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Fiscal Year 2021ACTUAL ACTUAL ACTUAL ACTUAL BUDGET EST. ACTUAL BUDGET% CHANGE 2016 2017 2018 2019 2020 2020 2021Administration  Mayor/City Council80,340$            82,693$            93,537$            86,066$            88,793$            85,971$            105,968$          19.3%  General Management115,771            120,873            127,942            130,883            231,175            199,928            205,274             ‐11.2%  Planning121,952            109,805            73,544              95,596              80,258              75,889              92,706              15.5%  Elections / Administrative Services22,114              23,740              20,893              34,113              123,402            108,991            130,313            5.6%  Financial Services341,367            347,391            371,306            387,492            297,217            308,611            323,902            9.0%  Legal104,693            86,739              75,369              92,198              142,250            85,000              142,250            0.0%  Assessing59,338              61,917              65,285              68,483              72,921              73,147              76,316              4.7%  City Buildings156,991            200,412            201,625            220,831            219,257            218,320            227,160            3.6%  Cable Franchise42,703              45,391              47,572              44,237              48,361              48,362              49,551              2.5%Public Safety  Police Protection3,400,353         3,160,996         3,170,332         3,276,319         3,463,212         3,239,694         3,621,976         4.6%  Fire Protection1,029,340         1,091,110         1,105,292         1,090,527         1,167,607         917,477            1,148,881          ‐1.6%  Protective Services118,685            144,407            123,208            106,668            103,695            123,005            105,721            2.0%  Emergency Management67,806              71,895              76,393              79,515              83,937              82,671              89,106              6.2%Public Works  Public Works795,817            775,842            879,273            942,872            999,168            758,802            855,121            ‐14.4%  Parks293,059            300,536            305,892            316,846            326,523            307,102            328,740            0.7%Other Expenditures and Transfers  Non‐Departmental 661,628            1,003,845         292,128            299,764            158,200            975,545            148,800            ‐5.9%TOTAL FUND EXPENDITURES 7,411,957$       7,627,593$       7,029,590$       7,272,412$       7,605,976$       7,608,516$       7,651,785$       0.6%GENERAL FUND TOTAL REVENUES 7,285,001$       7,708,650$       7,137,235$       7,355,442$       7,616,839$       8,014,424$       7,662,092$       0.6%Surplus (Deficit) (126,956)$         81,058$            107,646$          83,030$            10,863$            405,908$          10,307$            ‐5.1%GENERAL FUND EXPENDITURES SUMMARY12