THE CITY OF HOOVER, ALABAMA FY 2011 ORIGINAL BUDGET
Transcription
THE CITY OF HOOVER, ALABAMA FY 2011 ORIGINAL BUDGET
THE CITY OF HOOVER, ALABAMA FY 2011 ORIGINAL BUDGET Adopted September 20, 2010 THIS PAGE IS INTENTIONALLY LEFT BLANK TABLE OF CONTENTS DESCRIPTION PAGE NUMBER TRANSMITTAL LETTER 1‐2 CLASSIFICATION POLICY 3‐4 FUND DESCRIPTIONS 5‐6 DEPARTMENT/DIVISION DESCRIPTIONS 7‐8 HTE INSTRUCTIONS 9‐10 BUDGET SUMMARY Summary All Funds General Fund Detail Special Revenue Fund Detail Capital Projects Fund Detail Proprietary Fund Detail General Fund Comparison by Category of Expenditures General Fund Comparison of Prior Year Actuals to FY 2011 Budget 11 12 13 14 15 16 17‐18 REVENUE PROJECTION Summary of Category by Fund Type and Fiscal Year General Fund Breakdown by Account 19 20‐48 DEPARTMENT EXPENDITURE SUMMARY General Fund Special Revenue Fund Special Revenue Fund Capital Projects Fund Proprietary Fund 49‐51 52 53 52‐53 54‐55 56 SALARY & BENEFITS SUMMARY Breakdown by Department/Salaries & Benefits FY 2011 Payroll Projection Assumptions Summary FY 2011 Payroll Projection Assumptions Detail FY 2010 Amended Budgeted Positions FY 2011 Original Budget Positions 57 58 59 60 61‐62 HEALTH INSURANCE ISF 63‐66 WORKERS COMPENSATION ISF 67‐68 PROPERTY & CASUALTY ISF 69‐70 CAPITAL IMPROVEMENT SUMMARY All Projects, Including Carryovers Summary of new/additional funding for projects 71‐73 74 DEBT SERVICE 75‐82 FLEET VEHICLES SUMMARY 83‐84 INFORMATION TECHNOLOGY SUMMARY 85‐112 BUILDING SERVICES SUMMARY 113‐138 TABLE OF CONTENTS DESCRIPTION PAGE NUMBER DEPARTMENTAL DETAIL BY ACCOUNT ADMINISTRATION (01) 139‐140 CITY COUNCIL SUPPORT (02) ‐ (Including 0230 Breakdown) 141‐142 OPERATIONS SUPPORT (03) 143‐144 CITY ENGINEER (04) 145‐146 SEWER ENTERPRISE (05) 147‐148 HUMAN RESOURCES (06) 149‐150 SUPPORT SERVICES (07) 151‐154 DEVELOPMENT (09) 155‐156 FINANCE (11) 157‐158 REVENUE (12) 159‐160 PUBLIC SAFETY COMMUNICATIONS (19) 161‐162 POLICE (20) 163‐170 FIRE (21) 171‐172 INSPECTION SERVICES (22) INSPECTION SERVICES (22) 173 174 173‐174 WORKERS COMPENSATION (26) 175‐176 MUNICIPAL COURT (30) 177‐180 PUBLIC WORKS (40) 181‐182 FLEET SERVICES (45) 183‐184 PARKS & RECREATION (50) 185‐188 LIBRARY (60) 189‐192 HEALTH & WELFARE (70) 193‐194 OTHER DEPARTMENTS (75) 195‐196 DEBT SERVICE (80) 197‐198 BOARD OF EDUCATION (85) 199‐200 PROPERTY & CASUALTY (87) 201‐202 HEALTH INSURANCE (89) 203‐204 OTHER FINANCING USES (90) 205‐206 Mayor's Oftlce City of Hoover Tony Pelelos Mayor August 26, 2010 Hoover City Council Hoover, Alabama DearCoundlMembeffi: The FY 2011 Budget for the City of Hoover was prepared with the input and support of all departments. We accomplished a budget that met most of their significant needs, although it did not grant them all of their requests. We undertook a very conservative approach to revenue projections that resulted in an approximate $1.6 million increase over the FY 2010 budgeted general fund revenues, but is less than what we now antidpate collecting in FY 2010. Our general fund operating expenditure increases are within this $1.6 million increase. In order to reward our dty employees and their commitment to providing our dtizens quality service, step increases will be reinstated. I am also requesting that the City move forward with our education incentive program for the FY 2011 budget year. Furthermore, I am recommending that all health insurance increases be absorbed by the City and not passed on to the current employees. Even with these personnel expenditure increases, the overall increase above the FY 2010 original bUdget is only $94,199. Due to the fragile nature of the economy, we will revisit these salary and benefit increases each fiscal year. This budget also includes carryover allocations for various capital projects and a small number of new ones. Some of this is earmarked for replacement equipment, inclUding a fire pumper and police vehicles, as well as additional road projects and improvements to our technology infrastructure. Finally, I would like to thank the City Coundl members for your time in fadlitating this budget process. 100 Municipal Lane. Hoover, Alabama 35216-5503 • Telephone (205) 444-7510 • Fax (205) 444-7723 1 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 2 of 206 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), except those that end in 98 objects: • Real property acquisition (Land) (71-99); ROW (71-98) and not capitalized since it is included in the value of a road; • 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 less than or equal to $50,000 (4310/6110); • Demolition of existing facilities (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 bridge, drainage system, or sewer structure, etc.) (79-99); Roadways (79-98) are not capitalized since it is included in the value of a road; • 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) – All of these now require council approval. We use MISCDR for general budget allocations until the project is defined/approved and then we set up a new MD???? 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 206 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 71 (Land), 73 (Improvements to Buildings), 78 (Improvements Other Than Buildings), or 79 (Infrastructure Improvements), and should also be budgeted in the appropriate department’s operating budget. Effective August 1, 2008, the bid law is now $15,000 (previously $7,500) and the City’s internal 3 quote policy is $5,000 to $14,999 (previously $3,000 to $7,499). Dividing contracts and/or requisitions into parts to avoid competitive bidding is forbidden. 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/projects 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. The actual new purchase of software should get the project code SOFNEW. If the item has recurring costs over multiple years, such as renewals, etc., then the renewals should attach the project code SOFLIC. SOFMIC will no longer be used. In general, all software items are budgeted in Fund 117 – Support Services Fund (with the exception of the Library and the use of Police drug funds). Other than grants and projects that are already set up as needed by departments, other items that need to be delineated by project code are below: 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 - DIGCAM project – These can now be purchased from departmental budgets and do not have to go through the MIS department, but the project code should still be used. 4. Guns – GUNS and Ammunition - AMMO 5. Printer maintenance program through Berney – PRINT 6. Various phone equipment and devices in Fund 117 - DEVICE 4 of 206 FUND DESCRIPTIONS FY 2011 FUND FUND NAME 101 110 111 112 113 GENERAL FUND LIBRARY FUND LIBRARY ACTIVITY FUND PARKS & RECREATION FUND JEFFCO GRANT/P&R SOCCER FUND 114 115 117 119 120 150 178 199 201 202 211 212 213 215 217 218 219 220 230 235 240 250 251 253 254 255 260 261 262 263 PARKS & RECREATION ACTIVITY FUND FLEET FUND SUPPORT SERVICES FUND BUILDING SERVICES FUND RISK MANAGEMENT FUND NEW HORIZONS ENGINEERING ‐ 280/459 FUND PUBLIC ASSISTANCE FUND E911 FUND WIRELESS E911 FUND 7 CENT GAS TAX FUND 4&5 CENT GAS TAX FUND JEFFCO ROAD TAX FUND COURT/CORRECTIONS FUND COURT TRAINING FUND COURT TRAINING FUND COURT REFERRAL OFFICER FUND DRUG COURT 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 FUND BRPC HIGHWAY SAFETY GRANT FUND SCHOOL SERVICES (DARE) FUND DRUG ENFORCEMENT FUND ‐ STATE DRUG ENFORCEMENT FUND ‐ FEDERAL ‐ DOJ DRUG ENFORCEMENT FUND ‐ FEDERAL ‐ TREASURY GENERAL INFORMATION Resources not legally required or by sound financial management to be accounted for in another fund; FY 2003 converted to fund 110 and changed to general fund from a component unit fund; FY 2004 converted from fund 410; These funds are controlled by the library and do not run through the city's financial system (hte) other than monthly postings of activity; FY 2003 converted to fund 112 and changed to general fund from a 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 fund 150; At one point they had this separate like fund 111, but we brought them under the city financial system; Accounts for all fleet related activities other than capital project or grant related items; Accounts for all support service related activities other than capital project or grant related items; Accounts for all building service related activities other than capital project or grant related items; Accounts for all risk management related activities; In fy 2007, a workers comp isf was created; In fy 2008 a property & casualty isf was created; This fund now accounts for the property & casualty billing and administration of risk mgmt; These funds are controlled by new horizons and do not run through the city's financial system (hte) other than monthly postings of activity; Separated from fund 114 in fy 2006; Fy 2003 converted from fund 278; Ended in fy 2003; Created for disasters and other events that come up before an amendment can be done (i.e. hurricanes) to prevent charges to departmental budgets and for tracking purposes; 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 vehicles license tag tax & 2 cent state inspection fee; Restricted expenditures related to contruction, improvement and maintenance of highways, bridges & streets. Restricted to expenditures for the construction, renovation, rehabilitation, and resurfacing of city streets and bridges; In FY 2009, this funding source was reallocated from the General Fund to a Special Revenue Fund due to its expenditure restrictions on roadway maintenance; Received from additional court costs and fees on certain municipal cases; Restricted for operation and maintenance of the municipal jail or any court complex; $2 per fine for education money; FY 2003 converted from general fund to special revenue fund; $2 per fine for education money; FY 2003 converted from general fund to special revenue fund; Began in fy 2005; Contract with the Administrative Director of Courts ‐ State of Alabama to provide evaluation, referral and placement of defendants via case management plans, monitoring, and drug testing services; State and Federal Grants; FY 2011 began; Defensive driving receipts; FY 2003 converted from general fund to special revenue fund; Received from HUD to carry out a wide range of community development activities; FY 2001 converted from a general fund to special revenue fund; Created in fy 2004 for various grants/other funds that are one time expenditures in order to consolidate and to prevent them hitting regular departmental budgets; From the state for new/restored municipal capital improvements, such as municipal buildings, streets, and 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 in 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 in fy 2006; FY 2003 converted from general fund to special revenue fund; Ended in fy 2005; FY 2003 converted from general fund to special revenue fund; Ended in fy 2007; Funds confiscated in drug enforcement activities ‐ restricted for enforcement only; FY 2003 converted from fund 720; In fy 2007, this fund was separated into 2 funds, 1) department of justice awards and 2) department of treasury awards; In fy 2007, this fund was created from fund 262 being split into 2 funds, 1) department of justice awards and 2) department of treasury awards; 5 of 206 FUND DESCRIPTIONS FY 2011 FUND FUND NAME 303 304 305 307 308 309 370 371 372 373 374 375 376 379 380 390 501 502 503 510 515 520 552 560 CAPITAL PROJECTS FUND GOW 2010 REFUNDING PROCEEDS 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 PROPERTY & CASUALTY ISF RE‐DEVELOPMENT FUND GENERAL INFORMATION Budget transfers from the general fund for the acquisition or construction of major capital projects; Refunding warrant proceeds; Began in FY 2011 Ended in fy 2008; Capital expenditures from the proceeds of long term borrowing in fy 2003; Ended in fy 2002; Capital expenditures from the proceeds of long term borrowing in fy 1999 and anticipated borrowing in fy 2000; Ended in fy 2002; Capital expenditures from the proceeds of long term borrowings for the expansion of the library; Estimated to be borrowed in fy 2007; Did not borrow the 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 in fy 2005; FY 2001 converted from a general fund to a capital projects fund; FY 2003 converted from fund 271; Ended in fy 2001; 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 in fy 2004; FY 2001 converted from a general fund to a capital projects fund; FY 2003 converted from fund 274; Ended in fy 2000; 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; FY 2003 converted from fund 276; Ended in fy 2002; FY 2001 converted from a general fund to a capital projects fund; FY 2003 converted from fund 279; Ended in fy 2001; Fy 2003 converted from fund 280; Ended in fy 2003; 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 funds in fy 2007 but money arrived in november 2007 (fy 2008); Accounts for the repairs and maintenance of all city vehicles ‐ Internal Service Fund; Ended in fy 2001; Created in fy 2007; Created in fy 2007; Created in fy 2008; Created in mid‐FY 2011 for the purchase of Hartwood Apartments and any other like ventures in the future; GENERAL FUNDS (100'S) SPECIAL REVENUE FUNDS (200'S) SPECIAL REVENUE FUNDS (200'S) CAPITAL PROJECT FUNDS (300'S) COMPONENT UNIT FUNDS (NONE) PROPRIETARY FUNDS (500'S) FUNDS CLOSED OUT 6 of 206 DEPARTMENTS/DIVISIONS ‐ FY 2011 DEPT 01 01 01 02 02 02 02 03 03 03 03 04 04 04 05 05 05 05 06 07 07 07 07 09 11 12 19 20 20 20 20 20 20 20 20 20 20 20 20 20 20 20 21 21 22 22 22 30 30 40 40 40 40 45 45 50 50 50 50 50 50 60 60 60 60 60 60 60 70 75 75 75 75 80 84 85 90 90 90 90 DEPT NAME ADMIN. SUPPORT ADMIN. SUPPORT ADMIN. SUPPORT COUNCIL SUPPORT COUNCIL SUPPORT COUNCIL SUPPORT COUNCIL SUPPORT OPERATIONS OPERATIONS OPERATIONS OPERATIONS CITY ENGINEER CITY ENGINEER CITY ENGINEER SEWER ENTERPRISE SEWER ENTERPRISE SEWER ENTERPRISE SEWER ENTERPRISE HUMAN RESOURCES SUPPORT SERVICES SUPPORT SERVICES SUPPORT SERVICES SUPPORT SERVICES DEVELOPMENT FINANCE REVENUE PUBLIC SAFETY POLICE POLICE POLICE POLICE POLICE POLICE POLICE POLICE POLICE POLICE POLICE POLICE POLICE POLICE POLICE FIRE FIRE INSPECTIONS INSPECTIONS INSPECTIONS MUNICIPAL COURT MUNICIPAL COURT PUBLIC WORKS PUBLIC WORKS PUBLIC WORKS PUBLIC WORKS FLEET SERVICES FLEET SERVICES PARKS & REC. PARKS & REC. PARKS & REC. PARKS & REC. PARKS & REC. PARKS & REC. LIBRARY LIBRARY LIBRARY LIBRARY LIBRARY LIBRARY LIBRARY HEALTH & WELFARE OTHER DEPARTMENTS OTHER DEPARTMENTS OTHER DEPARTMENTS OTHER DEPARTMENTS DEBT SERVICE REVENUE REBATE BOARD OF ED OTHER FIN USES OTHER FIN USES OTHER FIN USES OTHER FIN USES DIVISION 10 25 80 10 20 30 40 10 15 20 55 10 20 40 10 20 40 50 10 10 20 60 70 10 10 20 10 10 15 20 25 30 35 40 41 46 50 51 55 60 65 75 10 20 10 20 30 10 20 20 30 50 80 60 61 20 40 41 42 50 70 10 20 30 40 50 60 70 10 10 20 30 40 30 10 85 90 92 93 94 DIVISION NAME MAYOR'S OFFICE INTERNAL AUDITOR BEAUTIFICATION BOARD CITY COUNCIL CITY CLERK CIVIC/CONTRACT SERVICES ELECTION EXPENSES SUPPORT STAFF RISK MANAGEMENT ADMIN RISK MANAGEMENT OPER EVENTS MANAGEMENT ADMINISTRATION LANDSCAPE/TREE CONSERVATION STORMWATER MGMT INVERNESS RIVERCHASE TRACE CROSSINGS SOUTHLAKE HUMAN RESOURCES ADMIN ADMINISTRATION TECHNOLOGY OPERATIONS DESKTOP SERVICES APPLICATION SERVICES/GIS DEVELOPMENT ADMIN ADMINISTRATION OPERATIONS DISPATCH ADMINISTRATION EXPLOSIVE ORDNANCE DISPOSAL CRIMINAL INVESTIGATIONS SPECIAL INVESTIGATIONS CRIME LAB & TECH SERVICES SPECIAL RESPONSE TEAM PATROL (NOW INCLUDES TRAFFIC) K‐9 UNIT INTERSTATE CRIME ENF (ICE) SCHOOL SERVICES UNIT JUVENULE/DOMESTIC VIOLENCE INV TRAINING CUSTODY OF PRISONERS CUSTODY OF PRISONERS WARRANTS RECORDS/RESEARCH ADMINISTRATION OPERATIONS ADMINISTRATION OPERATIONS PROPERTY MAINTENANCE CODE OPERATIONS ANIMAL CONTROL STREETS, SEWER, & DRAINAGE BUILDING SERVICES SOLID WASTE CHRISTMAS FLEET ADMINISTRATION SALE OF FUEL RECREATION CENTER OPERATIONS PARK MAINTENANCE OPERATIONS REGIONS PARK ALDRIDGE GARDENS SENIOR CENTER PARK RANGERS ADMINISTRATION ADULT SERVICES YOUTH REFERENCE CIRCULATION ARTS TECHNOLOGY HEALTH & WELFARE SERVICES ALA DEPT OF REVENUE RED CROSS NCFI NASRO ‐ NATL ASSOC OF SRO'S MUNI BONDS & WARRANTS REVENUE REBATE BOARD OF EDUCATION TRANSFERS OUT WARRANT ISSUE DISCOUNT DEFEASANCE OF DEBT SPECIAL ITEMS ACTIVITY 410 410 410 411 411 411 411 411 413 413 413 413 413 413 413 413 413 413 416 416 416 416 416 412 414 414 415 415 415 415 415 415 415 415 415 415 415 415 415 415 415 415 415 415 413 413 413 415 415 413 413 413 413 413 413 419 419 419 419 419 419 418 418 418 418 418 418 418 413 417 417 417 417 417 417 417 491 493 493 493 7 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 8 of 206 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 (2011) 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 206 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: Range type: From (For most users put all To (For most users put all R = Range and S = Selective Fiscal year range: For annual budget information define the from and to as the current fiscal year (2011 on both) 000-0000-000-30-00 999-9999-999-79-99 S (Most users use S with above definition to avoid payroll & other accts) 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) 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 206 STEP INCREASES FUND 201/202 30% TRANSFER FUND 101 2040/220 2040 $450,000 THE CITY OF HOOVER, ALABAMA SUMMARY ‐ ALL FUNDS FY 2011 ORIGINAL BUDGET TOTAL GOVT FUNDS GENERAL FUND SPECIAL REVENUE CAPITAL PROJECTS PROPRIETARY FUNDS* TOTAL ALL FUNDS REVENUES TAXES LICENSES AND PERMITS INTERGOVERNMENTAL FINES AND FORFEITS CHARGES FOR SERVICES INVESTMENT INCOME RENTS AND ROYALTIES CONTRIBUTIONS & REIMBURSEMENTS OTHER TOTAL REVENUES $ 72,055,000 6,471,600 28,218,006 3,249,000 3,374,400 1,250,300 825,434 2,560,379 129,200 118,133,319 $ 72,055,000 6,471,600 1,271,500 1,884,000 1,442,200 1,250,300 825,434 951,187 129,200 86,280,421 $ ‐ ‐ 4,156,184 1,365,000 1,932,200 ‐ ‐ 4,429 ‐ 7,457,813 $ ‐ ‐ 22,790,322 ‐ ‐ ‐ ‐ 1,604,763 ‐ 24,395,085 $ ‐ ‐ ‐ ‐ 14,572,114 ‐ ‐ ‐ ‐ 14,572,114 $ 72,055,000 6,471,600 28,218,006 3,249,000 17,946,514 1,250,300 825,434 2,560,379 129,200 132,705,433 EXPENSES PERSONNEL OPERATING CAPITAL DEBT SERVICE EDUCATION DEPRECIATION OTHER USES ‐ INTERNAL SVC FUNDS TOTAL EXPENDITURES 56,874,973 28,086,289 38,137,377 9,026,681 2,000,000 ‐ ‐ 134,125,320 50,832,074 23,179,547 426,000 9,026,681 2,000,000 ‐ ‐ 85,464,302 6,042,899 3,704,285 1,390,649 ‐ ‐ ‐ ‐ 11,137,833 ‐ 1,202,457 36,320,728 ‐ ‐ ‐ ‐ 37,523,185 121,780 3,190,541 1,771,257 1,315,779 ‐ 2,000,000 8,701,005 17,100,362 56,996,753 31,276,830 39,908,634 10,342,460 2,000,000 2,000,000 8,701,005 151,225,682 (15,992,001) 816,119 (3,680,020) (13,128,100) (2,528,248) (18,520,249) OTHER FINANCING SOURCES (USES) TRANSFERS NET GENERAL FUND ONLY TRANSFERS IN TRANSFERS OUT BOND PROCEEDS BOND USES TOTAL OTHER FINANCING SOURCES (USES) ‐ 5,827,253 (5,827,253) ‐ ‐ ‐ ‐ 2,505,567 (3,321,686) ‐ ‐ (816,119) ‐ 2,700,740 ‐ ‐ ‐ 2,700,740 ‐ 620,946 (2,505,567) ‐ ‐ (1,884,621) ‐ ‐ ‐ 16,753 ‐ 16,753 ‐ 5,827,253 (5,827,253) 16,753 ‐ 16,753 SPECIAL ITEMS REVENUES EXPENDITURES TOTAL SPECIAL ITEMS ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ (15,992,001) ‐ (979,280) (15,012,721) (2,486,095) (18,478,096) FUND BALANCES, BEGINNING OF YEAR 59,210,108 31,400,000 8,462,031 19,348,077 3,479,317 62,689,426 FUND BALANCES, END OF YEAR $ 43,218,107 $ 31,400,000 $ 7,482,751 $ 4,335,356 $ 993,222 $ 44,211,330 EXCESS (DEFICIENCY) OF REVENUES OVER (UNDER) EXPENDITURES NET CHANGE IN FUND BALANCES H:\Budget ‐ FY 2011\FY 2011 ORIGINAL BUDGET SUMMARY *Net change removes capital expense items in sewer funds 11 of 206 THE CITY OF HOOVER, ALABAMA SUMMARY ‐ GENERAL FUNDS FY 2011 ORIGINAL BUDGET TOTAL 101 GENERAL FUND 110 LIBRARY FUND 111 LIBRARY ACTIVITIES 112 PARKS & RECREATION 114 P & R ACTIVITY 115 FLEET FUND 117 SUPPORT SERVICES 119 BUILDING SERVICES 120 RISK MGMT 150 NEW HORIZONS REVENUES TAXES LICENSES AND PERMITS INTERGOVERNMENTAL FINES AND FORFEITS CHARGES FOR SERVICES INVESTMENT INCOME RENTS AND ROYALTIES CONTRIBUTIONS & REIMBURSEMENTS OTHER TOTAL REVENUES $ 72,055,000 6,471,600 1,271,500 1,884,000 1,442,200 1,250,300 825,434 951,187 129,200 86,280,421 $ 72,055,000 6,471,600 1,241,500 1,689,000 325,200 1,250,000 164,500 673,741 105,000 83,975,541 $ ‐ ‐ ‐ ‐ 28,000 ‐ ‐ ‐ ‐ 28,000 $ ‐ ‐ 30,000 195,000 20,000 300 105,500 62,800 ‐ 413,600 $ ‐ ‐ ‐ ‐ 675,000 ‐ 362,752 ‐ ‐ 1,037,752 $ ‐ ‐ ‐ ‐ 344,000 ‐ ‐ ‐ 24,200 368,200 $ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 12,000 ‐ 12,000 $ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ $ ‐ ‐ ‐ ‐ ‐ ‐ 192,682 202,646 ‐ 395,328 $ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ $ ‐ ‐ ‐ ‐ 50,000 ‐ ‐ ‐ ‐ 50,000 EXPENDITURES PERSONNEL OPERATING CAPITAL DEBT SERVICE EDUCATION DEPRECIATION OTHER USES ‐ INTERNAL SVC FUNDS TOTAL EXPENDITURES 50,832,074 23,179,547 426,000 9,026,681 2,000,000 ‐ ‐ 85,464,302 39,537,550 11,076,233 68,000 9,026,681 2,000,000 ‐ ‐ 61,708,464 3,964,926 950,000 ‐ ‐ ‐ ‐ ‐ 4,914,926 ‐ 400,000 ‐ ‐ ‐ ‐ ‐ 400,000 4,521,469 878,582 ‐ ‐ ‐ ‐ ‐ 5,400,051 ‐ 436,700 ‐ ‐ ‐ ‐ ‐ 436,700 543,118 1,450,538 318,000 ‐ ‐ ‐ ‐ 2,311,656 865,581 2,376,910 40,000 ‐ ‐ ‐ ‐ 3,282,491 1,169,903 4,093,384 ‐ ‐ ‐ ‐ ‐ 5,263,287 229,527 1,467,200 ‐ ‐ ‐ ‐ ‐ 1,696,727 ‐ 50,000 ‐ ‐ ‐ ‐ ‐ 50,000 816,119 22,267,077 (4,886,926) 13,600 (4,362,299) (68,500) (2,299,656) (3,282,491) (4,867,959) (1,696,727) ‐ OTHER FINANCING SOURCES (USES) TRANSFERS NET GENERAL FUND ONLY TRANSFERS IN TRANSFERS OUT BOND PROCEEDS BOND USES TOTAL OTHER FINANCING SOURCES (USES) ‐ 2,505,567 (3,321,686) ‐ ‐ (816,119) (21,461,058) 2,505,567 (3,321,686) ‐ ‐ (22,277,177) 4,886,926 ‐ ‐ ‐ ‐ 4,886,926 65,000 ‐ ‐ ‐ ‐ 65,000 4,362,299 ‐ ‐ ‐ ‐ 4,362,299 ‐ ‐ ‐ ‐ ‐ ‐ 2,299,656 ‐ ‐ ‐ ‐ 2,299,656 3,282,491 ‐ ‐ ‐ ‐ 3,282,491 4,867,959 ‐ ‐ ‐ ‐ 4,867,959 1,696,727 ‐ ‐ ‐ ‐ 1,696,727 ‐ ‐ ‐ ‐ ‐ ‐ SPECIAL ITEMS REVENUES EXPENDITURES TOTAL SPECIAL ITEMS ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ (10,100) ‐ 78,600 ‐ (68,500) ‐ ‐ ‐ ‐ ‐ FUND BALANCES, BEGINNING OF YEAR 31,400,000 30,518,728 ‐ 193,636 ‐ 651,789 ‐ ‐ ‐ ‐ 35,846 FUND BALANCES, END OF YEAR $ 31,400,000 $ 30,508,628 $ ‐ $ 272,236 $ ‐ $ 583,289 $ ‐ $ ‐ $ ‐ $ ‐ $ 35,846 EXCESS (DEFICIENCY) OF REVENUES OVER (UNDER) EXPENDITURES NET CHANGE IN FUND BALANCES 12 of 206 THE CITY OF HOOVER, ALABAMA SUMMARY ‐ SPECIAL REVENUE FUNDS FY 2011 ORIGINAL BUDGET TOTAL 201 E911 FUND 202 WIRELESS E911 211 7 CENT GAS TAX 212 4&5 CENT GAS TAX 213 JEFFCO ROAD TAX 215 COURT AND CORRECTIONS 217 COURT TRAINING 218 CRO PROGRAM 220 TRAFFIC SAFETY 230 CDBG FUND 235 GENERAL GRANTS 240 ALABAMA TRUST 261 DRUG ENF ALABAMA 262 DRUG ENF FEDERAL DOJ 263 DRUG ENF FEDERAL DOT REVENUES TAXES LICENSES AND PERMITS INTERGOVERNMENTAL FINES AND FORFEITS CHARGES FOR SERVICES INVESTMENT INCOME RENTS AND ROYALTIES CONTRIBUTIONS & REIMBURSEMENTS OTHER TOTAL REVENUES $ ‐ ‐ 4,156,184 1,365,000 1,932,200 ‐ ‐ 4,429 ‐ 7,457,813 $ ‐ ‐ ‐ ‐ 1,550,000 ‐ ‐ ‐ ‐ 1,550,000 $ ‐ ‐ ‐ ‐ 300,000 ‐ ‐ ‐ ‐ 300,000 $ ‐ ‐ 813,000 ‐ ‐ ‐ ‐ ‐ ‐ 813,000 $ ‐ ‐ 500,000 ‐ ‐ ‐ ‐ ‐ ‐ 500,000 $ ‐ ‐ 975,000 ‐ ‐ ‐ ‐ ‐ ‐ 975,000 $ ‐ ‐ ‐ 957,000 10,000 ‐ ‐ ‐ ‐ 967,000 $ ‐ ‐ ‐ 38,000 ‐ ‐ ‐ ‐ ‐ 38,000 $ ‐ ‐ 74,667 ‐ 70,000 ‐ ‐ ‐ ‐ 144,667 $ ‐ ‐ ‐ 370,000 ‐ ‐ ‐ ‐ ‐ 370,000 $ ‐ ‐ 324,585 ‐ ‐ ‐ ‐ ‐ ‐ 324,585 $ ‐ ‐ 1,043,932 ‐ 2,200 ‐ ‐ 4,429 ‐ 1,050,561 $ ‐ ‐ 425,000 ‐ ‐ ‐ ‐ ‐ ‐ 425,000 $ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ $ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ $ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ EXPENDITURES PERSONNEL OPERATING CAPITAL DEBT SERVICE EDUCATION DEPRECIATION OTHER USES ‐ INTERNAL SVC FUNDS TOTAL EXPENDITURES 6,042,899 3,704,285 1,390,649 ‐ ‐ ‐ ‐ 11,137,833 1,473,601 115,797 ‐ ‐ ‐ ‐ ‐ 1,589,398 631,542 ‐ ‐ ‐ ‐ ‐ ‐ 631,542 ‐ 175,000 965,048 ‐ ‐ ‐ ‐ 1,140,048 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 1,500,000 ‐ ‐ ‐ ‐ ‐ 1,500,000 2,943,046 352,650 ‐ ‐ ‐ ‐ ‐ 3,295,696 ‐ 208,460 ‐ ‐ ‐ ‐ ‐ 208,460 80,893 58,380 ‐ ‐ ‐ ‐ ‐ 139,273 461,946 204,700 ‐ ‐ ‐ ‐ ‐ 666,646 ‐ 130,634 193,951 ‐ ‐ ‐ ‐ 324,585 451,871 955,336 26,829 ‐ ‐ ‐ ‐ 1,434,036 ‐ ‐ 15,377 ‐ ‐ ‐ ‐ 15,377 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 3,328 189,444 ‐ ‐ ‐ ‐ 192,772 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ (3,680,020) (39,398) (331,542) (327,048) 500,000 (525,000) (2,328,696) (170,460) 5,394 (296,646) ‐ (383,475) 409,623 ‐ (192,772) ‐ OTHER FINANCING SOURCES (USES) TRANSFERS NET GENERAL FUND ONLY TRANSFERS IN TRANSFERS OUT BOND PROCEEDS BOND USES TOTAL OTHER FINANCING SOURCES (USES) ‐ 2,700,740 ‐ ‐ ‐ 2,700,740 ‐ 39,398 ‐ ‐ ‐ 39,398 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 2,328,696 ‐ ‐ ‐ 2,328,696 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 332,646 ‐ ‐ ‐ 332,646 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ SPECIAL ITEMS REVENUES EXPENDITURES TOTAL SPECIAL ITEMS ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ NET CHANGE IN FUND BALANCES (979,280) ‐ (331,542) (327,048) 500,000 (525,000) ‐ (170,460) 5,394 (296,646) ‐ (50,829) 409,623 ‐ (192,772) ‐ FUND BALANCES, BEGINNING OF YEAR 8,462,031 ‐ 460,380 1,412,181 780,984 1,345,503 ‐ 171,822 41,437 1,127,420 ‐ 55,603 1,910,575 171,620 627,993 356,512 FUND BALANCES, END OF YEAR $ 7,482,751 $ ‐ $ 128,838 $ 1,085,133 $ 1,280,984 $ 820,503 $ ‐ $ 1,362 $ 46,831 $ 830,774 $ ‐ $ 4,774.06 $ 2,320,198 $ 171,620 $ 435,221 $ 356,512 EXCESS (DEFICIENCY) OF REVENUES OVER (UNDER) EXPENDITURES 13 of 206 THE CITY OF HOOVER, ALABAMA SUMMARY ‐ CAPITAL PROJECT FUNDS FY 2011 ORIGINAL BUDGET TOTAL 303 CAPITAL PROJECTS 372 ENGINEERING TOPICS III 375 ENGINEERING TOPICS VI 390 ENGINEERING ALDOT REVENUES TAXES LICENSES AND PERMITS INTERGOVERNMENTAL FINES AND FORFEITS CHARGES FOR SERVICES INVESTMENT INCOME RENTS AND ROYALTIES CONTRIBUTIONS & REIMBURSEMENTS OTHER TOTAL REVENUES $ ‐ ‐ 22,790,322 ‐ ‐ ‐ ‐ 1,604,763 ‐ 24,395,085 $ ‐ ‐ 120,500 ‐ ‐ ‐ ‐ 1,604,763 ‐ 1,725,263 $ ‐ ‐ 234,307 ‐ ‐ ‐ ‐ ‐ ‐ 234,307 $ ‐ ‐ 1,524,214 ‐ ‐ ‐ ‐ ‐ ‐ 1,524,214 $ ‐ ‐ 20,911,301 ‐ ‐ ‐ ‐ ‐ ‐ 20,911,301 EXPENDITURES PERSONNEL OPERATING CAPITAL DEBT SERVICE EDUCATION DEPRECIATION OTHER USES ‐ INTERNAL SVC FUNDS TOTAL EXPENDITURES ‐ 1,202,457 36,320,728 ‐ ‐ ‐ ‐ 37,523,185 ‐ 1,202,457 13,650,906 ‐ ‐ ‐ ‐ 14,853,363 ‐ ‐ 234,307 ‐ ‐ ‐ ‐ 234,307 ‐ ‐ 1,524,214 ‐ ‐ ‐ ‐ 1,524,214 ‐ ‐ 20,911,301 ‐ ‐ ‐ ‐ 20,911,301 (13,128,100) (13,128,100) ‐ ‐ ‐ OTHER FINANCING SOURCES (USES) TRANSFERS NET GENERAL FUND ONLY TRANSFERS IN TRANSFERS OUT BOND PROCEEDS BOND USES TOTAL OTHER FINANCING SOURCES (USES) ‐ 620,946 (2,505,567) ‐ ‐ (1,884,621) ‐ 620,946 (2,505,567) ‐ ‐ (1,884,621) ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ SPECIAL ITEMS REVENUES EXPENDITURES TOTAL SPECIAL ITEMS ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ (15,012,721) (15,012,721) ‐ ‐ ‐ FUND BALANCES, BEGINNING OF YEAR 19,348,077 19,348,077 ‐ ‐ ‐ FUND BALANCES, END OF YEAR $ 4,335,356 $ 4,335,356 $ ‐ $ ‐ $ ‐ EXCESS (DEFICIENCY) OF REVENUES OVER (UNDER) EXPENDITURES NET CHANGE IN FUND BALANCES 14 of 206 THE CITY OF HOOVER, ALABAMA SUMMARY ‐ PROPRIETARY FUNDS FY 2011 ORIGINAL BUDGET ALL PROPRIETARY FUNDS 501* SEWER ENTERPRISE 503* GOW 2007A FUND SEWER TOTAL 515 ISF ‐ ACTIVE HEALTH INS 516 ISF ‐ RETIREE HEALTH INS 520 ISF ‐ WORKERS COMP 552 ISF ‐ PROPERTY & CASUALTY ISF TOTAL REVENUES TAXES LICENSES AND PERMITS INTERGOVERNMENTAL FINES AND FORFEITS CHARGES FOR SERVICES INVESTMENT INCOME RENTS AND ROYALTIES CONTRIBUTIONS & REIMBURSEMENTS OTHER TOTAL REVENUES $ ‐ ‐ ‐ ‐ 14,572,114 ‐ ‐ ‐ ‐ 14,572,114 $ ‐ ‐ ‐ ‐ 4,212,000 ‐ ‐ ‐ ‐ 4,212,000 $ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ $ ‐ ‐ ‐ ‐ 4,212,000 ‐ ‐ ‐ ‐ 4,212,000 $ ‐ ‐ ‐ ‐ 7,959,827 ‐ ‐ ‐ ‐ 7,959,827 $ ‐ ‐ ‐ ‐ 404,856 ‐ ‐ ‐ ‐ 404,856 $ ‐ ‐ ‐ ‐ 539,536 ‐ ‐ ‐ ‐ 539,536 $ ‐ ‐ ‐ ‐ 1,455,895 ‐ ‐ ‐ ‐ 1,455,895 $ ‐ ‐ ‐ ‐ 10,360,114 ‐ ‐ ‐ ‐ 10,360,114 EXPENSES PERSONNEL OPERATING CAPITAL DEBT SERVICE EDUCATION DEPRECIATION OTHER USES ‐ INTERNAL SVC FUNDS TOTAL EXPENDITURES 121,780 3,190,541 1,771,257 1,315,779 ‐ 2,000,000 8,701,005 17,100,362 121,780 2,221,194 25,400 1,315,779 ‐ 2,000,000 ‐ 5,684,153 ‐ 17,469 1,745,857 ‐ ‐ ‐ ‐ 1,763,326 121,780 2,238,663 1,771,257 1,315,779 ‐ 2,000,000 ‐ 7,447,479 ‐ 60,000 ‐ ‐ ‐ ‐ 7,349,063 7,409,063 ‐ ‐ ‐ ‐ ‐ ‐ 376,279 376,279 ‐ ‐ ‐ ‐ ‐ ‐ 544,000 544,000 ‐ 891,878 ‐ ‐ ‐ ‐ 431,663 1,323,541 ‐ 951,878 ‐ ‐ ‐ ‐ 8,701,005 9,652,883 (2,528,248) (1,472,153) (1,763,326) (3,235,479) 550,764 28,577 (4,464) 132,354 707,231 OTHER FINANCING SOURCES (USES) TRANSFERS NET GENERAL FUND ONLY TRANSFERS IN TRANSFERS OUT BOND PROCEEDS BOND USES TOTAL OTHER FINANCING SOURCES (USES) ‐ ‐ ‐ 16,753 ‐ 16,753 ‐ ‐ ‐ 16,753 ‐ 16,753 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 16,753 ‐ 16,753 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ SPECIAL ITEMS REVENUES EXPENDITURES TOTAL SPECIAL ITEMS ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ (2,486,095) (1,430,000) (1,763,326) (3,193,326) 550,764 28,577 (4,464) 132,354 707,231 RETAINED EARNINGS, BEGINNING OF YEAR 3,479,317 (775,540) 1,901,692 1,126,152 1,513,570 (264,413) 528,572 575,436 2,353,165 RETAINED EARNINGS, END OF YEAR $ 993,222 $ (2,205,540) $ 138,366 $ (2,067,174) $ 2,064,334 $ (235,836) $ 524,108 $ 707,790 $ 3,060,396 EXCESS (DEFICIENCY) OF REVENUES OVER (UNDER) EXPENDITURES NET CHANGE IN RETAINED EARNINGS *Net change removes capital expense items in sewer fund 501 15 of 206 FY 2011 ORIGINAL BUDGET COMPARED TO FY 2009 ACTUAL AND FY 2010 UNAUDITED ACTUAL GENERAL FUND OPERATING AND RECURRING CAPITAL BY ELEMENT CATEGORY AS OF 1‐13‐2011 DESCRIPTION 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 FY 2009 ACTUAL FY 2010 UNAUDITED FY 2011 ORIGINAL BUDGET Garbage General supplies, software licenses, postage, computers, security Utilities Repair and maintenance of buildings, equipment, grounds Property and casualty claims Communication services Fuel Rental services Accounting & financial services Legal services Various management services, consultants, testing expenses Books, periodicals, magazines, subscriptions Fleet parts Civic contributions Library activity account Architectural, planning & engineering services (not capitalized) Cleaning services Membership dues: city and individuals Cultural and recreational services Permits and fees, landfill, data processing, other Travel expenses Other technical services Advertising Printing and binding Training registration fees Medical & nutrition services Health and welfare $ 5,655,583 2,762,915 2,535,290 1,284,035 1,340,957 874,326 718,908 525,632 566,459 588,035 364,005 455,813 442,899 393,870 540,964 366,974 227,536 231,142 194,386 166,708 90,458 122,387 100,389 108,566 59,683 69,323 72,399 $ 5,805,780 2,938,502 2,504,483 1,309,259 1,345,895 850,073 852,376 528,543 431,456 439,799 482,905 474,882 482,800 402,370 522,759 344,565 218,590 193,431 135,831 163,158 111,888 112,495 95,050 104,419 53,695 59,664 72,102 $ 6,054,043 3,218,972 2,891,540 1,652,895 1,455,895 953,253 800,000 603,639 582,950 556,500 505,967 483,101 480,898 410,870 400,000 385,300 291,391 228,095 194,300 173,250 161,794 141,600 126,278 124,401 105,600 117,260 79,755 Total operating $ 20,859,644 $ 21,036,769 $ 23,179,547 Items 1‐5 % of total operating budget for general fund $ 13,578,780 65.10% $ 13,903,919 66.09% $ 15,273,345 65.89% Items 1‐10 % of total operating budget for general fund $ 16,852,140 80.79% $ 17,006,166 80.84% $ 18,769,687 80.98% Items 1‐15 % of total operating budget for general fund $ 19,049,691 91.32% $ 19,371,883 92.09% $ 21,050,523 90.82% Recurring capital* Operating from above $ 463,420 20,859,644 $ 21,323,064 $ 51,064 21,036,769 $ 21,087,833 $ 426,000 23,179,547 $ 23,605,547 H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE actuals fy 2011 summary 1/13/2011 3:14 PM 16 of 206 THE CITY OF HOOVER, ALABAMA GENERAL FUND ONLY AS OF 1‐12‐2011 FY 2006 ACTUAL FY 2007 ACTUAL FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 UNAUDITED FY 2011 ORIGINAL BUDGET PROJECTED REVENUE % Increase in Revenue 93,930,433 7.16% 96,390,050 2.62% 95,696,972 ‐0.72% 87,731,082 ‐8.32% 89,679,489 2.22% 86,280,421 ‐3.79% BOND PROCEEDS, NET SPECIAL ITEMS, SOURCE (USE) ‐ (1,458,303) ‐ (72,877) ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ LESS: DEBT SERVICE 9,201,945 9,163,640 9,141,533 9,159,483 9,025,916 9,026,681 BOARD OF EDUCATION: BUILDING PERMITS OTHER CONTRIBUTION 1,261,500 5,838,500 1,171,500 6,328,500 1,317,000 6,183,000 343,500 1,656,500 502,500 1,497,500 375,000 1,625,000 TOTAL TO BD OF EDUCATION 7,100,000 7,500,000 7,500,000 2,000,000 2,000,000 2,000,000 AMOUNT REMAINING FOR EXPENDITURES 76,170,185 79,653,533 79,055,439 76,571,600 78,653,573 75,253,740 DEPARTMENTAL EXPENDITURES PERSONNEL EXPENDITURES OPERATING EXPENDITURES RECURRING CAPITAL EXPENDITURES NON‐RECURRING CAPITAL EXPENDITURES 44,649,937 19,842,369 969,829 , , 8,743,356 45,814,402 20,631,818 1,798,892 , , 8,152,726 48,218,558 22,804,616 984,261 , , 3,198,362 48,989,721 20,859,644 463,420 , , 2,706,509 49,733,656 21,036,769 51,064 , , 6,149,840 50,832,074 23,179,547 426,000 , 620,946 TOTAL DEPARTMENTAL EXPENDITURES 74,205,491 76,397,837 75,205,797 73,019,293 76,971,329 75,058,567 % Increase in departmental expenditures and net transfers out except fund 303 11.94% 6.79% 6.10% ‐2.63% ‐1.85% 3.08% EXCESS REVENUES OVER EXPENDITURES 1,964,694 3,255,696 3,849,643 3,552,307 1,682,244 195,173 TRANSFERS IN (OUT) ‐ EXCEPT 303 (1,395,830) (3,155,696) (3,749,642) (3,452,307) (1,582,244) (195,173) NET REVENUE (EXPENDITURE) 568,863 100,000 100,000 100,000 100,000 ‐ FUND BALANCE BEGINNING OF YEAR 30,431,137 31,000,000 31,100,000 31,200,000 31,300,000 31,400,000 31,000,000 31,100,000 31,200,000 31,300,000 31,400,000 31,400,000 9.59% 2.61% 5.25% 1.60% 1.52% 2.21% 48.58% 47.62% 50.44% 55.90% 55.52% 58.91% (ESTIMATED) ‐ RESERVED & UNRESERVED FUND BALANCE END OF YEAR (ESTIMATED) ‐ RESERVED & UNRESERVED % of payroll increase over prior year % of payroll to expenditures & transfers out excludes special items H:\5 Year Projections\OVERALL\5 year projection for budget USE 5 YEAR PROJECTION - MHJL 17 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 18 of 206 REVENUE BUDGET PROJECTION ‐ SUMMARY FY 2011 ACCOUNT 100 ‐ GENERAL FUND 30 ‐ TAXES 31 ‐ LICENSES & PERMITS 32 ‐ INTERGOVERNMENTAL 33 ‐ FINES & FORFEITURES 34 ‐ CHARGES FOR SERVICES 35 ‐ INVESTMENT INCOME 36 ‐ RENTS & ROYALTIES 37 ‐ CONTRIB & REIMBURSEMENTS 38 ‐ OTHER REVENUE 100 ‐ GENERAL FUND Total FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 UNAUDITED FY 2011 PROJECTION 75,732,812 9,046,084 2,463,309 1,608,963 1,501,939 2,879,949 757,877 1,386,740 319,299 95,696,972 72,211,282 6,229,574 1,351,460 2,041,619 1,507,850 2,219,454 815,932 1,141,824 212,088 87,731,082 74,175,655 6,875,431 1,185,123 1,828,929 1,698,856 1,777,052 879,945 1,041,759 216,739 89,679,489 72,055,000 6,471,600 1,271,500 1,884,000 1,442,200 1,250,300 825,434 951,187 129,200 86,280,421 200 ‐ SPECIAL REVENUE FUND 32 ‐ INTERGOVERNMENTAL 33 ‐ FINES & FORFEITURES 34 ‐ CHARGES FOR SERVICES 35 ‐ INVESTMENT INCOME 37 ‐ CONTRIB & REIMBURSEMENTS 38 ‐ OTHER REVENUE 200 ‐ SPECIAL REVENUE FUND Total 2,518,317 1,208,064 1,083,255 49,848 17,770 570 4,877,825 3,512,872 1,674,426 1,082,454 2,753 5,363 ‐ 6,277,868 3,790,567 1,843,208 1,734,169 960 10,931 ‐ 7,379,835 4,156,184 1,365,000 1,932,200 ‐ 4,429 ‐ 7,457,813 300‐ CAPITAL PROJECTS FUND 32 ‐ INTERGOVERNMENTAL 32 INTERGOVERNMENTAL 33 ‐ FINES & FORFEITURES 36 ‐ RENTS & ROYALTIES 37 ‐ CONTRIB & REIMBURSEMENTS 38 ‐ OTHER REVENUE 300‐ CAPITAL PROJECTS FUND Total 1,135,021 60,000 110,000 114,252 486 1,419,760 1,425,935 ‐ ‐ 2,559,571 ‐ 3,985,505 411,142 25,775 ‐ 8,560 ‐ 445,477 22,790,322 ‐ ‐ 1,604,763 ‐ 24,395,085 500 ‐ PROPRIETARY FUND 32 ‐ INTERGOVERNMENTAL 34 ‐ CHARGES FOR SERVICES 35 ‐ INVESTMENT INCOME 36 ‐ RENTS & ROYALTIES 37 ‐ CONTRIB & REIMBURSEMENTS 38 ‐ OTHER REVENUE 500 ‐ PROPRIETARY FUND Total ‐ 12,605,106 159,212 10 315,684 832,264 13,912,276 8,956 13,058,989 24,335 ‐ 229,200 134,815 13,456,295 1,194 13,716,429 8,352 ‐ 1,294,151 158,788 15,178,914 ‐ 14,572,114 ‐ ‐ ‐ ‐ 14,572,114 Grand Total 115,906,833 111,450,751 112,683,715 132,705,433 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT summary 19 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 100 ‐ GENERAL FUND 30 ‐ TAXES 101‐0000‐301.01‐70 101‐0000‐301.02‐70 101‐0000‐301.03‐70 101‐0000‐301.04‐70 101‐0000‐301.05‐70 101‐0000‐301.06‐70 101‐0000‐302.01‐70 101‐0000‐303.01‐70 101‐0000‐304.01‐70 101‐0000‐304.02‐70 101‐0000‐305.01‐70 101‐0000‐306.01‐70 101‐0000‐306.02‐70 101‐0000‐306.03‐70 101‐0000‐306.04‐70 101‐0000‐306.05‐70 101‐0000‐309.01‐70 101‐0000‐309.02‐70 101‐0000‐309.03‐70 101‐0000‐309.04‐70 101‐0000‐309.05‐70 30 ‐ TAXES Total DESCRIPTION PROPERTY TAX PROPERTY TAX PROPERTY TAX PROPERTY TAX PROPERTY TAX PROPERTY TAX IN LIEU OF PROPERTY TAX RENTAL TAX GROSS RECEIPTS TAX GROSS RECEIPTS TAX FRANCHISE TAX SALES & USE TAX SALES & USE TAX SALES & USE TAX SALES & USE TAX SALES & USE TAX OTHER MUNICIPAL TAX OTHER MUNICIPAL TAX OTHER MUNICIPAL TAX OTHER MUNICIPAL TAX OTHER MUNICIPAL TAX DESCRIPTION 2 CURR REAL/PER/UTIL JEFFCO CURR REAL/PER/UTIL SHELCO DEL REAL/PER/UTIL JEFFCO DEL REAL/PER/UTIL SHELCO MOTR VEH/AUTO TAX JEFFCO MOTR VEH/AUTO TAX SHELCO IN LIEU OF PROPERTY TAX RESIDENTIAL RENTAL TAX PUBLIC UTILITY LICENSES INSURANCE CO LICENSES CABLE & IP VIDEO GENERAL SALES TAX CASUAL SALES TAX JEFFCO CASUAL SALES TAX SHELCO SELLERS USE TAX CONSUMERS USE TAX LEASE/RENTAL TAX LODGING TAX LIQUOR TAX WINE DISTRIBUTOR TAX TOBACCO TAX FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL 5,869,775 3,450,316 5,756 1,380 542,676 342,584 ‐ 778,752 3,859,820 688,349 799,548 55,165,200 172,950 150,397 530,945 550,707 811,968 1,328,834 578,876 103,979 ‐ 75,732,812 6,031,066 3,605,250 8,083 1,582 501,499 327,889 8,847 644,966 4,121,932 242,930 845,086 50,068,008 145,818 124,845 1,684,545 1,158,836 840,822 1,180,392 564,273 104,613 ‐ 72,211,282 5,928,585 3,567,194 38,689 3,427 502,746 306,155 ‐ 766,826 4,333,073 258,989 905,611 51,697,441 167,608 140,589 2,029,586 720,238 891,985 1,245,767 560,657 110,491 ‐ 74,175,655 FY 2011 BUDGET 5,950,000 3,600,000 20,000 2,000 500,000 325,000 ‐ 650,000 4,325,000 245,000 880,000 50,250,000 168,000 120,000 1,500,000 750,000 830,000 1,250,000 585,000 105,000 ‐ 72,055,000 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 20 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 31 ‐ LICENSES & PERMITS 101‐1220‐311.01‐11 101‐1220‐311.02‐11 101‐2110‐314.01‐12 101‐2210‐312.01‐12 101‐2210‐312.02‐12 101‐2210‐312.03‐12 101‐2210‐312.04‐12 101‐2210‐312.05‐12 101‐2210‐313.01‐12 31 ‐ LICENSES & PERMITS Total DESCRIPTION BUSINESS LICENSES BUSINESS LICENSES SPECIAL FIRE PERMITS BUILDING PERMITS BUILDING PERMITS BUILDING PERMITS BUILDING PERMITS BUILDING PERMITS ALARM SYSTEM PERMITS DESCRIPTION 2 GENERAL BUSINESS LICENSES UNAPPLIED REV FOR LICENSE BLASTING PERMITS RESID/COMM PERMIT FEE FRONT DOOR PERMIT FEE ZONING & ANNEX PERMIT FEE ROSS BRIDGE MULTI FAM FEE ROSS BRIDGE SING FAM FEE AUTOMATIC ALARMS FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL 5,078,814 ‐ 60 2,444,284 1,317,000 64,200 48,000 87,600 6,125 9,046,084 4,874,770 ‐ 40 920,564 343,500 43,400 ‐ 45,600 1,700 6,229,574 4,941,079 ‐ 10 1,299,417 502,500 57,425 ‐ 73,200 1,800 6,875,431 FY 2011 BUDGET 4,825,000 ‐ 100 1,200,000 375,000 40,000 ‐ 30,000 1,500 6,471,600 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 21 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 32 ‐ INTERGOVERNMENTAL 101‐0000‐322.06‐70 101‐0000‐322.07‐70 101‐0000‐322.12‐70 101‐0000‐322.13‐70 101‐0000‐322.14‐70 101‐0000‐322.15‐70 101‐0000‐322.16‐70 101‐0000‐322.17‐70 101‐0000‐322.18‐70 101‐0000‐322.19‐70 101‐0000‐322.20‐70 101‐0000‐322.22‐70 101‐1110‐324.02‐20 101‐2010‐321.01‐20 101‐2010‐321.02‐20 101‐2010‐321.04‐20 101‐2010‐322.23‐20 101‐2010‐324.02‐20 101‐2110‐321.01‐20 101‐2110‐321.02‐20 101‐2110‐321.05‐20 101‐2110‐324.02‐20 101‐2120‐324.02‐20 101‐3020‐324.02‐20 101‐4010‐324.02‐20 101‐4020‐321.02‐20 101 4020 321.02 20 101‐4020‐324.02‐20 101‐4020‐324.03‐20 101‐4050‐324.02‐20 110‐6010‐321.01‐20 110‐6010‐321.03‐20 110‐6010‐321.04‐20 110‐6010‐321.06‐20 111‐6010‐321.03‐20 111‐6010‐321.05‐20 111‐6010‐322.24‐20 111‐6010‐322.25‐20 112‐5040‐321.02‐20 112‐5040‐323.04‐20 112‐5040‐324.02‐20 112‐5040‐324.03‐20 115‐4560‐324.02‐20 117‐0710‐324.02‐20 119‐4030‐321.02‐20 119‐4030‐324.02‐20 119‐4030‐324.03‐20 120‐0410‐321.02‐20 120‐5020‐324.02‐20 120‐5040‐324.02‐20 DESCRIPTION SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES PUBLIC ASSISTANCE INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS SHARED REVENUES PUBLIC ASSISTANCE INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS PUBLIC ASSISTANCE PUBLIC ASSISTANCE PUBLIC ASSISTANCE PUBLIC ASSISTANCE INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS PUBLIC ASSISTANCE PUBLIC ASSISTANCE PUBLIC ASSISTANCE INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS SHARED REVENUES SHARED REVENUES INTERGOVERNMENTAL GRANTS CONTRACTS/AGREEMENTS PUBLIC ASSISTANCE PUBLIC ASSISTANCE PUBLIC ASSISTANCE PUBLIC ASSISTANCE INTERGOVERNMENTAL GRANTS PUBLIC ASSISTANCE PUBLIC ASSISTANCE INTERGOVERNMENTAL GRANTS PUBLIC ASSISTANCE PUBLIC ASSISTANCE DESCRIPTION 2 GAS TAX ‐ JEFFCO ROAD TAX ‐ JEFFCO 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 BHAM RACING COMM LOCAL STATE/FED PASS THRU FEDERAL STATE/FED PASS THROUGH JEFFERSON COUNTY SHERIFF DEPUTIES JEFFCO STATE/FED PASS THRU FEDERAL STATE/FED PASS THROUGH SHELBY COUNTY STATE/FED PASS THRU STATE/FED PASS THRU STATE/FED PASS THRU STATE/FED PASS THRU STATE/FED PASS THROUGH STATE/FED PASS THROUGH STATE/FED PASS THRU STATE DIRECT STATE/FED PASS THRU FEDERAL STATE DIRECT JEFFERSON COUNTY LOCAL STATE DIRECT SHELBY COUNTY JEFFCO PORTION OF ST AID SHELCO PORTION OF ST AID STATE/FED PASS THROUGH JEFFERSON COUNTY STATE/FED PASS THRU STATE DIRECT STATE/FED PASS THRU STATE/FED PASS THRU STATE/FED PASS THROUGH STATE/FED PASS THRU STATE DIRECT STATE/FED PASS THROUGH STATE/FED PASS THRU STATE/FED PASS THRU FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL 383,263 954,734 18,284 77,710 331,096 100,184 54,907 157,821 18,993 67,491 7,626 12,602 ‐ 12,110 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 164,646 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 54,107 ‐ 41,078 6,658 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 319,861 ‐ 19,896 83,687 315,234 95,868 51,691 159,005 38,375 167,461 5,000 9,487 ‐ 6,478 ‐ ‐ 7,339 13,960 ‐ ‐ ‐ 11,829 ‐ 114 ‐ ‐ 1,923 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 35,110 5,496 ‐ ‐ ‐ ‐ ‐ ‐ ‐ 3,646 ‐ ‐ ‐ ‐ 381,554 ‐ 1,114 85,646 317,186 93,704 48,003 169,925 19,279 3,608 3,646 7,534 ‐ 5,443 ‐ ‐ 6,042 ‐ ‐ 5,442 ‐ ‐ ‐ ‐ ‐ ‐ 256 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 31,651 5,090 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ FY 2011 BUDGET 350,000 ‐ 25,000 85,000 320,000 100,000 55,000 160,000 30,000 100,000 7,500 9,000 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 30,000 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 22 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 199‐1910‐324.02‐20 199‐2110‐321.02‐20 199‐2110‐324.02‐20 199‐4020‐321.02‐20 199‐4020‐324.02‐20 199‐4020‐324.03‐20 32 ‐ INTERGOVERNMENTAL Total DESCRIPTION PUBLIC ASSISTANCE INTERGOVERNMENTAL GRANTS PUBLIC ASSISTANCE INTERGOVERNMENTAL GRANTS PUBLIC ASSISTANCE PUBLIC ASSISTANCE DESCRIPTION 2 STATE/FED PASS THRU STATE/FED PASS THROUGH STATE/FED PASS THRU STATE/FED PASS THROUGH STATE/FED PASS THRU STATE DIRECT FY 2008 ACTUAL ‐ ‐ ‐ ‐ ‐ ‐ 2,463,309 FY 2009 ACTUAL ‐ ‐ ‐ ‐ ‐ ‐ 1,351,460 FY 2010 ACTUAL ‐ ‐ ‐ ‐ ‐ ‐ 1,185,123 FY 2011 BUDGET ‐ ‐ ‐ ‐ ‐ ‐ 1,271,500 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 23 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 33 ‐ FINES & FORFEITURES 101‐2010‐332.01‐14 101‐2020‐332.10‐14 101‐2065‐331.05‐13 101‐3010‐331.01‐13 101‐3010‐332.03‐14 110‐6010‐331.01‐13 111‐6010‐331.01‐13 33 ‐ FINES & FORFEITURES Total DESCRIPTION FORFEITURES FORFEITURES FINES FINES FORFEITURES FINES FINES DESCRIPTION 2 PROPERTY SOLD IN AUCTION ABANDONED PROPERTY PRISONER TRANSPORT FEES FINES BOND FORFEITURES FINES FINES FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL ‐ ‐ ‐ 1,365,072 57,387 ‐ 186,504 1,608,963 ‐ ‐ ‐ 1,736,875 107,211 ‐ 197,532 2,041,619 ‐ 46,580 ‐ 1,481,480 91,500 ‐ 209,368 1,828,929 FY 2011 BUDGET ‐ 49,000 ‐ 1,550,000 90,000 ‐ 195,000 1,884,000 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 24 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 34 ‐ CHARGES FOR SERVICES 101‐0220‐341.01‐10 101‐0220‐341.02‐10 101‐0220‐341.03‐10 101‐0220‐341.04‐10 101‐0220‐341.06‐10 101‐0240‐341.05‐10 101‐0310‐341.07‐10 101‐0310‐345.03‐10 101‐0355‐345.03‐10 101‐0410‐341.02‐10 101‐0440‐345.11‐10 101‐0440‐345.12‐10 101‐0540‐349.04‐10 101‐0610‐341.07‐10 101‐0750‐341.03‐10 101‐1220‐345.03‐10 101‐2010‐342.01‐10 101‐2010‐342.02‐10 101‐2010‐342.03‐10 101‐2010‐342.04‐10 101‐2010‐342.05‐10 101‐2010‐342.06‐10 101‐2010‐342.07‐10 101‐2010‐345.15‐10 101‐2035‐342.03‐10 101‐2050‐342.02‐20 101 2050 342.02 20 101‐2060‐342.08‐10 101‐2110‐343.01‐10 101‐2110‐343.02‐10 101‐2110‐343.03‐10 101‐2110‐343.04‐10 101‐2110‐343.05‐10 101‐2110‐345.15‐10 101‐2210‐341.02‐10 101‐2210‐349.04‐10 101‐2210‐349.05‐10 101‐3010‐341.07‐10 101‐3020‐341.07‐10 101‐4020‐345.15‐10 101‐4030‐345.05‐10 101‐4050‐345.02‐10 110‐6010‐346.01‐10 110‐6010‐346.02‐10 110‐6010‐346.03‐10 110‐6010‐346.04‐10 111‐6010‐346.01‐10 111‐6010‐346.02‐10 112‐5020‐347.01‐10 112‐5020‐347.07‐10 DESCRIPTION GENERAL GOVT CHARGES GENERAL GOVT CHARGES GENERAL GOVT CHARGES GENERAL GOVT CHARGES GENERAL GOVT CHARGES GENERAL GOVT CHARGES GENERAL GOVT CHARGES SPECIAL CHARGES SPECIAL CHARGES GENERAL GOVT CHARGES SPECIAL CHARGES SPECIAL CHARGES SANITARY SEWER TAP FEE GENERAL GOVT CHARGES GENERAL GOVT CHARGES SPECIAL CHARGES SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES SPECIAL CHARGES SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES SPECIAL POLICE CHARGES SPECIAL FIRE CHARGES SPECIAL FIRE CHARGES SPECIAL FIRE CHARGES SPECIAL FIRE CHARGES SPECIAL FIRE CHARGES SPECIAL CHARGES GENERAL GOVT CHARGES SANITARY SEWER TAP FEE SANITARY SEWER TAP FEE GENERAL GOVT CHARGES GENERAL GOVT CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES LIBRARY CHARGES LIBRARY CHARGES LIBRARY CHARGES LIBRARY CHARGES LIBRARY CHARGES LIBRARY CHARGES PARKS & REC CHARGES PARKS & REC CHARGES DESCRIPTION 2 ZONING & BZA FEES PRINTING/DUPLICATING CHGS COMMISSION ON PAY PHONES ASSESSMENT LETTERS NOTARY FEE ELECTION QUALIFYING FEES OTHER CHARGES CREDIT CARD USE FEES CREDIT CARD USE FEES PRINTING/DUPLICATING CHGS STORMWATER FEE ‐ JEFFCO STORMWTR FEE JEFFCO‐LNDRE TAP FEES TRACE CROSSINGS OTHER CHARGES COMMISSION ON PAY PHONES CREDIT CARD USE FEES ACCIDENT REPORT CHARGES FALSE ALARM CHARGES INSTRUCTIVE COURSES INCIDENT/OFFENSE REPORTS FINGERPRINT CARDS SUBPOENAED DOCUMENTS EVIDENCE TECHNICIAN PHOTO EVENTS INSTRUCTIVE COURSES FALSE ALARM CHARGES FALSE ALARM CHARGES USE OF JAIL PHONE SYSTEM FIRE DUES EMERGENCY TRANSPORT FEES MEDICAL ALERT FEES INSTRUCTIVE COURSES FIRE HYDRANT INSTALL FEE EVENTS PRINTING/DUPLICATING CHGS TAP FEES TRACE CROSSINGS TAP FEES LAKE CREST OTHER CHARGES OTHER CHARGES EVENTS HOUSEKEEPING SERVICES PSC BACK DOOR GARBAGE FEE PRINT MANAGEMENT MEMBERSHIP FEES OTHER RECEIPTS/ACTIVITY COPIER PRINT MANAGEMENT MEMBERSHIP FEES REC CTR MEMBERSHIP FEES SWIM TEAM FEES FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL 7,720 1,235 ‐ 15,080 10 650 1,015 812 ‐ ‐ 109,897 706 ‐ ‐ ‐ 2,388 40,850 ‐ ‐ 3,120 1,080 930 ‐ ‐ ‐ ‐ 10,650 30,050 40,576 ‐ 2,650 40,891 ‐ ‐ ‐ ‐ 50 150 ‐ ‐ 7,200 23,168 ‐ ‐ 5,740 68 9,590 630,987 ‐ 4,650 1,111 ‐ 18,285 10 ‐ ‐ 940 12 ‐ 114,793 1,375 ‐ ‐ ‐ 2,600 40,995 ‐ ‐ 1,655 1,655 2,095 ‐ 2,815 ‐ ‐ 9,814 62,500 33,140 ‐ 3,030 1,610 2,400 ‐ ‐ 1,225 ‐ ‐ 1,693 ‐ 7,350 23,550 ‐ ‐ 5,676 40 10,780 640,707 ‐ 5,275 539 ‐ 16,910 45 ‐ ‐ 1,564 ‐ ‐ 117,953 1,696 ‐ 51 ‐ 3,340 40,403 ‐ ‐ 2,170 520 3,006 ‐ 4,045 ‐ ‐ 7,365 62,850 173,560 ‐ 3,820 ‐ 3,370 63 ‐ ‐ ‐ 1,000 4,496 ‐ 7,050 22,971 ‐ ‐ 4,425 ‐ 25,295 687,390 ‐ FY 2011 BUDGET 6,000 2,000 ‐ 17,000 ‐ ‐ ‐ 1,500 ‐ ‐ 118,000 ‐ ‐ ‐ ‐ 3,500 45,000 ‐ ‐ 3,000 1,000 ‐ ‐ ‐ ‐ ‐ ‐ 63,000 50,000 ‐ 3,000 5,000 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 7,200 23,000 ‐ ‐ 5,000 ‐ 20,000 640,000 ‐ H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 25 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 112‐5020‐347.08‐10 112‐5020‐347.10‐10 112‐5020‐347.12‐10 112‐5040‐347.06‐10 114‐5020‐347.01‐10 114‐5020‐347.02‐10 114‐5020‐347.03‐10 114‐5020‐347.04‐10 114‐5020‐347.05‐10 115‐4560‐345.15‐10 119‐4030‐341.07‐10 119‐4030‐345.05‐10 150‐5020‐347.05‐10 34 ‐ CHARGES FOR SERVICES Total DESCRIPTION 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 SPECIAL CHARGES GENERAL GOVT CHARGES SPECIAL CHARGES PARKS & REC CHARGES DESCRIPTION 2 SWIM LESSONS TENNIS FEES OTHER RECEIPTS/ACTIVITY PARK FACILITY USE FEES REC CTR MEMBERSHIP FEES REC CTR ACTIVITY ACCOUNT REC CTR ATHLETIC ACCOUNT REC CTR YOUTH BASKET ACCT REC CTR NEW HORIZONS ACCT EVENTS OTHER CHARGES HOUSEKEEPING SERVICES PSC REC CTR NEW HORIZONS ACCT FY 2008 ACTUAL ‐ ‐ ‐ 30,200 ‐ 131,381 178,134 63,939 ‐ ‐ 350 ‐ 110,674 1,501,939 FY 2009 ACTUAL ‐ ‐ ‐ 33,275 ‐ 143,224 189,363 73,549 ‐ 350 1,850 ‐ 69,734 1,507,850 FY 2010 ACTUAL ‐ ‐ ‐ 38,405 ‐ 148,593 202,641 73,540 ‐ 250 1,450 ‐ 32,807 1,698,856 FY 2011 BUDGET ‐ ‐ ‐ 35,000 ‐ 126,000 153,000 65,000 ‐ ‐ ‐ ‐ 50,000 1,442,200 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 26 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 35 ‐ INVESTMENT INCOME 101‐0000‐351.01‐70 110‐6010‐351.01‐17 111‐6010‐351.01‐17 114‐0000‐351.01‐02 150‐0000‐351.01‐70 35 ‐ INVESTMENT INCOME Total DESCRIPTION INTEREST INTEREST INTEREST INTEREST INTEREST DESCRIPTION 2 INTEREST ON BANK ACCOUNTS INTEREST ON BANK ACCOUNTS INTEREST ON BANK ACCOUNTS INTEREST ON BANK ACCOUNTS INTEREST ON BANK ACCOUNTS FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL 2,875,680 ‐ 3,674 ‐ 595 2,879,949 2,218,525 ‐ 896 ‐ 33 2,219,454 1,776,943 ‐ 107 ‐ 3 1,777,052 FY 2011 BUDGET 1,250,000 ‐ 300 ‐ ‐ 1,250,300 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 27 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 36 ‐ RENTS & ROYALTIES 101‐0000‐361.04‐70 101‐0000‐364.05‐70 101‐0180‐364.01‐16 101‐0310‐361.03‐15 101‐0355‐364.03‐15 101‐0355‐364.05‐15 101‐1910‐361.02‐15 101‐2010‐364.04‐16 101‐2060‐364.06‐16 101‐2110‐361.02‐15 101‐2110‐365.01‐15 110‐6010‐361.06‐15 110‐6010‐362.01‐15 110‐6010‐362.02‐16 111‐6010‐362.01‐15 111‐6010‐362.02‐16 112‐5040‐363.01‐15 112‐5040‐363.03‐16 112‐5040‐363.04‐16 112‐5041‐363.01‐15 112‐5041‐363.04‐16 115‐4561‐366.01‐16 115‐4561‐366.02‐16 119‐7510‐361.05‐15 119‐7520‐361.05‐15 36 ‐ RENTS & ROYALTIES Total 36 RENTS & ROYALTIES Total DESCRIPTION FACILITY LEASE/RENTALS OTHER OTHER FACILITY LEASE/RENTALS OTHER OTHER FACILITY LEASE/RENTALS OTHER OTHER FACILITY LEASE/RENTALS FIRE FACILITY LEASE/RENTALS LIBRARY LIBRARY LIBRARY LIBRARY PARKS & RECREATION PARKS & RECREATION PARKS & RECREATION PARKS & RECREATION PARKS & RECREATION FLEET FLEET FACILITY LEASE/RENTALS FACILITY LEASE/RENTALS DESCRIPTION 2 PUBLIC SAFETY CTR SPACE OTHER RENTS MAYOR'S BREAKFAST RV PARK RENTAL BOOTH RENTAL OTHER RENTS TOWER RENTAL COMMISSIONS COMMISSARY SALES TOWER RENTAL FIRE HYDRANT RENTAL FEE LIBRARY OTHER RECEIPTS RENTAL OTHER RECEIPTS SALES OTHER RECEIPTS RENTAL OTHER RECEIPTS SALES STADIUM LEASE TO BARONS OTHER RECEIPT SALES NAMING RIGHTS STADIUM LEASE TO BARONS NAMING RIGHTS SALE OF FUEL SALE OF WASTE OIL PUBLIC SAFETY CNTR SPACE PUBLIC SAFETY CNTR SPACE FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL ‐ 20 8,640 100,103 24,300 ‐ 55,648 138 ‐ ‐ 11,649 ‐ ‐ ‐ 480 98,872 252,752 ‐ ‐ ‐ ‐ 5,165 ‐ 192,683 7,428 757,877 ‐ ‐ 7,995 113,639 ‐ ‐ 40,987 13 ‐ ‐ 796 2,400 ‐ ‐ 1,120 92,376 ‐ ‐ ‐ 252,752 110,000 1,170 ‐ 192,683 ‐ 815,932 ‐ ‐ 9,012 149,007 6,954 ‐ 39,830 ‐ 1,538 ‐ 690 6,000 ‐ ‐ 2,100 108,159 ‐ ‐ ‐ 252,752 110,000 ‐ 378 193,526 ‐ 879,945 FY 2011 BUDGET ‐ ‐ 8,500 115,000 ‐ ‐ 40,000 ‐ ‐ ‐ 1,000 ‐ ‐ ‐ 500 105,000 ‐ ‐ ‐ 252,752 110,000 ‐ ‐ 192,682 ‐ 825,434 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 28 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 37 ‐ CONTRIB & REIMBURSEMENTS 101‐0110‐371.01‐20 101‐0180‐371.01‐20 101‐0220‐372.01‐20 101‐0240‐372.02‐20 101‐0355‐371.01‐20 101‐0355‐373.01‐20 101‐0420‐371.01‐20 101‐0610‐372.01‐20 101‐0610‐372.07‐20 101‐1810‐372.05‐20 101‐2010‐371.01‐20 101‐2010‐372.01‐20 101‐2010‐372.02‐20 101‐2010‐372.05‐20 101‐2015‐372.05‐20 101‐2020‐372.02‐20 101‐2020‐372.05‐20 101‐2025‐372.01‐20 101‐2025‐372.05‐20 101‐2030‐372.02‐20 101‐2040‐372.02‐20 101‐2041‐372.02‐20 101‐2045‐372.01‐20 101‐2045‐372.02‐20 101‐2046‐372.02‐20 101‐2050‐371.05‐20 101 2050 371.05 20 101‐2050‐372.01‐20 101‐2050‐372.02‐20 101‐2051‐372.02‐20 101‐2055‐372.01‐20 101‐2055‐372.02‐20 101‐2065‐372.02‐20 101‐2075‐371.03‐20 101‐2075‐372.02‐20 101‐2110‐371.01‐20 101‐2110‐372.01‐20 101‐2110‐372.02‐20 101‐2110‐372.10‐20 101‐2120‐372.10‐20 101‐4020‐372.01‐20 101‐4020‐372.02‐20 101‐4020‐372.03‐20 101‐4020‐372.04‐20 101‐4020‐372.06‐10 110‐6010‐371.01‐20 110‐6010‐372.01‐20 110‐6010‐373.01‐20 110‐6010‐373.01‐30 111‐6010‐371.01‐20 DESCRIPTION CONTRIBUTIONS CONTRIBUTIONS REIMBURSEMENTS REIMBURSEMENTS CONTRIBUTIONS GRANTS CONTRIBUTIONS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS CONTRIBUTIONS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS CONTRIBUTIONS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS CONTRIBUTIONS REIMBURSEMENTS CONTRIBUTIONS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS CONTRIBUTIONS REIMBURSEMENTS GRANTS GRANTS CONTRIBUTIONS DESCRIPTION 2 CONTRIBUTIONS CONTRIBUTIONS REIMBURSEMENTS REIMBURSEMENTS SCHOOL BD CONTRIBUTIONS GRANTS ‐ FOUNDATIONS CONTRIBUTIONS REIMBURSEMENTS REIMB MVR & CRIM HIST REIMBURSEMENTS FEDERAL CONTRIBUTIONS REIMBURSEMENTS REIMBURSEMENTS SCHOOL BD REIMBURSEMENTS FEDERAL REIMBURSEMENTS FEDERAL REIMBURSEMENTS SCHOOL BD REIMBURSEMENTS FEDERAL REIMBURSEMENTS REIMBURSEMENTS FEDERAL REIMBURSEMENTS SCHOOL BD REIMBURSEMENTS SCHOOL BD REIMBURSEMENTS SCHOOL BD REIMBURSEMENTS REIMBURSEMENTS SCHOOL BD REIMBURSEMENTS SCHOOL BD CONTRIBUTIONS‐OTHER CONTRIBUTIONS OTHER REIMBURSEMENTS REIMBURSEMENTS SCHOOL BD REIMBURSEMENTS SCHOOL BD REIMBURSEMENTS REIMBURSEMENTS SCHOOL BD REIMBURSEMENTS SCHOOL BD CONTRIBUTIONS‐JEFFCO CO REIMBURSEMENTS SCHOOL BD CONTRIBUTIONS REIMBURSEMENTS REIMBURSEMENTS SCHOOL BD REIMBURSEMENTS SHELCO REIMBURSEMENTS SHELCO REIMBURSEMENTS REIMBURSEMENTS SCHOOL BD REIMB STATE DIRECT REIMBURSEMTS ST/FED PASS REIMB FROM RESIDENTS PW CONTRIBUTIONS REIMBURSEMENTS GRANTS ‐ FOUNDATIONS GRANTS ‐ FOUNDATIONS CONTRIBUTIONS FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL ‐ ‐ ‐ ‐ ‐ 10,000 ‐ ‐ ‐ ‐ 2 ‐ ‐ 15,698 ‐ 8,000 ‐ ‐ ‐ 280 100,906 145 ‐ 3,604 933 ‐ ‐ 667,473 121,297 ‐ 812 615 1,095 382 2 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 38,468 ‐ ‐ 97 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 4,783 345 23,565 ‐ 3,088 ‐ ‐ ‐ ‐ 37,726 123 ‐ 2,935 ‐ ‐ ‐ 690,049 121,561 ‐ 88 134 ‐ 456 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 33,537 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 4,195 229 29,070 ‐ 3,087 ‐ ‐ ‐ ‐ 34,955 314 3,900 1,273 ‐ 100 ‐ 685,701 502 ‐ 440 1,731 ‐ ‐ ‐ 1,590 ‐ ‐ ‐ 225 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 53,792 FY 2011 BUDGET ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 673,741 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 40,000 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 29 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 111‐6010‐372.01‐20 111‐6010‐373.01‐20 112‐5020‐371.01‐30 112‐5040‐372.01‐20 112‐5040‐372.02‐20 112‐5040‐372.03‐20 112‐5040‐372.04‐20 112‐5042‐372.01‐20 114‐5020‐371.01‐20 114‐5040‐372.01‐20 115‐2025‐371.01‐20 115‐2050‐372.02‐20 115‐4560‐372.01‐20 117‐0710‐372.04‐20 117‐2050‐372.02‐20 117‐5040‐372.01‐20 119‐4030‐372.01‐20 119‐5040‐372.01‐20 119‐7510‐372.01‐20 119‐7520‐372.01‐20 119‐7530‐372.01‐20 120‐5040‐372.01‐20 120‐5040‐372.04‐20 37 ‐ CONTRIB & REIMBURSEMENTS Total DESCRIPTION REIMBURSEMENTS GRANTS CONTRIBUTIONS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS CONTRIBUTIONS REIMBURSEMENTS CONTRIBUTIONS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS DESCRIPTION 2 REIMBURSEMENTS GRANTS ‐ FOUNDATIONS CONTRIBUTIONS REIMBURSEMENTS REIMBURSEMENTS SCHOOL BD REIMB STATE DIRECT REIMBURSEMTS ST/FED PASS REIMBURSEMENTS CONTRIBUTIONS REIMBURSEMENTS CONTRIBUTIONS REIMBURSEMENTS SCHOOL BD REIMBURSEMENTS REIMBURSEMTS ST/FED PASS REIMBURSEMENTS SCHOOL BD REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMTS ST/FED PASS FY 2008 ACTUAL 12,000 2,000 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 257,150 ‐ ‐ 5,734 ‐ ‐ 82,500 10,762 848 46,035 ‐ ‐ 1,386,740 FY 2009 ACTUAL 7,300 2,000 ‐ 473 ‐ ‐ ‐ ‐ ‐ ‐ ‐ 10,012 ‐ ‐ 108 645 ‐ 71,520 10,119 ‐ 121,159 ‐ ‐ 1,141,824 FY 2010 ACTUAL 6,268 800 ‐ ‐ ‐ ‐ ‐ ‐ ‐ 4,800 ‐ 12,245 ‐ ‐ ‐ ‐ ‐ 71,760 9,276 ‐ 115,506 ‐ ‐ 1,041,759 FY 2011 BUDGET 22,000 800 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 12,000 ‐ ‐ ‐ ‐ ‐ 80,500 10,119 ‐ 112,027 ‐ ‐ 951,187 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 30 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 38 ‐ OTHER REVENUE 101‐0000‐381.01‐70 101‐0000‐381.02‐70 101‐0000‐381.03‐70 101‐0000‐381.04‐70 101‐0000‐383.01‐70 101‐0000‐383.02‐70 101‐0000‐383.03‐70 101‐0000‐383.04‐70 101‐0000‐383.05‐70 101‐0000‐384.01‐70 101‐0000‐384.03‐70 101‐0000‐384.04‐70 101‐0180‐384.01‐10 101‐0355‐384.06‐20 101‐0440‐383.04‐13 110‐0000‐381.01‐70 110‐0000‐382.02‐70 110‐0000‐384.01‐70 110‐0000‐384.03‐70 111‐0000‐384.03‐70 112‐0000‐381.01‐70 112‐0000‐383.02‐70 112‐0000‐384.01‐70 112‐0000‐384.03‐70 114‐0000‐381.01‐70 114‐0000‐384.01‐70 114 0000 384.01 70 114‐0000‐384.03‐70 114‐5020‐384.06‐20 115‐0000‐381.01‐70 115‐0000‐384.03‐70 117‐0000‐384.03‐70 119‐0000‐383.06‐70 119‐0000‐384.03‐70 120‐0000‐381.01‐70 120‐0000‐384.01‐70 120‐0000‐384.03‐70 150‐0000‐384.01‐70 38 ‐ OTHER REVENUE Total 100 ‐ GENERAL FUND Total DESCRIPTION SALE OF PROPERTY SALE OF PROPERTY SALE OF PROPERTY SALE OF PROPERTY INTEREST & PENALTY INTEREST & PENALTY INTEREST & PENALTY INTEREST & PENALTY INTEREST & PENALTY MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE INTEREST & PENALTY SALE OF PROPERTY LIBRARY MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE SALE OF PROPERTY INTEREST & PENALTY MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE SALE OF PROPERTY MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE SALE OF PROPERTY MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE INTEREST & PENALTY MISCELLANEOUS REVENUE SALE OF PROPERTY MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE DESCRIPTION 2 SURPLUS PROPERTY FIXED ASSET DISPOSITION ABANDONED PROPERTY FIXED ASSET DISP‐NOT INV. INT PENALTY BUSIN LICEN INT PENALTY RETURNED CK LATE FEES INTEREST PROP TAX JEFFCO INTEREST PROP TAX SHELCO MISCELLANEOUS REVENUE REFUND OF PRIOR YR EXPS REBATES MISCELLANEOUS REVENUE SPONSORSHIPS INTEREST PROP TAX JEFFCO SURPLUS PROPERTY OTHER RECEIPTS/ACTIVITY MISCELLANEOUS REVENUE REFUND OF PRIOR YR EXPS REFUND OF PRIOR YR EXPS SURPLUS PROPERTY INT PENALTY RETURNED CK MISCELLANEOUS REVENUE REFUND OF PRIOR YR EXPS SURPLUS PROPERTY MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE REFUND OF PRIOR YR EXPS SPONSORSHIPS SURPLUS PROPERTY REFUND OF PRIOR YR EXPS REFUND OF PRIOR YR EXPS INTEREST ON REIMB CHECKS REFUND OF PRIOR YR EXPS SURPLUS PROPERTY MISCELLANEOUS REVENUE REFUND OF PRIOR YR EXPS MISCELLANEOUS REVENUE FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL FY 2011 BUDGET 13,026 92,275 ‐ ‐ 183,615 ‐ ‐ 5,404 ‐ 2,929 11,391 44 ‐ ‐ 302 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 30,800 ‐ ‐ 60 2,911 20,250 ‐ (49,419) 5,712 ‐ 319,299 ‐ 39,027 ‐ 12,132 102,693 ‐ ‐ 7,148 ‐ 11,332 3,810 1,232 ‐ 2,500 292 ‐ ‐ ‐ 1,215 ‐ ‐ ‐ ‐ 300 ‐ ‐ ‐ 25,200 ‐ 135 5,072 ‐ ‐ ‐ ‐ ‐ ‐ 212,088 ‐ 13,000 ‐ 9,950 145,328 ‐ ‐ 8,101 ‐ 1,838 8,397 ‐ ‐ ‐ 500 ‐ ‐ ‐ ‐ ‐ ‐ ‐ 11 495 ‐ ‐ ‐ 26,200 ‐ ‐ 2,920 ‐ ‐ ‐ ‐ ‐ ‐ 216,739 ‐ ‐ ‐ ‐ 105,000 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 24,200 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 129,200 95,696,972 87,731,082 89,679,489 86,280,421 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 31 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 200 ‐ SPECIAL REVENUE FUND 32 ‐ INTERGOVERNMENTAL 211‐4020‐322.02‐20 211‐4020‐322.03‐20 211‐4020‐322.04‐20 211‐4020‐322.05‐20 211‐4020‐322.08‐20 211‐4020‐322.10‐20 211‐4020‐322.11‐20 212‐4020‐322.09‐20 213‐4020‐322.07‐70 218‐3010‐323.03‐20 230‐0910‐321.01‐20 235‐0310‐321.01‐20 235‐0410‐321.01‐20 235‐2010‐321.01‐20 235‐2010‐321.04‐20 235‐2010‐321.05‐20 235‐2110‐321.02‐20 235‐2120‐321.01‐20 235‐5020‐321.02‐30 235‐5040‐321.03‐20 235‐5050‐321.03‐20 235‐5050‐321.04‐20 235‐6010‐321.02‐20 235‐6010‐321.03‐20 240‐0000‐322.21‐70 240 0000 322.21 70 32 ‐ INTERGOVERNMENTAL Total DESCRIPTION SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES SHARED REVENUES CONTRACTS/AGREEMENTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS SHARED REVENUES SHARED REVENUES DESCRIPTION 2 MOTOR VEH LIC ALA JEFFCO MOTOR VEH LIC ALA SHELCO MOTOR VEH LIC JEFFCO MOTOR VEH LIC SHELCO ALA 7 CENT GAS TAX PETROL INSP FEE JEFFCO PETROL INSP FEE SHELCO ALA 4 & 5 CENT GAS TAX ROAD TAX ‐ JEFFCO STATE DIRECT FEDERAL FEDERAL FEDERAL FEDERAL JEFFERSON COUNTY SHELBY COUNTY STATE/FED PASS THROUGH FEDERAL STATE/FED PASS THROUGH STATE DIRECT STATE DIRECT JEFFERSON COUNTY STATE/FED PASS THROUGH STATE DIRECT ALA TRUST FUND INT DIST ALA TRUST FUND INT DIST FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL 7,341 4,833 133,134 62,350 520,778 11,991 7,015 483,585 ‐ 54,383 646,839 ‐ ‐ 8,277 ‐ ‐ 29,533 75,505 ‐ ‐ ‐ 11,758 14,993 ‐ 446,002 2,518,317 6,260 4,340 126,204 60,387 536,828 11,901 6,962 481,170 972,752 51,276 199,091 ‐ ‐ 2,550 ‐ ‐ 18,558 226,153 ‐ 25,000 ‐ 10,712 12,353 ‐ 760,375 3,512,872 7,056 4,558 138,301 62,344 525,733 12,485 6,341 486,518 972,752 72,988 451,339 ‐ 100,335 178,170 35,000 10,000 13,144 174,949 ‐ 8,000 5,000 8,609 60,000 43,873 413,071 3,790,567 FY 2011 BUDGET 6,500 5,000 125,000 59,000 600,000 11,000 6,500 500,000 975,000 74,667 324,585 361,800 202,365 360,117 ‐ ‐ ‐ 109,650 ‐ ‐ ‐ 10,000 ‐ ‐ 425,000 4,156,184 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 32 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 33 ‐ FINES & FORFEITURES 215‐2065‐331.05‐13 215‐3010‐331.02‐13 215‐3010‐331.04‐13 215‐3010‐331.05‐13 217‐3010‐331.03‐13 220‐3010‐331.03‐13 261‐2010‐332.02‐14 261‐2010‐332.04‐14 261‐2010‐332.05‐14 262‐2010‐332.05‐14 262‐2010‐332.06‐14 262‐2010‐332.08‐14 33 ‐ FINES & FORFEITURES Total DESCRIPTION FINES FINES FINES FINES FINES FINES FORFEITURES FORFEITURES FORFEITURES FORFEITURES FORFEITURES FORFEITURES DESCRIPTION 2 PRISONER TRANSPORT FEES COURT COSTS WARRANT RECALL FEES PRISONER TRANSPORT FEES TRAFFIC SAFETY EDUCATION TRAFFIC SAFETY EDUCATION COURT AWARDED DRUG FUNDS PROP SOLD ASSET IN INVENT PROP SOLD ASSET NOT INV PROP SOLD ASSET NOT INV FEDERAL DIRECT‐JUSTICE PASS THRU ‐ JUSTICE FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL 6,748 515,795 156,596 1,687 23,130 153,523 38,975 1,300 6,250 1,300 23,526 279,234 1,208,064 5,172 885,754 253,508 1,293 44,585 433,100 32,464 ‐ 6,861 ‐ 11,689 ‐ 1,674,426 6,181 688,053 216,000 1,545 36,323 320,850 101,465 ‐ 18,150 ‐ 73,369 381,273 1,843,208 FY 2011 BUDGET 5,500 725,000 225,000 1,500 38,000 370,000 ‐ ‐ ‐ ‐ ‐ ‐ 1,365,000 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 33 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 34 ‐ CHARGES FOR SERVICES 201‐1910‐344.01‐10 202‐1910‐344.01‐10 215‐3010‐345.03‐10 218‐3010‐345.04‐10 218‐3010‐345.16‐10 218‐3010‐345.17‐10 235‐2035‐342.03‐10 34 ‐ CHARGES FOR SERVICES Total DESCRIPTION PUBLIC SAFETY CHARGES PUBLIC SAFETY CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL POLICE CHARGES DESCRIPTION 2 E911 PHONE CHARGES E911 PHONE CHARGES CREDIT CARD USE FEES COURT DRUG TESTING FEES COURT APPEALS FEE BHAM MUNICIPAL COURT/JCS INSTRUCTIVE COURSES FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL 717,017 316,068 5,220 43,750 ‐ ‐ 1,200 1,083,255 643,851 345,920 13,268 78,335 430 ‐ 650 1,082,454 1,318,281 325,402 11,140 65,590 ‐ 11,556 2,200 1,734,169 FY 2011 BUDGET 1,550,000 300,000 10,000 65,000 ‐ 5,000 2,200 1,932,200 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 34 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 35 ‐ INVESTMENT INCOME 235‐2010‐351.01‐17 235‐5040‐351.01‐17 261‐2010‐351.01‐17 262‐2010‐351.01‐17 35 ‐ INVESTMENT INCOME Total DESCRIPTION INTEREST INTEREST INTEREST INTEREST DESCRIPTION 2 INTEREST ON BANK ACCOUNTS INTEREST ON BANK ACCOUNTS INTEREST ON BANK ACCOUNTS INTEREST ON BANK ACCOUNTS FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL ‐ ‐ 1,846 48,002 49,848 ‐ 6 474 2,274 2,753 13 11 178 758 960 FY 2011 BUDGET ‐ ‐ ‐ ‐ ‐ H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 35 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 37 ‐ CONTRIB & REIMBURSEMENTS 235‐2010‐371.01‐20 235‐2010‐371.03‐20 235‐2050‐371.01‐20 235‐2110‐371.04‐20 235‐5040‐373.01‐20 37 ‐ CONTRIB & REIMBURSEMENTS Total DESCRIPTION CONTRIBUTIONS CONTRIBUTIONS CONTRIBUTIONS CONTRIBUTIONS GRANTS DESCRIPTION 2 CONTRIBUTIONS CONTRIBUTIONS‐JEFFCO CO CONTRIBUTIONS CONTRIBUTIONS‐FOUNDATIONS GRANTS ‐ FOUNDATIONS FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL ‐ 12,225 ‐ 5,546 ‐ 17,770 4,333 ‐ 1,030 ‐ ‐ 5,363 360 ‐ ‐ ‐ 10,571 10,931 FY 2011 BUDGET ‐ ‐ ‐ ‐ 4,429 4,429 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 36 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 38 ‐ OTHER REVENUE 201‐0000‐381.01‐70 215‐0000‐384.03‐70 217‐0000‐384.03‐70 218‐0000‐384.03‐70 38 ‐ OTHER REVENUE Total 200 ‐ SPECIAL REVENUE FUND Total DESCRIPTION SALE OF PROPERTY MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE DESCRIPTION 2 SURPLUS PROPERTY REFUND OF PRIOR YR EXPS REFUND OF PRIOR YR EXPS REFUND OF PRIOR YR EXPS FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL FY 2011 BUDGET ‐ ‐ 509 61 570 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 4,877,825 6,277,868 7,379,835 7,457,813 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 37 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 300‐ CAPITAL PROJECTS FUND 32 ‐ INTERGOVERNMENTAL 303‐0310‐323.05‐30 303‐0910‐321.03‐30 303‐5050‐321.03‐20 372‐0410‐321.02‐30 375‐0410‐321.02‐30 390‐0410‐321.02‐20 390‐0410‐321.02‐30 390‐0410‐321.03‐30 390‐0910‐321.02‐30 32 ‐ INTERGOVERNMENTAL Total DESCRIPTION CONTRACTS/AGREEMENTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS INTERGOVERNMENTAL GRANTS DESCRIPTION 2 SHELBY COUNTY STATE DIRECT STATE DIRECT STATE/FED PASS THROUGH STATE/FED PASS THROUGH STATE/FED PASS THROUGH STATE/FED PASS THROUGH STATE DIRECT STATE/FED PASS THROUGH FY 2008 ACTUAL 15,270 (7,766) ‐ ‐ 341,673 ‐ 785,845 ‐ ‐ 1,135,021 FY 2009 ACTUAL ‐ ‐ ‐ ‐ 27,339 (3) 1,398,599 ‐ ‐ 1,425,935 FY 2010 ACTUAL ‐ ‐ ‐ ‐ 13,306 ‐ 397,836 ‐ ‐ 411,142 FY 2011 BUDGET ‐ ‐ 120,500 234,307 1,524,214 ‐ 20,867,301 ‐ 44,000 22,790,322 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 38 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 33 ‐ FINES & FORFEITURES 303‐4020‐332.03‐14 33 ‐ FINES & FORFEITURES Total DESCRIPTION FORFEITURES DESCRIPTION 2 BOND FORFEITURES FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL 60,000 60,000 ‐ ‐ 25,775 25,775 FY 2011 BUDGET ‐ ‐ H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 39 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 36 ‐ RENTS & ROYALTIES 303‐5040‐363.04‐16 36 ‐ RENTS & ROYALTIES Total DESCRIPTION PARKS & RECREATION DESCRIPTION 2 NAMING RIGHTS FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL 110,000 110,000 ‐ ‐ ‐ ‐ FY 2011 BUDGET ‐ ‐ H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 40 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 37 ‐ CONTRIB & REIMBURSEMENTS 303‐0410‐371.01‐20 303‐0410‐372.01‐20 303‐0410‐372.01‐30 303‐0410‐372.10‐30 303‐2050‐372.02‐20 303‐5040‐371.01‐20 303‐5040‐372.10‐20 303‐5040‐372.12‐20 303‐5040‐373.01‐20 37 ‐ CONTRIB & REIMBURSEMENTS Total DESCRIPTION CONTRIBUTIONS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS CONTRIBUTIONS REIMBURSEMENTS REIMBURSEMENTS GRANTS DESCRIPTION 2 CONTRIBUTIONS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS SHELCO REIMBURSEMENTS SCHOOL BD CONTRIBUTIONS REIMBURSEMENTS SHELCO REIMBURSEMENTS FOUNDATION GRANTS ‐ FOUNDATIONS FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL ‐ ‐ 100 ‐ 39,953 6,000 15,000 22,800 30,400 114,252 2,558,151 1,420 ‐ ‐ ‐ ‐ ‐ ‐ ‐ 2,559,571 ‐ 1,895 ‐ ‐ ‐ ‐ ‐ 6,665 ‐ 8,560 FY 2011 BUDGET ‐ 885 3,000 1,250,000 ‐ ‐ ‐ 350,878 ‐ 1,604,763 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 41 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 38 ‐ OTHER REVENUE 303‐0000‐384.01‐70 303‐0000‐384.03‐70 38 ‐ OTHER REVENUE Total 300‐ CAPITAL PROJECTS FUND Total DESCRIPTION MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE DESCRIPTION 2 MISCELLANEOUS REVENUE REFUND OF PRIOR YR EXPS FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL FY 2011 BUDGET 276 210 486 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 1,419,760 3,985,505 445,477 24,395,085 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 42 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 500 ‐ PROPRIETARY FUND 32 ‐ INTERGOVERNMENTAL 552‐2010‐324.02‐20 552‐5040‐324.02‐20 32 ‐ INTERGOVERNMENTAL Total DESCRIPTION PUBLIC ASSISTANCE PUBLIC ASSISTANCE DESCRIPTION 2 STATE/FED PASS THRU STATE/FED PASS THRU FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL ‐ ‐ ‐ 2,049 6,908 8,956 273 921 1,194 FY 2011 BUDGET ‐ ‐ ‐ H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 43 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 34 ‐ CHARGES FOR SERVICES 501‐0510‐348.01‐10 501‐0510‐349.01‐10 501‐0520‐348.02‐10 501‐0520‐349.02‐10 501‐0550‐349.03‐10 515‐8910‐345.06‐10 515‐8910‐345.07‐10 515‐8910‐345.08‐10 515‐8920‐345.06‐10 515‐8920‐345.07‐10 515‐8920‐345.08‐10 515‐8930‐345.06‐10 515‐8930‐345.07‐10 515‐8930‐345.08‐10 515‐8940‐345.06‐10 515‐8940‐345.07‐10 515‐8940‐345.08‐10 516‐8930‐345.06‐10 516‐8930‐345.07‐10 516‐8930‐345.08‐10 516‐8940‐345.06‐10 516‐8940‐345.07‐10 516‐8940‐345.08‐10 520‐2610‐345.09‐10 520‐2610‐345.10‐10 552‐8710‐345.13‐10 552 8710 345.13 10 552‐8710‐345.14‐10 34 ‐ CHARGES FOR SERVICES Total DESCRIPTION SANITARY SEWER SVC CHARGE SANITARY SEWER TAP FEE SANITARY SEWER SVC CHARGE SANITARY SEWER TAP FEE SANITARY SEWER TAP FEE SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES SPECIAL CHARGES DESCRIPTION 2 INVERNESS INVERNESS RIVERCHASE RIVERCHASE SOUTHLAKE HLTH INS PREM CITY REGULR HLTHINS PREM CITY LOSSRSV HLTH INS PREMS PARTICPNTS HLTH INS PREM CITY REGULR HLTHINS PREM CITY LOSSRSV HLTH INS PREMS PARTICPNTS HLTH INS PREM CITY REGULR HLTHINS PREM CITY LOSSRSV HLTH INS PREMS PARTICPNTS HLTH INS PREM CITY REGULR HLTHINS PREM CITY LOSSRSV HLTH INS PREMS PARTICPNTS HLTH INS PREM CITY REGULR HLTHINS PREM CITY LOSSRSV HLTH INS PREMS PARTICPNTS HLTH INS PREM CITY REGULR HLTHINS PREM CITY LOSSRSV HLTH INS PREMS PARTICPNTS WORKRS COMP PREM CITY REG WRKCOMP PREM CITY LOSSRSV PROP&CAS PREM CITY REGULA PROP&CAS PREM CITY REGULA PROP&CAS PREM CITY LOSRES FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL 1,797,409 707,681 1,979,640 135,281 3,600 3,793,028 969,532 947,544 78,805 ‐ 32,457 110,194 ‐ 80,675 23,612 ‐ 1,541 ‐ ‐ ‐ ‐ ‐ ‐ 672,094 110,274 1,001,501 160,240 12,605,106 1,819,959 99,225 1,991,715 1,350 12,263 4,768,486 903,617 968,622 82,278 ‐ 19,606 ‐ ‐ ‐ ‐ ‐ ‐ 118,747 ‐ 84,648 24,573 ‐ ‐ 711,087 111,855 1,155,997 184,960 13,058,989 1,888,224 152,987 1,982,476 9,844 17,156 5,616,297 410,349 1,396,360 80,934 6,129 27,414 ‐ ‐ ‐ ‐ ‐ ‐ 227,790 17,172 108,639 22,035 1,669 1,804 366,926 36,330 1,223,541 122,354 13,716,429 FY 2011 BUDGET 1,900,000 200,000 2,100,000 10,000 2,000 5,843,531 542,104 1,451,508 88,180 8,660 25,844 ‐ ‐ ‐ ‐ ‐ ‐ 314,183 24,247 5,084 27,894 4,330 29,118 494,576 44,960 1,323,541 132,354 14,572,114 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 44 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 35 ‐ INVESTMENT INCOME 501‐0000‐351.01‐70 503‐0000‐351.01‐70 503‐0000‐351.02‐70 35 ‐ INVESTMENT INCOME Total DESCRIPTION INTEREST INTEREST INTEREST DESCRIPTION 2 INTEREST ON BANK ACCOUNTS INTEREST ON BANK ACCOUNTS OTHER INTEREST FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL 159,212 ‐ ‐ 159,212 15,294 9,025 16 24,335 5,222 3,130 ‐ 8,352 FY 2011 BUDGET ‐ ‐ ‐ ‐ H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 45 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 36 ‐ RENTS & ROYALTIES 501‐0510‐364.05‐15 36 ‐ RENTS & ROYALTIES Total DESCRIPTION OTHER DESCRIPTION 2 OTHER RENTS FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL 10 10 ‐ ‐ ‐ ‐ FY 2011 BUDGET ‐ ‐ H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 46 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 37 ‐ CONTRIB & REIMBURSEMENTS 501‐0510‐373.01‐20 515‐8910‐372.08‐20 520‐2610‐372.08‐20 520‐2610‐372.09‐20 552‐8710‐372.08‐20 552‐8710‐372.09‐20 37 ‐ CONTRIB & REIMBURSEMENTS Total DESCRIPTION GRANTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS REIMBURSEMENTS DESCRIPTION 2 GRANTS ‐ FOUNDATIONS STOP LOSS REIMBURSEMENTS STOP LOSS REIMBURSEMENTS CLAIM REIMB/SUBROGATION STOP LOSS REIMBURSEMENTS CLAIM REIMB/SUBROGATION FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL ‐ ‐ 17,599 2,211 273,627 22,248 315,684 ‐ ‐ 73,332 ‐ 96,518 59,350 229,200 ‐ 261,628 604,397 30,943 378,273 18,909 1,294,151 FY 2011 BUDGET ‐ ‐ ‐ ‐ ‐ ‐ ‐ H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 47 of 206 REVENUE BUDGET PROJECTION ‐ DETAIL BY ACCOUNT FY 2011 ACCOUNT 38 ‐ OTHER REVENUE 515‐0000‐384.01‐70 515‐8910‐384.01‐40 515‐8910‐384.04‐40 515‐8920‐384.04‐40 515‐8930‐383.03‐40 515‐8930‐383.03‐70 515‐8930‐384.03‐40 515‐8930‐384.04‐40 515‐8940‐384.04‐40 520‐0000‐384.01‐70 520‐0000‐384.08‐70 520‐2610‐384.07‐40 552‐0000‐384.01‐70 552‐0000‐384.08‐70 552‐8710‐384.01‐40 552‐8710‐384.07‐40 38 ‐ OTHER REVENUE Total DESCRIPTION MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE INTEREST & PENALTY INTEREST & PENALTY MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE DESCRIPTION 2 MISCELLANEOUS REVENUE MISCELLANEOUS REVENUE REBATES REBATES LATE FEES LATE FEES REFUND OF PRIOR YR EXPS REBATES REBATES MISCELLANEOUS REVENUE ACTUARIAL ADJUSTMENT OVERPAYMENT REFUNDS MISCELLANEOUS REVENUE ACTUARIAL ADJUSTMENT MISCELLANEOUS REVENUE OVERPAYMENT REFUNDS FY 2008 ACTUAL FY 2009 ACTUAL FY 2010 ACTUAL FY 2011 BUDGET ‐ ‐ 121,540 904 30 ‐ ‐ 3,570 725 23,773 263,146 1,814 25,541 391,221 ‐ ‐ 832,264 ‐ 580 167,160 1,031 ‐ ‐ ‐ ‐ ‐ 1,356 (280,046) 2,316 ‐ 242,418 ‐ ‐ 134,815 ‐ ‐ 113,210 192 ‐ ‐ ‐ ‐ ‐ 346 43,393 1,640 ‐ ‐ 7 ‐ 158,788 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 500 ‐ PROPRIETARY FUND Total 13,912,276 13,456,295 15,178,914 14,572,114 Grand Total 115,906,833 111,450,751 112,683,715 132,705,433 H:\Budget ‐ FY 2011\Revenue\Revenue projection fy 2011 CROSS REPORT by acct 48 of 206 FY 2011 BUDGET LEVEL 0053 ‐ GENERAL FUND EXPENDITURES ‐ EXCLUDES TRANSFERS OUT BY ELEMENT AND DEPARTMENT FY 2010 PROPOSED BUDGET CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS Total 02 ‐ OPERATING 02 ‐ OPERATING Total 03 ‐ CAPITAL 03 ‐ CAPITAL Total 04 ‐ OTHER USES OF FUNDS DEPART 01 10 11 12 13 19 20 21 22 23 24 25 26 ELEMENT ELEMENT DESCRIPTION EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS EMPLOYEE INCENTIVE PAY ADD PAY OTHER EMPLOYEE BENEFITS EMPL. BENEFITS‐GROUP INS EMPL. BEN.‐SOC. SECURITY EMP. BEN.‐RETIREMENT PLAN EMPLOYEE BENEFITS UNEMPLOYMENT COMPENSATION EMP. BEN.‐WORKERS COMP 30 31 32 33 34 35 36 37 38 39 42 43 44 50 52 53 54 55 58 59 61 62 64 68 PURCHASE LEGAL SERVICES PURCH. ACCT. & FIN. SVC. PLANNING‐ARCH. & ENG. SVC PURCHASED MEDICAL SVCS. PURCHASED MGMT. SERVICES PURCHASED TECHNICAL SVCS. PURCH CULTURE & REC SVC PURCH.HEALTH& WELFARE SVC CIVIC SVCS/CONTRIBUTIONS REGIS.FEES‐CONF,SEM,CERTI PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PERMITS AND FEES PURCH. RISK MGMT. SVC. OTHER PURCH. SVS. COMM. OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES UTILITIES BKS, PERIODICAL & A/V MAT OTHER LIBRARY ACTIVITIES 71 73 74 75 76 78 79 LAND BUILDINGS/IMPR TO BLDGS EQUIPMENT VEHICLES FURNITURE & FIXTURES IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN 83 84 85 MUNI BONDS & WARRANTS REVENUE REBATE BOARD OF EDUCATION 04 ‐ OTHER USES OF FUNDS Total Grand Total % Breakdown (transfers out not included) H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 CROSS SUM OF SUMMARY GF DEPT DESCRIPTION 02 03 04 06 07 09 11 CITY COUNCIL OPERATIONS HUMAN ADMINISTRATION SUPPORT SUPPORT CITY ENGINEER RESOURCES SUPPORT SERVICES DEVELOPMENT FINANCE 238,557 349,848 620,802 425,047 373,004 616,113 571,154 1,000 5,000 3,000 4,000 1,000 5,000 5,000 8,000 2,000 10,000 16,000 ‐ 3,000 305,000 6,036 19,826 49,654 92,641 64,217 56,783 19,106 25,816 45,965 31,413 28,520 17,515 35,182 73,907 50,198 44,406 60,000 10,000 377 538 955 5,643 574 306,417 467,038 847,270 578,518 891,287 406,000 ‐ ‐ 20,000 12,000 3,000 3,300 50,000 125,000 10,000 200,300 113,060 ‐ 132,000 67,920 ‐ 67,047 1,000 3,000 109,007 46,276 73,235 83,913 42,384 67,572 950 879 865,581 ‐ 769,902 106,500 ‐ 56,000 ‐ 7,500 130,050 15,000 388,370 7,500 800 4,500 5,000 4,000 4,952 303 10,316 91,178 310,694 4,000 14,000 78,900 5,000 1,500 1,455,895 3,860 2,650 11,083 10,300 , , , , 37,500 42,000 22,455 10,362 4,500 18,650 682 4,223 7,050 8,750 4,100 169,100 400 6,255 2,582 57,874 19,180 107,252 105,212 17,000 20,000 12,000 185,000 2,010 350 2,750 1,761 2,600 , 13,948 1,200 3,750 1,000 28,200 9,000 1,000 186,450 ‐ , ‐ 450 ‐ 7,550 ‐ 2,850 ‐ 454,099 ‐ 19,000 2,150 ‐ 5,300 4,400 14,250 55,000 13,000 4,000 393,032 248,749 988,392 ‐ 223,709 ‐ 993,611 699,449 0.82% 1,188,316 1,655,354 1.94% 1,911,588 839,383 2,000 7,500 ‐ 3,500 4,108 944 115,185 ‐ 609 5,000 3,000 ‐ 7,000 68,000 ‐ 30,000 40,000 ‐ 98,000 40,000 2,758,858 1,515,901 3.23% 1.77% 1,140,036 1.33% 1,893,973 2.22% 0.00% 2,650 , 1.16% 49 of 206 FY 2011 BUDGET LEVEL 0053 ‐ GENERAL FUND EXPENDITURES ‐ EXCLUDES TRANSFERS OUT BY ELEMENT AND DEPARTMENT FY 2010 PROPOSED BUDGET CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS Total 02 ‐ OPERATING 02 ‐ OPERATING Total 03 ‐ CAPITAL 03 ‐ CAPITAL Total 04 ‐ OTHER USES OF FUNDS 10 11 12 13 19 20 21 22 23 24 25 26 ELEMENT ELEMENT DESCRIPTION EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS EMPLOYEE INCENTIVE PAY ADD PAY OTHER EMPLOYEE BENEFITS EMPL. BENEFITS‐GROUP INS EMPL. BEN.‐SOC. SECURITY EMP. BEN.‐RETIREMENT PLAN EMPLOYEE BENEFITS UNEMPLOYMENT COMPENSATION EMP. BEN.‐WORKERS COMP 30 31 32 33 34 35 36 37 38 39 42 43 44 50 52 53 54 55 58 59 61 62 64 68 PURCHASE LEGAL SERVICES PURCH. ACCT. & FIN. SVC. PLANNING‐ARCH. & ENG. SVC PURCHASED MEDICAL SVCS. PURCHASED MGMT. SERVICES PURCHASED TECHNICAL SVCS. PURCH CULTURE & REC SVC PURCH.HEALTH& WELFARE SVC CIVIC SVCS/CONTRIBUTIONS REGIS.FEES‐CONF,SEM,CERTI PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PERMITS AND FEES PURCH. RISK MGMT. SVC. OTHER PURCH. SVS. COMM. OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES UTILITIES BKS, PERIODICAL & A/V MAT OTHER LIBRARY ACTIVITIES 71 73 74 75 76 78 79 LAND BUILDINGS/IMPR TO BLDGS EQUIPMENT VEHICLES FURNITURE & FIXTURES IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN 83 84 85 MUNI BONDS & WARRANTS REVENUE REBATE BOARD OF EDUCATION 04 ‐ OTHER USES OF FUNDS Total Grand Total % Breakdown (transfers out not included) H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 CROSS SUM OF SUMMARY GF 12 19 20 REVENUE 590,379 ‐ 6,000 PUBLIC SAFETY 21 22 INSPECTION POLICE FIRE SERVICES 10,278,104 10,777,754 1,220,908 556,000 140,000 8,000 170,000 455,000 18,000 30 40 45 MUNICIPAL COURT PUBLIC WORKS FLEET SERVICES 96,610 2,187,492 350,821 18,000 180,000 25,000 3,000 25,000 10,000 5,402 1,801 84,314 44,094 69,723 1,971,638 2,006,066 233,468 28,081 513,236 77,505 840,050 832,973 91,036 8,470 174,197 28,358 1,326,697 1,289,387 145,135 13,536 279,602 44,385 909 795,419 172,761 150,835 14,031 903 47,956 7,049 15,320,652 15,653,816 1,730,578 168,600 3,407,483 543,118 150,500 1,500 150 424,500 4,200 ‐ 12,500 22,000 7,550 ‐ ‐ 4,000 3,511 4,633 1,370 2,287 6,750 36,100 34,486 43,868 144,197 5,000 1,000 6,054,043 1,500 15,000 15,000 11,323 94,731 183,800 725 4,300 600 16,172 19,002 7,814 7,420 11,300 6,500 6,846 272,524 18,392 80,835 1,800 29,605 15,752 11,000 90 6,600 149,200 251,000 170,800 23,550 15,200 14,900 7,250 , , , , , , , , 6,000 5,000 1,400 36,850 4,800 18,000 28,000 2,400 7,832 52,368 8,980 1,260,625 378,500 10,855 3,400 6,625 5,000 529,702 271,740 14,310 2,900 5,650 1,200 65,350 74,000 2,200 1,000 1,325 300 31,350 82,000 150 3,125 2,816 2,278 459,271 235,000 1,000 500 2,650 3,500 120,255 131,000 3,000 516,381 2,405,061 1,308,656 236,586 173,347 7,162,530 327,402 40,000 44,000 ‐ ‐ 43,000 27,000 ‐ 40,000 ‐ 43,000 71,000 ‐ 17,725,713 17,002,472 1,967,164 384,947 10,641,013 870,520 188,920 ‐ 1,311,800 1.53% 188,920 0.22% 20.74% 19.89% 2.30% 0.45% 12.45% 1.02% 50 of 206 FY 2011 BUDGET LEVEL 0053 ‐ GENERAL FUND EXPENDITURES ‐ EXCLUDES TRANSFERS OUT BY ELEMENT AND DEPARTMENT FY 2010 PROPOSED BUDGET CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS Total 02 ‐ OPERATING 02 ‐ OPERATING Total 03 ‐ CAPITAL 03 ‐ CAPITAL Total 04 ‐ OTHER USES OF FUNDS 10 11 12 13 19 20 21 22 23 24 25 26 ELEMENT ELEMENT DESCRIPTION EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS EMPLOYEE INCENTIVE PAY ADD PAY OTHER EMPLOYEE BENEFITS EMPL. BENEFITS‐GROUP INS EMPL. BEN.‐SOC. SECURITY EMP. BEN.‐RETIREMENT PLAN EMPLOYEE BENEFITS UNEMPLOYMENT COMPENSATION EMP. BEN.‐WORKERS COMP 30 31 32 33 34 35 36 37 38 39 42 43 44 50 52 53 54 55 58 59 61 62 64 68 PURCHASE LEGAL SERVICES PURCH. ACCT. & FIN. SVC. PLANNING‐ARCH. & ENG. SVC PURCHASED MEDICAL SVCS. PURCHASED MGMT. SERVICES PURCHASED TECHNICAL SVCS. PURCH CULTURE & REC SVC PURCH.HEALTH& WELFARE SVC CIVIC SVCS/CONTRIBUTIONS REGIS.FEES‐CONF,SEM,CERTI PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PERMITS AND FEES PURCH. RISK MGMT. SVC. OTHER PURCH. SVS. COMM. OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES UTILITIES BKS, PERIODICAL & A/V MAT OTHER LIBRARY ACTIVITIES 71 73 74 75 76 78 79 LAND BUILDINGS/IMPR TO BLDGS EQUIPMENT VEHICLES FURNITURE & FIXTURES IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN 83 84 85 MUNI BONDS & WARRANTS REVENUE REBATE BOARD OF EDUCATION 04 ‐ OTHER USES OF FUNDS Total Grand Total % Breakdown (transfers out not included) H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 CROSS SUM OF SUMMARY GF 50 60 PARKS & RECREATION LIBRARY 3,028,439 2,999,227 184,000 55,000 62,000 18,000 70 HEALTH & WELFARE 75 OTHER DEPARTMENTS 80 84 DEBT SERVICE REVENUE REBATE 85 BOARD OF EDUCATION Grand Total 53,660 41,500 , , 10,375 22,000 36,500 39,450 6,087 8,000 1,000 898,577 266,273 890,300 342,000 166,000 300 434,865 400,000 2,925,034 1,863,208 63,255 215,998 34,724,259 1,180,000 816,000 305,000 8,407 6,036 6,337,307 2,733,202 4,191,743 60,000 10,000 460,120 50,832,074 556,500 582,950 385,300 117,260 505,967 6,195,643 194,300 79,755 410,870 105,600 291,391 1,652,895 603,639 173,250 1,455,895 953,253 , 126,278 124,401 161,794 228,095 4,499,870 2,891,540 483,101 400,000 23,179,547 80,000 54,000 272,000 154,000 ‐ ‐ 134,000 ‐ 9,026,681 ‐ ‐ 426,000 9,026,681 9,026,681 9,026,681 2,000,000 2,000,000 2,000,000 11,026,681 2,000,000 85,464,302 1,204 592,024 354,934 242,532 232,012 363,714 297,549 48,760 7,000 4,521,469 3,964,926 12,000 ‐ 127,000 8,000 ‐ 177,300 17,000 63,255 6,500 88,551 552,396 49,000 7,580,503 8.87% 3,500 34,391 109,317 62,300 90,100 5,828,134 6.82% 33,811 16,187 63,255 0.07% 215,998 0.25% 10.56% 0.00% 2.34% 100.00% 51 of 206 FY 2011 BUDGET LEVEL 0053 ‐ SPECIAL REVENUE FUND EXPENDITURES ‐ EXCLUDES TRANSFERS OUT BY ELEMENT AND DEPARTMENT FY 2010 PROPOSED BUDGET CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS Total 02 ‐ OPERATING 02 ‐ OPERATING Total 03 ‐ CAPITAL ELEMENT 10 11 12 19 21 22 23 26 30 31 32 33 34 35 36 38 39 42 43 44 53 54 55 58 59 61 64 71 73 74 75 76 78 79 ELEMENT DESCRIPTION EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS ADD PAY EMPL. BENEFITS‐GROUP INS EMPL. BEN.‐SOC. SECURITY EMP. BEN.‐RETIREMENT PLAN EMP. BEN.‐WORKERS COMP PURCHASE LEGAL SERVICES PURCH. ACCT. & FIN. SVC. PLANNING‐ARCH. & ENG. SVC PURCHASED MEDICAL SVCS. PURCHASED MGMT. SERVICES PURCHASED TECHNICAL SVCS. PURCH CULTURE & REC SVC CIVIC SVCS/CONTRIBUTIONS REGIS.FEES‐CONF,SEM,CERTI PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES OTHER PURCH. SVS. COMM. OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT LAND BUILDINGS/IMPR TO BLDGS EQUIPMENT VEHICLES FURNITURE & FIXTURES IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN 03 ‐ CAPITAL Total Grand Total % Breakdown (transfers out not included) H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 CROSS SUM OF SUMMARY SRF DEPART 03 SUPPORT DEPT DESCRIPTION 04 CITY ENGINEER 09 DEVELOPMENT 19 PUBLIC SAFETY 1,370,691 120,000 35,000 1,801 282,985 114,343 176,052 4,271 2,105,143 20 POLICE 1,573,641 120,000 76,000 3,601 234,574 98,117 146,874 19,775 2,272,582 21 FIRE 297,412 ‐ 70,060 21,623 35,124 4,318 428,537 20,000 147,850 30,000 5,000 2,450 500 120,953 2,000 2,000 2,000 12,205 20,152 6,750 29,200 4,500 1,681 1,000 3,150 3,345 331,800 290,534 25,500 10,000 361,800 302,739 130,634 115,797 15,377 2,000 3,000 500 423,400 400 590,900 49,444 150,646 ‐ 25,200 140,000 965,048 43,305 980,425 193,951 ‐ 214,644 361,800 1,283,164 324,585 2,220,940 3,078,126 428,537 3.25% 11.52% 2.91% 19.94% 27.64% 3.85% 52 of 206 FY 2011 BUDGET LEVEL 0053 ‐ SPECIAL REVENUE FUND EXPENDITURES ‐ EXCLUDES TRANSFERS OUT BY ELEMENT AND DEPARTMENT FY 2010 PROPOSED BUDGET CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS Total 02 ‐ OPERATING 02 ‐ OPERATING Total 03 ‐ CAPITAL ELEMENT 10 11 12 19 21 22 23 26 30 31 32 33 34 35 36 38 39 42 43 44 53 54 55 58 59 61 64 71 73 74 75 76 78 79 ELEMENT DESCRIPTION EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS ADD PAY EMPL. BENEFITS‐GROUP INS EMPL. BEN.‐SOC. SECURITY EMP. BEN.‐RETIREMENT PLAN EMP. BEN.‐WORKERS COMP PURCHASE LEGAL SERVICES PURCH. ACCT. & FIN. SVC. PLANNING‐ARCH. & ENG. SVC PURCHASED MEDICAL SVCS. PURCHASED MGMT. SERVICES PURCHASED TECHNICAL SVCS. PURCH CULTURE & REC SVC CIVIC SVCS/CONTRIBUTIONS REGIS.FEES‐CONF,SEM,CERTI PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES OTHER PURCH. SVS. COMM. OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT 30 MUNICIPAL COURT 694,322 190,000 10,000 40 PUBLIC WORKS 145,234 65,877 104,439 3,431 1,213,303 75,100 52,900 % Breakdown (transfers out not included) H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 CROSS SUM OF SUMMARY SRF 60 LIBRARY Grand Total 3,957,711 430,000 121,000 5,402 732,853 301,616 462,489 31,828 6,042,899 75,100 72,900 1,656 33 23,334 10,520 147,850 256,200 2,950 75 120,953 16,520 200 17,300 39,307 51,000 13,050 22,650 200 2,350 270,020 1,500,000 150 16,700 624,190 1,575,000 3,225 1,681 15,050 30,000 6,195 2,841,404 27,100 3,704,285 143,400 75,000 2,800 75 LAND BUILDINGS/IMPR TO BLDGS EQUIPMENT VEHICLES FURNITURE & FIXTURES IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN 03 ‐ CAPITAL Total Grand Total 50 RECREATION 21,645 64,821 175,846 140,000 1,629 1,629 1,008,353 1,390,649 11,137,833 1,629 1,837,493 1,575,000 28,188 16.50% 14.14% 0.25% 0.00% 100.00% 53 of 206 FY 2011 BUDGET LEVEL 0053 ‐ CAPITAL PROJECTS FUND EXPENDITURES ‐ EXCLUDES TRANSFERS OUT BY ELEMENT AND DEPARTMENT FY 2010 PROPOSED BUDGET CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING Total 03 ‐ CAPITAL ELEMENT 31 32 34 35 38 39 42 43 44 50 55 58 61 71 73 74 75 76 78 79 ELEMENT DESCRIPTION PURCH. ACCT. & FIN. SVC. PLANNING‐ARCH. & ENG. SVC PURCHASED MGMT. SERVICES PURCHASED TECHNICAL SVCS. CIVIC SVCS/CONTRIBUTIONS REGIS.FEES‐CONF,SEM,CERTI PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PERMITS AND FEES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES LAND BUILDINGS/IMPR TO BLDGS EQUIPMENT VEHICLES FURNITURE & FIXTURES IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN 03 ‐ CAPITAL Total Grand Total % Breakdown (transfers out not included) DEPART DEPT DESCRIPTION 01 02 ADMINISTRATION SUPPORT 03 SUPPORT 04 CITY ENGINEER 06 RESOURCES 07 SUPPORT SERVICES 50,647 156,088 09 DEVELOPMENT 28,500 280,733 4,050 28,600 2,140 64,237 28,600 280,733 56,837 220,325 26,193 397,174 274,328 274,328 28,500 314,000 135,000 528,586 32,529,740 33,616,693 28,600 280,733 56,837 33,837,018 0.08% 0.75% 0.15% 90.18% 55,000 ‐ 314,000 55,000 588,328 83,500 0.00% 1.57% 0.22% H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 CROSS SUM OF SUMMARY CPF 54 of 206 FY 2011 BUDGET LEVEL 0053 ‐ CAPITAL PROJECTS FUND EXPENDITURES ‐ EXCLUDES TRANSFERS OUT BY ELEMENT AND DEPARTMENT FY 2010 PROPOSED BUDGET CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING Total 03 ‐ CAPITAL ELEMENT 31 32 34 35 38 39 42 43 44 50 55 58 61 ELEMENT DESCRIPTION PURCH. ACCT. & FIN. SVC. PLANNING‐ARCH. & ENG. SVC PURCHASED MGMT. SERVICES PURCHASED TECHNICAL SVCS. CIVIC SVCS/CONTRIBUTIONS REGIS.FEES‐CONF,SEM,CERTI PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PERMITS AND FEES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES 11 FINANCE 127,767 LAND BUILDINGS/IMPR TO BLDGS EQUIPMENT VEHICLES FURNITURE & FIXTURES IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN 03 ‐ CAPITAL Total Grand Total % Breakdown (transfers out not included) 20 POLICE 21 FIRE 40 PUBLIC WORKS 50 RECREATION 60 LIBRARY Grand Total 235,235 10,885 494,385 75,000 2,300 127,767 71 73 74 75 76 78 79 19 PUBLIC SAFETY 6,350 20,698 40,673 35,811 466,487 75,000 20,698 42,973 35,811 10,885 1,202,457 26,193 4,745 250,000 133,575 150,000 935,494 72,000 15,000 401,000 615,000 425,000 1,175,000 50,000 1,253,301 32,529,740 72,000 669,745 675,000 753,290 165,000 36,320,728 127,767 72,000 744,745 695,698 42,973 789,101 175,885 37,523,185 0.34% 0.19% 1.98% 619,715 1.85% 0.11% 2.10% 0.47% 100.00% H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 CROSS SUM OF SUMMARY CPF 55 of 206 FY 2011 BUDGET LEVEL 0053 ‐ PROPRIETARY FUND EXPENDITURES ‐ EXCLUDES TRANSFERS OUT BY ELEMENT AND DEPARTMENT FY 2010 PROPOSED BUDGET CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS Total 02 ‐ OPERATING 02 ‐ OPERATING Total 03 ‐ CAPITAL 03 ‐ CAPITAL Total 04 ‐ OTHER USES OF FUNDS 10 11 12 14 21 22 23 26 ELEMENT ELEMENT DESCRIPTION EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS EDUCATION PAY EMPL. BENEFITS‐GROUP INS EMPL. BEN.‐SOC. SECURITY EMP. BEN.‐RETIREMENT PLAN EMP. BEN.‐WORKERS COMP 30 31 32 34 35 39 43 44 50 51 52 53 54 55 58 59 61 62 64 PURCHASE LEGAL SERVICES PURCH. ACCT. & FIN. SVC. PLANNING‐ARCH. & ENG. SVC PURCHASED MGMT. SERVICES PURCHASED TECHNICAL SVCS. REGIS.FEES‐CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PERMITS AND FEES CLAIMS PURCH. RISK MGMT. SVC. OTHER PURCH. SVS. COMM. OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES UTILITIES BKS, PERIODICAL & A/V MAT 71 73 74 75 78 79 LAND BUILDINGS/IMPR TO BLDGS EQUIPMENT VEHICLES IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN 80 83 87 88 89 98 99 OPERATING EXPENSE MUNI BONDS & WARRANTS PROPERTY & CASUALTY WORKERS COMP HEALTH INS WARRANT ISSUE SRL WARRANTS 04 ‐ OTHER USES OF FUNDS Total Grand Total % Breakdown (transfers out not included) H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 CROSS SUM OF SUMMARY PF DEPART 05 DEPT DESCRIPTION 26 SEWER ENTERPRISE 86,533 ‐ 3,000 WORKERS COMP 87 PROPERTY & CASUALTY 89 Grand Total HEALTH INS 86,533 ‐ 3,000 14,276 6,628 10,220 1,123 121,780 14,276 6,628 10,220 1,123 121,780 197,469 25,000 60,000 257,469 25,000 951,500 1,800 240,694 22,000 110,000 951,500 1,800 240,694 22,000 110,000 891,878 891,878 18,400 18,400 700 1,250 200 143,250 525,950 450 2,238,663 700 1,250 200 143,250 525,950 450 891,878 60,000 3,190,541 25,400 25,400 1,745,857 1,771,257 2,000,000 12,079 1,745,857 1,771,257 2,000,000 12,079 431,663 431,663 544,000 544,000 7,725,342 7,725,342 862,337 441,363 544,000 431,663 7,725,342 12,016,784 544,000 1,323,541 7,785,342 17,100,362 862,337 441,363 3,315,779 7,447,479 43.55% 3.18% 7.74% 45.53% 100.00% 56 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS SALARY AND BENEFIT EXPENDITURES BY DEPARTMENT FY 2010 PROPOSED BUDGET DEPARTMENT 01 02 03 04 05 06 07 11 12 19 20 21 22 30 40 45 50 60 Grand Total % BREAKDOWN DEPT DESCRIPTION ADMINISTRATION CITY COUNCIL SUPPORT OPERATIONS SUPPORT CITY ENGINEER SEWER ENTERPRISE HUMAN RESOURCES SUPPORT SERVICES FINANCE REVENUE PUBLIC SAFETY POLICE FIRE INSPECTION SERVICES MUNICIPAL COURT PUBLIC WORKS FLEET SERVICES PARKS & RECREATION LIBRARY TYPE SALARIES BENEFITS Grand Total 249,593 355,848 633,802 427,047 89,533 691,004 636,113 575,154 596,379 1,527,492 12,782,748 11,671,967 1,246,908 1,011,932 2,392,492 385,821 3,296,084 3,073,431 41,643,348 56,824 111,190 213,468 151,471 32,247 200,283 229,468 194,748 199,040 577,651 4,810,486 4,410,386 483,670 369,971 1,014,991 157,297 1,248,719 891,495 15,353,405 306,417 467,038 847,270 578,518 121,780 891,287 865,581 769,902 795,419 2,105,143 17,593,234 16,082,353 1,730,578 1,381,903 3,407,483 543,118 4,544,803 3,964,926 56,996,753 73.06% 26.94% 100.00% DEPARTMENT % 0.54% 0.82% 1.49% 1.02% 0.21% 1.56% 1.52% 1.35% 1.40% 3.69% 30.87% 28.22% 3.04% 2.42% 5.98% 0.95% 7.97% 6.96% 100.00% H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 CROSS S&B ALL FUNDS 57 of 206 CITY OF HOOVER PAYROLL PROJECTION FY 2011 City of Hoover Payroll Projection FY 2011 Amount Payroll projection ‐ FY 2010 original budget $ 56,902,554 Initial payroll projection after FY 2010 activity: Prior year step increases/turnover/retirements net (NOTE: FY 2010 had no step increases) Overtime Pay for benefits 43 hours police (until they hit overtime) FY 2010 position deletions/changes realized Benefits associated with above changes: life ins/med/soc sec/ret/ Subtotal (552,148) (47,784) ‐ (50,000) (541,502) 3,748 (1,187,686) FY 2011 changes: Retirement increase (11.27% to 11.81%) Increase in health insurance including retirees and cobra Personnel study implementation ‐ (steps and incentives) Workers compensation adjustment Outsource 2 retiring custodian positions Subtotal 198,827 338,166 746,056 91,217 (92,381) 1,281,885 Total FY 2011 payroll budget $ 56,996,753 Change from the FY 2010 original payroll budget to the FY 2011 projected payroll budget $ 94,199 H:\Budget ‐ FY 2011\PAYROLL\PAYROLL SUMMARY CHANGES 8‐24‐2010 summary detail 58 of 206 PAYROLL PROJECTION FY 2011 OTHER PAYROLL ITEMS SALARIES CAR ALLOWANCE HEALTH INSURANCE DENTAL INSURANCE LIFE DISABILITY INSURANCE EMPLOYEE COBRA RETIREE ACTIVE "10" "11" "12" "19" "2001" "2101" "2102" "2103" "2105" "2106" RETIREE COBRA MEDICARE SOCIAL SECURITY 11.27% TO 11.81% RETIREMENT WORKERS COMP OTHER BENEFITS "2107" "2201" "2301" "2620" "2401" "2406" "2501" TOTAL SALARIES TOTAL BENEFITS TOTAL SALARIES AND BENEFITS 43 hours police (2040) Overtime (11's) Pay for benefits (12's) Military leave pay (1910, 2010, 2060, and 2120) Holiday pay ‐ fire (2120) 12 holidays @ $28,000 Temporaries ‐ library Crossing guards ‐ (2045‐1005) Personal training ‐ recreation center (5020) Position elimination Other benefits (0610) Final mercer implementation (0610) Total other payroll items l h ll i 450,000.00 1,610,000.00 900,000.00 40,000.00 336,000.00 15,000.00 45,000.00 10,000.00 ‐ ‐ 305,000.00 3,711,000.00 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 2,083.00 ‐ ‐ ‐ ‐ ‐ ‐ 2,083.00 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 34,425.00 123,165.00 68,850.00 3,060.00 25,704.00 1,148.00 3,443.00 765.00 ‐ ‐ ‐ 260,560.00 53,145.00 190,141.00 ‐ ‐ 39,682.00 ‐ ‐ 1,181.00 ‐ ‐ ‐ 284,149.00 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 70,000.00 ‐ 70,000.00 450,000.00 1,610,000.00 900,000.00 40,000.00 336,000.00 15,000.00 45,000.00 10,000.00 ‐ ‐ 305,000.00 3,711,000.00 87,570.00 313,306.00 68,850.00 3,060.00 67,469.00 1,148.00 3,443.00 1,946.00 ‐ 70,000.00 ‐ 616,792.00 537,570.00 1,923,306.00 968,850.00 43,060.00 403,469.00 16,148.00 48,443.00 11,946.00 ‐ 70,000.00 305,000.00 4,327,792.00 Changes on other payroll items from FY 2010 Related to the 2 vacant position deletions only 79,653.00 49,054.00 ‐ ‐ 12,835.00 12,835.00 698.00 698.00 309.00 309.00 202.00 202.00 571.00 571.00 56.00 56.00 5,710.00 3,354.00 9,046.00 5,529.00 307.00 66.00 ‐ ‐ 79,653.00 49,054.00 29,734.00 23,620.00 109,387.00 72,674.00 FY 2011 HTE FROM BELOW 37,926,306.07 6,035.71 6,055,674.55 329,958.28 229,221.52 96,841.98 338,418.00 32,228.52 2,780,887.55 4,380,300.93 493,072.48 ‐ 37,932,341.78 14,736,603.81 52,668,945.59 FY 2011 HTE AFTER GMBA ROLL 37,926,312.00 6,036.00 6,055,682.00 329,953.00 229,224.00 96,840.00 338,430.00 32,224.00 2,780,886.00 4,380,303.00 493,071.00 ‐ 37,932,348.00 14,736,613.00 52,668,961.00 FY 2011 HTE + above other payroll items 41,637,312.00 73.05% 6,036.00 0.01% 6,055,682.00 10.62% 329,953.00 0.58% 231,307.00 0.41% 96,840.00 0.17% 338,430.00 0.59% 32,224.00 0.06% 3,041,446.00 5.34% 4,664,452.00 8.18% 493,071.00 0.87% 70,000.00 0.12% 41,643,348.00 73.06% 15,353,405.00 26.94% 56,996,753.00 100.00% CURRENT FY 2010 ORIGINAL BUDGET 41,904,603.00 6,036.00 5,960,221.00 333,513.00 234,097.00 89,642.00 252,227.00 24,404.00 3,121,318.00 4,507,113.00 399,380.00 70,000.00 41,910,639.00 14,991,915.00 56,902,554.00 CURRENT FY 2010 AMENDED BUDGET 41,917,603.00 6,036.00 5,960,221.00 333,513.00 234,097.00 89,642.00 252,227.00 24,404.00 3,122,468.00 4,508,963.00 401,380.00 70,000.00 41,923,639.00 14,996,915.00 56,920,554.00 DIFFERENCE TO FY 2010 ORIGINAL BUDGET (267,291.00) ‐ 95,461.00 (3,560.00) (2,790.00) 7,198.00 86,203.00 7,820.00 (79,872.00) 157,339.00 93,691.00 ‐ (267,291.00) 361,490.00 94,199.00 ‐1.07% ‐1.19% 8.03% 34.18% 32.04% % INCREASE OVER PREVIOUS FISCAL YEAR ‐0.64% 0.00% 1.60% ‐2.56% 3.49% 23.46% 0.00% ‐0.64% 2.41% 0.17% CHANGES IN OTHER PAYROLL ITEMS NEW START PT A. HTE PROJECTION B/F FY 2010 POSITION DELETES B. HTE PROJECTION AFTER FY 2010 POSITION DELETES C. AFTER RETIREMENT INCREASE D. INCREASE IN BCBS INCLUDING RETIREES AND COBRA E. WORKERS COMP ADJUSTMENT F. STEP INCREASES G. DELETE 2 RETIRING CUSTODIANS AND OUTSOURCE 41,824,950.00 38,019,622.47 37,626,994.07 37,626,994.07 37,626,994.07 37,626,994.07 37,991,171.77 37,926,306.07 6,036.00 6,035.71 6,035.71 6,035.71 6,035.71 6,035.71 6,035.71 6,035.71 5,947,386.00 5,896,501.02 5,833,128.86 5,833,128.86 6,066,191.23 6,066,191.23 6,066,191.23 6,055,674.55 332,815.00 334,197.63 330,899.45 330,899.45 330,899.45 330,899.45 330,899.45 329,958.28 233,788.00 229,998.91 227,465.59 227,465.59 227,465.59 227,465.59 229,630.48 229,221.52 89,440.00 89,905.53 89,061.69 89,061.69 97,154.82 97,154.82 97,154.82 96,841.98 251,656.00 252,966.60 250,588.50 250,588.50 339,513.00 339,513.00 339,513.00 338,418.00 24,348.00 24,476.60 24,246.50 24,246.50 32,332.80 32,332.80 32,332.80 32,228.52 3,115,608.00 2,787,792.42 2,757,911.86 2,757,911.86 2,757,911.86 2,757,911.86 2,785,874.48 2,780,887.55 4,498,067.00 4,191,282.33 4,147,032.81 4,345,860.21 4,345,860.21 4,345,860.21 4,387,961.75 4,380,300.93 399,073.00 400,798.49 398,710.51 398,710.51 398,710.51 489,928.32 494,577.82 493,072.48 70,000.00 ‐ ‐ ‐ ‐ ‐ ‐ ‐ 41,830,986.00 38,025,658.18 37,633,029.78 37,633,029.78 37,633,029.78 37,633,029.78 37,997,207.48 37,932,341.78 14,962,181.00 14,207,919.53 14,059,045.77 14,257,873.17 14,596,039.47 14,687,257.28 14,764,135.83 14,736,603.81 56,793,167.00 52,233,577.71 51,692,075.55 51,890,902.95 52,229,069.25 52,320,287.06 52,761,343.31 52,668,945.59 CHANGES IN OTHER PAYROLL ITEMS NEW START PT A. HTE PROJECTION PLUS OTHER PAYROLL ITEMS B. HTE PROJECTION AFTER FY 2010 POSITION DELETES C. AFTER RETIREMENT INCREASE D. INCREASE IN BCBS INCLUDING RETIREES AND COBRA E. WORKERS COMP ADJUSTMENT F. STEP INCREASES G. DELETE 2 RETIRING CUSTODIANS AND OUTSOURCE 41,904,603.00 41,730,622.47 41,337,994.07 41,337,994.07 41,337,994.07 41,337,994.07 41,702,171.77 41,637,306.07 6,036.00 6,035.71 6,035.71 6,035.71 6,035.71 6,035.71 6,035.71 6,035.71 5,960,221.00 5,896,501.02 5,833,128.86 5,833,128.86 6,066,191.23 6,066,191.23 6,066,191.23 6,055,674.55 333,513.00 334,197.63 330,899.45 330,899.45 330,899.45 330,899.45 330,899.45 329,958.28 234,097.00 232,081.91 229,548.59 229,548.59 229,548.59 229,548.59 231,713.48 231,304.52 89,642.00 89,905.53 89,061.69 89,061.69 97,154.82 97,154.82 97,154.82 96,841.98 252,227.00 252,966.60 250,588.50 250,588.50 339,513.00 339,513.00 339,513.00 338,418.00 24,404.00 24,476.60 24,246.50 24,246.50 32,332.80 32,332.80 32,332.80 32,228.52 3,121,318.00 3,048,352.42 3,018,471.86 3,018,471.86 3,018,471.86 3,018,471.86 3,046,434.48 3,041,447.55 4,507,113.00 4,475,431.33 4,431,181.81 4,630,009.21 4,630,009.21 4,630,009.21 4,672,110.75 4,664,449.93 399,380.00 400,798.49 398,710.51 398,710.51 398,710.51 489,928.32 494,577.82 493,072.48 70,000.00 70,000.00 70,000.00 70,000.00 70,000.00 70,000.00 70,000.00 70,000.00 41,910,639.00 41,736,658.18 41,344,029.78 41,344,029.78 41,344,029.78 41,344,029.78 41,708,207.48 41,643,341.78 14,991,915.00 14,824,711.53 14,675,837.77 14,874,665.17 15,212,831.47 15,304,049.28 15,380,927.83 15,353,395.81 56,902,554.00 56,561,369.71 56,019,867.55 56,218,694.95 56,556,861.25 56,648,079.06 57,089,135.31 56,996,737.59 CHANGES IN OTHER PAYROLL ITEMS NEW START PT 79,653.00 ‐ 12,835.00 698.00 309.00 202.00 571.00 56.00 5,710.00 9,046.00 307.00 ‐ 79,653.00 29,734.00 109,387.00 A. DIFFERENCE FROM FY 2010 BUDGET B. HTE PROJECTION AFTER FY 2010 POSITION DELETES C. AFTER RETIREMENT INCREASE D. INCREASE IN BCBS INCLUDING RETIREES AND COBRA E. WORKERS COMP ADJUSTMENT F. STEP INCREASES G. DELETE 2 RETIRING CUSTODIANS AND OUTSOURCE (173,980.53) (392,628.40) ‐ ‐ ‐ 364,177.70 (64,865.70) (0.29) ‐ ‐ ‐ ‐ ‐ ‐ (63,719.98) (63,372.16) ‐ 233,062.37 ‐ ‐ (10,516.68) 684.63 (3,298.18) ‐ ‐ ‐ ‐ (941.17) (2,015.09) (2,533.32) ‐ ‐ ‐ 2,164.89 (408.96) 263.53 (843.84) ‐ 8,093.13 ‐ ‐ (312.84) 739.60 (2,378.10) ‐ 88,924.50 ‐ ‐ (1,095.00) 72.60 (230.10) ‐ 8,086.30 ‐ ‐ (104.28) (72,965.58) (29,880.56) ‐ ‐ ‐ 27,962.62 (4,986.93) (31,681.67) (44,249.52) 198,827.40 ‐ ‐ 42,101.54 (7,660.82) 1,418.49 (2,087.98) ‐ ‐ 91,217.81 4,649.50 (1,505.34) ‐ ‐ ‐ ‐ ‐ ‐ ‐ (173,980.82) (392,628.40) ‐ ‐ ‐ 364,177.70 (64,865.70) (167,203.47) (148,873.76) 198,827.40 338,166.30 91,217.81 76,878.55 (27,532.02) (341,184.29) (541,502.16) 198,827.40 338,166.30 91,217.81 441,056.25 (92,397.72) (267,296.93) (0.29) 105,970.23 (2,613.55) (2,383.52) 7,512.82 87,286.00 7,928.80 (74,883.52) 164,997.75 95,197.82 ‐ (267,297.22) 389,012.83 121,715.61 (267,296.93) (0.29) 95,453.55 (3,554.72) (2,792.48) 7,199.98 86,191.00 7,824.52 (79,870.45) 157,336.93 93,692.48 ‐ (267,297.22) 361,480.81 94,183.59 TOTAL CHANGE COMPARED TO FY 2010 PAYROLL BUDGET 1/19/2011 10:11 AM H:\Budget ‐ FY 2011\PAYROLL\FY 2011 PAYROLL PROJECTION NEW WAY SUMMARY 59 of 206 BUDGETED POSITIONS AMENDED BUDGET FY 2010 End of fiscal year DESCRIPTION Mayor's Office City Council City Clerk Operations Risk Management Events Management Engineering Horticulture Sewer Human Resources Support Services Finance Revenue Public Safety Communications Police Fire Inspection Services Municipal Court Animal Control Public Works Building Services Fleet Parks & Recreation Park Maintenance Senior Center Park Rangers Library TOTAL FT 0110 0210 0220 0310 0315 0355 0410 0420 05 06 07 11 12 19 20 21 22 3010 3020 4020 4030 45 5020 5040 5050 5070 60 3 7 5 4 3 1 3 2 1 5 8 8 9 28 192 170 18 14 2 30 15 6 49 43 5 2 103 2 5 3.5 3 1 3 2 1 5.0 8 8 9 28 190 161.0 18 14 2 30 15 6.0 18 37 4 2 44 23 1 8 5 1 TP are 8 summer camp .17; PT are 1 .25, 19 .50, 3 .75); TP are 5 seasonal crew works .50; PT is 1 .75; TP is 1 .75 for grant; 55 4 TP are 3 .10 and 1 .19; PT are 38 .50, 4 .12, 4 .25, 7 .63, 2 .80; 735 619 90 Total 9/30/2010 (FY 2010 EOY) Health Insurance TEMP NOTES 1 7 PT are 2 detention officers .80; PT are 9 firefighter extra boards .58; 2 9 8 18 620 FY 2010 Original Budget Deleted 3 extra boards Added firefighter Deleted admin asst Deleted internal auditor Deleted chief electrical inspect Deleted asst dir of insp Deleted revenue auditing sup Deleted admin asst sr Upgrade crew worker PT ELECTED OFFICIALS DEPT FT + mayor 744 625 93 8 18 2120 2120 0410 0125 22 2210 1220 2230 4020 ‐3 1 ‐1 ‐1 ‐1 ‐1 ‐1 ‐1 0 1 ‐1 ‐1 ‐1 ‐1 ‐1 ‐1 6040 4030 0 ‐1 0 ‐1 ‐9 ‐6 ‐3 0 0 735 619 90 8 18 ‐3 Settlement ‐ crew worker to equip op sr (4020 to 5040) FY 2010 Amended Budget Change library position Deleted custodian position Total FY 2010 change Ending FY 2010 From 9.5 library specialist to a 19 hour library page ‐ 4/19/2010 Outsource vacant position 60 of 206 BUDGETED POSITIONS ORIGINAL BUDGET FY 2011 Beginning of fiscal year DESCRIPTION Mayor's Office City Council City Clerk Operations Risk Management Events Management Engineering Horticulture Sewer Human Resources Support Services Finance Revenue Public Safety Communications Police Fire Inspection Services Municipal Court Animal Control Public Works Building Services Fl t Fleet Parks & Recreation Park Maintenance Senior Center Park Rangers Library DEPT TOTAL FT 0110 0210 0220 0310 0315 0355 0410 0420 05 06 07 11 12 19 20 21 22 3010 3020 4020 4030 45 5020 5040 5050 5070 60 3 7 5 4 3 1 3 2 1 5 8 8 9 28 192 170 18 14 2 30 15 6 47 43 5 2 103 2 5 3.5 3 1 3 2 1 5.0 8 8 9 28 190 161.0 18 14 2 30 15 6.0 60 16 37 4 2 44 733 617 Total 10/1/2010 (FY 2011 BOY) Health Insurance Fy 2010 adjustments Fy 2011 boy adjustments Fy 2011 mid‐year adjustments ELECTED OFFICIALS TEMP 5020 733 617 ‐2 ‐2 ‐9 ‐2 0 ‐6 ‐2 0 NOTES 1 7 PT are 2 detention officers .80; PT are 9 firefighter extra boards .58; 2 9 23 1 8 5 1 TP are 8 summer camp .17; PT are 1 .25, 19 .50, 3 .75); TP are 5 seasonal crew works .50; PT is 1 .75; TP is 1 .75 for grant; 55 4 TP are 3 .10 and 1 .19; PT are 38 .50, 4 .12, 4 .25, 7 .63, 2 .80; 90 8 18 618 FY 2011 current Fy 2011 original budget Delete 2 custodians PT FT + mayor 90 8 18 Outsource due to retirements/vacancies ‐3 0 0 0 0 0 0 0 0 Net position deletions/adds Net position deletions/adds 61 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 62 of 206 HEALTH INSURANCE PREMIUMS FY 2011 ‐ CALCULATE LOSS RESERVES VIA BCBS OCL EFFECTIVE 10‐01‐2010 1/19/2011 10:28 AM RATES CITY PAYS ACTIVE EMPLOYEES EMPLOYEE PAYS TOTAL PREMIUM RETIREE ACTIVES PREMIUM ACTIVE COBRA PREMIUM RETIREE COBRA PREMIUM EMP CHANGE FROM 2010 PREMIUM RET CHANGE FROM 2010 PREMIUM BI‐WEEKLY RATE MONTHLY RATE BI‐WEEKLY RATE MONTHLY RATE BI‐WEEKLY RATE MONTHLY RATE MONTHLY RATE MONTHLY RATE MONTHLY RATE MONTHLY MONTHLY SINGLE MEDICAL REGULAR $ 201.69 $ 437.00 $ ‐ $ ‐ $ 201.69 $ 437.00 $ 437.00 $ 445.00 $ 445.00 $ 14.06 $ 14.06 SINGLE DENTAL REGULAR 12.93 28.00 ‐ ‐ 12.93 28.00 28.00 28.50 28.50 ‐ ‐ GRAND TOTAL SINGLE $ 214.62 $ 465.00 $ ‐ $ ‐ $ 214.62 $ 465.00 $ 465.00 $ 473.50 $ 473.50 $ 14.06 $ 14.06 FAMILY MEDICAL REGULAR $ 474.60 $ 1,028.30 $ 131.39 $ 284.70 $ 605.99 $ 1,313.00 $ 1,313.00 $ 1,339.00 $ 1,339.00 $ 41.19 $ 41.19 FAMILY DENTAL REGULAR 23.17 50.20 7.75 16.80 30.92 67.00 67.00 68.00 68.00 ‐ ‐ GRAND TOTAL FAMILY $ 497.77 $ 1,078.50 $ 139.14 $ 301.50 $ 636.91 $ 1,380.00 $ 1,380.00 $ 1,407.00 $ 1,407.00 $ 41.19 $ 41.19 ACTIVE EMPLOYEES X COBRA ACTIVE RATE X COBRA RETIREE RATE X RETIREE ACTIVE RATE ACTIVE RETIREES** ACTIVE COBRA ** RETIREE COBRA** TOTAL ALL DIV PARTIC MEDICAL SINGLE FAMILY TOTAL 228.00 398.00 626.00 6.00 35,568.00 62,088.00 97,656 2.00 11,856.00 20,696.00 32,552 21.00 124,488.00 217,308.00 341,796 12.00 16.00 28.00 7.00 3.00 10.00 5.00 ‐ 5.00 252.00 417.00 669.00 DENTAL SINGLE FAMILY TOTAL 88,180.00 27,894.00 314,183.00 170.00 456.00 626.00 , 472,004.00 , 365,625.00 , 106,379.00 12.00 16.00 28.00 10.00 ‐ 10.00 5.00 ‐ 5.00 197.00 472.00 669.00 # OF PARTICIPANTS** ** Cobra and retiree # of participants are based on actuality, but the budget adds an amount to get at the projected expenses. H:\Health Insurance\FY 2011\BUDGET\RATES FY 2011 fy 2011 Annual differences due to rounding 63 of 206 HEALTH INSURANCE PREMIUMS FY 2011 ‐ CALCULATE LOSS RESERVES VIA BCBS OCL EFFECTIVE 10‐01‐2010 1/19/2011 10:28 AM $$$ BI‐WEEKLY/MONTHLY ACTIVE EMPLOYEES EMPLOYEE PAYS CITY PAYS TOTAL PREMIUM RETIRED EMPLOYEES PREMIUM ACTIVE COBRA PREMIUM RETIREE COBRA PREMIUM ACT CHANGE FROM 2010 PREMIUM RET CHANGE FROM 2010 PREMIUM BI‐WEEKLY RATE MONTHLY RATE BI‐WEEKLY RATE MONTHLY RATE BI‐WEEKLY RATE MONTHLY RATE MONTHLY RATE MONTHLY RATE MONTHLY RATE MONTHLY MONTHLY SINGLE MEDICAL REGULAR $ 45,985.32 $ 99,634.86 ‐ ‐ $ 45,985.32 $ 99,634.86 $ 5,244.00 $ 3,115.00 $ 2,225.00 $ 3,205.68 $ 168.72 SINGLE DENTAL REGULAR 2,197.25 4,760.71 ‐ ‐ 2,197.25 4,760.71 336.00 285.00 142.50 ‐ ‐ GRAND TOTAL SINGLE $ 48,182.57 $ 104,395.57 $ ‐ $ ‐ $ 48,182.57 $ 104,395.57 $ 5,580.00 $ 3,400.00 $ 2,367.50 $ 3,205.68 $ 168.72 FAMILY MEDICAL REGULAR $ 188,890.80 $ 409,263.40 $ 52,293.22 $ 113,301.98 $ 241,184.02 $ 522,565.38 $ 21,008.00 $ 4,017.00 $ ‐ $ 16,393.62 $ 659.04 FAMILY DENTAL REGULAR 10,565.52 22,891.96 3,534.00 7,657.00 14,099.52 30,548.96 1,072.00 ‐ ‐ ‐ ‐ GRAND TOTAL FAMILY $ 199,456.32 $ 432,155.36 $ 55,827.22 $ 120,958.98 $ 255,283.54 $ 553,114.34 $ 22,080.00 $ 4,017.00 $ ‐ $ 16,393.62 $ 659.04 RETIRED EMPLOYEES PREMIUM ACTIVE COBRA PREMIUM RETIREE COBRA PREMIUM ACT CHANGE FROM 2010 PREMIUM RET CHANGE FROM 2010 PREMIUM $$$ ANNUALLY ACTIVE EMPLOYEES EMPLOYEE PAYS CITY PAYS TOTAL PREMIUM BI‐WEEKLY RATE MONTHLY RATE BI‐WEEKLY RATE MONTHLY RATE BI‐WEEKLY RATE MONTHLY RATE MONTHLY RATE MONTHLY RATE MONTHLY RATE MONTHLY MONTHLY SINGLE MEDICAL REGULAR $ 1,195,618.32 $ 1,195,618.32 $ ‐ $ ‐ $ 1,195,618.32 $ 1,195,618.32 $ 62,928.00 $ 37,380.00 $ 26,700.00 $ 38,468.16 $ 2,024.64 SINGLE DENTAL REGULAR 57,128.50 57,128.52 ‐ ‐ 57,128.50 57,128.52 4,032.00 3,420.00 1,710.00 ‐ ‐ GRAND TOTAL SINGLE $ 1,252,746.82 $ 1,252,746.84 $ ‐ $ ‐ $ 1,252,746.82 $ 1,252,746.84 $ 66,960.00 $ 40,800.00 $ 28,410.00 $ 38,468.16 $ 2,024.64 FAMILY MEDICAL REGULAR $ 4,911,160.80 $ 4,911,160.80 $ 1,359,623.72 $ 1,359,623.76 $ 6,270,784.52 $ 6,270,784.56 $ 252,096.00 $ 48,204.00 $ ‐ $ 196,723.44 $ 7,908.48 FAMILY DENTAL REGULAR 274,703.52 274,703.52 91,884.00 91,884.00 366,587.52 366,587.52 12,864.00 ‐ ‐ ‐ ‐ GRAND TOTAL FAMILY $ 5,185,864.32 $ 5,185,864.32 $ 1,451,507.72 $ 1,451,507.76 $ 6,637,372.04 $ 6,637,372.08 $ 264,960.00 $ 48,204.00 $ ‐ $ 196,723.44 $ 7,908.48 $ 331,920.00 $ 89,004.00 $ 28,410.00 $ 235,191.60 $ 9,933.12 % BREAKDOWN GRAND TOTAL SINGLE & FAMILY H:\Health Insurance\FY 2011\BUDGET\RATES FY 2011 fy 2011 78.13% $ 6,438,611.14 $ 6,438,611.16 21.87% $ 1,451,507.72 $ 1,451,507.76 100.00% $ 7,890,118.86 $ 7,890,118.92 Annual differences due to rounding 64 of 206 HEALTH INSURANCE PREMIUMS FY 2011 ‐ CALCULATE LOSS RESERVES VIA BCBS OCL EFFECTIVE 10‐01‐2010 1/19/2011 10:28 AM CITY OF HOOVER BUDGET ‐ FUND 515 ISF MEDICAL (2101) DENTAL (2102) ACTIVE COBRA M&D (2105) RETIREE ACTIVE M&D (2106) RETIREE COBRA M&D (2107) TOTAL CITY OF HOOVER REGULAR CITY OF HOOVER LOSS RESERVE PARTICIPANTS PREMIUM REGULAR CITY OF HOOVER TOTAL PARTICIPANTS TOTAL GRAND TOTAL ALL GRAND TOTAL ABOVE DIFFERENCE DUE TO COH PORTION $ 5,542,087.00 301,444.00 88,180.00 314,183.00 27,894.00 $ 6,273,788.00 $ 513,595.00 28,509.00 8,660.00 24,247.00 4,330.00 $ 579,341.00 $ 1,359,624.00 91,884.00 25,844.00 5,084.00 29,118.00 $ 1,511,554.00 $ 6,055,682.00 329,953.00 96,840.00 338,430.00 32,224.00 $ 6,853,129.00 $ 1,359,624.00 91,884.00 25,844.00 5,084.00 29,118.00 $ 1,511,554.00 $ 7,415,306.00 421,837.00 122,684.00 343,514.00 61,342.00 $ 8,364,683.00 $ 7,466,403.00 423,716.00 89,004.00 331,920.00 28,410.00 $ 8,339,453.00 $ (51,097.00) (1,879.00) 33,680.00 11,594.00 32,932.00 $ 25,230.00 ROUNDING ROUNDING COH BENEFIT COH BENEFIT COH BENEFIT FUND 515 EXPEND BUDGET FUND 515 RESERVES FUND 515 REVENUE BUDGET ACTIVES 515‐8910‐345.06‐10 (COH REG) 515‐8910‐345.07‐10 (COH LR) 515‐8910‐345.08‐10 (PARTIC) TOTAL $ 5,843,531.00 ‐ ‐ 5,843,531.00 $ ‐ 542,104.00 ‐ 542,104.00 $ ‐ ‐ 1,451,508.00 1,451,508.00 $ 5,843,531.00 542,104.00 ‐ 6,385,635.00 $ ‐ ‐ 1,451,508.00 1,451,508.00 $ 5,843,531.00 542,104.00 1,451,508.00 7,837,143.00 7,295,039.00 542,104.00 ACTIVE COBRA 515‐8920‐345.06‐10 (COH REG) 515‐8920‐345.07‐10 (COH LR) 515‐8920‐345.08‐10 (PARTIC) TOTAL 88,180.00 ‐ ‐ 88,180.00 ‐ 8,660.00 ‐ 8,660.00 ‐ ‐ 25,844.00 25,844.00 88,180.00 8,660.00 ‐ 96,840.00 ‐ ‐ 25,844.00 25,844.00 88,180.00 8,660.00 25,844.00 122,684.00 114,024.00 8,660.00 ACTIVES TOTAL 5,931,711.00 550,764.00 1,477,352.00 6,482,475.00 1,477,352.00 7,959,827.00 7,409,063.00 550,764.00 RETIREE ACTIVES 515‐8930‐345.06‐10 (COH REG) 515‐8930‐345.07‐10 (COH LR) 515‐8930‐345.08‐10 (PARTIC) ( ) TOTAL 314,183.00 ‐ ‐ 314,183.00 ‐ 24,247.00 ‐ 24,247.00 ‐ ‐ 5,084.00 5,084.00 314,183.00 24,247.00 ‐ 338,430.00 ‐ ‐ 5,084.00 5,084.00 314,183.00 24,247.00 5,084.00 343,514.00 319,267.00 24,247.00 RETIREE COBRA 515‐8940‐345.06‐10 (COH REG) 515‐8940‐345.07‐10 (COH LR) 515‐8940‐345.08‐10 (PARTIC) TOTAL 27,894.00 ‐ ‐ 27,894.00 ‐ 4,330.00 ‐ 4,330.00 ‐ ‐ 29,118.00 29,118.00 27,894.00 4,330.00 ‐ 32,224.00 ‐ ‐ 29,118.00 29,118.00 27,894.00 4,330.00 29,118.00 61,342.00 57,012.00 4,330.00 RETIREES TOTAL 342,077.00 28,577.00 34,202.00 370,654.00 34,202.00 404,856.00 376,279.00 28,577.00 GRAND TOTAL 515‐89?0‐345.06‐10 (COH REG) 515‐89?0‐345.07‐10 (COH LR) 515‐89?0‐345.08‐10 (PARTIC) TOTAL 6,273,788.00 ‐ ‐ $ 6,273,788.00 ‐ 579,341.00 ‐ $ 579,341.00 ‐ ‐ 1,511,554.00 $ 1,511,554.00 6,273,788.00 579,341.00 ‐ $ 6,853,129.00 ‐ ‐ 1,511,554.00 $ 1,511,554.00 6,273,788.00 579,341.00 1,511,554.00 $ 8,364,683.00 7,785,342.00 579,341.00 H:\Health Insurance\FY 2011\BUDGET\RATES FY 2011 fy 2011 Annual differences due to rounding 65 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 66 of 206 SOURCE: OLIVER WYMAN FY 2009 ACTUARIAL STUDY P.53 EXHIBIT 5/SHEET 17 WORKERS COMPENSATION RATES FY 2011 BUDGET DESCRIPTION CLASSIFICATION DESCRIPTION PLUMBING NOC & DRIVERS ST. OR RD CONST-PAVING DRIVERS, CHAUFFEURS/HELP FIREFIGHTER & 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 TOTAL Regular Loss Reserve - 10% FY 2011 Original Budget PREMIUM CLASS CODE 5183 5506 5606 7380 7710 7720 8380 8601 8810 8831 8869 9015 9060 9063 9101 9102 9154 9402 9410 ACTUAL PAYROLL FROM RISK RATE PER $100 OF PAYROLL ($100,000) RATE PER $100 OF PAYROLL (RETENTION $500,000) EXPECTED LOSSES RATE PER $100 OF PAYROLL (STATUTORY) TOTAL RATE PER $100 OF PAYROLL $100,000 RETENTION $500,000 STATUTORY 43,040 11,902,261 13,047,098 346,547 10,216,140 121,705 85,592 1,128,196 114,101 2,954,969 2,574,638 1.53 1.77 0.51 2.67 0.92 1.22 1.70 0.25 0.12 0.71 0.50 1.76 0.74 1.10 1.69 2.41 0.99 2.88 3.83 1.04 4.76 1.88 2.29 3.03 0.44 0.20 1.22 0.83 3.01 1.22 1.81 2.90 4.54 1.69 4.52 8.00 1.83 6.98 3.29 3.58 4.44 0.65 0.28 1.71 1.09 4.23 1.61 2.40 4.06 7.11 2.38 8.93 13.60 3.38 14.41 6.09 7.09 9.17 1.34 0.60 3.64 2.42 9.00 3.57 5.31 8.65 14.06 5.06 660 109,830 158,613 5,880 11,832 864 428 19,860 1,253 49,964 25,444 1,241 223,871 298,280 10,496 20,259 1,480 706 34,007 2,066 85,554 43,568 1,945 392,042 467,278 15,370 28,437 2,078 937 47,734 2,742 120,088 61,155 42,534,287 20.59 37.57 58.16 90.41 384,629 721,530 1,139,805 CALCULATIONS TOTAL 3,846 - RATE BASED ON PAYROLL FOR HTE ACTUAL PREMIUM ESTIMATED COSTS FY 2011 ADJUSTED ADJUSTED RATES BASED PREMIUM ON ESTIMATED ESTIMATED COSTS FY 2011 COSTS FY 2011 725,743 924,171 31,746 60,528 4,422 2,071 101,601 6,061 255,606 130,167 0.0288 0.0383 0.0104 0.0476 0.0188 0.0229 0.0303 0.0044 0.0020 0.0122 0.0083 0.0301 0.0122 0.0181 0.0290 0.0454 0.0169 1,240.00 223,763.00 298,779.00 10,500.00 20,432.00 1,485.00 710.00 33,959.00 2,065.00 85,694.00 43,511.00 867.69 156,633.75 209,144.98 7,350.26 14,302.60 1,039.36 497.29 23,771.09 1,445.66 59,985.87 30,457.97 2,245,962 0.3757 722,138.00 505,496.52 BUDGET 448,246.36 44,824.64 $ 493,071.00 FROM ABOVE $ 505,496.52 50,549.65 $ 556,046.17 $ 67 of 206 0.0202 0.0268 0.0333 0.0132 0.0160 0.0212 0.0014 0.0085 0.0058 0.0211 0.0085 0.0127 0.0203 0.0318 0.0118 THIS PAGE IS INTENTIONALLY LEFT BLANK 68 of 206 PROPERTY AND CASUALTY BUDGET CALCULATION FY 2011 Amount Description 1,345,895.00 ‐ 100,000.00 10,000.00 1,455,895.00 FY 2010 ending amount (includes 10% markup) 120‐0320 Aldridge premium Additional regular Additional loss reserve (change to 10% from 16%) Revenue for the isf 240,832.00 120 s&b & operating for 0315 ‐ this portion is not billed to isf (since shared costs with 520 and 552) 1,696,727.00 Total 120 budget 1,323,541.00 132,354.00 1,455,895.00 552 revenue regular 552 revenue loss reserve 10% total 552 revenue budget FY 2011 annual billing FY 2011 monthly billing 1,323,541.00 132,354.00 1,455,895.00 110,295.08 11,029.50 121,324.58 69 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 70 of 206 GRAY SHADING DENOTES BRAND NEW PROJECT NON‐RECURRING CAPITAL IMPROVEMENT PROJECTS/ITEMS SPECIAL REVENUE, CAPITAL PROJECTS, AND SEWER ENTERPRISE FUNDS ONLY FY 2011 ORIGINAL BUDGET PROJECT CODE 459FLO 6531LA 65VAL2 ALHACK ALPARK BATTBU BIRREP BONDSB BUCKET CAHOLD CHAPEL CIVCTR EDENSC EDENSC FIHOSE FS4REP PROJECT DESCRIPTION i459 flyover project overruns i65/us 31 landscape i65/valley modifications hackberry sidewalks aldot park ave sidewalks aldot battery backup systems: lorna & ssc birchtree improvements stone briar bond redemption bucket truck aldot cahaba river east greenway chapel lane extension civic center eden ridge @ ssc impr jeffco eden ridge @ ssc impr jeffco fire hose fs4 hvac & related repairs DP DV 0310 0410 0410 0410 0410 0410 5040 4020 0410 0910 0410 0310 0410 0410 2110 2110 FUNDS 303 303/390 303/390 303/390 303/390 303 303 303 303 303/390 303/390 303 303 211 303 303 PRIOR YEAR EXPENDITURES B/F FY 2011 208.60 30,179.77 922,555.44 29,147.00 33,147.71 ‐ ‐ ‐ ‐ ‐ 701,619.27 49,352.62 54,762.50 ‐ 39,301.54 ‐ FY 2011 CITY FUNDING CARRYOVER ‐ 2,620 54,181 122,144 66,315 ‐ 137,625 21,175 ‐ 11,000 1,952,184 50,647 70,237 ‐ 20,698 250,000 FY 2011 CITY REIMB CARRYOVER ‐ 399,150 ‐ 488,573 491,883 ‐ ‐ ‐ ‐ 44,000 6,322,191 ‐ ‐ ‐ ‐ ‐ FY 2011 CITY FUNDING ‐ ‐ ‐ ‐ ‐ 73,000 ‐ ‐ 135,000 ‐ ‐ ‐ ‐ 500,000 ‐ ‐ FY 2011 CITY REIMB FUNDING ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ GROSS LIFE PROJECT FUNDING 209 431,950 976,736 639,864 591,346 73,000 137,625 21,175 135,000 55,000 8,975,994 100,000 125,000 500,000 60,000 250,000 GROVER HIGHMD HUGHDN HUGHLF I65HOV INSEW INVPRK ITCONS LAND65 LANDMI LEGACY* LIBCOM LIBROO LIGREP MDCOUN MDMOC2 MDPAT2 MDROCK METSOC MISCDR* MGUARD* MOCCMG* MONALA MONUSN MUNREL MUNREN OLDCOR PATTSW PAVREN grove roadwork in lieu of sales tax rebate highland meadow redemption hugh daniel rd improve ii hwy 280 @ hugh dn left turn i65 hov lane ‐ add lane to i‐65 inverness ww rehab project repairs inverness park venturenet aldot landscape @ i65 & alford land file maintenance/gis as400 upgrades library computers/servers/room replace library roof on original bldg light pole repair/replacement 1108 country club pipe 3264 mockingbird pipe patton creek watershed 385 rockport inlet met soccer fields restroom miscellaneous drainage miscellaneous guardrail psc jail gates replace alarm monitoring system hoover monument sign municipal drive relocation municipal bldg renovations old montgomery corridor (s lorna) patton chapel sidewalks renovate bbq pit for pavillion 0410 4020 0410 0410 0910 0510 5040 2075 0410 0220 0730 6010 6010 0410 0410 0410 0410 0410 5040 0410 0410 2060 1910 0110 0410 0310 0410 0410 5040 303 303 211 211 303 503 303 303 303/390 303 303 303 303 303 303 303 303 303 303 303 303 303 303 303 303/390 303 303 303 303 110,540.03 38,201.50 405,591.37 ‐ ‐ ‐ 43,507.87 ‐ 269,184.07 759,266.44 ‐ 74,114.00 ‐ ‐ ‐ ‐ ‐ ‐ 1,424.69 ‐ ‐ ‐ ‐ 1,400.00 2,142,781.59 1,117,048.27 ‐ ‐ ‐ 389,459 21,798 50,453 ‐ 28,500 ‐ 156,491 75,000 14,787 80,733 150,000 25,885 ‐ ‐ 1,000 2,000 3,200 2,000 83,575 ‐ 55,321 50,000 ‐ 28,600 3,499 6,190 ‐ 25,000 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 112,029 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 1,500,484 ‐ ‐ ‐ ‐ 500,000 ‐ ‐ 200,000 ‐ 50,000 ‐ ‐ ‐ 200,000 ‐ ‐ 150,000 100,000 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 72,000 ‐ ‐ ‐ 50,000 ‐ 50,000 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 999,999 60,000 456,044 200,000 28,500 50,000 199,999 75,000 396,000 1,039,999 150,000 99,999 150,000 100,000 1,000 2,000 3,200 2,000 85,000 ‐ 55,321 50,000 72,000 30,000 3,646,765 1,123,238 50,000 25,000 50,000 PERMTR permanent traffic ctrl ctr 0410 303/307/390 122,822.43 25,495 371,679 ‐ ‐ 519,996 PLAYRE POLLOB POLLOB playground resurfacings police lobby police lobby 0310 3010 3010 303 262 303 ‐ 334,726.20 17,754.50 ‐ 52,772 4,745 ‐ ‐ ‐ 50,000 ‐ ‐ ‐ ‐ ‐ 50,000 387,498 22,500 PSINWO upg inv woodford ps 0510 503 ‐ 265,000 ‐ ‐ ‐ 265,000 PUMPER* replace engine 3 2110 303 ‐ ‐ ‐ 425,000 ‐ 425,000 RCSEW ROADWY SAN SCAN riverchase sewer system master rdwy plan update add 16 tb storage imaging system 0520 0410 0720 0770 501/503 303 303 303 13,755,802.37 75,405.00 ‐ 143,815.30 680,857 7,523 ‐ 5,319 ‐ ‐ ‐ ‐ ‐ ‐ 54,000 ‐ ‐ ‐ ‐ ‐ 14,436,659 82,928 54,000 149,134 SCHOOL school safety zone project 0410 303 48,860.00 1,140 ‐ ‐ ‐ 50,000 SEWER SIDEBL SIDEGR SIGNIN balance of 2007 sewer warrants sidewalks bluff pk/cloudland/lester sidewalks green valley/thornton sign roadway inventory 2009 mutcd 0520 0410 0410 0410 503 303 303 303 ‐ 14,375.00 13,750.00 ‐ 750,000 10,625 11,250 ‐ ‐ 150,000 150,000 ‐ ‐ ‐ ‐ 85,000 ‐ ‐ ‐ ‐ 750,000 175,000 175,000 85,000 SNRCTR* senior center repairs 0410 303 ‐ 25,811 ‐ ‐ ‐ 25,811 SSCRUS s shades crest/russet 0410 303 18,294.00 41,706 ‐ ‐ ‐ 60,000 SSIMPR sulphur spr rd improve 0410 211 35,405.00 214,595 ‐ ‐ ‐ 250,000 SSTURN sulphur springs turn lane 0410 303 182,999.93 56,999 ‐ ‐ ‐ 239,999 STORIN storm sewer inventory 1110 303 332,231.50 127,767 ‐ ‐ ‐ 459,999 SWICH1 network distribution switches @ city hall 0720 303 ‐ ‐ ‐ 54,000 ‐ 54,000 SWICH2 network core switches @ city hall & psc 0720 303 ‐ ‐ ‐ 110,000 ‐ 110,000 SWICH3 TOPIC3 TOPIC6 TOPIC7 TOPIC8 TRAFCT TRAFST TRAFST TREEMP VAL31 VALL‐2 VEHIC* VEHIC* VEHIC* VETMEM WIRELN network distribution switches @ psc patton chapel rd widening lorna road turn lanes tyler/valley/fancher improv old mont @ riv pkwy emer traf ctrl ctr equip traffic study traffic study master tree planting plan valleydale add lns @ 31 riv pk valleydale road widening replace vehicles replace police tahoes replace vehicle veterans park brick project wireless lan/wan 0720 0410 0410 0410 0410 0410 0410 0410 0420 0410 0410 2010 2010 0510 5040 0720 303 303/372 303/375 303/390 303/390 240 240 303/307 303 303/390 303/390 262 303 501 303 303 ‐ 124,258.48 1,149,179.59 1,369,118.99 645,885.87 74,622.30 32,999.72 152,434.58 24,429.78 361,671.83 1,109,687.86 ‐ ‐ ‐ 149,478.16 41,144.13 ‐ 404,167 41,005 403,126 410,683 15,377 ‐ 564 571 924,953 5,164,442 140,000 ‐ ‐ 285,599 95,009 ‐ 234,307 1,524,214 1,528,956 ‐ ‐ ‐ ‐ ‐ 3,713,375 5,638,981 ‐ ‐ ‐ ‐ ‐ 120,000 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 615,000 25,400 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 120,000 762,732 2,714,399 3,301,201 1,056,569 89,999 33,000 152,999 25,001 5,000,000 11,913,111 140,000 615,000 25,400 435,077 136,153 TOTAL ALL 27,154,487 14,179,417 22,669,822 3,618,400 ‐ 67,622,126 TOTAL SPECIAL REVENUE FUNDS ONLY TOTAL SEWER ENTERPRISE FUNDS ONLY TOTAL CAPITAL PROJECT FUNDS ONLY 883,345 13,755,802 12,515,340 27,154,487 473,197 1,695,857 12,010,363 14,179,417 ‐ ‐ 22,669,822 22,669,822 700,000 75,400 2,843,000 3,618,400 ‐ ‐ ‐ ‐ 2,056,542 15,527,059 50,038,525 67,622,126 * Prior year expenditures not shown H:\Budget ‐ FY 2011\Capital Projects\capital projects fy 2011 ORIGINAL BUDGET SUM 71 of 206 GRAY SHADING DENOTES BRAND NEW PROJECT NON‐RECURRING CAPITAL IMPROVEMENT PROJECTS/ITEMS SPECIAL REVENUE, CAPITAL PROJECTS, AND SEWER ENTERPRISE FUNDS ONLY FY 2011 ORIGINAL BUDGET FUNDS 303 303/390 303/390 303/390 303/390 303 303 303 303 303/390 303/390 303 303 211 303 303 PRIOR YEAR REVENUE RECEIVED B/F FY 2011 ‐ ‐ 342,983 23,318 21,193 ‐ ‐ 21,175 ‐ ‐ 527,122 22,880 ‐ ‐ ‐ ‐ FY 2011 CARRYOVER REVENUE ‐ 399,150 ‐ 488,573 491,883 ‐ ‐ ‐ ‐ 44,000 6,323,076 ‐ ‐ ‐ ‐ ‐ FY 2011 REVENUE BUDGET ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ GROSS LIFE PROJECT REVENUE ‐ 399,150 342,983 511,891 513,076 ‐ ‐ 21,175 ‐ 44,000 6,850,198 22,880 ‐ ‐ ‐ ‐ FY 2011 NET LIFE PROJECT FUNDING 209 32,800 633,754 127,973 78,270 73,000 137,625 ‐ 135,000 11,000 2,125,796 77,120 125,000 500,000 60,000 250,000 0410 4020 0410 0410 0910 0510 5040 2075 0410 0220 0730 6010 6010 0410 0410 0410 0410 0410 5040 0410 0410 2060 1910 0110 0410 0310 0410 0410 5040 303 303 211 211 303 503 303 303 303/390 303 303 303 303 303 303 303 303 303 303 303 303 303 303 303 303/390 303 303 303 303 ‐ 60,000 ‐ ‐ ‐ ‐ 200,000 ‐ 175,971 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 785,560 226,394 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 112,029 ‐ ‐ ‐ ‐ ‐ 1,000 2,000 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 1,620,984 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 60,000 ‐ ‐ ‐ ‐ 200,000 ‐ 288,000 ‐ ‐ ‐ ‐ ‐ 1,000 2,000 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 2,406,544 226,394 ‐ ‐ ‐ 999,999 (1) 456,044 200,000 28,500 50,000 (1) 75,000 108,000 1,039,999 150,000 99,999 150,000 100,000 ‐ ‐ 3,200 2,000 85,000 ‐ 55,321 50,000 72,000 30,000 1,240,221 896,844 50,000 25,000 50,000 permanent traffic ctrl ctr 0410 303/307/390 44,318 371,679 ‐ 415,997 103,999 playground resurfacings police lobby police lobby 0310 3010 3010 303 262 303 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 50,000 387,498 22,500 PSINWO upg inv woodford ps 0510 503 ‐ ‐ ‐ ‐ 265,000 PUMPER* replace engine 3 2110 303 ‐ ‐ ‐ ‐ 425,000 RCSEW ROADWY SAN SCAN riverchase sewer system master rdwy plan update add 16 tb storage imaging system 0520 0410 0720 0770 501/503 303 303 303 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 14,436,659 82,928 54,000 149,134 SCHOOL school safety zone project 0410 303 ‐ ‐ ‐ ‐ 50,000 SEWER SIDEBL SIDEGR SIGNIN balance of 2007 sewer warrants sidewalks bluff pk/cloudland/lester sidewalks green valley/thornton sign roadway inventory 2009 mutcd 0520 0410 0410 0410 503 303 303 303 ‐ ‐ ‐ ‐ ‐ 150,000 150,000 ‐ ‐ ‐ ‐ ‐ ‐ 150,000 150,000 ‐ 750,000 25,000 25,000 85,000 SNRCTR* senior center repairs 0410 303 10,000 ‐ ‐ 10,000 15,811 SSCRUS s shades crest/russet 0410 303 ‐ ‐ ‐ ‐ 60,000 SSIMPR sulphur spr rd improve 0410 211 ‐ ‐ ‐ ‐ 250,000 SSTURN sulphur springs turn lane 0410 303 ‐ ‐ ‐ ‐ 239,999 STORIN storm sewer inventory 1110 303 ‐ ‐ ‐ ‐ 459,999 SWICH1 network distribution switches @ city hall 0720 303 ‐ ‐ ‐ ‐ 54,000 SWICH2 network core switches @ city hall & psc 0720 303 ‐ ‐ ‐ ‐ 110,000 SWICH3 TOPIC3 TOPIC6 TOPIC7 TOPIC8 TRAFCT TRAFST TRAFST TREEMP VAL31 VALL‐2 VEHIC* VEHIC* VEHIC* VETMEM WIRELN network distribution switches @ psc patton chapel rd widening lorna road turn lanes tyler/valley/fancher improv old mont @ riv pkwy emer traf ctrl ctr equip traffic study traffic study master tree planting plan valleydale add lns @ 31 riv pk valleydale road widening replace vehicles replace police tahoes replace vehicle veterans park brick project wireless lan/wan 0720 0410 0410 0410 0410 0410 0410 0410 0420 0410 0410 2010 2010 0510 5040 0720 303 303/372 303/375 303/390 303/390 240 240 303/307 303 303/390 303/390 262 303 501 303 303 ‐ 50,785 818,960 1,067,388 68,055 ‐ ‐ ‐ 9,978 286,625 884,710 ‐ ‐ ‐ 80,865 ‐ ‐ 234,307 1,524,214 1,528,956 250,000 ‐ ‐ ‐ ‐ 3,713,375 6,638,981 ‐ ‐ ‐ 350,878 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 285,092 2,343,174 2,596,344 318,055 ‐ ‐ ‐ 9,978 4,000,000 7,523,691 ‐ ‐ ‐ 431,743 ‐ 120,000 477,641 371,224 704,857 738,514 89,999 33,000 152,999 15,023 999,999 4,389,420 140,000 615,000 25,400 3,334 136,153 TOTAL ALL 5,728,280 24,395,085 ‐ 30,123,365 37,498,761 TOTAL SPECIAL REVENUE FUNDS ONLY TOTAL SEWER ENTERPRISE FUNDS ONLY TOTAL CAPITAL PROJECT FUNDS ONLY ‐ ‐ 5,728,280 5,728,280 ‐ ‐ 24,395,085 24,395,085 ‐ ‐ ‐ ‐ ‐ ‐ 30,123,365 30,123,365 2,056,542 15,527,059 19,915,160 37,498,761 PROJECT CODE 459FLO 6531LA 65VAL2 ALHACK ALPARK BATTBU BIRREP BONDSB BUCKET CAHOLD CHAPEL CIVCTR EDENSC EDENSC FIHOSE FS4REP PROJECT DESCRIPTION i459 flyover project overruns i65/us 31 landscape i65/valley modifications hackberry sidewalks aldot park ave sidewalks aldot battery backup systems: lorna & ssc birchtree improvements stone briar bond redemption bucket truck aldot cahaba river east greenway chapel lane extension civic center eden ridge @ ssc impr jeffco eden ridge @ ssc impr jeffco fire hose fs4 hvac & related repairs DP DV 0310 0410 0410 0410 0410 0410 5040 4020 0410 0910 0410 0310 0410 0410 2110 2110 GROVER HIGHMD HUGHDN HUGHLF I65HOV INSEW INVPRK ITCONS LAND65 LANDMI LEGACY* LIBCOM LIBROO LIGREP MDCOUN MDMOC2 MDPAT2 MDROCK METSOC MISCDR* MGUARD* MOCCMG* MONALA MONUSN MUNREL MUNREN OLDCOR PATTSW PAVREN grove roadwork in lieu of sales tax rebate highland meadow redemption hugh daniel rd improve ii hwy 280 @ hugh dn left turn i65 hov lane ‐ add lane to i‐65 inverness ww rehab project repairs inverness park venturenet aldot landscape @ i65 & alford land file maintenance/gis as400 upgrades library computers/servers/room replace library roof on original bldg light pole repair/replacement 1108 country club pipe 3264 mockingbird pipe patton creek watershed 385 rockport inlet met soccer fields restroom miscellaneous drainage miscellaneous guardrail psc jail gates replace alarm monitoring system hoover monument sign municipal drive relocation municipal bldg renovations old montgomery corridor (s lorna) patton chapel sidewalks renovate bbq pit for pavillion PERMTR PLAYRE POLLOB POLLOB * Prior year expenditures not shown H:\Budget ‐ FY 2011\Capital Projects\capital projects fy 2011 ORIGINAL BUDGET SUM 72 of 206 GRAY SHADING DENOTES BRAND NEW PROJECT NON‐RECURRING CAPITAL IMPROVEMENT PROJECTS/ITEMS SPECIAL REVENUE, CAPITAL PROJECTS, AND SEWER ENTERPRISE FUNDS ONLY FY 2011 ORIGINAL BUDGET PROJECT CODE 459FLO 6531LA 65VAL2 ALHACK ALPARK BATTBU BIRREP BONDSB BUCKET CAHOLD CHAPEL CIVCTR EDENSC EDENSC FIHOSE FS4REP PROJECT DESCRIPTION i459 flyover project overruns i65/us 31 landscape i65/valley modifications hackberry sidewalks aldot park ave sidewalks aldot battery backup systems: lorna & ssc birchtree improvements stone briar bond redemption bucket truck aldot cahaba river east greenway chapel lane extension civic center eden ridge @ ssc impr jeffco eden ridge @ ssc impr jeffco fire hose fs4 hvac & related repairs DP DV 0310 0410 0410 0410 0410 0410 5040 4020 0410 0910 0410 0310 0410 0410 2110 2110 FUNDS 303 303/390 303/390 303/390 303/390 303 303 303 303 303/390 303/390 303 303 211 303 303 FY 2011 TOTAL EXPENDITURE BUDGET ‐ 401,770 54,181 610,717 558,198 73,000 137,625 21,175 135,000 55,000 8,274,375 50,647 70,237 500,000 20,698 250,000 FY 2011 TOTAL REVENUE BUDGET ‐ 399,150 ‐ 488,573 491,883 ‐ ‐ ‐ ‐ 44,000 6,323,076 ‐ ‐ ‐ ‐ ‐ FY 2011 NET FUNDING ONLY ‐ 2,620 54,181 122,144 66,315 73,000 137,625 21,175 135,000 11,000 1,951,299 50,647 70,237 500,000 20,698 250,000 GROVER HIGHMD HUGHDN HUGHLF I65HOV INSEW INVPRK ITCONS LAND65 LANDMI LEGACY* LIBCOM LIBROO LIGREP MDCOUN MDMOC2 MDPAT2 MDROCK METSOC MISCDR* MGUARD* MOCCMG* MONALA MONUSN MUNREL MUNREN OLDCOR PATTSW PAVREN grove roadwork in lieu of sales tax rebate highland meadow redemption hugh daniel rd improve ii hwy 280 @ hugh dn left turn i65 hov lane ‐ add lane to i‐65 inverness ww rehab project repairs inverness park venturenet aldot landscape @ i65 & alford land file maintenance/gis as400 upgrades library computers/servers/room replace library roof on original bldg light pole repair/replacement 1108 country club pipe 3264 mockingbird pipe patton creek watershed 385 rockport inlet met soccer fields restroom miscellaneous drainage miscellaneous guardrail psc jail gates replace alarm monitoring system hoover monument sign municipal drive relocation municipal bldg renovations old montgomery corridor (s lorna) patton chapel sidewalks renovate bbq pit for pavillion 0410 4020 0410 0410 0910 0510 5040 2075 0410 0220 0730 6010 6010 0410 0410 0410 0410 0410 5040 0410 0410 2060 1910 0110 0410 0310 0410 0410 5040 303 303 211 211 303 503 303 303 303/390 303 303 303 303 303 303 303 303 303 303 303 303 303 303 303 303/390 303 303 303 303 889,459 21,798 50,453 200,000 28,500 50,000 156,491 75,000 126,816 280,733 150,000 25,885 150,000 100,000 1,000 2,000 3,200 2,000 83,575 ‐ 55,321 50,000 72,000 28,600 1,503,983 6,190 50,000 25,000 50,000 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 112,029 ‐ ‐ ‐ ‐ ‐ 1,000 2,000 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 1,620,984 ‐ ‐ ‐ ‐ 889,459 21,798 50,453 200,000 28,500 50,000 156,491 75,000 14,787 280,733 150,000 25,885 150,000 100,000 ‐ ‐ 3,200 2,000 83,575 ‐ 55,321 50,000 72,000 28,600 (117,001) 6,190 50,000 25,000 50,000 PERMTR permanent traffic ctrl ctr 0410 303/307/390 397,174 371,679 25,495 PLAYRE POLLOB POLLOB playground resurfacings police lobby police lobby 0310 3010 3010 303 262 303 50,000 52,772 4,745 ‐ ‐ ‐ 50,000 52,772 4,745 PSINWO upg inv woodford ps 0510 503 265,000 ‐ 265,000 PUMPER* replace engine 3 2110 303 425,000 ‐ 425,000 RCSEW ROADWY SAN SCAN riverchase sewer system master rdwy plan update add 16 tb storage imaging system 0520 0410 0720 0770 501/503 303 303 303 680,857 7,523 54,000 5,319 ‐ ‐ ‐ ‐ 680,857 7,523 54,000 5,319 SCHOOL school safety zone project 0410 303 1,140 ‐ 1,140 SEWER SIDEBL SIDEGR SIGNIN balance of 2007 sewer warrants sidewalks bluff pk/cloudland/lester sidewalks green valley/thornton sign roadway inventory 2009 mutcd 0520 0410 0410 0410 503 303 303 303 750,000 160,625 161,250 85,000 ‐ 150,000 150,000 ‐ 750,000 10,625 11,250 85,000 SNRCTR* senior center repairs 0410 303 25,811 ‐ 25,811 SSCRUS s shades crest/russet 0410 303 41,706 ‐ 41,706 SSIMPR sulphur spr rd improve 0410 211 214,595 ‐ 214,595 SSTURN sulphur springs turn lane 0410 303 56,999 ‐ 56,999 STORIN storm sewer inventory 1110 303 127,767 ‐ 127,767 SWICH1 network distribution switches @ city hall 0720 303 54,000 ‐ 54,000 SWICH2 network core switches @ city hall & psc 0720 303 110,000 ‐ 110,000 SWICH3 TOPIC3 TOPIC6 TOPIC7 TOPIC8 TRAFCT TRAFST TRAFST TREEMP VAL31 VALL‐2 VEHIC* VEHIC* VEHIC* VETMEM WIRELN network distribution switches @ psc patton chapel rd widening lorna road turn lanes tyler/valley/fancher improv old mont @ riv pkwy emer traf ctrl ctr equip traffic study traffic study master tree planting plan valleydale add lns @ 31 riv pk valleydale road widening replace vehicles replace police tahoes replace vehicle veterans park brick project wireless lan/wan 0720 0410 0410 0410 0410 0410 0410 0410 0420 0410 0410 2010 2010 0510 5040 0720 303 303/372 303/375 303/390 303/390 240 240 303/307 303 303/390 303/390 262 303 501 303 303 120,000 638,474 1,565,219 1,932,082 410,683 15,377 ‐ 564 571 4,638,328 10,803,423 140,000 615,000 25,400 285,599 95,009 ‐ 234,307 1,524,214 1,528,956 250,000 ‐ ‐ ‐ ‐ 3,713,375 6,638,981 ‐ ‐ ‐ 350,878 ‐ 120,000 404,167 41,005 403,126 160,683 15,377 ‐ 564 571 924,953 4,164,442 140,000 615,000 25,400 (65,279) 95,009 TOTAL ALL 40,467,639 24,395,085 16,072,554 TOTAL SPECIAL REVENUE FUNDS ONLY TOTAL SEWER ENTERPRISE FUNDS ONLY TOTAL CAPITAL PROJECT FUNDS ONLY 1,173,197 1,771,257 37,523,185 40,467,639 ‐ ‐ 24,395,085 24,395,085 1,173,197 1,771,257 13,128,100 16,072,554 * Prior year expenditures not shown H:\Budget ‐ FY 2011\Capital Projects\capital projects fy 2011 ORIGINAL BUDGET SUM 73 of 206 NEW/ADDITIONAL FUNDING: NON‐RECURRING CAPITAL IMPROVEMENT PROJECTS/ITEMS FY 2011 APPROVED BUDGET EXCLUDES CARRYOVER ITEMS A 1 2 PROJECT CODE B C D E F G AP PROJECT DESCRIPTION REQUEST DEPT DP DP DV FUND FY 2011 EXPEND BUDGET BLDG INSP 02 0220 303 200,000 3 LANDMI gis/land file project 4 BATTBU ENG 04 0410 303 73,000 5 BUCKET battery backup systems: lorna road and south shades crest bucket truck to allow height needed to provide maintenance for traffic signals and street lights ENG 04 0410 303 135,000 6 EDENSC additional eden ridge @ ssc rd intersection ‐ mostly on ssc (county maintained) ENG 04 0410 211 500,000 7 GROVER grove roadwork per agreement in lieu of sales tax rebate ENG 04 0410 303 500,000 8 HUGHLF hwy 280 @ hugh dn left turn ln ENG 04 0410 gas 200,000 9 LIGREP light pole repair/replacement OPER 04 0410 303 100,000 10 OLDCOR old montgomery (south lorna road) corridor study ENG 04 0410 303 50,000 11 SIGNIN sign roadway inventory as required by 2009 MUTCD ENG 04 0410 303 85,000 12 INSEW inverness ww rehab project initial repairs only SEWER 05 10 503 50,000 13 VEHIC replace vehicle SEWER 05 10 501 25,400 14 SAN MIS 07 0740 303 54,000 MIS 07 0740 303 54,000 MIS 07 0740 303 110,000 MIS 07 0740 303 120,000 18 MONALA add 16 tb usable storage capacity to existing netapp san system update/replace voice/data network distribution switches at city hall; 18 switches @ $9000 each for 3 ch hub rooms plus backup dispatch update/replace voice/data network core switches at city hall and psc; 2 core update/replace voice/data network core switches at city hall and psc; 2 core switches x $55,000 each update/replace voice/data network distribution switches at psc; 1 @ $55,000 for core lan + 40 switches x $9000 each for 11 hub rooms replace current alarm monitoring system ‐ this system is over 14 years old and needs to be upgraded to insure reliable operation POLICE 19 1910 303 72,000 19 VEHIC replace police tahoes POLICE 20 20 303 615,000 20 PUMPER replace engine 3 renovate an old bbq pit @ shades mtn ball pk and turn it into a pavilion for shelter and picnic area with restrooms playground resurfacings ‐ repl loose playground surface material w/ poured‐in‐place rubber play surface; riverchase sports pk playground & veterans pk swings FIRE 21 2110 303 425,000 REC CTR 50 5040 303 50,000 OPER 50 5040 303 50,000 library roof replace on original bldg 28,500 sq ft LIBRARY 60 6010 303 150,000 15 SWICH1 16 SWICH2 17 SWICH3 21 PAVREN 22 PLAYRE 23 LIBROO 24 25 TOTAL ALL 26 3,618,400 27 TOTAL SEWER ENTERPRISE FUNDS ONLY 75,400 28 TOTAL SPECIAL REVENUE FUNDS ONLY 700,000 29 TOTAL CAPITAL PROJECT FUNDS ONLY 2,843,000 30 TOTAL ALL 3,618,400 H:\Budget ‐ FY 2011\Capital Projects\Budget Requests\5 year capital projects fy 2011 requests in budget 5 YEAR 11 TO 15 ALL REQUEST USE 1/13/2011 10:33 AM 74 of 206 OUTSTANDING DEBT SUMMARY THRU FY 2037 FY 2011 HIGHLIGHTED Fiscal Year Total Debt Service 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 2035 2036 2037 9,180,149.54 9,338,538.77 8,236,985.02 11,167,141.89 11,165,377.51 11,159,540.01 11,158,395.01 11,167,617.51 11,161,747.51 12,823,602.51 11,184,338.76 11,189,007.51 11,185,910.01 10,667,967.51 10,670,571.88 1,620,215.00 1,620,046.25 1,618,170.00 1,619,125.00 1,618,000.00 1,616,875.00 1,620,250.00 1,620,875.00 1,618,750.00 1,618,750.00 1,615,750.00 1,619,500.00 1,619,750.00 1,616,500.00 1,619,500.00 7,163,001.26 7,198,201.26 6,097,386.26 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 C $ 158,983,273.87 9/30/2010 $ 110,066,638.13 Year FY 2008 FY 2009 FY 2010 FY 2011 FY 2012 FY 2013 Fiscal Agent Fees 8305 4,900 4,900 4,900 2,200 2,200 2,200 Total General Fund Principal 8301 3,105,000 3,265,000 2,250,000 5,305,000 5,525,000 5,760,000 Total Sewer Fund GOW03R Principal (83-01) 2,017,148.28 2,140,337.51 2,139,598.76 2,142,661.26 2,139,525.01 2,140,190.01 2,139,560.01 2,142,547.51 2,139,152.51 2,139,375.01 2,138,118.76 2,140,287.51 2,135,890.01 1,618,860.01 1,618,411.88 1,620,215.00 1,620,046.25 1,618,170.00 1,619,125.00 1,618,000.00 1,616,875.00 1,620,250.00 1,620,875.00 1,618,750.00 1,618,750.00 1,615,750.00 1,619,500.00 1,619,750.00 1,616,500.00 1,619,500.00 $ 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 - 48,916,635.74 Interest 8302 4,058,002 3,933,202 3,847,387 3,719,481 3,500,853 3,259,350 $ Total General Fund Debt 7,167,902 7,203,102 6,102,287 9,026,681 9,028,053 9,021,550 56,645,000.00 Year FY 2008 FY 2009 FY 2010 FY 2011 FY 2012 FY 2013 GOW04R Interest (83-02) Principal (83-01) 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 $ 20,422,862.50 Fiscal Agent Fees 8305 1,100.00 1,100.00 1,100.00 1,100.00 1,100.00 180,000.00 185,000.00 190,000.00 945,000.00 3,900,000.00 4,080,000.00 4,255,000.00 4,435,000.00 4,605,000.00 5,505,000.00 $ 27,725,000.00 Principal 785,000.00 820,000.00 850,000.00 885,000.00 915,000.00 950,000.00 SRL99 Interest (83-02) Principal (0000/04-01) 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 $ 5,273,775.63 Interest 1,232,149.03 1,320,337.51 1,289,598.76 1,257,662.00 1,224,526.00 1,190,191.00 380,000.00 395,000.00 410,000.00 425,000.00 440,000.00 455,000.00 470,000.00 490,000.00 505,000.00 525,000.00 540,000.00 560,000.00 580,000.00 $ 4,990,000.00 Bond Issuance Costs 8304 10,063.25 10,978.09 10,978.09 10,978.09 10,978.09 10,978.09 SRL00 Interest (0510/99-90) 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 $ 922,950.00 405,000.00 425,000.00 440,000.00 460,000.00 475,000.00 495,000.00 515,000.00 535,000.00 555,000.00 575,000.00 600,000.00 625,000.00 645,000.00 675,000.00 $ 6,155,000.00 Total Sewer Fund Debt Total Sewer Fund Budgeted Debt 2,027,212.28 2,152,415.60 2,151,676.85 2,154,740.09 2,151,604.09 2,152,269.09 1,242,212.28 1,332,415.60 1,301,676.85 1,269,740.09 1,236,604.09 1,202,269.09 GOW07A SEWER Principal Interest (0000/04-09) (0520/98-91) 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 $ 1,393,988.75 Grand Total Budgeted Debt 8,410,115 8,535,518 7,403,964 10,296,421 10,264,657 10,223,819 70,000.00 775,000.00 810,000.00 845,000.00 880,000.00 920,000.00 960,000.00 1,005,000.00 1,060,000.00 1,115,000.00 1,170,000.00 1,230,000.00 1,290,000.00 1,360,000.00 1,430,000.00 1,500,000.00 1,580,000.00 $ 18,000,000.00 Grand Total Principal, Interest, and Fees Only 9,185,051.29 9,344,539.77 8,242,985.76 11,170,443.00 11,168,679.00 11,162,841.00 75 of 206 744,607.03 862,336.26 862,336.26 862,336.26 862,336.26 862,336.26 862,336.26 862,336.26 862,336.26 862,336.26 862,336.26 862,336.26 862,336.26 860,866.26 843,411.88 810,215.00 775,046.25 738,170.00 699,125.00 658,000.00 611,875.00 560,250.00 505,875.00 448,750.00 388,750.00 325,750.00 259,500.00 189,750.00 116,500.00 39,500.00 $ 17,454,696.99 FY 2011 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 1,090,808.75 7,641,441.26 189,516.25 2,245,375.63 $ 11,167,141.89 $ GENERAL FUND SEWER TOTAL PRINCIPAL 5,305,000 885,000 $ 6,190,000 INTEREST 3,719,481 1,257,662 $ 4,977,143 PRINCIPAL INTEREST GF NOVEMBER JANUARY FEBRUARY MARCH AUGUST SEPTEMBER NET TOTAL BUDGET GF $ SEWER NOVEMBER JANUARY FEBRUARY MARCH AUGUST SEPTEMBER NET TOTAL BUDGET GF 5,305,000 5,305,000 $ SRL99 - 15TH INTEREST PRINCIPAL 87,325.00 637,255.63 945,000.00 1,268,017.50 945,000.00 $ 1,191,717.50 2,459,735.00 $ TOTAL 9,026,681 2,143,762 11,170,443 W/OUT FEES 9,024,481.00 2,142,662.00 11,167,141.00 TOTAL W/OUT FEES SRL00 - 15TH INTEREST PRINCIPAL 425,000.00 118,483.75 $ 622,490.00 1,259,745.63 1,905,273 1,814,208 3,719,481 $ FEES $ FEES $ 2,200 2,200 $ INTEREST 205,809 431,169 189,516 431,168 1,257,663 2,200 1,100 3,300 $ FEES $ 7,212,473 1,814,208 9,026,681 $ $ TOTAL 1,100 1,100 $ 1,100 1,090,809 431,169 189,516 431,168 2,143,763 GOW07A - SEWER - 1ST INTEREST PRINCIPAL 460,000.00 4,360,000.00 431,168.13 79,887.50 PRINCIPAL 885,000 885,000 GOW03R - 1ST INTEREST PRINCIPAL 4,360,000.00 $ 167,212.50 109,628.75 $ 425,000.00 $ 228,112.50 $ 460,000.00 $ 431,168.13 862,336.26 126954 7,210,273 1,814,208 9,024,481 W/OUT FEES $ 1,090,809 431,169 189,516 431,168 2,142,663 76 of 206 $ - $78,330,000 HOOVER GENERAL OBLIGATION SERIES 2003 WARRANTS DATED JANUARY 1, 2003 FISCAL YEAR 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 TOTAL INTEREST RATE DATE DUE 2.00% 2.00% 3.00% 3.00% 4.00% 4.00% 1.80% 1.80% 2.25% 2.25% 5.00% 5.00% 3.00% 3.00% 3.30% 3.30% 3.50% 3.50% 3.70% 3.70% 3.85% 3.85% 4.00% 4.00% 4.10% 4.10% 5/4.2% 4.20% 5/4.35% 4.35% 4.50% 4.50% 4.50% 4.50% 5.00% 5.00% 4.50% 4.50% 4.80% 4.80% 03/01/03 09/01/03 03/01/04 09/01/04 03/01/05 09/01/05 03/01/06 09/01/06 03/01/07 09/01/07 03/01/08 09/01/08 03/01/09 09/01/09 03/01/10 09/01/10 03/01/11 09/01/11 03/01/12 09/01/12 03/01/13 09/01/13 03/01/14 09/01/14 03/01/15 09/01/15 03/01/16 09/01/16 03/01/17 09/01/17 03/01/18 09/01/18 03/01/19 09/01/19 03/01/20 09/01/13 03/01/13 09/01/13 03/01/13 09/01/13 PRINCIPAL (83-01) $ 2,865,000.00 2,545,000.00 2,620,000.00 2,730,000.00 2,860,000.00 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 $ 78,330,000.00 $ SEMIANNUAL PAYMENT 532,434.17 1,568,652.50 1,568,652.50 1,530,477.50 1,530,477.50 1,478,077.50 1,478,077.50 1,453,507.50 1,453,507.50 1,421,332.50 1,421,332.50 1,348,207.50 1,348,207.50 1,302,007.50 1,302,007.50 1,268,017.50 1,268,017.50 1,191,717.50 1,191,717.50 1,161,655.00 1,161,655.00 1,129,315.00 1,129,315.00 1,094,115.00 1,094,115.00 1,056,190.00 1,056,190.00 1,011,030.00 , , 1,011,030.00 940,572.50 940,572.50 775,647.50 775,647.50 603,072.50 603,072.50 401,947.50 401,947.50 212,160.00 212,160.00 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 3,397,434.17 1,568,652.50 4,113,652.50 1,530,477.50 4,150,477.50 1,478,077.50 4,208,077.50 1,453,507.50 4,313,507.50 1,421,332.50 4,346,332.50 1,348,207.50 4,428,207.50 1,302,007.50 3,362,007.50 1,268,017.50 5,628,017.50 1,191,717.50 2,816,717.50 1,161,655.00 2,841,655.00 1,129,315.00 2,889,315.00 1,094,115.00 2,944,115.00 1,056,190.00 3,016,190.00 1,011,030.00 , , 4,101,030.00 940,572.50 8,270,572.50 775,647.50 8,445,647.50 603,072.50 8,648,072.50 401,947.50 8,836,947.50 212,160.00 9,052,160.00 - 42,427,839.17 $ 120,757,839.17 TOTAL ANNUAL DEBT SERVICE $ 4,966,086.67 $ 5,644,130.00 $ 5,628,555.00 $ 5,661,585.00 $ 5,734,840.00 $ 5,694,540.00 $ 5,730,215.00 $ 4,630,025.00 $ 6,819,735.00 $ 3,978,372.50 $ 3,970,970.00 $ 3,983,430.00 $ 4,000,305.00 $ 4,027,220.00 $ 5,041,602.50 $ 9,046,220.00 $ 9,048,720.00 $ 9,050,020.00 $ 9,049,107.50 $ 9,052,160.00 $ 120,757,839.17 TOTAL OUTSTANDING $78,330,000 $75,465,000 $75,465,000 $72,920,000 $72,920,000 $70,300,000 $70,300,000 $67,570,000 $67,570,000 $64,710,000 $64,710,000 $61,785,000 $61,785,000 $58,705,000 $58,705,000 $56,645,000 $56,645,000 $52,285,000 $52,285,000 $50,660,000 $50,660,000 $48,980,000 $48,980,000 $47,220,000 $47,220,000 $45,370,000 $45,370,000 $43,410,000 $43,410,000 $ , , $40,320,000 $40,320,000 $32,990,000 $32,990,000 $25,320,000 $25,320,000 $17,275,000 $17,275,000 $8,840,000 $8,840,000 $0 $0 debt service schedules fy 2011 and beyond update.xls 77 of 206 $29,165,000 HOOVER GENERAL OBLIGATION SERIES 2004 WARRANTS DATED DECEMBER 22, 2004 FISCAL YEAR 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 TOTAL INTEREST RATE DATE DUE 3.000% 3.000% 3.000% 3.000% 3.000% 3.000% 3.000% 3.000% 3.000% 3.000% 3.000% 3.000% 3.125% 3.125% 5.000% 5.000% 4.000% 4.000% 5.000% 5.000% 3.800% 3.800% 5.000% 5.000% 5.000% 03/01/05 09/01/05 03/01/06 09/01/06 03/01/07 09/01/07 03/01/08 09/01/08 03/01/09 09/01/09 03/01/10 09/01/10 03/01/11 09/01/11 03/01/12 09/01/12 03/01/13 09/01/13 03/01/14 09/01/14 03/01/15 09/01/15 03/01/16 09/01/16 03/01/17 PRINCIPAL (83-01) $ 540,000.00 INTEREST (83-02) $ 170,000.00 175,000.00 180,000.00 185,000.00 190,000.00 945,000.00 3,900,000.00 4,080,000.00 4,255,000.00 4,435,000.00 4,605,000.00 5,505,000.00 $ 29,165,000.00 , , $ SEMIANNUAL PAYMENT 252,561.32 650,755.63 650,755.63 648,205.63 648,205.63 645,580.63 645,580.63 642,880.63 642,880.63 640,105.63 640,105.63 637,255.63 637,255.63 622,490.00 622,490.00 524,990.00 524,990.00 443,390.00 443,390.00 337,015.00 337,015.00 252,750.00 252,750.00 137,625.00 137,625.00 $ 12,618,648.88 , , $ 792,561.32 650,755.63 820,755.63 648,205.63 823,205.63 645,580.63 825,580.63 642,880.63 827,880.63 640,105.63 830,105.63 637,255.63 1,582,255.63 622,490.00 4,522,490.00 524,990.00 4,604,990.00 443,390.00 4,698,390.00 337,015.00 4,772,015.00 252,750.00 4,857,750.00 137,625.00 5,642,625.00 41,783,648.88 , , TOTAL ANNUAL DEBT SERVICE $ 1,443,316.95 $ 1,468,961.26 $ 1,468,786.26 $ 1,468,461.26 $ 1,467,986.26 $ 1,467,361.26 $ 2,204,745.63 $ 5,047,480.00 $ 5,048,380.00 $ 5,035,405.00 $ 5,024,765.00 $ 4,995,375.00 $ 5,642,625.00 $ 41,783,648.88 , , TOTAL OUTSTANDING $29,165,000 $28,625,000 $28,625,000 $28,455,000 $28,455,000 $28,280,000 $28,280,000 $28,100,000 $28,100,000 $27,915,000 $27,915,000 $27,725,000 $27,725,000 $26,780,000 $26,780,000 $22,880,000 $22,880,000 $18,800,000 $18,800,000 $14,545,000 $14,545,000 $10,110,000 $10,110,000 $5,505,000 $5,505,000 $0 debt service schedules fy 2011 and beyond update.xls 78 of 206 1999 - SRF FISCAL YEAR INTEREST RATE 2001 2.000% 2002 2.000% 2003 2.000% 2004 2.000% 2005 2.000% 2006 2.000% 2007 2.000% 2008 2.000% 2009 2.000% 2010 2.000% 2011 2.000% 2012 2.000% 2013 2.000% 2014 2.000% 2015 2 000% 2.000% 2016 2.000% 2017 2.000% 2018 2.000% 2019 2.000% 2020 2.000% TOTAL DATE DUE 02/15/01 08/15/01 02/15/02 08/15/02 02/15/03 08/15/03 02/15/04 08/15/04 02/15/05 08/15/05 02/15/06 08/15/06 02/15/07 08/15/07 02/15/08 08/15/08 02/15/09 08/15/09 02/15/10 08/15/10 02/15/11 08/15/11 02/15/12 08/15/12 02/15/13 08/15/13 02/15/14 08/15/14 02/15/15 08/15/15 02/15/16 08/15/16 02/15/17 08/15/17 02/15/18 08/15/18 02/15/19 08/15/19 02/15/20 PRINCIPAL $ 300,000.00 INTEREST (0510/99-90) $ 310,000.00 320,000.00 330,000.00 345,000.00 355,000.00 370,000.00 380,000.00 395,000.00 410,000.00 425,000.00 440,000.00 455,000.00 470,000.00 490,000.00 , 505,000.00 525,000.00 540,000.00 560,000.00 580,000.00 $ 8,505,000.00 debt service schedules fy 2011 and beyond update $ SEMIANNUAL PAYMENT 36,382.50 143,587.50 143,587.50 138,162.50 138,162.50 132,562.50 132,562.50 126,787.50 126,787.50 120,750.00 120,750.00 114,537.50 114,537.50 108,062.50 108,062.50 101,412.50 101,412.50 94,500.00 94,500.00 87,325.00 87,325.00 79,887.50 79,887.50 72,187.50 72,187.50 64,225.00 64,225.00 56,000.00 56,000.00 , 47,425.00 47,425.00 38,587.50 38,587.50 29,400.00 29,400.00 19,950.00 19,950.00 10,150.00 10,150.00 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 336,382.50 143,587.50 453,587.50 138,162.50 458,162.50 132,562.50 462,562.50 126,787.50 471,787.50 120,750.00 475,750.00 114,537.50 484,537.50 108,062.50 488,062.50 101,412.50 496,412.50 94,500.00 504,500.00 87,325.00 512,325.00 79,887.50 519,887.50 72,187.50 527,187.50 64,225.00 534,225.00 56,000.00 546,000.00 , 47,425.00 552,425.00 38,587.50 563,587.50 29,400.00 569,400.00 19,950.00 579,950.00 10,150.00 590,150.00 3,207,382.50 $ 11,712,382.50 TOTAL ANNUAL DEBT SERVICE $ 479,970.00 $ 591,750.00 $ 590,725.00 $ 589,350.00 $ 592,537.50 $ 590,287.50 $ 592,600.00 $ 589,475.00 $ 590,912.50 $ 591,825.00 $ 592,212.50 $ 592,075.00 $ 591,412.50 $ 590,225.00 $ 593 425 00 593,425.00 $ 591,012.50 $ 592,987.50 $ 589,350.00 $ 590,100.00 $ 590,150.00 $ 11,712,382.50 TOTAL OUTSTANDING $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 8,505,000.00 8,205,000.00 8,205,000.00 7,895,000.00 7,895,000.00 7,575,000.00 7,575,000.00 7,245,000.00 7,245,000.00 6,900,000.00 6,900,000.00 6,545,000.00 6,545,000.00 6,175,000.00 6,175,000.00 5,795,000.00 5,795,000.00 5,400,000.00 5,400,000.00 4,990,000.00 4,990,000.00 4,565,000.00 4,565,000.00 4,125,000.00 4,125,000.00 3,670,000.00 3,670,000.00 3,200,000.00 3,200,000.00 2,710,000.00 , , 2,710,000.00 2,205,000.00 2,205,000.00 1,680,000.00 1,680,000.00 1,140,000.00 1,140,000.00 580,000.00 580,000.00 - 1/19/2011 2:28 PM 79 of 206 2000 SRF FISCAL YEAR INTEREST RATE 2001 2.000% 2002 2.000% 2003 2.000% 2004 2.000% 2005 2.000% 2006 2.000% 2007 2.000% 2008 2.000% 2009 2.000% 2010 2.000% 2011 2.000% 2012 2.000% 2013 2.000% 2014 2.000% 2015 2 000% 2.000% 2016 2.000% 2017 2.000% 2018 2.000% 2019 2.000% 2020 2.000% 2021 2.000% TOTAL DATE DUE PRINCIPAL 08/15/01 02/15/02 08/15/02 02/15/03 08/15/03 02/15/04 08/15/04 02/15/05 08/15/05 02/15/06 08/15/06 02/15/07 08/15/07 02/15/08 08/15/08 02/15/09 08/15/09 02/15/10 08/15/10 02/15/11 08/15/11 02/15/12 08/15/12 02/15/13 08/15/13 02/15/14 08/15/14 02/15/15 08/15/15 02/15/16 08/15/16 02/15/17 08/15/17 02/15/18 08/15/18 02/15/19 08/15/19 02/15/20 08/15/20 02/15/21 INTEREST (0510/99-91) 325,000.00 335,000.00 350,000.00 365,000.00 375,000.00 390,000.00 405,000.00 425,000.00 440,000.00 460,000.00 475,000.00 495,000.00 515,000.00 535,000.00 , 555,000.00 575,000.00 600,000.00 625,000.00 645,000.00 675,000.00 $ 9,565,000.00 debt service schedules fy 2011 and beyond update $ SEMIANNUAL PAYMENT 167,759.48 184,126.25 177,870.00 177,870.00 171,421.25 171,421.25 164,683.75 164,683.75 157,657.50 157,657.50 150,438.75 150,438.75 142,931.25 142,931.25 135,135.00 135,135.00 126,953.75 126,953.75 118,483.75 118,483.75 109,628.75 109,628.75 100,485.00 100,485.00 90,956.25 90,956.25 81,042.50 81,042.50 , 70,743.75 70,743.75 60,060.00 60,060.00 48,991.25 48,991.25 37,441.25 37,441.25 25,410.00 25,410.00 12,993.75 12,993.75 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 167,759.48 509,126.25 177,870.00 512,870.00 171,421.25 521,421.25 164,683.75 529,683.75 157,657.50 532,657.50 150,438.75 540,438.75 142,931.25 547,931.25 135,135.00 560,135.00 126,953.75 566,953.75 118,483.75 578,483.75 109,628.75 584,628.75 100,485.00 595,485.00 90,956.25 605,956.25 81,042.50 616,042.50 , 70,743.75 625,743.75 60,060.00 635,060.00 48,991.25 648,991.25 37,441.25 662,441.25 25,410.00 670,410.00 12,993.75 687,993.75 4,318,540.73 $ 13,883,540.73 TOTAL ANNUAL DEBT SERVICE $ 167,759.48 $ 686,996.25 $ 684,291.25 $ 686,105.00 $ 687,341.25 $ 683,096.25 $ 683,370.00 $ 683,066.25 $ 687,088.75 $ 685,437.50 $ 688,112.50 $ 685,113.75 $ 686,441.25 $ 686,998.75 $ 686 786 25 686,786.25 $ 685,803.75 $ 684,051.25 $ 686,432.50 $ 687,851.25 $ 683,403.75 $ 687,993.75 $ 13,883,540.73 TOTAL OUTSTANDING $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 9,565,000.00 9,565,000.00 9,565,000.00 9,240,000.00 9,240,000.00 8,905,000.00 8,905,000.00 8,555,000.00 8,555,000.00 8,190,000.00 8,190,000.00 7,815,000.00 7,815,000.00 7,425,000.00 7,425,000.00 7,020,000.00 7,020,000.00 6,595,000.00 6,595,000.00 6,155,000.00 6,155,000.00 5,695,000.00 5,695,000.00 5,220,000.00 5,220,000.00 4,725,000.00 4,725,000.00 4,210,000.00 4,210,000.00 3,675,000.00 , , 3,675,000.00 3,120,000.00 3,120,000.00 2,545,000.00 2,545,000.00 1,945,000.00 1,945,000.00 1,320,000.00 1,320,000.00 675,000.00 675,000.00 - 1/19/2011 2:28 PM 80 of 206 $18,000,000 HOOVER GENERAL OBLIGATION SEWER SERIES 2007 WARRANTS DATED NOVEMBER 1, 2007 FISCAL YEAR 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 2035 2036 2037 TOTAL INTEREST RATE DATE DUE 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.791% 4.200% 4.200% 4.125% 4.125% 4.250% 4.250% 4.250% 4.250% 4.300% 4.300% 4.375% 4.375% 4.375% 4.375% 5.000% 5.000% 5.000% 5.000% 5.000% 5.000% 5.000% 5.000% 5.000% 5.000% 5.000% 5.000% 5.000% 5.000% 5.000% 5.000% 5.000% 5.000% 5.000% 03/01/08 09/01/08 03/01/09 09/01/09 03/01/10 09/01/10 03/01/11 09/01/11 03/01/12 09/01/12 03/01/13 09/01/13 03/01/14 09/01/14 03/01/15 09/01/15 03/01/16 09/01/16 03/01/17 09/01/17 03/01/18 09/01/18 03/01/19 09/01/19 03/01/20 09/01/20 03/01/21 09/01/21 03/01/22 09/01/22 03/01/23 09/01/23 03/01/24 09/01/24 03/01/25 09/01/25 03/01/26 09/01/26 03/01/27 09/01/27 03/01/28 09/01/28 03/01/29 09/01/29 03/01/30 09/01/30 03/01/31 09/01/31 03/01/32 09/01/32 03/01/33 09/01/33 03/01/34 09/01/34 03/01/35 09/01/35 03/01/36 09/01/36 03/01/37 PRINCIPAL (83-01) $ $ INTEREST (83-02) 70,000.00 775,000.00 810,000.00 845,000.00 880,000.00 920,000.00 960,000.00 1,005,000.00 1,060,000.00 1,115,000.00 1,170,000.00 1,230,000.00 1,290,000.00 1,360,000.00 1,430,000.00 1,500,000.00 1,580,000.00 - $ 18,000,000.00 $ SEMIANNUAL PAYMENT 313,438.90 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 429,698.13 429,698.13 413,713.75 413,713.75 396,501.25 396,501.25 378,545.00 378,545.00 359,625.00 359,625.00 339,500.00 339,500.00 318,500.00 318,500.00 293,375.00 293,375.00 266,875.00 266,875.00 239,000.00 239,000.00 209,750.00 209,750.00 179,000.00 179,000.00 146,750.00 146,750.00 112,750.00 112,750.00 77,000.00 77,000.00 39,500.00 39,500.00 $ 19,923,976.54 $ 313,438.90 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 431,168.13 501,168.13 429,698.13 1,204,698.13 413,713.75 1,223,713.75 396,501.25 1,241,501.25 378,545.00 1,258,545.00 359,625.00 1,279,625.00 339,500.00 1,299,500.00 318,500.00 1,323,500.00 293,375.00 1,353,375.00 266,875.00 1,381,875.00 239,000.00 1,409,000.00 209,750.00 1,439,750.00 179,000.00 1,469,000.00 146,750.00 1,506,750.00 112,750.00 1,542,750.00 77,000.00 1,577,000.00 39,500.00 1,619,500.00 37,923,976.54 TOTAL ANNUAL DEBT SERVICE $ 744,607.03 $ 862,336.26 $ 862,336.26 $ 862,336.26 $ 862,336.26 $ 862,336.26 $ 862,336.26 $ 862,336.26 $ 862,336.26 $ 862,336.26 $ 862,336.26 $ 862,336.26 $ 862,336.26 $ 930,866.26 $ 1,618,411.88 $ 1,620,215.00 $ 1 620 046 25 1,620,046.25 $ 1,618,170.00 $ 1,619,125.00 $ 1,618,000.00 $ 1,616,875.00 $ 1,620,250.00 $ 1,620,875.00 $ 1,618,750.00 $ 1,618,750.00 $ 1,615,750.00 $ 1,619,500.00 $ 1,619,750.00 $ 1,616,500.00 $ 1,619,500.00 $ 37,923,976.54 TOTAL OUTSTANDING $ 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 18,000,000 17,930,000 17,930,000 17,155,000 17,155,000 16,345,000 16,345,000 15,500,000 15,500,000 14,620,000 14,620,000 13,700,000 13,700,000 12,740,000 12,740,000 11,735,000 11,735,000 10,675,000 10,675,000 9,560,000 9,560,000 8,390,000 8,390,000 7,160,000 7,160,000 5,870,000 5,870,000 4,510,000 4,510,000 3,080,000 3,080,000 1,580,000 1,580,000 - debt service schedules fy 2011 and beyond update.xls 81 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 82 of 206 VEHICLES (7599) FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 Sum of GMAMNT ACCOUNT NUMBER ELEMENT 75 262‐2010‐415.7599 LINE # 1 DESCRIPTION CARRYOVER (VEHIC) 5 VEHICLES Total 140,000 115‐0420‐413.7599 1 2 3 4 5 SUV HYBRID FOR LANDSCAPE ARCHITECT ‐ AGE, SAFETY OF THE CURRENT VEHICLE NOT SUITABLE FOR ANY OFF ROAD USE ‐ TRANSFER EXISTING LIGHT BARS (VEHIC) NO HYBRID ***** ‐ ‐ ‐ 30,000 ‐ 115‐3020‐415.7599 1 2 3 4 ANIMAL CONTROL TRUCK CAB & CHASSIS (VEHIC) SINCE 2001 IT HAS BEEN OUT OF SERVICE FOR REPAIRS OVER 106 TIMES; 235,800 MILES INCLUDES STRIPING AND LIGHTING 43,000 ‐ ‐ ‐ 115‐4020‐413.7599 1 1/2 TON PICKUP TRUCK REPLACE #492 (VEHIC) 27,000 115‐5040‐419.7599 1 2 PICKUP TRUCK REPLACE #433 (VEHIC) PICKUP TRUCK REPLACE #413 (VEHIC) 27,000 27,000 303‐0410‐413.7599 1 2 3 BUCKET TRUCK TO ALLOW HEIGHT NEEDED TO PROVIDE MAINTENANCE FOR TRAFFIC SIGNALS AND STREET LIGHTS (BUCKET) ‐ ‐ 135,000 303‐2010‐415.7599 1 POLICE TAHOE REPLACEMENTS 15 @ $41,000 (VEHIC) 615,000 303‐2110‐415.7599 1 REPLACE ENGINE 3 (PUMPER) 425,000 501‐0510‐413.7599 1 2 3 PICKUP TRUCK FOR CIVIL ENGINEER REPLACEMENT 673 WITH TOOL BOX ‐ EXISTING TRUCK HAS 153,000+ MILES (VEHIC) ‐ 25,400 ‐ Grand Total 1,494,400 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS VEHICLES 83 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 84 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 7 ACCOUNT NUMBER 117‐0720‐416.7499 117‐0770‐416.7499 7 Total 117 Total LINE # 1 2 1 2 DESCRIPTION SAN TAPE BACKUP SYSTEM (FOR CITY AND POLICE OFF SITE BACKUP STORAGE COMPLIANCE) (SANBAK) EMAIL ARCHIVING/DISCOVERY SYSTEM FOR MICROSOFT EXCHANGE (EMAIL) Total ‐ 20,000 ‐ 20,000 40,000 40,000 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 85 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 1 ACCOUNT NUMBER 117‐0110‐410.5305 LINE # 1 GENERAL Total 800 117‐0110‐410.5310 1 GENERAL 200 117‐0110‐410.5315 1 GENERAL 2,860 1 Total DESCRIPTION 3,860 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 86 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 2 ACCOUNT NUMBER 117‐0220‐411.3420 LINE # 1 DESCRIPTION ONGOING GIS CONSULTING FORMERLY LANDMI Total 132,000 117‐0220‐411.4320 1 PLOTTER/SCANNER (HARDMT) 7,620 117‐0220‐411.5305 1 GENERAL 1,350 117‐0220‐411.5310 1 GENERAL 200 117‐0220‐411.5315 1 GENERAL 1,100 117‐0220‐411.6107 1 2 3 HTE PLANNING AND ZONING/ENGINEERING (SOFLIC) MUNIMETRIX CLERKS INDEXING SYSTEM (SOFLIC) MUNICODE MUNICIPAL CODE ON WEBSITE (SOFLIC) 5,500 500 480 2 Total 148,750 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 87 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 3 ACCOUNT NUMBER 117‐0310‐413.5305 LINE # 1 GENERAL Total 3,500 117‐0310‐413.5310 1 GENERAL 550 117‐0310‐413.5315 1 GENERAL 4,200 117‐0310‐413.6107 1 SHERTEC PARCS SOFTWARE (SOFLIC) 2,000 117‐0310‐413.6110 1 REPLACE DESKTOP PRINTERS 2 @ $100 (PCREPL) 200 117‐0315‐413.5315 1 GENERAL 983 117‐0315‐413.6107 1 RISKENVISION SOFTWARE (SOFLIC) 5,822 117‐0315‐413.6110 1 REPLACE DESKTOP PRINTERS 3 @ $100 (PCREPL) 300 117‐0355‐413.5310 1 GENERAL 50 117‐0355‐413.5315 1 GENERAL 1,200 117‐0355‐413.5355 1 GENERAL 600 3 Total DESCRIPTION 19,405 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 88 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 4 ACCOUNT NUMBER 117‐0410‐413.5305 LINE # 1 GENERAL Total 5,000 117‐0410‐413.5310 1 GENERAL 200 117‐0410‐413.5315 1 GENERAL 4,500 117‐0410‐413.5355 1 VERIZON AIR CARD 600 117‐0410‐413.6107 1 2 3 4 5 6 AUTOCAD (SOFLIC) TRANSSOFT SOFTWARE AUTOTURN (SOFLIC) MCTRANS HCS PLUS (HWY CAPACITY SOFTWARE) (SOFLIC) WAS $841 BUT MAINTENANCE LESS SYNCHRO PLUS SIMTRAFFIC 7 (SOFLIC) WAS $1800 BUT MAINTENANCE LESS 500 500 500 ‐ 500 ‐ 117‐0410‐413.6110 1 2 11X17 PRINTER REPLACEMENT DUE TO DAMAGE ONE (PCREPL) ‐ 1,000 4 Total DESCRIPTION 13,300 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 89 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 6 ACCOUNT NUMBER 117‐0610‐416.5305 LINE # 1 GENERAL Total 250 117‐0610‐416.5310 1 GENERAL 150 117‐0610‐416.5315 1 GENERAL 1,600 117‐0610‐416.5355 1 GENERAL 600 117‐0610‐416.6107 1 2 3 4 5 6 7 ONLINE APPLICATION LICENSE (SOFLIC) HTE APPLICANT TRACKING (SOFLIC) CRITICALL (SOFLIC) OPAC (SOFLIC) HTE HR SOFTWARE (SOFLIC) HTE CLICK 2 GOV HR (SOFLIC) HTE QREP HR (SOFLIC) 10,000 ‐ 600 600 4,200 4,100 700 6 Total DESCRIPTION 22,800 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 90 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 7 ACCOUNT NUMBER 117‐0710‐416.3599 LINE # 1 DESCRIPTION MISC TECHNICAL SERVICES (NONE) Total 3,000 117‐0710‐416.3910 1 2 3 IT/TELECOM TRAINING CABLE/TELECOM REGULATION TRAINING GOVT OPERATIONS/TECHNOLOGY TRAINING ‐ ‐ 1,000 117‐0710‐416.4430 1 COPIER LEASE 3,000 117‐0710‐416.5305 1 GENERAL 200 117‐0710‐416.5310 1 GENERAL 100 117‐0710‐416.5315 1 GENERAL 1,600 117‐0710‐416.5355 1 GENERAL 1,000 117‐0710‐416.5510 1 GENERAL 200 117‐0710‐416.5810 1 2 3 IT/TELEPHONY TRAINING CABLE/TELECOM REG TRAINING GOVT OPERATIONS/TECHNOLOGY TRAINING ‐ ‐ 1,350 117‐0710‐416.5910 1 2 3 4 5 GFOA AGA IIA TECH ASSOCIATION TELECOM ASSOCIATION 150 150 150 150 150 117‐0710‐416.5920 1 2 NATOA URISA 1,000 500 117‐0710‐416.6107 1 MISC (SOFMIC) 3,000 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 91 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 7 ACCOUNT NUMBER 117‐0710‐416.6110 LINE # 1 DESCRIPTION NONE Total 3,000 117‐0710‐416.6130 1 GENERAL 250 117‐0710‐416.6410 1 GENERAL 200 117‐0710‐416.6420 1 MULTICHANNEL VIDEO COMPLIANCE GUIDE 750 117‐0720‐416.3450 1 2 3 I‐SERIES MANAGEMENT CONSULTING SERVICES (NONE)0730 NETWORK CONSULTING SERVICES (LANWN2) 0740 VOIP CONSULTING SERVICES (PHONE) 0750 10,000 25,000 21,000 117‐0720‐416.3599 1 2 3 4 5 CITRIX XENAPP EZ PRESENTATION TECHNICAL SUPPORT (NONE) 0730 CISCO PHONE SYSTEM TECHNICAL SERVICES (PHONE) 0750 CABLE INSTALLATIONS, REPAIRS MAINTENANCE (PHONE) 0750 ‐ 6,800 ‐ 16,000 ‐ 117‐0720‐416.3910 1 2 3 4 5 6 7 I‐SERIES TECHNICAL TRAINING 0730 HTE USERS GROUP 0730 NETWORK ADMIN/SECURITY TRAINING 0740 CISCO TRAINING 0740 CISCO TRAINING 0740 ATMA CONFERENCE 0750 VOIP CALLMANGER TRAINING 0750 CISCO NETWORK TRAINING 0750 ‐ 500 ‐ 2,000 2 000 ‐ ‐ 1,000 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 92 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 7 ACCOUNT NUMBER 117‐0720‐416.4320 LINE # 1 2 3 4 5 6 7 8 9 10 11 12 DESCRIPTION HOOVER1 IBM E‐SERVER I5 (HARDMT) 0730 HOOVER3 IBM E‐SERVER I5 (HARDMT) 0730 IBM E‐SERVER PSERIES (HARDMT) 0730 MAGSTAR TAPE LIBRARY DATASERVER (HARDMT) 0730 IBM HW MGMT CONSOLE (HARDMT) 0730 RACK‐MOUNT FLAT PANEL CONSOLE (HARDMT) 0730 OTHER (HARDMT) 0730 CISCO NETWORK EQUIPMENT MAINTENANCE (HARDMT) 0740 NET APP STORAGE AREA NETWORK (HARDMT) 0740 NORTEL PBX SUPPORT (HARDMT) 0750 CISCO VOIP EQUIPMENT SUPPORT (HARDMT) 0750 MISC REPAIRS (HARDMT) 0750 Total ‐ ‐ ‐ ‐ ‐ ‐ 20,000 25,000 13,100 30,000 20,000 1,900 117‐0720‐416.5305 1 2 0730 0750 1,000 47,800 117‐0720‐416.5310 1 2 0730 0750 50 400 117‐0720‐416.5315 1 2 3 0730 0740 0750 1,200 1,200 1,400 1 400 117‐0720‐416.5350 1 2 INTERNET ACCESS FOR CITY NETWORK/USERS 0730 0750 35,000 87,000 117‐0720‐416.5355 1 0750 400 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 93 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 7 ACCOUNT NUMBER 117‐0720‐416.5810 117‐0720‐416.5910 LINE # 1 2 3 4 5 6 7 8 9 1 2 3 DESCRIPTION ISERIES TECHNICAL TRAINING 0730 HTE USERS GROUP 0730 OTHER 0730 NETWORK ADMIN/SECURITY TRAINING 0740 OTHER 0740 ATMA CONFERENCE 0750 VOIP TRAINING 0750 CISCO TRAINING 0750 OTHER 0750 HTE USERS GROUP 0730 COMMON 0730 ALABAMA TELECOM MANAGERS ASSOCIATION 0750 Total ‐ ‐ 1,500 ‐ 850 ‐ ‐ ‐ 1,000 200 150 250 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 94 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 7 ACCOUNT NUMBER 117‐0720‐416.6107 LINE # 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 DESCRIPTION HTE DMS (SOFLIC) 0730 HTE RETROFIT MODIFICATIONS (SOFLIC) 0730 HOOVER1 OS (SOFLIC) 0730 HOOVER3 OS (SOFLIC) 0730 MISC (SOFMIC) 0730 CITRIX MICROSOFT WINDOWS TERMINAL SERVER 0730 CALS ‐ 200 (SOFLIC) 0730 CITRIX XENAPP EZ PRESENTATION PLATINUM 0730 LICENSES ‐ 200 (SOFLIC) 0730 CITRIX XENSERVER LICENSES ANNUAL SUPP (SOFLIC)0730 MICROSOFT OFFICE SOFTWARE LICENSING RENEWAL (SOFLIC) 0730 BALANCE TO DO A PRIVATE LPAR (SOFLIC) 0730 EXCHANGE SERVER ENTERPRISE (SOFLIC) 0740 DESKTOP AUTHORITY (SOFLIC) 0740 DAMEWARE REMOTE ADMIN SOFTWARE (SOFLIC) 0740 WEBSENSE INTERNET FILTERING (SOFLIC) 0740 APPRIVER SPAM FILERING (SOFLIC) 0740 BLACKBERRY ENTERPRISE SERVER (SOFLIC) 0750 BLACKBERRY APPLICATION SOFTWARE (SOFLIC) 0750 CISCO PERSONAL ASSISTANT SOFTWARE (SOFLIC) 0750 CISCO PERSONAL ASSISTANT USER LICENSES (SOFLIC) CISCO PERSONAL ASSISTANT USER LICENSES (SOFLIC) 0750 NORTEL, CALLPILOT, OPTIVITY, SUCCESSION (SOFLIC) 0750 CISCO CALLMANAGER (SOFLIC) 0750 EMERGENCY RESPONDER ‐ PINPOINT 911 (SOFLIC) 0750 NETMOTION WIRELESS MANAGER SOFTWARE (SOFLIC) 0750 CISCO UNITY UNIFIED MESSAGING (SOFLIC) 0750 Total 1,100 3,200 4,000 12,500 5,000 ‐ 15,700 ‐ 15,000 2,800 ‐ 75,000 50,000 ‐ ‐ ‐ ‐ 14,000 ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 25,500 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 95 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 7 ACCOUNT NUMBER 117‐0720‐416.6110 LINE # 1 2 3 4 5 6 DESCRIPTION OFFICE SUPPLIES/MATERIALS (NONE) 0730 NETWORK EQUIPMENT AND MATERIALS (LANWN2) 0740 NEXTEL PHONES/RADIOS/BLACKBERRYS/ACCESSORIES 0750 (DEVICE) 0750 CISCO IP PHONES (PHONE) 0750 MISCELLENEOUS CISCO VOIP COMPONENTS (PHONE) 0750 Total 2,000 26,000 ‐ 10,000 22,000 6,000 117‐0720‐416.6120 1 2 0730 0750 250 250 117‐0720‐416.6130 1 2 0730 0750 400 250 117‐0720‐416.6410 1 2 3 0730 0740 0750 100 200 200 117‐0720‐416.6420 1 0730 300 117‐0760‐416.3910 1 2 PC/PRINTER MAINTENANCE TRAINING NETWORK TRAINING ‐ 1,500 117‐0760‐416.4320 1 OUTSOURCED PC AND PRINTER REPAIRS (HARDMT) 1,500 117‐0760‐416.5315 1 GENERAL 1,200 117‐0760‐416.5810 1 2 NETWORK TRAINING OTHER ‐ 850 117‐0760‐416.6107 1 2 3 WINDOWS OS UPGRADES (SOFLIC) VIRUS PROTECTION (SOFLIC) OTHER (SOFMIC) 5,000 6,000 5,000 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 96 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 7 ACCOUNT NUMBER 117‐0760‐416.6110 LINE # 1 2 3 DESCRIPTION PC & PRINTER SUPPLIES AND MATERIALS FOR 07 (NONE) PC/PRINTER REPLACEMENT PROGRAM (PCREPL) NEW PC/PRINTERS PROGRAM (PCNEW) Total 2,899 40,800 10,000 117‐0760‐416.6120 1 GENERAL 300 117‐0760‐416.6130 1 GENERAL 500 117‐0760‐416.6410 1 GENERAL 200 117‐0770‐416.3599 1 2 3 4 5 6 7 COLOR DIGITAL ORTHOPHOTOGRAPHY AND PLANIMETRICS RESOLUTION 4279‐09 (NONE) MICROSOFT TECH SUPPORT (NONE) WEBSITE TECH SUPPORT (NONE) WEBSITE HOSTING (NONE) LIDAR TERRAIN DATA ACQUISITION FOR GIS/MAPPING ONE TIME COST (NONE) 75,000 ‐ 5,000 5,000 2,000 ‐ 17,250 117‐0770‐416.3910 1 2 3 4 HTE USERS GROUP GIS TRAINING SOFTWARE/PROGRAMMING TRAINING WEBSITE CONTENT MANAGEMENT TRAINING WEBSITE CONTENT MANAGEMENT TRAINING ‐ ‐ ‐ 1,500 1 500 117‐0770‐416.4320 1 PLOTTER/SCANNER MAINTENANCE (HARDMT) 2,000 117‐0770‐416.5310 1 GENERAL 200 117‐0770‐416.5315 1 GENERAL 2,200 117‐0770‐416.5355 1 GENERAL 4,500 117‐0770‐416.5510 1 GENERAL 250 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 97 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 7 ACCOUNT NUMBER 117‐0770‐416.5810 LINE # 1 2 3 4 DESCRIPTION HTE USERS GROUP GIS TRAINING SOFTWARE/PROGRAMMING TRAINING OTHER Total ‐ ‐ ‐ 2,000 117‐0770‐416.6107 1 2 3 4 5 6 7 8 9 10 11 12 13 14 ESRI GIS SOFTWARE (SOFLIC) ARCGIS EXTENSIONS & LICENSE RENEWALS (SOFLIC) MR SID GIS FILE MANAGER (SOFLIC) SQL (SOFLIC) HTE CLICK2GOV (SOFLIC) BEA WEBLOGIC MIFDDLEWARE (SOFLIC) VERISIGN DIGITAL CERTIFICATES (SOFLIC) ELECTRONIC STORAGE CORP (SOFLIC) VERITOSE BACK‐UP SOFTWARE (SOFLIC) HTE LAND/PARCEL MGMT (SOFLIC) HTE LG GEOBLADE VIEWER ENTERPRISE ANNUAL MAINTENANCE FEES (SOFLIC) LGADDRESS MANAGEMENT ANNUAL MAINTENANCE (SOFLIC) FOR 1/1/2010 THRU 12/31/2010 20,000 30,000 3,000 1,000 1,200 1,000 5,000 7,000 1,000 3,500 ‐ 6,600 ‐ 2,200 117‐0770‐416.6110 1 NONE 3,000 117‐0770‐416.6130 1 GENERAL 200 117‐0770‐416.6410 1 GENERAL 200 7 Total 961,899 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 98 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 11 ACCOUNT NUMBER 117‐1110‐414.5305 LINE # 1 GENERAL Total 1,200 117‐1110‐414.5310 1 GENERAL 150 117‐1110‐414.5315 1 GENERAL 700 117‐1110‐414.5355 1 GENERAL 600 117‐1110‐414.6107 1 2 3 4 5 6 HTE ASSET MANAGEMENT (SOFLIC) HTE GMBA W/EXTENDED REPORTING (SOFLIC) HTE PURCHASING/INVENTORY (SOFLIC) HTE ACCOUNTS RECEIVABLE (SOFLIC) HTE PAYROLL/PERSONNEL (SOFLIC) HTE PCARD (SOFLIC) 3,300 13,000 7,200 4,600 7,600 2,300 11 Total DESCRIPTION 40,650 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 99 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 12 ACCOUNT NUMBER 117‐1220‐414.5305 LINE # 1 GENERAL Total 200 117‐1220‐414.5310 1 GENERAL 500 117‐1220‐414.5315 1 GENERAL 3,500 117‐1220‐414.5355 1 GENERAL 2,400 117‐1220‐414.6107 1 2 3 4 5 6 HTE OCCUPATIONAL LICENSES (SOFLIC) HTE CASH RECEIPTS (SOFLIC) HTE CLICK2GOV FOR BUSINESS LICENSES (SOFLIC) HTE CASH RECEIPTS LOCK BOX INTERFACE (SOFLIC) SOFTWARE ONE POINT E CHECKS (SOFNEW) WAS IN AT $8700 IN FY 2010 3,300 3,300 2,100 600 2,000 ‐ 12 Total DESCRIPTION 17,900 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 100 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 19 ACCOUNT NUMBER 117‐1910‐415.5305 LINE # 1 GENERAL Total 142,000 117‐1910‐415.5310 1 GENERAL 900 117‐1910‐415.5315 1 GENERAL 6,300 117‐1910‐415.6107 1 2 3 4 PLANT/911 SYSTEM PREPAID FOR 36 MONTHS (SOFLIC) WITH THE E911UP PROJECT IN FY 2009 EXECUTED ON 6/12/2009 ‐ RENEGOTIATE B/F 6/12/2012 HELP SYSTEMS ROBOT ALERT (SOFLIC) ‐ ‐ ‐ 1,100 19 Total DESCRIPTION 150,300 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 101 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 20 ACCOUNT NUMBER 117‐2010‐415.5305 LINE # 1 GENERAL DESCRIPTION Total 26,100 117‐2010‐415.5310 1 GENERAL 3,100 117‐2010‐415.5315 1 GENERAL 7,100 117‐2015‐415.5315 1 GENERAL 2,000 117‐2020‐415.5315 1 GENERAL 17,000 117‐2025‐415.5315 1 GENERAL 2,500 117‐2030‐415.5315 1 GENERAL 3,600 117‐2035‐415.5315 1 GENERAL 8,000 117‐2040‐415.5315 1 2 2040 2045 13,000 4,300 117‐2040‐415.5350 1 T‐1 DATA COMM SERVICE FOR INVERNESS SUBSTATION 6,000 117 2046 415 5315 117‐2046‐415.5315 1 GENERAL 5,000 5 000 117‐2050‐415.5315 1 2 WE REIMBURSE SCHOOLS FOR 1/2 APPROXIMATELY $12,000 X 50% ‐ 6,000 117‐2051‐415.5315 1 GENERAL 2,300 117‐2055‐415.5315 1 GENERAL 1,000 117‐2055‐415.5350 1 2 ADD INTERNET SERVICES FOR TRAINING FACILITY AT OLD BERRY HIGH SCHOOL ‐ 1,300 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 102 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 20 ACCOUNT NUMBER 117‐2060‐415.5315 LINE # 1 GENERAL DESCRIPTION Total 4,000 117‐2065‐415.5315 1 GENERAL 2,600 117‐2075‐415.3450 1 2 ADD 1 TIME NEW WORLD SERVICES FOR NEW VERSION IMPLEMENTATION AND SUPPORT ‐ 12,000 117‐2075‐415.5315 1 GENERAL 7,500 117‐2075‐415.5350 1 2 ACJIC T1 NETWORK LINE (SEE ALSO 2075/6107) CHARTER SERVICE AT POLICE OPS 21,000 1,000 117‐2075‐415.5355 1 VERIZON AIR CARDS 106,600 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 103 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 20 ACCOUNT NUMBER 117‐2075‐415.6107 20 Total LINE # 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 38 DESCRIPTION NEW WORLD COMPUTER AIDED DISPATCH (20) (SOFLIC) NEW WORLD LAW ENFORCEMENT RECORDS (26) (SOFLIC) NEW WORLD PUBLIC SAFETY INTERFACE (9) (SOFLIC) NEW WORLD CORRECTIONS MGMT SOFTWARE (3) (SOFLIC) NEW WORLD PHOTO IMAGING SOFTWARE (3) (SOFLIC) NEW WORLD DATA MGMT & RETRIEVAL TOOLS (2) (SOFLIC) NEW WORLD AEGIS GUI (2) (SOFLIC) NEW WORLD MOBILE MGMT SERVER S/WARE (4) (SOFLIC) NEW WORLD MOBILE S/WARE ON THE RS6000 (4) (SOFLIC) NEW WORLD CLIENT LAPTOP SOFTWARE (12) (SOFLIC) NEW WORLD MOBILE S/WARE ON 400 OR MSP (2) (SOFLIC) NEW WORLD AEGIS JUSTICE LINK (2) (SOFLIC) NEW WORLD ESRI EMBEDDED APPL UPGRADES (3) (SOFLIC) ADDITIONAL NEW WORLD (SOFLIC) DATAWORKS PLUS MAINTENANCE (LIVESCAN AND MUGSHOT SYSTEM) (SOFLIC) LOGMEIN RESCUE UTILITY (SOFLIC) ACJIC DESKTOP WORKSTATIONS 8 @ $35 MONTH (SOFLIC) THE FIRST 8 ARE AT A HIGHER RATE ACJIC DESKTOP WORKSTATIONS 43 @ $25 MONTH (SOFLIC) ACJIC MOBILE WORKSTATION 100 @ $12.5 MONTH(SOFLIC) THE FIRST 100 ARE AT A HIGHER RATE THE FIRST 100 ARE AT A HIGHER RATE ACJIC MOBILE WORKSTATIONS 17 @ $5 MONTH (SOFLIC) ACJIC LETS ACCESS FEE (SOFLIC) SEE ALSO (5350) T1 TOTAL STATION/FATAL WRECKS/ACCIDENT RECONSTRUCTION (SOFLIC) VISUAL STATEMENT MAINTENANCE VISUAL STATEMENT UPGRADE TOTAL STATION (SOFNEW) LEADSONLINE TOTAL TRACK (SOFLIC) ATTACHMATE (SOFLIC) GUIDANCE ENCASE FORENSIC SOFTWARE (SOFLIC) ADVANCED POLICE SOFTWARE (CRITICAL INCIDENT COMMAND FOR SRTS) (SOFLIC) I GOT HIT BLACK BOX FOR CARS UPDATE ONCE EVERY 3 YEARS (SOFNEW) HARDWARE & SOFTWARE NO BREAKDWN DYNAMIX GROUP SOFTWARE MAINTENANCE ‐ WE ARE GOING TO PUT ON THE SAME SCHEDULE WITH 18 MONTH PREPAY THRU 12/31/11 (NO $$ NEEDED IN FY 2011) SYSTEM P5 (C6CEG) MODEL 52A (SOFLIC) $407 Total ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 250,000 12,900 ‐ 10,000 1,300 3,360 ‐ 12,900 15,000 ‐ 1,020 1,200 ‐ 2,900 2,700 7,500 1,000 1,000 ‐ 500 ‐ 2,500 ‐ ‐ ‐ ‐ 588,780 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 104 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 21 ACCOUNT NUMBER 117‐2110‐415.5305 LINE # 1 GENERAL Total 24,000 117‐2110‐415.5310 1 GENERAL 300 117‐2110‐415.5315 1 GENERAL 29,500 117‐2110‐415.5350 1 DATA COMMUNICATION LINES (INCLUDING NEW GREYSTONE) 93,000 117‐2110‐415.5355 1 GENERAL 24,000 117‐2110‐415.6107 1 2 3 FIREHOUSE (SOFLIC) EMS BILLING (SOFLIC) SOFTWARE UPDATE FOR POSI ‐ SCBA (SOFLIC) 9,000 2,500 1,750 21 Total DESCRIPTION 184,050 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 105 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 22 ACCOUNT NUMBER 117‐2210‐413.5305 LINE # 1 GENERAL Total 1,500 117‐2210‐413.5310 1 GENERAL 350 117‐2210‐413.6107 1 2 HTE CODE ENFORCEMENT (SOFLIC) HTE CLICK2GOV FOR BLDG PERMITS/INSPECTS (SOFLIC) 2,300 2,000 117‐2220‐413.5315 1 GENERAL 10,500 117‐2220‐413.5355 1 GENERAL 10,000 117‐2220‐413.6107 1 2 HTE BUILDING PERMITS (SOFLIC) INT'L CODE COUNCIL SOFTWARE (SOFLIC) 5,500 2,500 117‐2230‐413.5315 1 GENERAL 1,200 22 Total DESCRIPTION 35,850 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 106 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 30 ACCOUNT NUMBER 117‐3010‐415.5305 LINE # 1 GENERAL Total 500 117‐3010‐415.5310 1 GENERAL 400 117‐3010‐415.5315 1 GENERAL 11,300 117‐3010‐415.6107 1 2 3 4 ACJIC DESKTOP WORKSTATIONS 17 @ $25 MONTH (SOFLIC) (ADDED AN ADDITIONAL PREVIOUSLY 16) ACJIC LETS ACCESS FEE (SOFLIC) COURT BILLING COURT IS BILLED SEPARATELY 5,100 ‐ 1,200 ‐ 117‐3020‐415.5315 1 GENERAL 3,000 117‐3020‐415.6107 1 2 ANNUAL LICENSE FOR ANIMAL CONTROL SOFTWARE NEW (SOFLIC) ‐ 2,200 30 Total DESCRIPTION 23,700 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 107 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 40 ACCOUNT NUMBER 117‐4020‐413.5305 LINE # 1 GENERAL Total 500 117‐4020‐413.5310 1 GENERAL 100 117‐4020‐413.5315 1 GENERAL 11,000 117‐4020‐413.6107 1 HTE WORK ORDER SYSTEM (SOFLIC) 7,800 117‐4030‐413.5305 1 GENERAL 200 117‐4030‐413.5310 1 GENERAL 100 117‐4030‐413.5315 1 GENERAL 3,000 40 Total DESCRIPTION 22,700 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 108 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 45 ACCOUNT NUMBER 117‐4560‐413.4320 LINE # 1 2 DESCRIPTION SCANNER AND PRINTER MAINTENANCE FOR BARCODES (HARDMT) Total ‐ 1,201 117‐4560‐413.5305 1 GENERAL 200 117‐4560‐413.5310 1 GENERAL 100 117‐4560‐413.5315 1 GENERAL 6,300 117‐4560‐413.5355 1 GENERAL 650 117‐4560‐413.6107 1 2 3 4 5 HTE FLEET MGMT SYSTEM (SOFLIC) HTE AUTO FUEL INTERFACE (SOFLIC) OPW/PHOENIX FUEL MGMT SYSTEM (SOFLIC) NO LONGER NEEDED ‐ REDUCE WHEN POSSIBLE PI SOFTWARE SUPPORT BARCODES (SOFLIC) 6,300 1,200 2,000 ‐ 2,160 117‐4560‐413.6110 1 2 1 ADDITIONAL SCANNERS TO MATCH THE ONE FOR PI BAR CODE (SCAN) ‐ 1,695 45 Total 21,806 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 109 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 50 ACCOUNT NUMBER 117‐5020‐419.5305 LINE # 1 GENERAL DESCRIPTION Total 6,000 117‐5020‐419.5310 1 GENERAL 400 117‐5020‐419.5315 1 GENERAL 10,000 117‐5020‐419.5350 1 INTERNET SERVICE AT REC CENTER (NEW IN FY 2010) 700 117‐5020‐419.5355 1 AIR CARD SERVICE 600 117‐5020‐419.6107 1 2 3 4 5 VERMONT SYSTEMS RECTRAC SOFTWARE (SOFLIC) HTE RECTRAC INTERFACE TO CASH RECEIPTS (SOFLIC) HTE RECTRAC INTERFACE TO GMBA (SOFLIC) ADD WEBTRAC UPGRADE FACILITY AND EQUIPMENT MODULES (SOFNEW) 6,000 400 400 ‐ 5,000 117‐5040‐419.5305 1 GENERAL 500 117‐5040‐419.5310 1 GENERAL 100 117‐5040‐419.5315 1 GENERAL 7,200 117‐5040‐419.5350 1 2 3 DSL @ VETERANS PARK (PARK27) CABLE TV @ RV PARK (PARK26) WIRELESS INTERNET SVC FOR HOOVER RV PARK (PARK26) 1,200 6,000 5,300 117‐5040‐419.5355 1 GENERAL 3,000 117‐5041‐419.5350 1 CABLE MODEM INTERNET SERVICE @ REGIONS PK (PARK10) 3,000 117‐5042‐419.5305 1 PARK22 ‐ $350 X 12 4,200 117‐5042‐419.5310 1 PARK22 ‐ $80 X 12 960 117‐5042‐419.5350 1 PARK22 ‐ $200 X 12 2,400 117‐5050‐419.5350 1 INTERNET ACCESS (PARK28) 1,000 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 110 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 50 ACCOUNT NUMBER 117‐5050‐419.6107 117‐5070‐419.5315 50 Total LINE # 1 1 DESCRIPTION VERMONT SYSTEMS (SOFLIC) GENERAL Total 1,000 1,100 66,460 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 111 of 206 FUND 117 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 117 DEPT 60 ACCOUNT NUMBER 117‐6010‐418.5305 LINE # 1 GENERAL Total 6,000 117‐6010‐418.5310 1 GENERAL 500 117‐6010‐418.5315 1 GENERAL 10,500 117‐6010‐418.6110 1 2 3 UPGRADE OLDEST SELF CHECKOUT MACHINES WITH THE IMPLEMENTATION OF PHASE II OF RFID (PCREPL) REPLACE 6 OBSOLETE PUBLIC LAPTOPS (PCREPL) ‐ 6,000 7,200 117‐6070‐418.5350 1 METROETHERNET LIBRARY TO JCLC 24,500 60 Total 117 Total DESCRIPTION 54,700 2,376,910 2,416,910 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 117 OPERATING & CAP 112 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 1 ACCOUNT NUMBER 119‐0110‐410.4310 LINE # 1 2 DESCRIPTION HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ CITY HALL Total ‐ 303 119‐0110‐410.6210 1 GENERAL 2,000 119‐0110‐410.6220 1 GENERAL 10,000 119‐0110‐410.6225 1 GENERAL 1,000 119‐0110‐410.6250 1 GENERAL 4,000 1 Total 17,303 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 113 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 2 ACCOUNT NUMBER 119‐0220‐411.4310 LINE # 1 2 DESCRIPTION HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ CITY HALL Total ‐ 1,946 119‐0220‐411.6210 1 GENERAL 3,000 119‐0220‐411.6220 1 GENERAL 11,000 119‐0220‐411.6225 1 GENERAL 1,000 119‐0220‐411.6250 1 GENERAL 5,000 2 Total 21,946 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 114 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 3 ACCOUNT NUMBER 119‐0310‐413.4310 LINE # 1 2 3 4 5 6 7 8 9 10 11 DESCRIPTION HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ CITY HALL ADD SECURITY SYSTEM REPAIR & MAINTENANCE PSC CAMERAS NOT FUNCTIONING AND/OR RECORDING AND OTHER ISSUES ADD ROOF REPAIRS FOR PSC, MC, AND FS4 COUNCIL AMENDMENT 11/15/11 ADDED BACK FROM FY 2010 GENERATOR SHADES MTN @ $40,000 BUT SOME WAS PAID IN FY 2010 ($8930) AND FY 2011 COST $32,687 SO APPROXIMATELY $7000 IS EXTRA FOR THE OTHER TWO PROJECTS IN THIS ACCOUNT Total ‐ 728 ‐ ‐ 35,000 25,000 ‐ ‐ ‐ ‐ ‐ 119‐0310‐413.6210 1 GENERAL 2,000 119‐0310‐413.6220 1 GENERAL 6,000 119‐0310‐413.6225 1 GENERAL 1,000 119‐0310‐413.6250 1 GENERAL 3,000 119‐0355‐413.4310 1 2 HOTROD SEC 350 30,000 3 Total 103,078 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 115 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 4 ACCOUNT NUMBER 119‐0410‐413.4210 LINE # 1 2 DESCRIPTION HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ PSC Total ‐ 4,952 119‐0410‐413.4310 1 2 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ PSC ‐ 1,934 119‐0410‐413.6210 1 GENERAL 3,000 119‐0410‐413.6220 1 GENERAL 175,000 119‐0410‐413.6225 1 GENERAL 2,000 119‐0410‐413.6250 1 GENERAL 5,000 4 Total 191,886 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 116 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 6 ACCOUNT NUMBER 119‐0610‐416.4310 LINE # 1 2 DESCRIPTION HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ CITY HALL Total ‐ 944 119‐0610‐416.6210 1 GENERAL 1,000 119‐0610‐416.6220 1 GENERAL 5,000 119‐0610‐416.6225 1 GENERAL 1,000 119‐0610‐416.6250 1 GENERAL 2,000 6 Total 9,944 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 117 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 7 ACCOUNT NUMBER 119‐0710‐416.4210 LINE # 1 2 DESCRIPTION HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ PSC Total ‐ 4,108 119‐0710‐416.4310 1 2 3 4 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ PSC HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ CITY HALL ‐ 1,603 ‐ 82 119‐0710‐416.6210 1 GENERAL 2,000 119‐0710‐416.6220 1 GENERAL 13,000 119‐0710‐416.6225 1 GENERAL 1,000 119‐0710‐416.6250 1 GENERAL 3,000 7 Total 24,793 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 118 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 11 ACCOUNT NUMBER 119‐1110‐414.4310 LINE # 1 2 DESCRIPTION HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ CITY HALL Total ‐ 609 119‐1110‐414.6210 1 GENERAL 2,000 119‐1110‐414.6220 1 GENERAL 7,000 119‐1110‐414.6225 1 GENERAL 1,000 119‐1110‐414.6250 1 GENERAL 3,000 11 Total 13,609 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 119 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 12 ACCOUNT NUMBER 119‐1220‐414.4210 LINE # 1 2 DESCRIPTION HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ PSC Total ‐ 3,511 119‐1220‐414.4310 1 2 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ PSC ‐ 1,370 119‐1220‐414.6210 1 GENERAL 2,000 119‐1220‐414.6220 1 GENERAL 12,000 119‐1220‐414.6225 1 GENERAL 1,000 119‐1220‐414.6250 1 GENERAL 3,000 12 Total 22,881 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 120 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 19 ACCOUNT NUMBER 119‐1910‐415.4210 LINE # 1 2 DESCRIPTION HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ PSC Total ‐ 4,633 119‐1910‐415.4310 1 2 3 4 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ CITY HALL HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ PSC ‐ 481 ‐ 1,806 119‐1910‐415.6210 1 GENERAL 4,000 119‐1910‐415.6220 1 GENERAL 18,000 119‐1910‐415.6225 1 GENERAL 1,000 119‐1910‐415.6250 1 GENERAL 5,000 19 Total 34,920 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 121 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 20 ACCOUNT NUMBER 119‐2010‐415.4310 LINE # 1 2 3 4 5 6 DESCRIPTION HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ CITY HALL INCLUDES SALLY PORT (CITY HALL) PEST CONTROL BID RESOLUTION 4250‐09 BID 04‐09 KNOX PEST CONTROL 4/6/2009 ‐ BLUFF PK COMM TOWER GENERATOR Total ‐ ‐ 7,599 ‐ ‐ 120 119‐2010‐415.6210 1 GENERAL 16,000 119‐2010‐415.6220 1 GENERAL 65,500 119‐2010‐415.6225 1 GENERAL 4,000 119‐2010‐415.6250 1 GENERAL 28,000 119‐2040‐415.4210 1 2 HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ POLICE OPS ‐ 8,004 119‐2040‐415.4310 1 2 3 4 5 6 7 8 9 10 11 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ POLICE OPS INTL FIRE PROTECTION ‐ SPRINKLER INSPECTIONS INTL FIRE PROTECTION ‐ SPRINKLER INSPECTIONS RES 4426‐10 BID 07‐10 ‐ POLICE OPS COLE EQUIPMENT ‐ FIRE ALARMS RES 4426‐10 BID 07‐10 ‐ POLICE OPS PEST CONTROL BID RESOLUTION 4250‐09 BID 04‐09 KNOX PEST CONTROL 4/6/2009 POLICE OPS BLUFF PK SUBSTATION INVERNESS SUBSTATION ‐ 2,859 536 600 ‐ 1,046 ‐ ‐ 186 186 186 119‐2040‐415.6210 1 GENERAL 6,000 119‐2040‐415.6220 1 GENERAL 33,000 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 122 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 20 ACCOUNT NUMBER 119‐2040‐415.6225 LINE # 1 GENERAL Total 2,000 119‐2040‐415.6250 1 GENERAL 1,000 119‐2060‐415.4210 1 2 3 HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ PSC ‐ HOURLY 40 HRS A WEEK ‐ ‐ 23,692 119‐2060‐415.4310 1 2 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ PSC ‐ 18,896 119‐2060‐415.6210 1 GENERAL 21,000 119‐2060‐415.6220 1 GENERAL 145,000 119‐2060‐415.6225 1 GENERAL 6,000 119‐2060‐415.6250 1 GENERAL 35,000 119‐2075‐415.4210 1 2 HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ PSC 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ PSC ‐ 2,790 119‐2075‐415.4310 1 2 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ PSC ‐ 1,084 119‐2075‐415.6210 1 GENERAL 2,000 119‐2075‐415.6220 1 GENERAL 10,000 119‐2075‐415.6225 1 GENERAL 1,000 119‐2075‐415.6250 1 GENERAL 3,000 20 Total DESCRIPTION 446,284 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 123 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 21 ACCOUNT NUMBER 119‐2110‐415.4210 LINE # 1 2 DESCRIPTION HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ PSC Total ‐ 11,323 119‐2110‐415.4310 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ FIRE STATIONS & FS9 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ PSC INTL FIRE PROTECTION ‐ SPRINKLER INSPECTIONS RES 4426‐10 BID 07‐10 ‐ FS2 INTL FIRE PROTECTION ‐ SPRINKLER INSPECTIONS RES 4426‐10 BID 07‐10 ‐ FS9 COLE EQUIPMENT ‐ FIRE ALARMS RES 4426‐10 BID 07‐10 ‐ FS2 COLE EQUIPMENT ‐ FIRE ALARMS RES 4426‐10 BID 07‐10 ‐ FS9 ELEVATOR ‐PARTNERS ELEV SVC 4387‐10 BID 02‐10 4/5/2010 ‐ FS#7 ‐ CPI OPTION 3% 12 MONTHS PEST CONTROL BID RESOLUTION 4250‐09 BID 04‐09 KNOX PEST CONTROL 4/6/2009 ‐ FS # 1‐9 $186 EACH ‐ 17,748 ‐ 4,418 ‐ 600 ‐ 600 ‐ 535 ‐ 550 ‐ 606 ‐ 1,674 119‐2110‐415.6110 1 2 AFTER BUDGET PASSAGE B/F CARRYOVERS FROM 101/6110 AFTER BUDGET PASSAGE B/F CARRYOVERS FROM 101/6110 FURNITURE FOR CHIEF WINGATE 1,311 ‐ 119‐2110‐415.6210 1 GENERAL 61,000 119‐2110‐415.6220 1 GENERAL 143,000 119‐2110‐415.6225 1 GENERAL 5,740 119‐2110‐415.6250 1 GENERAL 62,000 21 Total 311,105 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 124 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 22 ACCOUNT NUMBER 119‐2210‐413.4210 LINE # 1 2 DESCRIPTION HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ PSC Total ‐ 16,172 119‐2210‐413.4310 1 2 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ PSC ‐ 6,314 119‐2210‐413.6210 1 GENERAL 7,000 119‐2210‐413.6220 1 GENERAL 50,000 119‐2210‐413.6225 1 GENERAL 2,000 119‐2210‐413.6250 1 GENERAL 15,000 22 Total 96,486 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 125 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 30 ACCOUNT NUMBER 119‐3010‐415.4210 LINE # 1 2 DESCRIPTION HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ PSC Total ‐ 19,002 119‐3010‐415.4310 1 2 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ PSC ‐ 7,420 119‐3010‐415.6210 1 GENERAL 9,000 119‐3010‐415.6220 1 GENERAL 56,000 119‐3010‐415.6225 1 GENERAL 2,000 119‐3010‐415.6250 1 GENERAL 15,000 30 Total 108,422 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 126 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 40 ACCOUNT NUMBER 119‐4020‐413.4210 LINE # 1 2 DESCRIPTION HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ PSC Total ‐ 6,846 119‐4020‐413.4310 1 2 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ PSC ‐ 2,672 119‐4020‐413.6210 1 GENERAL 4,000 119‐4020‐413.6220 1 GENERAL 23,000 119‐4020‐413.6225 1 GENERAL 1,000 119‐4020‐413.6250 1 GENERAL 5,000 119‐4030‐413.3420 1 GENERAL 5,000 119‐4030‐413.3910 1 GENERAL 6,000 119‐4030‐413.4310 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ CITY HALL PUBLIC SPACE INTL FIRE PROTECTION ‐ SPRINKLER INSPECTIONS INTL FIRE PROTECTION ‐ SPRINKLER INSPECTIONS RES 4426‐10 BID 07‐10 ‐ MUNICIPAL CENTER INTL FIRE PROTECTION ‐ SPRINKLER INSPECTIONS RES 4426‐10 BID 07‐10 ‐ PUBLIC SAFETY CENTER INSPECTION, MAINT, AND RECHARGING OF CLEAN AGENT EXTINGUISHING SYSTEMS ‐ DALE'S FIRE EQUIPMENT NO BID YET PART 3 OF BID NOT ACCEPTED RES 4426‐10 BID 07‐10 ‐ MUNICIPAL CENTER COLE EQUIPMENT ‐ FIRE ALARMS RES 4426‐10 BID 07‐10 ‐ MUNICIPAL CENTER COLE EQUIPMENT ‐ FIRE ALARMS RES 4426‐10 BID 07‐10 ‐ MUNICIPAL CENTER ELEVATOR ‐PARTNERS ELEV SVC 4387‐10 BID 02‐10 4/5/2010 ‐ MUNICIPAL CENTER CPI OPTION 3% 12 MO ELEVATOR ‐PARTNERS ELEV SVC 4387‐10 BID 02‐10 4/5/2010 ‐ PUBLIC SAFETY CTR CPI OPTION 3% 12 MO ‐ 4,307 ‐ 600 ‐ 2,400 ‐ ‐ ‐ 2,000 ‐ 1,292 ‐ 2,057 ‐ 1,212 ‐ 2,423 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 127 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 40 ACCOUNT NUMBER 119‐4030‐413.4310 LINE # 19 20 21 22 23 24 25 26 27 28 29 DESCRIPTION TERMITE BOND PSC WINDOW CLEANING PSC GENERATOR/SWITCHGEAR MAINT PSC SECURITY SYSTEM CAMERA/ELECTRONIC LOCKS READER MAINT PSC WALK OFF MATS CLEANING PSC INTERIOR PLANT MAINT PEST CONTROL BID RESOLUTION 4250‐09 BID 04‐09 KNOX PEST CONTROL 4/6/2009 ‐ PUBLIC SAFETY CTR PEST CONTROL BID RESOLUTION 4250‐09 BID 04‐09 KNOX PEST CONTROL 4/6/2009 ‐ MUNICIPAL CENTER Total ‐ ‐ ‐ ‐ ‐ ‐ 82,962 ‐ 600 ‐ 186 119‐4030‐413.4320 1 GENERAL 3,000 119‐4030‐413.4340 1 GENERAL 10,000 119‐4030‐413.4430 1 GENERAL 4,000 119‐4030‐413.5810 1 2 ORIGINAL LESS 4,633 (2,317) 119‐4030‐413.5910 1 GENERAL 1,000 119‐4030‐413.6110 1 GENERAL 130,000 119‐4030‐413.6120 1 GENERAL 3,800 119‐4030‐413.6130 1 GENERAL 500 119‐4030‐413.6210 1 2 ORIGINAL ADD FOR INCREASES OVERALL 6,000 20,000 119‐4030‐413.6220 1 2 ORIGINAL ADD FOR INCREASES OVERALL 34,000 90,000 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 128 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 40 ACCOUNT NUMBER 119‐4030‐413.6225 LINE # 1 2 DESCRIPTION ORIGINAL ADD FOR INCREASES OVERALL Total 1,000 3,000 119‐4030‐413.6250 1 2 ORIGINAL ADD FOR INCREASE OVERALL 15,000 25,000 119‐4030‐413.6420 1 GENERAL 1,000 119‐4080‐413.6220 1 GENERAL 7,000 119‐4080‐413.6225 1 GENERAL 1,000 40 Total 511,173 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 129 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 45 ACCOUNT NUMBER 119‐4560‐413.4210 LINE # 1 2 DESCRIPTION HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ PSC Total ‐ 29,605 119‐4560‐413.4310 1 2 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ PSC ‐ 11,551 119‐4560‐413.6210 1 ORIGINAL 13,000 119‐4560‐413.6220 1 GENERAL 92,000 119‐4560‐413.6225 1 GENERAL 4,000 119‐4560‐413.6250 1 GENERAL 22,000 45 Total 172,156 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 130 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 50 ACCOUNT NUMBER 119‐5020‐419.4210 LINE # 1 2 3 4 5 DESCRIPTION HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ REC CENTER HOUSKEEPING BID TO REPLACE 2 CUSTODIANS THAT ARE RETIRING BY CONTRACTING OUT $11.39 X 2 X 40 X 52 SPECIAL CLEANING PROJECTS AS NEEDED Total ‐ 31,076 ‐ 47,383 5,000 119‐5020‐419.4310 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ REC CENTER INTL FIRE PROTECTION ‐ SPRINKLER INSPECTIONS RES 4426‐10 BID 07‐10 ‐ RECREATION CENTER COLE EQUIPMENT ‐ FIRE ALARMS RES 4426‐10 BID 07‐10 ‐ RECREATION CENTER ELEVATOR ‐PARTNERS ELEV SVC 4387‐10 BID 02‐10 4/5/2010 ‐ RECREATION CENTER CPI OPTION 3% 12 MO PEST CONTROL BID RESOLUTION 4250‐09 BID 04‐09 KNOX PEST CONTROL 4/6/2009 ‐ RECREATION CENTER MAT SERVICE BULB REPLACEMENT/ELECTRICAL REPAIRS RESTROOM SANITIZATION GREASE TRAP CLEANING PAINTING & REPAIRS PAINTING & REPAIRS ADD SCREEN/SAND RESURFACE ALL WOOD FLOORS IN REC CTR ‐ FLOORS ARE WORN AND NEEDS SANDED & REFINISH ADD REPAIR ROOF WHICH HAS BEEN LEAKING SINCE BUILDING WAS CONSTRUCTED MOVE $5092 TO COVER 5050 CLEANING TEMPORARILY ADD PAINT 3RD FLOOR OF REC CENTER THAT IS OLD AND PEELING OFF ‐ 14,088 ‐ 600 ‐ 1,292 ‐ 606 ‐ 186 2,800 2,500 3,500 500 15,000 ‐ 20,000 ‐ 10,000 (5,092) ‐ 25,000 119‐5020‐419.6110 1 2 3 4 5 6 ADD RESURFACE/PAINT AND RESTRIPE PARKING LOT @ REC CTR ADD LAKEHOUSE FURNITURE AND DECORATING TO REPLACE OLD AND WORN OUT RENTAL FURNITURE AND UPGRADE FOR RENTALS CUT ‐ 40,000 ‐ ‐ 10,000 (10,000) H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 131 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 50 ACCOUNT NUMBER 119‐5020‐419.6210 LINE # 1 GENERAL DESCRIPTION Total 149,300 119‐5020‐419.6220 1 GENERAL 205,000 119‐5020‐419.6225 1 GENERAL 9,000 119‐5020‐419.6250 1 GENERAL 30,000 119‐5040‐419.4310 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ PARKS VARIOUS WET CHEMICAL EXTINGUISHING SYSTEMS BID 07‐10 RESOLUTION 4426‐10 ‐ 6/21/2010 WEST, CENTRAL, EAST, AND SPAIN PARK AUTOMATIC FIRE SYSTEMS ‐ SPRINKLER INSPECTIONS RESOLUTION 3585‐06 ‐ 2 X $200 COLE EQUIPMENT ‐ FIRE ALARMS RES 4426‐10 BID 07‐10 ‐ SERTOMA GYM ELEVATOR ‐THYSSENKRUPP ‐ RESOLUTION 3585‐06 12 MONTHS @ $220 GENERAL ONGOING MAINTENANCE @ ALL PARKS PEST CONTROL BID RESOLUTION 4250‐09 BID 04‐09 PEST CONTROL BID RESOLUTION 4250‐09 BID 04‐09 KNOX PEST CONTROL 4/6/2009 ‐ VARIOUS PARKS ADD NEW COUNTER TOPS AND AUTOMATIC FLUSHING DEVICES IN THE RESTROOMS @ HOOVER WEST CUT ADD RESURFACING COURTS AND ADD NEW SIGNAGE AT SERTOMA TENNIS COURTS CUT ‐ USE SURPLUS BIRREP VIA AMENDMENT AFTER BIRCHTREE IS DONE ‐ 19,758 ‐ ‐ 2,072 ‐ 400 ‐ 805 ‐ 2,640 42,893 ‐ 2,538 ‐ 5,000 (5,000) ‐ 40,000 ‐ (40,000) 119‐5040‐419.4340 1 2 3 4 ADD LASER GRADE, LEVEL, RESOD, INFIELD LIPS @ HOOVER EAST ADD REPLACEMENT OF OLD WORN OUT TURF IN BATTING CAGES ‐ HOOVER WEST (SHADES MTN) ‐ 20,000 ‐ 25,000 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 132 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 50 ACCOUNT NUMBER 119‐5040‐419.6110 LINE # 1 2 3 4 5 DESCRIPTION ADD TEMPORARY FENCING TO CONVERT LARGE FIELDS INTO SMALLER FIELDS FOR TOURNAMENTS ‐ SPAIN PK ADD SHADE STRUCTURES TO COVER BLEACHERS AND PICNIC AREA FOR PROTECTION FROM THE SUN AND FOUL BALLS @ SPAIN PARK COMPLEX Total ‐ 5,000 ‐ ‐ 25,000 119‐5040‐419.6210 1 GENERAL 28,000 119‐5040‐419.6220 1 GENERAL 230,000 119‐5040‐419.6225 1 GENERAL 10,000 119‐5040‐419.6250 1 GENERAL 138,000 119‐5041‐419.4310 1 2 3 4 5 6 7 8 9 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ REGIONS PARK INTL FIRE PROTECTION ‐ SPRINKLER INSPECTIONS RES 4426‐10 BID 07‐10 ‐ REGIONS PARK (PARK10) COLE EQUIPMENT ‐ FIRE ALARMS RES 4426‐10 BID 07‐10 ‐ REGIONS PARK ELEVATOR ‐PARTNERS ELEV SVC 4387‐10 BID 02‐10 ELEVATOR ‐PARTNERS ELEV SVC 4387‐10 BID 02‐10 4/5/2010 ‐ FS#7 CPI OPTION 3% 12 MONTHS MO REGIONS PARK ANNUAL EXPENDITURES (PARK10) ‐ 11,669 ‐ 1,800 ‐ 1,570 ‐ 1,212 50,000 119‐5042‐419.4310 1 2 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ ALDRIDGE GARDENS ‐ 3,415 119‐5042‐419.6210 1 GENERAL 3,000 119‐5042‐419.6220 1 GENERAL 23,000 119‐5042‐419.6225 1 GENERAL 1,000 119‐5042‐419.6250 1 GENERAL 15,000 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 133 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 50 ACCOUNT NUMBER 119‐5050‐419.4210 LINE # 1 2 3 DESCRIPTION NOT NEEDED SINCE STAFF WAS MOVED STAFF GONE FOR 2 MONTHS SO NEED TEMPORARY $ WHICH WILL COME FROM ROOF REPAIRS 119 5020 4310 Total ‐ ‐ 5,092 119‐5050‐419.4310 1 2 3 4 5 6 7 8 9 10 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ SENIOR CENTER INTL FIRE PROTECTION ‐ SPRINKLER INSPECTIONS RES 4426‐10 BID 07‐10 ‐ SENIOR CENTER COLE EQUIPMENT ‐ FIRE ALARMS RES 4426‐10 BID 07‐10 ‐ SENIOR CENTER PEST CONTROL BID RESOLUTION 4250‐09 BID 04‐09 KNOX PEST CONTROL 4/6/2009 ‐ SENIOR CENTER ADD CONVERT OPEN AREA IN ARTS AND CRAFTS ROOM AT SENIOR CENTER TO A CLOSET ‐ 2,148 ‐ 600 ‐ 655 ‐ 186 ‐ 5,000 119‐5050‐419.6210 1 GENERAL 15,000 119‐5050‐419.6220 1 GENERAL 26,000 119‐5050‐419.6225 1 GENERAL 1,000 119‐5050‐419.6250 1 GENERAL 7,000 50 Total 1,334,192 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 134 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 60 ACCOUNT NUMBER 119‐6010‐418.4210 LINE # 1 2 3 4 5 6 7 DESCRIPTION HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ LIBRARY OTHER CLEANING SERVICES @ LIBRARY TO INCLUDE CARPET CLEANING, WINDOW WASHING, GRANITE STONE CLEANING, HIGH DUSTING ADD EXTERIOR LIMESTONE CLEANING TO REMOVE STAINS STREAKS ‐ LAST CLEANED IN 2005 Total ‐ 5,316 17,075 ‐ ‐ ‐ 12,000 119‐6010‐418.4310 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ LIBRARY INTL FIRE PROTECTION ‐ SPRINKLER INSPECTIONS RES 4426‐10 BID 07‐10 ‐ LIBRARY COLE EQUIPMENT ‐ FIRE ALARMS RES 4426‐10 BID 07‐10 ‐ LIBRARY ELEVATOR ‐PARTNERS ELEV SVC 4387‐10 BID 02‐10 4/5/2010 ‐ LIBRARY CPI OPTION 3% 12 MONTHS PEST CONTROL BID RESOLUTION 4250‐09 BID 04‐09 KNOX PEST CONTROL 4/6/2009 ‐ LIBRARY TERMITE BOND UNFORESEEN REPAIR AND MAINTENANCE NEEDS ADD CAULKING OF LIBRARY WINDOWS TO PREVENT RAIN ADD CAULKING OF LIBRARY WINDOWS TO PREVENT RAIN WATERS FROM LEAKING INTO THE LIBRARY AND DAMAGING WALLS, CEILINGS, AND CARPET ADD CHILDREN'S PATIO PROJECT ‐ RENOVATE THE UNUSED PATIO AREA OFF OF THE PRESCHOOL ROOM TO CREATE AN OUTDOOR WORK/PLAY AREA FOR SMALL CHILDREN AND A SITTING AREA FOR PARENTS CUT ‐ 21,064 ‐ 600 ‐ 2,295 ‐ 1,212 ‐ 186 ‐ 20,460 ‐ ‐ 15,000 ‐ ‐ ‐ 25,000 (25,000) 119‐6010‐418.6110 1 2 LIGHT BULBS AND OTHER BUILDING SUPPLIES FOR THE LIBRARY ‐ 20,000 119‐6010‐418.6210 1 GENERAL 1,000 119‐6010‐418.6220 1 GENERAL 290,000 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 135 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 60 ACCOUNT NUMBER 119‐6010‐418.6225 119‐6010‐418.6250 60 Total LINE # 1 GENERAL DESCRIPTION Total 6,000 1 GENERAL 45,000 457,208 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 136 of 206 FUND 119 OPERATING AND CAPITAL BY DEPARTMENT FY 2011 ORIGINAL BUDGET TOTAL ACCOUNT <> 0 FUND 119 DEPT 75 ACCOUNT NUMBER 119‐7510‐417.4210 LINE # 1 2 DESCRIPTION HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ PSC Total ‐ 10,119 119‐7510‐417.4310 1 2 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ PSC ‐ 5,441 119‐7510‐417.6210 1 GENERAL 6,000 119‐7510‐417.6220 1 GENERAL 42,000 119‐7510‐417.6225 1 GENERAL 2,000 119‐7510‐417.6250 1 GENERAL 11,000 119‐7530‐417.4210 1 2 3 HOUSEKEEPING BID ‐ SOUTHERN MGMT CO ‐ RESOLUTION 4031‐08 ‐ BID 58‐07 ‐ 2/18/2008 ‐ PSC HOURLY 40 HRS A WEEK @ 52 WEEKS ‐ ‐ 23,692 119‐7530‐417.4310 1 2 HVAC BID ‐ JOHNSON CONTROLS ‐ RESOLUTION 4351‐09 BID 23‐09 ‐ 12/21/2009 ‐ PSC ‐ 10,746 119‐7530‐417.6220 1 GENERAL 80,000 119‐7530‐417.6225 1 GENERAL 4,000 119‐7530‐417.6250 1 GENERAL 21,000 75 Total 119 Total 215,998 4,093,384 4,093,384 H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 119 OPERATING & CAP 137 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 138 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER FY 2011 ORIGINAL BUDGET DEPART 01 DEPT DESCRIPTION ADMINISTRATION FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total 300‐ CAPITAL PROJECTS FUND 300‐ CAPITAL PROJECTS FUND Total ADMINISTRATION Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐0110‐410.10‐01 101‐0110‐410.10‐04 101‐0110‐410.12‐03 101‐0110‐410.20‐01 101‐0110‐410.21‐01 101‐0110‐410.21‐02 101‐0110‐410.21‐03 101‐0110‐410.21‐05 101‐0110‐410.21‐06 101‐0110‐410.21‐07 101‐0110‐410.22‐01 101‐0110‐410.23‐01 101‐0110‐410.26‐20 101‐0110‐410.31‐50 101‐0110‐410.32‐10 101‐0110‐410.35‐99 101‐0110‐410.38‐10 101‐0110‐410.39‐10 101‐0110‐410.44‐30 101‐0110‐410.54‐10 101‐0110‐410.54‐50 101‐0110‐410.55‐10 101‐0110‐410.58‐10 101‐0110‐410.59‐10 101‐0110‐410.59‐20 101 0110 410 61 10 101‐0110‐410.61‐10 101‐0110‐410.61‐30 101‐0110‐410.64‐20 101‐0180‐410.39‐10 101‐0180‐410.55‐10 101‐0180‐410.58‐10 101‐0180‐410.61‐10 101‐0180‐410.61‐30 117‐0110‐410.53‐05 117‐0110‐410.53‐10 117‐0110‐410.53‐15 119‐0110‐410.43‐10 119‐0110‐410.62‐10 119‐0110‐410.62‐20 119‐0110‐410.62‐25 119‐0110‐410.62‐50 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION EMPLOYEE SALARIES EMPLOYEE SALARIES 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 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 MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT REGIS.FEES‐CONF,SEM,CERTI PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES 303‐0110‐410.61‐10 02 ‐ OPERATING PURCHASED SUPPLIES Total 148,310 90,247 5,000 6,036 15,775 1,278 1,105 469 1,095 104 19,106 17,515 377 20,000 50,000 1,000 15,000 500 4,000 37,000 500 9,000 4,000 7,000 162,100 20 000 20,000 10,000 2,010 300 1,362 223 26,972 902 800 200 2,860 303 2,000 10,000 1,000 4,000 699,449 28,600 28,600 728,049 139 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 140 of 206 CIVIC CONTRIBUTIONS FY 2011 ORIGINAL BUDGET Sum of GMAMNT ACCOUNT NUMBER 101‐0230‐411.3810 LINE # 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 101‐0230‐411.3810 Total Grand Total H:\Budget ‐ FY 2011\budget level with misc info 7‐30‐2010 CROSS 0230 DESCRIPTION 4H CLUB ALABAMA CIVIC CHORALE ALABAMA SCHOOL OF FINE ARTS ALABAMA SYMPHONIC ASSOCIATION ALABAMA WILDLIFE & RESCUE SERVICE WAS $12,000 ALDRIDGE GARDENS ASSISTANCE LEAGUE OF BIRMINGHAM BIRMINGHAM INTERNATIONAL FESTIVAL BIRMINGHAM MUSEUM OF ART BIRMINGHAM ZOO CHAMBER OF COMMERCE CHILDRENS HARBOR CLASS TRAN CRIMESTOPPERS EXCEPTIONAL FOUNDATION FAMILY CONNECTIONS GLENWOOD CENTER (AUTISM) HOOVER ARTS ALLIANCE HOOVER ARTS ALLIANCE HOOVER BELLES HOOVER HISTORICAL SOCIETY JEFFERSON COUNCIL ON AGING/MEALS ON WHEELS JEFFERSON COUNTY CHILDRENS POLICY COUNCIL KID ONE TRANSPORT MCWANE CENTER POLICE EXPLORERS SAFEHOUSE OF SHELBY COUNTY SHELBY COUNTY CHILDRENS ADVOCACY CENTER SHELBY COUNTY HUMANE SOCIETY WAS $10,000 UNITED WAY Total 10,000 2,000 2,000 5,000 14,000 75,000 5,000 10,000 15,000 5,000 59,000 25,000 5,500 3,750 5,000 18,120 2,500 5,000 4,500 5,000 7,000 5,000 5,000 20,000 5,000 50,000 5,000 12,000 3,000 388,370 388,370 CHANGED YES YES 141 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 02 DEPT DESCRIPTION CITY COUNCIL SUPPORT FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total 300‐ CAPITAL PROJECTS FUND 300‐ CAPITAL PROJECTS FUND Total CITY COUNCIL SUPPORT Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐0210‐411.10‐04 101‐0210‐411.21‐03 101‐0210‐411.22‐01 101‐0210‐411.26‐20 101‐0210‐411.39‐10 101‐0210‐411.55‐10 101‐0210‐411.58‐10 101‐0210‐411.61‐10 101‐0220‐411.10‐01 101‐0220‐411.11‐01 101‐0220‐411.12‐03 101‐0220‐411.21‐01 101‐0220‐411.21‐02 101‐0220‐411.21‐03 101‐0220‐411.21‐05 101‐0220‐411.21‐06 101‐0220‐411.21‐07 101‐0220‐411.22‐01 101‐0220‐411.23‐01 101‐0220‐411.26‐20 101‐0220‐411.30‐10 101‐0220‐411.30‐90 101‐0220‐411.30‐95 101‐0220‐411.30‐99 101‐0220‐411.31‐99 101‐0220‐411.32‐10 101‐0220‐411.39‐10 101‐0220‐411.43‐20 101‐0220‐411.44‐30 101‐0220‐411.54‐10 101‐0220‐411.55‐10 101‐0220‐411.58‐10 101‐0220‐411.59‐10 101‐0220‐411.61‐10 101‐0220‐411.61‐30 101‐0220‐411.64‐20 101‐0230‐411.38‐10 117‐0220‐411.34‐20 117‐0220‐411.43‐20 117‐0220‐411.53‐05 117‐0220‐411.53‐10 117‐0220‐411.53‐15 117‐0220‐411.61‐07 119‐0220‐411.43‐10 119‐0220‐411.62‐10 119‐0220‐411.62‐20 119‐0220‐411.62‐25 119‐0220‐411.62‐50 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION EMPLOYEE SALARIES EMPL. BENEFITS‐GROUP INS EMPL. BEN.‐SOC. SECURITY EMP. BEN.‐WORKERS COMP REGIS.FEES‐CONF,SEM,CERTI PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES 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 PURCHASE LEGAL SERVICES PURCHASE LEGAL SERVICES PURCHASE LEGAL SERVICES PURCHASE LEGAL SERVICES PURCH. ACCT. & FIN. SVC. PLANNING‐ARCH. & ENG. SVC REGIS.FEES‐CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT CIVIC SVCS/CONTRIBUTIONS PURCHASED MGMT. SERVICES PURCH.RPR.,MNTCE,INST.SVC OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES 303‐0220‐411.34‐20 02 ‐ OPERATING PURCHASED MGMT. SERVICES Total 52,944 733 4,050 81 2,500 1,500 3,050 1,000 296,904 1,000 5,000 40,522 2,753 1,865 782 2,738 261 21,766 35,182 457 400,000 3,000 1,500 1,500 12,000 125,000 2,000 750 14,000 42,000 3,000 4,000 400 5,700 6,000 350 388,370 132,000 7,620 1,350 200 1,100 6,480 1,946 3,000 11,000 1,000 5,000 1,655,354 280,733 280,733 1,936,087 142 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 03 DEPT DESCRIPTION OPERATIONS SUPPORT FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐0310‐413.10‐01 101‐0310‐413.11‐01 101‐0310‐413.12‐03 101‐0310‐413.21‐01 101‐0310‐413.21‐02 101‐0310‐413.21‐03 101‐0310‐413.21‐05 101‐0310‐413.21‐06 101‐0310‐413.21‐07 101‐0310‐413.22‐01 101‐0310‐413.23‐01 101‐0310‐413.26‐20 101‐0310‐413.31‐99 101‐0310‐413.32‐20 101‐0310‐413.32‐30 101‐0310‐413.34‐20 101‐0310‐413.35‐99 101‐0310‐413.39‐10 101‐0310‐413.43‐20 101‐0310‐413.44‐30 101‐0310‐413.54‐10 101‐0310‐413.55‐10 101‐0310‐413.58‐10 101‐0310‐413.59‐10 101‐0310‐413.59‐20 101‐0310‐413.61‐10 101‐0310‐413.61‐30 101‐0310‐413.64‐20 101‐0355‐413.10‐01 101‐0355‐413.21‐01 101‐0355‐413.21‐02 101‐0355‐413.21‐03 101‐0355‐413.21‐05 101‐0355‐413.21‐06 101‐0355‐413.21‐07 101‐0355‐413.22‐01 101‐0355‐413.23‐01 101‐0355‐413.26‐20 101‐0355‐413.34‐10 101‐0355‐413.34‐15 101‐0355‐413.34‐20 101‐0355‐413.38‐10 101‐0355‐413.39‐10 101‐0355‐413.44‐30 101‐0355‐413.54‐10 101‐0355‐413.55‐10 101‐0355‐413.58‐10 101‐0355‐413.59‐10 101‐0355‐413.61‐10 101‐0355‐413.61‐30 101‐0355‐413.61‐70 101‐0355‐413.64‐20 115‐0310‐413.61‐40 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION 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 PURCH. ACCT. & FIN. SVC. PLANNING‐ARCH. & ENG. SVC 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 PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT 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 CIVIC SVCS/CONTRIBUTIONS REGIS.FEES‐CONF,SEM,CERTI PROPERTY RENTAL SERVICES OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT PURCHASED SUPPLIES Total 400,175 1,000 6,000 36,192 1,847 2,497 547 1,916 182 30,291 47,379 616 3,000 5,000 5,000 2,000 3,000 3,500 100 5,000 4,255 2,000 6,000 1,350 1,500 6,000 1,500 1,000 63,299 12,374 604 399 156 548 52 4,096 7,476 97 47,500 16,920 1,500 7,500 500 73,900 17,950 15,750 1,000 500 63,700 8,930 8,000 250 5,300 143 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 03 DEPT DESCRIPTION OPERATIONS SUPPORT FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total 200 ‐ SPECIAL REVENUE FUND 200 ‐ SPECIAL REVENUE FUND Total 300‐ CAPITAL PROJECTS FUND 300‐ CAPITAL PROJECTS FUND Total OPERATIONS SUPPORT Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 115‐0310‐413.61‐50 117‐0310‐413.53‐05 117‐0310‐413.53‐10 117‐0310‐413.53‐15 117‐0310‐413.61‐07 117‐0310‐413.61‐10 117‐0315‐413.53‐15 117‐0315‐413.61‐07 117‐0315‐413.61‐10 117‐0355‐413.53‐10 117‐0355‐413.53‐15 117‐0355‐413.53‐55 119‐0310‐413.43‐10 119‐0310‐413.62‐10 119‐0310‐413.62‐20 119‐0310‐413.62‐25 119‐0310‐413.62‐50 119‐0355‐413.43‐10 120‐0315‐413.10‐01 120‐0315‐413.11‐01 120‐0315‐413.12‐03 120‐0315‐413.21‐01 120‐0315‐413.21‐02 120‐0315‐413.21‐03 120‐0315‐413.21‐05 120‐0315‐413.21‐06 120‐0315‐413.21‐07 120‐0315‐413.22‐01 120‐0315‐413.23‐01 120‐0315‐413.26‐20 120‐0315‐413.39‐10 120‐0315‐413.54‐50 120‐0315‐413.55‐10 120‐0315‐413.58‐10 120‐0315‐413.59‐10 120‐0315‐413.59‐20 120‐0315‐413.61‐10 120‐0315‐413.64‐20 120‐0315‐413.64‐50 120‐0320‐413.52‐20 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES PURCH.RPR.,MNTCE,INST.SVC 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 OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT PURCH. RISK MGMT. SVC. 235‐0310‐413.34‐20 235‐0310‐413.61‐10 02 ‐ OPERATING 02 ‐ OPERATING PURCHASED MGMT. SERVICES PURCHASED SUPPLIES 303‐0310‐413.32‐10 303‐0310‐413.43‐10 303‐0310‐413.61‐10 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING PLANNING‐ARCH. & ENG. SVC PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES Total 2,500 3,500 550 4,200 2,000 200 983 5,822 300 50 1,200 600 60,728 2,000 6,000 1,000 3,000 30,350 157,328 4,000 2,000 30,934 1,510 993 391 1,369 130 11,578 19,052 242 1,000 250 900 1,750 1,000 1,905 3,000 1,000 500 1,455,895 2,758,858 30,000 331,800 361,800 50,647 4,050 2,140 56,837 3,177,495 144 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 04 DEPT DESCRIPTION CITY ENGINEER FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐0410‐413.10‐01 101‐0410‐413.12‐03 101‐0410‐413.21‐01 101‐0410‐413.21‐02 101‐0410‐413.21‐03 101‐0410‐413.21‐05 101‐0410‐413.21‐06 101‐0410‐413.21‐07 101‐0410‐413.22‐01 101‐0410‐413.23‐01 101‐0410‐413.26‐20 101‐0410‐413.31‐99 101‐0410‐413.32‐20 101‐0410‐413.32‐25 101‐0410‐413.39‐10 101‐0410‐413.43‐20 101‐0410‐413.43‐40 101‐0410‐413.43‐45 101‐0410‐413.43‐50 101‐0410‐413.43‐60 101‐0410‐413.44‐30 101‐0410‐413.55‐10 101‐0410‐413.58‐10 101‐0410‐413.59‐10 101‐0410‐413.61‐10 101‐0410‐413.61‐20 101‐0410‐413.61‐30 101‐0410‐413.64‐10 101‐0410‐413.64‐20 101‐0410‐413.74‐99 101‐0420‐413.10‐01 101‐0420‐413.21‐01 101‐0420‐413.21‐02 101‐0420‐413.21‐03 101‐0420‐413.21‐05 101‐0420‐413.21‐06 101‐0420‐413.21‐07 101‐0420‐413.22‐01 101‐0420‐413.23‐01 101‐0420‐413.26‐20 101‐0420‐413.32‐20 101‐0420‐413.39‐10 101‐0420‐413.43‐20 101‐0420‐413.43‐40 101‐0420‐413.58‐10 101‐0420‐413.59‐10 101‐0420‐413.61‐10 101‐0420‐413.61‐30 101‐0420‐413.64‐10 101‐0420‐413.64‐20 101‐0440‐413.31‐90 101‐0440‐413.32‐20 101‐0440‐413.50‐10 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 03 ‐ CAPITAL 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT 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 PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT EQUIPMENT 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 PLANNING‐ARCH. & ENG. SVC REGIS.FEES‐CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT PURCH. ACCT. & FIN. SVC. PLANNING‐ARCH. & ENG. SVC PERMITS AND FEES Total 257,099 2,000 30,005 1,812 1,612 469 1,643 156 19,385 30,363 2,746 600 10,000 23,000 3,000 2,000 150 2,650 115,000 50,000 5,000 682 2,600 1,582 82,350 412 1,000 804 382 68,000 167,948 24,747 1,208 1,053 313 1,095 104 12,028 19,835 2,897 5,000 1,000 500 138,460 1,500 1,000 7,500 950 300 275 2,700 162,300 1,500 145 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 04 DEPT DESCRIPTION CITY ENGINEER FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total 200 ‐ SPECIAL REVENUE FUND 200 ‐ SPECIAL REVENUE FUND Total 300‐ CAPITAL PROJECTS FUND 300‐ CAPITAL PROJECTS FUND Total CITY ENGINEER Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐0440‐413.61‐10 115‐0410‐413.61‐40 115‐0410‐413.61‐50 115‐0420‐413.61‐40 115‐0420‐413.61‐50 115‐0420‐413.75‐99 117‐0410‐413.53‐05 117‐0410‐413.53‐10 117‐0410‐413.53‐15 117‐0410‐413.53‐55 117‐0410‐413.61‐07 117‐0410‐413.61‐10 119‐0410‐413.42‐10 119‐0410‐413.43‐10 119‐0410‐413.62‐10 119‐0410‐413.62‐20 119‐0410‐413.62‐25 119‐0410‐413.62‐50 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 03 ‐ CAPITAL 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION PURCHASED SUPPLIES PURCHASED SUPPLIES 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 PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES 211‐0410‐413.61‐10 211‐0410‐413.79‐98 235‐0410‐413.43‐50 235‐0410‐413.61‐10 240‐0410‐413.73‐99 02 ‐ OPERATING 03 ‐ CAPITAL 02 ‐ OPERATING 02 ‐ OPERATING 03 ‐ CAPITAL PURCHASED SUPPLIES INFRASTRUCTURE IMPROVEMEN PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS 303‐0410‐413.32‐10 303‐0410‐413.32‐20 303‐0410‐413.61‐10 303‐0410‐413.71‐98 303‐0410‐413.73‐99 303‐0410‐413.75‐99 303‐0410‐413.78‐99 303‐0410‐413.79‐98 303‐0410‐413.79‐99 303‐0420‐413.32‐10 372‐0410‐413.79‐98 375‐0410‐413.79‐98 390‐0410‐413.71‐98 390‐0410‐413.73‐99 390‐0410‐413.78‐99 390‐0410‐413.79‐98 390‐0410‐413.79‐99 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 03 ‐ CAPITAL 03 ‐ CAPITAL 03 ‐ CAPITAL 03 ‐ CAPITAL 03 ‐ CAPITAL 03 ‐ CAPITAL 02 ‐ OPERATING 03 ‐ CAPITAL 03 ‐ CAPITAL 03 ‐ CAPITAL 03 ‐ CAPITAL 03 ‐ CAPITAL 03 ‐ CAPITAL 03 ‐ CAPITAL PLANNING‐ARCH. & ENG. SVC PLANNING‐ARCH. & ENG. SVC PURCHASED SUPPLIES LAND BUILDINGS/IMPR TO BLDGS VEHICLES IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN INFRASTRUCTURE IMPROVEMEN PLANNING‐ARCH. & ENG. SVC INFRASTRUCTURE IMPROVEMEN INFRASTRUCTURE IMPROVEMEN LAND BUILDINGS/IMPR TO BLDGS IMPROVEMENTS O/T BLDGS INFRASTRUCTURE IMPROVEMEN INFRASTRUCTURE IMPROVEMEN Total 1,500 4,100 1,000 2,400 1,000 30,000 5,000 200 4,500 600 2,000 1,000 4,952 1,934 3,000 175,000 2,000 5,000 1,515,901 100,000 965,048 12,205 190,534 15,377 1,283,164 143,663 8,355 64,237 7,798 25,495 135,000 17,407 10,341,516 463,655 4,070 234,307 1,524,214 18,395 371,679 511,179 18,685,592 1,280,456 33,837,018 36,636,083 146 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 05 DEPT DESCRIPTION SEWER ENTERPRISE FUND TYPE 500 ‐ PROPRIETARY FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 501‐0510‐413.10‐01 501‐0510‐413.12‐03 501‐0510‐413.21‐01 501‐0510‐413.21‐02 501‐0510‐413.21‐03 501‐0510‐413.21‐05 501‐0510‐413.21‐06 501‐0510‐413.21‐07 501‐0510‐413.22‐01 501‐0510‐413.23‐01 501‐0510‐413.26‐20 501‐0510‐413.32‐20 501‐0510‐413.35‐20 501‐0510‐413.35‐99 501‐0510‐413.43‐10 501‐0510‐413.43‐20 501‐0510‐413.43‐80 501‐0510‐413.44‐30 501‐0510‐413.50‐99 501‐0510‐413.53‐05 501‐0510‐413.53‐10 501‐0510‐413.53‐15 501‐0510‐413.61‐07 501‐0510‐413.61‐10 501‐0510‐413.61‐40 501‐0510‐413.61‐50 501‐0510‐413.62‐10 501‐0510‐413.62‐20 501‐0510‐413.62‐25 501‐0510‐413.62‐50 501‐0510‐413.75‐99 501‐0510‐413.80‐01 501‐0510‐413.99‐90 501‐0510‐413.99‐91 501‐0510‐413.99‐92 501‐0510‐413.99‐93 501‐0520‐413.31‐99 501‐0520‐413.32‐20 501‐0520‐413.35‐20 501‐0520‐413.35‐99 501‐0520‐413.39‐10 501‐0520‐413.43‐10 501‐0520‐413.43‐20 501‐0520‐413.43‐80 501‐0520‐413.44‐30 501‐0520‐413.50‐99 501‐0520‐413.53‐05 501‐0520‐413.55‐10 501‐0520‐413.58‐10 501‐0520‐413.59‐10 501‐0520‐413.61‐10 501‐0520‐413.61‐30 501‐0520‐413.61‐40 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 03 ‐ CAPITAL 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT 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 PLANNING‐ARCH. & ENG. 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 VEHICLES OPERATING EXPENSE SRL WARRANTS SRL WARRANTS SRL WARRANTS SRL WARRANTS 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 PROPERTY RENTAL SERVICES PERMITS AND FEES OTHER PURCH. SVS. COMM. PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES Total 86,533 3,000 12,374 604 542 156 548 52 6,628 10,220 1,123 12,500 514,000 3,000 1,544 75,000 40,000 10,000 60,000 10,000 200 1,000 2,000 60,000 7,500 1,000 5,000 203,500 7,450 1,000 25,400 2,000,000 181,825 245,438 7,000 7,100 180,000 12,500 348,000 9,500 1,800 5,650 75,000 20,000 10,000 50,000 5,000 700 1,250 200 59,300 200 7,500 147 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 05 DEPT DESCRIPTION SEWER ENTERPRISE FUND TYPE 500 ‐ PROPRIETARY FUND 500 ‐ PROPRIETARY FUND Total SEWER ENTERPRISE Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 501‐0520‐413.61‐50 501‐0520‐413.62‐20 501‐0520‐413.62‐25 501‐0520‐413.62‐50 501‐0520‐413.64‐10 501‐0520‐413.64‐20 501‐0520‐413.83‐04 501‐0520‐413.83‐05 501‐0520‐413.98‐91 501‐0550‐413.35‐20 501‐0550‐413.35‐99 501‐0550‐413.43‐20 501‐0550‐413.43‐80 501‐0550‐413.44‐30 501‐0550‐413.53‐05 501‐0550‐413.61‐10 501‐0550‐413.61‐20 501‐0550‐413.62‐20 501‐0550‐413.62‐25 501‐0550‐413.62‐50 503‐0510‐413.79‐99 503‐0520‐413.31‐50 503‐0520‐413.79‐99 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 03 ‐ CAPITAL 02 ‐ OPERATING 03 ‐ CAPITAL ELEMENT DESCRIPTION PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT MUNI BONDS & WARRANTS MUNI BONDS & WARRANTS WARRANT ISSUE 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 INFRASTRUCTURE IMPROVEMEN PURCH. ACCT. & FIN. SVC. INFRASTRUCTURE IMPROVEMEN Total 500 280,000 11,000 3,000 250 200 10,979 1,100 862,337 37,000 40,000 20,000 3,500 2,000 2,200 5,000 250 13,000 1,000 1,000 315,000 17,469 1,430,857 7,447,479 7,447,479 148 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 06 DEPT DESCRIPTION HUMAN RESOURCES FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total HUMAN RESOURCES Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐0610‐416.10‐01 101‐0610‐416.11‐01 101‐0610‐416.12‐03 101‐0610‐416.13‐01 101‐0610‐416.21‐01 101‐0610‐416.21‐02 101‐0610‐416.21‐03 101‐0610‐416.21‐05 101‐0610‐416.21‐06 101‐0610‐416.21‐07 101‐0610‐416.22‐01 101‐0610‐416.23‐01 101‐0610‐416.24‐01 101‐0610‐416.24‐06 101‐0610‐416.25‐01 101‐0610‐416.26‐20 101‐0610‐416.33‐10 101‐0610‐416.34‐10 101‐0610‐416.34‐20 101‐0610‐416.34‐30 101‐0610‐416.39‐10 101‐0610‐416.44‐30 101‐0610‐416.54‐20 101‐0610‐416.55‐10 101‐0610‐416.58‐10 101‐0610‐416.59‐10 101‐0610‐416.59‐20 101‐0610‐416.61‐10 101‐0610‐416.61‐30 101‐0610‐416.64‐20 117‐0610‐416.53‐05 117‐0610‐416.53‐10 117‐0610‐416.53‐15 117‐0610‐416.53‐55 117‐0610‐416.61‐07 119‐0610‐416.43‐10 119‐0610‐416.62‐10 119‐0610‐416.62‐20 119‐0610‐416.62‐25 119‐0610‐416.62‐50 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION EMPLOYEE SALARIES OVERTIME PAY 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 UNEMPLOYMENT COMPENSATION EMP. BEN.‐WORKERS COMP PURCHASED MEDICAL SVCS. 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 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. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES Total 373,004 3,000 10,000 305,000 47,637 3,020 2,345 782 2,738 261 28,520 44,406 45,000 15,000 10,000 574 113,060 47 15,000 52,000 2,000 5,000 13,948 1,200 3,750 600 400 6,000 2,000 1,000 250 150 1,600 600 20,200 944 1,000 5,000 1,000 2,000 1,140,036 1,140,036 149 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 150 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 07 DEPT DESCRIPTION SUPPORT SERVICES FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 115‐0710‐416.61‐40 115‐0710‐416.61‐50 117‐0710‐416.10‐01 117‐0710‐416.12‐03 117‐0710‐416.21‐01 117‐0710‐416.21‐02 117‐0710‐416.21‐03 117‐0710‐416.21‐05 117‐0710‐416.21‐06 117‐0710‐416.21‐07 117‐0710‐416.22‐01 117‐0710‐416.23‐01 117‐0710‐416.26‐20 117‐0710‐416.35‐99 117‐0710‐416.39‐10 117‐0710‐416.44‐30 117‐0710‐416.53‐05 117‐0710‐416.53‐10 117‐0710‐416.53‐15 117‐0710‐416.53‐55 117‐0710‐416.55‐10 117‐0710‐416.58‐10 117‐0710‐416.59‐10 117‐0710‐416.59‐20 117‐0710‐416.61‐07 117‐0710‐416.61‐10 117‐0710‐416.61‐30 117‐0710‐416.64‐10 117‐0710‐416.64‐20 117‐0720‐416.10‐01 117‐0720‐416.12‐03 117‐0720‐416.21‐01 117‐0720‐416.21‐02 117‐0720‐416.21‐03 117‐0720‐416.21‐05 117‐0720‐416.21‐06 117‐0720‐416.21‐07 117‐0720‐416.22‐01 117‐0720‐416.23‐01 117‐0720‐416.26‐20 117‐0720‐416.34‐50 117‐0720‐416.35‐99 117‐0720‐416.39‐10 117‐0720‐416.43‐20 117‐0720‐416.53‐05 117‐0720‐416.53‐10 117‐0720‐416.53‐15 117‐0720‐416.53‐50 117‐0720‐416.53‐55 117‐0720‐416.58‐10 117‐0720‐416.59‐10 117‐0720‐416.61‐07 117‐0720‐416.61‐10 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION PURCHASED SUPPLIES 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 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. 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 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 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 Total 500 1,200 160,868 5,000 24,747 1,208 1,010 313 1,095 104 11,928 18,998 248 3,000 1,000 3,000 200 100 1,600 1,000 200 1,350 750 1,500 3,000 3,000 250 200 750 222,962 4,000 31,683 2,517 1,401 468 1,644 156 16,818 26,332 344 56,000 22,800 3,500 110,000 48,800 450 3,800 122,000 400 3,350 600 223,800 66,000 151 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 07 DEPT DESCRIPTION SUPPORT SERVICES FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 117‐0720‐416.61‐20 117‐0720‐416.61‐30 117‐0720‐416.64‐10 117‐0720‐416.64‐20 117‐0720‐416.74‐99 117‐0760‐416.10‐01 117‐0760‐416.11‐01 117‐0760‐416.12‐03 117‐0760‐416.21‐01 117‐0760‐416.21‐02 117‐0760‐416.21‐03 117‐0760‐416.21‐05 117‐0760‐416.21‐06 117‐0760‐416.21‐07 117‐0760‐416.22‐01 117‐0760‐416.23‐01 117‐0760‐416.26‐20 117‐0760‐416.39‐10 117‐0760‐416.43‐20 117‐0760‐416.53‐15 117‐0760‐416.58‐10 117‐0760‐416.61‐07 117‐0760‐416.61‐10 117‐0760‐416.61‐20 117‐0760‐416.61‐30 117‐0760‐416.64‐10 117‐0770‐416.10‐01 117‐0770‐416.11‐01 117‐0770‐416.12‐03 117‐0770‐416.21‐01 117‐0770‐416.21‐02 117‐0770‐416.21‐03 117‐0770‐416.21‐05 117‐0770‐416.21‐06 117‐0770‐416.21‐07 117‐0770‐416.22‐01 117‐0770‐416.23‐01 117‐0770‐416.26‐20 117‐0770‐416.35‐99 117‐0770‐416.39‐10 117‐0770‐416.43‐20 117‐0770‐416.53‐10 117‐0770‐416.53‐15 117‐0770‐416.53‐55 117‐0770‐416.55‐10 117‐0770‐416.58‐10 117‐0770‐416.61‐07 117‐0770‐416.61‐10 117‐0770‐416.61‐30 117‐0770‐416.64‐10 117‐0770‐416.74‐99 119‐0710‐416.42‐10 119‐0710‐416.43‐10 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 03 ‐ CAPITAL 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 03 ‐ CAPITAL 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT EQUIPMENT 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.RPR.,MNTCE,INST.SVC OTHER PURCH. SVS. COMM. TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT 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 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 PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT EQUIPMENT PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC Total 500 650 500 300 20,000 73,783 2,000 2,000 12,374 604 464 156 548 52 5,638 8,950 114 1,500 1,500 1,200 850 16,000 53,699 300 500 200 158,500 2,000 5,000 24,747 1,208 996 313 1,095 104 11,892 18,955 244 104,250 1,500 2,000 200 2,200 4,500 250 2,000 81,500 3,000 200 200 20,000 4,108 1,685 152 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 07 DEPT DESCRIPTION SUPPORT SERVICES FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total 300‐ CAPITAL PROJECTS FUND 300‐ CAPITAL PROJECTS FUND Total SUPPORT SERVICES Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 119‐0710‐416.62‐10 119‐0710‐416.62‐20 119‐0710‐416.62‐25 119‐0710‐416.62‐50 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION UTILITIES UTILITIES UTILITIES UTILITIES 303‐0720‐416.61‐10 303‐0720‐416.74‐99 303‐0770‐416.61‐10 02 ‐ OPERATING 03 ‐ CAPITAL 02 ‐ OPERATING PURCHASED SUPPLIES EQUIPMENT PURCHASED SUPPLIES Total 2,000 13,000 1,000 3,000 1,893,973 269,009 314,000 5,319 588,328 2,482,301 153 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 154 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 09 DEPT DESCRIPTION DEVELOPMENT FUND TYPE 200 ‐ SPECIAL REVENUE FUND 200 ‐ SPECIAL REVENUE FUND Total 300‐ CAPITAL PROJECTS FUND 300‐ CAPITAL PROJECTS FUND Total DEVELOPMENT Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 230‐0910‐412.34‐20 230‐0910‐412.38‐10 230‐0910‐412.38‐21 230‐0910‐412.39‐10 230‐0910‐412.54‐10 230‐0910‐412.58‐10 230‐0910‐412.74‐99 230‐0910‐412.79‐99 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 03 ‐ CAPITAL 03 ‐ CAPITAL ELEMENT DESCRIPTION PURCHASED MGMT. SERVICES CIVIC SVCS/CONTRIBUTIONS CIVIC SVCS/CONTRIBUTIONS REGIS.FEES‐CONF,SEM,CERTI OTHER PURCH. SVCS. ADVERT TRAVEL, MEALS, & LODGING EQUIPMENT INFRASTRUCTURE IMPROVEMEN 303‐0910‐412.32‐10 303‐0910‐412.78‐99 390‐0910‐412.78‐99 02 ‐ OPERATING 03 ‐ CAPITAL 03 ‐ CAPITAL PLANNING‐ARCH. & ENG. SVC IMPROVEMENTS O/T BLDGS IMPROVEMENTS O/T BLDGS Total 5,000 42,900 78,053 2,000 1,681 1,000 150,646 43,305 324,585 28,500 11,000 44,000 83,500 408,085 155 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 156 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 11 DEPT DESCRIPTION FINANCE FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total 300‐ CAPITAL PROJECTS FUND 300‐ CAPITAL PROJECTS FUND Total FINANCE Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐1110‐414.10‐01 101‐1110‐414.11‐01 101‐1110‐414.12‐03 101‐1110‐414.21‐01 101‐1110‐414.21‐02 101‐1110‐414.21‐03 101‐1110‐414.21‐05 101‐1110‐414.21‐06 101‐1110‐414.21‐07 101‐1110‐414.22‐01 101‐1110‐414.23‐01 101‐1110‐414.26‐20 101‐1110‐414.31‐20 101‐1110‐414.31‐99 101‐1110‐414.34‐20 101‐1110‐414.39‐10 101‐1110‐414.44‐30 101‐1110‐414.55‐10 101‐1110‐414.58‐10 101‐1110‐414.59‐10 101‐1110‐414.59‐20 101‐1110‐414.61‐10 101‐1110‐414.61‐30 101‐1110‐414.64‐10 101‐1110‐414.64‐20 117‐1110‐414.53‐05 117‐1110‐414.53‐10 117‐1110‐414.53‐15 117‐1110‐414.53‐55 117‐1110‐414.61‐07 119‐1110‐414.43‐10 119‐1110‐414.62‐10 119‐1110‐414.62‐20 119‐1110‐414.62‐25 119‐1110‐414.62‐50 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION 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 PURCH. ACCT. & FIN. SVC. PURCH. ACCT. & FIN. SVC. PURCHASED MGMT. SERVICES REGIS.FEES‐CONF,SEM,CERTI PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC 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 PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES 303‐1110‐414.34‐20 02 ‐ OPERATING PURCHASED MGMT. SERVICES Total 571,154 1,000 3,000 70,527 3,765 3,573 1,251 4,380 417 42,384 67,572 879 98,500 8,000 7,500 3,500 7,000 5,300 4,400 3,250 11,000 13,000 4,000 2,000 2,000 1,200 150 700 600 38,000 609 2,000 7,000 1,000 3,000 993,611 127,767 127,767 1,121,378 157 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 158 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 12 DEPT DESCRIPTION REVENUE FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total REVENUE Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐1220‐414.10‐01 101‐1220‐414.12‐03 101‐1220‐414.21‐01 101‐1220‐414.21‐02 101‐1220‐414.21‐03 101‐1220‐414.21‐05 101‐1220‐414.21‐06 101‐1220‐414.21‐07 101‐1220‐414.22‐01 101‐1220‐414.23‐01 101‐1220‐414.26‐20 101‐1220‐414.31‐31 101‐1220‐414.31‐70 101‐1220‐414.31‐71 101‐1220‐414.31‐90 101‐1220‐414.31‐91 101‐1220‐414.31‐99 101‐1220‐414.39‐10 101‐1220‐414.44‐30 101‐1220‐414.55‐10 101‐1220‐414.58‐10 101‐1220‐414.59‐10 101‐1220‐414.61‐10 101‐1220‐414.61‐30 101‐1220‐414.64‐10 101‐1220‐414.64‐20 115‐1220‐414.61‐40 115‐1220‐414.61‐50 117‐1220‐414.53‐05 117‐1220‐414.53‐10 117‐1220‐414.53‐15 117‐1220‐414.53‐55 117‐1220‐414.61‐07 119‐1220‐414.42‐10 119‐1220‐414.43‐10 119‐1220‐414.62‐10 119‐1220‐414.62‐20 119‐1220‐414.62‐25 119‐1220‐414.62‐50 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT 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. 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 MEMBERSHIP DUES 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. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES Total 590,379 6,000 69,145 4,659 3,676 1,414 4,949 471 44,094 69,723 909 10,000 205,000 148,000 27,000 18,000 16,500 4,000 6,750 6,000 5,000 1,400 8,750 14,000 900 1,500 1,800 1,000 200 500 3,500 2,400 11,300 3,511 1,370 2,000 12,000 1,000 3,000 1,311,800 1,311,800 159 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 160 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 19 DEPT DESCRIPTION PUBLIC SAFETY FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total 200 ‐ SPECIAL REVENUE FUND 200 ‐ SPECIAL REVENUE FUND Total 300‐ CAPITAL PROJECTS FUND 300‐ CAPITAL PROJECTS FUND Total PUBLIC SAFETY Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 115‐1910‐415.61‐40 115‐1910‐415.61‐50 117‐1910‐415.53‐05 117‐1910‐415.53‐10 117‐1910‐415.53‐15 117‐1910‐415.61‐07 119‐1910‐415.42‐10 119‐1910‐415.43‐10 119‐1910‐415.62‐10 119‐1910‐415.62‐20 119‐1910‐415.62‐25 119‐1910‐415.62‐50 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES 201‐1910‐415.10‐01 201‐1910‐415.11‐01 201‐1910‐415.12‐03 201‐1910‐415.12‐08 201‐1910‐415.19‐01 201‐1910‐415.21‐01 201‐1910‐415.21‐02 201‐1910‐415.21‐03 201‐1910‐415.21‐05 201‐1910‐415.21‐06 201‐1910‐415.21‐07 201‐1910‐415.22‐01 201‐1910‐415.23‐01 201‐1910‐415.26‐20 201‐1910‐415.31‐92 201‐1910‐415.31‐99 201‐1910‐415.35‐99 201‐1910‐415.39‐10 201‐1910‐415.43‐20 201‐1910‐415.44‐30 201‐1910‐415.58‐10 201‐1910‐415.59‐10 201‐1910‐415.61‐10 201‐1910‐415.61‐20 201‐1910‐415.61‐30 201‐1910‐415.64‐20 202‐1910‐415.10‐01 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS ADD 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 EMP. BEN.‐WORKERS COMP PURCH. ACCT. & FIN. SVC. PURCH. ACCT. & FIN. SVC. PURCHASED TECHNICAL SVCS. REGIS.FEES‐CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT EMPLOYEE SALARIES 303‐1910‐415.74‐99 03 ‐ CAPITAL EQUIPMENT Total 2,000 1,700 142,000 900 6,300 1,100 4,633 2,287 4,000 18,000 1,000 5,000 188,920 739,149 120,000 25,000 10,000 1,801 239,731 13,443 8,641 4,380 15,330 1,460 114,343 176,052 4,271 6,000 14,000 2,450 2,000 20,152 29,200 3,150 3,345 16,000 9,000 500 10,000 631,542 2,220,940 72,000 72,000 2,481,860 161 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 162 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 20 DEPT DESCRIPTION POLICE FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐2010‐415.10‐01 101‐2010‐415.11‐01 101‐2010‐415.12‐03 101‐2010‐415.21‐01 101‐2010‐415.21‐02 101‐2010‐415.21‐03 101‐2010‐415.21‐05 101‐2010‐415.21‐06 101‐2010‐415.21‐07 101‐2010‐415.22‐01 101‐2010‐415.23‐01 101‐2010‐415.26‐20 101‐2010‐415.30‐20 101‐2010‐415.30‐30 101‐2010‐415.35‐99 101‐2010‐415.39‐10 101‐2010‐415.44‐30 101‐2010‐415.55‐10 101‐2010‐415.58‐10 101‐2010‐415.59‐10 101‐2010‐415.61‐10 101‐2010‐415.61‐20 101‐2010‐415.61‐25 101‐2010‐415.61‐30 101‐2010‐415.64‐20 101‐2015‐415.10‐01 101‐2015‐415.11‐01 101‐2015‐415.12‐03 101‐2015‐415.21‐01 101‐2015‐415.21‐02 101‐2015‐415.21‐03 101‐2015‐415.21‐05 101‐2015‐415.21‐06 101‐2015‐415.21‐07 101‐2015‐415.22‐01 101‐2015‐415.23‐01 101‐2015‐415.26‐20 101‐2015‐415.39‐10 101‐2015‐415.58‐10 101‐2015‐415.59‐10 101‐2015‐415.61‐10 101‐2015‐415.61‐20 101‐2015‐415.61‐30 101‐2015‐415.64‐20 101‐2020‐415.10‐01 101‐2020‐415.11‐01 101‐2020‐415.12‐03 101‐2020‐415.21‐01 101‐2020‐415.21‐02 101‐2020‐415.21‐03 101‐2020‐415.21‐05 101‐2020‐415.21‐06 101‐2020‐415.21‐07 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS ELEMENT DESCRIPTION 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 PURCHASE LEGAL SERVICES PURCHASE LEGAL SERVICES PURCHASED TECHNICAL SVCS. REGIS.FEES‐CONF,SEM,CERTI PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT 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 TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT 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 Total 788,344 3,000 30,000 88,159 5,240 4,916 1,564 5,475 521 61,369 92,820 11,589 75,000 75,000 6,550 4,000 5,000 1,500 15,000 3,800 16,000 114,000 17,000 1,500 2,300 73,587 5,000 3,000 5,258 337 453 156 548 52 6,331 9,282 1,295 2,100 3,000 500 11,460 1,400 200 1,000 1,007,548 34,000 8,000 176,631 8,864 6,326 2,503 8,760 834 163 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 20 DEPT DESCRIPTION POLICE FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐2020‐415.22‐01 101‐2020‐415.23‐01 101‐2020‐415.26‐20 101‐2020‐415.39‐10 101‐2020‐415.43‐20 101‐2020‐415.44‐30 101‐2020‐415.55‐10 101‐2020‐415.58‐10 101‐2020‐415.59‐10 101‐2020‐415.61‐10 101‐2020‐415.61‐30 101‐2020‐415.64‐10 101‐2020‐415.64‐20 101‐2025‐415.10‐01 101‐2025‐415.11‐01 101‐2025‐415.12‐03 101‐2025‐415.21‐01 101‐2025‐415.21‐02 101‐2025‐415.21‐03 101‐2025‐415.21‐05 101‐2025‐415.21‐06 101‐2025‐415.21‐07 101‐2025‐415.22‐01 101‐2025‐415.23‐01 101‐2025‐415.26‐20 101‐2025‐415.30‐90 101‐2025‐415.39‐10 101‐2025‐415.43‐20 101‐2025‐415.44‐30 101‐2025‐415.55‐10 101‐2025‐415.58‐10 101‐2025‐415.59‐10 101‐2025‐415.61‐10 101‐2025‐415.61‐30 101‐2025‐415.61‐60 101‐2025‐415.64‐10 101‐2030‐415.10‐01 101‐2030‐415.11‐01 101‐2030‐415.12‐03 101‐2030‐415.21‐01 101‐2030‐415.21‐02 101‐2030‐415.21‐03 101‐2030‐415.21‐05 101‐2030‐415.21‐06 101‐2030‐415.21‐07 101‐2030‐415.22‐01 101‐2030‐415.23‐01 101‐2030‐415.26‐20 101‐2030‐415.35‐99 101‐2030‐415.39‐10 101‐2030‐415.43‐20 101‐2030‐415.55‐10 101‐2030‐415.58‐10 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION EMPL. BEN.‐SOC. SECURITY EMP. BEN.‐RETIREMENT PLAN EMP. BEN.‐WORKERS COMP REGIS.FEES‐CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT 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 PURCHASE LEGAL SERVICES REGIS.FEES‐CONF,SEM,CERTI 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 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 PURCHASED TECHNICAL SVCS. REGIS.FEES‐CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING Total 76,594 123,006 16,963 3,500 500 5,700 300 6,000 745 9,000 100 300 5,500 252,776 26,000 5,000 42,379 2,149 1,594 626 2,190 209 20,212 32,924 4,449 500 600 250 100 100 1,500 100 6,000 350 15,000 150 207,698 17,000 1,000 49,494 2,416 1,317 626 2,190 209 15,938 26,537 3,656 1,000 3,000 6,300 1,000 2,750 164 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 20 DEPT DESCRIPTION POLICE FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐2030‐415.59‐10 101‐2030‐415.61‐10 101‐2030‐415.61‐20 101‐2030‐415.61‐30 101‐2035‐415.39‐10 101‐2035‐415.43‐20 101‐2035‐415.58‐10 101‐2035‐415.59‐10 101‐2035‐415.61‐10 101‐2035‐415.61‐20 101‐2035‐415.61‐30 101‐2040‐415.10‐01 101‐2040‐415.10‐05 101‐2040‐415.11‐01 101‐2040‐415.12‐03 101‐2040‐415.12‐08 101‐2040‐415.19‐01 101‐2040‐415.21‐01 101‐2040‐415.21‐02 101‐2040‐415.21‐03 101‐2040‐415.21‐05 101‐2040‐415.21‐06 101‐2040‐415.21‐07 101‐2040‐415.22‐01 101‐2040‐415.23‐01 101‐2040‐415.26‐20 101‐2040‐415.39‐10 101‐2040‐415.43‐20 101‐2040‐415.44‐30 101‐2040‐415.55‐10 101‐2040‐415.58‐10 101‐2040‐415.59‐10 101‐2040‐415.61‐10 101‐2040‐415.61‐20 101‐2040‐415.61‐30 101‐2040‐415.64‐10 101‐2041‐415.10‐01 101‐2041‐415.11‐01 101‐2041‐415.12‐03 101‐2041‐415.21‐01 101‐2041‐415.21‐02 101‐2041‐415.21‐03 101‐2041‐415.21‐05 101‐2041‐415.21‐06 101‐2041‐415.21‐07 101‐2041‐415.22‐01 101‐2041‐415.23‐01 101‐2041‐415.26‐20 101‐2041‐415.33‐10 101‐2041‐415.39‐10 101‐2041‐415.58‐10 101‐2041‐415.59‐10 101‐2041‐415.61‐10 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES REGIS.FEES‐CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS ADD 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 EMP. BEN.‐WORKERS COMP REGIS.FEES‐CONF,SEM,CERTI 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 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 PURCHASED MEDICAL SVCS. REGIS.FEES‐CONF,SEM,CERTI TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES Total 500 23,000 300 1,000 2,000 920 1,950 285 17,000 6,000 300 6,002,245 45,000 295,000 75,000 10,000 3,601 1,007,628 53,999 37,801 15,955 55,845 5,318 505,878 796,847 105,641 6,300 1,100 62,997 550 5,750 1,150 27,685 7,000 700 900 73,699 7,000 2,000 12,374 604 463 156 548 52 6,139 9,531 1,297 4,200 500 750 200 1,500 165 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 20 DEPT DESCRIPTION POLICE FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐2046‐415.10‐01 101‐2046‐415.11‐01 101‐2046‐415.12‐03 101‐2046‐415.21‐01 101‐2046‐415.21‐02 101‐2046‐415.21‐03 101‐2046‐415.21‐05 101‐2046‐415.21‐06 101‐2046‐415.21‐07 101‐2046‐415.22‐01 101‐2046‐415.23‐01 101‐2046‐415.26‐20 101‐2046‐415.39‐10 101‐2046‐415.58‐10 101‐2046‐415.59‐10 101‐2046‐415.61‐10 101‐2046‐415.61‐30 101‐2050‐415.10‐01 101‐2050‐415.11‐01 101‐2050‐415.12‐03 101‐2050‐415.21‐01 101‐2050‐415.21‐02 101‐2050‐415.21‐03 101‐2050‐415.21‐05 101‐2050‐415.21‐06 101‐2050‐415.21‐07 101‐2050‐415.22‐01 101‐2050‐415.23‐01 101‐2050‐415.26‐20 101‐2050‐415.39‐10 101‐2050‐415.55‐10 101‐2050‐415.58‐10 101‐2050‐415.59‐10 101‐2050‐415.61‐10 101‐2050‐415.61‐30 101‐2051‐415.10‐01 101‐2051‐415.11‐01 101‐2051‐415.12‐03 101‐2051‐415.21‐01 101‐2051‐415.21‐02 101‐2051‐415.21‐03 101‐2051‐415.21‐05 101‐2051‐415.21‐06 101‐2051‐415.21‐07 101‐2051‐415.22‐01 101‐2051‐415.23‐01 101‐2051‐415.26‐20 101‐2051‐415.39‐10 101‐2051‐415.55‐10 101‐2051‐415.58‐10 101‐2051‐415.59‐10 101‐2051‐415.61‐10 101‐2051‐415.61‐30 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION 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 TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES 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 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 Total 173,197 24,000 2,000 37,121 1,812 1,095 469 1,643 156 14,102 23,288 3,048 1,000 2,718 250 1,500 100 738,572 85,000 10,000 128,993 6,645 4,651 1,721 6,023 574 59,920 97,264 12,999 1,500 500 3,900 500 3,000 153 165,531 4,000 7,000 24,747 1,208 1,038 313 1,095 104 12,751 20,021 2,913 500 1,000 1,250 150 1,500 500 166 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 20 DEPT DESCRIPTION POLICE FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐2055‐415.10‐01 101‐2055‐415.11‐01 101‐2055‐415.12‐03 101‐2055‐415.21‐01 101‐2055‐415.21‐02 101‐2055‐415.21‐03 101‐2055‐415.21‐05 101‐2055‐415.21‐06 101‐2055‐415.21‐07 101‐2055‐415.22‐01 101‐2055‐415.23‐01 101‐2055‐415.26‐20 101‐2055‐415.39‐10 101‐2055‐415.44‐30 101‐2055‐415.58‐10 101‐2055‐415.59‐10 101‐2055‐415.61‐10 101‐2055‐415.61‐20 101‐2055‐415.61‐30 101‐2055‐415.64‐20 101‐2065‐415.10‐01 101‐2065‐415.11‐01 101‐2065‐415.12‐03 101‐2065‐415.21‐01 101‐2065‐415.21‐02 101‐2065‐415.21‐03 101‐2065‐415.21‐05 101‐2065‐415.21‐06 101‐2065‐415.21‐07 101‐2065‐415.22‐01 101‐2065‐415.23‐01 101‐2065‐415.26‐20 101‐2065‐415.39‐10 101‐2065‐415.55‐10 101‐2065‐415.58‐10 101‐2065‐415.61‐10 101‐2065‐415.61‐30 101‐2075‐415.10‐01 101‐2075‐415.11‐01 101‐2075‐415.12‐03 101‐2075‐415.19‐01 101‐2075‐415.21‐01 101‐2075‐415.21‐02 101‐2075‐415.21‐03 101‐2075‐415.21‐05 101‐2075‐415.21‐06 101‐2075‐415.21‐07 101‐2075‐415.22‐01 101‐2075‐415.23‐01 101‐2075‐415.26‐20 101‐2075‐415.31‐99 101‐2075‐415.34‐50 101‐2075‐415.39‐10 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION 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 PROPERTY RENTAL SERVICES TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT 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 EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS ADD 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 EMP. BEN.‐WORKERS COMP PURCH. ACCT. & FIN. SVC. PURCHASED MGMT. SERVICES REGIS.FEES‐CONF,SEM,CERTI Total 147,873 4,000 3,000 10,517 1,208 930 313 1,095 104 11,878 17,936 2,603 5,500 23,000 2,000 400 29,000 800 500 705 165,510 23,000 4,000 30,005 1,545 1,038 469 1,643 156 13,875 22,263 2,247 1,000 382 800 1,500 550 436,524 29,000 10,000 1,801 77,643 4,032 2,745 1,251 4,380 417 35,063 54,978 4,061 1,500 500 4,600 167 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 20 DEPT DESCRIPTION POLICE FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐2075‐415.43‐20 101‐2075‐415.44‐30 101‐2075‐415.55‐10 101‐2075‐415.58‐10 101‐2075‐415.59‐10 101‐2075‐415.61‐10 101‐2075‐415.61‐20 101‐2075‐415.61‐30 115‐2010‐415.44‐35 115‐2010‐415.61‐10 115‐2010‐415.61‐40 115‐2010‐415.61‐50 115‐2050‐415.61‐40 115‐2050‐415.61‐50 117‐2010‐415.53‐05 117‐2010‐415.53‐10 117‐2010‐415.53‐15 117‐2015‐415.53‐15 117‐2020‐415.53‐15 117‐2025‐415.53‐15 117‐2030‐415.53‐15 117‐2035‐415.53‐15 117‐2040‐415.53‐15 117‐2040‐415.53‐50 117‐2046‐415.53‐15 117‐2050‐415.53‐15 117‐2051‐415.53‐15 117‐2055‐415.53‐15 117‐2055‐415.53‐50 117‐2060‐415.53‐15 117‐2065‐415.53‐15 117‐2075‐415.34‐50 117‐2075‐415.53‐15 117‐2075‐415.53‐50 117‐2075‐415.53‐55 117‐2075‐415.61‐07 119‐2010‐415.43‐10 119‐2010‐415.62‐10 119‐2010‐415.62‐20 119‐2010‐415.62‐25 119‐2010‐415.62‐50 119‐2040‐415.42‐10 119‐2040‐415.43‐10 119‐2040‐415.62‐10 119‐2040‐415.62‐20 119‐2040‐415.62‐25 119‐2040‐415.62‐50 119‐2060‐415.42‐10 119‐2060‐415.43‐10 119‐2060‐415.62‐10 119‐2060‐415.62‐20 119‐2060‐415.62‐25 119‐2060‐415.62‐50 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED MGMT. SERVICES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES Total 1,500 5,400 2,500 5,000 400 12,750 1,500 1,000 42,000 44,200 398,749 137,048 20,000 4,000 26,100 3,100 7,100 2,000 17,000 2,500 3,600 8,000 17,300 6,000 5,000 6,000 2,300 1,000 1,300 4,000 2,600 12,000 7,500 22,000 106,600 325,780 7,719 16,000 65,500 4,000 28,000 8,004 5,599 6,000 33,000 2,000 1,000 23,692 18,896 21,000 145,000 6,000 35,000 168 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 20 DEPT DESCRIPTION POLICE FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 119‐2075‐415.42‐10 119‐2075‐415.43‐10 119‐2075‐415.62‐10 119‐2075‐415.62‐20 119‐2075‐415.62‐25 119‐2075‐415.62‐50 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES Total 2,790 1,084 2,000 10,000 1,000 3,000 17,725,713 169 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 20 DEPT DESCRIPTION POLICE FUND TYPE 200 ‐ SPECIAL REVENUE FUND 200 ‐ SPECIAL REVENUE FUND Total 300‐ CAPITAL PROJECTS FUND 300‐ CAPITAL PROJECTS FUND Total POLICE Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 215‐2060‐415.10‐01 215‐2060‐415.10‐02 215‐2060‐415.11‐01 215‐2060‐415.12‐03 215‐2060‐415.12‐08 215‐2060‐415.19‐01 215‐2060‐415.21‐01 215‐2060‐415.21‐02 215‐2060‐415.21‐03 215‐2060‐415.21‐05 215‐2060‐415.21‐06 215‐2060‐415.21‐07 215‐2060‐415.22‐01 215‐2060‐415.23‐01 215‐2060‐415.26‐20 215‐2060‐415.33‐20 215‐2060‐415.33‐25 215‐2060‐415.33‐30 215‐2060‐415.35‐99 215‐2060‐415.39‐10 215‐2060‐415.43‐20 215‐2060‐415.44‐30 215‐2060‐415.55‐10 215‐2060‐415.58‐10 215‐2060‐415.59‐10 215‐2060‐415.59‐20 215‐2060‐415.61‐10 215‐2060‐415.61‐20 215‐2060‐415.61‐30 215‐2060‐415.64‐20 220‐2040‐415.10‐01 235‐2010‐415.43‐20 235‐2010‐415.61‐10 235‐2010‐415.61‐25 235‐2010‐415.74‐99 235‐2035‐415.61‐10 262‐2010‐415.61‐10 262‐2010‐415.73‐99 262‐2010‐415.75‐99 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 03 ‐ CAPITAL 02 ‐ OPERATING 02 ‐ OPERATING 03 ‐ CAPITAL 03 ‐ CAPITAL ELEMENT DESCRIPTION EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS ADD 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 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 PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT EMPLOYEE SALARIES PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT PURCHASED SUPPLIES PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS VEHICLES 303‐2010‐415.73‐99 303‐2010‐415.75‐99 303‐2060‐415.78‐99 303‐2075‐415.34‐20 03 ‐ CAPITAL 03 ‐ CAPITAL 03 ‐ CAPITAL 02 ‐ OPERATING BUILDINGS/IMPR TO BLDGS VEHICLES IMPROVEMENTS O/T BLDGS PURCHASED MGMT. SERVICES Total 1,073,317 50,324 120,000 61,000 15,000 3,601 199,209 11,224 6,751 3,598 12,593 1,199 98,117 146,874 19,775 95,000 12,850 40,000 500 2,000 5,750 4,500 2,000 3,000 200 300 22,500 10,000 1,000 400 450,000 1,000 379,325 5,289 25,200 1,958 3,328 49,444 140,000 3,078,126 4,745 615,000 50,000 75,000 744,745 21,548,584 170 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 21 DEPT DESCRIPTION FIRE FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐2110‐415.10‐01 101‐2110‐415.11‐01 101‐2110‐415.12‐03 101‐2110‐415.21‐01 101‐2110‐415.21‐02 101‐2110‐415.21‐03 101‐2110‐415.21‐05 101‐2110‐415.21‐06 101‐2110‐415.21‐07 101‐2110‐415.22‐01 101‐2110‐415.23‐01 101‐2110‐415.26‐20 101‐2110‐415.37‐10 101‐2110‐415.39‐10 101‐2110‐415.43‐20 101‐2110‐415.43‐40 101‐2110‐415.43‐70 101‐2110‐415.44‐30 101‐2110‐415.44‐50 101‐2110‐415.50‐99 101‐2110‐415.55‐10 101‐2110‐415.58‐10 101‐2110‐415.59‐10 101‐2110‐415.61‐10 101‐2110‐415.61‐20 101‐2110‐415.61‐30 101‐2110‐415.64‐10 101‐2110‐415.64‐20 101‐2110‐415.64‐50 101‐2120‐415.10‐01 101‐2120‐415.10‐02 101‐2120‐415.11‐01 101‐2120‐415.12‐03 101‐2120‐415.12‐08 101‐2120‐415.19‐01 101‐2120‐415.21‐01 101‐2120‐415.21‐02 101‐2120‐415.21‐03 101‐2120‐415.21‐05 101‐2120‐415.21‐06 101‐2120‐415.21‐07 101‐2120‐415.22‐01 101‐2120‐415.23‐01 101‐2120‐415.26‐20 115‐2110‐415.61‐40 115‐2110‐415.61‐50 115‐2110‐415.74‐99 117‐2110‐415.53‐05 117‐2110‐415.53‐10 117‐2110‐415.53‐15 117‐2110‐415.53‐50 117‐2110‐415.53‐55 117‐2110‐415.61‐07 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 03 ‐ CAPITAL 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION 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 PURCH.HEALTH& WELFARE SVC REGIS.FEES‐CONF,SEM,CERTI 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 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 EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS PAY FOR BENEFITS ADD 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 EMP. BEN.‐WORKERS COMP PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES Total 855,702 10,000 150,000 109,505 5,774 5,363 1,564 5,475 521 75,461 102,240 11,643 1,500 15,000 30,000 3,000 35,000 11,800 172,000 725 3,400 6,625 5,000 158,790 130,000 2,000 5,000 660 8,650 9,694,174 227,878 130,000 300,000 5,000 1,801 1,623,394 83,853 60,988 22,681 79,388 7,560 757,512 1,187,147 139,192 96,851 127,500 40,000 24,000 300 29,500 93,000 24,000 13,250 171 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 21 DEPT DESCRIPTION FIRE FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total 200 ‐ SPECIAL REVENUE FUND 200 ‐ SPECIAL REVENUE FUND Total 300‐ CAPITAL PROJECTS FUND 300‐ CAPITAL PROJECTS FUND Total FIRE Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 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 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES 235‐2120‐415.10‐01 235‐2120‐415.21‐01 235‐2120‐415.21‐02 235‐2120‐415.21‐03 235‐2120‐415.21‐05 235‐2120‐415.21‐06 235‐2120‐415.21‐07 235‐2120‐415.22‐01 235‐2120‐415.23‐01 235‐2120‐415.26‐20 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 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 303‐2110‐415.61‐10 303‐2110‐415.73‐99 303‐2110‐415.75‐99 02 ‐ OPERATING 03 ‐ CAPITAL 03 ‐ CAPITAL PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS VEHICLES Total 11,323 26,731 1,311 61,000 143,000 5,740 62,000 17,002,472 297,412 60,011 3,624 1,888 939 3,285 313 21,623 35,124 4,318 428,537 20,698 250,000 425,000 695,698 18,126,707 172 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 22 DEPT DESCRIPTION INSPECTION SERVICES FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐2210‐413.10‐01 101‐2210‐413.11‐01 101‐2210‐413.12‐03 101‐2210‐413.21‐01 101‐2210‐413.21‐02 101‐2210‐413.21‐03 101‐2210‐413.21‐05 101‐2210‐413.21‐06 101‐2210‐413.21‐07 101‐2210‐413.22‐01 101‐2210‐413.23‐01 101‐2210‐413.26‐20 101‐2210‐413.34‐20 101‐2210‐413.39‐10 101‐2210‐413.43‐20 101‐2210‐413.44‐30 101‐2210‐413.55‐10 101‐2210‐413.58‐10 101‐2210‐413.59‐10 101‐2210‐413.61‐10 101‐2210‐413.61‐20 101‐2210‐413.61‐30 101‐2210‐413.64‐10 101‐2210‐413.64‐20 101‐2220‐413.10‐01 101‐2220‐413.11‐01 101‐2220‐413.12‐03 101‐2220‐413.21‐01 101‐2220‐413.21‐02 101‐2220‐413.21‐03 101‐2220‐413.21‐05 101‐2220‐413.21‐06 101‐2220‐413.21‐07 101‐2220‐413.22‐01 101‐2220‐413.23‐01 101‐2220‐413.26‐20 101‐2220‐413.39‐10 101‐2220‐413.44‐30 101‐2220‐413.58‐10 101‐2220‐413.61‐10 101‐2230‐413.10‐01 101‐2230‐413.11‐01 101‐2230‐413.12‐03 101‐2230‐413.21‐01 101‐2230‐413.21‐02 101‐2230‐413.21‐03 101‐2230‐413.21‐05 101‐2230‐413.21‐06 101‐2230‐413.21‐07 101‐2230‐413.22‐01 101‐2230‐413.23‐01 101‐2230‐413.26‐20 101‐2230‐413.31‐99 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING ELEMENT DESCRIPTION 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 PURCHASED MGMT. SERVICES REGIS.FEES‐CONF,SEM,CERTI 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 BKS, PERIODICAL & A/V MAT 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 PROPERTY RENTAL SERVICES TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES 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 PURCH. ACCT. & FIN. SVC. Total 338,613 1,000 5,000 49,969 2,172 2,100 632 2,211 211 25,271 40,108 3,903 22,000 2,500 1,500 7,700 1,900 2,750 1,200 6,800 2,000 1,500 1,700 500 820,079 5,000 12,000 139,712 7,332 5,144 2,039 7,139 680 61,075 97,443 9,321 1,000 3,600 2,400 200 62,216 2,000 1,000 12,374 604 393 156 548 52 4,690 7,584 807 150 173 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 22 DEPT DESCRIPTION INSPECTION SERVICES FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total INSPECTION SERVICES Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐2230‐413.39‐10 101‐2230‐413.55‐10 101‐2230‐413.58‐10 101‐2230‐413.61‐10 101‐2230‐413.61‐20 115‐2220‐413.61‐40 115‐2220‐413.61‐50 117‐2210‐413.53‐05 117‐2210‐413.53‐10 117‐2210‐413.61‐07 117‐2220‐413.53‐15 117‐2220‐413.53‐55 117‐2220‐413.61‐07 117‐2230‐413.53‐15 119‐2210‐413.42‐10 119‐2210‐413.43‐10 119‐2210‐413.62‐10 119‐2210‐413.62‐20 119‐2210‐413.62‐25 119‐2210‐413.62‐50 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION REGIS.FEES‐CONF,SEM,CERTI PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES Total 800 1,000 500 1,350 200 30,000 11,000 1,500 350 4,300 10,500 10,000 8,000 1,200 16,172 6,314 7,000 50,000 2,000 15,000 1,967,164 1,967,164 174 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 26 DEPT DESCRIPTION WORKERS COMP FUND TYPE 500 ‐ PROPRIETARY FUND 500 ‐ PROPRIETARY FUND Total WORKERS COMP Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT 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 CATEGORY 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS ELEMENT DESCRIPTION WORKERS COMP WORKERS COMP WORKERS COMP WORKERS COMP WORKERS COMP WORKERS COMP WORKERS COMP WORKERS COMP WORKERS COMP WORKERS COMP Total 9,146 265,000 25,000 25,000 114,568 14,000 7,500 2,500 9,095 72,191 544,000 544,000 175 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 176 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 30 DEPT DESCRIPTION MUNICIPAL COURT FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total 200 ‐ SPECIAL REVENUE FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐3020‐415.10‐01 101‐3020‐415.11‐01 101‐3020‐415.12‐03 101‐3020‐415.21‐01 101‐3020‐415.21‐02 101‐3020‐415.21‐03 101‐3020‐415.21‐05 101‐3020‐415.21‐06 101‐3020‐415.21‐07 101‐3020‐415.22‐01 101‐3020‐415.23‐01 101‐3020‐415.26‐20 101‐3020‐415.37‐10 101‐3020‐415.39‐10 101‐3020‐415.55‐10 101‐3020‐415.58‐10 101‐3020‐415.59‐10 101‐3020‐415.61‐10 101‐3020‐415.61‐20 101‐3020‐415.61‐30 101‐3020‐415.64‐20 115‐3010‐415.61‐40 115‐3010‐415.61‐50 115‐3020‐415.61‐40 115‐3020‐415.61‐50 115‐3020‐415.75‐99 117‐3010‐415.53‐05 117‐3010‐415.53‐10 117‐3010‐415.53‐15 117‐3010‐415.61‐07 117‐3020‐415.53‐15 117‐3020‐415.61‐07 119‐3010‐415.42‐10 119‐3010‐415.43‐10 119‐3010‐415.62‐10 119‐3010‐415.62‐20 119‐3010‐415.62‐25 119‐3010‐415.62‐50 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 03 ‐ CAPITAL 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION 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 PURCH.HEALTH& WELFARE SVC REGIS.FEES‐CONF,SEM,CERTI PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES VEHICLES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES 215‐3010‐415.10‐01 215‐3010‐415.11‐01 215‐3010‐415.12‐03 215‐3010‐415.21‐01 215‐3010‐415.21‐02 215‐3010‐415.21‐03 215‐3010‐415.21‐05 215‐3010‐415.21‐06 215‐3010‐415.21‐07 215‐3010‐415.22‐01 215‐3010‐415.23‐01 215‐3010‐415.26‐20 215‐3010‐415.30‐15 215‐3010‐415.30‐99 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 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 PURCHASE LEGAL SERVICES PURCHASE LEGAL SERVICES Total 96,610 18,000 3,000 24,747 1,208 614 313 1,095 104 8,470 13,536 903 15,000 600 1,000 1,325 300 2,500 2,000 500 150 2,300 550 10,000 5,000 43,000 500 400 11,300 6,300 3,000 2,200 19,002 7,420 9,000 56,000 2,000 15,000 384,947 644,726 170,000 8,000 118,165 6,251 4,056 2,033 7,118 678 60,659 96,220 2,558 75,000 100 177 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 30 DEPT DESCRIPTION MUNICIPAL COURT FUND TYPE 200 ‐ SPECIAL REVENUE FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 215‐3010‐415.31‐50 215‐3010‐415.31‐99 215‐3010‐415.39‐10 215‐3010‐415.43‐20 215‐3010‐415.44‐30 215‐3010‐415.55‐10 215‐3010‐415.58‐10 215‐3010‐415.59‐10 215‐3010‐415.61‐10 215‐3010‐415.61‐20 215‐3010‐415.61‐30 215‐3010‐415.64‐10 215‐3010‐415.64‐20 217‐3010‐415.34‐20 217‐3010‐415.39‐10 217‐3010‐415.44‐30 217‐3010‐415.58‐10 217‐3010‐415.61‐07 217‐3010‐415.61‐10 218‐3010‐415.10‐01 218‐3010‐415.11‐01 218‐3010‐415.12‐03 218‐3010‐415.21‐01 218‐3010‐415.21‐02 218‐3010‐415.21‐03 218‐3010‐415.21‐05 218‐3010‐415.21‐06 218‐3010‐415.21‐07 218‐3010‐415.22‐01 218‐3010‐415.23‐01 218‐3010‐415.26‐20 218‐3010‐415.31‐50 218‐3010‐415.39‐10 218‐3010‐415.55‐10 218‐3010‐415.58‐10 218‐3010‐415.59‐10 218‐3010‐415.61‐10 218‐3010‐415.61‐20 218‐3010‐415.61‐30 220‐3010‐415.11‐01 220‐3010‐415.22‐01 220‐3010‐415.23‐01 220‐3010‐415.31‐50 220‐3010‐415.34‐20 220‐3010‐415.34‐31 220‐3010‐415.39‐10 220‐3010‐415.55‐10 220‐3010‐415.58‐10 220‐3010‐415.59‐10 220‐3010‐415.61‐07 220‐3010‐415.61‐10 220‐3010‐415.61‐15 220‐3010‐415.61‐30 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION PURCH. ACCT. & FIN. SVC. PURCH. ACCT. & FIN. SVC. REGIS.FEES‐CONF,SEM,CERTI 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 BKS, PERIODICAL & A/V MAT PURCHASED MGMT. SERVICES REGIS.FEES‐CONF,SEM,CERTI PROPERTY RENTAL SERVICES TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES PURCHASED SUPPLIES 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 PURCH. ACCT. & FIN. SVC. REGIS.FEES‐CONF,SEM,CERTI PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES OVERTIME PAY EMPL. BEN.‐SOC. SECURITY EMP. BEN.‐RETIREMENT PLAN PURCH. ACCT. & FIN. SVC. PURCHASED MGMT. SERVICES 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 Total 19,400 14,500 2,000 200 9,100 7,000 1,350 1,000 10,000 1,000 7,500 2,500 2,000 80,200 3,020 8,200 7,800 96,240 13,000 49,596 10,000 2,000 5,258 604 315 156 548 52 4,453 7,038 873 9,000 600 1,050 1,000 850 43,700 500 1,680 10,000 765 1,181 10,000 52,200 11,000 4,900 5,000 12,500 500 30,600 63,200 1,500 1,100 178 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 30 DEPT DESCRIPTION MUNICIPAL COURT FUND TYPE 200 ‐ SPECIAL REVENUE FUND 200 ‐ SPECIAL REVENUE FUND Total MUNICIPAL COURT Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 220‐3010‐415.64‐10 220‐3010‐415.64‐20 220‐3010‐415.64‐50 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT Total 10,000 200 2,000 1,837,493 2,222,440 179 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 180 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 40 DEPT DESCRIPTION PUBLIC WORKS FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐4020‐413.10‐01 101‐4020‐413.11‐01 101‐4020‐413.12‐03 101‐4020‐413.21‐01 101‐4020‐413.21‐02 101‐4020‐413.21‐03 101‐4020‐413.21‐05 101‐4020‐413.21‐06 101‐4020‐413.21‐07 101‐4020‐413.22‐01 101‐4020‐413.23‐01 101‐4020‐413.26‐20 101‐4020‐413.39‐10 101‐4020‐413.43‐20 101‐4020‐413.43‐40 101‐4020‐413.43‐45 101‐4020‐413.44‐30 101‐4020‐413.50‐99 101‐4020‐413.55‐10 101‐4020‐413.58‐10 101‐4020‐413.59‐10 101‐4020‐413.61‐10 101‐4020‐413.61‐20 101‐4020‐413.61‐30 101‐4050‐413.35‐10 101‐4050‐413.44‐30 101‐4050‐413.55‐10 101‐4050‐413.59‐10 101‐4050‐413.61‐10 101‐4050‐413.61‐30 101‐4080‐413.43‐40 101‐4080‐413.44‐30 101‐4080‐413.61‐10 115‐4020‐413.61‐40 115‐4020‐413.61‐50 115‐4020‐413.74‐99 115‐4020‐413.75‐99 115‐4030‐413.61‐40 115‐4030‐413.61‐50 117‐4020‐413.53‐05 117‐4020‐413.53‐10 117‐4020‐413.53‐15 117‐4020‐413.61‐07 117‐4030‐413.53‐05 117‐4030‐413.53‐10 117‐4030‐413.53‐15 119‐4020‐413.42‐10 119‐4020‐413.43‐10 119‐4020‐413.62‐10 119‐4020‐413.62‐20 119‐4020‐413.62‐25 119‐4020‐413.62‐50 119‐4030‐413.10‐01 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 03 ‐ CAPITAL 03 ‐ CAPITAL 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS ELEMENT DESCRIPTION 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.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 MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED TECHNICAL SVCS. PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT VEHICLES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES EMPLOYEE SALARIES Total 1,450,984 120,000 15,000 271,593 15,185 9,155 4,693 16,425 1,564 116,585 185,534 30,862 500 1,618 1,195 130,000 8,015 80,835 125 500 620 60,000 18,000 171 6,054,043 6,000 3,000 658 1,000 5,000 24,000 377 30,000 105,500 77,000 44,000 27,000 15,000 5,500 500 100 11,000 7,800 200 100 3,000 6,846 2,672 4,000 23,000 1,000 5,000 736,508 181 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 40 DEPT DESCRIPTION PUBLIC WORKS FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total 200 ‐ SPECIAL REVENUE FUND 200 ‐ SPECIAL REVENUE FUND Total 300‐ CAPITAL PROJECTS FUND 300‐ CAPITAL PROJECTS FUND Total PUBLIC WORKS Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 119‐4030‐413.11‐01 119‐4030‐413.12‐03 119‐4030‐413.21‐01 119‐4030‐413.21‐02 119‐4030‐413.21‐03 119‐4030‐413.21‐05 119‐4030‐413.21‐06 119‐4030‐413.21‐07 119‐4030‐413.22‐01 119‐4030‐413.23‐01 119‐4030‐413.26‐20 119‐4030‐413.34‐20 119‐4030‐413.39‐10 119‐4030‐413.43‐10 119‐4030‐413.43‐20 119‐4030‐413.43‐40 119‐4030‐413.44‐30 119‐4030‐413.58‐10 119‐4030‐413.59‐10 119‐4030‐413.61‐10 119‐4030‐413.61‐20 119‐4030‐413.61‐30 119‐4030‐413.62‐10 119‐4030‐413.62‐20 119‐4030‐413.62‐25 119‐4030‐413.62‐50 119‐4030‐413.64‐20 119‐4080‐413.62‐20 119‐4080‐413.62‐25 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION 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 PURCHASED MGMT. SERVICES REGIS.FEES‐CONF,SEM,CERTI 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 UTILITIES UTILITIES UTILITIES UTILITIES BKS, PERIODICAL & A/V MAT UTILITIES UTILITIES 211‐4020‐413.34‐20 213‐4020‐413.61‐10 02 ‐ OPERATING 02 ‐ OPERATING PURCHASED MGMT. SERVICES PURCHASED SUPPLIES 303‐4020‐413.43‐40 303‐4020‐413.61‐10 02 ‐ OPERATING 02 ‐ OPERATING PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES Total 60,000 10,000 169,515 8,330 4,679 2,503 8,760 834 57,612 94,068 17,094 5,000 6,000 100,039 3,000 10,000 4,000 2,316 1,000 130,000 3,800 500 26,000 124,000 4,000 40,000 1,000 7,000 1,000 10,641,013 75,000 1,500,000 1,575,000 2,300 40,673 42,973 12,258,986 182 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 45 DEPT DESCRIPTION FLEET SERVICES FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total FLEET SERVICES Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 115‐4560‐413.10‐01 115‐4560‐413.11‐01 115‐4560‐413.12‐03 115‐4560‐413.21‐01 115‐4560‐413.21‐02 115‐4560‐413.21‐03 115‐4560‐413.21‐05 115‐4560‐413.21‐06 115‐4560‐413.21‐07 115‐4560‐413.22‐01 115‐4560‐413.23‐01 115‐4560‐413.26‐20 115‐4560‐413.34‐15 115‐4560‐413.39‐10 115‐4560‐413.43‐20 115‐4560‐413.44‐30 115‐4560‐413.50‐99 115‐4560‐413.55‐10 115‐4560‐413.58‐10 115‐4560‐413.59‐10 115‐4560‐413.59‐20 115‐4560‐413.61‐10 115‐4560‐413.61‐20 115‐4560‐413.61‐30 115‐4560‐413.61‐40 115‐4560‐413.61‐50 115‐4560‐413.61‐90 115‐4560‐413.64‐10 115‐4560‐413.64‐20 115‐4561‐413.61‐40 117‐4560‐413.43‐20 117‐4560‐413.53‐05 117‐4560‐413.53‐10 117‐4560‐413.53‐15 117‐4560‐413.53‐55 117‐4560‐413.61‐07 117‐4560‐413.61‐10 119‐4560‐413.42‐10 119‐4560‐413.43‐10 119‐4560‐413.62‐10 119‐4560‐413.62‐20 119‐4560‐413.62‐25 119‐4560‐413.62‐50 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION 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 PURCHASED MGMT. SERVICES REGIS.FEES‐CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PERMITS AND FEES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES Total 350,821 25,000 10,000 67,126 3,624 2,218 939 3,285 313 28,358 44,385 7,049 1,000 1,800 3,000 11,000 90 500 2,650 1,000 2,500 54,500 1,000 400 18,000 25,000 1,000 1,000 2,000 7,000 1,201 200 100 6,300 650 11,660 1,695 29,605 11,551 13,000 92,000 4,000 22,000 870,520 870,520 183 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 184 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 50 DEPT DESCRIPTION PARKS & RECREATION FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 112‐5020‐419.10‐01 112‐5020‐419.10‐02 112‐5020‐419.10‐06 112‐5020‐419.11‐01 112‐5020‐419.11‐02 112‐5020‐419.11‐06 112‐5020‐419.12‐03 112‐5020‐419.21‐01 112‐5020‐419.21‐02 112‐5020‐419.21‐03 112‐5020‐419.21‐05 112‐5020‐419.21‐06 112‐5020‐419.21‐07 112‐5020‐419.22‐01 112‐5020‐419.23‐01 112‐5020‐419.26‐20 112‐5020‐419.31‐99 112‐5020‐419.34‐20 112‐5020‐419.36‐20 112‐5020‐419.36‐30 112‐5020‐419.36‐40 112‐5020‐419.36‐50 112‐5020‐419.39‐10 112‐5020‐419.43‐20 112‐5020‐419.44‐30 112‐5020‐419.55‐10 112‐5020‐419.58‐10 112‐5020‐419.59‐10 112‐5020‐419.59‐20 112‐5020‐419.61‐10 112‐5020‐419.61‐20 112‐5020‐419.61‐30 112‐5020‐419.64‐20 112‐5040‐419.10‐01 112‐5040‐419.10‐02 112‐5040‐419.10‐06 112‐5040‐419.11‐01 112‐5040‐419.12‐03 112‐5040‐419.21‐01 112‐5040‐419.21‐02 112‐5040‐419.21‐03 112‐5040‐419.21‐05 112‐5040‐419.21‐06 112‐5040‐419.21‐07 112‐5040‐419.22‐01 112‐5040‐419.23‐01 112‐5040‐419.26‐20 112‐5040‐419.34‐10 112‐5040‐419.39‐10 112‐5040‐419.43‐20 112‐5040‐419.43‐40 112‐5040‐419.44‐30 112‐5040‐419.58‐10 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION EMPLOYEE SALARIES EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY OVERTIME PAY 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 PURCH. ACCT. & FIN. SVC. 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.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING MEMBERSHIP DUES MEMBERSHIP DUES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT EMPLOYEE SALARIES EMPLOYEE SALARIES 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 PURCHASED MGMT. SERVICES REGIS.FEES‐CONF,SEM,CERTI PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES TRAVEL, MEALS, & LODGING Total 728,495 317,035 32,894 8,000 3,000 5,000 30,000 91,249 6,461 4,489 2,503 8,760 834 85,533 120,591 11,270 12,000 5,000 72,000 300 7,000 1,500 5,000 12,000 16,000 21,000 4,250 2,000 6,000 95,000 6,000 10,000 300 1,641,652 17,817 59,391 164,000 28,000 358,207 19,414 10,424 5,788 20,258 1,929 139,688 215,352 34,565 10,000 1,500 4,055 139,000 20,000 200 185 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 50 DEPT DESCRIPTION PARKS & RECREATION FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 112‐5040‐419.61‐10 112‐5040‐419.61‐20 112‐5040‐419.61‐30 112‐5041‐419.43‐40 112‐5041‐419.44‐30 112‐5041‐419.61‐10 112‐5042‐419.61‐10 112‐5050‐419.10‐01 112‐5050‐419.11‐01 112‐5050‐419.12‐03 112‐5050‐419.21‐01 112‐5050‐419.21‐02 112‐5050‐419.21‐03 112‐5050‐419.21‐05 112‐5050‐419.21‐06 112‐5050‐419.21‐07 112‐5050‐419.22‐01 112‐5050‐419.23‐01 112‐5050‐419.26‐20 112‐5070‐419.10‐01 112‐5070‐419.11‐01 112‐5070‐419.12‐03 112‐5070‐419.21‐01 112‐5070‐419.21‐02 112‐5070‐419.21‐03 112‐5070‐419.21‐05 112‐5070‐419.21‐06 112‐5070‐419.21‐07 112‐5070‐419.22‐01 112‐5070‐419.23‐01 112‐5070‐419.26‐20 114‐5020‐419.34‐20 114‐5020‐419.34‐32 114‐5020‐419.36‐20 114‐5020‐419.43‐10 114‐5020‐419.44‐30 114‐5020‐419.55‐10 114‐5020‐419.58‐10 114‐5020‐419.61‐10 114‐5020‐419.61‐20 114‐5020‐419.61‐30 115‐5020‐419.61‐40 115‐5020‐419.61‐50 115‐5040‐419.61‐40 115‐5040‐419.61‐50 115‐5040‐419.74‐99 115‐5040‐419.75‐99 115‐5070‐419.61‐40 115‐5070‐419.61‐50 117‐5020‐419.53‐05 117‐5020‐419.53‐10 117‐5020‐419.53‐15 117‐5020‐419.53‐50 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 03 ‐ CAPITAL 03 ‐ CAPITAL 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCHASED SUPPLIES PURCHASED SUPPLIES 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 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 PURCHASED MGMT. SERVICES PURCHASED MGMT. SERVICES PURCH CULTURE & REC SVC PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PURCH. PRINT. & BIND. SVC TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES PURCHASED SUPPLIES EQUIPMENT VEHICLES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. Total 250,000 20,027 450 50,000 10,000 90,000 8,000 146,809 2,000 2,000 42,379 2,149 933 626 2,190 209 10,541 17,574 1,440 84,346 2,000 2,000 10,517 674 519 313 1,095 104 6,770 10,197 1,485 2,000 110,000 46,500 62,000 3,000 1,000 35,000 141,500 30,500 5,200 12,000 10,800 63,000 67,800 80,000 54,000 4,500 1,000 6,000 400 10,000 700 186 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 50 DEPT DESCRIPTION PARKS & RECREATION FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 117‐5020‐419.53‐55 117‐5020‐419.61‐07 117‐5040‐419.53‐05 117‐5040‐419.53‐10 117‐5040‐419.53‐15 117‐5040‐419.53‐50 117‐5040‐419.53‐55 117‐5041‐419.53‐50 117‐5042‐419.53‐05 117‐5042‐419.53‐10 117‐5042‐419.53‐50 117‐5050‐419.53‐50 117‐5050‐419.61‐07 117‐5070‐419.53‐15 119‐5020‐419.42‐10 119‐5020‐419.43‐10 119‐5020‐419.61‐10 119‐5020‐419.62‐10 119‐5020‐419.62‐20 119‐5020‐419.62‐25 119‐5020‐419.62‐50 119‐5040‐419.43‐10 119‐5040‐419.43‐40 119‐5040‐419.61‐10 119‐5040‐419.62‐10 119‐5040‐419.62‐20 119‐5040‐419.62‐25 119‐5040‐419.62‐50 119‐5041‐419.43‐10 119‐5042‐419.43‐10 119‐5042‐419.62‐10 119‐5042‐419.62‐20 119‐5042‐419.62‐25 119‐5042‐419.62‐50 119‐5050‐419.42‐10 119‐5050‐419.43‐10 119‐5050‐419.62‐10 119‐5050‐419.62‐20 119‐5050‐419.62‐25 119‐5050‐419.62‐50 150‐5020‐419.36‐53 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES PURCH.RPR.,MNTCE,INST.SVC PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES PURCH CULTURE & REC SVC Total 600 11,800 500 100 7,200 12,500 3,000 3,000 4,200 960 2,400 1,000 1,000 1,100 83,459 90,980 40,000 149,300 205,000 9,000 30,000 71,106 45,000 30,000 28,000 230,000 10,000 138,000 66,251 3,415 3,000 23,000 1,000 15,000 5,092 8,589 15,000 26,000 1,000 7,000 50,000 7,580,503 187 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 50 DEPT DESCRIPTION PARKS & RECREATION FUND TYPE 200 ‐ SPECIAL REVENUE FUND 200 ‐ SPECIAL REVENUE FUND Total 300‐ CAPITAL PROJECTS FUND 300‐ CAPITAL PROJECTS FUND Total PARKS & RECREATION Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 235‐5040‐419.34‐20 235‐5040‐419.78‐99 235‐5050‐419.10‐06 235‐5050‐419.22‐01 235‐5050‐419.26‐20 235‐5050‐419.36‐30 235‐5050‐419.58‐10 235‐5050‐419.61‐10 CATEGORY 02 ‐ OPERATING 03 ‐ CAPITAL 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION PURCHASED MGMT. SERVICES IMPROVEMENTS O/T BLDGS EMPLOYEE SALARIES EMPL. BEN.‐SOC. SECURITY EMP. BEN.‐WORKERS COMP PURCH CULTURE & REC SVC TRAVEL, MEALS, & LODGING PURCHASED SUPPLIES 303‐5040‐419.61‐10 303‐5040‐419.73‐99 303‐5040‐419.78‐99 303‐5050‐419.61‐10 02 ‐ OPERATING 03 ‐ CAPITAL 03 ‐ CAPITAL 02 ‐ OPERATING PURCHASED SUPPLIES BUILDINGS/IMPR TO BLDGS IMPROVEMENTS O/T BLDGS PURCHASED SUPPLIES Total 2,800 1,629 21,645 1,656 33 75 200 150 28,188 10,000 133,575 619,715 25,811 789,101 8,397,792 188 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 60 DEPT DESCRIPTION LIBRARY FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 110‐6010‐418.10‐01 110‐6010‐418.10‐02 110‐6010‐418.10‐06 110‐6010‐418.11‐01 110‐6010‐418.12‐03 110‐6010‐418.21‐01 110‐6010‐418.21‐02 110‐6010‐418.21‐03 110‐6010‐418.21‐05 110‐6010‐418.21‐06 110‐6010‐418.21‐07 110‐6010‐418.22‐01 110‐6010‐418.23‐01 110‐6010‐418.26‐20 110‐6010‐418.39‐10 110‐6010‐418.43‐20 110‐6010‐418.43‐40 110‐6010‐418.44‐30 110‐6010‐418.55‐10 110‐6010‐418.58‐10 110‐6010‐418.59‐10 110‐6010‐418.61‐10 110‐6010‐418.61‐20 110‐6010‐418.61‐30 110‐6020‐418.10‐01 110‐6020‐418.10‐02 110‐6020‐418.10‐06 110‐6020‐418.11‐01 110‐6020‐418.12‐03 110‐6020‐418.21‐01 110‐6020‐418.21‐02 110‐6020‐418.21‐03 110‐6020‐418.21‐05 110‐6020‐418.21‐06 110‐6020‐418.21‐07 110‐6020‐418.22‐01 110‐6020‐418.23‐01 110‐6020‐418.26‐20 110‐6020‐418.55‐10 110‐6020‐418.61‐10 110‐6020‐418.64‐10 110‐6020‐418.64‐20 110‐6020‐418.64‐50 110‐6030‐418.10‐01 110‐6030‐418.10‐02 110‐6030‐418.10‐06 110‐6030‐418.11‐01 110‐6030‐418.12‐03 110‐6030‐418.21‐01 110‐6030‐418.21‐02 110‐6030‐418.21‐03 110‐6030‐418.21‐05 110‐6030‐418.21‐06 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS ELEMENT DESCRIPTION EMPLOYEE SALARIES EMPLOYEE SALARIES 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.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 EMPLOYEE SALARIES EMPLOYEE SALARIES 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 PURCH. PRINT. & BIND. SVC PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT EMPLOYEE SALARIES EMPLOYEE SALARIES 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 Total 395,768 27,546 15,000 37,000 2,000 43,924 3,161 2,484 1,095 3,833 365 36,179 51,110 2,333 3,500 5,000 25,000 9,000 2,000 6,087 1,000 56,372 2,700 4,000 274,593 224,552 1,667 8,000 1,000 40,522 2,219 1,719 782 2,738 261 38,435 49,153 771 2,000 18,901 100,000 3,750 91,000 391,128 194,296 3,334 3,000 5,000 56,297 3,498 2,446 1,251 4,380 189 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 60 DEPT DESCRIPTION LIBRARY FUND TYPE 100 ‐ GENERAL FUND H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 110‐6030‐418.21‐07 110‐6030‐418.22‐01 110‐6030‐418.23‐01 110‐6030‐418.26‐20 110‐6030‐418.36‐10 110‐6030‐418.55‐10 110‐6030‐418.61‐10 110‐6030‐418.64‐10 110‐6030‐418.64‐50 110‐6040‐418.10‐01 110‐6040‐418.10‐02 110‐6040‐418.11‐01 110‐6040‐418.12‐03 110‐6040‐418.19‐01 110‐6040‐418.21‐01 110‐6040‐418.21‐02 110‐6040‐418.21‐03 110‐6040‐418.21‐05 110‐6040‐418.21‐06 110‐6040‐418.21‐07 110‐6040‐418.22‐01 110‐6040‐418.23‐01 110‐6040‐418.26‐20 110‐6040‐418.34‐15 110‐6040‐418.55‐10 110‐6040‐418.61‐10 110‐6040‐418.64‐10 110‐6040‐418.64‐20 110‐6040‐418.64‐50 110‐6050‐418.10‐01 110‐6050‐418.10‐02 110‐6050‐418.10‐06 110‐6050‐418.11‐01 110‐6050‐418.12‐03 110‐6050‐418.21‐01 110‐6050‐418.21‐02 110‐6050‐418.21‐03 110‐6050‐418.21‐05 110‐6050‐418.21‐06 110‐6050‐418.21‐07 110‐6050‐418.22‐01 110‐6050‐418.23‐01 110‐6050‐418.26‐20 110‐6050‐418.55‐10 110‐6050‐418.61‐10 110‐6050‐418.61‐30 110‐6060‐418.10‐01 110‐6060‐418.10‐02 110‐6060‐418.11‐01 110‐6060‐418.12‐03 110‐6060‐418.21‐01 110‐6060‐418.21‐02 110‐6060‐418.21‐03 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS ELEMENT DESCRIPTION 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 EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS ADD 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 EMP. BEN.‐WORKERS COMP PURCHASED MGMT. SERVICES PURCH. PRINT. & BIND. SVC PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT BKS, PERIODICAL & A/V MAT EMPLOYEE SALARIES EMPLOYEE SALARIES 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 PURCH. PRINT. & BIND. SVC PURCHASED SUPPLIES PURCHASED SUPPLIES EMPLOYEE SALARIES EMPLOYEE SALARIES OVERTIME PAY PAY FOR BENEFITS EMPL. BENEFITS‐GROUP INS EMPL. BENEFITS‐GROUP INS EMPL. BENEFITS‐GROUP INS Total 417 44,780 52,920 907 17,000 6,500 28,200 74,000 26,715 433,538 111,945 2,000 5,000 1,204 49,182 3,765 2,717 1,251 4,380 417 42,055 53,626 840 4,500 500 8,100 94,800 26,500 17,800 341,060 110,095 3,334 3,000 1,000 49,182 3,231 2,127 1,251 4,380 417 35,076 42,837 701 1,500 10,800 2,500 197,352 39,932 2,000 3,000 21,033 1,348 1,214 190 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 60 DEPT DESCRIPTION LIBRARY FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total 300‐ CAPITAL PROJECTS FUND 300‐ CAPITAL PROJECTS FUND Total LIBRARY Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 110‐6060‐418.21‐05 110‐6060‐418.21‐06 110‐6060‐418.21‐07 110‐6060‐418.22‐01 110‐6060‐418.23‐01 110‐6060‐418.26‐20 110‐6060‐418.54‐50 110‐6060‐418.55‐10 110‐6060‐418.61‐10 110‐6060‐418.61‐30 110‐6070‐418.10‐01 110‐6070‐418.10‐02 110‐6070‐418.12‐03 110‐6070‐418.21‐01 110‐6070‐418.21‐02 110‐6070‐418.21‐03 110‐6070‐418.21‐05 110‐6070‐418.21‐06 110‐6070‐418.21‐07 110‐6070‐418.22‐01 110‐6070‐418.23‐01 110‐6070‐418.26‐20 110‐6070‐418.34‐50 110‐6070‐418.43‐20 110‐6070‐418.44‐30 110‐6070‐418.50‐70 110‐6070‐418.61‐07 110‐6070‐418.61‐10 110‐6070‐418.64‐20 111‐6010‐418.68‐01 115‐6010‐418.61‐40 115‐6010‐418.61‐50 117‐6010‐418.53‐05 117‐6010‐418.53‐10 117‐6010‐418.53‐15 117‐6010‐418.61‐10 117‐6070‐418.53‐50 119‐6010‐418.42‐10 119‐6010‐418.43‐10 119‐6010‐418.61‐10 119‐6010‐418.62‐10 119‐6010‐418.62‐20 119‐6010‐418.62‐25 119‐6010‐418.62‐50 CATEGORY 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 01 ‐ SALARIES & BENEFITS 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT 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 OTHER PURCH. SVCS. ADVERT PURCH. PRINT. & BIND. SVC PURCHASED SUPPLIES PURCHASED SUPPLIES EMPLOYEE SALARIES 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 PURCHASED MGMT. SERVICES PURCH.RPR.,MNTCE,INST.SVC PROPERTY RENTAL SERVICES PERMITS AND FEES PURCHASED SUPPLIES PURCHASED SUPPLIES BKS, PERIODICAL & A/V MAT OTHER LIBRARY ACTIVITIES PURCHASED SUPPLIES PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. OTHER PURCH. SVS. COMM. PURCHASED SUPPLIES OTHER PURCH. SVS. COMM. PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC PURCHASED SUPPLIES UTILITIES UTILITIES UTILITIES UTILITIES 303‐6010‐418.34‐50 303‐6010‐418.73‐99 303‐6010‐418.74‐99 02 ‐ OPERATING 03 ‐ CAPITAL 03 ‐ CAPITAL PURCHASED MGMT. SERVICES BUILDINGS/IMPR TO BLDGS EQUIPMENT Total 626 2,190 209 18,164 23,543 1,087 10,375 24,000 3,500 33,500 206,262 27,825 1,000 28,149 2,149 1,299 626 2,190 209 17,323 24,360 361 3,500 18,500 53,300 90,100 12,100 51,100 300 400,000 1,000 300 6,000 500 10,500 13,200 24,500 34,391 60,817 20,000 1,000 290,000 6,000 45,000 5,828,134 10,885 150,000 15,000 175,885 6,004,019 191 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 192 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 70 DEPT DESCRIPTION HEALTH & WELFARE FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total HEALTH & WELFARE Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐7010‐413.37‐50 CATEGORY 02 ‐ OPERATING ELEMENT DESCRIPTION PURCH.HEALTH& WELFARE SVC Total 63,255 63,255 63,255 193 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 194 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 75 DEPT DESCRIPTION OTHER DEPARTMENTS FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total OTHER DEPARTMENTS Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 119‐7510‐417.42‐10 119‐7510‐417.43‐10 119‐7510‐417.62‐10 119‐7510‐417.62‐20 119‐7510‐417.62‐25 119‐7510‐417.62‐50 119‐7530‐417.42‐10 119‐7530‐417.43‐10 119‐7530‐417.62‐20 119‐7530‐417.62‐25 119‐7530‐417.62‐50 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING ELEMENT DESCRIPTION PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES UTILITIES PURCH.PROP. CLEANING SVC. PURCH.RPR.,MNTCE,INST.SVC UTILITIES UTILITIES UTILITIES Total 10,119 5,441 6,000 42,000 2,000 11,000 23,692 10,746 80,000 4,000 21,000 215,998 215,998 195 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 196 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 80 DEPT DESCRIPTION DEBT SERVICE FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total DEBT SERVICE Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐8030‐417.83‐01 101‐8030‐417.83‐02 101‐8030‐417.83‐05 CATEGORY 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS ELEMENT DESCRIPTION MUNI BONDS & WARRANTS MUNI BONDS & WARRANTS MUNI BONDS & WARRANTS Total 5,305,000 3,719,481 2,200 9,026,681 9,026,681 197 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 198 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 85 DEPT DESCRIPTION BOARD OF EDUCATION FUND TYPE 100 ‐ GENERAL FUND 100 ‐ GENERAL FUND Total BOARD OF EDUCATION Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 101‐8585‐417.85‐85 CATEGORY 04 ‐ OTHER USES OF FUNDS ELEMENT DESCRIPTION BOARD OF EDUCATION Total 2,000,000 2,000,000 2,000,000 199 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 200 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 87 DEPT DESCRIPTION PROPERTY & CASUALTY FUND TYPE 500 ‐ PROPRIETARY FUND 500 ‐ PROPRIETARY FUND Total PROPERTY & CASUALTY Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 552‐8710‐427.51‐61 552‐8710‐427.51‐62 552‐8710‐427.51‐63 552‐8710‐427.51‐65 552‐8710‐427.51‐66 552‐8710‐427.51‐67 552‐8710‐427.51‐68 552‐8710‐427.87‐09 552‐8710‐427.87‐10 552‐8710‐427.87‐11 552‐8710‐427.87‐12 552‐8710‐427.87‐13 CATEGORY 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 02 ‐ OPERATING 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS ELEMENT DESCRIPTION CLAIMS CLAIMS CLAIMS CLAIMS CLAIMS CLAIMS CLAIMS PROPERTY & CASUALTY PROPERTY & CASUALTY PROPERTY & CASUALTY PROPERTY & CASUALTY PROPERTY & CASUALTY Total 100,000 15,000 15,000 340,000 25,000 251,878 145,000 9,095 365,000 50,568 5,000 2,000 1,323,541 1,323,541 201 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 202 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 89 DEPT DESCRIPTION HEALTH INS FUND TYPE 500 ‐ PROPRIETARY FUND 500 ‐ PROPRIETARY FUND Total HEALTH INS Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT ACCOUNT NUMBER 515‐8910‐489.31‐50 515‐8910‐489.89‐01 515‐8910‐489.89‐02 515‐8910‐489.89‐03 515‐8910‐489.89‐04 515‐8910‐489.89‐05 515‐8910‐489.89‐06 515‐8910‐489.89‐07 515‐8910‐489.89‐08 515‐8910‐489.89‐09 515‐8910‐489.89‐10 515‐8910‐489.89‐11 515‐8910‐489.89‐12 515‐8910‐489.89‐13 515‐8920‐489.89‐01 515‐8920‐489.89‐03 515‐8920‐489.89‐04 515‐8920‐489.89‐05 515‐8920‐489.89‐06 515‐8920‐489.89‐07 515‐8920‐489.89‐08 515‐8920‐489.89‐09 515‐8920‐489.89‐10 516‐8930‐489.89‐01 516‐8930‐489.89‐02 516‐8930‐489.89‐03 516‐8930‐489.89‐04 516‐8930‐489.89‐05 516‐8930‐489.89‐06 516‐8930‐489.89‐07 516‐8930‐489.89‐08 516‐8930‐489.89‐09 516‐8930‐489.89‐10 516‐8930‐489.89‐11 516‐8930‐489.89‐12 516‐8940‐489.89‐01 516‐8940‐489.89‐02 516‐8940‐489.89‐03 516‐8940‐489.89‐04 516‐8940‐489.89‐05 516‐8940‐489.89‐06 516‐8940‐489.89‐07 516‐8940‐489.89‐08 516‐8940‐489.89‐09 516‐8940‐489.89‐10 CATEGORY 02 ‐ OPERATING 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS ELEMENT DESCRIPTION PURCH. ACCT. & FIN. SVC. 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 HEALTH INS Total 60,000 5,000 10,000 1,448,456 2,194,000 350,000 350,000 150,000 1,777,583 425,000 45,000 15,000 105,000 360,000 500 20,000 30,000 10,000 9,500 5,000 28,024 10,000 1,000 395 500 40,000 151,372 15,000 14,000 3,500 70,000 20,000 2,000 500 2,000 100 100 11,442 10,000 10,000 10,000 1,000 10,000 3,370 1,000 7,785,342 7,785,342 203 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 204 of 206 FY 2011 BUDGET LEVEL 0053 ‐ ALL FUNDS EXPENDITURES ‐ BY DEPARTMENT AND ACCT NUMBER DEPART 90 DEPT DESCRIPTION OTHER FINANCING USES FUND TYPE 100 ‐ GENERAL FUND ACCOUNT NUMBER 101‐9090‐491.91‐10 101‐9090‐491.91‐11 101‐9090‐491.91‐12 101‐9090‐491.91‐15 101‐9090‐491.91‐17 101‐9090‐491.91‐19 101‐9090‐491.91‐20 101‐9090‐491.92‐01 101‐9090‐491.92‐15 101‐9090‐491.92‐35 101‐9090‐491.93‐03 CATEGORY 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS 04 ‐ OTHER USES OF FUNDS ELEMENT 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 Total 4,886,926 65,000 4,362,299 2,299,656 3,282,491 4,867,959 1,696,727 39,398 2,328,696 332,646 620,946 24,782,744 303‐9090‐491.91‐01 04 ‐ OTHER USES OF FUNDS OPERATING TRANSFERS OUT 2,505,567 2,505,567 27,288,311 178,513,993 100 ‐ GENERAL FUND Total 300‐ CAPITAL PROJECTS FUND 300‐ CAPITAL PROJECTS FUND Total OTHER FINANCING USES Total Grand Total H:\Budget ‐ FY 2011\Expenditures\Step 2 expenditures actual to description and budget file COMBINE BY DEPT fy 2011 DEPT SUMMARY BY ACCT 205 of 206 THIS PAGE IS INTENTIONALLY LEFT BLANK 206 of 206
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