Cost Centers Under Director of Streets in FY 2025
Expenditures by cost center under Director of Streets (510000) for the 2025 fiscal year
Totals
Budget
$4,675,167
Total budget for FY 2025.
Total Expended
$1,530,821
33% expended of total budget
Total amount expended in FY 2025.
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All expenditures made by cost centers under the Director of Streets (510000) cost center for the 2025 fiscal year.
Browse Expenditures
Totals by Cost Center
Cost Center | Title | Budget | Expended | % Expended |
---|---|---|---|---|
510003 | Director of Streets Lateral Sewer Program | $2,361,549 | $1,038,436 | 44% |
510000 | Director of Streets | $2,273,618 | $486,220 | 21% |
Totals by Account
Account | Title | Budget | Expended | % Expended |
---|---|---|---|---|
510100 | Salaries Regular Employees | $1,575,572 | $335,405 | 21% |
510900 | Overtime Regular Employees | $65,000 | $24,767 | 38% |
511200 | Salaries Per Performance Employees | $88,000 | $17,903 | 20% |
512000 | FICA | $132,236 | $28,637 | 22% |
513800 | Employee Retirement Plan | $275,883 | $59,000 | 21% |
513810 | Employee Retirement System Debt Contr | $31,511 | $6,708 | 21% |
514700 | Workers Compensation Admin | $19,695 | $4,438 | 23% |
515000 | Medical Insurance | $319,725 | $64,857 | 20% |
515030 | Life Insurance | $6,145 | $1,004 | 16% |
515060 | Long Term Disability | $2,206 | $286 | 13% |
520500 | Office Supplies | $9,500 | $6,012 | 63% |
521000 | Communication Supplies | $1,000 | $0 | 0% |
521500 | Health and Safety Supplies | $19,700 | $6,279 | 32% |
522000 | Facility and Grounds Supplies | $54,000 | $8,036 | 15% |
541500 | Health and Safety Equipment | $20,000 | $0 | 0% |
560001 | Computer Software Licenses | $5,000 | $297 | 6% |
560500 | Office Services | $2,500 | $178 | 7% |
560505 | Special Needs Registry Software | $1,500 | $0 | 0% |
561000 | Communication Services | $81,000 | $27,232 | 34% |
562000 | Facility and Grounds Services | $12,600 | $0 | 0% |
564502 | Sewer Lateral Lines | $1,800,000 | $432,788 | 24% |
565600 | Membership Fees | $6,000 | $0 | 0% |
565800 | Internal Services | $10,000 | $1,001 | 10% |
565801 | Internal Services Gas | $30,556 | $5,326 | 17% |
569999 | Prior Year Encumbrance Contractual and Other Services | $100,000 | $500,667 | 501% |
700002 | 27th Pay Reserve | $5,839 | $0 | 0% |
Totals by Fund
Fund | Title | Budget | Expended | % Expended |
---|---|---|---|---|
1000 | General Fund | $2,273,618 | $486,220 | 21% |
1111 | Budgeted Special Fund | $40,000 | $6,164 | 15% |
1117 | Sewer Lateral Repair Program | $2,361,549 | $1,038,436 | 44% |
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