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Q1a Chap 1

City of Bradley
Recylce Department-Line Item Budget
FY 2014-FY 2015
Personnel FY 2014 (est) FY 2015 (proj)
A. saleies $ 250,000 $ 11,000
B. fringe benifets $ 35,000 $ 39000
C. insrance $ 75,00 $ 11,000
Subtotal $ 292,500 $ 323500
Operating FY 2014 (est) FY 2015 (proj)
A. uniform $ 9500 $ 11000
B. materials $ 35000 40500
C. machines reserved-48000x17 52000
Subtotal $ 92500 $ 103500
Capital Outlay FY 2014 (est) FY 2015 (proj)
A. furniture $ 9000 $ 12000
B. desks $ 4500 6000
C. equipment 51500 $ 55000
Subtotal $ 65000 $ 73000
TOTAL $ 450000 $ 500000
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Q1B Chap 1

City of Bradley
Program Budget
FY 2014
Recyle Department
Goal: Provide new products of recycling the materials.
Objectives:
A. Ensure that machines have preiodic mentenance.
B. provide for the workers copabli
C. Ensure for arrangement with recycle companies to develope the department.
Division:
A. Personal 292,500.00
B. Operating 92500
C. Capital outlay $65,000
TOTAL $450,000.00
FY 2015
Recyle Department
Goal: Provide new products of recycling the materials.
Objectives:
A. Ensure that machines have preiodic mentenance.
B. provide for the workers copabli
C. Ensure for arrangement with recycle companies to develope the department.
Division:
A. personal 275000
B. Operating $ 103,500
C. Capital outlay 73000
TOTAL $500,000.00
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Q1C Chap 1

City of Bradley
Performance Budget
Recycle Department
Division
Operating Expenses FY 2014 (est) FY 2015 (proj)
A. Personal 292,500.00 275000
B. Operating 92500 $ 103,500
C. Capital outlay $65,000 73000
TOTAL $450,000.00 $500,000.00
Department Performance Objectives:
A. Ensure that machines have preiodic mentenance.
B. provide for the workers copabli
C. Ensure for arrangement with recycle companies to develope the department.
FY 2014 (est) FY 2015 (proj)
Performance Review:
A. Workers served 10 15
B. Recycle container diepensed 450 500
C. Materials recycled 6 tons 10 tons
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Appendix 1B

City of Cambridge
Budget Summary
FY 2014-2015
General Fund Central Garage Water &Sewer Sanitation Grand Total
FUNDING SOURCE
Property Taxes $1,483,000 $0 $0 $0 $1,483,000
Insurance Taxes 885,000 - 41,500 - 926,500
Vehicle Stickers 420,000 - - - 420,000
Business Licenses 350,000 - - - 350,000
User Charges - 116,250 3,421,500 1,884,000 5,421,750
Special Assessments - - 195,000 50,000 245,000
Other & Misc. 662,779 - - - 662,779
Fund Transfers - - - - -
TOTAL Revenues $3,800,779 $116,250 $3,658,000 $1,934,000 $9,509,029
Beginning Fund 650,000 - - 50,600 700,600
TOTAL Available Funds $4,450,779 $116,250 $3,658,000 $1,984,600 $10,209,629
EXPENDITURES
General Government $1,309,454 $0 $0 $0 $1,309,454
Public Safety 2,781,100 - - - 2,781,100
Public Works 360,225 - - - 360,225
Central Garage - 116,250 - - 116,250
Sanitation - - - 1,984,600 1,984,600
Water &Sewer Oper. - - 3,658,000 - 3,658,000
Cemetery Operations - - - - -
Gas System Oper. - - - - -
Capital Expenditures - - - - -
TOTAL Expenditures $4,450,779 $116,250 $3,658,000 $1,984,600 $10,209,629
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Appendix 1C

San Pablo
Sources of Revenue
FY 2013 Est. FY 2014 Est. FY 2015 Est. Net Change % Change
BALANCE FORWARD $525,756.30 $174,868.50 $50,621.10
Sales and Use Tax $2,555,557.00 $2,715,000.00 $2,875,500.00 $160,500.00 5.91%
Income Tax-Ind. 2,095,499.10 2,299,760.00 2,472,728.00 172,968.00 7.52%
Income Tax-Corp. 496,023.90 512,000.00 512,000.00 0.00 0.00%
Other 708,760.60 657,882.90 674,568.80 16,685.90 2.54%
TOTAL Base Revenue $6,381,596.90 $6,359,511.40 $6,585,417.90 $350,153.90 5.51%
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Appendix 1D

Source of Expenditures
Nowhere Mississippi (amounts in millions)
FY 2013 App. FY 2014 Request Net Change % Change
General Government $2,345.00 $2,498.00 $153.00 6.52%
Public Safety 7,129.00 7,893.00 764.00 10.72%
Health and Human Services 27,189.00 31,890.00 4,701.00 17.29%
Public Education 28,000.00 30,000.00 2,000.00 7.14%
Higher Education 13,685.00 14,589.00 904.00 6.61%
Judiciary 386.00 399.00 13.00 3.37%
Natural Resources 1,693.00 1,785.00 92.00 5.43%
Business & Economic Dev. 10,456.00 11,000.00 544.00 5.20%
Regulatory 456.00 469.00 13.00 2.85%
Article IX 721.00 732.00 11.00 1.53%
Other 250.00 255.00 5.00 2.00%
DEPARTMENT TOTAL $92,310.00 $101,510.00 $9,200.00 9.97%
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Appendix 1E

City of Hardin
Fire Dept
FY 2013 Actual FY 2014 Budg. FY 2015 Est. Net Change % Change
SALARIES $658,939.00 $731,000.00 $765,000.00 $34,000.00 4.65%
Education 150.00 500.00 500.00 0.00 0.00%
Life Insurance 1,268.00 2,150.00 1,500.00 -650.00 -30.23%
Medical Insurance 110,467.00 120,000.00 120,000.00 0.00 0.00%
Social Security 51,689.00 57,500.00 57,500.00 0.00 0.00%
State Incentive 70,054.00 72,500.00 72,500.00 0.00 0.00%
Workmen's Compensation 38,660.00 36,000.00 40,000.00 4,000.00 11.11%
Kentucky Retirement 126,853.00 137,000.00 145,000.00 8,000.00 5.84%
Subtotal $1,058,080.00 $1,156,650.00 $1,202,000.00 $45,350.00 3.92%
OPERATING EXPENSES
Station II Facility $5,575.00 $3,500.00 $3,500.00 $0.00 0.00%
Fire Hydrants 23,414.00 23,500.00 24,250.00 750.00 3.19%
Water, Sewer & Gas 3,344.00 3,500.00 3,500.00 0.00 0.00%
Electricity 1,641.00 2,000.00 2,000.00 0.00 0.00%
Office Supplies 1,581.00 1,500.00 1,500.00 0.00 0.00%
Gasoline 4,854.00 5,000.00 5,000.00 0.00 0.00%
Uniforms 15,554.00 12,000.00 12,000.00 0.00 0.00%
Training School & Supplies 703.00 2,500.00 2,500.00 0.00 0.00%
Vehicle Repair and Maint. 8,514.00 15,000.00 15,000.00 0.00 0.00%
Housekeeping Supplies 1,130.00 1,000.00 1,000.00 0.00 0.00%
Travel & Meetings 1,262.00 1,500.00 1,500.00 0.00 0.00%
Dues & Subscriptions 280.00 300.00 300.00 0.00 0.00%
Miscellaneous 5,014.00 5,000.00 5,000.00 0.00 0.00%
Fire Marshall Office 3,707.00 3,500.00 3,500.00 0.00 0.00%
Reappropriations 1,223.00 1,500.00 1,500.00 0.00 0.00%
Subtotal $77,796.00 $81,300.00 $82,050.00 $750.00 0.92%
CAPITAL EXPENDITURES
Equipment $8,209.00 $39,000.00 $10,000.00 -$29,000.00 -74.36%
Fire Truck Payment 24,369.00 24,500.00 24,500.00 0.00 0.00%
Subtotal $32,578.00 $63,500.00 $34,500.00 -$29,000.00 -45.67%
TOTAL $1,168,454.00 $1,301,450.00 $1,318,550.00 $17,100.00 1.31%
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