2013 Budget Report
Transcription
2013 Budget Report
2013 City of Pickerington Budget City of Pickerington Pickerington, Ohio For the year 2013 CITY OF PICKERINGTON 2013 BUDGET 1 City of Pickerington, Ohio 2013 Budget Highlights 6% increase in income tax revenues. Planning and Zoning Officer position funded. $75,000 allocated for an update and revision of the City’s zoning code. Full-time Planning and Zoning/Development Services administration position funded. 2% increase in wages for Non-union employees (AFSCME and FOP contracts are pending due to current negotiations). 15% increase in health insurance rates. $500,000 allocated for annual street resurfacing projects. $65,000 allocated for the Meadows/Milnor/Pickerington Road realignment project. Parks and Recreation Director position funded. 3 new Police vehicles. Full time public safety dispatcher funded, replacing part time public safety dispatcher. $115,000 allocated for Park capital improvements. 3% increase in Water and Sewer revenues. $80,000 allocated for the New Well Engineering –W-05 project. 2 $75,000 allocated for the Longview Tank Altitude Valve Vault project. $100,000 allocated annually for water tank maintenance. $1,800,000 allocated for the Sycamore Creek East Relief Line Phases II and III. $850,000 allocated for the Leisure Drive Pump Station improvements. 3 City of Pickerington, Ohio 2013 Operating Budget Fund 1/1/2013 Cash Balance General Fund Estimated Revenues Estimated Transfers-In Estimated Expenditures Estimated Transfers-Out 12/31/2013 Unencumbered Balance $2,908,659 $7,569,943 $0 $3,634,339 $4,497,838 $2,346,425 381,706 63,505 143,778 133,902 23,685 5,224 13,014 339,923 1,915 920 19,855 0 1,127,427 683,351 46,405 115,000 131,200 9,750 700 400 1,826,261 125 0 45,000 0 2,858,192 722,500 0 0 450,000 0 0 0 2,875,000 0 0 40,000 0 4,087,500 1,501,971 50,632 0 637,682 10,500 2,525 3,000 4,666,004 250 0 72,200 0 6,944,764 0 0 100,000 0 0 0 0 0 0 0 0 0 100,000 285,586 59,278 158,778 77,420 22,935 3,399 10,414 375,180 1,790 920 32,655 0 1,028,355 31,720 0 0 62,019 51,558 145,297 0 0 0 0 0 0 835,449 0 0 0 0 835,449 835,447 0 0 62,019 20,052 917,518 0 0 0 0 0 0 31,722 0 0 0 31,506 63,228 165 145,600 625 0 64,639 67,231 0 0 0 0 0 280,450 50,039 0 0 0 608,749 0 59,600 0 0 55,080 85 0 0 0 0 0 96,135 27,545 50,000 300,000 0 588,445 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 65,000 0 0 0 0 0 115,000 0 50,000 300,000 0 530,000 0 50,000 0 0 100,000 0 0 0 0 0 0 0 0 0 0 0 150,000 165 155,200 625 0 19,719 2,316 0 0 0 0 0 261,585 77,584 0 0 0 517,194 1,540,475 2,335,055 79,929 48,567 35,901 717,031 0 501,293 0 252,306 0 140,710 0 3,984 3,250 69,506 5,728,007 2,232,845 3,493,250 1,800,000 0 10,000 270,686 0 139,500 0 658,678 0 0 139,357 0 0 183,235 8,927,551 0 0 0 480,310 0 0 78,433 0 0 0 1,147,156 0 96,645 0 0 0 1,802,544 2,234,123 3,097,119 1,800,000 480,310 10,000 150,000 78,433 0 0 520,804 1,146,607 140,710 236,002 0 0 206,727 10,100,835 204,310 958,270 79,929 0 0 276,000 0 313,864 0 145,282 0 0 0 0 0 0 1,977,655 1,334,887 1,772,916 0 48,567 35,901 561,717 0 326,929 0 244,898 549 0 0 3,984 3,250 46,014 4,379,612 140,897 7,958 278,709 23,850 1,708 68,821 4,355 526,298 250 500 100 14 2 200 0 1,066 0 0 0 0 0 0 0 0 139,610 3,000 0 0 0 0 0 142,610 0 0 0 0 0 0 0 0 1,537 5,458 278,809 23,864 1,710 69,021 4,355 384,754 Special Revenue Funds Street Fund State Highway Route 256 Highway Parks and Recreation Computer Fund OMVI Fund Law Enforcement Seizure Police Fund Mandatory Drug Fund Immobilization Fund Urban Forestry Fleet Maintenance Total Special Revenue Funds Debt Service Funds Debt Service TIF Cycle Way Debt TIF Old Town Debt TIF Windmiller/ Diley Debt TIF Cover Debt Total Debt Service Funds Capital Projects Funds Street Construction Fund Street Impact Fee Fund Park Capital Improvement Fund Community Development Block Grant Fund Police Impact Fee Fund CDBG Revolving Loan Fund TIF Cycleway Construction Fund TIF Windmiller/ Diley Construction Fund TIF Cover Construction Fund Diley Road Improvement Fund Municipal Facilities Fund Park Impact Fee Fund Municipal Building Impact Fee Fund TIF Equity Construction Fund Safe Routes to Schools Fund State Route 256 Safety Grant Total Capital Projects Funds Enterprise Funds Water Fund Sewer Fund Water Pollution Control Loan Water Debt Retirement Fund Utility Deposit Guarantee Fund Water Capital Improvement Fund OWDA Sewer Repair and Replacement Fund Sewer Plant Line Construction Fund Stormwater Fund Sewer Debt Retirement Fund Water Tower Construction Fund Stormwater Construction Stormwater Debt Retirement Water Pollution Control Loan Fund - Water Aquatic Fund Total Enterprise Funds Fiduciary Funds Trust Fund Unclaimed Fund Street Trust Stormwater Improvement Trust Sidewalk Improvement Trust Stormwater Basin Cemetery Fund Total Fiduciary Funds Total Budget $ 11,044,437 $ 19,945,197 $ 4 6,725,493 $ 22,270,066 $ 6,725,493 $ 8,719,568 City of Pickerington, Ohio General Fund Comparative History Revenue Summary for the Years 2011-2014 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $835,000 0 0 5,403,652 1,500 100,000 6,340,152 0.60% 0.00% 0.00% 6.08% 0.00% 4.17% 5.29% $840,000 0 0 5,565,762 0 100,000 6,505,762 $845,000 0 0 5,732,734 0 100,000 6,677,734 71,000 593 30,000 24,500 214,000 100,000 1,000 0 441,093 0 500 27,000 18,000 164,041 98,000 1,000 0 308,541 -100.00% 25.00% 17.39% -25.95% -21.89% 2.08% -71.43% 0.00% -20.32% 0 500 27,000 12,250 107,000 98,000 1,000 0 245,750 0 500 27,000 6,000 53,500 98,000 1,000 0 186,000 3,500 3,500 3,502 3,502 6,000 6,000 71.43% 71.43% 6,000 6,000 6,000 6,000 177,450 0 177,450 160,000 500 160,500 165,000 0 165,000 165,000 250 165,250 3.13% -50.00% 2.96% 165,000 250 165,250 165,000 250 165,250 319,047 96,870 22,453 37,311 475,681 317,854 78,915 39,052 32,525 468,346 277,700 70,125 22,650 32,525 403,000 324,065 100,000 40,000 44,000 508,065 310,000 75,000 32,000 36,000 453,000 11.63% 6.95% 41.28% 10.68% 12.41% 310,000 75,000 32,000 36,000 453,000 310,000 75,000 32,000 36,000 453,000 92,033 14,136 240,013 32,448 81,571 230,000 690,201 50,110 26,485 253,843 40,093 50,139 782,880 1,203,550 40,000 26,000 228,000 28,000 4,000 0 326,000 27,000 42,000 217,000 38,300 23,500 0 347,800 28,000 25,000 200,000 39,000 5,000 0 297,000 -30.00% -3.85% -12.28% 39.29% 25.00% 0.00% -8.90% 28,000 25,000 200,000 39,000 5,000 0 297,000 28,000 25,000 200,000 39,000 5,000 0 297,000 $7,579,411 $8,340,999 $7,301,648 $7,724,021 $7,569,943 3.67% $7,672,762 $7,784,984 Revenue Source Taxes, Assessment & Related Revenue Property Tax - Real Estate Personal Property Tax Intangible Tax Income Tax Income Tax - Electric Light Hotel/ Motel Tax Subtotal - Tax Revenue Actual 2010 Actual 2011 Budgeted 2012 Estimated 2012 Proposed 2013 $867,817 2,573 2,393 4,706,536 1,358 98,427 5,679,104 $899,120 351 2,150 5,010,595 3,682 101,391 6,017,289 $830,000 0 0 5,093,940 1,500 96,000 6,021,440 $854,342 21 0 5,297,698 2,500 104,000 6,258,561 Intergovernmental Revenue Estate Taxes Cigarette Tax Liquor Tax Local Government - State Local Government - County Homestead/ Rollback Public Utility Reimbursement Personal Property Tax Reimbursement Subtotal - Intergovernmental Revenue 67,799 58 26,482 51,583 285,482 102,229 3,624 29,632 566,889 39,069 525 23,167 19,701 284,960 99,739 836 2,295 470,292 30,000 400 23,000 24,308 210,000 96,000 3,500 0 387,208 6,120 6,120 4,072 4,072 Fines and Forfeiture Revenue Mayor's Court Receipts Indigent Driver's Alcohol Monitoring Subtotal - Fines and Forfeitures 161,047 369 161,416 Development Revenue Building Permit Fees Engineering Fees Zoning Fees License/ Permit Fees Subtotal - Development Revenue Other Revenue Interest Donations/Contributions Franchise Fees Miscellaneous Refunds/ Reimbursements Advances from Other Funds Subtotal - Other Revenue Charges for Services Vacant Property Maintenance Subtotal - Charges for Services Total Operating Revenue 5 City of Pickerington, Ohio General Fund Comparative History Expenditure Summary for the Years 2011-2014 Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget General Government Legislative Mayor City Manager Finance Department Personnel Department Legal Department Mayor's Court Engineering Land and Buildings Planning and Zoning Department Development Department Building Department Public Information Total Operating Expenditures $656,765 196,898 43,913 136,773 613,594 219,781 351,700 106,292 303,050 312,635 224,493 80,207 339,258 39,098 3,624,457 $502,019 229,464 33,285 139,954 650,614 178,124 225,736 109,191 237,302 340,015 118,845 110,491 279,039 23,983 3,178,062 $572,859 271,418 49,665 162,325 746,270 179,220 280,500 119,613 304,158 492,716 142,215 146,100 304,570 29,000 3,800,629 $578,857 256,748 44,356 153,025 689,394 169,486 261,092 110,109 274,599 402,817 110,633 133,479 250,654 25,010 3,460,259 $408,066 280,899 49,304 162,142 693,056 190,124 244,000 134,785 276,448 450,221 267,634 159,506 266,756 49,900 3,632,839 Refunds School District TIF Payment Transfers Advances Total Non-Operating Expenditures 17,008 13,715 3,529,913 60,000 3,620,636 202 44,685 3,613,247 722,880 4,381,014 4,500 16,000 5,193,236 0 5,213,736 1,000 46,000 4,835,565 0 4,882,565 Total Expenditures 7,245,093 7,559,076 9,014,365 8,342,824 334,318 781,923 2,411,221 2,745,539 3,527,462 3,527,462 2,908,659 -17.54% 2,346,425 2,103,326 $2,745,539 $3,527,462 $1,814,745 $2,908,659 $2,346,425 29.30% $2,103,326 $1,286,474 Expenditures Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds (1,712,717) 6 (618,803) Projected 2014 Projected 2015 -28.77% 3.49% -0.73% -0.11% -7.13% 6.08% -13.01% 12.68% -9.11% -8.62% 88.19% 9.18% -12.42% 72.07% -4.41% $409,879 287,710 49,847 165,128 670,777 194,503 239,500 134,002 317,181 457,014 191,553 155,503 275,869 19,055 3,567,521 $414,488 304,167 50,399 168,403 684,469 201,880 268,500 138,363 327,191 471,996 198,184 159,545 285,560 19,627 3,692,772 1,500 0 4,497,838 0 4,499,338 -66.67% -100.00% -13.39% 0.00% -13.70% 1,500 0 4,346,840 0 4,348,340 1,500 0 4,907,564 0 4,909,064 8,132,177 -9.79% 7,915,861 8,601,836 (562,234) -67.17% (243,099) (816,851) City of Pickerington, Ohio 101 General Fund General Government Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $82,083 1,850 4,062 87,995 $85,502 1,850 3,881 91,233 $87,550 1,850 4,000 93,400 $89,500 1,850 5,300 96,650 $93,000 1,850 5,750 100,600 6.23% 0.00% 43.75% 4.09% $95,790 1,850 5,923 103,563 $98,664 1,850 $6,100 106,614 0 4,000 4,000 250 0 250 250 0 250 0 0 0 250 0 250 0.00% 0.00% -100.00% 250 0 250 250 0 250 91,995 91,483 93,650 96,650 100,850 7.69% 103,813 106,864 7,500 81,143 0 0 0 2,500 2,500 93,643 10,000 0 0 82,948 0 0 0 92,948 12,000 0 500 106,005 750 5,000 0 124,255 12,000 0 500 104,808 0 5,000 0 122,308 12,500 0 0 109,089 750 0 0 122,339 4.17% 0.00% -100.00% 2.91% 0.00% -100.00% 0.00% 0.03% 12,500 0 0 112,362 750 0 0 125,612 12,500 0 0 115,733 750 0 0 128,983 0 0 6,126 6,126 7,500 7,500 5,581 5,581 7,000 7,000 -6.67% -6.67% 7,210 7,210 7,426 7,426 Total Public Health 93,643 99,074 131,755 127,889 129,339 -1.83% 132,822 136,409 Leisure Time Activities Contractual Services 101.396.53410 Olde Pick Village Association 101.398.53410 Violet Festival 101.398.53420 Fourth of July Activities 101.396.53430 Parade Supplies 101.398.53430 LEADS Class Play-A-Palooza 101.398.53430 Bicentennial Celebration Subtotal Contractual Services 30 5,000 22,063 0 0 1,400 28,493 2,500 0 26,466 0 1,000 0 29,966 5,000 0 30,000 0 0 0 35,000 5,000 0 29,429 0 0 0 34,429 7,500 0 32,000 500 0 10,000 50,000 50.00% 0.00% 6.67% 100.00% 0.00% 0.00% 42.86% 5,000 0 32,000 500 0 10,000 47,500 5,000 0 32,000 500 0 0 37,500 Total Leisure Time Activities 28,493 29,966 35,000 34,429 50,000 42.86% 47,500 37,500 Miscellaneous General Government Personal Services 101.795.51500 Worker's Comp General Fund Subtotal Personal Services 17,350 17,350 22,386 22,386 31,340 31,340 26,049 26,049 29,175 29,175 -6.91% -6.91% 32,093 32,093 35,302 35,302 0 0 6,600 0 16,451 0 23,500 2,148 0 0 738 18,393 17,500 24,500 0 2,200 0 0 7,000 22,000 19,600 0 15,000 2,500 0 0 1,922 16,000 19,600 0 15,000 2,270 0 0 7,000 19,000 20,000 0 0 2,300 0.00% 0.00% 0.00% -13.64% 2.04% 0.00% -100.00% -8.00% 0 0 2,500 22,000 20,400 0 0 2,300 0 0 7,000 22,000 21,000 0 0 2,300 (continued) Acct No. Security of Persons & Property Contractual Services 101.100.53110 Street Lights 101.100.53120 Christmas Lights - Electricity 101.100.53130 Festival Service Subtotal Contractual Services 101.100.54230 101.100.54250 Supplies and Materials Miscellaneous Supplies Tornado Sirens Subtotal Supplies and Materials Total Security of Persons & Property Public Health 101.602.53430 101.200.53410 101.200.53410 101.200.53411 101.200.53422 101.200.53424 101.400.53430 Contractual Services Paratransit Subsidy Health Dept - Fairfield County Donations Health Dept - Franklin County Indigent Burial Pickerington Food Pantry Veterans Memorial Project Donation Subtotal Contractual Services 101.298.54220 Supplies and Materials Supplies - Mosquito Control Subtotal Supplies and Materials 101.200.53450 101.394.53420 101.700.53410 101.707.53460 101.708.53410 101.708.53420 101.792.53410 101.795.53410 Contractual Services Prosecutor for Elderly Pickerington Music Boosters Election Expense County Auditor Fees Annual Audit Performance Audit Public Opinion Survey Gates McDonald Worker's Compensation 7 City of Pickerington, Ohio 101 General Fund General Government (Continued) Acct No. Miscellaneous General Government (Continued) Contractual Services 101.797.53910 Mid Ohio Regional Planning Commission 101.797.53920 Fairfield Regional Planning 101.797.53930 Ohio Municipal League Dues 101.797.53940 National League of Cities 101.797.53950 Pickerington Chamber of Commerce 101.797.53975 Route 33 Alliance 101.798.53480 Legal Resolution 101.800.53410 Violet Twp Annexation Agreement Subtotal Contractual Services 101.400.54230 Supplies and Materials Community Garden Project Subtotal Supplies and Materials Total Miscellaneous General Government Revised Budget 2012 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $8,850 4,552 2,300 1,200 7,500 6,000 0 20,000 98,702 4.59% 0.00% 15.00% -20.00% -25.00% 0.00% -100.00% 0.00% -64.89% $8,850 4,552 2,300 1,250 3,500 6,000 0 20,000 93,652 $8,462 4,552 2,300 1,300 3,500 6,000 0 20,000 98,414 0 0 0 0 0.00% 0.00% 0 0 0 0 312,454 319,889 127,877 -59.07% 125,745 133,716 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 135,000 0 0 0 0 0.00% 0 0 $656,765 $502,019 $572,859 $578,857 $408,066 -28.77% $409,879 $414,488 Actual 2010 Actual 2011 Estimated 2012 $6,775 1,947 1,560 617 6,172 6,000 200,000 18,057 289,827 $6,890 1,947 1,560 1,117 10,000 6,000 150,000 18,265 259,110 $8,462 4,552 2,000 1,500 10,000 6,000 162,500 20,000 281,114 $6,347 4,551 2,286 1,117 10,000 6,000 189,747 19,000 293,840 457 457 0 0 0 0 307,634 281,496 135,000 135,000 Proposed 2013 Transportation 101.604.55510 Capital Town Square Drive Extension Subtotal Capital Total Transportation Total General Government 8 City of Pickerington, Ohio 101 General Fund 401, 402, and 403 Planning and Zoning Department Acct No. Actual 2011 Revised Budget 2012 $160,049 23,753 30,125 0 1,831 215,758 $67,596 10,437 7,373 20,112 237 105,755 $71,000 11,000 21,000 0 2,300 105,300 $67,966 10,484 14,827 0 856 94,133 Actual 2010 Planning and Zoning Department Personal Services 101.401.51100 Salaries and Wages 101.401.51210 Retirement Benefits 101.401.51300 Insurance 101.401.51600 Unemployment 101.403.52200 Professional Development Subtotal Personal Services Estimated 2012 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $117,850 $18,209 29,775 0 1,500 167,334 65.99% 65.54% 41.79% 0.00% -34.78% 58.91% $119,618 18,482 33,348 0 1,500 172,948 $121,412 18,759 37,350 0 1,500 179,021 Proposed 2013 101.401.53410 101.401.53513 Contractual Services Professional Services Vehicle Maintenance/ Repair Subtotal Contractual Services 5,433 617 6,050 11,528 0 11,528 32,265 0 32,265 15,000 0 15,000 75,000 1,800 76,800 132.45% 100.00% 138.03% 15,000 0 15,000 15,450 0 15,450 101.401.54100 101.401.57230 Supplies and Materials Office Supplies Gasoline Rotary Subtotal Supplies and Materials 1,817 843 2,660 852 710 1,562 4,650 0 4,650 1,500 0 1,500 3,500 0 3,500 -24.73% 0.00% -24.73% 3,605 0 3,605 3,713 0 3,713 101.401.55211 Capital Vehicle Subtotal Capital 0 0 0 0 0 0 0 0 20,000 20,000 100.00% 100.00% 0 0 0 0 101.401.57300 Transfers/ Reimbursements Refunds Subtotal Transfers/ Reimbursements 25 25 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 $224,493 $118,845 $142,215 $110,633 $267,634 88.19% $191,553 $198,184 Total Planning and Zoning Department 9 City of Pickerington, Ohio 101 General Fund 405 Development Department Acct No. Development Department Personal Services 101.405.51100 Salaries and Wages 101.405.51113 Unemployment 101.405.51210 Retirement Benefits 101.405.51300 Insurance 101.405.52200 Professional Development Subtotal Personal Services 101.405.53300 101.405.53410 Contractual Services Olde Downtown Revitalization Economic Development Services Subtotal Contractual Services 101.405.54100 Supplies and Materials Office Supplies Subtotal Supplies and Materials Total Development Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $57,926 0 8,911 5,196 745 72,778 $53,670 10,062 7,744 5,782 1,301 78,559 $73,850 0 11,100 7,800 4,500 97,250 $70,600 0 9,885 7,194 3,300 90,979 $80,835 0 12,489 12,682 4,000 110,006 9.46% 0.00% 12.51% 62.59% -11.11% 13.12% $82,048 0 12,676 14,204 4,000 112,928 $83,278 0 12,866 15,908 4,000 116,053 0 7,347 7,347 10,385 20,661 31,046 13,000 32,350 45,350 13,000 28,000 41,000 12,000 35,000 47,000 -7.69% 8.19% 3.64% 12,000 28,000 40,000 12,000 28,840 40,840 82 82 886 886 3,500 3,500 1,500 1,500 2,500 2,500 -28.57% -28.57% 2,575 2,575 2,652 2,652 $80,207 $110,491 $146,100 $133,479 $159,506 9.18% $155,503 $159,545 10 City of Pickerington, Ohio 101 General Fund 499 Building Department Acct No. Building Department Personal Services 101.499.51100 Salaries and Wages 101.499.51101 Overtime 101.499.51210 Retirement Benefits 101.499.51300 Insurance 101.499.51400 Uniform 101.499.51600 Unemployment 101.499.52200 Professional Development Subtotal Personal Services 101.499.53410 101.499.53411 101.499.53415 101.499.53513 Contractual Services CBO/ Plan Review Professional Services Building Contract Inspectors Vehicle Maintenance/ Repair Subtotal Contractual Services 101.499.54100 101.499.57200 Supplies and Materials Office Supplies Gasoline Rotary Subtotal Supplies and Materials 101.499.57300 Transfers/ Reimbursements Refunds Subtotal Transfers/ Reimbursements Total Building Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $170,135 0 25,652 53,599 159 2,641 400 252,586 $111,975 406 16,746 42,169 0 13,427 325 185,048 $89,670 4,000 21,750 43,500 250 10,250 1,400 170,820 $80,090 2,500 12,761 20,361 0 6,192 350 122,254 $88,862 2,000 14,038 30,356 0 0 600 135,856 -0.90% -50.00% -35.46% -30.22% -100.00% -100.00% -57.14% -20.47% $90,195 2,000 14,249 33,999 0 0 600 141,042 $91,547 2,000 14,463 38,079 0 0 600 146,689 28,816 11,275 41,543 480 82,114 23,870 8,208 59,268 97 91,443 30,000 12,650 85,000 1,600 129,250 30,000 11,500 82,500 1,600 125,600 30,900 12,000 85,000 0 127,900 3.00% -5.14% 0.00% -100.00% -1.04% 31,827 12,360 87,550 0 131,737 32,782 12,731 90,177 0 135,689 3,099 1,434 4,533 686 1,862 2,548 3,500 1,000 4,500 2,800 0 2,800 3,000 0 3,000 -14.29% -100.00% -33.33% 3,090 0 3,090 3,183 0 3,183 25 25 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 $339,258 $279,039 $304,570 $250,654 $266,756 -12.42% $275,869 $285,560 11 City of Pickerington, Ohio 101 General Fund 701 Mayor Acct No. Actual 2010 Actual 2011 Revised Budget 2012 $34,295 5,297 42 159 39,793 $25,286 3,907 46 643 29,882 $35,500 6,700 65 1,900 44,165 $34,863 5,422 55 16 40,356 Estimated 2012 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $36,248 5,601 55 1,900 43,804 2.11% -16.41% -15.38% 0.00% -0.82% $36,791 5,601 55 1,900 44,347 $37,343 5,601 55 1,900 44,899 Proposed 2013 Mayor 101.701.51100 101.701.51210 101.701.51300 101.701.52200 Personal Services Salaries and Wages Retirement Benefits Insurance Professional Development Subtotal Personal Services 101.701.53420 Contractual Services Professional Services Subtotal Contractual Services 1,758 1,758 640 640 2,250 2,250 1,500 1,500 2,250 2,250 0.00% 0.00% 2,250 2,250 2,250 2,250 101.701.54100 101.701.54232 Supplies and Materials Office Supplies Condolences/Remembrances Subtotal Supplies and Materials 2,297 65 2,362 2,538 225 2,763 2,950 300 3,250 2,500 0 2,500 2,950 300 3,250 0.00% 0.00% 0.00% 2,950 300 3,250 2,950 300 3,250 $43,913 $33,285 $49,665 $44,356 $49,304 -0.73% $49,847 $50,399 Total Mayor 12 City of Pickerington, Ohio 101 General Fund 702 and 710 Legislative (Council and Municipal Clerk) Acct No. Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $51,000 7,236 52,063 0 110,299 $50,723 7,227 42,818 37 100,805 $51,000 7,350 64,200 250 122,800 $51,277 7,236 59,069 92 117,674 $51,000 7,240 66,350 250 124,840 0.00% -1.50% 3.35% 0.00% 1.66% $51,765 7,349 74,312 250 133,676 $52,541 7,459 83,229 250 143,480 9,245 9,245 10,782 10,782 14,768 14,768 13,000 13,000 15,000 15,000 1.57% 1.57% 15,450 15,450 15,914 15,914 369 369 508 508 1,600 1,600 1,600 1,600 1,800 1,800 12.50% 12.50% 1,854 1,854 1,910 1,910 119,913 112,095 139,168 132,274 141,640 1.78% 150,980 161,303 53,119 7,328 13,553 1,559 75,559 83,051 12,279 20,219 37 115,586 89,250 13,750 23,400 1,750 128,150 87,301 12,649 21,174 250 121,374 89,829 13,879 24,300 1,750 129,759 0.65% 0.94% 3.85% 0.00% 1.26% 91,177 14,087 27,216 250 132,730 92,544 14,087 30,482 1,750 138,864 244 244 365 365 1,400 1,400 400 400 500 500 -64.29% -64.29% 500 500 500 500 1,182 1,182 1,418 1,418 2,700 2,700 2,700 2,700 9,000 9,000 233.33% 233.33% 3,500 3,500 3,500 3,500 76,985 117,369 132,250 124,474 139,259 5.30% 136,730 142,864 $196,898 $229,464 $271,418 $256,748 $280,899 3.49% $287,710 $304,167 Proposed 2013 Council 101.702.51100 101.702.51210 101.702.51300 101.702.52300 Personal Services Salaries and Wages Retirement Benefits Insurance Professional Development Subtotal Personal Services 101.702.53410 Contractual Services Professional Services Subtotal Contractual Services 101.702.54100 Supplies and Materials Office Supplies Subtotal Supplies and Materials Total Council Municipal Clerk 101.710.51100 101.710.51210 101.710.51300 101.710.52200 Personal Services Salaries and Wages Retirement Benefits Insurance Professional Development Subtotal Personal Services 101.710.53430 Contractual Services Professional Services Subtotal Contractual Services 101.710.54100 Supplies and Materials Office Supplies Subtotal Supplies and Materials Total Municipal Clerk Total Legislative 13 City of Pickerington, Ohio 101 General Fund 703 Mayor's Court Clerk Acct No. Mayor's Court Clerk Personal Services 101.703.51100 Salaries and Wages 101.703.51210 Retirement Benefits 101.703.51300 Insurance 101.703.52200 Professional Development Subtotal Personal Services 101.703.53410 101.703.53413 101.703.53414 101.703.54100 Contractual Services Professional Services Magistrate Prosecutor Subtotal Contractual Services Supplies and Materials Office Supplies Total Mayor's Court Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $48,358 7,454 16,919 763 73,494 $48,883 7,530 18,740 508 75,661 $50,450 8,050 21,000 2,500 82,000 $49,653 7,642 19,314 800 77,409 $59,191 9,187 22,195 2,500 93,072 17.33% 14.12% 5.69% 0.00% 13.50% $60,078 9,324 24,858 1,800 96,061 $60,980 9,464 27,841 1,800 100,085 2,318 15,600 11,740 29,658 2,381 14,400 12,000 28,781 5,113 14,700 12,000 31,813 3,000 14,700 12,000 29,700 5,113 17,000 13,800 35,913 0.00% 15.65% 15.00% 12.89% 5,266 14,700 12,000 31,966 5,424 14,700 12,000 32,124 3,140 3,140 4,749 4,749 5,800 5,800 3,000 3,000 5,800 5,800 0.00% 0.00% 5,974 5,974 6,153 6,153 $106,292 $109,191 $119,613 $110,109 $134,785 12.68% $134,002 $138,363 14 City of Pickerington, Ohio 101 General Fund 704 and 751 Finance Department Acct No. Finance Department Personal Services 101.704.51100 Salaries and Wages - Finance 101.704.51101 Overtime - Tax Clerks 101.704.51102 Overtime - Finance Clerk 101.704.51110 Salaries and Wages - Tax 101.704.51210 Retirement Benefits - Finance 101.704.51211 Retirement Benefits - Tax 101.704.51300 Insurance - Finance 101.704.51310 Insurance - Tax 101.704.52200 Professional Development - Finance 101.704.52300 Professional Development - Tax Subtotal Personal Services Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 $70,976 1,947 360 146,094 15,661 19,964 17,416 50,726 576 329 324,049 $81,038 3,036 59 157,988 15,501 20,324 20,671 56,193 3,244 545 358,599 $85,150 2,500 1,000 211,370 14,750 35,050 23,200 60,650 3,570 2,430 439,670 $84,190 835 0 205,120 12,443 31,200 21,311 43,445 2,500 1,600 402,644 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $87,023 2,000 500 213,628 13,446 28,272 24,486 28,451 3,000 2,000 402,806 2.20% -20.00% -50.00% 1.07% -8.84% -19.34% 5.54% -53.09% -15.97% -17.70% -8.38% $88,329 2,000 500 181,628 13,647 28,696 27,424 31,865 3,000 1,600 378,690 $89,654 2,000 500 184,352 13,852 29,127 30,715 35,689 3,000 1,600 390,489 Proposed 2013 101.704.53230 101.704.53400 101.704.53410 101.704.53411 Contractual Services Postage - Tax Professional Services - Finance Professional Services - GAAP Professional Services - Tax Total Contractual Services 4,015 26,766 19,015 22,001 71,797 18,788 22,552 3,432 6,400 51,172 15,000 22,025 5,000 9,500 51,525 15,000 20,000 4,000 8,000 47,000 16,000 22,000 4,000 8,000 50,000 6.67% -0.11% -20.00% -15.79% -2.96% 16,480 22,660 4,000 8,240 51,380 16,974 23,340 4,000 8,487 52,801 101.704.54100 101.704.54109 Supplies and Materials Office Supplies - Finance Office Supplies - Tax Subtotal Supplies and Materials 2,844 9,768 12,612 2,672 10,723 13,395 3,250 11,825 15,075 3,000 11,750 14,750 3,250 12,000 15,250 0.00% 1.48% 1.16% 3,348 12,360 15,708 3,448 12,731 16,179 101.751.57300 Transfers/ Reimbursements Income Tax Refunds Subtotal Transfers/ Reimbursements 205,136 205,136 227,448 227,448 240,000 240,000 225,000 225,000 225,000 225,000 -6.25% -6.25% 225,000 225,000 225,000 225,000 $613,594 $650,614 $746,270 $689,394 $693,056 -7.13% $670,777 $684,469 Total Finance Department 15 City of Pickerington, Ohio 101 General Fund 705, 715, 716, 722, and 723 Land and Buildings (Facilities Operations) Acct No. Actual 2010 Land and Buildings Personal Services 101.722.52200 Professional Development - Technology Subtotal Personal Services Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $0 0 $1,511 1,511 $2,000 2,000 $0 0 $1,500 1,500 -25.00% -25.00% $1,545 1,545 $1,591 1,591 32,046 3,899 35,644 13,831 30,284 85 21,034 0 13,129 26,481 4,833 181,266 31,831 3,730 48,241 12,984 40,574 1,231 23,206 393 8,160 10,691 22,429 203,470 43,500 5,500 96,800 16,000 55,000 1,500 25,166 1,000 11,000 21,100 32,400 308,966 35,500 4,500 53,000 16,000 32,000 1,200 25,166 800 7,500 32,000 34,250 241,916 38,000 4,750 55,000 16,000 36,000 1,500 28,186 800 10,000 25,000 12,000 227,236 -12.64% -13.64% -43.18% 0.00% -34.55% 0.00% 12.00% -20.00% -9.09% 18.48% -62.96% -26.45% 39,140 4,893 56,650 16,480 37,080 1,545 31,568 824 10,300 25,750 2,500 226,730 40,314 5,039 56,650 16,974 38,192 1,591 34,725 849 10,609 26,523 2,500 233,967 101.705.53110 101.716.53110 101.722.53415 101.705.53230 101.705.53410 101.705.53513 101.705.53620 101.716.53410 101.705.53310 101.705.53520 101.716.53520 Contractual Services Utilities Utilities - Carnegie Professional Services - Technology Postage Professional Services Vehicle Maintenance / Repair General Liability Insurance Professional Services - Carnegie Copier Maintenance Facility Maintenance Facility Maintenance - Carnegie Subtotal Contractual Services 101.705.54100 101.722.54120 101.722.54230 Supplies and Materials Office Supplies Computer Software Annual Capital Technology Equipment Subtotal Supplies and Materials 21,497 9,141 11,799 42,582 20,574 5,741 10,690 37,005 29,050 23,200 14,200 66,450 27,500 23,200 13,000 63,700 28,000 28,000 35,000 91,000 -3.61% 20.69% 146.48% 36.95% 28,840 28,840 36,050 93,730 29,705 29,705 37,132 96,542 101.705.55200 101.705.55208 101.705.55210 101.722.55210 Capital Annual Capital Maintenance Equipment Phone/ Network Lease Equipment Copier Lease Computer Equipment Subtotal Capital 0 18,780 12,257 0 31,037 12,600 16,992 12,077 0 41,669 7,500 22,000 14,000 7,500 51,000 5,000 17,500 14,000 0 36,500 7,500 18,500 14,000 0 40,000 0.00% -15.91% 0.00% -100.00% -21.57% 7,725 19,055 14,000 0 40,780 7,957 19,627 14,000 0 41,583 101.705.57200 Transfers/ Reimbursements Gasoline Rotary Subtotal Transfers/ Reimbursements 1,574 1,574 1,117 1,117 2,250 2,250 2,250 2,250 2,500 2,500 11.11% 11.11% 2,575 2,575 2,652 2,652 256,459 284,772 430,666 344,366 362,236 -15.89% 365,360 376,336 (continued) Total Land and Buildings 16 City of Pickerington, Ohio 101 General Fund 705, 715, 716, 722, and 723 Land and Buildings (Facilities Operations) (Continued) Acct No. Facilities Operation Administrator Personal Services 101.715.51100 Salaries and Wages 101.715.51210 Retirement Benefits 101.715.51300 Insurance 101.715.52200 Professional Development Subtotal Personal Services 101.715.53220 Contractual Services Professional Services Subtotal Contractual Services 101.715.54100 Supplies and Materials Office Supplies Subtotal Supplies and Materials Total Facilities Operations Administrator Total Land and Buildings Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $34,339 5,323 13,843 355 53,860 $33,172 5,975 14,990 0 54,137 $34,850 5,500 16,200 1,750 58,300 $34,907 5,803 15,449 42 56,201 $53,733 8,302 22,200 1,250 85,485 54.18% 50.94% 37.04% -28.57% 46.63% $54,539 8,426 24,864 1,250 89,079 $55,357 8,553 27,848 1,250 93,007 115 115 412 412 1,000 1,000 750 750 1,000 1,000 0.00% 0.00% 1,030 1,030 1,061 1,061 2,201 2,201 694 694 2,750 2,750 1,500 1,500 1,500 1,500 -45.45% -45.45% 1,545 1,545 1,591 1,591 56,176 55,243 62,050 58,451 87,985 41.80% 91,654 95,660 $312,635 $340,015 $492,716 $402,817 $450,221 -8.62% $457,014 $471,996 17 City of Pickerington, Ohio 101 General Fund 709 Legal Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 Legal Department Contractual Services 101.709.53422 General Legal Counsel 101.709.53423 Litigation Legal Counsel 101.709.53440 Lancaster Prosecutor 101.709.53460 Filing Fees/ Court Costs 101.709.53462 FOP Negotiations/ Arbitration 101.709.53463 AFSCME Negotiations/ Arbitration 101.709.53470 Annexation/ Economic Development Subtotal Contractual Services $210,547 83,497 24,999 223 18,403 11,376 2,655 351,700 $192,072 5,099 24,999 124 0 0 3,442 225,736 $210,000 5,000 25,000 500 20,000 15,000 5,000 280,500 $195,000 0 24,999 129 20,000 15,000 5,964 261,092 Total Legal Department $351,700 $225,736 $280,500 $261,092 Acct No. 18 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $200,000 5,000 25,000 500 3,000 3,000 7,500 244,000 -4.76% 0.00% 0.00% 0.00% -85.00% -80.00% 50.00% -13.01% $200,000 5,000 25,000 500 3,000 3,000 3,000 239,500 $200,000 5,000 25,000 500 20,000 15,000 3,000 268,500 $244,000 -13.01% $239,500 $268,500 City of Pickerington, Ohio 101 General Fund 711 and 712 City Manager Acct No. Manager's Administrative Assistant Personal Services 101.711.51100 Salaries and Wages 101.711.51210 Retirement Benefits 101.711.51300 Insurance 101.711.52200 Professional Development Subtotal Personal Services 101.711.54100 Supplies and Materials Office Supplies Subtotal Supplies and Materials Total Manager's Administrative Assistant Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $31,917 4,931 12,063 158 49,069 $32,272 4,986 4,700 115 42,073 $33,050 5,150 5,100 900 44,200 $30,123 4,699 4,182 600 39,604 $30,948 4,782 5,703 1,000 42,433 -6.36% -7.15% 11.82% 11.11% -4.00% $31,412 4,853 6,387 1,000 43,653 $31,883 4,926 7,154 1,000 44,963 509 509 391 391 575 575 575 575 750 750 30.43% 30.43% 773 773 796 796 49,578 42,464 44,775 40,179 43,183 -3.56% 44,425 45,759 50,942 15,200 5,597 7,767 6,022 85,528 63,000 9,600 9,820 11,564 752 94,736 79,200 6,000 10,100 13,200 4,000 112,500 79,827 6,000 10,537 11,907 1,000 109,271 80,000 6,000 10,550 13,409 4,500 114,459 1.01% 0.00% 4.46% 1.58% 12.50% 1.74% 80,000 6,000 10,550 15,018 4,500 116,068 80,000 6,000 10,550 16,820 4,500 117,870 City Manager 101.712.51100 101.712.51113 101.712.51210 101.712.51300 101.712.52200 Personal Services Salaries and Wages Contract Benefits Retirement Benefits Insurance Professional Development Subtotal Personal Services 101.712.53410 Contractual Services Professional Services Subtotal Contractual Services 843 843 1,895 1,895 4,050 4,050 3,000 3,000 3,500 3,500 -13.58% -13.58% 3,605 3,605 3,713 3,713 101.712.54100 Supplies and Materials Office Supplies Subtotal Supplies and Materials 824 824 859 859 1,000 1,000 575 575 1,000 1,000 0.00% 0.00% 1,030 1,030 1,061 1,061 87,195 97,490 117,550 112,846 118,959 1.20% 120,703 122,644 $136,773 $139,954 $162,325 $153,025 $162,142 -0.11% $165,128 $168,403 Total City Manager Total City Manager Department 19 City of Pickerington, Ohio 101 General Fund 706, 714, 718 and 720 Human Resources Department % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $48,411 0 7,480 8,188 64,079 5.59% 0.00% 3.96% -59.86% -12.75% $49,137 0 7,592 9,171 65,900 $49,874 0 7,706 10,271 67,851 225 225 850 850 41.67% 41.67% 876 876 902 902 74,045 71,717 64,929 -12.31% 66,775 68,753 67,600 8,136 13,374 576 89,686 55,000 9,150 15,000 1,700 80,850 53,288 7,461 13,570 850 75,169 68,258 10,547 15,590 2,800 97,195 24.11% 15.27% 3.93% 64.71% 20.22% 69,282 10,705 17,461 1,500 98,948 70,322 10,866 19,556 2,800 103,543 14,315 0 182 102 14,599 13,944 103 29 1,605 15,681 16,100 300 400 5,500 22,300 14,000 1,500 100 5,500 21,100 17,500 1,500 100 7,000 26,100 8.70% 400.00% -75.00% 27.27% 17.04% 18,025 1,500 100 7,210 26,835 18,566 1,500 100 7,426 27,592 1,014 564 1,578 1,072 761 1,833 1,625 400 2,025 1,250 250 1,500 1,500 400 1,900 -7.69% 0.00% -6.17% 1,545 400 1,945 1,591 400 1,991 Total Human Resources Department 103,663 107,200 105,175 97,769 125,195 19.04% 127,728 133,127 Total Human Resources Department $219,781 $178,124 $179,220 $169,486 $190,124 6.08% $194,503 $201,880 Acct No. Administrative Support Personal Services 101.714.51100 Salaries and Wages 101.714.51101 Overtime 101.714.51210 Retirement Benefits 101.714.51300 Insurance Subtotal Personal Services 101.714.54100 Supplies and Materials Office Supplies Subtotal Supplies and Materials Total Administrative Support Human Resources Department Personnel Services 101.720.51100 Salaries and Wages 101.720.51210 Retirement Benefits 101.720.51300 Insurance 101.720.52200 Professional Development Subtotal Personal Services 101.720.53410 101.720.53412 101.720.53413 101.720.53430 Contractual Services Professional Services Employee Recognition Volunteer Recognition Training Subtotal Contractual Services 101.720.54100 101.720.54232 Supplies and Materials Office Supplies Condolences/ Remembrances Subtotal Supplies and Materials Actual 2010 Actual 2011 Revised Budget 2012 $80,161 0 12,351 23,220 115,732 $44,826 71 6,913 19,086 70,896 $45,850 0 7,195 20,400 73,445 $48,860 0 7,922 14,710 71,492 386 386 28 28 600 600 116,118 70,924 65,281 9,211 12,622 372 87,486 20 Estimated 2012 Proposed 2013 City of Pickerington, Ohio 101 General Fund 721 Public Information Department Acct No. Actual 2010 Public Information Department Personal Services 101.721.51100 Salaries and Wages 101.721.51210 Retirement Benefits 101.721.51240 Medicare 101.721.51240 Unemployment Subtotal Personal Services Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $0 0 0 0 0 $0 0 0 0 0 $0 0 0 4,500 4,500 $0 0 0 0 0 $12,000 1,700 200 0 13,900 100.00% 100.00% 100.00% -100.00% 208.89% $12,180 1,726 0 0 13,906 $12,363 1,751 0 0 14,114 $4,500 23,500 11,098 39,098 $2,190 12,000 9,793 23,983 $12,010 870 11,620 24,500 $12,010 1,000 12,000 25,010 $4,000 2,500 12,000 18,500 -66.69% 187.36% 3.27% -24.49% $4,120 2,575 12,360 19,055 $4,244 2,652 12,731 19,627 101.721.53410 101.721.53411 101.721.53700 Contractual Services Website Professional Services Advertising Subtotal Contractual Services 101.721.54231 Supplies and Materials Promotional Items Subtotal Supplies and Materials 0 0 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 101.721.55210 Capital Equipment Subtotal Capital 0 0 0 0 0 0 0 0 17,500 17,500 100.00% 100.00% 0 0 0 0 $39,098 $23,983 $29,000 $25,010 $49,900 72.07% $19,055 $19,627 Total Public Information Department 21 City of Pickerington, Ohio 101 General Fund 799 Engineering Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $83,217 12,910 11,624 1,325 109,076 $22,584 3,585 5,976 1,850 33,995 $43,500 6,650 6,258 3,250 59,658 $43,902 6,946 4,906 3,250 59,004 $51,777 7,978 10,810 3,000 73,566 19.03% 19.98% 72.74% -7.69% 23.31% $49,401 8,098 12,107 6,000 75,606 $50,142 8,098 13,560 6,000 77,800 8,400 29,378 37,778 1,407 43,140 44,547 3,400 60,000 63,400 3,400 50,000 53,400 5,000 25,000 30,000 47.06% -58.33% -52.68% 5,150 60,000 65,150 5,305 60,000 65,305 1,300 1,300 1,261 1,261 2,000 2,000 2,000 2,000 3,000 3,000 50.00% 50.00% 3,090 3,090 3,183 3,183 148,154 79,803 125,058 114,404 106,566 -14.79% 143,846 146,287 Engineering Department - Construction Inspection Engineers Personal Services 101.799.51101 Salaries and Wages 93,610 101.799.51110 Overtime - Inspection Engineers 0 101.799.51211 Retirement Benefits 14,431 101.799.51310 Insurance 33,813 101.799.51410 Uniforms 151 101.799.52310 Professional Development 283 Subtotal Personal Services 142,288 94,646 536 14,659 37,475 150 250 147,716 96,500 4,000 15,750 42,000 1,000 1,250 160,500 96,140 0 14,782 38,623 150 1,000 150,695 90,357 4,000 14,579 39,946 500 1,000 150,382 -6.37% 0.00% -7.44% -4.89% -50.00% -20.00% -6.30% 91,712 500 14,798 44,740 500 1,000 153,250 93,088 500 15,020 50,108 500 1,000 160,216 Acct No. Engineering Department - Staff Engineering Personal Services 101.799.51100 Salaries and Benefits 101.799.51210 Retirement Benefits 101.799.51300 Insurance 101.799.52300 Professional Development Subtotal Personal Services 101.799.53220 101.799.53448 Contractual Services Professional Services Engineer - Consulting Services Subtotal Contractual Services 101.799.54100 Supplies and Materials Office Supplies Subtotal Supplies and Materials Total Staff Engineers 101.799.53221 101.799.53513 Contractual Services Professional Services Vehicle Maintenance Repair Subtotal Contractual Services 5,774 2,721 8,495 4,097 996 5,093 6,600 5,000 11,600 500 4,000 4,500 6,500 5,000 11,500 -1.52% 0.00% -0.86% 6,695 5,150 11,845 6,896 5,305 12,200 101.799.54110 101.799.57210 Supplies and Materials Office Supplies Gasoline Rotary Subtotal Supplies and Materials 744 3,369 4,113 565 4,125 4,690 2,000 5,000 7,000 1,000 4,000 5,000 3,000 5,000 8,000 50.00% 0.00% 14.29% 3,090 5,150 8,240 3,183 5,305 8,487 154,896 157,499 179,100 160,195 169,882 -5.15% 173,335 180,904 $303,050 $237,302 $304,158 $274,599 $276,448 -9.11% $317,181 $327,191 Total Construction Inspection Engineers Total Engineering Department 22 City of Pickerington, Ohio 101 General Fund 901 Transfers/Advances/Reimbursements/Refunds Acct No. Actual 2010 Reimbursements/Refunds 101.751.57310 Refunds - Miscellaneous 101.901.57109 School District TIF Payment Subtotal Reimbursements/ Refunds Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $17,008 13,715 30,723 $202 44,685 44,887 $4,500 16,000 20,500 $1,000 46,000 47,000 $1,500 0 1,500 -66.67% -100.00% -92.68% $1,500 0 1,500 $1,500 0 1,500 325,000 17,538 20,000 329,114 173,970 2,150,000 125,000 74,072 39,590 177,639 0 0 89,990 8,000 0 3,529,913 350,000 29,375 0 171,250 213,500 2,116,137 127,000 202,500 2,500 0 0 0 393,004 7,981 0 3,613,247 436,000 42,751 40,000 177,063 351,125 2,425,000 123,750 0 204,750 0 45,000 901,000 393,524 53,274 0 5,193,236 400,000 34,063 25,000 154,375 351,125 2,250,000 295,125 0 204,750 0 45,000 650,000 393,524 32,603 0 4,835,565 450,000 20,187 40,000 124,873 215,860 2,875,000 43,400 0 0 0 0 722,500 6,018 0 0 4,497,838 3.21% -52.78% 0.00% -29.48% -38.52% 18.56% -64.93% 0.00% -100.00% 0.00% -100.00% -19.81% -98.47% -100.00% 0.00% -13.39% 500,000 19,300 40,000 125,250 260,950 3,000,000 92,881 0 0 0 0 250,000 6,528 0 51,931 4,346,840 500,000 19,100 40,000 123,550 261,050 3,175,000 198,288 0 0 0 0 325,000 183,038 0 82,538 4,907,564 Advances Advance to Diley Road Improvement Advance to WPCLF - Water Subtotal Advances 60,000 0 60,000 0 722,880 722,880 0 0 0 0 0 0 0 0 0 0.00% 0.00% 0.00% 0 0 0 0 0 0 Total Transfers/Advances/Reimbursements/Refunds $3,620,636 $4,381,014 $5,213,736 $4,882,565 $4,499,338 -13.70% $4,348,340 $4,909,064 Transfers 101.901.57110 101.901.57112 101.901.57114 101.901.57117 101.901.57118 101.901.57120 101.901.57121 101.901.57123 101.901.57124 101.901.57125 101.901.57150 101.901.57160 101.901.57165 101.901.57186 101.901.57187 101.901.59240 101.901.59250 Park Debt Retirement - Center Street Urban Forestry Debt Retirement - Courtright Road Debt Retirement - Police Facilities Police Debt Retirement - Street Improvement Debt Retirement - Diley Rd Improvement Debt Retirement - Traffic Light Debt Retirement - Park Land Street Capital Improvement Street Debt Retirement - SIB Loan Debt Retirement - TIF Old Town Debt Retirement - TIF Windmiller/ Diley Subtotal Transfers 23 City of Pickerington, Ohio Street Fund Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $79,584 119,155 497,090 695,829 $78,457 153,210 484,360 716,027 $76,000 100,000 515,000 691,000 $80,581 101,114 475,727 657,422 $78,000 100,000 500,000 678,000 2.63% 0.00% -2.91% -1.88% $78,000 100,000 500,000 678,000 $78,000 100,000 500,000 678,000 0 626 100 3,097 11,673 0 4,286 19,782 9,165 474 40 4,038 10,553 0 239 24,509 0 350 0 3,500 0 725,000 0 728,850 0 350 2,646 8,538 2,495 695,000 892 709,921 0 350 0 5,000 0 722,500 0 727,850 0.00% 0.00% 0.00% 42.86% 0.00% -0.34% 0.00% -0.14% 0 300 0 5,000 0 250,000 0 255,300 0 300 0 5,000 0 325,000 0 330,300 Total Revenues 715,611 740,536 1,419,850 1,367,343 1,405,850 -0.99% 933,300 1,008,300 201.602.51100 201.602.51101 201.602.51104 201.602.51105 201.602.51210 201.602.51211 201.602.51300 201.602.51310 201.602.51400 201.602.51500 201.602.52200 Personal Services Salaries and Wages - AFSCME Overtime - AFSCME Salaries and Wages - Nonunion Overtime Retirement Benefits - AFSCME Retirement Benefits - Nonunion Insurance - Nonunion Insurance - AFSCME Uniforms Worker's Compensation Professional Development Subtotal Personal Services 158,187 27,969 29,764 667 29,058 4,154 7,903 48,790 3,936 2,824 410 313,662 162,282 10,800 28,823 274 26,733 4,182 8,450 51,722 3,736 4,506 347 301,855 169,500 17,500 34,540 3,000 30,700 6,750 9,500 73,500 6,900 6,309 1,700 359,899 166,240 7,604 30,745 0 24,810 4,337 8,712 72,673 1,549 5,031 417 322,118 173,552 10,500 46,758 1,500 28,736 7,249 10,010 83,471 2,655 6,000 1,000 371,431 2.39% -40.00% 35.37% -50.00% -6.40% 7.39% 5.37% 13.57% -61.52% -4.90% -41.18% 3.20% 176,155 11,000 47,459 1,500 29,168 7,358 11,211 93,488 3,000 6,600 1,000 387,939 178,798 11,000 48,171 1,500 29,605 7,468 12,557 104,706 3,000 7,260 1,000 405,064 201.699.53110 201.602.53407 201.602.53408 201.602.53410 201.602.53413 201.602.53510 201.602.53513 201.602.53530 201.699.53610 Contractual Services Utilities Mowing Contract Pavement Striping Contract Professional Services Crack Sealing Equipment Maintenance Vehicle Maintenance/ Repair Annual Street Resurfacing Insurance - General Liability Subtotal Contractual Services 17,362 6,484 3,498 53,537 0 17,366 18,482 186,793 10,575 $314,097 15,638 0 2,188 81,862 1,875 11,493 18,347 1,680 14,656 $147,739 19,600 5,000 25,000 110,750 20,000 18,000 22,000 586,000 15,918 $822,268 16,929 2,448 21,412 70,793 67,948 13,500 18,094 585,934 17,901 814,959 18,300 8,500 50,000 84,000 20,000 18,000 28,000 500,000 21,839 748,639 -6.63% 70.00% 100.00% -24.15% 0.00% 0.00% 27.27% -14.68% 37.20% -8.95% 18,849 8,755 25,000 86,520 20,000 18,540 28,840 0 26,644 233,148 19,414 9,018 25,000 89,116 20,000 19,096 29,705 0 32,505 243,855 (continued) Acct No. Revenues 201.000.41600 201.000.42400 201.000.42600 Intergovernmental Revenue Permissive Tax Motor Vehicle License Fees Motor Vehicle Gas Tax Subtotal Intergovernmental Revenue 201.000.48100 201.000.48200 201.000.48400 201.000.48441 201.000.48800 201.000.49110 201.000.49900 Other Revenue Sale of Capital Assets Interest Miscellaneous Insurance Employee Contribution Reimbursements Transfers from the General Fund Insurance Reimbursement Subtotal Other Revenue Expenditures 24 City of Pickerington, Ohio Street Fund (Continued) Acct No. Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 201.603.54200 201.602.54230 201.602.54250 201.602.54311 201.602.54320 201.602.57200 Supplies and Materials Salt Miscellaneous Supplies Miscellaneous Equipment Vehicle / Equipment Replacement Facility Maintenance Gasoline Rotary Subtotal Supplies and Materials $73,864 45,981 7,936 7,423 847 28,565 164,616 $97,071 42,239 16,074 3,221 1,562 28,170 188,337 $60,000 64,998 21,000 53,000 3,200 30,100 232,298 $32,598 43,000 18,200 33,000 678 24,341 151,817 $60,000 50,000 37,200 32,548 3,200 32,000 214,948 0.00% -23.07% 77.14% -38.59% 0.00% 6.31% -7.47% $60,000 45,000 25,000 35,000 2,500 32,960 200,460 $60,000 45,000 25,000 35,000 2,500 33,949 201,449 201.602.55201 201.602.55206 201.602.55208 201.602.55210 201.607.55527 201.602.55300 Capital Traffic Lights ODOT Safety Grant Engineering Phone/ Network Lease Equipment Equipment Purchase Sidewalks Building/ Structures/Infrastructure Subtotal Capital 20,400 0 3,336 24,645 9,414 8,803 66,598 13,592 7,640 3,420 0 4,242 0 28,894 81,000 100,000 3,600 25,000 25,000 0 234,600 13,592 0 2,280 23,830 24,000 0 63,702 30,000 0 2,500 44,452 25,000 65,000 166,952 -62.96% -100.00% -30.56% 77.81% 0.00% 100.00% -28.84% 20,000 0 3,800 19,452 15,000 10,000 68,252 20,000 0 4,000 19,452 15,000 90,000 148,452 858,973 666,825 1,649,065 1,352,596 1,501,971 -8.92% 889,798 998,820 (143,362) 73,711 (229,215) 14,747 (96,121) -58.07% 43,502 9,480 436,610 293,248 366,959 366,959 381,706 4.02% 285,586 329,087 $293,248 $366,959 $137,744 $381,706 $285,586 107.33% $329,087 $338,567 Total Expenditures Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 25 City of Pickerington, Ohio State Highway Fund Acct No. Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 202.000.42400 202.000.42600 Intergovernmental Revenue Motor Vehicle License Fees Motor Vehicle Gasoline Tax Subtotal Intergovernmental Revenue 202.000.48200 202.000.48441 202.000.49310 Other Revenue Interest Insurance Employee Contribution Reimbursements Subtotal Other Revenue $9,661 40,273 49,934 $12,423 39,272 51,695 $8,000 43,000 51,000 $8,404 37,599 46,003 $8,000 38,000 46,000 0.00% -11.63% -9.80% $8,000 38,000 46,000 $8,000 38,000 46,000 61 302 0 363 44 397 361 802 5 350 0 355 45 508 378 931 5 400 0 405 0.00% 14.29% 0.00% 14.08% 0 400 0 400 0 400 0 400 Total Revenues 50,297 52,497 51,355 46,934 46,405 -9.64% 46,400 46,400 202.699.51100 202.699.51110 202.699.51210 202.699.51300 202.699.51500 Personal Services Salaries and Wages - AFSCME Salaries and Wages - Seasonal Employees Retirement Benefits Insurance Worker's Compensation Subtotal Personal Services 11,090 3,789 2,291 4,247 137 21,554 10,674 0 1,636 4,702 290 17,302 12,500 1,500 2,850 5,200 406 22,456 10,600 0 1,500 4,845 348 17,293 11,491 0 1,776 5,565 400 19,232 -8.07% -100.00% -37.68% 7.02% -1.48% -14.36% 11,663 0 1,803 6,233 440 20,139 11,838 0 1,830 6,981 484 21,133 202.605.53110 Contractual Services Utilities Subtotal Contractual Services 7,149 7,149 7,697 7,697 8,900 8,900 7,800 7,800 9,900 9,900 11.24% 11.24% 10,197 10,197 10,503 10,503 202.603.54200 202.605.54240 Supplies and Materials Salt Miscellaneous Supplies Subtotal Supplies and Materials 32,036 973 33,009 17,929 0 17,929 20,000 1,500 21,500 0 1,200 1,200 20,000 1,500 21,500 0.00% 0.00% 0.00% 20,600 0 20,600 21,218 0 21,218 202.602.55515 Capital Culvert Design SR 256 Subtotal Capital 0 0 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 61,712 42,928 52,856 26,293 50,632 0.00% 50,936 52,854 (11,415) 9,569 (1,501) 20,641 (4,227) (4,536) (6,454) 44,710 33,295 42,864 42,864 63,505 48.15% 59,278 54,742 $33,295 $42,864 $41,363 $63,505 $59,278 43.31% $54,742 $48,289 Expenditures Total Expenditures Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 26 (0) City of Pickerington, Ohio State Route 256 Fund Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $117,523 117,523 $117,685 117,685 $115,000 115,000 $117,871 117,871 $115,000 115,000 0.00% 0.00% $115,000 115,000 $115,000 115,000 Total Revenues 117,523 117,685 115,000 117,871 115,000 0.00% 115,000 115,000 Transfers Transfer to Debt Service Subtotal Transfers 200,000 200,000 100,000 100,000 100,000 100,000 100,000 100,000 100,000 100,000 0.00% 0.00% 100,000 100,000 100,000 100,000 Total Expenditures 200,000 100,000 100,000 100,000 100,000 0.00% 100,000 100,000 Net Change in Fund Balance (82,477) 17,685 15,000 17,871 15,000 0.00% 15,000 15,000 Estimated Fund Balance, January 1 190,699 108,222 125,907 125,907 143,778 14.19% 158,778 173,778 $108,222 $125,907 $140,907 $143,778 $158,778 12.68% $173,778 $188,778 Acct No. Revenues 203.000.41600 Intergovernmental Revenue Permissive Tax Subtotal Intergovernmental Revenue Expenditures 203.901.57190 Total Available Funds 27 City of Pickerington, Ohio Parks and Recreation Fund Acct No. Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 204.000.45318 204.000.45312 204.000.45370 Charges for Services Miscellaneous Recreation Classes Adult Leagues Facility Rental Subtotal Charges for Services $62,937 20,100 6,490 89,527 $73,658 16,425 8,009 98,092 $65,400 18,000 6,000 89,400 $64,000 14,000 14,000 92,000 $75,000 15,000 8,000 98,000 14.68% -16.67% 33.33% 9.62% $70,000 15,000 8,000 93,000 $70,000 15,000 8,000 93,000 204.000.48100 204.000.48309 204.000.48310 204.000.48317 204.000.48400 204.000.48404 204.000.48415 204.000.48441 204.000.48450 204.000.49150 204.000.49310 Other Revenue Sale of Capital Assets Movie Donations Band Donation 4th of July Donation Miscellaneous Receipts Community Garden Plot Sale Security Deposits Received Insurance Employee Contribution 7-Up Vending Income Transfers from General Fund Refunds/ Reimbursements Subtotal Other Revenue 0 2,739 20,600 0 100 1,080 0 2,819 2,255 325,000 0 354,593 1,025 3,135 18,000 4,775 300 1,510 500 3,175 204 350,000 368 382,992 0 3,000 18,000 0 100 500 300 3,500 150 415,000 200 440,750 0 3,365 18,000 0 0 1,670 0 3,005 500 400,000 6,000 432,540 0 3,000 18,000 0 0 1,200 0 3,500 500 450,000 7,000 483,200 0.00% 0.00% 0.00% 0.00% 0.00% 140.00% 0.00% 0.00% 233.33% 8.43% 3400.00% 9.63% 0 3,000 18,000 0 0 500 0 3,570 500 500,000 500 526,070 0 3,000 18,000 0 0 500 0 3,641 500 500,000 500 526,141 Total Revenues 444,120 481,084 530,150 524,540 581,200 9.63% 619,070 619,141 Personal Services Salaries and Wages - Nonunion Salaries and Wages - AFSCME Overtime - AFSCME Overtime - Nonunion Retirement Benefits - Nonunion Retirement Benefits - AFSCME Insurance - Nonunion Insurance - AFSCME Uniforms - AFSCME Uniforms - Nonunion Workers Compensation Professional Development Subtotal Personal Services 121,920 40,674 5,178 757 16,774 8,952 23,920 16,886 1,075 150 2,208 40 238,534 119,210 41,223 5,816 2,374 18,622 9,088 21,841 18,722 1,870 64 2,424 1,109 242,363 137,850 43,400 3,750 1,000 20,300 9,450 30,900 19,900 2,000 750 3,393 1,850 274,543 136,846 41,782 6,000 1,000 18,640 7,701 26,755 19,379 1,200 0 3,178 1,300 263,781 162,266 43,493 6,500 1,000 25,074 8,336 33,514 22,259 2,000 750 3,500 3,500 312,191 17.71% 0.21% 73.33% 0.00% 23.52% -11.79% 8.46% 11.85% 0.00% 0.00% 3.15% 89.19% 13.71% 164,700 44,145 6,000 1,000 25,450 8,461 37,536 24,930 2,000 750 3,850 2,500 321,322 167,170 44,807 6,000 1,000 25,832 8,588 42,040 27,922 2,000 750 4,235 2,500 332,844 10,006 0 36,164 9,178 13,331 24,365 2,498 46,140 11,000 0 42,970 15,272 7,675 9,740 3,011 53,565 11,500 500 58,770 19,950 14,980 8,000 3,500 65,000 9,200 0 45,000 16,000 7,500 2,448 2,886 55,000 11,500 500 65,000 20,000 15,000 0 4,000 75,000 0.00% 0.00% 10.60% 0.25% 0.13% -100.00% 14.29% 15.38% 11,845 0 66,950 17,500 15,000 0 3,500 70,000 12,200 0 68,959 18,500 15,000 0 3,500 70,000 (continued) Expenditures 204.301.51100 204.302.51100 204.302.51101 204.302.51103 204.301.51210 204.302.51210 204.301.51300 204.302.51300 204.302.51400 204.302.51409 204.302.51500 204.301.52200 204.302.53110 204.301.53210 204.301.53410 204.302.53410 204.301.53411 204.302.53411 204.302.53412 204.301.53422 Contractual Services Utilities - Parks Utilities - Recreation Professional Services - Recreation Professional Services - Parks League Officials - Recreation Contract Mowing Contract Landscaping Miscellaneous Recreation Classes 28 City of Pickerington, Ohio Parks and Recreation Fund (Continued) Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 $0 1,320 9,460 5,871 4,606 0 162,939 $161 3,314 26,989 9,103 6,332 700 189,832 $500 4,500 56,100 9,887 9,000 600 262,787 $0 1,200 36,000 7,537 7,500 0 190,271 $500 4,500 45,000 8,291 10,000 0 259,291 0.00% 0.00% -19.79% -16.15% 11.11% -100.00% -1.33% $500 4,500 40,000 9,120 7,500 0 246,415 $500 4,500 40,000 10,032 7,500 0 250,691 10,019 3,923 7,630 21,572 18,207 19,536 6,951 44,694 14,205 30,495 7,000 51,700 9,000 17,000 4,500 30,500 18,000 31,000 6,000 55,000 26.72% 1.66% -14.29% 6.38% 18,000 18,000 5,000 41,000 18,000 18,000 5,000 41,000 990 0 0 990 1,000 0 0 1,000 1,200 6,000 0 7,200 1,200 0 0 1,200 1,200 0 10,000 11,200 0.00% 100.00% 100.00% 55.56% 1,200 0 0 1,200 1,200 0 0 1,200 424,035 477,889 596,230 485,752 637,682 6.95% 609,937 625,734 Net Change in Fund Balance 20,085 3,195 (66,080) 38,788 (56,482) -14.53% 9,133 (6,593) Estimated Fund Balance, January 1 71,834 91,919 95,114 95,114 133,902 40.78% 77,420 86,553 $91,919 $95,114 $29,034 $133,902 $77,420 166.65% $86,553 $79,960 Acct No. 204.301.53510 204.302.53513 204.302.53520 204.302.53610 204.301.57300 204.301.57310 Equipment Maintenance - Recreation Vehicle Maintenance/ Repair Facility Equipment Maintenance/ Repair Insurance - General Liability Program Refunds Security Deposits Refunded Subtotal Contractual Services 204.301.54230 204.302.54230 204.302.57200 Supplies and Materials Miscellaneous Supplies - Recreation Miscellaneous Supplies - Parks Gasoline Rotary Subtotal Supplies and Materials 204.302.55209 204.302.55210 204.302.55220 Capital Gator Trade-in Program Equipment - Parks Vehicle/Mower Subtotal Capital Total Expenditures Total Available Funds 29 Projected 2015 City of Pickerington, Ohio Computer Fund Special Revenue Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Computer Fund Fines and Forfeitures. Computer related expenses for the clerk of courts office. Mayor's Court Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $9,508 9,508 $11,527 11,527 $10,000 10,000 $9,780 9,780 $9,750 9,750 -2.50% -2.50% $9,750 9,750 $9,750 9,750 Total Revenues 9,508 11,527 10,000 9,780 9,750 -2.50% 9,750 9,750 205.100.53410 205.100.53220 205.100.53510 Contractual Services Leads Contract Communications Maintenance Equipment Subtotal Contractual Services 450 0 5,809 6,259 450 321 6,147 6,918 600 880 6,020 7,500 600 465 4,913 5,978 500 500 6,500 7,500 -16.67% -43.18% 7.97% 0.00% 515 515 7,000 8,030 530 530 7,500 8,561 205.100.54230 205.100.54240 Supplies and Materials Miscellaneous Supplies Miscellaneous Equipment Subtotal Supplies and Materials 0 0 0 454 0 454 1,000 6,200 7,200 462 1,319 1,781 1,000 2,000 3,000 0.00% -67.74% -58.33% 1,000 2,000 3,000 1,000 2,000 3,000 205.100.55211 Capital CMI Upgrade Subtotal Capital 2,800 2,800 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Expenditures 9,059 7,372 14,700 7,759 10,500 -28.57% 11,030 11,561 449 4,155 (4,700) 2,021 -84.04% (1,280) (1,811) 17,060 17,509 21,664 21,664 23,685 9.33% 22,935 21,655 $17,509 $21,664 $16,964 $23,685 $22,935 35.20% $21,655 $19,844 Acct No. Actual 2010 Revenues 205.000.46120 Fines and Forfeitures Court Fines Subtotal Fines and Forfeitures Expenditures Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 30 (750) City of Pickerington, Ohio OMVI Education Fund Special Revenue Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. OMVI Education Fund Fines and Forfeitures. Expenses related to informing the public of the laws governing the operation of a motor vehicle while under the influence of alcohol. Police Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 206.000.46120 Fines and Forfeitures Court Fines Subtotal Fines and Forfeitures Total Revenues $1,140 1,140 $680 680 $600 600 $730 730 $700 700 16.67% 16.67% $700 700 $700 700 1,140 680 600 730 700 16.67% 700 700 0 746 0 746 0 360 35 395 375 1,000 150 1,525 50 500 150 700 375 500 150 1,025 0.00% -50.00% 0.00% -32.79% 100 500 150 750 100 500 150 750 Expenditures 206.100.53410 206.100.53430 206.100.53920 Contractual Services Professional Services Education DARE Memberships Subtotal Contractual Services 206.100.54230 Supplies and Materials Miscellaneous Supplies Subtotal Supplies and Materials 1,392 1,392 333 333 2,500 2,500 1,000 1,000 1,500 1,500 -40.00% -40.00% 1,500 1,500 1,000 1,000 Total Expenditures 2,138 728 4,025 1,700 2,525 -37.27% 2,250 1,750 (48) (3,425) (1,825) -46.72% (1,550) (1,050) Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds (998) (970) 7,240 6,242 6,194 6,194 5,224 -15.66% 3,399 1,849 $6,242 $6,194 $2,769 $5,224 $3,399 22.75% $1,849 $799 31 City of Pickerington, Ohio Law Enforcement Seizure Fund Special Revenue Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Law Enforcement Seizure Fund License impoundment fees from the Burearu of Motor Vehicles. Expenses related to drug enforcement seizure programs. Police Department Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 207.000.42900 207.000.43000 Intergovernmental Revenue License Impoundment - BMV Major Crimes Unit Income Distribution Subtotal Intergovernmental Revenue 207.000.48100 Other Revenue Sale of Capital Assets Subtotal Other Revenue $175 20,000 20,175 $665 20,000 20,665 $420 0 420 $550 5,993 6,543 $400 0 400 -4.76% 0.00% -4.76% $400 0 400 $400 0 400 0 0 1,900 1,900 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Revenues 20,175 22,565 420 6,543 400 -4.76% 400 400 207.100.54230 Supplies and Materials Miscellaneous Supplies Subtotal Supplies and Materials 18,176 18,176 21,435 21,435 3,000 3,000 3,000 3,000 3,000 3,000 0.00% 0.00% 1,500 1,500 1,500 1,500 207.100.55220 Capital Cruisers/ Equipment Subtotal Capital 0 0 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Expenditures 18,176 21,435 3,000 3,000 3,000 0.00% 1,500 1,500 Net Change in Fund Balance 1,999 1,130 (2,580) 3,543 (2,600) 0.78% (1,100) (1,100) Estimated Fund Balance, January 1 6,342 8,341 9,471 9,471 13,014 37.41% 10,414 9,314 $8,341 $9,471 $6,891 $13,014 $10,414 51.12% $9,314 $8,214 Expenditures Total Available Funds 32 City of Pickerington, Ohio Police Fund Acct No. Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget $1,427,707 6,152 1,433,859 $1,539,269 839 1,540,108 $1,435,000 0 1,435,000 $1,469,077 50 1,469,127 $1,435,000 0 1,435,000 165,958 1,999 16,137 40,868 580 225,542 170,119 1,999 5,488 16,086 540 194,232 160,000 2,000 0 5,000 750 167,750 172,190 0 0 5,000 0 177,190 169,000 0 0 11,786 0 180,786 5.63% -100.00% 0.00% 135.72% -100.00% 7.77% 169,000 0 0 5,000 0 174,000 169,000 0 0 5,000 0 174,000 Projected 2014 Projected 2015 0.00% $1,435,000 0.00% 0 0.00% 1,435,000 $1,435,000 0 1,435,000 Revenues 208.000.41100 208.000.41200 Taxes, Assessment & Related Revenue Property Tax - Real Estate Personal Property Tax Subtotal Tax Revenue 208.000.42800 208.000.42809 208.000.42810 208.000.44200 208.000.44250 Intergovernmental Revenue Homestead/ Rollback Public Utility Reimbursement Personal Property Tax Reimbursement DARE Grant CPT Reimbursement from State Subtotal Intergovernmental Revenue 208.000.45120 208.000.45122 208.000.45123 208.000.46210 Charges for Services School Contract Special Duty/ OT Task Force Festival Overtime Reimbursement 911 Wireless Fee Subtotal Charges for Services 45,944 393 5,000 35,353 86,690 53,176 6,362 0 44,457 103,995 53,000 0 0 36,000 89,000 60,264 0 0 41,630 101,894 56,000 0 0 38,000 94,000 5.66% 0.00% 0.00% 5.56% 5.62% 57,456 0 0 38,000 95,456 58,910 0 0 38,000 96,910 208.000.48100 208.000.48300 208.000.48310 208.000.48320 208.000.48400 208.000.48413 208.000.48420 208.000.48421 208.000.48441 208.000.48500 208.000.48520 Other Income Sale of Fixed Assets DARE Program Donation K-9 Unit Donation Donations Miscellaneous Revenue DARE Fundraisers DARE Golf Outing DARE Pop Machine Insurance Employee Contribution Police Reports Fingerprint Copies Subtotal Other Income 0 0 1,750 0 58 887 8,738 51 35,416 3,016 77,328 127,244 70 250 0 0 421 152 0 178 43,517 810 74,357 119,755 0 0 0 100 0 100 0 125 45,500 1,000 65,000 111,825 0 0 0 25 5,830 298 0 97 57,745 36 71,129 135,160 0 0 0 100 0 100 0 125 48,000 150 68,000 116,475 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 5.49% -85.00% 4.62% 4.16% 0 0 0 0 0 100 0 100 48,500 150 68,000 116,850 0 0 0 0 0 100 0 100 49,000 150 68,000 117,350 208.000.49150 208.000.49300 208.000.49310 208.000.49900 Transfers/ Reimbursements Transfers from the General Fund Refunds Electric Credits Insurance Reimbursements Subtotal Transfers/ Reimbursements 2,150,000 1,560 0 34,031 2,185,591 2,116,137 421 0 0 2,116,558 2,425,000 0 500 0 2,425,500 2,250,000 0 0 132 2,250,132 2,875,000 0 0 0 2,875,000 18.56% 0.00% -100.00% 0.00% 18.53% 3,000,000 0 0 0 3,000,000 3,175,000 0 0 0 3,175,000 Total Revenues 4,058,926 4,074,648 4,229,075 4,133,503 4,701,261 11.17% 4,821,306 4,998,260 Personal Services Salary and Wages - Nonunion Overtime - Nonunion Salaries and Wages - FOP Overtime - FOP Vacation Payout Sick Leave Sellback Salaries and Wages - AFSCME Dispatchers Overtime - AFSCME Dispatchers Retirement Benefits - AFSCME Retirement Benefits - Nonunion Retirement Benefits - FOP 408,143 362 1,499,299 75,969 5,781 8,789 312,073 11,222 49,542 74,043 330,645 391,898 386 1,553,817 79,038 0 17,831 315,162 15,522 50,242 70,950 341,372 415,766 2,500 1,634,150 79,500 8,000 10,000 337,700 16,000 52,200 88,900 360,050 405,033 1,500 1,600,721 86,500 0 8,500 331,207 14,695 51,369 87,836 341,389 423,623 2,500 1,731,060 80,000 8,000 10,809 356,280 16,000 57,887 86,959 385,918 1.89% 0.00% 5.93% 0.63% 0.00% 8.09% 5.50% 0.00% 10.89% -2.18% 7.18% 429,978 2,500 1,765,681 81,600 8,000 10,000 361,624 16,000 58,755 88,263 393,636 436,427 2,500 1,800,995 83,232 8,000 10,000 367,049 16,000 59,637 89,587 401,509 Expenditures 208.100.51100 208.100.51103 208.100.51110 208.100.51112 208.100.51116 208.100.51118 208.100.51120 208.100.51121 208.100.51210 208.100.51211 208.100.51220 (continued) 33 City of Pickerington, Ohio Police Fund (Continued) Acct No. 208.100.51300 208.100.51330 208.100.51340 208.100.51400 208.100.51410 208.100.51411 208.100.51412 208.100.51413 208.100.51500 208.100.51600 208.100.52200 208.100.53110 208.100.53410 208.100.53412 208.100.53419 208.100.53422 208.100.53430 208.100.53460 208.100.53480 208.100.53513 208.100.53520 208.100.53610 208.100.53620 Insurance - FOP Insurance - Nonunion Insurance - AFSCME Uniforms - FOP Uniforms - AFSCME Uniforms - Nonunion Uniform Accessories Uniform Cleaning/ Altering Workers Compensation Unemployment Professional Development Subtotal Personal Services Contractual Services Utilities Professional Services Webcheck/ Fingerprinting Leads 911 FOP - Grievances/ Arbitration Training - Officers Auditor/ Treasurer Fees Physicals Vehicle Maintenance/ Repair Facility Equipment Maintenance/ Repair General Liability Insurance Professional Liability Insurance Subtotal Contractual Services Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 $351,878 89,528 67,698 23,542 1,030 2,500 3,737 8,400 28,724 1,586 480 3,354,971 $380,901 96,843 63,083 15,301 1,928 3,000 3,930 7,400 34,953 0 290 3,443,847 $398,000 105,750 65,000 23,000 3,200 3,000 5,600 10,000 48,934 1,000 5,875 3,674,125 $402,062 103,979 51,641 20,000 3,200 3,000 5,600 10,000 42,195 0 5,000 3,575,427 47,126 24,233 58,818 54,996 0 10,859 25,187 8,046 28,068 21,417 18,325 8,500 305,575 48,571 39,645 58,444 55,948 664 8,319 30,005 8,476 31,148 38,203 23,244 9,000 351,667 60,600 42,225 59,000 60,000 4,000 10,000 31,000 10,000 40,000 24,300 25,120 9,000 375,245 50,250 45,225 59,000 60,000 4,000 10,000 23,820 10,000 40,000 21,300 25,120 9,000 357,715 34 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $490,023 119,442 83,932 20,000 3,200 3,000 5,600 10,800 48,934 0 5,875 3,949,843 23.12% 12.95% 29.13% -13.04% 0.00% 0.00% 0.00% 8.00% 0.00% -100.00% 0.00% 7.50% $548,826 133,775 94,004 20,000 3,200 3,000 5,600 10,000 53,827 0 6,000 4,094,270 $614,685 149,828 105,284 20,000 3,200 3,000 5,600 10,000 59,210 0 6,000 4,251,743 52,500 45,225 59,000 60,000 4,000 15,000 28,000 10,000 40,000 26,300 27,632 9,900 377,557 -13.37% 7.10% 0.00% 0.00% 0.00% 50.00% -9.68% 0.00% 0.00% 8.23% 10.00% 10.00% 0.62% 54,075 46,582 60,770 61,800 4,000 12,000 28,000 10,000 40,000 26,500 30,395 10,890 385,012 55,697 47,979 62,593 63,654 4,000 12,000 28,000 10,000 40,000 26,500 33,435 11,979 395,837 (continued) City of Pickerington, Ohio Police Fund (Continued) Acct No. Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 208.100.54211 208.100.54212 208.100.54230 208.100.54231 208.100.54232 208.100.54233 208.100.54238 208.200.54240 208.100.54241 208.100.54242 208.100.54318 208.100.54320 208.100.57200 Supplies and Materials Ammunition/ Firing Range Supplies DARE Program Miscellaneous Supplies Personal Radios Cruiser Radios Guns Employee Recognition/ Awards Picnic Miscellaneous Equipment - 911 System Miscellaneous Equipment Computers/ Software Cruiser Miscellaneous Equipment Facility Maintenance Supplies Gasoline Rotary Subtotal Supplies and Materials $2,121 15,901 34,279 1,777 1,165 2,934 160 0 7,087 3,342 19,059 10,398 60,050 158,273 $8,847 2,468 36,851 5,283 4,291 91 0 431 13,100 7,901 11,007 166 78,456 168,892 $11,400 5,000 39,000 3,300 2,300 4,150 800 20,000 10,300 4,354 17,000 500 85,400 203,504 $16,901 5,000 42,000 3,300 2,300 6,218 616 20,000 10,300 4,354 17,000 500 85,370 213,859 $6,000 5,000 42,000 4,500 6,500 4,150 800 20,000 10,300 4,354 5,000 500 90,000 199,104 -47.37% 0.00% 7.69% 36.36% 182.61% 0.00% 0.00% 0.00% 0.00% 0.00% -70.59% 0.00% 5.39% -2.16% $6,180 5,000 43,260 4,635 6,695 3,500 800 0 10,609 4,485 5,000 500 92,700 183,364 $6,365 5,000 44,558 4,774 6,896 3,500 800 0 10,927 4,619 5,000 500 95,481 188,421 208.200.55200 208.100.55204 208.100.55211 208.100.55215 208.100.55217 208.100.55218 208.100.55220 208.100.55210 Capital 911 Wireless Equipment Webcheck Equipment Audio/ Visual Equipment Recorder System Canine Purchase Phone/ Network Lease Equipment Cruisers/ Equipment Miscellaneous Equipment Subtotal Capital 0 10,117 15,658 13,728 15,848 81,566 0 136,917 0 0 5,048 0 0 15,636 19,790 0 40,474 63,500 0 10,500 26,400 0 16,948 89,029 5,000 211,377 63,500 0 10,500 6,723 0 16,948 89,029 5,000 191,700 0 0 10,500 0 0 18,000 107,000 4,000 139,500 0.00% 0.00% 0.00% 100.00% 0.00% 6.21% 20.19% -20.00% -34.00% 0 0 10,500 0 0 18,540 77,000 0 106,040 0 10,500 0 0 19,096 77,000 0 106,596 3,955,736 4,004,880 4,464,251 4,338,701 4,666,004 4.52% 4,768,686 4,942,597 Net Change in Fund Balance 103,190 69,769 (235,176) (205,198) 35,257 -114.99% 52,620 55,662 Estimated Fund Balance, January 1 372,162 475,352 545,121 545,121 339,923 -37.64% 375,180 427,800 $475,352 $545,121 $309,945 $339,923 $375,180 21.05% $427,800 $483,462 Total Expenditures Total Available Funds 35 City of Pickerington, Ohio Mandatory Drug Fund Special Revenue Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Mandatory Drug Fund Fines and Forfeitures. Law enforcement efforts pertaining to drug offenses. Police Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 209.000.46119 Fines and Forfeitures Court Fines Subtotal Fines and Forfeitures $140 140 $125 125 $125 125 $125 125 $125 125 0.00% 0.00% $125 125 $125 125 140 125 125 125 125 0.00% 125 125 Supplies and Materials Miscellaneous Supplies Subtotal Supplies and Materials 2,277 2,277 703 703 1,300 1,300 250 250 250 250 -80.77% -80.77% Total Expenditures 2,277 703 1,300 250 250 -80.77% 250 250 (2,137) (578) (1,175) (125) (125) -89.36% (125) (125) Total Revenues Expenditures 209.100.54230 Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 250 250 250 250 4,755 2,618 2,040 2,040 1,915 -6.13% 1,790 1,665 $2,618 $2,040 $865 $1,915 $1,790 106.94% $1,665 $1,540 36 City of Pickerington, Ohio Immobilization Fund Special Revenue Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Immobilization Fund Impoundment fees from the Bureau of Motor Vehicles. Law enforcement efforts. Police Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 213.000.42910 Intergovernmental Revenue Police Vehicle Impoundment Subtotal Intergovernmental Revenue $635 635 $0 0 $100 100 $0 0 $0 0 -100.00% -100.00% $0 0 $0 0 635 0 100 0 0 -100.00% 0 0 Supplies and Materials Miscellaneous Supplies Subtotal Supplies and Materials 0 0 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Expenditures 0 0 0 0 0 0.00% 0 0 Net Change in Fund Balance 635 0 100 0 0 -100.00% 0 0 Estimated Fund Balance, January 1 285 920 920 920 920 0.00% 920 920 $920 $920 $1,020 $920 $920 -9.80% $920 $920 Total Revenues Expenditures 213.100.54230 Total Available Funds 37 City of Pickerington, Ohio Urban Forestry Fund Special Revenue Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Urban Forestry Fund Developer deposits for tree planting. Tree planting expenses. Service Manager Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 214.000.44210 Intergovernmental Revenue Ash Tree Removal Grant & Canopy Restor. Subtotal Intergovernmental Revenue 214.000.46210 Fees and Permits Subdivision Trees Subtotal Fees and Permits 214.000.48441 214.000.49110 $0 0 $0 0 $0 0 $0 0 $10,000 10,000 100.00% 100.00% $0 0 $0 0 $31,078 31,078 $27,353 27,353 $26,000 26,000 $38,000 38,000 $35,000 35,000 34.62% 34.62% $30,000 30,000 $30,000 30,000 Other Revenue Insurance Employee Contribution Transfers from General Fund Subtotal Other Revenue 110 20,000 20,110 0 0 0 0 40,000 40,000 0 25,000 25,000 0 40,000 40,000 0.00% 0.00% 0.00% 0 40,000 40,000 0 40,000 40,000 Total Revenues 51,188 27,353 66,000 63,000 85,000 28.79% 70,000 70,000 214.498.51500 Personal Services Worker's Compensation Subtotal Personal Services 590 26,718 350 350 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 214.498.53300 214.498.53410 Contractual Services Equipment Rental Professional Services Subtotal Contractual Services 528 39,999 40,977 570 45,513 46,083 1,200 40,000 41,200 244 40,000 40,244 1,200 40,000 41,200 0.00% 0.00% 0.00% 1,200 40,000 41,200 1,200 40,000 41,200 214.498.54235 214.496.54240 Supplies and Materials Subdivision/Replacement Trees Arboretum Supplies Subtotal Supplies and Materials 14,997 294 15,291 14,428 0 14,428 31,500 1,000 32,500 30,000 0 30,000 30,000 1,000 31,000 -4.76% 0.00% -4.62% 30,000 1,000 31,000 30,000 1,000 31,000 Total Expenditures 82,986 60,861 73,700 70,244 72,200 -2.04% 72,200 72,200 (31,798) (33,508) (7,700) (7,244) 12,800 -266.23% (2,200) (2,200) 92,405 60,607 27,099 27,099 19,855 -26.73% 32,655 30,455 $60,607 $27,099 $19,399 $19,855 $32,655 68.33% $30,455 $28,255 Expenditures Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 38 City of Pickerington, Ohio Fleet Maintenance Fund Special Revenue Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Fleet Maintenance Fund Reimbursements from other funds for fuel purchased. Fuel expenses Finance Department Revised Budget 2012 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $0 0 0 0.00% 0.00% 0.00% $0 0 0 $0 0 0 0 0 0.00% 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 0 0 0 0.00% 0 0 Actual 2010 Actual 2011 Estimated 2012 $120,861 0 120,861 $140,728 15,477 156,205 $0 0 0 $0 0 0 Total Revenues 120,861 156,205 0 Supplies and Materials Gasoline Subtotal Supplies and Materials 113,339 113,339 165,945 165,945 Total Expenditures 113,339 165,945 Proposed 2013 Revenues 215.000.49900 215.000.49910 Other Revenue Gasoline Rotary Reimbursement MRDD Gasoline Rotary Reimbursement Subtotal Other Revenue Expenditures 215.602.54220 Net Change in Fund Balance 7,522 (9,740) 0 0 0 0.00% 0 0 Estimated Fund Balance, January 1 2,218 9,740 0 0 0 0.00% 0 0 $9,740 $0 $0 $0 $0 0.00% $0 $0 Total Available Funds 39 City of Pickerington, Ohio Debt Service Fund Debt Service Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Debt Service Fund Debt issuances and transfers from various funds. Principal and interest payments on outstanding debt. Finance Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 300.000.47201 300.000.47213 300.000.47216 300.000.47220 300.000.47221 300.000.47222 300.000.47310 300.000.47313 300.000.47316 300.000.47317 300.000.47330 300.000.47350 Note Proceeds Note Rollover - Municipal Building Note Rollover - Police Facilities Note Rollover - Courtright, Diley, Downtown Bond Proceeds Note Rollover - Traffic Control Device Note Rollover - Center Street Premium - Municipal Building Note Premium - Police Facilities Note Premium - Center Street Note Premium - Traffic Control Note Premium - Courtright, Diley, Downtown Premium on Notes/Bonds Subtotal Note Proceeds $130,000 200,000 1,700,000 0 200,000 350,000 862 1,326 2,321 0 12,597 1,473 2,799,905 $70,000 150,000 1,550,000 0 200,000 325,000 444 951 2,061 1,268 9,827 0 2,309,551 $35,000 100,000 1,415,000 10,030,000 180,000 295,000 350 750 1,500 1,000 8,500 654,036 12,721,136 $35,000 100,000 1,415,000 10,030,000 180,000 295,000 289 827 2,440 1,489 11,702 654,036 12,725,783 $0 0 0 0 0 0 0 0 0 0 0 0 0 -100.00% -100.00% -100.00% 0.00% -100.00% -100.00% -100.00% 100.00% -100.00% 100.00% -100.00% 0.00% -100.00% $0 0 0 0 0 0 0 0 0 0 0 0 0 $0 0 0 0 0 0 0 0 0 0 0 0 0 300.000.49110 300.000.49114 300.000.49115 300.000.49160 300.000.49171 300.000.49181 300.000.49182 300.000.49190 300.000.49191 300.000.49192 300.000.49195 300.000.49196 300.000.49198 300.000.49199 300.000.49200 300.000.49201 Transfers Transfer - From General - Courtright Notes/Bonds Transfer - From General - TIF Old Town Bonds Transfer - From General - TIF Windmiller Bonds Transfer - From General - East St. Bonds Transfer - From General - Diley Rd Notes Transfer - From St. Rt. 256 Highway Transfer - From General - SIB Loan Transfer - From General - Police Lease/ Notes/Bonds Transfer - From Police Impact Fee Fund Transfer - From Muni Bldg Impact Fee Fund Transfer - From General - Center Street Notes Transfer - From General - Traffic Control Notes Transfer - From Street Impact Fee Fund Transfer - From Sewer Capital for SIB Transfer - From Stormwater for SIB Transfer - From Water Capital for SIB Subtotal Transfers 329,114 0 0 125,000 74,072 200,000 89,990 173,970 90,000 52,714 17,538 39,590 100,000 0 0 0 1,632,744 171,250 0 0 127,000 202,500 100,000 393,004 213,500 75,000 61,625 29,375 2,500 55,000 100,000 100,000 0 1,630,754 154,375 0 0 295,125 0 100,000 393,524 351,125 50,000 35,875 34,063 204,750 50,000 126,474 48,636 47,011 1,890,958 154,375 0 0 295,125 0 100,000 393,524 351,125 50,000 35,875 34,063 204,750 50,000 126,474 48,636 47,011 1,890,958 124,873 0 0 43,400 0 100,000 6,018 215,860 100,000 0 20,187 0 50,000 126,474 48,637 0 835,449 -19.11% 100.00% 100.00% -85.29% 0.00% 0.00% -98.47% -38.52% 100.00% -100.00% -40.74% -100.00% 0.00% 0.00% 0.00% 100.00% -55.82% 125,250 0 51,931 40,950 0 100,000 6,528 260,950 50,000 0 19,300 0 50,000 126,474 48,637 0 880,020 123,550 0 82,538 115,750 0 100,000 183,038 261,050 50,000 0 19,100 0 50,000 0 0 0 985,026 Total Revenues 4,432,649 3,940,305 14,612,094 14,616,741 835,449 -94.28% 880,020 985,026 1,473 1,473 0 0 200,600 200,600 200,600 200,600 0 0 0.00% 0.00% 0 0 0 0 (continued) Expenditures 300.602.53420 Contractual Services Legal Fees/ Issuance Costs Subtotal Contractual Services 40 City of Pickerington, Ohio Debt Service Fund (Continued) Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Principal, Interest, and Note Rollovers Principal - Police Facility Note Note Rollover - Police Facility Note Principal - Police Facility Lease Note Rollover - Center Street Note Principal - TIF Windmiller Bonds Principal - East Street Bonds Principal - Courtright, Diley, Downtown Note Payment to Escrow Agent - 2004 Refunding Bonds Note Rollover - Municipal Building Note Principal - Municipal Building Note Principal - Center Street Note Note Rollover - Courtright, Diley, Downtown Note Rollover - Traffic Control Device Note Principal - SIB Loan Principal - Traffic Control Device Note Principal - Diley Road Note Interest - Police Facility Note Interest - Police Facility Lease Interest - TIF Windmiller Bonds Interest - East Street Bonds Interest - Courtright, Diley, Downtown Note Interest - Diley Rd Note Interest - Municipal Building Note Interest - Center Street Note Interest - Traffic Control Device Note Interest - SIB Loan Subtotal Principal, Interest, and Note Rollovers $40,000 200,000 176,000 350,000 0 60,000 300,000 0 130,000 50,000 25,000 1,700,000 200,000 341,416 35,000 70,000 4,800 44,351 0 65,000 40,000 5,400 3,600 7,500 4,700 198,574 4,429,841 $50,000 150,000 186,000 325,000 0 65,000 150,000 0 70,000 60,000 25,000 1,550,000 200,000 574,816 0 200,000 2,500 40,549 0 62,000 21,250 2,500 1,625 4,375 2,500 173,188 3,916,303 $200,000 100,000 2,957,000 295,000 0 65,000 1,550,000 1,224,122 35,000 35,000 325,000 1,415,000 180,000 5,487,430 200,000 0 3,125 83,200 0 59,085 38,388 0 1,313 9,948 4,750 160,100 14,428,461 $200,000 100,000 2,957,000 295,000 0 65,000 1,550,000 1,224,122 35,000 35,000 325,000 1,415,000 180,000 5,487,430 200,000 0 3,125 83,200 0 59,085 38,388 0 1,313 9,948 4,750 160,100 14,428,461 $0 0 240,000 0 0 10,000 80,000 0 0 0 10,000 0 0 165,000 0 0 0 75,860 0 33,400 44,873 0 0 10,186 0 166,128 835,447 -100.00% -100.00% -91.88% -100.00% 100.00% -84.62% -94.84% 0.00% -100.00% -100.00% -96.92% -100.00% -100.00% -96.99% 0.00% 0.00% -100.00% -8.82% 100.00% -43.47% 16.89% 0.00% -100.00% 2.39% -100.00% 3.77% -94.21% $0 0 245,000 0 13,493 10,000 85,000 0 0 0 10,000 0 0 180,000 0 0 0 65,950 38,438 30,950 40,250 0 0 9,300 0 151,638 880,019 $0 0 250,000 0 45,000 85,000 85,000 0 0 0 10,000 0 0 185,000 0 0 0 61,050 37,538 30,750 38,550 0 0 9,100 0 148,038 985,026 Total Expenditures 4,431,314 3,916,303 14,629,061 14,629,061 835,447 -94.29% 880,019 985,026 1,335 24,002 (16,967) (12,320) 2 -100.01% 1 0 18,703 20,038 44,040 44,040 31,720 -27.97% 31,722 31,723 $20,038 $44,040 $27,073 $31,720 $31,722 17.17% $31,723 $31,723 Acct No. 300.801.56110 300.801.56111 300.801.56112 300.801.56113 300.801.56130 300.801.56132 300.801.56133 300.801.56141 300.801.56143 300.801.56144 300.801.56145 300.801.56153 300.801.56192 300.801.56193 300.801.56194 300.801.56195 300.802.56110 300.802.56112 300.802.56230 300.802.56232 300.802.56233 300.802.56234 300.802.56280 300.802.56291 300.802.56292 300.802.56293 Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 41 City of Pickerington, Ohio Tax Increment Financing Cycle Way Debt Service Fund Debt Service Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Tax Increment Financing Cycle Way Debt Service Fund Payment in lieu of taxes. Principal and interest payments on outstanding debt. Finance Department Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $107,440 107,440 $57,140 57,140 $161,196 161,196 $161,196 161,196 $0 0 -100.00% -100.00% $0 0 $0 0 25,000 25,000 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 132,440 57,140 161,196 161,196 0 -100.00% 0 0 785 1,743 2,528 0 1,918 1,918 0 2,855 2,855 0 2,855 2,855 0 0 0 0.00% -100.00% -100.00% 0 0 0 0 0 0 Actual 2010 Revenues 302.000.42700 Payment in Lieu of Taxes Revenue Real Estate Proceeds - County Subtotal Payment in Lieu of Taxes Revenue 302.000.47201 Note Proceeds Note Rollover Subtotal Note Proceeds 302.000.48200 Interest Income Interest Subtotal Interest Income Total Revenues Expenditures 302.602.53420 302.602.53460 Contractual Services Legal Fees Auditor Fees Subtotal Contractual Services 302.801.56110 302.801.56120 302.802.56209 Principal, Interest, and Note Rollovers Principal Note Rollover Interest Subtotal Principal, Interest and Note Rollovers 150,000 25,000 6,533 181,533 25,000 0 758 25,758 205,986 0 0 205,986 205,986 0 0 205,986 0 0 0 0 0.00% 0.00% 0.00% -100.00% 0 0 0 0 0 0 0 0 Total Expenditures 184,061 27,676 208,841 208,841 0 -100.00% 0 0 Net Change in Fund Balance (51,621) 29,464 (47,645) (47,645) 0 -100.00% 0 0 69,802 18,181 47,645 47,645 (0) -100.00% (0) (0) $18,181 $47,645 $0 ($0) 0.00% ($0) ($0) Estimated Fund Balance, January 1 Total Available Funds 42 ($0) City of Pickerington, Ohio Tax Increment Financing Old Town Debt Service Fund Debt Service Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Tax Increment Financing Old Town Debt Service Fund Payment in lieu of taxes and transfers from the General Fund. Principal and interest payments on outstanding debt. Finance Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 303.000.42700 Payment in Lieu of Taxes Revenue Real Estate Proceeds - County Subtotal Payment in Lieu of Taxes Revenue 303.000.47201 Note Proceeds Note Rollover Subtotal Note Proceeds 303.000.48200 Interest Income Interest Subtotal Interest Income 303.000.49150 Transfers Transfers Subtotal Transfers Total Revenues $4,559 4,559 $4,643 4,643 $0 0 $0 0 $0 0 0.00% 0.00% $0 0 $0 0 371,000 371,000 371,000 371,000 340,000 340,000 340,000 340,000 0 0 -100.00% -100.00% 0 0 0 0 0 0 0 0 0 0 2,812 2,812 0 0 0.00% 0.00% 0 0 0 0 8,000 8,000 7,981 7,981 44,024 44,024 32,603 32,603 0 0 -100.00% -100.00% 0 0 0 0 383,559 383,624 384,024 375,415 0 -100.00% 0 0 1,322 59 1,381 1,320 63 1,383 1,322 60 1,382 0 0 0 0 0 0 -100.00% -100.00% -100.00% 0 0 0 0 0 0 Expenditures 303.602.53420 303.602.53460 Contractual Services Legal Fees Auditor Fees Subtotal Contractual Services 303.801.56110 303.801.56120 303.802.56209 Principal, Interest, and Note Rollovers Principal Note Rollover Interest Subtotal Principal, Interest and Note Rollovers 0 371,000 11,178 382,178 0 371,000 11,241 382,241 371,000 0 11,642 382,642 371,000 0 4,415 375,415 0 0 0 0 100.00% 0.00% -100.00% -100.00% 0 0 0 0 0 0 0 0 Total Expenditures 383,559 383,624 384,024 375,415 0 -100.00% 0 0 Net Change in Fund Balance 0 0 0 0 0 0.00% 0 0 Estimated Fund Balance, January 1 0 0 0 0 0 0.00% 0 0 $0 $0 $0 $0 $0 0.00% $0 $0 Total Available Funds 43 City of Pickerington, Ohio Tax Increment Financing Windmiller/ Diley Debt Service Fund Debt Service Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Tax Increment Financing Windmiller/ Diley Debt Service Fund Payment in lieu of taxes and advances from the General Fund. Principal and interest payments on outstanding debt. Finance Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2013 Projected 2014 Revenues 304.000.42700 Payment in Lieu of Taxes Revenue Real Estate Proceeds - County Subtotal Payment in Lieu of Taxes Revenue $180,015 180,015 $212,854 212,854 $297,500 297,500 $302,162 302,162 $0 0 -100.00% -100.00% $0 0 $0 0 304.000.47200 304.000.47201 304.000.47300 Note/ Bond Proceeds Bond Proceeds Note Rollover Premium Subtotal Note Proceeds 0 1,775,000 0 1,775,000 0 1,675,000 0 1,675,000 1,190,000 1,425,000 68,844 2,683,844 1,190,000 1,225,000 68,844 2,483,844 0 0 0 0 100.00% -100.00% 100.00% -100.00% 0 0 0 0 0 0 0 0 304.000.49150 304.000.49160 Transfers/Advances Advances Transfers Subtotal Transfers/ Advances 60,000 0 60,000 0 0 0 0 257,292 257,292 0 257,292 257,292 0 0 0 0.00% 0.00% 0.00% 0 0 0 0 0 0 2,015,015 1,887,854 3,238,636 3,043,298 0 -100.00% 0 0 0 0 0 0 0 0 23,800 0 23,800 23,800 0 23,800 0 0 0 -100.00% 0.00% 0.00% 0 0 0 0 0 0 175,000 1,775,000 63,745 2,013,745 100,000 1,675,000 54,124 1,829,124 1,675,000 1,225,000 66,032 2,966,032 1,675,000 1,225,000 57,479 2,957,479 40,000 0 22,019 62,019 -97.61% -100.00% -66.65% -97.91% 0 0 0 0 0 0 0 0 0 0 Total Revenues Expenditures 304.602.53420 304.602.53460 Contractual Services Issuance Costs Auditor Fees Subtotal Contractual Services 304.801.56110 304.801.56120 304.802.56209 Principal, Interest, and Note Rollovers Principal Note Rollover Interest Subtotal Principal, Interest and Note Rollovers 304.901.59240 Advances Advance Repayment Subtotal Advances 0 0 60,000 60,000 0 0 Total Expenditures 2,013,745 1,889,124 2,989,832 2,981,279 248,804 62,019 Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 1,270 (1,270) 0 62,019 -97.93% 0 0 (62,019) -124.93% 0 0 0 1,270 0 0 62,019 100.00% 0 0 $1,270 $0 $248,804 $62,019 $0 -100.00% $0 $0 44 City of Pickerington, Ohio Tax Increment Financing Cover Debt Service Fund Debt Service Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Tax Increment Financing Cover Debt Service Fund Payment in lieu of taxes. Principal and interest payments on outstanding debt. Finance Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $49,418 49,418 $90,151 90,151 $145,257 145,257 $196,099 196,099 $0 0 -100.00% -100.00% $0 0 $0 0 87,500 87,500 43,750 43,750 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 0 0 0 0 137,922 137,922 137,922 137,922 0 0 0.00% 0.00% 0 0 0 0 136,918 133,901 145,257 196,099 0 -100.00% 0 0 1,384 1,384 2,768 2,768 3,000 3,000 2,283 2,283 0 0 100.00% 100.00% 0 0 0 0 Revenues 305.000.42700 Payment in Lieu of Taxes Revenue Real Estate Proceeds - County Subtotal Payment in Lieu of Taxes Revenue 305.000.47201 Note Proceeds Note Rollover Subtotal Note Proceeds 305.000.49160 Transfers Transfers Subtotal Transfers Total Revenues Expenditures 305.602.53460 Contractual Services Auditor Fees Subtotal Contractual Services 305.801.56110 305.801.56120 305.802.56209 Principal, Interest, and Note Rollovers Principal Note Rollover Interest Subtotal Principal, Interest and Note Rollovers 43,750 87,500 4,284 135,534 43,750 43,750 2,651 90,151 177,764 0 5,475 183,239 177,765 0 5,475 183,240 0 0 20,052 20,052 -100.00% 0.00% 266.25% -89.06% 31,506 0 0 31,506 0 0 0 0 Total Expenditures 136,918 92,919 186,239 185,523 20,052 -89.23% 31,506 0 Net Change in Fund Balance 0 40,982 (40,982) 10,576 (20,052) -51.07% (31,506) 0 Estimated Fund Balance, January 1 0 0 40,982 40,982 51,558 100.00% 31,506 0 $0 $40,982 $0 $51,558 $31,506 100.00% $0 $0 Total Available Funds 45 City of Pickerington, Ohio Street Construction Fund Capital Projects Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Street Construction Fund Debt issuances and transfers from the General Fund. Street construction projects. Service Department Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 402.000.48200 Other Revenue Interest Subtotal Other Revenue $0 0 $0 0 $0 0 $0 0 $0 0 0.00% 0.00% $0 0 $0 0 0 0 0 0 0 0.00% 0 0 Capital Traffic Light Equipment - St 15 Subtotal Capital 3,126 3,126 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Expenditures 3,126 0 0 0 0 0.00% 0 0 (3,126) 0 0 0 0 0.00% 0 0 Total Revenues Expenditures 402.607.55200 Net Change in Fund Balance Estimated Fund Balance, January 1 3,291 165 165 165 165 0.00% 165 165 Total Available Funds $165 $165 $165 $165 $165 0.00% $165 $165 46 City of Pickerington, Ohio Street Impact Fee Fund Capital Projects Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Street Impact Fee Fund Impact fees from residential and commercial developers. Street capital improvement projects and outstanding debt. Service Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $50,454 9,479 59,933 $67,364 18,971 86,335 $50,000 9,500 59,500 $63,795 35,365 99,160 $50,000 9,500 59,500 0.00% 0.00% 0.00% $50,000 9,500 59,500 $50,000 9,500 59,500 64 64 92 92 75 75 100 100 100 100 33.33% 33.33% 100 100 100 100 59,997 86,427 59,575 99,260 59,600 0.04% 59,600 59,600 Transfers/ Reimbursements Transfer - to Debt Service Refunds Subtotal Transfers/ Reimbursements 100,000 1,738 101,738 55,000 0 55,000 50,000 0 50,000 50,000 0 50,000 50,000 0 50,000 0.00% 0.00% 0.00% 50,000 0 50,000 50,000 0 50,000 Total Expenditures 101,738 55,000 50,000 50,000 50,000 0.00% 50,000 50,000 Net Change in Fund Balance (41,741) 31,427 9,575 49,260 9,600 -0.26% 9,600 9,600 Estimated Fund Balance, January 1 106,654 64,913 96,340 96,340 145,600 51.13% 155,200 164,800 Total Available Funds $64,913 $96,340 $105,915 $145,600 $155,200 46.53% $164,800 $174,400 Acct No. Revenues 403.000.46230 403.000.46240 Impact Fees Revenue Impact Fees - Residential Impact Fees - Commercial Subtotal Impact Fees 403.000.48200 Other Revenue Interest Subtotal Other Revenue Total Revenues Expenditures 403.901.57100 403.901.57300 47 City of Pickerington, Ohio Park Capital Improvement Fund Capital Projects Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Park Capital Improvement Fund Grant revenue and transfers from the General Fund. Park capital improvement projects. Parks and Recreation Department Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 404.000.44200 Intergovernmental Revenue Natureworks Grant Subtotal Intergovernmental Revenue $0 0 $0 0 $0 0 $0 0 $0 0 0.00% 0.00% $0 0 $0 0 0 0 0 0 0 0.00% 0 0 Capital Annual Facility Improvements Subtotal Capital 12,856 12,856 6,948 6,948 625 625 0 0 0 0 -100.00% -100.00% 0 0 0 0 Total Expenditures 12,856 6,948 625 0 0 -100.00% 0 0 (12,856) (6,948) (625) 0 0 100.00% 0 0 Estimated Fund Balance, January 1 20,429 7,573 625 625 625 0.00% 625 625 Total Available Funds $7,573 $625 $0 $625 $625 100.00% $625 $625 Total Revenues Expenditures 404.302.55111 Net Change in Fund Balance 48 City of Pickerington, Ohio Community Development Block Grant Fund Capital Projects Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Community Development Block Grant Fund Grant revenue from the Ohio Department of Development. Capital improvement projects approved by the granting agency. Development Department Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 405.000.44224 Intergovernmental Revenue Fairfield County CDBG Formula Grant Subtotal Intergovernmental Revenue Total Revenues $0 0 $30,800 30,800 $0 0 $0 0 $0 0 0.00% 0.00% $0 0 $0 0 0 30,800 0 0 0 0.00% 0 0 $352 352 $30,800 30,800 $0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0.00% 0.00% 352 30,800 0 0 0 0.00% 0 0 (352) 0 0 0 0 0.00% 0 0 352 0 0 0 0 0.00% 0 0 $0 $0 $0 $0 $0 0.00% $0 $0 Expenditures 405.204.53410 Contractual Services Professional Services Subtotal Contractual Services 405.204.55100 Capital Handicap Ramps Subtotal Capital Total Expenditures Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 49 0 0 0 0 City of Pickerington, Ohio Police Impact Fee Fund Capital Projects Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Police Impact Fee Fund Impact fees from residential and commercial developers. Police facility improvement projects and outstanding debt. Police Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $51,833 2,569 54,402 $69,720 5,071 74,791 $52,000 3,000 55,000 $89,973 1,992 91,965 $52,000 3,000 55,000 0.00% 0.00% 0.00% $52,000 3,000 55,000 $52,000 3,000 55,000 126 126 79 79 80 80 80 80 80 80 0.00% 0.00% 80 80 80 80 Total Revenues 54,528 74,870 55,080 92,045 55,080 0.00% 55,080 55,080 Transfers/ Reimbursements Transfer - to Debt Service Refunds Subtotal Transfers/ Reimbursements 90,000 975 90,975 75,000 0 75,000 50,000 0 50,000 50,000 0 50,000 100,000 0 100,000 100.00% 0.00% 100.00% 50,000 0 50,000 50,000 0 50,000 Total Expenditures 90,975 75,000 50,000 50,000 100,000 100.00% 50,000 50,000 5,080 42,045 (44,920) 984.25% 5,080 5,080 Acct No. Revenues 407.000.46230 407.000.46240 Impact Fees Revenue Impact Fees - Residential Impact Fees - Commercial Subtotal Impact Fees Revenue 407.000.48200 Other Revenue Interest Subtotal Other Revenue Expenditures 407.901.57100 407.901.57300 Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds (36,447) (130) 59,171 22,724 22,594 22,594 64,639 186.09% 19,719 24,799 $22,724 $22,594 $27,674 $64,639 $19,719 -28.74% $24,799 $29,879 50 City of Pickerington, Ohio Community Development Block Grant Revolving Loan Fund Capital Projects Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Community Development Block Grant Revolving Loan Fund Grant revenue from the Ohio Department of Development. Commercial developments projects within the downtown area of the City. Development Department Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 408.000.48210 Other Revenue Interest Subtotal Other Revenue $106 106 $99 99 $85 85 $85 85 $85 85 0.00% 0.00% $85 85 $85 85 106 99 85 85 85 0.00% 85 85 Contractual Services Revolving Loan Projects Subtotal Contractual Services 0 0 0 0 65,000 65,000 0 0 65,000 65,000 0.00% 0.00% 0 0 0 0 Total Expenditures 0 0 65,000 0 65,000 0.00% 0 0 106 99 (64,915) 85 (64,915) 0.00% 85 85 66,941 67,047 67,146 67,146 67,231 0.13% 2,316 2,401 $67,047 $67,146 $2,231 $67,231 $2,316 3.81% $2,401 $2,486 Total Revenues Expenditures 408.495.53410 Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 51 City of Pickerington, Ohio Tax Increment Financing Agreement Cycle Way Construction Fund Capital Projects Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Tax Increment Financing Agreement Cycle Way Construction Fund Payment in lieu of taxes. Construction of capital improvements in the designated TIF district. Development Department Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $75,000 75,000 $0 0 $0 0 $0 0 0.00% 0.00% $0 0 $0 0 25,000 75,000 0 0 0 0.00% 0 0 Contractual Services TIF School Obligation Subtotal Contractual Services 25,000 25,000 0 0 75,000 75,000 75,000 75,000 0 0 -100.00% -100.00% 0 0 0 0 Total Expenditures 25,000 0 75,000 75,000 0 -100.00% 0 0 Net Change in Fund Balance 0 75,000 (75,000) (75,000) 0 100.00% 0 0 Estimated Fund Balance, January 1 0 0 75,000 75,000 0 -100.00% 0 0 $0 $75,000 $0 $0 $0 0.00% $0 $0 Acct No. Actual 2010 Actual 2011 $25,000 25,000 Total Revenues Revenues 411.000.42700 Payment in Lieu of Taxes Revenue Real Estate Taxes Subtotal Payment in Lieu of Taxes Revenue Expenditures 411.602.53430 Total Available Funds 52 City of Pickerington, Ohio Tax Increment Financing Agreement Windmiller/ Diley Construction Fund Capital Projects Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Tax Increment Financing Agreement Windmiller/ Diley Construction Fund Payment in lieu of taxes. Construction of capital improvements in the designated TIF district. Development Department Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $228,922 228,922 $0 0 $0 0 $0 0 0.00% 0.00% $0 0 $0 0 25,000 228,922 0 0 0 0.00% 0 0 21,603 3,501 3,480 28,584 0 3,344 15,700 19,044 19,000 0 6,000 25,000 0 2,592 6,246 8,838 0 0 0 0 -100.00% 0.00% -100.00% -100.00% 0 0 0 0 0 0 0 0 0 0 0 0 231,934 231,934 231,934 231,934 0 0 -100.00% -100.00% 0 0 0 0 Total Expenditures 28,584 19,044 25,000 240,772 0 -100.00% 0 0 Net Change in Fund Balance (3,584) 209,878 (25,000) (240,772) 0 -100.00% 0 0 Estimated Fund Balance, January 1 34,478 30,894 240,772 240,772 0 -100.00% 0 0 $30,894 $240,772 $215,772 $0 $0 -100.00% $0 $0 Acct No. Actual 2010 Actual 2011 $25,000 25,000 Total Revenues 412.607.53410 412.607.53420 412.607.53460 Contractual Services School Tax Sharing Legal Fees Auditor Fees Subtotal Contractual Services 412.901.57100 Transfers/ Reimbursements Debt Retirement Fund Subtotal Transfers/ Reimbursements Revenues 412.000.42700 Payment in Lieu of Taxes Revenue Real Estate Taxes Subtotal Payment in Lieu of Taxes Revenue Expenditures Total Available Funds 53 City of Pickerington, Ohio Tax Increment Financing Agreement Cover Construction Fund Capital Projects Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Tax Increment Financing Agreement Cover Construction Fund Payment in lieu of taxes. Construction of capital improvements in the designated TIF district. Development Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $149,869 149,869 $145,051 145,051 $145,000 145,000 $9,505 9,505 $0 0 -100.00% -100.00% $0 0 $0 0 149,869 145,051 145,000 9,505 0 -100.00% 0 0 Revenues 413.000.42700 Payment in Lieu of Taxes Revenue Real Estate Taxes Subtotal Payment in Lieu of Taxes Revenue Total Revenues Expenditures 413.602.53420 413.602.53430 413.602.53460 Contractual Services Legal Fees School Obligation Auditor Fees Subtotal Contractual Services 881 50,000 1,307 52,188 812 0 1,437 2,249 900 0 1,750 2,650 0 0 4,214 4,214 0 0 0 0 -100.00% 0.00% -100.00% -100.00% 0 0 0 0 0 0 0 0 413.607.55501 Capital Stonecreek Drive - Equity Payments Subtotal Capital 93,143 93,143 76,355 76,355 105,000 105,000 98,086 98,086 0 0 -100.00% -100.00% 0 0 0 0 413.901.57110 Transfers/ Reimbursements Debt Retirement Fund Subtotal Transfers/ Reimbursements 0 0 0 0 137,922 137,922 137,922 137,922 0 0 -100.00% -100.00% 0 0 0 0 145,331 78,604 245,572 240,222 0 -100.00% 0 0 4,538 66,447 (100,572) (230,717) 0 -100.00% 0 0 159,732 164,270 230,717 230,717 0 -100.00% 0 0 $164,270 $230,717 $130,145 $0 $0 -100.00% $0 $0 Total Expenditures Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 54 City of Pickerington, Ohio Diley Road Improvement Fund Capital Projects Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Diley Road Improvement Fund State Infrastructure Bank loan proceeds, MORPC grant revenue, and advances from the General Fund. Construction and capital improvements for Diley Road. Service Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 414.000.44200 414.000.44250 Intergovernmental Revenue MORPC State Grant State Earmark for Diley Rd Project Subtotal Intergovernmental Revenue 414.000.47220 Note/ Loan Proceeds State Infrastructure Bank Loan Proceeds Subtotal Note/ Loan Proceeds $1,351,950 0 1,351,950 $868 0 868 $0 0 0 $0 0 0 $0 0 0 0.00% 0.00% 0.00% $0 0 0 $0 0 0 258,967 258,967 58,069 58,069 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Revenues 1,691,822 58,937 0 0 0 0.00% 0 0 414.607.55500 414.607.55530 Capital Diley Road Widening Diley Widening Construction Administration Subtotal Capital 1,611,513 2,344 1,696,272 58,937 0 58,937 0 0 0 0 0 0 0 0 0 0.00% 0.00% 0.00% 0 0 0 0 0 0 414.901.59240 Transfers/Advances Transfers/Advances Subtotal Transfers/Advances 230,000 230,000 0 0 25,358 25,358 25,358 25,358 1,935,186 58,937 25,358 25,358 0 0.00% 0 0 (25,358) (25,358) 0 0.00% 0 0 Expenditures Total Expenditures Net Change in Fund Balance (243,364) 0 0 0 0.00% 0.00% 0 0 0 0 Estimated Fund Balance, January 1 268,722 25,358 25,358 25,358 0 0.00% 0 0 Total Available Funds $25,358 $25,358 $0 $0 $0 0.00% $0 $0 55 City of Pickerington, Ohio Park Impact Fee Fund Capital Projects Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Park Impact Fee Fund Impact fees from residential developers. Park improvement projects and outstanding debt. Parks and Recreation Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $111,988 111,988 $150,602 150,602 $96,000 96,000 $172,756 172,756 $96,000 96,000 0.00% 0.00% $96,000 96,000 $96,000 96,000 159 159 158 158 135 135 242 242 135 135 0.00% 0.00% 135 135 135 135 Total Revenues 112,147 150,760 96,135 172,998 96,135 0.00% 96,135 96,135 Capital Park Master Plan Improvements Subtotal Capital 115,000 115,000 0 0 75,000 75,000 75,000 75,000 115,000 115,000 0.00% 0.00% 150,000 150,000 75,000 75,000 Total Expenditures 116,560 0 75,000 75,000 115,000 0.00% 150,000 75,000 (53,865) 21,135 Acct No. Revenues 416.000.46230 Impact Fees Revenue Impact Fees - Residential Subtotal Impact Fees Revenue 416.000.48200 Other Revenue Interest Subtotal Other Revenue Expenditures 416.302.55515 Net Change in Fund Balance (4,413) 150,760 21,135 97,998 (18,865) Estimated Fund Balance, January 1 36,105 31,692 182,452 182,452 280,450 53.71% 261,585 207,720 $31,692 $182,452 $203,587 $280,450 $261,585 28.49% $207,720 $228,855 Total Available Funds 56 -189.26% City of Pickerington, Ohio Municipal Facility Impact Fee Fund Capital Projects Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Municipal Facility Impact Fee Fund Impact fees from residential and commercial developers. Municipal building improvement projects and outstanding debt. Facilities Operations and Maintenance Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 $34,746 3,857 38,603 $46,736 8,934 55,670 $27,000 500 27,500 $59,001 2,292 61,293 103 103 52 52 45 45 Total Revenues 38,706 55,722 417.705.55300 Capital Storage Facility Subtotal Capital 8,691 8,691 417.901.57114 417.901.57300 Transfers/ Reimbursements Transfer - to Debt Service Refunds Subtotal Transfers/ Reimbursements Total Expenditures Acct No. % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $27,000 500 27,500 0.00% 0.00% 0.00% $27,000 500 27,500 $27,000 500 27,500 61 61 45 45 0.00% 0.00% 45 45 45 45 27,545 61,354 27,545 0.00% 27,545 27,545 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 52,714 1,342 54,056 61,625 0 61,625 71,313 0 71,313 71,313 0 71,313 0 0 0 -100.00% 0.00% -100.00% 0 0 0 0 0 0 62,747 61,625 71,313 71,313 0 -100.00% 0 0 (24,041) (5,903) (43,768) (9,959) 27,545 162.93% 27,545 27,545 89,942 65,901 59,998 59,998 50,039 -16.60% 77,584 105,129 $65,901 $59,998 $16,230 $50,039 $77,584 378.03% $105,129 $132,674 Proposed 2013 Revenues 417.000.46230 417.000.46240 Impact Fees Revenue Impact Fees - Residential Impact Fees - Commercial Subtotal Impact Fees Revenue 417.000.48200 Other Revenue Interest Subtotal Other Revenue Expenditures Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 57 City of Pickerington, Ohio Tax Increment Financing Equity Construction Fund Capital Projects Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Tax Increment Financing Equity Construction Fund Payment in lieu of taxes. Distribution of payment in lieu of taxes directly to the developer. Development Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $47,486 47,486 $75,622 75,622 $50,000 50,000 $59,786 59,786 $50,000 50,000 0.00% 0.00% $50,000 50,000 $50,000 50,000 Total Revenues 47,493 75,622 50,000 59,786 50,000 0.00% 50,000 50,000 Contractual Services Auditor Fees Stonecreek Drive - Equity Payments Subtotal Contractual Services 983 46,518 47,501 1,951 73,671 75,622 2,000 48,000 50,000 803 58,983 59,786 2,000 48,000 50,000 0.00% 0.00% 0.00% 2,000 48,000 50,000 2,000 48,000 50,000 Total Expenditures 47,501 75,622 50,000 59,786 50,000 0.00% 50,000 50,000 (8) 0 0 0 0 0.00% 0 0 8 0 0 0 0 0.00% 0 0 $0 $0 $0 $0 $0 0.00% $0 $0 Acct No. Revenues 418.000.42700 Payment in Lieu of Taxes Revenue Real Estate Taxes Subtotal Payment in Lieu of Taxes Revenue Expenditures 418.602.53460 418.602.55501 Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 58 City of Pickerington, Ohio Safe Route to Schools Fund Capital Projects Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Safe Route to Schools Fund Grant revenue from Federal Highway Administration passed through the Ohio Department of Transportation. Construction of sidewalks and bike paths. Engineering Department Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $0 0 $302,576 302,576 $300,000 300,000 $0 0 $300,000 300,000 0.00% 0.00% $0 0 $0 0 Total Revenues 0 302,576 300,000 0 300,000 0.00% 0 0 Capital PID 86639 - Sidewalk Improvements Subtotal Capital 0 0 302,576 302,576 300,000 300,000 0 0 300,000 300,000 0.00% 0.00% 0 0 0 0 Total Expenditures 0 302,576 300,000 0 300,000 0.00% 0 0 Net Change in Fund Balance 0 0 0 0 0 0.00% 0 0 Estimated Fund Balance, January 1 0 0 0 0 0 0.00% 0 0 $0 $0 $0 $0 $0 0.00% $0 $0 Acct No. Actual 2010 Revenues 419.000.44200 Intergovernmental Revenue Safe Route to Schools - ODOT 8663 Subtotal Intergovernmental Revenue Expenditures 419.705.55110 Total Available Funds 59 City of Pickerington, Ohio State Route 256 Safety Grant Fund Capital Projects Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. State Route 256 Safety Grant Fund Grant revenue from Federal Highway Administration passed through the Ohio Department of Transportation. Adding thorough lanes, upgrade signal equipment, add medians and sidewalks along SR 256. Engineering Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 420.000.44200 Intergovernmental Revenue ODOT Grant Subtotal Intergovernmental Revenue 420.000.49150 $0 0 $0 0 $397,329 397,329 $0 0 $0 0 0.00% 0.00% $90,000 90,000 $3,737,424 3,737,424 Transfers Transfers Subtotal Transfers 0 0 0 0 45,000 45,000 45,000 45,000 0 0 -100.00% -100.00% 0 0 0 0 Total Revenues 0 0 442,329 45,000 0 -100.00% 90,000 4,337,424 Capital SR 256 Engineering/Infrastructure Subtotal Capital 0 0 0 0 442,329 442,329 45,000 45,000 0 0 -100.00% -100.00% 90,000 90,000 4,337,424 4,337,424 Total Expenditures 0 0 442,329 45,000 0 -100.00% 90,000 4,337,424 Net Change in Fund Balance 0 0 0 0 0 0.00% 0 0 Estimated Fund Balance, January 1 0 0 0 0 0 0.00% 0 0 $0 $0 $0 $0 $0 0.00% $0 $0 Expenditures 420.607.55200 Total Available Funds 60 City of Pickerington, Ohio Water Fund Acct No. Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget $1,786,486 93,774 1,249 62,287 1,295 1,945,091 $1,924,318 129,949 1,325 63,999 1,382 2,120,973 $1,931,250 128,750 1,500 69,010 1,000 2,131,510 $2,087,320 146,996 935 60,067 1,000 2,296,318 $1,989,188 132,613 1,545 63,500 1,000 2,187,845 0 11,450 4,560 819 2,680 240 29,011 240 49,000 0 12,589 4,206 9,618 2,040 200 25,200 120 53,973 0 12,000 4,000 750 2,000 250 15,000 200 34,200 0 18,819 4,206 0 2,600 0 15,000 0 40,625 0 12,500 4,000 0 2,000 0 15,000 0 33,500 0.00% 4.17% 0.00% 100.00% 0.00% -100.00% 0.00% -100.00% -2.05% 0 12,500 4,000 0 2,000 0 15,000 0 33,500 0 12,500 4,000 0 2,000 0 15,000 0 33,500 0 0 6,158 3 1,768 0 0 7,929 250 190 9,431 1,000 343 646 0 11,860 250 0 10,500 0 0 0 0 10,750 0 0 12,766 389 185 3,486 0 16,826 0 0 11,500 0 0 0 0 11,500 -100.00% 0.00% 9.52% 0.00% 0.00% 0.00% 0.00% 6.98% 0 0 12,880 0 0 0 0 12,880 0 0 14,426 0 0 0 0 14,426 2,002,020 2,186,806 2,176,460 2,353,769 2,232,845 2.59% 2,297,925 2,365,082 194,601 4,829 249,357 431 1,658 34,543 33,667 40,742 56,864 209,460 9,206 293,085 1,739 7,348 37,458 39,917 51,442 67,568 234,000 4,000 347,410 1,000 0 39,000 53,750 60,800 77,500 234,436 8,323 318,806 600 0 32,628 42,980 55,691 77,203 220,407 8,500 416,380 3,088 0 34,206 63,471 109,194 75,490 -5.81% 112.50% 19.85% 208.80% 0.00% -12.29% 18.08% 79.60% -2.59% 223,713 8,500 422,626 1,000 0 34,719 64,423 122,297 84,549 227,068 8,500 428,965 1,000 0 35,240 65,389 136,973 94,695 (continued) Projected 2014 Projected 2015 3.00% $2,048,863 3.00% 136,591 3.00% 1,591 -7.98% 63,500 0.00% 1,000 2.64% 2,251,545 $2,110,329 140,689 1,639 63,500 1,000 2,317,157 Revenues 501.000.45511 501.000.45512 501.000.45513 501.000.45514 501.000.45530 Charges for Services User Fees - City User Fees - Mingo User Fees - Delinquent User Fees - Canal Winchester Agreement Water Purchases Subtotal Charges for Services 501.000.45525 501.000.45540 501.000.45541 501.000.45542 501.000.45560 501.000.45561 501.000.45570 501.000.46400 Fees and Permits Front Footage Fee - Long Road Meter Fee - Residential Deduct Meters Meter Fee - Commercial Inspection Fee - Residential Inspection Fee - Commercial Turn on Charge Installers Fee Subtotal Fees and Permits 501.000.48100 501.000.48400 501.000.48441 501.000.49100 501.000.49200 501.000.49310 501.000.49900 Other Revenue Sale of Assets/ Vehicles/ Meters Miscellaneous Receipts Insurance Employee Contribution Refunds Reimbursements Electric Capital Credit Refund Insurance Reimbursement Subtotal Other Revenue Total Revenues Expenditures 501.503.51100 501.503.51101 501.503.51104 501.503.51116 501.503.51117 501.503.51210 501.503.51211 501.503.51300 501.503.51310 Personal Services Salaries and Wages - AFSCME Overtime - AFSCME Salaries and Wages - Nonunion Overtime - Nonunion Sick Leave Buyout Retirement Benefits - AFSCME Retirement Benefits - Nonunion Insurance - Nonunion Insurance - AFSCME 61 City of Pickerington, Ohio Water Fund (Continued) Acct No. Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Expenditures 501.503.51400 501.503.51500 501.503.52200 Personal Services Uniforms Workers Compensation Professional Development Subtotal Personal Services $3,344 3,911 3,662 627,609 $5,016 4,729 2,902 729,870 $6,600 6,621 4,700 835,381 $3,766 5,427 2,623 782,484 $4,500 6,500 3,500 945,235 -31.82% -1.83% -25.53% 13.15% $5,000 7,475 3,500 977,801 $5,000 8,596 3,500 1,014,926 501.503.53110 501.503.53230 501.503.53408 501.503.53409 501.503.53426 501.503.53450 501.503.53452 501.503.53470 501.503.53480 501.503.53513 501.503.53520 501.503.53530 501.503.53540 501.503.53459 501.503.53610 Contractual Services Utilities Postage - Utility Billing Operators Certifications Professional Services Right of Way Use Fee Engineer - Category B/ Retainer Well Maint/ Repair Water Tank Maintenance Longview Water Tower Maintenance Vehicle Maintenance/ Repair Facility Equipment Maintenance/ Repair Annual Distribution System Repair/ Maint. Wellfield Maintenance/ Repair Water System Study Insurance - General Liability Subtotal Contractual Services 152,386 11,237 7,745 40,978 3,000 2,665 22,512 605 0 6,077 30,186 6,423 0 25,524 21,144 330,482 176,672 13,500 7,745 63,560 3,000 0 961 635 0 8,079 44,673 4,056 375 22,705 27,191 373,152 265,500 15,000 7,950 79,000 3,000 10,000 15,000 1,000 1,000 12,000 49,950 15,000 14,000 0 29,531 517,931 238,000 11,065 7,400 57,800 3,000 2,130 9,050 0 0 6,500 40,800 6,500 499 0 35,337 418,081 255,000 13,500 8,200 84,000 3,000 10,000 15,000 100,000 0 10,000 66,000 25,000 12,000 0 45,938 647,638 -3.95% -10.00% 3.14% 6.33% 0.00% 0.00% 0.00% 9900.00% -100.00% -16.67% 32.13% 66.67% -14.29% 0.00% 55.56% 25.04% 262,650 13,905 8,200 69,000 3,000 5,000 15,000 100,000 0 10,300 46,013 7,000 500 0 59,720 600,288 270,530 14,322 8,200 72,000 3,000 5,000 15,000 100,000 0 10,609 47,394 7,500 12,000 0 77,635 643,190 Supplies and Materials Salt Softening Computer Equipment/ Software Chemicals Miscellaneous Supplies Miscellaneous Equipment 190,902 13,566 59,501 17,830 4,535 156,323 1,430 75,246 21,714 6,906 0 19,550 200,000 37,550 13,700 0 17,055 185,000 28,700 26,520 0 18,000 220,000 34,000 32,000 0.00% -7.93% 10.00% -9.45% 133.58% 0 15,000 226,600 35,014 32,000 0 15,000 233,398 42,717 32,000 (continued) 501.503.54200 501.503.54209 501.503.54220 501.503.54230 501.503.54242 62 City of Pickerington, Ohio Water Fund (Continued) Acct No. Revised Budget 2012 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $3,000 25,000 35,000 5,000 10,000 382,000 0.00% 0.00% 9.38% 0.00% -9.09% 10.15% $1,500 25,000 30,000 5,000 10,500 72,000 $1,500 25,000 30,000 5,000 11,000 72,500 270 2,200 8,634 0 41,997 0 0 10,000 18,446 81,547 1,500 3,300 12,500 14,000 72,950 0 80,000 75,000 0 259,250 0.00% -13.16% 0.00% 0.00% -1.68% 0.00% 100.00% 100.00% -100.00% -1.12% 500 3,300 12,500 0 45,000 0 500,000 0 0 561,300 500 3,300 12,500 0 45,000 385,000 0 0 0 446,300 807,833 4,000 811,833 682,814 676 683,490 204,310 0 204,310 -74.71% -100.00% -74.83% 189,176 1,000 190,176 189,176 1,000 190,176 2,774,125 2,285,507 2,438,433 -12.10% 2,401,565 2,367,092 Actual 2010 Actual 2011 Estimated 2012 Proposed 2013 $1,477 15,332 23,925 5,767 9,674 342,509 $1,445 24,895 28,748 4,215 10,581 331,503 $3,000 25,000 32,000 5,000 11,000 346,800 $1,200 24,900 25,565 2,965 8,000 319,905 0 1,943 9,369 31,821 16,490 11,303 0 0 0 70,926 0 3,300 9,932 12,714 27,525 16,950 0 0 0 70,421 1,500 3,800 12,500 0 74,200 1,000 80,000 50,000 39,180 262,180 452,221 992 453,213 209,360 74 209,434 1,824,739 1,714,380 Net Change in Fund Balance 177,281 472,426 Estimated Fund Balance, January 1 822,506 999,787 1,472,213 1,472,213 1,540,475 $999,787 $1,472,213 $874,548 $1,540,475 $1,334,887 Expenditures 501.503.54400 501.503.54500 501.503.54505 501.503.54600 501.999.57200 Supplies and Materials Tools Meter Change Program Meters New Construction Hydrants Gasoline Rotary Subtotal Supplies and Materials 501.503.55208 501.503.55216 501.503.55217 501.503.55220 501.503.55240 501.503.55300 501.503.55600 501.503.55610 501.503.55630 Capital Computer Program Upgrade Phone/ Network Lease Equipment Billing Equipment Lease - Utility Billing Vehicle Miscellaneous Equipment Buildings & Structures & Infrastructure New Well Engineering - W-05 Longview Tank Altitude Valve Vault Reverse Osmosis Construction Subtotal Capital 501.901.57111 501.998.57300 Transfers/ Reimbursements Water Debt Retirement Refunds Subtotal Transfers/ Reimbursements Total Expenditures Total Available Funds 63 (597,665) 68,262 (205,588) -65.60% 4.64% (103,640) (2,010) 1,334,887 1,231,247 52.64% $1,231,247 $1,229,238 City of Pickerington, Ohio Sewer Fund Acct No. Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget $2,748,456 4,151 0 505,847 3,258,454 $2,922,657 4,451 0 535,017 3,462,125 $2,850,000 2,500 0 525,000 3,377,500 $2,855,670 6,255 0 529,065 3,390,990 $2,935,500 2,500 0 540,750 3,478,750 1,240 200 120 1,560 1,120 200 120 1,440 1,000 0 250 1,250 1,200 0 0 1,200 1,000 0 0 1,000 0.00% 0.00% -100.00% -20.00% 1,000 0 0 1,000 1,000 0 0 1,000 0 8,635 1,768 0 0 10,403 0 11,275 0 323 750 12,348 0 12,500 0 0 0 12,500 888 15,560 300 3,466 10,117 30,331 0 13,500 0 0 0 13,500 0.00% 8.00% 0.00% 0.00% 0.00% 8.00% 0 15,120 0 0 0 15,120 0 16,934 0 0 0 16,934 3,270,417 3,475,913 3,391,250 3,422,521 3,493,250 3.01% 3,599,158 3,708,388 194,635 3,250 252,579 0 0 0 34,256 33,743 62,809 58,948 191,834 5,873 294,033 0 7,347 0 34,993 39,896 64,052 70,250 223,480 3,000 338,310 2,000 0 2,500 33,250 50,125 77,000 81,550 207,924 4,000 302,475 500 0 2,500 30,375 42,589 75,047 75,016 251,646 5,250 354,566 1,338 0 0 39,002 54,825 101,454 104,701 12.60% 75.00% 4.81% -33.10% 0.00% -100.00% 17.30% 9.38% 31.76% 28.39% 255,421 5,329 359,884 1,358 0 0 39,587 55,647 113,628 117,265 259,252 5,409 365,283 1,378 0 0 40,181 56,482 127,264 131,337 (continued) Projected 2014 Projected 2015 3.00% $3,023,565 0.00% 2,500 0.00% 0 3.00% 556,973 3.00% 3,583,038 $3,114,272 2,500 0 573,682 3,690,454 Revenues 502.000.45610 502.000.45611 502.000.45612 502.000.45614 Charges for Services User Fees - City User Fees - Delinquent Sewage User Fees - Canal Winchester Agreement Subtotal Charges for Services 502.000.46220 502.000.46221 502.000.46400 Fees and Permits Inspection Fee - Residential Inspection Fee - Commercial Installers Fee Subtotal Fees and Permits 502.000.48400 502.000.48441 502.000.49300 502.000.49310 502.000.49500 Other Revenue Miscellaneous Receipts Insurance Employee Contribution Reimbursements Electric Capital Credit Refund Insurance Reimbursement Subtotal Other Revenue Total Revenues Expenditures 502.504.51100 502.504.51101 502.504.51102 502.504.51103 502.504.51117 502.504.51124 502.504.51210 502.504.51211 502.504.51300 502.504.51310 Personal Services Salaries and Wages - AFSCME Overtime - AFSCME Salaries and Wages - Nonunion Overtime - Nonunion Sick Leave Buyout Sick Leave Sellback Retirement Benefits - AFSCME Retirement Benefits - Nonunion Insurance - Union Insurance - Nonunion 64 City of Pickerington, Ohio Sewer Fund (Continued) Acct No. Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Expenditures 502.504.51400 502.504.51500 502.504.52200 Personal Services Uniforms Workers Compensation Professional Development Subtotal Personal Services $2,795 3,495 1,642 648,152 $5,894 4,031 3,811 722,014 $6,300 5,750 6,800 830,065 $3,500 5,296 1,807 751,028 $5,200 5,750 4,200 927,932 -17.46% 0.00% -38.24% 11.79% $5,200 5,850 4,200 963,370 $5,200 5,950 4,200 1,001,936 502.504.53110 502.504.53230 502.504.53233 502.504.53405 502.504.53409 502.504.53414 502.504.53423 502.504.53426 502.504.53450 502.504.53462 502.504.53513 502.504.53520 502.504.53530 502.504.53610 Contractual Services Utilities Postage - Utility Billing Canal Winchester Sewer Agreement Operators Certification Professional Services Bio Solids Contract Infiltration Study & Repair Right of Way Fees Engineer - Category B/ Retainer Sanitary Sewer Master Plan Vehicle Maintenance/ Repair Facility Equipment Maintenance/ Repair Annual System Repair/ Maintenance Insurance - General Liability Subtotal Contractual Services 158,072 11,243 278,313 235 100,725 112,801 15,500 3,000 0 24,239 4,557 66,249 12,170 35,171 822,275 176,096 11,791 286,951 54 96,398 125,156 35,005 3,000 24,036 50,762 3,633 52,457 24,543 48,594 938,476 176,200 15,000 280,000 250 118,700 115,000 75,000 3,000 40,000 0 10,000 78,300 25,000 52,800 989,250 216,000 11,500 343,000 70 88,950 90,000 20,000 3,000 7,300 0 3,038 49,035 17,574 49,443 898,910 233,700 13,500 345,000 150 122,000 115,000 25,000 3,000 15,000 0 6,000 75,000 75,000 54,387 1,082,737 32.63% -10.00% 23.21% -40.00% 2.78% 0.00% -66.67% 0.00% -62.50% 0.00% -40.00% -4.21% 200.00% 3.01% 9.45% 240,711 13,905 355,350 155 125,660 118,450 25,000 3,090 15,450 0 6,180 77,250 77,250 59,826 1,118,277 247,932 14,322 366,011 159 129,430 122,004 25,000 3,183 15,914 0 6,365 79,568 79,568 65,809 1,155,263 6,176 2,300 9,050 3,166 5,000 -44.75% 5,150 5,305 (continued) 502.504.54208 Supplies and Materials Computer Equipment/ Software 65 City of Pickerington, Ohio Sewer Fund (Continued) Acct No. Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $39,350 15,900 1,000 4,800 70,100 $23,000 10,100 665 2,820 39,751 $41,000 19,000 1,000 4,500 70,500 4.19% 19.50% 0.00% -6.25% 0.57% $42,230 19,570 1,030 4,635 72,615 $43,497 20,157 1,061 4,774 74,793 0 57,326 3,324 9,932 12,714 0 83,296 1,500 101,500 3,600 13,000 0 200,000 319,600 5,066 74,000 2,216 8,634 0 55,000 144,916 5,000 99,250 3,200 12,500 46,000 850,000 1,015,950 233.33% -2.22% -11.11% -3.85% 0.00% 0.00% 217.88% 5,000 90,000 3,300 12,500 15,000 200,000 325,800 5,000 90,000 3,300 12,500 15,000 270,000 395,800 700,000 93,546 1,832 795,378 1,893,570 93,546 161 1,987,277 1,744,920 93,546 1,000 1,839,466 1,556,639 93,546 2,014 1,652,199 879,837 78,433 0 958,270 -49.58% -16.16% -100.00% -47.90% 1,096,983 63,320 0 1,160,303 1,086,813 63,320 0 1,150,133 2,395,631 3,773,194 4,048,481 3,486,804 4,055,389 0.17% 3,640,364 3,777,924 Actual 2010 Actual 2011 $18,333 7,612 500 4,716 37,337 $25,705 8,776 722 4,628 42,131 0 17,264 3,226 9,369 28,353 0 92,489 Expenditures 502.504.54230 502.504.54244 502.504.54400 502.999.57200 Supplies and Materials Miscellaneous Supplies Miscellaneous Equipment Tools Gasoline Rotary Subtotal Supplies and Materials 502.504.55209 502.504.55210 502.504.55216 502.504.55217 502.504.55220 502.504.55610 Capital Computer Equipment/ Software Equipment Phone/ Network Lease Equipment Billing Equipment Lease - Utility Billing Vehicle Infrastructure Improvements Subtotal Capital 502.901.57111 502.901.57112 502.998.57300 Transfers/ Reimbursements Sewer Debt Retirement OWDA Refunds/ Overpayments Subtotal Transfers/ Reimbursements Total Expenditures Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 874,786 (297,281) (657,231) (64,283) (562,139) 1,821,833 2,696,619 2,399,338 2,399,338 2,335,055 $2,696,619 $2,399,338 $1,742,107 $2,335,055 $1,772,916 66 -14.47% -2.68% (41,207) (69,536) 1,772,916 1,731,709 1.77% $1,731,709 $1,662,173 City of Pickerington, Ohio Water Pollution Control Loan Fund Enterprise Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Water Pollution Control Loan Fund Loan Proceeds. Capital expenditures related to wastewater improvement projects Engineering Department Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 504.000.47200 Loan Proceeds EPA/ OWDA Loan Proceeds Subtotal Loan Proceeds 504.000.48200 Other Revenue Escrow Account - Interest Earnings Subtotal Other Revenue $3,995,744 3,995,744 $51,042 51,042 $0 0 $0 0 $1,800,000 1,800,000 0.00% 0.00% $0 0 $0 0 402 402 48 48 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Revenues 3,996,146 51,090 0 0 1,800,000 0.00% 0 0 504.504.55300 Capital Infrastructure Improvements Subtotal Capital 3,639,040 3,639,040 446,573 446,573 79,929 79,929 0 0 1,800,000 1,800,000 2152.00% 2152.00% 0 0 0 0 504.901.57111 Transfers/ Reimbursements Sewer Debt Retirement Subtotal Transfers/ Reimbursements 0 0 0 0 0 0 0 0 79,929 79,929 100.00% 100.00% 0 0 0 0 3,639,040 446,573 79,929 0 1,879,929 2252.00% 0 0 0 (79,929) 0.00% 0 0 79,929 0.00% (0) (0) 0.00% ($0) ($0) Expenditures Total Expenditures Net Change in Fund Balance 357,106 (395,483) (79,929) Estimated Fund Balance, January 1 118,306 475,412 79,929 79,929 $475,412 $79,929 $0 $79,929 Total Available Funds 67 ($0) City of Pickerington, Ohio Water Debt Retirement Fund Debt Service Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Water Debt Retirement Fund Debt issuances and transfers from various funds. Principal and interest payments on outstanding debt. Finance Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $1,700,000 0 0 11,284 0 902 1,712,186 $1,200,000 0 1,900,000 7,609 12,046 0 3,119,655 $700,000 2,345,000 1,730,000 0 0 134,924 4,909,924 $700,000 2,345,000 1,730,000 5,789 14,307 134,924 4,930,020 $0 0 0 0 0 0 0 -100.00% -100.00% -100.00% 0.00% 0.00% 0.00% -100.00% $0 0 0 0 0 0 0 $0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 390,000 452,221 842,221 521,250 209,360 730,610 215,113 807,833 1,022,946 215,113 807,833 1,022,946 276,000 204,310 480,310 28.30% 0.00% -53.05% 289,833 189,176 479,009 163,713 189,176 352,889 2,554,407 3,850,265 5,932,870 5,952,966 480,310 -91.90% 479,009 352,889 2,167 2,167 0 0 79,924 79,924 79,924 79,924 0 0 -100.00% -100.00% 0 0 0 0 Revenues 507.000.47213 507.000.47212 507.000.47211 507.000.47300 507.000.47310 507.000.47350 Note Proceeds Note Rollover - Water Plant 2002 Bonb Proceeds - 2012 Water System Improvement Note Rollover - Water Tower Premium - Plant Engineering Note Premium - Water Tower Note Premium Subtotal Note Proceeds 507.000.48200 Interest Income Interest Subtotal Interest Income 507.000.49111 507.000.49112 Transfers Transfer - From Water Capital Improvement Transfer - From Water Fund Subtotal Transfers Total Revenues Expenditures 507.503.53420 Contractual Services Refinancing Issuance Fees Subtotal Contractual Services 507.801.56109 507.801.56100 507.801.56110 507.801.56111 507.801.56112 507.801.56108 507.801.56120 507.801.56130 507.802.56200 507.802.56210 507.802.56220 507.802.56240 507.802.56230 Principal, Interest, and Note Rollovers Principal - Water Plant Notes 2002 Principal - Water Tower Principal - Water Plant Bonds 1994 Principal - Waterline for SIB Principal - 2012 Water System Bonds Principal - WPCLF Note Rollover - Water Tower Notes Note Rollover - Water Plant Notes 2002 Interest - Water Tower Notes Interest - Water Plant Bonds 1994 Interest - 2012 Water System Bonds Interest - WPCLF Interest - Water Plant Notes 2002 Subtotal Principal, Interest, and Note Rollovers 500,000 0 100,000 190,000 0 0 0 1,700,000 0 19,045 0 0 44,000 2,553,045 500,000 100,000 110,000 0 0 0 1,900,000 1,200,000 25,000 16,045 0 0 21,250 3,872,295 500,000 170,000 110,000 0 2,400,000 136,000 1,730,000 700,000 23,638 12,195 0 56,000 15,113 5,852,946 530,000 170,000 110,000 0 2,400,000 133,088 1,730,000 700,000 23,638 6,098 0 56,088 45,487 5,904,399 0 0 115,000 0 85,000 137,976 0 0 0 8,345 82,789 51,200 0 480,310 -100.00% -100.00% 4.55% 0.00% -96.46% 1.45% -100.00% -100.00% -100.00% -31.57% 100.00% -8.57% -100.00% -91.79% 0 0 120,000 0 90,000 143,044 0 0 0 4,320 75,513 46,132 0 479,009 0 0 0 0 90,000 148,299 0 0 0 0 73,713 40,877 0 352,889 Total Expenditures 2,555,212 3,872,295 5,932,870 5,904,399 480,310 -91.90% 479,009 352,889 (22,030) 0 48,567 0 0.00% 0 0 22,835 22,030 0 0 48,567 100.00% 48,567 48,567 $22,030 $0 $0 $48,567 $48,567 100.00% $48,567 $48,567 Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds (805) 68 City of Pickerington, Ohio Utility Deposit Guarantee Fund Enterprise Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Utility Deposit Guarantee Fund Utility security deposits from customers. Refunded security deposits to customers. Utility Billing Department Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $8,000 8,000 $13,757 13,757 $10,000 10,000 25.00% 25.00% $10,000 10,000 $10,000 10,000 14,100 8,000 13,757 10,000 25.00% 10,000 10,000 1,131 169 1,300 3,873 1,003 4,876 7,000 3,000 10,000 7,000 3,000 10,000 5,000 5,000 10,000 -28.57% 66.67% 0.00% 5,000 5,000 10,000 5,000 5,000 10,000 1,300 4,876 10,000 10,000 10,000 0.00% 10,000 10,000 Net Change in Fund Balance 10,050 9,224 (2,000) 3,757 0 -100.00% 0 0 Estimated Fund Balance, January 1 12,870 22,920 32,144 32,144 35,901 11.69% 35,901 35,901 $22,920 $32,144 $30,144 $35,901 $35,901 19.10% $35,901 $35,901 Acct No. Actual 2010 Actual 2011 $11,350 11,350 $14,100 14,100 11,350 Contractual Services Utility Deposits - Applied Utility Deposits - Refunded Subtotal Contractual Services Total Expenditures Revised Budget 2012 Revenues 508.000.49300 Other Income Deposits Subtotal Other Income Total Revenues Expenditures 508.551.56600 508.901.56500 Total Available Funds 69 City of Pickerington, Ohio Water Capital Improvement Fund Enterprise Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Water Capital Improvement Fund Residential and commercial capacity fees. Water capital improvements and transfers to the water fund. Water Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $0 255,309 0 9,086 33,923 298,318 $9,753 201,282 8,142 9,431 52,272 280,880 $2,500 195,700 0 8,000 0 206,200 $0 253,578 0 9,015 0 262,593 $0 261,185 0 8,000 0 269,185 -100.00% 33.46% 0.00% 0.00% 0.00% 30.55% $2,500 269,021 0 8,000 0 279,521 $2,500 277,092 0 8,000 0 287,592 11,991 11,991 6,268 6,268 4,000 4,000 1,500 1,500 1,500 1,500 0.00% 0.00% 1,500 1,500 1,500 1,500 310,309 287,148 210,200 264,093 270,685 28.78% 281,021 289,092 7,451 7,451 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 0 0 76,775 0 0 0 76,775 0 0 69,325 0 3,237 31,046 103,608 0 25,675 0 99,325 0 0 125,000 0 15,174 0 0 1,763 52,204 69,141 50,000 0 0 100,000 0 0 150,000 0.00% -100.00% 0.00% 100.00% 0.00% 0.00% 20.00% 0 0 0 0 0 0 0 0 0 0 0 0 0 0 Revenues 509.000.45520 509.000.45521 509.000.45523 509.000.45524 509.000.45525 Charges for Services Commercial Capacity Fees Residential Capacity Fees Canal/ Pickerington Capacity Fees Pearl Lane/ Columbus St Capacity Fee Pay Plan Fire Protection Capacity Fee Subtotal Charges for Services 509.000.48200 Interest Income Interest Subtotal Interest Income Total Revenues Expenditures 509.503.53461 Contractual Services Water - Real Property Taxes Subtotal Contractual Services 509.503.55671 509.503.55674 509.503.55690 509.503.55691 509.503.55695 509.503.55696 Capital Hereford Dr - Raw Water Conversion Water Plant Aeration Bypass W-24 TDS Treatment Water Treatment Plant RO Discharge Line Water Tower W-15 Reverse Osmosis Construction Subtotal Capital 509.901.57111 509.901.57112 509.998.57300 Transfers/ Reimbursements Transfer - Water Debt Retirement Transfer - SIB Loan Water Refunds Subtotal Transfers/ Reimbursements 200,000 190,000 3,271 393,271 521,250 0 0 521,250 275,488 47,011 0 322,499 215,112 47,011 0 262,123 276,000 0 0 276,000 0.19% 100.00% 0.00% -14.42% 289,833 0 0 289,833 163,713 0 0 163,713 Total Expenditures 477,497 624,858 447,499 331,264 426,000 -4.80% 289,833 163,713 (167,188) (337,710) (237,299) (67,171) (155,315) 34.55% Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds (8,812) 125,379 1,289,100 1,121,912 784,202 784,202 717,031 -8.57% 561,717 552,904 $1,121,912 $784,202 $546,903 $717,031 $561,717 2.71% $552,904 $678,283 70 City of Pickerington, Ohio OWDA Fund Enterprise Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. OWDA Fund Loan Proceeds. Capital expenditures related to wastewater improvements projects. Engineering Department Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 510.000.49120 Transfers Transfer - From Sewer Fund Subtotal Transfers $93,546 93,546 $93,546 93,546 $93,546 93,546 $93,546 93,546 $78,433 78,433 0.00% 0.00% $63,320 63,320 $63,320 63,320 Total Revenues 93,546 93,546 93,546 93,546 78,433 0.00% 63,320 63,320 Principal and Interest Sewer Lines - 1975 OWDA Principal Sewer Lines - 1975 OWDA Interest Sycamore Creek - WPCL Principal Sycamore Creek - WPCL Interest Subtotal Principal and Interest 24,434 5,792 36,940 26,380 93,546 25,961 4,265 38,674 24,646 93,546 27,583 2,643 40,489 22,831 93,546 27,583 2,643 40,489 22,831 93,546 14,698 415 42,390 20,930 78,433 -46.71% -84.30% 4.69% -8.32% -16.16% 0 0 44,379 18,941 63,320 0 0 46,462 16,858 63,320 Total Expenditures 93,546 93,546 93,546 93,546 78,433 -16.16% 63,320 63,320 Net Change in Fund Balance 0 0 0 0 0 0.00% 0 0 Estimated Fund Balance, January 1 0 0 0 0 0 0.00% 0 0 $0 $0 $0 $0 $0 0.00% $0 $0 Expenditures 510.801.56100 510.802.56200 510.801.56110 510.802.56210 Total Available Funds 71 City of Pickerington, Ohio Sewer Repair and Replacement Fund Enterprise Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Sewer Repair and Replacement Fund Residential and commercial capacity fees. Sewer capital improvements and transfers to the sewer fund. Sewer Department Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $139,507 0 139,507 $133,935 9,336 143,271 $125,000 2,500 127,500 $191,955 0 191,955 $135,000 2,500 137,500 8.00% 0.00% 7.84% $139,050 2,500 141,550 $143,222 2,500 145,722 3,901 3,901 2,167 2,167 2,000 2,000 2,000 2,000 2,000 2,000 0.00% 0.00% 2,000 2,000 2,000 2,000 143,408 145,438 129,500 193,955 139,500 7.72% 143,550 147,722 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0.00% 0.00% 0.00% 0 0 0 0 0 0 Actual 2010 Revenues 511.000.45620 511.000.45630 Charges for Services Residential Capacity Fees Commercial Capacity Fees Subtotal Charges for Services 511.000.48200 Interest Income Interest Subtotal Interest Income Total Revenues Expenditures 511.851.55300 511.851.55692 Capital Plant Engineering/ Construction WW-11 Hill Rd. S. Sanitary Sewer Subtotal Capital 511.901.57100 511.901.57120 511.998.57300 Transfers/ Reimbursements Transfer - Sewer Debt Retirement Transfer - SIB Loan Sewer Refunds Subtotal Transfers/ Reimbursements 163,034 0 0 163,034 237,913 100,000 0 337,913 206,683 126,474 0 333,157 18,402 126,474 0 144,876 187,390 126,474 0 313,864 -9.33% 0.00% 0.00% -5.79% 50,000 126,474 0 176,474 50,000 0 0 50,000 Total Expenditures 163,034 337,913 333,157 144,876 313,864 -5.79% 176,474 50,000 Net Change in Fund Balance (19,626) (192,475) (203,657) 49,079 (174,364) 14.38% (32,924) 97,722 Estimated Fund Balance, January 1 682,324 644,689 452,214 452,214 501,293 10.85% 326,929 294,005 $662,698 $452,214 $248,557 $501,293 $326,929 31.53% $294,005 $391,727 Total Available Funds 72 City of Pickerington, Ohio Sewer Plant Line Construction Fund Enterprise Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Sewer Plant Line Construction Note proceeds and interest earnings. Sewer capital improvements and transfers to the sewer debt retirement fund. Sewer Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 512.000.48200 Interest Income Interest Subtotal Interest Income 0 0 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Revenues 0 0 0 0 0 0.00% 0 0 Transfers/ Reimbursements Transfer - Sewer Debt Retirement Subtotal Transfers/ Reimbursements 106,713 106,713 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Expenditures 106,713 0 0 0 0 0.00% 0 0 (106,713) 0 0 0 0 0.00% 0 0 106,713 0 0 0 0 0.00% 0 0 $0 $0 $0 $0 $0 0.00% $0 $0 Expenditures 512.901.57100 Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 73 City of Pickerington, Ohio Stormwater Fund Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $403,841 2,771 1,863 52,697 461,172 $542,640 3,405 18,212 41,030 605,287 $580,000 1,000 2,500 35,000 618,500 $576,292 926 0 53,912 631,130 $610,178 0 0 42,000 652,178 5.20% -100.00% -100.00% 20.00% 5.45% $646,789 0 0 42,000 688,789 $685,596 0 0 42,000 727,596 0 0 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 0 4,185 4,185 0 6,037 6,037 0 6,500 6,500 180 5,582 5,762 0 6,500 6,500 0.00% 0.00% 0.00% 0 7,280 7,280 0 8,154 8,154 Total Revenues 465,357 611,324 625,000 636,892 658,678 5.39% 696,069 735,750 513.604.51100 513.604.51101 513.604.51104 513.604.51210 513.604.51211 513.604.51300 513.604.51310 513.604.51400 513.604.51500 Personal Services Salaries and Wages - AFSCME Overtime - AFSCME Salary and Wages - Nonunion Retirement Benefits - AFSCME Retirement Benefits - Nonunion Insurance - Union Insurance - Nonunion Uniforms Workers Compensation Subtotal Personal Services 90,295 2,361 42,457 14,494 6,155 49,410 7,911 1,989 1,303 216,375 89,952 1,888 100,467 14,384 15,080 56,424 16,309 2,699 1,364 298,567 92,500 4,000 85,290 15,500 13,100 42,500 18,250 3,700 1,925 276,765 87,783 1,000 72,471 12,584 10,642 38,759 18,581 1,233 1,687 244,740 94,601 2,500 83,686 15,563 12,465 44,518 20,770 3,700 1,900 279,703 2.27% -37.50% -1.88% 0.41% -4.84% 4.75% 13.81% 0.00% -1.30% 1.06% 96,020 2,000 84,941 15,797 12,652 49,860 23,262 3,700 2,356 290,589 97,460 2,000 86,215 16,034 12,842 55,843 26,054 3,700 2,921 303,070 513.604.53410 513.604.53415 513.604.53416 513.604.53417 513.604.53426 513.604.53428 513.604.53450 513.604.53510 513.604.53513 513.604.53530 Contractual Services Professional Services Shawnee Crossing - Stream Repair Annual Repair Curb and Gutter Annual Stormwater Ditch Maintenance Right of Way Permit Fees Stormwater System Study Engineer - Category B Retainer Equipment Maintenance Vehicle Maintenance/ Repair Annual System Repair/ Maintenance Subtotal Contractual Services 24,545 0 26,069 7,031 3,000 0 0 1,049 3,705 223 65,622 58,832 0 35,702 0 3,000 4,334 2,569 1,700 4,554 1,826 112,517 64,100 50,000 35,000 10,000 3,000 20,000 10,000 2,500 5,000 2,000 201,600 60,245 0 31,662 5,027 3,000 0 0 1,000 4,000 1,688 106,622 79,000 0 35,000 6,500 3,000 0 10,000 2,500 6,500 10,000 152,500 23.24% -100.00% 0.00% -35.00% 0.00% -100.00% 0.00% 0.00% 30.00% 400.00% -24.36% 65,920 0 36,050 6,500 3,000 0 10,000 2,500 6,500 5,000 135,470 67,898 0 37,132 6,500 3,000 0 10,000 2,500 6,500 5,000 138,529 513.604.54209 513.604.54230 513.604.54231 513.604.54400 513.901.57200 Supplies and Materials Computer Software Miscellaneous Supplies Miscellaneous Equipment Tools Gasoline Rotary Subtotal Supplies and Materials 1,000 2,857 390 354 3,237 7,838 0 3,391 1,823 512 6,678 12,404 1,000 9,700 3,000 650 5,800 20,150 0 4,383 19 0 3,762 8,164 1,000 8,500 3,000 500 5,600 18,600 0.00% -12.37% 0.00% -23.08% -3.45% -7.69% 1,000 5,000 3,000 500 5,768 15,268 1,000 5,000 3,000 500 5,941 15,441 (continued) Acct No. Revenues 513.000.45900 513.000.45913 513.000.45919 513.000.45920 Charges for Services User Fees - City User Fees - Delinquent Capacity Fees - Commercial Capacity Fees - Residential Subtotal Charges for Services 513.000.46210 Fees and Permits Stream Permit Subtotal Fees and Permits 513.000.48402 513.000.48441 Other Revenue Bid Specs Fee Insurance Employee Contribution Subtotal Other Revenue Expenditures 74 City of Pickerington, Ohio Stormwater Fund (Continued) Acct No. Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Expenditures 513.604.55220 513.604.55230 513.604.55300 513.604.55500 513.604.55512 513.604.55537 Capital Vehicle Lease Equipment Storage Facility - Service Annual Stormwater Improvement Projects Culvert 256 CIP Willow Pond Storm Sewer Subtotal Capital $0 4,152 8,803 2,721 3,062 0 18,738 $0 12,824 0 0 0 0 12,824 $0 40,000 0 15,000 0 0 55,000 $0 31,974 0 13,944 0 0 45,918 $0 30,000 0 15,000 0 25,000 70,000 0.00% -25.00% 0.00% 0.00% 0.00% 0.00% 27.27% $0 30,000 0 180,000 0 125,000 335,000 $0 30,000 0 0 0 0 30,000 513.901.57100 513.901.57101 513.901.57123 513.998.57300 Transfers/ Reimbursements Stormwater Debt Retirement General Obligation Debt Stormwater Construction Fund Refunds/ Overpayments Subtotal Transfers/ Reimbursements 35,780 0 0 692 36,472 204,862 100,000 0 27 304,889 191,363 128,674 80,038 6,200 406,275 191,363 48,636 70,000 5,178 315,177 0 48,637 96,645 0 145,282 -100.00% -62.20% 20.75% -100.00% -64.24% 0 48,637 0 0 48,637 0 0 0 0 0 Total Expenditures 345,045 741,201 959,790 720,621 666,085 -30.60% 824,964 487,040 Net Change in Fund Balance 120,312 (129,877) (334,790) (83,729) -97.79% (128,895) 248,709 Estimated Fund Balance, January 1 345,600 465,912 336,035 336,035 252,306 -24.92% 244,898 116,003 $465,912 $336,035 $1,245 $252,306 $244,898 19570.54% $116,003 $364,713 Total Available Funds 75 (7,407) City of Pickerington, Ohio Sewer Debt Retirement Debt Service Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Sewer Debt Retirement Fund Debt issuances and transfers from various funds. Principal and interest payments on outstanding debt. Finance Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 514.000.47212 514.000.47214 514.000.47310 514.000.47314 514.000.47350 Note Proceeds Note Rollover - Plant & D-Line III & I Note Proceeds - 1999 Sanitary Sewer Refunding Premium - Sewer Phase III Premium - 1999 Sewer Refunding Premium Subtotal Note Proceeds $1,093,000 0 7,288 0 844 1,604,406 $700,000 1,955,000 4,438 21,764 0 2,681,202 $350,000 0 0 0 0 350,000 $350,000 0 2,895 0 0 352,895 $0 0 0 0 0 0 -100.00% 0.00% 0.00% 0.00% 0.00% -100.00% $0 0 0 0 0 0 $0 0 0 0 0 0 514.000.49112 514.000.49113 514.000.49114 Transfers Transfer - From Sewer Fund Transfer - From WPCLF Transfer - From Sewer Repair and Replacement Subtotal Transfers 700,000 0 163,034 969,747 1,893,570 0 237,913 2,131,483 1,745,920 0 206,683 1,952,603 1,745,920 0 18,402 1,764,322 879,837 79,929 187,390 1,147,156 -49.61% 100.00% 0.00% -41.25% 1,096,983 0 50,000 1,146,983 1,086,813 0 50,000 1,136,813 2,574,153 4,812,685 2,302,603 2,117,217 1,147,156 -50.18% 1,146,983 1,136,813 844 844 50,331 50,331 1,000 1,000 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Revenues Expenditures 514.504.53420 Contractual Services Refinancing Issuance Fees Subtotal Contractual Services 514.801.56100 514.801.56130 514.801.56142 514.801.56143 514.801.56150 514.801.56152 514.801.56153 514.801.56160 514.802.56209 514.802.56251 514.802.56250 514.802.56252 514.802.56260 Principal, Interest, and Note Rollovers Principal - 1999 Refunding Bonds Principal - 1999 Sewer Bonds Note Rollover - Dline III, IV & Plant Principal - Dline III, IV & Plant Principal - 1995 Refunding Bonds Principal - Plant Engineering Notes Note Rollover - Plant Engineering Notes Principal - DEFA Loan Interest - 1999 Sewer Bonds Interest - Dline III, IV & Plant Notes Interest - 1995 Refunding Bonds Interest - Plant Engineering Notes Interest - DEFA Loan Subtotal Principal, Interest, and Note Rollovers 0 100,000 1,093,000 407,000 170,000 125,000 500,000 0 97,970 30,000 37,733 12,500 0 2,573,203 1,920,000 115,000 700,000 393,000 170,000 500,000 0 445,760 72,579 13,662 32,633 6,250 405,041 4,773,925 0 140,000 350,000 700,000 180,000 0 0 455,423 50,540 13,125 26,683 0 385,832 2,301,603 0 140,000 350,000 700,000 180,000 0 0 288,680 50,540 13,125 26,683 0 368,189 2,117,217 0 140,000 0 0 185,000 0 0 421,676 47,390 0 20,383 0 332,159 1,146,608 -100.00% 0.00% -100.00% -100.00% 0.00% 100.00% 0.00% -7.41% -6.23% -100.00% -23.61% 100.00% -13.91% -50.18% 0 140,000 0 0 195,000 0 0 435,706 44,240 0 6,954 0 318,129 1,140,029 0 145,000 0 0 190,000 0 0 450,203 41,090 0 6,888 0 303,632 1,136,813 Total Expenditures 2,574,047 4,824,256 2,302,603 2,117,217 1,146,608 -50.20% 1,140,029 1,136,813 (11,571) 0 0 549 100.00% 6,954 0 11,465 11,571 0 0 0 100.00% 549 7,502 $11,571 $0 $0 $0 $549 100.00% $7,502 $7,502 Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 106 76 City of Pickerington, Ohio Water Tower Construction Fund Enterprise Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Water Tower Construction Fund Note proceeds. Water tower construction expenses. Water Department Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 516.000.47200 516.000.47300 516.000.47350 Note Proceeds Note Proceeds - Water Tower Premium - Water Tower Notes Premium Subtotal Note Proceeds $2,000,000 13,247 1,059 2,014,306 $0 0 0 0 $0 0 0 0 $0 0 0 0 $0 0 0 0 0.00% 0.00% 0.00% 0.00% $0 0 0 0 $0 0 0 0 Total Revenues 2,014,306 0 0 0 0 0.00% 0 0 516.503.55300 Capital SR 256 E. Water Tower Construction Subtotal Capital 1,198,817 1,198,817 574,582 574,582 100,197 100,197 100,197 100,197 0 0 0.00% 0.00% 0 0 0 0 516.901.57100 Transfers/ Reimbursements Transfer - Water Debt Retirement Subtotal Transfers/Reimbursements 0 0 0 0 0 0 0 0 140,710 140,710 100.00% 100.00% 0 0 0 0 1,198,817 574,582 100,197 100,197 140,710 0.00% 0 0 (574,582) (100,197) (100,197) (140,710) 0.00% 0 0 0 815,489 240,907 240,907 140,710 -41.59% 0 0 $815,489 $240,907 $140,710 $140,710 $0 -100.00% $0 $0 Expenditures Total Expenditures Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 815,489 77 City of Pickerington, Ohio Stormwater Construction Fund Enterprise Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Stormwater Construction Fund Note proceeds and OPWC grant proceeds. Stormwater capital improvements. Stormwater Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 517.000.44220 Intergovernmental Revenue OPWC Stormwater Grant Subtotal Intergovernmental Revenue 517.000.49110 Transfers Transfer - From Stormwater Fund Subtotal Transfers Total Revenues $239,941 239,941 $0 0 $307,835 307,835 $237,835 237,835 $139,357 139,357 -54.73% -54.73% $0 0 $0 0 0 0 0 0 80,038 80,038 70,000 70,000 96,645 96,645 20.75% 20.75% 0 0 239,941 0 387,873 307,835 236,002 0.00% 0 0 0 0 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Expenditures 517.604.53420 Contractual Services Issuance Fees Subtotal Contractual Services 517.604.55512 517.604.55513 Capital SR 256 Culvert OPWC and OEPA Projects Subtotal Capital 23,636 239,941 263,577 0 0 0 307,835 0 307,835 307,835 0 307,835 0 236,002 236,002 0.00% 0.00% 0.00% 0 0 0 0 0 0 517.901.57100 Transfers/ Reimbursements Transfer - Stormwater Debt Retirement Subtotal Transfers/ Reimbursements 125,000 125,000 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Expenditures 388,577 0 307,835 307,835 236,002 0.00% 0 0 (148,636) 0 80,038 0 0 0.00% 0 0 148,636 0 0 0 0 0.00% 0 0 $0 $0 $80,038 $0 $0 0.00% $0 $0 Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 78 City of Pickerington, Ohio Stormwater Debt Retirement Debt Service Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Stormwater Debt Retirement Fund Debt issuances and transfers from the stormwater and stormwater construction funds. Principal and interest payments on outstanding debt. Finance Department Actual 2010 Actual 2011 $389,000 2,579 391,579 $189,000 1,198 190,198 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 $0 0 0 $0 0 0 $0 0 0 0.00% 0.00% 0.00% $0 0 0 $0 0 0 Projected 2015 Revenues 518.000.47210 518.000.47300 Note Proceeds Note Rollover - Downtown Outfall Premium Subtotal Note Proceeds 518.000.49110 518.000.49120 Transfers Transfer - From Stormwater Fund Transfer - From Stormwater Construction Fund Subtotal Transfers 35,780 125,000 160,780 204,863 0 204,863 191,363 0 191,363 191,363 0 191,363 0 0 0 -100.00% 0.00% -100.00% 0 0 0 0 0 0 Total Revenues 552,359 395,061 191,363 191,363 0 -100.00% 0 0 Principal, Interest, and Note Rollovers Principal - SR 256 Culvert Note Rollover - Downtown Outfall Interest - SR 256 Culvert Interest - Downtown Outfall Subtotal Principal, Interest, and Note Rollovers 150,000 389,000 3,018 7,762 549,780 200,000 189,000 4,862 0 393,862 189,000 0 2,363 0 191,363 189,000 0 2,363 0 191,363 0 0 0 0 0 -100.00% 0.00% -100.00% 0.00% -100.00% 0 0 0 0 0 0 0 0 0 0 Total Expenditures 549,780 393,862 191,363 191,363 0 -100.00% 0 0 2,579 1,199 0 0 0 0.00% 0 0 0 2,785 3,984 3,984 3,984 0.00% 3,984 3,984 $2,579 $3,984 $3,984 $3,984 $3,984 0.00% $3,984 $3,984 Expenditures 518.801.56110 518.801.56120 518.802.56200 518.802.56210 Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 79 City of Pickerington, Ohio Water Pollution Control Loan Fund - Water Enterprise Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Water Pollution Control Loan Fund - Water Loan Proceeds. Capital expenditures related to water system improvements. Engineering Department Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2011 Budget to 2012 Budget Projected 2014 Projected 2015 Revenues 519.000.47200 Loan Proceeds EPA/ OWDA Loan Proceeds Subtotal Loan Proceeds 519.000.49200 $0 0 $1,493,755 1,493,755 $76,851 76,851 $80,100 80,100 $0 0 -100.00% -100.00% $0 0 $0 0 Transfers/ Advances Advance from General Fund Subtotal Transfers/ Advances 0 0 722,880 722,880 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Revenues 0 2,216,635 76,851 80,100 0 -100.00% 0 0 519.504.55300 Capital Reverse Osmosis Construction Subtotal Capital 0 0 1,464,505 1,464,505 76,851 76,851 106,100 106,100 0 0 -100.00% -100.00% 0 0 0 0 519.901.59250 Advances Advance Repayment - General Fund Subtotal Advances 0 0 722,880 722,880 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Expenditures 0 2,187,385 76,851 106,100 0 -100.00% 0 0 Net Change in Fund Balance 0 29,250 0 (26,000) 0 0.00% 0 0 Estimated Fund Balance, January 1 0 0 29,250 29,250 3,250 0.00% 3,250 3,250 $0 $29,250 $29,250 $3,250 $3,250 0.00% $3,250 $3,250 Expenditures Total Available Funds 80 City of Pickerington, Ohio Aquatic Recreation Fund Enterprise Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Aquatic Recreation Fund Pool passes and concession sales. Expenses related to the upkeep and operation and maintenance of the facility. Parks and Recreation Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 $165,325 21,340 10,551 2,400 1,447 201,063 $159,042 17,711 2,945 2,766 2,368 184,832 $151,000 21,000 7,500 2,500 2,000 184,000 $158,640 17,980 9,775 2,004 2,661 191,060 $154,000 17,000 7,500 2,500 2,000 183,000 1.99% -19.05% 0.00% 0.00% 0.00% -0.54% $154,000 17,000 7,500 2,500 2,000 183,000 $151,000 17,000 7,500 2,500 2,000 180,000 0 235 403 638 346 235 26 607 0 235 0 235 102 235 154 491 0 235 0 235 0.00% 100.00% 0.00% 100.00% 0 235 0 235 0 235 0 235 201,701 185,439 184,235 191,551 183,235 -0.54% 183,235 180,235 Revenues 218.000.45300 218.000.45308 218.000.45321 218.000.45330 218.000.45340 Charges for Services Pool Memberships Guest Passes Swimming Lessons Pool Rental Concession Sales Subtotal Charges for Services 218.000.48400 218.000.49800 218.000.49920 Other Revenue Miscellaneous Income Petty Cash Refunds Subtotal Other Revenue Total Revenues Expenditures 218.301.51100 218.301.51210 218.301.51400 218.301.51500 218.301.52300 Personal Services Salaries and Wages Retirement Benefits Uniforms Workers Compensation Professional Development Subtotal Personal Services 57,242 8,772 0 1,821 976 68,811 65,697 7,602 2,121 765 776 76,961 66,250 8,500 2,250 1,000 1,200 79,200 67,730 8,528 1,839 845 829 79,770 69,750 10,777 2,250 1,000 1,200 84,977 5.28% 26.79% 0.00% 0.00% 0.00% 7.29% 70,796 10,939 2,250 1,000 1,200 86,185 71,858 11,103 2,250 1,000 1,200 87,411 218.301.53100 218.301.53400 218.301.53520 218.301.53600 Contractual Services Utilities Professional Services Facility Equipment Maintenance/ Repair General Liability Insurance Subtotal Contractual Services 19,796 3,141 40,309 5,211 68,457 20,126 5,450 29,551 2,731 57,858 22,000 13,614 47,347 3,004 85,965 20,000 16,808 44,323 2,794 83,925 22,000 9,000 37,500 3,000 71,500 0.00% -33.89% -20.80% -0.13% -16.83% 22,660 9,000 37,500 3,000 72,160 23,340 6,500 37,500 3,000 70,340 218.301.54230 218.301.54242 Supplies and Materials Miscellaneous Supplies Miscellaneous Equipment Subtotal Supplies and Materials 15,718 11,279 26,997 23,774 24,669 48,443 18,900 4,000 22,900 17,613 250 17,863 16,000 3,000 19,000 -15.34% -25.00% -17.03% 16,000 17,500 33,500 16,000 17,500 33,500 218.301.55210 218.301.55300 Capital Equipment Buildings/ Structures Subtotal Capital 0 8,776 8,776 0 0 0 15,000 0 15,000 10,590 0 10,590 30,000 0 30,000 0.00% 100.00% 100.00% 0 0 0 0 0 0 218.998.57300 Reimbursements Refunds Pool Memberships Subtotal Reimbursements 831 831 570 570 1,000 1,000 1,000 1,000 1,250 1,250 25.00% 25.00% 0 0 0 0 204,065 193,148 191,845 191,251 Total Expenditures 173,872 183,832 206,727 1.30% Net Change in Fund Balance 27,829 1,607 (19,830) (1,597) (23,492) 18.47% (8,610) (11,016) Estimated Fund Balance, January 1 41,667 69,496 71,103 71,103 69,506 -2.25% 46,014 37,404 $69,496 $71,103 $51,273 $69,506 $46,014 -10.26% $37,404 $26,388 Total Available Funds 81 City of Pickerington, Ohio Trust Fund Fiduciary Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Trust Fund Deposits from developers to be used for future inspections. Inspection and engineering services provided by the City. Engineering Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 701.000.48200 Interest Income Interest Subtotal Other Revenue 701.000.49400 Transfers/ Reimbursements Engineer Deposits Subtotal Transfers/ Reimbursements Total Revenues $58 58 $625 625 $500 500 $500 500 $250 250 -50.00% -50.00% $0 0 $0 0 0 0 1,000 1,000 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 58 1,625 500 500 250 -50.00% 0 0 2,100 2,100 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 0 0 0 0 0 0 423,509 0 423,509 282,612 0 282,612 0 139,610 139,610 -100.00% 100.00% -67.03% 0 0 0 0 2,100 0 423,509 282,612 139,610 -67.03% 0 0 (423,009) (282,112) (139,360) 67.06% 0 0 Expenditures 701.799.53460 Contractual Services City Inspection Services Subtotal Contractual Services 701.907.57300 701.901.57100 Transfers/Reimbursements Refunds - Engineering Deposits Transfers - General Fund Subtotal Transfers/ Reimbursements Total Expenditures Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds (2,042) 1,625 421,889 421,384 423,009 423,009 140,897 -66.69% 1,537 1,537 $419,847 $423,009 $0 $140,897 $1,537 0.00% $1,537 $1,537 82 City of Pickerington, Ohio Unclaimed Monies Fund Fiduciary Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Unclaimed Monies Fund Uncashed checks - to be held for five years after date of check. Payment may be made to the original payee of the check or to the City after expiration Finance Department Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 702.000.48400 702.000.48410 702.000.48420 Miscellaneous Income Mayor's Court Utility General Subtotal Miscellaneous Revenue $0 0 0 0 $23 0 0 23 $0 0 500 500 $0 0 2,884 2,884 $0 0 500 500 0.00% 0.00% 0.00% 0.00% $0 0 500 500 $0 0 500 500 0 23 500 2,884 500 0.00% 500 500 Reimbursements Unclaimed Funds Payment Subtotal Reimbursements 205 205 0 0 3,000 3,000 500 500 3,000 3,000 0.00% 0.00% 3,000 3,000 3,000 3,000 Total Expenditures 205 0 3,000 500 3,000 0.00% 3,000 3,000 (205) 23 (2,500) 2,384 (2,500) 0.00% (2,500) (2,500) Total Revenues Expenditures 702.907.57300 Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 5,756 5,551 5,574 5,574 7,958 42.77% 5,458 2,958 $5,551 $5,574 $3,074 $7,958 $5,458 77.55% $2,958 $458 83 City of Pickerington, Ohio Street Trust Fund Fiduciary Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Street Trust Fund Deposits from developers and interest. Street capital improvement projects. Engineering Department Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 703.000.48200 Interest Income Interest Subtotal Interest Income $3,658 3,658 $398 398 $15 15 $300 300 $100 100 566.67% 566.67% $100 100 $100 100 3,658 398 15 300 100 566.67% 100 100 Transfers/Reimbursements Transfers - Debt Retirement for SIB Loan Subtotal Transfers/ Reimbursements 150,000 150,000 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Expenditures 150,000 0 0 0 0 0.00% 0 0 398 15 300 100 -566.67% 100 100 424,353 278,011 278,409 278,409 278,709 0.11% 278,809 278,909 $278,011 $278,409 $278,424 $278,709 $278,809 0.14% $278,909 $279,009 Total Revenues Expenditures 703.901.57100 Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds (146,342) 84 City of Pickerington, Ohio Stormwater Improvement Trust Fund Fiduciary Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Stormwater Improvement Trust Fund Deposits from developers and property owners and interest earnings. Stormwater capital improvement projects. Engineering Department Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 704.000.48200 Interest Income Interest Subtotal Interest Income $26 26 $13 13 $14 14 $14 14 $14 14 0.00% 0.00% $14 14 $14 14 26 13 14 14 14 0.00% 14 14 Capital Long Road Stormwater Improvement Subtotal Capital 0 0 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Expenditures 0 0 0 0 0 0.00% 0 0 26 13 14 14 14 0.00% 14 14 23,797 23,823 23,836 23,836 23,850 0.06% 23,864 23,878 $23,823 $23,836 $23,850 $23,850 $23,864 0.06% $23,878 $23,892 Total Revenues Expenditures 704.604.55110 Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 85 City of Pickerington, Ohio Sidewalk Improvement Trust Fiduciary Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Sidewalk Improvement Trust Deposits from developers and property owners and interest earnings. Sidewalk capital improvement projects. Engineering Department Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 705.000.48200 Interest Income Interest Subtotal Interest Income $2 2 $3 3 $2 2 $2 2 $2 2 0.00% 0.00% $2 2 $2 2 Total Revenues 2 3 2 2 2 0.00% 2 2 Contractual Services Professional Services Subtotal Contractual Services 0 0 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Expenditures 0 0 0 0 0 0.00% 0 0 Net Change in Fund Balance 2 3 2 2 2 0.00% 2 2 1,701 1,703 1,706 1,706 1,708 0.12% 1,710 1,712 $1,703 $1,706 $1,708 $1,708 $1,710 0.12% $1,712 $1,714 Expenditures 705.602.53410 Estimated Fund Balance, January 1 Total Available Funds 86 City of Pickerington, Ohio Stormwater Basin Trust Fund Fiduciary Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Stormwater Basin Trust Fund Property owner deposits and interest earnings. Maintenance of stormwater basins. Engineering Department Actual 2010 Actual 2011 Revised Budget 2012 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 706.000.48200 Interest Income Interest Subtotal Interest Income $798 798 $394 394 $400 400 $250 250 $200 200 -50.00% -50.00% $200 200 $200 200 798 394 400 250 200 -50.00% 200 200 Reimbursements Reimbursement for Mowing Subtotal Reimbursements 0 0 0 0 0 0 0 0 0 0 0.00% 0.00% 0 0 0 0 Total Expenditures 0 0 0 0 0 0.00% 0 0 798 394 400 250 200 50.00% 200 200 67,379 68,177 68,571 68,571 68,821 0.36% 69,021 69,221 $68,177 $68,571 $68,971 $68,821 $69,021 0.07% $69,221 $69,421 Total Revenues Expenditures 706.604.57125 Net Change in Fund Balance Estimated Fund Balance, January 1 Total Available Funds 87 City of Pickerington, Ohio Cemetery Trust Fund Fiduciary Fund Name: Funding Sources: Allowable Expenditures: Department Responsible: Acct No. Cemetery Trust Fund Interest earnings. Perpetual care of specific cemetery lots located in the City. Finance Department Actual 2010 Revised Budget 2012 Actual 2011 Estimated 2012 Proposed 2013 % of Change 2012 Budget to 2013 Budget Projected 2014 Projected 2015 Revenues 707.000.48400 707.000.48401 707.000.48410 707.000.48411 Interest Income Daniel Morris Grave Deposit Daniel Morris Interest Earnings Dorothy Davis Grave Deposit Dorothy Davis Interest Earnings Subtotal Interest Income $1,000 1,895 545 903 4,343 $0 4 0 2 6 $0 0 0 0 0 $0 4 0 2 6 $0 0 0 0 0 0.00% 0.00% 0.00% 0.00% 0.00% $0 0 0 0 0 $0 0 0 0 0 Total Revenues 4,343 6 0 6 0 0.00% 0 0 Net Change in Fund Balance 4,343 6 0 6 0 0 0 0 4,343 4,349 4,349 4,355 0.14% 4,355 4,355 $4,343 $4,349 $4,349 $4,355 $4,355 0.14% $4,355 $4,355 Estimated Fund Balance, January 1 Total Available Funds 88 0
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