Page 34 - CityofDalworthingtonGardensFY26AdoptedBudget
P. 34

FISCAL YEAR 2025-2026 PROPOSED BUDGET
 GENERAL FUND - ADMINISTRATION


 2022-2023  2023-2024  2024-2025  2025-2026       2025-2026
 DEPT 40 | OTHER
 ACTUAL   ACTUAL  APPROVED   ADOPTED             % CHANGE
 8010  Other:Membership&Dues                 2,553               3,497                 4,997                        4,997  0.0%


 8020  Other:Meetings                    468                    68                 1,400                        1,400  0.0%
 8022  Other: Special Events                         -                       -                 2,100                        2,100  0.0%


 8023  Other:Employee Appreciation                    926                  350                 1,100                        1,100  0.0%
 8024  Other:Condolence/Congratulation                    823                    74                 1,000                        1,000  0.0%

 8025  Other:Mileage Reimbursement                         -                       -                                -  0.0%
 8028  Other:Cell Phone Reimbursement                    300                  300                    125                           125  0.0%

 8030                         -                       -                         -                                -  0.0%

 8040  Other:Bank Charges                 1,923               1,958                 2,000                        2,000  0.0%
 8070  Other:Miscellaneous                      36                  115                    200                           200  0.0%

 8085  Other:Interest on Cash Deficit                 3,173               3,741                 2,625                        9,500  261.9%

 8090  Other:Lease Principal                 3,295               3,460                 3,633                        3,633  0.0%

 8091  Other:Lease Interest                    617                  452                    279                           279  0.0%

 8100  Other:Cash-Short/Over                      15                       -                         -                                -  0.0%
 8110  Other:Theft Charges               30,343                       -                         -                                -  0.0%
 8199  Other:Cost O/H Recovery                (2,413)             (2,364)               (3,854)                      (3,854)  0.0%
 TOTAL OTHER   $               42,059  $            11,650  $               15,605  $                     22,480  44.1%



 2022-2023  2023-2024  2024-2025  2025-2026       2025-2026
 DEPT 40 | CAPITAL OUTLAY
 ACTUAL   ACTUAL  APPROVED   ADOPTED             % CHANGE
 9010  Capital Outlay:Computer/Off Eq                         -               4,410                 5,562                           5,562  0.0%
 TOTAL CAPITAL OUTLAY  $                     -    $               4,410  $                 5,562  $                       5,562  0.0%


 TOTAL OPERATIONS  $         208,355  $       227,424  $         228,201  $                    249,535  9.3%



 TOTAL ADMINISTRATION  $         397,665  $       383,452  $         465,331  $                    451,710  -2.9%










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