PLATTE COUNTY 2014 BUDGET Commission Approved, January 6, 2014
Jason Brown, Presiding Commissioner Beverlee Roper, 1st District Commissioner Duane Soper, 2nd District Commissioner Platte County Auditor’s Office J. Kevin Robinson, MBA, Auditor Justin Kuder, Chief Deputy Auditor
Julia Wortman, Deputy Auditor
2014 BUDGET TABLE OF CONTENTS Budget Message .....................................................................................................1 FUNDS OVERVIEW Overview of General Funds ....................................................................................9 Overview of Special Revenue Funds ...................................................................11 Overview of Debt Service Funds ..........................................................................15 Overview of Capital Projects Fund .......................................................................17 Overview of Enterprise Fund ................................................................................18 GENERAL FUND Revenue Budget by Department General Administration ............................................................................19 Resource Center .....................................................................................20 County Clerk ............................................................................................21 Planning & Zoning ...................................................................................22 Recorder of Deeds ..................................................................................23 Collector ..................................................................................................24 Juvenile Office .........................................................................................25 Circuit Clerk .............................................................................................26 Prosecuting Attorney ...............................................................................27 Sheriff’s Department ................................................................................28 Public Administrator.................................................................................29 Transfers..................................................................................................30 Expenditure Budget by Department General Administration ............................................................................32 County Commission ................................................................................33 Personnel Department.............................................................................34 Building & Grounds..................................................................................35 Resource Center .....................................................................................36 County Clerk ............................................................................................37 Planning & Zoning ...................................................................................38 Information Services ................................................................................39 Auditor .....................................................................................................40 Treasurer .................................................................................................41 Recorder of Deeds ..................................................................................42 Collector ..................................................................................................43 Circuit Judge ............................................................................................44 Court Reporter Div I .................................................................................45 Court Reporter Div II ................................................................................46 Probate Court ..........................................................................................47 Juvenile Office .........................................................................................48 Circuit Clerk .............................................................................................50 Prosecuting Attorney ...............................................................................51 Sheriff’s Department ................................................................................52 Public Administrator.................................................................................54 Contingency .............................................................................................55
Other General Funds General Reserve Fund ............................................................................56 Sheriff Pass-Through Grants Fund..........................................................58 Sheriff Justice Assistance Grant (JAG) Fund ..........................................60 Sheriff ARRA Justice Assistance Grant (JAG) Fund ...............................62 Sheriff State Justice Assistance Grant (JAG) Fund ................................64 Missouri Cyber Crimes Grant Fund .........................................................66 ARRA Missouri Cyber Crimes Grant Fund ..............................................72 ARRA Drug Enforcement Grant Fund .....................................................76 Local Law Enforcement Block Grant (LLEBG) Fund ...............................78 Construction Zone Traffic Grant Fund .....................................................80 FEMA Grant Fund....................................................................................82 Emergency Preparedness Fund ..............................................................84 Animal Control Fund ................................................................................86 Loss Control Committee Fund .................................................................88 Catastrophic Disaster Fund .....................................................................90
SPECIAL REVENUE FUNDS Assessor Fund ......................................................................................................94 Assessor Technology Fund ..................................................................................96 Collector Tax Maintenance Fund..........................................................................98 Recorder User Fee Fund ....................................................................................100 Recorder Technology Fund ................................................................................102 Victim/Domestic Violence Fund ..........................................................................104 LINC Fund ..........................................................................................................106 Prosecutor Training Fund ...................................................................................108 Prosecutor Delinquent Tax Fund ........................................................................110 Prosecutor Administrative Handling Cost Fund ..................................................112 Sheriff P.O.S.T. Commission Training Fund ......................................................114 Sheriff Training Fund ..........................................................................................116 Sheriff 911 Telephone Fund ...............................................................................118 Sheriff DEA Federal Task Force Forfeitures Fund .............................................120 Sheriff Special Projects Fund .............................................................................122 Sheriff Civil Fees Fund .......................................................................................124 Sheriff Revolving Fund .......................................................................................126 Sheriff Inmate Prisoner Detention Security Fund ...............................................128 Transient Guest Tax Fund ..................................................................................130 KCP&L Inspection Fund .....................................................................................132 Parks & Recreation Sales Tax Fund ..................................................................134 Parks Future Maintenance & Improvement Fund ...............................................140 Stormwater Fund ................................................................................................142 Public Works Fund .............................................................................................144 Road Sales Tax-County Road District #1...........................................................148 Road Sales Tax-County Projects .......................................................................150 Road Sales Tax-Kansas City ..............................................................................152 Road Sales Tax-Humphrey’s Bridge ..................................................................154 Road Sales Tax-Weston .....................................................................................156 Road Sales Tax-Platte City ................................................................................158 Road Sales Tax-Farley Special Road District ....................................................160 Road Sales Tax-Weston Special Road District ..................................................162 Road Sales Tax-Camden Point ..........................................................................164 Road Sales Tax-Dearborn ..................................................................................166 Road Sales Tax-Edgerton ..................................................................................168 Road Sales Tax-Farley .......................................................................................170 Road Sales Tax-Ferrelview ................................................................................172 Road Sales Tax-Houston Lake...........................................................................174 Road Sales Tax-Iatan .........................................................................................176
Road Sales Tax-Northmoor ................................................................................178 Road Sales Tax-Parkville ...................................................................................180 Road Sales Tax-Platte Woods ...........................................................................182 Road Sales Tax-Ridgely .....................................................................................184 Road Sales Tax-Riverside ..................................................................................186 Road Sales Tax-Tracy ........................................................................................188 Road Sales Tax-Weatherby Lake.......................................................................190 Road Sales Tax-Lake Waukomis .......................................................................192 Road Sales Tax-Parkville Special Road District.................................................194 Road Sales Tax-Platte City Special Road District ..............................................196
DEBT SERVICE FUNDS Golf Course COP Bond Fund .............................................................................200 Parks & Recreation Bond Fund ..........................................................................202 Transportation Bonds Series 2012 .....................................................................204 Neighborhood #22 Sewer District Bond Fund ....................................................206 Sewer #23 Bond Fund ........................................................................................208 Hoover Sewer District Bond Fund ......................................................................210 Peback Sewer District Bond Fund ......................................................................212 National NID Series 2010 Bond Fund ................................................................214 Parkville Commons NID 2011/2013 Refunded Bond Fund ................................216 Hwy 45/Crooked Road NID Bond Fund ..............................................................218 Zona Rosa TDD ..................................................................................................220
CAPITAL PROJECTS FUNDS Capital Projects Fund .........................................................................................223 Capital Projects Fund – Radios ...........................................................................230 Countywide Roads Construction Fund ...............................................................232 Kansas City Roads Construction Fund...............................................................236 136th St/N Highway Construction Fund .............................................................238 Community Center Capital Maintenance Fund ..................................................240 Community Center Construction Fund ...............................................................242 Stormwater Construction Fund ...........................................................................244
ENTERPRISE FUNDS Shiloh Springs Golf Course Fund .......................................................................248
APPROPRIATION ORDER Appropriation Order ............................................................................................253
OFFICE OF THE AUDITOR PLATTE COUNTY, MISSOURI 415 THIRD STREET, SUITE 55 PLATTE CITY, MISSOURI 64079
J. KEVIN ROBINSON, MBA Auditor (816) 858-2232 (816) 858-1929 Fax E-mail: krobinson@co.platte.mo.us
January 22, 2014
Re:
2014 Commission Adopted Budget
To the Citizens’ of Platte County: Per RSMo 50.540.1, on or by September 1st, the County Auditor (Budget Officer) is to secure revenue and expenditure estimates from each office, department, commission, court, and institution for the following year’s budget. By November 15th, the Auditor is to prepare a recommended budget in which all revenues, salaries of employees (except those established by law), expenditures, and emergency funds shall be detailed for the County Commission to consider, adopt, and fix for the next fiscal year; January through December. The 2014 Commission Proposed Budget document was made available to the public on December 23, 2013. A public hearing was requested on December 16, 2013 on behalf of the Commission. A public hearing was held to discuss the Commissioner’s Proposed Budget on January 6, 2014 during the regularly scheduled Commission Session. Following the public hearing, noting any changes which may arise from the public hearing, the Commission is to vote on the Budget. Changes were noted, a vote was called. The budget was approved with a two to one vote, First District Commission Beverlee Roper and Second District Duane Soper voted to approve the budget. Presiding Commissioner Jason Brown voted against the budget. The following is the approved 2014 Commissioner Adopted Budget. Statutorily, the budget must be adopted by January 10th in non-election years. The 2014 Commission Adopted Budget format includes: A table of contents, fund overview, revenue and expenses for all funds, and the appropriation order. The categories for each fund are presented with: 2013 Commission Amended Budget, 2013 Year-end Forecasts, 2014 Office/Department Requested Budget, 2014 Auditor Recommended Budget, and the 2014 Commission Approved Budget. The intent is to provide a reference and explanation of the County’s financial policy and position. The general areas addressed are: Revenue – Sales and Use Taxes, Roads and other special use fees, Expenditure – Salaries or other costs of conducting business at the County Government level, and Obligations – Bonds, Debt, and other short and long-term financial considerations. Questions and comments are always welcome. Respectfully,
J. Kevin Robinson, MBA Platte County Auditor
2014 Commission Adopted Budget Pursuant to Missouri Revised Statues, Chapter 50.590, Sections 1 - 3, the Commission adopted budget shall include an outline of the County’s Commission’s fiscal policy and financial plan for the 2014 fiscal year. Fiscal Policy - Demonstrate “Fiscal Responsibility” to the Citizens of Platte County with respect to revenues, expenditures, and debt management. Monitor annually the economy and environment to understand how the County is evolving, including the population and requirements of the County Government programs and services. Aggregate Figures - Summary of All Funds - The following are the aggregate figures for: All County Funds, Capital Projects, Special Revenue Funds, and Debt Service & Proprietary Funds. Additional information regarding the General Fund is further expanded upon later in this introduction. TAX INCO ME AND O THER REVENUE
Fund General Fund General Fund Other* Special Revenue Funds Debt Service Funds Capital Projects Funds Total Proprietary Funds Total Platte County
Commission 2014 Adopted $ 17,181,034 1,559,498 22,323,804 8,751,729 21,224,369 791,471 $ 71,831,905
Commission 2013 Amended $ 17,347,849 1,509,058 23,436,823 14,498,969 27,474,988 957,178 $ 85,224,865
O PERATIO NAL EXPENSES
Amount of Amount of Inc./Dec. Inc./Dec. Adopted Adopted $ 151,910 $ (166,815) 4,031 50,440 2,297,971 (1,113,019) (5,793,887) (5,747,240) (7,715,156) (6,250,619) (101,643) (165,707) $(11,156,774) $(13,392,960)
Commission 2014 Adopted $ 17,181,034 1,268,927 17,104,195 7,546,960 20,061,205 791,468 $ 63,953,789
Commission 2013 Amended $ 17,440,917 1,413,434 17,562,966 18,901,847 24,925,452 955,394 $81,200,010
Amount of Amount of Inc./Dec. Inc./Dec. Adopted Adopted $ 58,842 $ (259,883) (1,413,434) (144,507) (1,496,337) (458,771) (11,354,887) (11,354,887) (5,789,823) (4,864,247) (160,080) (163,926) $(20,155,720) $(17,246,221)
* Funds 1100 - 1500
General Fund – Revenue 2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
Commission 2014 Adopted
Account
Title
1000 1050 1100 1200
GENERAL ADMINISTRATION RESOURCE CENTER COUNTY CLERK PLANNING & ZONING TOTAL GENERAL GOVERNMENT
16,818,332 136,250 53,100 150,000 17,157,682
16,879,597 140,788 54,616 242,523 17,317,524
69,209 55,000 195,000 319,209
17,100,000 55,000 52,850 194,000 17,401,850
16,452,950 55,000 52,850 194,000 16,754,800
3000 RECORDER OF DEEDS 3100 COLLECTOR TOTAL PROP. VALUATION & RECORDING
425,000 2,176,700 2,601,700
479,579 2,309,266 2,788,845
513,000 2,302,200 2,815,200
463,000 2,179,700 2,642,700
463,000 2,302,200 2,765,200
4200 4300 4400
JUVENILE OFFICE CIRCUIT CLERK PROSECUTING ATTORNEY TOTAL OTHER EXPENSES
115,207 218,000 169,745 502,952
48,733 226,905 175,572 451,210
116,207 218,000 168,809 503,016
116,500 218,000 168,809 503,309
116,500 218,000 168,809 503,309
5000
SHERIFF'S OFFICE TOTAL PUBLIC SAFETY
909,683 909,683
816,060 816,060
890,689 890,689
890,689 890,689
890,689 890,689
6000 6100
PUBLIC ADMINISTRATOR PUBLIC SERVICES TOTAL HEALTH & WELFARE
160,000 160,000
154,656 154,656
160,000 160,000
160,000 160,000
160,000 160,000
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General Fund – Revenue (Cont.) Account Title TOTAL REVENUES BEFORE TRANSFERS 9900 9900
TOTAL TRANSFERS IN TOTAL TRANSFERS OUT TOTAL REVENUES AFTER TRANSFERS
2013 Amend Commission Approved 21,332,017
2013 Forecast 21,528,294
2014 Department Requested 4,688,114
2014 Auditor Recommended 21,598,548
Commission 2014 Adopted
21,073,998
189,488 (2,173,656)
176,425 (2,134,345)
(1,542,543)
(4,098,789)
50,000 (3,942,964)
19,347,849
19,570,374
3,145,571
17,499,759
17,181,034
Sales Tax Trends and Forecasts Sales Tax Revenue for 2013 ended the year collectively up 0.9%. Sales Tax was up for 2013 1.3%. Use Tax Revenue for 2013 was down 3.5%. The Commission adopted sales tax growth of 0.0% / 0.0%, Sales Tax / Use Tax respectively for 2014. Cash Carryover Fund balances at the end of each year are noted as “cash carryover”. Cash carryover for Fiscal Year (FY) 2013 was budgeted at $4,249,123. The cash carryover for 2013 is $3,825,929, down $423,194. Transfers In & Out Title TRANSFER IN - FUND 2850 TRANSFER IN - FUND 2200 TRANSFER IN - FUND 5000 TRANSFER IN - FUND 2100 TRANSFER IN - FUND 1400 TRANSFER IN - FUND 5200 TRANSFER IN - FUND 2750 TRANSFER OUT - FUND 3000 TRANSFER OUT - FUND 5000 TRANSFER OUT - FUND 2900 TRANSFER OUT - FUND 1110 TRANSFER OUT - FUND 2720 TRANSFER OUT - FUND 5050 TRANSFER OUT - FUND 1100 TRANSFER OUT - FUND 1112 TRANSFER OUT - FUND 1140 TRANSFER OUT - FUND 1150 TRANSFER OUT - FUND 1190 TRANSFER OUT - FUND 1195 TRANSFER OUT - FUND 1005 TRANSFER OUT - FUND 1400 TOTAL TRANSFERS
2013 Amend Commission Approved 5,768 66,634 117,086 (15,000) (364,311) (550,286) (175,164) (615,271) (250,000) (10,000) (1,050) (134,024) (58,550) (1,984,168)
2013 Forecast
5,768 66,634 104,023 (15,000) (325,000) (550,286) (175,164) (615,271) (250,000) (10,000) (1,050) (134,024) (58,550) (1,957,920)
2014 Department Requested (15,000) (550,286) (650,000) (10,094) (154,139) (1,050) (134,024) (27,950) (1,542,543)
2014 Auditor Recommended (15,000) (97,118) (550,286) (14,991) (650,000) (265,001) (10,094) (154,139) (1,050) (134,024) (27,950) (2,150,000) (29,136) (4,098,789)
2014 Commission Adopted 20,000 20,000 10,000 (15,000) (14,300) (550,286) (14,991) (801,687) (57,488) (10,094) (183,079) (1,050) (88,019) (27,834) (2,150,000) (29,136) (3,892,964)
General Fund - Reserve Fund In 2012, the Commission pledged $2,000,000 of the cash carryover as an emergency contingency fund. Fund 1005 – General Reserve Fund is an addition to this year’s recommended budget. The reserve fund separates the contingency from operations. The purpose of the reserve is to maintain liquidity and continue operations in the unlikely event of uneven or disrupted cash flow caused by unforeseen natural or economic disasters.
Page 3
General Fund – Expenditures 2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
Commission 2014 Adopted
Account
Title
1000 1010 1020 1030 1050 1100 1200 1300 9950
GENERAL ADMINISTRATION COUNTY COMMISSION PERSONNEL DEPARTMENT BUILDING & GROUNDS RESOURCE CENTER COUNTY CLERK PLANNING & ZONING INFORMATION SERVICES CONTIGENCY TOTAL GENERAL GOVERNMENT
2,515,024 245,568 166,826 1,156,873 75,675 174,271 528,601 428,755 2,000,000 7,291,593
2,293,504 221,088 139,063 1,102,117 67,245 172,524 420,378 386,877 4,802,796
2,546,268 245,568 152,651 1,062,271 82,050 168,435 481,797 408,186 2,000,000 7,147,226
2,383,137 244,932 152,676 1,068,815 76,000 168,235 480,783 407,402 4,981,980
2,401,529 244,776 147,683 1,108,618 76,000 160,079 426,547 395,287 4,960,519
2000 2100
AUDITOR TREASURER TOTAL FINANCIAL ADMINISTRATION
220,113 169,993 390,106
214,176 163,105 377,281
222,563 169,351 391,914
222,563 172,323 394,886
205,534 171,245 376,779
3000 3100
RECORDER OF DEEDS COLLECTOR TOTAL PROP. VALUATION & RECORDING
247,442 577,053 824,495
247,855 557,892 805,747
289,899 580,111 870,010
298,792 588,572 887,364
276,381 588,572 864,953
4000 4010 4020 4100 4200 4300 4400
CIRCUIT JUDGE COURT REPORTER DIVISION I COURT REPORTER DIVISION II PROBATE COURT JUVENILE OFFICE CIRCUIT CLERK PROSECUTING ATTORNEY TOTAL ADMINISTRATION OF JUSTICE
89,837 2,300 11,200 40,760 937,111 150,900 1,335,626 2,567,734
55,391 8,000 36,919 870,804 97,260 1,313,624 2,381,998
89,837 2,300 3,200 40,760 929,576 134,650 1,390,837 2,591,160
87,220 2,300 3,200 40,760 951,374 134,650 1,378,229 2,597,733
87,178 2,500 3,200 40,260 912,011 134,650 1,361,053 2,540,852
5000
SHERIFF'S OFFICE TOTAL PUBLIC SAFETY
7,962,131 7,962,131
7,378,138 7,378,138
8,135,327 8,135,327
8,226,778 8,226,778
8,030,280 8,030,280
6000
PUBLIC ADMINISTRATOR TOTAL HEALTH & WELFARE
404,858 404,858
391,957 391,957
407,938 407,938
411,017 411,017
407,651 407,651
TOTAL GENERAL FUND EXPENDITURES
19,440,917
16,137,917
19,543,576
17,499,758
17,181,034
Cost of Living Adjustment (COLA) The 2014 Commission Adopted Budget did not include a cost of living adjustment (COLA). The adopted budget did include setting aside funds for the County to pursue self-insurance in 2015. Medical Insurance The 2014 Commission Adopted Budget includes $150,000 for medical insurance reserve for self-funding. The objective of the a self-funding program is to control the cost and minimize rising cost of the County’s insurance plan, manageability, and returning premium dollars to the General Fund. In order to implement a self-funded program a minimum cash reserve is needed. The amount suggested to begin self-insured is $300,000.
Page 4
General Fund Other – Revenue & Expenditures TAX INCO ME AND O THER REVENUE
2014 Adopted
Fund Sheriff Pass-Through Grants Sheriff JAG ARRA Sheriff JAG Sheriff JAG MO Cyber Crimes Pass Thru ARRA MO Cyber Crimes Pass Thru ARRA Drub Enforcement Grant LLEBG Construction Zone Traffice FEMA Grant Emergency Preparedness Animal Copntrol Loss Control Committee Catasrophic Disaster Fund
$
$
278,294 105,537 21,929 362,746 104,231 194,070 130 10,082 40,000 242,477 27,951 126,343 45,708 1,559,498
Commission 2013 Amended $
$
270,234 389,501 17,001 40,052 194,048 130 10,281 40,000 222,783 58,550 220,953 45,525 1,509,058
Amount of Increase (Decrease) $
$
O PERATIO NAL EXPENSES
Percent of Increase (Decrease)
8,060 (283,964) 4,928 362,746 64,179 22 (199) 19,694 (30,599) (94,610) 183 50,440
2.98% -72.90% 28.99% 0.00% 160.24% 0.01% 0.00% -1.94% 0.00% 0.00% 8.84% -52.26% -42.82% 0.40%
Commission Commission 2014 2013 Adopted Amended
Amount of Percent of Increase Increase (Decrease) (Decrease)
$
$
$
222,414 47,068 16,156 362,744 98,004 176,114 10,000 40,000 242,477 27,950 26,000 1,268,927
$
$
230,295 369,587 16,156 166,218 190,447 10,398 40,000 222,783 84,550 83,000 1,413,434
$
(7,881) (322,519) 362,744 (68,214) (14,333) (398) 19,694 (56,600) (57,000) 5,499,742
-3.42% -87.26% 0.00% 0.00% -41.04% -7.53% 0.00% -3.83% 0.00% 0.00% 8.84% -66.94% -68.67% 0.00%
Aggregate Figures - Special Revenue Funds TAX INCO ME AND O THER REVENUE
2014 Adopted
Fund Assessor Assessor Technology County Annex Collector Tax Maintenance Fund Recorder User Fees Recorders Technology Victims of Domestic Violence LINC Fund Law Enforcement Sales Tax Prosecutor Training Prosecutor Delinquent Tax Prosecutor Admin. Handling Cost Sheriff Post Commission Training Sheriff Training 911 Telephone DEA Fed Task Force Forfeitures Sheriff Special Projects Sheriff Civil Fees Sheriff Revolving Fund Sheriff Inmate Security Fund Transient Guest Tax KCP&L Inspection Parks Parks Future Maintenance Stormw ater Public Works Road Sales Tax Funds Summary Total Special Revenue Funds
$
1,842,260 325,784 544,524 140,805 82,332 29,207 16,199 6,267 45,354 31,742 11,396 26,779 1,142,450 138,034 10,246 285,456 277,542 47,096 238,772 5,164,362 2,372,459 2,466,115 4,444,482 2,649,141 $ 22,338,804
Commission 2013 Amended $
1,614,774 339,202 514,101 124,670 61,639 29,562 38,742 10,338 27,253 21,725 8,031 37,347 1,124,571 127,178 20,204 320,871 187,202 36,362 250,369 6,294 5,701,597 1,696,258 2,137,175 4,149,173 4,852,185 $ 23,436,823
Amount of Increase (Decrease) $
$
O PERATIO NAL EXPENSES
Percent of Increase (Decrease)
227,486 (13,418) 30,423 16,135 20,693 (355) (22,543) (4,071) 18,101 10,017 3,365 (10,568) 17,879 10,856 (9,958) (35,415) 90,340 10,734 (11,597) (6,294) (537,235) 676,201 328,940 295,309 (2,203,044) (1,098,019)
Page 5
14.09% -3.96% 0.00% 5.92% 12.94% 33.57% -1.20% -58.19% 0.00% -39.38% 66.42% 46.11% 41.90% -28.30% 1.59% 8.54% -49.29% -11.04% 48.26% 29.52% -4.63% -100.00% -9.42% 39.86% 15.39% 7.12% -45.40%
Commission Commission 2014 2013 Adopted Amended
Amount of Percent of Increase Increase (Decrease) (Decrease)
$
$
1,205,694 60,000 217,656 38,055 60,000 29,100 16,198 5,719 11,660 20,000 8,000 20,000 1,142,449 20,000 7,040 50,000 61,112 6,500 209,738 5,164,361 2,413,917 4,154,904 2,182,092 $ 17,104,195
$
1,222,355 60,000 227,656 26,911 20,000 29,100 38,742 10,136 11,660 20,000 7,900 20,000 1,124,571 20,000 17,540 117,400 66,492 14,500 207,288 5,000 5,687,515 1,979,359 4,149,173 2,479,668 $ 17,562,966
$
(16,661) (10,000) 11,144 40,000 (22,544) (4,417) 100 17,878 (10,500) (67,400) (5,380) (8,000) 2,450 (5,000) (523,154) 434,558 5,731 (297,576) 5,499,742
-1.36% 0.00% 0.00% -4.39% 41.41% 200.00% 0.00% -58.19% 0.00% -43.58% 0.00% 0.00% 1.27% 0.00% 1.59% 0.00% -59.86% -57.41% -8.09% -55.17% 1.18% -100.00% -9.20% 0.00% 21.95% 0.14% -12.00%
Aggregate Figures - Debt Service Funds TAX INCO ME AND O THER REVENUE
Fund Golf Course COP Resource Center Debt Service Parks & Rec Bonds Transportation Bond Funds Neighborhood # 22 Special Assessment Sewer # 23 Special Assessment Hoover Special Assessment Peback Special Assessment National NID Special Assessment Parkville Commons 2005A/B Special Assess Crooked Road NID *Zona Rosa TDD (Appropriation Only) Total Debt Service Funds
Commission Commission 2014 2013 Adopted Amended $ 908,166 $ 911,699 2,500,191 3,073,072 5,222,300
O PERATIO NAL EXPENSES
Amount of Percent of Increase Increase (Decrease) (Decrease) $ (3,533) -0.39% 0.00% (572,881) -18.64% (5,222,300) -100.00%
Commission Commission 2014 2013 Adopted Amended $ 452,055 $ 451,055 2,500,150 2,313,000 5,222,300
Amount of Increase (Decrease) $ 1,000 187,150 (5,222,300)
Percent of Increase (Decrease) 0.22% 0.00% 8.09% -100.00%
64,639 120,766 51,025 48,151 893,814
62,970 123,566 50,992 51,893 890,630
1,669 (2,800) 33 (3,742) 3,184
2.65% -2.27% 0.06% -7.21% 0.36%
45,300 87,480 27,000 27,000 536,150
27,250 92,640 30,630 29,570 543,375
18,050 (5,160) (3,630) (2,570) (7,225)
66.24% -5.57% -11.85% -8.69% -1.33%
1,231,133 979,619
1,220,424 982,998
10,709 (3,379)
0.88% -0.34%
1,034,195 883,405
7,401,069 882,533
(6,366,874) 872
-86.03% 0.10%
1,954,225 $ 8,751,729
1,908,425 $14,498,969
45,800 $ (5,747,240)
2.40%
1,954,225 $ 7,546,960
1,908,425 $18,901,847
45,800 $(11,354,887)
2.40%
* The Zona Rosa TDD appropriation will be funded by the sales tax generated within the District. It is included here due to requirements of the debt issuance documents.
Aggregate Figures - Capital Projects Funds TAX INCO ME AND O THER REVENUE
Fund Capital Projects Countywide Roads Construction Fund Kansas City Roads Projects 136th Street/N Hwy Community Center Capital Maintenance Community Center Construction Fund Total Capital Projects Funds
Commission 2014 Adopted
Commission 2013 Amended
$ 1,543,672 4,535,280 113,595 1,638,978 13,392,844 $21,224,369
$ 3,220,669 1,627,037 259,689 540,574 1,135,761 20,691,258 $27,474,988
Amount of Increase (Decrease) $
$
O PERATIO NAL EXPENSES
Percent of Increase (Decrease)
Commission 2014 Adopted
Commission 2013 Amended
Amount of Percent of Increase Increase (Decrease) (Decrease)
-52.07% 0.00% -56.26% -100.00% 44.31% 0.00%
$ 1,530,707 4,534,061 113,594 490,000 13,392,843 $20,061,205
$ 1,971,896 1,624,791 259,689 87,818 290,000 20,691,258 $24,925,452
$
(1,676,997) 2,908,243 (146,094) (540,574) 503,217 (7,298,414) (6,250,619)
(441,189) -22.37% 2,909,270 0.00% (146,095) -56.26% (87,818) -100.00% 200,000 68.97% (7,298,415) 0.00% $(4,864,247)
Transfers - Capital Projects Funds Budgeted transfer out of the General Fund to the Capital Projects – Fund 5000, is $14,300 compared to $364,311 in 2013. Unassigned cash carryover in Fund 5000 Capital Projects is $409,523. Scheduled projects are estimated to cost $416,326. The fund will have an cash carryover for 2015 of approximately $20,000, once the interest income is posted at yearend. Aggregate Figures - Proprietary Fund TAX INCO ME AND O THER REVENUE
Fund Shiloh Springs Golf Course Total Proprietary Funds
Commission Commission 2014 2013 Adopted Amended
Amount of Increase (Decrease)
$ $
$
791,471 791,471
$ $
957,178 957,178
(101,643)
Page 6
O PERATIO NAL EXPENSES
Percent of Increase (Decrease) -10.62%
Commission Commission 2014 2013 Adopted Amended $ $
791,468 791,468
$ $
955,394 955,394
Amount of Increase (Decrease) $
(160,080)
Percent of Increase (Decrease) -16.76%
Continuing Issue Radios The 2014 Commission Adopted Budget for Radios Capital Projects – Fund 5050 includes revenues of $1,118,366, including cash carryover of $1,054,442, and operating expenses of $1,114,381. The cash carryover is the balance of the KCP&L Inspection Fund, $863,000 in revenue from the participating entities equipment purchases; the cost of the equipment is included in the lease payment, and cash set aside from the General Fund. Budgeted to transfer out of the General Fund to the Fund 5050 is $57,488, compared to $250,000 in 2013. The budgeted expenses also include the February 1, 2015 principal and interest payment. Statutory, in an election year, the deadline for the adoption of the 2015 budget is January 30, 2015 due to the Presiding Commissioner’s Office elections in November. This potential late January adoption of the 2015 budget potentially would not allow sufficient time for funds being appropriated and payment processing. This approach of prepayment prevents the possibility of a late payment due to the potential of the Commission Approved Budget not being adopted in a timely manner. Pending no adverse weather condition in the spring and summer of 2014, the 2015 beginning cash carryover balance is estimated at $50,000. For the 2016 payment, approximately $1,060,000 to $1,160,000 will have to be transfered into the fund. The Commission acknowledges the obligation, and is considering their options. The balance of the capital lease principal and interest payments and estimated annual operating costs are as follows:
2014 for 2015 2015 for 2016 2016 for 2017 2017 for 2018 2018 for 2019 2019 for 2020 2020 for 2021 2021 for 2022
Interest 237,224 211,032 183,919 155,852 126,799 96,723 65,590 33,362
Principal 744,722 770,914 798,027 826,094 855,147 885,223 916,356 948,584
Estimated Operating Cost 130,000 130,000 200,000 200,000 200,000 200,000 200,000 250,000
1,110,501
6,745,067
1,510,000
Annual Obligation 1,111,946 1,111,946 1,181,946 1,181,946 1,181,946 1,181,946 1,181,946 1,231,946 9,365,568
Beginning with the 2014 payment, annual costs were reduced by $100,000 from budget underruns during construction and the management of the operations by the Sheriff’s Office.
Parks & Recreation Special Obligations Bonds Issuance of the Special Obligation Bonds for the Community Center expansion projects included the outstanding portion of the Resource Center certificates of participation (COPs). Out of the proceeds of the issuance, monies were placed into trust with the Bank of Kansas City to make the payments on the Resource Center COPs as they come due. The County’s COPs obligation no longer exists on the County’s books. The 2014 Commission Adopted Budget includes the second, and final, payment of $550,286 to Parks & Recreation. The COP included the balance of the Resource Center COPs bond obligation. The issuance funded the final two COP principal and interest payments.
Page 7
Public Works Transportation Sales Tax – Series 2013 The 2003 Transpiration Sales Tax expired in September 2013. In April 2013, voters renewed the County’s ½ cent Transportation Sales Tax. Following the renewal, the Director of Public Works, Commissioners, and representatives of the various entities receiving a portion of the tax revenue began working on new distribution agreements. At the time the 2014 Commission Adopted Budget was approved, agreements had been received by some, but not all of the entities. Once all are received and the distribution is approved by the Commission in session, budget amendments will be completed and the 2014 Commission Adopted Budget will be revised. Approval by all entities and then Commission approval is estimated to take several months. Based on the agreement approval status, the Auditor recommended the 2014 Commission Adopted Budget reflect the Transpiration Sales Tax accordingly: 1. Series 2003 distributions shall continue as agreed upon, with the majority of funds being collected as of October 2013. Annual and delinquent collections are anticipated in 2014. 2. Series 2003 funds shall be receipted into the appropriate entities’ account and upon certification of the completion of a project, funds will be distributed to the entity. 3. Receipts associated with the 2013 Series shall be held in a liability account until all agreements are finalized and approved by the Commission in session. 4. The 2014 Commission Adopted Budget reflects the following: a. Funds 3104, 3116, and 3119 projected Transportation Sales Tax revenue and TIF expenditures; b. The balance of the Funds participating in the 2003 Road Sales Tax series reflect expenditure disbursements equal to the 2014 cash carryover, this budgeted amount reflects receipts relating to this expired sales tax. Once the 2013 Series disbursement agreements are finalized, budget amendments including interfund transfers, will be presented to revise the 2014 Commission Adopted Budget. Budget amendments are anticipated on a quarterly basis. A special meeting of the Commission could be scheduled to accommodate the necessary public hearing and budget amendments.
Page 8
OVERVIEW OF GENERAL FUNDS General-type funds are used to account for governmental operations from resources that are not legally restricted to expenditures for specific purposes, such as special revenue, debt service, or capital project funds. For annual reporting purposes, all of these general-type funds are reported as General Fund.
Fund # Fund Name
Description
1001
General Fund
To account for the main operations of the County.
1005
General Reserve Fund
To account for monies from general fund operations reserved for future operations or contingencies.
1100
Sheriff Pass-Thru Grants
To account for grant monies where the Sheriff’s Department is acting as a pass through agent by receiving monies and disbursing the monies to other entities.
1110
Sheriff Justice Assistance Grant (JAG)
To account for monies received under the guidelines of the Justice Assistance Grant for funding of commissioned investigators, assistant prosecutors, overtime and minimal operating costs.
1111
Sheriff ARRA Justice Assistance Grant (JAG)
To account for monies received under the guidelines of the Justice Assistance Grant provided by the American Recovery and Reinvestment Act of 2009 for funding of commissioned investigators, assistant prosecutors, overtime and minimal operating costs.
1112
Sheriff State Justice Assistance Grant (JAG)
To account for monies received from the State of Missouri under the guidelines of the Justice Assistance Grant for funding of commissioned investigators, assistant prosecutors, overtime and minimal operating costs.
1120
Missouri Cyber Crimes Grant
To account for revenues and expenditures associated with the operations and management of the multi-jurisdictional Western Missouri Cyber Crimes Task Force grant.
1121
ARRA Missouri Cyber Crimes Grant
To account for revenues and expenditures associated with the operations and management of the multi-jurisdictional Western Missouri Cyber Crimes Task Force grant provided by the American Recovery and Reinvestment Act of 2009.
1130
ARRA Drug Enforcement Grant To account for revenues and expenditures associated with the operations and management of the drug enforcement grant provided by the American Recovery and Reinvestment Act of 2009.
1150
Local Law Enforcement Block Grant
1160
Construction Zone Traffic Grant To account for revenues and expenditures associated with the operations and management of the Construction Zone Traffic grant.
To account for expenditures associated with the replacement of the Sheriff’s Department patrol cars’ light bars.
Page 9
Fund # Fund Name
Description
1180
FEMA Grant
To account for revenues and expenditures associated with the operations and management of Federal Emergency Management Association (FEMA) grants.
1190
Emergency Preparedness
To account for operations of the Sheriff’s Emergency Preparedness department funded predominantly by federally awarded grants.
1195
Animal Control
To account for the operations of the Sheriff’s Department Animal Control division.
1400
Loss Control Committee
To account for operations of the County’s Loss Control Committee funded by participation in various loss control and safety programs.
1500
Catastrophic Disaster Fund
To account for the revenues and expenditures related to catastrophic disasters within the County.
Page 10
OVERVIEW OF SPECIAL REVENUE FUNDS Special Revenue Funds are used to account for resources that are legally restricted to expenditures for specific purposes.
Fund # Fund Name
Description
2100
To account for the operations of the County Assessor’s Office, which includes the cost of performing assessments of all taxable real property as required by Revised Missouri Statue 137.750. Financing is provided by the State and a commission that is received from property tax collections.
Assessor Fund
2110
Assessor’s Technology Fund
To account for the operations of the County Assessor’s Technology Fund which is funded from a percentage of property tax collections as required by Missouri Revised Statues 137.720. Funding not to exceed $100,000 per year.
2200
Collector Tax Maintenance Fund
To account for penalties collected under Revised Missouri Statue 52.315.1 for the purpose of paying for additional administration and operation expenses: purchasing or upgrading information technology and equipment; training; and/or for additional employee salaries.
2300
Recorder User Fee Fund
To account for fees collected under Revised Missouri Statue 59.319 for records storage, microfilming, and preservation.
2310
Recorder Technology Fund
To account for an additional recording fee collected under Revised Missouri Statue 59.800 to be used exclusively for the purchase, installation, upgrade and maintenance of modern technology necessary to operate the Recorder’s Office.
2400
Victim/Domestic Violence Fund
To account for fees collected under Revised Missouri Statue 455.2 to provide shelter for victims of domestic violence.
2450
LINC Fund
To account for grant monies from the Local Investment Commission (LINC) which reimburses a portion of expenses incurred for child welfare services by the County Juvenile Court.
2600
Prosecutor Training Fund
To account for fees collected under Revised Missouri Statue 54.765 for the purpose of providing additional training for Prosecuting Attorneys and their staff.
2610
Prosecutor Delinquent Tax Fund
To account for fees collected under Revised Missouri Statue 136.15 for the Prosecuting Attorney’s collection of delinquent taxes, licenses, and fees for the State of Missouri.
2620
Prosecutor Administrative Handling Cost Fund
To account for expenditures and revenues under Revised Missouri Statues 570.120 and 559.100 for the collection of insufficient funds checks and restitution fees. The Prosecuting Attorney retains a fee based on the amount of the collection recovered.
Page 11
Fund # Fund Name
Description
2700
Sheriff P.O.S.T. Commission Training
To account for monies received from the P.O.S.T. (Peace Officer Standardized Training) Commission Training Fund. It is for the purpose of providing law enforcement training as prescribed in 11CSR 75-10.100.2.
2710
Sheriff Training Fund
To account for fees collected under Revised Missouri Statue 590 to provide training for law enforcement personnel.
2720
Sheriff 911 Telephone Fund
To account for the revenues and expenditures under Revised Missouri Statues 190.305 for operation of emergency telephone services and the operational costs associated with answering and dispatching emergency calls.
2730
Sheriff DEA Fed Task Force Forfeitures
To account for monies generated from forfeited assets seized by a Federal Drug Enforcement Administration, Kansas City Police Department, Kansas City International Airport Police and the Platte County Sheriff’s Department.
2740
Sheriff Special Projects
To account for the monies generated from forfeited assets by an out of state agency that does not fall under State or Federal guidelines and to account for monies received from the U.S. Department of Justice under the guidelines of the Bulletproof Vest Partnership Program.
2750
Sheriff Civil Fee
To account for civil fees collected under Revised Missouri Statute 57.280 for the procurement of services and equipment to support the operation of the Sheriff’s office.
2760
Sheriff Revolving Fund
To account for funds and expenses of civil fees collected for handling Conceal Carry Weapons (CCW) applications.
2770
Sheriff Inmate Prisoner Detention Security Fund
To account for funds and expenses of fees collected for Court proceedings, tickets, and excess Commissary.
2800
Transient Guest Tax
To account for Transient Guest Tax collected under Revised Missouri Statue 67.1004 in the amount of 1/4 of 1% per occupied room per night for the purpose of promoting Tourism in Platte County.
2850
KCP&L Inspection Fund
To account for resources used and received for the inspection of the KCP&L power plant. Inactive fund in 2014.
2900
Parks & Recreation Sales Tax
To account for Parks, Trails and Storm Water Sales Tax collected for the purposes of parks construction and storm water runoff control. Financing is provided by a ½ cent Sales Tax levy voted upon by the taxpayers.
2905
Parks Future Maintenance
To account for portion of Parks, Trails and Storm Water Sales Tax being reserved for future maintenance of the County parks after the sales tax sunsets (expires).
2950
Stormwater Fund
To account for resources used and received in the planning and construction of Storm Water runoff control. Previously fund 5350 Stormwater Construction Fund.
Page 12
Fund # Fund Name
Description
3000
To account for the operations and maintenance of roads and bridges within County Road District #1. Financing is provided by a special road and bridge tax levy and miscellaneous sales taxes.
Public Works Fund
3100* Road Sales Tax-Rd District #1 To account for the receipts and disbursements of roads sales tax monies allocated to County Road District #1. 3101* Road Sales Tax-County Projects
To account for the receipts and disbursements of roads sales tax monies allocated to County Wide Projects.
3102* Road Sales Tax-Kansas City
To account for the receipts and disbursements of roads sales tax monies allocated to Kansas City.
3103* Road Sales Tax-Humphrey’s Bridge
To account for the receipts and disbursements of roads sales tax monies allocated to Humphrey’s Bridge.
3104* Road Sales Tax-Weston
To account for the receipts and disbursements of roads sales tax monies allocated to Weston.
3105* Road Sales Tax-Platte City
To account for the receipts and disbursements of roads sales tax monies allocated to Platte City.
3106* Road Sales Tax-Farley SRD
To account for the receipts and disbursements of roads sales tax monies allocated to Farley Special Road District.
3107* Road Sales Tax-Weston SRD
To account for the receipts and disbursements of roads sales tax monies allocated to Weston Special Road District.
3108* Road Sales Tax-Camden Point To account for the receipts and disbursements of roads sales tax monies allocated to Camden Point. 3109* Road Sales Tax-Dearborn
To account for the receipts and disbursements of roads sales tax monies allocated to Dearborn.
3110* Road Sales Tax-Edgerton
To account for the receipts and disbursements of roads sales tax monies allocated to Edgerton.
3111* Road Sales Tax-Farley
To account for the receipts and disbursements of roads sales tax monies allocated to Farley.
3112* Road Sales Tax-Ferrelview
To account for the receipts and disbursements of roads sales tax monies allocated to Ferrelview.
3113* Road Sales Tax-Houston Lake To account for the receipts and disbursements of roads sales tax monies allocated to Houston Lake. 3114* Road Sales Tax-Iatan
To account for the receipts and disbursements of roads sales tax monies allocated to Iatan.
3115* Road Sales Tax-Northmoor
To account for the receipts and disbursements of roads sales tax monies allocated to Northmoor.
3116* Road Sales Tax-Parkville
To account for the receipts and disbursements of roads sales tax monies allocated to Parkville.
Page 13
Fund # Fund Name
Description
3117* Road Sales Tax-Platte Woods
To account for the receipts and disbursements of roads sales tax monies allocated to Platte Woods.
3118* Road Sales Tax-Ridgely
To account for the receipts and disbursements of roads sales tax monies allocated to Ridgely.
3119* Road Sales Tax-Riverside
To account for the receipts and disbursements of roads sales tax monies allocated to Riverside.
3120* Road Sales Tax-Tracy
To account for the receipts and disbursements of roads sales tax monies allocated to Tracy.
3121* Road Sales Tax-Weatherby Lake
To account for the receipts and disbursements of roads sales tax monies allocated to Weatherby Lake.
3122* Road Sales Tax-Lake Waukomis
To account for the receipts and disbursements of roads sales tax monies allocated to Lake Waukomis.
3123* Road Sales Tax-Parkville SRD To account for the receipts and disbursements of roads sales tax monies allocated to Parkville Special Road District. 3124* Road Sales Tax-Platte City SRD
To account for the receipts and disbursements of roads sales tax monies allocated to Platte City Special Road District.
*Funds 3100-3121 will be combined for external reporting.
Page 14
OVERVIEW OF DEBT SERVICE FUNDS The Debt Service Funds are used to account for the accumulation of financial resources for payment of general long-term debt principal, interest, and other related costs of the County’s long-term debt.
Fund# Fund Name
Descriptions
4100
Golf Course COP Bond Fund
To accumulate monies for payment of principal and interest on the $4.395 million Series 2005 Refunding Certificates of Participation issued to refund the 1993 Series Neighborhood Improvement District Bonds. It was also used to purchase the land associated with the golf course. Principal payments are to be made annually and interest semi-annually until 2018.
4200
Parks & Recreation Bond Fund To accumulate monies for payment of principal and interest on the $21.015 million Series 2011 Special Obligation Refunding and Building Improvement Bonds issued for improvements to the Northern and Southern Platte Community Centers and to pay off the Platte County Resource Center Series 2003 Certificates of Participation. Principal payments are to be made annually and interest semi-annually until 2021.
4304
Transportation Bonds Series 2012
To accumulate monies for payment of principal and interest on the Series 2012 Transportation Refunding Bonds totaling $8.6 million issued to refund the 2003, 2004, 2004A, and 2005 series Transportation Bonds. Principal payments are to be made annually and interest semi-annually until 2013. Inactive fund in
2014.
4400
Neighborhood #22 Sewer District Bond Fund
To accumulate monies for payment of principal and interest on the $269,000 Series 1995 Neighborhood Improvement District Bonds for Sewer District #22. Principal payments are to be Made annually and interest semi-annually until 2016.
4410
Sewer #23 Bond Fund
To accumulate monies for payment of principal and interest on the 795,000 Series 2003 Neighborhood Improvement District Bonds for sewer #23. Principal payments are to be made annually and interest semi-annually until 2016.
4420
Hoover Sewer District Bond Fund
To accumulate monies for payment of principal and interest on the $375,000 Series 1995 C Water Pollution Control Bonds. Principal payments are to be made annually and interest semiannually until 2015.
4430
Peback Sewer District Bond Fund
To accumulate monies for payment of principal and interest on the $366,000 Series 1995 C Water Pollution Control Bonds. Principal payments are to be made annually and interest semiannually until 2015.
4440
National NID Series 2012 Bond To accumulate monies for payment of principal and interest Fund on the $4.920 million Series 2010 Neighborhood Improvement District Refunding Bonds for the National Project. Principal and interest payments are to be made annually until 2021.
Page 15
Fund# Fund Name
Description
4450
Parkville Commons NID 2011/2013 Ref. Bond Fund
To accumulate monies for payment of principal and interest on the $5.7 million Series 2013 Neighborhood Improvement District Refunding Bonds and the $5.415 million Series 2011 Neighborhood Improvement District Refunding Bonds for the Parkville Commons Project. Principal payments are to be made annually and interest semi-annually until 2025.
4460
Hwy 45/Crooked Road NID Bond Fund
To accumulate monies for payment of principal and interest on the Series 2008 Crooked Road Neighborhood Improvement District Bonds for the Crooked Road to Highway 45E Project. Payments are to be made semi-annually until 2028.
4900
Zona Rosa TDD
To guarantee the annual debt service payment on the Transportation Bonds issued by the Industrial Development Authority for the Zona Rosa Retail Project in the event revenues are not sufficient to meet debt service requirements.
.
Page 16
OVERVIEW OF CAPITAL PROJECTS FUNDS The Capital Projects Funds are used to account for financial resources segregated for the acquisition or construction of major capital facilities.
Fund# Fund Name
Description
5000
Capital Projects Fund
To account for resources used and received for various County capital projects.
5050
Capital Projects Fund – Radios To account for resources used and received for the unfunded federally-mandated radios project.
5100
Countywide Roads Construction Fund
To account for resources used and received for various Platte County road and bridge projects located in the County.
5150
Kansas City Roads Construction Fund
To account for resources used and received for various Platte County road and bridge projects located within the Kansas City limits.
5200
136 Street/N Hwy Construction Fund
th
To account for resources used and received for improvements to 136th Street and N Hwy. Inactive in
2014.
5300
Community Center Capital Maintenance Fund
To account for resources used and received for the maintenance of and improvements to the Platte County Community Centers in Platte City and Parkville.
5305
Community Center Construction Fund
To account for resources used and received for the construction on the Community Centers Expansion Project.
5350
Stormwater Construction Fund
To account for resources used and received in the planning and construction of Storm Water runoff control.
Inactive in 2014; reclassified as fund 2950 Stormwater Fund.
Page 17
OVERVIEW OF ENTERPRISE FUNDS The Enterprise Fund is used to account for operations that are financed and operated in a manner similar to private business enterprises-where the stated intent is that the costs of providing goods or services to the general public on a continuing basis be financed or recovered primarily through user charges – or where periodic maintenance, public policy, management control, accountability, or other purposes.
Fund# Fund Name
Description
6100
To account for the revenues and expenditures of the Shiloh Springs Public Golf Course.
Shiloh Springs Golf Course Fund
Page 18
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1000 - General Administration
Account
Title
40100 40150
SALES TAX * LOCAL USE TAX TOTAL TAX REVENUES
41485 44010
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
7,901,144 4,598,856 12,500,000
8,001,360 4,472,022 12,473,381
-
8,159,665 4,792,076 12,951,741
8,050,000 4,500,000 12,550,000
CDBG GRANT INTEREST INCOME TOTAL INTEREST
19,209 19,209
22,500 22,500
19,209 19,209
33,600 33,600
27,021 27,021
50070 50090 50200 50280
OTHER OPERATING REVENUE INTEREST-COLLECTOR RCPTS RENT INSURANCE REIMBURSEMENTS TOTAL OTHER INCOME
50,000 50,000
37,162 37,162
50,000 50,000
50,000 50,000
50,000 50,000
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
550,286 2,000,000 1,698,837 4,249,123
550,286 2,000,000 1,796,268 4,346,554
-
550,286 2,000,000 1,514,373 4,064,659
550,286 2,000,000 1,275,643 3,825,929
16,818,332
16,879,597
69,209
17,100,000
16,452,950
TOTAL GENERAL ADMINISTRATION
* 40100 - Sales Tax is shown as a gross amount before TIF expenses.
Page 19
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1050 - Resource Center
Account 50200
Title RENT TOTAL OTHER REVENUE TOTAL RESOURCE CENTER
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
136,250 136,250
140,788 140,788
55,000 55,000
55,000 55,000
55,000 55,000
136,250
140,788
55,000
55,000
55,000
Page 20
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1100 - County Clerk
Account
Title
45200 45210 45220 45230
LIQUOR LICENSES TOW TRUCK LICENSES AUCTIONEER LICENSES CO CLK/FEES & COMMISSIONS TOTAL FEES & COMMISSIONS
50060 50070 50150
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
50,000 1,000 600 1,500 53,100
50,704 600 1,170 1,776 54,250
-
50,000 600 750 1,500 52,850
50,000 600 750 1,500 52,850
PLAT BOOKS/MAPS OTHER OPERATING REVENUE REAL/PERSONAL TAX BOOKS TOTAL OTHER INCOME
-
366 366
-
-
-
TOTAL COUNTY CLERK
53,100
54,616
-
52,850
52,850
Page 21
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1200 - Planning & Zoning
Account
Title
41560
REMONUMENTATION TOTAL INTERGOVERNMENTAL
45270 45280 45290
PZ/BOARD OF ZONING ADJUSTMENT PZ/BUILDING PERMIT FEE ENGINEERING FEES TOTAL FEES & COMMISSIONS
50070 50200
OTHER OPERATING REVENUE RENT TOTAL OTHER INCOME TOTAL PLANNING & ZONING
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
2,000 2,000
-
2,000 2,000
2,000 2,000
2,000 2,000
7,000 136,000 2,000 145,000
5,067 234,910 812 240,789
7,000 180,000 3,000 190,000
7,000 180,000 3,000 190,000
7,000 180,000 3,000 190,000
3,000 3,000
1,734 1,734
3,000 3,000
2,000 2,000
2,000 2,000
150,000
242,523
195,000
194,000
194,000
Page 22
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 30 - Property Valuation & Recording Department - 3000 - Recorder of Deeds
Account 45350 45351
Title REC/ FEE RECORDER SUBSCRIPTIONS TOTAL FEES & COMMISSIONS TOTAL RECORDER OF DEEDS
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
416,000 9,000 425,000
459,179 20,400 479,579
500,000 13,000 513,000
450,000 13,000 463,000
450,000 13,000 463,000
425,000
479,579
513,000
463,000
463,000
Page 23
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 30 - Property Valuation & Recording Department - 3100 - Collector
Account
Title
40050 40500
PROPERTY TAX M&M REPLACEMENT TAX TOTAL TAX REVENUES
45120 45130 45140 45150 45170
COLLECTOR/COMMISSION COLLECTOR/FEES COLLECTOR - O & E FEES COL/20MM,LOSTTX,INSUFFD COLLECTOR/2% PENALTY TOTAL FEES & COMMISSIONS
50090 50110
INTEREST - COLLECTOR RECEIPTS PRINTING/POSTAGE - COLLECTOR TOTAL MISCELLANEOUS INCOME TOTAL COLLECTOR
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
220,000 61,000 281,000
227,717 62,078 289,795
245,000 61,000 306,000
122,500 61,000 183,500
245,000 61,000 306,000
1,700,000 200 3,000 6,500 180,000 1,889,700
1,826,308 1,370 1,752 9,692 180,348 2,019,471
1,800,000 200 3,700 6,300 180,000 1,990,200
1,800,000 200 3,700 6,300 180,000 1,990,200
1,800,000 200 3,700 6,300 180,000 1,990,200
6,000 6,000
-
6,000 6,000
6,000 6,000
6,000 6,000
2,176,700
2,309,266
2,302,200
2,179,700
2,302,200
Page 24
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 40 - Administration of Justice Department - 4200 - Juvenile Office
Account 41100 41190 41195 41200 41210 41220 41230 41450
Title VISITATION/EXCHANGE PROGRAM JUVENILE DEPUTY SALARY ACCOUNTABILITY THROUGH INTERVENTION GRA DON'T CHOOSE CRIME PARENT/YOUTH MEDIATION DRUG ABUSE PREV & ED MULTIDISCIPLINARY TRAINING OSCA JUVENILE DELINQUENCY GRANT TOTAL INTERGOVERNMENTAL TOTAL JUVENILE OFFICE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
4,000 68,837 36,370 6,000 115,207
5,450 36,333 6,950 48,733
5,000 68,837 36,370 6,000 116,207
5,000 69,000 36,500 6,000 116,500
5,000 69,000 36,500 6,000 116,500
115,207
48,733
116,207
116,500
116,500
Page 25
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 40 - Administration of Justice Department - 4300 - Circuit Clerk
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
41050 41610
HHS-4D INCENTIVE PA & CC JURY FEE REIMBURSEMENT TOTAL INTERGOVERNMENTAL
1,500 24,500 26,000
3,672 3,672
1,500 24,500 26,000
1,500 24,500 26,000
1,500 24,500 26,000
45040 45050 45060
CC/PARENTING CLASS FEES CIRCUIT CLERK FEES CC/CRIME VICTIM COMP TOTAL FEES & COMMISSIONS
4,500 185,000 189,500
3,580 219,504 223,084
4,500 185,000 189,500
4,500 185,000 189,500
4,500 185,000 189,500
50070
OTHER OPERATING REVENUE TOTAL OTHER INCOME
2,500 2,500
149 149
2,500 2,500
2,500 2,500
2,500 2,500
TOTAL CIRCUIT CLERK
218,000
226,905
218,000
218,000
218,000
Page 26
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 40 - Administration of Justice Department - 4400 - Prosecuting Attorney
Account
Title
41050 41250 41260 41570
HHS-4D INCENTIVE PA & CC VICTIM ADVOCACY GRANT VIOLENCE AGAINST WOMEN GRANT P.A. DELINQUENT TAX FUND TOTAL INTERGOVERNMENTAL
41575 45250
P.A. DISCOVERY MONIES PCP/PROS.ATTY. FEE TOTAL FEES & COMMISSIONS
50070 50215
OTHER OPERATING REVENUE CIRCUIT CRT REIMBURSEMENT TOTAL OTHER INCOME TOTAL PROSECUTING ATTORNEY
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
123,337 10,652 22,756 12,500 169,245
125,272 9,833 27,716 11,597 174,418
122,401 10,652 22,756 12,500 168,309
122,401 10,652 22,756 12,500 168,309
122,401 10,652 22,756 12,500 168,309
500 500
1,154 1,154
500 500
500 500
500 500
-
-
-
-
-
169,745
175,572
168,809
168,809
168,809
Page 27
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 50 - Public Safety Department - 5000 - Sheriff
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
41030 41270 41300 41360 41370 41380 41390 41395 41440 41460 41530 41550
DOT-HAZARD MOVING VIOLATION FAST COPS GRANT HIGHWAY SAFETY GRANT BALLISTIC GRANT REVENUE TRAFFIC SAFETY GRANT WOLF PACK GRANT DWI CHECKPOINT REVENUE DSSSF GRANT MISC GRANT < $5000 LGSD-025 DOJ-KCITF, DRUG TASK FORCE FORENSIC LAB REVENUE TOTAL INTERGOVERNMENTAL
10,000 2,000 2,718 19,407 4,290 126,075 1,500 138,293 16,500 320,783
7,849 18,604 749 108,118 127,945 19,952 283,217
10,000 2,000 2,718 20,434 4,290 124,975 1,500 142,442 16,500 324,859
10,000 2,000 2,718 20,434 4,290 124,975 1,500 142,442 16,500 324,859
10,000 2,000 2,718 20,434 4,290 124,975 1,500 142,442 16,500 324,859
45400 45410
SH/CRIMCOST-COMM COST FEE SH/JAIL PHONE COMMISSION TOTAL FEES & COMMISSIONS
325,000 50,000 375,000
330,805 26,632 357,437
325,000 50,000 375,000
325,000 50,000 375,000
325,000 50,000 375,000
50010 50070 50100 50120 50130 50180 50210 50230 50990
CONTRACT WORK OTHER OPERATING REVENUE S.C.A.A.P. REVENUE PRISONER BOARD PRISONER CARE REIMB REIMB GOODS AND SERVICES RESTITUTION JAIL/WORK RELEASE PROGRAM PROCEEDS FROM SALE-ASSET TOTAL MISCELLANEOUS INCOME
40,000 25,000 7,700 80,000 11,000 100 100 50,000 213,900
50,567 336 67,608 11,636 1,865 43,393 175,405
43,500 25,000 7,700 63,010 11,800 100 100 39,620 190,830
43,500 25,000 7,700 63,010 11,800 100 100 39,620 190,830
43,500 25,000 7,700 63,010 11,800 100 100 39,620 190,830
909,683
816,060
890,689
890,689
890,689
TOTAL SHERIFF'S OFFICE
Page 28
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 60 - Health & Welfare Department - 6000 - Public Administrator
Account
Title
45260
PADM/GUARDIAN-CONSERV FEE TOTAL FEES & COMMISSIONS
50160 50190
EXPENSE REIMBURSEMENTS MILEAGE REIMBURSEMENTS TOTAL MISCELLANEOUS INCOME TOTAL PUBLIC ADMINISTRATOR
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
120,000 120,000
147,256 147,256
140,000 140,000
140,000 140,000
140,000 140,000
40,000 40,000
7,400 7,400
20,000 20,000
20,000 20,000
20,000 20,000
160,000
154,656
160,000
160,000
160,000
Page 29
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 9900 Transfers
Account 58020 58022 58024 58029 58032 58040 58046 58520 58535 58541 58550 58560 58565 58570 58552 58577 58580 58582 58583 58591 58592
Title TRANSFER IN - FUND 2850 TRANSFER IN - FUND 2200 TRANSFER IN - FUND 5000 TRANSFER IN - FUND 2100 TRANSFER IN - FUND 1400 TRANSFER IN - FUND 5200 TRANSFER IN - FUND 2750 TRANSFER OUT - FUND 3000 TRANSFER OUT - FUND 5000 TRANSFER OUT - FUND 2900 TRANSFER OUT - FUND 1110 TRANSFER OUT - FUND 2720 TRANSFER OUT - FUND 5050 TRANSFER OUT - FUND 1100 TRANSFER OUT - FUND 1112 TRANSFER OUT - FUND 1140 TRANSFER OUT - FUND 1150 TRANSFER OUT - FUND 1190 TRANSFER OUT - FUND 1195 TRANSFER OUT - FUND 1005 TRANSFER OUT - FUND 1400 TOTAL TRANSFERS TOTAL GENERAL FUND REVENUES
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
5,768 66,634 117,086 (15,000) (364,311) (550,286) (175,164) (615,271) (250,000) (10,000) (1,050) (134,024) (58,550) (1,984,168)
5,768 66,634 104,023 (15,000) (325,000) (550,286) (175,164) (615,271) (250,000) (10,000) (1,050) (134,024) (58,550) (1,957,920)
(15,000) (550,286) (650,000) (10,094) (154,139) (1,050) (134,024) (27,950) (1,542,543)
(15,000) (97,118) (550,286) (14,991) (650,000) (265,001) (10,094) (154,139) (1,050) (134,024) (27,950) (2,150,000) (29,136) (4,098,789)
20,000 20,000 10,000 (15,000) (14,300) (550,286) (14,991) (801,687) (57,488) (10,094) (183,079) (1,050) (88,019) (27,834) (2,150,000) (29,136) (3,892,964)
19,347,849
19,570,374
3,145,571
17,499,759
17,181,034
Page 30
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
THIS PAGE INTENTIONALLY LEFT BLANK
Page 31
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1000 - General Administration
Account
Title
60100 62040
OTHER SALARIES RETIREMENT PAYOUT TOTAL SALARIES
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
64020 64060
OTHER SUPPLIES/INCL MAILROOM POSTAGE TOTAL SUPPLIES
65010 65020 65030 65100 65110 65170 65210 65220 65230 65340
BOARD OF ELECTIONS COUNTY ELECTIONS ADVERTISING LOSS CONTROL/SAFETY MEDICAL EXAMINER BOARD OF EQUALIZATION INDEPENDENT AUDIT LEGAL SERVICES INSURANCE / SURETY BONDS DEDUCTIBLE TOTAL CONTRACTUAL SERVICES
68040 68070
CONFERENCES MAC BOARD MEETINGS TOTAL TRAVEL EXPENSES
69005 69010 69015
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
119,125 2,620 121,745
98,654 5,236 103,890
119,125 2,620 121,745
97,321 97,321
99,123 99,123
9,313 254 9,131 12,899 745 31,597
7,919 228 7,378 6,214 528 21,738
9,313 254 9,131 12,899 745 31,597
7,445 153 6,715 6,665 550 21,528
7,583 156 6,839 6,665 561 21,804
21,487 207,000 228,487
17,823 131,094 148,917
21,487 160,000 181,487
21,487 160,000 181,487
16,487 160,000 176,487
357,741 75,000 4,000 86,000 3,000 68,355 40,000 453,599 75,000 1,162,695
354,190 74,653 3,924 86,000 1,290 69,105 31,584 453,600 6,000 1,080,346
364,974 166,106 3,000 89,010 3,000 69,500 35,000 453,599 25,000 1,209,189
357,191 75,000 3,000 89,010 3,000 69,500 35,000 453,600 25,000 1,110,301
356,874 166,106 4,000 89,010 3,000 69,500 35,000 453,600 25,000 1,202,090
3,000 3,000
1,000 1,000
3,000 3,000
3,000 3,000
3,000 3,000
UNIVERSITY EXTENSION ECONOMIC DEVELOPMENT CNTR MEMBERSHIP FEES TOTAL OTHER
18,000 60,000 29,000 107,000
18,000 60,000 29,000 107,000
47,750 60,000 31,000 138,750
18,000 60,000 31,000 109,000
18,000 60,000 32,000 110,000
69105 69110
OTHER OPERATING EXPENSE TIF EXPENSE TOTAL OTHER OPERATING EXPENSES
5,500 800,000 805,500
4,850 771,927 776,777
5,500 800,000 805,500
5,500 800,000 805,500
5,500 728,525 734,025
69210
BOOKS & SUBSCRIPTIONS TOTAL DUES & SUBSCRIPTIONS
-
-
-
-
-
70065
PLATTE SOIL/WATER TOTAL GRANT EXPENSES
-
-
-
-
-
81140 81150
FURNITURE EQUIPMENT RENTAL TOTAL EQUIPMENT
55,000 55,000
53,837 53,837
55,000 55,000
55,000 55,000
55,000 55,000
2,515,024
2,293,504
2,546,268
2,383,137
2,401,529
TOTAL GENERAL ADMINISTRATION
Page 32
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1010 County Commission
Account
Title
60010 60100
OFFICIAL'S SALARIES OTHER SALARIES TOTAL SALARIES
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
64010 64020
68010 68020 68030 68040
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
193,265 193,265
193,265 193,265
193,265 193,265
193,265 193,265
193,265 193,265
14,785 425 14,495 19,348 1,183 49,053
14,331 425 4,932 6,811 1,093 26,499
14,785 425 14,495 19,348 1,183 49,053
14,784 304 13,335 19,994 1,094 48,417
14,784 304 13,335 19,994 1,094 49,511
OFFICE SUPPLIES OTHER SUPPLIES TOTAL SUPPLIES
1,000 1,000
449 449
1,000 1,000
1,000 1,000
1,000 1,000
STATUTORY TRAINING OTHER TRAINING MILEAGE CONFERENCES TOTAL TRAVEL & TRAINING
1,000 500 250 500 2,250
875 875
1,000 500 250 500 2,250
1,000 500 250 500 2,250
1,000 1,000
245,568
221,088
245,568
244,932
244,776
TOTAL COUNTY COMMISSION
Page 33
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1020 - Personnel Department
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60100
OTHER SALARIES TOTAL SALARIES
87,447 87,447
87,329 87,329
91,697 91,697
91,697 91,697
90,022 90,022
63015 63020 63022 63025 63035 63040 63045 63050 63055 63060 63061
PAYROLL TAXES WORKERS COMPENSATION UNEMPLOYMENT COMPENSATION LAGERS HEALTH INSURANCE EMPLOYEE ASSISTANCE PROGRAM CAFETERIA PLAN DISABILITY INSURANCE EMPLOYEE PHYSICALS/DRUG TESTING HSA FSA CARD EXPENSE TOTAL FRINGE BENEFITS
6,728 192 35,000 8,415 12,899 2,000 4,000 495 4,000 50 73,779
6,136 192 26,509 6,550 6,811 2,562 494 2,480 51,733
7,015 200 30,000 6,328 6,811 5,000 500 3,000 58,854
7,015 200 30,000 6,328 6,811 5,000 525 3,000 58,879
6,887 142 30,000 6,212 6,811 2,000 509 3,000 55,561
64010 64050 65100 65200
OFFICE SUPPLIES PRINTING LOSS CONTROL/SAFETY CONSULTANT SVC - OTHER TOTAL OPERATING EXPENSES
1,000 2,500 3,500
-
1,000 1,000
1,000 1,000
1,000 1,000
68020 68030 68040
TRAINING MILEAGE CONFERENCES TOTAL TRAVEL EXPENSES
1,000 100 750 1,850
-
500 100 500 1,100
500 100 500 1,100
500 100 500 1,100
69210
BOOKS & SUBSCRIPTIONS TOTAL DUES & SUBSCRIPTIONS
250 250
-
-
-
-
166,826
139,063
152,651
152,676
147,683
TOTAL PERSONNEL DEPARTMENT
Page 34
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1030 - Building & Grounds
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60050 60100 60200
OVERTIME SALARIES OTHER SALARIES ON-CALL SALARIES TOTAL SALARIES
296,414 2,600 299,014
295,774 2,600 298,374
296,414 2,600 299,014
298,760 2,600 301,360
294,346 2,600 296,946
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
22,848 10,061 22,424 51,594 1,830 108,757
21,887 9,289 22,090 49,657 1,832 104,756
22,873 10,061 22,424 51,594 1,830 108,782
22,854 7,838 20,615 59,982 1,691 112,980
22,517 7,722 20,310 59,982 1,666 112,197
64040 64075
CLEANING SUPPLIES UNIFORMS NONTAXABLE TOTAL SUPPLIES
27,567 5,000 32,567
12,173 822 12,995
25,600 5,000 30,600
25,600 5,000 30,600
25,600 5,000 30,600
65060 65061 65062 65070 65080 65081 65082 65240 65295 65360
SECURITY MAINTENANCE SECURITY MAINT-LEC DOORS LOCK STANDARDIZATION ELEVATOR MAINT CONTRACT BUILDING MAINTENANCE KEY EQUIP MOTOR REPLACE PLUMBING - LEC MOBILE PHONE MOTOR VEHICLE REPAIR SOFTWARE MAINTENANCE CONTRACT TOTAL CONTRACTUAL SERVICES
71,000 7,000 6,072 15,507 97,813 3,000 5,429 600 1,000 3,500 210,921
71,000 2,550 7,393 6,213 97,478 5,429 186 190,250
75,000 7,000 5,000 14,000 96,750 3,000 5,000 600 1,000 3,500 210,850
75,000 7,000 5,000 14,000 96,750 3,000 5,000 600 1,000 3,500 210,850
75,000 7,000 5,000 14,000 96,750 3,000 5,000 600 1,000 3,500 210,850
67010 67011 67020 67030 67040 67060
GROUNDS CARE LANDSCAPING - HILLSIDE ELECTRIC WATER TELEPHONE NATURAL GAS TOTAL UTILITIES EXPENSES
15,000 250,000 60,000 120,000 54,514 499,514
14,414 247,445 59,490 119,942 43,224 484,515
15,000 3,000 193,125 55,800 85,000 55,000 406,925
15,000 3,000 193,125 55,800 85,000 55,000 406,925
15,000 3,000 233,125 60,800 85,000 55,000 451,925
68030 68060
MILEAGE GAS & OIL TOTAL TRAVEL EXPENSES
6,100 6,100
4,031 4,031
6,100 6,100
6,100 6,100
6,100 6,100
81116
LIGHTING RETROFITTING PROJECT TOTAL CAPITAL
-
7,196 7,196
-
-
-
1,156,873
1,102,117
1,062,271
1,068,815
1,108,618
TOTAL BUILDING & GROUNDS
Page 35
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1050 - Resource Center
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60050 60100
OVERTIME SALARIES OTHER SALARIES TOTAL SALARIES
-
-
-
-
-
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
-
-
-
-
-
64020 64040 64075
OTHER SUPPLIES CLEANING SUPPLIES UNIFORMS NONTAXABLE TOTAL OPERATING EXPENSES
5,000 4,000 9,000
2,100 381 2,481
9,050 4,000 13,050
5,000 2,000 7,000
5,000 2,000 7,000
67010 67020 67030 67050
GROUNDS CARE ELECTRIC WATER SANITATION TOTAL RENT & UTILITIES
3,075 58,000 3,600 2,000 66,675
2,021 57,918 2,953 1,871 64,764
3,200 60,000 3,800 2,000 69,000
3,200 60,000 3,800 2,000 69,000
3,200 60,000 3,800 2,000 69,000
75,675
67,245
82,050
76,000
76,000
TOTAL RESOURCE CENTER
Page 36
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1100 - County Clerk
Account
Title
60050 60010 60100
OVERTIME SALARIES OFFICIAL'S SALARIES OTHER SALARIES TOTAL SALARIES
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
64010 64050 65080 65290 65360
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
65,755 62,445 128,200
65,755 62,257 128,012
65,755 57,114 122,869
65,755 57,114 122,869
65,755 50,000 115,755
9,807 269 9,306 19,348 691 39,421
9,781 268 9,301 19,370 689 39,409
9,399 194 8,478 19,994 651 38,716
9,399 194 8,478 19,994 651 38,716
8,855 182 7,987 19,994 656 37,674
OFFICE SUPPLIES PRINTING BUILDING MAINTENANCE EQUIPMENT MAINT & REPAIR SOFTWARE MAINTENANCE CONTRACT TOTAL OPERATING EXPENSES
1,000 4,500 5,500
602 4,500 5,102
1,200 4,500 5,700
1,000 4,500 5,500
1,000 4,500 5,500
68010 68020 68030
STATUTORY TRAINING OTHER TRAINING MILEAGE TOTAL TRAVEL & TRAINING
550 500 100 1,150
-
550 500 100 1,150
550 500 100 1,150
550 500 100 1,150
69140
PLAT BOOKS/MAPS TOTAL MISCELLANEOUS
-
-
-
-
-
81140
FURNITURE TOTAL FUNITURE
-
-
-
-
-
174,271
172,524
168,435
168,235
160,079
TOTAL COUNTY CLERK
Page 37
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1200 - Planning & Zoning
Account
Title
60100
OTHER SALARIES TOTAL SALARIES
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
64010
OFFICE SUPPLIES TOTAL SUPPLIES
65030 65090 65100 65160 65220 65240 65295 65330 65390
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
276,008 276,008
273,610 273,610
290,087 290,087
285,659 285,659
286,540 286,540
20,985 7,060 20,573 38,696 1,679 88,993
20,523 7,103 20,151 38,070 1,542 87,389
21,985 7,500 21,000 38,696 1,679 90,860
24,402 6,070 22,010 39,988 1,804 94,274
21,920 4,295 17,469 33,123 1,300 78,107
2,000 2,000
1,365 1,365
2,000 2,000
2,000 2,000
2,000 2,000
ADVERTISING MEETINGS LOSS CONTROL/SAFETY REMONUMENTATION LEGAL SERVICES MOBILE PHONE MOTOR VEHICLE REPAIR CONSULTANT SERVICES HWY 45 CORRIDOR STUDY TOTAL CONTRACTUAL SERVICES
150 2,250 2,000 24,575 1,700 1,500 40,000 72,175
183 1,860 17,260 972 256 400 20,931
150 2,250 2,000 30,000 1,700 1,500 5,000 42,600
150 2,250 2,000 30,000 1,700 1,500 5,000 42,600
150 2,250 2,000 25,000 1,000 1,500 5,000 36,900
68020 68030 68060
OTHER TRAINING MILEAGE GAS & OIL TOTAL TRAVEL EXPENSES
4,000 500 6,500 11,000
2,341 201 4,538 7,080
5,000 500 6,500 12,000
5,000 500 6,500 12,000
5,000 500 6,500 12,000
69015
MEMBERSHIP FEES TOTAL OTHER
2,500 2,500
1,192 1,192
2,500 2,500
2,500 2,500
2,500 2,500
69105 69150 69160
OTHER OPERATING EXPENSE GREEN BUILD REFUND PROPERTY ABATEMENT TOTAL OTHER EXPENSES
7,000 60,000 67,000
20,000 20,000
7,000 20,000 27,000
7,000 20,000 27,000
-
69220
PROFESSIONAL PUBLICATIONS TOTAL DUES & SUBSCRIPTIONS
1,425 1,425
1,342 1,342
1,000 1,000
1,000 1,000
1,000 1,000
81130
GIS TOTAL CAPITAL
7,500 7,500
7,470 7,470
13,750 13,750
13,750 13,750
7,500 7,500
528,601
420,378
481,797
480,783
426,547
TOTAL PLANNING & ZONING
Page 38
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1300 - Information Services
Account
Title
60100
OTHER SALARIES TOTAL SALARIES
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
64010
OFFICE SUPPLIES TOTAL OPERATING EXPENSES
65200 65290 65350 65360
CONSULTANT SERVICES EQUIPMENT MAINTENANCE & REPAIR HARDWARE MAINT CONTRACTUAL SOFTWARE MAINT CONTRACTUAL TOTAL CONTRACTUAL SERVICES
68020 68030
OTHER TRAINING MILEAGE TOTAL TRAVEL EXPENSES
81125 81148
SOFTWARE EQUIPMENT TOTAL EQUIPMENT TOTAL INFORMATION SERVICES
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
151,323 151,323
143,084 143,084
154,349 154,349
153,639 153,639
151,369 151,369
11,576 333 11,349 19,348 926 43,532
10,681 315 10,731 17,473 809 40,008
11,576 333 11,349 19,348 926 43,532
11,753 241 10,601 19,994 869 43,458
11,580 238 10,444 19,994 857 43,113
-
-
-
-
-
3,000 4,000 155,755 162,755
778 158,051 158,829
3,000 4,000 136,185 143,185
3,000 4,000 136,185 143,185
1,500 2,000 136,185 139,685
9,000 9,000
-
9,000 9,000
9,000 9,000
3,000 3,000
29,145 33,000 62,145
17,927 27,029 44,956
23,120 35,000 58,120
23,120 35,000 58,120
23,120 35,000 58,120
428,755
386,877
408,186
407,402
395,287
Page 39
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 20 - Financial Administration Department - 2000 - Auditor
Account
Title
60010 60100
OFFICIAL'S SALARIES OTHER SALARIES TOTAL SALARIES
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
64010 64050
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
65,755 101,735 167,490
65,755 101,524 167,279
65,755 101,735 167,490
65,755 101,735 167,490
65,755 99,459 165,214
13,059 372 12,803 19,344 1,045 46,623
11,153 329 11,164 19,343 842 42,832
12,887 266 11,624 23,344 952 49,073
12,887 266 11,624 23,344 952 49,073
12,639 260 11,400 9,086 935 34,320
OFFICE SUPPLIES PRINTING TOTAL OPERATING EXPENSES
2,000 2,000
141 141
2,000 2,000
2,000 2,000
2,000 2,000
68010 68020
STATUTORY TRAINING OTHER TRAINING TOTAL TRAINING
750 2,000 2,750
962 2,047 3,008
750 2,000 2,750
750 2,000 2,750
750 2,000 2,750
68030
MILEAGE TOTAL TRAVEL EXPENSES
250 250
333 333
250 250
250 250
250 250
69210
BOOKS & SUBSCRIPTIONS TOTAL DUES & SUBSCRIPTIONS
1,000 1,000
583 583
1,000 1,000
1,000 1,000
1,000 1,000
81148
EQUIPMENT TOTAL EQUIPMENT
-
-
-
-
-
TOTAL AUDITOR
220,113
214,176
222,563
222,563
205,534
Page 40
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 20 - Financial Administration Department - 2100 - Treasurer
Account
Title
60010 60100
OFFICIAL'S SALARIES OTHER SALARIES TOTAL SALARIES
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
64010 64050
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
65,755 61,221 126,976
65,755 61,180 126,935
65,755 61,159 126,914
65,755 63,399 129,154
65,755 62,462 128,217
9,647 279 9,519 19,345 777 39,567
9,316 279 4,589 19,345 718 34,246
9,709 279 9,519 18,703 777 38,987
9,880 204 8,911 19,994 730 39,719
9,809 202 8,847 19,994 726 39,578
OFFICE SUPPLIES PRINTING TOTAL OPERATING EXPENSES
834 738 1,572
769 169 939
1,000 1,200 2,200
1,000 1,200 2,200
1,000 1,200 2,200
68010 68020
STATUTORY TRAINING OTHER TRAINING TOTAL TRAINING
574 804 1,378
600 600
750 750
750 750
750 750
69210
BOOKS & SUBSCRIPTIONS TOTAL DUES & SUBSCRIPTIONS
500 500
385 385
500 500
500 500
500 500
169,993
163,105
169,351
172,323
171,245
TOTAL TREASURER
Page 41
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 30 - Property Valuation & Recording Department - 3000 - Recorder of Deeds
Account
Title
60010 60100
OFFICIAL'S SALARIES OTHER SALARIES TOTAL SALARIES
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
64010 64050
OFFICE SUPPLIES PRINTING TOTAL OPERATING EXPENSES
65120
INTERPRETER TOTAL CONTRACTUAL SERVICES
68010 68020 68030
81125
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
65,755 114,523 180,278
65,755 114,370 180,125
65,755 150,380 216,135
65,755 147,707 213,462
65,755 130,000 195,755
13,791 397 13,521 25,152 1,103 53,964
13,655 396 13,509 19,348 1,019 47,927
13,791 397 13,521 25,152 1,103 53,964
16,330 336 14,729 32,928 1,207 65,530
14,975 308 13,507 32,928 1,108 62,826
2,000 1,200 3,200
2,581 1,028 3,609
2,000 1,200 3,200
2,000 1,200 3,200
2,000 1,200 3,200
-
-
-
-
-
STATUTORY TRAINING OTHER TRAINING MILEAGE TOTAL TRAVEL & TRAINING
900 100 500 1,500
895 300 1,195
1,000 100 500 1,600
1,000 100 500 1,600
1,000 100 500 1,600
SOFTWARE TOTAL EQUIPMENT
8,500 8,500
15,000 15,000
15,000 15,000
15,000 15,000
13,000 13,000
247,442
247,855
289,899
298,792
276,381
TOTAL RECORDER OF DEEDS
Page 42
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 30 - Property Valuation & Recording Department - 3100 - Collector
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60010 60050 60100 60150
OFFICIAL'S SALARIES OVERTIME SALARIES OTHER SALARIES PART TIME SALARIES TOTAL SALARIES
65,755 4,140 290,626 30,667 391,188
65,755 6,434 288,020 18,645 378,854
65,755 4,140 314,147 10,704 394,746
65,755 5,000 318,510 10,704 399,969
65,755 5,000 318,510 10,704 399,969
63015 63020 63025 63035 63050 63065
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY RETIREMENT PAYOUT TOTAL FRINGE BENEFITS
27,325 777 26,789 45,790 1,784 102,465
27,112 829 26,998 45,145 2,000 102,082
27,325 777 26,789 45,790 1,784 102,465
29,396 570 26,514 47,048 2,175 105,703
29,396 570 26,514 47,048 2,175 105,703
64010 64050
OFFICE SUPPLIES PRINTING TOTAL OPERATING EXPENSES
19,500 8,000 27,500
19,445 5,685 25,130
19,500 7,000 26,500
19,500 7,000 26,500
19,500 7,000 26,500
65060 65220 65230 65290
SECURITY LEGAL SERVICES INSURANCE EQUIPMENT MAINTENANCE & REPAIR TOTAL CONTRACTUAL SERVICES
10,000 20,000 3,500 1,000 34,500
9,701 24,728 1,674 36,103
10,500 20,000 3,500 1,000 35,000
10,500 20,000 3,500 1,000 35,000
10,500 20,000 3,500 1,000 35,000
68010 68030
STATUTORY TRAINING MILEAGE TOTAL TRAINING
900 500 1,400
800 454 1,254
900 500 1,400
900 500 1,400
900 500 1,400
81148
EQUIPMENT TOTAL CAPITAL
20,000 20,000
14,469 14,469
20,000 20,000
20,000 20,000
20,000 20,000
577,053
557,892
580,111
588,572
588,572
TOTAL COLLECTOR
Page 43
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 40 - Administration of Justice Department - 4000 - Circuit Judge
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60100
OTHER SALARIES TOTAL SALARIES
31,415 31,415
31,373 31,373
31,415 31,415
31,886 31,886
31,415 31,415
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
3,933 69 3,856 6,449 315 14,622
2,355 69 2,353 6,448 177 11,403
3,933 69 3,856 6,449 315 14,622
2,439 50 2,200 6,665 180 11,534
2,403 49 2,168 6,665 178 11,463
64010
OFFICE SUPPLIES TOTAL OPERATING EXPENSES
7,500 7,500
1,053 1,053
7,500 7,500
7,500 7,500
7,500 7,500
65120 65220 65230 65290
INTERPRETER LEGAL SERVICES INSURANCE EQUIPMENT REPAIR TOTAL CONTRACTUAL SERVICES
2,000 1,500 11,000 500 15,000
699 699
2,000 1,500 11,000 500 15,000
2,000 1,500 11,000 500 15,000
2,000 1,500 11,000 500 15,000
68040
CONFERENCES TOTAL TRAVEL EXPENSES
4,800 4,800
4,705 4,705
4,800 4,800
4,800 4,800
4,800 4,800
69205
DUES TOTAL DUES & SUBSCRIPTIONS
7,500 7,500
4,996 4,996
7,500 7,500
7,500 7,500
8,000 8,000
81145 81148
ELECTRONIC PAROLE EQUIPMENT TOTAL EQUIPMENT
500 8,500 9,000
1,162 1,162
500 8,500 9,000
500 8,500 9,000
500 8,500 9,000
89,837
55,391
89,837
87,220
87,178
TOTAL CIRCUIT JUDGE
Page 44
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 40 - Administration of Justice Department - 4010 - Court Reporter Div I
Account
Title
64010 64100 64110 68040
OFFICE SUPPLIES LIBRARY TRANSCRIPTS - INDIGENT CONFERENCES TOTAL OPERATING EXPENSES
69210
81148
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
500 200 800 200 1,500
-
500 200 800 200 1,500
500 200 800 200 1,500
500 200 800 200 1,700
DUES & SUBSCRIPTIONS TOTAL TRAVEL EXPENSES
300 300
-
300 300
300 300
300 300
EQUIPMENT TOTAL EQUIPMENT
500 500
-
500 500
500 500
500 500
2,300
-
2,300
2,300
2,500
TOTAL COURT REPORTER DIV I
Page 45
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 40 - Administration of Justice Department - 4020 - Court Reporter Div II
Account
Title
64010 64100 64110
OFFICE SUPPLIES LIBRARY TRANSCRIPTS-INDIGENT TOTAL SUPPLIES
68040
CONFERENCES TOTAL TRAVEL EXPENSES
81148
EQUIPMENT TOTAL EQUIPMENT TOTAL COURT REPORTER DIV II
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
9,000 300 400 9,700
8,000 8,000
1,000 300 400 1,700
1,000 300 400 1,700
1,000 300 400 1,700
500 500
-
500 500
500 500
500 500
1,000 1,000
-
1,000 1,000
1,000 1,000
1,000 1,000
11,200
8,000
3,200
3,200
3,200
Page 46
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 40 - Administration of Justice Department - 4100 - Probate Court
Account
Title
64010 64090
OFFICE SUPPLIES MISC COURT COSTS TOTAL OPERATING EXPENSES
65140 65220
DOCUMENT RETENTION LEGAL SERVICES TOTAL CONTRACTUAL
68040
81140 81148
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
4,000 3,860 7,860
3,533 3,990 7,523
4,000 3,860 7,860
4,000 3,860 7,860
3,500 3,860 7,360
3,000 25,000 28,000
29,109 29,109
3,000 25,000 28,000
3,000 25,000 28,000
3,000 25,000 28,000
CONFERENCES TOTAL TRAVEL EXPENSES
2,200 2,200
287 287
2,200 2,200
2,200 2,200
2,200 2,200
FURNITURE EQUIPMENT TOTAL EQUIPMENT
2,700 2,700
-
2,700 2,700
2,700 2,700
2,700 2,700
40,760
36,919
40,760
40,760
40,260
TOTAL PROBATE COURT
Page 47
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 40 - Administration of Justice Department - 4200 - Juvenile Office
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60100 61080 61090
OTHER SALARIES PART TIME OSCA SALARIES DYS PART TIME SALARY TOTAL SALARIES
505,216 8,642 513,858
488,962 4,778 493,740
492,578 4,500 497,078
512,508 4,500 517,008
470,000 7,000 477,000
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
39,310 12,523 38,539 76,746 3,145 170,263
38,630 12,426 37,672 76,467 3,049 168,245
37,682 10,199 44,685 86,245 2,927 181,738
39,550 10,199 44,685 86,245 2,927 183,606
36,491 11,032 42,783 86,245 2,700 179,251
64010 64055 64090
OFFICE SUPPLIES PUBLICATION AND RECORDS MISC COURT COSTS TOTAL SUPPLIES
4,000 3,580 7,580
3,074 2,538 5,611
4,000 3,580 7,580
4,000 3,580 7,580
4,000 3,580 7,580
65120 65125 65220 65221 65235 65240 65290 65295
INTERPRETER PROCESS SERVER LEGAL SERVICES - ATTY FOR JUVENILE OFFICE LEGAL SERVICES - APPT ATTORNEYS INSURANCE FOR COMMUNITY SERVICE MOBILE PHONE EQUIPMENT REPAIR MOTOR VEHICLE REPAIR TOTAL CONTRACTUAL SERVICES
1,500 1,500 45,000 83,000 460 1,800 250 2,500 136,010
366 1,125 39,167 80,806 420 1,204 135 1,100 124,322
500 1,000 45,000 89,000 460 1,800 250 500 138,510
500 1,000 45,000 89,000 460 1,800 250 500 138,510
500 1,000 45,000 89,000 460 1,800 250 500 138,510
68030 68040 68060
MILEAGE CONFERENCES GAS & OIL TOTAL TRAVEL EXPENSES
7,930 3,800 3,300 15,030
7,890 2,614 2,207 12,711
6,000 3,800 3,000 12,800
6,000 3,800 3,000 12,800
6,000 3,800 3,000 12,800
69205 69350 69351 69352 69353 69354
DUES DETENTION/TREATMENT DETENTION COSTS DRUG SCREEN/ASSESSMENT JUV. ACCT. DIVERSION PROG VOICE STRESS TEST/EVAL TOTAL OTHER EXPENSES
1,500 30,000 2,500 7,000 2,000 43,000
950 15,573 1,968 6,833 974 26,298
1,500 27,000 2,000 7,000 2,000 39,500
1,500 27,000 2,000 7,000 2,000 39,500
1,500 27,000 2,000 7,000 2,000 39,500
Page 48
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 40 - Administration of Justice Department - 4200 - Juvenile Office
Account
Title
70035 70040 70045 70050 70100 70105 70110 70120
PREVENTION JUVENILE COURT IMPROVEMENT PARENT/YOUTH MEDIATION MEDIATION IV-D MISC DRUG EDUCATION ACCOUNT-INTERVENTION GRNT OSCAJUVENILE DEL GRANT VISITATION/EXCHANGE PROGRAM TOTAL GRANT EXPENSES
81148
EQUIPMENT TOTAL CAPITAL TOTAL JUVENILE OFFICE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
6,000 2,000 36,370 4,000 48,370
600 33,554 3,200 37,354
6,000 2,000 36,370 5,000 49,370
6,000 2,000 36,370 5,000 49,370
6,000 7,000 36,370 5,000 54,370
3,000 3,000
2,523 2,523
3,000 3,000
3,000 3,000
3,000 3,000
937,111
870,804
929,576
951,374
912,011
Page 49
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 40 - Administration of Justice Department - 4300 - Circuit Clerk
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
64010 64080 64081 64082 64083 64084 64090
OFFICE SUPPLIES JURY SUPPLIES WITNESS FEES JURY MEALS JURY PRE DIEM JURY MILEAGE MISC COURT COSTS TOTAL SUPPLIES
19,500 6,000 250 8,000 25,500 9,500 250 69,000
14,553 2,141 7,282 13,490 3,661 41,126
21,000 6,000 250 8,000 25,500 9,500 250 70,500
21,000 6,000 250 8,000 25,500 9,500 250 70,500
21,000 6,000 250 8,000 25,500 9,500 250 70,500
65140 65240 65360
DOCUMENT RETENTION MOBILE PHONE SOFTWARE MAINT CONTRACTUAL TOTAL CONTRACTUAL SERVICES
45,000 400 11,000 56,400
45,000 198 9,138 54,336
30,000 150 10,000 40,150
30,000 150 10,000 40,150
30,000 150 10,000 40,150
68040
CONFERENCES TOTAL TRAVEL EXPENSES
2,500 2,500
1,798 1,798
1,000 1,000
1,000 1,000
1,000 1,000
81148
EQUIPMENT TOTAL CAPITAL
23,000 23,000
-
23,000 23,000
23,000 23,000
23,000 23,000
150,900
97,260
134,650
134,650
134,650
TOTAL CIRCUIT CLERK
Page 50
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 40 - Administration of Justice Department - 4400 - Prosecuting Attorney
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60010 60100 60150 61010
OFFICIAL'S SALARIES OTHER SALARIES PART TIME SALARIES CHILD SUPPORT SALARIES TOTAL SALARIES
116,858 737,261 126,685 980,804
116,858 736,798 126,685 980,342
132,272 757,261 126,685 1,016,218
116,858 753,274 128,585 998,717
116,858 742,141 128,585 987,584
63010 63015 63020 63025 63035 63050
PA RETIREMENT PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
7,753 72,869 2,347 68,565 106,063 5,830 263,427
7,752 72,393 2,320 68,418 106,011 5,784 262,678
7,753 72,869 2,347 71,440 120,428 5,830 280,667
7,958 76,405 1,574 68,911 125,061 5,651 285,560
7,958 75,404 1,553 68,012 119,964 5,651 278,542
64010 64090 64100
OFFICE SUPPLIES MISCELLANEOUS COURT COSTS LIBRARY TOTAL SUPPLIES
15,000 35,000 19,300 69,300
14,904 22,319 18,273 55,496
15,000 35,000 20,118 70,118
15,000 35,000 20,118 70,118
15,000 35,000 20,118 70,118
65240 69105 65360
MOBILE PHONE OTHER OPERATING EXPENSE SOFTWARE MAINT CONTRACTUAL TOTAL CONTRACTUAL SERVICES
5,725 4,670 10,395
3,455 3,455
5,725 5,584 11,309
5,725 5,584 11,309
5,725 5,584 11,309
68030
MILEAGE TOTAL TRAVEL EXPENSES
5,000 5,000
4,953 4,953
5,000 5,000
5,000 5,000
5,000 5,000
69015
MEMBERSHIPS TOTAL MISCELLANEOUS
6,700 6,700
6,700 6,700
7,525 7,525
7,525 7,525
8,500 8,500
81148
EQUIPMENT TOTAL CAPITAL
-
-
-
-
-
1,335,626
1,313,624
1,390,837
1,378,229
1,361,053
TOTAL PROSECUTING ATTORNEY
Page 51
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 50 - Public Safety Department - 5000 - Sheriff
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60010 60050 60100 61020 61040 61050 61055 61060 61070 61095 62010 62030 62040
OFFICIAL'S SALARIES OVERTIME SALARIES OTHER SALARIES FAST COPS GRANT SALARIES HIGHWAY SAFETY OVERTIME KCITF OVERTIME RCFL OVERTIME DWI CHECKPOINT OVERTIME TRAFFIC SAFETY OFFICER DSSSF GRANT OFFICER UNIFORMS ACADEMY TUITION RETIREMENT PAYOUTS TOTAL SALARIES
71,328 145,000 4,245,657 28,680 16,500 6,270 38,813 105,600 130,000 2,600 4,790,448
71,328 143,904 3,971,296 8,460 13,584 4,002 35,583 99,469 102,710 2,528 4,452,865
71,328 160,000 4,337,146 30,020 16,500 4,290 36,040 104,476 131,800 4,891,600
72,398 162,400 4,371,702 30,470 16,748 4,354 36,581 106,043 105,000 4,905,696
71,328 160,000 4,284,268 30,020 16,500 4,290 36,040 104,476 133,777 4,840,699
63015 63020 63025 63035 63050 63065
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY RETIREMENT PAYOUT TOTAL FRINGE BENEFITS
366,469 97,726 408,023 628,160 29,318 1,529,696
329,569 93,896 418,094 608,726 22,111 1,472,396
367,563 97,726 408,023 628,160 29,318 1,530,790
402,871 94,334 445,976 639,840 25,124 1,608,145
395,322 92,645 416,113 639,840 25,124 1,569,044
64010 64020 64070 64160 64170 64185
OFFICE SUPPLIES OTHER SUPPLIES VOLUNTEER UNIFORMS PROTECTIVE EQUIPMENT MUNITIONS & SUPPLIES EVIDENCE SUPPLIES TOTAL SUPPLIES
15,000 61,000 1,500 25,000 17,500 3,000 123,000
13,748 60,783 1,902 15,162 1,451 3,264 96,309
15,000 72,800 1,500 25,000 20,500 3,000 137,800
15,000 72,800 1,500 25,000 20,500 3,000 137,800
15,000 72,800 1,500 25,000 20,500 3,000 137,800
65150 65200 65230 65240 65245 65290 65295 65350 65380
BOARD & EUTHANASIA CONSULTANT SERVICES INSURANCE / SURETY BOND MOBILE PHONE MOBILE EQUIPMENT REPAIR EQUIPMENT MAINTENANCE & REPAIR MOTOR VEHICLE REPAIR / SERVICES HARDWARE MAINT CONTRACT IT MAINTENANCE TOTAL CONTRACTUAL SERVICES
16,500 42,750 10,000 50,000 175,000 294,250
10,611 40,994 9,528 35,854 150,685 247,673
10,000 42,750 10,000 50,000 171,000 283,750
10,000 42,750 10,000 50,000 171,000 283,750
10,000 42,750 10,000 50,000 171,000 283,750
68020 68030 68060
OTHER TRAINING MILEAGE GAS & OIL TOTAL TRAVEL EXPENSES
35,000 295,000 330,000
34,294 241,892 276,186
35,000 289,040 324,040
35,000 289,040 324,040
35,000 289,040 324,040
Page 52
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 50 - Public Safety Department - 5000 - Sheriff
Account
Title
69015
MEMBERSHIP FEES TOTAL OTHER
69105 69120 69125
OTHER OPERATING EXPENSE INVESTIGATIVE SERVICES WORK RELEASE PROGRAM TOTAL MISCELLANEOUS EXPENSES
69215
INMATE LAW LIBRARY/LEGAL MATERIALS TOTAL LEGAL MATERIALS
69310 69320 69330 69340 69360
BOARDING OF PRISONERS PRISONER CARE INMATE CLOTHING/LINENS FOOD PURCHASES S.C.A.A.P. EXPENSES TOTAL DETENTION COSTS
70130
PROTECTIVE EQUIPMENT GRANT TOTAL PROTECTIVE EQUIPMENT GRANT
81135 81148 81150 81180 81185 81190 81200
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
2,500 2,500
2,500 2,500
2,500 2,500
2,500 2,500
2,500 2,500
21,000 1,000 22,000
20,472 830 21,302
21,000 1,000 22,000
21,000 1,000 22,000
21,000 1,000 22,000
9,100 9,100
8,738 8,738
9,200 9,200
9,200 9,200
9,200 9,200
2,500 218,000 9,800 210,000 2,400 442,700
765 217,090 7,061 195,952 420,868
2,500 270,400 9,810 226,000 2,000 510,710
2,500 270,400 9,810 226,000 2,000 510,710
2,500 250,000 9,810 226,000 2,000 490,310
5,437 5,437
-
5,437 5,437
5,437 5,437
5,437 5,437
MOTOR VEHICLES EQUIPMENT EQUIPMENT RENTAL VEHICLE EQUIPMENT PATROL EQUIPMENT MOBILE DATA COMMUNICATION INVESTIGATIVE EQUIPMENT TOTAL CAPITAL
292,000 70,000 10,000 35,500 5,500 413,000
284,916 59,697 9,757 19,890 5,041 379,301
292,000 5,000 70,000 7,500 35,500 7,500 417,500
292,000 5,000 70,000 7,500 35,500 7,500 417,500
234,000 5,000 56,000 7,500 35,500 7,500 345,500
TOTAL SHERIFF'S OFFICE
7,962,131
7,378,138
8,135,327
8,226,778
8,030,280
Page 53
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 60 - Health & Welfare Department - 6000 - Public Administrator
Account
Title
60010 60100 62040
OFFICIAL'S SALARIES OTHER SALARIES RETIREMENT PAYOUTS TOTAL SALARIES
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
64010
OFFICE SUPPLIES TOTAL SUPPLIES
65220 65230
LEGAL SERVICES SURETY BOND TOTAL CONTRACTUAL SERVICES
67040
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
65,755 217,349 283,104
65,755 212,419 278,174
65,755 210,000 275,755
65,755 212,526 278,281
65,755 209,385 275,140
21,657 544 18,027 30,293 1,733 72,254
21,573 542 17,927 28,340 1,656 70,038
21,657 544 21,233 36,516 1,733 81,683
21,290 384 19,200 39,988 1,374 82,236
21,048 433 18,985 39,988 1,557 82,011
2,000 2,000
1,977 1,977
2,500 2,500
2,500 2,500
2,500 2,500
15,000 15,000
14,958 14,958
17,000 17,000
17,000 17,000
17,000 17,000
TELEPHONE TOTAL OCCUPANCY COSTS
2,000 2,000
3,993 3,993
2,500 2,500
2,500 2,500
2,500 2,500
68010 68020 68030
STATUTORY TRAINING OTHER TRAINING MILEAGE TOTAL TRAVEL & TRAINING
2,000 1,500 10,000 13,500
1,025 385 5,573 6,983
2,000 1,500 10,000 13,500
2,000 1,500 10,000 13,500
2,000 1,500 10,000 13,500
69040 69115
INDIGENT CARE CLIENT SERVICES TOTAL MISCELLANEOUS EXPENSES
17,000 17,000
15,834 15,834
15,000 15,000
15,000 15,000
15,000 15,000
404,858
391,957
407,938
411,017
407,651
TOTAL PUBLIC ADMINISTRATOR
Page 54
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1001 - General Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 9950 - Contingency
Account
Title
69050
EMERGENCY FUND TOTAL OPERATING EXPENSES
69130
CONTINGENCY TOTAL MISCELLANEOUS EXPENSES TOTAL CONTINGENCY TOTAL GENERAL FUND EXPENDITURES
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
250,000 250,000
-
250,000 250,000
-
-
1,750,000 1,750,000
-
1,750,000 1,750,000
-
-
2,000,000
-
2,000,000
-
-
19,440,917
16,137,917
19,543,576
17,499,758
17,181,034
Page 55
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1005 - General Reserve Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1005 - General Reserve
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
50200
RENT TOTAL OTHER INCOME
-
-
-
-
-
58025 58590
TRANSFER IN - FUND 1001 TRANSFER OUT - FUND 1001 TOTAL TRANSFERS
-
-
-
2,150,000 2,150,000
2,150,000 2,150,000
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
-
-
-
-
-
-
-
-
2,150,000
2,150,000
TOTAL GENERAL RESERVE
This fund will be combined with the General Fund for reporting purposes.
Page 56
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1005 - General Reserve Fund Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1005 - General Reserve
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
69105
OTHER OPERATING EXPENSE TOTAL OTHER EXPENSES
-
-
-
-
-
81100
CAPITAL IMPROVEMENTS TOTAL CAPITAL IMPROVEMENTS
-
-
-
-
-
-
-
-
-
-
TOTAL GENERAL RESERVE
This fund will be combined with the General Fund for reporting purposes.
Page 57
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1100 - Sheriff's Pass-Through Grants Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5100 - Sheriff's Pass-Through Grants
Account
Title
41280 41290 41390 41400
HIDTA GRANT PROJ SAFE NEIGHBOR GRANT ANN. DWI CHECKPOINT GRANT PRISONER RE-ENTRY COORD TOTAL INTERGOVERNMENTAL
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
58025
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
227,295 227,295
140,138 140,138
222,414 222,414
222,414 222,414
222,414 222,414
160 160
-
150 150
240 240
159 159
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
32,779 32,779
-
32,779 32,779
45,000 45,000
45,627 45,627
TRANSFER IN - FUND 1001 TOTAL TRANSFERS
10,000 10,000
10,000 10,000
10,000 10,000
10,094 10,094
10,094 10,094
270,234
150,138
265,343
277,748
278,294
TOTAL SHERIFF PASS-THRU GRANTS
This fund will be combined with the General Fund for reporting purposes.
Page 58
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1100 - Sheriff's Pass-Through Grants Fund Type -1 - General Fund Function - 50 - Public Safety Department - 5100 - Sheriff's Pass-Through Grants
Account 70010 70015 70020 70025 70075 70080
Title HIDTA SALARY/FRINGE BENEFITS HIDTA TRAVEL REIMBURSEMENT PRISONER RE-ENTRY COORDINATOR OJP/HUD PUBLIC HOUSING PSN SALARY/BENEFITS PSN TRAVEL REIMBURSEMENT TOTAL GRANT EXPENSES TOTAL SHERIFF PASS-THRU GRANTS
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
227,295 3,000 230,295
227,295 1,055 228,350
219,414 3,000 222,414
219,414 3,000 222,414
219,414 3,000 222,414
230,295
228,350
222,414
222,414
222,414
This fund will be combined with the General Fund for reporting purposes.
Page 59
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1110 - Sheriff Justice Assistance Grant (JAG) Fund Fund Type -1 - General Fund Function - 50 - Public Safety Department - 5110 - Sheriff Justice Assistance Grant (JAG) Fund
Account
Title
41340 41350
JAG GRANT DNR MATCHING FUNDS TOTAL INTERGOVERNMENTAL
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
58025
TRANSFER IN - FUND 1001 TOTAL TRANSFERS TOTAL SHERIFF JAG FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
180,000 180,000
157,717 157,717
47,028 47,028
47,028 47,028
47,028 47,028
364 364
-
295 295
157 157
440 440
33,973 33,973
-
33,973 33,973
39,000 39,000
43,078 43,078
175,164 175,164
175,164 175,164
-
14,991 14,991
14,991 14,991
389,501
332,881
81,296
101,176
105,537
This fund will be combined with the General Fund for reporting purposes.
Page 60
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1110 - Sheriff Justice Assistance Grant (JAG) Fund Fund Type -1 - General Fund Function - 50 - Public Safety Department - 5110 - Sheriff Justice Assistance Grant (JAG) Fund
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60050 60100 61040 61060 61095 61100 62010
OVERTIME SALARIES OTHER SALARIES HIGHWAY SAFETY OVERTIME DWI CHECKPOINT OVERTIME DSSSF GRANT SALARIES PROSECUTOR SALARIES UNIFORMS TAXABLE TOTAL SALARIES
30,419 183,576 62,185 276,180
13,402 155,346 59,250 227,998
6,750 21,720 7,206 35,676
6,750 21,720 7,206 35,676
6,750 21,720 7,206 35,676
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMP LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
21,899 4,944 21,470 25,797 1,752 75,862
17,773 6,277 24,161 31,169 1,337 80,717
2,770 1,122 3,500 4,000 11,392
2,770 1,122 3,500 4,000 11,392
2,770 1,122 3,500 4,000 11,392
64020 68060 81200
OTHER SUPPLIES GAS & OIL INVESTIGATIVE EQUIPMENT TOTAL OTHER EXPENSES
900 11,625 5,020 17,545
1,307 8,321 4,710 14,339
-
-
-
369,587
323,054
47,068
47,068
47,068
TOTAL SHERIFF JAG FUND
This fund will be combined with the General Fund for reporting purposes.
Page 61
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1111 - ARRA Sheriff Justice Assistance Grant (JAG) Fund Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5111- ARRA Sheriff Justice Assistance Grant (JAG)
Account
Title
41340 41350
REVENUE JAG GRANT DNR MATCHING FUNDS TOTAL INTERGOVERNMENTAL
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL SHERIFF ARRA JAG FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
13,440 13,440
23,604 23,604
13,440 13,440
13,440 13,440
13,440 13,440
23 23
-
23 23
18 18
6 6
3,538 3,538
-
3,538 3,538
4,000 4,000
8,483 8,483
17,001
23,604
17,001
17,458
21,929
This fund will be combined with the General Fund for reporting purposes.
Page 62
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1111 - ARRA Sheriff Justice Assistance Grant (JAG) Fund Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5111- ARRA Sheriff Justice Assistance Grant (JAG)
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60050 60100 61100 62010
OVERTIME SALARIES OTHER SALARIES PROSECUTOR SALARIES UNIFORMS TAXABLE TOTAL SALARIES
1,243 8,240 9,483
1,243 8,240 9,483
1,243 8,240 9,483
1,243 8,240 9,483
1,243 8,240 9,483
63015 63020 63025 63035 63050
EMPLOYER PAYROLL TAXES WORKERS COMP LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
722 306 983 1,052 47 3,110
1,444 610 1,965 2,103 92 6,214
722 306 983 1,052 47 3,110
722 306 983 1,052 47 3,110
722 306 983 1,052 47 3,110
64020 68060 81200
OTHER SUPPLIES GAS & OIL INVESTIGATIVE EQUIPMENT TOTAL OTHER EXPENSES
2,030 1,533 3,563
4,059 3,065 7,125
1,428 2,135 3,563
1,428 2,135 3,563
1,428 2,135 3,563
16,156
22,821
16,156
16,156
16,156
TOTAL SHERIFF ARRA JAG FUND
This fund will be combined with the General Fund for reporting purposes.
Page 63
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1112 - Sheriff State Grant (JAG) Fund Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5112- Sheriff State Grant (JAG)
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
41340 41350 41390
JAG GRANT DNR MATCHING FUNDS ANN. DWI CHECKPOINT GRANT TOTAL INTERGOVERNMENTAL
-
-
179,647 179,647
179,647 179,647
179,647 179,647
44010
INTEREST INCOME TOTAL INTEREST INCOME
-
-
-
-
20 20
50070
OTHER OPERATING INCOME TOTAL MISC. INCOME
-
-
-
-
-
58025
TRANSFER IN - FUND 1001 TOTAL TRANSFERS
-
-
154,139 154,139
154,139 154,139
183,079 183,079
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
-
-
-
-
-
-
-
333,786
333,786
362,746
TOTAL SHERIFF STATE JAG FUND
This fund will be combined with the General Fund for reporting purposes.
Page 64
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1112 - Sheriff State Grant (JAG) Fund Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5112- Sheriff State Grant (JAG)
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60050 60100 61095 61100 62010
OVERTIME SALARIES OTHER SALARIES DSSSF GRANT SALARIES PROSECUTOR SALARIES UNIFORMS TAXABLE TOTAL SALARIES
-
-
14,000 173,735 4,800 50,704 2,400 245,639
14,000 173,735 4,800 50,704 2,400 245,639
14,000 173,735 4,800 50,704 2,400 245,639
63015 63020 63025 63035 63050
EMPLOYER PAYROLL TAXES WORKERS COMP LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
-
-
30,660 6,215 31,358 33,323 3,670 105,225
30,660 6,215 31,358 33,323 3,670 105,225
30,660 6,215 31,358 33,323 3,670 105,225
64020
OTHER SUPPLIES TOTAL OTHER SUPPLIES
-
-
-
-
-
68020 68060
OTHER TRAINING GAS & OIL TOTAL TRAINING AND TRAVEL
-
-
11,880 11,880
11,880 11,880
11,880 11,880
81200
INVESTIGATIVE EQUIPMENT TOTAL OTHER EXPENSES
-
-
-
-
-
-
-
362,744
362,744
362,744
TOTAL SHERIFF STATE JAG FUND
This fund will be combined with the General Fund for reporting purposes.
Page 65
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1120 - MO Cyber Crimes Grant Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5120 - Cyber Crimes - Platte Co.
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
41310 41330 41320
WMCCTF GRANT WMCCTF GR-OTHER AGENCIES WMCCTF GRANT-COUNTY MATCH TOTAL INTERGOVERNMENTAL
-
241 241
2,460 2,460
2,460 2,460
2,460 2,460
44010
INTEREST INCOME TOTAL INTEREST INCOME
-
-
-
-
-
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL OTHER REVENUE
-
-
-
-
-
58576 58590
TRANSFER OUT - FUND 1121 TRASNFER OUT - FUND 1001 TOTAL TRANSFERS
-
-
-
-
-
-
241
2,460
2,460
2,460
TOTAL CYBER CRIMES - PLATTE CO
This fund will be combined with the General Fund for reporting purposes.
Page 66
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1120 - MO Cyber Crimes Grant Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5121 - MO Cyber Crimes Pass Thru
Account 41310
Title WMCCTF GRANT TOTAL INTERGOVERNMENTAL TOTAL MO CYBER CRIMES PASS THRU
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
39,480 39,480
10,654 10,654
82,109 82,109
82,109 82,109
82,109 82,109
39,480
10,654
82,109
82,109
82,109
This fund will be combined with the General Fund for reporting purposes.
Page 67
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1120 - MO Cyber Crimes Grant Fund Type -1 - General Fund Function - 50 - Public Safety Department - 5124 - ICAC Funds
Account 41310 41320 41330 41335
Title WMCCTF GRANT
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
WMCCTF GR-OTHER AGENCIES ICAC FUNDING TOTAL INTERGOVERNMENTAL
-
-
13,000 13,000
13,000 13,000
13,000 13,000
44010
INTEREST INCOME TOTAL INTEREST INCOME
-
-
-
286 286
12 12
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL OTHER REVENUE
572 572
-
572 572
149 149
6,650 6,650
572
-
13,572
13,435
19,662
40,052
10,895
98,141
98,004
104,231
WMCCTF GRANT-COUNTY MATCH
TOTAL ICAC FUNDS TOTAL MO CYBER CRIMES GRANT
This fund will be combined with the General Fund for reporting purposes.
Page 68
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1120 - MO Cyber Crimes Grant Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5120 - Cyber Crimes - Platte Co.
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60050 60100 62010
OVERTIME SALARIES OTHER SALARIES TAXABLE UNIFORMS TOTAL SALARIES
-
-
-
-
-
63015 63020 63040 63025 63035
EMPLOYER PAYROLL TAXES WORKERS COMP UNEMPLOYMENT COMPENSATION LAGERS HEALTH INSURANCE TOTAL FRINGE BENEFITS
-
-
-
-
-
64020
OTHER SUPPLIES TOTAL OPERATING EXPENSES
370 370
-
2,460 2,460
2,460 2,460
2,460 2,460
65040
EQUIPMENT MAINTENANCE & REPAIR TOTAL REPAIR & MAINTENANCE TOTAL OTHER EXPENSES OTHER TRAINING TOTAL TRAINING
-
-
-
-
-
-
-
-
-
-
EQUIPMENT TOTAL EQUIPMENT
-
-
-
-
-
370
-
2,460
2,460
2,460
68020
81148
TOTAL CYBER CRIMES - PLATTE CO
This fund will be combined with the General Fund for reporting purposes.
Page 69
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1120 - MO Cyber Crimes Grant Fund Type -1 - General Fund Function - 50 - Public Safety Department - 5121 - MO Cyber Crimes Pass Thru
Account
Title
60050 60100 32010
OVERTIME SALARIES OTHER SALARIES UNIFORM TAXABLE TOTAL SALARIES
63015 63020 63025 63035 63050
EMPLOYER PAYROLL TAXES WORKERS COMP LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
64020
OTHER SUPPLIES TOTAL OPERATING EXPENSES
65040
EQUIPMENT MAINTENANCE & REPAIR TOTAL REPAIR & MAINTENANCE
68020
OTHER TRAINING TOTAL TRAINING TOTAL MO CYBER CRIMES PASS THRU
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
101,708 644 102,352
39,821 39,821
50,484 50,484
50,484 50,484
50,484 50,484
7,865 4,205 10,950 15,996 750 39,766
2,836 929 3,634 403 7,802
3,865 2,300 6,275 12,310 435 25,185
3,865 2,300 6,275 12,310 435 25,185
3,865 2,300 6,275 12,310 435 25,185
5,475 5,475
1,314 1,314
1,875 1,875
1,875 1,875
1,875 1,875
-
-
-
-
-
2,000 2,000
-
5,000 5,000
5,000 5,000
5,000 5,000
149,593
48,938
82,544
82,544
82,544
This fund will be combined with the General Fund for reporting purposes.
Page 70
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1120 - MO Cyber Crimes Grant Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5124 - ICAC Funds
Account
Title
60050 60100 32010
OVERTIME SALARIES OTHER SALARIES UNIFORM TAXABLE TOTAL SALARIES
63015 63020 63025 63035 63040 63050
EMPLOYER PAYROLL TAXES WORKERS COMP LAGERS HEALTH INSURANCE EMPLOYEE ASSISTANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
64020
OTHER SUPPLIES TOTAL OTHER
68020
81148
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
276 255 276
-
-
-
-
984 6,243 56 20 7,303
-
-
-
-
16 16
-
6,500 6,500
6,500 6,500
6,500 6,500
OTHER TRAINING TOTAL TRAINING
1,540 1,540
3,075 3,075
-
-
-
EQUIPMENT TOTAL EQUIPMENT
7,120 7,120
-
6,500 6,500
6,500 6,500
6,500 6,500
16,255
3,075
13,000
13,000
13,000
166,218
52,012
98,004
98,004
98,004
TOTAL ICAC FUNDS TOTAL MO CYBER CRIMES GRANT
This fund will be combined with the General Fund for reporting purposes.
Page 71
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1121 - ARRA MO Cyber Crimes Grant Fund Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5121 - ARRA MO Cyber Crimes
Account
Title
41310 41330
WMCCTF GRANT WMCCTF GR-OTHER AGENCIES TOTAL INTERGOVERNMENTAL
44010
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
2,434 2,434
29,836 29,836
2,434 2,434
2,434 2,434
2,434 2,434
INTEREST INCOME TOTAL INTEREST INCOME
-
-
-
11 11
-
58041
TRANSFER IN - FUND 1120 TOTAL TRANSFERS
-
-
-
-
-
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL OTHER REVENUE
-
-
-
-
-
2,434
29,836
2,434
2,445
2,434
TOTAL ARRA MO CYBER CRIMES
This fund will be combined with the General Fund for reporting purposes.
Page 72
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1121 - ARRA MO Cyber Crimes Grant Fund Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5125 - ARRA MO Cyber Crimes Grant Pass Thru
Account
Title
41310 41320 41330
WMCCTF GRANT WMCCTF GRANT-COUNTY MATCH WMCCTF GR-OTHER AGENCIES TOTAL INTERGOVERNMENTAL
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL OTHER REVENUE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
190,550 190,550
47,457 47,457
190,550 190,550
190,550 190,550
190,550 190,550
5 5
-
5 5
5 5
77 77
1,059 1,059
-
1,059 1,059
1,000 1,000
1,009 1,009
TOTAL ARRA CYBER CRIMES PASS THRU
191,614
47,457
191,614
191,555
191,636
TOTAL ARRA MO CYBER CRIMES GRANT
194,048
77,293
194,048
194,000
194,070
This fund will be combined with the General Fund for reporting purposes.
Page 73
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1121 - ARRA MO Cyber Crimes Grant Fund Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5121 - ARRA MO Cyber Crimes
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60100
OTHER SALARIES TOTAL SALARIES
-
-
-
-
-
63015 63020 63025 63035 63040
EMPLOYER PAYROLL TAXES WORKERS COMP LAGERS HEALTH INSURANCE EMPLOYEE ASSIST PROGRAM TOTAL FRINGE BENEFITS
-
-
-
-
-
64020
OTHER SUPPLIES TOTAL OPERATING EXPENSES
-
-
-
-
-
65040
EQUIPMENT MAINTENANCE & REPAIR TOTAL REPAIR & MAINTENANCE
-
-
-
-
-
68020
OTHER TRAINING TOTAL TRAINING
-
-
-
-
-
-
-
-
-
-
TOTAL ARRA MO CYBER CRIMES
This fund will be combined with the General Fund for reporting purposes.
Page 74
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1121 - ARRA MO Cyber Crimes Grant Fund Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5125 - ARRA MO Cyber Crimes Grant Pass Thru
Account
Title
60050 60100 62010
OVERTIME SALARIES OTHER SALARIES UNIFORMS TAXABLE TOTAL SALARIES
63015 63020 63025 63035 63040
EMPLOYER PAYROLL TAXES WORKERS COMP LAGERS HEALTH INSURANCE EMPLOYEE ASSIST PROGRAM TOTAL FRINGE BENEFITS
64020
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
117,831 1,104 118,935
30,648 230 30,878
117,831 1,104 118,935
117,831 1,104 118,935
117,831 1,104 118,935
9,015 3,450 14,325 30,255 1,240 58,285
2,169 1,783 3,516 7,355 523 15,346
9,015 3,450 14,325 30,255 1,240 58,285
9,149 2,804 10,764 19,995 1,240 43,952
9,149 2,804 10,764 19,995 1,240 43,952
OTHER SUPPLIES TOTAL OPERATING EXPENSES
6,000 6,000
3,723 3,723
6,000 6,000
6,000 6,000
6,000 6,000
68020
OTHER TRAINING TOTAL TRAINING
5,800 5,800
164 164
5,800 5,800
5,800 5,800
5,800 5,800
81148
EQUIPMENT TOTAL CAPITAL
1,427 1,427
-
1,427 1,427
1,427 1,427
1,427 1,427
TOTAL ARRA CYBER CRIMES PASS THRU
190,447
50,112
190,447
176,114
176,114
TOTAL ARRA MO CYBER CRIMES GRANT
190,447
50,112
190,447
176,114
176,114
This fund will be combined with the General Fund for reporting purposes.
Page 75
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1130 - ARRA Drug Enforcement Grant Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5130 - ARRA Drug Enforcement Grant
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
41470
DRUG ENFORCEMENT RECOVERY TOTAL INTERGOVERNMENTAL
-
-
-
-
-
44010
INTEREST INCOME TOTAL INTEREST INCOME
-
-
-
1 1
0 0
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL OTHER REVENUE
130 130
-
130 130
130 130
130 130
130
-
130
131
130
TOTAL ARRA DRUG ENFORCE. GRANT
This fund will be combined with the General Fund for reporting purposes.
Page 76
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1130 - ARRA Drug Enforcement Grant Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5130 - ARRA Drug Enforcement Grant
Account 69105 81148
Title OTHER OPERATING EXPENSE EQUIPMENT TOTAL ARRA DRUG ENFORCEMENT GRANT TOTAL ARRA DRUG ENFORCE. GRANT
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
-
-
-
-
-
This fund will be combined with the General Fund for reporting purposes.
Page 77
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1150 - LLEBG Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5150 - LLEBG
Account
Title
41025
LOCAL LAW ENFORCE BLOCK GRANT TOTAL INTERGOVERNMENTAL
44010
INTEREST INCOME TOTAL INTEREST INCOME
58025
TRANSFER IN - FUND 1001 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL OTHER REVENUE TOTAL LLEBG
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
9,000 9,000
9,000 9,000
9,000 9,000
9,000 9,000
9,000 9,000
27 27
-
27 27
7 7
15 15
1,050 1,050
1,050 1,050
1,050 1,050
1,050 1,050
1,050 1,050
204 204
-
-
-
17 17
10,281
10,050
10,077
10,057
10,082
This fund will be combined with the General Fund for reporting purposes.
Page 78
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1150 - LLEBG Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5150 - LLEBG
Account 81148
Title EQUIPMENT TOTAL EQUIPMENT TOTAL LLEBG
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
10,398
10,398
10,000
10,000
10,000
10,398
10,398
10,000
10,000
10,000
This fund will be combined with the General Fund for reporting purposes.
Page 79
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1160 - Construction Zone Traffic Fund Type -2 - Special Revenue Function - 50 - Public Safety Department - 5160 - Construction Zone Traffic
Account 41300
Title HWY SAFETY GRANT TOTAL REIMBRUSEMENT TOTAL CONSTRUCT ZONE TRAFFIC FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
40,000 40,000
-
40,000 40,000
40,000 40,000
40,000 40,000
40,000
-
40,000
40,000
40,000
This fund will be combined with the General Fund for reporting purposes.
Page 80
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1160- Construction Zone Traffic Fund Type -2 - Special Revenue Function - 50 - Public Safety Department - 5160 - Construction Zone Traffic
Account
Title
60100 61075
OTHER SALARIES CONSTRUCTION ZONE TRAFFIC TOTAL PERSONNEL COSTS
69105 81148
OTHER OPERATING EXPENSE EQUIPMENT TOTAL OTHER OPERATING EXPENSES TOTAL CONSTRUCT ZONE TRAFFIC FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
40,000 40,000
-
40,000 40,000
40,000 40,000
40,000 40,000
-
-
-
-
-
40,000
-
40,000
40,000
40,000
This fund will be combined with the General Fund for reporting purposes.
Page 81
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1180 - FEMA Grant Fund Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5180 - FEMA Grant
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
41150
FEMA GRANT TOTAL FEMA GRANT
-
-
-
-
-
44010
INTEREST INCOME TOTAL INTEREST INCOME
-
-
-
-
-
58017 58025
TRANSFER IN - FUND 3000 TRANSFER IN - FUND 1001 TOTAL TRANSFERS
-
-
-
-
-
-
-
-
-
-
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL OTHER REVENUE
-
-
-
-
-
-
-
-
-
-
59110 59120 59130 59140 59150
TOTAL FEMA GRANT
This fund will be combined with the General Fund for reporting purposes.
Page 82
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1180 - FEMA Grant Fund Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5180 - FEMA Grant
Account 70155 70300
Title FEMA GRANT GRANT DISBURSEMENTS TOTAL GRANT DISBURSEMENTS TOTAL FEMA GRANT
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
-
-
-
-
-
This fund will be combined with the General Fund for reporting purposes.
Page 83
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1190 - Emergency Preparedness Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5190 - Emergency Preparedness
Account
Title
41020 41140 41440 41490 41491
EMERGENCY PREP GRANT SEMA MISCELLANEOUS GRANT <$5000 LEPC FUNDS CERT GRANT TOTAL EMERGENCY PREPAREDNESS
44010
INTEREST INCOME TOTAL INTEREST INCOME
58025
TRANSFER IN - FUND 1001 TOTAL TRANSFERS
59110 59120 59130 59140 59150
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
500 78,012 6,200 3,500 88,212
4,875 76,470 1,960 83,305
500 80,153 6,200 3,500 90,353
500 80,153 6,200 3,500 90,353
14,427 80,153 6,200 3,500 104,280
144 144
-
140 140
140 140
301 301
134,024 134,024
138,350 138,350
134,024 134,024
134,024 134,024
88,019 88,019
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL OTHER REVENUE
403 403
-
403 403
14,900 14,900
49,877 49,877
TOTAL EMERGENCY PREPARATION
222,783
221,655
224,920
239,417
242,477
This fund will be combined with the General Fund for reporting purposes.
Page 84
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1190 - Emergency Preparedness Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5190 - Emergency Preparedness
Account
Title
60050 60100 62010
OVERTIME SALARIES OTHER SALARIES UNIFORMS TOTAL SALARIES
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
64020 64180
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
3,000 113,242 2,400 118,642
2,218 111,949 2,400 116,568
3,000 114,188 2,400 119,588
3,000 113,628 1,200 117,828
3,000 111,949 2,400 117,349
9,076 4,091 12,457 12,899 726 39,249
8,981 2,205 12,118 12,285 630 36,219
9,149 4,535 10,763 24,447
8,785 2,664 10,227 13,329 1,098 36,103
10,075 2,625 10,075 13,329 1,082 37,187
OTHER SUPPLY/INCL MAILRM EMERGENCY MGT EQUIPMENT/SUPPLIES TOTAL OPERATING EXPENSES
2,300 1,500 3,800
2,444 2,789 5,233
2,300 1,500 3,800
2,300 1,500 3,800
2,300 1,500 3,800
65130 65200 65290 65295
HAZARDOUS MATERIAL MGT CONSULTANT SVC-OTHER EQUIPMENT MAINTENANCE & REPAIR MOTOR VEHICLE REPAIR TOTAL CONTRACTUAL SERVICES
2,000 494 1,075 3,569
305 120 425
2,000 1,500 1,500 5,000
2,000 1,500 1,500 5,000
2,000 1,500 1,500 5,000
67040 67080
TELEPHONE TORNADO SIRENS TOTAL OCCUPANCY COSTS
4,023 13,800 17,823
2,006 24,013 26,019
6,718 15,016 21,734
6,718 15,016 21,734
6,718 15,016 21,734
68040 68060
CONFERENCES GAS & OIL TOTAL TRAVEL EXPENSES
5,500 4,500 10,000
1,179 1,179
5,500 4,500 10,000
5,500 4,500 10,000
5,500 4,500 10,000
70005 70030 70140
EMERGENCY PREP GRANT LEPC CERT GRANT TOTAL GRANT EXPENSE
500 6,200 3,500 10,200
238 1,960 2,198
500 6,200 3,500 10,200
500 6,200 3,500 10,200
14,427 6,200 3,500 24,127
73220 73230
CAPITAL LEASE PRINCIPAL CAPITAL LEASE INTEREST TOTAL TRAVEL EXPENSES
-
-
-
-
-
81148 81150
EQUIPMENT EQUIPMENT RENTAL TOTAL EQUIPMENT
19,500 19,500
18,901 18,901
3,000 20,280 23,280
3,000 20,280 23,280
3,000 20,280 23,280
222,783
206,742
218,049
227,945
242,477
TOTAL EMERGENCY PREPAREDNESS
This fund will be combined with the General Fund for reporting purposes.
Page 85
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1195 - Animal Control Fund Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5195 - Animal Control
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
58025
TRANSFER IN - FUND 1001 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL OTHER REVENUE TOTAL ANIMAL CONTROL
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
10 10
10 10
117 117
58,550 58,550
58,550 58,550
27,950 27,950
27,950 27,950
27,834 27,834
-
-
-
-
-
58,550
58,550
27,960
27,960
27,951
This fund will be combined with the General Fund for reporting purposes.
Page 86
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1195 - Animal Control Fund Fund Type - 1 - General Fund Function - 50 - Public Safety Department - 5195 - Animal Control
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60050 60100 62010
OVERTIME SALARIES OTHER SALARIES UNIFORMS TOTAL SALARIES
-
-
-
-
-
63015 63020 63025 63035 63050
PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
-
-
-
-
-
64160
PROTECTIVE EQUIPMENT TOTAL PROTECTIVE EQUIPMENT
-
-
-
-
-
65150 65230 65295 68020 68030 68060 69105 81135
BOARD & EUTHANASIA INSURANCE MOTOR VEHICLE REPAIR OTHER TRAINING MILEAGE GAS & OIL OTHER OPERATING EXPENSE MOTOR VEHICLES TOTAL OPERATING EXPENSES
19,800 750 26,000 46,550
8,750 380 20,553 29,682
19,800 1,000 150 20,950
19,800 1,000 150 20,950
19,800 1,000 150 20,950
81135 81148
MOTOR VEHICLE EQUIPMENT TOTAL EQUIPMENT EXPENSE
26,000 12,000 38,000
20,553 5,989 26,542
7,000 7,000
7,000 7,000
7,000 7,000
84,550
56,224
27,950
27,950
27,950
TOTAL ANIMAL CONTROL
This fund will be combined with the General Fund for reporting purposes.
Page 87
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1400 - Loss Control Committee Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1025 - Loss Control Committee
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
50281 50285 50315
DIVIDEND REIMBURSEMENTS LOSS CONTROL/SAFETY REIMB PROJECT REIMBURSEMENT TOTAL LOSS CONTROL REIMBURSEMENT
58025 58590
TRANSFER IN - FUND 1001 TRANSFER OUT - FUND 1001 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL OTHER REVENUE TOTAL LOSS CONTROL COMMITTEE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
14,000 12,000 50,000 76,000
14,110 20,196 34,306
12,000 8,000 20,000
12,000 8,000 20,000
12,000 8,000 20,000
-
29,136 29,136
29,136 29,136
73,999 73,999
79,000 79,000
77,207 77,207
93,999
128,136
126,343
144,953 144,953 220,953
This fund will be combined with the General Fund for reporting purposes.
Page 88
(66,634) (66,634) (32,328)
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1400 - Loss Control Committee Fund Type - 1 - General Fund Type Function - 10 - General Government Department - 1025 - Loss Control Committee
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
65100
LOSS CONTROL/SAFETY TOTAL LOSS CONTROL / SAFETY
13,000 13,000
11,418 11,418
13,000 13,000
13,000 13,000
13,000 13,000
69105 69135 81148
OTHER OPERATING EXPENSE PROJECT REIMBURSEMENT EQUIPMENT TOTAL OTHER OPERATING EXPENSES
20,000 50,000 70,000
3,320 23,516 26,836
5,000 8,000 13,000
5,000 8,000 13,000
5,000 8,000 13,000
83,000
38,254
26,000
26,000
26,000
TOTAL LOSS CONTROL COMMITTEE
This fund will be combined with the General Fund for reporting purposes.
Page 89
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1500 - Catastrophic Disaster Fund Fund Type - 1 - General Fund Function - 10 - General Government Department - 1400 - Catastrophic Disaster
Account
Title
41140 41150
SEMA FEMA REIMBURSEMENT TOTAL INTERGOVERNMENTAL
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
58010 58501
TRANSFERS IN TRANSFERS OUT TOTAL TRANSFERS TOTAL CATASTROPHIC DISASTER
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
137 137
-
137 137
216 216
160 160
45,388 45,388
-
45,388 45,388
45,000 45,000
45,548 45,548
-
-
-
-
-
45,525
-
45,525
45,216
45,708
This fund will be combined with the General Fund for reporting purposes.
Page 90
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 1500 - Catastrophic Disaster Fund Fund Type - 1 - General Fund Function - 10 - General Government Department - 1400 - Catastrophic Disaster
Account 69105
Title OTHER OPERATING EXPENSE TOTAL OTHER OPERATING EXPENSES TOTAL CATASTROPHIC DISASTER
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
-
-
-
-
-
This fund will be combined with the General Fund for reporting purposes.
Page 91
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
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Page 92
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
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Page 93
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2100 - Assessor Fund Fund Type - 2 - Special Revenue Function - 30 - Property Valuation & Recording Department - 3200 - Assessor
Account
Title
41540
ASSESSMENT REIMBURSEMENT TOTAL INTERGOVERNMENTAL
44010
INTEREST INCOME TOTAL INTEREST INCOME
45010
ASSESSOR COMMISSIONS TOTAL FEES & COMMISSIONS
50020 50060
COPIES POSTAGE/MAPS TOTAL OTHER REVENUE
58010 58590 58531
TRANSFER IN - FUND 1001 TRANSFERS OUT - FUND 1001 TRANSFERS OUT - FUND 2190 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL ASSESSOR FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
123,000 123,000
-
124,464 124,464
123,000 123,000
124,464 124,464
3,095 3,095
-
-
4,889 4,889
3,743 3,743
875,000 875,000
936,774 936,774
920,000 920,000
925,000 925,000
900,000 900,000
6,000 6,000
526 10,692 11,218
6,000 6,000
6,000 6,000
6,000 6,000
-
-
-
-
607,679 607,679
-
1,007,464 1,007,464
878,000 878,000
828,053 828,053
1,614,774
947,992
2,057,928
1,936,889
1,842,260
Page 94
(20,000) (20,000)
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2100 - Assessor Fund Fund Type - 2 - Special Revenue Function - 30 - Property Valuation & Recording Department - 3200 - Assessor
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60010 60100 60150 62020
OFFICIAL'S SALARIES OTHER SALARIES PART TIME SALARIES TEMPORARY LABOR TOTAL SALARIES
65,755 572,012 21,000 658,767
65,755 514,924 30,034 610,713
65,755 40,000 35,000 140,755
65,755 541,668 21,000 628,423
65,755 541,668 40,000 35,000 682,423
63015 63020 63025 63035 63050
EMPLOYER PAYROLL TAXES WORKMEN'S COMP LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL BENEFITS
50,396 11,382 49,408 92,870 4,032 208,088
45,769 10,216 41,790 87,253 3,372 188,401
-
46,469 6,530 41,913 99,968 3,434 198,314
52,206 6,648 47,087 99,968 3,862 209,771
64010 64050
OFFICE SUPPLIES PRINTING TOTAL OPERATING EXPENSES
22,000 15,000 37,000
21,740 14,348 36,087
22,000 20,000 42,000
22,000 15,000 37,000
22,000 20,000 42,000
65220 65240 65295 65330
LEGAL SERVICES MOBILE PHONE MOTOR VEHICLE REPAIR CONSULTANT SERVICES TOTAL CONTRACTUAL SERVICES
80,000 3,000 5,000 40,000 128,000
21,273 1,435 424 2,000 25,132
50,000 2,500 5,000 40,000 97,500
25,000 1,500 5,000 10,000 41,500
50,000 2,500 5,000 40,000 97,500
68020 68030 68060
OTHER TRAINING MILEAGE GAS & OIL TOTAL TRAVEL & TRAINING
20,000 3,000 10,000 33,000
15,657 787 4,728 21,172
-
20,000 3,000 5,000 28,000
20,000 3,000 10,000 33,000
69210
BOOKS & SUBSCRIPTIONS TOTAL DUES & SUBSCRIPTIONS
5,000 5,000
5,428 5,428
-
5,000 5,000
5,000 5,000
81100 81120 81130 81125 81148
CAPITAL IMPROVEMENTS COMPUTER HARDWARE GIS SOFTWARE EQUIPMENT TOTAL EQUIPMENT
-
-
65,000 87,500 152,500
55,089 27,519 82,608
60,000 60,000
13,750 60,000 35,000 108,750
16,000 60,000 60,000 136,000
1,222,355
969,541
340,255
1,046,987
1,205,694
TOTAL ASSESSOR FUND
Page 95
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2110 - Assessor Technology Fund Fund Type - 2 - Special Revenue Function - 30 - Property Valuation & Recording Department - 3210 - Assessor Technology Fund
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
45010
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
926 926
-
-
1,359 1,359
1,144 1,144
ASSESSOR COMMISSIONS TOTAL FEES & COMMISSIONS
-
-
-
-
-
58025 58590
TRANSFER IN - FUND 1001 TRANSFERS OUT - FUND 1001 TOTAL TRANSFERS
-
-
-
-
-
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
338,276 338,276
-
-
338,276 338,276
324,640 324,640
339,202
-
-
339,635
325,784
TOTAL ASSESSOR TECHNOLOGY FUND
Page 96
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2110 - Assessor Technology Fund Fund Type - 2 - Special Revenue Function - 30 - Property Valuation & Recording Department - 3210 - Assessor Technology Fund
Account
Title
65350 65360
HARDWARE MAINT CONTRACT SOFTWARE MAINT CONTRACT TOTAL CONTRACTUAL SERVICES
81125 81148
SOFTWARE EQUIPMENT TOTAL EQUIPMENT TOTAL ASSESSOR TECHNOLOGY FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
60,000 60,000
14,780 14,780
-
30,000 30,000
60,000 60,000
60,000
14,780
-
30,000
60,000
Page 97
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2200 - Collector Tax Maintenance Fund Fund Type - 2 - Special Revenue Function - 30 - Property Valuation Department - 3300 - Collector Tax Maintenance
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
45170
COLLECTOR/2% PENALTY TOTAL FEES & COMMISSIONS
58038 58531 58590
TRANSFER IN - FUND 2190 TRANSFER OUT - FUND 2190 TRANSFER OUT - FUND 1001 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL TAX MAINTENANCE FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
1,332 1,332
-
1,332 1,332
2,520 2,520
1,398 1,398
180,000 180,000
165,348 165,348
180,000 180,000
180,000 180,000
180,000 180,000
-
-
-
-
(50,000) (50,000)
332,769 332,769
-
396,000 396,000
383,000 383,000
363,126 363,126
514,101
115,348
577,332
565,520
544,524
Page 98
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2200 - Collector Tax Maintenance Fund Fund Type - 2 - Special Revenue Function - 30 - Property Valuation Department - 3300 - Collector Tax Maintenance
Account
Title
60100 60150
OTHER SALARIES PART TIME SALARIES TOTAL SALARIES
63015 63020
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
25,000 25,000
15,000 15,000
15,000 15,000
15,000 15,000
15,000 15,000
EMPLOYER PAYROLL TAXES WORKERS COMP TOTAL FRINGE BENEFITS
1,913 43 1,956
-
1,913 43 1,956
1,913 43 1,956
1,913 43 1,956
64010
OFFICE SUPPLIES TOTAL SUPPLIES
2,500 2,500
2,881 2,881
2,500 2,500
2,500 2,500
2,500 2,500
65090 65190 65220 65350 65360 69060
MEETINGS CONTRACTUAL SERVICES LEGAL SERVICES HARDWARE MAINT CONTRACT SOFTWARE MAINT CONTRACT BANK CHARGES TOTAL CONTRACTUAL SERVICES
3,000 5,200 25,000 25,000 58,200
1,452 8,964 5,000 15,416
3,000 5,200 25,000 25,000 58,200
3,000 5,200 25,000 25,000 58,200
3,000 5,200 25,000 25,000 58,200
81125 81148
SOFTWARE EQUIPMENT TOTAL CAPITAL
100,000 40,000 140,000
32,163 32,163
100,000 40,000 140,000
100,000 40,000 140,000
100,000 40,000 140,000
227,656
65,460
217,656
217,656
217,656
TOTAL TAX MAINTENANCE FUND
Page 99
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2300 - Recorder User Fees Fund Fund Type - 2 - Special Revenue Function - 30 - Property Valuation & Recording Department - 3010 - Recorder User Fees
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
45360
RECORDER RETAINED TOTAL FEES & COMMISSIONS
58590
TRANSFER OUT - FUND 1001 TOTAL TRANSFERS OUT
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL RECORDER USER FEES FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
173 173
-
173 173
291 291
277 277
55,000 55,000
43,658 43,658
52,000 52,000
52,000 52,000
52,000 52,000
-
-
-
-
-
69,497 69,497
-
69,497 69,497
76,000 76,000
88,528 88,528
124,670
43,658
121,670
128,291
140,805
Page 100
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2300 - Recorder User Fees Fund Fund Type - 2 - Special Revenue Function - 30 - Property Valuation & Recording Department - 3010 - Recorder User Fees
Account
Title
60100
OTHER SALARIES TOTAL SALARIES
63015 63020 63025 63035 63050
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
10,000 10,000
18,610 18,610
20,000 20,000
-
20,000 20,000
EMPLOYER PAYROLL TAXES WORKER'S COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
765 335 750 61 1,911
1,424 41 1,465
765 335 750 61 1,911
765 335 750 61 1,911
1,530 32 1,380 113 3,055
69105
OTHER OPERATING EXPENSE TOTAL OTHER EXPENSE
15,000 15,000
12,778 12,778
15,000 15,000
15,000 15,000
15,000 15,000
81125
SOFTWARE TOTAL CAPITAL
-
-
-
-
-
26,911
32,852
36,911
16,911
38,055
TOTAL RECORDER USER FEES FUND
Page 101
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2310 - Recorder Technology Fund Fund Type - 2 - Special Revenue Function - 30 - Property Valuation & Recording Department - 3020 - Recorder Technology
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
45380
59110 59120 59130 59140 59150
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
81 81
-
81 81
136 136
163 163
RECORDER TECHNOLOGY FEES TOTAL FEES & COMMISSIONS
23,000 23,000
24,608 24,608
26,000 26,000
26,000 26,000
26,000 26,000
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
38,558 38,558
-
38,558 38,558
55,000 55,000
56,169 56,169
61,639
24,608
64,639
81,136
82,332
TOTAL RECORDER'S TECH FUND
Page 102
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2310 - Recorder Technology Fund Fund Type - 2 - Special Revenue Function - 30 - Property Valuation & Recording Department - 3020 - Recorder Technology
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
69105
OTHER OPERATING EXPENSE TOTAL OTHER OPERATING EXPENSES
10,000 10,000
2,583 2,583
10,000 10,000
10,000 10,000
10,000 10,000
81125 81148
SOFTWARE EQUIPMENT TOTAL CAPITAL
10,000 10,000
2,959 2,959
10,000 10,000
10,000 10,000
50,000 50,000
20,000
5,542
20,000
20,000
60,000
TOTAL RECORDER'S TECH FUND
Page 103
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2400 - Victim/Domestic Violence Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 6150 - Victim/Domestic Violence
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
45030 45070
CC/SURCHARGE-SYNERGY SVC VICTIM DOMESTIC VIOLENCE TOTAL FEES & COMMISSIONS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL VICTIM/DOMESTIC VIOL. FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
18 18
-
18 18
48 48
20 20
18,000 5,000 23,000
19,100 5,680 24,780
18,000 5,000 23,000
18,000 5,000 23,000
18,000 5,000 23,000
6,544 6,544
-
6,544 6,544
65,000 65,000
6,187 6,187
29,562
24,780
29,562
88,048
29,207
Page 104
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2400 - Victim/Domestic Violence Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 6150 - Victim/Domestic Violence
Account 70300
Title GRANT DISBURSEMENTS TOTAL OTHER OPERATING EXPENSES TOTAL VICTIM/DOMESTIC VIOL. FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
29,100 29,100
26,829 26,829
29,100 29,100
29,100 29,100
29,100 29,100
29,100
26,829
29,100
29,100
29,100
Page 105
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2450 - LINC Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 4210 - LINC Fund
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL LINC FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
116 116
-
116 116
224 224
117 117
38,626 38,626
-
38,626 38,626
38,518 38,518
16,082 16,082
38,742
-
38,742
38,742
16,199
Page 106
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2450 - LINC Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 4210 - LINC Fund
Account 81148
Title EQUIPMENT TOTAL EQUIPMENT TOTAL LINC FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
38,742 38,742
22,661 22,661
38,742 38,742
38,742 38,742
16,198 16,198
38,742
22,661
38,742
38,742
16,198
Page 107
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2600 - Prosecutor Training Fund Fund Type - 2 - Special Revenue Function - 40 - Administration of Justice Department - 4410 - Prosecutor Training Fund
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
45100
59110 59120 59130 59140 59150
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
19 19
-
19 19
19 19
-
PROSECUTING ATTY TRAINING FUND TOTAL FEES & COMMISSIONS
4,500 4,500
4,491 4,491
4,500 4,500
4,500 4,500
4,500 4,500
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
5,819 5,819
-
5,819 5,819
1,200 1,200
1,767 1,767
10,338
4,491
10,338
5,719
6,267
TOTAL PROSECUTOR TRAINING FUND
Page 108
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2600 - Prosecutor Training Fund Fund Type - 2 - Special Revenue Function - 40 - Administration of Justice Department - 4410 - Prosecutor Training Fund
Account 68020
Title OTHER TRAINING TOTAL TRAINING TOTAL PROSECUTOR TRAINING FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
10,136 10,136
10,136 10,136
10,136 10,136
5,719 5,719
5,719 5,719
10,136
10,136
10,136
5,719
5,719
Page 109
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2610 - Prosecutor Delinquent Tax Fund Fund Type - 2 - Special Revenue Function - 40 - Administration of Justice Department - 4420 - Prosecutor Delinquent Tax
Account
Title
41570
PA DELINQUENT TAX FUND TOTAL INTERGOVERNMENTAL
44010
INTEREST INCOME TOTAL INTEREST INCOME
58535
TRANSFER OUT - FUND 5000 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL PROSECUTOR DELINQUENT TAX FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
12,500 12,500
11,597 11,597
12,500 12,500
12,500 12,500
12,500 12,500
42 42
-
42 42
545 545
74 74
-
-
-
-
-
14,711 14,711
-
14,711 14,711
31,000 31,000
32,780 32,780
27,253
11,597
27,253
44,045
45,354
Page 110
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2610 - Prosecutor Delinquent Tax Fund Fund Type - 2 - Special Revenue Function - 40 - Administration of Justice Department - 4420 - Prosecutor Delinquent Tax
Account
Title
60100
OTHER SALARIES TOTAL SALARIES
63015 63020
EMPLOYER PAYROLL TAXES WORKERS COMPENSATION TOTAL FRINGE BENEFITS
69105
OTHER OPERATING EXPENSES TOTAL OTHER OPERATING EXPENSES TOTAL PROSECUTOR DELINQUENT TAX FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
6,000 6,000
-
6,000 6,000
6,000 6,000
6,000 6,000
459 201 660
-
459 201 660
459 201 660
459 201 660
5,000 5,000
-
5,000 5,000
5,000 5,000
5,000 5,000
11,660
-
11,660
11,660
11,660
Page 111
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2620 - Prosecutor Administrative Handling Cost Fund Fund Type - 2 - Special Revenue Function - 40 - Administration of Justice Department - 4430 - Prosecutor Administrative Handling Cost
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
45240 45255
P.A. BAD CHECK FUND RESTITUTION ADMIN FEE TOTAL FEES & COMMISSIONS
50070
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
5 5
-
5 5
367 367
56 56
15,000 15,000
17,650 75 17,725
15,000 15,000
16,000 16,000
15,843 15,843
OTHER OPERATING REVENUE TOTAL TRANSFERS
-
-
-
-
-
58535
TRANSFER OUT - FUND 5000 TOTAL TRANSFERS
-
-
-
-
-
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
6,720 6,720
-
6,720 6,720
15,843 15,843
15,843 15,843
21,725
17,725
21,725
32,210
31,742
TOTAL PA ADMIN HANDLING COST FUND
Formerly known as Prosecutor Bad Check Fund; renamed per RSMo 559.100 and 570.120.
Page 112
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2620 - Prosecutor Administrative Handling Cost Fund Fund Type - 2 - Special Revenue Function - 40 - Administration of Justice Department - 4430 - Prosecutor Administrative Handling Cost
Account
Title
68010 68020
STATUTORY TRAINING OTHER TRAINING TOTAL TRAINING
69105
OTHER OPERATING EXPENSE TOTAL OTHER OPERATING EXPENSES
81100
CAPITAL IMPROVEMENTS TOTAL CAPITAL TOTAL PA ADMIN HANDLING COST FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
20,000 20,000
7,296 7,296
20,000 20,000
20,000 20,000
20,000 20,000
-
-
-
-
-
20,000
7,296
20,000
20,000
20,000
Formerly known as Prosecutor Bad Check Fund; renamed per RSMo 559.100 and 570.120.
Page 113
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2700 - Sheriff POST Commission Training Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5200 - Sheriff POST Commission Training
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
45090
LET-LAW ENFORCE TRAINING TOTAL FEES & COMMISSIONS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL POST COMM TRAINING FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
29 29
-
30 30
136 136
1 1
8,000 8,000
8,782 8,782
8,000 8,000
8,000 8,000
8,000 8,000
2 2
-
-
3,700 3,700
3,395 3,395
8,031
8,782
8,030
11,836
11,396
Page 114
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2700 - Sheriff P.O.S.T. Commission Training Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5200 - Sheriff POST Commission Training
Account 68020 69105
Title OTHER TRAINING OTHER OPERATING EXPENSE TOTAL OTHER OPERATING EXPENSES TOTAL POST COMM TRAINING FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
7,900 7,900
8,241 8,241
8,000 8,000
8,000 8,000
8,000 8,000
7,900
8,241
8,000
8,000
8,000
Page 115
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2710 - Sheriff Training Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5210 - Sheriff Training
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
45090
LAW ENFORCEMENT TRAINING TOTAL FEES & COMMISSIONS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL SHERIFF TRAINING FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
28 28
-
60 60
47 47
15 15
28,700 28,700
17,276 17,276
25,000 25,000
25,000 25,000
25,000 25,000
8,619 8,619
-
-
5,400 5,400
1,764 1,764
37,347
17,276
25,060
30,447
26,779
Page 116
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2710 - Sheriff Training Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5210 - Sheriff Training
Account 68020
Title OTHER TRAINING TOTAL TRAINING TOTAL SHERIFF TRAINING FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
20,000 20,000
19,788 19,788
20,000 20,000
20,000 20,000
20,000 20,000
20,000
19,788
20,000
20,000
20,000
Page 117
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2720 - Sheriff 911 Telephone Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5220 - Sheriff 911 Telephone
Account
Title
40550
911 REVENUE TOTAL TAX REVENUE
44010
INTEREST INCOME TOTAL INTEREST INCOME
45400 45450 50070
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
174,500 174,500
140,161 140,161
150,000 150,000
150,000 150,000
140,000 140,000
2,088 2,088
-
283 283
553 553
1,357 1,357
SH/CRIMCOST-COMM COST FEE SH/FIRE & EMS FIRE/EMS FEES OTHER OPERATING INCOME TOTAL FEES & COMMISSIONS
176,688 6,441 183,129
150,432 9,178 159,610
187,691 11,715 199,406
187,691 11,715 199,406
187,691 11,715 199,406
58025
TRANSFERS IN - FUND 1001 TOTAL TRANSFERS
615,271 615,271
615,271 615,271
650,000 650,000
650,000 650,000
801,687 801,687
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
149,583 149,583
-
155,000 155,000
167,000 167,000
-
1,124,571
915,043
1,154,689
1,166,959
1,142,450
TOTAL 911 TELEPHONE FUND
Page 118
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2720 - Sheriff 911 Telephone Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5220 - Sheriff 911 Telephone
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60050 60100 62010
OVERTIME SALARIES OTHER SALARIES UNIFORMS TOTAL SALARIES
10,000 577,877 10,200 598,077
28,094 476,844 8,302 513,240
10,000 589,436 10,200 609,636
10,000 585,408 10,200 605,608
10,000 585,408 10,200 605,608
63015 63020 63025 63035 62040 63050
EMPLOYER PAYROLL TAXES WORKER'S COMPENSATION LAGERS HEALTH INSURANCE RETIREMENT PAYOUTS LIFE/DISABILITY TOTAL FRINGE BENEFITS
45,753 2,325 44,856 102,544 3,660 199,138
35,906 1,214 32,893 78,230 2,948 151,190
46,637 1,559 42,065 102,544 192,805
45,564 922 40,393 112,901 5,658 205,438
45,564 922 40,393 112,901 5,658 205,438
64020
OTHER SUPPLIES TOTAL OTHER EXPENSES
1,000 1,000
660 660
1,500 1,500
1,500 1,500
1,500 1,500
65080 65380 65290
BUILDING MAINTENANCE IT BUDGET MAINTENANCE EQUIPMENT MAINTENANCE & REPAIR TOTAL REPAIR & MAINTENANCE
2,500 31,841 34,341
660 30,290 30,950
37,088 37,088
37,088 37,088
37,088 37,088
67020 67040
ELECTRIC TELEPHONE (911 SYSTEM) TOTAL RENT & UTILITIES
500 245,000 245,500
(83) 208,104 208,021
500 252,000 252,500
500 252,000 252,500
500 252,000 252,500
68020
OTHER TRAINING TOTAL TRAINING
81148 81150
EQUIPMENT EQUIPMENT RENTAL TOTAL EQUIPMENT TOTAL 911 TELEPHONE FUND
5,315 5,315
100 100
5,315 5,315
5,315 5,315
5,315 5,315
6,200 35,000 41,200
875 24,989 25,864
35,000 35,000
35,000 35,000
35,000 35,000
1,124,571
930,025
1,133,844
1,142,449
1,142,449
Page 119
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2730 - Sheriff DEA Fed Task Force Forfeitures Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5230 - Sheriff DEA Fed Task Force Forfeitures
Account
Title
41520
DOJ-PCIDS TOTAL INTERGOVERNMENTAL
44010 50070
INTEREST INCOME OTHER OPERATING REVENUE TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL DEA FED TASK FORCE FORFEITURE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
478 478
8 600 608
215 215
956 956
451 451
126,700 126,700
-
129,000 129,000
128,000 128,000
137,583 137,583
127,178
608
129,215
128,956
138,034
Page 120
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2730 - Sheriff DEA Fed Task Force Forfeitures Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5230 - Sheriff DEA Fed Task Force Forfeitures
Account 69130
Title CONTINGENCY TOTAL OPERATING EXPENSES TOTAL DEA FED TASK FORCE FORFEITURES
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
20,000 20,000
7,820 7,820
20,000 20,000
20,000 20,000
20,000 20,000
20,000
7,820
20,000
20,000
20,000
Page 121
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2740 - Sheriff Special Projects Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5240 - Sheriff Special Projects
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
50070 50072
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
71 71
-
20 20
151 151
33 33
OTHER OPERATING INCOME SHERIFF TOTAL OTHER REVENUE
-
2,251 8,528 10,779
8,000 8,000
8,000 8,000
8,000 8,000
58519
TRANFERS OUT - FUND 2770 TOTAL TRANSFERS
-
(8,000) (8,000)
-
-
-
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL SHERIFF SPECIAL PROJECTS
20,133 20,133
-
20,000 20,000
2,700 2,700
2,213 2,213
20,204
2,779
28,020
10,851
10,246
Page 122
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2740 - Sheriff Special Projects Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5240 - Sheriff Special Projects
Account
Title
67040
TELEPHONE TOTAL UTILITIES
69105
OTHER OPERATING EXPENSE TOTAL OTHER EXPENSES TOTAL SHERIFF SPECIAL PROJECTS
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
2,040 2,040
2,185 2,185
2,040 2,040
2,040 2,040
2,040 2,040
15,500 15,500
15,494 15,494
5,000 5,000
5,000 5,000
5,000 5,000
17,540
17,679
7,040
7,040
7,040
Page 123
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2750 - Sheriff Civil Fees Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5250 - Sheriff Civil Fees
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
45420
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
705 705
-
400 400
1,083 1,083
909 909
CIVIL FEES TOTAL FEES & COMMISSIONS
50,000 50,000
38,404 38,404
50,000 50,000
50,000 50,000
50,000 50,000
50070
OTHER OPERATING REVENUE TOTAL OTHER OPERATING REVENUE
24,400 24,400
17,601 17,601
24,000 24,000
24,000 24,000
24,000 24,000
58590
TRANSFERS OUT - FUND 1001 TOTAL TRANSFERS
-
-
-
-
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
245,766 245,766
-
247,000 247,000
240,000 240,000
220,547 220,547
320,871
56,005
321,400
315,083
285,456
TOTAL SHERIFF CIVIL FEES FUND
Page 124
(10,000) (10,000)
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2750 - Sheriff Civil Fees Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5250 - Sheriff Civil Fees
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
65290 65295
EQUIPMENT MAINTENANCE & REPAIR MOTOR VEHICLE REPAIR / SERVICES TOTAL CONTRACTUAL SERVICES
24,400 24,400
24,391 24,391
-
-
-
68020 68030 68060
OTHER TRAINING MILEAGE GAS & OIL TOTAL TRAVEL EXPENSES
25,000 25,000
-
-
-
-
69105
OTHER OPERATING EXPENSE TOTAL OTHER OPERATING EXPENSES
68,000 68,000
47,014 47,014
50,000 50,000
50,000 50,000
50,000 50,000
81135
MOTOR VEHICLES TOTAL MOTOR VEHICLES
-
-
-
-
-
117,400
71,405
50,000
50,000
50,000
TOTAL SHERIFF CIVIL FEES FUND
Page 125
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2760 - Sheriff Revolving Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5260 - Sheriff Revolving Fund
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
45020
SHERIFF/CONC. WEAPON FEES TOTAL FEES & COMMISSIONS
58036
TRANSFER IN - FUND 2770 TOTAL TRANSFER IN
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL SHERIFF REVOLVING FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
317 317
-
210 210
522 522
537 537
59,000 59,000
111,808 111,808
108,000 108,000
108,000 108,000
108,000 108,000
-
-
-
-
-
127,885 127,885
-
128,000 128,000
166,000 166,000
169,005 169,005
187,202
111,808
236,210
274,522
277,542
Page 126
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2760 - Sheriff Revolving Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5260 - Sheriff Revolving Fund
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60050 60100 62010
OVERTIME SALARIES OTHER SALARIES UNIFORMS TAXABLE TOTAL OTHER SALARIES
250 23,838 540 24,628
423 21,038 540 22,001
1,000 24,253 540 25,793
1,000 24,253 540 25,793
1,000 24,253 540 25,793
63015 63020 63025 63035 63050
EMPLOYER PAYROLL TAXES WORKER'S COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL PERSONNEL COSTS
2,247 984 2,203 4,750 180 10,364
1,989 55 1,923 4,837 105 8,909
1,973 66 1,780 3,819
1,973 66 1,780 3,819
1,973 66 1,780 3,819
69105
OTHER OPERATING EXPENSE TOTAL OTHER EXPENSES
24,000 24,000
31,707 31,707
24,000 24,000
24,000 24,000
24,000 24,000
81148
EQUIPMENT TOTAL EQUIPMENT
7,500 7,500
5,892 5,892
7,500 7,500
7,500 7,500
7,500 7,500
66,492
68,509
61,112
61,112
61,112
TOTAL SHERIFF REVOLVING FUND
Page 127
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2770 - Sheriff Inmate Prisoner Detention Security Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5270 - Sheriff Inmate Prisoner Detention Security
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
45460 50235
BIOMETRIC REVENUE COMMISSARY REIMBURSEMENT TOTAL FEES & COMMISSIONS
58043 58518
TRANSFER IN - FUND 2740 TRANSFER OUT - FUND 2760 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL SHERIFF INMATE SECURITY FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
56 56
-
23 23
194 194
116 116
17,000 17,000
19,073 34,500 53,573
-
-
-
-
8,000 8,000
-
-
-
19,306 19,306
-
19,000 19,000
69,000 69,000
46,980 46,980
36,362
61,573
19,023
69,194
47,096
Page 128
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2770 - Sheriff Inmate Prisoner Detention Security Fund Fund Type - 2 - Special Revenue Function - 50 - Public Safety Department - 5270 - Sheriff Inmate Prisoner Detention Security
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60100 62010
OTHER SALARIES UNIFORMS TAXABLE TOTAL OTHER SALARIES
-
-
-
-
-
63015 63020 63025 63035 63035
EMPLOYER PAYROLL TAXES WORKER'S COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY INSURANCE TOTAL PERSONNEL COSTS
-
-
-
-
-
69105
OTHER OPERATING EXPENSE TOTAL OTHER EXPENSES
3,000 3,000
3,420 3,420
3,000 3,000
3,000 3,000
3,000 3,000
81148
EQUIPMENT TOTAL EQUIPMENT
11,500 11,500
3,790 3,790
3,500 3,500
3,500 3,500
3,500 3,500
14,500
7,210
6,500
6,500
6,500
TOTAL SHERIFF INMATE SECURITY FUND
Page 129
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2800 - Transient Guest Tax Fund Fund Type - 2 - Special Revenue Function - 65 - Tourism & Economic Development Department - 6500 - Transient Guest Tax
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
40250
TRANSIENT GUEST TAX TOTAL FEES & COMMISSIONS
177,000 177,000
154,803 154,803
177,000 177,000
177,000 177,000
177,000 177,000
41110 41120
MISSOURI CO-OP GRANT NTDF GRANT TOTAL INTERGOVERNMENTAL
10,000 10,000
10,000 10,000
10,000 10,000
10,000 10,000
10,000 10,000
44010
INTEREST INCOME TOTAL INTEREST INCOME
179 179
-
179 179
237 237
205 205
50070 50270 50290
OTHER OPERATING REVENUE MARKETING PARTNERSHIPS ADMINISTRATIVE FEES TOTAL OTHER REVENUES
2,000 12,000 14,000
1,778 6,972 8,750
2,000 12,000 14,000
2,000 12,000 14,000
2,000 12,000 14,000
58010
TRANSFERS IN - FUND 1001 TOTAL TRANSFERS
-
-
-
-
-
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRYOVER
49,190 49,190
-
49,190 49,190
62,000 62,000
37,567 37,567
250,369
173,553
250,369
263,237
238,772
TOTAL TRANSIENT GUEST TAX FUND
Page 130
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2800 - Transient Guest Tax Fund Fund Type - 2 - Special Revenue Function - 65 - Tourism & Economic Development Department - 6500 - Transient Guest Tax
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60100
OTHER SALARIES TOTAL SALARIES
88,500 88,500
87,905 87,905
91,115 91,115
89,359 89,359
88,038 88,038
63015 63020 63025 63035 63050
EMPLOYER PAYROLL TAXES WORKERS' COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
6,770 194 6,638 12,899 542 27,043
6,567 193 6,593 12,898 497 26,749
6,972 204 6,840 13,284 542 27,842
6,836 141 6,165 13,329 506 26,977
6,735 139 6,075 13,329 497 26,775
64010 64020 64050
OFFICE SUPPLIES OTHER SUPPLIES/INLC MAIL PRINTING TOTAL SUPPLIES
2,200 1,000 11,700 14,900
51 979 1,030
2,200 4,080 7,700 13,980
2,200 4,080 7,700 13,980
2,200 4,080 7,700 13,980
65030 65090 65190 65300
ADVERTISING MEETINGS CONTRACTUAL SERVICES RESEARCH TOTAL CONTRACTUAL SERVICES
14,750 2,625 20,000 3,000 40,375
12,659 3,260 2,800 18,719
17,000 2,625 29,200 3,000 51,825
17,000 2,625 29,200 3,000 51,825
17,000 2,625 29,200 3,000 51,825
68020 68030 68040
OTHER TRAINING MILEAGE CONFERENCES TOTAL TRAVEL & TRAINING
1,800 4,600 1,300 7,700
-
1,800 3,450 1,300 6,550
1,800 3,450 1,300 6,550
1,800 3,450 1,300 6,550
69055 69105
FILM DEVELOPMENT OTHER OPERATING EXPENSE TOTAL OTHER EXPENSES
3,300 3,300
1,442 1,442
1,000 6,300 7,300
1,000 6,300 7,300
1,000 6,300 7,300
69205 69210
DUES DUES, BOOKS & SUBSCRIPTIONS TOTAL DUES & SUBSCRIPTIONS
5,170 300 5,470
645 645
3,470 300 3,770
3,470 300 3,770
3,470 300 3,770
70150 72010
MISSOURI COOP GRANTS NTDF GRANT TOTAL GRANT EXPENSES
20,000 20,000
16,000 16,000
10,000 10,000
10,000 10,000
10,000 10,000
81148
EQUIPMENT TOTAL CAPITAL
-
-
1,500 1,500
1,500 1,500
1,500 1,500
207,288
152,490
213,882
211,261
209,738
TOTAL TRANSIENT GUEST TAX FUND
Page 131
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2850 - KCP&L Inspection Fund Fund Type - 2 - Special Revenue Function - 10 - General County Administration Department - 1250- KCP&L Inspection
Account
Title
2013 Amend Commission Approved
44010
INTEREST INCOME TOTAL INTEREST INCOME
58535 58536 58590
TRANSFERS OUT - FUND 5000 TRANSFERS OUT - FUND 5200 TRANSFERS OUT - FUND 1001 TOTAL TRANSFERS
(5,768) (5,768)
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
11,415 11,415
TOTAL KCP&L INSPECTION
647 647
6,294
Page 132
2013 Forecast
2014 Department Requested -
(10,665) (10,665) (10,665)
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
-
-
-
-
-
-
-
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2850 - KCP&L Inspection Fund Fund Type - 2 - Special Revenue Function - 10 - General County Administration Department - 1250- KCP&L Inspection
Account
Title
65220
LEGAL SERVICES TOTAL LEGAL & PROFESSIONAL SVC
65310
INSPECTION SERVICES TOTAL CONTRACTUAL SERVICES
81148
81165
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
5,000 5,000
750 750
-
-
-
EQUIPMENT TOTAL EQUIPMENT
-
-
-
-
-
PLATTE COUNTY GREEN BUILD TOTAL OTHER OPERATING EXPENSES
-
-
-
-
-
5,000
750
-
-
-
TOTAL KCP&L INSPECTION
Page 133
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2900 - Parks & Recreation Sales Tax Fund Type - 2 - Special Revenue Function - 80 - Parks, Trails, Stormwater Department - 8000 - Parks & Recreation
Account
Title
2013 Amend Commission Approved
2013 Forecast
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
41623
R-III PROJECT REIMBURSEMENT TOTAL PROJECT REIMBURSEMENT
44010
INTEREST INCOME TOTAL INTEREST INCOME
45300
PARK USER FEES TOTAL FEES & COMMISSIONS
50070 50200 50990
OTHER OPERATING REVENUE RENT INCOME PROCEEDS FROM SALE OF ASSETS TOTAL OTHER REVENUES
58025 58040 58515 58516 58536 58538 58539 58542 58565 58584 58600
TRANSFERS IN - FUND 1001 TRANSFERS IN - FUND 5200 TRANSFERS OUT - FUND 4100 TRANSFERS OUT - FUND 4200 TRANSFERS OUT - FUND 5200 TRANSFERS OUT - FUND 5350 TRANSFERS OUT - FUND 5305 TRANSFERS OUT - FUND 2905 TRANSFERS OUT - FUND 5050 TRANSFERS OUT - FUND 2950 TRANSFERS OUT - FUND 6100 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
2,809,806 2,809,806
TOTAL PARKS & RECREATION
5,085,597
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
7,780,905 7,780,905
7,673,598 7,673,598
7,780,905 7,780,905
7,728,150 7,728,150
7,700,000 7,700,000
-
-
200,000 200,000
200,000 200,000
200,000 200,000
14,618 14,618
-
14,618 14,618
10,213 10,213
13,196 13,196
7,000 7,000
7,263 7,263
7,000 7,000
7,000 7,000
7,000 7,000
25,000 25,000
1,223 41,461 42,684
20,000 20,000
20,000 20,000
20,000 20,000
550,286 37,857 (450,000) (3,073,072) (688,595) (1,680,258) (247,950) (5,551,732)
Page 134
550,286 35,939 (47,079) (3,060,912) (581,483) (1,680,258) (147,950) (4,931,457)
500,000 (450,000) (2,500,150) (1,300,000) (700,200) (696,391) (70,000) (5,216,741)
550,286 (450,000) (2,500,150) (1,300,000) (691,669) (691,669) (95,000) (5,178,203)
550,286 (450,000) (2,500,150) (1,000,000) (669,803) (691,669) (95,000) (4,856,337)
-
1,173,781 1,173,781
3,806,000 3,806,000
1,314,503 1,314,503
2,792,087
3,779,563
6,393,160
4,398,362
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2900 - Parks & Recreation Sales Tax Fund Type - 2 - Special Revenue Function - 80 - Parks, Trails, Stormwater Department - 8320 - Trails & Greenways
Account 41500 50070
Title
2013 Amend Commission Approved
STATE GRANTS OTHER OPERATING REVENUE TOTAL OTHER REVENUE TOTAL TRAILS & GREENWAYS
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
-
-
-
-
-
Fund - 2900 - Parks & Recreation Sales Tax Fund Type - 2 - Special Revenue Function - 80 - Parks, Trails, Stormwater Department - 8360 - Parks & Open Space
Account 41410 41440 41475 50070
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
MO DEPARTMENT OF CONSERVATION MISC. GRANT $5,000 HOMELAND SECURITY BOAT RAMP GRANT OTHER OPERATING REVENUE TOTAL OTHER REVENUE
300,000 300,000 600,000
750 750
450,000 300,000 750,000
450,000 300,000 750,000
450,000 300,000 750,000
TOTAL PARKS & OPEN SPACE
600,000
750
750,000
750,000
750,000
Fund - 2900 - Parks & Recreation Sales Tax Fund Type - 2 - Special Revenue Function - 80 - Parks, Trails, Stormwater Department - 8900 - Parks Reserve
Account 50200
Title RENT INCOME TOTAL OTHER REVENUE TOTAL PARKS RESERVE TOTAL PARKS & RECREATION FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
16,000 16,000
16,000 16,000
16,000 16,000
16,000 16,000
16,000 16,000
16,000
16,000
16,000
16,000
16,000
5,701,597
2,808,837
4,545,563
7,159,160
5,164,362
Page 135
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2900 - Parks & Recreation Sales Tax Fund Type - 2 - Special Revenue Function - 80 - Parks, Trails, Stormwater Department - 8000 - Parks & Recreation
Account
Title
60100
OTHER SALARIES TOTAL SALARIES
63015 63020 63025 63035 63050
EMPLOYER PAYROLL TAXES WORKER'S COMP LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
64010 64020 64050
OFFICE SUPPLIES OTHER SUPPLY/INCL MAILRM PRINTING TOTAL OPERATING EXPENSES
65090 65190 65220 65230 65240 65295
MEETINGS CONTRACTUAL SERVICES LEGAL SERVICES INSURANCE & SURETY BONDS MOBILE PHONE MOTOR VEHICLE REPAIR TOTAL CONTRACTUAL SERVICES
68020 68030 68040 68060
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
242,071 242,071
209,786 209,786
246,912 246,912
245,702 245,702
242,071 242,071
18,518 533 18,155 25,797 1,481 64,484
15,036 461 15,734 25,794 1,186 58,211
18,888 600 18,518 26,828 1,510 66,344
16,243 2,482 14,651 39,988 1,203 74,567
18,518 381 16,703 33,323 1,369 70,294
1,000 3,000 5,000 9,000
870 192 1,062
1,000 3,000 5,000 9,000
1,000 3,000 5,000 9,000
1,000 3,000 5,000 9,000
750 18,000 2,000 48,500 1,000 1,000 71,250
183 1,162 4,284 48,501 1,009 55,139
750 18,000 2,000 50,000 1,000 1,500 73,250
750 18,000 2,000 50,000 1,000 1,500 73,250
750 18,000 2,000 50,000 1,000 1,500 73,250
OTHER TRAINING MILEAGE CONFERENCES GAS & OIL TOTAL TRAVEL & TRAINING
5,000 750 2,000 7,750
2,199 474 1,335 4,008
5,000 750 1,800 7,550
5,000 750 1,800 7,550
5,000 750 1,800 7,550
69205
DUES TOTAL DUES & SUBSCRIPTIONS
2,050 2,050
250 250
2,050 2,050
2,050 2,050
2,050 2,050
81140 81148
FURNITURE EQUIPMENT TOTAL EQUIPMENT
2,500 2,500
1,908 1,908
2,500 2,500
2,500 2,500
2,500 2,500
399,105
330,364
407,606
414,619
406,715
TOTAL PARKS & RECREATION
Page 136
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2900 - Parks & Recreation Sales Tax Fund Type - 2 - Special Revenue Function - 80 - Parks, Trails, Stormwater Department - 8100- Parks Operations
Account
Title
60100 60150
OTHER SALARIES PART TIME SALARIES TOTAL SALARIES
63015 63020 63025 63035 63050
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
95,712 39,541 135,253
95,372 29,717 125,089
97,626 43,000 140,626
96,217 43,000 139,217
137,796 43,000 180,796
EMPLOYER PAYROLL TAXES WORKER'S COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
10,347 3,224 10,144 17,414 828 41,957
9,969 3,506 8,605 18,084 539 40,703
10,553 3,500 10,346 18,110 844 43,353
7,360 2,110 6,639 19,598 547 36,254
10,541 3,022 9,508 19,598 781 43,450
64020 64130
OTHER SUPPLIES SIGNS & CULVERT MATERIALS TOTAL SUPPLIES
13,000 2,000 15,000
7,821 7,821
13,000 2,500 15,500
13,000 2,500 15,500
13,000 2,500 15,500
65080 65190 65290 65295
BUILDING MAINTENANCE CONTRACTUAL SERVICES EQUIPMENT & MAINTENANCE REPAIR MOTOR VEHICLE REPAIR TOTAL CONTRACTUAL SERVICES
15,000 60,000 1,500 3,500 80,000
4,443 51,728 1,564 3,815 61,551
20,000 60,000 3,000 4,500 87,500
20,000 60,000 3,000 4,500 87,500
20,000 60,000 3,000 4,500 87,500
67010 67020 67030 67040
GROUNDS CARE ELECTRIC WATER TELEPHONE TOTAL OCCUPANCY COSTS
32,500 18,500 7,000 600 58,600
9,117 18,200 10,990 1,200 39,507
40,000 22,200 7,000 600 69,800
40,000 22,200 7,000 600 69,800
40,000 22,200 7,000 600 69,800
68020 68060
OTHER TRAINING GAS & OIL TOTAL TRAVEL & TRAINING
1,100 9,500 10,600
9,771 9,771
1,100 9,500 10,600
1,100 9,500 10,600
1,100 9,500 10,600
81110 81148 81160
LAND IMPROVEMENTS EQUIPMENT PARKS EQUIPMENT TOTAL CAPITAL
20,000 2,000 15,000 37,000
8,352 2,308 5,723 16,384
25,000 4,000 15,000 44,000
25,000 4,000 15,000 44,000
25,000 4,000 15,000 44,000
378,410
300,826
411,379
402,871
451,646
TOTAL PARKS OPERATIONS
Page 137
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2900 - Parks & Recreation Sales Tax Fund Type - 2 - Special Revenue Function - 80 - Parks, Trails, Stormwater Department - 8200- Outreach Grant
Account 72020 72030 72040
Title OUTREACH CARRYOVER OUTREACH GRANTS PARTNERSHIP GRANTS TOTAL GRANT EXPENSES TOTAL OUTREACH GRANT PROGRAM
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
250,000 500,000 750,000
129,899 129,899
250,000 250,000
250,000 250,000
250,000 500,000 750,000
750,000
129,899
250,000
250,000
750,000
Fund - 2900 - Parks & Recreation Sales Tax Fund Type - 2 - Special Revenue Function - 80 - Parks, Trails, Stormwater Department -8320 - Trails and Greenways
Account
Title
65190 65370
CONTRACTUAL SERVICES MASTER PLAN DEVELOPMENT TOTAL CONTRACTUAL SERVICES
65220
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
75,000 5,000 80,000
9,600 7,200 16,800
100,000 10,000 110,000
100,000 10,000 110,000
125,000 10,000 135,000
LEGAL SERVICES TOTAL LEGAL & PROFESSIONAL
2,500 2,500
448 448
2,500 2,500
2,500 2,500
2,500 2,500
81105 81110
LAND ACQUISITION LAND IMPROVEMENT TOTAL FIXED ASSET EXPENSES
85,000 85,000
-
150,000 150,000
150,000 150,000
150,000 150,000
81100
CAPITAL IMPROVEMENTS TOTAL CAPITAL IMPROVEMENTS
650,000 650,000
62,000 62,000
675,000 675,000
675,000 675,000
1,375,000 1,375,000
817,500
79,248
937,500
937,500
1,662,500
TOTAL TRAILS & GREENWAYS
Fund - 2900 - Parks & Recreation Sales Tax Fund Type - 2 - Special Revenue Function - 80 - Parks, Trails, Stormwater Department - 8340 - Central Maintenance Facility
Account 81148 81100
Title EQUIPMENT CAPITAL IMPROVEMENTS TOTAL CAPITAL IMPROVEMENTS TOTAL CENTRAL MAINT. FACILITY
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
63,000 63,000
39,203 39,203
32,000 32,000
32,000 32,000
63,000 63,000
63,000
39,203
32,000
32,000
63,000
Page 138
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2900 - Parks & Recreation Sales Tax Fund Type - 2 - Special Revenue Function - 80 - Parks, Trails, Stormwater Department - 8360 - Parks and Open Space
Account
Title
65190
CONTRACTUAL SERVICES TOTAL CONTRACTUAL SERVICES
65220
LEGAL SERVICES TOTAL LEGAL & PROFESSIONAL
65370
MASTER PLAN DEVELOPMENT TOTAL MASTER PLAN DEVELOPMENT
81110 81105 81100
LAND IMPROVEMENT LAND ACQUISITION CAPITAL IMPROVEMENTS TOTAL CAPITAL IMPROVEMENTS TOTAL PARKS AND OPEN SPACE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
300,000 300,000
202,060 202,060
10,000 10,000
10,000 10,000
10,000 10,000
4,500 4,500
3,280 3,280
2,500 2,500
2,500 2,500
2,500 2,500
200,000 200,000
-
50,000 50,000
50,000 50,000
50,000 50,000
25,000 1,950,000 1,975,000
83,370 83,370
25,000 965,000 990,000
25,000 965,000 990,000
25,000 965,000 990,000
2,479,500
288,710
1,052,500
1,052,500
1,052,500
Fund - 2900 - Parks & Recreation Sales Tax Fund Type - 2 - Special Revenue Function - 80 - Parks, Trails, Stormwater Department - 8800- Parks TIF
Account 73010
Title TIF EXPENSES TOTAL OPERATING EXPENSES TOTAL PARKS TIF EXPENSES
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
800,000 800,000
694,889 694,889
778,000 778,000
778,000 778,000
778,000 778,000
800,000
694,889
778,000
778,000
778,000
Fund - 2900 - Parks & Recreation Sales Tax Fund Type - 2 - Special Revenue Function - 80 - Parks, Trails, Stormwater Department - 8900- Parks Reserve
Account 69190
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
RESERVE FOR FUTURE MAINTENANCE TOTAL RESERVE EXPENSES
-
-
-
-
-
TOTAL PARKS RESERVE
-
-
-
-
-
5,687,515
1,863,139
3,868,985
3,867,490
5,164,361
TOTAL PARKS & RECREATION FUND
Page 139
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2905 - Parks Future Maintenance Fund Fund Type - 2 - Special Revenue Function - 80 - Parks, Trails, Stormwater Department - 8901 - Parks & Recreation Future Maintenance & Improvement
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
50200
RENT - PARKS RESERVE TOTAL PARKS RESERVE
16,000 16,000
16,000 16,000
16,000 16,000
16,000 16,000
16,000 16,000
58023
TRANSFERS IN - FUND 2900 TOTAL TRANSFERS
1,680,258 1,680,258
1,680,258 1,680,258
700,200 700,200
691,669 691,669
669,803 669,803
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
-
-
1,680,258 1,680,258
1,680,000 1,680,000
1,686,656 1,686,656
1,696,258
1,696,258
2,396,458
2,387,669
2,372,459
TOTAL PARKS FUTURE MAINTENANCE
Page 140
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2905 - Parks Future Maintenance Fund Fund Type - 2 - Special Revenue Function - 80 - Parks, Trails, Stormwater Department - 8901 - Parks & Recreation Future Maintenance & Improvement
Account 81110 81105 81100
Title LAND IMPROVEMENT LAND ACQUISITION CAPITAL IMPROVEMENTS TOTAL CAPITAL IMPROVEMENTS TOTAL PARKS FUTURE MAINTENANCE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
-
-
-
-
-
Page 141
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2950 - Stormwater Fund Fund Type - 5 - Capital Project Fund Function - 80 - Parks, Trails, Stormwater Department - 8500 - Stormwater
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
41485 41621 41622
CBDG GRANT PSRD CONTRIBUTION PL CO SWR CONTRIBUTION TOTAL INTERGOVERNMENTAL
-
-
-
-
-
44010
INTEREST INCOME TOTAL INTEREST INCOME
-
-
4,640 4,640
298 298
5,861 5,861
50070
OTHER OPERATING INCOME TOTAL OTHER INCOME
-
-
-
-
-
58023
TRANSFERS IN - FUND 2900 TOTAL OTHER REVENUE
-
-
696,391 696,391
691,669 691,669
691,669 691,669
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
-
-
1,706,290 1,706,290
1,768,584 1,768,584
1,768,584 1,768,584
-
-
2,407,321
2,460,551
2,466,115
59110 59120 59130 59140 59150
TOTAL STORMWATER CONSTR FUND
Note:
Transfers in are from Fund 2900 Parks and Recreation Sales Tax. Previously was Fund - 5350 - Stormwater Construction Fund
Page 142
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 2950 - Stormwater Fund Fund Type - 5 - Capital Project Fund Function - 80 - Parks, Trails, Stormwater Department - 8500 - Stormwater
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60100
OTHER SALARIES TOTAL SALARIES
-
-
74,429 74,429
70,429 70,429
72,988 72,988
63015 63020 63025 63035 63050
EMPLOYER PAYROLL TAXES WORKERS' COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL TRAVEL EXPENSES
-
-
5,388 380 5,282 6,449 431 17,930
5,388 380 5,282 6,449 431 17,930
5,584 261 5,036 6,865 412 18,158
65130 65190 65220
HAZARDOUS MATERIAL MANAGEMENT MISCELLANEOUS CONTR SERVICES LEGAL SERVICE TOTAL CONTRACTUAL SERVICES
-
-
27,000 15,000 42,000
27,000 15,000 42,000
27,000 15,000 42,000
70145
CBDG GRANT TOTAL GRANT EXPENSES
-
-
-
-
-
72050 72060
STORMWATER GRANT AWARDS CARRYOVER SW GRANT AWARDS TOTAL STORMWATER GRANT AWARDS
-
-
200,000 351,167 551,167
200,000 351,167 551,167
200,000 351,167 551,167
81105
LAND ACQUISITION TOTAL LAND ACQUISITION EXPENSES
-
-
614,000 614,000
614,000 614,000
614,000 614,000
84003 84004 84005 84006 84007 84008
WATER QUALITY (NPDES II) WALNUT CREEK WATERSHED MAIN CHANNEL INFRASTR IMPROVE MO RIVER DEGRADATION STUDY CROSS ROADS HIGHWAY FLOODING TOTAL PROJECTS
-
-
5,000 350,000 760,604 1,115,604
5,000 350,000 760,604 1,115,604
5,000 350,000 760,604 1,115,604
-
-
2,415,130
2,411,130
2,413,917
TOTAL STORMWATER CONSTR FUND Note:
Previously was Fund - 5350 - Stormwater Construction Fund
Page 143
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3000 - Public Works Fund Fund Type - 2 - Special Revenue Function - 70 - Public Works Department - 7000 - Public Works
Account
Title
40050 40300 40400
PROPERTY TAX MOTOR VEHICLE SALES TAX CART-COUNTY AID ROAD TRUST TOTAL PROPERTY, SALES, OTHER TAX
41140 41150
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
1,664,000 125,000 625,000 2,414,000
1,713,579 136,226 632,938 2,482,743
1,700,000 125,000 625,000 2,450,000
1,700,000 125,000 625,000 2,450,000
1,700,000 125,000 625,000 2,450,000
SEMA REIMBURSEMENT FEMA REIMBURSEMENT TOTAL
64,000 64,000
63,924 63,924
-
-
-
41590
MV FEE INCREASE TOTAL INTERGOVERNMENTAL
90,000 90,000
90,840 90,840
90,000 90,000
90,000 90,000
90,000 90,000
44010
INTEREST INCOME TOTAL INTEREST INCOME
6,684 6,684
-
7,000 7,000
7,000 7,000
5,369 5,369
45310
RIGHT OF WAY PERMITS TOTAL FEES & COMMISSIONS
7,500 7,500
9,370 9,370
8,000 8,000
8,000 8,000
8,000 8,000
50070 50180 50280 50990
OTHER OPERATING REVENUE REIMB GOODS/SERVICES INSURANCE REIMBURSEMENTS PROCEEDS FROM SALE - ASSETS TOTAL OTHER REVENUE
15,000 12,500 50,000 77,500
8,704 9,756 29,281 189,065 236,806
15,000 5,000 60,000 80,000
15,000 5,000 60,000 80,000
15,000 5,000 60,000 80,000
58012 58023 58025 58039 58045 58521
TRANSFERS IN - FUND 3100 TRANSFERS IN - FUND 2900 TRANSFERS IN - FUND 1001 TRANSFERS IN - FUND 6100 TRANSFER IN -FUND 3005 TRANSFER OUT - FUND 3005 TOTAL TRANSFERS
400,000 15,000 415,000
400,000 15,000 415,000
1,000,000 15,000 1,015,000
850,000 15,000 865,000
888,989 15,000 903,989
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
1,074,489 1,074,489
-
550,000 550,000
582,000 582,000
907,124 907,124
4,149,173
3,298,683
4,200,000
4,082,000
4,444,482
TOTAL PUBLIC WORKS FUND
Page 144
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3000 - Public Works Fund Fund Type -2 - Special Revenue Function - 70 - Public Works Department - 7000 - Public Works
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60050 60100
OVERTIME SALARIES OTHER SALARIES TOTAL SALARIES
10,000 689,417 699,417
9,119 624,200 633,319
9,242 705,700 714,942
9,242 711,952 721,194
9,242 701,426 710,668
63015 63020 63025 63035 63050 63055
EMPLOYER PAYROLL TAXES WORKER'S COMP LAGERS HEALTH INSURANCE LIFE/DISABILITY EMPLOYEE PHYSICALS TOTAL FRINGE BENEFITS
51,593 36,666 50,581 117,377 4,127 2,025 262,369
48,689 35,349 47,838 110,494 3,642 1,798 247,810
53,600 51,591 50,251 118,000 4,250 2,025 279,717
54,465 23,659 49,129 126,629 4,035 2,025 259,942
53,659 32,192 48,398 126,629 3,969 2,025 266,872
64010 64020 64075 64120 64130 64134 34135 64140 64150
OFFICE SUPPLIES OTHER SUPPLIES UNIFORMS NONTAXABLE SHOP SUPPLIES SIGN & CULVERT MATERIALS SIGNS MATERIALS CULVERT MATERIALS TIRES LUBRICANTS TOTAL SUPPLIES
2,500 4,950 15,000 10,000 25,000 40,000 22,000 10,000 129,450
1,121 2,379 10,013 7,493 24,865 33,668 10,021 9,992 99,553
2,500 5,000 15,000 10,000 25,000 32,000 20,000 10,000 119,500
2,500 5,000 15,000 10,000 25,000 32,000 20,000 10,000 119,500
2,500 5,000 15,000 10,000 25,000 32,000 20,000 10,000 119,500
65030 65040 65080 65100 65220 65230 65240 65250 65260 65265 65270 65280
ADVERTISING EQUIPMENT MAINTENANCE BUILDING MAINTENANCE LOSS CONTROL / SAFETY LEGAL SERVICES INSURANCE & SURETY BONDS MOBILE PHONES EROSION CONTROL RIGHT OF WAY MAINTENANCE SAFETY STRIPING & MARKING ENVIRON/SPILL CLEANUP ENGINEERING SERVICES TOTAL CONTRACTUAL SERVICES
250 75,000 25,000 3,840 5,000 31,000 6,000 26,850 30,000 25,000 5,000 232,940
179 71,598 22,477 860 3,680 28,101 2,993 20,719 20,150 6,505 177,262
250 75,000 35,000 3,840 4,000 30,000 38,600 26,850 50,000 30,000 5,000 298,540
250 75,000 35,000 3,840 4,000 30,000 38,600 26,850 50,000 30,000 5,000 298,540
250 75,000 35,000 3,840 4,000 30,000 38,600 26,850 50,000 50,000 30,000 5,000 348,540
67020 67030
ELECTRIC WATER TOTAL UTILITIES
500 1,000 1,500
397 397
500 1,000 1,500
500 1,000 1,500
500 1,000 1,500
68020 68040 68060 68080
OTHER TRAINING CONFERENCES GAS & OIL GAS & OIL REIMBURSEMENT TOTAL TRAVEL & TRAINING
69105
OTHER OPERATING EXPENSE TOTAL OTHER EXPENSES
69205
DUES TOTAL DUES, SUBSCRIPTIONS & BOOKS
2,200 1,500 584,343 (326,160) 261,883 4,000 4,000 316 316 Page 145
2,368 400 384,304 (225,830) 161,242 2,248 2,248 -
2,200 1,500 575,995 (321,500) 258,195
2,200 1,500 575,995 (321,500) 258,195
2,200 1,500 575,995 (321,500) 258,195
3,700 3,700
3,700 3,700
3,700 3,700
316 316
316 316
316 316
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
Fund - 3000 - Public Works Fund Fund Type - 2 - Special Revenue Function - 70 - Public Works Department - 7000 - Public Works
Account
Title
71100 71110 71120 71130 71140 71150 71160 71170
ASPHALT PRODUCTS ASPHALT OVERLAY AGGREGATES SNOW & ICE MATERIALS BASE STABILIZATION BRIDGES & DRAINAGES ROAD WASTE/TIRE DISPOSAL DUST CONTROL TOTAL ROAD CONST. & MAINTENANCE
81115 81120 81125 81148 81150 81155
BUILDING IMPROVEMENTS COMPUTER HARDWARE SOFTWARE EQUIPMENT EQUIPMENT RENTAL HEAVY EQUIPMENT TOTAL CAPITAL TOTAL PUBLIC WORKS
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
309,540 1,100,000 570,460 74,250 88,375 27,750 24,000 2,194,375
307,681 1,100,000 566,600 8,277 87,718 7,932 5,990 2,084,199
268,000 1,082,000 367,200 63,438 91,000 21,250 14,000 1,906,888
268,000 1,082,000 367,200 63,438 91,000 21,250 14,000 1,906,888
268,000 1,082,000 367,200 63,438 91,000 21,250 14,000 1,906,888
2,925 5,500 7,000 70,000 321,300 406,725
4,544 11,217 69,920 321,100 406,781
150,000 16,425 5,500 7,000 50,000 279,800 508,725
150,000 16,425 5,500 7,000 50,000 279,800 508,725
150,000 16,425 5,500 7,000 50,000 309,800 538,725
4,192,975
3,812,811
4,092,023
4,078,500
4,154,904
Page 146
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
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Page 147
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3100 - Roads Sales Tax - County Public Works* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7501 - Roads Sales Tax - County Public Works
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
58512 58517 58520 58585 58586
TRANSFER OUT - FUND 4301 TRANSFER OUT - FUND 4304 TRANSFER OUT - FUND 3000 TRANSFER OUT - FUND 3102 TRANSFER OUT - FUND 3103 TOTAL TRANSFERS
59110 59120 59130 59140 59150
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
438,890 438,890
459,478 459,478
367,159 367,159
260,393 260,393
-
1,608 1,608
-
1,500 1,500
1,006 1,006
3,013 3,013
(107,057) (400,000) -
(1,057) (400,000) -
(1,000,000) -
(850,000) -
(888,989) -
(507,057)
(401,057)
(1,000,000)
(850,000)
(888,989)
580,000 580,000
888,989 888,989
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
714,690 714,690
-
650,000 650,000
TOTAL PUBLIC WORKS
648,131
58,420
18,659
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 148
(8,601)
3,013
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
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Page 149
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3101 - Roads Sales Tax - County Projects* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7502 - Roads Sales Tax - County Projects
Account
Title
2013 Amend Commission Approved
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
58511 58512 58517 58520 58525 58585 58586
TRANSFERS OUT - FUND 4300 TRANSFERS OUT - FUND 4301 TRANSFERS OUT - FUND 4304 TRANSFERS OUT - FUND 3000 TRANSFERS OUT - FUND 5100 TRANSFER OUT - FUND 3102 TRANSFER OUT - FUND 3103 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
2,053,856 2,053,856
TOTAL OTHER REVENUE
1,258,567
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
1,820,000 1,820,000
1,942,238 1,942,238
2,107,524 2,107,524
1,947,867 1,947,867
1,947,867 1,947,867
7,451 7,451
-
-
7,533 7,533
9,361 9,361
(2,189,710) (379,366) (53,664) (2,622,740)
(2,187,789) (53,664) (379,366) (2,620,819) (678,581)
(3,300,000) (3,300,000)
(2,900,000) (2,900,000)
(2,900,000) (110,300) (3,010,300)
1,251,116 1,251,116
1,042,000 1,042,000
1,306,765 1,306,765
58,640
97,400
253,693
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 150
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
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Page 151
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3102 - Roads Sales Tax - Kansas City Project Fund* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7503 - Roads Sales Tax - Kansas City
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
58011 58021 58511 58512 58514 58517 58526
TRANSFER IN - FUND 3101 TRANSFER IN - FUND 5150 TRANSFER OUT- FUND 4300 TRANSFER OUT - FUND 4301 TRANSFER OUT - FUND 4303 TRANSFER OUT - FUND 4304 TRANSFER OUT - FUND 5150 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL KANSAS CITY FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
1,700,000 1,700,000
1,770,705 1,770,705
1,210,153 1,210,153
1,780,097 1,780,097
425,000 425,000
2,776 2,776
-
-
3,636 3,636
3,158 3,158
379,366 (2,259,168) (1,879,802)
(22,308) (22,308)
(1,500,000) (1,500,000)
(690,000) (690,000)
110,300 (113,456) (3,156)
554,327 554,327
-
374,525 374,525
-
-
377,301
1,748,397
84,678
1,093,733
425,002
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 152
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3102 - Roads Sales Tax - Kansas City Project Fund* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7503 - Roads Sales Tax - Kansas City
Account 73010
Title TIF EXPENSE - KANSAS CITY TOTAL DISBURSEMENTS TOTAL KANSAS CITY
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
373,000 373,000
427,087 427,087
425,000 425,000
425,000 425,000
425,000 425,000
373,000
427,087
425,000
425,000
425,000
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 153
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3103 - Roads Sales Tax - Humphrey's Bridge* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7504 - Roads Sales Tax - Humphrey's Bridge
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
58011 58513 58517 58525
TRANSFER IN - FUND 3101 TRANSFER OUT - FUND 4302 TRANSFER OUT - FUND 4304 TRANSFER OUT - FUND 5100 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL HUMPHREY'S BRIDGE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
287,349 287,349
347,088 347,088
-
-
-
598 598
-
500 500
585 585
-
-
-
53,664 (395,850) (342,186)
(3,909) (3,909)
(81,500) (81,500)
114,658 114,658
-
81,000 81,000
44,000 44,000
67,168 67,168
60,419
343,180
-
44,585
67,168
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 154
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
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Page 155
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3104 - Roads Sales Tax - Weston* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7505 - Roads Sales Tax - Weston
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
58513 58517
TRANSFER OUT - FUND 4302 TRANSFER OUT - FUND 4304 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL WESTON
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
80,777 80,777
80,769 80,769
72,363 72,363
66,880 66,880
-
345 345
-
-
569 569
382 382
-
-
-
-
44,000 44,000
53,303 53,303
72,363
111,449
53,685
(109,668) (109,668) 85,397 85,397 56,851
(109,668) (109,668) (28,899)
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 156
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
THIS PAGE INTENTIONALLY LEFT BLANK
Page 157
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3105 - Roads Sales Tax - Platte City* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7506 - Roads Sales Tax - Platte City
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
58512 58517
TRANSFER OUT - FUND 4301 TRANSFER OUT - FUND 4304 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL PLATTE CITY
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
191,469 191,469
190,263 190,263
206,860 206,860
191,183 191,183
-
174 174
-
-
83 83
460 460
-
-
-
(160,847) (160,847)
(160,847) (160,847)
59,285 59,285
-
-
181,000 181,000
81,790 81,790
90,081
29,416
206,860
372,266
82,250
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 158
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
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Page 159
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3106 - Roads Sales Tax - Farley Special Road District* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7507 - Roads Sales Tax - Farley Special Road District
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL FARLEY SPECIAL RD DISTRICT
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
73,813 73,813
75,685 75,685
48,954 48,954
10,958 10,958
-
534 534
-
-
820 820
672 672
168,260 168,260
-
-
180,000 180,000
189,476 189,476
242,607
75,685
48,954
191,778
190,148
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 160
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3106 - Roads Sales Tax - Farley Special Road District* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7507 - Roads Sales Tax - Farley Special Road District
Account 86001
Title SALES TAX DISB-FARLEY SRD TOTAL DISBURSEMENTS TOTAL FARLEY SPECIAL RD DISTRICT
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
84,672 84,672
49,913 49,913
-
191,778 191,778
189,476 189,476
84,672
49,913
-
191,778
189,476
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 161
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3107 - Roads Sales Tax - Weston Special Road District* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7508 - Roads Sales Tax - Weston Special Road District
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL WESTON SPECIAL RD DISTRICT
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
209,470 209,470
208,160 208,160
163,182 163,182
115,731 115,731
-
345 345
-
-
80 80
33 33
51 51
-
-
-
5,580 5,580
209,866
208,160
163,182
115,811
5,613
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 162
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3107 - Roads Sales Tax - Weston Special Road District* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7508 - Roads Sales Tax - Weston Special Road District
Account 86002
Title SALES TAX DISB-WESTON SRD TOTAL DISBURSEMENTS TOTAL WESTON SPECIAL RD DISTRICT
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
209,867 209,867
205,873 205,873
-
115,811 115,811
5,580 5,580
209,867
205,873
-
115,811
5,580
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 163
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3108 - Roads Sales Tax - Camden Point* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7509 - Roads Sales Tax - Camden Point
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
23,971 23,971
23,326 23,326
20,902 20,902
19,308 19,308
-
110 110
-
-
152 152
59 59
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
12,588 12,588
-
-
6,400 6,400
9,028 9,028
TOTAL CAMDEN POINT
36,669
23,326
20,902
25,860
9,087
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 164
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3108 - Roads Sales Tax - Camden Point* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7509 - Roads Sales Tax - Camden Point
Account 86003
Title SALES TAX DISB - CAMDEN POINT TOTAL DISBURSEMENTS TOTAL CAMDEN POINT
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
36,669 36,669
26,500 26,500
-
25,860 25,860
9,028 9,028
36,669
26,500
-
25,860
9,028
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 165
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3109 - Roads Sales Tax - Dearborn* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7510 - Roads Sales Tax - Dearborn
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL DEARBORN
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
26,199 26,199
25,913 25,913
21,872 21,872
20,204 20,204
-
258 258
-
-
337 337
329 329
100,933 100,933
-
-
54,000 54,000
56,879 56,879
127,390
25,913
21,872
74,541
57,208
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 166
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3109 - Roads Sales Tax - Dearborn* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7510 - Roads Sales Tax - Dearborn
Account 86004
Title SALES TAX DISB - DEARBORN TOTAL DISBURSEMENTS TOTAL DEARBORN
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
127,390 127,390
69,391 69,391
-
74,541 74,541
56,879 56,879
127,390
69,391
-
74,541
56,879
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 167
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3110 - Roads Sales Tax - Edgerton* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7511 - Roads Sales Tax - Edgerton
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
58525
TRANSFER OUT - FUND 5100 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL EDGERTON
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
26,397 26,397
26,143 26,143
24,077 24,077
22,258 22,258
-
79 79
-
-
56 56
194 194
-
-
(80,000) (80,000)
(80,000) (80,000)
41,543 41,543
-
65,000 65,000
64,000 64,000
66,934 66,934
68,019
26,143
89,077
86,314
67,128
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 168
-
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3110 - Roads Sales Tax - Edgerton* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7511 - Roads Sales Tax - Edgerton
Account 86005
Title SALES TAX DISB - EDGERTON TOTAL DISBURSEMENTS TOTAL EDGERTON
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
68,020 68,020
-
-
6,314 6,314
66,934 66,934
68,020
-
-
6,314
66,934
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 169
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3111 - Roads Sales Tax - Farley* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7512 - Roads Sales Tax - Farley
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL FARLEY
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
11,193 11,193
10,993 10,993
11,862 11,862
10,958 10,958
-
57 57
-
-
62 62
33 33
5,953 5,953
-
-
15,500 15,500
1,669 1,669
17,203
10,993
11,862
26,520
1,702
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 170
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3111 - Roads Sales Tax - Farley* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7512 - Roads Sales Tax - Farley
Account 86006
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
SALES TAX DISB - FARLEY TOTAL DISBURSEMENTS
17,202 17,202
-
-
26,520 26,520
1,669 1,669
TOTAL FARLEY
17,202
-
-
26,520
1,669
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 171
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3112 - Roads Sales Tax - Ferrelview* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7513 - Roads Sales Tax - Ferrelview
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL FERRELVIEW
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
29,369 29,369
29,093 29,093
19,888 19,888
18,386 18,386
-
203 203
-
-
231 231
340 340
84,491 14,065 98,556
13,328 13,328
10,363 10,363
99,000 99,000
98,054 98,054
128,128
42,420
30,251
117,617
98,394
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 172
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3112 - Roads Sales Tax - Ferrelview* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7513 - Roads Sales Tax - Ferrelview
Account 86007
Title SALES TAX DISB - FERRELVIEW TOTAL DISBURSEMENTS TOTAL FERRELVIEW
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
113,170 113,170
10,100 10,100
-
117,617 117,617
98,054 98,054
113,170
10,100
-
117,617
98,054
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 173
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3113 - Roads Sales Tax - Houston Lake* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7514 - Roads Sales Tax - Houston Lake
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
14,065 14,065
13,328 13,328
10,363 10,363
9,588 9,588
-
73 73
-
-
56 56
106 106
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
22,909 22,909
-
-
34,800 34,800
36,441 36,441
TOTAL HOUSTON LAKE
37,047
13,328
10,363
44,444
36,547
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 174
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3113 - Roads Sales Tax - Houston Lake* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7514 - Roads Sales Tax - Houston Lake
Account 86008
Title SALES TAX DISB - HOUSTON LAKE TOTAL DISBURSEMENTS TOTAL HOUSTON LAKE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
37,047 37,047
-
-
44,444 44,444
36,441 36,441
37,047
-
-
44,444
36,441
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 175
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3114 - Roads Sales Tax - Iatan* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7515 - Roads Sales Tax - Iatan
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
58025 58525
TRANSFER IN - FUND 1001 TRANSFER OUT - FUND 5100 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL IATAN
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
2,674 2,674
2,555 2,555
1,984 1,984
1,844 1,844
-
42 42
-
-
63 63
50 50
-
-
-
-
-
15,575 15,575
-
-
7,000 7,000
7,382 7,382
18,291
2,555
1,984
8,907
7,432
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 176
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3114 - Roads Sales Tax - Iatan* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7515 - Roads Sales Tax - Iatan
Account 86009
Title SALES TAX DISB - IATAN TOTAL DISBURSEMENTS TOTAL IATAN
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
18,291 18,291
10,796 10,796
-
8,907 8,907
7,382 7,382
18,291
10,796
-
8,907
7,382
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 177
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3115 - Roads Sales Tax - Northmoor* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7516 - Roads Sales Tax - Northmoor
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL NORTHMOOR
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
19,761 19,761
19,439 19,439
14,332 14,332
13,250 13,250
-
428 428
-
-
697 697
577 577
153,711 153,711
-
-
170,000 170,000
173,150 173,150
173,900
19,439
14,332
183,947
173,727
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 178
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3115 - Roads Sales Tax - Northmoor* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7516 - Roads Sales Tax - Northmoor
Account 86010
Title SALES TAX DISB - NORTHMOOR TOTAL DISBURSEMENTS TOTAL NORTHMOOR
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
173,900 173,900
-
-
183,947 183,947
173,150 173,150
173,900
-
-
183,947
173,150
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 179
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3116 - Roads Sales Tax - Parkville* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7517 - Roads Sales Tax - Parkville
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL PARKVILLE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
201,027 201,027
198,359 198,359
153,887 153,887
226,374 226,374
95,000 95,000
155 155
-
-
275 275
227 227
31,487 31,487
-
-
74,000 74,000
83,609 83,609
232,669
198,359
153,887
300,649
178,836
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 180
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3116 - Roads Sales Tax - Parkville* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7517 - Roads Sales Tax - Parkville
Account 73010 86011
Title TIF EXPENSE - PARKVILLE SALES TAX DISB - PARKVILLE TOTAL DISBURSEMENTS TOTAL PARKVILLE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60,000 172,668 232,668
63,968 72,308 136,275
95,000 95,000
95,000 205,649 300,649
95,000 83,609 178,609
232,668
136,275
95,000
300,649
178,609
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 181
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3117 - Roads Sales Tax - Platte Woods* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7518 - Roads Sales Tax - Platte Woods
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
23,475 23,475
23,251 23,251
16,977 16,977
15,699 15,699
-
194 194
-
-
231 231
317 317
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
78,104 78,104
-
-
98,000 98,000
100,829 100,829
TOTAL PLATTE WOODS
101,773
23,251
16,977
113,930
101,146
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 182
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3117 - Roads Sales Tax - Platte Woods* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7518 - Roads Sales Tax - Platte Woods
Account 86012
Title SALES TAX DISB - PLATTE WOODS TOTAL DISBURSEMENTS TOTAL PLATTE WOODS
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
101,773 101,773
-
-
113,930 113,930
100,829 100,829
101,773
-
-
113,930
100,829
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 183
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3118 - Roads Sales Tax - Ridgely* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7519 - Roads Sales Tax - Ridgely
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
58525
TRANSFER OUT - FUND 5100 TOTAL TRANSFERS
(3,170) (3,170)
(1,232) (1,232)
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
78,104 3,170 81,274
2,689 2,689
4,586 4,586
1,400 4,241 5,641
1,797 1,797
81,274
4,147
9,172
1,890
1,800
TOTAL RIDGELY
3,170 3,170
2,689 2,689
4,586 4,586
4,241 4,241
-
-
-
-
8 8
3 3
-
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 184
(8,000) (8,000)
-
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
THIS PAGE INTENTIONALLY LEFT BLANK
Page 185
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3119 - Roads Sales Tax - Riverside* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7520 - Roads Sales Tax - Riverside
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL RIVERSIDE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
147,539 147,539
147,268 147,268
81,377 81,377
119,693 119,693
50,000 50,000
101 101
-
-
234 234
170 170
24,171 24,171
-
-
61,700 61,700
72,893 72,893
171,811
147,268
81,377
181,627
123,063
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 186
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3119 - Roads Sales Tax - Riverside* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7520 - Roads Sales Tax - Riverside
Account 73010 86014
Title TIF EXPENSE - RIVERSIDE SALES TAX DISB - RIVERSIDE TOTAL DISBURSEMENTS TOTAL RIVERSIDE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60,000 111,811 171,811
43,805 47,336 91,141
50,000 50,000
50,000 131,627 181,627
50,000 72,893 122,893
171,811
91,141
50,000
181,627
122,893
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 187
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3120 - Roads Sales Tax - Tracy* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7521 - Roads Sales Tax - Tracy
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
59110 59120 59130 59140 59150
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
10,549 10,549
10,246 10,246
9,172 9,172
8,482 8,482
-
INTEREST INCOME TOTAL INTEREST INCOME
117 117
-
-
161 161
178 178
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
45,042 45,042
-
-
54,000 54,000
55,289 55,289
55,708
10,246
9,172
62,643
55,467
TOTAL TRACY
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 188
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3120 - Roads Sales Tax - Tracy* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7521 - Roads Sales Tax - Tracy
Account 86015
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
SALES TAX DISB - TRACY TOTAL DISBURSEMENTS
55,708 55,708
-
-
62,643 62,643
55,289 55,289
TOTAL TRACY
55,708
-
-
62,643
55,289
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 189
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3121 - Roads Sales Tax - Weatherby Lake* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7522 - Roads Sales Tax - Weatherby Lake
Account
Title
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL WEATHERBY LAKE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
92,763 92,763
92,182 92,182
75,979 75,979
70,225 70,225
-
1,536 1,536
-
-
2,373 2,373
2,153 2,153
564,181 564,181
-
-
643,000 643,000
654,879 654,879
658,480
92,182
75,979
715,598
657,032
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 190
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3121 - Roads Sales Tax - Weatherby Lake* Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7522 - Roads Sales Tax - Weatherby Lake
Account 86016
Title SALES TAX DISB - WEATHERBY LAKE TOTAL DISBURSEMENTS TOTAL WEATHERBY LAKE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
658,480 658,480
-
-
715,598 715,598
654,879 654,879
658,480
-
-
715,598
654,879
* This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 191
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3122 - Roads Sales Tax - Lake Waukomis Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7523 - Roads Sales Tax - Lake Waukomis
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
-
-
-
35,455 35,455
-
44010
INTEREST INCOME TOTAL INTEREST INCOME
-
-
-
-
-
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
-
-
-
-
-
TOTAL LAKE WAUKOMIS
-
-
-
35,455
-
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 192
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3122 - Roads Sales Tax - Lake Waukomis Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7523 - Roads Sales Tax - Lake Waukomis
Account 86016
Title SALES TAX DISB - LAKE WAUKOMIS TOTAL DISBURSEMENTS TOTAL LAKE WAUKOMIS
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
35,455 35,455
-
-
-
-
35,455
-
* This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 193
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3123 - Roads Sales Tax - Parkville Special Road District Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7524 - Roads Sales Tax - Parkville Special Road District
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
-
-
-
63,652 63,652
-
44010
INTEREST INCOME TOTAL INTEREST INCOME
-
-
-
-
-
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
-
-
-
-
-
TOTAL PARKVILLE SRD
-
-
-
63,652
-
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 194
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3123 - Roads Sales Tax - Parkville Special Road District Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7524 - Roads Sales Tax - Parkville Special Road District
Account 86016
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
SALES TAX DISB - PARKVILLE SRD TOTAL DISBURSEMENTS
-
-
-
63,652 63,652
-
TOTAL PARVILLE SRD
-
-
-
63,652
-
* This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 195
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3124 - Roads Sales Tax - Platte City SRD Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7525 - Roads Sales Tax - Platte City SRD
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
40100
SALES TAX TOTAL PROPERTY, SALES, OTHER TAX
-
-
-
52,079 52,079
-
44010
INTEREST INCOME TOTAL INTEREST INCOME
-
-
-
-
-
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
-
-
-
-
-
-
-
-
52,079
-
TOTAL PLATTE CITY SRD
*This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 196
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 3124 - Roads Sales Tax - Platte City SRD Fund Type - 2 - Special Revenue Funds Function - 70 - Public Works Department - 7525 - Roads Sales Tax - Platte City SRD
Account 86016
Title SALES TAX DISB - PLATTE CITY SRD TOTAL DISBURSEMENTS TOTAL PLATTE CITY SRD
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
52,079 52,079
-
-
-
-
52,079
-
* This fund is used for internal tracking purposes only. The 3100 series of funds will be combined for external reporting.
Page 197
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
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Page 198
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
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Page 199
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4100 - Golf Course COP Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9100 - Golf Course COP
Account
Title
44010
INTEREST INCOME TOTAL INTEREST INCOME
58023
59110 59120 59130 59140 59150 59200
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
20 20
37 37
20 20
85 85
73 73
TRANSFERS IN - FUND 2900 TOTAL OTHER REVENUE
450,000 450,000
450,000 450,000
450,000 450,000
450,000 450,000
450,000 450,000
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED RESTRICTED CASH CARRYOVER TOTAL CASH CARRYOVER
461,679 461,679
461,679 461,679
461,679 461,679
461,679 461,679
458,093 458,093
911,699
911,716
911,699
911,764
908,166
TOTAL GOLF COURSE COP FUND
Page 200
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4100 - Golf Course COP Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9100 - Golf Course COP
Account 73110 73120 73130
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
BOND EXPENSES BOND PRINCIPLE BOND INTEREST TOTAL DEBT REPAYMENT EXPENSES
5,000 350,000 96,055 451,055
5,000 350,000 96,055 451,055
5,000 365,000 82,055 452,055
5,000 365,000 82,055 452,055
5,000 365,000 82,055 452,055
TOTAL GOLF COURSE FUND
451,055
451,055
452,055
452,055
452,055
Page 201
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4200 - Parks & Recreation Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9120 Parks & Recreation Bond Fund
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
44010
INTEREST INCOME TOTAL INTEREST INCOME
-
42 42
-
-
41 41
50070
OTHER OPERATING REVENUE TOTAL OPERATING REVEUNE
-
27,872 27,872
-
-
-
58023 58034 58537
TRANSFERS IN - FUND 2900 TRANSFERS IN - FUND 4150 TRANSFERS OUT - FUND 5300 TOTAL OTHER REVENUE
3,073,072 3,073,072
3,073,072 3,073,072
2,500,150 2,500,150
2,500,150 2,500,150
2,500,150 2,500,150
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
-
-
24,181 24,181
-
-
3,073,072
3,100,986
2,524,331
2,500,150
2,500,191
TOTAL PARKS & REC BOND FUND
Page 202
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4200 - Parks & Recreation Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9120 Parks & Recreation Bond Fund
Account 73110 73120 73130 73145
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
BOND EXPENSES BOND PRINCIPAL BOND INTEREST COST OF ISSUANCE EXPENSE TOTAL DEBT REPAYMENT EXPENSES
3,000 2,310,000 -
3,000 2,310,000 -
3,000 1,795,000 702,150
3,000 1,795,000 702,150
3,000 1,795,000 702,150
2,313,000
2,313,000
2,500,150
2,500,150
2,500,150
TOTAL PARKS & REC BOND FUND
2,313,000
2,313,000
2,500,150
2,500,150
2,500,150
Page 203
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4304 Transportation Bond Series 2012 Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9165 Transportation Bond Series 2012
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
44010 44110 44115 44120
INTEREST INCOME BOND PROCEEDS PREMIUM ON BONDS COST OF ISSUANCE PROCEEDS TOTAL BOND INCOME
-
-
-
-
-
50070
OTHER OPERATING REVENUE TOTAL OTHER OPERATING REVENUE
-
-
-
-
-
58011 58012 58013 58014 58015 58016
TRANSFER IN - FUND 3101 TRANSFER IN - FUND 3100 TRANSFER IN - FUND 3102 TRANSFER IN - FUND 3105 TRANSFER IN - FUND 3103 TRANSFER IN - FUND 3104 TOTAL TRANSFERS
2,189,710 107,057 2,259,168 160,847 395,850 109,668 5,222,300
2,189,710 107,057 2,259,168 160,847 395,850 109,668 5,222,300
-
-
-
5,222,300
5,222,300
-
-
-
TOTAL TRANSP. BOND SERIES 2012
Page 204
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4304 Transportation Bond Series 2012 Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9165 Transportation Bond Series 2012
Account 73110 73120 73130 73140 73145 73150
Title BOND EXPENSES BOND PRINCIPLE BOND INTEREST DEPOSIT TO BOND ESCROW COST OF ISSUANCE EXPENSE PRINCIPAL RETIREMENT EXPENSE TOTAL DEBT REPAYMENT EXPENSES TOTAL TRANSP. BOND SERIES 2005
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
5,000 5,115,000 102,300 5,222,300
5,000 5,115,000 102,300 5,222,300
-
-
-
5,222,300
5,222,300
-
-
-
Page 205
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4400 - Neighborhood 22 Sewer District Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9170 Neighborhood 22 Fund
Account
Title
40600
SPECIAL ASSESSMENTS TOTAL SPECIAL ASSESSMENTS
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL NEIGHBORHOOD 22 FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
24,957 24,957
23,539 23,539
24,957 24,957
24,957 24,957
24,957 24,957
67 67
-
67 67
215 215
101 101
37,946 37,946
-
37,946 37,946
23,000 23,000
39,581 39,581
62,970
23,539
62,970
48,172
64,639
Page 206
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4400 - Neighborhood 22 Sewer District Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9170 Neighborhood 22 Fund
Account 73110 73120 73130
Title BOND EXPENSES BOND PRINCIPLE BOND INTEREST TOTAL DEBT REPAYMENT EXPENSES TOTAL NEIGHBORHOOD 22 FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
4,000 20,000 3,250 27,250
4,000 20,000 3,250 27,250
4,000 40,000 1,300 45,300
4,000 40,000 1,300 45,300
4,000 40,000 1,300 45,300
27,250
27,250
45,300
45,300
45,300
Page 207
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4410 - Sewer #23 Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9180 - Sewer #23 Fund
Account
Title
40600
SPECIAL ASSESSMENTS TOTAL SPECIAL ASSESSMENTS
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL SEWER #23 FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
86,541 86,541
82,480 82,480
86,541 86,541
86,541 86,541
86,541 86,541
103 103
-
103 103
241 241
215 215
36,922 36,922
-
36,922 36,922
30,000 30,000
34,010 34,010
123,566
82,480
123,566
116,782
120,766
Page 208
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4410 - Sewer #23 Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9180 - Sewer #23 Fund
Account 73110 73120 73130
Title BOND EXPENSES BOND PRINCIPLE BOND INTEREST TOTAL DEBT REPAYMENT EXPENSES TOTAL SEWER #23 FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
4,000 80,000 8,640 92,640
366 80,000 5,160 85,526
4,000 80,000 8,640 92,640
4,000 80,000 3,480 87,480
4,000 80,000 3,480 87,480
92,640
85,526
92,640
87,480
87,480
Page 209
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4420 - Hoover Sewer District Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9190 - Hoover
Account
Title
40600
SPECIAL ASSESSMENTS TOTAL SPECIAL ASSESSMENTS
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL HOOVER
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
22,870 22,870
20,692 20,692
22,871 22,871
22,871 22,871
22,871 22,871
49 49
-
49 49
41 41
41 41
28,073 28,073
-
28,073 28,073
4,100 4,100
28,113 28,113
50,992
20,692
50,993
27,012
51,025
Page 210
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4420 - Hoover Sewer District Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9190 - Hoover
Account 73110 73120 73130
Title BOND EXPENSES BOND PRINCIPLE BOND INTEREST TOTAL DEBT REPAYMENT EXPENSES TOTAL HOOVER
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
4,000 23,000 3,630 30,630
371 23,000 3,630 27,001
500 24,000 2,500 27,000
500 24,000 2,500 27,000
500 24,000 2,500 27,000
30,630
27,001
27,000
27,000
27,000
Page 211
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4430 - Peback Sewer District Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9200 - Peback
Account
Title
40600
SPECIAL ASSESSMENTS TOTAL SPECIAL ASSESSMENTS
44010
INTEREST INCOME TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL PEBACK PROJECT FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
20,335 20,335
18,768 18,768
20,335 20,335
20,335 20,335
20,335 20,335
60 60
-
60 60
121 121
46 46
31,498 31,498
-
31,498 31,498
6,600 6,600
27,770 27,770
51,893
18,768
51,893
27,056
48,151
Page 212
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4430 - Peback Sewer District Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9200 - Peback
Account 73110 73120 73130
Title BOND EXPENSES BOND PRINCIPLE BOND INTEREST TOTAL DEBT REPAYMENT EXPENSES TOTAL PEBACK PROJECT FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
3,000 23,000 3,570 29,570
366 23,000 3,570 26,936
500 24,000 2,500 27,000
500 24,000 2,500 27,000
500 24,000 2,500 27,000
29,570
26,936
27,000
27,000
27,000
Page 213
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4440 - National NID Series 2010 Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9210 - National NID Series 2010
Account
Title
40600
SPECIAL ASSESSMENTS TOTAL SPECIAL ASSESSMENTS
44010
INTEREST INCOME TOTAL INTEREST INCOME
44110 44115
BOND PROCEEDS PREMIUM ON BONDS TOTAL PROCEEDS FROM DEBT
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL NATIONAL NID PROJECT FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
539,622 539,622
518,525 518,525
545,751 545,751
545,751 545,751
545,751 545,751
1,187 1,187
-
1,187 1,187
1,982 1,982
1,368 1,368
-
-
-
-
-
349,821 349,821
-
349,821 349,821
346,695 346,695
346,695 346,695
890,630
518,525
896,759
894,428
893,814
Page 214
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4440 - National NID Series 2010 Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9210 - National NID Series 2010
Account 73110 73120 73130
Title BOND EXPENSES BOND PRINCIPLE BOND INTEREST TOTAL DEBT REPAYMENT EXPENSES TOTAL NATIONAL NID PROJECT FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
3,000 405,000 135,375 543,375
3,000 405,000 141,450 549,450
3,000 410,000 123,150 536,150
3,000 410,000 123,150 536,150
3,000 410,000 123,150 536,150
543,375
549,450
536,150
536,150
536,150
Page 215
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4450 - Parkville Commons NID 2011/2013 Refunded Bond Fund* Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9220 - Parkville Commons NID Refunded 2011/2013
Account
Title
40600
SPECIAL ASSESSMENTS TOTAL SPECIAL ASSESSMENTS
44010 50070
INTEREST INCOME OTHER OPERATING REVENUE TOTAL INTEREST INCOME
44110 44115 44120
BOND PROCEEDS PREMIUM ON BONDS COST OF ISSUANCE PROCEEDS TOTAL PROCEEDS FROM DEBT
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRYOVER TOTAL PARKVILLE COMMONS 2005A/B
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
1,084,611 1,084,611
1,054,090 1,054,090
1,065,915 1,065,915
1,065,915 1,065,915
1,065,915 1,065,915
926 926
-
926 926
746 746
982 982
-
5,700,000 649,482 4,719 6,354,201
-
-
-
134,887 134,887
-
134,887 134,887
144,000 144,000
164,236 164,236
1,220,424
7,408,291
1,201,728
1,210,661
1,231,133
*Fund - 4450 - Parkville Commons NID 2005A refinanced in 2011 and Parkville Commons NID 2005B refinanced in 2013.
Page 216
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4450 - Parkville Commons NID 2011/2013 Refunded Bond Fund* Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9220 - Parkville Commons NID Refunded 2011/2013
Account 73110 73120 73130 73145 73150
Title BOND EXPENSES BOND PRINCIPLE BOND INTEREST COST OF ISSUANCE EXPENSE PRINCIPAL RETIREMENT EXPENSE TOTAL DEBT REPAYMENT EXPENSES TOTAL PARKVILLE COMMONS-2005A/B
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
3,000 645,000 824,813 133,256 5,795,000 7,401,069
810 645,000 824,813 133,256 5,795,000 7,398,878
3,000 710,000 321,195 1,034,195
3,000 710,000 321,195 1,034,195
3,000 710,000 321,195 1,034,195
7,401,069
7,398,878
1,034,195
1,034,195
1,034,195
*Fund - 4450 - Parkville Commons NID 2005A refinanced in 2011 and Parkville Commons NID 2005B refinanced in 2013.
Page 217
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4460 Hwy 45/Crooked Road NID Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9230 Crooked Road NID
Account
Title
40600
SPECIAL ASSESSMENTS TOTAL SPECIAL ASSESSMENTS
44010 44110
INTEREST INCOME BOND PROCEEDS TOTAL INTEREST INCOME
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRYOVER TOTAL CROOKED ROAD NID
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
859,587 859,587
837,741 837,741
891,476 891,476
891,476 891,476
891,476 891,476
866 866
-
866 866
811 811
1,335 1,335
122,545 122,545
-
122,545 122,545
122,545 122,545
86,808 86,808
982,998
837,741
1,014,887
1,014,832
979,619
Page 218
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4460 Hwy 45/Crooked Road NID Bond Fund Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9230 Crooked Road NID
Account 73110 73120 73130
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
BOND EXPENSES BOND PRINCIPLE BOND INTEREST TOTAL DEBT REPAYMENT EXPENSES
3,000 480,000 399,533 882,533
784 480,000 399,533 880,317
3,000 500,000 380,405 883,405
3,000 500,000 380,405 883,405
3,000 500,000 380,405 883,405
TOTAL CROOKED ROAD NID
882,533
880,317
883,405
883,405
883,405
Page 219
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4900 Zona Rosa TDD* Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9490 Zona Rosa TDD
Account 54000
Title ZONA ROSA TDD TOTAL OTHER REVENUE TOTAL ZONA ROSA TDD
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
1,908,425 1,908,425
-
1,954,225 1,954,225
1,954,225 1,954,225
1,954,225 1,954,225
1,908,425
-
1,954,225
1,954,225
1,954,225
* This appropriation is required by the bond documents issued by the Zona Rosa TDD. Payments will be funded by the sales taxes collected by the TDD.
Page 220
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 4900 Zona Rosa TDD Fund Type - 3 - Debt Service Fund Function - 90 - Debt Service Department - 9490 Zona Rosa TDD
Account 73110 73120 73130
Title BOND EXPENSES BOND PRINCIPLE BOND INTEREST TOTAL DEBT REPAYMENT EXPENSES TOTAL ZONA ROSA TDD
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
355,000 1,553,425 1,908,425
-
415,000 1,539,225 1,954,225
415,000 1,539,225 1,954,225
415,000 1,539,225 1,954,225
1,908,425
-
1,954,225
1,954,225
1,954,225
Page 221
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
THIS PAGE INTENTIONALLY LEFT BLANK
Page 222
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 1500 - Capital Projects
Account
Title
44010
INTEREST INCOME TOTAL INTEREST
50070 50285
OTHER OPERATING REVENUE LOSS CONTROL/SAFETY REIMB TOTAL MISCELLANEOUS INCOME
58019 58020 58025 58027 58565 58590
TRANSFERS IN - FUND 2610 TRANSFERS IN - FUND 2850 TRANSFERS IN - FUND 1001 TRANSFERS IN - FUND 2620 TRANSFERS OUT - FUND 5050 TRANSFERS OUT - FUND 1001 TOTAL OTHER REVENUE
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL CAPITAL PROJECTS FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
4,244 4,244
-
4,244 4,244
3,656 3,656
1,483 1,483
-
12 12
-
-
-
97,118 97,118
14,300 14,300
1,294,363 1,294,363
401,000 401,000
409,523 409,523
762,918
501,774
425,306
364,311 (900,000) (535,689) 1,294,363 1,294,363 762,918
Page 223
100,000 (900,000) (800,000) (799,988)
364,311 (900,000) (535,689)
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 1000 - Capital Projects - Admin.
Account 81140 81148
Title FURNITURE EQUIPMENT TOTAL CAP PROJ - ADMIN
2013 Amend Commission Approved -
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 1020 - Capital Projects - Personnel Dept.
Account 81140 81148
Title FURNITURE EQUIPMENT TOTAL CAP PROJ - PERSONNEL
2013 Amend Commission Approved -
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 1030 - Capital Projects - Building & Grounds
Account
81050 81055
81115 81116 81140 81148
Title
CAPITAL LEASE-PRINCIPAL CAPITAL LEASE-INTEREST TOTAL CAPITAL LEASE PAYMENT BUILDING IMPROVEMENTS LIGHTING RETROFITTING FURNITURE EQUIPMENT TOTAL CAP PROJ - BUILDINGS/GROUNDS
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
85,000 31,325 116,325
-
-
272,000 -
272,000 -
272,000 -
-
-
272,000
272,000
272,000
Page 224
85,000 31,325 116,325
85,001 31,325 116,326
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 1050 - Capital Projects - Resource Center
Account 81140 81148
Title FURNITURE EQUIPMENT TOTAL CAP PROJ - RESOURCE CENTER
2013 Amend Commission Approved -
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 1100 - Capital Projects - County Clerk
Account 81140 81148
Title FURNITURE EQUIPMENT TOTAL CAP PROJ - COUNTY CLERK
2013 Amend Commission Approved -
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 1200 - Capital Projects - Planning & Zoning
Account 81130 81135
Title GIS MOTOR VEHICLES TOTAL CAP PROJ - PLANNING & ZONING
2013 Amend Commission Approved -
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted 8,000 8,000
Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 1300 - Capital Projects - Information Services
Account 81120 81125 81140 81148
Title COMPUTER HARDWARE SOFTWARE FURNITURE EQUIPMENT TOTAL CAP PROJ - INFORMATION SERVICES
2013 Amend Commission Approved -
Page 225
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 1500 - Capital Projects
Account
Title
65140 65320
DOCUMENT RETENTION STRATEGIC PLAN PROJECTS TOTAL CONTRACTUAL SERVICES
69130
CONTINGENCY TOTAL CONTINGENCY
81100 81107 81115 81117 81125 81135 81210 81220 81230
CAPITAL IMPROVEMENTS LAND USE PLAN BUILDING IMPROVEMENTS BUILDING IMPROVEMENTS - FUTURES SOFTWARE MOTOR VEHICLES TORNADO SIRENS RESOURCE CENTER OTHER PROJECTS TOTAL CAPITAL IMPROVEMENTS TOTAL CAPITAL PROJECTS
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
20,000 20,000
-
20,000 20,000
20,000 20,000
20,000 20,000
85,000 306,900 100,000 491,900
1,625 306,274 307,899
85,000 85,000
85,000 85,000
-
511,900
307,899
105,000
105,000
20,000
Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 2000 - Capital Projects - Auditor
Account 81140 81148
Title FURNITURE EQUIPMENT TOTAL CAP PROJ - AUDITOR
2013 Amend Commission Approved -
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 2100 - Capital Projects - Treasurer
Account 81140 81148
Title FURNITURE EQUIPMENT TOTAL CAP PROJ - TREASURER
2013 Amend Commission Approved -
Page 226
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 3000 - Capital Projects - Recorder
Account 81125 81140 81148
Title SOFTWARE FURNITURE EQUIPMENT TOTAL CAP PROJ - RECORDER
2013 Amend Commission Approved -
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 3100 - Capital Projects - Collector
Account 81140 81148
Title FURNITURE EQUIPMENT TOTAL CAP PROJ - COLLECTOR
2013 Amend Commission Approved -
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 4000 - Capital Projects - Circuit Judge
Account 81140 81145 81148
Title FURNITURE ELECTRONIC PAROLE EQUIPMENT TOTAL CAP PROJ - CIRCUIT JUDGE
2013 Amend Commission Approved -
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 4010 - Capital Projects - Court Rep Div I
Account 81140 81148
Title FURNITURE EQUIPMENT TOTAL CAP PROJ - COURT REP DIV I
2013 Amend Commission Approved -
Page 227
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 4020 - Capital Projects - Court Rep Div II
Account 81140 81148
Title FURNITURE EQUIPMENT TOTAL CAP PROJ - COURT REP DIV II
2013 Amend Commission Approved -
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 4100 - Capital Projects - Probate Court
Account 81140 81148
Title FURNITURE EQUIPMENT TOTAL CAP PROJ - PROBATE COURT
2013 Amend Commission Approved -
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 4200 - Capital Projects - Juvenile
Account 81140 81148
Title FURNITURE EQUIPMENT TOTAL CAP PROJ - JUVENILE
2013 Amend Commission Approved -
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 4300 - Capital Projects - Circuit Clerk
Account 81140 81148
Title FURNITURE EQUIPMENT TOTAL CAP PROJ - CIRCUIT CLERK
2013 Amend Commission Approved -
Page 228
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 4400 - Capital Projects - Prosecuting Attorney
Account 81140 81148
Title FURNITURE EQUIPMENT TOTAL CAP PROJ - PROSECUTING ATTORNEY
2013 Amend Commission Approved -
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 5000 - Capital Projects - Sheriff
Account 81135 81140 81148 81150 81185 81190 81200
Title MOTOR VEHICLES FURNITURE EQUIPMENT VEHICLE EQUIPMENT PATROL EQUIPMENT MOBILE DATA EQUIPMENT INVESTIGATIVE EQUIPMENT TOTAL CAP PROJ - SHERIFF
2013 Amend Commission Approved -
2013 Forecast
-
2014 Department Requested -
2014 Auditor Recommended -
2014 Commission Adopted -
Fund - 5000 - Capital Projects Fund Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 6000 - Capital Projects - Public Administrator
Account 81140 81148
Title FURNITURE EQUIPMENT TOTAL CAP PROJ - PUBLIC ADMINISTRATOR
TOTAL CAPITAL PROJECTS FUND
2013 Amend Commission Approved -
511,900
Page 229
2013 Forecast
-
307,899
2014 Department Requested -
377,000
2014 Auditor Recommended -
493,325
2014 Commission Adopted -
416,326
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5050 - Capital Projects Fund - Radios Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 1550 - Capital Projects - Radios
Account
Title
41580
JOINT PROJECTS TOTAL INTERGOVERNMENTAL
44010 44110
INTEREST INCOME BOND PROCEEDS TOTAL INTEREST
50070 50315
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
268,000 268,000
260,039 260,039
-
-
-
-
-
-
181 181
6,436 6,436
OTHER OPERATING REVENUE PROJECT REIMBURSEMENT TOTAL OTHER OPERATING INCOME
872,890 872,890
349,331 349,331
-
-
-
58022 58023 58024 58025 58029 58033
TRANSFERS IN - FUND 2200 TRANSFERS IN - FUND 2900 TRANSFERS IN - FUND 5000 TRANSFERS IN - FUND 1001 TRANSFERS IN - FUND 2100 TRANSFERS IN - FUND 2110 TOTAL OTHER REVENUE
900,000 900,000
900,000 900,000
-
265,001 265,001
57,488 57,488
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
416,861 416,861
-
832,000 832,000
832,000 832,000
1,054,442 1,054,442
2,457,751
1,509,370
832,000
1,097,182
1,118,366
TOTAL CAPITAL PROJECTS - RADIOS
Page 230
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5050 - Capital Projects Fund - Radios Fund Type - 5 - Capital Project Fund Function - 10 - General County Administration Department - 1550 - Capital Projects - Radios
Account
Title
65040 65055
EQUIPMENT MAINTENANCE RADIO SYSTEM PORT FEES TOTAL RADIO SYSTEM
65190 65200
CONTRACTUAL SERVICES CONSULTANT SERVICES - OTHER TOTAL CONTRACTUAL SERVICES
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
24,400 24,400
-
24,400 24,400
24,400 24,400
24,400 24,400
-
-
-
-
-
-
-
-
-
-
65290
EQUIPMENT MAINT. &amp; REPAIR TOTAL EQUIPMENT
31,500 31,500
2,253 2,253
31,500 31,500
31,500 31,500
31,500 31,500
65360
SOFTWARE MAINTENANCE TOTAL SOFTWARE
-
-
-
-
-
65400 65410 65420
TOWER SITE MAINTENANCE TOWER OPERATING MAINTENANCE CONTRACTED MAINTENANCE TOTAL OPERATING
-
-
5,000 31,848 79,575 116,423
31,848 31,848
5,000 31,848 36,848
67020 67030 67060
ELECTRIC WATER GAS
8,024 8,024
13,525 13,525
19,000 19,000
19,000 19,000
19,000 19,000
794,420 525,052 76,600 1,396,072
794,420 525,052 29,500 1,348,972
3,392 744,722 237,224 79,575 7,295 1,072,208
3,392 744,722 237,224 985,338
3,392 10,000 744,722 237,224 7,295 1,002,633
1,459,996
1,364,750
1,263,531
1,092,086
1,114,381
TOTAL UTILITIES 69105 69130 70130 81050 81055 81060 81125 81148 81175 81215
OTHER OPERATING EXPENSE CONTINGENCY PROTECTIVE EQUIPMENT GRANT CAPITAL LEASE-PRINCIPAL CAPITAL LEASE-INTEREST CONTRACTED MAINTENANCE SOFTWARE EQUIPMENT INFRASTRUCTURE IMPROVEMENT RADIOS TOTAL OPERATING EXPENSE TOTAL CAPITAL PROJECT - RADIOS
Page 231
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5100 - Countywide Roads Construction Fund Fund Type - 5 - Capital Project Fund Function - 70 - Public Works Department - 7100 - Countywide Roads Construction
Account
Title
41420 41621
MODOT FEDERAL FUNDING PSRD CONTRIBUTION TOTAL INTERGOVERNMENTAL
44010
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
1,115,000 1,115,000
201,682 201,682
800,000 275,000 1,075,000
800,000 275,000 1,075,000
1,000,000 275,000 1,275,000
INTEREST INCOME TOTAL INTEREST
3,263 3,263
-
-
7,098 7,098
1,719 1,719
58011 58015 58018 58026 58044
TRANSFERS IN - FUND 3101 TRANSFERS IN - FUND 3103 TRANSFERS IN - FUND 3118 TRANSFERS IN - FUND 3114 TRANSFERS IN - FUND 3110 TOTAL TRANSFERS
3,170 3,170
1,232 1,232
3,300,000 81,500 80,000 3,461,500
2,900,000 8,000 80,000 2,988,000
2,900,000 2,900,000
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
505,604 505,604
-
-
506,000 506,000
358,561 358,561
1,627,037
202,914
4,536,500
4,576,098
4,535,280
TOTAL ROADS CONSTRUCTION FUND
Page 232
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5100 - Countywide Roads Construction Fund Fund Type - 5 - Capital Project Fund Function - 70 - Public Works Department - 7100 - Countywide Roads Construction
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60050 60100
OVERTIME SALARIES OTHER SALARIES TOTAL SALARIES
62,830 62,830
62,746 62,746
500 60,000 60,500
500 63,772 64,272
500 62,830 63,330
63015 63020 63025 63035 63050
EMPLOYER PAYROLL TAXES WORKERS' COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
4,807 3,079 4,712 6,449 385 19,432
4,235 3,075 4,706 6,448 355 18,818
4,750 3,000 4,700 7,000 400 19,850
4,879 2,071 4,400 6,665 361 18,376
4,806 2,040 4,335 6,665 356 18,202
64010 64020 64050
OFFICE SUPPLIES OTHER SUPPLIES PRINTING TOTAL SUPPLIES
300 300 300 900
231 231
300 300 300 900
300 300 300 900
300 300 300 900
65230 65240 65295
INSURANCE & SURETY BONDS MOBILE PHONE MOTOR VEHICLE REPAIR TOTAL REPAIR & MAINTENANCE
1,829 1,800 3,629
1,830 867 2,697
1,829 1,800 3,629
1,829 1,800 3,629
1,829 1,800 3,629
68030 68060
MILEAGE GAS & OIL TOTAL TRAVEL EXPENSES
1,000 1,000
-
1,000 1,000
1,000 1,000
1,000 1,000
69105
OTHER OPERATING EXPENSE TOTAL OTHER EXPENSES
2,000 2,000
-
2,000 2,000
2,000 2,000
2,000 2,000
69205
DUES TOTAL DUES & SUBSCRIPTIONS
-
-
-
-
-
81148
EQUIPMENT TOTAL CAPITAL
-
-
-
-
-
Page 233
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5100 - Countywide Roads Construction Fund Fund Type - 5 - Capital Project Fund Function - 70 - Public Works Department - 7100 - Countywide Roads Construction
Account
Title
82002 82003 82004 82007 82008 82009 82010 82012 82013 82014 82015 82016 82017 82018 82019 82020 82021 82022 82023 82024 82025 82026 82027 82028 82029 82030
BRIDGES DEARBORN BRIDGE HOLLAND BRANCH RD BRIDGE LAMAR BRIDGE COGAN BRIDGE MACADOW ROAD BRIDGE SETTLE STATION BRIDGE MOORE ROAD SCHABACK BRIDGE S. DYE STORE BRIDGE ROSS ROAD BRIDGE WOOLSTON BRIDGE N. DYE STORE MIDDLE DYE STORE BRIDGE HILLSBORO BRIDGE JOWLER CREEK ROAD BRIDGE PLEASANT GROVE ROAD BRIDG N BLUFF ROAD BRIDGE N COUNTY LINE BRIDGE RIVER ROAD BRIDGE WILLIAMS ROAD BRIDGE THOMAS STREET BRIDGE CLARK AVENUE BRIDGE S COUNTY LINE BRIDGE RIVER RD-SUGAR CREEK WALKER RD BRIDGE N CROOKED RD BRIDGE TOTAL BRIDGES
83001 83002 83003 83004 83005 83006 83009 83010 83011 83012 83013
ROADS BRINK MYERS ROAD DYE STORE ROAD ELM GROVE ROAD EAST RIDGELY ROAD UNION CHAPEL ROAD N FARLEY ROAD SHARP STREET WOODRUFF ROAD INTERURBAN RD RIVER RD - WALDRON 45 HWY (COST SHARE) TOTAL ROADS
84001
STORMWATER STORMWATER TOTAL STORMWATER TOTAL COUNTYWIDE RDS CONSTR FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
400,000 400,000 450,000 285,000 1,535,000
400 410 240,507 241,317
200,000 200,000 10,000 650,000 200,000 85,000 350,000 350,000 2,045,000
200,000 200,000 10,000 650,000 200,000 85,000 350,000 350,000 2,045,000
400,000 400,000 10,000 500,000 200,000 85,000 350,000 350,000 2,295,000
-
-
-
-
-
-
-
450,000 450,000 1,500,000 2,400,000
450,000 450,000 1,500,000 2,400,000
325,000 325,000 1,500,000 2,150,000
-
-
-
-
-
1,624,791
325,809
4,532,879
4,535,177
4,534,061
Page 234
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
THIS PAGE INTENTIONALLY LEFT BLANK
Page 235
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5150 - Kansas City Roads Construction Fund Fund Type - 5 - Capital Project Fund Function - 70 - Public Works Department - 7120 - Kansas City Roads Construction
Account
Title
41600 41625 41630
KCMO PIAC FUNDING WEATHERBY PROJ CONTRIBUTION KCMO WSD REIMBURSEMENT TOTAL SPECIAL ASSESSMENTS
44010
INTEREST INCOME TOTAL INTEREST INCOME
50310
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
2,683 2,683
-
-
1,702 1,702
139 139
MGE REFUND TOTAL OTHER REVENUE
-
-
-
-
-
58013 58585
TRANSFER IN - FUND 3102 TRANSFER OUT - FUND 3102 TOTAL TRANSFERS
-
-
1,500,000 1,500,000
690,000 690,000
113,456 113,456
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
257,006 257,006
-
-
-
-
259,689
-
1,500,000
691,702
113,595
TOTAL KC ROADS PROJECTS FUND
Page 236
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5150 - Kansas City Roads Construction Fund Fund Type - 5 - Capital Project Fund Function - 70 - Public Works Department - 7120 - Kansas City Roads Construction
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60050 60100
OVERTIME SALARIES OTHER SALARIES TOTAL SALARIES
-
-
500 56,950 57,450
500 56,950 57,450
500 56,950 57,450
63015 63020 63025 63035 63050
EMPLOYER PAYROLL TAXES WORKERS' COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL FRINGE BENEFITS
-
-
4,500 3,000 4,500 7,000 400 19,400
4,500 3,000 4,500 7,000 400 19,400
4,357 1,850 3,930 6,665 322 17,124
65230 65295
INSURANCE & SURETY BONDS MOTOR VEHICLE REPAIR TOTAL CONTRACTUAL SERVICES
-
220,770 220,770
300 500 800
300 500 800
300 500 800
68060
GAS & OIL TOTAL OTHER EXPENSES
-
-
500 500
500 500
500 500
69105
OTHER OPERATING EXPENSE TOTAL MISCELLANEOUS EXPENSE
-
-
1,000 1,000
1,000 1,000
1,000 1,000
81148
EQUIPMENT TOTAL EQUIPMENT
-
-
-
-
-
83007 83008
BARRY ROAD WEST NW 72ND STREET TOTAL ROADS
259,689 259,689
42,425 42,425
36,720 36,720
36,720 36,720
36,720 36,720
259,689
263,195
115,870
115,870
113,594
ROADS
TOTAL KC ROADS PROJECTS FUND
Page 237
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5200 - 136th St/N Hwy Construction Fund Fund Type - 5 - Capital Project Fund Function - 70 - Public Works Department - 7140 - 136th St/N Hwy Construction
Account
Title
41620
PCSRD PSD PROJECT CONTRIBUTION TOTAL PROJECT INCOME
44010
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
INTEREST INCOME TOTAL INTEREST INCOME
308 308
-
-
-
-
50315
PROJECT REIMBURSEMENT TOTAL INTEREST INCOME
180,992 180,992
155,392 155,392
-
-
-
58020 58023 58541 58590
TRANSFER IN - FUND 2850 TRANSFER IN - FUND 2900 TRANSFER OUT - FUND 2900 TRANSFER OUT - FUND 1001 TOTAL TRANSFER IN
257,006 257,006
-
-
-
-
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
102,268 102,268
-
-
-
-
TOTAL 136TH ST/N HWY
540,574
155,392
-
-
-
Page 238
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5200 - 136th St/N Hwy Construction Fund Fund Type - 5 - Capital Project Fund Function - 70 - Public Works Department - 7140 - 136th St/N Hwy Construction
Account
Title
69135
PROJECT REIMBURSEMENT TOTAL PROJECT REIMBURSEMENT
81175
INFRASTRUCTURE IMPROVEMENTS TOTAL INFRASTRUCTURE IMPROVE TOTAL 136TH ST/N HWY
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
87,818 87,818
110,866 110,866
-
-
-
-
-
-
-
-
87,818
110,866
-
-
-
Page 239
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5300 - Community Center Capital Maintenance Fund Fund Type - 5 - Capital Project Fund Function - 80 - Parks, Trails, Stormwater Department - 8700 - Community Center Project
Account
Title
41495
EOC GRANT REIMBURSEMENT TOTAL GRANT REIMBURSEMENT
44010
INTEREST INCOME TOTAL INTEREST
50240 50990
YMCA PAYMENTS PROCEEDS FROM SALE-ASSET TOTAL OTHER REVENUE
58023 58035 58539
TRANSFERS IN - FUND 2900 TRANSFER IN - FUND 4200 TRANSFER OUT - FUND 5305 TOTAL TRANSFERS
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER TOTAL COMM CENTER CAP MAINT FUND
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
-
-
-
-
2,493 2,493
-
2,500 2,500
3,155 3,155
4,019 4,019
525,000 525,000
654,083 10,825 664,908
550,000 550,000
550,000 550,000
550,000 550,000
-
-
-
-
-
608,268 608,268
-
1,050,676 1,050,676
1,163,000 1,163,000
1,084,959 1,084,959
1,135,761
664,908
1,603,176
1,716,155
1,638,978
Page 240
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5300 - Community Center Capital Maintenance Fund Fund Type - 5 - Capital Project Fund Function - 80 - Parks, Trails, Stormwater Department - 8700 - Community Center Project
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
65080
BUILDING MAINTENANCE TOTAL BUILDING MAINTENANCE
185,000 185,000
100,211 100,211
165,000 165,000
165,000 165,000
165,000 165,000
65190
CONTRACTUAL SERVICES TOTAL CONTRACTUAL SERVICES
20,000 20,000
21,113 21,113
25,000 25,000
25,000 25,000
25,000 25,000
81100 81140 81148
CAPITAL IMPROVEMENTS FURNITURE EQUIPMENT TOTAL CAPITAL IMPROVEMENTS
25,000 10,000 50,000 85,000
4,778 2,659 2,461 9,898
150,000 25,000 125,000 300,000
150,000 25,000 125,000 300,000
150,000 25,000 125,000 300,000
290,000
131,221
490,000
490,000
490,000
TOTAL COMM CENTER CAP MAINT FUND
Page 241
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5305 - Community Center Construction Fund Fund Type - 5 - Capital Project Fund Function - 80 - Parks, Trails, Stormwater Department - 8705 - Community Center Project
Account
Title
41623
R-III PROJECT REIMBRUSEMENT TOTAL OTHER REVENUE
44010
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
200,000 200,000
-
200,000 200,000
200,000 200,000
200,000 200,000
INTEREST INCOME TOTAL INTEREST
-
1,416 1,416
-
-
-
58023 58037
TRANSFER IN - FUND 2900 TRANSFER IN - FUND 5300 TOTAL TRANSFER IN
-
-
1,300,000 1,300,000
1,300,000 1,300,000
1,000,000 1,000,000
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
20,491,258 20,491,258
-
12,491,258 12,491,258
12,490,258 12,490,258
12,192,844 12,192,844
20,691,258
1,416
13,991,258
13,990,258
13,392,844
TOTAL COMM CENTER CONSTR FUND
Page 242
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5305 - Community Center Construction Fund Fund Type - 5 - Capital Project Fund Function - 80 - Parks, Trails, Stormwater Department - 8705 - Community Center Project
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
65190 65220
CONTRACTUAL SERVICES LEGAL SERIVCES TOTAL CONTRACTUAL SERVICES
-
51,359 51,359
500,000 5,000 505,000
500,000 5,000 505,000
500,000 5,000 505,000
65080 81140 81148 81100 81225 81226 81227
BUILDING MAINTENANCE FURNITURE EQUIPMENT CAPITAL IMPROVEMENTS COMMUNITY CENTERS NORTH COMMUNITY CENTER SOUTH COMMUNITY CENTER TOTAL CAPITAL IMPROVEMENTS
12,691,258 8,000,000 20,691,258
2,630,150 1,875,125 4,505,275
200,000 8,691,258 4,594,999 13,486,257
200,000 8,691,258 4,594,999 13,486,257
40,000 112,000 366,130 8,232,987 4,136,727 12,887,843
20,691,258
4,556,634
13,991,257
13,991,257
13,392,843
TOTAL COMM CENTER CONSTR FUND
Page 243
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5350 - Stormwater Construction Fund Fund Type - 5 - Capital Project Fund Function - 80 - Parks, Trails, Stormwater Department - 8500 - Stormwater Construction
Account
Title
41485 41621 41622
CBDG GRANT PSRD CONTRIBUTION PL CO SWR CONTRIBUTION TOTAL INTERGOVERNMENTAL
44010 50070
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
40,650 40,650
-
-
-
-
INTEREST INCOME OTHER OPERATING INCOME TOTAL OTHER INCOME
4,640 4,640
1,000 1,000
-
-
-
58023
TRANSFERS IN - FUND 2900 TOTAL OTHER REVENUE
688,595 688,595
581,563 581,563
-
-
-
59110 59120 59130 59140 59150
CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRY OVER
1,403,290 1,403,290
-
-
-
-
72050 72060
STORMWATER GRANT AWARDS CARRYOVER SW GRANT AWARDS TOTAL STORMWATER GRANT AWARDS
-
-
-
-
-
2,137,175
582,563
-
-
-
TOTAL STORMWATER CONSTR FUND
Note:
Transfers in are from Fund 2900 Parks and Recreation Sales Tax. Reclassified as Fund 2950 - Stormwater Construction Fund
Page 244
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 5350 - Stormwater Construction Fund Fund Type - 5 - Capital Project Fund Function - 80 - Parks, Trails, Stormwater Department - 8500 - Stormwater Construction
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60100
OTHER SALARIES TOTAL SALARIES
70,429 70,429
61,292 61,292
-
-
-
63015 63020 63025 63035 63050
EMPLOYER PAYROLL TAXES WORKERS' COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY TOTAL TRAVEL EXPENSES
5,388 380 5,282 6,449 431 17,930
5,220 278 1,738 5,740 340 13,316
-
-
-
65130 65190 65220
HAZARDOUS MATERIAL MANAGEMENT CONTRACTUAL SERVICES LEGAL SERVICE TOTAL CONTRACTUAL
27,000 15,000
26,028 -
-
-
-
42,000
26,028
-
-
-
-
-
-
-
-
70145
CBDG GRANT TOTAL GRANT EXPENSES
72050 72060
STORMWATER GRANT AWARDS CARRYOVER SW GRANT AWARDS TOTAL STORMWATER GRANT AWARDS
200,000 170,000 370,000
13,430 18,833 32,263
-
-
-
81105
LAND ACQUISITION TOTAL LAND ACQUISITION
414,000 414,000
-
-
-
-
84003 84004 84005 84006 84007 84008
WATER QUALITY (NPDES II) WALNUT CREEK WATERSHED MAIN CHANNEL INFRASTR IMPROVE MO RIVER DEGRADATION STUDY CROSS ROADS HIGHWAY FLOODING TOTAL PROJECTS
5,000 350,000 10,000 200,000 500,000 1,065,000
1,672 0 10,000 123,292 134,964
-
-
-
1,979,359
267,863
-
-
-
TOTAL STORMWATER CONSTR FUND Reclassified as Fund 2950 - Stormwater Construction Fund
Page 245
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
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Page 246
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
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Page 247
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 6100 - Shiloh Springs Golf Course Fund Fund Type -6 - Enterprise Funds Function - 95 - Enterprise Funds Department - 9500 - Shiloh Springs Golf Course
Account
Title
56110
BANK INTEREST TOTAL INTEREST/DIVIDENDS
56210 56211 56212 56213 56214 56215 56216 56220 56221 56230 56231 56232 56240 56241 56242 56243 56250 56251 56252 56253 56254 56260 56261 56262 56263 56264
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
-
15 15
10 10
225 225
270 270
GREEN FEES GF - 18 HOLE GF - 9 HOLE GF - SENIOR GF - JUNIOR GF - TWILIGHT/WINTER GF - TOURNAMENT CART RENTAL CART RENTAL MEMBERSHIPS MEMBER - MEMBERSHIPS MEMBER - CLUB CARDS PRO SHOP REVENUE PRO SHOP - MERCHANDISE PRO SHOP - LEAGUE DUES PRO SHOP - CASH BACK FOOD & BEVERAGE REVENUE F&B - FOOD F&B - BEVERAGE F&B - BEER F&B - LIQUOR GOLF COURSE BANQUETS BANQUET - ROOM RENTAL BANQUET - FOOD BANQUET - BEER BANQUET - LIQUOR TOTAL OPERATING REVENUE
110,500 29,750 15,300 2,550 23,800 22,100 142,250 55,250 69,300 10,200 2,550 34,300 28,600 44,200 5,100 12,705 3,630 1,485 330 613,900
54,549 37,196 21,196 3,364 19,588 15,040 124,445 50,570 33,946 23,368 18,439 43,489 7,111 2,324 10,189 1,716 466,529
65,600 55,350 26,650 3,250 28,700 26,650 145,000 55,000 60,000 11,000 3,000 29,900 21,850 56,350 8,500 3,610 13,250 2,500 300 616,460
65,600 55,350 26,650 3,250 28,700 26,650 145,000 55,000 60,000 11,000 3,000 29,900 21,850 56,350 8,500 3,610 13,250 2,500 300 616,460
65,600 55,350 26,650 3,250 28,700 26,650 145,000 55,000 60,000 11,000 3,000 29,900 21,850 56,350 8,500 3,610 13,250 2,500 300 616,460
56310 56320 56330 56331 56332 56333 56334 56340 56345 56350 56360 56370
MISCELLANEOUS RENT GOLF COURSE BANQUETS BANQUET - ROOM RENTAL BANQUET - FOOD BANQUET - BEER BANQUET - LIQUOR GOLF COURSE PROGRAM FEES GOLF COURSE LESSONS FEES GOLF COURSE ADVERTISING PGA SERVICE EQUIPMENT RENTALS TOTAL OTHER REVENUE
6,004 1,524 8,000 3,000 3,500 1,200 12,000 35,228
500 1,500 8,300 1,420 177 8,534 20,431
150 1,500 9,000 3,000 3,500 500 12,000 29,650
56,350 8,500 9,000 3,000 3,500 500 12,000 92,850
150 1,500 9,000 3,000 3,500 500 12,000 29,650
58023 58520
TRANSFERS IN - FUND 2900 TRANSFERS OUT - FUND 3000 TOTAL TRANSFERS
247,950 247,950
147,950 147,950
70,000 70,000
95,000 95,000
95,000 95,000
Page 248
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 6100 - Shiloh Springs Golf Course Fund Fund Type -6 - Enterprise Funds Function - 95 - Enterprise Funds Department - 9500 - Shiloh Springs Golf Course
Account 59110 59120 59130 59140 59150
Title CASH CARRYOVER-NON-SPENDABLE CASH CARRYOVER-RESTRICTED CASH CARRYOVER-COMMITTED CASH CARRYOVER-ASSIGNED CASH CARRYOVER-UNASSIGNED TOTAL CASH CARRYOVER
TOTAL SHILOH SPRINGS GOLF COURSE
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
60,100 60,100
-
85,000 85,000
51,000 51,000
50,091 50,091
957,178
634,926
801,120
855,535
791,471
Page 249
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 6100 - Shiloh Springs Golf Course Fund Fund Type -6 - Enterprise Funds Function - 95 - Enterprise Funds Department - 9500 - Shiloh Springs Golf Course
Account
Title
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
95010 95015 95020 95030 95050
OTHER SALARIES GOLF LESSONS SALARIES SHILOH GROUNDS CREW SHILOH CLUBHOUSE SALARIES SHILOH P/T OVERTIME TOTAL SALARIES
209,848 3,600 64,000 64,400 3,045 344,893
195,694 2,114 66,321 53,140 1,350 318,619
213,753 2,500 64,000 62,500 3,200 345,953
212,340 2,500 64,000 62,500 3,200 344,540
209,201 2,500 64,000 62,500 3,200 341,401
95110 95120 95130 95140 95150
EMPLOYER PAYROLL TAXES WORKERS COMPENSATION LAGERS HEALTH INSURANCE LIFE/DISABILITY INSURANCE TOTAL FRINGE BENEFITS
27,002 6,036 26,473 38,696 2,160 100,367
24,131 5,854 15,187 38,969 1,434 85,575
27,542 6,115 17,120 40,527 2,160 93,464
27,542 6,115 17,120 40,527 2,160 93,464
26,117 6,135 19,141 39,988 1,931 93,312
95220 95230
BANK CHARGES CREDIT CARD EXPENSE TOTAL FEES
500 7,000 7,500
410 6,715 7,126
500 6,000 6,500
500 6,000 6,500
500 6,000 6,500
95310 95311 95312 95313 95320
FOOD & BEVERAGE-COST OF GOODS FOOD - COGS BEER - COGS LIQUOR - COGS PRO SHOP-COST OF GOODS TOTAL COST OF GOODS SOLD
23,800 15,300 3,400 50,000 92,500
24,440 14,001 1,690 45,200 85,331
22,125 14,000 1,875 48,500 86,500
22,125 14,000 1,875 48,500 86,500
22,125 14,000 1,875 48,500 86,500
95410 95420 95430 95440 95450 95460 95465 95470 95475 95480 95485 95499
OFFICE SUPPLIES OTHER SUPPLIES SHOP SUPPLIES FOOD & BEVERAGE SUPPLIES PRO SHOP SUPPLIES ADVERTISING GAS & OIL OTHER INSURANCE GOLF CART GPS SERVICE PGA SERVICE EQUIPMENT FOR RENTALS SHILOH RCPTS (OVER)/UNDER TOTAL OPERATING EXPENSES
1,000 500 1,000 2,125 1,575 12,500 19,000 12,500 5,460 1,100 5,000 61,760
160 25 275 3,100 850 11,168 11,501 12,500 5,460 990 2,975 49,004
500 500 1,000 4,000 1,500 13,000 18,000 12,500 5,460 1,000 5,000 62,460
500 500 1,000 4,000 1,500 13,000 18,000 12,500 5,460 1,000 5,000 62,460
500 500 1,000 4,000 1,500 13,000 18,000 12,500 5,460 1,000 5,000 62,460
95510 95520 95530 95540
BUILDING MAINTENANCE OTHER EQUIPMENT REPAIR REPAIR & UPGRADE GROUNDS CARE TOTAL REPAIR & MAINTENANCE
4,000 10,000 2,000 54,000 70,000
2,150 7,395 1,490 28,215 39,250
4,000 10,000 2,000 54,000 70,000
4,000 10,000 2,000 54,000 70,000
4,000 10,000 2,000 54,000 70,000
Page 250
Platte County Commission Adopted Budget For the Year Ended December 31, 2014 Fund - 6100 - Shiloh Springs Golf Course Fund Fund Type -6 - Enterprise Funds Function - 95 - Enterprise Funds Department - 9500 - Shiloh Springs Golf Course Capital
Account
Title
95610 95620 95630 95640 95650 95660
ELECTRIC WATER TELEPHONE SEWAGE SANITATION PROPANE TOTAL UTILITIES
95720 95730 95760
OTHER TRAINING MILEAGE DUES TOTAL TRAINING & DUES
2013 Amend Commission Approved
2013 Forecast
2014 Department Requested
2014 Auditor Recommended
2014 Commission Adopted
36,000 10,500 4,800 4,500 4,000 5,100 64,900
34,000 7,385 4,215 4,200 3,636 4,125 57,561
34,000 7,500 5,100 5,700 1,800 4,800 58,900
34,000 7,500 5,100 5,700 1,800 4,800 58,900
34,000 7,500 4,545 5,700 1,800 4,800 58,345
500 535 2,200 3,235
231 531 2,191 2,953
500 450 2,000 2,950
500 450 2,000 2,950
500 450 2,000 2,950
TOTAL SHILOH OPERATING
745,155
645,419
726,727
725,314
721,468
SHILOH CAPITAL IMPROVEMENTS EQUIPMENT EQUIPMENT RENTAL TOTAL CAPITAL
208,000 2,239 210,239
97,612 2,238 99,850
70,000 70,000
70,000 70,000
70,000 70,000
TOTAL SHILOH CAPITAL
210,239
99,850
70,000
70,000
70,000
95950
INTEREST EXPENSE TOTAL INTEREST EXPENSE
-
-
-
-
-
95980
DEPRECIATION EXPENSE TOTAL DEPRECIATION EXPENSE
-
-
-
-
-
955,394
745,269
796,727
795,314
791,468
95920 95930 95940
TOTAL SHILOH SPRINGS GOLF COURSE
Page 251
Platte County Commission Adopted Budget For the Year Ended December 31, 2014
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Platte County Missouri 2014 Commission Approved Budget January 6, 2014
APPROPRIATION ORDER
Whereas the Commission is advised the Budget for the year 2014 has been prepared and adopted in accordance with the County Budget Law (Section 50.525 to 50.745, RSMo 2000) and has been made available for public distribution between the 23rd day of December, 2013 and the 6th day of January, 2014, with the public notice set forth on the 6th day of January, 2014. And the Commission, being advised in the premises, orders that said budget estimate be spread upon the records of this Commission, and recorded on the records of this Commission, the same as above set out, is hereby approved and adopted this 6th day of January, 2014, as the Commission approved budget for Platte County, Missouri, for the year 2014. And it is further ordered, adjudged and decreed that $17,181,034 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the General Fund, Fund 1001, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the General Reserve Fund, Fund 1005, for 2014. And it is further ordered, adjudged and decreed that $222,414 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Sheriffâ&#x20AC;&#x2122;s PassThrough Grants Fund, Fund 1100, for 2014.
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And it is further ordered, adjudged and decreed that $47,068 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Sheriff’s Justice Assistance Grant (JAG) Fund, Fund 1110, for 2014. And it is further ordered, adjudged and decreed that $16,156 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the ARRA Sheriff’s Justice Assistance Grant (JAG) Fund, Fund 1111, for 2014. And it is further ordered, adjudged and decreed that $362,744 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Sheriff’s State Justice Assistance Grant (JAG) Fund, Fund 1112, for 2014. And it is further ordered, adjudged and decreed that $98,004 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Missouri Cyber Crimes Grant Fund, Fund 1120, for 2014. And it is further ordered, adjudged and decreed that $176,114 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the ARRA MO Cyber Crimes Grant Fund, Fund 1121, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the ARRA Drug Enforcement Grant Fund, Fund 1130, for 2014. And it is further ordered, adjudged and decreed that $10,000 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Local Law Enforcement Block Grant (LLEBG) Fund, Fund 1150, for 2014. And it is further ordered, adjudged and decreed that $40,000 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Construction Zone Traffic Fund, Fund 1160, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the FEMA Grant Fund, Fund 1180, for 2014.
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And it is further ordered, adjudged and decreed that $242,477 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Emergency Preparedness Fund, Fund 1190, for 2014. And it is further ordered, adjudged and decreed that $27,950 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Animal Control Fund, Fund 1195, for 2014. And it is further ordered, adjudged and decreed that $26,000 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Loss Control Committee Fund, Fund 1400, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Catastrophic Disaster Fund, Fund 1500, for 2014. And it is further ordered, adjudged and decreed that $1,205,694 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Assessor Fund, Fund 2100, for 2014. And it is further ordered, adjudged and decreed that $60,000 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Assessorâ&#x20AC;&#x2122;s Technology Fund, Fund 2110, for 2014. And it is further ordered, adjudged and decreed that $217,656 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Collectorâ&#x20AC;&#x2122;s Tax Maintenance Fund, Fund 2200, for 2014. And it is further ordered, adjudged and decreed that $38,055 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Recorder User Fee Fund, Fund 2300, for 2014. And it is further ordered, adjudged and decreed that $60,000 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Recorder Technology Fund, Fund 2310, for 2014.
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And it is further ordered, adjudged and decreed that $29,100 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Victims of Domestic Violence Fund, Fund 2400, for 2014. And it is further ordered, adjudged and decreed that $16,198 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the LINC Fund, Fund 2450, for 2014. And it is further ordered, adjudged and decreed that $5,719 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Prosecuting Attorney Training Fund, Fund 2600, for 2014. And it is further ordered, adjudged and decreed that $11,660 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Prosecuting Attorney Delinquent Tax Fund, Fund 2610, for 2014. And it is further ordered, adjudged and decreed that $20,000 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Prosecuting Attorney Administrative Handling Cost Fund, Fund 2620, for 2014. And it is further ordered, adjudged and decreed that $8,000 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Sheriff’s P.O.S.T. Commission Training Fund, Fund 2700, for 2014. And it is further ordered, adjudged and decreed that $20,000 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Sheriff’s Training Fund, Fund 2710, for 2014. And it is further ordered, adjudged and decreed that $1,142,449 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Sheriff’s 911 Telephone Fund, Fund 2720, for 2014. And it is further ordered, adjudged and decreed that $20,000 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Sheriff’s DEA Federal Task Force Forfeitures Fund, Fund 2730, of 2014.
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And it is further ordered, adjudged and decreed that $7,040 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Sheriff’s Special Projects Fund, Fund 2740, for 2014. And it is further ordered, adjudged and decreed that $50,000 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Sheriff’s Civil Fees Fund, Fund 2750, for 2014. And it is further ordered, adjudged and decreed that $61,112 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Sheriff’s Revolving Fund, Fund 2760, for 2014. And it is further ordered, adjudged and decreed that $6,500 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Sheriff’s Inmate Prisoner Detention Security Fund, Fund 2770, for 2014. And it is further ordered, adjudged and decreed that $209,738 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Transient Guest Tax Fund, Fund 2800, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the KCP&L Inspection Fund, Fund 2850, for 2014. And it is further ordered, adjudged and decreed that $5,164,361 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Parks and Recreation Sales Tax Fund, Fund 2900, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Parks and Recreation Future Maintenance and Improvement Fund, Fund 2905, for 2014. And it is further ordered, adjudged and decreed that $2,413,917 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Storm Water Fund, Fund 2950, for 2014.
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And it is further ordered, adjudged and decreed that $4,154,904 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Public Works Fund, Fund 3000, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax County Public Works Fund, Fund 3100, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax County Projects Fund, Fund 3101, for 2014. And it is further ordered, adjudged and decreed that $425,000 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax Kansas City Projects Fund, Fund 3102, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax Humphreyâ&#x20AC;&#x2122;s Bridge Fund, Fund 3103, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax â&#x20AC;&#x201C; Weston Fund, Fund 3104, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax Platte City Fund, Fund 3105, for 2014. And it is further ordered, adjudged and decreed that $189,476 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax Farley Special Road District Fund, Fund 3106, for 2014. And it is further ordered, adjudged and decreed that $5,580 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax Weston Special Road District Fund, Fund 3107, for 2014.
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And it is further ordered, adjudged and decreed that $9,028 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax Camden Point Fund, Fund 3108, for 2014. And it is further ordered, adjudged and decreed that $56,879 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax – Dearborn Fund, Fund 3109, for 2014. And it is further ordered, adjudged and decreed that $66,934 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax – Edgerton Fund, Fund 3110, for 2014. And it is further ordered, adjudged and decreed that $1,669 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax – Farley Fund, Fund 3111, for 2014. And it is further ordered, adjudged and decreed that $98,054 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax – Ferrelview Fund, Fund 3112, for 2014. And it is further ordered, adjudged and decreed that $36,441 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax Houston Lake Fund, Fund 3113, for 2014. And it is further ordered, adjudged and decreed that $7,382 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax – Iatan Fund, Fund 3114, for 2014. And it is further ordered, adjudged and decreed that $173,150 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax – Northmoor Fund, Fund 3115, for 2014. And it is further ordered, adjudged and decreed that $178,609 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax – Parkville Fund, Fund 3116, for 2014.
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And it is further ordered, adjudged and decreed that $100,829 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax Platte Woods Fund, Fund 3117, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax – Ridgely Fund, Fund 3118, for 2014. And it is further ordered, adjudged and decreed that $122,893 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax – Riverside Fund, Fund 3119, for 2014. And it is further ordered, adjudged and decreed that $55,289 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax – Tracy Fund, Fund 3120, for 2014. And it is further ordered, adjudged and decreed that $654,879 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax Weatherby Lake Fund, Fund 3121, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax – Lake Waukomis Fund, Fund 3122, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax – Parkville Special Road District Fund, Fund 3123, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Road Sales Tax – Platte City Special Road District Fund, Fund 3124, for 2014. And it is further ordered, adjudged and decreed that $452,055 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Golf Course COP Bond Fund, Fund 4100, for 2014.
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And it is further ordered, adjudged and decreed that $2,500,150 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Parks and Recreation Bond Fund, Fund 4200, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Transportation Series 2012 Bond Fund, Fund 4304, for 2014. And it is further ordered, adjudged and decreed that $45,300 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Neighborhood 22 Sewer District Bond Fund, Fund 4400, for 2014. And it is further ordered, adjudged and decreed that $87,480 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Sewer 23 Bond Fund, Fund 4410, for 2014. And it is further ordered, adjudged and decreed that $27,000 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Hoover Sewer District Bond Fund, Fund 4420, for 2014. And it is further ordered, adjudged and decreed that $27,000 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Peback Sewer District Bond Fund, Fund 4430, for 2014. And it is further ordered, adjudged and decreed that $536,150 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the National NID Series 2010 Project Bond Fund, Fund 4440, for 2014. And it is further ordered, adjudged and decreed that $1,034,195 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Parkville Commons NID 2011/2013 Refunded Bond Fund, Fund 4450, for 2014. And it is further ordered, adjudged and decreed that $883,405 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Hwy 45/Crooked Road NID Project Bond Fund, Fund 4460, for 2014.
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And it is further ordered, adjudged and decreed that $1,954,225 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Zona Rosa TDD Bond Fund, Fund 4900, for 2014. And it is further ordered, adjudged and decreed that $416,326 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Capital Projects Fund, Fund 5000, for 2014. And it is further ordered, adjudged and decreed that $1,114,381 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Capital Projects Fund â&#x20AC;&#x201C; Radios Fund, Fund 5050, for 2014. And it is further ordered, adjudged and decreed that $4,534,061 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Countywide Roads Construction Fund, Fund 5100, for 2014. And it is further ordered, adjudged and decreed that $113,594 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Kansas City Roads Construction Fund, Fund 5150, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the 136th Street / N Highway Construction Fund, Fund 5200, for 2014. And it is further ordered, adjudged and decreed that $490,000 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Community Center Capital Maintenance Fund, Fund 5300, for 2014. And it is further ordered, adjudged and decreed that $13,392,843 is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Community Center Construction Fund, Fund 5305, for 2014. And it is further ordered, adjudged and decreed that $-0- is hereby appropriated, apportioned, and set aside for the payment of proposed expenditures of the Storm Water Construction Fund, Fund 5350, for 2014.
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Platte County Commission Adopted Budget For the Year Ended December 31, 2014
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