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2015/2016 PROPOSED BUDGET <br /> FLEET MANAGEMENT <br /> FUND 501 <br /> 2014/2015 PROPOSED INCREASE %INCREASE <br /> REVENUES: BUDGET 2015/2016 (DECREASE) (DECREASE) <br /> 369-940 MISCELLANEOUS REVENUE $80,000 $95,000 $15,000 18.8% <br /> 395-010 AUTO.MAINTENANCE 200,000 230,000 30,000 15.0% <br /> 395-011 HEAVY EQUIPMENT MAINTENANCE 700,000 700,000 0 0.0% <br /> 395-012 OTHER EQUIPMENT MAINTENANCE 70,000 80,000 10,000 14.3% <br /> 395-013 FUEL 2,775,000 2,475,000 (300,000) (10.8)% <br /> 369-940 REIMBURSEMENTS-OPEB 1,079 0 (1,079) (100.0)% <br /> 381-020 FUND TRANSFER IN 75,000 25,000 (50,000) (66.7)% <br /> 389-040 CASH FORWARD 54,639 49,973 (4,666) (8.5)% <br /> TOTAL REVENUE $3,955,718 $3,654,973 ($300,745) (7.6)% <br /> EXPENSES: <br /> SALARIES AND BENEFITS $427,023 $434,665 $7,642 1.8% <br /> EXPENSES 3,528,695 3,227,308 (301,387) (8.5)010 <br /> SUB-TOTAL EXPENSES $3,955,718 $3,661,973 ($293,745) (7.4)010 <br /> LESS CAPITAL OUTLAY 0 (7,000) (7,000) N/A <br /> TOTAL EXPENSES $3,955,718 $3,654,973 ($300,745) (7.8)% <br /> 2015-16 Budget <br /> 51 <br />