Page 212 - FY 22-23 Budget Book - For Website_202303071553082457.pdf
P. 212

FUND:                   UTILITY FUND
             DEPARTMENT:             PUBLIC WORKS
             DIVISION / SUBDIVISION: UTILITY LINE MAINTENANCE- WATER LINE







                                                    EXPENDITURE SUMMARY
                                        FY 2020-2021 FY 2021-2022  FY 2021-2022  FY 2022-2023  FY 2022-2023  FY 2022-2023
             OBJECT CATEGORIES
                                          ACTUAL     BUDGET    PROJECTED BASE BUDGET SUPPLEMENTAL TOTAL BUDGET











             TOTAL                       $  1,430,122  $  1,778,551  $  1,569,330  $  1,758,198  $  316,690  $  2,074,888

                                               SUPPLEMENTAL BUDGET SUMMARY
             NON-DISCRETIONARY REQUESTS










             DECISION PACKAGE REQUESTS
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