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CIVIC CENTER MAINTENANCE <br />PUBLIC WORKS ACCOUNTING UNIT <br />CIVIC CENTER MAINTENANCE 07417655 <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 />57,747 <br />140,922 <br />268,200 <br />272,790 <br />61100 Retirement -Employer Normal Cost <br />6,147 <br />18,017 <br />32,780 <br />32,270 <br />61102 Retirement- Employer Unfunded- Miscellaneous <br />14,251 <br />12,010 <br />28,580 <br />34,590 <br />61120 Medicare Insurance <br />909 <br />2,174 <br />3,890 <br />3,960 <br />61130 Health Insurance <br />18,113 <br />29,849 <br />89,400 <br />89,400 <br />61170 Retiree Health Benefits <br />0 <br />0 <br />2,680 <br />2,730 <br />61180 Worker Compensation Insurance <br />3,269 <br />40 <br />2,770 <br />9,890 <br />100,437 <br />203,012 <br />428,300 <br />445,630 <br />SUBTOTAL SALARIES & BENEFITS <br />62000 Utilities <br />268,107 <br />315,846 <br />300,000 <br />348,400 <br />62010 Communications <br />3,275 <br />2,249 <br />3,280 <br />3,280 <br />62320 Maintenance & Repair Buildings <br />1,178,423 <br />1,295,343 <br />1,122,790 <br />1,526,990 <br />1,449,804 <br />1,613,438 <br />1,426,070 <br />1,878,670 <br />SUBTOTAL CONTRACTUALS <br />63200 Operating Materials & Supplies <br />7,952 <br />50,000 <br />30,000 <br />30,000 <br />63300 Gas & Diesel <br />6,402 <br />3,188 <br />500 <br />500 <br />14,355 <br />53,188 <br />30,500 <br />30,500 <br />SUBTOTAL COMMODITIES <br />65010 Rental City Equipment <br />6,672 <br />7,104 <br />6,110 <br />8,930 <br />65012 Accident Repair & Replacement <br />126 <br />252 <br />2,700 <br />670 <br />65040 IT Maintenance Charge <br />22,310 <br />22,750 <br />23,750 <br />24,220 <br />65055 Communications- Landlines <br />0 <br />9,585 <br />3,310 <br />3,320 <br />65100 Insurance Charges <br />9,807 <br />9,876 <br />9,070 <br />29,250 <br />65105 Benefits Overhead <br />599 <br />10 <br />570 <br />4,360 <br />65400 Indirect Costs <br />19,325 <br />47,746 <br />102,020 <br />151,350 <br />58,840 <br />97,323 <br />147,530 <br />222,100 <br />SUBTOTAL FIXED CHARGES <br />66220 Improvements Other Than Building <br />0 <br />0 <br />100,000 <br />900,000 <br />SUBTOTAL CAPITAL <br />0 <br />0 <br />100,000 <br />900,000 <br />67003 Loan Payment-OBF <br />15,690 <br />3,923 <br />0 <br />0 <br />SUBTOTAL DEBT SERVICE <br />15,690 <br />3,923 <br />0 <br />0 <br />68001 POB Misc Xfer to Fund 406 <br />13,195 <br />10,117 <br />11,100 <br />13,100 <br />13,195 <br />10,117 <br />11,100 <br />13,100 <br />SUBTOTAL TRANSFERS <br />TOTAL <br />1,652,321 <br />1,981,000 <br />2,143,500 <br />3,490,000 <br />453 TABLE OF CONTENTS <br />