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RAW BUDGET DATA - FY 2026 QTR 1

Location
DEPARTMENT:
Building Services
Building Services Expense Categories
BEN WHITE FACILITY FUND BUDGET EXPENDITURES
TRANSFERS, DEBT SERVICE, AND OTHER REQUIREMENTS
Transfers
Trf to Facilities Mgmt Fund $1,529,560.00 $0.00
  $1,529,560.00 $0.00
CITY HALL FUND BUDGET EXPENDITURES
FACILITY AND PROJECT MANAGEMENT
Property Management
Accident pay $0.00 $1,856.80
Administrative leave $0.00 $3,063.12
Awards and Recognition $0.00 $253.95
Bilingual Pay $5,400.00 $1,454.04
Building material $10,000.00 $2,594.03
Chilled water service $281,775.00 $45,578.10
Contribution to employees ret $145,361.00 $32,874.27
Drainage fee expense $7,000.00 $1,128.83
Electric services $200,000.00 $40,711.93
FICA tax $97,685.00 $26,307.93
Garbage/refuse collection $750.00 $2,709.04
Gas/heating fuels $0.00 $932.87
Holiday pay $0.00 $27,841.21
Holidays worked $0.00 $2,242.54
Household/cleaning supplies $40,000.00 $10,274.05
Insurance-health/life/dental $438,593.00 $98,376.72
Maintenance-buildings $643,820.00 $134,025.16
Maintenance-grounds $75,000.00 $0.00
Maintenance-other equipment $25,000.00 $14,658.04
Maintenance-turbine/generator $20,000.00 $0.00
Medicare tax $22,845.00 $6,152.65
Military leave $0.00 $1,291.92
Office furnishings $1,850.00 $2,981.00
Office supplies $2,000.00 $0.00
Other Equipment $0.00 $652.98
Overtime $0.00 $20,484.86
Personal holiday pay $0.00 $5,000.40
Phone allowance $13,995.00 $3,941.10
Regular wages - full-time $1,513,082.00 $317,932.51
Regular wages - part-time $27,549.00 $7,840.53
Safety equipment $1,000.00 $0.00
Security equipment $25,000.00 $980.00
Seminar/training fees $1,250.00 $872.50
Services - Contractual Electrical $10,000.00 $0.00
Services - Contractual General Trades $25,000.00 $0.00
Services - Contracutal HVAC $100,000.00 $39,341.21
Services - Fire Alarms $50,000.00 $10,412.62
Services-other $200,000.00 $21,651.86
Services-pest control $7,500.00 $71.28
Services-security $100,000.00 $90,144.97
Shift differential $0.00 $1,788.45
Sick pay $0.00 $8,118.52
Small tools/minor equipment $8,000.00 $34.98
Software $2,500.00 $0.00
Stability pay $15,515.00 $15,200.00
Telephone-long distance $0.00 $1,484.29
Vacation pay $0.00 $20,149.62
Wastewater service $10,000.00 $1,276.35
Water service $20,000.00 $2,238.74
  $4,147,470.00 $1,026,925.97
TRANSFERS, DEBT SERVICE, AND OTHER REQUIREMENTS
Transfers
Trf to Building Svcs CIP Fund $600,000.00 $0.00
  $600,000.00 $0.00
FACILITIES MANAGEMENT FUND BUDGET EXPENDITURES
FACILITY AND PROJECT MANAGEMENT
Property Management
Accident pay $0.00 $436.31
Administrative leave $0.00 $7,105.81
Asphalt $1,000.00 $0.00
Boiler equipment $1,000.00 $0.00
Building material $30,000.00 $878.46
Clothing allowances $0.00 $1,500.00
Clothing/clothing material $750.00 $0.00
Comp time used $0.00 $1,013.13
Compensation Adjustment $47,366.00 $0.00
Contribution to employees ret $731,478.00 $106,267.61
Drainage fee expense $159,500.00 $24,856.20
Electric services $2,788,580.00 $399,170.56
Electrical/lighting $15,000.00 $0.00
Emergency leave $0.00 $405.60
FICA tax $478,755.00 $80,914.75
Fleet-equip.preventative maint $0.00 $2,274.66
Garbage/refuse collection $119,550.00 $32,308.33
Gas/heating fuels $55,000.00 $1,836.44
Government permits and fees $27,400.00 $0.00
Hardware/wire/steel $250.00 $0.00
Holiday pay $0.00 $88,574.94
Holidays worked $0.00 $1,125.13
Household/cleaning supplies $65,000.00 $8,773.59
Insurance-health/life/dental $2,157,878.00 $292,607.68
Interdept-Services Carpentry $5,000.00 $0.00
Interdept-Services Electrical $5,000.00 $0.00
Interdept-Services HVAC $10,000.00 $0.00
Interdept-Services Plumbing $5,000.00 $0.00
Maintenance-buildings $2,901,519.00 $242,882.17
Maintenance-grounds $785,000.00 $37,122.03
Maintenance-other equipment $114,513.00 $19,950.86
Maintenance-turbine/generator $66,500.00 $8,026.98
Medicare tax $111,979.00 $18,923.62
Memberships $1,000.00 $108.24
Office supplies $11,080.00 $1,077.53
Overtime $0.00 $42,664.89
Paint/painting supplies $1,000.00 $0.00
Parking costs $0.00 $10,370.10
Personal holiday pay $0.00 $13,753.01
Personnel savings ($955,040.00) $0.00
Phone allowance $38,534.00 $11,735.96
Pipes and fittings $3,000.00 $0.00
Printing/binding/photo/repr $100.00 $0.00
Professional registration $2,250.00 $1,604.00
Refrigerant components-HVAC $30,000.00 $1,553.45
Regular wages - full-time $7,618,606.00 $1,009,944.38
Regular wages - part-time $27,192.00 $14,157.17
Rental-office equipment $0.00 $1,065.00
Rental-vehicles/buses $9,000.00 $0.00
Security equipment $113,538.00 $11,042.90
Seminar/training fees $350.00 $0.00
Services - Contractual Electrical $213,792.00 $6,000.00
Services - Contractual General Trades $283,890.00 $2,650.82
Services - Contracutal HVAC $1,114,987.00 $175,893.32
Services - Fire Alarms $213,500.00 $15,884.42
Services-IT Installations $10,000.00 $2,637.56
Services-inspection $4,000.00 $0.00
Services-internet/cable $0.00 $689.19
Services-janitorial $712,020.00 $171,037.81
Services-other $949,462.00 $40,687.01
Services-pest control $60,000.00 $7,808.26
Services-security $910,378.00 $429,388.00
Shift differential $0.00 $2,376.25
Sick pay $0.00 $43,176.45
Small tools/minor equipment $58,000.00 $10,013.65
Stability pay $37,558.00 $36,300.00
Telephone-base cost $20,000.00 $0.00
Telephone-long distance $15,000.00 $6,319.92
Terminal pay $0.00 $365.16
Transportation fee expense $0.00 ($54,869.69)
Transportation-city veh fuel $0.00 $46.41
Vacation pay $0.00 $66,553.74
Wastewater service $63,250.00 $20,487.17
Water service $326,500.00 $31,365.42
  $22,575,965.00 $3,510,842.36
Public Safety Facilities Maintenance
Accident pay $0.00 $3,701.51
Administrative leave $0.00 $1,885.60
Awards and Recognition $0.00 $315.00
Bilingual Pay $0.00 $484.68
Building material $3,000.00 $24.82
Contribution to employees ret $116,600.00 $24,113.44
Drainage fee expense $110,000.00 $4,631.77
Electric services $1,035,000.00 $90,691.26
Electrical/lighting $6,000.00 $275.37
FICA tax $76,974.00 $17,787.71
Garbage/refuse collection $117,500.00 $16,200.83
Gas/heating fuels $205,000.00 $21,138.27
Government permits and fees $5,000.00 $0.00
Holiday pay $0.00 $19,927.35
Holidays worked $0.00 $75.69
Household/cleaning supplies $10,000.00 $7,352.31
Insurance-health/life/dental $316,443.00 $63,062.00
Interdepartmental Charges $60,000.00 $0.00
Maintenance-buildings $477,159.00 $43,608.94
Maintenance-computer software $15,000.00 $0.00
Maintenance-grounds $280,000.00 $42,266.01
Maintenance-other equipment $265,000.00 $80,707.18
Maintenance-turbine/generator $40,000.00 $0.00
Medicare tax $18,004.00 $4,160.05
Minor computer hardware $500.00 $0.00
Office furnishings $2,500.00 $63.17
Office supplies $500.00 $40.32
On call hours $0.00 $48.00
Overtime $0.00 $3,413.47
Paint/painting supplies $1,500.00 $556.95
Personal holiday pay $0.00 $4,801.86
Phone allowance $11,862.00 $3,158.18
Pipes and fittings $5,000.00 $23.39
Printing/binding/photo/repr $500.00 $538.19
Regular wages - full-time $1,214,574.00 $219,841.41
Regular wages - part-time $0.00 $1,309.42
Safety equipment $500.00 $28.85
Security equipment $15,000.00 $2,815.58
Services - Contractual Electrical $40,000.00 $0.00
Services - Contractual General Trades $228,000.00 $39,282.44
Services - Contracutal HVAC $360,000.00 $19,475.89
Services - Fire Alarms $185,500.00 $40,577.05
Services-IT Installations $6,000.00 $0.00
Services-janitorial $50,363.00 $8,669.80
Services-other $191,020.00 $16,589.50
Services-pest control $107,000.00 $16,683.96
Services-security $0.00 $14,089.52
Shift differential $0.00 $489.51
Sick pay $0.00 $8,788.79
Small tools/minor equipment $21,000.00 $762.33
Stability pay $15,068.00 $12,200.00
Vacation pay $0.00 $17,062.55
Wastewater service $144,000.00 $8,929.72
Water service $445,000.00 $14,146.91
  $6,202,067.00 $896,796.55
TRANSFERS, DEBT SERVICE, AND OTHER REQUIREMENTS
Transfers
Trf to Building Svcs CIP Fund $492,450.00 $0.00
Trf to GO Debt Service $2,381,470.00 $275,000.00
  $2,873,920.00 $275,000.00
GROVE BOULEVARD CAMPUS FACILITY FUND BUDGET EXPENDITURES
TRANSFERS, DEBT SERVICE, AND OTHER REQUIREMENTS
Transfers
Trf to Facilities Mgmt Fund $2,644,112.00 $0.00
  $2,644,112.00 $0.00
LONG CENTER CAPITAL IMPROVEMENTS FUND BUDGET EXPENDITURES
TRANSFERS, DEBT SERVICE, AND OTHER REQUIREMENTS
Other Requirements
Grants to subrecipients $300,000.00 $100,516.37
  $300,000.00 $100,516.37
ONE TEXAS CENTER FUND BUDGET EXPENDITURES
TRANSFERS, DEBT SERVICE, AND OTHER REQUIREMENTS
Transfers
Trf to Facilities Mgmt Fund $199,770.00 $0.00
  $199,770.00 $0.00
PERMITTING AND DEVELOPMENT CENTER FUND BUDGET EXPENDITURES
TRANSFERS, DEBT SERVICE, AND OTHER REQUIREMENTS
Transfers
Trf to Facilities Mgmt Fund $173,368.00 $0.00
  $173,368.00 $0.00
PUBLIC SAFETY HQ FUND BUDGET EXPENDITURES
FACILITY AND PROJECT MANAGEMENT
Public Safety Facilities Maintenance
Drainage fee expense $25,000.00 $4,807.81
Electric services $800,000.00 $94,344.32
Garbage/refuse collection $10,000.00 $1,164.09
Household/cleaning supplies $50,000.00 $4,430.77
Laundry expense $0.00 $791.12
Maintenance-buildings $1,290,000.00 $7,462.43
Maintenance-grounds $200,000.00 $7,484.67
Office supplies $25,000.00 $0.00
Security equipment $25,000.00 $0.00
Services - Contractual Electrical $150,000.00 $0.00
Services - Contractual General Trades $250,000.00 $0.00
Services - Contracutal HVAC $250,000.00 $0.00
Services - Fire Alarms $50,000.00 $37,054.81
Services-internet/cable $0.00 $1,612.92
Services-janitorial $600,000.00 $46,655.89
Services-other $0.00 $189,858.73
Services-security $0.00 $19,863.23
Small tools/minor equipment $75,000.00 $0.00
Taxes-city owned property $1,000,000.00 $0.00
Transportation fee expense $0.00 ($21,618.99)
Wastewater service $0.00 $3,748.15
Water service $200,000.00 $14,475.17
  $5,000,000.00 $412,135.12
RUTHERFORD LANE FACILITY FUND BUDGET EXPENDITURES
TRANSFERS, DEBT SERVICE, AND OTHER REQUIREMENTS
Transfers
Trf to Facilities Mgmt Fund $597,996.00 $0.00
Trf to GO Debt Service $0.00 $293,470.50
  $597,996.00 $293,470.50
SUPPORT SERVICES FUND BUDGET EXPENDITURES
CUSTODIAL SERVICES
Custodial
Accident pay $0.00 $34.85
Administrative leave $0.00 $3,662.45
Awards and Recognition $0.00 $60.00
Clothing/clothing material $8,000.00 $0.00
Contribution to employees ret $235,622.00 $54,021.76
Electrical/lighting $3,000.00 $0.00
Exception vacation $0.00 $240.40
FICA tax $170,640.00 $49,195.41
Fleet-equip.preventative maint $0.00 $7,096.74
Holiday pay $0.00 $49,855.54
Holidays worked $0.00 $569.26
Household/cleaning supplies $500,000.00 $113,564.66
Insurance-health/life/dental $792,582.00 $175,021.50
Maintenance-computer software $3,000.00 $0.00
Medicare tax $39,912.00 $11,505.27
Mileage reimbursements $750.00 $0.00
Office supplies $2,500.00 $44.97
Overtime $200,000.00 $57,765.08
Personal holiday pay $0.00 $9,372.66
Personnel savings ($352,113.00) $0.00
Phone allowance $26,974.00 $6,957.37
Regular wages - full-time $2,447,121.00 $489,838.32
Regular wages - part-time $237,685.00 $78,627.49
Seminar/training fees $3,000.00 $474.00
Services-janitorial $540,951.00 $39,661.44
Services-other $25,000.00 $30.00
Shift differential $0.00 $2,351.67
Sick pay $0.00 $23,295.79
Small tools/minor equipment $6,000.00 $1,422.96
Stability pay $40,497.00 $38,100.00
Terminal pay $0.00 $5,776.42
Transportation-city veh fuel $0.00 $3,340.46
Vacation pay $0.00 $43,680.24
  $4,931,121.00 $1,265,566.71
FACILITY AND PROJECT MANAGEMENT
Project Management
Administrative leave $0.00 $3,389.82
Contribution to employees ret $156,626.00 $35,657.07
FICA tax $108,363.00 $30,026.44
Government permits and fees $5,000.00 $0.00
Holiday pay $0.00 $33,542.80
Insurance-health/life/dental $237,742.00 $52,972.08
Maintenance-buildings $0.00 $49.61
Medicare tax $25,341.00 $7,022.29
Mileage reimbursements $4,000.00 $258.44
Office furnishings $0.00 ($152.18)
Overtime $0.00 $57.87
Personal holiday pay $0.00 $3,363.13
Personnel savings ($268,269.00) $0.00
Phone allowance $16,380.00 $4,217.01
Professional registration $250.00 $218.05
Regular wages - full-time $1,628,087.00 $354,282.98
Regular wages - part-time $89,629.00 $21,040.49
Seminar/training fees $5,000.00 ($2,301.88)
Services-temporary employme $50,000.00 $0.00
Sick pay $0.00 $7,104.51
Stability pay $13,700.00 $13,100.00
Temporary employees $0.00 $31,986.59
Vacation pay $0.00 $23,348.16
  $2,071,849.00 $619,183.28
Property Management
Administrative leave $0.00 $2,521.08
Call back time $0.00 $740.20
Clothing/clothing material $177.00 $0.00
Const/repair material-other $31,500.00 $6,425.65
Contribution to employees ret $81,991.00 $17,367.86
Drainage fee expense $30,000.00 $4,622.59
Elctrcal conductors-wire&cable $1,237.00 $245.35
Electric services $95,000.00 $19,467.82
Electrical/lighting $21,000.00 $8,444.65
FICA tax $53,909.00 $14,385.40
Fleet-equip.preventative maint $0.00 $506.91
Food/Ice $1,575.00 $0.00
Garbage/refuse collection $17,500.00 $7,416.17
Gas/heating fuels $0.00 $783.01
Gasoline/oil/grease $105.00 $12.85
Government permits and fees $1,300.00 $0.00
Holiday pay $0.00 $14,818.85
Household/cleaning supplies $30,000.00 $4,671.54
Insurance-health/life/dental $172,158.00 $35,290.27
Interdepartmental reimbursements ($2,610,976.00) $0.00
Maintenance-buildings $791,371.00 $4,765.89
Maintenance-grounds $305,000.00 $5,890.22
Maintenance-other equipment $157,000.00 $4,664.24
Maintenance-turbine/generator $60,000.00 $0.00
Medicare tax $12,607.00 $3,364.30
Office furnishings $36,750.00 $6,265.81
Office supplies $6,300.00 $5,636.60
On call hours $0.00 $3,316.50
Overtime $0.00 $19,233.93
Paint/painting supplies $525.00 $12.96
Personal holiday pay $0.00 $2,324.38
Personnel savings ($130,843.00) $0.00
Phone allowance $6,615.00 $1,612.93
Pipes and fittings $525.00 $500.67
Professional registration $500.00 $0.00
Regular wages - full-time $854,079.00 $164,736.79
Rental-other equipment $10,000.00 $2,059.00
Safety equipment $2,705.00 $1,299.00
Security equipment $8,000.00 $7,198.00
Services - Contractual Electrical $172,500.00 $0.00
Services - Contractual General Trades $90,000.00 $6,658.67
Services - Contracutal HVAC $334,500.00 $28,917.36
Services - Fire Alarms $40,000.00 $16,044.85
Services-internet/cable $7,500.00 $13,187.45
Services-janitorial $189,250.00 $19,802.94
Services-other $394,802.00 $6,726.38
Services-pest control $16,000.00 $876.66
Services-security $0.00 $17,042.72
Shift differential $0.00 $188.45
Sick pay $0.00 $7,962.00
Small tools/minor equipment $15,750.00 $2,223.61
Stability pay $8,800.00 $7,700.00
Street/traff signs/mrkr/pos $1,050.00 $0.00
Telephone-long distance $0.00 $1,647.13
Transportation-city veh fuel $0.00 $58.14
Vacation pay $0.00 $12,152.82
Wastewater service $3,000.00 $1,058.22
Water service $6,250.00 $1,863.91
  $1,327,012.00 $514,712.73
Public Safety Facilities Maintenance
Gas/heating fuels $0.00 $11.09
  $0.00 $11.09
FACILITY MAINTENANCE
General Trades
Accident pay $0.00 $751.99
Administrative leave $0.00 $2,763.24
Awards and Recognition $0.00 $2,001.82
Boiler equipment $30,000.00 $0.00
Building material $50,000.00 $4,757.43
Call back time $0.00 $7,392.85
Clothing/clothing material $14,500.00 $113.30
Contribution to employees ret $264,283.00 $59,512.78
Elctrcal conductors-hardware $45,000.00 $26,172.85
Electrical/lighting $75,000.00 $28,837.89
Emergency leave $0.00 $6,695.77
FICA tax $172,775.00 $48,403.61
Fleet-equip.preventative maint $0.00 $37,554.03
Food/Ice $1,000.00 $0.00
Government permits and fees $100.00 $743.55
Hardware/wire/steel $1,100.00 $965.41
Holiday pay $0.00 $51,575.48
Holidays worked $0.00 $1,632.96
Household/cleaning supplies $500.00 $478.00
Insurance-health/life/dental $623,048.00 $131,168.96
Interdepartmental reimbursements ($146,146.00) $0.00
Maintenance-buildings $175,000.00 $39,694.20
Maintenance-grounds $175,000.00 $8,756.71
Maintenance-other equipment $122,419.00 $9,973.77
Maintenance-turbine/generator $50,000.00 $0.00
Medicare tax $40,407.00 $11,320.22
Minor communications equipment $0.00 $249.00
Office supplies $250.00 $855.28
On call hours $0.00 $8,974.22
Overtime $51,938.00 $77,133.70
Paint/painting supplies $2,000.00 $538.70
Parking costs $0.00 $11.00
Personal holiday pay $0.00 $8,518.47
Personnel savings ($415,446.00) $0.00
Phone allowance $17,640.00 $6,042.70
Pipes and fittings $315.00 $7,232.45
Professional registration $750.00 $30.00
Refrigerant components-HVAC $125,000.00 $77,054.02
Regular wages - full-time $2,752,968.00 $572,447.81
Rental-other equipment $10,000.00 $400.00
Safety equipment $1,000.00 $4,775.89
Seminar/training fees $16,500.00 $3,290.90
Services - Contractual Electrical $50,000.00 $0.00
Services - Contractual General Trades $300,000.00 $0.00
Services - Contracutal HVAC $511,575.00 $0.00
Services - Fire Alarms $206,640.00 $5,836.96
Services-other ($165,000.00) $4,163.53
Services-pest control $30,600.00 $935.46
Services-testing $200,000.00 $17,698.79
Sick pay $0.00 $18,226.72
Small tools/minor equipment $16,500.00 $20,349.87
Stability pay $16,100.00 $15,400.00
Toll Road - Tx Tag $900.00 $0.00
Transportation-city veh fuel $0.00 $13,125.20
Vacation pay $0.00 $32,904.18
Vehicle/Motored Equipment $0.00 $7,165.82
  $5,424,216.00 $1,384,627.49
Other Facilities Maintenance
Drainage fee expense $50,000.00 $8,917.15
Electric services $106,000.00 $28,163.89
Garbage/refuse collection $20,000.00 $4,163.39
Gas/heating fuels $5,000.00 $2,136.34
Maintenance-buildings $0.00 $8,405.30
Maintenance-grounds $0.00 $11,305.27
Maintenance-other equipment $0.00 $1,841.96
Security equipment $0.00 $5,474.17
Services - Contractual General Trades $0.00 ($147.00)
Services - Fire Alarms $0.00 $11,240.37
Services-pest control $0.00 $7,094.85
Telephone-long distance $10,000.00 $0.00
Transportation fee expense $1,000.00 ($5,806.61)
Wastewater service $50,000.00 $8,914.78
Water service $35,000.00 $5,759.12
  $277,000.00 $97,462.98
FACILITY SECURITY AND MAIL SERVICES
Mail
Administrative leave $0.00 $195.04
Clothing/clothing material $1,000.00 $0.00
Contribution to employees ret $14,960.00 $3,562.93
FICA tax $9,811.00 $2,602.67
Fleet-equip.preventative maint $0.00 $1,013.82
Holiday pay $0.00 $3,004.68
Insurance-health/life/dental $49,188.00 $11,351.16
Mail distribution cost $165,000.00 $20,910.00
Medicare tax $2,294.00 $608.68
Office supplies $1,000.00 $443.89
Personnel savings ($17,578.00) $0.00
Phone allowance $1,620.00 $436.38
Postage $0.00 $320,010.00
Regular wages - full-time $155,816.00 $32,332.78
Rental-office equipment $100,000.00 $10,688.32
Sick pay $0.00 $2,844.68
Software $15,000.00 $0.00
Stability pay $800.00 $1,000.00
Transportation-city veh fuel $0.00 $370.25
Vacation pay $0.00 $3,499.44
  $498,911.00 $414,874.72
Security
Administrative leave $0.00 $2,039.92
Clothing/clothing material $2,000.00 $32.96
Contribution to employees ret $57,897.00 $10,930.42
FICA tax $37,826.00 $8,770.44
Fleet-equip.preventative maint $0.00 $1,520.73
Holiday pay $0.00 $10,092.29
Holidays worked $0.00 $3,152.53
Identification $9,000.00 $11.00
Insurance-health/life/dental $131,168.00 $23,963.56
Interdepartmental reimbursements ($15,000.00) $0.00
Maintenance-other equipment $15,000.00 $0.00
Medicare tax $8,846.00 $2,051.14
Office supplies $1,500.00 $0.00
Overtime $0.00 $5,299.38
Personal holiday pay $0.00 $266.66
Personnel savings ($76,906.00) $0.00
Phone allowance $5,040.00 $1,149.47
Regular wages - full-time $603,079.00 $108,400.48
Security equipment $50,000.00 $6,943.48
Seminar/training fees $2,500.00 $0.00
Services-security $765,837.00 $18,243.27
Shift differential $0.00 $675.99
Sick pay $0.00 $3,426.84
Stability pay $2,000.00 $2,300.00
Terminal pay $0.00 $1,471.50
Transportation-city veh fuel $0.00 $108.02
Vacation pay $0.00 $5,274.13
  $1,599,787.00 $216,124.21
SUPPORT SERVICES
Departmental Support Services
Administrative leave $0.00 $6,032.98
Awards and Recognition $16,250.00 $2,192.42
Consultant-others $0.00 $31,500.00
Contribution to employees ret $217,267.00 $51,235.39
Emergency leave $0.00 $694.56
FICA tax $147,552.00 $46,114.79
Fleet-equip.preventative maint $207,957.00 $506.91
Food/Ice $6,000.00 $1,687.25
Holiday pay $0.00 $47,305.88
Holidays worked $0.00 $281.89
Insurance-health/life/dental $377,108.00 $85,133.70
Insurance-temporary employees $0.00 $7,162.72
Interdepartmental reimbursements $0.00 ($127.58)
Jury leave $0.00 $196.96
Medicare tax $34,736.00 $11,066.25
Minor computer hardware $125,000.00 $19,652.41
Office supplies $6,000.00 $1,556.99
Overtime $0.00 $1,241.43
Personal holiday pay $0.00 $5,778.76
Personnel savings ($299,954.00) $0.00
Phone allowance $19,260.00 $7,385.49
Printing/binding/photo/repr $1,250.00 $0.00
Regular wages - full-time $2,263,168.00 $496,087.94
Rental-copy machines $0.00 ($0.77)
Safety equipment $100.00 $0.00
Seminar/training fees $30,000.00 $1,370.07
Services-Software as a Service $0.00 $534.13
Services-other $1,566.00 $6,005.07
Services-temporary employme $135,366.00 $0.00
Sick pay $0.00 $18,690.23
Software $175,000.00 $127,383.51
Stability pay $13,300.00 $14,900.00
Subscriptions $2,000.00 $1,605.10
Temporary employees $100,000.00 $140,955.36
Toll Road - Tx Tag $250.00 $1,652.28
Transportation-city veh fuel $62,334.00 $0.00
Travel City Business $100.00 $159.99
Vacation pay $0.00 $36,606.93
Wireless Communications-maint $287.00 $0.00
  $3,641,897.00 $1,172,549.04
TRANSFERS, DEBT SERVICE, AND OTHER REQUIREMENTS
Other Requirements
Accrued Payroll $85,943.00 $0.00
Compensation Adjustment $47,366.00 $0.00
Contribution to employees ret $1,974,076.00 $409,763.04
Market Study Adjustment $446,064.00 $0.00
Shift differential $68,853.00 $0.00
  $2,622,302.00 $409,763.04
Transfers
CTM Support $1,232,605.00 $205,434.16
Liability Reserve $76,000.00 $76,000.00
Regional Radio System $118,953.00 $118,953.00
  $1,427,558.00 $400,387.16
TOTALS $70,665,881.00 $13,010,949.32

The comparison of actual expenditures to budget may appear inconsistent. That is because base wages for personnel are fully budgeted in the expense categories regular wages:full-time, regular wages:part-time, or regular wages:civil service. The budget does not assume expenditure levels for the various leave categories, such as sick pay, vacation pay, or jury leave. However, actual expenses for various leave categories are recorded based on timesheet coding. The result is that actual expenditures for regular wages are spread across multiple expense categories while the budget is shown in one expense category.

Personnel savings is budgeted to account for the likely savings in personnel costs generated through attrition. However, the savings is realized in the expense categories regular wages:full-time, regular wages:part-time and regular wages:civil service. Therefore, the actual expenditures in the personnel savings expense category will always be zero.

The data contained on this website is for informational purposes only. Certain Austin Energy budget items have been excluded as competitive matters under Texas Government Code Section 552.133 and City Council Resolution 20051201-002.

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