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2012

Budget

To Common Council, City Clerk, Director of Operations, Controller and Deputy Controller

TABLE OF CONTENTS
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44

Hearing Schedule
Budget Comparison
Common Council
City Clerk
Mayor
Controller
Attorney
Human Resources
Information Services
Engineering
Local Road and Street
Central Equipment (Vehicle Maintenance)
Central Equipment (Transportation)
Central Equipment (Building Maintenance)
Central Equipment (City Line Trolley)
Board of Public Works and Safety
Police
CHRP Grant
Local Law Enforcement Continuing Education
Fire
SAFER Grant
Inspection Services
Weights & Measures
Emergency Management
Senior Citizens Center
Development
Early Learning Center
Public Maintenance and Refuse
MVHF (Street)
MVHF (Traffic)
MVHF (Engineering)
Parks and Recreation (Parks)
Parks and Recreation (Recreation)
Parks and Recreation (Aquatic Center)
Cemetery
Aviation
Fixed Base Operations
Rotary Fuel
Plan Commission
Fire Pension
Police Pension
Redevelopment Commission
FTA-Transit Center
Clinic

TO:
Common Council Members
FROM: Jim Brannon, City Controller
RE:
Budget Hearings
The following is a schedule of Council Committee hearings pertaining to the 2012 budget. All hearings will start at 6:00 pm
in the Louks Conference Room at City Hall. The dates have been made in conjunction with Finance Chairman Tom Miklik.

Tuesday, September 6th


3-Common Council
4-City Clerk
5-Mayor
7-Attorney
6-Controller
25-Emergency Management
28-Early Learning Center
45-Clinic
9-Information Services
27-Development
43-Redevelopment Commission
33-Parks and Recreation (Parks)
34-Parks and Recreation (Recreation)
35-Parks and Recreation (Aquatic Center)
36-Cemetery

Thursday, September 8th


8-Human Resources
26-Senior Citizens Center
13-Central Equipment (Transportation)
15-Central Equipment (City Line Trolley)
12-Central Equipment (Vehicle Maintenance)
14-Central Equipment (Bldg Maintenance)
44-FTA Transit Center
16-Board of Works & Safety
37-Aviation
38-Fixed Base Operations
39-Rotary Fuel
23-Inspection Services
29-Public Maintenance & Refuse
30-MVHF (Street)
17-Police
18-COPS Grant
19-Local Law Enf Continuing Education

Tuesday, September 13th


40-Plan Commission
42-Police Pension
41-Fire Pension
24-Weights & Measures
10-Engineering
11-Local Road and Street
32-MVHF (Engineering)
31-MVHF (Traffic)
20-Fire
21-SAFER Grant

Thursday, September 15th


TBD, if necessary

The meeting scheduled on Thursday, September 15th, if necessary, is available as an open date for any final discussion and changes.
Any questions, comments, and/or concerns should be directed to either the Controllers Office or Mike Kennedy.

BUDGET COMPARISON
2011

2012

Council Approved

Administration

Administration
Percentage

Budget

Request

Change over 2011

GENERAL FUND
COMMON COUNCIL
CITY CLERK
MAYOR
CONTROLLER
CITY ATTORNEY
HUMAN RESOURCES
INFORMATION SYSTEMS
ENGINEERING
VEHICLE MAINTENANCE
TRANSPORTATION
BUILDING MAINTENANCE
CITY LINE TROLLEY
BOARD OF PUBLIC WORKS AND SAFETY
POLICE DEPARTMENT
FIRE DEPARTMENT
INSPECTION
WEGHTS AND MEASURES
EMERGENCY MANAGEMENT
PUBLIC MAINTENANCE AND REFUSE
SENIOR CITIZEN'S CENTER
DEPARMENT OF DEVELOPMENT
EARLY LEARNING CENTER

241,464
74,458
248,212
398,011
256,942
328,858
798,123
531,750
1,182,224
736,681
597,520
153,656
3,197,988
11,259,506
9,535,780
578,964
152,672
314,125
4,158,537
247,749
407,295
40,000

289,675
72,279
252,666
401,547
243,265
316,982
873,545
536,148
1,174,381
806,297
619,263
167,868
3,322,566
12,311,142
10,577,718
588,428
152,362
325,502
4,158,537
267,833
406,107
25,000

20%
-3%
2%
1%
-5%
-4%
9%
1%
-1%
9%
4%
9%
4%
9%
11%
2%
0%
4%
0%
8%
0%
-38%

GENERAL FUND TOTAL:

35,440,515

37,889,113

7%

MVHF-STREET
MVHF-TRAFFIC
MVHF-ENGINEERING
PARKS
RECREATION
AQUATIC CENTER
CROWN POINT CEMETERY
AVIATION COMMISSION
FIXED BASE OPERATIONS
PLAN COMMISSION
FIRE PENSION FUND
POLICE PENSION FUND
OTHER PROPERTY TAX BACKED FUNDS

1,535,437
945,823
600,000
2,188,650
438,377
647,514
470,410
465,010
94,100
372,756
4,506,713
3,119,427
15,384,216

1,456,955
1,024,855
600,000
2,347,463
461,721
581,827
495,045
500,134
94,160
394,887
4,575,850
3,097,329
15,630,225

-5%
8%
0%
7%
5%
-10%
5%
8%
0%
6%
2%
-1%
2%

30,000
376,592
732,758
61,000
400,000
50,916
300,000
434,546
94,720

45,000
377,064
437,436
225,000
520,000
39,029
300,000
472,127
-

50%
0%
-40%
269%
30%
-23%
0%
9%
-100%

2,480,532

2,415,656

-3%

53,305,263

55,934,994

5%

LOCAL LAW ENFORCEMENT CONT ED.


CHRP GRANT
SAFER GRANT
REDEVELOPMENT COMMISSION
LR & S
TRANSIT CENTER
ROTARY FUEL
CLINIC
CUM CAPITAL IMPROVEMENT
OTHER FUND TOTAL:
GRAND TOTAL ALL FUNDS:

101-10 COMMON COUNCIL


LINE
1011

DESCRIPTION
REGULAR WAGES
9
1

1015

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

127,309

127,309

127,309

127,309

127,309

0%

125,910

53,046

127,309

1,000

1,000

1,000

1,000

1,000

0%

480

7,955

7,955

7,955

7,955

7,955

0%

7,124

2,984

7,161

1,860

1,860

1,860

1,860

1,860

0%

1,666

698

1,675

130,500

130,500

87,000

87,000

87,000

50%

77,957

30,690

73,656

850

850

850

850

850

0%

829

1,990

3,000

3,000

3,000

3,000

3,000

0%

3,711

152

365

289

289

289

4,000

4,000

4,000

4,000

4,000

0%

4,688

200

200

200

0%

Council Members
97,470
Council Attorney
29,839
Set by Ordinance #6587 and salary ordinance

OTHER PAYS

Additional compensation received for attending special committees and meetings

1031

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1035

HEALTH/LIFE INSURANCE
$14,500 per employee (6 opted for coverage)
Budget for all 9 positions

3015

OTHER CONTRACTUAL

3022

TRAVEL EXPENSES

Includes lodging, meals, and other expenses required to attend various functions and schools.

3041

WORKMEN'S COMPENSATION

3094

SUBSCRIPTIONS & DUES

-100%

Costs include professional and trade publications and membership dues to professional organizations.
National League of Cities $3813

3095

PREMIUMS ON OFFICIAL BONDS

200

200

8/29/2011

Page 5

101-10 COMMON COUNCIL

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

LINE

DESCRIPTION

3096

GRANTS & ALLOWANCES

6,500

6,500

6,500

6,500

6,500

3097

EDUCATION & TRAINING

1,500

1,500

1,500

1,500

5,000

5,000

289,675

289,675

241,464

241,464

241,464

Year to Date
May-11

Annualized
As of 5/31/11

6,200

#DIV/0!

900

260

624

0%

882

374

898

229,520

89,034

213,683

0%

2010
Actual

Includes costs for expenses related to community involvement and public awareness.

3098

PROMOTION & DEVELOPMENT

1,500

Includes costs for expenses related to community involvement and public awareness.

4043

OFFICE EQUIPMENT

#DIV/0!

Technology upgrades

TOTALS

Total Change by Administration

20%

8/29/2011

Page 6

101-11 CLERK
LINE
1011

2012
Budget

DESCRIPTION

2012
Request

REGULAR WAGES
1

City Clerk
Set by Ordinance #6587

1015

OTHER PAYS

1031

SOCIAL SECURITY

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change
0%

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

39,731

16,045

38,508

39,731

39,731

39,731

39,731

39,731

2,463

2,463

2,463

2,463

2,463

0%

2,299

923

2,215

576

576

576

576

576

0%

538

216

518

3,973

3,973

3,278

3,278

3,278

21%

3,079

1,324

3,177

14,500

14,500

14,500

14,500

14,500

0%

17,830

7,198

17,275

39,731

#DIV/0!

6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1035

HEALTH/LIFE INSURANCE
$14,500 per employee

2012

STATIONARY & PRINTING

200

200

200

200

200

0%

83

2015

OFFICE SUPPLIES

450

450

450

450

450

0%

521

343

824

720

720

720

720

720

0%

386

24

58

750

750

548

500

1,199

Includes paper, pens, typewriter ribbons, toner, calculator


tapes, and other supplies needed for daily operation of the office.

2027

OTHER SUPPLIES
To be used to assume the cost of all supplies other
than office supplies.

3015

OTHER CONTRACTUAL

#DIV/0!

Used for professional services and service contracts.


Copier currently in Engineering will be moved to One Stop office-cost will also be shared with WW (40%) and Engineering (20%)

3021

POSTAGE

750

750

750

0%

Previously paid by BOW-broken out to individual departments for 2009

8/29/2011

Page 7

101-11 CLERK
LINE

DESCRIPTION

3023

TELEPHONE

3031

PRINTING & PUBLICATION

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

350

350

350

350

350

0%

237

125

301

7,500

6,000

7,500

10,000

7,500

0%

2,426

1,888

4,531

0%

93

34

82

1,530

755

1,813

Consists of costs for printing of certificates and reports.


The extra money is for the Supplement Pages for the Code Book, previously has been paid out of Board of Works.

3041

WORKMEN'S COMP

3042

LIABILITY INSURANCE

98

98

98

98

98

1,492

1,492

1,717

1,717

1,717

-13%

200

200

200

200

200

0%

450

450

450

450

450

0%

150

150

150

150

150

0%

150

145

175

175

175

175

175

175

1,150

1,150

1,150

1,097

2,633

73,779

72,279

74,458

76,958

74,458

69,770

30,471

73,132

Covers insurance costs & repair costs submitted to insurance for accidents.

3062

EQUIPMENT REPAIR
Includes repair costs for various office equipment
that must be performed by an outside source

3065

SERVICE CONTRACTS
Split 50/50 with WWU

3094

SUBSCRIPTIONS & DUES

3095

PREMIUMS ON BONDS

3096

GRANTS & ALLOWANCES

4043

OFFICE EQUIPMENT

TOTALS

Total Change by Administration

(1,500)

0%

-100%

-1%

(2,500)

8/29/2011

Page 8

101-12 MAYOR
LINE
1011

DESCRIPTION
REGULAR WAGES
1
1
1

1031

2012
Budget

Mayor (67/33)
Set by Ordinance #6645
Office Manager (67/33)
Director of Oper. (67/33)

2012
Request
134,427

Admin
Changes
134,427

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

132,824

132,824

132,824

1%

132,824

53,641

128,738

82,147 Salary prev frozen at 2007 level per administrative changes


44,524
73,966

SOCIAL SECURITY

8,334

8,334

8,235

8,235

8,235

1%

7,926

3,191

7,657

1,949

1,949

1,926

1,926

1,926

1%

1,854

746

1,791

13,443

13,443

10,958

10,958

10,958

23%

10,294

4,425

10,621

29,145

29,145

29,145

29,145

29,145

0%

33,465

13,509

32,422

2,000

2,000

2,000

2,000

2,000

0%

911

415

995

1,000

1,000

1,000

1,000

1,000

0%

504

692

1,660

2,000

2,000

2,000

2,000

2,000

0%

648

20

47

6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1035

HEALTH/LIFE INSURANCE
$14,500 per employee (67/33)

2012

STATIONARY & PRINTING


Printing of letterhead and business cards

2015

OFFICE SUPPLIES
Used for office supplies necessary to maintain Mayor's Office

2027

OTHER SUPPLIES
To be used to assume the cost of all supplies other than office supplies.

3015

OTHER CONTRACTUAL

200

200

200

200

200

0%

3021

POSTAGE & FREIGHT

750

750

750

750

750

0%

741

54

129

Previously paid by BOW-broken out to individual departments for 2009

8/29/2011

101-12 MAYOR
LINE

DESCRIPTION

3022

TRAVEL EXPENSES

2012
Budget

2012
Request
8,500

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

8,500

8,500

8,500

8,500

0%

12,245

3,138

7,532

This account will be used by Mayor and staff to attend various functions and conferences.

3023

TELEPHONE

2,800

2,800

2,800

2,800

2,800

0%

2,991

1,081

2,595

3031

PRINTING & PUBLICATION

1,000

1,000

1,000

1,000

1,000

0%

683

195

195

195

195

195

0%

187

68

163

2,985

2,985

3,741

3,741

3,741

-20%

3,335

1,580

3,792

200

200

200

200

200

0%

1,038

1,038

1,038

1,038

1,038

0%

887

377

906

200

200

200

200

200

0%

155

65

155

5,000

5,000

5,000

5,000

5,000

0%

5,485

1,045

2,508

1,500

1,500

1,500

1,500

1,500

0%

2,781

410

984

This account will be used for the printing and publication of office documents.

3041

WORKMEN'S COMP

3042

LIABILITY INSURANCE
Covers insurance costs & repair costs submitted to insurance for accidents.

3062

EQUIPMENT REPAIR
This account will cover the repair of all office equipment
such as fax machine, copier & transcribing equip.

3065

SERVICE CONTRACTS
OptiView service agreement previously paid by IT

3072

RENTAL - EQUIPMENT/OTHER
Water cooler rental

3094

SUBSCRIPTIONS & DUES


This account will cover membership dues to Mayor's and other conferences

3097

EDUCATION/TRAINING

8/29/2011

10

101-12 MAYOR
LINE

DESCRIPTION

3098

PROMOTION & DEVELOPMENT

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

35,000

35,000

35,000

35,000

35,000

1,000

1,000

252,666

252,666

248,212

248,212

248,212

0%

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

26,153

11,814

28,353

1,641,573

1,621,367

1,743,043

This account will be used for such expenses as business luncheons,


flowers, seminars, awards, tickets for promotion of Kokomo, etc.
Marketing efforts City wide.

4043

OFFICE EQUIPMENT
Replace 1 desktop computer

TOTAL

Total Change by Administration

#DIV/0!

2%

8/29/2011

11

101-13 CONTROLLER
LINE
1011

DESCRIPTION

2012
Request

REGULAR WAGES
1
1
1
2
1

1016

2012
Budget

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

235,127

235,127

235,127

235,127

235,127

0%

234,151

94,883

227,719

5,000

5,000

5,000

5,000

5,000

0%

2,066

127

305

14,888

14,888

14,888

14,888

14,888

0%

13,934

5,571

13,369

3,482

3,482

3,482

3,482

3,482

0%

3,259

1,303

3,127

24,013

24,013

19,810

19,810

19,810

21%

18,307

7,839

18,812

77,430

77,430

77,430

77,430

77,430

0%

82,811

34,122

81,893

4,000

4,000

4,000

4,000

4,000

0%

1,567

925

2,220

5,000

5,000

5,000

5,000

5,000

0%

4,150

1,094

2,626

500

500

0%

191

Controller (67/33)
Deputy Controller (67/33)
Accounting Clerk II
Accounting Clerk I
Office Manager

OVERTIME

As needed to prepare budget books, payroll, computer setup for year end processing

1031

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1035

HEALTH/LIFE INSURANCE
$14,500 per Employee - 4 employees
$14,500 per Employee - 2 employees(67/33)

2012

STATIONARY & PRINTING


Checks & Envelopes
Letterhead, City License forms, Alarm Permit stickers, dog permit tags

2015

OFFICE SUPPLIES

Copier Paper
Other office supplies
(Calculator tape, Cash Register tape, bankers box, binders for Budget books and for month end and daily reports)
Printer toner, copier consumables previously paid by IT

2027

OTHER SUPPLIES

500

500

500

8/29/2011

12

101-13 CONTROLLER
LINE

DESCRIPTION

3015

OTHER CONTRACTUAL

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

3,000

3,000

2,700

2,700

2,700

11%

1,304

931

2,234

6,000

6,000

7,000

7,000

7,000

-14%

5,396

1,530

3,671

2,500

2,500

2,500

2,500

2,500

0%

1,786

89

215

2,100

2,100

2,100

2,100

2,100

0%

1,516

618

1,484

850

850

700

700

700

21%

841

284

681

577

577

577

577

577

0%

550

201

483

3,731

3,731

4,445

4,445

4,445

-16%

3,963

1,923

4,615

500

500

500

500

500

0%

4,500

4,500

5,502

5,502

5,502

-18%

3,399

1,510

3,623

950

950

600

600

600

58%

946

376

903

Services fees for Harris bank accounts ($100)


W2, 1099R, 1099S-American Technology Solutions ($2,700)

3021

POSTAGE
For weekly AP and monthly pension checks

3022

TRAVEL EXPENSES
ILMCT Conference, Budget Workshop, Controllers' meeting

3023

TELEPHONE

3031

PRINTING & PUBLICATION


Budget ads, annual financial reports

3041

WORKMEN'S COMP
Based on Mod/Experience rate of 1.22

3042

LIABILITY INSURANCE
Covers insurance costs & repair costs submitted to insurance for accidents.

3062

EQUIPMENT REPAIR

3065

SERVICE CONTRACTS
Automatic mailing-Checks folder & inserter $1000
OptiView service agreement for 4 scanners (previously paid by IT) $3060

3094

SUBSCRIPTIONS & DUES

Government Finance Office membership, Association of Government Accountants


National League Conference, ILMCT

8/29/2011

13

101-13 CONTROLLER
LINE

DESCRIPTION

3095

PREMIUMS ON BONDS

3096

GRANTS & ALLOWANCES

3097

EDUCATION/TRAINING

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

1,250

1,250

#DIV/0!

1,250

#DIV/0!

3,000

3,000

3,000

3,000

3,000

0%

902

400

960

3,150

3,150

3,150

3,150

3,150

0%

2,774

401,547

401,547

398,011

398,011

398,011

1%

385,063

153,725

368,940

ILMCT, Budget Workshop, SBOA Training, 40 hours of Continuing Professional Education

4043

OFFICE EQUIPMENT
Replacement of 3 Desktop computers

TOTALS

Total Change by Administration

8/29/2011

14

101-14 ATTORNEY
LINE
1011

DESCRIPTION
REGULAR WAGES
1
1

1014

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
Annualized
May-11
As of 5/31/11

75,622

80,393

75,622

75,622

75,622

0%

40,616

30,539

73,295

5,000

5,000

5,000

5,000

5,000

0%

1,699

4,999

5,294

4,999

4,999

4,999

0%

2,497

1,797

4,313

1,169

1,238

1,169

1,169

1,169

0%

584

420

1,009

7,562

8,039

6,651

6,651

6,651

14%

3,148

2,520

6,047

19,430

19,430

19,430

19,430

19,430

0%

13,572

9,645

23,149

1,600

1,600

1,600

1,600

1,600

0%

1,528

225

540

46,957

112,697

Office Manager (67/33)

Corporate Counsel (67/33)

TEMPORARY/SEASONAL
1

Laborer (intern)

1015

OTHER

1031

SOCIAL SECURITY

330

#DIV/0!

6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1035

HEALTH/LIFE INSURANCE
$14,500 per Employee (67/33)

2015

OFFICE SUPPLIES

Includes paper, pens, typewriter ribbons, toner, calculator tapes, and any other supplies .
Assist in expense of fax cartridges, copy paper and toner.
New allocation for copies made on copier located in Development Dept.

2027

OTHER SUPPLIES

3011

LEGAL SERVICES

120,000

100,000

120,000

120,000

120,000

#DIV/0!

0%

This account will be used to obtain and retain outside counsel and paralegal assistance.

8/29/2011

15

101-14 ATTORNEY
LINE

DESCRIPTION

3021

POSTAGE

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

5
Year to Date
Annualized
May-11
As of 5/31/11

2010
Actual

250

250

250

250

250

0%

102

92

220

500

1,000

500

500

500

0%

266

638

841

841

841

800

800

0%

831

392.4

942

125

125

119

119

119

5%

111

47

112

2,239

2,239

3,700

3,741

3,741

-39%

3,335

1,386

3,327

250

250

250

250

250

0%

765

765

1,011

1,011

1,011

-24%

887

377

906

15,000

15,000

15,000

15,000

15,000

0%

13,206

7,027

16,865

800

800

800

800

800

0%

2,298

330

792

1,000

1,000

257,151

243,265

256,942

256,942

256,942

84,414

102,021

244,851

Previously paid by BOW-broken out to individual departments in 2009

3022

TRAVEL EXPENSES
Used to attend various seminars to keep abreast of the changing laws.

3023

TELEPHONE
Includes cost of overages and upgrades for City Attorney's cell phone
Includes charges made by Controller's office for basic phone service $700

3041

WORKMEN'S COMP

3042

LIABILITY INSURANCE

Covers insurance costs & repair costs submitted to insurance for accidents.

3062

EQUIPMENT REPAIR
Includes repair costs for office equipment

3065

SERVICE CONTRACTS

Copier lease agreement previously paid by IT


New allocation for OptiView Service Agreement, previously paid by IT Department

3094

SUBSCRIPTIONS & DUES


Dues as well as publications and supplements.

3097

EDUCATION/TRAINING
City attorney takes required Continuing Legal Education courses.

4043

OFFICE EQUIPMENT

#DIV/0!

Replacement of one desktop computer, per IT

TOTALS

Total Change by Administration

(13,886)

0%

8/29/2011

16

101-15 HUMAN RESOURCES


LINE
1011

DESCRIPTION

2012
Request

REGULAR WAGES
1
1
2
1

1015

5
2012
Budget

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

178,808

178,808

178,808

185,727

178,808

0%

133,259

57,106

137,055

11,000

11,000

11,000

11,000

0%

1,000

1,000

2,000

2,000

2,000

-50%

189

11,830

11,148

11,892

12,321

11,892

-1%

7,944

3,428

8,228

2,767

2,607

2,781

2,882

2,781

-1%

1,858

802

1,925

19,081

17,981

15,824

16,395

15,824

21%

8,161

3,465

8,317

58,145

58,145

58,145

58,145

58,145

0%

44,481

13,887

33,330

1,500

1,500

1,500

1,500

1,500

0%

863

318

763

Director (67/33)
Admin Asst (67/33)
Admin Asst
Assistant HR Director (67/33)

OTHER
PTO Bank payout

1016

OVERTIME

1031

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1034

UNEMPLOYMENT COMPENSATION

#DIV/0!

Unemployment compensation

1035

HEALTH/LIFE INSURANCE
$14,500 per Employee-2 Employees
$14,500 per Employee-3 Employees (67/33)

2012

STATIONARY & PRINTING


Envelopes for HR, Business Cards, City of Kokomo Applications, Misc

8/29/2011

17

101-15 HUMAN RESOURCES


LINE
2015

DESCRIPTION
OFFICE SUPPLIES

5
2012
Budget

2012
Request
4,000

Admin
Changes
3,450

2011
Budget
2,500

2011
Request
3,000

Admin
Changes
2,500

Dept Request
% Change
60%

2010
Actual
1,742

Year to Date
May-11
596

Annualized
As of 5/31/11
1,430

This account will be used to purchase office and copier supplies.


Misc Office Supplies, Employees Records, Printer supplies
Increase due to cost sharing of copy paper and replacement ink cartridges for color printer

2027

OTHER SUPPLIES

1,000

1,000

1,000

1,000

1,000

0%

342

143

343

2,500

2,500

3,000

3,000

3,000

-17%

1,893

8,000

8,000

10,000

10,000

10,000

-20%

6,065

1,997

4,793

1,000

1,000

1,500

1,500

1,500

-33%

888

203

488

4,000

4,000

2,250

3,000

2,250

78%

1,403

2,500

2,500

1,800

1,800

1,800

39%

1,745

895

2,149

600

600

600

600

600

0%

239

512

512

512

512

512

0%

314

121

291

Account will be used to cover the cost of safety supplies.

3013

MEDICAL
Flu Shots

3015

OTHER CONTRACTUAL
Used for professional services and service contracts.
DOT and employee drug/alcohol testing (pre-employment)

3021

POSTAGE
Previously paid by BOW-broken out to individual departments for 2009

3022

TRAVEL EXPENSES
This account will be used to cover expenses while on city business
Training, Workshops, Seminars, and Mileage
Human Rights Commissioners

3023

TELEPHONE

3031

PRINTING & PUBLICATION


This account will be used to cover the cost of publications & advertising.
Ads, Publications, updates, Posters

3041

WORKMEN'S COMP

8/29/2011

18

101-15 HUMAN RESOURCES


LINE
3042

DESCRIPTION
LIABILITY INSURANCE

5
2012
Budget

2012
Request
3,731

Admin
Changes
3,731

2011
Budget
4,445

2011
Request
4,445

Admin
Changes
4,445

Dept Request
% Change
-16%

2010
Actual
3,963

Year to Date
May-11
1,923

Annualized
As of 5/31/11
4,615

5,000

5,000

7,500

7,500

7,500

-33%

3,934

1,132

2,718

500

500

500

500

500

0%

315

9,000

9,000

9,000

9,000

9,000

0%

7,907

1,911

4,586

4,000

4,000

2,300

2,300

2,300

74%

978

2,347

330,474

316,982

328,858

338,127

328,858

0%

227,504

88,907

213,377

Covers insurance costs & repair costs submitted to insurance for accidents.

3065

SERVICE CONTRACTS
Maintenance agreement on copier
Copier lease agreement previously paid by IT
Includes charges for OptiView scanner agreement previously paid by IT

3094

SUBSCRIPTIONS & DUES


This account will be used to cover the cost of publications and dues.
You and the Law
Workmen's Comp
IMPACT dues
SHRM membership
SHRM magazine

3097

EDUCATION/TRAINING
Midwest Training (supplies and trainer)
Workshops in HR development
HR Legal issues
Confined Space training
Harassment training

4043

OFFICE EQUIPMENT
Replace 1 desktop computer, per IT
Replace fax/copier machine

TOTALS

Total Change by Administration

(13,492)

(9,269)

8/29/2011

19

101-16 INFORMATION SYSTEMS


LINE
1011

DESCRIPTION
REGULAR WAGES
3
1
1
1

1014

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

5
Year to Date
Annualized
May-11
As of 5/31/11

2010
Actual

202,369

210,021

180,078

180,078

180,078

12%

180,078

72,918

175,003

1,200

1,200

1,200

1,200

1,200

0%

640

6,641

15,939

4,800

4,800

4,800

4,800

4,800

0%

1,492

70

169

12,919

13,393

11,537

11,537

11,537

12%

10,904

4,765

11,436

3,021

3,132

2,698

2,698

2,698

12%

2,550

1,114

2,675

20,717

21,482

15,252

15,252

15,252

36%

14,071

6,006

14,413

63,075

66,410

53,360

53,360

53,360

18%

46,238

18,663

44,791

100

100

100

100

100

0%

750

750

750

750

750

0%

498

19

45

System Administrator (67/33)


Manager Information System (67/33)
Admin Assistant
Clerk (90/10)

TEMPORARY / SEASONAL
1

1016

2012
Budget

Laborers (Intern)

OVERTIME

480

As needed to complete computer setup, server maintenance and problem solving

1031

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1035

HEALTH/LIFE INSURANCE
4
1
1

2012

$14,500 per Employee (67/33)


$14,500 per Employee (90/10)
$14,500 per Employee

STATIONARY & PRINTING


New business cards

2015

OFFICE SUPPLIES

8/29/2011

20

101-16 INFORMATION SYSTEMS


LINE

DESCRIPTION

2027

OTHER SUPPLIES

2012
Budget

2012
Request

Admin
Changes

17,000

2011
Budget

17,000

17,000

2011
Request

Admin
Changes

Dept Request
% Change

17,000

17,000

0%

5
Year to Date
Annualized
May-11
As of 5/31/11

2010
Actual
16,371

2,168

5,203

318

763

Printer Supplies: toner, maint. Kits, other consumables $6,000


HD replacements for servers $5,000
Switches, cables, misc. computer parts, replacement monitors not under warranty, replacement UPS, RAM $6,000

2034

REPAIR PARTS

3015

OTHER CONTRACTUAL

#DIV/0!

31,830

31,830

28,830

28,830

28,830

10%

35,462

36,883

88,519

500

500

500

500

0%

396

72

173

3,000

3,000

3,000

3,000

3,000

0%

2,398

3,182

7,638

167,078

152,078

151,078

151,078

151,078

11%

125,548

54,180

130,031

494

494

394

394

394

25%

442

365

877

3,731

3,731

4,445

4,445

4,445

-16%

3,963

1,923

4,615

5,000

5,000

5,000

5,000

5,000

0%

462

77

184

Consultants on site: CISCO Hardware Engineer, Sungard PS (H.T.E.) $10,000


New cable runs $4,500
WAN Equipment Leases for routers $14,330
OptiView charged out to various departments
Miscellaneous $3,000

3021

POSTAGE & FREIGHT

3022

TRAVEL EXPENSES
Attend H.T.E. User Conference
Attend other training sessions

3023

TELEPHONE

Network Connectivity (Backbone) between City Hall and all remote departments,
Primary and Redundant Internet Connectivity $77,928
Cell phones and pagers $67,600; Phones (land lines) $2800, iquest modem lines $1500
Includes new AT&T fee for all internet lines $1250
Miscellaneous $16,000

3041

WORKMEN'S COMP
Additional employee

3042

LIABILITY INSURANCE
Covers insurance costs & repair costs submitted to insurance for accidents.

3062

EQUIPMENT REPAIR
Items not under warranty

8/29/2011

21

101-16 INFORMATION SYSTEMS


LINE

DESCRIPTION

3065

SERVICE CONTRACTS

2012
Budget

2012
Request

Admin
Changes

271,100

2011
Budget

253,623

2011
Request

236,100

Admin
Changes

Dept Request
% Change

236,100

236,100

15%

5
Year to Date
Annualized
May-11
As of 5/31/11

2010
Actual
214,681

81,163

194,790

Existing annual maintenance renewal contracts:


SunGard PS (H.T.E.) + HELP Card $169,000; API $3,000; Iprism $5,000;
Cisco hardware SmartNet $9,000; Cisco Wireless SmartNet $9,200; Antivirus $8,000; AntiSpam E-mail $800; Doster $100
Backup Replication and off site storage $6,250; Microsoft user license $7,500; MessageNet $2,000;
Microsoft Tech support $12,000; LeftHand $7,750; VM Contact $2,500; Misc. contract renewals

3094

SUBSCRIPTIONS & DUES

3097

EDUCATION/TRAINING

#DIV/0!

11,500

8,500

5,500

5,500

5,500

109%

14,400

2,170

5,208

42,000

42,000

42,000

42,000

42,000

0%

36,909

5,756

13,814

34,500

34,500

34,500

34,500

34,500

0%

39,498

2,194

5,266

896,684

873,545

798,123

797,623

798,123

12%

747,002

300,646

721,550

SunGard PS User Conference


Network Security
Other miscellaneous training

4043

OFFICE EQUIPMENT
12 PC's as immediate replacements $10,800
Windows server replacement $6,000
Cisco end of life equipment $12,000
Miscellaneous $13,200

4091

COMPUTER SOFTWARE
API Scanner Lic (5) $7,500
Misc. software upgrades $7,000
Microsoft Licensing $15,000
E-mail Archiving $5,000

TOTALS

Total Change by Administration

(23,139)

500

8/29/2011

22

101-17 ENGINEERING
LINE
1011

DESCRIPTION

2012
Budget

REGULAR WAGES
1
1
1
1
2
1

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

310,006

310,006

310,006

310,006

310,006

0%

242,479

103,289

247,894

11,520

11,520

11,520

11,520

11,520

0%

12,190

768

1,843

500

500

500

500

500

0%

755

240

577

19,966

19,966

19,966

19,966

19,966

0%

15,253

6,186

14,846

4,669

4,669

4,669

4,669

4,669

0%

3,567

1,447

3,473

31,051

31,051

25,617

25,617

25,617

21%

18,789

8,541

20,499

89,465

89,465

89,465

89,465

89,465

0%

67,754

29,801

71,523

1,750

1,750

1,750

1,750

1,750

0%

58

140

336

City Engineer (50/50)


Survey Crew Chief
Survey Technician
Systems Manager
Systems Project Designer
Clerk (67/33)

1014

TEMPORARY / SEASONAL

1015

OTHER

1016

OVERTIME

#DIV/0!

Used for construction activity after normal work day and emergency call outs

1031

SOCIAL SECURITY
6.2% of Gross wages

1032

MEDICARE
1.45% of Gross wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1035

HEALTH/LIFE INSURANCE
$14,500 per Employee-1 @ 50/50
$14,500 per Employee-1 @ 67/33
$14,500 per Employee-5

2012

STATIONARY & PRINTING


Account will be used to purchase various copier supplies

8/29/2011

23

101-17 ENGINEERING
LINE

DESCRIPTION

2015

OFFICE SUPPLIES

2012
Budget

2012
Request

Admin
Changes

3,000

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

3,000

3,000

3,000

3,000

0%

4,991

1,437

3,449

5,757

5,757

5,260

5,537

5,260

9%

2,833

1,808

4,339

100

100

100

100

100

0%

72

173

1,500

1,500

1,500

1,500

1,500

0%

2,085

149

357

2,500

2,500

2,500

2,500

2,500

0%

948

1,050

2,520

2,000

2,000

2,000

2,000

2,000

0%

332

1,500

1,500

1,500

1,500

1,500

0%

382

48

115

Account will be used to purchase various office supplies to operate DETIS office
Copies previously paid by IT

2021

GASOLINE & OTHER FUELS


Includes diesel fuel and unleaded gas.
1,800 gallons unleaded; 0 gallons diesel

2023

GARAGE & MOTOR


Costs include tires, batteries, belts, brake pads, etc

2024

HOUSEHOLD & INSTITUTIONAL

2027

OTHER SUPPLIES

#DIV/0!

Used to purchase misc. supplies for department.

2034

REPAIR PARTS

Costs include parts needed for repair of motor equipment and office equipment

2035

TOOLS & EQUIPMENT


Costs include various tools needed for the department
Survey equipment

2091

OSHA EQUIPMENT

Includes helmets, goggles, glasses, gloves, and other safety related, OSHA required items.

3021

POSTAGE & FREIGHT

500

500

500

500

500

0%

186

116

279

3022

TRAVEL EXPENSES

300

1,000

300

300

300

0%

Includes lodging, meals, and other expenses while on City business.

8/29/2011

24

101-17 ENGINEERING
LINE

DESCRIPTION

3023

TELEPHONE

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

6,700

6,700

6,700

6,700

6,700

0%

5,928

2,068

4,963

1,000

1,000

1,000

1,000

1,000

0%

239

58

140

1,200

1,200

1,035

1,035

1,035

16%

1,114

396

950

24,664

24,664

28,462

28,462

28,462

-13%

25,371

12,503

30,007

500

500

500

500

500

0%

5,000

5,000

5,000

5,000

5,000

0%

2,885

377

906

2,500

2,500

2,500

2,500

2,500

0%

75

100

240

300

300

300

300

300

0%

694

199

478

Includes cost charged out through Controller's office $4200


Wireless cards $1080

3031

PRINTING & PUBLICATIONS


This account will be used to cover printing expenses.
Added costs for sidewalk brochures and mailings

3041

WORKMEN'S COMPENSATION

3042

LIABILITY INSURANCE

3062

EQUIPMENT REPAIR

This account will be used to cover the cost of repair and the upkeep of equipment.

3065

SERVICE CONTRACTS
Includes cost to maintain printer/copier/scanner

3066

VEHICLE REPAIR
Costs include services needed for repair of motor equipment.

3094

SUBSCRIPTIONS & DUES

This account will be used to pay for dues for professional organizations, memberships, etc. cetpro publications

3096

GRANTS & ALLOWANCES

1,000

1,000

1,000

1,000

1,000

0%

11

1,500

1,500

1,500

1,500

1,500

0%

1,204

Includes fees to Howard County Recorder's office, Metropolitan Title Co

3097

EDUCATION/TRAINING

Includes training and schooling required to update and improve job related skills.

8/29/2011

25

101-17 ENGINEERING
LINE
4043

DESCRIPTION

2012
Request

OFFICE EQUIPMENT
5

4091

2012
Budget

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

5,000

5,000

3,600

3,600

3,600

535,448

536,148

531,750

532,027

531,750

39%

5
Year to Date
May-11

Annualized
As of 5/31/11

1,056

2,534

2,100

412,230

171,850

412,440

2010
Actual

Computers

COMPUTER SOFTWARE

TOTALS

Total Change by Administration

700

#DIV/0!

1%

(277)

8/29/2011

26

202-33 LOCAL ROAD & STREET


LINE

DESCRIPTION

3015

OTHER CONTRACTUAL
Safety Project (PE & R/W)
Resurfacing

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

400,000

520,000

400,000

400,000

400,000

0%

400,000

520,000

400,000

400,000

400,000

0%

5
Year to Date
May-11

Annualized
As of 5/31/11

90% Federal Funds

TOTALS

Total Change by Administration

120,000

8/29/2011

27

101-1801

VEHICLE MAINTENANCE

LINE

DESCRIPTION

1011

REGULAR WAGES
1
1
1
1
4
6

1014

1015

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

587,912

587,912

590,133

590,133

590,133

0%

540,423

207,777

498,665

19,640

19,640

19,640

19,640

19,640

0%

15,351

6,728

16,146

16,000

16,000

16,000

16,000

16,000

0%

2,339

25,000

50,000

25,000

300%

51,635

45,400

108,960

Director
Secretary
Office Manager (Parts)
Foreman
Diesel mechanics
Mechanics

TEMPORARY/SEASONAL
1
1

2012
Budget

Part time summer help for inventory control $3K


Custodian $16,640

OTHER PAYS

Payment in Lieu of vacation. Used as a management tool to trade vacation time for labor hours.
Longevity for AFSCME
4,250
Cash in lieu of vacation
3,750
(An estimated average of 3 mechanics sell back days at an approximate cost of $4800)
PTO Payout
8,000
(Potential PTO payout for non-contractual employee)

1016

OVERTIME

100,000

40,000

The overtime account is used for weather related issues such like snow control, emergency response, and call ins for other departments
Comparison: 2007 budget was $40K with 10 mechanics
Total yearly hours generated by mechanics:
2007: 9,316 hours
2008: 11, 101 hours
2009: 11,370 hours
2010: 12,421 hours

2011: 6,910 hours (Jan 1-June 30)


Cut to $40K by admin 8/10
1031

SOCIAL SECURITY

44,860

41,140

40,348

41,898

40,348

11%

36,237

15,455

37,091

10,492

9,622

9,436

9,799

9,436

11%

8,475

3,614

8,675

6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

8/29/2011

28

101-1801
LINE
1033

VEHICLE MAINTENANCE

DESCRIPTION
PERF

2012
Budget

2012
Request
70,391

Admin
Changes
64,391

203,000

203,000

400

2,200

2011
Budget
52,069

2010
Actual
46,006

5
Year to Date
May-11
20,887

Annualized
As of 5/31/11
50,129

165

0%

181,523

72,315

173,557

400

0%

200

2,000

2,000

10%

2,724

506

1,215

10,000

9,600

4%

4,398

2,066

4,959

2011
Request
54,131

Admin
Changes
52,069

203,000

203,000

203,000

400

400

400

2,200

2,000

10,000

9,600

Dept Request
% Change
35%

10.00% of Gross Wages


Increase over 2011's 8.25% rate

1034

UNEMPLOYMENT COMPENSATION

1035

HEALTH/LIFE INSURANCE

#DIV/0!

$14,500 per Employee

2012

STATIONARY & PRINTING


This account is used for printing business cards and stationary, as needed.

2015

OFFICE SUPPLIES

Supplies (folders, staples, ink cartridges, paper, etc) necessary to operate office functions
Printer ink cartridges (est. $520 per IT Dept)

2021

GASOLINE & OTHER FUELS

10,000

Approx. $8573.10 for gasoline and diesel (new vehicle will be diesel when it arrives).
Approx. $1426.90 for diesel for priming fuel filters during service and refills after tank replacement, Welding (argon) and cutting (oxy-acetylene) gases.
(2009 budget was $32,181)

2023

GARAGE & MOTOR

18,000

18,000

18,000

18,000

18,000

0%

12,054

4,288

10,292

Cost of consumable supplies to support city-wide operations (fasteners, cleaners, degreasers, etc)
Plow fasteners, pins, snow plow refurbishing season hasn't arrived yet.

2024

HOUSEHOLD & INSTITUTIONAL

3,000

3,000

3,000

3,000

3,000

0%

3,030

1,152

2,765

1,250

1,250

1,250

1,250

1,250

0%

1,015

68

163

Includes cleaning supplies and restroom products

2027

OTHER SUPPLIES
Includes batteries (lights/test equipment), light bulbs, etc

8/29/2011

29

101-1801
LINE
2031

VEHICLE MAINTENANCE

DESCRIPTION
BUILDING & GROUNDS MATERIALS

2012
Budget

2012
Request
2,500

Admin
Changes
2,500

2011
Budget
2,500

2011
Request
2,500

Admin
Changes
2,500

Dept Request
% Change
0%

2010
Actual
5,477

5
Year to Date
May-11
260

Annualized
As of 5/31/11
624

8,000

8,000

8,000

8,000

8,000

0%

2,683

1,325

3,181

18,000

18,000

18,000

18,000

18,000

0%

14,298

7,936

19,046

7,500

7,500

7,500

7,500

0%

5,633

3,769

9,046

355

Used for necessary repairs and improvement to various structures.

2034

REPAIR PARTS
Costs include parts needed for repair of motor equipment.

2035

TOOLS & EQUIPMENT

This account is used to buy various hand tools and other tools needed for the garage.
Includes increase for specialty tools and diagnostic equipment

2091

OSHA EQUIPMENT

7,500

This account is used to buy different safety equipment, which includes personal protective and environmental protection equipment.

3013

MEDICAL

#DIV/0!

1,000

1,000

1,000

1,000

1,000

0%

140

399

957

CDL physicals for employees


No longer needed, as Novia Clinic performs, or employee's responsibility

3015

OTHER CONTRACTUAL

This account is used for fire extinguisher inspection/maintenance, laboratory testing and mechanical testing

3021

POSTAGE & FREIGHT

2,000

2,000

2,000

2,000

2,000

0%

1,063

174

418

2,250

2,250

2,250

2,250

2,250

0%

562

3,218

3,000

3,000

24%

3,038

1,590

3,816

This account is used to transport small equipment for repair.


Incoming freight charges

3022

TRAVEL EXPENSES

This account is used for motel rooms, plane tickets, rental cars, and meals while out of town city on business.
APWA Conference & H.T.E. Users Group
NAFA Conference

3023

TELEPHONE

4,000

4,000

Telephone
Includes cost charged out through Controller's office ($3300)

8/29/2011

30

101-1801

VEHICLE MAINTENANCE

LINE
3041

DESCRIPTION
WORKMEN'S COMP

3042

LIABILITY INSURANCE

2012
Budget

2012
Request
13,235

Admin
Changes
13,235

2011
Budget
13,235

2011
Request
13,235

Admin
Changes
13,235

Dept Request
% Change
0%

2010
Actual
12,118

5
Year to Date
May-11
5,314

Annualized
As of 5/31/11
12,754

7,891

7,891

10,134

10,353

10,353

-22%

7,607

4,231

10,156

12,000

12,000

10,000

10,000

10,000

20%

7,132

4,416

10,598

14,000

14,000

12,000

12,000

12,000

17%

5,894

5,905

14,172

600

600

660

660

660

-9%

465

246

592

600

600

600

600

600

0%

388

131

314

10,000

10,000

10,000

10,000

10,000

0%

7,342

1,085

2,605

4,000

4,000

4,000

4,000

4,000

0%

1,606

2,415

5,796

3,000

3,000

3,000

3,000

0%

1,414

572

1,372

Covers insurance costs & repair costs submitted to insurance for accidents.

3051

ELECTRICITY

Electricity service.
Duke Energy inadvertently had meter bases switched with bus barn since 2006

3052

GAS UTILITY
Gas service.
1200 sq. ft. additional heating space (built in 2009)
Annualization and 5% increase, but with consideration of past usage

3053

WATER
Water service.

3054

SEWAGE
Sewage service.

3061

BUILDING & GROUNDS


Overhead oil dispensing plumbing

Water lines, drain repair for upper facility


3062

EQUIPMENT REPAIR

To cover the cost of equipment repair with labor charges from outside vendors.

3065

SERVICE CONTRACTS

3,000

Service contracts for ongoing repair/environmental service (parts cleaner/copier)


API/OptiView service agreement previously paid by IT ($1011)
Koorsen Fire Protection ($834)
Overhead crane inspection ($500)

8/29/2011

31

101-1801
LINE
3066

VEHICLE MAINTENANCE

DESCRIPTION
VEHICLE REPAIR

2012
Budget

2012
Request
2,000

Admin
Changes
2,000

2011
Budget
2,000

2011
Request
2,000

Admin
Changes
2,000

Dept Request
% Change
0%

2010
Actual
170

5
Year to Date
May-11
-

Annualized
As of 5/31/11
-

Vehicle repair by outside contractor (deductible portion of accident repair), specialized repair

3072

RENTAL - EQUIPMENT/OTHER

10,000

10,000

10,000

10,000

10,000

0%

5,735

3,077

7,386

6,500

6,500

6,500

6,500

6,500

0%

3,460

511

1,226

50

2,250

2,250

2,250

2,250

2,250

0%

1,512

298

715

This account is used to pay for uniform rental and other equipment

3094

SUBSCRIPTIONS & DUES


To cover subscriptions, membership dues, and manufacturer's technical data
Navistar Nexiq $1000; AllData $1500
Ford IDS Subscription for Ford Crown Victoria police cars $1000
WiTech (Chrysler) $1200; TechAuthority $1500
GM SI (service information) $1200
Cummins Insite (currently funded with agreement with Cummins Inc)

3095

PREMIUMS ON OFFICIAL BONDS

3097

EDUCATION/TRAINING

#DIV/0!

Maintenance training sessions / materials and ASE materials / CDL testing


CAFM certification
Certified Automotive Fleet Manager recognition allows access to latest information and technological advancements.

4031

IMPROVEMENTS

155,000

25,000

18,000

18,000

18,000

761%

7,350

$150,000 for additional building space for west end of current facility (5-ranking)
$5,000 for misc improvements and landscaping
Paint offices

4042

MOTOR EQUIPMENT

42,000

42,000

42,000

-100%

44,480

4043

OFFICE EQUIPMENT

1,500

1,500

3,500

3,500

3,500

-57%

1,956

4,694

2,004

1,374,971

1,174,381

1,182,224

1,211,599

1,182,224

1,047,550

425,867

1,022,082

Includes (1) desktop computer replacement $1000

4044

OTHER EQUIPMENT

TOTALS

Total Change by Administration

(200,590)

#DIV/0!

16%

(29,375)

8/29/2011

32

101-1802
LINE
1011

DESCRIPTION

2012
Budget

REGULAR WAGES
7
2

1014

TRANSPORTATION
Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

283,777

283,777

283,777

283,777

283,777

0%

280,096

105,838

254,010

142,833

142,833

122,415

220,496

122,415

17%

104,100

37,765

90,635

Bus Drivers
Supervisors
Eliminated Clerk's position

TEMPORARY / SEASONAL
8

2012
Request

PT Bus Drivers
10,920 hours @ $13.08/hour
90% of full time bus driver-30 hrs/wk, 52 wks
Currently we have 7, but need 8

1015

OTHER PAY

#DIV/0!

83

1016

OVERTIME

#DIV/0!

65

20

47

26,450

26,450

25,184

31,265

25,184

5%

22,700

8,420

20,209

6,186

6,186

5,890

7,312

5,890

5%

5,309

1,969

4,726

28,378

28,378

23,412

23,412

23,412

21%

21,678

8,702

20,885

242

2,300

5,520

130,500

130,500

130,500

130,500

130,500

127,852

53,240

127,777

Additional hours, sick time, vacations, additional demand.

1031

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1034

UNEMPLOYMENT COMPENSATION

1035

HEALTH/LIFE INSURANCE

#DIV/0!

0%

$14,500 per Employee

8/29/2011

33

101-1802
LINE
2012

TRANSPORTATION

DESCRIPTION
STATIONARY AND PRINTING

2012
Budget

80

5
Year to Date
May-11
-

Annualized
As of 5/31/11
-

0%

1,087

70

168

79,809

22%

57,238

32,394

77,746

650

650

208%

439

513

1,232

200

200

200

0%

122

1,000

1,000

1,000

1,000

0%

519

455

1,091

15,000

15,000

750

750

750

1900%

250

250

250

250

250

0%

16

38

350

350

350

350

350

0%

425

215

516

2012
Request
100

Admin
Changes
100

2011
Budget
100

2011
Request
100

Admin
Changes
100

Dept Request
% Change
0%

1,000

1,000

1,000

1,000

1,000

97,418

97,418

79,809

121,060

2,000

2,000

650

200

200

1,000

2010
Actual

Business cards and customer call cards

2015

OFFICE SUPPLIES
Supplies necessary to operate office functions.

2021

GASOLINE & OTHER FUELS


Diesel Fuel
23,700 gallons for Spirit of Kokomo Operations
(12,373 gallons used first 6 months)

2024

HOUSEHOLD & INSTITUTIONAL

Toilet paper, paper towels, cleaning supplies, trash bags, hand soap, light bulbs
Parks dept not covering this expense any longer

2027

OTHER SUPPLIES
Bus cleaning supplies and publication displays

2031

BLDG AND GROUNDS MATERIALS


Materials for upkeep of bus barn and wash area

2034

REPAIR PARTS
Costs include parts needed for repair of equipment

2091

OSHA EQUIPMENT
Body fluid spill cleanup supplies and first aid kit supplies

3013

MEDICAL
CDL physicals

3015

OTHER CONTRACTUAL

#DIV/0!

Service agreements for Koorsen and fire extinguisher inspection


Moved service agreements to proper account line 3065

8/29/2011

34

101-1802
LINE
3021

TRANSPORTATION

DESCRIPTION
POSTAGE & FREIGHT

2012
Budget

5
Year to Date
May-11
-

Annualized
As of 5/31/11
-

0%

311

1,900

-5%

1,291

685

1,644

100

100

0%

2012
Request
100

Admin
Changes
100

2011
Budget
100

2011
Request
100

Admin
Changes
100

Dept Request
% Change
0%

100

100

100

100

100

1,800

1,800

1,900

1,900

100

100

100

2010
Actual

Mailing of required reports and notifications

3022

TRAVEL EXPENSES
INCOST monthly meetings for transportation providers
In-state travel only per admin

3023

TELEPHONE
Includes cost charged out through Controller's office $600
GPS for the buses is to be provided by KHGCC
3 phone lines and one fax at $327 each

3031

PRINTING AND PUBLICATION


Brochures

3041

WORKMEN'S COMP

14,101

14,101

14,101

14,101

14,101

0%

14,037

5,491

13,177

3042

LIABILITY INSURANCE

11,756

11,756

13,343

13,343

13,343

-12%

11,894

5,909

14,182

3,200

3,200

2,200

2,200

2,200

45%

2,082

1,294

3,106

1,700

1,700

1,500

1,500

1,500

13%

517

679

1,629

500

500

600

600

600

-17%

468

175

420

600

600

600

600

600

0%

399

219

527

Covers insurance costs & repair costs submitted to insurance for accidents.

3051

ELECTRICITY
Electricity Utility for Bus Barn/Wash Bay
(Transit Center to budget $10,00)

3052

GAS UTILITY
Natural Gas Utility for Bus Barn/Wash Bay
(Transit Center to budget $7,000)

3053

WATER
Water Utility for Bus Barn/Wash Bay
(Transit Center to budget $800)

3054

SEWAGE
Wastewater Utility
(Transit Center to budget $450)

8/29/2011

35

101-1802
LINE
3061

TRANSPORTATION

DESCRIPTION
BUILDINGS AND GROUNDS

2012
Budget

2012
Request
600

Admin
Changes
600

2011
Budget
600

2011
Request
600

Admin
Changes
600

Dept Request
% Change
0%

2010
Actual
778

5
Year to Date
May-11
-

Annualized
As of 5/31/11
-

2,000

2,000

750

750

750

167%

778

500

500

500

500

500

0%

242

251

601

10,000

3,799

500

500

500

500

500

0%

320

40

96

500

500

500

500

500

0%

348

13%

24,000

679,421

266,743

639,983

Maintenance and repair of bus barn and wash bay


(Transit Center to budget $4,000)

3062

EQUIPMENT REPAIR
Repair on machines, including vehicles.
Radio

3065

SERVICE CONTRACTS
Service contracts for Koorsen and fire extinguisher inspection
(Transit Center to budget $7,000)

3066

VEHICLE REPAIRS

#DIV/0!

Needed for repairs on aging Spirit of Kokomo buses

3094

SUBSCRIPTIONS AND DUES


CDL licensing, INCOST membership, and professional memberships

3097

EDUCATION/TRAINING

This account will be used for annual training; such as, CPR, CDL testing, First Aid and Passenger Assistance Training.

4042

MOTOR EQUIPMENT

27,000

27,000

24,000

24,000

24,000

2,000

810,498

806,297

736,681

883,516

736,681

Matching funds for purchase of 2 new senior buses

4043

OFFICE EQUIPMENT

#DIV/0!

2 replacement computers (originally entered in Senior Center budget)

TOTALS

Total Change by Administration

(4,201)

10%

(146,835)

8/29/2011

36

101-1803
LINE
1011

BUILDING MAINTENANCE

DESCRIPTION
REGULAR WAGES
1
3

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

157,763

157,763

157,763

157,763

157,763

0%

157,765

62,429

149,829

750

750

750

750

750

0%

595

265

635

9,828

9,828

9,828

9,828

9,828

0%

9,258

3,698

8,875

2,298

2,298

2,298

2,298

2,298

0%

2,165

865

2,075

15,851

15,851

13,077

13,077

13,077

21%

12,273

5,172

12,413

7,334

58,000

58,000

58,000

58,000

58,000

60,690

18,578

44,587

952

952

1,283

1,350

1,283

-26%

766

343

824

15,000

15,000

15,000

15,000

15,000

0%

12,965

550

1,320

Building Manager
Maintenance

1016

OVERTIME

1031

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1034

UNEMPLOYMENT COMPENSATION

1035

HEALTH/LIFE INSURANCE

#DIV/0!

0%

$14,500 per Employee

2015

OFFICE SUPPLIES

2021

GASOLINE & OTHER FUELS

#DIV/0!

450 gallons of regular unleaded

2024

HOUSEHOLD & INSTITUTIONAL


Includes light bulbs, soaps, brooms, towels, etc.

8/29/2011

37

101-1803

BUILDING MAINTENANCE

LINE

DESCRIPTION

2027

OTHER SUPPLIES

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

15,000

15,000

15,000

15,000

15,000

0%

14,866

3,747

8,994

20,000

20,000

20,000

20,000

20,000

0%

19,319

98

235

100

100

100

100

100

0%

36

500

500

500

500

500

0%

27

2,000

2,000

2,000

2,000

2,000

0%

1,750

964

2,313

10,000

10,000

10,000

10,000

10,000

0%

6,749

652

1,566

300

300

300

300

300

0%

30

23

55

750

750

750

750

750

0%

600

600

600

600

600

0%

558

257

618

6,206

6,206

6,206

6,206

6,206

0%

4,627

2,012

4,828

Misc building supplies, consumables, and hardware

2031

BUILDING & GROUND MATERIALS


Materials to repair/constitute existing facilities
Upgrade lighting

2034

REPAIR PARTS
Grounds keeping equipment repair parts

2035

TOOLS & EQUIPMENT

2091

OSHA EQUIPMENT
Safety supplies storage containers, gloves, boots

3015

OTHER CONTRACTUAL
Contractor support-electrical, elevator, chemical testing & plumbing

3021

POSTAGE & FREIGHT


Freight charges for various shipments

3022

TRAVEL
Professional meetings, conferences

3023

TELEPHONE

3041

WORKMEN'S COMP

8/29/2011

38

101-1803

BUILDING MAINTENANCE

LINE

DESCRIPTION

3042

LIABILITY INSURANCE

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

915

915

915

915

915

0%

816

206

494

74,000

74,000

80,000

80,000

80,000

-8%

47,794

10,801

25,922

10,000

10,000

5,000

5,000

5,000

100%

7,902

2,690

6,456

14,000

14,000

14,000

14,000

14,000

0%

13,629

7,452

17,885

3,300

3,300

3,000

3,000

3,000

10%

3,185

2,087

5,008

400

400

400

400

400

0%

383

383

919

750

750

750

750

750

0%

11,345

10,730

25,752

200,000

200,000

180,000

180,000

180,000

11%

37,430

26,816

64,358

619,263

619,263

597,520

597,588

597,520

4%

434,259

160,821

385,970

Covers insurance costs & repair costs submitted to insurance for accidents.

3061

BUILDINGS & GROUNDS


Scheduled maintenance and general repairs $50,000
Atrium skylight repairs $30,000

3064

CLEANING SERVICES
Professional window and carpet cleaning at City Hall

3065

SERVICE CONTRACTS
Elevator Maintenance, pest control

3072

RENTAL EQUIPMENT & OTHERS


Rental of floor mats, misc equipment

3094

SUBSCRIPTIONS & DUES


To cover subscriptions and membership dues

3097

EDUCATION/TRAINING
Maintenance training sessions, as required

4021

BUILDINGS

4031

IMPROVEMENTS

#DIV/0!

City Hall updates

TOTALS

Total Change by Administration

(68)

8/29/2011

39

101-1804
LINE
1011

REGULAR WAGES

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request Year to Date


% Change
May-11

Annualized
As of 5/31/11

33,270

#DIV/0!

11,187

26,849

106,243

98,081

98,081

98,081

8%

33,458

80,300

FT Clerk

TEMPORARY / SEASONAL
4
1

1031

5
2012
Budget

DESCRIPTION

1014

CITY LINE TROLLEY

PT Trolley drivers
PT Clerk

6,864 hours @ $13.08/hour ($89,781) had to add 3 hours/week per driver


1,144 hours @ $14.39/hour ($16,462.16)

SOCIAL SECURITY

8,650

6,081

6,081

6,081

42%

2,751

6,602

6.20% of Gross Wages

1032

MEDICARE

2,023

1,422

1,422

1,422

42%

643

1,544

1033

PERF

3,327

#DIV/0!

461

1,105

10.00% of Gross Wages


Increase over 2011's 8.25% rate

1035

HEALTH INSURANCE

14,500

#DIV/0!

1,071

2,570

2021

GASOLINE & OTHER FUELS

53,134

51,263

37,050

37,050

43%

17,717

42,521

10,000

#DIV/0!

1,106

2,654

300

350

350

350

-14%

3,220

1,900

1,900

1,900

69%

6712.3 gal of fuel used first half of year;


Currently transporting 700-800 passengers daily

2034

REPAIR PARTS
Trolleys will be out of warranty

3013

MEDICAL
CDL physicals

3023

TELEPHONE
Includes cost charged out through Controller's office $600
GPS for the buses is to be provided by KHGCC
3 phone lines and one fax at $327 each
WiFi for trolleys-$35/month; $840/year

3041

WORKMEN'S COMP

3,585

3,585

3,585

3,585

0%

1,369

3,286

3042

LIABILITY INSURANCE

3,660

3,660

3,660

3,660

0%

824

1,977

1,526

1,526

1,526

0%

10,000

#DIV/0!

822

253,438

167,868

153,656

153,656

65%

71,408

Covers insurance costs & repair costs submitted to insurance for accidents.
$1220 per trolley-total $3660

3065

SERVICE CONTRACTS

1,526

Service for T1 line, support, and scanner split 50/50 with FTA-Transit Center

3066

VEHICLE REPAIR
Trolleys will be out of warranty

TOTALS

Total Change by Administration

(85,570)

142,558

101-19 BOARD OF WORKS


LINE

DESCRIPTION

1011

REGULAR WAGES
1

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

22,874

22,874

22,874

22,874

22,874

0%

5
Year to Date
May-11

Annualized
As of 5/31/11

6,334

9,414

22,593

2010
Actual

Secretary (67/33)

1014

TEMPORARY/SEASONAL

#DIV/0!

1,000

961

2,307

1016

OVERTIME

#DIV/0!

12

1031

SOCIAL SECURITY

1,418

1,418

1,418

1,418

1,418

0%

444

626

1,502

1032

MEDICARE

332

332

332

332

332

0%

104

146

351

2,287

2,287

1,887

1,887

1,887

21%

491

777

1,864

169,215

169,215

125,715

125,715

125,715

35%

1,181

1,761

4,227

5,000

5,000

5,000

5,000

5,000

0%

2,626

431

1,034

500

500

500

500

500

0%

1,152

146

350

40,000

40,000

38,000

40,000

38,000

5%

15,716

9,271

22,250

1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1035

HEALTH/LIFE INSURANCE
$14,500 per Employee (67/33)
$14,500 per Non-contractual (4) & AFSCME (7) retirees

2012

STATIONARY & PRINTING


To be used for preprinted forms, envelopes, letterhead, etc.

2015

OFFICE SUPPLIES

2021

GASOLINE & OTHER FUELS


City
Kokomo Housing Auth

10,000
7798 gal @ $3.00

8/29/2011

42

101-19 BOARD OF WORKS


2012
Budget

LINE

DESCRIPTION

2027

OTHER SUPPLIES

2031

BUILDING & GROUNDS MATERIALS

3011

LEGAL

3015

OTHER CONTRACTUAL
Beautification
Misc. City obligations
City Auction
Consulting fees

3017

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change
0%

5
Year to Date
May-11

Annualized
As of 5/31/11

1,450

1,168

2,803

3,105

2010
Actual

1,125

1,125

1,125

1,125

1,125

50,000

50,000

50,000

300,000

50,000

0%

197,501

130,000

130,000

130,000

130,000

130,000

0%

69,111

2,814

6,754

1,000

1,000

1,000

1,000

1,000

0%

781

417

1,000

5,000

5,000

5,000

5,000

5,000

0%

19,063

(663)

(1,592)

500

500

500

500

500

0%

25,000

25,000

30,000

30,000

30,000

-17%

27,336

9,708

23,300

8,000

6,000

6,000

6,000

33%

6,777

4,357

10,456

55

55

55

0%

44

35

84

#DIV/0!

30,000
50,000
5,000
45,000
130,000

AMS-BANK CHARGES
Credit card-third party processing fees

3021

POSTAGE & FREIGHT


Includes postage, sorting fees, shipping charges, etc.

3022

TRAVEL

3023

TELEPHONE

Department will now pay for its share of the maintenance fees of the trunk line

3031

PRINTING & PUBLICATION

8,000

Includes legal advertising required in newspapers for ordinances, bids, appropriations, budgets, etc.

3041

WORKMEN'S COMPENSATION

55

55

8/29/2011

43

101-19 BOARD OF WORKS


LINE

DESCRIPTION

3042

COMPREHENSIVE LIABILITY

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

70,625

70,625

70,625

70,625

70,625

0%

82,995

2,371

5,690

640,000

640,000

619,480

619,480

619,480

3%

594,906

227,280

545,472

12,600

12,600

12,000

12,000

12,000

5%

6,082

3,786

9,088

7,770

7,770

7,770

7,770

7,770

0%

6,435

1,567

3,760

6,000

6,000

6,000

6,000

6,000

0%

3,095

861

2,066

956,000

956,000

875,000

875,000

875,000

9%

673,645

277,965

667,116

-26%

795

377

906

Covers insurance costs and repair costs submitted to insurance for accidents.

3051

ELECTRICITY
Electric Utility
Increase due to street lights for annexed areas

3052

GAS UTILITY
Natural Gas Utility
5% increase over 2011

3053

WATER
Water Utility

3054

SEWAGE
Sewage Utility

3055

WASTE REMOVAL

Includes costs to remove and dispose of waste at various facilities; $36.90 per ton for FY 2009, $37.90 for 2010 and $38.90 for 2011
Contract renewal on 1/1/2012

3065

SERVICE CONTRACTS

765

765

1,038

1,038

1,038

#DIV/0!

2,340

#DIV/0!

1,350

20,000

20,000

18,169

18,169

18,169

17,304

17,390

41,736

OptiView-1 scanner

3071

BUILDING RENTAL
Consists of storage building rental fees.

3082

INTEREST ON LOAN

3094

SUBSCRIPTIONS & DUES

10%

IACT Dues

8/29/2011

44

101-19 BOARD OF WORKS


LINE

DESCRIPTION

3095

OFFICIAL BOND PREMIUM

2012
Budget

2012
Request

Admin
Changes

7,000

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

7,000

7,000

7,000

7,000

0%

2,579

235

564

1,178,000

1,138,000

1,160,000

360,000

1,160,000

2%

364,000

163,395

392,148

1,500

1,500

1,500

1,500

1,500

0%

877

1,061

2,546

#DIV/0!

2,022

#DIV/0!

4,190

2,649,988

3,197,988

2,112,653

741,845

Covers insurance bond premiums needed for key employees and department heads.

3096

GRANTS & ALLOWANCES


Used for bank charges, and other grant requests and costs.
Humane Society Grant
306,000
Kokomo-Howard Co. GCC
26,000
IRS-Sales & Use Tax/Misc.
1,000
Historic Review Board
2,000
Dispatch Consolidation
620,000
Election costs
150,000
Others
33,000
1,138,000

3097

EDUCATION/TRAINING

4043

OFFICE EQUIPMENT

4044

OTHER EQUIPMENT

3,362,566

3,322,566

TOTALS

Total Change by Administration

3,197,988

(40,000)

8/29/2011

5%

1,770,374

548,000

45

101-21 POLICE
LINE
1011

2012
Budget

DESCRIPTION
REGULAR WAGES

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

6,126,929

5,901,114

5,666,453

6,351,298

5,666,453

8%

5,798,650

2,176,449

5,223,477

50,355

50,355

51,923

153,126

51,923

-3%

145,950

16,730

40,151

648,907

648,907

666,743

640,027

666,743

-3%

628,575

278,630

668,711

540,000

500,000

500,000

540,000

500,000

8%

388,029

145,229

348,549

50,156

50,156

37,923

85,633

37,923

32%

73,017

17,796

42,711

89,364

86,090

76,841

111,425

76,841

16%

89,703

33,018

79,244

1
Chief
1 Supervisor (Property)
3
Major
1 Data Records Supervisor
7
Captain
1 Secretary
7
Lieutenant
1 Administrative Assistant
14 Sergeant
1 Office Manager
26 Specialists
13 Clerks
52 Patrol Officers
1 Quartermaster
1
Parking Monitor
1
Recreation Programmer
**This manpower detail includes 5 patrol officers paid by CHRP grant

1014

TEMPORARY / SEASONAL
1
1
1

1015

Property Room Clerk


Temp. Laborer-PAL
Part Time Records Clerk

17,070
8,000
25,285
50,355

OTHER PAY
Holiday
In lieu of vacation
Shift Premium
Specialty Pay
Longevity
Vacation pay out

293,907
50,000
100,000
28,000
164,000
13,000
648,907
Per Admin on 7/28, cut 5 officers to be paid by CHRP Grant

1016

OVERTIME
Overtime
500,000
Directed Policing
40,000
Paid by Kokomo Housing Authority

1031

SOCIAL SECURITY
6.20% of Gross Wages - Exclude Police Officers

1032

MEDICARE
1.45% Of Gross Wages
Per Admin on 7/28, cut 5 officers to be paid by CHRP Grant

8/29/2011

46

101-21 POLICE
LINE

DESCRIPTION

1033

PERF

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change
21%

5
Year to Date
May-11

Annualized
As of 5/31/11

991,188

384,217

922,121

7,764

8,589

20,614

2010
Actual

1,140,497

1,096,011

939,292

1,032,160

939,292

20,000

20,000

1,841,500

1,841,500

1,725,500

2,015,500

1,725,500

7%

1,861,860

679,343

1,630,423

230,389

230,389

180,000

180,000

180,000

28%

169,242

41,188

98,852

6,500

6,500

5,000

5,000

5,000

30%

5,039

2,073

4,975

53,408

53,408

53,408

53,408

0%

33,449

9,077

21,786

308,841

308,841

234,916

247,280

234,916

31%

170,605

108,128

259,507

800

800

600

600

600

33%

519

320

768

1,350

1,350

1,350

1,350

1,350

0%

1,046

135

323

Sworn Personnel
19.70%
Increase over 2011's 19.50% rate
Per Admin on 7/28, cut 5 officers to be paid by CHRP Grant
Non-Sworn
10.00%
Increase over 2011's 8.25% rate

1034

UNEMPLOYMENT COMPENSATION

1035

HEALTH/LIFE INSURANCE

#DIV/0!

$14,500 per Employee

1037

CLOTHING ALLOWANCE
Includes Contractual clothing
Councilmen/Department Heads special badges. Clothing for replacement
New hire officers.
Bullet Proof Vest as per State statute Requirements ($49K)
Increase due to 5 new hires eligible for clothing allowance
SWAT boots, bomb gloves

2012

STATIONARY & PRINTING

Printed forms including custody reports, case reports, citations, stationary and business cards

2015

OFFICE SUPPLIES

53,408

All articles necessary to the proper operation of an office, other than equipment.
Examples are: typewriter ribbons, pencils, notebooks, folders, tape, stencils, etc.
Includes $25,680 for printer consumables and copier supplies previously paid by I.T. Department
Includes $3408 for copy fees

2021

GASOLINE & OTHER FUELS


To be used for unleaded gasoline for department vehicles.
80,000 gallons of regular unleaded

2024

HOUSEHOLD & INSTITUTIONAL


Items purchased from this line include: cleansers,
furniture polish, glass cleaner, trash bags,
air fresheners, waxes, etc.

2025

FOOD
Food for memorial services or other ceremonies hosted by KPD

8/29/2011

47

101-21 POLICE
LINE

DESCRIPTION

2026

K-9 SUPPLIES

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

4,500

4,500

4,500

5,000

4,500

0%

5,031

1,110

2,664

73,500

73,500

50,000

50,000

50,000

47%

42,694

26,998

64,794

85,000

85,000

75,000

75,000

75,000

13%

87,701

49,339

118,414

5,000

5,000

5,500

5,500

5,500

-9%

2,432

144

345

10,000

10,000

10,000

10,000

0%

4,678

1,050

2,520

60,000

60,000

60,000

0%

47,722

8,365

20,076

KPD currently has 4 K-9s; this account pays for their food and supplies

2027

OTHER SUPPLIES

Examples of items purchased from this line include batteries, audio tapes,
publications, decals, evidence retrieval equipment,
cameras, tape recorder, flares, property cards, property tags, bicycle license, CS/OC gas, etc
DT Equipment; Tasers; 8mm Video Tape for new
cameras; Lapel Mics; & Various other items under $1000 per item.
Emergency Packs; shock tube; PBT's; gas mask; SWAT chemicals

2034

REPAIR PARTS
Based on current budget usage

2035

TOOLS & EQUIPMENT

2091

OSHA EQUIPMENT

#DIV/0!

The line is limited to items needed to comply with OSHA


Requirements such as blood borne pathogen cleanup kits,
latex gloves, antiseptic towelettes, antiseptic solutions, first aid supplies, etc.
Many of these items are disposed of after use and must be replenished.
Recent training has brought about an awareness in employee safety requirements
in dealing with various pathogens and strict compliance with contaminates and the proper disposal.

3013

MEDICAL

10,000

Utilized for hospital blood, alcohol, and drug testing ordered by the department for case investigation.
Special physical or psychological testing required for certain department
assignments and post high stress incident de-briefing, such as police action shootings.

3015

OTHER CONTRACTUAL

60,000

60,000

Professional services performed by personnel other than department employees includes support or evaluation,
promotional, and hiring testing process or service contract which provide a service rather than material or repair.
This also includes investigative expenses phone toll checks, bank records, etc.
Procedures as outlined by OSHA require drying lockers be cleaned and bio hazards be removed and disposed of.
CALEA fees $5,000

3021

POSTAGE

2,000

2,000

2,200

2,200

2,200

-9%

1,574

485

1,164

50,000

50,000

26,250

26,250

26,250

90%

31,241

16,056

38,535

Mailings and shipping charges

3022

TRAVEL EXPENSES

Provide for meals and lodging expenses needed for investigations or other
department functions that require travel. CIS Criminal Investigations and Evidence Recovery training
Special travel expenses for CIS schools

8/29/2011

48

101-21 POLICE
LINE

DESCRIPTION

3023

TELEPHONE

2012
Budget

2012
Request

Admin
Changes

102,800

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

102,800

88,687

80,000

80,000

16%

66,541

30,607

73,457

1,500

1,500

1,500

1,500

1,500

0%

2,434

200

480

106,866

106,866

112,165

117,464

112,165

-5%

116,595

51,478

123,547

201,556

201,556

185,429

194,117

194,117

9%

168,960

91,561

219,745

20,000

20,000

20,000

20,000

20,000

0%

11,385

1,494

3,586

63,500

83,500

59,325

59,325

59,325

7%

48,821

7,927

19,025

55,000

55,000

50,000

50,000

50,000

10%

64,415

21,576

51,783

Phone Lines
Monthly bldg service $13,632
AFIS Line $4320, Cis Mobile $9200; Pagers $15,432
Wireless cards $17,028 per I.T.; Misc Phone $1600
Includes cost charged out through Controller's office $39,800
Adjusted by Admin to reflect increase in trunk line costs (moved from liability insurance line)

3031

PRINTING & PUBLICATION


Photo prints & processing. Various officials forms, & letterhead.
Due to digital camera, photo processing will not be as much

3041

WORKMEN'S COMP
Admin removed CHRP allotted amount

3042

LIABILITY INSURANCE
Covers insurance costs & repair costs submitted to insurance for accidents.

3062

EQUIPMENT REPAIR

Used for work done by outside source, either because specialized training required
or special equipment needed.
Radio Repairs (Approx 150 radios)

3065

SERVICE CONTRACTS
Cisco $22,400 upgrade to SQL
Microsoft $5,000 previously paid by IT
OptiView $9,099 previously paid by IT
Intel $3,500 previously paid by IT
Leads on Line $7,618
Guardian Tracking $1,020
WordSystem $2,000
Cisco Maintenance fee $2,780 previously paid by IT
J-Tech $2500
Others $3408
Mapping software $4185
GPS $20K

3066

VEHICLE REPAIRS

3072

RENTAL - EQUIPMENT/OTHER

8/29/2011

#DIV/0!

49

101-21 POLICE
LINE

DESCRIPTION

3094

SUBSCRIPTIONS & DUES

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change
0%

5
Year to Date
May-11

Annualized
As of 5/31/11

3,498

1,070

2,568

600

2010
Actual

5,000

5,000

5,000

5,000

5,000

75,000

75,000

75,000

75,000

75,000

0%

55,090

25,000

60,000

75,000

75,000

75,000

75,000

75,000

0%

54,738

26,724

64,137

12,500

12,500

10,000

10,000

10,000

25%

9,082

3,978

9,547

20,000

20,000

25,000

25,000

25,000

-20%

23,974

4,367

10,482

Other services and charges. Examples would be for our


out-of-pocket expenses, dues, memberships, subscriptions.

3095

PREMIUMS ON BONDS

3096

GRANTS & ALLOWANCES

#DIV/0!

Grant match
Investigative Expenses
For our Special Investigations Unit

3097

EDUCATION/TRAINING

Includes fees for university studies, training, seminars, or instructors fees and training materials.

3098

PROMOTION & DEVELOPMENT


Crime Stoppers
Memorial Service
Special Ceremonies
Handouts for Crime Prev

3099

5,000
500
500
6,500

MISCELLANEOUS

This line item is also, to cover the costs associated with license plates, employee reimbursements, mini exams and K-9.
This line item also funds the Wellness Program for KPD and physical assessments

4042

MOTOR EQUIPMENT
4
8

4043

OFFICE EQUIPMENT
12
15
2

4044

324,000

324,000

94,000

287,000

94,000

245%

162,964

33,000

33,000

29,000

29,000

29,000

14%

12,665

25,943

62,263

110,000

110,000

56,000

103,570

56,000

96%

43,993

3,637

8,728

12,604,717

12,311,142

11,259,506

12,782,732

11,259,506

12%

11,433,461

4,300,030

10,320,071

Marked Vehicles $132,000


Unmarked Vehicles $192,000

Laptops ($16,200)
Desktops ($15,000)
Scanners ($1800)

OTHER EQUIPMENT
Prisoner Seats
Equipment Transfer Kits
Sirens
Jotto Desk
Gun Rack
Trunk Organizer
Consoles
Cisco Server per IT $5,500
Bomb kit, distraction device, mic's for SWAT
Mapping Equipment for accidents, radios, decals

TOTALS

Vehicle related
Vehicle related
Vehicle related
Vehicle related
Vehicle related
Vehicle related
Vehicle related

Total Change by Administration

(293,575)

8/29/2011

(1,523,226)

50

101-21 POLICE-CHRP GRANT


LINE

DESCRIPTION

1011

REGULAR WAGES
5
Patrol officers

1015

OTHER PAY
Holiday
Shift Premium
Longevity

5
2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Dept Request
% Change

Year to Date
May-11

Annualized
As of 5/31/11

225,815

225,815

225,815

225,815

0%

72,428

173,826

23,284

23,284

23,284

23,284

0%

8,061

19,347

15,635
6,774
875
23,284

1016

OVERTIME

#DIV/0!

2,473

5,936

1032

MEDICARE

3,612

3,612

3,612

3,612

0%

1,166

2,798

46,554

46,554

46,081

46,081

1%

14,888

35,732

72,500

72,500

72,500

72,500

0%

22,184

53,242

620

1,488

5,299

5,299

5,299

5,299

0%

1,818

4,363

377,064

377,064

376,592

376,592

0%

123,638

296,732

1.45% Of Gross Wages

1033

PERF
Sworn Personnel

1035

19.70%

HEALTH/LIFE INSURANCE
$14,500 per Employee

1037

CLOTHING ALLOWANCE

#DIV/0!

$1200 per officer


(not covered by grant)

3041

WORKMEN'S COMP
$20.38/week per officer

TOTALS

Total Change by Administration

233
LINE
2027

LOCAL LAW ENFORCEMENT CONT. ED.


DESCRIPTION

2012
Budget

Other Supplies

2012
Request
45,000

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May 2011

Annualized
As of 5/31/11

45,000

30,000

30,000

30,000

50%

21,143

16,600

39,841

45,000

30,000

30,000

30,000

50%

21,143

16,600

39,841

9mm Reloads (20,000)


9mm Duty Ammo
Air Soft Training, 40 Cal. Reload
SWAT ammo
This line will also have other ammo purchased by the department to be used for training purposes
Revenue from parking tickets

TOTALS

45,000

8/29/2011

52

101-22 FIRE
LINE
1011

5
2012
Budget

DESCRIPTION
REGULAR WAGES

2012
Request
5,698,243

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

5,499,377

5,149,693

5,746,822

5,149,693

11%

5,098,082

2,169,809

5,207,542

25,000

25,000

18,720

18,720

18,720

34%

12,421

7,156

17,175

312,150

312,150

531,020

551,000

531,020

-41%

506,893

83,754

201,009

140,000

108,000

72,000

120,000

72,000

94%

137,319

48,094

115,425

1
Chief
1 Division Chief of Training
1
Deputy Chief - Ops
24 Captains
1
Deputy Chief - Support
5 EMT
3
Battalion Chief
24 Chauffeur
1
Fire/Arson Investigator
49 Firefighters
3
District Chief
1 Admin. Asst.
2
Inspectors
**This manpower detail includes the 9 firefighters called back by Safer Grant
Only the last 19 weeks of the year are included in above figures. SAFER will pay the other 33 weeks.

1014

TEMPORARY/SEASONAL
1

1015

Part time clerk

OTHER PAY
EMT Comp, 82 EMT @$500
42,000
Associate Degree Comp
750
Instructor II & III
16,800
Haz Mat
21,600
Rate Variance
38,400
Longevity
188,600
Vacation pay out
3,829
Admin includes expected retirement payout and is reduced by Safer grant figures

1016

OVERTIME

Required due to FLSA requirements. There are 14 FLSA cycles per year, avg $4800/month or $67,200 for FLSA.
Costs associated with special programs, including manpower for after-hours events.
Additional overtime requests allow us to implement our required training program
by meeting Federal mandates. Overtime on emergency scenes, Haz Mat Incidents, assisting KPD at Meth Labs.
Maintaining needed staffing levels

1031

SOCIAL SECURITY

3,869

3,869

3,480

3,480

3,480

11%

2,957

1,323

3,174

89,543

86,196

76,618

93,330

76,618

17%

67,146

26,857

64,457

1,093,406

1,093,406

838,266

1,042,090

838,266

30%

963,478

402,780

966,671

6.20% of Gross Wages-Exclude Noncontractual & Contractual fire fighters

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
Non-Contractual
Increase over 2011's 8.25% rate
Sworn
Increase over 2011's 19.50%

10.00%
19.70%

8/29/2011

53

101-22 FIRE
LINE

DESCRIPTION

1034

UNEMPLOYMENT COMPENSATION

1035

HEALTH/LIFE INSURANCE

5
2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change
#DIV/0!

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

39,418

1,613,682

1,599,182

1,508,000

1,696,500

1,508,000

7%

1,616,113

652,667

1,566,401

153,000

153,000

142,200

153,000

142,200

8%

137,360

44,151

105,962

2,000

2,000

2,000

2,000

2,000

0%

2,025

442

1,060

5,000

5,000

4,200

4,200

4,200

19%

5,782

2,350

5,640

60,675

60,675

56,416

59,385

56,416

8%

39,879

20,258

48,618

20,000

20,000

18,000

18,000

18,000

11%

17,851

5,399

12,958

21,000

21,000

21,000

21,000

0%

16,893

6,473

15,536

$14,500 per Employee

1037

CLOTHING ALLOWANCE
Includes clothing allowance and allowance for Personal Protective Equipment.
SAFER grant does NOT include Clothing Allowance; increased personnel by 9

2012

STATIONERY & PRINTING


Printing of forms, business cards, envelopes and stationery.

2015

OFFICE SUPPLIES
To purchase office supplies; such as pens, pencils, etc.
Also notebooks, calendars, toner, ink for printers, office chairs, printers
small file cabinets.
New Station #2 must be equipped

2021

GASOLINE & OTHER FUELS


Includes diesel fuel and unleaded gasoline.
6,000 gallons of unleaded; 12,000 gallons of diesel
Increased diesel needed for annexation

2023

GARAGE & MOTOR

This account is used to purchase vehicle tires, lubricants, filters, batteries, belts, bulbs, brake pads, etc.
to replace transmissions, motor, pump, unforeseen major breakdowns
Increase this year because as price of gasoline rises, so does price of oil and lubricants

2024

HOUSEHOLD & INSTITUTIONAL

21,000

This account is used to purchase cleaning and janitorial supplies needed to maintain all of our fire stations. It is also
used to purchase dry goods, kitchen utensils, small appliances and light bulbs.

2025

FOOD

500

500

500

500

500

0%

533

32

76

37,300

37,300

37,300

37,300

37,300

0%

28,678

11,870

28,488

This line item is used to purchase consumable items used for different events,
and for coffee, water and other items taken to fire scenes

2027

OTHER SUPPLIES

This line item is used to purchase items such as ambulance supplies, gas detector tubes, badges, flags for the Fire Stations,
firefighting chemicals, touch up paints and additional miscellaneous items. This line also supplies
Medical supplies for seven fire engines.
Electronics & batteries $7,500
Medical supplies $15,000
Firefighting/investigating supplies $5,500
Station supplies/tools $8,800

8/29/2011

54

101-22 FIRE

5
2012
Budget

LINE

DESCRIPTION

2031

BUILDING & GROUNDS MATERIALS

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

5,000

5,000

5,000

5,000

5,000

0%

6,078

1,197

2,873

25,000

25,000

25,000

25,000

25,000

0%

14,498

7,698

18,475

This account provides for the regular maintenance of our lawns and grounds,
including the purchase of painting supplies, landscaping supplies, lawn mowers, and
also replacement items like water heaters, ice makers, etc

2034

REPAIR PARTS

This line item is used to continue our upgrade program for our air packs so that they will meet NFPA, OSHA and
NIOSH standards. Other items paid for by this account include repair parts for machinery and equipment such as
the breathing air compressor and vehicle repair parts.

2035

TOOLS & EQUIPMENT

32,000

32,000

27,000

27,000

27,000

19%

34,325

13,923

33,414

5,000

5,000

5,000

5,000

5,000

0%

7,133

204

490

56,000

56,000

50,000

50,000

50,000

12%

97,580

2,241

5,378

1,000

1,000

500

500

500

100%

698

184

442

5,200

5,200

5,200

5,200

5,200

0%

3,708

2,043

4,903

7,500

7,500

7,500

7,500

7,500

0%

2,544

2,195

5,267

40,420

43,933

38,500

38,500

-8%

28,288

10,885

26,125

Hazmat equipment, hand tools, ladders, nozzles, etc.


Large diameter hose
Valves and accessories
Ladder replacements

2091

6,000
4,800
3,000

(due to testing failure)

OSHA EQUIPMENT
This line item account is used to purchase replacement fire helmets, helmet parts,
goggles and safety glasses that are used during fire fighting and EMS responses.
Technical rescue equipment including ropes, coveralls, harnesses, etc
Prepare equipment room at Station #2

3013

MEDICAL

This line item is used to provide medical surveillance for all fire fighters while complying with OSHA's
1910.1014, 1910.1033 standards.
Actual cost in 2010 was $54,171. Rate to increase by 2.5%

3015

OTHER CONTRACTUAL
Vehicle Licenses, title transfers, furniture & carpet cleaning etc
Property taxes, boiler inspections

3021

POSTAGE & FREIGHT


This line item provides for our mailing, shipping and freight costs.
Includes amount previously paid by BOW-broken out to individual departments in 2009

3022

TRAVEL EXPENSES

The Fire Chief, his officers, and fire fighters attend many meetings, specialty training classes, and seminars
throughout the year. This account is used to pay expenses for those who attend these programs.

3023

TELEPHONE

40,420

Telephone service, long distance service, ring down lines, cell phones for the Battalion Chiefs and Ambulance
Centrex (landlines)
12,000
Verizon charges
6,600
Monthly chgs/maint
13,560
Wireless Cards
3,960
Pagers
4,300

8/29/2011

55

101-22 FIRE
LINE

DESCRIPTION

3031

PRINTING & PUBLICATION

5
2012
Budget

2012
Request
600

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

600

400

400

400

50%

425

1,565

3,756

192,000

192,000

184,416

211,191

184,416

4%

211,321

99,250

238,200

75,453

75,453

70,466

75,899

75,899

7%

66,034

34,280

82,273

60,350

60,350

60,350

60,350

60,350

0%

37,004

15,562

37,348

61,000

61,000

58,000

58,000

58,000

5%

25,467

18,450

44,281

13,720

13,720

13,720

13,720

13,720

0%

8,478

3,363

8,071

10,800

10,800

10,800

10,800

10,800

0%

7,330

2,736

6,566

1,200

1,200

960

960

960

25%

1,051

447

1,073

20,000

20,000

17,000

17,000

17,000

18%

28,425

7,339

17,614

25,000

25,000

25,000

0%

8,016

1,398

3,355

16,850

16,850

16,850

14%

17,871

5,391

12,937

This line item is used for newspaper advertising, various copying charges, and film development

3041

WORKMEN'S COMP

3042

LIABILITY INSURANCE
Covers insurance costs & repair costs submitted to insurance for accidents.

3051

ELECTRICITY
Electric Utility
There should be no rate increase this year

3052

GAS UTILITY
Natural Gas Utility
There should be a 5% rate increase this year

3053

WATER
Water Utility
There should not be a rate increase this year

3054

SEWAGE
Sewage Utility
There should not be a rate increase this year

3055

WASTE REMOVAL
Dumpster charges for Station 1
Monthly rate has increased

3061

BUILDINGS & GROUNDS

This line item is used to pay for repairs to the five station buildings, and also for repairs to equipment contained within the stations.
Overhead door repairs, furnace and A/C repairs, boiler repairs, roof repairs, sewer service, fertilizer applications
Increasing due to aging of stations
$80K for parking lot restoration

3062

EQUIPMENT REPAIR

25,000

25,000

This line item is used to pay for work that must be performed by an outside source, either because specialized training
would be required, or because our department does not own the equipment needed to complete the repairs.

3065

SERVICE CONTRACTS

19,222

19,222

Breathing air compressor, copier, telephone equipment, air samples, maintenance on defibrillators, ladder inspections, etc
Includes $2022for OptiView that was previously paid by IT
Includes $2,000 for Cisco Cis Mobile Module that was previously paid by IT
This also includes fire extinguisher repair/service/recharging
SCBA calibration, software support CS Fire & Data Med, AED maintenance
Increasing: breathing air testing will also be done at Station #2

8/29/2011

56

101-22 FIRE
LINE

DESCRIPTION

3066

VEHICLE REPAIR

5
2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

57,500

57,500

57,500

57,500

57,500

0%

75,941

11,766

28,237

1,600

1,600

1,600

1,600

1,600

0%

945

542

1,301

3,750

3,750

3,750

27%

3,124

1,573

3,774

We currently have 40 vehicles to maintain.


This includes boats and trailers.

3072

RENTAL-EQUIPMENT & OTHERS

Monthly leases on equipment not department owned-Rental of specialty tools, etc., & uniform service for maintenance man.

3094

SUBSCRIPTIONS & DUES

4,750

4,750

This line item is used for professional and trade publications, and dues for memberships to professional organizations.
Increasing this year; there are some additional publications we would like to receive

3096

GRANTS & ALLOWANCES

3097

EDUCATION/TRAINING

#DIV/0!

46,250

46,250

46,250

46,250

46,250

0%

31,214

15,047

36,113

4,000

4,000

4,000

4,000

4,000

0%

856

160,000

460,000

160,000

160,000

160,000

0%

41,629

2,100

5,040

10,000

10,000

10,000

0%

8,334

3,692

8,860

This is an extremely important item, which permits us to purchase training materials,


textbooks, visual aids, and other materials needed to maintain the level of training
that is required for our Department. It also provides for the expense of contracting training
organizations to instruct our employees at our own Department during on-duty
hours. Hazardous Materials training courses are also deducted from this line item.
State Certification due to the new structure of Homeland Security.

3099

MISCELLANEOUS
Used for HazMat expenses-to replace supplies that are used for haz mat clean up

4021

BUILDINGS

4041

This line item represents known and unknown expenses for all of the Fire Stations. Unforeseen expenses could
include painting, large repairs on buildings, underground water line repairs, new boiler, furnaces, air conditioners, etc.
Maint. & Repair for 5 current stations
20,000
Station #6 Improvements
140,000
Southwest Fire Station
300,000

FURNITURE & FIXTURES

10,000

10,000

There are 123 active firefighters working, living, cooking and sleeping in our five fire stations. The furniture needs
to be replaced on a continuing basis. Physical fitness equipment is also purchased for all five fire stations.

4042

4043

MOTOR EQUIPMENT
Pumper/Tanker

274,000

New Admin Vehicle

26,000

OFFICE EQUIPMENT
3 laptop computers
with docking stations
6 desktop computers

26,000

300,000

25,000

390,000

25,000

4%

478,570

18,475

44,340

10,500

10,500

8,355

8,355

8,355

26%

5,476

6,959

16,702

4500
6000

8/29/2011

57

101-22 FIRE

5
2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

LINE

DESCRIPTION

4044

OTHER EQUIPMENT

4045

CAPITAL LEASE

112,818

112,818

112,818

10,252,432

10,577,718

9,535,780

11,015,470

9,535,782

TOTALS

Total Change by Administration

325,286

8/29/2011

Year to Date
May-11

Annualized
As of 5/31/11

5,020

-100%

150,398

64,662

155,189

8%

10,100,609

3,838,580

9,212,591

#DIV/0!

2010
Actual

(1,479,688)

58

101-22 FIRE-SAFER GRANT


LINE
1011

DESCRIPTION
REGULAR WAGES
9

1015

2012
Request

Admin
Changes

2011
Budget

2011
Request

Dept Request
% Change

Year to Date
May-11

Annualized
As of 5/31/11

274,458

274,458

459,330

459,330

-40%

165,101

396,241

5,500

5,500

28,080

28,080

-80%

307

736

Firefighters

OTHER PAY
Holiday
Rate Variance
EMT Comp $500 each
Longevity

1016

5
2012
Budget

19,080
1,000
4,500
4,500

No more holiday pay


SAFER ends in August, EMT comp is paid in November and will come out of Fire Budget

OVERTIME

5,000

5,000

#DIV/0!

2,465

5,915

4,132

4,132

7,067

7,067

-42%

2,375

5,699

56,528

56,528

84,298

84,298

-33%

33,477

80,344

82,818

82,818

130,500

130,500

-37%

41,610

99,863

10,800

10,800

-100%

2,570

6,168

9,000

9,000

12,683

12,683

-29%

5,810

13,944

437,436

437,436

732,758

732,758

-40%

253,713

608,911

FLSA

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
Sworn

1035

19.70%

HEALTH/LIFE INSURANCE
$14,500 per Employee

1037

CLOTHING ALLOWANCE
Includes clothing allowance and allowance for Personal Protective Equipment.

3041

WORKMEN'S COMP
$27.10 per firefighter/week

TOTALS

Total Change by Administration

101-23 INSPECTION SERVICES


LINE
1011

DESCRIPTION
REGULAR WAGES
1
1
1
1
1

1014

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

210,755

210,755

210,755

210,755

210,755

0%

209,445

85,100

204,239

6,000

6,000

4,000

4,000

4,000

50%

2,786

6,000

6,000

6,000

6,000

6,000

0%

9,627

4,172

10,014

13,811

13,811

13,687

13,687

13,687

1%

13,188

5,311

12,747

3,230

3,230

3,201

3,201

3,201

1%

3,084

1,242

2,981

21,676

21,676

17,882

17,882

17,882

21%

16,969

7,365

17,676

65,250

65,250

65,250

65,250

65,250

0%

61,579

24,440

58,655

1,000

1,000

1,000

1,000

1,000

0%

843

800

800

800

800

800

0%

665

250

600

Building Inspector
Inspections Manager
Nuisance Enforcement
Clerk
Clerk (50/50)

TEMPORARY / SEASONAL
1

1016

2012
Budget

Laborer-750 hours

OVERTIME

Used for emergency call outs and inspections required outside normal hours

1031

SOCIAL SECURITY
6.2% of Gross wages

1032

MEDICARE
1.45% of Gross wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1035

HEALTH/LIFE INSURANCE
$14,500 per Employee-1 @ 50/50
$14,500 per Employee-4

2012

STATIONARY & PRINTING


Account will be used to purchase various copies supplies

2015

OFFICE SUPPLIES

Account will be used to purchase various office supplies to operate Inspection office.

8/29/2011

60

101-23 INSPECTION SERVICES


LINE

DESCRIPTION

2021

GASOLINE & OTHER FUELS

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

10,566

10,566

7,534

7,930

7,534

40%

5,746

3,424

8,218

500

500

500

500

500

0%

2,500

2,500

2,500

2,500

2,500

0%

937

936

2,247

1,500

1,500

1,500

1,500

1,500

0%

2,670

1,079

2,590

500

500

500

500

0%

347

200,000

200,000

200,000

160,000

200,000

0%

163,656

46,950

112,681

12,000

12,000

12,000

12,000

12,000

0%

5,363

2,619

6,285

300

300

300

300

300

0%

1,500

1,500

1,500

1,500

1,500

0%

1,133

531

1,274

Includes diesel fuel and unleaded gas.


2,783 gallons

2023

GARAGE & MOTOR


Costs include tires, batteries, belts, brake pads, etc.
Add to repair parts

2027

OTHER SUPPLIES
Used to purchase misc. supplies for department.

2034

REPAIR PARTS

Costs include parts needed for repair of motor equipment, office equipment

2035

TOOLS & EQUIPMENT

#DIV/0!

Includes helmets, goggles, glasses, gloves, and other safety related, OSHA required items.

2091

OSHA EQUIPMENT

500

Includes helmets, goggles, glasses, gloves, and other safety related, OSHA required items.

3015

OTHER CONTRACTUAL
Weed liens
140,000
Demos & board ups
60,000
This was previously paid from BOW

3021

POSTAGE & FREIGHT

Includes postage, sorting fees, shipping charges.


Includes amount previously paid by BOW-broken out to individual departments for 2009

3022

TRAVEL EXPENSES
Includes lodging, meals, and other expenses while on City business.

3023

TELEPHONE
Wireless cards $720

8/29/2011

61

101-23 INSPECTION SERVICES


2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

LINE

DESCRIPTION

3031

PRINTING & PUBLICATION

1,000

1,000

1,000

1,000

1,000

0%

1,416

628

1,506

3041

WORKMEN'S COMPENSATION

4,800

4,800

4,225

4,225

4,225

14%

4,207

1,926

4,623

3042

LIABILITY INSURANCE

6,310

6,310

11,580

11,580

11,580

-46%

10,323

3,672

8,812

3062

EQUIPMENT REPAIR

350

350

350

350

350

0%

1,530

1,530

755

1,812

400

400

400

400

400

0%

20

91

218

1,000

1,000

1,000

1,000

1,000

0%

917

420

1,008

10,000

10,000

10,000

10,000

10,000

0%

16,200

7,145

17,148

1,500

1,500

1,500

1,500

1,500

0%

3,650

3,650

588,428

588,428

578,964

539,361

578,964

531,120

198,055

475,331

This account will be used to cover the cost of repair and the upkeep of equipment.

3065

SERVICE CONTRACTS

#DIV/0!

OptiView charges $1530

3066

VEHICLE REPAIR

3094

SUBSCRIPTIONS & DUES


This account will be used to pay for dues.

3096

GRANTS & ALLOWANCES


Reimbursements for recording fees, title searches

3097

EDUCATION/TRAINING

Includes training and schooling required to update and improve job related skills.

4043

OFFICE EQUIPMENT

#DIV/0!

Replace 2 desktop computers


Replace 1 laptop computer

TOTALS

Total Change by Administration

2%

39,604

8/29/2011

62

101-24 WEIGHTS & MEASURES


LINE
1011

DESCRIPTION

2012
Budget

REGULAR WAGES
1
1

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

86,007

86,007

86,007

86,007

86,007

0%

5
Year to Date
May-11

Annualized
As of 5/31/11

86,005

34,734

83,361

2010
Actual

Inspector
Assistant Inspector

1015

OTHER

#DIV/0!

1016

OVERTIME

6,750

6,750

6,750

6,750

6,750

0%

6,720

2,629

6,309

1031

SOCIAL SECURITY

5,751

5,751

5,751

5,751

5,751

0%

5,584

2,244

5,386

1,345

1,345

1,345

1,345

1,345

0%

1,306

525

1,260

9,276

9,276

7,652

7,652

7,652

21%

7,187

3,083

7,398

29,000

29,000

29,000

29,000

29,000

0%

17,978

7,255

17,412

700

700

700

700

700

0%

810

700

1,680

150

150

150

150

150

0%

43

4,314

4,314

3,949

4,157

3,949

9%

2,563

1,495

3,588

6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1035

HEALTH/LIFE INSURANCE
$14,500 per Employee

2012

STATIONARY & PRINTING


State forms, State Seals

2015

OFFICE SUPPLIES
This account to be used office / copier supplies

2021

GASOLINE & OTHER FUELS


Cost of gasoline while on city business
Used 900 gallons of unleaded and 200 gallons of diesel in 2010

8/29/2011

63

101-24 WEIGHTS & MEASURES


LINE

DESCRIPTION

2027

OTHER SUPPLIES

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

450

450

450

450

450

0%

776

2,000

2,000

3,000

1,000

3,000

-33%

882

277

666

To be used to assume the cost of all supplies other than office supplies.

2034

REPAIR PARTS

To cover the cost of repair parts to be used on departmental equipment.


If we can't purchase a new pick up, we would find it necessary to request a minimum of $2,000 for repair parts

2091

OSHA EQUIPMENT

300

300

300

300

300

0%

121

25

25

50

50

50

-50%

500

500

500

500

500

0%

445

1,068

800

800

800

550

800

0%

597

332

796

To be used to assume the cost of safety equipment and clothing.

3021

POSTAGE
Previously paid by BOW-broken out to individual departments for 2009
Most of our need for postage is negated by use of e-mail

3022

TRAVEL EXPENSES
To assume the cost of expenses incurred while on city business.

3023

TELEPHONE
Based on $45 monthly average in 2009
Increase due to trunk line charges

3041

WORKMEN'S COMP

2,250

2,250

1,951

1,951

1,951

15%

1,953

936

2,247

3042

LIABILITY INSURANCE

1,409

1,409

1,832

1,832

1,832

-23%

1,633

761

1,825

350

350

350

350

0%

400

400

400

400

0%

225

Covers insurance costs & repair costs submitted to insurance for accidents.

3062

EQUIPMENT REPAIR

350

This account is to be used to cover the cost of all repairs to departmental equipment.

3066

VEHICLE REPAIR

400

To be used to assume the cost of vehicle repair


Vehicles are older (2001 Ford and 2000 Chevy)

8/29/2011

64

101-24 WEIGHTS & MEASURES


LINE

DESCRIPTION

3094

SUBSCRIPTIONS & DUES

2012
Budget

2012
Request

Admin
Changes

210

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

210

210

210

210

375

375

375

375

375

32,000

32,000

0%

5
Year to Date
May-11

Annualized
As of 5/31/11

210

60

144

50

180

180

432

848

2,035

134,831

56,505

135,612

2010
Actual

This account will be used to assume the cost of subscriptions and dues to organizations

3095

PREMIUMS ON OFFICIAL BONDS

3097

EDUCATION/TRAINING

#DIV/0!

0%

To assume the cost of schooling, training and seminars.

4042

MOTOR EQUIPMENT

#DIV/0!

3/4 ton, heavy duty, 4WD pick up with power windows and door locks, side steps, lockable bedcover and spray-on bedliner
(to replace a 2000 Chev. with 112K miles)
Admin cut vehicle

4043

OFFICE EQUIPMENT

1,150

1,150

1,150

184,362

152,362

152,672

182,630

152,672

-100%

1-desktop computer

4044

OTHER EQUIPMENT

TOTALS

Total Change by Administration

(32,000)

#DIV/0!

21%

(29,958)

8/29/2011

65

101-25 EMERGENCY MANAGEMENT


LINE
1011

DESCRIPTION
REGULAR WAGES
1
1
1

1031

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

122,639

122,639

122,639

122,639

122,639

0%

122,634

49,526

118,863

7,604

7,604

7,604

7,604

7,604

0%

7,282

2,930

7,032

1,778

1,778

1,778

1,778

1,778

0%

1,704

685

1,645

12,264

12,264

10,118

10,118

10,118

21%

9,504

4,086

9,806

43,500

43,500

43,500

43,500

43,500

0%

34,967

14,113

33,871

600

600

600

600

600

0%

594

500

500

500

500

500

0%

489

1,500

1,500

1,500

1,500

1,500

0%

1,476

350

840

Director
Deputy Director
Secretary

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1035

HEALTH/LIFE INSURANCE
$14,500 per Employee

1037

2012

CLOTHING ALLOWANCE
To purchase ties, buttons, brass, chains for our volunteers

STATIONARY & PRINTING


Office envelopes, letterhead, business cards

2015

OFFICE SUPPLIES

Used to purchase copy paper and other office supplies such as pencils, pens, toner, paper clips, etc.

2021

GASOLINE & OTHER FUELS

28,421

28,421

17,068

23,230

22,068

67%

17,249

10,147

24,352

6,500

6,500

6,000

6,000

6,000

8%

5,301

3,460

8,303

Includes diesel fuel and unleaded gasoline


7,000 gallons of unleaded; 700 gallons of diesel

2023

GARAGE & MOTOR


Costs include tires, batteries, belts, brake pads, etc.

8/29/2011

66

101-25 EMERGENCY MANAGEMENT


LINE

DESCRIPTION

2024

HOUSEHOLD & INSTITUTIONAL

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

2,000

2,000

2,000

2,000

2,000

0%

2,799

457

1,096

5,000

5,000

5,000

5,000

5,000

0%

4,999

1,884

4,523

Supplies needed for ambulances, cleaning supplies etc.

2027

OTHER SUPPLIES
Supplies for our equipment and at Berkley

2031

BLDG & GROUNDS MATERIALS

1,000

1,000

1,000

1,000

1,000

0%

205

2034

REPAIR PARTS

6,500

6,500

6,000

6,000

6,000

8%

7,132

2,999

7,197

Costs include parts needed for repair of motor equipment, as well as office equipment and radios.

2091

OSHA EQUIPMENT

500

500

400

400

400

25%

192

500

500

500

500

500

0%

503

136

326

700

700

800

800

800

-13%

800

540

540

540

540

540

0%

12,000

12,000

13,000

13,000

13,000

-8%

8,487

4,489

10,773

301

301

301

301

301

0%

289

105

253

Safety boots and glasses and other misc. safety equipment.

3013

MEDICAL
Volunteers receive State Mandatory vaccinations

3021

POSTAGE & FREIGHT


This line item provides for our mailing, shipping and freight costs.

3022

TRAVEL EXPENSES

To be used for conferences and seminars as well as mandated classes and seminars

3023

TELEPHONE
Telephone expenses including cell phones and pagers.
County line usage

3041

WORKMEN'S COMP

8/29/2011

67

101-25 EMERGENCY MANAGEMENT


LINE

DESCRIPTION

3042

COMPREHENSIVE LIABILITY

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

22,541

22,541

30,221

30,221

30,221

-25%

25,318

13,374

32,097

8,000

8,000

7,700

7,700

7,700

4%

6,589

3,039

7,293

10,500

10,500

10,000

10,000

10,000

5%

3,967

3,846

9,231

700

700

665

665

665

5%

287

187

449

900

900

840

840

840

7%

802

394

945

1,000

1,000

1,000

1,000

1,000

0%

2,000

2,000

2,000

2,000

2,000

0%

1,000

242

581

7,765

7,051

7,051

7,051

10%

5,318

4,942

11,861

Insurance on department vehicle and volunteers.

3051

ELECTRICITY
Electricity Utility

3052

GAS UTILITY
Natural Gas Utility

3053

WATER
Water Utility

3055

WASTE REMOVAL

3061

BUILDING & GROUNDS


Upkeep and general maintenance on garage

3062

EQUIPMENT REPAIR

This line item is used to pay for work that must be performed by an outside source,
either because specialized training would be required, or because our department
does not own the equipment needed to complete the repairs.

3065

SERVICE CONTRACTS

7,765

For transmission repairs on our DTN weather system, Koorsen fire service and our camera system.
OptiView charges previously paid by IT $765

3066

VEHICLE REPAIR

3071

BUILDING RENTAL

4,000

4,000

4,000

4,000

4,000

0%

8,209

50

50

50

50

50

0%

Rent for Berkley Complex

8/29/2011

68

101-25 EMERGENCY MANAGEMENT


LINE

DESCRIPTION

3072

RENTAL - EQUIPMENT/OTHER

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

1,750

1,750

1,700

1,700

1,700

3%

1,528

678

1,628

500

500

500

500

500

0%

740

370

888

Rental of uniforms and rags used in garage

3094

SUBSCRIPTION & DUES

3095

PREMIUMS ON OFFICIAL BONDS

#DIV/0!

50

3096

GRANTS & ALLOWANCES

#DIV/0!

3097

EDUCATION/TRAINING

2,250

2,250

2,250

2,250

2,250

2,578

#DIV/0!

34,000

34,000

#DIV/0!

1,200

1,200

2,300

2,300

2,300

-48%

2,194

5,266

8,000

8,000

3,000

6,500

6,500

167%

2,377

2,182

5,238

325,502

314,125

357,786

322,625

14%

285,371

126,815

304,355

0%

To be used to obtain qualified training; such as fire, EMT, CPR, training, etc.

3099

MISCELLANEOUS
For processing payments from insurance for Fire damage

4042

MOTOR EQUIPMENT
1

4043

New squad car with light bar, light kit and paint top blue; Trade in vehicle is a 1995 Ford Crown Vic
Admin cut vehicles

OFFICE EQUIPMENT
2 file cabinets (1 for main office and 1 for Berkley office)

4044

OTHER EQUIPMENT

Purchase 6 VHF radios for main office, Berkley, mobile command center & Director's car
for communication with the state homeland security and other counties
This request is for the narrow banding radios that will be taking effect 2012
Two security cameras for Berkley Road complex $2K

TOTALS

Total Change by Administration

359,502

(34,000)

(35,161)

8/29/2011

69

101-51 SENIOR CITIZENS CENTER


LINE
1011

DESCRIPTION
REGULAR WAGES
1
2

1014

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

121,118

121,118

121,118

121,118

121,118

0%

121,076

46,989

112,773

19,040

19,040

19,040

19,040

19,040

0%

17,525

7,533

18,078

9,662

8,690

8,690

8,690

8,690

8,690

0%

8,239

3,828

9,188

2,032

2,032

2,032

2,032

2,032

0%

1,927

895

2,148

12,112

12,112

9,992

9,992

9,992

21%

9,383

4,674

11,217

192

43,500

43,500

43,500

43,500

43,500

0%

38,363

15,149

36,359

350

350

350

350

350

0%

66

2,120

2,120

1,120

1,120

1,120

89%

1,462

213

511

1,625

1,625

308%

1,312

710

1,705

Director
Clerk

TEMPORARY / SEASONAL
1
Temporary Laborer
16,960
1
Exercise Instructor
2,080
Temporary laborer = $10/hour x 32 hours = $16,960

1015

OTHER
PTO pay out

1031

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1034

UNEMPLOYMENT COMPENSATION

1035

HEALTH/LIFE INSURANCE

#DIV/0!

$14,500 per Employee

2012

STATIONARY & PRINTING


Letterhead, Envelopes, Brochures & Business Cards

2015

OFFICE SUPPLIES

Office & copier supplies for monthly calendar of events, informational fliers related to upcoming events and trips
Printer and copier supplies per IT Dept $1120

2024

HOUSEHOLD & INSTITUTIONAL

6,625

6,625

1,625

Sweeper, Sweeper bags, Light bulbs, paper products & cleaning supplies,
Toilet paper, paper towels, trash bags, hand soap, floor cleaning and waxing supplies
Floor cleaning and waxing supplies
Increased to cover items no longer provided by Parks Dept

8/29/2011

70

101-51 SENIOR CITIZENS CENTER


LINE

DESCRIPTION

2027

OTHER SUPPLIES

2012
Budget

2012
Request

Admin
Changes

750

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

750

750

750

750

0%

2,033

500

500

500

500

500

0%

31

295

708

#DIV/0!

5,000

5,000

#DIV/0!

1,180

100

100

100

0%

Special event supplies, miscellaneous replacement items for senior crafts and events

2034

REPAIR PARTS
Equipment repair (general equipment incidentals)

2091

OSHA EQUIPMENT

3015

OTHER CONTRACTUAL

General heating & air condition systems, fire & security system (fire extinguishers, exit signs), Plumbing and Carpet Cleaning
Increased to cover items no longer provided by Parks Dept

3021

POSTAGE & FREIGHT

100

100

Covers office correspondence, client requested information, bulk mailings, shipping and delivery charges.

3023

TELEPHONE

2,500

2,500

2,700

2,700

2,700

-7%

2,065

794

1,905

1,241

1,241

1,241

1,241

1,241

0%

1,244

513

1,231

798

798

1,145

1,145

1,145

-30%

1,021

455

1,092

Senior bus will NOT be cost sharing the phone bill


Includes cost charged out through Controller's office $1400

3041

WORKMEN'S COMP

3042

LIABILITY INSURANCE

3051

ELECTRICITY

13,000

13,000

11,100

11,100

11,100

17%

9,051

5,118

12,284

3052

GAS UTILITY

10,500

10,500

9,315

9,315

9,315

13%

4,175

4,284

10,283

3053

WATER

1,650

1,650

2,000

2,000

2,000

-18%

1,907

633

1,519

3054

SEWAGE

1,500

1,500

1,500

1,500

1,500

0%

1,469

603

1,447

Wastewater Utility

8/29/2011

71

101-51 SENIOR CITIZENS CENTER


LINE

DESCRIPTION

3061

BUILDINGS & GROUNDS

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

1,000

1,000

1,000

1,200

1,000

0%

505

1,000

1,000

1,000

1,000

1,000

0%

4,899

195

468

6,707

6,707

6,781

6,781

6,781

3,887

2,271

5,449

Parking lot barriers (8)


Front of building-plants and mulch, etc

3062

EQUIPMENT REPAIR

Furnace, AC, kitchen appliances (range, refrigerator, freezer) & security system batteries
Appliances are all over 15 years old

3064

CLEANING SERVICES

#DIV/0!

No cleaning service needed

3065

SERVICE CONTRACTS

-1%

Arab Pest Control ($300), Security Monitoring ($300), Bill Tandy Dance entertainment ($1980),
Building Fire/Safety Inspections for Kitchen Fire System ($400), Annual Fire System Fee ($419)
Semi-Annual Piano Tuning ($200)
Copier lease agreement previously paid by IT ($2343)
OptiView agreement previously paid by IT ($675)

3094

SUBSCRIPTIONS & DUES

#DIV/0!

#DIV/0!

#DIV/0!

17,001

5,500

#DIV/0!

688

500

500

#DIV/0!

2,625

2,000

1,150

1,150

1,150

269,833

267,833

247,749

247,949

247,749

253,327

104,814

228,365

Community Resources Directory

3097

EDUCATION/TRAINING
CPR/First Aid

4021

BUILDINGS

4031

IMPROVEMENTS
5,500
Back deck wall is falling apart & is dangerous. Remodel back deck and work on side deck

4041

FURNITURE & FIXTURES


2 computer desks for seniors

4043

OFFICE EQUIPMENT

74%

Replace two desktop computer per IT (should be in Transportation budget)

4044

OTHER EQUIPMENT

TOTALS

Total Change by Administration

(2,000)

#DIV/0!

9%

(200)

8/29/2011

72

101-64 DEVELOPMENT
LINE
1011

DESCRIPTION
REGULAR WAGES
1
3
1

1031

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
Annualized
May-11
As of 5/31/11

259,853

259,853

259,853

259,853

259,853

0%

247,328

103,118

247,483

16,111

16,111

16,111

16,111

16,111

0%

14,834

6,174

14,817

3,768

3,768

3,768

3,768

3,768

0%

3,470

1,444

3,466

25,985

25,985

21,438

21,438

21,438

21%

19,168

8,507

20,417

72,500

72,500

72,500

72,500

72,500

0%

53,017

21,998

52,795

500

500

500

500

500

0%

374

74

178

2,000

2,000

2,000

2,000

2,000

0%

1,787

878

2,106

Director
Specialist
Administrative Assistant

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1035

HEALTH/LIFE INSURANCE
$14,500 per Employee

2012

STATIONARY & PRINTING


Business cards, letterhead, brochures, etc

2015

OFFICE SUPPLIES
Office supplies, copy paper, pens, pencils, etc.
Copy fees previously paid by IT $500

2021

GASOLINE & OTHER FUELS

300

#DIV/0!

2027

OTHER SUPPLIES

750

750

750

750

750

0%

162

500

500

500

500

500

0%

209

243

583

Furniture, furnishings, uniforms, machinery & equipment, etc

3021

POSTAGE & FREIGHT

Used for postage and shipping charges for time-sensitive and oversized materials
Includes amount previously paid by BOW-broken out to individual departments in 2009

8/29/2011

73

101-64 DEVELOPMENT
LINE

DESCRIPTION

3022

TRAVEL EXPENSES

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

5
Year to Date
Annualized
May-11
As of 5/31/11

2010
Actual

2,345

2,345

2,345

2,345

2,345

0%

859

233

559

4,250

4,250

4,213

4,200

4,200

1%

3,900

1,770

4,249

200

200

200

200

200

0%

Covers expenses incurred while on city business.

3023

TELEPHONE
Includes cost charged out through Controller's office $4200

3031

PRINTING & PUBLICATION


Legal advertisement and public notices

3041

WORKMEN'S COMP

2,045

2,045

1,942

1,942

1,942

5%

1,957

853

2,048

3042

COMPREHENSIVE LIABILITY

5,970

5,970

8,075

8,088

8,088

-26%

7,210

3,293

7,904

1,530

1,530

2,300

2,300

2,300

-33%

887

755

1,812

800

800

800

800

800

0%

862

325

780

4,500

4,500

4,500

4,500

4,500

0%

2,778

661

1,586

2,500

2,500

5,500

5,500

5,500

-55%

2,406

2,934

7,042

406,107

406,107

407,295

407,595

407,295

0%

361,208

153,260

367,825

Covers insurance costs and repair costs submitted to insurance for accidents

3065

SERVICE CONTRACTS
Service contracts for 2 scanners

3094

SUBSCRIPTIONS & DUES


To cover the cost of periodical subscriptions and membership dues.
Expect $350 for IEDC; $200 for IEDA; $65 for Tribune and other $185

3097

EDUCATION/TRAINING
Continuing education, seminar and conference tuition and registration fees

4043

OFFICE EQUIPMENT
2 Desktop computers

TOTALS

Total Change by Administration

(300)

8/29/2011

74

101-66 EARLY LEARNING CENTER


LINE

DESCRIPTION

1034

UNEMPLOYMENT COMPENSATION

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

25,000

25,000

40,000

40,000

40,000

-38%

32,173

7,900

18,961

25,000

25,000

40,000

40,000

40,000

-38%

32,173

7,900

18,961

6-Full Time positions eliminated


9-Part Time positions eliminated

TOTALS

Total Change by Administration

8/29/2011

75

101-30 PUBLIC MAINTENANCE AND REFUSE


LINE
1011

2012
Budget

DESCRIPTION
REGULAR WAGES
3
1
1
1
1

Foreman
Clerk
Custodian
Director
Admin Asst.

22
4
12
1
2

1014

TEMPORARY/SEASONAL

1015

OTHER PAYS

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change
4%

5
Year to Date
May-11

Annualized
As of 5/31/11

1,866,435

732,906

1,758,974

2010
Actual

1,931,529

1,931,529

1,858,604

1,858,604

1,858,604

50,000

50,000

50,000

50,000

50,000

0%

13,038

3,832

9,197

155,000

155,000

155,000

155,000

155,000

0%

108,521

55,093

132,224

132,465

132,465

127,943

127,943

127,943

4%

115,192

46,599

111,838

30,980

30,980

29,922

29,922

29,922

4%

27,514

10,913

26,191

213,653

213,653

170,247

170,247

170,247

25%

154,069

65,327

156,784

3,916

1,300

3,119

696,000

696,000

667,000

667,000

667,000

4%

653,130

258,215

619,716

1,235

1,235

1,235

1,235

1,235

0%

197

HEO
Laborers
Truck Drivers
Floater
City Utility

#DIV/0!

Longevity

1016

OVERTIME
Due to holiday and snow emergency work.

1031

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1034

UNEMPLOYMENT COMPENSATION

1035

HEALTH/LIFE INSURANCE

#DIV/0!

$14,500 per Employee-46 employees

2012

STATIONARY & PRINTING

8/29/2011

76

101-30 PUBLIC MAINTENANCE AND REFUSE


LINE

DESCRIPTION

2015

OFFICE SUPPLIES

2012
Budget

2012
Request

Admin
Changes

5,000

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

5,000

5,000

5,000

5,000

0%

1,920

134,815

134,815

135,372

142,497

135,372

0%

78,867

45,614

109,474

2,000

2,000

1,500

1,500

1,500

33%

1,476

1,422

3,413

6,650

6,650

5,000

5,000

5,000

5,000

5,000

0%

5,159

2,286

5,485

6,900

6,900

6,900

6,900

6,900

0%

5,260

3,208

7,700

95,000

86,650

80,000

80,000

10%

100,156

44,349

106,438

1,500

1,500

1,500

1,500

1,500

0%

5,474

42

100

19,000

19,000

19,000

19,000

19,000

0%

13,127

2,694

6,466

1,500

1,500

1,500

0%

30

Includes paper, pens, typewriter ribbons, toner, calculator, tapes and any other supplies.
Printer supplies and copier consumables per I.T.

2021

GASOLINE & OTHER FUELS


Includes diesel fuel and unleaded gasoline.
36,000 gallons of diesel

2022

LUBRICANTS

Includes oil, transmission fluid, and other lubricants needed for motor vehicles
Increase request due to account depleted 98% as of 7/12/11

2023

GARAGE & MOTOR

#DIV/0!

Council moved 2023 budget to 2034

2024

HOUSEHOLD & INSTITUTIONAL


Includes light bulbs, soaps, brooms, towels, etc.

2027

OTHER SUPPLIES

Consists of supplies not included specifically in office, garage, or OSHA supplies,


such as cameras, tape recorders, and other miscellaneous items.

2034

REPAIR PARTS

95,000

Costs include parts needed for repair of motor equipment, as well as office equipment.
Council moved 2023 budget to 2034
Increase request due to account depleted 76% as of 7/12/11

2035

TOOLS & EQUIPMENT

2091

OSHA EQUIPMENT

Includes helmets, goggles, glasses, gloves, and other safety related, or OSHA supplies, such as flags, etc.

3013

MEDICAL

1,500

1,500

8/29/2011

77

101-30 PUBLIC MAINTENANCE AND REFUSE


LINE

DESCRIPTION

3015

OTHER CONTRACTUAL

3021

POSTAGE & FREIGHT

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change
#DIV/0!

5
Year to Date
May-11

Annualized
As of 5/31/11

4,722

2010
Actual

475

475

475

475

475

0%

402

1,875

3,875

1,875

1,875

1,875

0%

2,106

2,302

5,526

10,000

10,000

8,000

8,000

8,000

25%

8,354

4,468

10,724

475

475

475

475

475

0%

137,614

137,614

130,614

130,614

130,614

5%

117,900

44,740

107,375

58,869

58,869

60,614

60,614

60,614

-3%

48,591

28,195

67,668

5,000

5,000

5,000

5,000

5,000

0%

4,492

1,900

1,900

1,900

1,900

1,900

0%

23,000

23,000

3,410

12,467

29,922

Includes postage, sorting fees, shipping charges, etc.

3022

TRAVEL EXPENSES

Lodging, meals, and other expenses required to attend various functions and schools.

3023

TELEPHONE
Includes cost charged out through Controller's office $150
Wireless card, monthly services
Increase request due to 68% depleted as of 7/12/11

3031

PRINTING & PUBLICATION


Consists of costs for certificates, reports, stationary, publications, etc.

3041

WORKMEN'S COMP
Moved MVHF-Street budget to Refuse because tied to Payroll
Additional employee $7K

3042

COMPREHENSIVE LIABILITY

Covers insurance costs and repair costs submitted to insurance for accidents

3061

BUILDINGS & GROUNDS


Small repairs and general maintenance on the building

3062

EQUIPMENT REPAIR
Includes repair costs for various machinery, radios, and vehicles

3065

SERVICE CONTRACTS

#DIV/0!

Annual GPS $20,313


OptiView contract previously paid by IT $2022
Increase request due to GPS units needed for new vehicles 2011/2012

8/29/2011

78

101-30 PUBLIC MAINTENANCE AND REFUSE


LINE

DESCRIPTION

3066

VEHICLE REPAIR

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

28,000

35,053

23,000

23,000

23,000

22%

15,284

38,287

91,889

14,250

14,250

14,250

14,250

14,250

0%

10,025

4,882

11,716

250

250

250

250

250

0%

247

1,600

1,425

1,425

1,425

12%

265

1,240

2,976

350,000

445,000

445,000

445,000

-21%

1,600

1,600

1,150

1,150

1,150

39%

978

2,347

33,000

33,000

33,000

33,000

33,000

0%

38,369

1,455

3,492

109,134

105,334

109,134

-100%

207,909

80,035

192,083

4,149,484

4,158,537

4,158,537

4,161,861

4,158,537

0%

3,615,558

1,492,849

3,582,837

Costs include services needed for repair of motor equipment.


Increase request due to account 90% depleted as of 7/12/11

3072

RENTAL - EQUIPMENT/OTHER
Used to provide required uniforms for union employees and equipment.

3094

SUBSCRIPTIONS & DUES

Costs include professional and trade publications and membership dues to professional organizations.

3097

EDUCATION/TRAINING

1,600

Includes training & schooling required to update and improve related skills
Increase request due to account insufficient to cover 2011 training

4042

MOTOR EQUIPMENT

350,000

1-Packer-replaced 805 $275,000


1-Used Rear Loader (2004 or newer to replace 806A with 11,797 hours) $75,000

4043

OFFICE EQUIPMENT
1
1

4044

Printer for east office


Copy machine

OTHER EQUIPMENT

This account will be used to purchase equipment other than motor equipment.

4045

CAPITAL LEASE

TOTALS

Total Change by Administration

9,053

(3,325)

8/29/2011

79

201-3201

STREET

LINE

DESCRIPTION

2012

STATIONARY & PRINTING

2015

OFFICE SUPPLIES

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

950

950

950

950

950

0%

2,500

2,500

2,500

2,500

2,500

0%

1,503

781

1,873

Includes paper, pens, typewriter ribbons, toner, calculator tapes, and any other supplies needed.
Toner for printers/copier consumables per I.T.

2021

GASOLINE & OTHER FUELS

238,510

238,510

177,362

186,697

177,362

34%

131,603

81,731

196,153

2,000

2,000

1,500

1,500

1,500

33%

1,500

1,468

3,522

7,125

#DIV/0!

6,434

#DIV/0!

11,250

11,250

11,250

11,250

11,250

0%

10,571

5,972

14,333

650,000

650,000

650,000

650,000

650,000

0%

632,666

240,030

576,071

170,000

170,000

157,125

150,000

157,125

8%

170,330

89,066

213,758

4,000

4,000

4,000

4,000

4,000

0%

14,407

1,735

4,164

2,375

2,375

2,375

2,375

2,375

0%

746

Includes diesel fuel and unleaded gasoline


60,000 gallons of diesel and 6,200 gallons of unleaded

2022

LUBRICANTS

Includes oil, transmission fluid, and other lubricants needed for motor vehicles.
Increase request due to account depleted as of June 2011

2023

GARAGE & MOTOR


Costs include tires, batteries, belts, brake pads, etc.

2024

HOUSEHOLD & INSTITUTIONAL

(31)

(73)

Includes light bulbs, soaps, brooms, towels, etc.

2027

OTHER SUPPLIES

Consists of supplies not included specifically in office, garage, or OSHA supplies.

2032

STREET MATERIALS
Salt, Alley Paving

2034

REPAIR PARTS

Costs include parts needed for repair of motor equipment, as well as office equipment.
Increase request due to account 60% depleted as of 7/12/11

2035

TOOLS & EQUIPMENT

3013

MEDICAL
Hepatitis shots

8/29/2011

80

201-3201

STREET

LINE

DESCRIPTION

3015

OTHER CONTRACTUAL

3021

POSTAGE & FREIGHT

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

9,500

9,500

9,500

9,500

9,500

0%

345

149

358

200

200

200

200

200

0%

175

196

471

2,138

4,000

2,138

2,138

2,138

0%

1,830

1,407

3,378

Includes postage, sorting fees, shipping charges, etc.

3022

TRAVEL EXPENSES

Includes lodging, meals, and other expenses required to attend various functions and schools.

3031

PRINTING & PUBLICATION

250

250

250

250

250

0%

32,320

32,320

47,978

47,978

47,978

-33%

42,767

18,805

45,131

17,000

17,000

17,000

17,000

17,000

0%

12,768

6,346

15,229

42,000

42,000

40,000

40,000

40,000

5%

21,628

21,953

52,688

3,500

3,500

3,500

3,500

3,500

0%

3,572

1,455

3,493

3,000

3,000

3,000

3,000

3,000

0%

1,577

603

1,447

5,000

5,000

5,000

5,000

5,000

0%

Consists of costs for certificates, reports, stationary, publications, etc.

3042

COMPREHENSIVE LIABILITY

Covers insurance costs and repair costs submitted to insurance for accidents.

3051

ELECTRICITY
Electricity Utility

3052

GAS UTILITY
Natural Gas Utility
NIPSCO advised of a 5% increase for 2012

3053

WATER
Water Utility

3054

SEWAGE
Wastewater Utility

3055

WASTE REMOVAL
Street spoils removed from street construction

8/29/2011

81

201-3201

STREET

LINE

DESCRIPTION

3061

BUILDING & GROUNDS

2012
Budget

2012
Request
18,000

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11
6,747

18,000

18,000

18,000

18,000

0%

17,536

2,811

15,000

10,000

10,000

10,000

50%

1,295

(8,441)

(20,259)

Includes costs for maintenance of building and grounds such as carpet, paint, etc.
Replace 3 garage doors and repair header at entrance

3062

EQUIPMENT REPAIR

15,000

Includes costs for various machinery, radios, and vehicles that must be performed by an outside source
Increase due to account depleted 56% as of 7/12/11

3065

SERVICE CONTRACTS

8,500

10,000

7,000

7,000

7,000

21%

11,522

6,914

16,593

35,650

35,650

25,650

25,650

25,650

39%

30,269

28,144

67,546

9,500

9,500

9,500

9,500

9,500

0%

5,686

2,439

5,854

500

500

500

500

500

0%

261

50

120

1,500

1,500

1,500

1,500

1,500

0%

865

240

576

145,000

145,000

285,000

310,000

285,000

-49%

226,931

6,300

6,300

1,150

1,150

1,150

448%

978

2,347

17,150

17,150

17,150

17,150

17,150

0%

3,681

6,641

15,939

Indiana Pest Control $780


Koorsen annual inspection
TRAK Maintenance Agreement $6814.12 per TRAK
Increase request due to account insufficient to cover 2011 expenses

3066

VEHICLE REPAIR
Costs include services needed for repair of motor equipment.
Increase request due to account depleted 97% as of 7/12/11

3072

RENTAL - EQUIPMENT/OTHER
Includes leases and contracts for equipment used on a short term basis.
Also used for uniform rental for AFSCME employees.

3094

SUBSCRIPTIONS & DUES


Costs include professional and trade publications and membership dues to
professional organizations

3097

EDUCATION/TRAINING

Includes training & schooling required to update and improve related skills

4042

MOTOR EQUIPMENT
1
1

4043

Dump truck-replace 824A $120,000


Pick up truck-replace 813 with 124,427 miles $25,000

OFFICE EQUIPMENT
3 desktop computers
2 laptop computers
Per IT Department

4044

OTHER EQUIPMENT
Miscellaneous spreaders, etc

8/29/2011

82

201-3201
LINE
4045

STREET

DESCRIPTION

2012
Budget

2012
Request

CAPITAL LEASE
1

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

24,359

23,700

24,359

-100%

94,702

24,116

57,877

1,453,593

1,456,955

1,535,437

1,569,113

1,535,437

-5%

1,447,168

535,557

1,285,338

Lease payment for milling machine


Lease ending 1/19/2011

TOTALS

Total Change by Administration

3,362

(33,676)

8/29/2011

83

201-3202 TRAFFIC
LINE
1011

DESCRIPTION
REGULAR WAGES
1
1
2
1
4

1014

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

May2010
to date
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

391,081

391,081

391,081

391,081

391,081

0%

339,564

128,557

308,537

23,000

23,000

23,000

23,000

23,000

0%

56,053

19,458

46,699

14,794

14,794

14,794

14,794

14,794

0%

1,538

769

1,846

60,000

60,000

56,000

56,000

56,000

7%

61,599

14,581

34,993

30,310

30,310

30,062

30,062

30,062

1%

27,512

9,757

23,418

7,089

7,089

7,031

7,031

7,031

1%

6,435

2,282

5,477

46,588

46,588

38,105

38,105

38,105

22%

31,072

11,872

28,493

130,500

130,500

130,500

130,500

130,500

0%

102,009

37,180

89,231

1,000

1,000

1,000

1,000

1,000

0%

850

850

850

850

850

0%

508

221

531

System Manager
Foreman
Electrical Technician
Laborer II
Laborer IV

TEMPORARY / SEASONAL
4

1015

2012
Budget

Laborers

5,750

OTHER PAYS
Pymt in lieu of vacation-$7644
Longevity-$7150

1016

OVERTIME
Used for emergency call outs and traffic counts
Road closures and Special Events

1031

SOCIAL SECURITY
6.2% of Gross wages

1032

MEDICARE
1.45% of Gross wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1035

HEALTH/LIFE INSURANCE
$14,500 per Employee

2012

STATIONARY & PRINTING


Account will be used to purchase various copies supplies

2015

OFFICE SUPPLIES

Account will be used to purchase various office supplies including compact copier

8/29/2011

84

201-3202 TRAFFIC
LINE

DESCRIPTION

2021

GASOLINE & OTHER FUELS

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

May2010
to date
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

27,515

27,515

20,663

21,750

20,663

33%

15,087

8,453

20,288

2,000

2,000

2,000

2,000

2,000

0%

74

116

279

1,500

1,500

1,200

1,200

1,200

25%

1,629

211

506

75,000

75,000

70,000

70,000

70,000

7%

73,353

15,812

37,949

Includes diesel fuel and unleaded gas.


6,200 gallons unleaded; 2,200 gallons diesel

2023

GARAGE & MOTOR


Costs include tires, batteries, belts, brake pads, etc

2024

HOUSEHOLD & INSTITUTIONAL


Includes light bulbs, soaps, brooms, towels, etc.

2027

OTHER SUPPLIES

Used to purchase traffic sign materials; such as school


advance and crossing signs/pavement marking materials.
Increase due to price increases on materials; had to transfer monies into this account to keep it out of the red for 2011

2031

BUILDING & GROUNDS MATERIALS

1,000

1,000

1,000

1,000

1,000

0%

774

15,000

15,000

15,000

15,000

15,000

0%

14,329

5,943

14,264

4,500

4,500

4,500

4,500

4,500

0%

2,594

357

857

5,000

5,000

4,500

4,500

4,500

11%

2,447

2,134

5,122

250

250

250

-100%

210

75

180

50

50

15

36

300

300

300

300

Used for materials necessary to repair and improvement of various structures.

2034

REPAIR PARTS
Costs include parts needed for repair of motor equipment,
office equipment, traffic signals and paint machines.

2035

TOOLS & EQUIPMENT


Costs include various tools needed for the department.

2091

OSHA EQUIPMENT
Includes helmets, goggles, glasses, gloves, and other
safety related, OSHA required items.
Requested increase due to price increases on safety equipment

3013

MEDICAL

3021

POSTAGE & FREIGHT

#DIV/0!

Includes postage, sorting fees, shipping charges.

3022

TRAVEL EXPENSES

300

0%

Includes lodging, meals, and other expenses while on City business.

8/29/2011

85

201-3202 TRAFFIC
LINE

DESCRIPTION

3023

TELEPHONE

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

May2010
to date
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

1,800

1,800

1,800

1,800

1,800

0%

1,409

704

1,690

IT request $400 for pagers

3041

WORKMEN'S COMPENSATION

18,200

18,200

17,820

17,820

17,820

2%

17,043

6,854

16,450

3042

LIABILITY INSURANCE

38,129

38,129

23,868

23,868

23,868

60%

21,276

14,798

35,516

3061

BUILDINGS AND GROUNDS

3,200

3,200

3,200

3,200

3,200

0%

349

386

926

3,500

3,500

3,500

3,500

3,500

0%

2,564

2,800

2,800

2,000

2,000

2,000

40%

1,558

957

2,298

2,500

2,500

2,500

2,500

2,500

0%

1,038

418

1,004

5,000

5,000

4,000

4,000

4,000

25%

2,845

599

1,439

1,150

1,150

650

650

650

77%

196

410

984

500

500

500

500

500

0%

450

50,000

23,440

Maintenance of buildings and grounds


HVAC

3062

EQUIPMENT REPAIR

This account will be used to cover the cost of repair and the upkeep of equipment.

3065

SERVICE CONTRACTS
Includes costs for machinery maintenance contracts.

3066

VEHICLE REPAIR
Costs include services needed for repair of motor equipment.

3072

RENTAL - EQUIPMENT/OTHERS
Includes leases and contracts for equipment used on a short term basis.
Also, used to provide required uniforms for employees.
Increase due to uniform rental coming out of this account

3094

SUBSCRIPTIONS & DUES


This account will be used to pay for dues

3097

EDUCATION/TRAINING

Includes training and schooling required to update and improve job related skills.

4042

MOTOR EQUIPMENT

50,000

#DIV/0!

2-Sedans $50K
(To replace one 1999 Malibu and one 1993 Ford Taurus)

8/29/2011

86

201-3202 TRAFFIC
LINE

DESCRIPTION

4043

OFFICE EQUIPMENT

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

May2010
to date
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

1,000

1,000

1,150

1,150

1,150

-13%

978

2,347

60,000

60,000

73,000

73,000

73,000

-18%

56,223

865,180

283,900

681,361

Replace one desktop computer

4044

OTHER EQUIPMENT
1

4091

9-Traffic Signal Controller Units $60,000


Purchase 9 in 2012, which will leave 8 to be purchased prior to the scheduled replacement date of 2014

COMPUTER SOFTWARES

TOTALS

Total Change by Administration

1,024,855

1,024,855

945,823

946,911

945,823

#DIV/0!

8%

(1,088)

8/29/2011

87

201-320 ENGINEERING
LINE

DESCRIPTION

3015

OTHER CONTRACTUAL

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

600,000

600,000

600,000

600,000

600,000

600,000

600,000

600,000

600,000

600,000

0%

5
Year to Date
May-11

Annualized
As of 5/31/11

604,590

30,442

73,061

22,140

604,590

52,582

2010
Actual

Resurfacing

3096

GRANTS & ALLOWANCES

TOTALS

Total Change by Administration

#DIV/0!

0%

73,061

204-5001 PARKS
LINE
1011

DESCRIPTION
REGULAR WAGES
1
Superintendent
2
1
Mgr - Parks & Cemetery
2
1
Horticulturist
7
1
Clerk
1
1
Office Manager
1
Utilize city utilities floater 12 weeks

1014

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

771,982

771,982

763,568

763,568

763,568

1%

670,780

263,387

632,128

221,376

221,376

183,376

183,376

183,376

21%

147,151

40,949

98,277

22,000

22,000

22,000

22,000

22,000

0%

11,761

2,965

7,116

30,000

30,000

30,000

30,000

30,000

0%

20,580

6,031

14,474

64,812

64,812

61,935

61,935

61,935

5%

50,505

18,497

44,392

15,158

15,158

14,485

14,485

14,485

5%

11,812

4,326

10,382

82,398

82,398

67,284

67,284

67,284

22%

54,295

22,457

53,896

10,000

10,000

15,000

15,000

15,000

-33%

10,313

3,072

7,374

261,000

261,000

261,000

261,000

261,000

0%

240,026

93,006

223,215

1,000

1,000

1,000

1,000

1,000

0%

456

587

1,410

Foreman
General Maint.
General Laborers
Custodian
HEO

TEMPORARY/SEASONAL
16
5
1
3

1015

2012
Budget

Seasonal laborers
Seasonal caretakers
Building caretaker

OTHER PAYS
Cash in Lieu
Wage Premium
Longevity

1016

OVERTIME

1031

SOCIAL SECURITY

7,000
2,500
12,760

6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1034

UNEMPLOYMENT COMPENSATION

1035

HEALTH-LIFE INSURANCE
$14,500 per Employee-18 Employees

2012

STATIONARY & PRINTING


Envelopes, letterhead
More mailings

8/29/2011

89

204-5001 PARKS
LINE

DESCRIPTION

2015

OFFICE SUPPLIES

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

14,090

14,090

14,090

18,500

14,090

0%

7,475

3,586

8,605

66,765

66,765

56,134

59,088

56,134

19%

39,099

20,698

49,676

3,500

3,500

3,500

3,500

3,500

0%

4,209

830

1,992

10,000

10,000

10,000

10,000

10,000

0%

9,948

489

1,173

35,000

35,000

35,000

35,000

0%

33,456

2,085

5,003

100,000

50,000

50,000

50,000

0%

53,875

15,413

36,991

23,000

23,000

23,000

23,000

0%

20,326

11,892

28,540

8,000

8,000

8,000

8,000

0%

7,317

2,554

6,129

This account is for paper, pens, files, note pads, and all general office supplies
Printing supplies and copier consumables per I.T. $6,000
Making more copies due to increased programs/activities/forms/handouts

2021

GASOLINE & OTHER FUELS

Includes diesel fuel and unleaded gasoline required to operate vehicles


Park Dept. maintains external gas tanks for its operations-2,600 gal diesel and 520 gal unleaded
Estimated usage: 2,739 gal diesel and 10,575 gal unleaded

2023

GARAGE & MOTOR


This is used to purchase small items that are necessary for our operation.

2024

HOUSEHOLD & INSTITUTIONAL

It is used for all janitorial supplies, including toilet paper, cleaners, paper towels, etc.
There are 24 plus restrooms in the park system, plus the Museum and Kirkendall Int. Center

2027

OTHER SUPPLIES

35,000

Staple account to purchase rock and stone, chemicals, plumbing and electrical supplies.
Stone/aggregate/chemicals $7,500
Plumbing & electrical $10,000
Light bulbs $6,000
Salt/ice remover $1,500
Flags $1,000
Miscellaneous hardware supplies $9,000

2031

BUILDING & GROUNDS MATERIALS

50,000

This account is used for repair of picnic tables, park benches, and signs throughout the parks;
as well as for flowers and landscaping. This account is also used for vandalism repairs.
Lumber $6,000
Landscaping supplies & chemicals $8,000
Play equipment repair parts $12,000
Paint and paint supplies $5,000
Roofing/siding/doors and maintenance products $10,000
Vandalism repairs $9,000
Additional Greenspace maintenance

2034

REPAIR PARTS

23,000

Costs include parts needed for repair of motor equipment, as well as office equipment.

2091

OSHA EQUIPMENT

8,000

It is for safety supplies such as gloves, boots, vests

8/29/2011

90

204-5001 PARKS
LINE

DESCRIPTION

3015

OTHER CONTRACTUAL

2012
Budget

2012
Request

Admin
Changes

60,000

2011
Budget

60,000

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

69,000

69,000

69,000

-13%

64,743

6,114

14,674

This account is used for contractual work maintaining light systems, heat/air conditioning systems in all buildings
Used for specific work department cannot perform
$9K reduction for costs moved to Senior Citizens Center

3021

POSTAGE & FREIGHT

3,000

3,000

3,000

3,000

3,000

0%

1,765

880

2,112

1,000

1,000

1,000

1,000

1,000

0%

495

114

273

7,500

7,500

7,500

7,500

7,500

0%

4,705

1,676

4,022

Includes postage and shipping charges.

3022

TRAVEL EXPENSES
To cover expenses while attending NRPA and IPRA.

3023

TELEPHONE
This is for telephone service of incoming and outgoing lines

New phone service J.M. Interpretive Center and new line at Haynes Museum computer/fax line
Includes cost charged out through Controller's office $2800

3041

WORKMEN'S COMPENSATION

28,485

28,485

28,485

28,485

28,485

0%

22,320

8,973

21,534

3042

COMPREHENSIVE LIABILITY

40,359

40,359

35,633

35,633

35,633

13%

31,763

17,997

43,193

60,900

60,900

58,000

58,000

58,000

5%

51,980

24,433

58,639

46,200

46,200

44,000

44,000

44,000

5%

19,638

15,067

36,160

21,000

21,000

20,000

20,000

20,000

5%

22,860

5,755

13,811

11,000

11,000

11,000

11,000

11,000

0%

23,337

1,808

4,340

2,000

2,000

3,000

3,000

3,000

-33%

1,200

542

1,300

This account is used to cover the yearly cost of liability insurance coverage.

3051

ELECTRICITY
Electrical Utility
Additional meters/lighting WWE Phase III
Reflects additional 5% increase

3052

GAS UTILITY
Natural Gas Utility
Reflects 5% increase

3053

WATER
Water Utility
New services at J.M. and Berkley Parks cost $1,500
Reflects 5% increase

3054

SEWAGE
Wastewater Utility

3055

WASTE REMOVAL

8/29/2011

91

204-5001 PARKS
LINE

DESCRIPTION

3061

BUILDING & GROUNDS

2012
Budget

2012
Request

Admin
Changes

80,000

2011
Budget

95,687

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

80,000

80,000

80,000

0%

20,792

5,219

12,525

Used to make restrooms, plumbing, and electrical fixtures vandal resistant. Also used to make repairs on buildings,
reseal, repave, lots and courts
Repave roadways
Additional Greenspace maintenance

3062

EQUIPMENT REPAIR

3,000

3,000

3,000

3,000

3,000

0%

516

998

2,395

20,000

20,000

20,000

20,000

20,000

0%

5,990

1,309

3,141

Used for the repair of radios, playground equipment and etc.

3065

SERVICE CONTRACTS

Contracts for fax, copier, maintenance on boiler at Museum, pest control for Visitors Center and several park buildings
New Security System for Park Office, Visitors Center, J. Morrow Int. Center
Stadium maintenance contract; port-o-pots; stadium overage
Copier lease agreement previously paid by IT
Includes OptiView agreement previously paid by IT $1530

3066

VEHICLES REPAIR

10,000

10,000

10,000

10,000

10,000

0%

11,148

261

626

7,000

7,000

7,000

7,000

0%

5,443

2,911

6,985

500

500

500

500

500

0%

375

180

432

1,000

1,000

1,000

1,000

1,000

0%

860

120

288

50

3,000

3,000

3,000

3,000

3,000

0%

107

175

421

750

750

750

750

750

0%

275

660

30,000

30,000

35,000

35,000

35,000

-14%

14,339

This account is used for vehicle repairs that cannot be done by central/park crews.

3072

RENTAL - EQUIPMENT/OTHER

7,000

It is used for uniforms provided to AFSCME workers, and safety rugs and mats in Park Dept.

3091

REFUNDS/AWARDS
Used to pay rental building refunds and cancellations.

3094

SUBSCRIPTIONS & DUES


To cover subscriptions and dues owed to professional associations.

3095

PREMIUMS ON OFFICIAL BONDS

3096

GRANTS & ALLOWANCES

#DIV/0!

Used to pay sales tax and gross income tax

3097

4021

EDUCATION/TRAINING

BUILDINGS
1
1

Shelter-Darrough Chapel
Mehlig Steel & Structural

8/29/2011

92

204-5001 PARKS
LINE

DESCRIPTION

4031

IMPROVEMENTS

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

65,000

65,000

65,000

65,000

65,000

0%

104,423

10,000

10,000

10,000

10,000

10,000

0%

9,981

40,000

62,000

34,000

52,000

34,000

18%

30,071

64,502

154,805

10,000

10,000

11,410

11,410

11,410

-12%

6,845

2,367

5,681

8,000

8,000

8,000

8,000

8,000

0%

13,750

279

670

2,259,776

2,347,463

2,188,650

2,214,014

2,188,650

3%

1,862,880

674,775

1,619,459

New steel doors-Park office


10,000
JM Walkpath lighting
Revolving play equipment program

4041

FURNITURE & FIXTURES


4
10

4042

MOTOR EQUIPMENT
1
2
3
4

4043

Batwing rotary cutter


16,000
1-Riding mower
12,000
3/4 ton 2wd p.u. truck
18,000
(to replace #511 with 119K miles)
Utility vehicle for Walk Path
12,000
Add pick up truck for increased afterhours patrol

OFFICE EQUIPMENT

2
2

4044

Handicapped drinking fountains (various parks)


6' steel ply coated benches
Steel Poly Coated Perm. Benches

New phones & service at the Parks Offices


For unforeseeable IT programs & upgrades
New copier
Computers
2,000
Laptops
3,300

OTHER EQUIPMENT
6
5
2
1
2

Weed eaters
Push mowers

Chainsaws
Equip Trailer
Hand blowers

TOTALS

1,500
1,000
1,500
3,000
1,000

Total Change by Administration

87,687

8/29/2011

(25,364)

93

204-5002 RECREATION
LINE
1011

DESCRIPTION
REGULAR WAGES
1
1
1

1014

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

113,336

113,336

112,857

112,857

112,857

0%

114,764

45,832

109,996

81,698

81,698

72,278

72,278

72,278

13%

55,057

14,262

34,229

2,390

2,390

2,390

2,390

2,390

0%

2,500

2,500

2,000

2,000

2,000

25%

1,981

147

354

12,395

12,395

11,751

11,751

11,751

5%

10,298

3,580

8,592

2,899

2,899

2,748

2,748

2,748

5%

2,408

837

2,009

11,823

11,823

9,673

9,673

9,673

22%

9,048

3,793

9,102

2,000

2,000

1,704

4,090

43,500

43,500

43,500

43,500

43,500

0%

38,511

15,544

37,306

2,000

2,000

2,000

2,000

2,000

0%

1,998

1,304

3,129

RAP Crew leaders (10) and (1) RAP Director (Reduced from 13 to 10)
Tennis Instructor + Asst
Naturalists/Kirkendall
Softball Supervisor
Basketball Supervisor
Part time Museum Cur.
Instructor for new program (PSC)

OTHER PAYS
Cash in Lieu
Wage Premium
Longevity

1016

2012
Request

Manager-Recreation Programmer
Museum Curator
Rec. Laborer

TEMPORARY/SEASONAL
11
1
3
1
1
2
1

1015

2012
Budget

750
750
1430

OVERTIME
Request needed for full time recreation laborer and museum curator
for special events

1031

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1034

UNEMPLOYMENT COMPENSATION

1035

HEALTH-LIFE INSURANCE

#DIV/0!

$14,500 per Employee

2012

STATIONARY & PRINTING


Used for printing softball line-up sheets, league schedules and schedule books,
Score keeping sheets for basketball and softball leagues

8/29/2011

94

204-5002 RECREATION
LINE

DESCRIPTION

2015

OFFICE SUPPLIES

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

1,000

1,000

1,000

1,000

1,000

0%

498

727

1,746

5,000

5,000

5,000

6,000

5,000

0%

3,131

181

435

25,000

25,000

20,000

20,000

20,000

25%

11,392

17,101

41,044

20,000

20,000

20,000

20,000

0%

14,650

9,010

21,625

1,000

1,000

1,000

1,000

0%

2,000

2,000

2,000

2,000

2,000

0%

454

86

207

67,500

67,500

67,500

67,500

67,500

0%

55,821

16,433

39,439

1,000

1,000

1,000

1,000

1,000

0%

1,197

2,873

12,180

12,180

12,180

12,180

12,180

0%

3,981

1,440

3,457

This account is for paper, pens, files, note pads, and all general office supplies

2025

FOOD
Costs include food items necessary for operation of concession stands
Gingerbread programs, youth cooking programs

2027

OTHER SUPPLIES

Staple account to purchase rock and stone, chemicals, recreation supplies, and plumbing and electrical supplies.
Supplies for NW diamond.
B-ball, tennis balls, netting/playground craft & crafts for new programs
Adult & Youth Easter Egg Hunt, Haunted Trail Walk
Adding new programs

2031

BUILDING & GROUNDS MATERIALS

20,000

This account is used for repair of scoreboards, concessions, tennis and basketball courts.
This account is used for sod, grass, fertilizers, paint and other materials for recreation facilities.
Update scoreboard at NW park
Scoreboard materials

2034

REPAIR PARTS

1,000

Costs include parts needed for repair of scoreboards, basketball goals, and line stripe equipment.

2035

TOOLS & EQUIPMENT


Used for small power tools and equipment

3015

OTHER CONTRACTUAL

This account is used for contractual work including summer softball officials/scorekeepers, fall
softball officials/scorekeepers, winter basketball officials/scorekeepers

3031

PRINTING & PUBLICATION

3041

WORKMEN'S COMP

8/29/2011

95

204-5002 RECREATION
LINE

DESCRIPTION

3061

BUILDING & GROUNDS

2012
Budget

2012
Request

Admin
Changes

6,000

2011
Budget

6,000

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

6,000

6,000

6,000

0%

4,348

1,175

2,820

6,000

6,000

6,000

6,000

0%

3,000

3,000

7,200

2,500

2,500

2,500

2,500

0%

2,327

6,000

6,000

6,000

8,500

6,000

0%

4,213

20,000

20,000

15,000

15,000

15,000

33%

19,484

2,000

2,000

2,000

2,000

2,000

0%

386

926

10,000

10,000

12,000

12,000

12,000

-17%

792

461,721

461,721

438,377

441,877

438,377

5%

358,155

137,741

330,579

Used to purchase turf, brick dust, and repairs to tennis, soccer, basketball, softball, and baseball facilities.
Also used for electrical and lighting repairs of recreation facilities
Walkpath signage

3065

SERVICE CONTRACTS

6,000

Helps provide Red Cross training programs, concession programs, and recreation Facility programs.
( Aeration - Reseeding - Etc.)
Park Band Concerts and Contracts

3072

RENTAL - EQUIPMENT/OTHER

2,500

It is used for Port-O-Lets and tents for recreational programs, special events and activities.
Additional costs for employees
Provides uniforms for AFSCME employees
Port-o-lets J.M. Volleyball Cts/J.M. Skatepark

3091

REFUNDS/AWARDS
Plaques for softball
Refunds

4031

5,500
500

IMPROVEMENTS
New backboards & poles for basketball court
New scoreboard for Highland Stadium
New fencing at Northwest
Resurfacing

4041

FURNITURE & FIXTURES


Tables and Chairs

4044

OTHER EQUIPMENT
1
2

Concession equipment
1-Painter

TOTALS

7,900
2,100

Total Change by Administration

(3,500)

8/29/2011

96

204-5003

AQUATIC CENTER

LINE

DESCRIPTION

1014

TEMPORARY/SEASONAL
1
1
1
1
48
8

1016

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

215,600

215,600

215,600

261,987

215,600

0%

198,500

8,990

21,577

2,000

2,000

1,000

1,000

1,000

100%

361

41

97

13,491

13,491

13,429

16,305

13,429

0%

12,329

560

1,344

3,155

3,155

3,141

3,813

3,141

0%

2,884

131

314

1,000

1,000

1,000

1,000

1,000

0%

606

6,500

6,500

6,500

6,500

6,500

0%

6,458

923

2,214

250

250

250

250

250

0%

105

14,000

14,000

14,000

14,000

14,000

0%

16,953

2,768

6,644

Aquatic manager
Aquatic assist. manager
Aquatic life coord.
Aquatic assist. Life coord.
Lifeguards
Seasonal cashiers
Wage premium for returning lifeguards

OVERTIME
Increase in private rentals
Increase in aquatic programming

1031

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

2015

OFFICE SUPPLIES
This account is for paper, pens, files, note pads, and all general office supplies
Upgrading of computer/printing system
Increase in printing of fliers/registration (swim lessons, water walking) forms

2024

HOUSEHOLD & INSTITUTIONAL

It is used for all janitorial supplies, including toilet paper, cleaners, paper towels, etc.

2025

FOOD
Contract out concessions
Birthday Party Food (cakes)

2027

OTHER SUPPLIES

Staple account to purchase chemicals, recreation supplies, and plumbing and electrical supplies.
Uniforms for lifeguards ($3K)
Other supplies, including water testing supplies, Coke tube, Big Squirt, Wrist bands, Swim diapers, etc

2030

CHEMICAL SUPPLIES

38,000

38,000

38,000

38,000

38,000

0%

33,776

7,210

17,303

6,000

6,000

6,000

6,000

6,000

0%

3,257

3,360

8,063

Include 3% increase for chemical costs & fuel surcharges for delivery
Increase in chemical costs

2031

BUILDING & GROUNDS MATERIALS

This account is used for repair of irrigation system, waterslides and signs.
This account is also used for landscaping materials such as mulch, lighting and electrical needs.
Mulch and flowers

8/29/2011

97

204-5003

AQUATIC CENTER

LINE

DESCRIPTION

2091

OSHA EQUIPMENT

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

4,500

4,500

6,000

6,000

6,000

-25%

318

80,000

80,000

50,000

50,000

50,000

60%

42,164

5,300

12,720

2,600

2,600

2,600

0%

1,371

613

1,471

It is for safety supplies, life jackets and additional lifeguard equipment.


New Life Vests
Rescue Tubes
Add trainer

3015

OTHER CONTRACTUAL

This account is used for contractual work on pool heaters, chemical systems, and plumbing and electrical
not able to be performed in house.
ADA transfer tier
Strip tiles and sidewalls $15-20K
New Chemtroller $5K
Tile work repair
Diamond Brite Repair Leisure Pool
Repaint water slides

3023

TELEPHONE

2,600

2,600

This is for telephone service of incoming and outgoing lines and yearly costs of pay phone and phone service.
Includes cost charged out through Controller's office $1300
Wireless $756

3041

WORKMEN'S COMPENSATION

7,540

7,540

7,540

7,540

7,540

0%

5,735

278

667

3042

COMPREHENSIVE LIABILITY

3,071

3,071

3,554

3,554

3,554

-14%

3,168

1,559

3,742

46,620

46,620

44,400

44,400

44,400

5%

36,655

4,040

9,696

14,000

14,000

14,000

14,000

14,000

0%

3,890

635

1,525

18,000

18,000

20,000

20,000

20,000

-10%

10,701

1,964

4,712

16,000

16,000

16,000

16,000

16,000

0%

14,627

1,894

4,547

13,000

13,000

13,000

13,000

13,000

0%

9,891

8,555

20,532

This account is used to cover the yearly cost of liability insurance coverage.

3051

ELECTRICITY
Electrical Utility
Reflects 5% increase

3052

GAS UTILITY
Natural Gas Utility

3053

WATER
Water Utility

3054

SEWAGE
Wastewater Utility

3061

BUILDING & GROUNDS


This account is used for repairing vandalism, electrical and plumbing
Includes tiles for $4,000
Fence Repair

8/29/2011

98

204-5003

AQUATIC CENTER

LINE

DESCRIPTION

3062

EQUIPMENT REPAIR

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

4,500

4,500

2,500

2,500

2,500

80%

1,637

1,418

3,404

10,000

10,000

4,500

4,500

4,500

122%

1,533

308

739

1,000

1,000

1,000

1,000

0%

843

4,000

4,000

4,000

4,000

4,000

0%

4,430

200

480

0%

Equipment is now 11 years old and more frequent repairs will be necessary

3065

SERVICE CONTRACTS

Used for routine maintenance on chemtroll system, pool heaters and turbines and pumps.
Used for new security system.
WiFi, Debit/credit card fees

3072

RENTAL - EQUIPMENT/OTHER

1,000

It is used for safety mats in offices and concessions and for toweling in concessions

3083

AGENCY FEES (POOL)


Used to pay bond fee at Aquatic Center.

3091

REFUNDS

500

500

500

500

3096

GRANTS & ALLOWANCES

500

500

#DIV/0!

#DIV/0!

345

45,000

45,000

151,000

1,000

151,000

-70%

6,462

119,871

287,690

6,000

6,000

8,000

8,000

8,000

-25%

5,255

5,000

5,000

581,827

581,827

647,514

546,949

647,514

424,254

170,618

409,482

Used to pay pool sales tax.

3097

EDUCATION/TRAINING

4031

IMPROVEMENTS
Sign replacement
Concrete sealing
Landscaping

4041

FURNITURE & FIXTURES


10
6
2

4043

New lounges & chairs


New umbrellas for
guards & concession area
New Funbrellas

OFFICE EQUIPMENT
Season pass badge printer
Scanner guns
Receipt printer

#DIV/0!

1,500
1,000
2,500

TOTALS

Total Change by Administration

-10%

100,564

8/29/2011

99

205-52 CEMETERY
LINE
1011

DESCRIPTION
REGULAR WAGES
1
1
1
1

1014

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

5
Year to Date
Annualized
May-11
As of 5/31/11

2010
Actual

151,557

151,557

151,557

151,557

151,557

0%

153,873

62,173

149,215

80,000

80,000

80,000

80,000

80,000

0%

55,150

13,336

32,006

3,500

3,500

3,500

3,500

3,500

0%

750

1,801

18,000

18,000

18,000

18,000

18,000

0%

7,909

4,245

10,189

15,690

15,690

15,690

15,690

15,690

0%

13,097

4,812

11,548

3,669

3,669

3,669

3,669

3,669

0%

3,063

1,125

2,701

17,306

17,306

14,277

14,277

14,277

21%

12,533

5,542

13,300

Crew leader
Laborers

OTHER PAYS
In Lieu of Vacation
Longevity

1016

2012
Request

Secretary
HEO
General Laborer
Truck Driver

TEMPORARY SEASONAL
1
7

1015

2012
Budget

2,000
1,500

OVERTIME
Used for weekend burials.

1031

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1034

UNEMPLOYMENT COMPENSATION

20,000

20,000

20,000

20,000

20,000

0%

15,107

6,684

16,042

1035

HEALTH-LIFE INSURANCE

58,000

58,000

58,000

58,000

58,000

0%

43,684

18,100

43,440

500

500

500

500

500

0%

757

$14,500 per Employee

2012

STATIONARY & PRINTING


Need to order "order to sexton" and receipts books

8/29/2011

100

205-52 CEMETERY
LINE

DESCRIPTION

2015

OFFICE SUPPLIES

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

5
Year to Date
Annualized
May-11
As of 5/31/11

2010
Actual

2,000

2,000

2,000

2,000

2,000

0%

644

14,108

14,108

6,018

6,335

6,018

134%

6,463

4,849

11,637

This line item is used to purchase all general office supplies.


Printing supplies and copier consumables per I.T. $1,000

2021

GASOLINE & OTHER FUELS

This line item is used to operate all yard vehicles, mowers and trimmers, also used for heating buildings
Cemetery maintains external gas tanks for its operations
Estimated usage: 1400 gallons unleaded and 403 gallons diesel

2022

LUBRICANTS

600

600

600

600

600

0%

33

53

127

1,500

1,500

1,500

1,500

1,500

0%

938

511

1,227

500

500

500

500

0%

44

107

4,000

4,000

4,000

6,000

4,000

0%

752

53

127

3,500

3,500

3,500

3,500

3,500

0%

3,767

1,476

3,543

5,000

5,000

4,000

4,500

4,000

25%

4,753

2,310

5,543

2,500

2,500

2,500

2,500

2,500

0%

2,107

626

1,503

10,000

10,000

15,000

10,000

0%

7,457

1,080

2,592

This item is used to maintain all yard vehicles and mowers.


Increase needed for rising petroleum products

2023

GARAGE & MOTOR

This is used to maintain necessary items for the repair and maintenance of equipment.

2024

HOUSEHOLD & INSTITUTIONAL

2027

OTHER SUPPLIES

This is an account used to purchase supplies for general maintenance and vandalism

2031

BUILDING & GROUND MATERIALS


This is an account used to purchase lumber for foundations, for the repairing
upkeeping of monument, for the purchase of concrete, and for tree replacement

2034

REPAIR PARTS
This is used for repair parts. This includes items that can be repaired in house.

2091

OSHA EQUIPMENT

This line item is used to purchase safety supplies; such as gloves, boots, and specialty equipment.

3015

OTHER CONTRACTUAL

10,000

This will be used for contractual work that cannot be performed in house.
Burial assistance of Medicaid
LP Tanks & heaters/boilers maintenance and service
Additional costs for new security system

8/29/2011

101

205-52 CEMETERY
LINE

DESCRIPTION

3021

POSTAGE AND FREIGHT

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

5
Year to Date
Annualized
May-11
As of 5/31/11

2010
Actual

200

200

200

200

200

0%

10

800

800

800

800

800

0%

546

173

416

This account will be used to cover postage and freight fees.

3023

TELEPHONE
Telephone Utility
Includes cost charged out through Controller's office $800

3041

WORKMEN'S COMPENSATION

11,785

11,785

11,785

11,785

11,785

0%

7,560

3,008

7,219

3042

COMPREHENSIVE LIABILITY

3,981

3,981

4,964

4,964

4,964

-20%

4,425

2,101

5,043

1,400

1,400

1,400

1,400

1,400

0%

1,094

527

1,264

2,000

2,000

2,000

2,000

2,000

0%

1,228

620

1,487

2,800

2,800

2,800

2,800

2,800

0%

3,073

690

1,655

1,000

1,000

400

400

400

150%

1,516

547

1,312

20,500

20,500

4,500

10,000

4,500

356%

264

1,400

1,400

1,400

500%

142

341

This account is used to cover the yearly cost of liability insurance coverage.

3051

ELECTRICITY
Electric Utility
11% increase per Duke Energy

3052

GAS UTILITY
Natural Gas Utility

3053

WATER
Water Utility

3054

SEWAGE
Sewage Utility

3061

BUILDING & GROUNDS

This account is used to make repairs on our buildings and maintain the grounds. Tree/Stump work and concrete
Roofing for maintenance building

3062

EQUIPMENT REPAIR

8,400

8,400

Used for repair of equipment and maintenance.


Motor for backhoe

8/29/2011

102

205-52 CEMETERY
LINE

DESCRIPTION

3065

SERVICE CONTRACTS

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

5
Year to Date
Annualized
May-11
As of 5/31/11

2010
Actual

1,800

1,800

1,800

1,800

1,800

0%

1,175

437

1,049

1,500

1,500

1,500

1,500

1,500

0%

796

477

1,144

85

Needed to pay contracts for boiler and port-a-lets


Koorsen services

3072

RENTAL - EQUIPMENT/OTHER

This account is used for the uniforms that our AFSCME workers are provided by contract.

3091

REFUNDS & AWARDS

100

100

#DIV/0!

3094

SUBSCRIPTIONS & DUES

250

250

250

250

250

0%

169

169

406

6,000

6,000

6,000

10,000

6,000

0%

19,600

19,600

29,800

9,800

29,800

-34%

8,598

14,669

35,206

1,000

1,000

1,000

1,000

1,000

0%

917

495,045

495,045

470,410

467,227

470,410

5%

363,542

151,329

363,190

This account is needed for professional membership to the Indiana Cemetery Association.

4031

IMPROVEMENTS
WWE Phase II
Signage for Walk of Excellence
Benches
Paving roadways

4042

MOTOR EQUIPMENT
2 Riding Lawn Mowers $9,800 each

4044

OTHER EQUIPMENT
1
4

Chainsaw
Push Mowers

400
600

TOTALS

Total Change by Administration

3,183

8/29/2011

103

206-9200 AVIATION
LINE
1011

DESCRIPTION

2012
Request

REGULAR WAGES
1
1
1
1

1016

2012
Budget

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

179,034

179,034

179,034

179,034

179,034

0%

179,033

72,303

173,527

6,500

6,500

6,500

6,500

6,500

0%

4,448

3,713

8,912

11,503

11,503

11,503

11,503

11,503

0%

10,970

4,536

10,886

2,690

2,690

2,690

2,690

2,690

0%

2,566

1,061

2,546

18,553

18,553

15,307

15,307

15,307

21%

14,219

6,271

15,051

58,000

58,000

58,000

58,000

58,000

0%

51,013

20,615

49,477

400

400

500

500

500

-20%

559

2,000

2,000

2,000

2,000

2,000

0%

2,855

707

1,697

16,435

16,435

16,435

17,300

16,435

0%

11,249

10,813

25,952

400

400

500

500

500

-20%

466

Director - Airport
Clerk
Maintenance
Foreman

OVERTIME
Utilized during snow removal operations and other emergencies.

1031

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1035

HEALTH-LIFE INSURANCE
$14,500 per Employee

2012

STATIONARY & PRINTING

2015

OFFICE SUPPLIES
Used for office supplies such as folders, copier supplies, etc.
Includes $460 for printer supplies, per I.T. Department

2021

GASOLINE & OTHER FUELS


Includes diesel fuel and unleaded gasoline
Estimated usage: 2,000 gallons of diesel and 3,600 gallons of unleaded

2022

LUBRICANTS
Line item used to purchase grease and other special lubricants
for equipment.

8/29/2011

104

206-9200 AVIATION
LINE

DESCRIPTION

2023

GARAGE & MOTOR

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

3,000

3,000

3,000

3,000

3,000

0%

2,945

175

421

6,500

6,500

6,500

6,500

6,500

0%

6,477

390

936

750

750

750

750

750

0%

632

310

745

5,000

5,000

5,000

5,000

5,000

0%

4,786

1,182

2,838

5,000

5,000

5,000

5,000

5,000

0%

3,814

2,888

6,931

3,000

3,000

3,000

3,000

3,000

0%

2,236

333

798

400

400

400

400

400

0%

311

158

379

500

500

750

750

750

-33%

3,000

3,000

3,000

3,000

3,000

0%

2,810

1,128

2,706

15

4,945

4,945

4,488

4,488

4,488

4,498

2,045

4,908

This account is used to purchase batteries, tire, etc.

2024

HOUSEHOLD & INSTITUTIONAL


All weed control liquids and janitorial supplies are purchased
from this account.

2027

OTHER SUPPLIES
Used for work clothes, rain gear and misc. items

2031

BUILDINGS & GROUNDS MATERIALS

Used for paint, sealers, runway and taxiway lighting system replacement parts

2034

REPAIR PARTS
Costs include parts needed for repair of motor equipment, as well as office
equipment.

3015

OTHER CONTRACTUAL

This account is used for tests on drinking water, furnace repairs and welding services

3021

POSTAGE & FREIGHT


This account is used for purchasing all stamps for Airport mail-outs.

3022

TRAVEL EXPENSES

This money is used for the Airport Manager's expenses when attending A.A.I.Conference
and A.A.A.E. Convention

3023

TELEPHONE
Account to pay for all telephone bills.

3031

PRINTING & PUBLICATION

3041

WORKMEN'S COMPENSATION

8/29/2011

#DIV/0!

10%

105

206-9200 AVIATION
LINE

DESCRIPTION

3042

COMPREHENSIVE LIABILITY

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

8,643

8,643

7,153

7,153

7,153

21%

10,637

5,394

12,944

Liability insurance processed by Controller's office

3051

ELECTRICITY

12,500

12,500

12,500

12,500

12,500

0%

9,402

4,333

10,399

3052

GAS UTILITY

7,500

7,500

7,500

7,500

7,500

0%

2,621

2,853

6,847

3055

WASTE REMOVAL

1,480

1,480

1,350

1,350

1,350

10%

1,276

1,383

3,320

20,000

20,000

20,000

20,000

20,000

0%

18,246

1,897

4,553

Waste Management

3061

BUILDING & GROUNDS

Used for all maintenance and improvements for buildings, asphalt/concrete surfaces, runway and taxiway crack sealing, and lighting systems

3062

EQUIPMENT REPAIR

7,500

7,500

7,500

7,500

7,500

0%

7,282

3,170

7,609

This account is used to pay the repair bills on all owned and leased equipment that may contain
a labor charge.

3065

SERVICE CONTRACTS

1,800

1,800

1,800

1,800

1,800

0%

1,254

755

1,813

400

400

500

500

500

-20%

312

500

500

600

600

600

-17%

101

140

337

600

600

650

650

650

-8%

469

370

888

100

100

100

0%

50

Transferred from line 3015 for fire extinguisher service


Includes OptiView service agreement previously paid by IT ($765)

3066

VEHICLE REPAIR
Used for vehicle/equipment towing

3072

RENTAL-EQUIPMENT & OTHERS


Used for misc equipment/tool rental

3094

SUBSCRIPTIONS & DUES

The Airport uses this money to pay dues to the Aviation Association of Indiana and the American
Association of Airport Executives and the Kokomo Tribune.

3095

OFFICIAL BOND PREMIUM

100

100

This account is used for the bond of the Airport Manager.

8/29/2011

106

206-9200 AVIATION
LINE

DESCRIPTION

3096

GRANTS & ALLOWANCES

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

89,500

89,500

69,000

69,000

69,000

30%

66,912

45,322

108,774

10,000

10,000

2,000

2,000

2,000

400%

1,800

10,000

10,000

-100%

2,499

5,998

2,000

2,000

#DIV/0!

10,000

10,000

#DIV/0!

500,134

500,134

455,875

465,010

426,264

196,745

472,188

Ditch assessment, reconstruction and property taxes $12K


Local share for projected FAA grants $77,500

3098

PROMOTION & DEVELOPMENT


Costs for annual Airshow
(Increase due to cost of fuel and added jets to program)

4041

FURNITURE & FIXTURES

4043

OFFICE EQUIPMENT
2 desktop computers $1K each

4044

OTHER EQUIPMENT
72" front mounted mower

TOTALS

Total Change by Administration

465,010

8%

9,135

8/29/2011

107

206-9201 FIXED BASE OPERATIONS


LINE

DESCRIPTION

1014

TEMPORARY/SEASONAL
3 PT line techs $11.00/hr

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

50,000

50,000

52,000

52,000

52,000

-4%

46,844

19,448

46,675

50,000

1016

OVERTIME

1,000

1,000

1,000

1,000

1,000

0%

615

25

59

1031

SOCIAL SECURITY

3,162

3,162

3,286

3,286

3,286

-4%

2,942

1,207

2,898

740

740

769

769

769

-4%

688

282

678

400

400

400

400

400

0%

492

4,000

4,000

4,000

4,000

4,000

0%

4,027

1,025

2,459

2,000

2,000

2,000

2,000

2,000

0%

1,393

774

1,857

2,800

2,800

3,000

3,000

3,000

-7%

2,670

1,575

3,781

6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

2015

OFFICE SUPPLIES
Used for office supplies such as folders, copier supplies, etc.

2027

OTHER SUPPLIES
Used to purchase pilot supplies for resale, ice, coffee, etc

2034

REPAIR PARTS
Used for fuel trucks and fuel farms repairs and filter replacement

3015

OTHER CONTRACTUAL
Used for DTN weather radar, satellite service for lobby and pilot lounge.

3017

AMS BANK CHARGES

100

100

200

200

200

-50%

64

31

76

3021

POSTAGE & FREIGHT

150

150

200

200

200

-25%

90

45

107

Postage for FBO statements and billing.

206-9201 FIXED BASE OPERATIONS


LINE

DESCRIPTION

3023

TELEPHONE

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

5
Year to Date
May-11

Annualized
As of 5/31/11

3,000

3,000

3,000

3,000

3,000

0%

2,558

1,118

2,683

1,570

1,570

1,446

1,446

1,446

9%

1,409

632

1,516

10,738

10,738

8,300

8,300

8,300

29%

9,647

6,000

6,000

6,000

6,000

6,000

0%

5,559

2,100

5,040

Account to pay for all telephone bills.

3041

WORKMEN'S COMPENSATION

3042

COMPREHENSIVE LIABILITY
Pays for additional costs for insurance needed for FBO operations
Insurance for annual Airshow $2K

3051

ELECTRICITY
11% increase per Duke Energy

3052

GAS UTILITY

4,000

4,000

4,000

4,000

4,000

0%

1,555

1,474

3,538

3062

EQUIPMENT REPAIR

4,000

4,000

4,000

4,000

4,000

0%

4,727

362

869

500

500

500

500

500

0%

385

210

504

94,160

94,160

94,100

94,100

94,100

0%

85,664

30,308

72,740

Repairs to fueling equipment, tugs, etc


Fuel meter upgrade $2500

3072

RENTAL-EQUIPMENT & OTHERS


Pays for credit card processing machine rental

TOTALS

Total Change by Administration

207-9201 ROTARY FUEL


LINE

DESCRIPTION

2021

GASOLINE & OTHER FUELS

3017

AMS BANK CHARGES

TOTALS

5
2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

296,000

296,000

296,000

296,000

296,000

0%

274,813

64,898

155,755

4,000

4,000

4,000

4,000

4,000

0%

4,944

1,461

3,506

300,000

300,000

300,000

300,000

300,000

0%

279,757

66,359

159,262

Total Change by Administration


-

220-31 PLANNING COMMISSION


LINE
1011

DESCRIPTION

5
2012
Budget

REGULAR WAGES
1
1
2
2
7
14

2012
Request

Admin
Changes

240,381

2011
Budget

240,381

2011
Request

227,008

Admin
Changes

Dept Request
% Change

240,381

227,008

6%

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

189,866

77,906

186,974

18,300

Director
Attorney
Plan Commission Planner II
Secretary (1 position currently unfilled. The workload is steadily increasing and funding for the position is requested)
Board of Zoning Appeals Members
Plan Commission Members

1015

OTHER

1031

SOCIAL SECURITY

#DIV/0!

14,904

14,904

14,074

14,904

14,074

6%

12,584

4,697

11,272

3,486

3,486

3,292

3,486

3,292

6%

2,943

1,098

2,636

24,038

24,038

16,365

17,468

16,365

47%

13,928

5,472

13,132

239

72,500

72,500

72,500

72,500

72,500

0%

39,026

15,135

36,324

1,500

1,500

1,500

1,500

1,500

0%

200

3,000

3,000

3,000

3,000

3,000

0%

1,833

400

961

298

325

342

325

-8%

242

129

311

6.20% of Gross Wages

1032

MEDICARE
1.45% Of Gross Wages

1033

PERF
10.00% of Gross Wages
Increase over 2011's 8.25% rate

1034

UNEMPLOYMENT COMP

1035

HEALTH/LIFE INSURANCE

#DIV/0!

$14,500 per Employee

2012

STATIONARY & PRINTING


Additional amount for printing of public hearing notice signs

2015

OFFICE SUPPLIES

This account will be used to purchase the necessary office supplies for the Plan Commission

2021

GASOLINE & OTHER FUELS

298

Estimated 200 gallons unleaded gasoline


Increase needed due to increased enforcement activity

8/29/2011

111

220-31 PLANNING COMMISSION


LINE

DESCRIPTION

2023

GARAGE & MOTOR

5
2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change
#DIV/0!

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

1,000

1,000

300

500

500

800

500

800

-38%

210

Cost of motor vehicle repair.


Car is a 1998 and increased maintenance cost is expected

2034

REPAIR PARTS
Parts needed to repair equipment

3011

LEGAL SERVICES

4,000

4,000

4,000

4,000

4,000

0%

1,873

360

864

3015

OTHER CONTRACTUAL

5,000

5,000

5,000

5,000

5,000

0%

2,808

441

1,058

Request for other needs which may appear.


The Plan Commission will still seek funding, in the future, for starting archiving of old Plan Commission records to CD-ROM; an estimated $50,000/year should
permit archiving 7 to 10 years of records/year. The Plan Commission has some 31 years of files requiring archiving.

3021

POSTAGE & FREIGHT

2,000

2,000

900

900

900

122%

298

899

2,157

1,000

1,000

1,500

1,500

1,500

-33%

91

2,500

2,500

2,500

2,500

2,500

0%

1,413

939

2,253

1,000

1,000

1,000

1,000

1,000

0%

336

130

311

1,527

1,527

1,527

1,527

1,527

0%

1,271

141

338

704

704

915

915

915

-23%

816

380

912

750

750

750

750

750

0%

115

Includes expected increase in certified mailings for additional enforcement

3022

TRAVEL EXPENSES

Includes lodging, meals, and other expenses required to attend various functions and schools.

3023

TELEPHONE
Account to pay for all telephone bills

3031

PRINTING & PUBLICATION


Legal notices, binding of prior year's minutes for four boards

3041

WORKMEN'S COMPENSATION

3042

COMPREHENSIVE LIABILITY
This account is used to cover the yearly cost of liability insurance coverage.

3062

EQUIPMENT REPAIR
All office equipment, such as computers, fax machines, copiers, etc.

8/29/2011

112

220-31 PLANNING COMMISSION


LINE

DESCRIPTION

3065

SERVICE CONTRACTS

5
2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

3,500

3,500

3,500

3,500

3,500

0%

2,982

1,242

2,981

3,500

3,500

3,500

3,500

3,500

0%

2,958

2,664

6,393

50

120

For IT computer back up service, HTE scanner fees ($765),


and miscellaneous IT charges

3094

SUBSCRIPTIONS & DUES

American Planning Association memberships for Plan Commission and Board of Zoning Appeals members and staff.
Subscriptions to planning/zoning and legal publications

3095

OFFICIAL BOND PREMIUM

100

100

100

100

100

0%

50

100

100

100

100

100

0%

(0)

2,500

2,500

2,500

2,500

2,500

0%

570

2,600

2,600

3,600

3,600

3,600

-28%

2,934

7,042

2,000

2,000

2,000

2,000

2,000

0%

737

This account is used for necessary bond costs.

3096

GRANTS & ALLOWANCES


IRS Sales & Use taxes

3097

EDUCATION
For paying for attendance at conferences, seminars and other training.

4043

OFFICE EQUIPMENT
Replacement of 1 desktop computers, per IT
Laptop computer for staff use

4044

OTHER EQUIPMENT

In the future, the Plan Commission will continue seeking funding for purchasing additional equipment, as follows:
* a) A large format color printer for printing maps and plats. (est. cost $10,000); Currently we have to print these at the County Surveyor's office
b) will need new copier, probably in 2013, as toner is no longer made for the one we have
(est cost $4,500-5,500)

4091

COMPUTER SOFTWARE

TOTALS

Total Change by Administration

500

500

500

500

500

0%

394,887

394,887

372,756

388,272

372,756

6%

295,689

115,016

276,037

(15,517)

8/29/2011

113

702-72 FIRE PENSION


LINE
1011

DESCRIPTION
REGULAR WAGES
1

1031

5
2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

9,046

9,046

9,046

9,046

9,046

0%

9,046

3,769

9,046

561

561

561

561

561

0%

561

234

561

131

131

131

131

131

0%

131

55

131

696,000

696,000

652,500

652,500

652,500

7%

415,474

172,132

413,118

100

100

100

100

100

0%

9,000

9,000

9,000

9,000

9,000

0%

984

999

2,397

Pension Secretary

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% of Gross Wages

1035

HEALTH-LIFE INSURANCE
$14,500 for 48 retirees

2015

OFFICE SUPPLIES
Forms required by SBOA, envelopes, paper etc.

3013

MEDICAL

Physical and Psychological testing for new applicants. Also expense incurred
by the local board for examinations of firefighters obtaining a disability pension.

3021

POSTAGE

100

100

100

100

100

0%

3022

TRAVEL

100

100

100

100

100

0%

3041

WORKMEN'S COMPENSATION

355

355

355

355

355

0%

8/29/2011

114

702-72 FIRE PENSION


LINE

DESCRIPTION

3092

PENSION BENEFITS

5
2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

3,812,257

3,812,257

3,786,620

3,786,620

3,786,620

1%

3,786,073

1,608,877

3,861,304

48,000

48,000

48,000

48,000

48,000

0%

36,000

24,000

57,600

200

200

200

200

200

0%

150

4,575,850

4,575,850

4,506,713

4,506,713

4,506,713

2%

4,248,419

1,810,065

4,344,156

This figure represents funding all retirees, widows and dependents.

3093

DEATH BENEFITS
To pay for death benefits if a retiree dies (4)

3095

OFFICIAL BOND PREMIUM


This line amount will pay for annual bonding as required.

TOTALS

Total Change by Administration

8/29/2011

115

703-73 POLICE PENSION


LINE
1011

DESCRIPTION

2012
Request

REGULAR WAGES
1

1031

5
2012
Budget

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

9,046

9,046

9,046

9,046

9,046

0%

8,059

3,769

9,046

561

561

561

561

561

0%

500

234

561

131

131

131

131

131

0%

117

55

131

551,000

551,000

536,500

200,000

536,500

3%

205,400

80,062

192,148

Pension Secretary

SOCIAL SECURITY
6.20% of Gross Wages

1032

MEDICARE
1.45% of Gross Wages

1035

HEALTH-LIFE INSURANCE
$14,500 per eligible retiree
38 retirees

3011

LEGAL

2,600

2,600

2,600

2,600

2,600

0%

2,250

3013

MEDICAL

8,000

8,000

8,000

8,000

8,000

0%

2,301

5,173

12,414

355

355

355

355

355

0%

2,501,436

2,501,436

2,538,134

2,538,134

2,538,134

-1%

2,538,927

1,046,605

2,511,852

24,000

24,000

24,000

24,000

24,000

0%

12,000

24,000

57,600

200

200

100

200

100

100%

250

3,015

3,097,329

3,097,329

3,119,427

2,783,027

3,119,427

2,772,818

1,159,897

2,783,752

At $800.00 per officer

3041

WORKMEN'S COMPENSATION

3092

PENSION BENEFITS

This line amount is for payment of current pensioners, widows and dependent children.

3093

DEATH BENEFITS
To pay for $12,000 death benefit if a retiree dies.

3095

OFFICIAL BOND PREMIUM


This line amount will pay for annual bonding as required.

3099

MISCELLANEOUS

TOTALS

Total Change by Administration

#DIV/0!

-1%

336,400

8/29/2011

116

245-64 REDEVELOPMENT COMMISSION


LINE

DESCRIPTION

2012

STATIONARY & PRINTING

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

500

500

#DIV/0!

500

500

#DIV/0!

75,000

75,000

25,000

25,000

25,000

200%

12,360

3,286

7,887

230,000

145,000

34,800

34,800

34,800

561%

1,392

3,340

1,500

1,500

200

200

200

650%

96

1,800

1,800

300

300

300

500%

131

200

200

200

200

200

0%

500

500

500

500

500

0%

400

310,000

225,000

61,000

61,000

61,000

408%

12,987

4,678

11,227

Business cards, letterhead, brochures, etc

2015

OFFICE SUPPLIES
Office supplies, copy paper, pens, pencils, etc.
Copy fees

3011

LEGAL

3015

OTHER CONTRACTUAL

3021

POSTAGE & FREIGHT

Used for postage and shipping charges for time-sensitive and oversized materials

3031

PRINTING & PUBLICATION


Legal advertisement and public notices

3094

SUBSCRIPTIONS & DUES


To cover the cost of periodical subscriptions and membership dues.

3095

OFFICIAL BOND PREMIUM

TOTALS

Total Change by Administration

(85,000)

283-1802 FTA-Transit Center

5
2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

Year to Date
May-11

Annualized
As of 5/31/11

287

135

324

#DIV/0!

2,745

#DIV/0!

506

892

2,142

1,600

-20%

676

1,623

15,500

15,500

15,500

-35%

4,012

3,527

8,465

7,000

7,000

7,000

7,000

0%

560

2,383

5,718

800

800

800

800

800

0%

286

287

690

450

450

400

400

400

13%

138

174

417

4,000

4,000

4,000

4,000

4,000

0%

103

247

2,000

2,000

#DIV/0!

5,500

5,500

#DIV/0!

4,407

1,993

4,784

1,750

1,750

8,526

7,000

8,526

-79%

394

520

1,249

LINE

DESCRIPTION

2024

HOUSEHOLD & INSTITUTIONAL

1,000

1,000

#DIV/0!

3015

OTHER CONTRACTUAL

1,000

1,000

2,250

2,250

1,279

1,279

1,600

10,000

10,000

7,000

2010
Actual

Maintenance contracts and usage of copier

3023

TELEPHONE
T1 line

3042

LIABILITY INSURANCE
Insurance for building

3051

ELECTRICITY
Electricity Utility

3052

GAS UTILITY
Gas utility

3053

WATER
Water Utility

3054

SEWAGE
Wastewater Utility

3061

BUILDINGS AND GROUNDS


Maintenance and repair

3062

EQUIPMENT REPAIR
Repair on machines including printers, copiers, lights & fixtures

3064

CLEANING SERVICES
Includes service for Indiana Dept of Revenue and other building needs

3065

SERVICE CONTRACTS
Service contracts for Koorsen and fire extinguisher inspection
Includes contract of API scanning charged ($765)

283-1802 FTA-Transit Center


LINE

DESCRIPTION

3096

GRANTS & ALLOWANCES

5
2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

10,990

10,990

10,990

-100%

5,588

13,410

2,000

2,000

2,100

2,100

2,100

-5%

39,029

39,029

50,916

47,790

50,916

-23%

13,334

16,278

39,068

Property taxes

4044

OTHER EQUIPMENT
Equipment and supplies necessary for operations of transit center

TOTALS

Total Change by Administration

3,126

504-9201 CLINIC

2012
Budget

LINE

DESCRIPTION

1011

REGULAR WAGES
1
Maintenance (20 hours/month for 12 months)

1016

OVERTIME

1031

SOCIAL SECURITY

1032

MEDICARE

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change
-50%

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

1,284

3,082

4,234

4,234

8,468

8,468

8,468

263

263

620

620

620

-58%

79

189

61

61

123

123

123

-50%

18

44

349

349

699

699

699

-50%

106

254

1,700

1,700

482

1,157

1,500

1,500

1,000

1,000

1,000

50%

1,046

407

978

86,000

86,000

54,000

54,000

54,000

59%

39,462

28,780

69,072

500

500

350,000

350,000

344,800

344,800

344,800

225,297

117,019

280,845

#DIV/0!

1.45% Of Gross Wages

1033

PERF
8.25% of Gross Wages
Increase over 2010's 7.75% rate

1035

HEALTH INSURANCE

#DIV/0!

Benefit attributed to Building Maintenance staff

2027

OTHER SUPPLIES
Misc supplies for the clinic

2028

MEDICAL SUPPLIES
Lab Corp, PSS, Pedigree
This includes generic medication

2031

BUILDINGS & GROUNDS MATERIALS

3015

OTHER CONTRACTUAL
Others
Physician $6.5K-57 hrs
NP 3K-45 hours
Med Ass't 3.5K 112 hours
Management fee
Install swipe card entry

#DIV/0!

2%

15,000
78,000
36,000
42,000
166,800
7,000

8/29/2011

120

504-9201 CLINIC
LINE

DESCRIPTION

3023

TELEPHONE

3041

WORKER'S COMPENSATION

3042

3051

2012
Budget

2012
Request

Admin
Changes

2011
Budget

2011
Request

Admin
Changes

Dept Request
% Change

2010
Actual

Year to Date
May-11

Annualized
As of 5/31/11

1,320

1,320

1,320

1,320

1,320

0%

560

1,344

249

249

249

249

249

0%

21

COMPREHENSIVE LIABILITY

1,339

1,339

1,640

1,640

1,640

-18%

700

1,680

ELECTRICITY

6,500

6,500

4,995

4,995

4,995

30%

2,330

5,591

5,670

5,670

5,400

5,400

5,400

5%

2,409

5,782

3,000

3,000

2,851

2,851

2,851

5%

1,185

2,844

2,500

2,500

1,440

1,440

1,440

74%

986

2,366

Electricity Utility
Includes 11% rate increase per Duke Energy

3052

GAS UTILITY
Natural Gas Utility
NIPSCO estimates 5% increase for 2012

3053

WATER
Water Utility

3054

SEWAGE
Sewage Utility

3061

BUILDINGS & GROUNDS

1,000

1,000

1,000

1,000

1,000

0%

3065

SERVICE CONTRACTS

5,942

5,942

5,942

5,942

5,942

0%

33,000

472,127

472,127

434,546

467,546

434,546

265,805

156,354

375,250

Mats $23/week, Matrix cleaning $333/month


Koorsen (sprinkler & fire extinguisher inspection) $750/year

4044

OTHER EQUIPMENT

#DIV/0!

Gym equipment

TOTALS

Total Change by Administration

9%

(33,000)

8/29/2011

121

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