Page 124 - BudgetBookCover_FY26_Adopted.pdf
P. 124

Department Summary- Fleet Services Fund


                                     2024-25                                  2025-26
                           2023-24   MODIFIED       2024-25      2024-2025    ADOPTED
                           ACTUALS   BUDGET         ACTUALS YTD  PROJECTIONS  BUDGET
                                                                                               Modified vs.   Modified vs.
                               FY2024        FY2025       FY2025       FY2025         FY2026
                                                                                                Adopted %    Adopted $
        Operating Revenues
        Charges For Services  $7,937,142   $8,462,521   $7,287,469   $7,876,155     $9,257,084       9.4%      $794,563
        Misc Revenue          $80,982         $8,500      $14,262      $20,000         $7,500      (11.8%)     ($1,000)
        OPERATING           $8,018,123     $8,471,021   $7,301,731   $7,896,155     $9,264,584       9.4%      $793,563
        REVENUES TOTAL
        Non-Operating
        Revenues
        Gain/Loss On Sales Of    $28          $2,500      $7,500        $8,500         $2,000      (20.0%)      ($500)
        Capital
        General & Administrative   –        $226,421     $207,553     $226,421       $226,421        0.0%          $0
        Reven
        Investment Income     $228,156            –      $224,498     $212,000       $212,400          –       $212,400
        Transfers In               –              –         ($2)          ($3)            $0           –           $0
        NON-OPERATING         $228,184      $228,921     $439,549     $446,918       $440,821       92.6%      $211,900
        REVENUES TOTAL
        Total Revenues      $8,246,307     $8,699,942   $7,741,280   $8,343,073     $9,705,405         –            –
        Operating Expenses
        Personnel Services  $2,172,563     $2,472,123   $2,373,515   $2,379,391     $2,502,214       1.2%      $30,091
        Interdepartmental     $72,879       $293,699     $269,225     $293,699       $250,943      (14.6%)    ($42,756)
        Maintenance & Repair  $663,165      $984,815     $927,905     $896,426       $901,514       (8.5%)    ($83,301)
        Purchased Services    $459,218      $570,013     $419,242     $546,509       $568,049       (0.3%)     ($1,964)
        Supplies & Materials  $4,055,625   $4,535,060   $3,596,708   $4,079,010     $4,589,933       1.2%      $54,873
        Travel & Training     $12,521        $19,000      $19,429      $18,500        $19,000        0.0%          $0
        Utilities             $82,804        $93,898      $87,425      $94,625        $99,105        5.6%       $5,207
        OPERATING EXPENSES   $7,518,776    $8,968,608   $7,693,448   $8,308,160     $8,930,758      (0.4%)    ($37,850)
        TOTAL
        Non-Operating
        Expenses
        Depreciation            $313              –           –             –              –           –           $0
        Non-Budget           ($23,084)            –       $93,475      $78,021            $0           –           $0
        Insurance Claims &    $450,627            –      $630,098     $500,000       $500,000          –       $500,000
        Service
        Reimbursements       ($233,145)           –     ($583,548)    ($500,000)    ($500,000)         –      ($500,000)
        Capital Outlay           ($2)         $8,836      $8,450         $336           $265       (97.0%)     ($8,571)
        Debt Service              $7              –           –            $0             $0           –           $0
        NON-OPERATING
        EXPENSES TOTAL        $194,715        $8,836     $148,474      $78,357          $265       (97.0%)     ($8,571)
        Total Expenditures  $7,713,491     $8,977,444   $7,841,922   $8,386,517     $8,931,023         –            –
        Revenues Less         $532,816     ($277,502)   ($100,642)    ($43,444)      $774,382          –            –
        Expenditures

















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