Cost Centers Under Street Division in FY 2025
Expenditures by cost center under Street Division (514000) for the 2025 fiscal year
Totals
Budget
$11,349,290
Total budget for FY 2025.
Total Expended
$3,178,276
28% expended of total budget
Total amount expended in FY 2025.
Downloads
All expenditures made by cost centers under the Street Division (514000) cost center for the 2025 fiscal year.
Browse Expenditures
Totals by Cost Center
Cost Center | Title | Budget | Expended | % Expended |
---|---|---|---|---|
514000 | Street Division | $9,390,722 | $2,842,484 | 30% |
514001 | Street Division Debris Removal | $1,475,035 | $312,061 | 21% |
514003 | Street Division Lateral Sewer Program | $344,385 | $23,731 | 7% |
Totals by Account
Account | Title | Budget | Expended | % Expended |
---|---|---|---|---|
510100 | Salaries Regular Employees | $5,949,333 | $1,567,117 | 26% |
510900 | Overtime Regular Employees | $195,000 | $122,114 | 63% |
511200 | Salaries Per Performance Employees | $53,000 | $0 | 0% |
512000 | FICA | $474,096 | $125,344 | 26% |
513800 | Employee Retirement Plan | $1,041,728 | $274,713 | 26% |
513810 | Employee Retirement System Debt Contr | $118,987 | $31,302 | 26% |
514500 | Workers Compensation Settlements | $309,000 | $89,588 | 29% |
514700 | Workers Compensation Admin | $74,367 | $20,027 | 27% |
515000 | Medical Insurance | $1,214,955 | $258,065 | 21% |
515030 | Life Insurance | $23,202 | $4,760 | 21% |
515060 | Long Term Disability | $8,329 | $1,270 | 15% |
520500 | Office Supplies | $5,050 | $1,422 | 28% |
521500 | Health and Safety Supplies | $109,400 | $26,938 | 25% |
521516 | Salt and Chemicals | $1 | $0 | 0% |
522000 | Facility and Grounds Supplies | $1,000,000 | $503,793 | 50% |
522500 | Fleet Materials and Supplies | $30,000 | $4,561 | 15% |
532500 | Fleet Rental and Leases | $30,000 | $0 | 0% |
561000 | Communication Services | $26,000 | $11,118 | 43% |
561500 | Health and Safety Services | $60,000 | $9,740 | 16% |
562500 | Fleet Services | $20,000 | $0 | 0% |
565500 | Transportation | $2,000 | $842 | 42% |
565801 | Internal Services Gas | $579,968 | $125,561 | 22% |
700002 | 27th Pay Reserve | $24,874 | $0 | 0% |
Totals by Fund
Fund | Title | Budget | Expended | % Expended |
---|---|---|---|---|
1000 | General Fund | $10,865,758 | $3,154,545 | 29% |
1111 | Budgeted Special Fund | $139,148 | $0 | 0% |
1117 | Sewer Lateral Repair Program | $344,385 | $23,731 | 7% |
Feedback is anonymous.