Page 20 - Dalworthington Gardens FY19 Budget
P. 20

110 - GENERAL FUND






                                  GENERAL FUND DETAILS                      2016-17     2017-18     2017-18           2018-19

                                                                                                                              % of
                                                                                                                             Projected
                Category          Account Number  Account Description       ACTUAL    Amended Budget   Projected   Proposed       FY 2017-18

                Contractual       60.7300    Contractual:Computer System  $                      6,910  $                    7,945  $                      6,996  $                            4,078  58%

                Contractual       60.7305    Contractual:Copy Machine    $                      3,765  $                    3,660  $                      3,943  $                            1,173  30%
                Contractual       60.7415    Contractual:Contract Labor  $                      4,810  $                        -  $                         -    $                                -  0%
                Contractual       60.7440    Contractual:Janitor Services  $                      1,371  $                    1,227  $                      1,093  $                                 560  51%
                Contractual       60.7505    Contractual:Liability Insur  $                      7,980  $                    4,048  $                      4,048  $                              2,440  60%
                Contractual       60.7510    Contractual:Worker's Compens  $                      9,739  $                    1,438  $                         502  $                              1,220  243%
                Contractual       60.7515    Contractual:Inspections     $                     65,319  $                  60,000  $                     57,606  $                                -  0%
                Contractual       60.7600    Contractual:Refuse Collection  $                         807  $                    5,000  $                      3,056  $                            9,059  296%

                Total Contractual  Public Works                          $                   100,700  $                 83,318  $                   77,244  $                          18,529  24%


                Other             60.8010    Other:Membership&Dues       $                         133  $                       500  $                           59  $                                 200  339%
                Other             60.8020    Other:Meetings              $                             6  $                        -  $                           -  $                                -  0%
                Other             60.8028    Other:Cell Phone Reimbursement  $                         352  $                        -  $                           -  $                                -  0%
                Other             60.8070    Other:Miscellaneous         $                         224  $                        -  $                           -  $                                -  0%
                Total Other       Public Works                           $                         715  $                       500  $                           59  $                               200  339%

                Capital Outlay    60.9210    Capital Outlay:Pickup       $                         -    $                        -  $                           -  $                              1,650  0%
                Capital Outlay    60.        Capital Outlay:Equipment    $                         -    $                        -  $                           -  $                                 500  0%
                Capital Outlay    60.9015    Capital Outlay:Bldgs/Grounds  $                           -  $                        -  $                         -    $                                -  0%
                Total Capital Outlay  Public Works                       $                         -    $                        -  $                         -    $                            2,150  0%
                Other Uses        40.9710    Transfer Out to Capital Fund  $                   38,395  $                         -    $                                -  0%

                Other Uses        40.9700    Transfer Out To O&G Reserve Fund  $                           -  $                         -    $                         250,000  0%

                Total Other Uses  Other Uses                             $                   38,395  $                       -    $                           -  $                        250,000  0%
                                  TOTAL EXPENSES                         $              2,934,778  $            2,846,209  $              2,781,846  $                     3,297,459  119%
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