FY 2020 Budget
2019-2020 Annual Budget DEPARTMENT: 840 - SOLID WASTE
Original Budget FY 18-19
Revised Budget FY 18-19
Requested Budget FY 19-20
Object Account
Actual
Actual
FY 16-17
FY 17-18
64920 - REFUND
-
-
-
100
-
CONTRACTUAL SERVICES 65060 - OFFICE SUPPLIES 65070 - OPERATING SUPPLIES 65078 - RECYCLING SUPPLIES 65079 - AUTO CART REPLACEMENT 65080 - RECYCLING PROMOTION SUPPLIES
84,091 3,407 10,549 1,478
84,214
87,200
112,690
192,990
5,583 4,458 2,576 5,000
6,000 6,000 4,000 5,000 2,000 3,500
6,000 6,000 4,000 5,202 1,000 3,500 5,000
6,000 6,000 4,000 5,000 2,000 3,500
-
5,685 1,309 6,828
-
65100 - SAFETY SUPPLIES
1,603 3,877 23,097 623,922 142,141 29,204 22,541 540,000
65990 - MISCELLANEOUS EXPENSE
10,000 36,500 265,142 171,380 37,941 23,550 540,000
10,000 36,500 200,718 167,104 40,180 14,355 540,000 962,357
COMMODITIES
29,256 388,686 148,801 30,579 21,532 659,403
30,702 265,142 171,380 37,941 23,550 540,000
69100 - TRANSFERS OUT
69200 - TRANSFER TO GROUP INSURANCE 69300 - TRANSFER TO WORK COMP 69400 - TRANSFER TO PROPERTY INS
69500 - TRANSFER TO LANDFILL
TRANSFERS
1,249,001 2,190,210
1,357,808 2,278,663
1,038,013 2,092,176
1,038,013 2,071,542
TOTAL SOLID WASTE
2,115,907
671 - SOLID WASTE RESERVE 67270 - OTHER CAPITAL EQUIPMENT 67990 - OTHER CAPITAL OUTLAY
129,944 49,912 179,856
12,175
90,000 10,000 100,000
90,000 4,570 94,570
275,500 18,000 293,500
-
CAPITAL OUTLAY
12,175
69100 - TRANSFERS OUT
- 12,769 58,000 58,000 25,000
TRANSFERS
-
12,769
58,000
58,000
25,000
TOTAL SOLID WASTE RESERVE
179,856 24,944 158,000 152,570 318,500
672 - TRANSFER STATION CLOSURE 65990 - MISCELLANEOUS EXPENSE
- - -
- - -
- - -
- - -
- - -
COMMODITIES
TOTAL TRANSFER STATION CLOSURE
TOTAL 840 - SOLID WASTE
2,370,066
2,303,607
2,250,176
2,224,112
2,434,407
191
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