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City of Ramsey 2014 Requested General Fund Budget <br />GENERAL FUND 101- GENERAL GOVERNMENT <br />LINE ITEM DETAIL BY COST CENTER OR SUB -FUNCTION <br />STREET MAINTENANCE 311 I <br />2010 Actual 2011 Actual 2012 Actual 2013 Adopted 2014 Requested <br />INSURANCE <br />6361 GENERAL LIABILITY/PROPERTY INS 16,901 14,500 20,193 20,000 22,000 <br />TOTAL INSURANCE 16,901 14,500 20,193 20,000 22,000 <br />UTILITIES <br />6371 ELECTRIC UTILITIES 8,892 8,348 5,870 9,200 9,200 <br />6372 WATER/IRRIGATION 531 500 544 500 500 <br />6373 GAS 5,012 5,745 3,607 8,650 8,650 <br />6374 REFUSE/RECYCLING 1,826 1,624 988 2,200 2,200 <br />TOTAL UTILITIES 16,261 16,217 11,009 20,550 20,550 <br />REPAIRS AND MAINTENANCE - LABOR <br />6381 BUILDING& STRUCTURE REPAIR 6,737 12,006 3,328 7,000 8,000 <br />6382 MACHINERY& EQUIPMENT REPAIR (1,105) 316 - 2,000 3,000 <br />6387 TIRE MOUNTING & BALANCING 399 60 - 400 400 <br />6388 OTHER VEHICLE REPAIR 1,413 1,601 2,989 3,000 5,000 <br />TOTAL REPAIRS AND MAINTENANCE - LABOR 7,444 13,983 6,317 12,400 16,400 <br />REPAIRS AND MAINTENANCE - CONTRACTS <br />6404 MACHINERY & EQUIPMENT 1,211 1,208 1,226 1,500 1,415 <br />TOTAL, REPAIRS AND MAINTENANCE - CONTRACTS 1,211 1,208 1,226 1,500 1,415 <br />RENTALS <br />6415 OTHER EQUIPMENT RENTAL 3,279 4,700 4,849 3,000 4,660 <br />6416 MACHINERY RENTAL 283 - - - <br />6417 UNIFORM RENTAL 3,981 3,464 4,021 4,500 4,220 <br />TOTAL RENTALS 7,543 8,164 8,870 7,500 8,880 _ <br />DUES, SUBSCRIPTIONS, AND REGISTRATION FEES <br />6451 MEMBERSHIP DUES 211 316 236 500 500 <br />TOTAL DUES, SUBSCRIPTIONS, AND REGISTRATION FEES 211 316 236 500 500 <br />CONTRACTED SERVICES <br />6488 STREET MAINTENANCE CONTRACT 326,247 475,709 494,500 1,327,500 500,000 <br />TOTAL CONTRACTED SERVICES 326,247 475,709 494,500 1,327,500 500,000 <br />Total OTHER SERVICES & CHARGES 389,091 545,475 557,652 1,406,650 587,445 <br />CAPITAL OUTLAY _ <br />CAPITAL OUTLAY <br />6540 HEAVY MACHINERY 40,016 - - 49,000 241,100 <br />6580 OTHER EQUIPMENT - - 22,371 15,000 - <br />TOTAL CAPITAL OUTLAY 40,016 22,371 64,000 241,100 <br />Total CAPITAL OUTLAY 40,016 22,371 64,000 241,100 <br />ITOTAL EXPENDITURES & OTHER FINANCING 984,154 1,095,141 1,095,497 2,036,892 1,455,761 <br />PAGE 87 <br />- 311 - <br />