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<br /> City of Arden Hills <br /> 2008 Budget <br /> Function: Parks and Recreation De artment: Park Maintenance <br />Account Proposed Actual Balance YTO <br /> No, Activit FY2008 YTD 3/31/08 Available %ofBud ef <br /> Personal Services <br />101-45200-41010 Regular Salaries $ 149,293 $ 30,991 118,302 20.76% <br />101-45200-41020 Overtime Salaries 5,000 198 4,802 3.96% <br />101-45200-41040 Temporary Employees 36,500 8,021 28,479 21.98% <br />101-45200-41110 Unused PTO 6,405 6,405 0.00% <br />101-45200-41130 Employer Savings Match 507 301 206 59.33% <br />101-45200-41210 PERA Employer Expense 7,989 17.16% <br />101-45200-41220 FICA Expense 11,560 20.82% <br />101-45200-41300 Insurance Expense 21,343 4,529 16,814 21.22% <br />101-45200-41310 Life Insurance/STD/lTD 1,350 557 793 41.24% <br />101-45200-41411) Paid Unemployment Benefits <br />101-45200-41510 Workers Camp Ins Premiums 6,580 6,580 <br /> Total Personal Services 244.642 55,872 188,770 22.84% <br /> Materials and SUDDlies <br />101-45200-42010 Supplies/Accessories 91 (91) <br />101-45200-42030 Printing <br />101-45200-42111 Uniform Expense 1,069 62 1,007 5.79% <br />101-45200-42120 Motor Fuels 7,605 1,017 6,588 13.38% <br />101-45200-42150 Shop Materials 1,080 597 483 55.29% <br />101-45200-42210 Equipment Repair Parts 3,375 814 2,561 24.13% <br />101-45200-42230 Bldg & Ground Maint 17,000 953 16,047 5.61% <br />101-45200-42240 Sand,Salt,Roadmix <br />101-45200-42245 Maim Materials 7,000 (140) 7,-140 -2.01% <br />101-45200-42400 Small Tools/Equipment 2,205 333 1,872 15.10% <br /> Total Materials and Supplies 39,334 3,728 35,606 9.48% <br /> Othel' Services and Charaes <br />101-45200-43010 AUditing and Accounting Serv <br />101-45200-43030 Engineering Fees 6,500 6,500 0.00% <br />101-45200~43040 Legal Fees 44 (44) <br />101-45200-43100 Other Professional Service <br />101-45200-43210 Telephone/Cell Phone Charges 750 252 498 33.57% <br />101-45200-43220 Postage <br />101-45200-43310 Mileage Reimbursement 200 44 156 21.97% <br />101-45200-43810 Electricity/Gas 13,700 5,887 7,813 42.97% <br />101-45200-43840 SanitationfWaste Removal 5,200 1,534 3,666 29,49% <br />101-45200--43870 Other Utility Services <br />101-45200-44010 Sldg/Ground Maint <br />101-45200-44030 Maint of Utilities <br />101-45200-44033 Seal Coating/Resurfacing 22.500 296 22,204 1.32% <br />1-01-45200-44040 Maint ofVehides and Equip 2,250 1,549 702 68.82% <br />101-45200-44050 TreefWeed Services 35,800 35,800 0.00% <br />101-45200-44150 Rentals 1,550 1,006 544 64.93% <br />101-45200-44323 Tuition Reimbursement 450 450 0.00% <br />101-45200-44325 Training/Subsistence 2,924 392 2,532 13.40% <br />101-45200-44330 Dues/Licenses 990 272 718 27.45% <br />101-45200-44370 Administrative Charges <br />101-45200-44371 Admin Fees <br />101-45200-44390 Miscellaneous Other 1,000 13 987 1.28% <br />101-45200-44395 Drug Testing 60 28 32 46.88% <br />101-4520Q..44901 MiscCommunity Projects 200 200 0.00% <br /> Other Services and Charges 94,074 11,316 82,758 12.03% <br /> Total Operating Expenses 378,050 70,915 307,135 18_76% <br /> CaDital Outlav <br />101-45200-45400 Equipment <br />101-45200-45500 Heavy Machinery & Auto <br />101-45200-45700 Office Equip & Furnishings 1,750 1,750 0.00% <br /> Total Capital 1,750 1,750 0.00% <br /> De artment Total $ 379,800 S 70,915 $ 308,885 18.67% <br />Fundin Source: General Fund <br /> 18 <br />