Cost Centers Under Director of Streets in FY 2026

Expenditures by cost center under Director of Streets (510000) for the 2026 fiscal year

Totals

Budget
$4,784,716
Total budget for FY 2026.
Total Expended
$123,763
3% expended of total budget
Total amount expended in FY 2026.

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All expenditures made by cost centers under the Director of Streets (510000) cost center for the 2026 fiscal year.

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Totals by Cost Center

Expenditures by cost center for those under Director of Streets (510000) in FY 2026
Cost Center Title Budget Expended % Expended
510003 Director of Streets Lateral Sewer Program $2,527,955 $110,283 4%
510000 Director of Streets $2,215,761 $13,480 1%

Totals by Account

Expenditures by account for cost centers under Director of Streets (510000) in FY 2026
Account Title Budget Expended % Expended
510100 Salaries Regular Employees $1,610,322 $0 0%
510900 Overtime Regular Employees $65,000 $0 0%
511200 Salaries Per Performance Employees $48,000 $0 0%
512000 FICA $133,364 $0 0%
513800 Employee Retirement Plan $279,391 $0 0%
513810 Employee Retirement System Debt Contr $32,206 $0 0%
514700 Workers Compensation Admin $20,129 $0 0%
515000 Medical Insurance $324,020 $0 0%
515030 Life Insurance $6,280 $0 0%
515060 Long Term Disability $2,254 $0 0%
520500 Office Supplies $10,000 $4,612 46%
521000 Communication Supplies $1,000 $0 0%
521500 Health and Safety Supplies $25,000 $111 0%
522000 Facility and Grounds Supplies $54,000 $606 1%
541500 Health and Safety Equipment $10,000 $0 0%
560001 Computer Software Licenses $16,000 $0 0%
560500 Office Services $2,500 $0 0%
560505 Special Needs Registry Software $1,500 $0 0%
561000 Communication Services $82,000 $9,413 11%
562000 Facility and Grounds Services $12,600 $0 0%
564502 Sewer Lateral Lines $2,000,000 $67,135 3%
565600 Membership Fees $6,000 $0 0%
565800 Internal Services $10,000 $0 0%
565801 Internal Services Gas $27,356 $0 0%
700002 27th Pay Reserve $5,793 $0 0%

Totals by Fund

Expenditures by fund for cost centers under Director of Streets (510000) in FY 2026
Fund Title Budget Expended % Expended
1000 General Fund $2,215,761 $13,480 1%
1111 Budgeted Special Fund $41,000 $0 0%
1117 Sewer Lateral Repair Program $2,527,955 $110,283 4%

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