Income/Expense Total '09 Admin Sanitation Safety Outreach
ANTICIPATED INCOME
Property Tax Surcharge     546,569        64,222     279,679     169,764        32,903             -
Exempt Property Contribution        70,000          8,225        35,819        21,742          4,214             -
Grants
Abell Grant (Greenmount Cameras 7/1 - 11/30)          4,500             529          2,303          1,398             271             -
Goldseker Grant (Outreach & Communications)        20,000          2,350        10,234          6,212          1,204
Program Revenue          1,000             118             512             311                60             -
Contributions          5,000             588          2,559          1,553             301             -
Interest Income 5,000             588          2,559          1,553             301             -
Reserve Fund or Carry Over Funds from FY 2008 (est) 10,000          1,175          5,117          3,106             602             -
Other Income          5,000             588          2,559          1,553             301             -
Total Anticipated Income     667,069       78,381     341,339     207,192       40,158            -
ANTICIPATED EXPENSES
Personnel Expenses
Salaries
Subtotal Salaries 359,534 47,442 196,365 95,457 20,270
Benefits
Payroll Taxes        30,560          4,033        16,691          8,114          1,723             -
Workers' Comp. Insurance          9,951             995          4,975          3,284             697             -
Retirement Plan          3,900             390          1,950          1,287             273             -
Payroll Service Fees          2,400             240          1,200             792             168             -
Other Insurance (Life, Dental, etc)        15,600          1,560          7,800          5,148          1,092             -
Health Insurance        44,880          4,488        22,440        14,810          3,142             -
Subtotal Benefit Expenses     107,291        11,706        55,056        33,435          7,094             -
Subtotal Personnel Expenses     466,825       59,148     251,421     128,892       27,364             -
Program Expenses
Printing/Publishing/Web        18,800          1,880          9,400          6,204          1,316             -
Supplies        14,000          7,000          7,000             -
Uniforms          3,000          1,500          1,500             -
Cell Phones/GPS          7,800          3,900          3,900             -
Liability Insurance (see Overhead Liability Ins)                   -                   -                   -                   -
Contract Labor (Safety person + Goodwill employees)        18,504          4,104        14,400             -
Vehicle Operating (lease, fuel, maintenance)        13,966          1,397          6,983          4,609             978             -
Subtotal Program Expenses       76,070      3,277    32,887    37,613      2,294            -
Facility Expenses
Equipment          3,100             310          1,550          1,023             217             -
Janitorial/Cleaning          2,000             200          1,000             660             140             -
Maintenance/Repairs/Additions (cabinets, etc)          3,000             300          1,500             990             210             -
Rent (Astor Courts)        30,600          3,060        15,300        10,098          2,142             -
Telephone          9,600             960          4,800          3,168             672             -
Utilities          1,800             180             900             594             126             -
Subtotal Facilities       50,100         5,010       25,050       16,533         3,507            -
Overhead Expenses
Accounting/Legal        14,400          1,440          7,200          4,752          1,008             -
Advertising          2,000             200          1,000             660             140             -
Board Meeting Expenses          4,000             400          2,000          1,320             280             -
Public Meeting Expenses          2,000             200          1,000             660             140             -
Computer Support          4,200             420          2,100          1,386             294             -
Equipment Rental          2,000             200          1,000             660             140             -
D and O Insurance          1,759             176             880             580             123             -
Property and Liability Insurance          8,000             800          4,000          2,640             560             -
Postage          4,250             425          2,125          1,403             298             -
Travel          1,000             100             500             330                70             -
Office Expenses          8,200             820          4,100          2,706             574             -
Interest and Banking Expense          1,000             100             500             330                70             -
Reserve Fund         10,000          1,000          5,000          3,300             700             -
Subtotal Overhead Expenses       62,809         6,281       31,405       20,727         4,397             -
Total Anticipated Expenses    655,804       73,715    340,763    203,765       37,561            -
Anticipated Excess Income Over Expense       11,265         4,665             576         3,427         2,596         (0)
Percent Total 98.31% 11.24% 51.96% 31.07% 5.73%