Laserfiche WebLink
2017 Budget Summary <br />Y-T-D <br />2013 2014 2015 2016 09/30/16 2017 Change from 2016 <br />Actual Actual Actual Budget Actual Request Dollar Percent <br />Cable TV (Fund 210): <br />Revenues <br />3180 Franchise fee 122,921 126,980 126,182 122,000 65,151 126,000 4,000 3.28% <br />3680 Other revenue 3,750 2,400 2,400 2,400 1,200 - (2,400) -100.00% <br /> Total revenue 126,671 129,380 128,582 124,400 66,351 126,000 1,600 1.29% <br />Operating expenses <br />Operations (4350) <br />Personnel services <br />0100 Salaries, regular 62,331 63,790 65,002 66,502 45,936 68,174 1,672 2.51% <br />0300 Social security 4,631 4,697 4,813 5,087 3,382 5,215 128 2.52% <br />0321 PERA 4,496 4,599 4,850 4,988 3,409 5,113 125 2.51% <br />0400 Group insurance 10,073 10,570 10,747 11,718 8,313 12,096 378 3.23% <br />0500 Workers compensation 253 379 508 508 399 459 (49) -9.65% <br />0600 Unemployment - - - - - - 0.00% <br />Total personnel services 81,784 84,035 85,920 88,803 61,439 91,057 2,254 2.54% <br />Materials & supplies <br />1230 Supplies, equipment - 1,097 428 3,000 - 3,000 - 0.00% <br />1600 Supplies, operating - 863 - 1,500 - 1,250 (250) -16.67% <br />Total materials & supplies - 1,960 428 4,500 - 4,250 (250) -5.56% <br />Contractual services <br />3030 Other professional services 3,672 3,942 3,900 7,200 2,857 6,000 (1,200) -16.67% <br />3630 Training & conferences - 675 200 350 310 350 - 0.00% <br />3800 Mileage & parking 24 65 8 50 3 50 - 0.00% <br />3900 Grants & subsidies 27,658 28,390 28,560 29,826 28,765 29,628 (198) -0.66% <br />5130 Repairs, equipment - - - 10,000 - 10,000 - 0.00% <br />Total contractual services 31,354 33,072 32,668 47,426 31,935 46,028 (1,398) -2.95% <br />Capital <br />7030 Equipment - - - - - 10,000 10,000 #DIV/0! <br />Total capital outlays - - - - - 10,000 10,000 #DIV/0! <br />Total expenditures 113,138 119,067 119,016 140,729 93,374 151,335 10,606 7.54% <br />Net change in fund balance 13,533 10,313 9,566 (16,329) (27,023) (25,335) (9,006) 55.15% <br />Fund balance, beginning year 314,397 327,930 338,243 347,809 347,809 331,480 (16,329) -4.69% <br />Fund balance, end of year 327,930$ 338,243$ 347,809$ 331,480$ 320,786$ 306,145$ (25,335)$ -7.64% <br />51,926 60,278 <br />24