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CITY OF ARDEN HILLS, MINNESOTA <br />Function: Public Works 727 <br />Activity: Central Garage 49700 <br /> <br />Activity Scope <br />Objectives <br />Issues <br />Budget Commentary <br />2017 2018 2019 2020 <br />Budget Summary ACTUAL ACTUAL BUDGET BUDGET <br />Personnel Services 9,136$ 20,437$ 20,880$ -$ <br />Commodities 138,051 147,195 175,000 150,000 <br />Contractual Services 103,659 112,138 70,270 108,500 <br />Capital Outlay - - - - <br />Other Charges - - - - <br />Total 250,846$ 279,770$ 266,150$ 258,500$ <br />Percent Change 11.5% (-4.9%) (-2.9%) <br />Full-Time Equivalent positions 0.14 0.16 0.16 - <br />Expenditures by Classification <br />This was a new fund in 2013. Previously these services were split into all five public works departments: <br />Streets, Parks, Water, Sanitary Sewer, and Surface Water Management. Setting up one fund to manage these <br />costs is more effective and will save administrative time. The total impact is the same as if budgeting these <br />costs across each individual department. <br />2020 BUDGET <br /> Fund # : <br />Activity # : <br />The Central Garage and Equipment Fund is a self-sustaining fund, or internal service fund of the City. The <br />Public Works Department works on Streets, Parks, Water, Sanitary Sewer, and Surface Water Management. <br />All costs are compiled in this fund and charged out to the departments based on usage. <br />1. Maintain cost effective control of multi-purpose department. <br />2. Manage costs involving multiple departments. <br />1. Aging equipment. <br />2. Balance the Public Works Department needs with available funds. <br />3. Managing an effective cost allocation structure. <br />58% <br />42% <br />Personnel Services <br />Commodities <br />Contractual Services <br />Capital Outlay <br />Other Charges <br />48