2026 proposed budget with PDF fixed and OCR text.

Click here for a copy of the proposed 2026 budget rotated right 90 degrees.

Honestly, I think they make the PDFs shitty on purpose. But here it is for you transcribed by a machine. The PDF text is in original format, just with every page rotated so you can read the numbers that start on page 20. As I said in the title, the following text is done by OCR, and while I’ve made best effort at accuracy, I am not responsible for any financial decisions made with the contents hereafter.

Budget Summary

Department Summaries Table (FY 2024–2026)

DIVISIONDEPARTMENTFY 2024 ADOPTEDFY 2025 ADOPTEDFY 2026 PROPOSED
11100Governing Body592,880.00581,904.00916,414.00
11300City Clerk364,369.98439,020.00527,522.00
13000Executive784,581.99794,865.001,706,882.81
15100Non-Departmental Business Services1,053,689.291,481,989.001,736,701.57
15160Information Technology736,711.301,199,803.001,027,000.99
15500Human Resources236,711.30261,723.00275,634.99
15650Government Buildings673,944.67891,003.001,667,640.00
25000Municipal Court678,195.071,073,708.001,773,872.17
32100Police Department8,200,000.008,867,557.009,162,804.00
42200Public Works Services4,696,100.004,184,046.004,900,804.00
61900City Events590,000.00670,000.001,669,579.12
62200Parks181,000.00221,000.00255,200.00
72000Permitting618,575.39670,259.00921,361.34
74100Planning614,199.92743,760.001,053,651.00
75100Economic Development353,709.07504,159.00486,846.00
75500Main Street238,612.89256,059.00240,932.00
75700GIS117,880.55125,974.00135,745.00
90000Other Financing Uses4,248,568.764,525,000.003,082,190.00
Total Projected GF Expenses26,711,635.9429,239,311.0034,768,690.00

Total Enterprise Expenses Table (FY 2024–2026)

FUNDDEPARTMENTFY 2024 ADOPTEDFY 2025 APPROVEDFY 2026 PROPOSED
100General Fund26,711,635.9429,239,311.0034,768,690.00
210Confiscated Assets0.000.000.00
211Property and Evidence0.000.000.00
212Redspeed Fund0.000.00937,000.00
230Grants0.000.000.00
255ARPA0.000.000.00
275Hotel Motel1,000,000.001,468,083.001,926,047.00
320SPLOST V375,000.00375,000.001,763,366.00
321SPLOST VI0.006,877,628.001,700,000.00
330TSPOST0.000.007,200,000.00
335Urban Redevelopment Authority1,204,764.505,577,123.0013,204,766.00
353Citywide Projects0.002,269,053.000.00
355Downtown Development Authority45,000.0045,000.00336,100.00
357Citywide Development Authority2,946,323.504,050,060.0068,332.00
360Public Facilities Authority10,000.0010,000.002,943,168.00
495Cemetery2,085,145.511,953,778.002,362,500.00
505Sewer2,380,016.502,556,403.001,053,524.00
505Water1,277,240.20194,472.00194,472.00
505Debt Services1,213,290.151,053,524.001,545,000.00
510Stormwater2,860,309.843,092,915.003,092,915.00
540Sanitation739,157.18731,268.00186,400.00
555MMCC2,000,000.002,600,000.000.00
565Amphitheater0.000.000.00
Total Projected GF Expenses43,742,883.3062,082,118.0073,302,280.00
Fund: 100 – GENERAL FUND2025 Original Total BudgetCurrent Total BudgetPeriod Activity2025 YTDVariance Favorable (Unfavorable)2026 Revenues
Revenue
100-00000-3112000.000.000.00282.03282.03300.00
100-00000-311500100,000.00100,000.000.0076,801.14(23,198.86)150,000.00
100-00000-31160055,000.0055,000.000.0029,134.30(25,865.70)60,000.00
100-00000-3117101,200,000.001,200,000.000.001,503,213.63303,213.632,500,000.00
100-00000-3117151,500.001,500.000.000.00(1,500.00)0.00
100-00000-3117205,800.005,800.000.006,882.351,082.358,000.00
100-00000-311730150,000.00150,000.000.00113,972.46(36,027.54)180,000.00
100-00000-311750150,000.00150,000.000.0075,490.23(74,509.77)150,000.00
100-00000-31176030,000.0030,000.000.0010,246.22(19,753.78)20,000.00
100-00000-3117901,000.001,000.004.35287.57(712.43)500.00
100-00000-3131009,907,512.009,907,512.000.005,225,475.01(4,682,036.99)10,000,000.00
100-00000-313110718,000.00718,000.0065,919.00502,126.23(215,873.77)800,000.00
100-00000-314201340,000.00340,000.0028,659.75251,863.46(88,136.54)350,000.00
100-00000-314202300,000.00300,000.0019,242.25172,849.34(127,150.66)350,000.00
100-00000-314203180,000.00180,000.009,784.7396,681.19(83,318.81)180,000.00
100-00000-314204100,000.00100,000.0015,135.02129,631.4629,631.46150,000.00
100-00000-3161001,200,000.001,200,000.001,972.651,542,760.01342,760.012,000,000.00
100-00000-31611260,000.0060,000.00100.0048,560.00(11,440.00)60,000.00
100-00000-31611320,000.0020,000.0050.003,566.56(16,433.44)5,000.00
100-00000-316150110,000.00110,000.001,135.0047,093.00(62,907.00)100,000.00
100-00000-3162002,225,000.002,225,000.000.000.00(2,225,000.00)3,500,000.00
100-00000-316300105,000.00105,000.000.00125,073.0020,073.00130,000.00
100-00000-3180007,189,056.007,189,056.0016,080.00346,953.77(6,842,102.23)7,400,000.00
100-00000-3180010.000.0075.097,365.937,365.937,500.00
100-00000-3180020.000.000.00123.56123.56125.00
100-00000-3180030.000.007.50165.21165.21170.00
100-00000-3191100.000.005,929.1322,756.1622,756.1625,000.00
100-00000-3191112,000.002,000.00100.001,300.00(700.00)2,000.00
100-00000-3199020.000.0021.40479.91479.91500.00
100-00000-32111042,000.0042,000.00375.0066,000.0024,000.0070,000.00
100-00000-32112050,000.0050,000.00375.0063,000.0013,000.0070,000.00
100-00000-321130120,000.00120,000.002,500.00177,500.0057,500.00200,000.00
100-00000-3211405,000.005,000.000.000.00(5,000.00)1,000.00
100-00000-32120022,000.0022,000.00225.0054,242.1532,242.1560,000.00
Fund: 100 – GENERAL FUND Revenue
2025 Original Total BudgetCurrent Total BudgetPeriod Activity2025 YTDVariance Favorable (Unfavorable)2026 Revenues
100-00000-311200REAL PROP-PRIOR YEAR0.000.000.00282.03300.00
100-00000-311500INTANGIBLE RECORDING TAX100,000.00100,000.000.0076,801.14150,000.00
100-00000-311600REAL ESTATE TRANSFER55,000.0055,000.000.0029,194.3060,000.00
100-00000-311710FRANCHISE TAX-ELECTRIC1,200,000.001,200,000.000.001,503,213.632,500,000.00
100-00000-311715FRANCHISE TAX – EMC1,500.001,500.000.000.000.00
100-00000-311720FRANCHISE TAX-COLLEGE PK.5,800.005,800.000.006,882.358,000.00
100-00000-311730FRANCHISE TAX-GAS150,000.00150,000.000.00113,972.46180,000.00
100-00000-311750FRANCHISE TAX-TELEV CABLE150,000.00150,000.000.0075,490.23150,000.00
100-00000-311760FRANCHISE TAX-TELEPHONE30,000.0030,000.000.0010,246.2220,000.00
100-00000-311790FRANCHISE TAX-OTHER1,000.001,000.004.35287.57500.00
100-00000-313100LOCAL OPTION SALES/USE TX9,907,512.009,907,512.000.005,225,475.0110,000,000.00
100-00000-313110HCTC – AVT TAX718,000.00718,000.0065,919.00502,126.23800,000.00
100-00000-313201BEER TAX340,000.00340,000.0028,659.75251,863.46350,000.00
100-00000-314202LIQUOR TAX-PACKAGE SALES300,000.00300,000.0019,242.25172,849.34350,000.00
100-00000-314203WINE TAX180,000.00180,000.009,784.7396,681.19180,000.00
100-00000-314204CONSUMPTION TAX – LIQUOR100,000.00100,000.0015,135.02129,631.46150,000.00
100-00000-316100OCCUPATIONAL TAX1,200,000.001,200,000.001,972.651,542,760.012,000,000.00
100-00000-316112GA MUNICIPAL LICENSE FEE60,000.0060,000.00100.0048,560.0060,000.00
100-00000-316113MISC BUSINESS TAX20,000.0020,000.0050.003,566.565,000.00
100-00000-316150INSURANCE PREMIUM TAX110,000.00110,000.001,135.0047,093.00100,000.00
100-00000-316200FINANCIAL INSTITUTION TAXES2,225,000.002,225,000.000.000.003,500,000.00
100-00000-316300CITY PROPERTY TAX7,189,056.007,189,056.0016,080.00346,953.777,400,000.00
100-00000-318001CITY MOBILE HOME TAX0.000.0075.097,365.937,500.00
100-00000-318002CITY PROPERTY TAX N.O.D.0.000.000.00123.56125.00
100-00000-318003MOBILE HOME PENALTY0.000.007.50165.21170.00
100-00000-319110PEN & INT-REAL PROP0.000.005,929.1322,756.1625,000.00
100-00000-319111FORECLOSED/VACANT-REG FEE2,000.002,000.00100.001,300.002,000.00
100-00000-319901PENALTY/INTEREST STREET LIGHT0.000.0021.40479.91500.00
100-00000-321110OT ALCOHOLIC BEV-BEER42,000.0042,000.00375.0066,000.0070,000.00
100-00000-321120OT ALCOHOLIC BEV-WINE50,000.0050,000.00375.0063,000.0070,000.00
100-00000-321130OT ALCOHOLIC BEV-LIQUOR120,000.00120,000.002,500.00177,500.00200,000.00
100-00000-321140ALCOHOLIC BEV-SPEC. EVENT5,000.005,000.000.000.001,000.00
100-00000-321200OT REGULATORY FEE22,000.0022,000.00225.0054,242.1560,000.00
100-00000-321500SIGN PERMIT FEE0.000.000.0025.0025.00
100-00000-322200COMM – BUILDING PERMIT600,000.00600,000.0040,322.96367,471.39500,000.00
100-00000-322201BSD – MECH, ELEC, PLUMBING PE50,000.0050,000.000.000.00(50,000.00)
100-00000-322203BSD – OTHER PERMIT FEES – COM6,500.006,500.000.000.00(6,500.00)
100-00000-322204RES – BUILDING PERMIT325,000.00325,000.001,460.00384,561.68500,000.00
100-00000-322205BSD – MECH,ELEC,PLUMBING – PE70,000.0070,000.000.00160.00(69,840.00)
100-00000-322207BSD – OTHER PERMIT FEES RESIDE5,000.005,000.005.000.00(5,000.00)
100-00000-322215ZONING VERIFICATION FEES14,000.0014,000.0050.005,200.006,000.00
100-00000-322800RESUBMITTAL FEE0.000.000.002,750.000.00
100-00000-322900FILM REVENUE5,000.005,000.000.000.00(5,000.00)
100-00000-323100OCCUPATIONAL TAX PENALTY45,000.0045,000.00294.5479,806.6545,000.00
100-00000-323101LAND DISTURBANCE PERMIT30,000.0030,000.000.0050,422.5060,000.00
100-00000-323902MAINTENANCE BOND FEE21,000.0021,000.000.00205.00210.00
100-00000-323904PERFORMANCE BOND FEE7,000.007,000.000.000.00(7,000.00)
100-00000-324210PENALTY FEES1,000.001,000.000.005,971.236,000.00
100-00000-334311GRANTS FOR STREETS288,000.00288,000.000.000.000.00
Sub Total29,650,490.00

Revenues

Original Total BudgetCurrent Total BudgetPeriod Activity2025 YTDVariance Favorable (Unfavorable)2026 Revenues
100-00000-341300COMMUNITY DEV ADMIN FEE100,000.00100,000.00475.0016,155.6220,000.00
100-00000-341301BSD – PLAN CHECK FEES – RESIDE30,000.0030,000.000.0017,500.6425,000.00
100-00000-341302P&Z ZONING5,000.005,000.001,800.0083,515.1985,000.00
100-00000-341304P&Z ADMIN500.00500.000.004,361.505,000.00
100-00000-341305P2 – REZONING APP FEE – DRI1,000.001,000.000.000.00(1,000.00)
100-00000-341306P2 – ZONING CERTIFICATION FEE500.00500.000.000.00(500.00)
100-00000-341400PRINTING & DUPLICAT SRVCS100.00100.00215.261,915.522,000.00
100-00000-341910OTHER-ELECTION QUAL FEE0.000.004,440.004,440.004,500.00
100-00000-342120REPORTS – POLICE DEPT3,000.003,000.002,369.3619,986.5720,000.00
100-00000-342200FIRE FEES5,000.005,000.002,950.0080,895.7590,000.00
100-00000-342202FIRE – CONSTRUCTION PERMITS20,000.0020,000.000.003,625.005,000.00
100-00000-342203FIRE – OTHER FEES AND CHARGES0.000.000.00200.000.00
100-00000-342204OTHER SERVICE FEES150,000.00150,000.000.00213.76(149,786.24)
100-00000-342900HDTA REIMBURSEMENT0.000.000.0010,048.6510,500.00
100-00000-342902POLICE VEHICLE STIPEND0.000.000.006,000.006,000.00
100-00000-343400RIGHT OF WAY3,000.003,000.00300.002,400.002,500.00
100-00000-343410STREET LIGHTS497,200.00497,200.00194.9612,772.0115,000.00
100-00000-349300BAD CHECK FEES500.00500.000.00125.00125.00
100-00000-349400OPENEDGE MERCHANT FEE5,000.005,000.000.002,085.227,500.00
100-00000-351140FINES & FORFEITURES1,400,000.001,400,000.0033,896.00757,800.301,400,000.00
100-00000-351145CODE ENFORCEMENT FINES10,000.0010,000.000.000.000.00
100-00000-361000INTEREST REVENUES1,800.001,800.001.46433,438.26450,000.00
100-00000-361100SPRINT COM – RENT45,000.0045,000.000.000.00(45,000.00)
100-00000-381200PARK PAVILION RENTAL22,000.0022,000.001,425.0049,175.0053,000.00
100-00000-381300T-MOBILE TOWER LEASE54,000.0054,000.009,230.0073,633.2619,633.26
100-00000-383000INS.REIM.DAM./STOLEN PROP10,000.0010,000.00237.92(836.32)(10,836.32)
100-00000-389006BACK TO SCHOOL SPONSORSHIP0.000.000.001,150.001,150.00
100-00000-389009Misc Revenue1,000.001,000.002,002.502,002.501,002.50
100-00000-389011YOUTH COUNCIL FUNDRAISER800.00800.000.00115.00(685.00)
100-00000-389012CITY EVENTS REVENUE14,000.0014,000.006,250.006,250.00(7,750.00)
100-00000-389014BRIDGEFEST SPONSORSHIP2,400.002,400.00200.009,300.006,700.00
100-00000-389015TASTY TUESDAY/FOOD TRUCK SP.7,000.007,000.000.005,980.005,980.00
100-00000-389017RESTITUTION, DAMAGE TO COS0.000.000.00220.00220.00
100-00000-389018HOLIDAY FESTIVAL SPONSORSHIP800.00800.000.000.00(800.00)
100-00000-389019VETERAN’S DAY SPONSORSHIP1,000.001,000.000.003,000.003,000.00
100-00000-389020PRETTY IN PINK SPONSORSHIP1,000.001,000.000.000.00(1,000.00)
100-00000-389022MEMORIAL DAY MARCH SPONSO1,230.001,230.000.00500.00500.00
100-00000-389025COMMUNITY DONATIONS – POLI20,000.0020,000.000.0012,400.0012,400.00
100-00000-389026DISTRICT 1 SPONSORSHIP0.000.000.0050.0050.00
100-00000-389030MISCELLANEOUS98,096.0098,096.0020.0018,106.66(79,989.34)
100-00000-389031DISTRICT 5 SPONSORSHIP0.000.000.006,000.006,000.00
100-00000-389034JUNETEENTH EVENT SPONSORSH0.000.000.005,180.005,200.00
100-00000-389038MAIN STREET/ECONOMIC DEV SP2,500.002,500.0090.00255.00(2,245.00)
100-00000-391100OPERATING TRANSFER IN215,000.00215,000.000.000.00(215,000.00)
100-00000-392100SALE OF GEN FIXED ASSETS50,000.0050,000.000.000.00(50,000.00)
100-00000-392200PROPERTY SALE584,517.00584,517.000.00444,019.60500,000.00
Sub Total29,239,311.0029,239,311.00276,796.6813,721,188.62(15,518,122.38)
2026 Grand Total Estimated Revenues32,530,300.00
Transfers2,238,390.00
2026 Total Projected GF Expenses(34,768,690.00)
Balancing0.00

Fund: 565 – AMPHITHEATER

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 APPROVEDFY 2025 PROPOSED
34 Charges for Services445,079.521,060,000.001,060,000.009,023.402,045,000.000.00
38 Miscellaneous Revenue2,500.00715,000.00940,000.0073,579.72555,000.000.00
Total Budget447,579.521,775,000.002,000,000.0082,603.122,600,000.000.00

Fund: 555 Merle Manders Conference Center

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 APPROVEDFY 2025 PROPOSED
38 Miscellaneous Revenue10,785.00210,000.00213,100.0033,006.00112,700.000.00
39 Other Financing Uses0.00525,607.18526,057.180.00618,368.00186,400.00
Total Budget10,785.00735,607.18739,157.1833,006.00731,268.00186,400.00

Fund: 275 – HOTEL/MOTEL TAX

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 PROPOSEDFY 2025 PROPOSED
31 Taxes484,363.06375,000.00375,000.00573,008.95375,000.00424,800.00
Total Budget484,363.06375,000.00375,000.00573,008.95375,000.00424,800.00

Fund: 335 – TSPLOST

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 PROPOSED
33 Intergovernmental0.000.000.003,609,989.7413,200,000.00
36 Investment Income0.000.000.000.000.00
Total Budget0.000.000.003,609,989.7413,200,000.00

Fund: 320 SPLOST V

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 PROPOSED
33 Intergovernmental4,317,751.246,877,628.00
36 Investment Income377.73
Total Budget4,318,128.976,877,628.00

Fund: 321 – SPLOST VI

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 PROPOSED
33 Intergovernmental
36 Investment Income
Total Budget

Fund: 357 – CITYWIDE DEVELOPMENT AUTHORITY

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 PROPOSEDFY 2026 PROPOSED
45,000.0045,000.0045,000.0045,000.0068,332.00
0.00
Total Budget45,000.0045,000.0045,000.0045,000.0068,332.00

Fund: 355 – DOWNTOWN DEVELOPMENT AUTHORITY

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 APPROVEDFY 2026 PROPOSED
45,000.0045,000.0045,000.000.0045,000.00336,100.00
0.000.000.000.000.000.00
Total Budget45,000.0045,000.0045,000.0045,000.00336,100.00

Fund: 353 – CITYWIDE CAPITAL PROJECTS

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 PROPOSED
0.000.000.000.000.00
10,623,467.00199,365.5413,539,688.000.000.00
10,623,467.00199,365.5413,539,688.000.000.00

Fund: 350 – URA

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 PROPOSED
1,205,212.871,023,624.001,204,764.5031,000.001,204,766.00
Total Budget1,205,212.871,023,624.001,204,764.5031,000.00

Fund 505 – Water (Division: 43300 – SEWER)

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 APPROVEDFY 2026 PROPOSED
1,805,138.041,640,000.001,828,000.002,380,977.511,953,778.002,362,500.00
0.00300.000.000.000.000.00
0.00280,345.51257,145.510.000.000.00
Total Budget1,805,138.041,920,645.512,085,145.512,380,977.511,953,778.00

Fund 505 – Water (Division: 44200 – Water)

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 APPROVEDFY 2026 PROPOSED
2,186,405.092,007,100.002,214,500.002,380,977.512,397,100.003,255,440.00
100.000.00
182,887.19165,516.50159,303.000.00
Total Budget2,186,405.092,190,087.192,380,016.502,380,977.512,556,403.00

Fund: 495 – CEMETERY FUND

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 PROPOSEDFY 2025 PROPOSED
0.000.000.000.000.000.00
0.0010,000.0010,000.000.0010,000.0020,000.00
Total Budget0.0010,000.0010,000.000.0010,000.00

Fund 360 – PUBLIC FACILITIES AUTHORITY

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 PROPOSED
2,943,804.262,946,323.502,943,168.00
Total Budget2,943,804.262,946,323.502,943,168.00

Fund 540 – Sanitation

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 PROPOSED
31 Taxes1,695.681,000.001,000.233,370.781,000.00
34 Charges for Services1,696,585.881,705,765.002,500,600.0084,095.092,777,500.00
38 Miscellaneous Revenue113,420.21215,427.43358,709.0047,109.37358,364.00
Total Budget1,811,701.771,922,192.432,860,370.23134,575.243,136,864.00

Fund 510 – Stormwater

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 PROPOSEDFY 2025 PROPOSED
31 Taxes993.330.001,499.791,826.310.000.00
34 Charges for Services1,036,214.791,038,517.791,207,000.0034,308.21978,924.001,400,000.00
38 Miscellaneous Revenue0.000.004,790.360.0074,600.00160,700.00
39 Other Financing Uses73,188.000.000.000.000.00
Total Budget1,110,396.121,038,517.791,213,290.1536,134.521,053,524.001,560,700.00

Water & Sewer
Division: 80000 – DEBT SERVICES

FY 2022 ACTUALFY 2023 ACTUALFY 2024 BUDGETFY 2024 YTDFY 2025 PROPOSED
39 Other Financing Services127,240.20194,472.00
Total Budget127,240.20194,472.00

Expenditures

THE GOVERNING BODY

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-11100-511100REGULAR EMPLOYEE SALARIES116,920.9643,620.88122,768.0090,165.16135,346.00
100-11100-511120MAYOR24,000.009,333.3524,000.0016,799.9924,000.00
100-11100-511121COUNCIL100,000.0041,666.75100,000.0074,999.95100,000.00
100-11100-511300OVERTIME800.001,111.511,600.00893.262,500.00
100-11100-512100GRP INSNC MEDICAL/DENTAL107,757.5247,086.50107,758.0077,490.39107,827.75
100-11100-512110GROUP INSURANCE LIFE1,000.00424.441,000.00502.07985.28
100-11100-512111GROUP INSURANCE VISION1,000.00242.411,000.00516.421,000.00
100-11100-512200MEDICARE 1.45%1,200.001,384.001,200.002,648.323,796.77
100-11100-512400PENSION34,000.0013,833.4034,000.0026,989.2934,000.00
100-11100-512700WORKER’S COMPENSATION2,300.00591.570.000.000.00
100-11100-512851HRA DEDUCTIBLE4,000.000.004,000.000.004,000.00
100-11100-521101OFFICIAL/ADMINISTRATIVE14,000.008,720.3614,000.003,640.190.00
100-11100-522341COPIER RENTAL650.00610.000.000.000.00
100-11100-523400PRINTING & BINDING4,000.00843.983,000.001,035.103,000.00
100-11100-523500TRAVEL2,000.000.002,000.000.003,000.00
100-11100-523502TRAVEL MAYOR10,000.001,189.1910,000.006,737.6710,000.00
100-11100-523503TRAVEL DISTRICT 510,000.001,905.4010,000.007,689.9710,000.00
100-11100-523504TRAVEL DISTRICT 310,000.001,511.8010,000.004,438.5110,000.00
100-11100-523505TRAVEL DISTRICT 110,000.001,521.7710,000.007,903.1110,000.00
100-11100-523506TRAVEL DISTRICT 210,000.001,645.8010,000.006,665.3610,000.00
100-11100-523507TRAVEL DISTRICT 410,000.001,793.8010,000.001,114.0010,000.00
100-11100-523600DUES & FEES100.000.00100.001,049.00100.00
100-11100-523601DUES & FEES MAYOR100.000.00100.0057.70100.00
100-11100-523602DUES & FEES DISTRICT 5100.000.00100.000.00100.00
100-11100-523603DUES & FEES DISTRICT 3100.000.00100.000.00100.00
100-11100-523604DUES & FEES DISTRICT 1100.000.00100.000.00100.00
100-11100-523605DUES & FEES DISTRICT 4100.000.00100.000.00100.00
100-11100-523606DUES & FEES DISTRICT 2100.000.00100.000.00100.00
100-11100-523607EDUCATION & TRAINING2,000.000.002,000.001,225.002,000.00
100-11100-523702EDUCATION & TRAINING MAYOR6,000.00815.006,000.003,570.206,000.00
100-11100-523703EDUCATION & TRAINING DISTRICT 56,000.00795.006,000.003,290.006,000.00
100-11100-523704EDUCATION & TRAINING DISTRICT 36,000.001,220.006,000.001,020.006,000.00
100-11100-523705EDUCATION & TRAINING DISTRICT 16,000.001,184.006,000.003,443.436,000.00
100-11100-523706EDUCATION & TRAINING DISTRICT 46,000.00920.006,000.00705.006,000.00
100-11100-523707EDUCATION & TRAINING DISTRICT 26,000.00795.006,000.00705.006,000.00
100-11100-523911COUNCIL INITIATIVES MAYOR5,000.001,611.655,000.001,887.785,000.00
100-11100-523912COUNCIL INITIATIVES DISTRICT 55,000.0012,618.235,000.0017,919.785,000.00
100-11100-523913COUNCIL INITIATIVES DISTRICT 35,000.001,802.565,000.001,070.005,000.00
100-11100-523914COUNCIL INITIATIVES DISTRICT 15,000.00291.125,000.001,718.505,000.00
100-11100-523915COUNCIL INITIATIVES DISTRICT 45,000.008,152.005,000.0010,756.875,000.00
100-11100-523916COUNCIL INITIATIVES DISTRICT 25,000.0013,383.315,000.0011,272.105,000.00
100-11100-531130OFFICE SUPPLIES2,500.00503.162,500.00547.803,000.00
100-11100-531700MISCELLANEOUS EXPENSE4,000.00640.242,000.001,560.513,000.00
100-11100-531701HOSPITALITY/FOOD/BEVERAGE7,000.001,767.028,000.004,223.8710,000.00
100-11100-531747CIVIC EVENTS15,000.005,495.439,000.003,369.2310,000.00
100-11100-531748YOUTH ADVISORY COUNCIL21,500.008,154.570.000.000.00
100-11100-531750UNIFORMS400.000.00400.000.00400.00
100-11100-531751UNIFORMS MAYOR400.000.00400.00118.38400.00
100-11100-531752UNIFORMS DISTRICT 5400.001,147.70400.000.00400.00
100-11100-531753UNIFORMS DISTRICT 3400.00335.00400.000.00400.00
100-11100-531754UNIFORMS DISTRICT 1400.000.00400.000.00400.00
100-11100-531755UNIFORMS DISTRICT 4400.000.00400.000.00400.00
100-11100-531756UNIFORMS DISTRICT 2400.000.00400.000.00400.00
Division: 11100 – GOVERNING BODY Total:595,128.48240,667.90569,326.00399,738.91916,413.80

EXECUTIVE

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-13000-511100REGULAR EMPL. SALARIES530,170.83168,486.51556,680.00201,740.30616,722.00
100-13000-511113VEHICLE ALLOWANCE12,000.004,000.006,000.00500.00900.00
100-13000-511300OVERTIME500.00222.33500.000.00500.00
100-13000-512100GRP INSRC MEDICAL/DENTAL80,818.1453,375.0880,819.0046,177.0145,521.62
100-13000-512110GROUP INSURANCE LIFE3,000.00626.793,000.00638.11528.84
100-13000-512111GROUP INSURANCE VISION1,000.00269.371,000.00279.731,000.00
100-13000-512200MEDICARE 1.45%6,000.002,454.276,000.002,885.668,950.00
100-13000-512400PENSION4,200.001,708.854,200.0031,752.0950,000.00
100-13000-512401RETIREMENT CONTRIBUTION40,000.005,748.8340,000.006,781.1021,200.00
100-13000-512600UNEMPLOYMENT INSURANCE2,500.000.002,500.000.003,000.00
100-13000-512700WORKER’S COMPENSATION3,000.00771.620.000.000.00
100-13000-512800EMPLOYEE ASSISTANCE PROG.500.000.00500.000.000.00
100-13000-512850HRA REIMBURSEMENT8,000.00421.868,000.000.0012,000.00
100-13000-521201PROFESSIONAL SERVICES10,000.0058,698.6010,000.006,205.0010,000.00
100-13000-522341COPIER RENTAL1,100.00610.000.000.000.00
100-13000-523400PRINTING & BINDING500.00705.981,200.00627.132,000.00
100-13000-523500TRAVEL7,000.002,719.457,000.004,836.6415,000.00
100-13000-523600DUES & FEES7,000.001,836.677,000.002,989.498,000.00
100-13000-523700EDUCATION & TRAINING7,000.002,849.007,000.00764.0010,000.00
100-13000-531130OFFICE SUPPLIES2,500.001,472.872,500.001,653.803,000.00
100-13000-531140SUPPLIES & MATERIALS0.000.000.003,460.034,000.00
100-13000-531700MISCELLANEOUS EXPENSE5,000.001,958.625,000.004,530.845,000.00
100-13000-531701HOSPITALITY/FOOD/BEVERAGE5,000.00169.117,500.00432.007,000.00
100-13000-579000CONTINGENCIES43,359.0318,455.0035,000.00141,58.72882,560.35
Division: 13000 – EXECUTIVE Total:781,148.00327,560.81791,399.00356,985.391,706,882.81

CITY CLERK DEPARTMENT

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-11300-511100REGULAR EMPL. SALARIES221,089.4973,002.47232,144.00167,024.43241,961.00
100-11300-511300OVERTIME0.000.000.000.000.00
100-11300-512100GRP INSRC MEDICAL/DENTAL40,409.0723,984.4340,409.0029,477.3937,265.53
100-11300-512101FEES GRP INS1,500.000.001,500.000.001,500.00
100-11300-512110GROUP INSURANCE LIFE900.00317.34900.00606.90728.26
100-11300-512111GROUP INSURANCE VISION1,000.00117.311,000.00201.781,000.00
100-11300-512200MEDICARE 1.45%3,000.001,039.743,000.002,388.723,508.44
100-11300-512400PENSION32,000.0013,019.7032,000.0025,401.6932,000.00
100-11300-512600UNEMPLOYMENT INSURANCE2,000.000.002,000.000.00500.00
100-11300-512700WORKER’S COMPENSATION2,000.00514.400.000.000.00
100-11300-512800EMPLOYEE ASSISTANCE PROG.500.000.00500.000.00500.00
100-11300-512851HRA DEDUCTIBLE6,000.000.006,000.002,000.009,000.00
100-11300-521101OFFICIAL/ADMINISTRATIVE14,000.000.0014,000.009,212.7020,000.00
100-11300-523301CODIFICATION10,000.000.0010,000.001,397.003,000.00
100-11300-523310PUBLIC NOTICES5,000.00732.003,000.001,397.003,000.00
100-11300-523400PRINTING & BINDING1,000.00706.721,000.00676.141,000.00
100-11300-523500TRAVEL9,000.001,820.599,000.006,622.099,000.00
100-11300-523600DUES & FEES1,500.0065.001,500.00251.972,000.00
100-11300-523700EDUCATION & TRAINING6,500.0064.656,500.002,544.886,500.00
100-11300-523940POSTAGE500.0080.00500.0055.96500.00
100-11300-531120ELECTION EXPENSE6,000.007,462.3032,000.00252.0032,000.00
100-11300-531130OFFICE SUPPLIES2,500.0089.612,500.00685.882,500.00
100-11300-531132COMMITTEE EXPENSES0.000.003,000.0092.003,000.00
100-11300-531140SUPPLIES & MATERIALS2,500.00179.832,500.00337.572,500.00
100-11300-531600SMALL EQUIPMENT – NON CAPIT1,000.000.001,000.00149.981,000.00
100-11300-531701HOSPITALITY/FOOD/BEVERAGE0.00828.283,000.00282.713,000.00
100-11300-531725PROMOTIONAL ITEMS3,000.000.003,000.00614.293,000.00
100-11300-531747MUNICIPAL DINNERS0.000.006,000.00374.408,000.00
100-11300-531748YOUTH COUNCIL0.000.0021,500.0012,034.1731,900.00
100-11300-531750UNIFORMS750.00461.39750.000.00750.00
100-11300-542400COMPUTER SOFTWARE7,000.002,500.005,000.005,500.006,000.00
Division 11300 – CITY CLERK Total:380,648.56126,985.76445,203.00277,397.35527,522.23

FINANCE ADMINISTRATION

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-15100-511100REGULAR EMPL. SALARIES575,778.65138,431.95898,942.00491,487.781,014,787.57
100-15100-511300OVERTIME200.00229.54400.000.000.00
100-15100-512100GRP INSRC MEDICAL/DENTAL134,696.9047,947.70134,697.00120,346.64211,919.00
100-15100-512110FEES GRP INS2,500.001,044.002,500.002,587.503,000.00
100-15100-512111GROUP INSURANCE LIFE1,875.00639.761,875.001,716.952,920.00
100-15100-512111GROUP INSURANCE VISION1,250.00192.431,250.00867.961,250.00
100-15100-512200MEDICARE 1.45%7,500.001,976.897,500.006,997.0814,715.00
100-15100-512400PENSION59,000.0024,005.0559,000.0046,834.2966,000.00
100-15100-512600UNEMPLOYMENT INSURANCE5,250.003,285.005,250.000.005,300.00
100-15100-512700WORKER’S COMPENSATION5,000.001,286.025,000.000.002,000.00
100-15100-512800EMPLOYEE ASSISTANCE PROG.24,000.001,036.1524,000.000.0020,000.00
100-15100-512851HRA DEDUCTIBLE10,000.000.0010,000.000.000.00
100-15100-521100CONSULTANT FEES50,000.000.0070,000.0012,331.86100,000.00
100-15100-521100PAYROLL FEES10,000.0017,443.8025,000.0064,728.7433,000.00
100-15100-522220AUTO & TRUCK REPAIR0.00164.550.0023.000.00
100-15100-522230RENTAL OF EQUIP & VEHICLE400.000.00400.000.00500.00
100-15100-522341COPIER RENTAL4,000.002,232.004,000.000.000.00
100-15100-523240AT&T CLUB SERVICE10,000.008,855.2310,000.000.000.00
100-15100-523246TELECOMMUNICATION22,000.008,773.7824,000.001,318.803,000.00
100-15100-523500TRAVEL500.00958.442,500.001,534.006,000.00
100-15100-523600DUES & FEES2,000.001,369.008,000.002,238.0015,000.00
100-15100-523700EDUCATION & TRAINING10,000.000.0010,000.000.0070,000.00
100-15100-523850INTERN HELP0.0090,112.040.000.007,000.00
100-15100-523900BANK CHARGES5,000.00501.2116,000.0022,822.0835,000.00
100-15100-523905COLLECTION FEE HENRY COUNTY0.001,773.313,500.005,892.388,000.00
100-15100-523909CREDIT CARD EXPENSES15,000.0017,234.2420,000.0025,792.130.00
100-15100-523940POSTAGE2,500.00779.692,500.001,811.292,500.00
100-15100-531140SUPPLIES & MATERIALS3,000.003,460.185,000.00509.476,000.00
100-15100-531700MISCELLANEOUS EXPENSE500.00171.58500.0044.571,000.00
100-15100-531701HOSPITALITY/FOOD/BEVERAGE750.000.00750.001,112.483,000.00
100-15100-531750UNIFORMS500.000.00500.00829.131,000.00
100-15100-541406STORM WATER/PROPERTY TAX20,000.000.0020,000.00902.8920,000.00
100-15100-542300FURNITURE & FIXTURES500.000.001,000.000.001,000.00
100-15100-542400COMPUTER SOFTWARE20,000.000.000.00345.210.00
100-15100-542500EQUIPMENT500.000.00500.0014,000.0015,000.00
Division: 15100 Financial Administration Total: 1,074,325.55 375,208.73 1,399,439.00 942,155.08 1,818,891.57

BUSINESS SERVICES

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-15160-511100REGULAR SALARIES155,014.3246,014.93162,766.00113,630.24192,920.00
100-15160-511300OVERTIME0.0033.980.00588.760.00
100-15160-512100GRP INSRC MEDICAL/DENTAL40,409.0718,103.6040,409.0028,331.1022,760.81
100-15160-512110GROUP INSURANCE LIFE850.00247.74850.00452.37186.68
100-15160-512111GROUP INSURANCE VISION1,000.0093.781,000.00192.78405.36
100-15160-512200MEDICARE 1.45%1,800.00622.841,800.001,584.852,797.34
100-15160-512240PENSION18,750.007,628.7018,750.0014,883.7512,946.78
100-15160-512260UNEMPLOYMENT INSURANCE2,000.000.000.000.000.00
100-15160-512270WORKER’S COMPENSATION3,000.00771.623,000.000.001,618.02
100-15160-512285HRA DEDUCTIBLE6,000.002,000.006,000.000.006,000.00
100-15160-521201PROFESSIONAL FEES0.000.005,000.000.005,000.00
100-15160-521310SOFTWARE2,700.002,700.000.001,928.940.00
100-15160-523341COPIER RENTAL1,800.001,650.000.000.002,000.00
100-15160-523400PRINTING & BINDING1,500.00248.783,000.001,085.903,500.00
100-15160-523500TRAVEL1,700.00228.243,000.002,109.605,000.00
100-15160-523600DUES & FEES1,000.000.002,000.001,232.502,000.00
100-15160-523700EDUCATION & TRAINING1,000.000.002,000.000.003,000.00
100-15160-531140SUPPLIES & MATERIALS2,000.00476.185,000.002,657.967,000.00
100-15160-531600SMALL EQUIPMENT – NON CAPITAL900.000.001,200.000.004,500.00
100-15160-531750UNIFORMS300.000.00500.00700.731,000.00
Division: 15160Business Services Total:242,673.3981,279.45257,125.00 171,372.36275,634.99

NON DEPARTMENTAL

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-15110-521100CONSULTANT FEES80,000.000.0080,000.000.0080,000.00
100-15110-521217LEGAL, OTHER350,000.00107,975.00150,000.0068,925.25200,000.00
100-15110-521218SHREDDING2,000.00581.692,000.001,626.862,000.00
100-15110-522250AUTO & TRUCK REPAIR (ADMIN. VEHICLE)3,000.00899.163,000.002,579.983,000.00
100-15110-522320RENTAL OF EQUIP & VEHICLE200.007,943.250.001,690.687,000.00
100-15110-523300ADVERTISEMENT200.00105.00400.000.000.00
100-15110-523945WEBSITE15,000.0024,985.0030,000.0029,970.0030,000.00
100-15110-523946SEE CLICK FIX SOFTWARE3,000.000.003,000.006,154.463,000.00
100-15110-531140SUPPLIES & MATERIALS (CITY HALL)10,000.002,692.0412,000.003,708.9812,000.00
100-15110-531710CHRISTMAS DECORATIONS0.000.000.000.000.00
100-15110-542402AGENDA SOFTWARE8,000.0015,169.9820,000.0012,866.8420,000.00
100-15110-542403CITY-WIDE DIGITAL SOFTWARE CONVER25,000.008,369.1025,000.007,533.0025,000.00
100-15110-542404APP SOFTWARE10,000.000.0010,000.000.000.00
100-15110-542526OPENGOV50,000.0030,529.1850,000.0010,176.3950,000.00
100-15110-571000ABATEMENT PROGRAM15,000.000.0015,000.000.0015,000.00
100-15110-579000CONTINGENCIES0.000.001,039,057.0034,184.3350,000.00
Division: 15110NON-DEPARTMENTAL Total:736,400.00 226,104.24 1,814,457.00471,737.271,027,000.00

GOVERNMENTAL BUILDINGS

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-15650-511100REGULAR EMPL. SALARIES179,588.8853,854.48179,999.00145,786.59215,711.28
100-15650-511300OVERTIME15,000.002,507.3115,000.0010,827.8725,000.00
100-15650-512100GRP INSRC MEDICAL/DENTAL40,409.0727,772.5540,409.0025,509.6140,000.00
100-15650-512110GROUP INSURANCE LIFE1,500.00252.791,500.00437.901,500.00
100-15650-512111GROUP INSURANCE VISION1,000.00138.801,000.00218.701,000.00
100-15650-512200MEDICARE 1.45%2,200.00800.152,200.002,249.863,490.32
100-15650-512400PENSION30,000.0012,205.9530,000.002,381.403,000.00
100-15650-512700WORKER’S COMPENSATION2,500.00643.032,500.000.006,000.00
100-15650-512851HRA6,000.000.006,000.000.0010,000.00
100-15650-521200PROFESSIONAL FEES10,000.000.0010,000.003,004.4210,000.00
100-15650-521230ENGINEERING FEES5,000.000.005,000.000.005,000.00
100-15650-522210MAINTENANCE AGREEMENTS50,000.0034,163.6055,000.0016,097.9855,000.00
100-15650-522219LANDSCAPING330,000.00261,318.59330,000.00189,522.00330,000.00
100-15650-522220MAINTENANCE & CLEANING5,000.000.005,000.002,768.255,000.00
100-15650-522224EQUIPMENT REPAIRS10,000.00197.6210,000.00925.2020,000.00
100-15650-522230AUTO & TRUCK REPAIR1,000.00120.001,000.000.003,500.00
100-15650-522310Rental of Land and Building1,000.000.001,000.00(6,000.00)1,200.00
100-15650-522318FACILITY CLEANING POLICE DEP25,200.0025,200.0031,000.0018,866.1131,000.00
100-15650-522319FACILITY CLEANING PW ADMIN8,520.008,520.0010,000.000.0012,000.00
100-15650-522320RENTAL OF EQUIP & VEHICLE1,000.000.001,000.000.000.00
100-15650-522321FACILITY CLEANING CITY HALL30,240.0033,740.0038,000.0035,160.7438,000.00
100-15650-522322FACILITY CLEANING MMC37,200.0042,900.0048,000.0023,477.5138,000.00
100-15650-522323FACILITY CLEANING TSCC8,520.008,520.0010,000.005,200.008,500.00
100-15650-522324FACILITY CLEANING MUNICIPAL10,692.0010,692.0015,000.007,769.1815,000.00
100-15650-522325FACILITY CLEANING PW ADMIN7,680.007,680.0010,000.007,800.0010,000.00
100-15650-522326FACILITY CLEANING WTP7,680.007,680.009,000.005,200.009,000.00
100-15650-522330EQUIPMENT REPAIRS CITY HALL10,000.004,290.9610,000.0011,169.4525,000.00
100-15650-522334EQUIPMENT REPAIRS MMC5,000.001,531.7110,000.004,585.0015,000.00
100-15650-522335EQUIPMENT REPAIRS MAINTENANCE3,000.00755.003,000.00358.295,000.00
100-15650-522336EQUIPMENT REPAIRS TSCC10,000.000.0010,000.001,562.0010,000.00
100-15650-522337EQUIPMENT REPAIRS MUNICIPAL5,000.00353.805,000.000.005,000.00
100-15650-522338EQUIPMENT REPAIRS WTP1,000.00113.501,000.005,102.657,000.00
100-15650-522339EQUIPMENT REPAIRS PW ADMIN5,000.000.005,000.0011,127.0015,000.00
100-15650-522340EQUIPMENT REPAIRS POLICE DEP5,500.002,203.495,500.0010,096.5415,000.00
100-15650-523100PUBLIC NOTICES100.000.00100.000.00200.00
100-15650-523500TRAVEL2,500.00850.472,500.00622.763,000.00
Division: 15650GOVERNMENTAL BUILDINGS/PROPER1,012,529.95672,373.301,073,708.00700,090.021,291,101.60

MUNICIPAL COURT

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-25000-511140JUDGE68,200.0027,083.3568,600.0048,749.9965,000.00
100-25000-511141SOLICITOR30,000.000.0030,000.000.0030,000.00
100-25000-511142COURT CLERK & ASSISTANTS201,392.0058,320.02211,462.00131,034.68240,647.00
100-25000-511300OVERTIME0.0030.15250.00916.422,000.00
100-25000-512100GRP INSRC MEDICAL/DENTAL40,409.0750,752.0540,409.0075,598.61105,515.95
100-25000-512110GROUP INSURANCE LIFE2,000.00294.482,000.00546.12830.50
100-25000-512111GROUP INSURANCE VISION1,000.00277.601,000.00447.121,000.00
100-25000-512200MEDICARE 1.45%3,000.001,190.213,000.002,582.474,460.89
100-25000-512400PENSION23,000.009,357.9023,000.0018,257.4923,000.00
100-25000-512600UNEMPLOYMENT INSURANCE2,000.000.002,000.000.000.00
100-25000-512700WORKER’S COMPENSATION6,000.001,543.246,000.000.006,000.00
100-25000-512851HRA, DEDUCTIBLE3,000.000.003,000.000.000.00
100-25000-512221LEGAL – INDIGENT2,000.002,000.003,300.0029,700.0040,000.00
100-25000-512225INTERPRETER1,000.001,000.003,000.00720.953,000.00
100-25000-512310COURT SOFTWARE21,685.0013,375.5935,000.0022,043.7535,000.00
100-25000-512335SHREDING900.00406.851,400.00840.702,000.00
100-25000-512341COPIER RENTAL3,000.003,249.000.000.000.00
100-25000-5123220GEORGIA TECHNOLOGY AUTH.150.00150.00150.0077.910.00
100-25000-5123310PUBLIC NOTICES0.000.00200.000.00200.00
100-25000-5123400PRINTING & BINDING3,450.00552.003,000.00686.323,000.00
100-25000-5123500TRAVEL1,700.001,130.004,000.001,428.104,000.00
100-25000-5123600DUES & FEES1,040.00413.041,500.00460.001,500.00
100-25000-5123700EDUCATION & TRAINING2,000.000.002,000.00520.003,000.00
100-25000-5123850PERSONNEL SERVICE0.00900.001,000.003,600.0011,800.00
100-25000-5123851INTERN HELP0.000.003,500.002,928.0010,500.00
100-25000-5123940POSTAGE1,500.001,016.782,500.001,500.663,000.00
100-25000-5123940OFFICE SUPPLIES2,000.00834.622,000.00871.982,000.00
100-25000-5123940NTRL GAS,4545 MUNI COURT2,700.00615.651,800.001,088.041,800.00
100-25000-5123940GA PWR,4602 MUNICIPAL CRT5,550.003,997.397,000.0013,803.7715,000.00
100-25000-5123940HOSPITALITY/FOOD/BEVERAGE250.00250.000.00111.38500.00
100-25000-5123940UNIFORMS300.000.00750.000.00750.00
100-25000-5124200SITE IMPROVEMENTS94,736.007,317.000.0073,471.66550.00
100-25000-5124200FURNITURE & FIXTURES0.000.005,000.003,109.785,000.00
100-25000-5123940BRAIN & SPINAL INJURY1,000.00272.441,400.001,379.161,400.00
100-25000-5123940STATE PROBATION SYS FUND200.0050.00200.00125.00200.00
100-25000-573003FINES 10% JAIL32,000.0018,879.0750,000.0031,747.2950,000.00
100-25000-573004VICTIMS ASSIST. FUND16,000.009,302.9525,000.0015,872.5925,000.00
100-25000-573005BOND REFUND0.000.0050,000.000.0050,000.00
100-25000-573006GA CRIME VICTIM’S FUND208.0078.00250.00182.00250.00
100-25000-573007CTY DRUG ABUSE TR AND EDU2,900.001,071.152,900.001,890.742,900.00
100-25000-573008P. O. A&B FUND40,000.0019,926.8255,000.0039,831.4055,000.00
100-25000-573009P. O. TRAINING FUND32,000.0018,521.3450,000.0030,850.7150,000.00
100-25000-573010INDIGENT DEFENSE FUND30,000.0018,547.1650,000.0031,724.2150,000.00
100-25000-573011DRIVERS ED/TRAINING FUND0.003,790.846,700.008,304.2510,000.00
100-25000-573020WITNESS FEES0.000.001,000.000.001,000.00
Division: 25000 – MUNICIPAL COURT Total:637,233.07274,246.69754,271.00597,003.25916,804.34

Police Department

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-32100-511100REGULAR EMPL SALARIES4,876,012.031,506,824.855,703,520.003,548,608.336,503,520.00
100-32100-511200TEMPORARY EMPLOYEES91,000.007,710.4191,000.0078,458.62120,000.00
100-32100-511300HDTA OVERTIME140,000.0014,499.88230,000.00298,598.55230,000.00
100-32100-512100GRP INSRC MEDICAL/DENTAL1,442,650.00499,888.581,442,650.00867,399.801,525,418.54
100-32100-512110GROUP INSURANCE LIFE18,150.006,614.6518,150.0013,419.5919,043.96
100-32100-512111GROUP INSURANCE VISION7,800.002,275.917,800.005,537.547,800.00
100-32100-512120MEDICARE 1.45%62,000.0023,105.8862,000.0056,377.54125,910.75
100-32100-512400PENSION111,500.0045,365.45111,500.0088,508.97111,500.00
100-32100-512600Unemployment Insurance0.000.000.000.000.00
100-32100-512700WORKER’S COMPENSATION73,700.0018,956.120.000.000.00
100-32100-512851HRA DEDUCTIBLE4,500.000.000.000.000.00
100-32100-512101PROFESSIONAL FEES4,500.000.000.000.000.00
100-32100-512135SHREDDING0.000.000.000.000.00
100-32100-512200REPAIRS & MAINTENANCE12,500.00572.1712,500.003,444.3612,500.00
100-32100-512210MAINTENANCE AGREEMENTS41,000.001,296.6430,000.005,139.750.00
100-32100-512250AUTO & TRUCK REPAIR43,000.0031,490.0050,000.0061,523.14210,000.00
100-32100-512320RENTAL OF EQUIP & VEHICLE4,000.005,592.6614,600.00657.962,000.00
100-32100-512341COPIER RENTAL5,100.005,011.000.000.000.00
100-32100-512310LIABILITY INSURANCE15,000.000.0015,000.0012,801.4015,000.00
100-32100-512220GEORGIA TECHNOLOGY AUTH.325.00550.000.000.000.00
100-32100-512340PRINTING & BINDING550.001,406.162,000.002,352.186,650.00
100-32100-512350TRAVEL30,750.00678.0230,750.0030,779.6345,000.00
100-32100-512360DUES & FEES6,500.002,387.377,000.006,810.6610,000.00
100-32100-512370EDUCATION & TRAINING85,000.0020,227.0085,000.0029,551.38100,000.00
100-32100-512380LICENSES2,500.000.001,500.000.000.00
100-32100-512855CONTRACT SERVICES10,000.0010,000.0020,000.00161,936.28350,000.00
100-32100-512386P O SALARIES – EXTRA DUTY68,000.000.0068,000.000.000.00
100-32100-512392PRE-EMPLOYMENT SCREENING7,000.006,976.1610,000.0023,576.2530,000.00
100-32100-512393DRUG TESTING, VACCINES4,000.004,000.000.007,532.000.00
100-32100-512394POSTAGE1,000.00673.001,000.00871.5417,500.00
100-32100-512130OFFICE SUPPLIES10,000.002,500.9610,000.0010,300.9815,000.00
100-32100-512140SUPPLIES & MATERIALS42,000.0036,861.4745,000.0040,816.8655,000.00
100-32100-512122NTRL GAS, 4545 MUNI COURT3,900.001,816.245,500.003,550.825,500.00
100-32100-512127GA POWER ELECTRICITY12,300.006,571.0425,500.0022,019.9740,000.00
100-32100-512190CABLE1,920.0074,777.82250,000.00152,504.80250,000.00
100-32100-512160SMALL EQUIPMENT45,000.00937.9125,000.000.000.00
100-32100-512166K-9 SUPPLIES & SERVICES0.003,500.003,000.005,416.855,000.00
100-32100-512170MISCELLANEOUS EXPENSE15,000.005,014.1310,000.001,497.225,000.00
100-32100-512171HOSPITAL/FOOD/BEVERAGE6,000.00984.8511,000.005,474.3315,000.00
100-32100-512175PROMOTIONAL ITEMS10,000.001,205.0010,000.007,120.3910,000.00
100-32100-512174TIRE EXPENSE6,000.006,000.0015,000.000.000.00
100-32100-531750UNIFORMS50,000.0061,192.7660,000.0050,226.63112,500.00
100-32100-531780COMMUNITY DONATIONS – POLICE0.007,553.830.006,529.6815,000.00
100-32100-542200VEHICLES125,000.00216,718.000.000.000.00
100-32100-542300FURNITURE & FIXTURES5,000.00188.1525,000.002,431.615,000.00
100-32100-542400COMPUTER SOFTWARE131,342.9794,899.68135,000.0086,830.205,000.00
100-32100-542500EQUIPMENT375,000.0029,066.285,000.0046,275.60130,000.00
100-32100-573008P. O. A&B FUND16,000.003,600.0022,000.0011,060.0035,300.00
100-32100-573013LEGAL DEFENSE FUND7,000.006,264.507,000.006,264.508,245.00
Division: 32100 – POLICE ADMINISTRATION Total:Total:8,200,000.002,859,419.858,685,290.005,782,002.2410,182,808.25

Public Works

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-42200-511100REGULAR EMPL SALARIES1,166,892.33373,961.451,225,237.00789,400.411,600,000.00
100-42200-511300OVERTIME35,000.009,419.8135,000.0037,118.3750,000.00
100-42200-512100GRP INSRC MEDICAL/DENTAL332,863.00166,820.92332,863.00346,810.89479,024.75
100-42200-512110GROUP INSURANCE LIFE13,500.001,822.2713,500.003,786.234,627.74
100-42200-512111GROUP INSURANCE VISION4,500.00784.314,500.002,054.974,500.00
100-42200-512200MEDICARE 1.45%20,400.005,476.0720,400.0011,758.8523,952.00
100-42200-512400PENSION300,000.00122,059.55300,000.00238,140.63300,000.00
100-42200-512600UNEMPLOYMENT INSURANCE15,000.000.0015,000.000.000.00
100-42200-512700WORKER’S COMPENSATION62,000.0016,046.770.000.000.00
100-42200-512851HRA, DEDUCTIBLE40,000.003,128.774,000.002,673.2640,000.00
100-42200-512201PROFESSIONAL25,000.0022,500.0025,000.000.0025,000.00
100-42200-512230ENGINEERING FEES25,000.0022,500.003,000.00216.005,000.00
100-42200-522000ROW LANDSCAPING400,000.00305,532.00400,000.00197,295.02400,000.00
100-42200-522150SURVEILLANCE CAMERAS13,500.000.005,000.00616.005,000.00
100-42200-522210MAINTENANCE AGREEMENTS5,000.001,232.003,000.002,043.203,000.00
100-42200-522220MAINTENANCE & CLEANING3,000.003,000.0075,000.0054,244.52200,000.00
100-42200-522241TRAFFIC SIGNAL MAINTENANCE35,000.0026,057.3435,000.0023,991.0550,000.00
100-42200-522242LMIG S013642-PRC,3 STRTS288,000.0036,104.00300,000.0017,655.8150,000.00
100-42200-522250AUTO & TRUCK REPAIR15,000.004,143.9215,000.0018,437.2125,000.00
100-42200-522320RENTAL OF EQUIP & VEHICLE2,500.0010,361.702,500.000.002,500.00
100-42200-522341COPIER RENTAL5,000.002,881.005,000.000.005,000.00
100-42200-522345TELECOMMUNICATIONS5,000.005,414.475,000.000.005,000.00
100-42200-523100PUBLIC NOTICES100.000.00100.000.00100.00
100-42200-523500PRINTING & BINDING3,500.002,287.923,500.00605.267,000.00
100-42200-523600TRAVEL1,000.000.001,000.00534.581,000.00
100-42200-523700DUES & FEES7,500.002,421.707,500.000.0020,000.00
100-42200-523850PERSONNEL SERVICE80,000.0080,000.00100,000.0019,867.05100,000.00
100-42200-523930UTILITY PROTECTION SERV.5,000.000.005,000.000.000.00
100-42200-523960DRUG TESTING, VACCINES1,000.001,000.002,500.000.002,500.00
100-42200-531130OFFICE SUPPLIES1,000.00638.241,000.00454.401,000.00
100-42200-531140SUPPLIES & MATERIALS15,000.009,744.3815,000.0014,744.4318,000.00
100-42200-531142HAND TOOLS & SMALL EQUIP.15,000.004,658.6415,000.004,633.3820,000.00
100-42200-531145MOSQUITO SPRAYING1,500.00625.001,500.00255.001,500.00
100-42200-531211NTRL GAS,4545 MUNI COURT9,000.002,755.159,000.005,379.149,000.00
100-42200-531222GA POWER ELECTRICITY21,000.0012,571.3421,000.0027,510.6040,000.00
100-42200-531233STREET LIGHTS, OUTSIDE750,000.00259,507.33750,000.00636,796.06900,000.00
100-42200-531270ENERGY-GASOLINE/DIESEL45,000.0019,058.8850,000.0045,787.5865,000.00
100-42200-531700CHRISTMAS DECORATIONS2,500.000.002,500.00860.662,500.00
100-42200-531710SIGNS15,000.000.0015,000.000.0030,000.00
100-42200-531740TIRE EXPENSE7,500.00815.477,500.006,239.727,500.00
100-42200-531750UNIFORMS11,000.0014,027.8215,000.009,137.5520,000.00
100-42200-541403PAVING25,000.000.000.000.000.00
100-42200-541404SIDEWALKS300,000.00297,125.000.000.000.00
100-42200-541408HC IGA 2025 PAVING PROJECT0.000.000.00110,000.000.00
100-42200-542200VEHICLES240,000.000.000.000.000.00
100-42200-542400COMPUTER SOFTWARE5,500.005,111.2135,000.0024,266.8635,000.00
100-42200-542500EQUIPMENT200,000.00194,407.060.000.000.00
Division: 42200 – PUBLIC WORKS Total:4,611,855.332,057,774.393,906,200.002,659,219.264,900,804.49

Parks

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-62200-522151SURVEILLANCE CAMERAS-REEVES CREEK TRAIL5,500.000.000.000.000.00
100-62200-522152SURVEILLANCE CAMERAS-MEMORIAL PARK37,500.000.000.000.000.00
100-62200-522153SURVEILLANCE CAMERAS-CLARK PARK37,500.000.000.000.000.00
100-62200-522154SURVEILLANCE CAMERAS-GARDNER PARK27,500.000.000.000.000.00
100-62200-522224FOUNTAIN MAINTENANCE15,000.00966.5215,000.007,504.0615,000.00
100-62200-522225BRIDGE MAINTENANCE5,000.000.005,000.000.005,000.00
100-62200-522230EQUIPMENT REPAIRS6,000.003,962.220.008,750.006,000.00
100-62200-522250AUTO & TRUCK REPAIR0.000.000.000.000.00
100-62200-523220GEORGIA TECHNOLOGY AUTH.600.00300.001,000.00451.150.00
100-62200-523240AT&T CLUB SERVICE4,500.004,762.530.00(600.00)15,000.00
100-62200-531140SUPPLIES & MATERIALS13,400.005,879.7820,000.0010,931.9320,000.00
100-62200-531142HAND TOOLS & SMALL EQUIP.3,500.000.005,000.003,507.384,000.00
100-62200-531222GA POWER ELECTRICITY25,000.0053,373.19155,000.00110,385.20180,000.00
100-62200-531209MISCELLANEOUS EXPENSE0.001,325.004,500.0085.00200.00
100-62200-542400IMPROVEMENTS0.000.005,500.000.000.00
100-62200-542500COMPUTER SOFTWARE0.000.000.000.000.00
100-62200-542502EQUIPMENT0.000.0010,000.003,547.4610,000.00
100-62200-542502MISCELLANEOUS0.000.000.000.000.00
Division: 62200 – PARKS Total:181,000.0070,569.24221,000.00144,562.18255,200.00

City Events

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-61900-511100REGULAR EMPL. SALARIES0.000.000.000.00677,758.10
100-61900-511300OVERTIME0.000.000.000.0010,000.00
100-61900-512100GRP INSRC MEDICAL/DENTAL0.000.000.000.00198,043.52
100-61900-512110GROUP INSURANCE LIFE0.000.000.000.002,950.00
100-61900-512111GROUP INSURANCE VISION0.000.000.000.000.00
100-61900-512200MEDICARE 1.45%0.000.000.000.009,827.50
100-61900-512400PENSION0.000.000.000.0060,000.00
100-61900-512600Unemployment Insurance0.000.000.000.0010,000.00
100-61900-512700WORKER’S COMPENSATION0.000.000.000.000.00
100-61900-52851HRA REIMBURSEMENT0.000.000.000.0020,000.00
100-61900-523231CELL PHONES0.000.000.000.000.00
100-61900-523245Telecommunications0.000.000.000.000.00
100-61900-523300ADVERTISING30,000.000.0035,000.0023,072.9935,000.00
100-61900-531701HOSPITALITY1,500.00636.001,500.00526.245,000.00
100-61900-531705CHRISTMAS DECORATIONS40,000.008,715.4840,000.009,760.5040,000.00
100-61900-531710SIGNS10,000.000.0015,000.000.0015,000.00
100-61900-531720MEMORIAL DAY MARCH3,000.002,946.655,000.004,331.445,000.00
100-61900-531727PRETTY IN PINK25,000.0016,175.0037,500.0011,477.4645,000.00
100-61900-531733CAREER FAIRS1,500.00458.932,000.001,220.002,000.00
100-61900-5317349/11 CEREMONY0.00360.004,500.00450.004,500.00
100-61900-531736BRIDGEFEST120,000.0044,430.00150,000.0017,573.42150,000.00
100-61900-531737FOOD TRUCKS40,000.0029,839.0140,000.0014,573.4240,000.00
100-61900-531738VETERAN’S DAY PARADE10,000.000.0015,000.003,490.3515,000.00
100-61900-531757BACK TO SCHOOL13,000.001,150.0015,000.004,053.8215,000.00
100-61900-531758JULY 4TH EVENT140,000.0050,870.00150,000.00194,013.71170,000.00
100-61900-531759JUNETEENTH EVENT120,000.0042,680.00140,000.00120,955.22120,000.00
100-61900-531760VOLUNTEER GALA12,000.001,442.8615,000.00(2,000.00)0.00
100-61900-531761HISPANIFEST0.000.000.000.0015,000.00
100-61900-542200VEHICLES0.000.000.000.000.00
Division: 61900 – CITY EVENTS Total:570,000.00199,703.93670,000.00404,161.071,669,579.12

PLANNING AND ZONNING

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-74100-511100REGULAR SALARIES386,526.47107,248.82460,000.00256,137.74456,630.00
100-74100-512100GRP INSRC MEDICAL/DENTAL67,348.4511,884.9567,348.0025,614.5985,000.00
100-74100-512110GROUP INSURANCE LIFE3,300.00299.643,300.00652.681,300.00
100-74100-512111GROUP INSURANCE VISION1,000.00114.501,000.00276.661,000.00
100-74100-512200MEDICARE 1.45%3,600.001,505.633,600.003,598.846,621.00
100-74100-512400PENSION61,800.0025,144.2561,800.0049,056.9361,800.00
100-74100-512600UNEMPLOYMENT INSURANCE12,000.000.0012,000.000.0012,000.00
100-74100-512700WORKER’S COMPENSATION12,000.003,086.480.000.0012,000.00
100-74100-512851HRA DEDUCTIBLE10,000.000.0010,000.0054.1910,000.00
100-74100-521150ZONING BOARD STIPEND4,100.00275.005,600.00875.005,600.00
100-74100-521200PROFESSIONAL FEES11,034.07(13,282.42)100,000.000.00200,000.00
100-74100-521300TECHNICAL SERVICES2,695.930.003,000.00975.005,000.00
100-74100-522110SOFTWARE13,770.0012,270.000.008,765.960.00
100-74100-522250MAINTENANCE AGREEMENTS0.000.000.000.000.00
100-74100-522341COPIER RENTAL1,000.004,731.200.000.000.00
100-74100-523300ADVERTISEMENT4,000.00376.005,000.002,988.005,000.00
100-74100-523400PRINTING & BINDING4,000.002,331.904,000.002,427.945,000.00
100-74100-523500TRAVEL4,500.000.0010,000.0059.9110,000.00
100-74100-523501ZONING ADVISORY BOARD TRAVEL0.000.002,000.000.002,000.00
100-74100-523600DUES & FEES775.000.002,250.0048.603,000.00
100-74100-523700EDUCATION & TRAINING3,500.003,500.006,000.001,074.7110,000.00
100-74100-523850ZONING ADVISORY BD ED & TRAINING400.000.001,000.00250.001,000.00
100-74100-523851PERSONNEL SERVICES0.000.0025,000.000.0025,000.00
100-74100-523851INTERN HELP0.000.003,500.000.005,000.00
100-74100-523940POSTAGE500.000.002,500.0093.982,500.00
100-74100-531100SUPPLIES & MATERIALS3,500.00620.113,500.003,829.185,000.00
100-74100-531270ENERGY-GASOLINE/DIESEL1,000.000.001,500.000.002,000.00
100-74100-531400BOOKS & PERIODICALS0.000.001,200.0046.001,200.00
100-74100-531600SMALL EQUIPMENT – NON-CAPITAL750.000.002,500.000.008,000.00
100-74100-531701HOSPITALITY/FOOD/BEVERAGE300.001,140.592,000.00788.765,000.00
100-74100-531750UNIFORMS400.0071.201,500.00498.341,500.00
100-74100-542200VEHICLES0.000.000.00280.00100,000.00
100-74100-542300FURNITURE & FIXTURES0.000.003,500.00235.223,500.00
100-74100-542400COMPUTER SOFTWARE0.000.000.000.000.00
Division: 74100 – PLANNING & ZONING Total:614,199.92161,317.85806,598.00358,877.831,053,651.00

PERMITTING- COMMUNITY DEVELOPMENT

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-72000-511100REGULAR EMPL. SALARIES402,686.0173,419.66422,821.00229,581.32383,094.40
100-72000-511300OVERTIME0.00127.100.003,067.720.00
100-72000-512100GRP INSRC MEDICAL/DENTAL26,939.3833,085.4726,940.0077,063.10108,930.10
100-72000-512110GROUP INSURANCE LIFE550.00346.34550.00930.901,781.97
100-72000-512111GROUP INSURANCE VISION1,000.00122.731,000.00448.871,000.00
100-72000-512200MEDICARE 1.45%1,000.001,022.631,000.003,393.475,554.87
100-72000-512400PENSION20,000.008,137.3020,000.0015,876.0020,000.00
100-72000-512600UNEMPLOYMENT INSURANCE2,000.000.002,000.000.000.00
100-72000-512700WORKER’S COMPENSATION2,000.00514.400.000.000.00
100-72000-512851HRA DEDUCTIBLE3,000.000.003,000.000.000.00
100-72000-521200PROFESSIONAL FEES10,000.000.005,000.000.005,000.00
100-72000-521202CONSULTING SERVICES – BSD294,600.00198,833.350.000.000.00
100-72000-521203CONSULTING SERVICES – ENG.54,000.0033,250.00100,000.0030,000.00100,000.00
100-72000-521310SOFTWARE17,600.0017,544.00110,000.0074,871.82110,000.00
100-72000-522210MAINTENANCE AGREEMENT(1,500.00)0.000.000.000.00
100-72000-522250AUTO & TRUCK REPAIR1,000.00365.445,000.0055.006,000.00
100-72000-522341COPIER RENTAL600.000.000.000.000.00
100-72000-523400PRINTING & BINDING500.00169.24500.000.001,500.00
100-72000-523500TRAVEL1,000.000.006,000.00980.0015,000.00
100-72000-523600DUES & FEES500.000.005,000.00170.005,000.00
100-72000-523700EDUCATION & TRAINING1,000.000.000.000.0015,000.00
100-72000-523850PERSONNEL SERVICES34,300.009,184.5336,000.004,412.98112,000.00
100-72000-523851INTERN HELP0.000.003,500.008,164.007,500.00
100-72000-523940POSTAGE100.000.002,000.000.002,000.00
100-72000-531100GEN SUPPLIES & MAT500.000.001,500.00476.323,000.00
100-72000-531140SUPPLIES AND MATERIALS500.000.002,500.00257.493,000.00
100-72000-531270ENERGY-GASOLINE/DIESEL3,000.00807.684,000.001,471.774,000.00
100-72000-531701HOSPITALITY/FOOD/BEVERAGE0.000.000.00163.160.00
100-72000-531750UNIFORMS700.000.001,000.00546.525,000.00
100-72000-542200VEHICLES0.000.000.000.000.00
100-72000-542300FURNITURE & FIXTURES7,000.006,098.843,000.000.007,000.00
Division: 72000 – PERMITTING DEVELOPMENT Total:884,575.39383,028.71762,311.00452,620.44921,361.34

ECONOMIC DEVELOPMENT

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-75100-511100REGULAR SALARIES146,280.1247,538.08153,595.00168,599.67278,160.14
100-75100-511300OVERTIME0.00424.120.002,587.530.00
100-75100-512100GRP INSRC MEDICAL/DENTAL40,409.0717,525.6540,409.0026,189.6560,930.91
100-75100-512110GROUP INSURANCE LIFE1,650.00187.631,650.00610.701,121.12
100-75100-512111GROUP INSURANCE VISION3,000.0084.403,000.00169.293,000.00
100-75100-512200MEDICARE 1.45%3,300.00695.493,300.002,426.434,033.33
100-75100-512400PENSION30,900.0012,572.1530,900.0024,528.5130,900.00
100-75100-512600UNEMPLOYMENT INSURANCE6,000.000.006,000.000.006,000.00
100-75100-512700WORKER’S COMPENSATION6,000.001,543.240.000.000.00
100-75100-512851HRA DEDUCTIBLE6,000.000.006,000.000.006,000.00
100-75100-5121200PROFESSIONAL SERVICES20,000.0022,804.0030,000.004,018.0030,000.00
100-75100-521310SOFTWARE0.000.000.001,376.000.00
100-75100-522341COPIER RENTAL1,000.000.000.000.000.00
100-75100-523240AT&T CLUB SERVICE3,000.000.000.000.000.00
100-75100-523400PRINTING & BINDING1,000.000.00500.000.00500.00
100-75100-523500TRAVEL5,000.00(173.64)5,000.00725.356,000.00
100-75100-523600DUES & FEES2,000.001,280.002,000.00975.672,000.00
100-75100-523700EDUCATION & TRAINING5,000.000.005,000.0060.005,000.00
100-75100-523708ED INCENTIVES50,000.000.0025,000.000.0035,000.00
100-75100-523851INTERN HELP4,500.002,081.253,500.000.003,500.00
100-75100-523940POSTAGE500.000.00250.0011.58250.00
100-75100-531140SUPPLIES & MATERIALS1,500.00427.471,500.001,296.111,500.00
100-75100-531701HOSPITALITY/FOOD/BEVERAGE3,000.00443.502,500.00881.922,500.00
100-75100-531750UNIFORMS250.000.00250.000.00250.00
100-75100-542400COMPUTER SOFTWARE10,200.005,256.0010,200.006,445.5010,200.00
Division: 75100 – ECONOMIC DEVELOPMENT Total:350,489.19112,689.34330,554.00240,901.91486,845.50

MAIN STREET

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-75500-511100REGULAR SALARIES127,083.5133,622.21133,438.0077,833.36133,438.00
100-75500-511300OVERTIME0.000.00500.001,710.001,000.00
100-75500-512100GRP INSRC MEDICAL/DENTAL26,939.3812,112.7326,939.0017,327.6226,939.00
100-75500-512110GROUP INSURANCE LIFE620.00158.88620.00323.80620.00
100-75500-512111GROUP INSURANCE VISION1,000.0063.011,000.00119.881,000.00
100-75500-512200MEDICARE 1.45%1,500.00525.671,500.001,123.281,934.85
100-75500-512400PENSION20,000.008,137.3020,000.0015,876.0020,000.00
100-75500-512600UNEMPLOYMENT INSURANCE600.000.00600.000.00600.00
100-75500-512700WORKER’S COMPENSATION1,200.00308.630.000.000.00
100-75500-512851HRA, DEDUCTIBLE4,000.000.004,000.000.004,000.00
100-75500-521200PROFESSIONAL FEES5,000.002,056.895,000.007,715.006,000.00
100-75500-522341COPIER RENTAL1,700.001,671.000.000.000.00
100-75500-523240AT&T CLUB SERVICE3,000.002,592.470.000.000.00
100-75500-523400PRINTING & BINDING2,500.00493.462,000.00367.922,000.00
100-75500-523500TRAVEL5,000.00282.755,000.004,538.827,000.00
100-75500-523520MAIN STREET BOARD TRAVEL3,500.00309.003,500.000.002,000.00
100-75500-523600DUES & FEES1,300.000.001,300.00869.881,300.00
100-75500-523700EDUCATION & TRAINING3,050.0075.003,000.002,941.484,000.00
100-75500-523720MAIN STREET BOARD EDUCATION & T3,575.000.003,500.00630.002,500.00
100-75500-523851INTERN HELP2,000.004,515.002,000.000.003,500.00
100-75500-523940POSTAGE200.000.00200.000.00100.00
100-75500-523945WEB SITE4,000.001,188.004,000.004,000.004,000.00
100-75500-531140SUPPLIES & MATERIALS2,000.00186.572,000.0059.641,000.00
100-75500-531227GA PWR, MAIN STREET5,000.002,528.506,000.004,871.060.00
100-75500-531701HOSPITALITY/FOOD/BEVERAGE5,000.00471.533,000.00646.223,000.00
100-75500-531707ENTERTAINMENT5,000.001,917.535,000.004,728.005,000.00
100-75500-531724DOWNTOWN BEAUTIFICATION2,000.000.002,000.000.002,000.00
100-75500-531725PROMOTIONAL SUPPLIES2,500.00299.312,500.00300.001,000.00
100-75500-531750UNIFORMS845.000.001,000.0051.001,000.00
100-75500-542300FURNITURE & FIXTURES0.000.000.000.000.00
Division: 75500 – Main Street Program Total:238,612.8973,515.44240,097.00146,217.96240,931.85

GIS PLANNING

Account NumberAccount DescriptionFY 2023 ACTUALFY 2024 BUDGETFY 2024 ACTUALFY 2025 APPROVEDFY 2025 YTDFY 2026 PROPOSED
100-75700-511100REGULAR EMPLOYEE SALARIES58,801.2368,393.0024,989.8071,813.0044,468.4675,404.00
100-75700-512100GRP INSUR MEDICAL / DENTAL11,018.9913,469.695,793.9113,470.005,843.66247.52
100-75700-512110GROUP INSURANCE LIFE480.57300.00289.62300.00379.480.00
100-75700-512111GROUP INSURANCE VISION66.221,000.0024.081,000.0013.321,000.00
100-75700-512200MEDICARE 1.45%851.331,000.00357.831,000.00640.911,093.36
100-75700-512400PENSION4,896.246,500.002,644.606,500.005,159.706,500.00
100-75700-512600UNEMPLOYMENT INSURANCE0.00700.000.00700.000.000.00
100-75700-512700WORKERS’ COMPENSATION252.69500.00128.592,000.000.002,000.00
100-75700-512851HRA DEDUCTIBLE0.002,000.000.002,000.000.000.00
100-75700-521200PROFESSIONAL SERVICES0.000.000.0010,000.001,883.3315,000.00
100-75700-521300Technical Services5,380.005,700.000.000.000.000.00
100-75700-521310SOFTWARE0.004,235.004,235.008,000.008,690.5815,000.00
100-75700-523410COPIER RENTAL1,609.441,700.001,610.000.000.000.00
100-75700-523400PRINTING & BINDING1,442.692,000.0042.761,500.00823.302,000.00
100-75700-523500TRAVEL0.001,200.000.001,500.000.003,000.00
100-75700-523600DUES & FEES0.00250.000.00700.000.00700.00
100-75700-523700EDUCATION & TRAINING0.001,500.000.000.000.002,500.00
100-75700-531110COMPUTER EXPENSE22,941.000.000.000.000.000.00
100-75700-531140SUPPLIES & MATERIALS1,742.003,000.000.002,500.00680.863,000.00
100-75700-531725PROMOTIONAL ITEMS0.000.000.00300.000.00300.00
100-75700-531750UNIFORMS20.49200.000.00300.000.008,000.00
100-75700-541100LAND ACQUISITIONS / SITES0.000.000.000.000.000.00
Division: 75700 – GIS/PLANNING Total:102,334.14116,512.6940,116.19123,083.0068,583.60135,744.88

OTHER FINANCING USES

Account NumberAccount DescriptionFY 2022 BUDGETFY 2022 ACTUALFY 2023 BUDGET2026 Payments
100-90000-611276TRANSFER GF AND CEMETERY20,000.0010,775.8910,000.00
100-90000-611300TRANSFER GF AND SDDA45,000.000.0090,000.00
100-90000-611650TRANSFER TO/FROM URA120,521.88120,521.871,208,355.50
100-90000-612020TRANSFER TO/FROM PFA FUND188,042.00301,456.262,943,804.26
100-90000-612030TRANSFER TO/FROM SPLOST V0.000.000.00
100-90000-612040TRANSFER TO/FROM AMPHITHEATER OPERATING0.000.000.00
Division: 90000 – OTHER FINANCING USES Total:182,753.29929,493.744,252,159.76

variance

PFA
Series C – Maturity Date 08/01/2036

2026 Payments
9,910,000.001,030,000.00
14,865,000.001,265,000.00
25,805,000.001,265,000.00
632,500.00

URA
Series 2005B, 2006A and 2006C – Maturity Date 02/01/2031

2026 Payments
17,125,000.001,055,033.00
5,000,000.00311,812.25
7,330,000.00447,306.25
4,795,000.00295,914.50
34,250,000.002,110,066.00
158,987.00

Principal Payment Due every February 1
Interest Payment Due every August 1

PROPERTY EVIDENCE

Account NumberAccount DescriptionFY 2023 BUDGETFY 2024 BUDGETFY 2025 APPROVEDFY 2026 PROPOSED
211-15100-523901BANK CHARGES0.000.000.000.00
Division: 15100 – FINANCIAL ADMINISTRATION Total:0.000.000.000.00
211-32100-573000PROPERTY & EVIDENCE F0.005,998.000.000.00
Division: 32100 – POLICE ADMINISTRATION Total:0.005,998.000.000.00
Fund: 211 – PROPERTY AND EVIDENCE FUND Total:0.005,998.000.000.00

CONFISCATED ASSETS

Account NumberAccount DescriptionFY 2023 BUDGETFY 2024 BUDGETFY 2025 APPROVEDFY 2026 PROPOSED
210-15100-523901BANK CHARGES0.000.000.000.00
Division: 15100 – FINANCIAL ADMINISTRATION Total:0.000.000.000.00
Fund: 210 – CONFISCATED ASSETS FUND Total:0.000.000.000.00

ARPA

Account NumberAccount DescriptionFY 2023 BUDGETFY 2024 BUDGETFY 2025 APPROVEDFY 2026 PROPOSED
230-15100-512200MEDICARE 1.45%0.000.000.000.00
230-15100-512900INCENTIVE PROGRAM0.0049,559.260.000.00
230-15100-512901EMPLOYEE RETENTION PROGRAM0.000.000.000.00
230-15100-531110COMPUTER EXPENSE0.000.000.000.00
Division: 15100 – FINANCIAL ADMINISTRATION Total:0.0049,559.260.000.00
230-15650-531143SECURITY UPGRADE0.000.000.000.00
230-15650-541143FACILITIES SECURITY EQUIPMENT0.000.000.000.00
230-15650-541200SITE IMPROVEMENTS0.0027,585.940.000.00
Division: 15650 – GOVERNMENT BUILDINGS/PROPERTY Total:0.0027,585.940.000.00
230-32100-541492POLICE BUILDING CONSTRUCTION0.000.000.000.00
230-32100-541493TECHNOLOGY0.000.000.000.00
230-32100-542200VEHICLES0.000.000.000.00
230-32100-542500EQUIPMENT0.000.000.000.00
Division: 32100 – POLICE ADMINISTRATION Total:0.000.000.000.00
230-42500-521230ENGINEERING FEES – STORMWATER0.000.000.000.00
230-42500-541490STORMWATER CONSTRUCTION0.0041,354.720.000.00
230-42500-542510STORMWATER REPAIR0.000.000.000.00
Division: 42500 – STORMWATER Total:0.0041,354.720.000.00
230-43300-521200PROFESSIONAL SERVICES – SEWER0.000.000.000.00
230-43300-521230ENGINEERING FEES – SEWER0.000.000.000.00
230-43300-541489SEWER CONSTRUCTION0.00448,454.830.000.00
Division: 43300 – SEWER Total:0.00448,454.830.000.00
230-44200-521200PROFESSIONAL SERVICES – WATER0.000.000.000.00
230-44200-521230ENGINEERING FEES – WATER0.000.000.000.00
230-44200-541491WATER CONSTRUCTION0.0079,870.000.000.00
Division: 44200 – WATER Total:0.0079,870.000.000.00
230-61900-522328BLDG & FACILITY REPAIRS MMC0.007,336.330.000.00
Division: 61900 – CITY EVENTS Total:0.007,336.330.000.00
230-75100-523950ED CITYWIDE MARKETING46,231.352,500.000.000.00
230-75100-523951BOOTH4,750.003,877.870.000.00
230-75100-523952ED CONNECTION CENTER OUTFITTING & OPERATIONS15,000.000.000.000.00
230-75100-523953ED SB ENTREPRENEURSHIP PROGRAM0.000.000.000.00
230-75100-523954ED SB EVENTS & MEETINGS PROGRAM15,000.000.000.000.00
230-75100-523955ED WORKFORCE DEVELOPMENT10,000.000.000.000.00
230-75100-523956ED PUBLIC ARTS PROGRAM20,000.004,500.000.000.00
230-75100-523957ED DTWN RED & ED STRATEGY IMPLEMENTATION3,464.000.000.000.00
230-75100-523958ED DTWN BANNER PROGRAM5,270.000.000.000.00
230-75100-523959ED RESTAURANT WEEK REWARDS PROGRAM10,000.000.000.000.00
230-75100-523961ED DOWNTOWN BUSINESS ASSISTANCE20,970.000.000.000.00
230-75100-523962ED KEEP STOCKBRIDGE BEAUTIFUL10,000.000.000.000.00
230-75100-523963ED SB FACADE & BLDG IMPROVEMENT PROGRAM30,000.0021,050.000.000.00
230-75100-523964ED STOCKBRIDGE BUSINESS PARTNERSHIP10,000.000.000.000.00
230-75100-523965ED STOCKBRIDGE WAYFINDING551,104.000.000.000.00
Division: 75100 – ECONOMIC DEVELOPMENT Total:751,789.3531,927.870.000.00
Fund: 230 – ARPA – LOCAL FISCAL RECOVERY FUND Total:751,789.35686,088.950.000.00

GRANTS ADMINISTRATION

Account NumberAccount DescriptionFY 2024 BUDGETFY 2024 BUDGETFY 2025 APPROVEDFY 2026 PROPOSED
255-15100-531700MISCELLANEOUS EXPENSE1,000,000.000.000.000.00
Division: 15100 – FINANCIAL ADMINISTRATION Total:1,000,000.000.000.000.00
255-32100-511100REGULAR EMPL. SALARIES – POLICE GRANT0.00233,686.83420,000.00420,000.00
255-32100-512100GRP INSRC MEDICAL/DENTAL – POLICE GRANT0.00101,566.48101,567.00101,567.00
255-32100-512110GROUP INSURANCE LIFE – POLICE GRANT0.00843.33844.00844.00
255-32100-512200GROUP INSURANCE VISION – POLICE GRANT0.00534.25535.00535.00
255-32100-512700MEDICARE 1.45% – POLICE GRANT0.003,100.983,101.003,101.00
255-32100-521100WORKER’S COMPENSATION – POLICE GRANT0.000.000.000.00
255-32100-5211052022 LEMHWA CONSULTANT FEES0.0063,960.0063,960.00100,000.00
255-15110-521202GRANTS MATCH0.000.00572,261.00800,000.00
255-32100-5235002022 LEMHWA TRAVEL0.001,089.380.000.00
255-32100-523846LEMHWA0.000.000.000.00
255-32100-5311402022 LEMHWA SUPPLIES & MATERIAL0.002,999.000.000.00
255-32100-531145ASSIST/MENTAL HLTH0.000.000.000.00
255-32100-531150SUPPLIES & MATRL. CRIMINAL JUSTICE0.000.000.000.00
255-32100-531155COORD. CNCL PRG0.0011,797.940.000.00
255-32100-531600SMALL EQUIP – PUB. SFTY & VIOLENT CRIME GRANT0.0022,130.000.000.00
255-32100-5317002022 LEMHWA MISCELLANEOUS EXPENSE0.000.000.000.00
255-32100-531750UNIFORMS – BULLETPROOF VEST GRANT0.000.000.000.00
255-32100-542500EQUIPMENT – CRIMINAL JUSTICE COORD.0.0012,161.000.000.00
255-32100-542505CNCL PRG GRANT0.00227,800.000.000.00
255-32100-5511002022 DE MINIMIS 10% LEMHWA INDIRECT COST0.001,800.000.000.00
Division: 32100 – POLICE ADMINISTRATION Total:0.00683,469.191,162,268.001,426,047.00
255-42200-522243LMIG0.00373,698.200.00500,000.00
255-42200-541490LMIG 20240.000.000.000.00
255-42200-541491LMIG 20250.000.00305,815.000.00
Division: 42200 – PUBLIC WORKS Total:0.00373,698.20305,815.00500,000.00
Division: 43300 – SEWER Total:255-74100-523847LCI 2021 BICYCLE CONNECTIVITY0.000.000.00
Division: 74100 – PLANNING & ZONING Total:0.000.000.00
Fund: 255 – GRANT FUND Total:1,000,000.001,057,167.391,468,083.00

HOTEL/MOTEL

Account NumberAccount DescriptionFY 2023 BUDGETFY 2024 BUDGETFY 2024 APPROVEDFY 2026 PROPOSED
275-15100-523300ADVERTISING0.000.000.000.00
275-15100-523310PUBLIC NOTICES0.00800.000.00800.00
275-15100-523400PRINTING & BINDING0.000.000.000.00
275-15100-523600DUES & FEES0.002,000.000.002,000.00
275-15100-531700MISCELLANEOUS EXPENSE0.000.000.000.00
275-15100-531709CITY REBRANDING INITIATIVE0.000.000.000.00
275-15100-531710RSVP Program for Main Street0.000.000.000.00
275-15100-531713PROMOTIONAL SUPPLIES – MAIN STREET7,719.117,000.000.005,000.00
275-15100-531714PROMOTIONAL SUPPLIES – ECO DELVP2,896.003,000.000.002,000.00
275-15100-531717PROMOTIONAL SUPPLIES – MERLE0.005,000.000.002,000.00
275-15100-531718ADVERTISEMENT – MERLE0.0020,000.000.0010,000.00
275-15100-531719ADVERTISEMENT – TED0.005,000.000.003,000.00
275-15100-531720CITY QUARTERLY NEWSLETTER12,765.0120,000.000.0010,000.00
275-15100-531726CITY EVENT, Food Trucks0.000.000.000.00
275-15100-531730TOURISM44,426.53107,200.004,231.5480,000.00
275-15100-531731CITY EVENT, SOUNDS OF SUMM0.000.000.000.00
275-15100-531732CITY EVENT, CITIES WEEK0.000.000.000.00
275-15100-531733CITY EVENT, MEMORIAL MARCH0.000.000.000.00
275-15100-531736CITY EVENT, STARS OVER STO0.000.000.000.00
275-15100-531737VETERAN’S DAY PARADE0.000.000.000.00
275-15100-531738VETERANS DAY DINNER0.000.000.000.00
275-15100-531739MAYORS BIKE RIDE0.000.000.000.00
275-15100-531743CITY EVENT, CIRCUS0.000.000.000.00
275-15100-531495BEAUTIFICATION45,991.000.000.000.00
275-15100-542500OTHER – WAYFINDING SIGNAGE3,257.9610,000.000.0010,000.00
275-15100-572000H.C. CHAMBER 2% / 3.5% 8/1/2015444,532.16195,000.0074,906.51300,000.00
275-15100-611251TRANSFER TO/FROM GEN.FUND0.000.000.000.00
Division: 15100 – FINANCIAL ADMINISTRATION Total:561,587.77375,000.0079,138.05
275-90000-611251TRANSFER TO/FROM GEN.FUND
Division: 90000 – OTHER FINANCING USES Total:
Fund: 275 – HOTEL/MOTEL TAX Total:561,587.77375,000.0079,138.05

SPLOST V

Account NumberAccount DescriptionFY 2023 ACTUALFY 2024 BUDGETFY 2025 APPROVEDFY 2026 PROPOSED
320-15100-523901BANK CHARGES0.000.000.000.00
Division: 15100 – FINANCIAL ADMINISTRATION Total:0.000.000.000.00
320-15650-542300POLICE STATION – FURNITURE140,676.310.000.000.00
Division: 15650 – GOVERNMENT BUILDINGS/PROPERTY140,676.310.000.000.00
320-42200-522241LMIG ROAD PAVING2,464,885.630.00(29,556.35)540,000.00
320-42200-541404SIDEWALKS-SPOST V104,120.900.00165,879.100.00
Division: 42200 – PUBLIC WORKS Total:2,569,006.530.00136,322.75540,000.00
320-43300-541108WTP CAPACITY REVIEW16,200.000.0046,807.50284,500.00
320-43300-541405WALTER WAY LIFT STATION0.000.000.000.00
320-43300-541483WWTP IMPROVEMENTS128,500.000.00326,583.780.00
Division: 43300 – SEWER Total:144,700.000.00373,391.28284,500.00
320-44200-523849CONTRACT LABOR – WATER IN0.000.00272,282.50180,900.00
320-44200-531140SUPPLIES & MATERIALS – WATER114,600.000.000.000.00
320-44200-542511WATER METER REPLACEMENT63,845.480.000.000.00
Division: 44200 – WATER Total:178,445.480.00272,282.50180,900.00
320-62200-521220PROFESSIONAL SERVICES123,906.560.0094,259.72680,802.91
Division: 62200 – PARKS Total:123,906.560.0094,259.72680,802.91
320-90000-612020TRANSFER TO/FROM GENERAL2,946,323.500.000.000.00
Division: 90000 – OTHER FINANCING USES Total:2,946,323.500.000.000.00
Stormwater77,163.00
Fund: 320 – SPOST V FUND Total:6,103,058.380.00876,256.251,763,365.91

I stopped at page 80. As to my first pronouncement, you have to try very hard to make a PDF that hard to read. Transparency only ever becomes worse in the City of Stockbridge. Some of the pages right after GIS planning seem to be non-sequitirs to an old 2022 budget.

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