. SVC PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS VEHICLES PURCH. ACCT. & FIN. SVC. PURCHASED MGMT. SERVICES PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCHASE LEGAL SERVICES PURCHASED MGMT. SERVICES REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT 601 4,250 90,017 14,000 2,419 31,541 621 972 104,343 116,389 488 34,315 113,108 611 618 17,872 1,419 849 8,225 9,493 1,179 1,500 500 1,300 391 310 520 1,157 2,502 685 116 of 192 FY 2006 ACTUAL 389 500 33,935 7,526 35,568 356,425 1,500 629,133 476 4,800 125,905 422 693 18,527 1,511 916 8,954 10,790 283 644 125 406 250 423 1,132 4,394 832 FY 2007 UNAUDITED 23 327 100 2,215 27,779 5,945 1,661 68,181 2,596,861 4,500 38,996 691,183 448 5,280 137,161 2,111 465 742 21,477 1,514 989 7 10 2 10,115 11,948 400 201 1,488 199 1,930 455 1,312 530 1,208 FY 2008 ORIGINAL BUDGET 300 735 94,145 55 2,338 99,347 178,911 20,000 1,200 5,500 600 145,709 2,500 2,000 24,000 1,709 1,049 326 456 98 10,931 13,776 457 1,179 2,000 2,450 2,500 750 900 4,500 1,200 1,400 4,575 1,500 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 120-0315-413.64-50 120-0320-413.26-10 120-0320-413.26-30 120-0320-413.26-99 120-0320-413.52-10 120-0320-413.52-20 120-0320-413.52-30 120-0320-413.52-40 101-0355-413.10-01 101-0355-413.21-01 101-0355-413.21-02 101-0355-413.21-03 101-0355-413.21-05 101-0355-413.21-06 101-0355-413.21-07 101-0355-413.22-01 101-0355-413.23-01 101-0355-413.26-20 101-0355-413.34-10 101-0355-413.34-15 101-0355-413.34-20 101-0355-413.35-99 101-0355-413.38-10 101-0355-413.39-10 101-0355-413.43-10 101-0355-413.43-20 101-0355-413.43-40 101-0355-413.44-30 101-0355-413.54-10 101-0355-413.55-10 101-0355-413.58-10 101-0355-413.59-10 101-0355-413.59-20 101-0355-413.61-10 101-0355-413.61-30 101-0355-413.61-70 101-0355-413.64-20 115-0355-413.75-99 117-0355-413.53-10 117-0355-413.53-15 117-0355-413.61-15 FY 2005 ACTUAL 493 73,125 12,000 4,039 284,805 302 29,600 46,332 1,370,516 ACCOUNT DESCRIPTION BKS, PERIODICAL & A/V MAT EMP. BEN.-WORKERS COMP. EMP. BEN.-WORKERS COMP. EMP. BEN.-WORKERS COMP. PURCH. RISK MGMT. SVC. PURCH. RISK MGMT. SVC. PURCH. RISK MGMT. SVC. PURCH. RISK MGMT. SVC. EMPLOYEE SALARIES EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES PURCHASED TECHNICAL SVCS. CIVIC SVCS/CONTRIBUTIONS REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT VEHICLES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES TOTAL OPERATIONS SUPPORT (03) 117 of 192 FY 2006 ACTUAL 278 275,900 5,800 45,958 2,125,203 FY 2007 UNAUDITED 284,425 6,700 48,784 54,819 5,080 338 390 3 4 1 4,101 4,703 159 27,972 6,160 52,500 16,027 28,592 4,467 6,236 3,787 80,569 510 6,902 22 897 240 4,851,359 FY 2008 ORIGINAL BUDGET 500 373,695 500,000 6,700 49,500 58,274 9,626 685 419 131 183 39 4,410 5,419 183 51,000 18,000 1,500 3,500 45,000 1,500 16,500 6,500 77,100 14,200 19,150 8,200 350 750 118,000 5,500 8,800 500 25,000 50 1,000 2,758,713 (This page intentionally left blank) 118 of 192 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-0410-413.10-01 101-0410-413.12-03 101-0410-413.21-01 101-0410-413.21-02 101-0410-413.21-03 101-0410-413.21-05 101-0410-413.21-06 101-0410-413.21-07 101-0410-413.22-01 101-0410-413.23-01 101-0410-413.26-20 101-0410-413.31-99 101-0410-413.32-20 101-0410-413.32-25 101-0410-413.39-10 101-0410-413.43-10 101-0410-413.43-20 101-0410-413.43-40 101-0410-413.43-50 101-0410-413.43-60 101-0410-413.44-30 101-0410-413.50-10 101-0410-413.55-10 101-0410-413.58-10 101-0410-413.58-20 101-0410-413.59-10 101-0410-413.61-10 101-0410-413.61-20 101-0410-413.61-30 101-0410-413.64-10 101-0410-413.64-20 101-0410-413.74-99 101-0410-413.79-99 115-0410-413.44-35 115-0410-413.61-10 115-0410-413.61-40 115-0410-413.61-50 115-0410-413.75-99 117-0410-413.34-20 117-0410-413.53-05 117-0410-413.53-10 117-0410-413.53-15 117-0410-413.53-55 117-0410-413.61-07 117-0410-413.61-10 117-0410-413.61-15 117-0410-413.74-99 119-0410-413.42-10 FY 2005 ACTUAL 204,535 268 16,935 1,703 1,527 15,364 17,167 1,500 14,390 2,190 3,530 1,565 250 47,271 29,965 2,482 992 377 1,349 592 1,373 26,823 262 830 980 290 38,367 11,900 532 2,986 555 3,714 107 2,443 9,026 5,040 - ACCOUNT DESCRIPTION EMPLOYEE SALARIES PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCH. ACCT. & FIN. SVC. PLANNING-ARCH. & ENG. SVC PLANNING-ARCH. & ENG. SVC REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PERMITS AND FEES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT EQUIPMENT INFRASTRUCTURE IMPROVEMEN PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES PURCHASED MGMT. SERVICES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT PURCH.PROP. CLEANING SVC. 119 of 192 FY 2006 ACTUAL 216,735 365 18,022 1,813 1,567 16,107 18,574 3,012 9,033 15,185 1,388 1,224 73,223 54,679 3,221 1,039 602 1,392 652 1,779 34,833 369 577 615 420 31,287 15,515 6,387 2,290 4,636 3,905 3,861 111 2,665 6,020 240 2,475 - FY 2007 UNAUDITED 229,975 20,777 1,817 1,646 9 12 3 17,015 19,730 4,244 15,049 24,769 3,248 1,582 109,399 41,200 4,234 63 4,120 1,426 42,091 312 656 955 369 94,925 182,115 6,387 3,913 215 3,863 103 3,596 376 2,735 2,210 - FY 2008 ORIGINAL BUDGET 242,062 500 22,752 2,053 1,731 391 548 117 18,359 22,512 4,880 600 22,515 31,668 5,500 6,415 150 131,500 60,000 5,000 682 6,200 1,482 161,551 412 1,719 804 382 50,000 17,876 6,388 7,000 2,000 25,000 5,000 200 3,500 600 8,740 7,387 24,000 2,150 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 119-0410-413.43-10 119-0410-413.61-10 119-0410-413.62-10 119-0410-413.62-20 119-0410-413.62-25 119-0410-413.62-50 120-0410-413.52-20 120-0410-413.79-99 199-0410-413.61-10 211-0410-413.61-10 211-0410-413.79-99 212-0410-413.79-99 240-0410-413.61-10 240-0410-413.73-99 240-0410-413.79-99 303-0410-413.32-10 303-0410-413.61-10 303-0410-413.71-99 303-0410-413.73-99 303-0410-413.74-99 303-0410-413.75-99 303-0410-413.78-99 303-0410-413.79-99 307-0410-413.73-99 307-0410-413.79-99 372-0410-413.79-99 375-0410-413.71-99 375-0410-413.79-99 390-0410-413.32-10 390-0410-413.71-99 390-0410-413.73-99 390-0410-413.78-99 390-0410-413.79-99 101-0420-413.10-01 101-0420-413.12-03 101-0420-413.21-01 101-0420-413.21-02 101-0420-413.21-03 101-0420-413.21-05 101-0420-413.21-06 101-0420-413.21-07 101-0420-413.22-01 101-0420-413.23-01 101-0420-413.26-20 101-0420-413.32-20 101-0420-413.39-10 101-0420-413.43-40 101-0420-413.58-10 FY 2005 ACTUAL 6,427 3,688 140,784 4,101 30,058 2,750 21,513 42,556 160,003 8,685 26,380 40,161 716,089 28,510 17,840 24,840 192,509 142,007 667 9,602 885 1,059 10,675 11,919 311 45,383 - ACCOUNT DESCRIPTION PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES PURCH. RISK MGMT. SVC. INFRASTRUCTURE IMPROVEMEN PURCHASED SUPPLIES PURCHASED SUPPLIES INFRASTRUCTURE IMPROVEMEN INFRASTRUCTURE IMPROVEMEN PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS INFRASTRUCTURE IMPROVEMEN PLANNING-ARCH. & ENG. SVC PURCHASED SUPPLIES LAND BUILDINGS/IMPR TO BLDGS EQUIPMENT VEHICLES IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN BUILDINGS/IMPR TO BLDGS INFRASTRUCTURE IMPROVEMEN INFRASTRUCTURE IMPROVEMEN LAND INFRASTRUCTURE IMPROVEMEN PLANNING-ARCH. & ENG. SVC LAND BUILDINGS/IMPR TO BLDGS IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN EMPLOYEE SALARIES PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PLANNING-ARCH. & ENG. SVC REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC TRAVEL, MEALS, & LODGING 120 of 192 FY 2006 ACTUAL 5,844 4,131 5,246 147,390 5,790 60,560 1,440 290,282 37,788 95,641 22,621 12,866 1,635 21,806 4,750 386,570 6,039 36,498 16,883 24,154 59,330 148,979 120 10,612 942 1,076 11,086 12,767 3,111 470 76,997 802 FY 2007 UNAUDITED 7,790 7,700 6,148 149,823 108 6,405 5,848 169,938 26,888 171,345 7,518 23,108 106,495 6,460 771,000 7,025 25,243 193,200 73,393 232,781 18,369 94,088 156,006 8,589 944 1,116 6 8 2 11,619 13,384 3,998 305 81,219 1,663 FY 2008 ORIGINAL BUDGET 8,473 6,150 126,519 600 6,254 265,000 290,413 2,212 70,000 35,000 5,943 22,119 104,732 153,824 90,936 12,000 102,000 12,103,738 234,307 264,008 1,642,523 347,291 373,475 288,000 23,702,905 161,887 1,000 7,052 1,054 1,158 261 365 78 12,208 15,056 4,513 19,000 983 199,048 2,279 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-0420-413.59-10 101-0420-413.61-10 101-0420-413.61-30 101-0420-413.64-10 101-0420-413.64-20 115-0420-413.61-40 115-0420-413.61-50 117-0420-413.61-10 117-0420-413.61-15 119-0420-413.43-10 119-0420-413.61-10 303-0420-413.32-10 303-0420-413.43-40 303-0420-413.44-30 303-0420-413.73-99 303-0420-413.78-99 101-0430-413.43-40 101-0440-413.31-99 101-0440-413.32-20 101-0440-413.34-50 101-0440-413.50-10 FY 2005 ACTUAL 623 6,178 99 1,633 1,366 1,237 3,255 5,291 5,417 18,475 2,202,156 ACCOUNT DESCRIPTION MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES PLANNING-ARCH. & ENG. SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES BUILDINGS/IMPR TO BLDGS IMPROVEMENTS O/T BLDGS PURCH.RPR.,MNTCE,INST.SVC PURCH. ACCT. & FIN. SVC. PLANNING-ARCH. & ENG. SVC PURCHASED MGMT. SERVICES PERMITS AND FEES TOTAL CITY ENGINEER (04) 121 of 192 FY 2006 ACTUAL 1,080 5,889 10 243 2,150 689 2,057 409 1,297 2,630 1,623 120 5,600 17,416 13,282 2,124,539 FY 2007 UNAUDITED 1,205 4,281 75 1,944 1,541 993 1,548 3,916 897 61,718 1,067 3,313,856 FY 2008 ORIGINAL BUDGET 1,425 6,553 100 300 275 3,500 3,000 400 1,509 5,006 2,521 18,845 2,000 86,000 11,395 2,000 41,741,519 (This page intentionally left blank) 122 of 192 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 501-0510-413.10-01 501-0510-413.12-03 501-0510-413.21-01 501-0510-413.21-02 501-0510-413.21-03 501-0510-413.21-05 501-0510-413.21-06 501-0510-413.21-07 501-0510-413.22-01 501-0510-413.23-01 501-0510-413.26-20 501-0510-413.31-98 501-0510-413.35-20 501-0510-413.35-99 501-0510-413.43-10 501-0510-413.43-20 501-0510-413.43-80 501-0510-413.44-30 501-0510-413.50-99 501-0510-413.53-05 501-0510-413.53-10 501-0510-413.53-15 501-0510-413.61-07 501-0510-413.61-10 501-0510-413.61-40 501-0510-413.61-50 501-0510-413.62-10 501-0510-413.62-20 501-0510-413.62-25 501-0510-413.62-50 501-0510-413.74-99 501-0510-413.75-99 501-0510-413.79-99 501-0510-413.80-01 501-0510-413.99-90 501-0510-413.99-91 501-0510-413.99-92 501-0510-413.99-93 501-0520-413.31-50 501-0520-413.31-99 501-0520-413.32-20 501-0520-413.35-20 501-0520-413.35-99 501-0520-413.39-10 501-0520-413.43-10 501-0520-413.43-20 501-0520-413.43-40 501-0520-413.43-80 FY 2005 ACTUAL 74,844 7,149 317 560 5,669 6,312 750 272,183 226 5,170 43,138 21,991 4,698 32,009 8,576 17 487 1,800 52,165 3,043 554 7,985 108,772 68 1,277,996 247,538 322,341 6,612 7,028 42,869 107,253 1,966 180,428 19,828 200 76,715 1,921 9,077 ACCOUNT DESCRIPTION EMPLOYEE SALARIES PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCH. ACCT. & FIN. SVC. PURCHASED TECHNICAL SVCS. PURCHASED TECHNICAL SVCS. PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PERMITS AND FEES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES EQUIPMENT VEHICLES INFRASTRUCTURE IMPROVEMEN OPERATING EXPENSE SRL WARRANTS SRL WARRANTS SRL WARRANTS SRL WARRANTS PURCH. ACCT. & FIN. SVC. PURCH. ACCT. & FIN. SVC. PLANNING-ARCH. & ENG. SVC PURCHASED TECHNICAL SVCS. PURCHASED TECHNICAL SVCS. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC 123 of 192 FY 2006 ACTUAL 87,609 7,411 337 570 5,944 6,770 1,358 282,264 1,346 1,416 42,432 17,710 1,636 29,959 8,731 38 478 1,800 49,578 3,944 467 3,999 142,192 1,676,326 232,170 304,475 6,612 7,028 107,871 189,504 15,263 225 1,903 69,609 24,966 FY 2007 UNAUDITED 81,297 8,591 338 581 3 4 1 6,121 6,974 1,842 294,966 247 305 115,319 19,633 424 25,535 8,713 35 448 1,800 54,738 3,712 246 3,865 165,326 516 169,988 220,959 291,457 6,612 7,028 134,676 199,286 14,921 270 2,066 112,335 23,036 FY 2008 ORIGINAL BUDGET 82,928 2,000 9,600 370 593 130 183 39 6,362 7,712 2,039 447,000 3,000 1,000 75,000 55,000 5,000 60,000 10,000 200 600 2,000 57,666 4,000 1,000 8,000 120,000 500 70,000 265,000 1,700,000 209,475 278,067 7,000 7,100 180,000 400,000 25,000 1,500 5,000 100,000 20,000 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 501-0520-413.44-30 501-0520-413.50-99 501-0520-413.53-05 501-0520-413.58-10 501-0520-413.59-10 501-0520-413.61-10 501-0520-413.61-30 501-0520-413.61-40 501-0520-413.62-20 501-0520-413.62-25 501-0520-413.62-50 501-0520-413.64-10 501-0520-413.64-20 501-0520-413.79-99 503-0520-413.79-99 501-0550-413.35-20 501-0550-413.35-99 501-0550-413.43-20 501-0550-413.43-80 501-0550-413.44-30 501-0550-413.53-05 501-0550-413.61-10 501-0550-413.61-20 501-0550-413.62-20 501-0550-413.62-25 501-0550-413.62-50 FY 2005 ACTUAL 7,577 25,552 4,217 679 102 53,303 822 107,943 591 18,677 14,570 14,876 1,105 1,628 2,144 4,029 143 7,188 99 3,225,500 ACCOUNT DESCRIPTION PROPERTY RENTAL SERVICES PERMITS AND FEES OTHER PURCH. SVS. COMM. TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT INFRASTRUCTURE IMPROVEMEN INFRASTRUCTURE IMPROVEMEN PURCHASED TECHNICAL SVCS. PURCHASED TECHNICAL SVCS. PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES TOTAL SEWER ENTERPRISE (05) 124 of 192 FY 2006 ACTUAL 2,662 30,529 4,681 1,149 105 63,107 2,193 107,116 3,584 19,368 16,781 12,556 2,522 2,145 4,358 7,041 114 3,613,952 FY 2007 UNAUDITED 2,431 31,362 4,912 1,042 105 22,074 640 107,523 294 10,132 2,663,339 20,236 25,600 6,315 2,098 1,403 2,146 96 5,587 18 146 4,891,713 FY 2008 ORIGINAL BUDGET 5,000 50,000 5,000 2,500 200 40,000 200 110,000 2,400 250 200 265,000 12,336,661 69,000 30,000 20,000 3,500 1,000 2,200 5,000 250 8,000 200 17,186,625 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-0610-416.10-01 101-0610-416.11-01 101-0610-416.12-03 101-0610-416.12-04 101-0610-416.13-01 101-0610-416.21-01 101-0610-416.21-02 101-0610-416.21-03 101-0610-416.21-05 101-0610-416.21-06 101-0610-416.21-07 101-0610-416.22-01 101-0610-416.23-01 101-0610-416.24-01 101-0610-416.24-02 101-0610-416.24-04 101-0610-416.24-05 101-0610-416.24-06 101-0610-416.25-01 101-0610-416.26-20 101-0610-416.30-40 101-0610-416.33-10 101-0610-416.34-10 101-0610-416.34-20 101-0610-416.34-30 101-0610-416.34-90 101-0610-416.39-10 101-0610-416.44-30 101-0610-416.54-20 101-0610-416.55-10 101-0610-416.58-10 101-0610-416.58-20 101-0610-416.59-10 101-0610-416.59-20 101-0610-416.61-10 101-0610-416.61-30 101-0610-416.64-10 101-0610-416.64-20 117-0610-416.53-05 117-0610-416.53-10 117-0610-416.53-15 117-0610-416.53-55 117-0610-416.61-07 117-0610-416.61-10 117-0610-416.61-15 117-0610-416.74-99 119-0610-416.43-10 119-0610-416.62-10 FY 2005 ACTUAL 305,606 2,783 1,723 1,475 17,806 2,351 2,294 23,028 25,883 31,220 66,152 6,256 24,331 6,510 1,925 65,124 318 4,929 22,725 15,546 1,528 2,422 6,210 912 3,248 23 483 299 14,074 2,032 70 122 88 975 8,739 1,753 207 475 ACCOUNT DESCRIPTION EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPLOYEE INCENTIVE PAY EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMPLOYEE BENEFITS EMPLOYEE BENEFITS EMPLOYEE BENEFITS EMPLOYEE BENEFITS EMPLOYEE BENEFITS UNEMPLOYMENT COMPENSATION EMP. BEN.-WORKERS COMP PURCHASED LEGAL SERVICES PURCHASED MEDICAL SVCS. PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES REGIS.FEES-CONF,SEM,CERTI PROPERTY RENTAL SERVICES OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT PURCH.RPR.,MNTCE,INST.SVC UTILITIES 125 of 192 FY 2006 ACTUAL 329,027 4,663 1,863 3,964 20,214 2,487 2,383 24,636 28,597 17,279 118,082 8,786 24,661 12,778 4,339 739 64,710 100 9,342 45,245 16,200 1,625 2,757 2,802 476 5,147 403 315 5,208 1,630 169 125 111 1,135 24 21,059 150 6,677 27,600 121 746 FY 2007 UNAUDITED 348,434 3,089 1,424 24,821 2,592 2,500 14 20 4 25,438 30,157 13,483 89,919 14,094 21,697 22,431 6,962 1,012 86,334 193 10,347 27,285 16,200 1,770 2,532 2,372 333 7,302 570 330 8,586 1,296 2,950 265 125 152 1,343 292 28,194 2,362 8,741 458 824 FY 2008 ORIGINAL BUDGET 360,773 5,000 6,000 520,000 29,787 3,107 2,585 652 913 196 27,703 34,001 40,000 10,000 10,200 1,130 4,495 115,000 500 15,435 50,000 24,000 2,500 6,000 7,500 1,200 9,000 600 380 7,000 3,000 1,000 250 150 1,500 600 26,100 5,100 7,658 577 825 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 119-0610-416.62-20 119-0610-416.62-25 119-0610-416.62-50 120-0610-416.52-20 303-0610-416.34-20 303-0610-416.58-10 FY 2005 ACTUAL 2,955 451 3,037 678,088 ACCOUNT DESCRIPTION UTILITIES UTILITIES UTILITIES PURCH. RISK MGMT. SVC. PURCHASED MGMT. SERVICES TRAVEL, MEALS, & LODGING TOTAL HUMAN RESOURCES (06) 126 of 192 FY 2006 ACTUAL 3,171 292 893 822,731 FY 2007 UNAUDITED 3,527 10 245 3,002 81,473 907,504 FY 2008 ORIGINAL BUDGET 3,372 150 470 41,527 2,000 1,389,936 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 115-0710-416.44-35 115-0710-416.61-40 115-0710-416.61-50 115-0710-416.75-99 117-0710-416.10-01 117-0710-416.12-03 117-0710-416.12-04 117-0710-416.21-01 117-0710-416.21-02 117-0710-416.21-03 117-0710-416.21-05 117-0710-416.21-06 117-0710-416.21-07 117-0710-416.22-01 117-0710-416.23-01 117-0710-416.26-20 117-0710-416.35-99 117-0710-416.39-10 117-0710-416.44-30 117-0710-416.53-05 117-0710-416.53-10 117-0710-416.53-15 117-0710-416.53-50 117-0710-416.53-55 117-0710-416.55-10 117-0710-416.58-10 117-0710-416.58-20 117-0710-416.59-10 117-0710-416.59-20 117-0710-416.61-07 117-0710-416.61-10 117-0710-416.61-15 117-0710-416.61-30 117-0710-416.64-10 117-0710-416.64-20 119-0710-416.42-10 119-0710-416.43-10 119-0710-416.61-10 119-0710-416.62-10 119-0710-416.62-20 119-0710-416.62-25 119-0710-416.62-50 303-0710-416.75-99 115-0730-416.61-40 115-0730-416.61-50 117-0730-416.10-01 117-0730-416.12-03 117-0730-416.12-04 FY 2005 ACTUAL ACCOUNT DESCRIPTION PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES EMPLOYEE SALARIES PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PURCHASED TECHNICAL SVCS. REGIS.FEES-CONF,SEM,CERTI PROPERTY RENTAL SERVICES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES VEHICLES PURCHASED SUPPLIES PURCHASED SUPPLIES EMPLOYEE SALARIES PAY FOR BENEFITS PAY FOR BENEFITS 130,172 1,143 14,298 1,136 973 9,586 10,925 26,227 149 2,346 22 35 1,161 192 313 380 750 3,860 1,551 40 123 549 7,653 4,215 26,239 4,686 1,080 386 84,810 951 1,539 127 of 192 FY 2006 ACTUAL 5,088 139,504 1,166 1,943 14,821 1,209 1,001 9,920 11,955 318 24,813 645 2,490 26 39 1,420 340 998 25 385 1,200 130 5,041 194 47 594 9,360 636 5,995 29,418 6,618 852 256 90,644 1,009 1,682 FY 2007 UNAUDITED 5,088 559 740 23,847 148,025 1,249 2,082 17,182 1,212 1,060 6 8 2 10,469 12,699 436 10,382 440 2,573 29 38 1,322 584 1,060 465 1,200 2,520 2,525 3,238 139 569 11,350 7,008 31,140 95 6,943 93,935 1,081 1,802 FY 2008 ORIGINAL BUDGET 5,089 1,000 2,500 152,645 5,000 19,200 1,367 1,093 261 365 78 11,589 14,196 478 10,000 3,000 8,000 200 100 2,400 15,000 1,000 200 3,200 750 1,500 5,000 3,000 250 200 750 2,500 10,819 7,010 24,204 420 6,300 12,000 95,818 4,000 - EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 117-0730-416.21-01 117-0730-416.21-02 117-0730-416.21-03 117-0730-416.21-05 117-0730-416.21-06 117-0730-416.21-07 117-0730-416.22-01 117-0730-416.23-01 117-0730-416.26-20 117-0730-416.34-50 117-0730-416.39-10 117-0730-416.43-20 117-0730-416.53-05 117-0730-416.53-10 117-0730-416.53-15 117-0730-416.53-50 117-0730-416.58-10 117-0730-416.58-20 117-0730-416.59-10 117-0730-416.61-07 117-0730-416.61-10 117-0730-416.61-15 117-0730-416.61-20 117-0730-416.61-30 117-0730-416.64-10 117-0730-416.64-20 117-0730-416.74-99 119-0730-416.62-50 120-0730-416.52-20 303-0730-416.74-99 390-0730-416.61-10 117-0740-416.10-01 117-0740-416.21-01 117-0740-416.21-02 117-0740-416.21-03 117-0740-416.21-05 117-0740-416.21-06 117-0740-416.21-07 117-0740-416.22-01 117-0740-416.23-01 117-0740-416.26-20 117-0740-416.34-50 117-0740-416.39-10 117-0740-416.43-20 117-0740-416.53-15 117-0740-416.58-10 117-0740-416.58-20 117-0740-416.61-07 FY 2005 ACTUAL 7,149 568 629 6,559 7,118 1,790 21,391 549 531 662 32,311 2,392 53 275 21,162 1,419 249 612 103,437 67,561 7,149 568 504 5,009 5,670 7,798 830 650 44 5,247 ACCOUNT DESCRIPTION EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PURCHASED MGMT. SERVICES REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT EQUIPMENT UTILITIES PURCH. RISK MGMT. SVC. EQUIPMENT PURCHASED SUPPLIES EMPLOYEE SALARIES EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PURCHASED MGMT. SERVICES REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC OTHER PURCH. SVS. COMM. TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES 128 of 192 FY 2006 ACTUAL 7,411 604 651 7,030 7,768 204 8,071 26,056 432 (174) 945 28,077 813 184 320 8,520 3,277 870 253 249 7,224 4,919 37,658 72,227 7,411 604 521 5,348 6,190 162 12,048 23,133 951 9,139 FY 2007 UNAUDITED 8,591 606 670 3 4 1 7,246 8,059 273 5,274 395 53,750 2,159 (351) 896 19,129 1,161 320 9,499 2,094 249 77,289 8,591 606 552 3 4 1 5,736 6,631 224 13,041 23,673 896 17,355 FY 2008 ORIGINAL BUDGET 9,600 684 684 130 183 39 7,558 8,911 300 39,000 1,700 30,500 1,000 450 1,200 25,000 3,000 350 30,500 3,000 250 400 100 300 15,500 292 150,000 524,000 82,050 9,600 684 587 130 183 39 6,112 7,631 257 36,000 5,000 35,000 750 1,700 27,500 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 117-0740-416.61-10 117-0740-416.61-15 117-0740-416.61-20 117-0740-416.61-30 117-0740-416.64-10 117-0740-416.74-99 117-0750-416.10-01 117-0750-416.12-03 117-0750-416.12-07 117-0750-416.21-01 117-0750-416.21-02 117-0750-416.21-03 117-0750-416.21-05 117-0750-416.21-06 117-0750-416.21-07 117-0750-416.22-01 117-0750-416.23-01 117-0750-416.26-20 117-0750-416.34-50 117-0750-416.35-99 117-0750-416.39-10 117-0750-416.43-20 117-0750-416.53-05 117-0750-416.53-10 117-0750-416.53-15 117-0750-416.53-50 117-0750-416.53-55 117-0750-416.58-10 117-0750-416.59-10 117-0750-416.61-07 117-0750-416.61-10 117-0750-416.61-15 117-0750-416.61-20 117-0750-416.61-30 117-0750-416.64-10 117-0750-416.74-99 303-0750-416.32-20 303-0750-416.61-10 303-0750-416.74-99 117-0760-416.10-01 117-0760-416.11-01 117-0760-416.12-03 117-0760-416.12-04 117-0760-416.21-01 117-0760-416.21-02 117-0760-416.21-03 117-0760-416.21-05 117-0760-416.21-06 FY 2005 ACTUAL 45,865 2,875 129 24,547 40,962 212 238 5,988 475 287 2,915 3,438 29,535 3,598 6,632 30,177 23,374 470 55,823 1,192 506 250 15,221 44,132 6,142 184 23,469 2,100 4,762 8,592 66,486 770 1,247 2,637 317 486 - ACCOUNT DESCRIPTION PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT EQUIPMENT EMPLOYEE SALARIES PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PURCHASED MGMT. SERVICES PURCHASED TECHNICAL SVCS. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT EQUIPMENT PLANNING-ARCH. & ENG. SVC PURCHASED SUPPLIES EQUIPMENT EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS 129 of 192 FY 2006 ACTUAL 28,957 3,039 224 74,103 53,072 7,411 604 386 3,661 4,548 119 9,500 9,323 125 74,765 18,535 534 89,674 503 668 250 17,593 105,801 709 (4) 33,109 1,410 68,313 1,310 5,871 513 490 - FY 2007 UNAUDITED 13,416 63,461 114 56,742 8,591 606 408 3 4 1 3,929 4,868 165 23,662 125 50,678 34,706 2 999 84,963 675 727 250 6,646 83,953 7,781 129 70,307 118 809 1,349 8,591 606 504 3 4 FY 2008 ORIGINAL BUDGET 75,000 250 250 200 5,501 60,374 500 9,626 685 434 131 183 39 4,248 5,615 189 17,500 35,000 9,000 80,000 25,000 1,000 1,200 100,000 1,000 4,200 250 65,500 67,500 250 250 200 5,501 29,053 56,898 91,408 71,728 2,800 3,000 9,600 684 514 130 183 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 117-0760-416.21-07 117-0760-416.22-01 117-0760-416.23-01 117-0760-416.26-20 117-0760-416.39-10 117-0760-416.43-20 117-0760-416.53-15 117-0760-416.58-10 117-0760-416.61-07 117-0760-416.61-10 117-0760-416.61-15 117-0760-416.61-20 117-0760-416.61-30 117-0760-416.64-10 117-0770-416.10-01 117-0770-416.11-01 117-0770-416.12-03 117-0770-416.12-04 117-0770-416.21-01 117-0770-416.21-02 117-0770-416.21-03 117-0770-416.21-05 117-0770-416.21-06 117-0770-416.21-07 117-0770-416.22-01 117-0770-416.23-01 117-0770-416.26-20 117-0770-416.34-50 117-0770-416.35-99 117-0770-416.39-10 117-0770-416.43-20 117-0770-416.53-10 117-0770-416.53-15 117-0770-416.53-55 117-0770-416.55-10 117-0770-416.58-10 117-0770-416.58-20 117-0770-416.59-10 117-0770-416.61-07 117-0770-416.61-10 117-0770-416.61-15 117-0770-416.61-30 117-0770-416.64-10 117-0770-416.64-20 119-0770-416.62-20 303-0770-416.61-10 303-0770-416.61-15 303-0770-416.74-99 FY 2005 ACTUAL ACCOUNT DESCRIPTION EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC OTHER PURCH. SVS. COMM. TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PURCHASED MGMT. SERVICES PURCHASED TECHNICAL SVCS. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT UTILITIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT TOTAL SUPPORT SERVICES (07) 5,252 5,580 1,525 558 488 17,682 4,125 22,488 136 119,864 818 14,298 1,136 903 8,911 10,060 4,704 100,337 3,388 5,832 80 1,308 770 139 1,301 118 40 25,083 2,191 5,895 154 274 1 3,004 1,456 45,264 1,518,572 130 of 192 FY 2006 ACTUAL 5,232 5,855 156 395 493 476 409 22,631 3,948 35,382 94 48 128,505 868 1,391 14,821 1,209 935 9,647 11,013 289 450 147,887 1,751 3,904 67 1,432 952 135 2,316 36,648 3,386 415 141 6,225 1,725,500 FY 2007 UNAUDITED 1 5,388 6,042 204 395 75 448 985 87,932 4,051 4,871 71 64 137,900 930 1,490 17,182 1,212 988 6 8 2 10,186 11,831 405 10,467 7,615 395 100 1,340 2,258 96 1,015 30,163 3,736 2,114 189 873 9,717 1,572,372 FY 2008 ORIGINAL BUDGET 39 5,805 6,940 225 5,000 10,000 1,200 1,700 106,000 180,000 300 500 200 146,326 200 2,500 19,200 1,367 1,050 261 365 78 10,812 13,608 458 25,000 162,000 5,000 12,000 200 2,000 1,500 250 4,600 47,200 6,000 200 200 1,251 30,107 3,154,552 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-0910-412.10-01 101-0910-412.12-03 101-0910-412.12-06 101-0910-412.12-07 101-0910-412.21-01 101-0910-412.21-02 101-0910-412.21-03 101-0910-412.21-05 101-0910-412.21-06 101-0910-412.21-07 101-0910-412.22-01 101-0910-412.23-01 101-0910-412.26-20 101-0910-412.32-10 101-0910-412.34-20 101-0910-412.35-99 101-0910-412.39-10 101-0910-412.43-20 101-0910-412.44-30 101-0910-412.54-10 101-0910-412.54-50 101-0910-412.55-10 101-0910-412.58-10 101-0910-412.58-20 101-0910-412.59-10 101-0910-412.61-10 101-0910-412.61-30 101-0910-412.64-10 101-0910-412.64-20 101-0910-412.71-99 101-0910-412.73-99 117-0910-412.53-05 117-0910-412.53-10 117-0910-412.53-15 117-0910-412.61-15 119-0910-412.43-10 119-0910-412.62-10 119-0910-412.62-20 119-0910-412.62-50 230-0910-412.34-20 230-0910-412.38-10 230-0910-412.39-10 230-0910-412.43-10 230-0910-412.54-10 230-0910-412.58-10 230-0910-412.71-99 230-0910-412.73-99 230-0910-412.79-99 303-0910-412.32-10 303-0910-412.78-99 FY 2005 ACTUAL 175,997 5,275 635 1,298 11,421 14,771 7,407 1,130 2,875 45 467 14,596 11,154 135 4,836 2,499 3,652 3,239 304 15 922 118 73 533 1,524 754 1,428 4,835 344 50,125 245 3,301 1,065 (204) 369,232 9,569 11,021 ACCOUNT DESCRIPTION EMPLOYEE SALARIES PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PLANNING-ARCH. & ENG. SVC PURCHASED MGMT. SERVICES PURCHASED TECHNICAL SVCS. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES OTHER PURCH. SVCS. ADVERT OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT LAND ACQUISITION ACQU. OF IMPROV. NOT BLDG OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES PURCHASED MGMT. SERVICES CIVIC SVCS/CONTRIBUTIONS REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC OTHER PURCH. SVCS. ADVERT TRAVEL, MEALS, & LODGING LAND ACQUISITION ACQU. OF IMPROV. NOT BLDG INFRASTRUCTURE IMPROVEMEN PLANNING-ARCH. & ENG. SVC IMPROVEMENTS O/T BLDGS 131 of 192 FY 2006 ACTUAL 130,057 116 3,455 364 911 9,742 11,352 295 19,875 996 4,612 9,122 9,355 3,016 2,236 1,139 3,304 562 303 607 90 34 478 1,122 440 539 1,681 191 48,185 1,250 2,275 16,166 - FY 2007 UNAUDITED 122,710 3,595 338 892 3 4 1 7,666 10,763 371 30,367 5,407 4,613 7,801 2,744 1 508 2,950 2,400 5 4 162 1,672 275 1,183 82 50,000 118,545 1,434 177,730 75,704 34,742 - FY 2008 ORIGINAL BUDGET 49,215 3,000 24,600 21,500 3,526 370 356 130 183 39 3,756 10,752 33,300 25,000 12,100 1,000 3,000 110 1,000 250 150 600 2,103 275 5,161 917 49,845 44,327 11,703 155 386,782 174,488 67,801 11,000 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) FY 2005 ACTUAL 254,027 17,053 987,716 ACCOUNT NUMBER ACCOUNT DESCRIPTION INFRASTRUCTURE IMPROVEMEN 303-0910-412.79-99 INFRASTRUCTURE IMPROVEMEN 307-0910-412.79-99 IMPROVEMENTS O/T BLDGS 390-0910-412.78-99 TOTAL DEVELOPMENT (09) 132 of 192 FY 2006 ACTUAL 17,952 6,615 308,437 FY 2007 UNAUDITED 664,672 FY 2008 ORIGINAL BUDGET 23,745 44,000 1,016,239 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-1110-414.10-01 101-1110-414.12-03 101-1110-414.21-01 101-1110-414.21-02 101-1110-414.21-03 101-1110-414.21-05 101-1110-414.21-06 101-1110-414.21-07 101-1110-414.22-01 101-1110-414.23-01 101-1110-414.26-20 101-1110-414.31-20 101-1110-414.31-99 101-1110-414.39-10 101-1110-414.44-30 101-1110-414.55-10 101-1110-414.58-10 101-1110-414.58-20 101-1110-414.59-10 101-1110-414.59-20 101-1110-414.61-10 101-1110-414.61-30 101-1110-414.64-10 101-1110-414.64-20 117-1110-414.53-05 117-1110-414.53-10 117-1110-414.53-15 117-1110-414.53-55 117-1110-414.61-07 117-1110-414.61-10 117-1110-414.61-15 119-1110-414.43-10 119-1110-414.62-10 119-1110-414.62-20 119-1110-414.62-25 119-1110-414.62-50 101-1120-414.10-01 101-1120-414.11-01 101-1120-414.12-03 101-1120-414.12-04 101-1120-414.21-01 101-1120-414.21-02 101-1120-414.21-03 101-1120-414.21-05 101-1120-414.21-06 101-1120-414.21-07 101-1120-414.22-01 101-1120-414.23-01 101-1120-414.26-20 101-1120-414.34-10 FY 2005 ACTUAL 189,442 5,275 635 1,396 12,365 15,900 123,033 10,326 1,499 2,526 2,448 234 1,754 625 2,496 332 642 1,383 850 77 (56) 152 3,150 50 1,551 341 791 4,925 751 253,955 443 502 27,014 2,612 1,884 18,444 21,352 - ACCOUNT DESCRIPTION EMPLOYEE SALARIES PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCH. ACCT. & FIN. SVC. PURCH. ACCT. & FIN. SVC. REGIS.FEES-CONF,SEM,CERTI PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCHASED MGMT. SERVICES 133 of 192 FY 2006 ACTUAL 202,919 6,402 675 1,446 13,225 17,390 456 79,480 2,422 1,285 2,472 2,692 47 1,584 595 6,341 350 1,134 1,750 842 83 560 285 19,852 150 464 199 1,244 5,284 486 291,933 1,618 1,054 31,649 3,071 2,105 21,366 25,157 655 149 FY 2007 UNAUDITED 211,278 7,191 676 1,493 6 8 2 13,862 18,126 614 95,005 1,154 1,239 2,550 4,175 2,890 1,730 492 3,318 680 587 1,559 842 91 750 292 32,510 3,056 755 1,374 5,863 17 409 310,432 422 36,559 3,099 2,230 17 24 5 22,536 26,669 902 - FY 2008 ORIGINAL BUDGET 218,702 1,500 7,052 741 1,549 261 365 78 16,990 20,339 685 98,500 7,024 2,200 4,850 5,100 2,500 1,000 5,000 650 1,750 2,050 1,200 150 1,000 600 32,300 5,000 950 1,375 4,786 200 918 322,852 2,000 900 39,404 3,477 2,318 782 1,096 235 23,715 30,205 1,011 2,500 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-1120-414.34-20 101-1120-414.39-10 101-1120-414.44-30 101-1120-414.55-10 101-1120-414.58-10 101-1120-414.58-20 101-1120-414.59-10 101-1120-414.59-20 101-1120-414.61-10 101-1120-414.61-30 101-1120-414.64-10 101-1120-414.64-20 117-1120-414.53-15 117-1120-414.61-07 117-1120-414.61-10 117-1120-414.61-15 117-1120-414.74-99 303-1120-414.34-20 303-1120-414.74-99 FY 2005 ACTUAL 13,838 1,334 3,467 1,029 2,195 146 385 10,613 9,244 3,338 1,019 42 30,741 863 8,773 4,995 803,121 ACCOUNT DESCRIPTION PURCHASED MGMT. SERVICES REGIS.FEES-CONF,SEM,CERTI PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT PURCHASED MGMT. SERVICES EQUIPMENT TOTAL FINANCE (11) 134 of 192 FY 2006 ACTUAL 15,000 1,804 2,936 1,521 6,651 28 505 11,075 8,701 5,411 5,607 810,110 FY 2007 UNAUDITED 3,829 2,180 728 5,000 712 9,808 9,401 3,789 2,008 7,263 25,352 275,080 1,162,639 FY 2008 ORIGINAL BUDGET 10,000 6,500 5,000 2,500 7,450 1,500 13,500 10,000 5,000 1,868 1,000 600 4,945 184,919 1,132,642 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-1210-414.10-01 101-1210-414.12-03 101-1210-414.12-04 101-1210-414.21-01 101-1210-414.21-02 101-1210-414.21-03 101-1210-414.21-05 101-1210-414.21-06 101-1210-414.21-07 101-1210-414.22-01 101-1210-414.23-01 101-1210-414.26-20 119-1210-414.61-10 101-1220-414.10-01 101-1220-414.12-03 101-1220-414.21-01 101-1220-414.21-02 101-1220-414.21-03 101-1220-414.21-05 101-1220-414.21-06 101-1220-414.21-07 101-1220-414.22-01 101-1220-414.23-01 101-1220-414.26-20 101-1220-414.31-31 101-1220-414.31-70 101-1220-414.31-71 101-1220-414.31-90 101-1220-414.31-91 101-1220-414.31-99 101-1220-414.39-10 101-1220-414.44-30 101-1220-414.55-10 101-1220-414.58-10 101-1220-414.58-20 101-1220-414.59-10 101-1220-414.61-10 101-1220-414.61-30 101-1220-414.64-10 101-1220-414.64-20 115-1220-414.61-40 115-1220-414.61-50 115-1220-414.75-99 117-1220-414.34-20 117-1220-414.53-05 117-1220-414.53-10 117-1220-414.53-15 117-1220-414.53-55 117-1220-414.61-07 117-1220-414.61-10 117-1220-414.61-15 FY 2005 ACTUAL 167,374 814 2,036 13,130 1,401 1,240 11,968 14,048 168,867 214 16,935 1,453 1,254 12,438 14,173 108,999 102,101 24,217 23,405 4,550 4,755 4,940 9,376 5,437 806 1,060 16,844 11,219 939 1,221 915 434 77 438 2,939 730 6,280 231 6,640 ACCOUNT DESCRIPTION EMPLOYEE SALARIES PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCHASED SUPPLIES EMPLOYEE SALARIES PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCH. ACCT. & FIN. SVC. PURCH. ACCT. & FIN. SVC. PURCH. ACCT. & FIN. SVC. PURCH. ACCT. & FIN. SVC. PURCH. ACCT. & FIN. SVC. PURCH. ACCT. & FIN. SVC. REGIS.FEES-CONF,SEM,CERTI PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES PURCHASED MGMT. SERVICES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES 135 of 192 FY 2006 ACTUAL 204,576 1,296 2,160 18,022 1,813 1,480 14,024 17,532 460 179,784 18,022 1,546 1,295 13,210 15,407 404 107,620 149,983 25,847 27,996 5,998 4,925 5,516 10,394 7,603 1,143 1,080 10,965 11,958 612 1,083 1,813 1,119 60 398 2,983 1,762 6,460 80 18,295 FY 2007 UNAUDITED 217,001 20,777 1,817 1,552 9 12 3 14,489 18,617 630 264 189,708 20,777 1,549 1,354 9 12 3 13,916 16,275 551 122,302 113,127 26,667 18,278 7,062 5,215 6,621 8,231 6,962 785 9,860 11,954 338 1,173 2,370 548 63,721 42 313 3,135 2,333 10,100 228 FY 2008 ORIGINAL BUDGET 226,533 3,500 22,752 2,053 1,623 391 548 117 16,536 21,067 710 196,504 500 22,736 1,739 1,401 391 548 117 14,529 18,275 615 30,000 140,000 160,000 40,000 40,000 9,500 6,500 7,436 14,000 11,750 1,400 15,381 17,500 1,107 1,609 4,000 2,500 25,000 200 500 5,200 2,400 14,690 200 - EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 119-1220-414.42-10 119-1220-414.43-10 119-1220-414.62-10 119-1220-414.62-20 119-1220-414.62-25 119-1220-414.62-50 120-1220-414.52-20 101-1230-414.10-01 101-1230-414.12-03 101-1230-414.12-04 101-1230-414.12-06 101-1230-414.12-07 101-1230-414.21-01 101-1230-414.21-02 101-1230-414.21-03 101-1230-414.21-05 101-1230-414.21-06 101-1230-414.21-07 101-1230-414.22-01 101-1230-414.23-01 101-1230-414.26-20 FY 2005 ACTUAL ACCOUNT DESCRIPTION PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES PURCH. RISK MGMT. SVC. EMPLOYEE SALARIES PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. TOTAL REVENUE (12) 3,623 2,108 13,454 2,343 137,947 1,023 14,667 1,215 1,036 10,031 11,579 964,924 136 of 192 FY 2006 ACTUAL 3,339 2,998 14,709 3,309 1,138 199,208 740 1,998 1,011 19,194 1,960 1,421 14,736 17,072 456 1,180,013 FY 2007 UNAUDITED 4,553 3,474 14,900 47 3,175 973 229,798 775 27,208 2,271 1,650 11 16 3 16,746 19,716 667 1,266,673 FY 2008 ORIGINAL BUDGET 1,500 4,841 3,475 13,203 300 3,500 252,280 4,000 32,414 2,742 1,808 523 732 157 18,884 23,462 790 1,468,669 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-1810-415.10-01 101-1810-415.12-03 101-1810-415.12-04 101-1810-415.21-01 101-1810-415.21-02 101-1810-415.21-03 101-1810-415.21-05 101-1810-415.21-06 101-1810-415.21-07 101-1810-415.22-01 101-1810-415.23-01 101-1810-415.26-20 101-1810-415.39-10 101-1810-415.55-10 101-1810-415.58-10 101-1810-415.58-20 101-1810-415.59-10 101-1810-415.61-10 101-1810-415.61-20 101-1810-415.61-30 101-1810-415.64-20 115-1810-415.61-40 115-1810-415.61-50 115-1810-415.75-99 117-1810-415.53-05 117-1810-415.53-10 117-1810-415.53-15 117-1810-415.53-55 117-1810-415.61-15 119-1810-415.61-10 235-1810-415.39-10 FY 2005 ACTUAL 97,765 6,271 498 703 6,766 8,206 775 1,016 264 471 5 20 382 1,135 124,277 ACCOUNT DESCRIPTION EMPLOYEE SALARIES PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. REGIS.FEES-CONF,SEM,CERTI PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES REGIS.FEES-CONF,SEM,CERTI TOTAL HOMELAND SECURITY/IMMIGRATION (18) 137 of 192 FY 2006 ACTUAL 120,343 1,393 7,411 604 864 7,610 10,313 2,293 300 57 1,091 133 735 489 330 56 358 10 40 954 68 1,551 4,299 161,302 FY 2007 UNAUDITED 128,900 1,492 2,391 8,591 606 904 3 4 1 7,998 11,058 2,785 1,205 3,805 770 892 487 63 253 603 372 26,643 10 56 897 584 942 202,315 FY 2008 ORIGINAL BUDGET 137,117 1,500 9,626 685 971 131 183 39 10,491 12,752 3,245 2,725 300 7,150 770 500 500 300 400 700 800 100 100 1,200 650 192,935 (This page intentionally left blank) 138 of 192 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 115-1910-415.61-40 115-1910-415.61-50 117-1910-415.43-20 117-1910-415.53-05 117-1910-415.53-10 117-1910-415.53-15 117-1910-415.61-07 117-1910-415.61-10 117-1910-415.61-15 117-1910-415.74-99 119-1910-415.43-10 119-1910-415.43-20 119-1910-415.62-10 119-1910-415.62-20 119-1910-415.62-25 119-1910-415.62-50 120-1910-415.52-20 199-1910-415.58-20 199-1910-415.61-10 201-1910-415.10-01 201-1910-415.10-06 201-1910-415.11-01 201-1910-415.11-06 201-1910-415.12-03 201-1910-415.12-04 201-1910-415.12-05 201-1910-415.12-06 201-1910-415.12-07 201-1910-415.21-01 201-1910-415.21-02 201-1910-415.21-03 201-1910-415.21-05 201-1910-415.21-06 201-1910-415.21-07 201-1910-415.22-01 201-1910-415.23-01 201-1910-415.26-20 201-1910-415.35-99 201-1910-415.39-10 201-1910-415.43-10 201-1910-415.43-20 201-1910-415.44-30 201-1910-415.58-10 201-1910-415.58-20 201-1910-415.59-10 201-1910-415.61-07 201-1910-415.61-10 201-1910-415.61-20 201-1910-415.61-30 201-1910-415.64-10 201-1910-415.64-20 FY 2005 ACTUAL 4,149 1,041 18,723 119,558 238 5,052 45,409 426 8,813 1,216 963 3,191 487 2,738 57 572 1,203,040 173,400 3,286 1,377 198 364 125,272 11,883 8,979 103,676 115,524 5,964 258 4,259 27,074 7,341 2,625 31,913 11,706 254 443 10,048 ACCOUNT DESCRIPTION PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES PURCH. RISK MGMT. SVC. TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCHASED TECHNICAL SVCS. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT 139 of 192 FY 2006 ACTUAL 6,011 584 16,839 113,955 262 4,247 77,075 686 14,973 1,339 1,182 1,385 3,415 315 2,937 1,233,714 7,699 142,576 72 4,842 1,504 1,674 1,668 5,423 146,144 12,999 8,925 104,399 117,948 4,893 3,700 643 606 1,045 17,784 6,141 85 2,322 23,075 34,001 4,944 238 16,773 FY 2007 UNAUDITED 5,406 396 17,320 129,733 858 3,700 78,060 1,800 25,302 935 1,178 1,231 3,790 11 265 6,189 1,302,801 24,732 113,182 87 1,581 2,025 569 611 167,266 13,529 9,321 80 112 24 107,463 121,755 6,482 5,354 3,675 139 1,940 18,353 4,570 2,746 17,749 7,642 429 14,148 FY 2008 ORIGINAL BUDGET 7,500 700 20,000 125,000 300 6,000 96,000 611 1,235 3,101 200 590 1,359,908 105,000 15,500 177,688 15,070 9,721 3,650 5,110 1,095 110,106 135,899 7,282 12,000 9,500 1,000 6,500 19,632 9,300 3,195 20,247 9,000 500 16,300 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 201-1910-415.64-50 201-1910-415.74-99 202-1910-415.61-10 202-1910-415.61-15 202-1910-415.73-99 202-1910-415.74-99 262-1910-415.73-99 303-1910-415.35-99 303-1910-415.61-10 303-1910-415.61-30 303-1910-415.73-99 303-1910-415.74-99 307-1910-415.73-99 FY 2005 ACTUAL 250 4,381 14,578 2,080,726 ACCOUNT DESCRIPTION BKS, PERIODICAL & A/V MAT EQUIPMENT PURCHASED SUPPLIES PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS EQUIPMENT BUILDINGS/IMPR TO BLDGS PURCHASED TECHNICAL SVCS. PURCHASED SUPPLIES PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS EQUIPMENT BUILDINGS/IMPR TO BLDGS TOTAL PUBLIC SAFETY COMMUNICATIONS (19) 140 of 192 FY 2006 ACTUAL 28,160 49,542 108,670 2,337,414 FY 2007 UNAUDITED 182,206 11,142 72,889 404,524 2,895,300 FY 2008 ORIGINAL BUDGET 650,000 1,017,795 50,000 100,135 1,000 1,336,737 5,470,107 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-2010-415.10-01 101-2010-415.11-01 101-2010-415.12-03 101-2010-415.12-04 101-2010-415.21-01 101-2010-415.21-02 101-2010-415.21-03 101-2010-415.21-05 101-2010-415.21-06 101-2010-415.21-07 101-2010-415.22-01 101-2010-415.23-01 101-2010-415.26-20 101-2010-415.30-20 101-2010-415.30-30 101-2010-415.39-10 101-2010-415.43-10 101-2010-415.43-20 101-2010-415.44-30 101-2010-415.55-10 101-2010-415.58-10 101-2010-415.58-20 101-2010-415.59-10 101-2010-415.61-10 101-2010-415.61-20 101-2010-415.61-25 101-2010-415.61-30 101-2010-415.61-70 101-2010-415.64-20 115-2010-415.44-35 115-2010-415.61-10 115-2010-415.61-40 115-2010-415.61-50 115-2010-415.75-99 117-2010-415.53-05 117-2010-415.53-10 117-2010-415.53-15 117-2010-415.53-55 117-2010-415.61-07 117-2010-415.61-10 117-2010-415.61-15 119-2010-415.43-10 119-2010-415.61-10 119-2010-415.62-10 119-2010-415.62-20 119-2010-415.62-25 119-2010-415.62-50 120-2010-415.26-20 120-2010-415.52-20 199-2010-415.58-20 235-2010-415.61-10 FY 2005 ACTUAL 598,892 11,367 5,437 5,215 56,273 4,958 4,469 45,636 51,221 48,000 63,678 1,256 482 1,764 759 13,876 1,757 4,225 10,573 104,744 2,303 5,750 273 18,615 1,375 18,505 9,906 25,304 2,157 2,689 900 1,573 19,356 2,769 8,029 50,711 7,623 1,254 343 17 - ACCOUNT DESCRIPTION EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCHASE LEGAL SERVICES PURCHASE LEGAL SERVICES REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES EMP. BEN.-WORKERS COMP. PURCH. RISK MGMT. SVC. TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES 141 of 192 FY 2006 ACTUAL 689,412 22,314 4,302 8,918 64,266 5,686 4,955 52,409 60,995 11,099 48,000 60,130 725 474 455 32,813 1,569 3,860 8,703 112,000 19,364 2,156 82 51,591 23,085 10,068 22,703 2,426 4,463 150 13,605 21,079 4,959 12,628 57,494 4,934 698 37,292 FY 2007 UNAUDITED 740,479 4,465 6,515 6,106 74,630 5,790 5,301 29 40 9 54,294 63,910 13,843 60,000 60,000 3,819 1,393 4,484 5,109 821 28,976 3,850 18,249 97,140 11,438 2,024 1,655 51,591 19,125 15,033 25,095 2,171 4,770 3,650 11,727 7,426 13,944 66,735 172 4,150 6,707 15,000 FY 2008 ORIGINAL BUDGET 782,527 17,000 14,000 83,888 6,526 5,599 1,304 1,826 391 60,812 74,302 15,869 60,000 60,000 7,000 1,500 6,500 4,500 37,500 4,100 19,349 108,500 20,000 4,000 800 611,297 575,947 135,000 26,000 3,000 5,000 1,560 2,800 585 11,431 4,000 13,945 44,546 2,000 5,385 557,327 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 235-2010-415.61-30 250-2010-415.61-10 250-2010-415.61-15 253-2010-415.61-20 261-2010-415.31-99 261-2010-415.44-30 261-2010-415.61-10 261-2010-415.61-20 261-2010-415.74-99 261-2010-415.75-99 262-2010-415.54-10 262-2010-415.61-10 262-2010-415.61-15 262-2010-415.61-20 262-2010-415.74-99 262-2010-415.75-99 303-2010-415.75-99 307-2010-415.61-15 307-2010-415.73-99 101-2015-415.10-01 101-2015-415.11-01 101-2015-415.12-03 101-2015-415.12-04 101-2015-415.21-01 101-2015-415.21-02 101-2015-415.21-03 101-2015-415.21-05 101-2015-415.21-06 101-2015-415.21-07 101-2015-415.22-01 101-2015-415.23-01 101-2015-415.26-20 101-2015-415.39-10 101-2015-415.43-20 101-2015-415.58-10 101-2015-415.59-10 101-2015-415.61-10 101-2015-415.61-15 101-2015-415.61-20 101-2015-415.61-30 101-2015-415.74-99 115-2015-415.44-35 115-2015-415.61-10 115-2015-415.61-40 115-2015-415.61-50 117-2015-415.53-15 117-2015-415.61-10 117-2015-415.61-15 261-2015-415.74-99 262-2015-415.74-99 101-2020-415.10-01 FY 2005 ACTUAL ACCOUNT DESCRIPTION PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH. ACCT. & FIN. SVC. PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT VEHICLES OTHER PURCH. SVCS ADVERT PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT VEHICLES VEHICLES PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT EQUIPMENT EMPLOYEE SALARIES 229 398 15,212 21,919 69,144 6,376 748 2,637 317 486 5,877 6,338 1,759 3,878 370 19,059 1,238 300 48,053 3,519 9,489 684 150 27,474 115,000 876,971 142 of 192 FY 2006 ACTUAL 88 381 19,932 42,079 5,870 14,554 33,300 17,661 1,395,993 71,335 7,772 1,556 3,201 337 485 6,226 6,780 1,359 595 473 18,446 3,500 154 19,000 503 644 958 1,550 898,247 FY 2007 UNAUDITED 5,540 132,884 5,163 93,141 25,000 200,807 70,498 619,667 51,299 79,591 7,667 809 1,349 3,595 338 526 3 4 1 6,877 7,485 1,739 636 4,500 100 14,098 7,488 373 21,981 6,662 5,633 4,092 1,197 745 910,240 FY 2008 ORIGINAL BUDGET 80,725 5,175 41,500 2,079,115 77,319 10,000 2,000 3,536 371 542 131 183 39 6,922 8,089 1,829 2,500 2,000 7,500 500 14,460 7,500 200 50,000 1,200 980,928 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-2020-415.11-01 101-2020-415.12-03 101-2020-415.12-04 101-2020-415.12-05 101-2020-415.12-07 101-2020-415.21-01 101-2020-415.21-02 101-2020-415.21-03 101-2020-415.21-05 101-2020-415.21-06 101-2020-415.21-07 101-2020-415.22-01 101-2020-415.23-01 101-2020-415.26-20 101-2020-415.39-10 101-2020-415.43-10 101-2020-415.43-20 101-2020-415.44-30 101-2020-415.55-10 101-2020-415.58-10 101-2020-415.58-20 101-2020-415.59-10 101-2020-415.61-10 101-2020-415.61-15 101-2020-415.61-30 101-2020-415.64-20 115-2020-415.61-40 115-2020-415.61-50 115-2020-415.75-99 117-2020-415.53-15 117-2020-415.61-07 117-2020-415.61-10 117-2020-415.61-15 117-2020-415.74-99 120-2020-415.52-20 261-2020-415.61-10 307-2020-415.74-99 101-2025-415.10-01 101-2025-415.11-01 101-2025-415.12-03 101-2025-415.12-04 101-2025-415.12-05 101-2025-415.12-07 101-2025-415.21-01 101-2025-415.21-02 101-2025-415.21-03 101-2025-415.21-05 101-2025-415.21-06 101-2025-415.21-07 101-2025-415.22-01 101-2025-415.23-01 FY 2005 ACTUAL 96,536 8,923 6,939 86,338 7,242 6,406 73,933 81,706 8,096 75 4,996 409 5,413 283 305 4,881 2,975 67 3,600 25,533 6,629 9,137 950 110 826 368 1,690 181,597 19,190 3,308 674 3,884 18,505 1,587 1,302 15,250 16,852 ACCOUNT DESCRIPTION OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT PURCH. RISK MGMT. SVC. PURCHASED SUPPLIES EQUIPMENT EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN 143 of 192 FY 2006 ACTUAL 168,209 6,385 6,890 1,904 22,571 89,741 7,780 6,368 82,585 91,395 16,642 3,840 4,729 148 6,018 255 17,272 9,570 100 4,877 34,390 7,290 8,832 7,292 360 6,296 4,670 185,999 63,893 1,571 1,218 22,232 1,813 1,282 18,447 21,416 FY 2007 UNAUDITED 62,260 5,490 5,113 101,466 7,847 6,377 40 56 12 73,216 83,429 19,082 11,194 410 4,360 188 17,666 600 13,292 87 4,157 30,937 12,119 9,738 7,068 150 488 8,099 24,127 15,039 189,737 21,492 1,722 3,858 25,773 1,817 1,330 9 12 3 14,978 18,119 FY 2008 ORIGINAL BUDGET 177,000 38,000 116,187 8,945 7,033 1,825 2,556 548 89,475 107,122 22,256 16,140 500 5,000 300 22,150 745 12,100 100 3,000 12,000 11,000 10,229 205,160 64,000 8,000 28,800 2,051 1,472 391 548 117 19,753 24,827 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-2025-415.26-20 101-2025-415.30-90 101-2025-415.39-10 101-2025-415.43-10 101-2025-415.43-20 101-2025-415.44-30 101-2025-415.55-10 101-2025-415.58-10 101-2025-415.59-10 101-2025-415.61-10 101-2025-415.61-30 101-2025-415.61-60 101-2025-415.64-10 101-2025-415.74-99 115-2025-415.44-35 115-2025-415.61-40 115-2025-415.61-50 117-2025-415.53-15 117-2025-415.61-10 117-2025-415.61-15 101-2030-415.10-01 101-2030-415.11-01 101-2030-415.12-03 101-2030-415.12-04 101-2030-415.21-01 101-2030-415.21-02 101-2030-415.21-03 101-2030-415.21-05 101-2030-415.21-06 101-2030-415.21-07 101-2030-415.22-01 101-2030-415.23-01 101-2030-415.26-20 101-2030-415.39-10 101-2030-415.43-20 101-2030-415.55-10 101-2030-415.58-10 101-2030-415.59-10 101-2030-415.61-10 101-2030-415.61-15 101-2030-415.61-20 101-2030-415.61-30 101-2030-415.73-99 101-2030-415.74-99 115-2030-415.44-35 115-2030-415.61-40 115-2030-415.61-50 117-2030-415.53-15 117-2030-415.61-07 117-2030-415.61-10 117-2030-415.61-15 FY 2005 ACTUAL ACCOUNT DESCRIPTION EMP. BEN.-WORKERS COMP. PURCHASE LEGAL SERVICES REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT EQUIPMENT PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS EQUIPMENT PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES 155 1,600 3,947 60 2,124 39 5,000 105 1,430 11,022 5,474 2,715 305,827 30,951 2,953 3,258 29,064 2,524 2,226 25,644 28,264 4,364 552 166 3,944 120 17,480 299 386 10,115 10,545 3,796 2,174 50 7,765 144 of 192 FY 2006 ACTUAL 3,568 470 1,170 93 2,948 50 2,103 92 5,000 5,088 12,106 3,973 2,854 160 6,149 299,224 38,575 2,464 3,471 30,543 2,609 2,085 25,699 28,949 5,765 1,255 1,764 1,418 4,848 240 24,477 2,400 283 612 25,256 30,844 16,364 3,972 2,387 175 3,889 FY 2007 UNAUDITED 4,229 204 1,561 4,000 55 15,499 99 5,000 5,088 9,262 2,710 2,640 3,400 178,316 15,727 2,021 21,763 1,619 1,234 9 12 3 14,653 16,646 3,896 6,035 1,764 500 7,500 465 30,441 291 487 7,500 30,844 14,565 3,229 2,547 2,499 25 13,155 FY 2008 ORIGINAL BUDGET 4,855 500 1,600 100 250 100 100 4,000 100 15,400 100 5,000 150 4,000 15,550 185,616 39,000 18,000 22,752 1,740 1,325 391 548 117 18,247 20,764 4,392 5,000 1,000 1,000 6,500 500 43,200 300 1,000 25,000 62,000 4,000 3,000 8,000 - EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 119-2030-415.61-10 120-2030-415.52-20 101-2035-415.39-10 101-2035-415.43-20 101-2035-415.58-10 101-2035-415.59-10 101-2035-415.61-10 101-2035-415.61-15 101-2035-415.61-20 101-2035-415.61-30 101-2035-415.64-20 115-2035-415.44-35 115-2035-415.61-40 115-2035-415.61-50 117-2035-415.53-15 117-2035-415.61-07 117-2035-415.61-10 117-2035-415.61-15 120-2035-415.52-20 235-2035-415.44-30 235-2035-415.61-10 262-2035-415.61-10 262-2035-415.75-99 101-2040-415.10-01 101-2040-415.11-01 101-2040-415.12-03 101-2040-415.12-04 101-2040-415.12-05 101-2040-415.12-06 101-2040-415.12-07 101-2040-415.12-08 101-2040-415.21-01 101-2040-415.21-02 101-2040-415.21-03 101-2040-415.21-05 101-2040-415.21-06 101-2040-415.21-07 101-2040-415.22-01 101-2040-415.23-01 101-2040-415.26-20 101-2040-415.39-10 101-2040-415.42-10 101-2040-415.43-10 101-2040-415.43-20 101-2040-415.44-30 101-2040-415.55-10 101-2040-415.58-10 101-2040-415.59-10 101-2040-415.61-10 101-2040-415.61-15 101-2040-415.61-20 FY 2005 ACTUAL ACCOUNT DESCRIPTION PURCHASED SUPPLIES PURCH. RISK MGMT. SVC. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH. RISK MGMT. SVC. PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. REGIS.FEES-CONF,SEM,CERTI PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES 14 700 519 150 12,722 4,884 101 5,658 12 53 2,995 60 1,980 3,693,013 493,116 16,634 4,997 6,446 1,500 2,730 378,327 34,552 27,072 313,015 350,831 3,474 3,310 1,570 556 46,807 796 4,570 150 25,753 5,925 324 145 of 192 FY 2006 ACTUAL 738 1,450 975 180 17,440 9,900 2,976 335 788 5,353 4,430 2,495 99 3,100 19,085 4,083,096 416,069 13,249 6,620 1,637 3,025 8,522 9,908 434,583 38,951 28,832 337,029 385,170 77,835 2,265 350 52,718 502 8,022 825 47,728 34,880 - FY 2007 UNAUDITED 5,029 3,485 2,201 1,400 270 32,715 2,974 300 141 120 8,374 154 631 250 1,237 4,628,167 439,341 12,401 13,971 1,673 2,574 541,787 43,063 32,181 229 320 69 378,598 434,761 100,280 4,534 2,285 607 59,479 794 5,988 566 29,526 230 FY 2008 ORIGINAL BUDGET 3,200 1,920 3,000 285 24,324 7,500 300 5,000 2,063 60,000 20,000 5,087,753 434,000 44,000 10,000 618,858 49,660 36,408 10,829 15,162 3,248 413,109 512,136 120,393 5,300 3,500 59,597 300 11,148 750 24,985 1,500 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-2040-415.61-30 101-2040-415.64-10 115-2040-415.44-35 115-2040-415.61-10 115-2040-415.61-40 115-2040-415.61-50 115-2040-415.75-99 117-2040-415.53-15 117-2040-415.53-50 117-2040-415.61-10 117-2040-415.61-15 119-2040-415.42-10 119-2040-415.43-10 119-2040-415.61-10 119-2040-415.62-10 119-2040-415.62-20 119-2040-415.62-25 119-2040-415.62-50 120-2040-415.26-20 120-2040-415.52-20 199-2040-415.61-40 235-2040-415.39-10 235-2040-415.58-10 261-2040-415.61-10 101-2041-415.10-01 101-2041-415.11-01 101-2041-415.12-03 101-2041-415.12-04 101-2041-415.12-05 101-2041-415.12-06 101-2041-415.12-07 101-2041-415.21-01 101-2041-415.21-02 101-2041-415.21-03 101-2041-415.21-05 101-2041-415.21-06 101-2041-415.21-07 101-2041-415.22-01 101-2041-415.23-01 101-2041-415.26-20 101-2041-415.33-10 101-2041-415.39-10 101-2041-415.58-10 101-2041-415.59-10 101-2041-415.61-10 101-2041-415.74-99 115-2041-415.44-35 115-2041-415.61-40 115-2041-415.61-50 261-2041-415.61-10 261-2041-415.74-99 FY 2005 ACTUAL 218 194 66,418 721,036 171,384 44,890 9,070 5,112 2,375 4,655 17,622 218 8,089 54,012 440 27,890 159,671 19,264 770 21,447 1,703 1,150 13,266 15,017 2,153 140 2,999 1,800 230 6,500 ACCOUNT DESCRIPTION PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES EMP. BEN.-WORKERS COMP. PURCH. RISK MGMT. SVC. PURCHASED SUPPLIES REGIS.FEES-CONF,SEM,CERTI TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCHASED MEDICAL SVCS. REGIS.FEES-CONF,SEM,CERTI TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES EQUIPMENT PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT 146 of 192 FY 2006 ACTUAL 197 175 414,066 313,859 56,580 8,112 1,182 250 8,451 2,800 271 2,811 16,072 480 191,077 1,050 151 143,884 6,787 786 2,967 986 780 18,388 1,500 1,013 11,515 12,912 2,835 2,613 100 197 175 2,750 7,500 14,936 632 - FY 2007 UNAUDITED 200 246 414,066 123,009 314,969 61,712 398,021 8,092 4,325 415 14,020 94 4,722 30,088 81 722 259,650 118,728 8,662 1,349 15,986 1,127 858 3 4 1 9,543 10,924 2,592 3,104 140 3,320 15,090 2,979 - FY 2008 ORIGINAL BUDGET 400 400 10,000 6,000 5,250 8,400 10,000 4,740 14,640 1,800 439 133,664 12,500 6,000 19,200 1,367 959 261 365 78 11,377 13,554 3,163 4,000 1,000 2,400 200 3,811 - EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-2045-415.10-01 101-2045-415.10-05 101-2045-415.11-01 101-2045-415.12-03 101-2045-415.12-04 101-2045-415.12-05 101-2045-415.12-06 101-2045-415.12-07 101-2045-415.12-08 101-2045-415.21-01 101-2045-415.21-02 101-2045-415.21-03 101-2045-415.21-05 101-2045-415.21-06 101-2045-415.21-07 101-2045-415.22-01 101-2045-415.23-01 101-2045-415.26-20 101-2045-415.31-50 101-2045-415.39-10 101-2045-415.43-20 101-2045-415.55-10 101-2045-415.58-10 101-2045-415.59-10 101-2045-415.61-10 101-2045-415.61-15 101-2045-415.61-20 101-2045-415.61-30 101-2045-415.64-10 101-2045-415.74-99 115-2045-415.44-35 115-2045-415.61-10 115-2045-415.61-40 115-2045-415.61-50 115-2045-415.75-99 117-2045-415.53-15 117-2045-415.61-10 117-2045-415.61-15 120-2045-415.26-20 120-2045-415.52-20 101-2046-415.10-01 101-2046-415.11-01 101-2046-415.12-03 101-2046-415.12-04 101-2046-415.21-01 101-2046-415.21-02 101-2046-415.21-03 101-2046-415.21-05 101-2046-415.21-06 101-2046-415.21-07 101-2046-415.22-01 FY 2005 ACTUAL 875,319 46,075 148,621 5,940 1,284 15,438 86,985 7,857 6,250 80,429 85,937 2,184 1,351 765 294 832 50 11,823 6,892 217 300 14,398 5,625 27,056 26,218 19,678 4,321 170 2,910 160 2,824 174,863 36,750 1,363 1,284 23,191 1,842 1,258 15,867 ACCOUNT DESCRIPTION EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCH. ACCT. & FIN. SVC. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT EQUIPMENT PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES EMP. BEN.-WORKERS COMP. PURCH. RISK MGMT. SVC. EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY 147 of 192 FY 2006 ACTUAL 915,756 48,411 150,355 2,534 2,528 98,583 9,084 6,472 81,577 91,366 18,138 8,900 200 280 8,751 5,270 43,822 9,700 109 48,008 43,560 12,992 3,080 290 2,278 6,783 216,383 56,270 786 1,310 29,612 2,415 1,522 20,008 FY 2007 UNAUDITED 915,341 50,238 127,435 2,374 2,604 353 10,893 2,557 4,440 111,390 8,821 6,578 42 59 13 81,805 89,451 20,977 8,150 630 120 7,553 5,235 870 8,597 266 75 48,008 42,963 43,798 18,450 3,285 (60) 2,501 12,690 229,321 38,983 1,505 29,866 2,442 1,604 11 16 3 19,990 FY 2008 ORIGINAL BUDGET 1,099,245 155,500 30,000 5,000 132,921 10,690 7,876 2,218 3,106 665 96,149 116,195 26,012 9,700 300 100 12,200 17,415 8,000 200 200 4,000 8,000 248,075 50,000 3,000 32,326 2,734 1,785 521 730 156 22,516 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-2046-415.23-01 101-2046-415.26-20 101-2046-415.39-10 101-2046-415.43-20 101-2046-415.58-10 101-2046-415.59-10 101-2046-415.61-10 101-2046-415.61-30 115-2046-415.44-35 115-2046-415.61-40 115-2046-415.61-50 117-2046-415.53-15 117-2046-415.61-10 117-2046-415.61-15 120-2046-415.52-20 101-2050-415.10-01 101-2050-415.11-01 101-2050-415.12-03 101-2050-415.12-05 101-2050-415.12-06 101-2050-415.12-07 101-2050-415.21-01 101-2050-415.21-02 101-2050-415.21-03 101-2050-415.21-05 101-2050-415.21-06 101-2050-415.21-07 101-2050-415.22-01 101-2050-415.23-01 101-2050-415.26-20 101-2050-415.39-10 101-2050-415.55-10 101-2050-415.58-10 101-2050-415.59-10 101-2050-415.61-10 101-2050-415.61-15 101-2050-415.61-20 101-2050-415.61-30 115-2050-415.44-35 115-2050-415.61-10 115-2050-415.61-40 115-2050-415.61-50 115-2050-415.75-99 117-2050-415.53-15 117-2050-415.53-55 117-2050-415.61-10 117-2050-415.61-15 120-2050-415.26-20 120-2050-415.52-20 254-2050-415.10-01 254-2050-415.21-01 FY 2005 ACTUAL 17,761 1,625 350 5,022 50 2,738 3,467 4,713 121 1,189 50 454,260 4,592 2,865 41,144 3,644 2,942 34,063 38,889 965 102 2,823 1,986 165 6,141 14,874 5,588 3,319 481 3,723 9,959 59,569 8,132 ACCOUNT DESCRIPTION EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH. RISK MGMT. SVC. EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. REGIS.FEES-CONF,SEM,CERTI PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES EMP. BEN.-WORKERS COMP. PURCH. RISK MGMT. SVC. EMPLOYEE SALARIES EMPL. BENEFITS-GROUP INS 148 of 192 FY 2006 ACTUAL 23,366 4,143 1,440 5,534 4,158 24,004 28,869 7,384 2,530 250 266 1,719 556,856 6,016 731 55,947 5,644 3,906 41,326 48,238 10,413 650 146 3,876 270 3,020 5,880 120 127 38,828 14,291 22,380 2,775 4,808 240 2,384 360 - FY 2007 UNAUDITED 23,019 5,003 1,441 3,678 80 813 24,004 26,794 4,967 2,204 711 182 681,505 26,394 3,591 1,718 10,038 863 87,616 6,526 4,744 31 44 9 52,770 60,746 14,892 140 5,270 4,352 9 41,099 4,044 21,779 7,563 32,822 5,193 150 31,143 - FY 2008 ORIGINAL BUDGET 27,561 5,870 3,700 2,000 6,750 250 3,500 100 3,000 757,143 5,000 3,500 99,605 7,525 5,432 1,435 2,009 430 55,994 70,864 17,916 1,500 150 5,000 300 7,256 147 41,100 25,000 6,000 225,000 6,000 600 3,113 - EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 254-2050-415.21-02 254-2050-415.21-03 254-2050-415.22-01 254-2050-415.23-01 260-2050-415.61-10 303-2050-415.75-99 101-2051-415.10-01 101-2051-415.11-01 101-2051-415.12-03 101-2051-415.21-01 101-2051-415.21-02 101-2051-415.21-03 101-2051-415.21-05 101-2051-415.21-06 101-2051-415.21-07 101-2051-415.22-01 101-2051-415.23-01 101-2051-415.26-20 101-2051-415.39-10 101-2051-415.55-10 101-2051-415.58-10 101-2051-415.59-10 101-2051-415.61-10 101-2051-415.61-15 101-2051-415.61-30 115-2051-415.44-35 115-2051-415.61-10 115-2051-415.61-40 117-2051-415.53-15 117-2051-415.61-15 120-2051-415.26-20 120-2051-415.52-20 101-2055-415.10-01 101-2055-415.11-01 101-2055-415.12-03 101-2055-415.12-04 101-2055-415.21-01 101-2055-415.21-02 101-2055-415.21-03 101-2055-415.21-05 101-2055-415.21-06 101-2055-415.21-07 101-2055-415.22-01 101-2055-415.23-01 101-2055-415.26-20 101-2055-415.39-10 101-2055-415.44-30 101-2055-415.58-10 101-2055-415.59-10 101-2055-415.61-10 101-2055-415.61-15 FY 2005 ACTUAL 944 480 4,748 4,620 7,134 257,508 13,268 1,701 24,002 2,014 1,875 20,219 22,726 1,225 2,967 4,252 841 2,400 398 135,219 15,760 115 9,786 1,136 994 11,450 12,671 6,275 22,878 4,343 32,376 3,500 ACCOUNT DESCRIPTION EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN PURCHASED SUPPLIES VEHICLES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. REGIS.FEES-CONF,SEM,CERTI PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES EMP. BEN.-WORKERS COMP. PURCH. RISK MGMT. SVC. EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. REGIS.FEES-CONF,SEM,CERTI PROPERTY RENTAL SERVICES TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES 149 of 192 FY 2006 ACTUAL 5,821 281,021 19,216 1,155 24,853 2,106 1,947 22,350 25,730 5,236 580 900 3,662 144 3,205 2,610 2,417 1,434 360 2,832 134,340 24,100 1,517 2,481 10,351 1,185 935 12,248 13,578 2,552 15,878 23,928 5,252 23,957 - FY 2007 UNAUDITED 319 291,435 4,474 28,630 2,098 2,002 11 16 3 21,907 25,391 6,182 1,250 2,432 2,805 100 3,991 1,244 7,797 5,633 721 1,449 289 137,263 5,777 1,311 1,255 12,186 1,212 974 6 8 2 10,957 12,270 3,026 6,405 23,561 1,764 34,084 - FY 2008 ORIGINAL BUDGET 60,000 309,944 22,500 2,000 32,352 2,423 2,207 522 731 157 24,778 30,846 7,334 1,500 3,000 3,000 144 4,000 3,000 2,000 148,856 24,500 4,000 13,126 1,367 1,066 261 365 78 13,412 16,044 3,522 16,600 41,425 6,400 400 31,582 - EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-2055-415.61-20 101-2055-415.61-30 101-2055-415.64-20 115-2055-415.44-35 115-2055-415.61-40 115-2055-415.61-50 117-2055-415.53-15 117-2055-415.61-07 117-2055-415.61-15 119-2055-415.61-10 119-2055-415.62-50 120-2055-415.26-20 120-2055-415.52-20 101-2060-415.10-01 101-2060-415.11-01 101-2060-415.12-03 101-2060-415.12-04 101-2060-415.12-06 101-2060-415.12-07 101-2060-415.12-08 101-2060-415.21-01 101-2060-415.21-02 101-2060-415.21-03 101-2060-415.22-01 101-2060-415.23-01 101-2060-415.26-20 101-2060-415.31-99 101-2060-415.33-20 101-2060-415.33-25 101-2060-415.33-30 101-2060-415.39-10 101-2060-415.43-10 101-2060-415.43-20 101-2060-415.44-30 101-2060-415.55-10 101-2060-415.58-10 101-2060-415.59-10 101-2060-415.61-10 101-2060-415.61-20 101-2060-415.61-30 101-2060-415.64-20 115-2060-415.61-40 115-2060-415.61-50 115-2060-415.75-99 117-2060-415.53-15 117-2060-415.61-07 117-2060-415.61-10 117-2060-415.61-15 117-2060-415.74-99 119-2060-415.42-10 119-2060-415.43-10 FY 2005 ACTUAL 1,492 107 695 1,430 5,658 2,058 1,204 2,720 6,043 16,172 365 686,737 198,156 1,387 919 63 7,737 102,573 9,171 5,356 66,196 74,270 170 97,851 29,479 2,296 9,500 3,206 1,873 567 2,539 635 22,441 11,288 542 349 1,975 1,210 1,393 49 665 24,449 ACCOUNT DESCRIPTION PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES UTILITIES EMP. BEN.-WORKERS COMP. PURCH. RISK MGMT. SVC. EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCH. ACCT. & FIN. SVC. PURCHASED MEDICAL SVCS. PURCHASED MEDICAL SVCS. PURCHASED MEDICAL SVCS. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC 150 of 192 FY 2006 ACTUAL 376 80 704 12,800 9,359 3,651 1,220 1,421 667 1,975 926,639 121,178 3,876 975 775 333 11,457 132,581 11,516 6,740 78,387 89,798 17,736 1,248 66,402 20,718 10,205 2,400 6,000 335 1,805 1,575 5,298 372 33,308 6,188 711 319 12 2,397 300 5,188 16,100 32,524 FY 2007 UNAUDITED 498 259 1,090 12,800 7,845 3,631 1,139 343 213 10 3,355 7,580 100 2,933 54,435 FY 2008 ORIGINAL BUDGET 800 500 705 1,500 346 50 5,000 10,000 1,016 15,000 23,820 32,662 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 119-2060-415.61-10 119-2060-415.62-10 119-2060-415.62-20 119-2060-415.62-25 119-2060-415.62-50 120-2060-415.26-20 120-2060-415.52-20 215-2060-415.10-01 215-2060-415.10-06 215-2060-415.11-01 215-2060-415.12-03 215-2060-415.12-05 215-2060-415.12-06 215-2060-415.12-07 215-2060-415.12-08 215-2060-415.21-01 215-2060-415.21-02 215-2060-415.21-03 215-2060-415.21-05 215-2060-415.21-06 215-2060-415.21-07 215-2060-415.22-01 215-2060-415.23-01 215-2060-415.26-20 215-2060-415.33-20 215-2060-415.33-25 215-2060-415.33-30 215-2060-415.35-99 215-2060-415.39-10 215-2060-415.43-10 215-2060-415.43-20 215-2060-415.44-30 215-2060-415.55-10 215-2060-415.58-10 215-2060-415.59-10 215-2060-415.61-10 215-2060-415.61-20 215-2060-415.61-30 215-2060-415.64-20 303-2060-415.74-99 303-2060-415.75-99 101-2065-415.10-01 101-2065-415.10-06 101-2065-415.11-01 101-2065-415.12-03 101-2065-415.12-04 101-2065-415.12-05 101-2065-415.12-06 101-2065-415.12-07 101-2065-415.21-01 101-2065-415.21-02 FY 2005 ACTUAL 454 14,226 88,549 15,816 7,105 228,328 26,970 1,040 22,843 1,919 ACCOUNT DESCRIPTION PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES EMP. BEN.-WORKERS COMP. PURCH. RISK MGMT. SVC. EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCHASED MEDICAL SVCS. PURCHASED MEDICAL SVCS. PURCHASED MEDICAL SVCS. PURCHASED TECHNICAL SVCS. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT EQUIPMENT VEHICLES EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS 151 of 192 FY 2006 ACTUAL 1,732 20,234 99,485 22,334 1,807 258,957 18,070 2,902 4,092 25,673 2,172 FY 2007 UNAUDITED 1,020 23,750 120,242 320 25,829 543 993,101 146,934 1,114 132 219 3,773 162,514 11,768 7,290 65 91 20 84,080 97,807 22,150 79,603 16,104 17,661 1,720 14,335 1,351 1,382 904 4,521 342 27,070 11,715 967 418 188,174 7,506 18,398 753 1,349 7,128 75 17,841 22,034 1,611 FY 2008 ORIGINAL BUDGET 23,750 78,552 4,200 21,659 1,067,046 16,157 123,843 6,000 15,000 178,557 13,238 7,664 3,003 4,204 901 90,676 111,807 25,252 94,780 40,000 81,500 200 4,700 7,300 2,700 3,000 1,000 4,600 1,600 26,784 12,500 1,000 360 45,000 167,279 25,000 7,000 28,800 2,051 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-2065-415.21-03 101-2065-415.21-05 101-2065-415.21-06 101-2065-415.21-07 101-2065-415.22-01 101-2065-415.23-01 101-2065-415.26-20 101-2065-415.39-10 101-2065-415.55-10 101-2065-415.58-10 101-2065-415.61-10 101-2065-415.61-30 115-2065-415.44-35 115-2065-415.61-40 115-2065-415.61-50 115-2065-415.75-99 117-2065-415.53-15 117-2065-415.61-10 117-2065-415.61-15 120-2065-415.26-20 120-2065-415.52-20 101-2070-415.10-01 101-2070-415.11-01 101-2070-415.12-03 101-2070-415.21-01 101-2070-415.21-02 101-2070-415.21-03 101-2070-415.22-01 101-2070-415.23-01 101-2070-415.55-10 101-2070-415.61-20 115-2070-415.61-40 115-2070-415.61-50 117-2070-415.53-15 101-2075-415.10-01 101-2075-415.10-06 101-2075-415.11-01 101-2075-415.11-06 101-2075-415.12-03 FY 2005 ACTUAL 1,644 19,041 21,427 748 5,356 1,217 6,866 1,218 2,257 120 166 1,958 5,594 81,966 3,554 415 8,046 789 604 6,490 7,178 29 272 3,242 1,163 579 399,166 18,632 2,815 ACCOUNT DESCRIPTION EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. REGIS.FEES-CONF,SEM,CERTI PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES PURCHASED SUPPLIES PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES EMP. BEN.-WORKERS COMP. PURCH. RISK MGMT. SVC. EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN PURCH. PRINT. & BIND. SVC PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY OVERTIME PAY PAY FOR BENEFITS 152 of 192 FY 2006 ACTUAL 1,834 21,296 23,741 4,367 485 556 3 2,720 1,202 7,711 11,470 1,618 2,983 819 18,827 409,075 19,948 2,042 FY 2007 UNAUDITED 1,254 9 12 3 17,980 17,722 3,941 830 59 889 3,359 40 7,711 14,218 3,370 2,512 21,016 423,156 6,755 25,142 12 1,006 FY 2008 ORIGINAL BUDGET 1,205 391 548 117 14,307 17,802 3,158 1,190 882 1,600 3,765 1,050 4,000 443,260 24,000 25,000 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-2075-415.12-04 101-2075-415.12-06 101-2075-415.12-07 101-2075-415.21-01 101-2075-415.21-02 101-2075-415.21-03 101-2075-415.21-05 101-2075-415.21-06 101-2075-415.21-07 101-2075-415.22-01 101-2075-415.23-01 101-2075-415.26-20 101-2075-415.31-99 101-2075-415.34-10 101-2075-415.34-15 101-2075-415.34-50 101-2075-415.39-10 101-2075-415.43-20 101-2075-415.44-30 101-2075-415.55-10 101-2075-415.58-10 101-2075-415.58-20 101-2075-415.59-10 101-2075-415.61-07 101-2075-415.61-10 101-2075-415.61-20 101-2075-415.61-30 115-2075-415.61-40 115-2075-415.61-50 117-2075-415.43-20 117-2075-415.53-15 117-2075-415.53-55 117-2075-415.61-07 117-2075-415.61-10 117-2075-415.61-15 119-2075-415.61-10 202-2075-415.61-10 202-2075-415.74-99 262-2075-415.61-10 262-2075-415.61-15 262-2075-415.74-99 303-2075-415.34-50 303-2075-415.39-10 303-2075-415.43-20 303-2075-415.44-30 303-2075-415.58-10 303-2075-415.61-10 303-2075-415.61-15 303-2075-415.61-30 303-2075-415.74-99 FY 2005 ACTUAL 868 43,428 4,272 2,973 31,335 35,065 354 4,245 6,788 3,537 770 73 8,114 1,437 29 122 121 1,976 9,401 77,995 30 560 282,183 149,545 5,300 2,070 146,199 1,581 25,916 4,258 497 500,742 17,385,691 ACCOUNT DESCRIPTION PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCH. ACCT. & FIN. SVC. PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT PURCHASED MGMT. SERVICES REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT TOTAL POLICE (20) 153 of 192 FY 2006 ACTUAL 4,796 11,260 6,153 41,917 4,162 2,929 33,875 36,767 4,454 447 2,148 500 2,385 4,762 5,574 4,286 3,031 50 11,520 6,541 1,237 113 3,185 393 3,414 61,468 139,481 1,325 12,210 67,411 4,960 4,000 1,563 146,199 4,314 392 479 179,373 19,921,300 FY 2007 UNAUDITED 2,616 3,353 374 53,262 4,152 2,991 23 32 7 34,429 38,460 4,998 809 14,950 2,134 4,352 3,266 4,425 225 35,991 8,063 1,493 39 1,885 89 5,319 77,590 199,387 2,685 70,266 86,553 2,200 146,199 5,112 355 138 19,452 21,122,445 FY 2008 ORIGINAL BUDGET 58,604 4,531 3,176 1,043 1,461 313 36,798 43,378 5,695 550 20,000 500 25,250 5,000 7,000 3,000 20,680 400 39,135 7,700 1,500 500 30,570 6,960 105,000 243,878 63,450 8,000 323 721 93,319 24,357,102 (This page intentionally left blank) 154 of 192 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-2110-415.10-01 101-2110-415.11-01 101-2110-415.12-03 101-2110-415.12-04 101-2110-415.12-05 101-2110-415.12-06 101-2110-415.12-07 101-2110-415.12-08 101-2110-415.21-01 101-2110-415.21-02 101-2110-415.21-03 101-2110-415.21-05 101-2110-415.21-06 101-2110-415.21-07 101-2110-415.22-01 101-2110-415.23-01 101-2110-415.26-20 101-2110-415.31-99 101-2110-415.35-99 101-2110-415.37-10 101-2110-415.39-10 101-2110-415.43-10 101-2110-415.43-20 101-2110-415.43-40 101-2110-415.43-70 101-2110-415.44-30 101-2110-415.44-50 101-2110-415.50-99 101-2110-415.55-10 101-2110-415.58-10 101-2110-415.58-20 101-2110-415.59-10 101-2110-415.61-10 101-2110-415.61-15 101-2110-415.61-20 101-2110-415.61-30 101-2110-415.64-10 101-2110-415.64-20 101-2110-415.64-50 101-2110-415.74-99 115-2110-415.43-20 115-2110-415.44-35 115-2110-415.61-10 115-2110-415.61-40 115-2110-415.61-50 115-2110-415.74-99 115-2110-415.75-99 117-2110-415.53-05 117-2110-415.53-10 117-2110-415.53-15 117-2110-415.53-50 FY 2005 ACTUAL 546,485 9,245 7,403 1,843 9,423 14,746 11,208 48,286 3,835 3,995 43,675 46,644 410 1,500 13,859 24,282 10,130 1,518 21,600 1,516 162,224 210 2,949 15,173 301 3,145 196,106 5,180 79,321 1,297 8,693 376 71 6,889 408 1,579 9,531 71,728 123,957 24,625 18,721 135 29,207 87,787 ACCOUNT DESCRIPTION EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCH. ACCT. & FIN. SVC. PURCHASED TECHNICAL SVCS. PURCH.HEALTH& WELFARE SVC REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PROPERTY RENTAL SERVICES PERMITS AND FEES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT EQUIPMENT PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT VEHICLES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. 155 of 192 FY 2006 ACTUAL 618,754 10,488 6,272 1,054 127 19,555 40,629 57,253 4,670 4,465 50,277 53,926 11,847 21,000 16,312 12,301 12,533 1,386 58,570 2,460 157,578 180 2,297 15,247 115 4,830 243,814 101,419 1,005 6,553 229 417 19,162 22,049 87,667 107,820 16,168 19,531 217 31,274 81,405 FY 2007 UNAUDITED 630,650 16,983 5,052 3,940 952 40,060 32,971 65,262 4,630 4,517 23 32 7 50,823 55,561 15,402 260 1,500 13,379 12,820 28,513 4,016 42,000 3,484 161,038 50 3,145 16,030 3,530 212,246 89,456 3,637 4,169 407 335 19,048 19,162 93,639 117,895 88,992 19,608 234 28,475 83,706 FY 2008 ORIGINAL BUDGET 648,285 16,000 80,000 70,736 5,157 4,636 1,043 1,461 313 55,948 61,728 17,100 660 1,500 41,000 28,400 43,000 5,350 90,300 9,300 171,000 725 7,000 23,250 5,000 238,201 116,945 4,400 6,500 660 9,650 119,000 19,162 15,000 113,000 103,000 24,000 300 40,000 90,000 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 117-2110-415.53-55 117-2110-415.61-07 117-2110-415.61-10 117-2110-415.61-15 117-2110-415.74-99 119-2110-415.42-10 119-2110-415.43-10 119-2110-415.61-10 119-2110-415.62-10 119-2110-415.62-20 119-2110-415.62-25 119-2110-415.62-50 120-2110-415.26-20 120-2110-415.52-20 199-2110-415.61-10 199-2110-415.61-40 202-2110-415.61-15 235-2110-415.39-10 235-2110-415.43-10 235-2110-415.43-20 235-2110-415.55-10 235-2110-415.61-07 235-2110-415.61-10 235-2110-415.61-15 235-2110-415.61-20 235-2110-415.74-99 235-2110-415.75-99 240-2110-415.73-99 303-2110-415.31-99 303-2110-415.32-10 303-2110-415.32-20 303-2110-415.43-10 303-2110-415.44-30 303-2110-415.61-10 303-2110-415.61-15 303-2110-415.73-99 303-2110-415.74-99 303-2110-415.75-99 307-2110-415.61-15 307-2110-415.71-99 307-2110-415.73-99 101-2120-415.10-01 101-2120-415.10-02 101-2120-415.11-01 101-2120-415.11-02 101-2120-415.12-03 101-2120-415.12-04 101-2120-415.12-05 101-2120-415.12-06 101-2120-415.12-07 101-2120-415.12-08 FY 2005 ACTUAL 1,128 4,564 1,787 20,263 23,329 1,977 40,701 94,738 33,729 56,729 8,448 4,028 597 5,750 1,805 54,816 64,439 181,168 317,665 5,000 17,232 6,600 1,231 192,262 249,221 8,673,385 277,020 375,640 594 65,934 5,939 642 5,399 18,966 ACCOUNT DESCRIPTION OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES EMP. BEN.-WORKERS COMP. PURCH. RISK MGMT. SVC. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCH. PRINT. & BIND. SVC PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT VEHICLES BUILDINGS/IMPR TO BLDGS PURCH. ACCT. & FIN. SVC. PLANNING-ARCH. & ENG. SVC PLANNING-ARCH. & ENG. SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS EQUIPMENT VEHICLES PURCHASED SUPPLIES LAND BUILDINGS/IMPR TO BLDGS EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS 156 of 192 FY 2006 ACTUAL 17,372 7,850 1,621 24,680 41,591 11,364 56,842 105,025 38,499 4,644 35,816 12,202 23,985 130 12,902 42,937 644,591 41,405 752,595 9,066,008 257,588 227,328 296 58,327 37,545 3,226 34,992 48,258 - FY 2007 UNAUDITED 24,007 12,180 150 10,777 37,979 6,038 56,918 122,307 338 40,012 98,318 115,420 1,796 42,937 37,931 100,523 1,468 969,067 9,395,973 300,819 321,097 331 62,568 43,349 9,537 30,269 56,030 - FY 2008 ORIGINAL BUDGET 24,000 14,000 26,500 18,500 3,100 29,670 56,740 87,572 3,000 40,870 4,093 2,000 174 4,510 26,106 300,000 2,939 1,569,301 763,602 9,820,461 324,854 185,000 216,000 5,000 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-2120-415.21-01 101-2120-415.21-02 101-2120-415.21-03 101-2120-415.21-05 101-2120-415.21-06 101-2120-415.21-07 101-2120-415.22-01 101-2120-415.23-01 101-2120-415.26-20 FY 2005 ACTUAL 918,221 77,349 62,603 699,254 781,540 15,022,909 ACCOUNT DESCRIPTION EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. TOTAL FIRE (21) 157 of 192 FY 2006 ACTUAL 968,505 83,365 63,664 719,550 817,212 194,470 16,379,241 FY 2007 UNAUDITED 1,121,209 83,881 65,678 411 575 124 756,308 858,977 259,776 17,042,717 FY 2008 ORIGINAL BUDGET 1,243,094 95,450 70,430 18,907 26,471 5,671 783,731 956,538 281,056 19,298,050 (This page intentionally left blank) 158 of 192 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-2210-413.10-01 101-2210-413.11-01 101-2210-413.12-03 101-2210-413.12-04 101-2210-413.21-01 101-2210-413.21-02 101-2210-413.21-03 101-2210-413.21-05 101-2210-413.21-06 101-2210-413.21-07 101-2210-413.22-01 101-2210-413.23-01 101-2210-413.26-20 101-2210-413.34-10 101-2210-413.34-20 101-2210-413.39-10 101-2210-413.43-10 101-2210-413.43-20 101-2210-413.44-30 101-2210-413.55-10 101-2210-413.58-10 101-2210-413.58-20 101-2210-413.59-10 101-2210-413.61-10 101-2210-413.61-20 101-2210-413.61-30 101-2210-413.64-10 101-2210-413.64-20 115-2210-413.44-35 115-2210-413.61-40 117-2210-413.34-20 117-2210-413.53-05 117-2210-413.53-10 117-2210-413.61-07 117-2210-413.61-10 117-2210-413.61-15 119-2210-413.42-10 119-2210-413.43-10 119-2210-413.61-10 119-2210-413.62-10 119-2210-413.62-20 119-2210-413.62-25 119-2210-413.62-50 120-2210-413.26-20 120-2210-413.52-20 303-2210-413.43-45 101-2220-413.10-01 101-2220-413.11-01 101-2220-413.12-03 101-2220-413.12-04 101-2220-413.12-05 FY 2005 ACTUAL 311,759 1,014 28,596 2,271 2,324 23,357 26,251 2,570 25,000 1,954 1,372 5,448 2,539 5,458 14 1,040 8,083 1,808 1,007 1,849 149 2,867 147 1,122 206 4,280 5,480 8,152 4,839 33,078 5,272 11,303 37,235 917,146 2,038 1,944 5,647 203 ACCOUNT DESCRIPTION EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED MGMT. SERVICES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES EMP. BEN.-WORKERS COMP. PURCH. RISK MGMT. SVC. PURCH.RPR.,MNTCE,INST.SVC EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS 159 of 192 FY 2006 ACTUAL 396,128 806 1,078 3,666 34,270 3,022 2,858 30,000 34,017 5,967 2,580 24,500 1,039 201 5,448 2,035 2,422 62 795 4,388 2,255 1,370 1,832 27 7,035 940 212 4,410 50 4,219 7,513 9 6,745 36,613 7,445 201,856 849,438 1,672 696 1,514 35 FY 2007 UNAUDITED 414,413 254 1,291 1,925 37,959 3,029 2,961 14 20 4 31,052 35,574 8,273 19,560 2,072 528 6,654 1,201 2,645 710 8,919 2,142 1,133 1,063 206 7,035 931 294 7,150 871 10,016 290 7,915 40,603 107 8,454 12,683 14,850 875,849 2,103 1,731 1,559 - FY 2008 ORIGINAL BUDGET 429,907 1,500 5,000 41,926 3,418 3,072 652 913 196 32,925 40,116 9,333 6,500 25,000 3,100 100 1,400 6,600 2,600 8,500 1,000 6,000 1,500 1,200 900 400 7,035 100 25,000 1,500 200 4,000 2,800 10,894 7,915 32,086 1,800 7,252 917,576 4,000 14,000 - EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-2220-413.12-06 101-2220-413.12-07 101-2220-413.21-01 101-2220-413.21-02 101-2220-413.21-03 101-2220-413.21-05 101-2220-413.21-06 101-2220-413.21-07 101-2220-413.22-01 101-2220-413.23-01 101-2220-413.26-20 101-2220-413.39-10 101-2220-413.44-30 101-2220-413.58-10 115-2220-413.44-35 115-2220-413.61-40 115-2220-413.61-50 115-2220-413.75-99 117-2220-413.53-15 117-2220-413.53-55 117-2220-413.61-07 117-2220-413.61-10 117-2220-413.61-15 117-2220-413.74-99 303-2220-413.75-99 101-2230-413.10-01 101-2230-413.11-01 101-2230-413.12-03 101-2230-413.21-01 101-2230-413.21-02 101-2230-413.21-03 101-2230-413.21-05 101-2230-413.21-06 101-2230-413.21-07 101-2230-413.22-01 101-2230-413.23-01 101-2230-413.26-20 101-2230-413.39-10 101-2230-413.55-10 101-2230-413.58-10 101-2230-413.61-10 101-2230-413.61-20 115-2230-413.44-35 117-2230-413.53-15 117-2230-413.61-10 117-2230-413.61-15 119-2230-413.61-10 FY 2005 ACTUAL 10,453 11,675 92,991 7,806 6,827 71,006 77,147 1,325 1,419 2,681 2,644 26,017 8,720 9,360 1,255 3,885 2,612 1,832,645 ACCOUNT DESCRIPTION PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. REGIS.FEES-CONF,SEM,CERTI PROPERTY RENTAL SERVICES TRAVEL, MEALS, & LODGING PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT VEHICLES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. REGIS.FEES-CONF,SEM,CERTI PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES PURCHASED SUPPLIES PROPERTY RENTAL SERVICES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES TOTAL INSPECTION SERVICES (22) 160 of 192 FY 2006 ACTUAL 8,097 3,274 87,095 7,335 6,158 64,514 72,940 13,199 1,150 2,500 4,607 31,936 39,812 11,184 9,166 3,451 4,000 100 5,923 68,366 99 10,109 961 484 5,062 5,867 792 508 1,410 5,466 773 100 2,440 4,014 2,174,060 FY 2007 UNAUDITED 3,377 95,959 7,336 6,281 37 52 11 65,655 75,314 17,870 1,320 3,935 5,424 31,936 35,400 6,240 8,756 7,733 6,910 61,622 85,975 1,107 353 12,186 944 614 6 8 2 6,336 7,471 1,334 1,774 6,578 896 781 2,143,576 FY 2008 ORIGINAL BUDGET 104,049 8,321 6,562 1,826 2,556 548 69,861 85,694 20,222 1,800 4,000 5,100 31,937 61,000 15,890 12,500 10,000 7,500 5,700 20,000 227,500 91,501 2,000 500 13,162 1,057 651 261 366 78 6,801 8,690 1,540 800 1,000 800 1,500 200 6,578 2,000 2,511,967 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 115-3010-415.44-35 115-3010-415.61-40 115-3010-415.61-50 117-3010-415.53-05 117-3010-415.53-10 117-3010-415.53-15 117-3010-415.61-07 117-3010-415.61-10 117-3010-415.61-15 119-3010-415.42-10 119-3010-415.43-10 119-3010-415.61-10 119-3010-415.62-10 119-3010-415.62-20 119-3010-415.62-25 119-3010-415.62-50 119-3010-415.73-99 120-3010-415.26-20 120-3010-415.52-20 215-3010-415.10-01 215-3010-415.10-02 215-3010-415.10-06 215-3010-415.11-01 215-3010-415.12-03 215-3010-415.12-04 215-3010-415.12-05 215-3010-415.12-06 215-3010-415.12-07 215-3010-415.21-01 215-3010-415.21-02 215-3010-415.21-03 215-3010-415.21-05 215-3010-415.21-06 215-3010-415.21-07 215-3010-415.22-01 215-3010-415.23-01 215-3010-415.26-20 215-3010-415.30-15 215-3010-415.30-99 215-3010-415.31-50 215-3010-415.31-99 215-3010-415.34-10 215-3010-415.39-10 215-3010-415.43-20 215-3010-415.44-30 215-3010-415.55-10 215-3010-415.58-10 215-3010-415.58-20 215-3010-415.59-10 215-3010-415.61-07 215-3010-415.61-10 FY 2005 ACTUAL ACCOUNT DESCRIPTION PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES BUILDINGS/IMPR TO BLDGS EMP. BEN.-WORKERS COMP. PURCH. RISK MGMT. SVC. EMPLOYEE SALARIES EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCHASE LEGAL SERVICES PURCHASE LEGAL SERVICES PURCH. ACCT. & FIN. SVC. PURCH. ACCT. & FIN. SVC. PURCHASED MGMT. SERVICES REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES 436 53 358 278 5,882 840 211 7,658 13,155 7,376 45,924 8,478 159 963 441,766 404 40,018 3,645 3,638 1,103 7,455 57,459 4,967 3,424 36,962 40,438 49,080 3,469 2,807 976 1,925 274 4,500 6,718 8,469 368 445 15,260 161 of 192 FY 2006 ACTUAL 4,235 1,787 233 410 330 7,642 300 8,395 20,325 10,492 51,494 11,581 2,079 530,918 8,608 288 57,885 2,920 3,758 199 71,973 6,196 3,970 44,410 50,461 2,688 50,429 46 6,501 6,132 4,134 1,795 10,119 4,095 49 638 4,500 14,690 FY 2007 UNAUDITED 5,089 1,776 285 565 343 8,596 270 3,260 27,257 1,562 12,243 57,973 214 12,357 4,504 589,188 430 73,797 2,782 3,200 5,287 1,352 1,419 88,929 6,701 4,532 39 55 12 49,443 56,858 4,233 60,000 26 6,185 7,522 6,919 2,298 2,131 8,632 4,137 600 4,500 10,398 FY 2008 ORIGINAL BUDGET 5,089 2,300 500 500 400 10,960 12,699 4,300 18,268 5,361 12,245 46,924 1,800 14,524 20,000 634,502 85,000 18,000 100,576 7,640 4,559 1,696 2,375 509 54,774 66,642 3,839 60,000 500 14,000 8,400 10,600 2,470 215 7,800 10,500 9,300 900 8,100 12,450 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 215-3010-415.61-20 215-3010-415.61-30 215-3010-415.64-10 215-3010-415.64-20 217-3010-415.39-10 217-3010-415.44-30 217-3010-415.58-10 217-3010-415.61-07 217-3010-415.61-15 217-3010-415.64-20 218-3010-415.10-01 218-3010-415.11-01 218-3010-415.12-03 218-3010-415.12-04 218-3010-415.21-01 218-3010-415.21-02 218-3010-415.21-03 218-3010-415.21-05 218-3010-415.21-06 218-3010-415.21-07 218-3010-415.22-01 218-3010-415.23-01 218-3010-415.26-20 218-3010-415.31-50 218-3010-415.31-99 218-3010-415.34-10 218-3010-415.39-10 218-3010-415.55-10 218-3010-415.58-10 218-3010-415.59-10 218-3010-415.61-10 218-3010-415.61-15 218-3010-415.61-20 218-3010-415.61-30 220-3010-415.31-50 220-3010-415.34-10 220-3010-415.34-31 FY 2005 ACTUAL 1,888 4,637 10,035 8,462 1,640 5,629 1,000 28,930 2,313 498 215 2,125 2,428 63 238 56 378 6,301 548 - ACCOUNT DESCRIPTION PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT REGIS.FEES-CONF,SEM,CERTI PROPERTY RENTAL SERVICES TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCH. ACCT. & FIN. SVC. PURCH. ACCT. & FIN. SVC. PURCHASED MGMT. SERVICES REGIS.FEES-CONF,SEM,CERTI PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH. ACCT. & FIN. SVC. PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES 162 of 192 FY 2006 ACTUAL 2,022 4,945 12,278 2,783 3,029 6,681 1,862 39,816 6,098 462 740 3,201 604 292 3,478 3,935 91 1,340 272 3,671 375 6,763 1,130 796 50 - FY 2007 UNAUDITED 1,629 6,596 5,996 6,441 2,485 5,922 4,859 4,432 4,839 42,661 7,033 476 3,595 606 309 3 4 1 3,645 4,263 124 2,300 1,925 692 3,535 345 5,622 1,528 1,435 98 538 - FY 2008 ORIGINAL BUDGET 2,000 7,440 6,000 7,000 3,020 6,691 8,200 12,700 45,357 8,400 1,500 3,536 685 328 131 183 39 4,025 4,972 142 7,000 9,600 4,650 1,700 8,000 850 16,800 900 980 3,000 5,000 5,000 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 220-3010-415.39-10 220-3010-415.55-10 220-3010-415.58-10 220-3010-415.59-10 220-3010-415.59-20 220-3010-415.61-10 220-3010-415.61-15 220-3010-415.61-30 220-3010-415.64-10 220-3010-415.64-20 220-3010-415.64-50 101-3020-415.10-01 101-3020-415.11-01 101-3020-415.12-03 101-3020-415.12-04 101-3020-415.21-01 101-3020-415.21-02 101-3020-415.21-03 101-3020-415.21-05 101-3020-415.21-06 101-3020-415.21-07 101-3020-415.22-01 101-3020-415.23-01 101-3020-415.26-20 101-3020-415.37-10 101-3020-415.39-10 101-3020-415.55-10 101-3020-415.58-10 101-3020-415.59-10 101-3020-415.61-10 101-3020-415.61-15 101-3020-415.61-20 101-3020-415.61-30 101-3020-415.64-20 115-3020-415.61-10 115-3020-415.61-40 115-3020-415.61-50 117-3020-415.53-15 117-3020-415.61-10 117-3020-415.61-15 119-3020-415.43-10 119-3020-415.62-10 119-3020-415.62-20 120-3020-415.52-20 303-3020-415.75-99 FY 2005 ACTUAL 790 3,778 19,823 244 696 940 79,609 14,009 908 711 14,298 1,136 605 6,958 7,857 10,483 920 931 1,746 70 2,573 2,403 234 43 7,827 2,345 975 240 36 1,087,913 ACCOUNT DESCRIPTION REGIS.FEES-CONF,SEM,CERTI PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCH.HEALTH& WELFARE SVC REGIS.FEES-CONF,SEM,CERTI PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES PURCH. RISK MGMT. SVC. VEHICLES TOTAL MUNICIPAL COURT (30) 163 of 192 FY 2006 ACTUAL 325 5,024 215 19,593 185 2,955 1,430 85,246 19,975 716 726 14,821 1,209 625 7,796 9,017 1,129 7,211 680 1,985 1,543 179 3,358 229 3,619 321 28 10,333 3,248 1,068 80 21 1,508 1,319,817 FY 2007 UNAUDITED 4,337 4,537 1,838 300 37,219 2,100 863 5,370 1,100 90,773 20,626 1,049 1,717 17,182 1,212 658 6 8 2 8,371 9,556 1,825 6,735 1,170 922 4,073 239 1,931 3,442 85 77 1,202 9,406 4,618 1,517 300 63 81 875 1,509,221 FY 2008 ORIGINAL BUDGET 4,900 7,000 3,900 250 250 26,424 1,100 10,000 200 1,500 94,322 25,000 2,000 19,200 1,367 683 261 365 78 8,929 11,017 2,057 14,040 1,500 2,250 4,000 400 3,487 3,000 500 150 12,000 7,000 1,500 400 102 387 1,738,565 (This page intentionally left blank) 164 of 192 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-4010-413.10-01 101-4010-413.11-01 101-4010-413.12-03 101-4010-413.12-04 101-4010-413.21-01 101-4010-413.21-02 101-4010-413.21-03 101-4010-413.21-05 101-4010-413.21-06 101-4010-413.21-07 101-4010-413.22-01 101-4010-413.23-01 101-4010-413.26-20 101-4010-413.43-10 101-4010-413.43-20 101-4010-413.43-40 101-4010-413.44-30 101-4010-413.50-99 101-4010-413.55-10 101-4010-413.59-10 101-4010-413.61-10 101-4010-413.61-20 101-4010-413.61-30 101-4010-413.64-10 101-4010-413.64-20 115-4010-413.61-40 115-4010-413.61-50 117-4010-413.53-05 117-4010-413.53-10 117-4010-413.53-15 117-4010-413.61-07 117-4010-413.61-10 117-4010-413.61-15 119-4010-413.43-10 119-4010-413.62-10 119-4010-413.62-20 119-4010-413.62-25 119-4010-413.62-50 120-4010-413.26-20 120-4010-413.52-20 199-4010-413.50-99 101-4020-413.10-01 101-4020-413.11-01 101-4020-413.12-03 101-4020-413.12-04 101-4020-413.12-05 101-4020-413.12-06 101-4020-413.12-07 101-4020-413.21-01 101-4020-413.21-02 101-4020-413.21-03 FY 2005 ACTUAL 215,401 2,075 1,695 2,703 12,424 1,203 1,586 16,755 18,253 2,277 2,802 26,302 606 1,364 17,691 4 31,736 1,903 317 7 14,566 7,105 74 5,718 2,066 770 9,820 22,461 6,958 51,985 59,152 1,039,980 138,187 4,249 6,270 290 4,587 154,620 14,435 7,864 ACCOUNT DESCRIPTION EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PERMITS AND FEES PURCH. PRINT. & BIND. SVC MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES EMP. BEN.-WORKERS COMP. PURCH. RISK MGMT. SVC. PERMITS AND FEES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS 165 of 192 FY 2006 ACTUAL 232,897 1,751 2,626 2,912 16,053 1,460 1,658 17,788 20,109 3,109 1,198 280 3,406 48,061 96 330 1,035 18,987 11 7,358 2,035 251 14 13,224 7,320 973 3,036 419 6,830 6,593 24,745 42,112 2,350 1,101,672 113,099 3,430 3,179 146 1,982 407 162,234 14,989 8,017 FY 2007 UNAUDITED 267,812 4,158 1,893 3,076 24,373 1,887 1,901 11 16 3 20,443 23,333 4,438 1,039 2,421 59,418 124 167 701 18,774 13 5,238 1,015 163 9 14,405 8,125 3,988 1,591 284 14,581 3,342 117,502 1,088,479 89,569 2,728 3,997 526 407 160,936 13,577 7,829 FY 2008 ORIGINAL BUDGET 282,011 14,600 6,500 26,278 2,110 2,004 522 731 157 22,752 27,538 5,103 4,076 1,618 1,195 8,015 50,835 125 620 1,494 19,000 31 145 10,000 2,000 500 100 18,000 7,200 2,001 400 8,105 600 32,586 1,164,618 160,900 15,500 175,186 15,445 8,369 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-4020-413.21-05 101-4020-413.21-06 101-4020-413.21-07 101-4020-413.22-01 101-4020-413.23-01 101-4020-413.26-20 101-4020-413.39-10 101-4020-413.43-45 101-4020-413.58-10 101-4020-413.61-10 101-4020-413.74-99 115-4020-413.61-40 115-4020-413.61-50 115-4020-413.74-99 115-4020-413.75-99 120-4020-413.52-20 199-4020-413.43-40 199-4020-413.61-10 211-4020-413.34-20 211-4020-413.61-10 211-4020-413.74-99 211-4020-413.75-99 212-4020-413.43-45 212-4020-413.61-10 303-4020-413.43-10 303-4020-413.74-99 303-4020-413.75-99 303-4020-413.79-99 115-4030-413.44-30 115-4030-413.61-40 115-4030-413.61-50 115-4030-413.75-99 117-4030-413.53-05 117-4030-413.53-10 117-4030-413.53-15 117-4030-413.61-10 117-4030-413.61-15 119-4030-413.10-01 119-4030-413.11-01 119-4030-413.12-03 119-4030-413.12-04 119-4030-413.21-01 119-4030-413.21-02 119-4030-413.21-03 119-4030-413.21-05 119-4030-413.21-06 119-4030-413.21-07 119-4030-413.22-01 119-4030-413.23-01 119-4030-413.26-20 119-4030-413.34-20 FY 2005 ACTUAL ACCOUNT DESCRIPTION EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES EQUIPMENT PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT VEHICLES PURCH. RISK MGMT. SVC. PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES PURCHASED MGMT. SERVICES PURCHASED SUPPLIES EQUIPMENT VEHICLES PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC EQUIPMENT VEHICLES INFRASTRUCTURE IMPROVEMEN PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCHASED MGMT. SERVICES 88,656 98,885 108,259 241 72,181 13,963 65,437 81,755 13,894 854 326,303 134,923 81,006 402,255 850 586,247 2,100 5,779 6,280 62,729 104 21 3,087 200 8,232 439,539 29,863 2,007 3,671 53,709 5,302 3,328 35,288 39,398 40,948 166 of 192 FY 2006 ACTUAL 90,914 104,106 32,060 320 195,216 80,471 275 113,860 85,937 100 596,708 23,387 850 350,984 163,559 239,030 9,695 12,606 57,899 104 37 3,355 145 150 490,023 45,661 2,063 4,053 63,492 5,981 3,595 40,184 45,908 13,231 21,930 FY 2007 UNAUDITED 83 116 25 88,635 101,063 40,922 113,910 78,215 39,540 88,341 73,746 32,016 31,300 473,454 270,400 27,950 11,506 9,469 16,140 104 24 3,117 100 676 607,264 56,387 2,056 1,442 89,052 6,597 4,394 40 56 12 49,347 56,932 21,152 7,815 FY 2008 ORIGINAL BUDGET 3,781 5,294 1,134 100,572 122,758 47,467 500 206,059 2,000 79,783 125,552 64,000 81,500 37,000 93,700 500,000 500,000 441,100 15,000 5,000 200 100 5,000 643,755 49,700 6,000 104,135 7,386 4,640 1,826 2,557 548 51,758 64,332 24,269 70,450 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 119-4030-413.39-10 119-4030-413.42-10 119-4030-413.43-10 119-4030-413.43-20 119-4030-413.43-40 119-4030-413.44-30 119-4030-413.58-10 119-4030-413.59-10 119-4030-413.61-10 119-4030-413.61-20 119-4030-413.61-30 119-4030-413.61-70 119-4030-413.62-10 119-4030-413.62-20 119-4030-413.62-25 119-4030-413.62-50 119-4030-413.64-20 119-4030-413.73-99 119-4030-413.74-99 120-4030-413.26-20 120-4030-413.52-20 303-4030-413.75-99 101-4050-413.35-10 101-4050-413.44-30 101-4050-413.55-10 101-4050-413.59-10 101-4050-413.61-10 101-4050-413.61-30 199-4050-413.35-10 101-4080-413.43-40 101-4080-413.44-30 101-4080-413.61-10 119-4080-413.62-20 FY 2005 ACTUAL 755 60,911 2,215 4,250 913 450 85,145 3,524 25,278 3,008 26,761 4,309 5,473 214 9,235 4,447,667 5,551 2,892 282 949 3,284 33,920 73 637 5,081 9,458,332 ACCOUNT DESCRIPTION REGIS.FEES-CONF,SEM,CERTI PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES BKS, PERIODICAL & A/V MAT BUILDINGS/IMPR TO BLDGS EQUIPMENT EMP. BEN.-WORKERS COMP. PURCH. RISK MGMT. SVC. VEHICLES PURCHASED TECHNICAL SVCS. PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED TECHNICAL SVCS. PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCHASED SUPPLIES UTILITIES TOTAL PUBLIC WORKS (40) 167 of 192 FY 2006 ACTUAL 79,200 888 4,679 516 450 97,551 3,109 300 18,972 4,727 28,646 3,614 24,000 6,634 4,791,590 5,105 2,703 624 368 3,602 25,940 4,265 9,905,554 FY 2007 UNAUDITED 2,420 81,297 757 5,949 2,322 640 98,550 2,827 81 5,220 30,448 65 3,049 245 6,380 5,087,265 4,980 2,950 642 751 3,928 47,404 293 16,120 4,066 9,786,339 FY 2008 ORIGINAL BUDGET 3,000 8,550 153,374 4,000 16,500 10,000 6,633 1,300 108,763 3,800 1,000 65,000 5,105 293,416 3,706 1,000 25,000 41,500 119,999 5,358,419 9,435 5,500 658 1,345 6,500 50,000 377 19,900 5,361 11,896,967 (This page intentionally left blank) 168 of 192 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 115-4560-413.10-01 115-4560-413.11-01 115-4560-413.12-03 115-4560-413.12-04 115-4560-413.12-05 115-4560-413.12-06 115-4560-413.12-07 115-4560-413.21-01 115-4560-413.21-02 115-4560-413.21-03 115-4560-413.21-05 115-4560-413.21-06 115-4560-413.21-07 115-4560-413.22-01 115-4560-413.23-01 115-4560-413.26-20 115-4560-413.34-15 115-4560-413.39-10 115-4560-413.43-10 115-4560-413.43-20 115-4560-413.44-30 115-4560-413.44-35 115-4560-413.50-99 115-4560-413.55-10 115-4560-413.58-10 115-4560-413.58-20 115-4560-413.59-10 115-4560-413.59-20 115-4560-413.61-10 115-4560-413.61-30 115-4560-413.61-40 115-4560-413.61-50 115-4560-413.61-90 115-4560-413.64-10 115-4560-413.64-20 115-4560-413.74-99 115-4560-413.75-99 117-4560-413.53-05 117-4560-413.53-10 117-4560-413.53-15 117-4560-413.53-55 117-4560-413.61-07 117-4560-413.61-10 117-4560-413.61-15 119-4560-413.42-10 119-4560-413.43-10 119-4560-413.61-10 119-4560-413.62-10 119-4560-413.62-20 119-4560-413.62-25 119-4560-413.62-50 FY 2005 ACTUAL 337,529 15,743 2,320 4,751 6,223 4,019 1,433 43,098 3,795 2,500 27,670 29,650 1,148 4,341 6,294 1,202 30 415 500 46,137 118 8,231 8,140 893 1,500 119 26 3,969 7,405 2,730 19,021 315 15,700 71,068 12,302 ACCOUNT DESCRIPTION EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP. PURCHASED MGMT. SERVICES REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PROPERTY RENTAL SERVICES PERMITS AND FEES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT EQUIPMENT VEHICLES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES 169 of 192 FY 2006 ACTUAL 364,187 20,580 2,643 3,830 47,665 4,230 2,650 28,942 32,974 7,011 2,320 1,840 9 2,951 10,975 11,434 68 6,714 1,169 435 41,984 101 12,617 8,979 (12,986) 2,275 13,090 119 76 4,292 53 7,630 192 16,936 18,245 248 15,738 79,707 17,371 FY 2007 UNAUDITED 379,621 17,166 1,758 3,018 438 14,595 12,550 54,487 4,202 2,723 20 28 6 31,870 34,039 9,666 1,240 5,200 188 3,347 9,397 15,505 90 1,663 440 66,632 202 12,402 15,516 4,465 2,321 47,400 39,495 122 61 4,752 584 7,815 871 26,003 10,591 18,404 91,354 255 19,040 FY 2008 ORIGINAL BUDGET 390,888 23,000 10,000 61,152 4,787 2,819 913 1,278 274 31,552 38,417 10,653 6,000 4,800 300 4,000 13,000 15,506 90 500 8,500 800 2,500 71,850 200 20,000 15,000 1,000 1,000 3,000 80,500 200 100 5,000 650 8,900 2,000 6,450 25,418 18,405 69,001 3,000 16,723 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 120-4560-413.52-20 120-4560-413.75-99 199-4560-413.61-10 115-4561-413.61-40 FY 2005 ACTUAL 2,176 19 127 692,657 ACCOUNT DESCRIPTION PURCH. RISK MGMT. SVC. VEHICLES PURCHASED SUPPLIES PURCHASED SUPPLIES TOTAL FLEET SERVICES (45) 170 of 192 FY 2006 ACTUAL 4,213 1,248 784,755 FY 2007 UNAUDITED 235 8,295 936 981,008 FY 2008 ORIGINAL BUDGET 5,000 985,126 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 112-5010-419.10-01 112-5010-419.10-02 112-5010-419.10-06 112-5010-419.11-01 112-5010-419.12-03 112-5010-419.12-04 112-5010-419.12-06 112-5010-419.12-07 112-5010-419.21-01 112-5010-419.21-02 112-5010-419.21-03 112-5010-419.22-01 112-5010-419.23-01 112-5010-419.26-20 112-5010-419.31-99 112-5010-419.32-20 112-5010-419.36-20 112-5010-419.36-30 112-5010-419.36-40 112-5010-419.36-50 112-5010-419.39-10 112-5010-419.44-30 112-5010-419.55-10 112-5010-419.58-10 112-5010-419.58-20 112-5010-419.59-10 112-5010-419.59-20 112-5010-419.61-10 112-5010-419.61-20 112-5010-419.61-30 117-5010-419.53-05 117-5010-419.53-10 117-5010-419.53-15 117-5010-419.61-10 117-5010-419.61-15 119-5010-419.43-10 119-5010-419.61-10 303-5010-419.58-10 303-5010-419.73-99 303-5010-419.78-99 112-5020-419.10-01 112-5020-419.10-02 112-5020-419.10-06 112-5020-419.11-01 112-5020-419.11-02 112-5020-419.11-06 112-5020-419.12-03 112-5020-419.12-04 112-5020-419.12-05 112-5020-419.12-06 112-5020-419.12-07 FY 2005 ACTUAL 436,251 18,121 15,619 56 3,237 2,936 1,807 36,468 3,520 2,983 35,939 35,172 447 26,180 6,015 320 6,069 1,387 6,168 8,003 23,620 11,011 1,057 1,209 5,300 17,238 1,482 12,168 4,988 292 4,738 320 2,292 87 2,759 80,064 300,901 217,103 31,488 4,487 1,786 2,974 1,434 1,101 ACCOUNT DESCRIPTION EMPLOYEE SALARIES EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PURCH. ACCT. & FIN. SVC. PLANNING-ARCH. & ENG. SVC PURCH CULTURE & REC SVC PURCH CULTURE & REC SVC PURCH CULTURE & REC SVC PURCH CULTURE & REC SVC REGIS.FEES-CONF,SEM,CERTI PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES TRAVEL, MEALS, & LODGING BUILDINGS/IMPR TO BLDGS IMPROVEMENTS O/T BLDGS EMPLOYEE SALARIES EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY OVERTIME PAY OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS 171 of 192 FY 2006 ACTUAL 401,236 18,230 2,484 2,970 363 45,896 3,983 2,828 31,595 34,914 6,240 5,118 2,250 5,011 191 8,592 1,968 5,643 9,034 20,954 12,824 1,648 5,000 20,012 5,568 27,954 5,238 349 7,618 500 1,066 2,738 289 127,018 335,830 231,727 31,600 9,317 1,793 3,928 1,220 192 886 257 FY 2007 UNAUDITED 752,830 268,319 29,722 4,524 469 3,991 4,024 2,938 714 1,643 FY 2008 ORIGINAL BUDGET 825,971 280,919 31,478 8,000 1,500 5,000 11,000 - EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 112-5020-419.21-01 112-5020-419.21-02 112-5020-419.21-03 112-5020-419.21-05 112-5020-419.21-06 112-5020-419.21-07 112-5020-419.22-01 112-5020-419.23-01 112-5020-419.26-20 112-5020-419.31-99 112-5020-419.32-20 112-5020-419.34-10 112-5020-419.34-20 112-5020-419.36-20 112-5020-419.36-30 112-5020-419.36-40 112-5020-419.36-50 112-5020-419.39-10 112-5020-419.42-10 112-5020-419.43-10 112-5020-419.43-20 112-5020-419.44-30 112-5020-419.55-10 112-5020-419.58-10 112-5020-419.59-10 112-5020-419.59-20 112-5020-419.61-10 112-5020-419.61-20 112-5020-419.61-30 112-5020-419.61-70 112-5020-419.64-10 112-5020-419.73-99 112-5020-419.74-99 114-5020-419.34-10 114-5020-419.34-20 114-5020-419.34-30 114-5020-419.34-32 114-5020-419.36-20 114-5020-419.36-53 114-5020-419.38-10 114-5020-419.39-10 114-5020-419.43-10 114-5020-419.43-20 114-5020-419.44-30 114-5020-419.54-10 114-5020-419.55-10 114-5020-419.58-10 114-5020-419.58-20 114-5020-419.59-10 114-5020-419.59-20 114-5020-419.61-10 FY 2005 ACTUAL 24,151 3,242 2,154 42,935 43,693 51,835 31,183 32,356 14,310 354 77,483 60,296 - ACCOUNT DESCRIPTION EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PURCH. ACCT. & FIN. SVC. PLANNING-ARCH. & ENG. SVC PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES PURCH CULTURE & REC SVC PURCH CULTURE & REC SVC PURCH CULTURE & REC SVC PURCH CULTURE & REC SVC REGIS.FEES-CONF,SEM,CERTI PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BUILDINGS/IMPR TO BLDGS EQUIPMENT PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES PURCH CULTURE & REC SVC PURCH CULTURE & REC SVC CIVIC SVCS/CONTRIBUTIONS REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES 172 of 192 FY 2006 ACTUAL 34,188 3,922 2,282 47,169 47,370 11,226 67,710 13,536 42,419 5,146 39,347 76,104 44,802 4,178 3,000 13 34,933 163,871 1,000 1,342 55,662 300 25,084 131 829 25,142 576 45 129,109 FY 2007 UNAUDITED 91,722 7,818 5,346 54 76 16 80,365 85,298 20,359 8,520 68,074 300 8,809 1,894 8,244 10,977 29,682 4,101 53,088 15,468 15,154 1,695 5,275 171,206 7,012 16,415 26 72,395 36,284 133 1,046 29,402 72,681 FY 2008 ORIGINAL BUDGET 103,446 8,895 5,889 2,477 3,468 743 87,871 100,095 22,818 10,000 15,000 3,000 1,000 101,000 300 9,000 2,000 9,500 16,000 20,000 10,000 60,000 30,000 15,000 1,500 6,000 86,440 6,500 25,500 100 35,000 3,100 95,600 40,700 2,500 3,500 30,800 3,600 50 100,250 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 114-5020-419.61-20 114-5020-419.61-30 114-5020-419.61-70 114-5020-419.64-20 114-5020-419.73-99 114-5020-419.74-99 115-5020-419.61-40 115-5020-419.61-50 115-5020-419.75-99 117-5020-419.34-50 117-5020-419.53-05 117-5020-419.53-10 117-5020-419.53-15 117-5020-419.53-55 117-5020-419.61-07 117-5020-419.61-10 117-5020-419.61-15 117-5020-419.74-99 119-5020-419.42-10 119-5020-419.43-10 119-5020-419.61-10 119-5020-419.62-10 119-5020-419.62-20 119-5020-419.62-25 119-5020-419.62-50 119-5020-419.73-99 120-5020-419.52-20 150-5020-419.36-53 303-5020-419.43-10 303-5020-419.73-99 112-5040-419.10-01 112-5040-419.10-02 112-5040-419.10-06 112-5040-419.11-01 112-5040-419.11-06 112-5040-419.12-03 112-5040-419.12-04 112-5040-419.12-05 112-5040-419.12-06 112-5040-419.12-07 112-5040-419.21-01 112-5040-419.21-02 112-5040-419.21-03 112-5040-419.21-05 112-5040-419.21-06 112-5040-419.21-07 112-5040-419.22-01 112-5040-419.23-01 112-5040-419.26-20 112-5040-419.32-20 112-5040-419.39-10 FY 2005 ACTUAL ACCOUNT DESCRIPTION PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BUILDINGS/IMPR TO BLDGS EQUIPMENT PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES PURCHASED MGMT. SERVICES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES BUILDINGS/IMPR TO BLDGS PURCH. RISK MGMT. SVC. PURCH CULTURE & REC SVC PURCH.RPR.,MNTCE,INST.SVC BUILDINGS/IMPR TO BLDGS EMPLOYEE SALARIES EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PLANNING-ARCH. & ENG. SVC REGIS.FEES-CONF,SEM,CERTI 3,062 980 5,231 1,472 19,097 1,362 81,214 115,719 36,212 115,376 108,755 1,332,381 10,997 10,256 108,259 11 6,828 6,546 3,486 1,150 187,087 17,125 10,042 109,996 121,847 443 173 of 192 FY 2006 ACTUAL 2,070 1,450 301,500 29,644 4,835 1,891 5,091 7,818 84,777 6,601 117,132 145,021 48,881 4,625 77,725 51,634 1,420,705 7,984 30,603 158,198 5,158 8,193 167 5,765 1,739 204,368 18,665 10,342 121,485 135,997 38,229 1,054 FY 2007 UNAUDITED 112 679 1,642 106,018 5,931 1,539 40,756 8,585 4,292 295 8,221 7,726 8,616 11,138 13,699 66,701 30,141 95,914 159,765 490 30,242 30,336 1,527 164,605 16,611 1,441,375 5,369 26,823 142,185 4,654 4,780 3,485 3,551 218,596 17,579 10,404 100 140 30 121,056 136,311 45,706 2,492 FY 2008 ORIGINAL BUDGET 24,800 2,400 6,000 4,000 5,200 6,000 400 10,000 600 12,450 1,400 30,000 116,645 2,000 92,930 117,776 5,000 46,750 28,681 80,000 6,754 1,542,841 12,765 42,549 140,000 2,000 21,500 248,503 20,546 11,145 4,694 6,572 1,408 131,216 157,242 53,509 1,900 2,195 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 112-5040-419.43-10 112-5040-419.43-20 112-5040-419.43-40 112-5040-419.44-30 112-5040-419.58-10 112-5040-419.61-10 112-5040-419.61-20 112-5040-419.61-30 112-5040-419.73-99 112-5040-419.74-99 112-5040-419.78-99 112-5040-419.79-99 115-5040-419.44-35 115-5040-419.61-10 115-5040-419.61-40 115-5040-419.61-50 115-5040-419.74-99 115-5040-419.75-99 117-5040-419.53-05 117-5040-419.53-10 117-5040-419.53-15 117-5040-419.53-50 117-5040-419.53-55 117-5040-419.61-10 117-5040-419.61-15 119-5040-419.43-10 119-5040-419.43-20 119-5040-419.61-10 119-5040-419.62-10 119-5040-419.62-20 119-5040-419.62-25 119-5040-419.62-50 119-5040-419.73-99 119-5040-419.74-99 119-5040-419.78-99 119-5040-419.79-99 120-5040-419.26-20 120-5040-419.52-20 303-5040-419.31-99 303-5040-419.32-20 303-5040-419.32-30 303-5040-419.34-10 303-5040-419.43-10 303-5040-419.43-40 303-5040-419.44-30 303-5040-419.50-99 303-5040-419.61-10 303-5040-419.71-99 303-5040-419.73-99 303-5040-419.74-99 303-5040-419.75-99 FY 2005 ACTUAL 49,254 1,168 101,903 53,265 92 229,117 20,287 40,196 19,288 26,424 3,819 1,407 228 42,654 43,095 89,627 35,033 130 27 10,160 322 145 2,981 15,348 2,863 24,925 76,706 81,941 36,634 12,231 18,995 3,150 94,328 88,418 525 21,288 451,251 11,606 146,710 - ACCOUNT DESCRIPTION PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS EQUIPMENT IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT VEHICLES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES BUILDINGS/IMPR TO BLDGS EQUIPMENT IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN EMP. BEN.-WORKERS COMP PURCH. RISK MGMT. SVC. PURCH. ACCT. & FIN. SVC. PLANNING-ARCH. & ENG. SVC PLANNING-ARCH. & ENG. SVC PURCHASED MGMT. SERVICES PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PERMITS AND FEES PURCHASED SUPPLIES LAND BUILDINGS/IMPR TO BLDGS EQUIPMENT VEHICLES 174 of 192 FY 2006 ACTUAL 32,576 4,053 90,868 10,539 383 264,056 17,752 33 11,784 6,650 26,356 58,435 32,365 139,901 1,600 329 30 9,204 249 110 37,769 3,479 28,227 186,040 231,569 8,273 5,273 7,475 15,553 14,779 46,545 37,843 156,880 1,537,998 349,534 - FY 2007 UNAUDITED 58,170 60 129,681 6,984 667 244,097 19,205 46 192,762 29,128 59,697 40,049 353 25 9,505 440 584 9,567 102,542 967 16,571 39,069 185,721 459 167,743 15,432 29,975 41,387 9,288 2,109 3,088 62,407 1,403 95,022 2,587,862 273,477 - FY 2008 ORIGINAL BUDGET 77,893 4,055 169,704 52,900 400 277,499 20,027 450 51,000 79,000 29,129 21,499 67,000 40,008 199,500 500 100 12,000 1,200 3,000 58,910 88,999 39,745 84,383 3,000 123,555 20,000 55,000 50,000 35,987 173,565 125,175 136,000 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 303-5040-419.78-99 303-5040-419.79-99 307-5040-419.73-99 307-5040-419.78-99 307-5040-419.79-99 112-5050-419.10-01 112-5050-419.11-01 112-5050-419.12-03 112-5050-419.21-01 112-5050-419.21-02 112-5050-419.21-03 112-5050-419.21-05 112-5050-419.21-06 112-5050-419.21-07 112-5050-419.22-01 112-5050-419.23-01 112-5050-419.26-20 115-5050-419.75-99 117-5050-419.61-07 117-5050-419.61-10 117-5050-419.61-15 119-5050-419.42-10 119-5050-419.43-10 119-5050-419.61-10 119-5050-419.62-10 119-5050-419.62-20 119-5050-419.62-25 119-5050-419.62-50 235-5050-419.10-06 235-5050-419.22-01 235-5050-419.26-20 235-5050-419.36-20 235-5050-419.36-30 235-5050-419.58-10 235-5050-419.58-20 235-5050-419.61-10 303-5050-419.32-30 303-5050-419.42-10 303-5050-419.43-10 303-5050-419.43-20 303-5050-419.61-10 303-5050-419.73-99 303-5050-419.75-99 303-5050-419.79-99 307-5050-419.32-30 307-5050-419.61-10 307-5050-419.73-99 112-5070-419.10-01 112-5070-419.11-01 112-5070-419.12-03 112-5070-419.12-04 FY 2005 ACTUAL 140,533 315,665 133,459 76,661 6,640 - ACCOUNT DESCRIPTION IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN BUILDINGS/IMPR TO BLDGS IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP VEHICLES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES EMPLOYEE SALARIES EMPL. BEN.-SOC. SECURITY EMP. BEN.-WORKERS COMP PURCH CULTURE & REC SVC PURCH CULTURE & REC SVC TRAVEL, MEALS, & LODGING TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES PLANNING-ARCH. & ENG. SVC PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS VEHICLES INFRASTRUCTURE IMPROVEMEN PLANNING-ARCH. & ENG. SVC PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS 175 of 192 FY 2006 ACTUAL 18,950 828,982 5,766 4,114 17,438 13,777 1,054 31 1,680 80 220 102 282 34,867 7,928 4,035 1,576 1,604,314 87,043 1,714 490 816 FY 2007 UNAUDITED 111,779 444,503 2,258,946 24,265 482 4,276 408 177 6 8 2 2,089 2,344 81 15,930 807 133 944 11,145 336 271 8,829 17,205 6,492 18,501 1,414 54 334 169 38 1,656 2,865 900 25,570 412,155 282,233 83,736 2,564 639 1,749 FY 2008 ORIGINAL BUDGET 146,284 199,273 53,807 500 500 7,052 741 379 261 365 78 4,193 5,049 168 1,000 7,400 8,830 10,000 2,000 4,000 19,780 1,513 62 680 300 950 1,000 19,380 79,833 5,000 1,500 - EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 112-5070-419.12-05 112-5070-419.12-07 112-5070-419.21-01 112-5070-419.21-02 112-5070-419.21-03 112-5070-419.21-05 112-5070-419.21-06 112-5070-419.21-07 112-5070-419.22-01 112-5070-419.23-01 112-5070-419.26-20 112-5070-419.55-10 112-5070-419.61-20 115-5070-419.61-40 115-5070-419.61-50 115-5070-419.75-99 117-5070-419.53-15 117-5070-419.61-10 FY 2005 ACTUAL ACCOUNT DESCRIPTION PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PURCH. PRINT. & BIND. SVC PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES TOTAL PARKS & RECREATION (50) 6,706,022 176 of 192 FY 2006 ACTUAL 6,402 675 616 6,919 7,606 1,674 439 4,932 2,452 951 100 11,426,390 FY 2007 UNAUDITED 765 1,510 7,959 799 593 6 8 2 6,984 7,403 1,867 497 5,125 3,076 22,359 896 13,239,752 FY 2008 ORIGINAL BUDGET 9,482 1,082 561 261 365 78 6,616 7,873 1,889 369 500 7,500 6,000 1,500 7,970,018 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 110-6010-418.10-01 110-6010-418.10-02 110-6010-418.10-06 110-6010-418.11-01 110-6010-418.11-02 110-6010-418.12-03 110-6010-418.12-05 110-6010-418.12-06 110-6010-418.12-07 110-6010-418.21-01 110-6010-418.21-02 110-6010-418.21-03 110-6010-418.21-05 110-6010-418.21-06 110-6010-418.21-07 110-6010-418.22-01 110-6010-418.23-01 110-6010-418.26-20 110-6010-418.36-10 110-6010-418.39-10 110-6010-418.43-10 110-6010-418.43-20 110-6010-418.43-40 110-6010-418.44-30 110-6010-418.55-10 110-6010-418.58-10 110-6010-418.59-10 110-6010-418.61-10 110-6010-418.61-15 110-6010-418.61-20 110-6010-418.61-30 110-6010-418.74-99 111-6010-418.68-01 115-6010-418.61-40 115-6010-418.61-50 115-6010-418.75-99 117-6010-418.53-05 117-6010-418.53-10 117-6010-418.53-15 117-6010-418.61-10 119-6010-418.42-10 119-6010-418.43-10 119-6010-418.61-10 119-6010-418.61-70 119-6010-418.62-10 119-6010-418.62-20 119-6010-418.62-25 119-6010-418.62-50 119-6010-418.73-99 120-6010-418.26-20 120-6010-418.52-20 FY 2005 ACTUAL 314,264 32,087 1,499 24,246 29,388 2,412 2,340 27,672 28,411 5,074 3,682 24,118 12,834 2,013 16,405 1,035 45,954 1,406 3,436 298,981 330 740 21,300 11,898 313 5,984 143 21,107 30,982 12,087 4,441 281 170,705 2,632 6,000 1,025 2,362 ACCOUNT DESCRIPTION EMPLOYEE SALARIES EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PURCH CULTURE & REC SVC REGIS.FEES-CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT OTHER LIBRARY ACTIVITIES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES BUILDINGS/IMPR TO BLDGS EMP. BEN.-WORKERS COMP PURCH. RISK MGMT. SVC. 177 of 192 FY 2006 ACTUAL 310,851 34,382 2,653 34,691 378 536 253 505 27,520 2,567 2,232 28,424 29,613 1,942 2,358 3,968 25,407 10,209 2,338 14,648 920 49,617 928 4,000 392,966 861 498 5,285 383 6,002 390 18,703 52,943 9,581 378 203,462 505 45,130 1,827 FY 2007 UNAUDITED 334,784 38,686 69 54,593 198 506 32,739 2,926 2,477 17 24 5 31,721 33,403 2,979 40,000 3,755 138 4,265 25,774 12,221 1,296 19,048 850 63,598 431 1,977 7,580 279,166 850 279 4,683 405 5,835 14,203 71,592 16,376 144 223,462 319 43,803 54,973 430 FY 2008 ORIGINAL BUDGET 375,552 25,909 25,000 75,000 2,000 42,930 3,848 2,690 913 1,278 274 37,916 41,661 3,694 6,884 7,900 40,000 15,000 2,600 23,800 2,000 67,200 700 8,000 404,708 2,000 1,000 10,000 500 10,000 19,500 89,398 83,998 160 179,459 3,600 21,135 - EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 235-6010-418.61-10 240-6010-418.73-99 303-6010-418.73-99 110-6020-418.10-01 110-6020-418.10-02 110-6020-418.10-06 110-6020-418.11-01 110-6020-418.11-02 110-6020-418.12-03 110-6020-418.12-05 110-6020-418.12-06 110-6020-418.12-07 110-6020-418.21-01 110-6020-418.21-02 110-6020-418.21-03 110-6020-418.21-05 110-6020-418.21-06 110-6020-418.21-07 110-6020-418.22-01 110-6020-418.23-01 110-6020-418.26-20 110-6020-418.36-10 110-6020-418.55-10 110-6020-418.61-10 110-6020-418.64-10 110-6020-418.64-20 110-6020-418.64-50 110-6020-418.73-99 110-6030-418.10-01 110-6030-418.10-02 110-6030-418.10-06 110-6030-418.11-01 110-6030-418.12-03 110-6030-418.12-05 110-6030-418.12-06 110-6030-418.12-07 110-6030-418.21-01 110-6030-418.21-02 110-6030-418.21-03 110-6030-418.21-05 110-6030-418.21-06 110-6030-418.21-07 110-6030-418.22-01 110-6030-418.23-01 110-6030-418.26-20 110-6030-418.36-10 110-6030-418.55-10 110-6030-418.61-10 110-6030-418.61-15 110-6030-418.64-10 110-6030-418.64-50 FY 2005 ACTUAL ACCOUNT DESCRIPTION PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS BUILDINGS/IMPR TO BLDGS EMPLOYEE SALARIES EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PURCH CULTURE & REC SVC PURCH. PRINT. & BIND. SVC PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT BUILDINGS/IMPR TO BLDGS EMPLOYEE SALARIES EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PURCH CULTURE & REC SVC PURCH. PRINT. & BIND. SVC PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT 229,582 153,117 3,501 4,772 107 55 2,401 22,764 2,119 1,708 29,782 22,298 20,750 1,225 16,728 120,672 3,075 83,410 3,295 276,452 104,670 5,090 645 538 22,973 2,973 2,052 29,495 23,257 11,115 4,536 17,630 74,300 13,914 178 of 192 FY 2006 ACTUAL 263,488 159,721 6,799 6,186 365 342 7,470 4,622 27,071 2,498 1,880 34,050 25,649 993 41,000 1,788 14,073 124,708 9,575 92,912 340,197 77,235 2,748 642 105 249 38,692 3,998 2,492 31,715 29,241 944 9,880 4,666 18,018 65,494 18,566 FY 2007 UNAUDITED 26,791 252,907 166,956 3,128 4,994 29 571 28,865 2,309 1,807 14 20 4 32,486 24,587 1,230 1,329 14,693 108,225 3,002 104,130 335,664 143,744 6,715 2,121 258 232 585 37,728 3,374 2,404 20 28 6 36,943 32,051 1,415 16,885 4,947 17,540 1,624 82,164 27,782 FY 2008 ORIGINAL BUDGET 19,990 500,000 1,053,209 254,828 174,393 1,675 8,000 13,000 29,787 2,480 1,821 652 913 196 34,501 26,238 1,350 2,500 15,500 91,800 7,195 99,055 367,761 162,577 3,342 3,000 1,000 40,690 3,938 2,625 1,043 1,461 313 40,709 37,946 1,672 17,000 5,000 26,000 80,000 29,015 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 110-6030-418.73-99 110-6040-418.10-01 110-6040-418.10-02 110-6040-418.10-06 110-6040-418.11-01 110-6040-418.12-03 110-6040-418.12-04 110-6040-418.12-05 110-6040-418.12-06 110-6040-418.12-07 110-6040-418.21-01 110-6040-418.21-02 110-6040-418.21-03 110-6040-418.21-05 110-6040-418.21-06 110-6040-418.21-07 110-6040-418.22-01 110-6040-418.23-01 110-6040-418.26-20 110-6040-418.34-15 110-6040-418.43-20 110-6040-418.55-10 110-6040-418.61-10 110-6040-418.64-10 110-6040-418.64-20 110-6040-418.64-50 110-6040-418.73-99 110-6050-418.10-01 110-6050-418.10-02 110-6050-418.10-06 110-6050-418.11-01 110-6050-418.12-03 110-6050-418.12-05 110-6050-418.12-06 110-6050-418.12-07 110-6050-418.21-01 110-6050-418.21-02 110-6050-418.21-03 110-6050-418.21-05 110-6050-418.21-06 110-6050-418.21-07 110-6050-418.22-01 110-6050-418.23-01 110-6050-418.26-20 110-6050-418.55-10 110-6050-418.61-10 110-6050-418.61-15 110-6050-418.61-30 110-6050-418.74-99 110-6060-418.10-01 110-6060-418.10-02 FY 2005 ACTUAL 6,390 414,992 61,850 3,709 4,049 1,050 32,580 4,039 3,101 36,786 35,170 985 4,991 94,757 24,099 15,225 276,185 102,965 3,075 7,301 492 21,207 2,803 2,029 29,917 23,793 132 5,088 2,700 109,649 53,562 ACCOUNT DESCRIPTION BUILDINGS/IMPR TO BLDGS EMPLOYEE SALARIES EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PURCHASED MGMT. SERVICES PURCH.RPR.,MNTCE,INST.SVC PURCH. PRINT. & BIND. SVC PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT BUILDINGS/IMPR TO BLDGS EMPLOYEE SALARIES EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PURCH. PRINT. & BIND. SVC PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT EMPLOYEE SALARIES EMPLOYEE SALARIES 179 of 192 FY 2006 ACTUAL 424,327 70,547 5,152 728 35,855 4,104 3,073 37,930 36,807 1,114 230 790 5,948 106,461 23,391 8,591 4,803 290,184 103,413 5,342 4,484 56 48 270 27,288 2,941 2,080 30,966 25,253 897 988 10,057 2,801 14,450 133,179 48,727 FY 2007 UNAUDITED 412,437 90,791 2,866 566 1,808 214 6,119 3,379 36,685 3,732 2,978 23 32 7 39,417 35,431 1,504 1,802 6,101 104,581 24,968 8,001 307,828 95,862 3,761 4,992 304 2,110 4,532 31,650 2,906 2,190 23 32 7 32,157 26,837 1,204 143 13,079 1,798 165,852 41,223 FY 2008 ORIGINAL BUDGET 417,349 97,901 3,500 10,000 43,556 4,216 2,984 1,043 1,460 313 40,277 38,948 1,615 5,000 2,000 6,100 102,800 28,500 8,300 331,728 104,944 3,351 7,000 2,000 34,281 3,277 2,354 1,043 1,460 313 34,635 31,480 1,378 2,000 18,750 3,000 176,144 42,201 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 110-6060-418.11-01 110-6060-418.12-03 110-6060-418.12-07 110-6060-418.21-01 110-6060-418.21-02 110-6060-418.21-03 110-6060-418.21-05 110-6060-418.21-06 110-6060-418.21-07 110-6060-418.22-01 110-6060-418.23-01 110-6060-418.26-20 110-6060-418.36-10 110-6060-418.54-50 110-6060-418.55-10 110-6060-418.61-10 110-6060-418.61-15 110-6060-418.61-30 119-6060-418.74-99 110-6070-418.10-01 110-6070-418.10-02 110-6070-418.10-06 110-6070-418.11-01 110-6070-418.12-03 110-6070-418.12-07 110-6070-418.21-01 110-6070-418.21-02 110-6070-418.21-03 110-6070-418.21-05 110-6070-418.21-06 110-6070-418.21-07 110-6070-418.22-01 110-6070-418.23-01 110-6070-418.26-20 110-6070-418.34-50 110-6070-418.43-20 110-6070-418.44-30 110-6070-418.50-70 110-6070-418.61-07 110-6070-418.61-10 110-6070-418.61-15 110-6070-418.64-20 117-6070-418.53-50 117-6070-418.61-10 FY 2005 ACTUAL 413 39 7,588 913 795 12,526 9,238 40,000 12,705 21,069 7,084 22,810 167,014 15,061 1,770 1,243 12,605 14,018 1,900 9,955 43,184 47,424 7,187 27,522 15,652 1,047 4,593 4,370,614 ACCOUNT DESCRIPTION OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PURCH CULTURE & REC SVC OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT EMPLOYEE SALARIES EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BENEFITS-GROUP INS EMPL. BEN.-SOC. SECURITY EMP. BEN.-RETIREMENT PLAN EMP. BEN.-WORKERS COMP PURCHASED MGMT. SERVICES PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PERMITS AND FEES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES TOTAL LIBRARY (60) 180 of 192 FY 2006 ACTUAL 1,180 85 10,817 1,139 940 14,021 11,514 938 50,000 13,050 22,388 11,879 4,680 22,031 178,559 446 17,013 1,883 1,287 13,506 15,303 403 9,405 44,291 51,374 10,863 21,784 6,714 833 9,642 65 4,821,234 FY 2007 UNAUDITED 2,024 16,431 1,351 1,175 11 16 3 15,946 14,402 1,474 50,000 13,370 20,703 10,706 399 30,806 15,461 191,115 26,698 1,916 165 19,389 1,618 1,356 11 16 3 16,388 16,396 639 2,700 10,404 58,725 50,735 12,111 33,974 10,479 640 12,258 5,148,833 FY 2008 ORIGINAL BUDGET 3,000 500 14,113 1,483 1,249 522 731 157 16,995 16,650 1,682 11,700 27,500 7,650 31,450 203,224 28,210 500 500 20,207 1,798 1,436 522 732 157 17,105 18,945 725 6,000 13,980 54,150 70,178 15,320 63,900 450 16,000 7,089,004 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) FY 2005 ACTUAL 63,254 63,254 ACCOUNT NUMBER ACCOUNT DESCRIPTION PURCH.HEALTH& WELFARE SVC 101-7010-413.37-50 TOTAL HEALTH & WELFARE (70) 181 of 192 FY 2006 ACTUAL 63,254 63,254 FY 2007 UNAUDITED 63,254 63,254 FY 2008 ORIGINAL BUDGET 63,255 63,255 (This page intentionally left blank) 182 of 192 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 119-7510-417.42-10 119-7510-417.62-10 119-7510-417.62-20 119-7510-417.62-25 119-7510-417.62-50 119-7520-417.42-10 119-7520-417.43-10 119-7520-417.44-30 119-7520-417.62-10 119-7520-417.62-20 119-7520-417.62-25 119-7520-417.62-50 FY 2005 ACTUAL ACCOUNT DESCRIPTION PURCH.PROP. CLEANING SVC. UTILITIES UTILITIES UTILITIES UTILITIES PURCH.PROP. CLEANING SVC. PURCH.PROP. CLEANING SVC. PROPERTY RENTAL SERVICES UTILITIES UTILITIES UTILITIES UTILITIES TOTAL OTHER DEPARTMENTS (75) FY 2006 ACTUAL - 183 of 192 - FY 2007 UNAUDITED 1,944 59 7,337 1,251 3,145 943 13 1,630 278 16,600 FY 2008 ORIGINAL BUDGET 4,900 3,060 20,000 3,630 6,000 500 500 491 4,000 1,800 2,000 46,881 (This page intentionally left blank) 184 of 192 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-8030-417.83-01 101-8030-417.83-02 101-8030-417.83-03 101-8030-417.83-04 101-8030-417.83-05 307-8030-417.83-10 FY 2005 ACTUAL 4,760,000 4,348,651 17,769 299,814 6,817 9,433,051 ACCOUNT DESCRIPTION MUNI BONDS & WARRANTS MUNI BONDS & WARRANTS MUNI BONDS & WARRANTS MUNI BONDS & WARRANTS MUNI BONDS & WARRANTS MUNI BONDS & WARRANTS TOTAL DEBT SERVICE (80) 185 of 192 FY 2006 ACTUAL 4,585,000 4,613,046 3,899 9,201,945 FY 2007 UNAUDITED 4,670,000 4,488,630 5,010 9,163,640 FY 2008 ORIGINAL BUDGET 4,805,000 4,331,634 4,900 235,198 9,376,732 (This page intentionally left blank) 186 of 192 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) FY 2005 ACTUAL 947,046 947,046 ACCOUNT NUMBER ACCOUNT DESCRIPTION REVENUE REBATE 101-8410-417.84-01 TOTAL REVENUE REBATE (84) 187 of 192 FY 2006 ACTUAL 1,458,303 1,458,303 FY 2007 UNAUDITED 72,877 72,877 FY 2008 ORIGINAL BUDGET - (This page intentionally left blank) 188 of 192 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) FY 2005 ACTUAL 1,895,404 1,895,404 ACCOUNT NUMBER ACCOUNT DESCRIPTION BOARD OF EDUCATION 101-8585-417.85-85 TOTAL BOARD OF EDUCATION (85) 189 of 192 FY 2006 ACTUAL 7,100,000 7,100,000 FY 2007 UNAUDITED 7,500,000 7,500,000 FY 2008 ORIGINAL BUDGET 7,500,000 7,500,000 (This page intentionally left blank) 190 of 192 EXPENDITURE BUDGET - ALL FUNDS FY 2008 ORIGINAL BUDGET DETAIL IS AVAILABLE ON HTE, SELECT ACCOUNT, F13 (SHIFT F1) ACCOUNT NUMBER 101-9090-491.91-10 101-9090-491.91-11 101-9090-491.91-12 101-9090-491.91-15 101-9090-491.91-17 101-9090-491.91-19 101-9090-491.91-20 101-9090-491.91-99 101-9090-491.92-01 101-9090-491.92-15 101-9090-491.92-18 101-9090-491.92-35 101-9090-491.92-53 101-9090-491.93-03 201-9090-491.92-02 215-9090-491.91-01 235-9090-491.91-01 390-9090-491.91-01 101-9093-493.83-06 101-9094-493.94-01 FY 2005 ACTUAL ACCOUNT DESCRIPTION OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT OPERATING TRANSFERS OUT MUNI BONDS & WARRANTS SPECIAL ITEMS TOTAL OTHER FINANCING USES (90) 3,743,005 3,261,703 2,643,048 2,166,491 2,549,868 1,082,169 115,370 1,100,993 85,504 10,224 16,680 15,212 8,800,000 13,539 30,787,042 6,000,000 62,390,848 GRAND TOTAL ALL EXPENDITURES 147,098,652 191 of 192 FY 2006 ACTUAL 4,043,223 3,606,188 2,903,588 2,766,226 3,302,734 1,124,128 (1,134) 1,204,421 169,638 21,442 2,738 8,743,356 13,949 2,409 27,902,906 129,892,688 FY 2007 UNAUDITED FY 2008 ORIGINAL BUDGET 4,349,286 3,864,262 3,710,200 2,846,212 3,892,541 1,149,950 1,194,515 1,922,207 8,709 30,265 8,165,851 10,000 31,143,998 4,644,347 65,000 4,476,673 3,449,205 3,867,941 4,179,737 1,156,360 1,278,203 2,331,659 83,778 95,049 25,627,952 148,983,390 202,606,531 (This page intentionally left blank) 192 of 192
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