| RCPL CITY BUDGET REPORT -JULY 2005 | |||||||
| 42% | |||||||
| Line Item | Object Description | Budget | Spent | $Remaining | %Remaining | ||
| 4100 Salary and Wages (+55,450 Aux.) | |||||||
| 4110 | Salary/Wages | 1,246,881.00 | 622,587.82 | 624,293.18 | 50% | ||
| 4111 | Overtime Wages | 2,000.00 | 1,499.38 | 500.62 | 25% | ||
| 4118 | Temporary Wages | 26,199.00 | 8,501.46 | 17,697.54 | 68% | ||
| 4100 Total Salary and Wages | $1,275,080.00 | $632,588.66 | $642,491.34 | 50% | |||
| 4110 Benefits (+11,090 Aux. in 4110) | |||||||
| 4120 | Social Security | 75,617.00 | 37,613.05 | 38,003.95 | 50% | ||
| 4121 | Medicare | 17,685.00 | 8,796.62 | 8,888.38 | 50% | ||
| 4130 | Retirement | 71,486.00 | 36,169.59 | 35,316.41 | 49% | ||
| 4131 | Section 125 Administration | 840.00 | 375.00 | 465.00 | 55% | ||
| 4140 | Workers' Compensation | 1,000.00 | 1,120.00 | -120.00 | -12% | ||
| 4150 | Group Health Insurance | 125,106.00 | 54,563.50 | 70,542.50 | 56% | ||
| 4155 | Group Life Insurance | 1,620.00 | 773.60 | 846.40 | 52% | ||
| 4170 | Unemployment Insurance | 7,149.00 | 0.00 | 7,149.00 | 100% | ||
| 4110 Total Benefits | $300,503.00 | $139,411.36 | $161,091.64 | 54% | |||
| 4210 Insurance | |||||||
| 4211 | General/Auto Liability | 6,050.00 | 6,050.00 | 0.00 | 0% | ||
| 4212 | Boiler Coverage | 850.00 | 1,400.00 | (550.00) | -65% | ||
| 4213 | Fire/Ext Coverage | 13,221.00 | 15,680.06 | (2,459.06) | -19% | ||
| 4214 | Other Insurance | 50.00 | 105.00 | (55.00) | -110% | ||
| 4210 Total Insurances | $20,171.00 | $23,235.06 | ($3,064.06) | -15% | |||
| 4220 Professional Services | |||||||
| 4223 | Consultant Services | 3,500.00 | 0.00 | 3,500.00 | 100% | ||
| 4225A | SDLN | 65,141.00 | 45,868.50 | 19,272.50 | 30% | ||
| 4225B | Minitex/OCLC | 14,504.00 | 13,632.00 | 872.00 | 6% | ||
| 4225C | Maintenance Services | 6,807.00 | 2,354.32 | 4,452.68 | 65% | ||
| 4225D | Other Services | 3,000.00 | 6,456.39 | (3,456.39) | -115% | ||
| 4225E | Programming Services | 2,000.00 | 425.00 | 1,575.00 | 79% | ||
| 4220 Total Professional Services/Fees | $94,952.00 | $68,736.21 | $26,215.79 | 28% | |||
| 4226 Interdepartmental Charges | |||||||
| 4226 | Service Other Departments | 13,000.00 | 6,498.00 | 6,502.00 | 50% | ||
| 4226 Total Interdepartmental Charges | $13,000.00 | $6,498.00 | $6,502.00 | 50% | |||
| 4230 Publications | |||||||
| 4230 | Publishing | 750.00 | 931.00 | (181.00) | -24% | ||
| 4230 Total Publications | $750.00 | $931.00 | (181.00) | -24% | |||
| 4240 Rentals | |||||||
| 4244 | Lease/Purchases | 34,500.00 | 19,453.39 | 15,046.61 | 44% | ||
| 4246 | Parking | 5,400.00 | 2,538.00 | 2,862.00 | 53% | ||
| 4240 Total Rentals | $39,900.00 | $21,991.39 | $17,908.61 | 45% | |||
| 4250 Repair/Maintenance | |||||||
| 4252 | Repair Structures | 20,000.00 | 10,105.41 | 9,894.59 | 49% | ||
| 4253A | Repair Equipment | 23,000.00 | 9,120.68 | 13,879.32 | 60% | ||
| 4253C | Johnson Controls | 20,082.00 | 6,560.00 | 13,522.00 | 67% | ||
| 4255 | Repair Water/Sewer | 1,000.00 | 170.00 | 830.00 | 83% | ||
| 4250 Total Repair/Maintenance | $64,082.00 | $25,956.09 | $38,125.91 | 59% | |||
| 4260 Supplies/Materials | |||||||
| 4261A | Office Supplies/Library Cards | 11,000.00 | 3,116.54 | 7,883.46 | 72% | ||
| 4261B | Printing | 8,000.00 | 2,364.65 | 5,635.35 | 70% | ||
| 4261C | Books/AV Processing | 29,710.00 | 4,083.50 | 25,626.50 | 86% | ||
| 4261D | Postage | 13,200.00 | 2,248.78 | 10,951.22 | 83% | ||
| 4262 | Gasoline, Oil, Fuel | 300.00 | 108.23 | 191.77 | 64% | ||
| 4264 | Janitorial/Chemical | 4,500.00 | 4,448.51 | 51.49 | 1% | ||
| 4265 | Minor Tools | 1,000.00 | 677.66 | 322.34 | 32% | ||
| 4260 Total Supplies/Materials | $67,710.00 | $17,047.87 | $50,662.13 | 75% | |||
| 4270 Travel/Training | |||||||
| 4270 | Travel/Training | 12,000.00 | 5,115.83 | 6,884.17 | 57% | ||
| 4270 Total Travel/Training | $12,000.00 | $5,115.83 | $6,884.17 | 57% | |||
| 4280 Utilities | |||||||
| 4281 | Telephone | 9,500.00 | 8,645.75 | 854.25 | 9% | ||
| 4282 | Natural Gas | 10,600.00 | 11,222.04 | -622.04 | -6% | ||
| 4283 | Electricity | 55,000.00 | 29,863.89 | 25,136.11 | 46% | ||
| 4280 Total Utilities | $75,100.00 | $49,731.68 | $25,368.32 | 34% | |||
| 4290 Other Current Expenses | |||||||
| 4292 | Dues | 2,200.00 | 870.00 | 1,330.00 | 60% | ||
| 4294A | General Programming | 3,000.00 | 440.97 | 2,559.03 | 85% | ||
| 4294B | Youth Programming | 3,000.00 | 2,113.45 | 886.55 | 30% | ||
| 4294D | Other Miscellaneous | 9,275.00 | 3,155.31 | 6,119.69 | 66% | ||
| 4295 | Computers and Software | 71,500.00 | 49,874.44 | 21,625.56 | 30% | ||
| 4296 | Office Equipment/Furniture | 11,435.00 | 4,211.90 | 7,223.10 | 63% | ||
| 4290 Total Other Current Expenses | $100,410.00 | $60,666.07 | $39,743.93 | 40% | |||
| 4341 | General Materials | 146,500.00 | 63,152.01 | 83,347.99 | 57% | ||
| 4342 | Reference Materials/Databases | 40,000.00 | 11,860.70 | 28,139.30 | 70% | ||
| 4343 | Youth Materials | 98,136.00 | 28,982.91 | 69,153.09 | 70% | ||
| 4344 | Periodicals | 28,000.00 | 2,428.23 | 25,571.77 | 91% | ||
| 4300 Total Capital Outlay | $312,636.00 | $106,423.85 | $206,212.15 | 66% | |||
| (55,450 Aux.)GRAND TOTAL | $2,376,294.00 | $1,158,333.07 | $1,217,960.93 | 51% | |||
| L.budgets.2005monthly city,cty | |||||||