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BUILDING MAINT FUND <br />PUBLIC WORKS ACCOUNTING UNIT <br />BLDG MAINTENANCE 07317100 <br />Account <br />ACTUAL <br />ACTUAL <br />ADOPTED <br />PROPOSED <br />Code LINE ITEM RESOURCES <br />FY 22-23 <br />FY 23-24 <br />FY 24-25 <br />FY 25-26 <br />61000 Salaries Regular <br />1,232,253 <br />1,243,771 <br />1,365,460 <br />1,375,160 <br />61010 Salaries Cash Out/Separation <br />4,940 <br />4,409 <br />10,600 <br />0 <br />61020 Salaries Part -Time <br />14,036 <br />0 <br />18,720 <br />19,170 <br />61040 Salaries Overtime <br />46,799 <br />66,441 <br />25,750 <br />25,750 <br />61100 Retirement -Employer Normal Cost <br />90,065 <br />116,896 <br />128,380 <br />126,850 <br />61102 Retirement- Employer Unfunded- Miscellaneous <br />208,808 <br />153,796 <br />194,720 <br />215,080 <br />61110 Part -Time Retirement <br />515 <br />0 <br />700 <br />720 <br />61120 Medicare Insurance <br />18,009 <br />18,941 <br />20,030 <br />20,190 <br />61130 Health Insurance <br />253,088 <br />268,991 <br />333,360 <br />317,760 <br />61170 Retiree Health Benefits <br />1,852 <br />11,433 <br />13,280 <br />13,390 <br />61180 Worker Compensation Insurance <br />73,246 <br />70,571 <br />59,820 <br />59,360 <br />1,943,610 <br />1,955,248 <br />2,170,820 <br />2,173,430 <br />SUBTOTAL SALARIES & BENEFITS <br />62000 Utilities <br />1,361,139 <br />1,171,425 <br />1,266,110 <br />1,266,110 <br />62010 Communications <br />26,569 <br />10,432 <br />6,260 <br />7,560 <br />62012 Cellular Phone Charges <br />0 <br />0 <br />0 <br />540 <br />62120 Training, Transportation, Meetings <br />2,635 <br />7,709 <br />5,720 <br />5,180 <br />62140 Membership, Subscription & Dues <br />928 <br />128 <br />280 <br />280 <br />62251 Other Agency Services <br />36,155 <br />40,423 <br />38,630 <br />57,500 <br />62300 Contract Services -Professional <br />1,314,186 <br />894,197 <br />479,320 <br />529,320 <br />62320 Maintenance & Repair Buildings <br />31,769 <br />0 <br />429,730 <br />506,080 <br />2,773,383 <br />2,124,314 <br />2,226,050 <br />2,372,570 <br />SUBTOTAL CONTRACTUALS <br />63001 Miscellaneous Operating Expenses <br />144,439 <br />65,545 <br />68,400 <br />18,400 <br />63200 Operating Materials & Supplies <br />0 <br />47,951 <br />50,450 <br />50,450 <br />63300 Gas & Diesel <br />4,430 <br />4,668 <br />4,950 <br />4,950 <br />148,870 <br />118,164 <br />123,800 <br />73,800 <br />SUBTOTAL COMMODITIES <br />65010 Rental City Equipment <br />51,362 <br />54,717 <br />40,610 <br />47,850 <br />65011 Equipment Replacement Charges <br />345 <br />2,605 <br />3,410 <br />10,420 <br />65012 Accident Repair & Replacement <br />1,464 <br />1,491 <br />4,030 <br />0 <br />65040 IT Maintenance Charge <br />77,080 <br />86,070 <br />89,830 <br />91,630 <br />65055 Communications- Landlines <br />0 <br />13,184 <br />12,510 <br />12,580 <br />65100 Insurance Charges <br />219,738 <br />205,522 <br />195,720 <br />187,130 <br />65105 Benefits Overhead <br />13,429 <br />12,381 <br />12,390 <br />16,480 <br />65240 Public Works Administrative Ch <br />57,500 <br />63,090 <br />194,490 <br />304,910 <br />65400 Indirect Costs <br />398,767 <br />431,917 <br />536,080 <br />225,770 <br />819,684 <br />870,976 <br />1,089,070 <br />896,770 <br />SUBTOTAL FIXED CHARGES <br />66511 Computer Software Subscriptions <br />0 <br />303 <br />0 <br />0 <br />SUBTOTAL CAPITAL <br />0 <br />303 <br />0 <br />0 <br />67003 Loan Payment-OBF <br />83,976 <br />90,974 <br />83,950 <br />28,410 <br />67301 POB Principal-Misc <br />41,022 <br />14,060 <br />22,780 <br />40,650 <br />67311 POB Interest - Misc <br />74,847 <br />74,790 <br />74,720 <br />74,440 <br />199,845 <br />179,824 <br />181,450 <br />143,500 <br />SUBTOTAL DEBT SERVICE <br />TOTAL <br />5,885,392 <br />5,248,830 <br />5,791,190 <br />5,660,070 <br />449 TABLE OF CONTENTS <br />