2006 Actual 0001-0210-30-0-0000-602 WELFARE REIMBURSEMENTS 0001-0210-30-0-0000-603 STATE PROPERTY PILOT 0001-0210-30-0-0000-604 CIRCUIT COURT RENT & FEES 0001-0210-30-0-0000-605 PA 217A PRIVATE SCHOOLS 0001-0210-30-0-0000-606 STATE PILOT HOUSING AUTHORITIES 0001-0210-30-0-0000-607 SURPLUS REVENUE SHARING 0001-0210-30-0-0000-608 STATE PILOT HOSPITALS & COLLEGES 0001 0210 30 0 0000 609 0001-0210-30-0-0000-609 LOCIP REIMBURSEMENT 0001-0210-30-0-0000-610 TOWN AID TO ROADS 0001-0210-30-0-0000-611 PA 461 MANUFACTURERS EQUIPMENT 0001-0210-30-0-0000-612 PA9761 PILOT MUNICIPAL AIRPORTS 0001-0210-30-0-0000-613 TRANSPORTATION NON-PUBLIC SCHOOLS 0001-0210-30-0-0000-614 INTEREST SUBSIDY-SCHOOL BOND PA 695 0001-0210-30-0-0000-617 STATE PEQUOT/MOHEGAN GRANT 0001-0210-30-0-0000-618 REIMBURSED EXEMPTIONS 0001-0210-30-0-0000-619 TAXES-BOATS 0001-0210-30-0-0000-620 TRANSIT DISTRICT
2007 Actual
2008 Budget
-
Change
City Manager Budget
406
574,678
594,620
597,099
596,566
513,722
-13.96%
513,686
599,270
584,244
655,260
292,122
635,760
-2.98%
635,760
143,695
130,149
130,000
113,071
100,000
-23.08%
130,000
127,287
126,951
125,000
125,000
817,075
-
1,028,034
1,264,193
1,359,210
529,441
522,742
529,441
329,029
334,481
329,030
1,078,106
915,698
758,326
-
-
-
-
Percent
7,919
-
-
Department Budget Request
2008 Actual
n/a
-
-
-100.00%
-
-
n/a
-
781,334
-42.52%
1,008,148
522,742
-1.27%
533,407
336,103
336,103
2.15%
336,103
560,646
740,552
-2.34%
740,552
1,396,287 -
-
7,500 233,671
n/a
7,500 211,603
230,642
228,059
233,850
-
162,700
78,012
33,160
-
1,393,203
1,399,571
1,511,997
467,748
1,418,013
-6.22%
1,418,840
712,390
728,015
825,267
734,161
700,661
-15.10%
740,133
8,815
8,815
8,815
8,815
8,815
0.00%
8,815
178,005
181,474
159,837
79,883
207,837
30.03%
207,837
-
-0.08% -100.00%
-
2006 Actual 0001-0210-30-0-0000-625 POLICE PARKING TAG FUND 0001-0210-30-0-0000-626 LICENSES & PERMITS 0001-0210-30-0-0000-627 ADMIN. CHARGES 0001-0210-30-0-0000-628 ABANDONED MOTOR VEHICLES 0001-0210-30-0-0000-629 ALARM FEES 0001-0210-30-0-0000-630 BUILDING DEPARTMENT FEES 0001-0210-30-0-0000-631 RECYCLING TIPPING FEES 0001-0210-30-0-0000-632 ANTI BLIGHT FINES ANTI-BLIGHT 0001-0210-30-0-0000-635 CITY CLERK FEES 0001-0210-30-0-0000-641 TAX COLLECTOR INTEREST 0001-0210-30-0-0000-642 TAX COLLECTOR LIEN FEES 0001-0210-30-0-0000-650 HEALTH LICENSES & FEES 0001-0210-30-0-0000-651 HEALTH REIMB SPECIAL PROJECTS 0001-0210-30-0-0000-656 RECREATION FEES 0001-0210-30-0-0000-657 FINES LOST & DAMAGED BOOKS 0001-0210-30-0-0000-669 TELECOMMUNICATIONS PERSONAL PROPERTY 0001-0210-30-0-0000-670 STATE EDUCATION ECS GRANT 0001-0210-30-0-0000-671
2007 Actual
2008 Budget
Department Budget Request
2008 Actual
Percent Change
City Manager Budget
11,487
13,374
17,500
7,116
12,000
-31.43%
12,000
6,708
5,597
6,500
2,630
8,400
29.23%
8,400
42,309
80,501
45,000
49,489
60,000
33.33%
60,000
2,470
4,570
2,500
175
12,875
10,375
15,000
8,650
12,000
-20.00%
12,000
603,491
615,471
750,000
472,769
625,000
-16.67%
625,000
57,113
41,256
55,000
10,332
40,000
-27.27%
40,000
-
-
-
-
-
-
-100.00%
n/a
-
-
2,068,159
2,373,003
2,100,000
1,166,506
1,750,000
-16.67%
1,750,000
1,264,606
1,216,132
1,250,000
563,823
1,250,000
0.00%
1,250,000
27,532
14,524
25,000
12,947
25,000
0.00%
25,000
73,104
72,584
80,000
60,479
80,000
0.00%
80,000
100,000
100,000
100,000
-
100,000
0.00%
100,000
3,590
6,109
4,500
4,793
6,000
33.33%
6,000
13,832
13,609
13,800
7,398
13,830
0.22%
13,830
406,611
364,639
406,611
-
406,611
0.00%
409,194
46,331,310
46,425,260
52,303,500
52,580,513
0.53%
53,330,362
24,801,884
BUILDING GRANTS 0001-0210-30-0-0000-674 TRANSPORTATION PUBLIC SCHOOLS 0001-0210-30-0-0000-675 SPECIAL EDUCATION 0001-0210-30-0-0000-676 EDUCATION OF THE BLIND 0001-0210-30-0-0000-677 FEDERAL GRANTS 0001-0210-30-0-0000-680 INCOME FROM INVESTMENT - GENERAL 0001-0210-30-0-0000-681 INCOME - BOND ACCOUNT 0001-0210-30-0-0000-685 AVIATION RENT & FEES 0001 0210 30 0 0000 686 0001-0210-30-0-0000-686 COST ALLOCATION ENTERPRISE FUNDS 0001-0210-30-0-0000-687 BOND LOAN REPAYMENTS 0001-0210-30-0-0000-691 INTEREST - COE ESTATE 0001-0210-30-0-0000-692 NARCOTICS TASK FORCE 0001-0210-30-0-0000-693 NRG CONTRACT 0001-0210-30-0-0000-695 OTHER REVENUE 0001-0210-30-0-0000-696 SALE OF SURPLUS PROPERTY 0001-0210-30-0-0000-698 BULKY WASTE FEES 0001-0210-30-0-0000-700 PARKING COMMISSION REVENUE 0001-0210-30-0-0000-701 YMCA REIMBURSEMENT
-
Department Budget Request -
-100.00%
City Manager Budget -
945,534
-
948,898
0.36%
921,101
994,500
-
910,000
-8.50%
960,000
2006 Actual 1,502,421
2007 Actual 1,494,038
2008 Budget 814,622
1,006,551
925,311
939,267
910,000
2008 Actual
-
93,732
-
-
82,400
-
14,000
-
-
-
Percent Change
n/a n/a
82,400 -
1,107,703
1,311,260
1,250,000
560,067
1,000,000
-20.00%
1,000,000
288,292
560,048
400,000
65,333
400,000
0.00%
400,000
39,271
41,692
40,030
20,346
40,030
0.00%
40,030
1,518,845
1,572,005
1,535,768
-
1,581,841
3.00%
1,581,841
1,600,000
-
275,000
-82.81%
275,000
1,642,192
-
9,861
10,129
10,000
7,585
10,016
0.16%
10,016
18,429
13,200
20,000
11,769
20,000
0.00%
20,000
2,798,465
2,825,550
1,500,000
2,852,906
1,500,000
0.00%
1,500,000
814,315
403,392
505,000
59,345
100,000
-80.20%
550,000
158,977
49,222
150,000
28,866
100,000
-33.33%
150,000
72,921
75,802
100,000
33,038
75,000
-25.00%
75,000
92,626
97,431
100,000
64,169
100,000
0.00%
100,000
25,825
20,478
25,850
-
-
-100.00%
-
2006 Actual 0001-0210-30-0-0000-731 MISC. REVENUE - RENTAL INCOME 0001-0210-30-0-0000-732 MISC. REVENUE - POLICE 0001-0210-30-0-0000-733 MISC. REVENUE - ENGINEERING 0001-0210-30-0-0000-734 MISC. REVENUE - PLANNING & IWWC 0001-0210-30-0-0000-735 E911 QUARTERLY 0001-0210-30-0-0000-736 MISC. REVENUE - ASSESS & COLLECT 0001-0210-30-0-0000-737 MISC. REVENUE - FIRE 0001-0210-30-0-0000-738 MISC REVENUE - RECYCLING MISC. 0001-0210-30-0-0000-739 MISC. REVENUE - PURCHASING 0001-0210-30-0-0000-740 MISC. REVENUE - THOM EDISON REIMB 0001-0210-30-0-0000-741 MISC. REVENUE - PERSONNEL 0001-0210-30-0-0000-742 MISC. REVENUE - AIRCRAFT REGISTRATI 0001-0210-30-0-0000-743 MISC. REVENUE - STATEWIDE TELECOM 0001-0260-30-0-0000-661 PROPERTY TAXES CURRENT YEAR 0001-0260-30-0-0000-662 PROPERTY TAXES PRIOR YEARS 0001-0260-30-0-0000-663 PROPERTY TAXES MV SUPPLEMENT 0001-0260-30-0-0000-664 PROPERTY TAXES SUSPENSE
2007 Actual
2008 Budget
Department Budget Request
2008 Actual
Percent Change
City Manager Budget
-
-
50,000
26,295
50,000
0.00%
50,000
-
-
25,000
10,220
25,000
0.00%
25,000
-
-
15,000
11,745
15,000
0.00%
150,000
-
-
20,000
8,365
22,000
10.00%
22,000
-
-
60,000
46,754
60,000
0.00%
60,000
-
-
10,000
1,453
10,000
0.00%
10,000
-
-
1,500
2,505
2,000
33.33%
2,000
-
-
15 000 15,000
25 973 25,973
20 000 20,000
33.33%
20 000 20,000
-
-
10,000
11,970
15,000
50.00%
15,000
-
-
26,000
3,972
26,000
0.00%
26,000
-
-
5,000
-
5,000
0.00%
5,000
-
-
1,500
3,520
3,000
100.00%
3,000
-
-
6,000
-
6,000
0.00%
6,000
92,142,293
99,675,382
99,725,345
77,141,058
111,941,280
100,597,346
2,456,008
2,696,005
1,700,000
1,542,740
2,000,000
17.65%
2,500,000
1,335,304
1,345,645
1,400,000
732,175
1,400,000
0.00%
1,400,000
22,025
18,134
25,000
3,757
25,000
0.00%
25,000
2006 Actual 166,120,002
2007 Actual 173,423,964
2008 Budget 177,517,852
2008 Actual 115,030,320
Department Budget Request 185,944,529
Percent Change 4.75%
City Manager Budget 176,920,904
City of Meriden Fiscal Year 2008/2009 Mill Rate Calculation CITY MANAGER BUDGET First District
Second District
Total
Budgeted Revenues Other Than Current Taxes:
Revenue Other Than Taxes Taxes Prior Year Taxes MV Supp Suspense
72,398,558 2,500,000 1,400,000 25,000 76,323,558
Total Revenue Other Than Current Taxes
Budgeted Expenditures: City Expenditures Second Taxing District
78,907,136 (1,557,096)
Board of Education Expenditures
98,014,522
Total Expenditures
175,364,562
1,557,096
176,921,658
99,041,004
1,557,096
100,598,100
Current Taxes needed to Balance the Budget
Net Taxable 2007 Grand List
1,557,096
3,641,850,679
829,662,770 input here
FY 2008 - 2009 Calculated Mill Rate
Current 2007-2008 Mill Rate
27.96
1.93
27.96
2.31
Mill Rate Increase (Decrease)
State Aid Equivalent Mill - State Aid
0.00 0.0%
$
Collection Rate =
97.25
(0.38) -16.5%
60,942,650 17.21
first
LEVY: assessments taxes
3,641,850,679 101,841,650
budgeted billed 97.25 %
second 829,662,770 1,601,127
103,442,777 100,598,100
compare to above
100,598,100
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
2008 Actual to 2/26
Department Budget Request
City Manager Budget
REVENUES 602
WELFARE REIMBURSEMENTS
7,919
406
603
STATE PROPERTY PILOT
574,678
594,620
597,099
596,566
513,722
513,686
604
CIRCUIT COURT RENT & FEES
599,270
584,244
655,260
292,122
635,760
635,760
605
PA 217A PRIVATE SCHOOLS
143,695
130,149
130,000
113,071
100,000
130,000
606
STATE PILOT HOUSING AUTHORITIES
127,287
126,951
125,000
607
SURPLUS REVENUE SHARING
608
STATE PILOT HOSPITALS & COLLEGES
609
-
817,075
-
-
1,028,034
1,264,193
1,359,210
LOCIP REIMBURSEMENT
529,441
522,742
529,441
610
TOWN AID TO ROADS
329,029
334,481
329,030
611
PA 461 MANUFACTURERS EQUIPMENT
1,078,106
915,698
758,326
612
PA9761 PILOT MUNICIPAL AIRPORTS
613
TRANSPORTATION NON-PUBLIC SCHOOLS
230,642
228,059
614
INTEREST SUBSIDY-SCHOOL BOND PA 695
162,700
617
STATE PEQUOT/MOHEGAN GRANT
618
REIMBURSED EXEMPTIONS
619
TAXES-BOATS
620
TRANSIT DISTRICT
625
POLICE PARKING TAG FUND
-
-
-
-
-
-
-
781,334
1,008,148
522,742
533,407
336,103
336,103
336,103
560,646
740,552
740,552
-
7,500
7,500
233,850
-
233,671
211,603
78,012
33,160
-
1,393,203
1,399,571
1,511,997
467,748
1,418,013
1,418,840
712,390
728,015
825,267
734,161
700,661
740,133
8,815
8,815
8,815
8,815
8,815
8,815
178,005
181,474
159,837
79,883
207,837
207,837
11,487
13,374
17,500
7,116
12,000
12,000
-
-
-
1,396,287
125,000
-
-
-
object code
626
CITY OF MERIDEN 2009 PROPOSED BUDGET LICENSES & PERMITS
2006 Actual 6,708
2007 Actual 5,597
2008 Budget 6,500
Actual to 2/26
2008 2,630
Department Budget Request 8,400
City Manager Budget 8,400
42,309
80,501
45,000
49,489
60,000
60,000
2,470
4,570
2,500
175
-
-
12,875
10,375
15,000
8,650
12,000
12,000
603,491
615,471
750,000
472,769
625,000
625,000
57,113
41,256
55,000
10,332
40,000
40,000
-
-
-
-
-
-
REVENUES (continued)
627
ADMIN. CHARGES
628
ABANDONED MOTOR VEHICLES
629
ALARM FEES
630
BUILDING DEPARTMENT FEES
631
RECYCLING TIPPING FEES
632
ANTI-BLIGHT FINES
635
CITY CLERK FEES
2,068,159
2,373,003
2,100,000
1,166,506
1,750,000
1,750,000
641
TAX COLLECTOR INTEREST
1,264,606
1,216,132
1,250,000
563,823
1,250,000
1,250,000
642
TAX COLLECTOR LIEN FEES
27,532
14,524
25,000
12,947
25,000
25,000
650
HEALTH LICENSES & FEES
73,104
72,584
80,000
60,479
80,000
80,000
651
HEALTH REIMB SPECIAL PROJECTS
100,000
100,000
100,000
-
100,000
100,000
656
RECREATION FEES
3,590
6,109
4,500
4,793
6,000
6,000
657
FINES LOST & DAMAGED BOOKS
13,832
13,609
13,800
7,398
13,830
13,830
669
TELECOMMUNICATIONS PERSONAL PROPERTY
406,611
364,639
406,611
-
406,611
409,194
670
STATE EDUCATION ECS GRANT
46,331,310
46,425,260
52,303,500
52,580,513
53,330,362
671
BUILDING GRANTS
1,502,421
1,494,038
814,622
-
674
TRANSPORTATION PUBLIC SCHOOLS
1,006,551
925,311
945,534
-
24,801,884
948,898
921,101
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
675
SPECIAL EDUCATION
676
EDUCATION OF THE BLIND
2006 Actual 939,267
2007 Actual 910,000
2008 Budget 994,500
2008 -
Department Budget Request 910,000
City Manager Budget 960,000
Actual to 2/26
-
93,732
-
-
82,400
82,400
-
14,000
-
-
-
-
REVENUES (continued)
677
FEDERAL GRANTS
680
INCOME FROM INVESTMENT - GENERAL
681
INCOME - BOND ACCOUNT
685
AVIATION RENT & FEES
686
1,107,703
1,311,260
1,250,000
560,067
1,000,000
1,000,000
288,292
560,048
400,000
65,333
400,000
400,000
39,271
41,692
40,030
20,346
40,030
40,030
COST ALLOCATION ENTERPRISE FUNDS
1,518,845
1,572,005
1,535,768
-
1,581,841
1,581,841
687
BOND LOAN REPAYMENTS
1,642,192
1,600,000
-
275,000
275,000
691
INTEREST - COE ESTATE
9,861
10,129
10,000
7,585
10,016
10,016
692
NARCOTICS TASK FORCE
18,429
13,200
20,000
11,769
20,000
20,000
693
NRG CONTRACT
2,798,465
2,825,550
1,500,000
2,852,906
1,500,000
1,500,000
695
OTHER REVENUE
814,315
403,392
750,000
212,118
359,000
944,000
696
SALE OF SURPLUS PROPERTY
158,977
49,222
150,000
28,866
100,000
150,000
698
BULKY WASTE FEES
72,921
75,802
100,000
33,038
75,000
75,000
700
PARKING COMMISSION REVENUE
92,626
97,431
100,000
64,169
100,000
100,000
701
YMCA REIMBURSEMENT
25,825
20,478
25,850
-
661
PROPERTY TAXES CURRENT YEAR
92,142,293
99,675,382
99,725,345
77,141,058
111,858,479
100,598,100
662
PROPERTY TAXES PRIOR YEARS
2,456,008
2,696,005
1,700,000
1,542,740
2,000,000
2,500,000
-
-
-
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
663
PROPERTY TAXES MV SUPPLEMENT
664
PROPERTY TAXES SUSPENSE
TOTAL REVENUES
2006 Actual 1,335,304
2007 Actual 1,345,645
2008 Budget 1,400,000
Actual to 2/26
2008 732,175
Department Budget Request 1,400,000
City Manager Budget 1,400,000
22,025
18,134
25,000
3,757
25,000
25,000
166,120,002
173,423,964
177,517,852
115,030,319
185,861,728
176,921,658
REVENUE OTHER THAN TAXES
72,398,558
STATE AID
60,942,650
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
EXPENDITURES GENERAL GOVERNMENT: COUNCIL (0110)
188
ELECTED OFFICIALS
67,588
65,388
65,747
38,476
67,750
67,750
190
ADMINISTRATIVE
34,503
36,615
36,452
23,516
37,982
37,982
196
MME
78,785
84,104
56,536
38,310
58,832
58,832
351
CODFICATION
4,650
2,775
5,000
-
10,000
5,000
386
COUNCIL OF GOVERNMENTS
-
15 400 15,400
16 700 16,700
16 100 16,100
25 000 25,000
16 700 16,700
440
OFFICE EXPENSE & SUPPLIES
27,791
27,442
30,000
13,605
35,000
30,000
640
MEETINGS & MEMBERSHIPS
22,215
6,426
22,000
2,100
25,000
22,000
235,532
238,149
232,435
132,107
259,564
238,264
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
CITY MANAGER (0120)
190
ADMINISTRATIVE
3,162
249,533
247,946
159,629
257,710
78,210
80,260
82,410
53,204
85,759
-
-
89,513
54,678
91,103
DEFERRED COMPENSATION
8,337
10,144
12,500
7,981
12,500
352
VEHICLE MAINTENANCE
6,430
6,120
4,800
3,220
5,400
390
MANAGEMENT NON UNION
-
-
50,000
-
50,000
440
OFFICE EXPENSE & SUPPLIES
8,850
18,517
13,000
8,732
15,000
640
MEMBERSHIP & MEETINGS
41 390 41,390
43 795 43,795
42 780 42,780
42 581 42,581
45 790 45,790
257,710 85,759 91,103 12,500 4,800 50,000 15,000 45 790 45,790
196
MME
198
SUPERVISORS
240
146,379
408,369
542,949
330,025
563,262
562,662
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
LEGAL (0130)
190
ADMINISTRATIVE
114,374
109,153
117,253
74,505
119,754
119,754
196
MME
145,226
158,151
111,240
73,012
117,664
117,664
198
SUPERVISORS
122,174
136,497
38,700
28,985
45,551
45,551
240
DEFERRED COMPENSATION
-
-
-
-
-
356
STREETS & SIDEWALKS
8,015
13,309
15,000
2,585
30,000
15,000
357
ATTORNEY FEES
534,338
286,089
300,000
268,166
590,000
350,000
358
FORECLOSURE ACTIVITIES
3,739
(22,719)
15,000
596
25,000
15,000
390
ASSESSMENT APPEALS FEES
14,575
-
25,000
-
50,000
25,000
440
OFFICE EXPENSE & SUPPLIES
21,370
23,088
20,000
12,627
27,000
20,000
640
MEMBERSHIPS & MEETINGS
2,492
5,052
4,980
4,957
5,300
4,980
966,500
708,620
647,173
465,433
1,010,269
712,949
196
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
87,609
141,508
City Manager Budget
PERSONNEL (0150)
190
ADMINISTRATION
191
OVERTIME CONTINGENCY
196
MME
210
EAP SERVICES
357
129,455
136,500
135,671
141,508
-
-
-
-
-
-
45,011
46,254
47,467
29,765
49,400
49,400
7,224
7,854
10,000
6,615
9,000
9,000
ATTORNEY FEES
-
-
-
-
-
-
381
TRAINING
-
7
1,000
-
1,500
1,000
384
TUITION REIMBURSEMENT
8,835
11,119
12,000
3,385
15,000
10,000
391
ALCOHOL/DRUG TESTING
3 028 3,028
6 383 6,383
7 000 7,000
3 150 3,150
7 000 7,000
7 000 7,000
394
RECRUITMENT
-
-
-
-
-
-
440
OFFICE EXPENSE & SUPPLY
13,129
12,006
14,010
7,170
14,811
14,000
640
MEETINGS & MEMBERSHIPS
4,460
6,146
10,005
4,612
9,490
9,490
211,142
226,270
237,153
142,306
247,709
241,398
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
CITY CLERK (0170)
188
ELECTED OFFICIALS
69,025
70,359
71,958
45,665
72,353
72,353
191
OVERTIME CONTINGENCY
3,111
3,710
6,500
8,673
6,500
6,500
192
OTHER NON-UNION
30,336
30,184
33,986
42,280
38,170
33,670
196
MME
205,774
195,074
212,264
140,042
238,804
238,804
354
LAND RECORDS
94,723
82,783
90,000
89,618
90,000
90,000
355
VITAL STATISTICS
7,999
7,854
8,000
4,481
8,000
8,000
390
RESTORATION
2,500
1,683
-
-
2,500
-
440
OFFICE EXPENSE & SUPPLIES
18 628 18,628
21 997 21,997
19 000 19,000
8 566 8,566
19 000 19,000
19 000 19,000
640
MEMBERSHIPS & MEETINGS
3,637
4,237
3,570
1,547
3,570
3,570
435,734
417,881
445,278
340,872
478,897
471,897
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
MANAGEMENT INFORMATION SYS (0270)
190
ADMINISTRATIVE
86,832
92,050
91,491
59,288
95,773
95,773
191
OVERTIME CONTINGENCY
144
168
1,000
4
1,000
1,000
196
MME
157,144
167,839
133,583
83,654
139,185
139,185
198
SUPERVISORS
180,003
180,406
188,109
118,571
204,736
204,736
325
RENTALS
258,021
277,719
296,805
250,997
306,365
303,365
353
TELEPHONES
57,369
56,029
64,740
36,571
65,160
65,160
381
TRAINING
4,569
3,943
5,000
1,725
8,000
5,000
440
OFFICE EXPENSE & SUPPLIES
13 977 13,977
16 887 16,887
15 000 15,000
6 783 6,783
13 000 13,000
13 000 13,000
500
CAPITAL EQUIPMENT
-
-
-
-
-
-
510
SOFTWARE
11,584
9,828
13,000
8,096
15,000
13,000
640
MEMBERSHIP & MEETINGS
2,047
1,678
3,345
970
3,845
3,845
771,693
806,547
812,073
566,659
852,064
844,064
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
AVIATION (0181)
306
AIRPORT TAXES
39,099
25,214
39,480
26,556
39,480
26,556
390
OTHER PURCHASED SERVICES
591
615
1,000
-
2,000
2,000
440
OFFICE EXPENSE & SUPPLIES
687
275
250
10
400
400
445
AVIATION MAINTENANCE
11,597
22,109
12,000
6,610
21,595
18,000
51,975
48,213
52,730
33,176
63,475
46,956
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
ELECTIONS (0182)
188
ELECTED OFFICIALS
47,027
48,041
49,026
31,392
50,797
49,026
192
OTHER NON-UNION
44,030
48,727
52,286
35,579
55,129
52,129
390
PRIMARIES
9,782
35,510
60,000
43,599
70,000
35,000
440
OFFICE EXPENSE & SUPPLIES
11,173
9,751
15,000
4,107
25,000
16,250
446
ELECTIONS
38,140
71,560
56,000
39,114
66,000
66,000
640
MEMBERSHIPS & MEETINGS
852
913
1,000
550
2,000
1,100
151,005
214,501
233,312
154,341
268,926
219,505
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
2008 Actual to 2/26
Department Budget Request
City Manager Budget
CONTINGENCY (0200)
601
CONTINGENCY
-
-
444,902
-
500,000
500,000
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
2008 Actual to 2/26
Department Budget Request
City Manager Budget
INSURANCE (0212)
460
BOILERS & MACHINERY
7,366
7,946
7,648
-
8,081
8,081
461
BONDS MONEY & SECURITIES
8,998
7,629
8,029
7,629
8,000
8,000
462
FIRE & VANDALISM
172,220
165,712
164,672
146,588
147,068
147,068
463
LIABILITY INSURANCE
1,101,662
1,129,229
1,079,229
1,072,986
1,113,153
1,113,153
469
POLICE PROFESS LIAB
82,536
100,790
81,304
85,886
90,159
90,159
470
PUB OFFICIAL LIAB
46,240
37,376
37,376
30,437
33,376
33,376
476
WORKERS COMP INDEMNITY PMTS.
595,461
655,007
665,050
665,050
731,555
681,000
477
WORKERS COMP MEDICAL
604 586 604,586
645 044 645,044
666 500 666,500
333 250 333,250
733 150 733,150
696 000 696,000
478
SECOND INJURY FUND
169,207
186,127
186,410
-
205,051
195,051
479
WORKERS COMP EXCESS LIAB. INS
53,204
67,828
67,828
82,867
79,976
79,976
2,841,480
3,002,688
2,964,046
2,424,693
3,149,569
3,051,864
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
2,114,903
1,500,000
Actual to 2/26
2008
Department Budget Request
1,424,020
2,021,166
City Manager Budget
BENEFITS (0213)
201
CITY MEDICAL BENEFITS
204
EDUCATION MEDICAL BENEFITS
207
2,835,290
2,089,360
-
-
-
-
-
-
LIFE INSURANCE
70,430
64,736
70,612
42,020
65,000
65,000
220
LONGEVITY
69,953
74,950
77,750
70,198
72,000
72,000
225
CITY BENEFITS
-
-
-
-
-
-
231
EMPLOYEE RETIREMENT
241
74,736
195,528
596,315
397,200
698,034
698,034
UNEMPLOYMENT COMPENSATION
120,375
134,874
261,526
119,081
150,000
130,000
242
UNUSED SICK LEAVE
256 369 256,369
290 432 290,432
382 082 382,082
296 166 296,166
305 000 305,000
305 000 305,000
243
HYPERTENSION
556,285
646,489
864,286
431,763
1,075,366
955,366
244
SOCIAL SECURITY
2,071,450
2,180,023
2,091,175
1,447,108
2,395,000
2,380,000
250
POLICE BENEFITS
963,661
911,001
1,097,023
694,774
2,656,496
1,224,581
252
POLICE RETIREE MEDICAL BENEFITS
352,992
352,992
353,000
235,328
-
-
253
POLICE SOC SEC MEDICARE
85,634
83,405
98,306
53,099
85,000
85,000
254
POLICE RETIREMENT
2,887,512
3,258,180
3,156,801
2,104,400
3,556,861
3,556,861
255
POLICE MEDICAL
1,097,524
740,000
1,569,317
784,659
1,118,704
1,378,494
256
POLICE LIFE
20,199
18,827
20,263
12,808
20,263
20,263
257
POLICE W/COMP & HYPERTENSION
417,510
348,514
404,980
226,336
391,149
391,149
258
POLICE HEARING POOL
-
-
-
-
-
-
object code
259
CITY OF MERIDEN 2009 PROPOSED BUDGET
POLICE VISION POOL
2006 Actual
2007 Actual
2008 Budget
2008 Actual to 2/26
4,757
3,057
1
2,100
Department Budget Request -
City Manager Budget -
BENEFITS (0213) - continued
260
FIRE BENEFITS
844,700
942,333
1,085,500
739,403
262
FIRE RETIREE MEDICAL BENEFITS
460,200
460,200
460,200
306,800
-
-
263
FIRE SOC SEC MEDICARE
47,271
51,281
59,586
35,211
55,000
55,000
264
FIRE RETIREMENT
1,746,120
2,154,876
1,975,394
1,316,800
2,464,361
2,464,361
265
FIRE MEDICAL
885,966
650,000
1,206,590
603,295
860,130
1,045,035
266
FIRE LIFE
15,665
14,460
15,214
10,249
15,412
15,412
267
FIRE W/COMP & HYPERTENSION
230,349
466,793
421,743
118,348
282,960
282,960
274
CASA MEDICAL
4,030
4,764
6,531
4,348
6,561
6,561
276
POLICE CERTIFICATION BONUS
61,550
63,600
59,400
64,200
59,400
59,400
277
POLICE LONGEVITY
-
30,700
40,200
31,300
40,200
40,200
278
FIRE LONGEVITY
-
28,075
32,000
27,379
32,000
32,000
279
FIRE HEARING POOL
-
-
-
-
-
280
FIRE VISION POOL
2,755
3,342
3,500
2,989
-
-
282
UNIFORMS GUARDS
4,843 15,467,741
5,878 15,679,309
7,000 19,252,085
5,370 11,606,751
500
1,285,500
9,900 19,721,463
1,085,500
9,900 18,447,437
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
GENERAL ADMINISTRATION (0214)
310
TRANSIT
193,280
193,879
217,485
113,767
218,127
218,127
331
PUPIL TRANSPORTATION
645,737
663,553
663,553
406,809
663,553
663,553
340
ADVERTISING,PRINTING,BINDING
15,000
5,000
341
STREET LIGHTING
611,242
656,661
705,491
394,025
624,000
624,000
342
WATER
109,864
105,629
115,000
84,707
110,000
110,000
343
HYDRANTS
65,000
65,000
65,000
-
65,000
65,000
344
SEWERS
68,911
76,485
72,500
52,389
70,000
70,000
346
PARK MAINTENANCE
4 270 4,270
-
7 500 7,500
2 697 2,697
7 500 7,500
7 500 7,500
371
MALONEY SCHOLARSHIP
24,000
24,000
24,000
24,000
24,000
24,000
372
VETERANS ORGANIZATION
37,550
35,000
37,550
37,500
37,550
37,550
374
AMBULANCE
128,750
132,613
132,613
99,459
132,613
136,591
375
EMERGENCY MEDICAL DISPATCH
37,595
37,595
37,595
29,042
37,595
37,595
376
NERDEN RTC DAY CAMP
54,380
54,380
46,856
46,856
57,754
46,586
377
DAY CARE
5,000
5,000
-
-
5,000
-
379
C-MED
117,706
112,210
115,728
77,150
112,210
120,169
388
AUDIT
63,911
69,867
60,000
81,715
70,000
70,000
395
PROBATE COURT
19,055
15,504
14,000
5,818
20,000
14,000
440
ZONING EXP & SUPPLIES & P/t
15,093
12,723
12,000
6,320
15,000
12,000
-
-
5,000
-
object code
441
CITY OF MERIDEN 2009 PROPOSED BUDGET
ECONOMIC DEVELOPMENT
2006 Actual
2007 Actual
22,296
2008 Budget
30,257
50,000
699
1,000
30,000
30,000
1,000
2008 Actual to 2/26
-
Department Budget Request
City Manager Budget
40,000
50,000
3
1,000
1,000
35,000
20,000
35,000
15,000
1,000
1,000
1,000
3,569
1,000
GENERAL ADMINISTRATION (0214) - continued
442
COMMISSION FOR DISABLED
-
492
DAFFODIL FESTIVAL
493
REGIONAL MENTAL HEALTH
505
HIGH SCHOOLS STATUS REVIEW
-
39,500
-
-
-
-
710
ANTI-LITTER COMMITTEE
-
1,286
10,000
-
-
2,000
718
REPAY HOUSING AUTHORITY
11,411
11,411
11,411
-
11,411
11,411
719
TEXTBOOK LOAN
37,661
38,000
38,000
-
38,000
38,000
726
SPECIAL EVENTS & CELEBRATIONS
295,948
46,109
47,300
40,399
51,450
48,250
727
SOLOMON GOFFE HOUSE
420
420
500
420
500
500
730
CONSERVATION COMMITTEE
160
150
750
163
750
750
731
MARKETING PROMOTION
26,770
19,022
20,000
7,430
100,000
20,000
732
ENERGY TASK FORCE
-
-
-
-
50,000
1,000
737
FLOOD CONTROL AGENCY
1,174
359
2,000
85
2,000
7,500
740
DAY CAMP
7,500
6,750
10,000
7,500
10,000
7,500
741
CAMP VOL PROGRAM
7,500
6,375
10,000
7,500
10,000
40,000
746
MERIDEN SCHOLASTIC SCHOLARSHIP
28,000
42,000
40,000
45,000
40,000
6,000
748
NEIGHBORHOOD ASSOCIATIONS
1,616
1,390
6,000
1,188
10,000
1,000
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
749
ROD & GUN FISH CLUB
751
CULTURAL DIVERSITY FUND
2006 Actual 1,000
2007 Actual 1,000
2008 Budget 1,000
Actual to 2/26
2008
Department Budget Request 1,750
City Manager Budget 7,000
4,957
4,509
7,000
6,766
10,000
4,000
5,000
5,000
4,000
4,000
5,000
8,800
11,000
11,000
8,800
8,800
22,000
127,500
147,800
143,425
127,500
101,075
149,750
3,000
-
GENERAL ADMINISTRATION (0214) - continued
758
GALLERY 53
759
CURTIS UTILIZATION
760
TEEN SATELLITE PROGRAMS
770
TROC
774
-
-
1,500
-
3,000
23,778
REGIONAL GROWTH PARTNERS
19,362
19,362
23,778
-
19,362
-
775
HUMANE SOCIETY
19,461
-
-
-
6,000
15,000
776
FRIENDS OF THE LIBRARY
18,000
18,000
15,000
15,000
18,000
-
778
MERIDEN ACADEMY OF MARTIAL ARTS
-
500
-
-
-
-
779
PROJECT GRADUATION
-
1,000
-
-
-
-
780
NEW OPPORT OF GREATER MERIDEN
-
5,000
-
-
-
-
781
SUMMER CAMPERSHIP PROGRAM
-
5,000
-
-
-
-
-
-
6,000
6,000
-
-
2,809,410
1,734,584
782 MERIDEN RAIDERS
2,899,380
2,748,622
2,923,444
2,701,660
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
555,472
828,500
City Manager Budget
CAPITAL (0215)
500
CAPITAL EQUIPMENT
668,857
484,931
1,022,897
510,400
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
2008 Actual to 2/26
Department Budget Request
City Manager Budget
DEVELOPMENT & ENFORCEMENT (0510)
189
MISC PART TIME
-
-
1,500
-
190
ADMINISTRATIVE
93,723
99,100
98,215
63,439
102,460
102,460
191
OVERTIME
2,282
4,088
6,500
5,688
6,500
6,500
196
MME
406,684
428,288
420,535
233,027
441,214
395,930
198
SUPERVISORS
151,005
161,644
70,765
130,507
152,264
152,264
352
VEHICLE MAINTENANCE
12,853
13,193
10,000
5,076
12,000
11,000
390
DESIGN REVIEW BOARD
115
-
-
-
150
150
391
PLAN OF CONSERV & DEVELOP
485
66 025 66,025
75 000 75,000
21 115 21,115
25 000 25,000
25 000 25,000
440
OFFICE EXPENSE & SUPPLIES
7,988
6,344
10,500
3,047
12,000
11,000
640
MEMBERSHIPS & MEETINGS
3,023
2,967
5,700
2,299
6,700
5,700
708
UNSAFE BUILDINGS
-
-
-
-
1,000
-
678,158
781,649
698,715
464,198
-
759,288
-
710,004
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
2008 Actual to 2/26
Department Budget Request
City Manager Budget
INLAND WETLAND (0520)
390
OTHER PURCHASE SERVICES
-
-
-
-
1,500
1,500
440
OFFICE EXPENSE & SUPPLIES
1,435
1,296
1,500
1,644
700
700
640
MEMBERSHIPS & MEETINGS
-
-
-
-
500
500
1,435
1,296
1,500
1,644
2,700
2,700
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
PARKING (3940)
192
PAYROLL
59,065
60,039
67,469
40,687
66,432
66,432
198
SUPERVISORS
39,649
43,306
43,596
34,950
36,622
36,622
323
MAINTENANCE
11,502
2,804
5,000
1,733
7,500
6,250
352
VEHICLE MAINTENANCE
932
2,190
1,000
193
3,500
3,500
353
TELEPHONES
335
339
600
183
1,350
1,350
414
UTILITIES
24,285
34,896
22,000
14,301
29,160
25,500
440
GENERAL EXPENSES
2,555
1,310
3,000
1,403
5,000
3,500
138 323 138,323
144 884 144,884
142 665 142,665
93 450 93,450
149 564 149,564
143 154 143,154
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
108,734
68,538
110,604
110,604
1,000
27
500
500
FINANCE: FINANCE (0210)
190
ADMINISTRATIVE
100,728
191
OVERTIME CONTINGENCY
196
MME
181,574
191,721
187,645
118,759
172,799
172,799
198
SUPERVISORS
192,829
208,354
205,067
135,199
231,605
231,605
240
DEFERRED COMPENSATION
2,510
1,346
-
-
1
1
352
VEHICLE MAINTENANCE
3,200
2,200
2,400
1,400
2,400
2,400
353
TELEPHONE
104 142 104,142
104 131 104,131
110 000 110,000
70 376 70,376
95 000 95,000
95 000 95,000
440
OFFICE EXPENSE & SUPPLIES
28,660
30,723
30,000
(10,253)
33,000
32,000
601
CONTINGENCY
54,541
-
-
-
1
1
640
MEMBERSHIP & MEETINGS
4,651
4,302
5,110
1,210
5,740
5,740
703
GENERAL OFFICE SUPPLIES
1
1
48,215
1
1
695,118
649,957
433,471
651,651
650,651
-
(5,061) 667,774
152,341 -
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
500
19
500
500
PURCHASING (0250)
191
OVERTIME
-
-
196
MME
13,501
137,567
133,807
83,610
141,672
141,672
198
SUPERVISORS
76,789
86,632
87,234
54,678
91,103
91,103
440
OFFICE EXPENSE & SUPPLIES
3,698
5,000
4,000
2,276
4,970
4,500
640
MEMBERSHIP & MEETINGS
1,977
2,952
4,000
1,335
5,145
4,500
701
STOREROOM
187
48
1
1
1
96,151
232,199
229,542
243,391
242,276
141,918
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
ASSESSMENT & COLLECTIONS (0275)
191
OVERTIME
2,180
6,896
4,500
8,806
4,500
4,500
196
MME
406,288
412,830
391,625
285,817
426,558
403,228
198
SUPERVISORS
285,126
300,764
214,092
185,618
227,638
227,638
352
VEHICLE MAINTENANCE
1,139
856
1,000
312
1,000
1,000
388
AUDIT
4,000
-
3,500
500
7,500
7,500
390
REVALUATION
440
OFFICE EXPENSE & SUPPLIES
550
CAPITAL EQUIPMENT
640
MEMBERSHIP & MEETINGS
200,719
190,310
5,000
-
12,000
12,000
86,040
92,663
84,000
34,997
110,360
93,000
-
-
25 000 25,000
-
3,590
4,737
4,885
989,082
1,009,055
733,602
1,500
5,000
2,500
235
750
750
1,735
5,750
3,250
-
-
783
4,775
4,225
516,833
794,331
753,091
2,500
2,500
362
750
750
362
3,250
3,250
ASSESSMENT APPEALS (0281)
189
MISC PART-TIME
440
OFFICE EXPENSE & SUPPLIES
-
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
PARKS, RECREATION & LEASURE: PARKS (0801)
189
MISC PART-TIME
64,598
48,245
55,000
22,117
75,000
55,000
190
ADMINISTRATIVE
102,885
105,430
104,789
65,742
106,009
106,009
191
OVERTIME CONTINGENCY
92,186
73,931
70,000
40,871
119,500
80,000
194
PUBLIC WORKS
793,511
821,482
710,508
506,779
766,654
766,654
198
SUPERVISORS
69,427
72,883
72,990
46,008
76,651
76,651
345
PARK & REC EXPENSE & SUPPLIES
67,230
57,722
80,000
32,441
109,865
80,000
346
PARK MAINTENANCE/VANDALISM
17 915 17,915
13 841 13,841
1
-
20 000 20,000
-
352
VEHICLE MAINTENANCE
110,026
92,652
88,000
42,645
90,000
90,000
414
HEAT, ENERGY, & LIGHTS
148,818
178,236
175,000
81,379
192,720
180,000
484
VANDALISM
485
-
-
-
-
-
SECURITY
9,825
9,980
5,000
3,737
15,000
5,000
640
MEETINGS & MEMBERSHIPS
2,997
2,500
2,500
1,926
5,200
2,500
642
DOWNTOWN
13,326
6,306
7,500
3,231
10,000
3,000
643
TREE REMOVAL & REPLACEMENT
7,709
7,420
1
-
10,000
1
1,500,453
1,490,628
1,371,289
1,596,599
1,444,816
846,876
1
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
RECREATION (0802)
191
OVERTIME
11,755
4,505
7,500
6,122
10,500
7,500
192
OTHER NON-UNION
92,504
81,948
84,022
64,184
95,000
85,000
194
PUBLIC WORKS
90,618
98,307
104,091
62,780
103,881
103,881
196
MME
106,655
113,778
118,166
73,697
149,265
149,265
198
SUPERVISORS
53,448
56,139
56,518
35,433
59,041
59,041
345
RECREATION PROGRAM EXPENSE
9,959
9,994
10,000
6,840
13,000
11,500
346
HOLIDAY DISPLAY REPLACEMENT
2,934
2,884
3,000
2,629
10,000
5,000
347
CONCERTS
4 000 4,000
4 000 4,000
4 000 4,000
3 150 3,150
6 000 6,000
4 000 4,000
348
LEAGUE SUBSIDY
30,000
30,000
23,000
-
40,000
30,000
440
OFFICE EXPENSE & SUPPLIES
8,309
7,588
9,500
3,108
13,000
9,500
640
MEETINGS & MEMBERSHIPS
1,795
1,991
2,500
2,500
3,000
3,000
764
GUIFFRIDA CAMP
8,000
9,017
9,000
8,405
10,000
9,000
419,978
420,151
431,297
268,848
512,687
476,687
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
BUILDING MAINTENANCE (3360)
189
MISC PART-TIME
191
OVERTIME CONTINGENCY
194
PUBLIC WORKS
198
SUPERVISORS
352
VEHICLE MAINTENANCE
412
REPAIRS & UPGRADES
413
MAINTENANCE SUPPLIES
414
HEAT ENERGY LIGHTS
-
10,293
-
7,449
-
-
42,036
44,049
40,000
21,049
45,000
40,000
260,948
294,741
300,801
178,551
301,672
301,672
63,628
66,821
67,240
42,159
70,251
70,251
1,199
2,119
1,200
982
3,000
3,000
-
-
-
-
20,000
20,000
32,289
34,866
35,000
26,376
58,200
46,000
503 011 503,011
620 432 620,432
715 839 715,839
390 025 390,025
810 386 810,386
725 000 725,000
903,112
1,073,320
1,160,080
666,591
1,308,509
1,205,923
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
LIBRARY (0160)
189
MISC PART-TIME
30,023
21,812
28,673
16,207
33,599
33,599
190
ADMINISTRATIVE
36,213
81,000
84,188
82,375
82,500
82,500
196
MME
603,939
640,090
607,723
426,484
678,721
665,087
198
SUPERVISORS
680,076
671,966
669,198
387,275
744,316
722,788
321
PUBLIC UTILITIES
93,300
127,363
124,907
105,066
179,481
168,000
346
GROUNDS MAINTENANCE
-
2,000
-
352
VEHICLE MAINTENANCE
904
1,079
1,000
353
TELEPHONES
5 394 5,394
5 361 5,361
5 850 5,850
389
SECURITY SERVICE
84
664
700
390
OTHER PURCHASED SERVICES
79,793
82,141
85,000
391
VIDEO SERVICES
17,203
14,250
413
BUILDING SUPPLIES & MATERIALS
33,009
430
LIBRARY BOOKS & MATERIALS
440
OFFICE EXPENSE & SUPPLIES
640
MEMBERSHIP & MEETINGS
-
-
-
427
1,600
1,600
3 266 3,266
4 980 4,980
4 980 4,980
700
700
57,915
86,276
86,276
20,000
9,750
20,000
18,000
28,362
38,000
26,283
45,283
38,000
144,265
141,230
150,000
72,627
171,400
154,500
26,351
25,764
37,500
16,960
42,043
32,000
985
2,085
2,405
1,480
2,485
2,485
1,751,538
1,845,166
1,855,144
1,206,115
2,093,384
2,010,515
-
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
EMERGENCY SERVICES: POLICE (2605)
190
ADMINISTRATIVE
187,003
195,375
196,449
125,208
202,230
202,230
191
OVERTIME
1,000,209
1,162,147
900,000
706,470
1,090,000
945,000
192
OTHER NON UNION
-
20,303
44,460
15,150
44,460
44,460
194
PUBLIC WORKS
63,935
66,602
68,368
43,425
69,749
69,749
196
MME
510,791
567,552
611,167
366,305
616,534
679,534
197
POLICE PATROL
6,706,465
7,107,126
7,730,376
4,595,438
8,073,187
7,931,221
198
CROSSING GUARDS
256,605
253,469
273,102
166,474
283,434
283,434
352
VEHICLE MAINTENANCE
224,562
278,176
255,000
45,287
381,000
302,250
380
COMMUNICATIONS & MAINTENANCE
73 839 73,839
80 728 80,728
80 000 80,000
40 097 40,097
98 000 98,000
84 000 84,000
381
TRAINING
165,307
144,267
168,740
85,864
256,600
179,140
382
SOUTH CENTRAL JUSTICE
10,500
10,500
11,250
11,100
13,000
11,750
390
EXPLORERS/AUXILIARY POLICE
5,225
9,025
17,500
8,970
19,500
17,500
391
CANINE UNIT
-
-
-
-
15,000
10,000
392
BICYCLE PATROL
6,479
3,803
8,500
-
9,500
5,500
443
POLICE EXPENSE & SUPPLIES
142,977
107,135
117,500
68,417
139,500
117,500
491
CRIME PREVENTION
12,702
9,073
15,000
8,656
26,800
16,250
492
HOSTAGE CRISIS
19,893
14,351
17,000
6,900
41,000
30,000
510
MIS TECHNOLOGY
154,804
173,475
234,880
152,770
241,677
241,677
640
MEMBERSHIP & MEETINGS
6,523
4,085
9,180
2,190
11,380
9,680
709
POLICE PRIVATE DUTY
1
1
117,088
1
1
(23,287)
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual 9,524,533
2007 Actual 10,207,195
2008 Budget 10,758,473
Actual to 2/26
2008 6,565,809
Department Budget Request 11,632,552
City Manager Budget 11,180,876
FIRE (2610)
190
ADMINISTRATIVE
168,734
181,625
189,487
115,705
186,846
186,846
191
OVERTIME CONTINGENCY
887,365
986,562
775,000
812,123
919,815
919,815
194
PUBLIC WORKS
58,791
61,246
62,868
39,219
64,165
64,165
195
FIRE
5,229,660
5,731,801
5,885,860
3,696,046
5,910,346
5,910,346
196
MME
90,288
93,891
96,540
60,484
100,389
100,389
352
VEHICLE MAINTENANCE
77,314
86,777
75,000
39,971
85,000
80,000
380
COMMUNICATIONS & MAINTENANCE
10,840
18,853
25,000
9,684
48,085
40,334
381
TRAINING
8,317
15,744
24,500
6,146
34,500
27,500
390
PHYSICALS
24,747
29,445
35,025
6,394
41,922
37,500
413
MAINT SUPPLIES
28,057
24,042
35,000
18,632
59,600
40,000
414
HEAT ENERGY LIGHTS
122,234
138,073
136,000
78,964
149,000
142,000
440
OFFICE EXPENSE & SUPPLIES
16,374
15,979
20,000
8,970
24,000
20,000
503
FIRE EQUIPMENT
27,934
30,382
38,322
17,121
98,905
73,000
640
MEMBERSHIP & MEETINGS
4,947
5,714
9,605
4,601
10,605
9,605
6,755,603
7,420,135
7,408,207
4,914,060
7,733,178
7,651,500
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
2008 Actual to 2/26
Department Budget Request
City Manager Budget
EMERGENCY COMMUNICATIONS (2617)
500
CAPITAL EQUIPMENT
-
-
-
-
7,100
7,100.0
190
ADMINISTRATION
-
69,461
70,384
45,485
73,401
73,401.0
191
OVERTIME
211,608
246,071
184,500
147,695
210,000
200,000.0
196
DISPATCH
509,543
547,412
626,236
376,991
620,106
620,106.0
380
COMMUNICATIONS & MAINTENANCE
3,765
7,500
1,766
11,500
8,500.0
381
TRAINING
45
5,005
10,000
6,016
12,000
11,000.0
440
OFFICE EXPENSE & SUPPLIES
6,765
9,031
18,000
3,902
21,500
19,000.0
727 961 727,961
880 746 880,746
916 620 916,620
581 855 581,855
955 607 955,607
939 107 939,107
-
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
S.M.V.F.D. (2619)
200
FIREFIGHTER PHYSICALS
3,544
8,129
7,500
4,166
9,000
8,000
271
HEPATITIS VACINE
135
1,372
1,500
448
1,500
1,500
352
VEHICLE MAINTENANCE
3,109
4,671
6,066
4,442
6,066
6,066
380
COMMUNICATION & MAINTENANCE
8,263
10,775
8,000
7,876
9,500
9,000
381
TRAINING
2,045
3,735
4,100
956
4,100
4,100
413
MAINTENANCE SUPPLIES
679
773
800
125
800
800
414
HEAT ENERGY LIGHTS
10,939
13,693
13,941
6,585
13,941
13,941
415
FOOD
2 700 2,700
2 567 2,567
3 000 3,000
-
3 000 3,000
3 000 3,000
416
FIRE PREVENTION & EDUCATION
350
150
350
-
350
350
440
OFFICE EXPENSE & SUPPLIES
399
377
600
502
600
600
503
FIRE EQUIPMENT
20,649
23,486
22,000
15,198
26,594
25,594
640
MEETINGS & MEMBERSHIPS
791
991
1,000
461
1,000
1,000
53,603
70,718
68,857
40,759
76,451
73,951
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
EMERGENCY MANAGEMENT (2690)
189
MISC PART-TIME
383
CIVIL PREPAREDNESS
440
OFFICE EXPENSE & SUPPLIES
7,333
8,000
8,000
4,667
8,600
8,600
-
-
2,500
-
7,570
3,000
2,114
752
3,500
690
6,650
4,000
9,448
8,752
14,000
5,357
22,820
15,600
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
PUBLIC WORKS: P.W. - ENGINEERING (3310)
190
ADMINISTRATIVE
-
46,322
90,941
59,660
96,276
96,276
191
OVERTIME
5,692
5,276
5,000
5,971
7,000
5,000
196
MME
429,113
452,396
413,138
260,266
429,883
411,316
198
SUPERVISORS
238,699
209,066
237,610
111,106
249,126
249,126
320
INSPECTIONS - DAMS & BRIDGES
352
-
-
-
-
14,500
14,500
VEHICLE MAINTENANCE
12,894
14,802
12,300
6,906
12,500
12,500
440
OFFICE EXPENSE & SUPPLIES
10 261 10,261
11 746 11,746
16 900 16,900
7 360 7,360
17 300 17,300
16 900 16,900
640
MEMBERSHIPS & MEETINGS
2,696
3,516
7,225
2,423
7,300
7,300
699,356
743,124
783,114
453,692
833,885
812,918
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
P.W. - GARAGE (3351)
191
OVERTIME
4,210
5,502
5,000
12,325
6,250
6,000
194
PUBLIC WORKS
348,515
364,590
313,613
202,075
326,409
326,409
196
MME
57,280
59,571
22,254
11,144
47,122
47,122
323
REPAIRS & MAINTENANCE SERVICE
9,568
6,079
10,000
6,392
13,500
12,000
440
OFFICE EXPENSE & SUPPLIES
4,826
8,633
5,000
4,074
12,300
7,500
640
MEMBERSHIP & MEETINGS
30
65
2,000
115
4,300
2,000
710
GARAGE MATERIALS
1
107,397
1
1
357 868 357,868
343 522 343,522
409 882 409,882
401 032 401,032
27,207 451 635 451,635
444 439 444,439
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
2008 Actual to 2/26
Department Budget Request
City Manager Budget
P.W. - TRAFFIC (3353)
189
PART TIME SUMMER HELP
-
-
9,000
-
9,000
-
191
OVERTIME CONTINGENCY
20,482
25,082
19,424
11,935
18,000
18,000
196
MME
212,045
223,366
184,336
117,756
191,826
191,826
198
SUPERVISORS
82,528
86,632
87,233
54,678
91,103
91,103
341
STREET LIGHT MAINTENANCE
6,181
2,904
7,500
2,157
15,000
7,500
352
VEHICLE MAINTENANCE
22,264
20,796
21,000
9,036
22,500
22,500
365
SAFETY EQUIPMENT
996
2,000
994
2,400
2,000
366
SIGNALIZATION
88 568 88,568
79 833 79,833
73 420 73,420
61 276 61,276
74 420 74,420
74 420 74,420
367
SIGNS & LINES
37,743
22,866
40,000
22,808
174,999
120,000
368
ALARM SYSTEMS
1,423
548
2,000
954
3,000
2,000
391
DRUG TESTING
-
440
OFFICE EXPENSE
640
MEMBERSHIP & MEETINGS
-
-
-
-
250
-
806
1,070
1,000
753
1,100
1,100
1,621
2,648
1,750
385
4,250
4,250
473,661
466,740
448,663
282,732
607,848
534,699
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
P.W. - HIGHWAY (3354)
191
OVERTIME CONTINGENCY
194
PUBLIC WORKS
196
MME
198
SUPERVISORS
308
VEHICLE MAINTENANCE
359
STREET MAINT SUPPLIES
360
SIDEWALK,BASIN CONSTRUCTION
361
STREET CONSTRUCTION
363
STORM DRAIN CONSTRUCTION
364
BROOK DREDGING
390
ROADSIDE BULKY WASTE
391
DRUG TESTING
440
68,986
29,496
35,000
20,367
37,500
35,000
771,689
802,029
778,961
536,569
818,876
818,876
1
1
-
-
-
-
71,924
72,883
73,374
45,973
76,651
76,651
227,580
205,527
160,000
70,054
190,000
175,000
7,444
9,026
10,000
4,389
16,000
10,000
193
3,113
3,500
2,684
10,000
5,000
24 771 24,771
24 892 24,892
36 475 36,475
28 737 28,737
35 000 35,000
522 742 522,742
6,306
3,583
8,000
7,959
16,000
8,000
300
661
500
-
2,000
2,000
11,676
25,272
15,000
-
60,000
30,000
-
-
-
-
1,400
-
OFFICE EXPENSE & SUPPLIES
7,250
6,886
7,135
2,094
8,900
7,500
441
CLOTHING
4,665
5,728
6,000
3,886
14,000
6,000
640
MEMBERSHIP & MEETINGS
188
1,000
965
2,000
1,500
1,189,283
1,134,945
723,677
1,288,328
1,698,270
1,202,783
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
P.W. - TRANSFER STATION (3355)
191
OVERTIME
20,810
11,201
39,000
9,131
39,000
20,000
339
MONITORING
23,504
34,708
67,875
9,413
73,400
50,000
352
VEHICLE MAINTENANCE
11,938
13,863
12,000
3,350
15,000
14,000
390
OTHER PURCHASED SERVICES
6,513
437
7,500
-
9,000
9,000
440
OFFICE EXPENSE & SUPPLY
3,618
1,381
4,100
356
9,800
9,800
66,383
61,590
130,475
22,250
146,200
102,800
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
303,504
700,500
City Manager Budget
SNOW AND ICE CONTROL (3320)
308
SNOW & ICE CONTROL
519,070
321,561
500,200
500,000
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
2008 Actual to 2/26
Department Budget Request
City Manager Budget
P.W. - WASTE COLLECTION (3357)
340
RECYCLING
-
369
DUMPING FEES
659,024
675,278
600,251
390
CONTRACT
496,007
862,896
879,906
440
OFFICE EXPENSE & SUPPLY
215 1,155,247
-
1,538,174
-
250 1,480,407
-
36,600
36,600
350,748
615,340
615,340
529,967
879,906
879,906
250
250
1,532,096
1,532,096
8,044
8,044
153,213
153,213
880,715
P.W. - BULKY WASTE (3359)
189
MISC PART-TIME
194
PUBLIC WORKS
196
-
-
-
-
143,256
115,931
105,601
91,598
MME
24,972
25,178
25,873
16,705
-
-
352
VEHICLE MAINTENANCE
12,613
14,848
15,000
3,204
15,000
15,000
390
DUMP FEES
112,184
41,154
151,000
57,951
168,900
115,000
391
DRUG TESTING
750
750
440
OFFICE EXPENSE & SUPPLY
1,020
281
1,600
380
2,750
2,750
442
CLOTHING ALLOWANCE
2,006
992
2,000
493
3,000
3,000
296,051
198,384
301,074
170,331
351,657
297,757
-
-
-
-
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
HEALTH AND WELFARE: HEALTH (4710)
149
CERTIFIED SALARIES
321,770
299,402
295,801
169,348
294,025
294,025
189
MISC. PART-TIME
4,500
4,500
5,000
3,000
5,500
5,500
190
ADMINISTRATION
92,810
95,995
95,145
61,557
99,338
99,338
193
PUBLIC HEALTH NURSES
924,228
971,179
1,015,263
630,187
1,038,295
1,038,295
196
MME
486,620
564,401
539,537
302,112
539,350
539,350
198
SUPERVISORS
151,217
158,746
159,835
100,207
166,980
166,980
352
VEHICLE MAINTENANCE
5 953 5,953
5 070 5,070
5 300 5,300
2 746 2,746
5 400 5,400
5 400 5,400
440
OFFICE EXPENSES & SUPPLIES
10,770
10,982
11,000
8,624
14,195
11,250
474
ENVIRONMENTAL SUPPLIES
11,993
11,225
12,000
6,396
15,457
12,600
478
HEALTH SUPPLIES
7,432
8,147
10,000
6,520
15,700
11,750
482
P.A. 10-217A SUPPLIES
7,868
7,865
8,500
5,729
7,700
7,700
490
LEAD PROGRAM
2,743
3,950
4,200
2,575
4,800
4,200
640
MEMBERSHIPS & MEETINGS
2,931
2,045
5,535
2,713
5,535
5,535
706
SPECIAL PROJECTS
439
-
1
14,077
1
1
708
EMERGENCY FUND SEWER BACKUPS
-
-
1
-
1
1
2,212,277
2,201,925
2,031,274
2,143,506
2,167,118
1,315,791
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
SOCIAL SERVICES (4720)
196
MME
390
EVICTIONS
440
OFFICE EXPENSE & SUPPLIES
640
MEMBERSHIPS & MEETINGS
124,178
129,022
132,589
83,113
137,972
137,972
56,617
57,571
52,000
32,348
56,000
56,000
1,020
1,035
1,035
795
1,035
1,035
90
200
200
200
187,718
185,824
195,207
195,207
181,814
116,256
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
SENIOR CENTER (4730)
192
OTHER NON-UNION
23,673
26,601
29,655
14,350
34,964
32,437
196
MME
352,029
300,722
386,213
241,398
327,697
320,297
198
SUPERVISORS
75,609
79,373
79,917
50,103
83,490
83,490
199
ELDERLY NUTRITION
29,590
22,589
28,232
18,141
28,108
28,108
352
VEHICLE MAINTENANCE
16,087
17,480
12,000
9,318
12,000
12,000
440
OFFICE EXPENSE & SUPPLIES
10,161
12,267
13,000
8,027
15,000
13,750
640
MEETINGS & MEMBERSHIPS
345
345
1,000
345
1,000
1,000
507 493 507,493
459 377 459,377
550 017 550,017
341 682 341,682
502 259 502,259
491 082 491,082
416
434
553
295
587
587
2,895
55,016
56,537
35,446
58,832
58,832
75,609
79,373
79,917
50,103
83,490
83,490
YOUTH SERVICES (4745)
191
OVERTIME
196
MME
198
SUPERVISORS
440
OFFICE EXPENSE & SUPPLIES
1,500
1,505
1,500
1,408
2,150
1,500
490
YOUTH ACTIVITIES
1,983
1,988
2,000
1,999
3,000
2,000
640
MEMBERSHIPS & MEETINGS
892
930
1,205
600
1,205
1,205
83,294
139,245
141,712
89,851
149,264
147,614
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
EDUCATION: BOARD OF EDUCATION
1000's
TOTAL EDUCATION OTHER THAN HEALTH INSURANCE
78,213,081
81,274,480
84,113,839
44,684,548
89,676,763
85,114,552
HEALTH INSURANCE
11,494,325
12,309,723
12,669,387
8,272,020
13,655,379
12,899,970
BOARD OF EDUCATION
89,707,406
93,584,203
96,783,226
52,956,568
103,332,142
98,014,522
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
2008 Actual to 2/26
Department Budget Request
City Manager Budget
SCHOOL BUILDING COMMITTEE
160
SALARY EXPENSE
789
724
1,000
761
-
-
690
OTHER PURCHASED SERVICES
789
724
1,300 2,300
761
-
-
object code
CITY OF MERIDEN 2009 PROPOSED BUDGET
2006 Actual
2007 Actual
2008 Budget
Actual to 2/26
2008
Department Budget Request
City Manager Budget
DEBT SERVICE: DEBT SERVICE (5211)
301
PRINCIPAL BONDS
13,009,197
13,889,397
12,777,797
12,777,797
10,409,917
10,151,417
302
INTEREST BONDS
4,555,904
3,221,916
3,698,379
3,698,379
3,223,261
3,223,261
303
BAN INTEREST
394,046
952,625
469,347
469,347
563,901
563,901
304
BAN PRINCIPAL
-
-
42,500
-
-
-
305
DEBT SERVICE FEES
-
-
40,000
62,566
-
-
TOTAL EXPENDITURES
City Expenditures (not including the BOE) Second Taxing District (dept. 3357)
17,959,146
18,063,938
17,028,023
17,008,089
14,197,079
13,938,579
164,401,705
170,812,871
178,134,605
110,243,985
185,861,728
176,921,658
81,351,379
82,529,586
78,907,136
1,480,407
1,532,096
1,532,096
COUNCIL (0110) 0001-0110-40-0-0000-188 ELECTED OFFICIALS 0001-0110-40-0-0000-190 ADMINISTRATIVE 0001-0110-40-0-0000-196 MME 0001-0110-40-0-0000-351 CODFICATION 0001-0110-40-0-0000-386 COUNCIL OF GOVERNMENTS 0001-0110-40-0-0000-440 OFFICE EXPENSE & SUPPL 0001 0110 40 0 0000 640 0001-0110-40-0-0000-640 MEETINGS & MEMBERSHIPS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
67,588
65,388
65,747
38,476
67,750
3.05%
67,750
34,503
36,615
36,452
23,516
37,982
4.20%
37,982
78,785
84,104
56,536
38,309
58,832
4.06%
58,832
4,650
2,775
5,000
-
10,000
100.00%
5,000
-
15,400
16,700
16,100
25,000
49.70%
16,700
IES 27,791
27,442
30,000
13,605
35,000
16.67%
30,000
22,215
6,426
22,000
2,100
25,000
13.64%
22,000
235,532
238,149
232,435
132,106
259,564
11.67%
238,264
CITY MANAGER (0120) 0001-0120-40-0-0000-190 ADMINISTRATIVE 0001-0120-40-0-0000-196 MME 0001-0120-40-0-0000-198 SUPERVISORS 0001-0120-40-0-0000-240 DEFERRED COMPENSATION 0001-0120-40-0-0000-352 VEHICLE MAINTENANCE 0001-0120-40-0-0000-390 MANAGEMENT NON UNION 0001 0120 40 0 0000 440 0001-0120-40-0-0000-440 OFFICE EXPENSE & SUPPLIES 0001-0120-40-0-0000-640 MEMBERSHIP & MEETINGS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
3,162
249,533
247,946
130,055
257,710
3.94%
257,710
78,210
80,260
82,410
43,636
85,759
4.06%
85,759
-
-
89,513
44,553
91,103
1.78%
91,103
8,337
10,144
12,500
6,539
12,500
0.00%
12,500
6,430
6,120
4,800
2,760
5,400
12.50%
4,800
-
-
50,000
-
50,000
0.00%
50,000
8,850
18,517
13,000
8,214
15,000
15.38%
15,000
41,390
43,795
42,780
42,581
45,790
7.04%
45,790
146,379
408,369
542,949
278,337
563,262
3.74%
562,662
LEGAL (0130) 0001-0130-40-0-0000-190 ADMINISTRATIVE 0001-0130-40-0-0000-196 MME 0001-0130-40-0-0000-198 SUPERVISORS 0001-0130-40-0-0000-240 DEFERRED COMPENSATION 0001-0130-40-0-0000-356 STREETS & SIDEWALKS 0001-0130-40-0-0000-357 ATTORNEY FEES 0001 0130 40 0 0000 358 0001-0130-40-0-0000-358 FORECLOSURE ACTIVITIES 0001-0130-40-0-0000-390 ASSESSMENT APPEALS FEES 0001-0130-40-0-0000-440 OFFICE EXPENSE & SUPPLIES 0001-0130-40-0-0000-640 MEMBERSHIPS & MEETINGS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
114,374
109,153
117,253
60,763
119,754
2.13%
119,754
145,226
158,151
111,240
59,884
117,664
5.77%
117,664
122,174
136,497
38,700
23,922
45,551
17.70%
45,551
-
-
-
-
8,015
13,309
15,000
2,143
30,000
100.00%
15,000
534,338
286,089
300,000
220,033
590,000
96.67%
350,000
3,739
(22,719)
15,000
2,307
25,000
66.67%
15,000
14,575
-
25,000
-
50,000
100.00%
25,000
21,370
23,088
20,000
10,774
27,000
35.00%
20,000
2,492
5,052
4,980
4,608
5,300
6.43%
4,980
966,500
708,620
647,173
384,433
1,010,269
56.10%
712,949
196
note
n/a
MME 2008 projection used an increase of 1.75% s/b 2.5% (there were grade changes)
-
PERSONNEL (0150) 0001-0150-40-0-0000-190 ADMINISTRATION 0001-0150-40-0-0000-191 OVERTIME CONTINGENCY 0001-0150-40-0-0000-196 MME 0001-0150-40-0-0000-210 EAP SERVICES 0001-0150-40-0-0000-357 ATTORNEY FEES 0001-0150-40-0-0000-381 TRAINING 0001 0150 40 0 0000 384 0001-0150-40-0-0000-384 TUITION REIMBURSEMENT 0001-0150-40-0-0000-391 ALCOHOL/DRUG TESTING 0001-0150-40-0-0000-394 RECRUITMENT 0001-0150-40-0-0000-440 OFFICE EXPENSE & SUPPLY 0001-0150-40-0-0000-640 MEETINGS & MEMBERSHIPS
2006 Actual
129,455
2007 Actual
2008 Budget
136,500
135,671
2008 Actual
68,707
Department Budget
141,508
Percent Change
4.30%
City Manager
141,508
-
-
-
-
-
45,011
46,254
47,467
23,520
49,400
4.07%
49,400
7,224
7,854
10,000
6,615
9,000
-10.00%
9,000
-
-
-
-
-
7
1,000
-
1,500
50.00%
1,000
8,835
11,119
12,000
3,185
15,000
25.00%
10,000
3,028
6,383
7,000
3,150
7,000
0.00%
7,000
-
-
-
-
-
13,129
12,006
14,010
5,552
14,811
5.72%
14,000
4,460
6,146
10,005
3,982
9,490
-5.15%
9,490
211,142
226,270
237,153
114,711
247,709
4.45%
241,398
-
-
-
-
CITY CLERK (0170)
0001-0170-40-0-0000-188 ELECTED OFFICIALS 0001-0170-40-0-0000-191 OVERTIME CONTINGENCY 0001-0170-40-0-0000-192 OTHER NON-UNION 0001-0170-40-0-0000-196 MME 0001-0170-40-0-0000-354 LAND RECORDS 0001-0170-40-0-0000-355 VITAL STATISTICS 0001-0170-40-0-0000-390 RESTORATION 0001-0170-40-0-0000-440 OFFICE EXPENSE & SUPPLIES 0001-0170-40-0-0000-640 MEMBERSHIPS & MEETINGS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
69,025
70,359
71,958
35,979
72,353
0.55%
72,353
3,111
3,710
6,500
7,024
6,500
0.00%
6,500
30,336
30,184
33,986
37,919
38,170
12.31%
33,670
205,774
195,074
212,264
110,630
238,804
12.50%
238,804
94,723
82,783
90,000
82,191
90,000
0.00%
90,000
7,999
7,854
8,000
4,427
8,000
0.00%
8,000
2 500 2,500
1 683 1,683
-
-
2 500 2,500
n/a
18,628
21,997
19,000
6,936
19,000
0.00%
19,000
3,637
4,237
3,570
644
3,570
0.00%
3,570
435,734
417,881
445,278
285,751
478,897
7.55%
471,897
a
a 2008 had a Clerk III unfilled at step one. Position was filled at step six (diff. = 13,359)
-
MIS (0270) 0001-0270-40-0-0000-190 ADMINISTRATIVE 0001-0270-40-0-0000-191 OVERTIME CONTINGENCY 0001-0270-40-0-0000-196 MME 0001-0270-40-0-0000-198 SUPERVISORS 0001-0270-40-0-0000-325 RENTALS 0001-0270-40-0-0000-353 TELEPHONES 0001 0270 40 0 0000 381 0001-0270-40-0-0000-381 TRAINING 0001-0270-40-0-0000-440 OFFICE EXPENSE & SUPPLIES 0001-0270-40-0-0000-500 CAPITAL EQUIPMENT 0001-0270-40-0-0000-510 SOFTWARE 0001-0270-40-0-0000-640 MEMBERSHIP & MEETINGS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget
Percent Change
City Manager
86,832
92,050
91,491
46,466
95,773
4.68%
95,773
144
168
1,000
4
1,000
0.00%
1,000
157,144
167,839
133,583
66,058
139,185
4.19%
139,185
180,003
180,406
188,109
91,948
204,736
8.84%
204,736
258,021
277,719
296,805
235,446
306,365
3.22%
303,365
57,369
56,029
64,740
30,865
65,160
0.65%
65,160
4,569
3,943
5,000
325
8,000
60.00%
5,000
13,977
16,887
15,000
3,992
13,000
-13.33%
13,000
-
-
-
-
-
11,584
9,828
13,000
6,294
15,000
15.38%
13,000
2,047
1,678
3,345
945
3,845
14.95%
3,845
771,693
806,547
812,073
482,342
852,064
4.92%
844,064
-
AVIATION (0181)
0001-0181-40-0-0000-306 AIRPORT TAXES 0001-0181-40-0-0000-390 OTHER PURCHASED SERVICES 0001-0181-40-0-0000-440 OFFICE EXPENSE & SUPPLIES 0001-0181-40-0-0000-445 AVIATION MAINTENANCE
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget Request
39,099
25,214
39,480
26,556
39,480
0.00%
26,556
591
615
1,000
-
2,000
100.00%
2,000
687
275
250
7
400
60.00%
400
11,597
22,109
12,000
2,826
21,595
79.96%
18,000
51,975
48,213
52,730
29,390
63,475
20.38%
46,956
ELECTIONS (0182) 0001-0182-40-0-0000-188 ELECTED OFFICIALS 0001-0182-40-0-0000-192 OTHER NON-UNION 0001-0182-40-0-0000-390 PRIMARIES 0001-0182-40-0-0000-440 OFFICE EXPENSE & SUPPLIES 0001-0182-40-0-0000-446 ELECTIONS 0001-0182-40-0-0000-640 MEMBERSHIPS & MEETINGS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
47,027
48,041
49,026
25,735
50,797
3.61%
49,026
44,030
48,727
52,286
27,972
55,129
5.44%
52,129
9,782
35,510
60,000
5,220
70,000
16.67%
35,000
11,173
9,751
15,000
3,899
25,000
66.67%
16,250
38,140
71,560
56,000
30,071
66,000
17.86%
66,000
852
913
1,000
550
2,000
100.00%
1,100
151,005
214,501
233,312
93,447
268,926
15.26%
219,505
CONTINGENCY (0200) 0001-0200-40-0-0000-601 CONTINGENCY
2006 Actual
-
2007 Actual
2008 Budget
-
444,902
2008 Actual
Department Budget Request
-
500,000
Percent Change
n/a
City Manager Budget
500,000
INSURANCE (0212) 0001-0212-40-0-0000-460 BOILERS & MACHINERY 0001-0212-40-0-0000-461 BONDS MONEY & SECURITIES 0001-0212-40-0-0000-462 FIRE & VANDALISM 0001-0212-40-0-0000-463 LIABILITY INSURANCE 0001 0212 40 0 0000 469 0001-0212-40-0-0000-469 POLICE PROFESS LIAB 0001-0212-40-0-0000-470 PUB OFFICIAL LIAB 0001-0212-40-0-0000-476 WORKERS COMP INDEMNITY PMTS. 0001-0212-40-0-0000-477 WORKERS COMP MEDICAL 0001-0212-40-0-0000-478 SECOND INJURY FUND 0001-0212-40-0-0000-479 WORKERS COMP EXCESS LIAB. INS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
7,366
7,946
7,648
-
8,081
5.66%
8,081
8,998
7,629
8,029
7,629
8,000
-0.36%
8,000
172,220
165,712
164,672
146,588
147,068
-10.69%
147,068
1,101,662
1,129,229
1,079,229
1,072,486
1,113,153
3.14%
1,113,153
82,536
100,790
81,304
85,886
90,159
10.89%
90,159
46,240
37,376
37,376
30,437
33,376
-10.70%
33,376
595,461
655,007
665,050
332,525
731,555
10.00%
681,000
604,586
645,044
666,500
333,250
733,150
10.00%
696,000
169,207
186,127
186,410
-
205,051
10.00%
195,051
53,204
67,828
67,828
82,867
79,976
17.91%
79,976
2,841,480
3,002,688
2,964,046
2,091,668
3,149,569
6.26%
3,051,864
BENEFITS (0213) 0001-0213-40-0-0000-201 CITY MEDICAL BENEFITS 0001-0213-40-0-0000-204 EDUCATION MEDICAL BENEFITS 0001-0213-40-0-0000-207 LIFE INSURANCE 0001-0213-40-0-0000-220 LONGEVITY 0001-0213-40-0-0000-225 CITY BENEFITS 0001-0213-40-0-0000-231 EMPLOYEE RETIREMENT 0001 0213 40 0 0000 241 0001-0213-40-0-0000-241 UNEMPLOYMENT COMPENSATION 0001-0213-40-0-0000-242 UNUSED SICK LEAVE 0001-0213-40-0-0000-243 HYPERTENSION 0001-0213-40-0-0000-244 SOCIAL SECURITY 0001-0213-40-0-0000-250 POLICE BENEFITS 0001-0213-40-0-0000-252 POLICE RETIREE MEDICAL BENEFITS 0001-0213-40-0-0000-253 POLICE SOC SEC MEDICARE 0001-0213-40-0-0000-254 POLICE RETIREMENT 0001-0213-40-0-0000-255 POLICE MEDICAL 0001-0213-40-0-0000-256 POLICE LIFE
2006 Actual
2,114,903
2007 Actual
1,500,000
2008 Budget
2,835,290
2008 Actual
1,424,020
Department Budget Request
2,021,166
Percent Change
-28.71% n/a
City Manager Budget
2,089,360
-
-
-
-
-
70,430
64,736
70,612
36,572
65,000
-7.95%
65,000
69,953
74,950
77,750
70,198
72,000
-7.40%
72,000
-
-
-
-
-
n/a
-
-
74,736
195,528
596,315
347,550
698,034
17.06%
698,034
120,375
134,874
261,526
105,190
150,000
-42.64%
130,000
256,369
290,432
382,082
296,166
305,000
-20.17%
305,000
556,285
646,489
864,286
431,763
1,075,366
24.42%
955,366
2,071,450
2,180,023
2,091,175
1,187,110
2,395,000
14.53%
2,380,000
963,661
911,001
1,097,023
573,865
2,656,496
142.15%
1,224,581
352,992
352,992
353,000
205,912
-
-100.00%
-
85,634
83,405
98,306
43,238
85,450
-13.08%
85,000
2,887,512
3,258,180
3,156,801
1,841,350
3,556,861
12.67%
3,556,861
1,097,524
740,000
1,569,317
784,659
1,118,704
-28.71%
1,378,494
20,199
18,827
20,263
11,167
20,263
0.00%
20,263
BENEFITS (0213) 0001-0213-40-0-0000-257 POLICE W/COMP & HYPERTENSION 0001-0213-40-0-0000-258 POLICE HEARING POOL 0001-0213-40-0-0000-259 POLICE VISION POOL 0001-0213-40-0-0000-260 FIRE BENEFITS 0001-0213-40-0-0000-262 FIRE RETIREE MEDICAL BENEFITS 0001-0213-40-0-0000-263 FIRE SOC SEC MEDICARE 0001-0213-40-0-0000-264 FIRE RETIREMENT 0001-0213-40-0-0000-265 FIRE MEDICAL 0001-0213-40-0-0000-266 FIRE LIFE 0001-0213-40-0-0000-267 FIRE W/COMP & HYPERTENSION 0001-0213-40-0-0000-274 CASA MEDICAL 0001-0213-40-0-0000-276 POLICE CERTIFICATION BONUS 0001-0213-40-0-0000-277 POLICE LONGEVITY 0001-0213-40-0-0000-278 FIRE LONGEVITY 0001-0213-40-0-0000-279 FIRE HEARING POOL 0001-0213-40-0-0000-280 FIRE VISION POOL 0001-0213-40-0-0000-282 UNIFORMS GUARDS
2006 Actual 417,510
2007 Actual 348,514
-
-
4,757
3,057
844,700
2008 Budget
2008 Actual
404,980 -
211,584
Department Budget Request 391,149
Percent Change -3.42%
City Manager Budget 391,149
-
-
n/a
-
1
1,500
-
n/a
-
942,333
1,085,500
661,407
460,200
460,200
460,200
268,450
-
47,271
51,281
59,586
29,149
60,064
0.80%
55,000
1,746,120
2,154,876
1,975,394
1,152,200
2,464,361
24.75%
2,464,361
885 966 885,966
650 000 650,000
1 206 590 1,206,590
603 295 603,295
860 130 860,130
-28.71% 28 71%
1 045 035 1,045,035
15,665
14,460
15,214
8,965
15,412
1.30%
15,412
230,349
466,793
421,743
105,596
282,960
-32.91%
282,960
4,030
4,764
6,531
3,801
6,561
0.46%
6,561
61,550
63,600
59,400
-
59,400
0.00%
59,400
-
30,700
40,200
31,300
40,200
0.00%
40,200
-
28,075
32,000
27,379
32,000
0.00%
32,000
-
-
-
-
-100.00%
-
2,755
3,342
3,500
2,609
-
-100.00%
-
4,843
5,878
7,000
5,370
9,900
500
1,285,500
18.42% -100.00%
41.43%
1,085,500 -
9,900
BENEFITS (0213)
2006 Actual 15,467,741
2007 Actual 15,679,309
2008 Budget 19,252,085
2008 Actual 10,471,362
Department Budget Request 19,726,977
Percent Change 2.47%
City Manager Budget 18,447,437
GENERAL ADMINISTRATION (0214) 0001-0214-40-0-0000-310 TRANSIT 0001-0214-40-0-0000-331 PUPIL TRANSPORTATION 0001-0214-40-0-0000-340 ADVERTISING,PRINTING,BINDING 0001-0214-40-0-0000-341 STREET LIGHTING 0001-0214-40-0-0000-342 WATER 0001-0214-40-0-0000-343 HYDRANTS 0001-0214-40-0-0000-344 SEWERS 0001 0214 40 0 0000 346 0001-0214-40-0-0000-346 PARK MAINTENANCE 0001-0214-40-0-0000-371 MALONEY SCHOLARSHIP 0001-0214-40-0-0000-372 VETERANS ORGANIZATION 0001-0214-40-0-0000-374 AMBULANCE 0001-0214-40-0-0000-375 EMERGENCY MEDICAL DISPATCH 0001-0214-40-0-0000-376 NERDEN RTC DAY CAMP 0001-0214-40-0-0000-377 DAY CARE 0001-0214-40-0-0000-379 C-MED 0001-0214-40-0-0000-388 AUDIT 0001-0214-40-0-0000-395 PROBATE COURT
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
193,280
193,879
217,485
80,833
218,127
0.30%
218,127
645,737
663,553
663,553
341,724
663,553
0.00%
663,553
15,000
200.00%
5,000
-
-
5,000
-
611,242
656,661
705,491
332,997
624,000
-11.55%
624,000
109,864
105,629
115,000
84,707
110,000
-4.35%
110,000
65,000
65,000
65,000
-
65,000
0.00%
65,000
68,911
76,485
72,500
52,389
70,000
-3.45%
70,000
4,270
-
7,500
2,697
7,500
0.00%
7,500
24,000
24,000
24,000
24,000
24,000
0.00%
24,000
37,550
35,000
37,550
37,500
37,550
0.00%
37,550
128,750
132,613
132,613
99,459
132,613
0.00%
136,591
37,595
37,595
37,595
19,361
37,595
0.00%
37,595
54,380
54,380
46,856
46,856
57,754
23.26%
46,586
5,000
5,000
-
-
5,000
117,706
112,210
115,728
77,150
112,210
-3.04%
120,169
63,911
69,867
60,000
81,415
70,000
16.67%
70,000
19,055
15,504
14,000
4,759
20,000
42.86%
14,000
n/a
-
0001-0214-40-0-0000-440 ZONING EXP & SUPPLIES & P/t 0001-0214-40-0-0000-441 ECONOMIC DEVELOPMENT 0001-0214-40-0-0000-442 COMMISSION FOR DISABLED 0001-0214-40-0-0000-492 DAFFODIL FESTIVAL 0001-0214-40-0-0000-493 REGIONAL MENTAL HEALTH 0001-0214-40-0-0000-505 HIGH SCHOOLS STATUS REVIEW 0001-0214-40-0-0000-710 ANTI-LITTER COMMITTEE 0001-0214-40-0-0000-718 REPAY HOUSING AUTHORITY 0001-0214-40-0-0000-719 TEXTBOOK LOAN 0001-0214-40-0-0000-726 SPECIAL EVENTS & CELEBRATIONS 0001-0214-40-0-0000-727 SOLOMON GOFFE HOUSE 0001-0214-40-0-0000-730 CONSERVATION COMMITTEE 0001-0214-40-0-0000-731 MARKETING PROMOTION 0001-0214-40-0-0000-737 FLOOD CONTROL AGENCY 0001-0214-40-0-0000-740 DAY CAMP 0001-0214-40-0-0000-741 CAMP VOL PROGRAM 0001-0214-40-0-0000-746 MERIDEN SCHOLASTIC SCHOLARSHIP 0001-0214-40-0-0000-748 NEIGHBORHOOD ASSOCIATIONS 0001-0214-40-0-0000-749
15,093
12,723
12,000
4,523
15,000
25.00%
12,000
22,296
30,257
50,000
-
40,000
-20.00%
50,000
699
1,000
1,000
0.00%
1,000
30,000
30,000
15,000
-
35,000
133.33%
15,000
1,000
1,000
1,000
1,000
3,569
256.90%
1,000
-
39,500
-
-
-
n/a
-
-
1,286
10,000
-
-
n/a
2,000
11,411
11,411
11,411
-
11,411
0.00%
11,411
37 661 37,661
38 000 38,000
38 000 38,000
-
38 000 38,000
0 00% 0.00%
38 000 38,000
295,948
46,109
47,300
37,684
51,450
8.77%
48,250
420
420
500
420
500
0.00%
500
160
150
750
145
750
0.00%
750
26,770
19,022
20,000
4,930
100,000
400.00%
20,000
1,174
359
2,000
83
2,000
0.00%
1,000
7,500
6,750
10,000
7,500
10,000
0.00%
7,500
7,500
6,375
10,000
7,500
10,000
0.00%
7,500
28,000
42,000
40,000
45,000
40,000
0.00%
40,000
1,616
1,390
6,000
1,036
10,000
66.67%
6,000
-
3
ROD & GUN FISH CLUB 0001-0214-40-0-0000-751 CULTURAL DIVERSITY FUND 0001-0214-40-0-0000-758 GALLERY 53 0001-0214-40-0-0000-759 CURTIS UTILIZATION 0001-0214-40-0-0000-760 TEEN SATELLITE PROGRAMS 0001-0214-40-0-0000-770 TROC 0001-0214-40-0-0000-774 REGIONAL GROWTH PARTNERS 0001-0214-40-0-0000-775 HUMANE SOCIETY 0001-0214-40-0-0000-776 FRIENDS OF THE LIBRARY 0001 0214 40 0 0000 778 0001-0214-40-0-0000-778 MERIDEN ACADEMY OF MARTIAL ARTS 0001-0214-40-0-0000-779 PROJECT GRADUATION 0001-0214-40-0-0000-780 NEW OPPORT OF GREATER MERIDEN 0001-0214-40-0-0000-781 SUMMER CAMPERSHIP PROGRAM 0001-0214-40-0-0000-782 MERIDEN RAIDERS
1,000
1,000
1,000
-
1,750
75.00%
1,000
4,957
4,509
7,000
6,766
10,000
42.86%
7,000
5,000
5,000
4,000
4,000
5,000
25.00%
4,000
11,000
11,000
8,800
8,800
22,000
150.00%
8,800
147,800
143,425
127,500
68,675
149,750
17.45%
127,500
-
-
1,500
-
3,000
100.00%
3,000
19,362
19,362
23,778
-
19,362
-18.57%
23,778
19,461
-
-
-
6,000
18,000
18,000
15,000
15,000
18,000
n/a 20.00%
15,000
-
500
-
-
-
n/a
-
-
1,000
-
-
-
n/a
-
-
5,000
-
-
-
n/a
-
-
5,000
-
-
-
n/a
-
-
-
6,000
-
-
n/a
-
2,899,380
2,748,622
2,789,410
1,498,913
2,873,444
3.01%
2,701,660
CAPITAL (0215) 0001-0215-40-0-0000-500 CAPITAL EQUIPMENT
2006 Actual
668,857
note
2007 Actual
484,931
2008 Budget
1,022,897
2008 Actual
519,477
original 2008 budget = $575,000
Department Budget Request
828,500
Percent Change
-19.00%
City Manager Budget
510,400
DEVELOPMENT & ENFORCEMENT (0510) 0001-0510-40-0-0000-189 MISC PART TIME 0001-0510-40-0-0000-190 ADMINISTRATIVE 0001-0510-40-0-0000-191 OVERTIME 0001-0510-40-0-0000-196 MME 0001-0510-40-0-0000-198 SUPERVISORS 0001-0510-40-0-0000-352 VEHICLE MAINTENANCE 0001 0510 40 0 0000 390 0001-0510-40-0-0000-390 DESIGN REVIEW BOARD 0001-0510-40-0-0000-391 PLAN OF CONSERV & DEVELOP 0001-0510-40-0-0000-440 OFFICE EXPENSE & SUPPLIES 0001-0510-40-0-0000-640 MEMBERSHIPS & MEETINGS 0001-0510-40-0-0000-708 UNSAFE BUILDINGS
2006 Actual
2007 Actual
-
-
1,500
-
93,723
99,100
98,215
51,681
102,460
4.32%
102,460
2,282
4,088
6,500
3,736
6,500
0.00%
6,500
406,684
428,288
420,535
194,807
441,214
4.92%
395,930
151,005
161,644
70,765
114,435
152,264
115.17%
152,264
12,853
13,193
10,000
3,687
12,000
20.00%
11,000
115
-
-
-
485
66,025
75,000
10,825
25,000
-66.67%
25,000
7,988
6,344
10,500
2,321
12,000
14.29%
11,000
3,023
2,967
5,700
2,299
6,700
17.54%
5,700
-
-
-
-
1,000
678,158
note
781,649
2008 Budget
698,715
2008 Actual
Department Budget Request
383,790
MME increase should be around 4.02% (2.87 + 1.15) Supervisors increase should be around 4.4% (3.25 + 1.15)
-
150
759,288
Percent Change
-100.00%
n/a
n/a 8.67%
City Manager Budget
-
150
710,004
INLAND WETLAND (0520)
0001-0520-40-0-0000-390 OTHER PURCHASE SERVICES 0001-0520-40-0-0000-440 OFFICE EXPENSE & SUPPLIES 0001-0520-40-0-0000-640 MEMBERSHIPS & MEETINGS
2006 Actual
2007 Actual
-
-
1,435
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
-
-
1,500
1,500
1,296
1,500
1,633
700
700
-
-
-
-
500
500
1,435
1,296
1,500
1,633
2,700
2,700
PARKING (3940) 0001-3940-40-0-0000-192 PAYROLL 0001-3940-40-0-0000-198 SUPERVISORS 0001-3940-40-0-0000-323 MAINTENANCE 0001-3940-40-0-0000-352 VEHICLE MAINTENANCE 0001-3940-40-0-0000-353 TELEPHONES 0001-3940-40-0-0000-414 UTILITIES 0001 3940 40 0 0000 440 0001-3940-40-0-0000-440 GENERAL EXPENSES
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
59,065
60,039
67,469
32,009
66,432
-1.54%
66,432
39,649
43,306
43,596
31,116
36,622
-16.00%
36,622
11,502
2,804
5,000
1,380
7,500
50.00%
6,250
932
2,190
1,000
121
3,500
250.00%
3,500
335
339
600
143
1,350
125.00%
1,350
24,285
34,896
22,000
10,591
29,160
32.55%
25,500
2,555
1,310
3,000
1,467
5,000
66.67%
3,500
138,323
144,884
142,665
76,827
149,564
4.84%
143,154
FINANCE 0001-0210-40-0-0000-190 ADMINISTRATIVE 0001-0210-40-0-0000-191 OVERTIME CONTINGENCY 0001-0210-40-0-0000-196 MME 0001-0210-40-0-0000-198 SUPERVISORS 0001-0210-40-0-0000-240 DEFERRED COMPENSATION 0001-0210-40-0-0000-352 VEHICLE MAINTENANCE 0001 0210 40 0 0000 353 0001-0210-40-0-0000-353 TELEPHONE 0001-0210-40-0-0000-440 OFFICE EXPENSE & SUPPLIES 0001-0210-40-0-0000-601 CONTINGENCY 0001-0210-40-0-0000-640 MEMBERSHIP & MEETINGS 0001-0210-40-0-0000-703 GENERAL OFFICE SUPPLIES
2006 Actual
100,728 -
2007 Actual
2008 Budget
152,341 -
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
108,734
55,846
110,604
1.72%
110,604
1,000
27
500
-50.00%
500
181,574
191,721
187,645
96,892
172,799
-7.91%
172,799
192,829
208,354
205,067
110,162
231,605
12.94%
231,605
2,510
1,346
-
-
3,200
2,200
2,400
1,200
2,400
0.00%
2,400
104,142
104,131
110,000
54,172
95,000
-13.64%
95,000
28,660
30,723
30,000
(13,771)
33,000
10.00%
32,000
54,541
-
-
-
4,651
4,302
5,110
1,045
5,740
12.33%
5,740
1
1
32,242
1
0.00%
1
695,118
649,957
337,817
651,651
0.26%
650,651
(5,061) 667,774
note
1
n/a
1
n/a
MME - 25% of finance specialist charged to pension. Part time position eliminated. Supervisors - 2 out of 3 will receive steps. BOE admin. Bldg phone bill was being paid out of account = $13,000
1
1
PURCHASING 0001-0250-40-0-0000-191 OVERTIME 0001-0250-40-0-0000-196 MME 0001-0250-40-0-0000-198 SUPERVISORS 0001-0250-40-0-0000-440 OFFICE EXPENSE & SUPPLIES 0001-0250-40-0-0000-640 MEMBERSHIP & MEETINGS 0001-0250-40-0-0000-701 STOREROOM
2006 Actual
2007 Actual
-
-
2008 Budget
500
2008 Actual
Department Budget Request
City Manager Budget
-
500
0.00%
500
13,501
137,567
133,807
68,211
141,672
5.88%
141,672
76,789
86,632
87,234
44,553
91,103
4.44%
91,103
3,698
5,000
4,000
2,324
4,970
24.25%
4,500
1,977
2,952
4,000
1,311
5,145
28.63%
4,500
187
48
1
1
0.00%
1
96,151
232,199
229,542
243,391
6.03%
242,276
(185) 116,214
ASSESSMENT & COLLECTIONS (0275) 0001-0275-40-0-0000-191 OVERTIME 0001-0275-40-0-0000-196 MME 0001-0275-40-0-0000-198 SUPERVISORS 0001-0275-40-0-0000-352 VEHICLE MAINTENANCE 0001-0275-40-0-0000-388 AUDIT 0001-0275-40-0-0000-390 REVALUATION 0001 0275 40 0 0000 440 0001-0275-40-0-0000-440 OFFICE EXPENSE & SUPPLIES 0001-0275-40-0-0000-500 CAPITAL EQUIPMENT 0001-0275-40-0-0000-640 MEMBERSHIP & MEETINGS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
2,180
6,896
4,500
8,806
4,500
0.00%
4,500
406,288
412,830
391,625
241,209
426,558
8.92%
403,228
285,126
300,764
214,092
160,302
227,638
6.33%
227,638
1,139
856
1,000
297
1,000
0.00%
1,000
4,000
-
3,500
500
7,500
114.29%
7,500
200,719
190,310
5,000
-
12,000
140.00%
12,000
86,040
92,663
84,000
31,842
110,360
31.38%
93,000
-
-
25,000
-
3,590
4,737
4,885
653
4,775
-2.25%
4,225
989,082
1,009,055
733,602
443,610
794,331
8.28%
753,091
-
-100.00%
note MME increase without additional request = 2.96% (amount without request = 403,228)
-
ASSESSMENT APPEALS (0281) 0001-0281-40-0-0000-189 MISC PART-TIME 0001-0281-40-0-0000-440 OFFICE EXPENSE & SUPPLIES
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
-
2,500
0.00%
2,500
1,500
5,000
2,500
235
750
750
362
750
0.00%
750
1,735
5,750
3,250
362
3,250
0.00%
3,250
PARKS 0001-0801-40-3-0000-189 MISC PART-TIME 0001-0801-40-3-0000-190 ADMINISTRATIVE 0001-0801-40-3-0000-191 OVERTIME CONTINGENCY 0001-0801-40-3-0000-194 PUBLIC WORKS 0001-0801-40-3-0000-198 SUPERVISORS 0001-0801-40-3-0000-345 PARK & REC EXPENSE & SUPPLIES 0001 0801 40 3 0000 346 0001-0801-40-3-0000-346 PARK MAINTENANCE/VANDALISM 0001-0801-40-3-0000-352 VEHICLE MAINTENANCE 0001-0801-40-3-0000-414 HEAT, ENERGY, & LIGHTS 0001-0801-40-3-0000-484 VANDALISM 0001-0801-40-3-0000-485 SECURITY 0001-0801-40-3-0000-640 MEETINGS & MEMBERSHIPS 0001-0801-40-3-0000-642 DOWNTOWN 0001-0801-40-3-0000-643 TREE REMOVAL & REPLACEMENT
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
64,598
48,245
55,000
21,132
75,000
36.36%
55,000
102,885
105,430
104,789
53,577
106,009
1.16%
106,009
92,186
73,931
70,000
40,441
119,500
70.71%
80,000
793,511
821,482
710,508
425,467
766,654
7.90%
766,654
69,427
72,883
72,990
37,488
76,651
5.02%
76,651
67,230
57,722
80,000
29,350
109,865
37.33%
80,000
17,915
13,841
1
-
20,000
n/a
110,026
92,652
88,000
32,672
90,000
2.27%
90,000
148,818
178,236
175,000
62,225
192,720
10.13%
180,000
-
-
-
-
9,825
9,980
5,000
3,267
15,000
200.00%
5,000
2,997
2,500
2,500
1,892
5,200
108.00%
2,500
13,326
6,306
7,500
3,231
10,000
33.33%
3,000
7,709
7,420
1
-
10,000
1,500,453
1,490,628
1,371,289
710,741
1
1,596,600
n/a
-
n/a 16.43%
1
1 1,444,816
LIBRARY (0160) 0001-0160-40-0-0000-189 MISC PART-TIME 0001-0160-40-0-0000-190 ADMINISTRATIVE 0001-0160-40-0-0000-196 MME 0001-0160-40-0-0000-198 SUPERVISORS 0001-0160-40-0-0000-321 PUBLIC UTILITIES 0001-0160-40-0-0000-346 GROUNDS MAINTENANCE 0001 0160 40 0 0000 352 0001-0160-40-0-0000-352 VEHICLE MAINTENANCE 0001-0160-40-0-0000-353 TELEPHONES 0001-0160-40-0-0000-389 SECURITY SERVICE 0001-0160-40-0-0000-390 OTHER PURCHASED SERVICES 0001-0160-40-0-0000-391 VIDEO SERVICES 0001-0160-40-0-0000-413 BUILDING SUPPLIES & MATERIALS 0001-0160-40-0-0000-430 LIBRARY BOOKS & MATERIALS 0001-0160-40-0-0000-440 OFFICE EXPENSE & SUPPLIES 0001-0160-40-0-0000-640 MEMBERSHIP & MEETINGS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
30,023
21,812
28,673
13,159
33,599
17.18%
33,599
36,213
81,000
84,188
72,856
82,500
-2.01%
82,500
603,939
640,090
607,723
355,850
678,721
a
11.68%
665,087
680,076
671,966
669,198
322,241
744,316
b
11.23%
722,788
93,300
127,363
124,907
82,682
179,481
43.69%
168,000
-
2,000
-
-
-
n/a
-
904
1,079
1,000
239
1,600
60.00%
1,600
5,394
5,361
5,850
2,541
4,980
-14.87%
4,980
84
664
700
360
700
0.00%
700
79,793
82,141
85,000
41,569
86,276
1.50%
86,276
17,203
14,250
20,000
7,500
20,000
0.00%
18,000
33,009
28,362
38,000
15,946
45,283
19.17%
38,000
144,265
141,230
150,000
64,040
171,400
14.27%
154,500
26,351
25,764
37,500
14,361
42,043
12.11%
32,000
985
2,085
2,405
1,400
2,485
3.33%
2,485
1,751,538
1,845,166
1,855,144
994,744
2,093,384
12.84%
2,010,515
a (3) step increases b (4) step increases
RECREATION 0001-0802-40-3-0000-191 OVERTIME 0001-0802-40-3-0000-192 OTHER NON-UNION 0001-0802-40-3-0000-194 PUBLIC WORKS 0001-0802-40-3-0000-196 MME 0001-0802-40-3-0000-198 SUPERVISORS 0001-0802-40-3-0000-345 RECREATION PROGRAM EXPENSE 0001 0802 40 3 0000 346 0001-0802-40-3-0000-346 HOLIDAY DISPLAY REPLACEMENT 0001-0802-40-3-0000-347 CONCERTS 0001-0802-40-3-0000-348 LEAGUE SUBSIDY 0001-0802-40-3-0000-440 OFFICE EXPENSE & SUPPLIES 0001-0802-40-3-0000-640 MEETINGS & MEMBERSHIPS 0001-0802-40-3-0000-764 GUIFFRIDA CAMP
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
11,755
4,505
7,500
5,113
10,500
40.00%
7,500
92,504
81,948
84,022
61,133
95,000
13.07%
85,000
90,618
98,307
104,091
50,860
103,881
-0.20%
103,881
106,655
113,778
118,166
60,050
149,265
26.32%
149,265
53,448
56,139
56,518
28,871
59,041
4.46%
59,041
9,959
9,994
10,000
5,667
13,000
30.00%
11,500
2,934
2,884
3,000
2,629
10,000
233.33%
5,000
4,000
4,000
4,000
3,150
6,000
50.00%
4,000
30,000
30,000
23,000
-
40,000
73.91%
30,000
8,309
7,588
9,500
2,878
13,000
36.84%
9,500
1,795
1,991
2,500
2,484
3,000
20.00%
3,000
8,000
9,017
9,000
8,405
10,000
11.11%
9,000
419,978
420,151
431,297
231,239
512,687
18.87%
476,687
BUILDING MAINTENANCE (3360) 0001-3360-40-3-0000-189 MISC PART-TIME 0001-3360-40-3-0000-191 OVERTIME CONTINGENCY 0001-3360-40-3-0000-194 PUBLIC WORKS 0001-3360-40-3-0000-198 SUPERVISORS 0001-3360-40-3-0000-352 VEHICLE MAINTENANCE 0001-3360-40-3-0000-412 REPAIRS & UPGRADES 0001 3360 40 3 0000 413 0001-3360-40-3-0000-413 MAINTENANCE SUPPLIES 0001-3360-40-3-0000-414 HEAT ENERGY LIGHTS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
n/a
City Manager Budget
-
10,293
-
7,449
-
42,036
44,049
40,000
19,039
45,000
12.50%
40,000
260,948
294,741
300,801
142,625
301,672
0.29%
301,672
63,628
66,821
67,240
34,352
70,251
4.48%
70,251
1,199
2,119
1,200
570
3,000
150.00%
3,000
-
-
-
-
20,000
32,289
34,866
35,000
22,008
58,200
66.29%
46,000
503,011
620,432
715,839
307,757
810,386
13.21%
725,000
903,112
1,073,320
1,160,080
533,800
1,308,509
13%
1,205,923
n/a
-
20,000
POLICE (2605) 0001-2605-40-2-0000-190 ADMINISTRATIVE 0001-2605-40-2-0000-191 OVERTIME 0001-2605-40-2-0000-192 OTHER NON UNION 0001-2605-40-2-0000-194 PUBLIC WORKS 0001-2605-40-2-0000-196 MME 0001-2605-40-2-0000-197 POLICE PATROL 0001-2605-40-2-0000-198 CROSSING GUARDS 0001 2605 40 2 0000 352 0001-2605-40-2-0000-352 VEHICLE MAINTENANCE 0001-2605-40-2-0000-380 COMMUNICATIONS & MAINTENANCE 0001-2605-40-2-0000-381 TRAINING 0001-2605-40-2-0000-382 SOUTH CENTRAL JUSTICE 0001-2605-40-2-0000-390 EXPLORERS/AUXILIARY POLICE 0001-2605-40-2-0000-391 CANINE UNIT 0001-2605-40-2-0000-392 BICYCLE PATROL 0001-2605-40-2-0000-443 POLICE EXPENSE & SUPPLIES 0001-2605-40-2-0000-490 ACCREDITATION 0001-2605-40-2-0000-491 CRIME PREVENTION
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
187,003
195,375
196,449
98,134
202,230
2.94%
202,230
1,000,209
1,162,147
900,000
570,223
1,090,000
21.11%
945,000
-
20,303
44,460
13,579
44,460
0.00%
44,460
63,935
66,602
68,368
34,091
69,749
2.02%
69,749
510,791
567,552
611,167
289,747
616,534
0.88%
679,534
6,706,465
7,107,126
7,730,376
3,597,623
8,073,187
4.43%
7,931,221
256,605
253,469
273,102
122,956
283,434
3.78%
283,434
224,562
278,176
255,000
16,985
381,000
49.41%
302,250
73,839
80,728
80,000
32,962
98,000
22.50%
84,000
165,307
144,267
168,740
51,599
256,600
52.07%
179,140
10,500
10,500
11,250
11,100
13,000
15.56%
11,750
5,225
9,025
17,500
8,070
19,500
11.43%
17,500
-
-
-
-
15,000
6,479
3,803
8,500
-
9,500
11.76%
5,500
142,977
107,135
117,500
139,500
18.72%
117,500
54,372
4,260
-
-
-
12,702
9,073
15,000
6,393
1 26,800
n/a
n/a 78.67%
10,000
1 16,250
0001-2605-40-2-0000-492 HOSTAGE CRISIS 0001-2605-40-2-0000-510 MIS TECHNOLOGY 0001-2605-40-2-0000-640 MEMBERSHIP & MEETINGS 0001-2605-40-2-0000-709 POLICE PRIVATE DUTY
19,893
14,351
17,000
1,106
41,000
141.18%
30,000
154,804
173,475
234,880
142,128
241,677
2.89%
241,677
6,523
4,085
9,180
1,200
11,380
23.97%
9,680
1
1
164,335
1
0.00%
1
10,207,195
10,758,473
5,216,603
11,632,553
8.12%
11,180,877
(23,287) 9,528,793
FIRE 0001-2610-40-2-0000-190 ADMINISTRATIVE 0001-2610-40-2-0000-191 OVERTIME CONTINGENCY 0001-2610-40-2-0000-194 PUBLIC WORKS 0001-2610-40-2-0000-195 FIRE 0001-2610-40-2-0000-196 MME 0001-2610-40-2-0000-352 VEHICLE MAINTENANCE 0001-2610-40-2-0000-380 COMMUNICATIONS & MAINTENANCE 0001 2610 40 2 0000 381 0001-2610-40-2-0000-381 TRAINING 0001-2610-40-2-0000-390 PHYSICALS 0001-2610-40-2-0000-413 MAINT SUPPLIES 0001-2610-40-2-0000-414 HEAT ENERGY LIGHTS 0001-2610-40-2-0000-440 OFFICE EXPENSE & SUPPLIES 0001-2610-40-2-0000-503 FIRE EQUIPMENT 0001-2610-40-2-0000-640 MEMBERSHIP & MEETINGS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
168,734
181,625
189,487
90,690
186,846
-1.39%
186,846
887,365
986,562
775,000
634,007
919,815
18.69%
919,815
58,791
61,246
62,868
30,632
64,165
2.06%
64,165
5,229,660
5,731,801
5,885,860
2,909,713
5,910,346
0.42%
5,910,346
90,288
93,891
96,540
47,790
100,389
3.99%
100,389
77,314
86,777
75,000
31,986
85,000
13.33%
80,000
10,840
18,853
25,000
7,461
48,085
92.34%
40,334
8,317
15,744
24,500
431
34,500
40.82%
27,500
24,747
29,445
35,025
3,654
41,922
19.69%
37,500
28,057
24,042
35,000
14,272
59,600
70.29%
40,000
122,234
138,073
136,000
47,307
149,000
9.56%
142,000
16,374
15,979
20,000
7,588
24,000
20.00%
20,000
27,934
30,382
38,322
11,977
98,905
158.09%
73,000
4,947
5,714
9,605
4,601
10,605
10.41%
9,605
6,755,603
7,420,135
7,408,207
3,842,109
7,733,178
4.39%
7,651,500
EMERGENCY COMMUNICATIONS (2617) 0001-2617-40-0-0000-500 CAPITAL EQUIPMENT 0001-2617-40-2-0000-190 ADMINISTRATION 0001-2617-40-2-0000-191 OVERTIME 0001-2617-40-2-0000-196 DISPATCH 0001-2617-40-2-0000-380 COMMUNICATIONS & MAINTENANCE 0001-2617-40-2-0000-381 TRAINING 0001-2617-40-2-0000-440 OFFICE EXPENSE & SUPPLIES
2006 Actual
2007 Actual
-
-
-
-
7,100
-
69,461
70,384
35,658
73,401
4.29%
73,401
211,608
246,071
184,500
108,137
210,000
13.82%
200,000
509,543
547,412
626,236
305,938
620,106
-0.98%
620,106
3,765
7,500
1,577
11,500
53.33%
8,500
45
5,005
10,000
5,998
12,000
20.00%
11,000
6,765
9,031
18,000
3,368
21,500
19.44%
19,000
727,961
880,746
916,620
460,676
955,607
4.25%
939,107
-
2008 Budget
2008 Actual
Department Budget Request
Percent Change
n/a
City Manager Budget
7,100
S.M.V.F.D. 0001-2619-40-2-0000-200 FIREFIGHTER PHYSICALS 0001-2619-40-2-0000-271 HEPATITIS VACINE 0001-2619-40-2-0000-352 VEHICLE MAINTENANCE 0001-2619-40-2-0000-380 COMMUNICATION & MAINTENANCE 0001-2619-40-2-0000-381 TRAINING 0001-2619-40-2-0000-413 MAINTENANCE SUPPLIES 0001 2619 40 2 0000 414 0001-2619-40-2-0000-414 HEAT ENERGY LIGHTS 0001-2619-40-2-0000-415 FOOD 0001-2619-40-2-0000-416 FIRE PREVENTION & EDUCATION 0001-2619-40-2-0000-440 OFFICE EXPENSE & SUPPLIES 0001-2619-40-2-0000-503 FIRE EQUIPMENT 0001-2619-40-2-0000-640 MEETINGS & MEMBERSHIPS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
3,544
8,129
7,500
900
9,000
20.00%
8,000
135
1,372
1,500
448
1,500
0.00%
1,500
3,109
4,671
6,066
2,044
6,066
0.00%
6,066
8,263
10,775
8,000
7,498
9,500
18.75%
9,000
2,045
3,735
4,100
400
4,100
0.00%
4,100
679
773
800
125
800
0.00%
800
10,939
13,693
13,941
1,660
13,941
0.00%
13,941
2,700
2,567
3,000
-
3,000
0.00%
3,000
350
150
350
-
350
0.00%
350
399
377
600
68
600
0.00%
600
20,649
23,486
22,000
11,688
26,594
20.88%
25,594
791
991
1,000
186
1,000
0.00%
1,000
53,603
70,718
68,857
25,016
76,451
11.03%
73,951
EMERGENCY MANAGEMENT (2690) 0001-2690-40-2-0000-189 MISC PART-TIME 0001-2690-40-2-0000-383 CIVIL PREPAREDNESS 0001-2690-40-2-0000-440 OFFICE EXPENSE & SUPPLIES
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
7,333
8,000
8,000
4,000
8,600
7.50%
8,600
-
-
2,500
-
7,570
202.80%
3,000
2,114
752
3,500
683
6,650
90.00%
4,000
9,448
8,752
14,000
4,683
22,820
63.00%
15,600
P.W. - ENGINEERING (3310) 0001-3310-40-0-0000-500 CAPITAL EQUIPMENT 0001-3310-40-3-0000-190 ADMINISTRATIVE 0001-3310-40-3-0000-191 OVERTIME 0001-3310-40-3-0000-196 MME 0001-3310-40-3-0000-198 SUPERVISORS 0001-3310-40-3-0000-320 INSPECTIONS - DAMS & BRIDGES 0001 3310 40 3 0000 352 0001-3310-40-3-0000-352 VEHICLE MAINTENANCE 0001-3310-40-3-0000-440 OFFICE EXPENSE & SUPPLIES 0001-3310-40-3-0000-640 MEMBERSHIPS & MEETINGS
2006 Actual
2007 Actual
-
-
-
2008 Budget
2008 Actual
Department Budget
Percent Change
-
-
2,800
46,322
90,941
46,770
96,276
5.87%
96,276
5,692
5,276
5,000
4,936
7,000
40.00%
5,000
429,113
452,396
413,138
205,918
429,883
4.05%
411,316
238,699
209,066
237,610
84,088
249,126
4.85%
249,126
n/a
n/a
City Manager
-
-
-
-
-
14,500
14,500
12,894
14,802
12,300
5,994
12,500
1.63%
12,500
10,261
11,746
16,900
6,008
17,300
2.37%
16,900
2,696
3,516
7,225
2,185
7,300
1.04%
7,300
699,356
743,124
783,114
355,899
836,685
6.84%
812,918
P.W. - GARAGE (3351) 0001-3351-40-0-0000-500 CAPITAL EQUIPMENT 0001-3351-40-3-0000-191 OVERTIME 0001-3351-40-3-0000-194 PUBLIC WORKS 0001-3351-40-3-0000-196 MME 0001-3351-40-3-0000-323 REPAIRS & MAINTENANCE SERVICE 0001-3351-40-3-0000-440 OFFICE EXPENSE & SUPPLIES 0001 3351 40 3 0000 640 0001-3351-40-3-0000-640 MEMBERSHIP & MEETINGS 0001-3351-40-3-0000-710 GARAGE MATERIALS
2006 Actual
2007 Actual
-
-
4,210
2008 Actual
Department Budget
-
-
30,000
5,502
5,000
5,286
6,250
25.00%
6,000
348,515
364,590
313,613
158,397
326,409
4.08%
326,409
57,280
59,571
22,254
5,137
47,122
111.75%
47,122
9,568
6,079
10,000
5,900
13,500
35.00%
12,000
4,826
8,633
5,000
3,289
12,300
146.00%
7,500
30
65
2,000
115
4,300
115.00%
2,000
1
121,383
1
0.00%
1
357,868
299,507
439,882
22.92%
401,032
27,207 451,635
444,439
2008 Budget
Percent Change
n/a
City Manager
-
P.W. - TRAFFIC (3353) 0001-3353-40-0-0000-500 CAPITAL EQUIPMENT 0001-3353-40-3-0000-189 PART TIME SUMMER HELP 0001-3353-40-3-0000-191 OVERTIME CONTINGENCY 0001-3353-40-3-0000-196 MME 0001-3353-40-3-0000-198 SUPERVISORS 0001-3353-40-3-0000-341 STREET LIGHT MAINTENANCE 0001 3353 40 3 0000 352 0001-3353-40-3-0000-352 VEHICLE MAINTENANCE 0001-3353-40-3-0000-365 SAFETY EQUIPMENT 0001-3353-40-3-0000-366 SIGNALIZATION 0001-3353-40-3-0000-367 SIGNS & LINES 0001-3353-40-3-0000-368 ALARM SYSTEMS 0001-3353-40-3-0000-391 DRUG TESTING 0001-3353-40-3-0000-440 OFFICE EXPENSE 0001-3353-40-3-0000-640 MEMBERSHIP & MEETINGS
2006 Actual
2007 Actual
-
-
-
2008 Actual
Department Budget
-
-
50,000
-
9,000
-
9,000
0.00%
-
20,482
25,082
19,424
10,472
18,000
-7.33%
18,000
212,045
223,366
184,336
93,504
191,826
4.06%
191,826
82,528
86,632
87,233
42,865
91,103
4.44%
91,103
6,181
2,904
7,500
1,537
15,000
100.00%
7,500
22,264
20,796
21,000
8,475
22,500
7.14%
22,500
996
2,000
994
2,400
20.00%
2,000
88,568
79,833
73,420
54,224
74,420
1.36%
74,420
37,743
22,866
40,000
22,808
174,999
337.50%
120,000
1,423
548
2,000
954
3,000
50.00%
2,000
-
-
2008 Budget
-
250
Percent Change
n/a
n/a
City Manager
-
-
-
-
806
1,070
1,000
753
1,100
10.00%
1,100
1,621
2,648
1,750
385
4,250
142.86%
4,250
473,661
466,740
448,663
236,972
657,848
46.62%
534,699
P.W. - HIGHWAY (3354) 0001-3354-40-3-0000-191 OVERTIME CONTINGENCY 0001-3354-40-3-0000-194 PUBLIC WORKS 0001-3354-40-3-0000-196 MME 0001-3354-40-3-0000-198 SUPERVISORS 0001-3354-40-3-0000-308 SNOW & ICE CONTROL 0001-3354-40-3-0000-352 VEHICLE MAINTENANCE 0001-3354-40-3-0000-359 STREET MAINT SUPPLIES 0001 3354 40 3 0000 360 0001-3354-40-3-0000-360 SIDEWALK,BASIN CONSTRUCTION 0001-3354-40-3-0000-361 STREET CONSTRUCTION 0001-3354-40-3-0000-363 STORM DRAIN CONSTRUCTION 0001-3354-40-3-0000-364 BROOK DREDGING 0001-3354-40-3-0000-390 ROADSIDE BULKY WASTE 0001-3354-40-3-0000-391 DRUG TESTING 0001-3354-40-3-0000-440 OFFICE EXPENSE & SUPPLIES 0001-3354-40-3-0000-441 CLOTHING 0001-3354-40-3-0000-640 MEMBERSHIP & MEETINGS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget
Percent Change
City Manager
68,986
29,496
35,000
16,628
37,500
7.14%
35,000
771,689
802,029
778,961
428,852
818,876
5.12%
818,876
-
-
-
-
71,924
72,883
73,374
36,033
76,651
4.47%
76,651
519,070
321,561
500,200
191,126
700,500
40.04%
-
227,580
205,527
160,000
37,928
190,000
18.75%
175,000
7,444
9,026
10,000
3,774
16,000
60.00%
10,000
193
3,113
3,500
2,684
10,000
185.71%
5,000
24,771
24,892
36,475
25,480
35,000
-4.04%
522,742
6,306
3,583
8,000
7,959
16,000
100.00%
8,000
300
661
500
-
2,000
300.00%
2,000
11,676
25,272
15,000
-
60,000
300.00%
30,000
-
-
-
-
1,400
n/a
7,250
6,886
7,135
1,553
8,900
24.74%
7,500
4,665
5,728
6,000
709
14,000
133.33%
6,000
188
1,000
900
2,000
100.00%
1,500
1,510,844
1,635,145
753,626
1,988,828
21.63%
1,698,270
1,721,853
1
n/a
1
-
P.W. - TRANSFER STATION (3355) 0001-3355-40-3-0000-191 OVERTIME 0001-3355-40-3-0000-339 MONITORING 0001-3355-40-3-0000-352 VEHICLE MAINTENANCE 0001-3355-40-3-0000-390 OTHER PURCHASED SERVICES 0001-3355-40-3-0000-440 OFFICE EXPENSE & SUPPLY
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget
Percent Change
City Manager
20,810
11,201
39,000
7,287
39,000
0.00%
20,000
23,504
34,708
67,875
7,349
73,400
8.14%
50,000
11,938
13,863
12,000
3,062
15,000
25.00%
14,000
6,513
437
7,500
-
9,000
20.00%
9,000
3,618
1,381
4,100
356
9,800
139.02%
9,800
66,383
61,590
130,475
18,053
146,200
12.05%
102,800
SNOW AND ICE CONTROL (3320) 0001-3320-40-3-0000-308 SNOW & ICE CONTROL
2006 Actual
519,070
2007 Actual
321,561
2008 Budget
500,200
2008 Actual
191,126
Department Budget Request
700,500
Percent Change
40%
City Manager Budget
500,000
P.W. - WASTE COLLECTION (3357) 0001-3357-40-3-0000-340 RECYCLING 0001-3357-40-3-0000-369 DUMPING FEES 0001-3357-40-3-0000-390 CONTRACT 0001-3357-40-3-0000-440 OFFICE EXPENSE & SUPPLY
2006 Actual
2007 Actual
-
-
2008 Budget
-
2008 Actual
Department Budget
-
36,600
Percent Change
n/a
City Manager
36,600
659,024
675,278
600,251
264,904
615,340
2.51%
615,340
496,007
862,896
879,906
397,475
879,906
0.00%
879,906
250
0.00%
250
1,532,096
3.49%
1,532,096
215 1,155,247
1,538,174
250 1,480,407
662,379
P.W. - BULKY WASTE (3359) 0001-3359-40-3-0000-189 MISC PART-TIME 0001-3359-40-3-0000-194 PUBLIC WORKS 0001-3359-40-3-0000-196 MME 0001-3359-40-3-0000-352 VEHICLE MAINTENANCE 0001-3359-40-3-0000-390 DUMP FEES 0001-3359-40-3-0000-391 DRUG TESTING 0001 3359 40 3 0000 440 0001-3359-40-3-0000-440 OFFICE EXPENSE & SUPPLY 0001-3359-40-3-0000-442 CLOTHING ALLOWANCE
2006 Actual
2007 Actual
-
-
2008 Budget
-
2008 Actual
Department Budget
-
8,044
n/a
8,044
115,931
105,601
70,716
24,972
25,178
25,873
13,301
-
12,613
14,848
15,000
2,455
15,000
0.00%
15,000
112,184
41,154
151,000
46,895
168,900
11.85%
115,000
-
-
-
750
45.09%
City Manager
143,256
-
153,213
Percent Change
n/a
n/a
153,213 -
750
1,020
281
1,600
380
2,750
71.88%
2,750
2,006
992
2,000
108
3,000
50.00%
3,000
296,051
198,384
301,074
133,854
351,657
16.80%
297,757
HEALTH (4710) 0001-4710-40-4-0000-149 CERTIFIED SALARIES 0001-4710-40-4-0000-189 MISC. PART-TIME 0001-4710-40-4-0000-190 ADMINISTRATION 0001-4710-40-4-0000-193 PUBLIC HEALTH NURSES 0001-4710-40-4-0000-196 MME 0001-4710-40-4-0000-198 SUPERVISORS 0001 4710 40 4 0000 352 0001-4710-40-4-0000-352 VEHICLE MAINTENANCE 0001-4710-40-4-0000-440 OFFICE EXPENSES & SUPPLIES 0001-4710-40-4-0000-474 ENVIRONMENTAL SUPPLIES 0001-4710-40-4-0000-478 HEALTH SUPPLIES 0001-4710-40-4-0000-482 P.A. 10-217A SUPPLIES 0001-4710-40-4-0000-490 LEAD PROGRAM 0001-4710-40-4-0000-640 MEMBERSHIPS & MEETINGS 0001-4710-40-4-0000-706 SPECIAL PROJECTS 0001-4710-40-4-0000-708 EMERGENCY FUND SEWER BACKUPS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
321,770
299,402
295,801
135,230
294,025
-0.60%
294,025
4,500
4,500
5,000
2,625
5,500
10.00%
5,500
92,810
95,995
95,145
50,157
99,338
4.41%
99,338
924,228
971,179
1,015,263
518,447
1,038,295
2.27%
1,038,295
486,620
564,401
539,537
243,654
539,350
-0.03%
539,350
151,217
158,746
159,835
81,650
166,980
4.47%
166,980
5,953
5,070
5,300
2,014
5,400
1.89%
5,400
10,770
10,982
11,000
5,497
14,195
29.05%
11,250
11,993
11,225
12,000
6,299
15,457
28.81%
12,600
7,432
8,147
10,000
5,923
15,700
57.00%
11,750
7,868
7,865
8,500
5,489
7,700
-9.41%
7,700
2,743
3,950
4,200
2,000
4,800
14.29%
4,200
2,931
2,045
5,535
2,588
5,535
0.00%
5,535
439
-
1
9,479
1
0.00%
1
-
-
1
-
1
0.00%
1
2,212,277
2.08%
2,201,925
2,031,274
2,143,506
2,167,118
1,071,054
SOCIAL SERVICES (4720) 0001-4720-40-4-0000-196 MME 0001-4720-40-4-0000-390 EVICTIONS 0001-4720-40-4-0000-440 OFFICE EXPENSE & SUPPLIES 0001-4720-40-4-0000-640 MEMBERSHIPS & MEETINGS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
124,178
129,022
132,589
67,721
137,972
4.06%
137,972
56,617
57,571
52,000
24,761
56,000
7.69%
56,000
1,020
1,035
1,035
529
1,035
0.00%
1,035
90
200
200
0.00%
200
187,718
185,824
195,207
5.05%
195,207
181,814
93,011
SENIOR CENTER 0001-4730-40-4-0000-192 OTHER NON-UNION 0001-4730-40-4-0000-196 MME 0001-4730-40-4-0000-198 SUPERVISORS 0001-4730-40-4-0000-199 ELDERLY NUTRITION 0001-4730-40-4-0000-352 VEHICLE MAINTENANCE 0001-4730-40-4-0000-440 OFFICE EXPENSE & SUPPLIES 0001 4730 40 4 0000 640 0001-4730-40-4-0000-640 MEETINGS & MEMBERSHIPS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
23,673
26,601
29,655
12,430
34,964
17.90%
32,437
352,029
300,722
386,213
205,341
327,697
-15.15%
320,297
75,609
79,373
79,917
40,825
83,490
4.47%
83,490
29,590
22,589
28,232
11,341
28,108
-0.44%
28,108
16,087
17,480
12,000
8,169
12,000
0.00%
12,000
10,161
12,267
13,000
6,663
15,000
15.38%
13,750
345
345
1,000
345
1,000
0.00%
1,000
507,493
459,377
550,017
285,114
502,259
-8.68%
491,082
YOUTH SERVICES (4745) 0001-4745-40-4-0000-191 OVERTIME 0001-4745-40-4-0000-196 MME 0001-4745-40-4-0000-198 SUPERVISORS 0001-4745-40-4-0000-440 OFFICE EXPENSE & SUPPLIES 0001-4745-40-4-0000-490 YOUTH ACTIVITIES 0001-4745-40-4-0000-640 MEMBERSHIPS & MEETINGS
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
416
434
553
230
587
6.15%
587
2,895
55,016
56,537
28,882
58,832
4.06%
58,832
75,609
79,373
79,917
40,825
83,490
4.47%
83,490
1,500
1,505
1,500
1,307
2,150
43.33%
1,500
1,983
1,988
2,000
1,485
3,000
50.00%
2,000
892
930
1,205
600
1,205
0.00%
1,205
83,294
139,245
141,712
73,328
149,264
5.33%
147,614
DEBT SERVICE 0001-5211-40-5-0000-301 PRINCIPAL BONDS 0001-5211-40-5-0000-302 INTEREST BONDS 0001-5211-40-5-0000-303 BAN INTEREST 0001-5211-40-5-0000-304 BAN Principal 0001-5211-40-5-0000-305 Debt Service Fees
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
Percent Change
City Manager Budget
13,009,197
13,889,397
12,777,797
10,692,797
10,409,917
-18.53%
10,151,417
4,555,904
3,221,916
3,698,379
2,151,886
3,223,261
-12.85%
3,223,261
394,046
952,625
469,347
524,348
563,901
20.15%
563,901
-
-
42,500
-
-
-100.00%
-
-
-
40,000
7,566
-
-100.00%
-
17,028,023
13,376,596
17,959,146
18,063,938
14,197,079
-16.63%
13,938,579
object code
FISCAL DIVISION (0503-3910)
2006 Actual
2007 Actual
2008 Budget
2008 Actual till 2/26
Department Budget Request
City Manager Budget
REVENUES
648
REVENUE WATER DEPT
552,003
628,410
-
629,757
629,757
649
REVENUE SEWER DEPT
494,845
500,783
566,968
-
567,045
567,045
1,046,848
500,783
1,195,378
-
1,196,802
1,196,802
-
49 969 49,969
100 000 100,000
64 119 64,119
103 566 103,566
103 566 103,566
1,265
1,131
5,000
1,579
5,000
5,000
131,962
126,526
114,610
58,797
115,406
115,406
EXPENDITURES
190
ADMINISTRATION
191
OVERTIME
194
PUBLIC WORKS
196
MME
48,426
50,357
51,072
32,439
53,854
53,854
198
SUPERVISORS
63,622
67,041
73,679
44,220
76,651
76,651
200
EMPLOYEE BENEFITS
132,657
138,467
201,732
136,939
182,793
182,793
352
VEHICAL MAINTENANCE
11,911
9,001
12,900
4,432
12,900
12,900
357
ATTORNEY FEES
(12,344)
(5,218)
14,000
1,935
14,000
14,000
390
OTHER PURCHASED SERVICES
32,665
32,415
42,900
13,222
44,900
44,900
391
HEPATITIS B SHOTS
-
-
400
400
400
-
object code
FISCAL DIVISION (0503-3910)
443
OFFICE EXPENSES AND SUPPLIES
463
2006 Actual
2007 Actual
2008 Budget
2008 Actual till 2/26
Department Budget Request
City Manager Budget
1,077
-
1,450
-
1,450
1,450
LIABILITY INSURANCE
63,282
63,459
63,285
61,152
57,151
57,151
487
METER MATERIALS
14,657
14,768
15,000
7,943
15,000
15,000
489
TAX COLLECTOR SERVICES
447,478
463,140
479,350
-
493,731
493,731
712
WATER METERS
18,571
19,760
20,000
5,032
20,000
20,000
955,231
1,030,817
1,195,378
431,809
1,196,802
-
1,196,802
object code
WATER (0503-3920)
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
City Manager Budget
REVENUES
633 MUNICIPAL HYDRANT FEES
88,900
90,200
62,240
75,522
62,240
62,240
634 FIRE SERVICE CHARGE
83,075
83,869
109,069
21,161
109,781
109,781
641 INTEREST
151,279
142,768
90,000
148,326
90,000
90,000
642 LIEN FEES
58,532
59,972
45,000
-
45,000
45,000
680 INTEREST ON INVESTMENTS
262,237
291,499
250,000
1,506
250,000
250,000
687 BASIC SERVICE CHARGE
562,350
565,560
565,567
8,802
567,908
567,908
695 MISC. INCOME
138,738
80,442
108,000
12,706
108,000
108,000
-
664,012
-
593,443
593,443
699 RETAINED EARNINGS 684 WATER SALES
5,431,195
5,798,068
6,528,000
3,597,215
6,528,000
6,528,000
6,776,305
7,112,376
8,421,888
3,865,238
8,354,372
8,354,372
EXPENDITURES
189 PART TIME / SEASONAL 191 OVERTIME 194 PUBLIC WORKS
-
1,881
-
1,515
-
123,252
150,965
157,000
87,868
157,000
157,000
1,279,446
1,296,812
1,538,947
848,408
1,460,357
1,460,357
2006 Actual 101,676
2007 Actual 105,758
2008 Budget 107,269
2008 Actual 68,131
Department Budget Request 113,105
City Manager Budget 113,105
198 SUPERVISORS
228,768
192,962
150,582
84,247
149,867
156,773
200 EMPLOYEE'S BENEFITS
764,051
927,573
1,183,153
792,309
1,295,660
1,265,660
1,052,840
1,365,640
1,363,640
1,051,020
1,051,020
398,118
254,494
328,884
289,816
233,982
367,362
31,320
75,199
66,216
144,827
219,336
219,336
4,514
19,082
38,000
53,483
54,974
54,974
775,400
930,363
901,000
477,037
961,000
961,000
9,527
13,551
14,000
6,773
17,600
17,600
112,238
113,524
115,000
41,285
121,000
121,000
10,570
12,567
9,554
1,913
7,500
7,500
390 WATER PURCHASED
108,106
124,823
127,075
82,812
141,315
141,315
398 FISCAL DIVISION SERVICE
552,003
628,410
-
633,634
629,757
399 ASSESSMENT GENERAL FUND
529,122
547,641
528,209
-
544,056
544,056
440 OFFICE EXPENSE & SUPPLIES
49,201
55,300
47,250
27,579
47,250
47,250
1,255
990
2,000
150
3,000
3,000
491 MAINT OF MAINS & ACCESS
13,567
10,982
25,000
3,593
25,000
25,000
492 MAINTENANCE OF RESERVOIR
29,842
19,478
40,000
17,740
40,000
40,000
object code
WATER (0503-3920)
196 MME
301 DEBT SERVICE-PRINCIPAL 302 DEBT SERVICE-INTEREST 303 BAN INTEREST 306 TAXES TO OTHER TOWNS 321 PUBLIC UTILITIES 323 REPAIRS & MAINTENANCE 352 VEHICLE MAINTENANCE 388 AUDIT
489 HEPATITIS
-
-
object code
WATER (0503-3920)
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
City Manager Budget
493 MAINT OF PUMP STATIONS
35,026
34,635
40,000
16,716
40,000
40,000
494 SERVICES-MATERIALS
(3,345)
(14,101)
5,000
(2,012)
5,000
5,000
495 TREATMENT EXPENSE
470,905
485,611
474,800
292,968
478,700
478,700
1,396,770
78,256
140,000
45,161
91,500
91,500
504 WATER EQUIPMENT
4,556
8,142
12,700
3,325
16,100
16,100
506 HYDRANTS-MATERIALS
3,548
2,616
5,000
2,723
5,000
5,000
640 MEMBERSHIPS & MEETINGS
7,474
6,595
10,000
5,110
10,000
10,000
307 599 307,599
305 352 305,352
345 198 345,198
282 406 282,406
304 006 304,006
304 006 304,006
1
1
501 CAPITAL OUTLAY
643 INSURANCE 713 NEW MAINS & ACCESSORIES 714 REPAIR TRENCHES
-
-
1
-
14,951
9,730
16,000
15,346
21,000
21,000
7,359,459
6,823,623
8,421,888
5,054,868
8,247,963
8,354,372
object
WPCA (0502 - 3930)
code
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
City Manager Budget
REVENUES
641
SEWER CONNECTION ASSESS
47,741
58,026
45,000
34,616
45,000
45,000
642
INTEREST & LIEN FEES
179,263
184,722
120,000
90,190
166,000
166,000
680
INTEREST ON INVESTMENTS
198,950
282,989
235,000
152,479
235,000
235,000
687
BASIC SERVICE FEE
457,677
460,853
460,496
-
462,567
462,567
694
CONNECTIONS
-
14,936
14,414
-
14,414
14,414
695
MISC. INCOME
51,059
59,761
75,000
4,445
74,375
74,375
699
FROM RETAINED EARNINGS
-
-
391,137
-
-
-
984
SEWER USE CHARGES
5,433,547
5,548,045
5,635,000
2,976,244
5,865,000
5,865,000
6,368,237
6,609,333
6,976,047
3,257,974
6,862,356
6,862,356
116,923
123,887
165,697
79,813
179,970
179,970
5,147
549,891
641,360
334,062
592,484
592,484
48,426
50,357
51,073
32,439
53,854
53,854
352,676
423,696
449,528
276,504
464,255
464,255
EXPENDITURES
191 OVERTIME 194 LABOR PUBLIC WORKS 196 MME 198 SUPERVISORS
2006 Actual 308,186
2007 Actual 349,295
2008 Budget 460,982
2008 Actual 246,839
Department Budget Request 456,375
City Manager Budget 456,375
0
471,688
851,888
780,392
625,988
625,988
302 INTEREST
135,425
90,646
216,132
160,741
163,414
163,414
303 BAN INTEREST
(17,536)
90,582
100,000
30,150
43,475
43,475
321 UTILITIES
775,148
935,962
850,000
468,561
1,111,487
1,111,487
7,399
142,301
208,800
57,758
208,800
208,800
-
15,000
15,000
object code
WPCA (0502 - 3930)
200 EMPLOYEE BENEFITS 301 PRINCIPAL RETIREMENT
323 REPAIRS AND MAINTENANCE 342 WATER / SEWER BILL
-
-
352 VEHICLE MAINTENANCE
3,761
39,502
54,160
14,192
54,160
54,160
388 AUDIT
8,819
9,617
8,554
1,913
7,500
7,500
390 CALL BEFORE YOU DIG
-
-
1
1
391 HEPATITIS B SHOTS
175
3,215
7,500
7,500
7,500
398 SERV PROV BY FISCAL DIV.
494,845
500,783
566,968
-
567,045
567,045
399 ASSESSMENT GENERAL FUND
542,245
561,224
528,208
-
544,056
544,056
10,000
-
10,000
10,000
-
180,000
180,000
463 CLAIMS 483 NITROGEN CREDIT PURCHASE
-
-
1
1
120
45,285
105,808
100,000
484 SEWER EXPENSE AND SUPPLIES
254,884
221,087
300,000
114,300
313,200
313,200
485 BIOSOLID DISPOSAL
644,035
632,168
644,000
292,708
644,000
644,000
24,953
37,376
44,000
7,747
44,000
44,000
486 PUMP STATION OPR AND MAINT
object code
WPCA (0502 - 3930)
501 CAPITAL OUTLAY 640 MEMBERSHIPS & MEETINGS 643 INSURANCE
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget Request
City Manager Budget
189,193
104,767
133,001
70,448
1
1
1,226
6,283
7,500
1,459
7,500
7,500
465,928
500,863
576,694
505,702
568,291
568,291
4,407,144
5,950,999
6,976,047
3,475,848
6,862,356
6,862,356
object
GOLF (0810)
code
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget
City Manager
REVENUES:
655
GREENS FEES
426,925
421,775
497,436
271,370
503,641
503,641
656
SEASONS PASSES
148,850
128,365
140,137
70
140,137
140,137
657
TOURNAMENTS
69,492
70,360
81,822
58,455
81,312
81,312
658
LEAGUES
65,419
83,942
70,716
25,679
70,716
70,716
690
RENT
39,600
39,600
39,600
23,100
39,600
39,600
692
GOLF CART FEES
27,325
28,355
25,000
20,069
25,000
25,000
695
INTEREST INCOME
8,094
10,341
-
5,386
-
-
697
FIXED ASSETS GAIN/LOSS
-
1,260
-
-
-
-
705
CIP FEES
-
14,638
-
19,278
-
-
785,704
798,635
854,711
423,407
860,406
860,406
object
GOLF (0810)
code
2006 Actual
2007 Actual
2008 Budget
2008 Actual
Department Budget
City Manager
EXPENSES:
189
MISC PART-TIME
87,579
90,960
93,930
64,180
93,170
93,170
191
OVERTIME
11,666
16,566
13,980
9,688
16,480
16,480
194
PUBLIC WORKS
158,462
174,154
184,401
113,184
186,464
186,464
198
SUPERVISORS
69,813
76,357
78,889
50,103
83,490
83,490
200
EMPLOYEE BENEFITS
88,349
90,961
95,789
64,470
89,995
89,995
301
BOND PAYMENTS
10,667
10,667
35,667
16,267
37,667
37,667
302
BOND & BAN INTEREST
5,580
6,162
6,965
7,471
4,825
4,825
345
GOLF EXPENSE & SUPPLY
189,405
194,578
192,305
120,114
195,530
195,530
396
GOLF PRO
10,000
10,000
10,000
5,000
10,000
10,000
441
CLUBHOUSE EXPENSE
31,298
27,193
31,300
20,327
31,300
31,300
463
LIABILITY & GENERAL INSURANCE
79,759
62,563
69,085
69,055
69,085
69,085
500
CAPITAL EQUIPMENT
49,608
34,295
40,000
29,496
40,000
40,000
640
MEETINGS & MEMBERSHIPS
1,965
2,185
2,400
1,685
2,400
2,400
794,152
796,642
854,711
571,040
860,406
860,406
Department Budget Request
Estimated Social Security
67,750
5,182.88
37,982
2,905.62
58,832
4,500.65
164,564
12,589.15
257,710
19,714.82
85,759
6,560.56
91,103
6,969.38
434,572
33,244.76
119,754
9,161.18
117,664
9,001.30
GENERAL GOVERNMENT: COUNCIL (0110) 0001-0110-40-0-0000-188 ELECTED OFFICIALS 0001-0110-40-0-0000-190 ADMINISTRATIVE 0001-0110-40-0-0000-196 MME
CITY MANAGER (0120) 0001-0120-40-0-0000-190 ADMINISTRATIVE 0001-0120-40-0-0000-196 MME 0001-0120-40-0-0000-198 SUPERVISORS
LEGAL (0130) 0001-0130-40-0-0000-190 ADMINISTRATIVE 0001-0130-40-0-0000-196 MME 0001-0130-40-0-0000-198
P.W. 194
Amount to Put A Police
SUPERVISORS
45,551
3,484.65
282,969
21,647.13
141,508
10,825.36
PERSONNEL (0150) 0001-0150-40-0-0000-190 ADMINISTRATION 0001-0150-40-0-0000-191 OVERTIME CONTINGENCY 0001-0150-40-0-0000-196 MME
49,400
3,779.10
190,908
14,604.46
72,353
5,535.00
6,500
497.25
38,170
2,920.01
238,804
18,268.51
355,827
27,220.77
95,773
7,326.63
1,000
76.50
CITY CLERK (0170) 0001-0170-40-0-0000-188 ELECTED OFFICIALS 0001-0170-40-0-0000-191 OVERTIME CONTINGENCY 0001-0170-40-0-0000-192 OTHER NON-UNION 0001-0170-40-0-0000-196 MME
MANAGEMENT INFORMATION SYS (0270) 0001-0270-40-0-0000-190 ADMINISTRATIVE 0001-0270-40-0-0000-191 OVERTIME CONTINGENCY
0001-0270-40-0-0000-196 MME 0001-0270-40-0-0000-198 SUPERVISORS
139,185
10,647.65
204,736
15,662.30
440,694
33,713.09
50,797
3,885.97
55,129
4,217.37
105,926
8,103.34
ELECTIONS (0182) 0001-0182-40-0-0000-188 ELECTED OFFICIALS 0001-0182-40-0-0000-192 OTHER NON-UNION
DEVELOPMENT & ENFORCEMENT (0510) 0001-0510-40-0-0000-189 MISC PART TIME 0001-0510-40-0-0000-190 ADMINISTRATIVE 0001-0510-40-0-0000-191 OVERTIME 0001-0510-40-0-0000-196 MME 0001-0510-40-0-0000-198 SUPERVISORS
102,460
7,838.19
6,500
497.25
441,214
33,752.87
152,264
11,648.20
702,438
53,736.51
PARKING (3940) 0001-3940-40-0-0000-192 PAYROLL 0001-3940-40-0-0000-198 SUPERVISORS
66,432
5,082.05
36,622
2,801.58
103,054
7,883.63
110,604
8,461.21
500
38.25
172,799
13,219.12
231,605
17,717.78
515,508
39,436.36
500
38.25
141,672
10,837.91
91,103
6,969.38
233,275
17,845.54
FINANCE: FINANCE 0001-0210-40-0-0000-190 ADMINISTRATIVE 0001-0210-40-0-0000-191 OVERTIME CONTINGENCY 0001-0210-40-0-0000-196 MME 0001-0210-40-0-0000-198 SUPERVISORS
PURCHASING 0001-0250-40-0-0000-191 OVERTIME 0001-0250-40-0-0000-196 MME 0001-0250-40-0-0000-198 SUPERVISORS
ASSESSMENT & COLLECTIONS (0275) 0001-0275-40-0-0000-191 OVERTIME 0001-0275-40-0-0000-196 MME 0001-0275-40-0-0000-198 SUPERVISORS
4,500
344.25
426,558
32,631.69
227,638
17,414.31
658,696
50,390.24
2 2,500 500
191 191.25 25
750
57.38
3,250
248.63
75,000
5,737.50
106,009
8,109.69
119,500
9,141.75
766,654
58,649.03
ASSESSMENT APPEALS (0281) 0001-0281-40-0-0000-189 MISC PART PART-TIME TIME 0001-0281-40-0-0000-440 OFFICE EXPENSE & SUPPLIES
PARKS AND RECREATION: PARKS 0001-0801-40-3-0000-189 MISC PART-TIME 0001-0801-40-3-0000-190 ADMINISTRATIVE 0001-0801-40-3-0000-191 OVERTIME CONTINGENCY 0001-0801-40-3-0000-194 PUBLIC WORKS 0001-0801-40-3-0000-198
SUPERVISORS
76,651
5,863.80
1,143,814
87,501.77
10,500
803.25
95,000
7,267.50
103,881
7,946.90
149,265
11,418.77
59,041
4,516.64
417,687
31,953.06
RECREATION 0001-0802-40-3-0000-191 OVERTIME 0001-0802-40-3-0000-192 OTHER NON-UNION 0001-0802-40-3-0000-194 PUBLIC WORKS 0001-0802-40-3-0000-196 MME 0001-0802-40-3-0000-198 SUPERVISORS
BUILDING MAINTENANCE (3360) 0001-3360-40-3-0000-189 MISC PART-TIME 0001-3360-40-3-0000-191 OVERTIME CONTINGENCY 0001-3360-40-3-0000-194 PUBLIC WORKS 0001-3360-40-3-0000-198 SUPERVISORS
LIBRARY (0160)
45,000
3,442.50
301,672
23,077.91
70,251
5,374.20
416,923
31,894.61
0001-0160-40-0-0000-189 MISC PART-TIME 0001-0160-40-0-0000-190 ADMINISTRATIVE 0001-0160-40-0-0000-196 MME 0001-0160-40-0-0000-198 SUPERVISORS
33,599
2,570.32
81,445
6,230.54
637,818
48,793.08
769,362
58,856.19
1,522,224
116,450.14
202,230
15,470.60
1,090,000
28,584.38
44,460
3,401.19
69,749
5,335.80
616,534
47,164.85
8,073,187
161,616.20
283,434
21,682.70
10,379,594
283,255.71
EMERGENCY SERVICES: POLICE (2605) 0001-2605-40-2-0000-190 ADMINISTRATIVE 0001-2605-40-2-0000-191 OVERTIME 0001-2605-40-2-0000-192 OTHER NON UNION 0001-2605-40-2-0000-194 PUBLIC WORKS 0001-2605-40-2-0000-196 MME 0001-2605-40-2-0000-197 POLICE PATROL 0001-2605-40-2-0000-198 CROSSING GUARDS
FIRE 0001-2610-40-2-0000-190
ADMINISTRATIVE 0001-2610-40-2-0000-191 OVERTIME CONTINGENCY 0001-2610-40-2-0000-194 PUBLIC WORKS 0001-2610-40-2-0000-195 FIRE 0001-2610-40-2-0000-196 MME
186,846
14,293.72
919,815
18,055.88
64,165
4,908.62
5,910,346
85,793.30
100,389
7,679.76
7,181,561
130,731.27
73,401
5,615.18
210,000
16,065.00
EMERGENCY COMMUNICATIONS (2617) 0001-2617-40-2-0000-190 ADMINISTRATION 0001 2617 40 2 0000 191 0001-2617-40-2-0000-191 OVERTIME 0001-2617-40-2-0000-195 FIRE 0001-2617-40-2-0000-196 MME
-
-
620,106
47,438.11
903,507
69,118.29
8,600
657.90
8,600
657.90
EMERGENCY MANAGEMENT (2690) 0001-2690-40-2-0000-189 MISC PART-TIME
PUBLIC WORKS:
P.W. - ENGINEERING (3310) 0001-3310-40-3-0000-190 ADMINISTRATIVE 0001-3310-40-3-0000-191 OVERTIME 0001-3310-40-3-0000-196 MME 0001-3310-40-3-0000-198 SUPERVISORS
96,276
7,365.11
7,000
535.50
429,883
32,886.05
249,126
19,058.14
782,285
59,844.81
6,250
478.13
326,409
24,970.29
47,122
3,604.83
379,781
29,053.25
9,000
688.50
18,000
1,377.00
191,826
14,674.69
91,103
6,969.38
P.W. - GARAGE (3351) 0001-3351-40-3-0000-191 0001 3351 40 3 0000 191 OVERTIME 0001-3351-40-3-0000-194 PUBLIC WORKS 0001-3351-40-3-0000-196 MME
P.W. - TRAFFIC (3353) 0001-3353-40-3-0000-189 PART TIME SUMMER HELP 0001-3353-40-3-0000-191 OVERTIME CONTINGENCY 0001-3353-40-3-0000-196 MME 0001-3353-40-3-0000-198 SUPERVISORS
309,929
23,709.57
37,500
2,868.75
818,876
62,644.01
1
0.08
76,651
5,863.80
933,028
71,376.64
39,000
2,983.50
73,400
5,615.10
15,000
1,147.50
9,000
688.50
9,800
749.70
146,200
11,184.30
P.W. - HIGHWAY (3354) 0001-3354-40-3-0000-191 OVERTIME CONTINGENCY 0001-3354-40-3-0000-194 PUBLIC WORKS 0001-3354-40-3-0000-196 MME 0001-3354-40-3-0000-198 SUPERVISORS
P.W. - TRANSFER STATION (3355) 0001-3355-40-3-0000-191 OVERTIME 0001-3355-40-3-0000-339 MONITORING 0001-3355-40-3-0000-352 VEHICLE MAINTENANCE 0001-3355-40-3-0000-390 OTHER PURCHASED SERVICES 0001-3355-40-3-0000-440 OFFICE EXPENSE & SUPPLY
P.W. - BULKY WASTE (3359)
0001-3359-40-3-0000-189 MISC PART-TIME 0001-3359-40-3-0000-194 PUBLIC WORKS 0001-3359-40-3-0000-196 MME
8,044
615.37
153,213
11,720.79
161,257
12,336.16
294,025
22,492.91
5,500
420.75
99,338
7,599.36
1,038,295
79,429.57
539,350
41,260.28
166,980
12,773.97
2,143,488
163,976.83
137,972
10,554.86
56,000
4,284.00
HEALTH AND WELFARE: HEALTH (4710) 0001-4710-40-4-0000-149 CERTIFIED SALARIES 0001-4710-40-4-0000-189 MISC. PART-TIME 0001-4710-40-4-0000-190 ADMINISTRATION 0001-4710-40-4-0000-193 PUBLIC HEALTH NURSES 0001-4710-40-4-0000-196 MME 0001-4710-40-4-0000-198 SUPERVISORS
SOCIAL SERVICES (4720) 0001-4720-40-4-0000-196 MME 0001-4720-40-4-0000-390 EVICTIONS
0001-4720-40-4-0000-440 OFFICE EXPENSE & SUPPLIES 0001-4720-40-4-0000-640 MEMBERSHIPS & MEETINGS
1,035
79.18
200
15.30
195,207
14,933.34
34,964
2,674.75
327,697
25,068.82
83,490
6,386.99
28 28,108 108
2 2,150.26 150 26
474,259
36,280.81
587
44.91
58,832
4,500.65
83,490
6,386.99
142,909
10,932.54
SENIOR CENTER 0001-4730-40-4-0000-192 OTHER NON-UNION 0001-4730-40-4-0000-196 MME 0001-4730-40-4-0000-198 SUPERVISORS 0001-4730-40-4-0000-199 ELDERLY NUTRITION
YOUTH SERVICES (4745) 0001-4745-40-4-0000-191 OVERTIME 0001-4745-40-4-0000-196 MME 0001-4745-40-4-0000-198 SUPERVISORS
EDUCATION: BOARD OF EDUCATION
BOARD OF EDUCATION 889,625.46 0001-1000's BOARD OF EDUCATION SCHOOL BUILDING COMMITTEE 0001-1184-40-1-0000-160 SALARY EXPENSE -
-
CITY
1,505,854.58
BOE
889,625.46
TOTAL
2,395,480.04 SAY
2,395,000
6,162,785.00
76,255.00 SAY
85,000
4,370,126.00
53,401.32 SAY 55,000 from budget analysis
Aside for Increases Crossing Guards
Fire