FY 2017-18 FINAL ADOPTED BUDGET

Infrastructure - Parking Fund

2015-16

2016-17 Budget

2017-18 Adopted

2018-19 Projected

Actual

Expenditures:

Personnel Costs

722,789

809,529

835,706

860,332

Maintenance & Operations

2,197,223

1,900,876

1,917,294

1,898,668

Capital Outlay

71,641

0

0

0

Total

2,991,653

2,710,405

2,753,000

2,759,000

Total FTE Positions

13.750

13.750

13.750

13.750

Revenues:

Parking Fees

2,734,618

2,696,185

2,738,000

2,744,000

All Other

38,889

12,000

15,000

15,000

Appropriated Fund Balance

1,707,373

2,220

0

0

Subtotal

4,480,880

2,710,405

2,753,000

2,759,000

General Fund Contribution

0

0

0

0

Total

4,480,880

2,710,405

2,753,000

2,759,000

BUDGET HIGHLIGHTS  The FY 17-18 Budget is increasing by $42,595, or 1.6%. 

The FY 17-18 Budget includes over $420,000 for building maintenance of the Greene Street and Davie Street Decks, and $235,000 for equipment maintenance and updates at the Church Street Deck.

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