2006 LIBRARY BOARD FUND BUDGET
Budget Approved by Board on 1/25/06
Projected Revenue Approved Budget 2006 Actual Revenue
Starting balance * $30,000.00[1] $44,727.73
3414 Copier and printer fees $10,500.00 $4,072.76
3486 Non-resident cards $8,500.00 $5,688.29
3311 Overdue Fines ** $62,000.00[2] $24,831.22
3419 Long/Short - General Fund $1.85
3487 Friends of the Library $7,200.00 $3,502.55
3522 Meeting Room Rentals $250.00 $189.89
TOTALS $118,450.00 $83,014.29
Projected Expenditures Approved Budget 2006 Actual Expenditures Remaining Balance % Used
4110 Salary and wages $26,000.00 $26,000.00 0.00%
4118 Temporary wages $24,000.00 $24,000.00 0.00%
4225D Other Services (Consultant) $20,000.00 $6,977.40 $13,022.60 34.89%
4270 Travel & training $1,000.00 $1,000.00 0.00%
4296 Furniture $12,500.00 $12,500.00 0.00%
4320 Building & structures $26,950.00 $26,950.00 0.00%
4350 Reimbursements $8,000.00 $3,862.25 $4,137.75 48.28%
Friends of the Library - $7,200 $0.00
Lost materials refunds - $800 $0.00
TOTALS $118,450.00 $10,839.65 $107,610.35 9.15%
Actual Balance  $71,897.86

[1]
heidi.archie:
estimate - based on Oct 2005 report
[2]
heidi.archie:
includes payments for lost library materials