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City of Ramsey 2013 Requested General Fund Budget <br />GENERAL FUND 101 -GENERAL GOVERNMENT <br />LINE ITEM DETAIL BY COST CENTER OR SUB -FUNCTION <br />EXPENDITURE BY OBJECT RECAP ALL SUB -FUNCTIONS <br />-2009 Actual- -2010 Actual- -2011 Actual- -2012 Adopted- -2013 Requested - <br />PERSONAL SERVICES <br />WAGES AND SALARIES <br />6102 F.T. REGULAR -WAGES & SALARIES <br />TOTAL WAGES AND SALARIES <br />EMPLOYER CONTRIBUTIONS <br />6121 PERACONTRIBUTIONS <br />6122 FICA/MEDICARE CONTRIBUTIONS <br />6131 GROUP INSURANCE <br />6133 WORKERS COMP INSURANCE PREMIUM <br />84,037 <br />84,037 <br />6,093 <br />6,429 <br />8,820 <br />672 <br />TOTAL EMPLOYER CONTRIBUTIONS <br />22,014 <br />Total PERSONAL SERVICES <br />106,051 <br />SUPPLIES 7! <br />OFFICE SUPPLIES <br />6206 FILM, MICROFILM, TAPES, DISKS <br />122 142 500 500 <br />TOTAL OFFICE SUPPLIES <br />122 142 500 500 <br />OPERATING SUPPLIES <br />6249 MISCELLANEOUS OPERATING SUPPLY <br />970 439 1,078 750 750 <br />TOTAL OPERATING SUPPLIES <br />970 439 1,078 750 750 <br />SMALL TOOLS AND MINOR EQUIPMENT <br />6281 SMALL TOOLS & MINOR EQUIPMENT <br />19,119 <br />15,920 27,840 <br />25,000 <br />32,000 <br />TOTAL SMALL TOOLS AND MINOR EQUIPMENT <br />19,119 <br />15,920 <br />27,840 <br />25,000 <br />32,000 <br />Total SUPPLIES <br />20,089 <br />16,481 <br />29,060 <br />26,250 <br />33,250 <br />COMMUNICATION <br />6321 TELEPHONE <br />13,710 <br />13,573 <br />13,069 <br />13,000 <br />13,000 <br />TOTAL COMMUNICATION <br />13,710 <br />13,573 <br />13,069 <br />13,000 <br />13,000 <br />EMPLOYEE REIMBURSEMENTS <br />6335 TRAINING <br />2,826 350 350 1,000 <br />500 <br />TOTAL EMPLOYEE REIMBURSEMENTS <br />2,826 350 350 1,000 500 <br />INSURANCE <br />6361 GENERAL LIABILITY/PROPERTY INS <br />1,712 <br />1,529 1,800 <br />2,000 2,000 <br />TOTAL INSURANCE <br />1,712 <br />1,529 1,800 <br />2,000 2,000 <br />REPAIRS AND MAINTENANCE - CONTRACTS <br />6405 OFFICE & DATA PROCESSING EQUIP 162,627 <br />175,270 178,658 <br />190,294 200,200 <br />TOTAL REPAIRS AND MAINTENANCE - CONTRACTS 162,627 <br />175,270 178,658 <br />190,294 200,200 <br />Total OTHER SERVICES & CHARGES <br />180,876 <br />190,722 193,877 <br />206,294 215,700 <br />CAPITAL OUTLAY <br />CAPITAL OUTLAY <br />6585 COMPUTER HARDWARE/SOFTWARE <br />16,681 <br />TOTAL CAPITAL OUTLAY <br />16,681 <br />25,098 <br />25,098 <br />5,900 <br />24,000 <br />25,000 <br />5,900 <br />24,000 <br />25,000 <br />Total CAPITAL OUTLAY <br />16,681 <br />25,098 <br />5,900 <br />24,000 <br />25,000 <br />TOTAL EXPENDITURES & OTHER FINANCING 217,646 <br />232,301 228,837 <br />256,544 380,001 <br />- 192 - <br />