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<br />GENERAL FUND
<br />POLICE DEPARTMENT
<br />FIELD OPERATIONS
<br />Account
<br />ACCOUNTING UNIT
<br />01114420
<br />ACTUAL ACTUAL
<br />FY 23-24
<br />ADOPTED PROPOSED
<br />FY 25-26Code
<br />61000
<br />61010
<br />61020
<br />61040
<br />61100
<br />61110
<br />61120
<br />61130
<br />61170
<br />61180
<br />LINE ITEM RESOURCES FY 22-23
<br />30,778,439
<br />1,175,458
<br />26,326
<br />FY 24-25
<br />37,743,990
<br />1,650,000
<br />71,640
<br />Salaries Regular 34,184,373
<br />4,273,011
<br />17,866
<br />37,213,010
<br />1,219,730
<br />48,520
<br />Salaries Cash Out/Separation
<br />Salaries Part-Time
<br />Salaries Overtime 3,267,657
<br />4,662,572
<br />315
<br />3,872,330
<br />5,794,645
<br />214
<br />1,356,290
<br />6,486,990
<br />1,420
<br />1,356,290
<br />6,469,670
<br />540
<br />Retirement-Employer Normal Cost
<br />Part-Time Retirement
<br />Medicare Insurance 489,314 572,739 525,210 538,330
<br />Health Insurance 3,886,613
<br />582,050
<br />4,082,982
<br />658,375
<br />4,703,040
<br />734,250
<br />4,680,000
<br />756,350Retiree Health Benefits
<br />Worker Compensation Insurance
<br />SUBTOTAL SALARIES & BENEFITS
<br />2,596,799
<br />47,465,543
<br />2,727,514
<br />56,184,049
<br />2,619,980
<br />55,892,810
<br />2,627,590
<br />54,910,030
<br />62000
<br />62120
<br />62140
<br />62200
<br />62300
<br />62302
<br />62322
<br />62500
<br />62600
<br />Utilities 4,549
<br />78,923
<br />2,000
<br />0
<br />5,258
<br />86,808
<br />500
<br />5,000
<br />92,100
<br />650
<br />5,000
<br />85,000
<br />500
<br />Training, Transportation, Meetings
<br />Membership, Subscription & Dues
<br />Advertising 0 6,000
<br />859,400
<br />0
<br />3,100
<br />1,140,330
<br />0
<br />Contract Services-Professional
<br />Contracted Vendor Personnel Services
<br />Maintenance & Repair Machinery
<br />Rent Payments
<br />750,135
<br />0
<br />1,098,642
<br />2,125
<br />15,369
<br />32,490
<br />7,224
<br />890,689
<br />0 0 0
<br />39,155
<br />12,050
<br />1,244,537
<br />36,120
<br />10,000
<br />1,009,270
<br />12,770
<br />9,000
<br />1,255,700
<br />Parking Validation
<br />SUBTOTAL CONTRACTUALS
<br />63001
<br />63300
<br />Miscellaneous Operating Expenses
<br />Gas & Diesel
<br />92,007
<br />879,927
<br />971,934
<br />128,634
<br />737,607
<br />866,242
<br />74,620
<br />756,630
<br />831,250
<br />115,600
<br />756,630
<br />872,230SUBTOTAL COMMODITIES
<br />65010
<br />65011
<br />65012
<br />65020
<br />65040
<br />65100
<br />65105
<br />Rental City Equipment
<br />Equipment Replacement Charges
<br />Accident Repair & Replacement
<br />City Yard Rental
<br />1,354,910
<br />184,071
<br />160,615
<br />15,600
<br />1,443,930
<br />422,841
<br />162,405
<br />15,600
<br />2,209,660
<br />619,390
<br />430,160
<br />20,650
<br />747,190
<br />414,700
<br />1,535,190
<br />22,510
<br />IT Maintenance Charge
<br />Insurance Charges
<br />209,650
<br />2,047,985
<br />336,232
<br />4,309,063
<br />216,880
<br />2,004,073
<br />332,623
<br />4,598,352
<br />237,480
<br />2,160,110
<br />318,060
<br />5,995,510
<br />186,230
<br />2,223,910
<br />267,910
<br />5,397,640
<br />Benefits Overhead
<br />SUBTOTAL FIXED CHARGES
<br />66511 Computer Software Subscriptions 270 377 380 1,029,550
<br />SUBTOTAL CAPITAL 270 377 380 1,029,550
<br />TOTAL 53,637,499 62,893,556 63,729,220 63,465,150
<br />210
<br />
<br />
<br />City Council 21 – 223 6/17/2025
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