HomeMy WebLinkAbout2002 BudgetCity of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
---------------------------------------------
FOND 101 - GENERAL FUND
--------------------------------------------
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
TAXES
AND PERMITS
470.000
568.000
402.000
473.000
Real
Property Tax
19,552,983
415.000
Eden Cents Lic
Pers
Property Tax
3,838,067
441.000
581.000
Prop
Tax-Excess/R1
84,199
442.000
503.000
Prop
Tax -Coll Fee
42,586
444.000
Building Permits
Property Tax Adj
15,754
LICENSES
AND PERMITS
470.000
568.000
Sign c Awning Lic
473.000
570.000
General Cents Lic
476.000
573.000
Eden Cents Lic
478.000
579.000
Heat Cents Lic
486.000
581.000
Public Vehicle Lic
494.000
Trade Lic
503.000
A/C c Refrig Lic
504.000
Building Permits
505.000
Electrical Permits
506.000
Heating Permits
507.000
Plumbing Permits
511.000
Animal Lic
513.000
Other Non -Bus Lic c Pe
514.000
Bicycle Registration
519.000
Plan Review c Zone
519.010
Site Plan Review Fee
FEDERAL GRANTS
528.000 Emer Proper Grant
528.267 RARE Grant
528.268 Police Grants
STATE GRANTS
567.000
PAGE 1
State Income Tax
568.000
Sales And Use Tax
570.000
2002
Liquor Licenses
573.000
Approved
Parimutuel Tax
579.000
Business Inventory Tax
581.000
Single Business Tx
23,533,589
2,210
6,106
11,969
2,431
472
47,250
35,009
695,683
163,421
145,780
148,276
12,273
34,095
142
180,581
7,800
1,493,498
77,080
0
52,524
129,604
0
11,392,098
46,629
0
0
0
20,240,039
3,913,886
0
40,000
10,000
24,183,925
2,500
7,000
12,500
6,000
1,000
68,000
40,000
978,000
187,000
150,000
200,000
10,000
35,000
200
175,000
15,000
1,887,200
5,000
0
41,666
46,666
0
11,323,000
50,000
0
0
0
11,438,727 11,373,000
CHARGES FOR SERVICES
602.000 Dog Board 10,107 10,000
618.010 Cert Of Inspection 3,221 9,000
618.020 Other Fees -Admin 9,218 9,000
21,176,143
4,004,291
0
40,000
5,000
25,225,434
2,500
7,000
12,000
3,000
1,000
68,000
35,000
900,000
170,000
145,000
170,000
15,000
35,000
200
175,000
14,000
1,752,700
5,000
0
118,333
123,333
0
11,409,841
50,000
0
0
0
11,459,841
10,000
5,000
10,000
21,176,143
4,004,291
0
40,000
5,000
25,225,434
2,500
7,000
12,000
3,000
1,000
68,000
35,000
900,000
170,000
145,000
170,000
15,000
35,000
200
175,000
14,000
1,752,700
5,000
0
118,333
123,333
0
11,409,841
50,000
0
0
0
11,459,841
10,000
5,000
10,000
PAGE 1
BP9200
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
21,176,143
4,004,291
0
40,000
5,000
25,225,434
2,500
7,000
12,000
3,000
1,000
68,000
35,000
900,000
170,000
145,000
170,000
15,000
35,000
200
175,000
14,000
1,752,700
5,000
0
118,333
123,333
0
11,409,841
50,000
0
0
0
11,459,841
10,000
5,000
10,000
21,176,143
4,004,291
0
40,000
5,000
25,225,434
2,500
7,000
12,000
3,000
1,000
68,000
35,000
900,000
170,000
145,000
170,000
15,000
35,000
200
175,000
14,000
1,752,700
5,000
0
118,333
123,333
0
11,409,841
50,000
0
0
0
11,459,841
10,000
5,000
10,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
PAGE 2
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
BP9200
TIME
10:45:01
FISCAL YEAR 2001
- 2002
17,966
SLATER
15,000
15,000
2000
2001
2002
2002
250,000
200,000
Actual
Amended
Mayor
City Coun.
ACCOUNT
8,000
Revenue
Budget
Approved
Approved
REVENUE
DEPARTMENT
000 - ACCOUNT BALANCES
618.025
Other Fees -Public Sery
17,966
15,000
15,000
15,000
618.030
Other Fees-Engr
152,676
250,000
200,000
200,000
618.035
Other Fees -Fire
5,894
8,000
7,000
7,000
618.040
Annual Inspections
32,675
40,000
40,000
40,000
618.045
Rent Property Inspec
0
40,000
40,000
40,000
618.050
Other Fees -Recreation
22,218
18,000
14,000
14,000
621.000
Plat c Petition
30,701
35,000
35,000
35,000
624.000
Vital Statistics
59,521
60,000
60,000
60,000
627.000
Duplication/Photo
4],22]
55,000
50,000
50,000
632.010
False Alarms
240,458
150,000
175,000
175,000
632.020
Rescue Runs
1,065,973
950,000
1,100,000
1,100,000
632.030
Reserve Police
]5,1]1
95,000
90,000
90,000
632.035
Racetrack Breakage
0
0
0
0
632.050
Liquor Control Fees
15,850
17,000
17,000
17,000
632.060
tax Nat Cost Recovery
45,757
45,246
0
0
642.000
Recycling Salvage Sale
327
2,000
2,000
2,000
642.010
Store Op Greenmead
0
0
0
0
642.015
Rent -Golden Lantern
44,359
44,359
44,359
44,359
642.020
Con At Fhis Willow
9,800
10,800
10,800
10,800
642.025
Con At Fox Creek
33,240
33,240
38,400
38,400
642.030
Con At Idyl Wyld
25,134-
0
0
0
642.040
Con At Ford Rink
910
0
0
0
642.050
Con At Ford Park
0
0
0
0
642.060
Concessions -Vend
2,015
1,500
1,500
1,500
642.090
Con Sales Tax
72
0
100
100
645.000
Printed Materials
15,469
20,000
20,000
20,000
649.000
Auctions
7,495
5,000
5,000
5,000
650.000
Other Fees -Refuse
1,000,000
1,100,000
975,000
975,000
651.010
Use Fees -Recreation
0
0
1,000
1,000
651.012
Use Fees -Winter Athlet
8,348
8,000
8,000
8,000
651.014
Use Fees -Summer Athlet
129,278
110,000
140,000
140,000
651.016
Use Fees -Programs
28,555
20,000
52,500
52,500
651.017
Use Fees -Facilities
0
15,000
0
0
651.030
Use Fees -Auditorium
0
0
0
0
651.100
Fees-Garden/Market
3,165
0
3,000
3,000
651.210
Green Fees-Whis Will
654,364
700,000
725,000
725,000
651.212
Golf Cart Fees-Whis Wi
26,000
26,000
26,000
26,000
651.216
Whis W Driving Range
0
0
60,000
60,000
651.220
Green Fees -Idyl Wy
515,665
550,000
575,000
575,000
651.222
Golf Cart Fees -Idyl Wy
19,500
19,500
26,000
26,000
651.230
Green Fees -Fox Cr
518,261
575,000
600,000
600,000
651.232
Golf Cart Fees -Fox Cr
32,499
32,500
29,250
29,250
651.311
Use Fees -E Ed Ice
8,341
0
0
0
651.321
Rent/E Ed Ice
188,841
0
0
0
651.331
Ice Rink Instruct -E Ed
60,039
0
0
0
651.332
Family Hooking -E Ed
900
0
0
0
651.340
Ice Show/Competition
19,643
0
0
0
651.411
Use Fees -Botsford
20,311
20,000
21,400
21,400
651.412
Use Fees -Clement Cr
1],8]9
15,000
17,400
17,400
651.413
Use Fees -Sheldon
0
0
0
0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
----------------------------------------------
FUND 101 - GENERAL FUND
REVENUE
PAGE 3
5,400
BP9200
DEPARTMENT
000 - ACCOUNT BALANCES
2002
651.421
Mayor
Fees -Family -Botsford
4,001
651.422
0
Fees -Family -Clement Cr
6,238
651.431
6,500
Swim Instruct -Botsford
9,375
651.432
225,000
Swim Instruct -Clement
12,993
651.510
0
Police Weapon Range
0
651.520
0
Police Computer
3,745
0
0
0
5,211,12]
FINES AND
FORFIETS
175,000
656.000
0
Fines c Forfeits
590,900
656.001
0
Drunk Driving Case Ld
8,575
656.002
414,000
Court Filing Fees
30,690
656.003
Attorney Fees
38,794
656.004
Probation Oversight
327,134
656.006
Ordinance Fines c Cost
1,843,373
656.007
Statute Costs
224,698
656.008
Bond Forfeiture
222,924
656.100
Forfeits -Gambling
40,740
3,32],828
INTEREST
AND RENTS
665.000
Interest
1,917,018
667.000
Rental Income
81,870
667.001
Tower Rental
98,592
667.500
A.O.W. Access Fees
31,000
668.000
Franchise Fees
498,]9]
669.000
Other Interest
2,738-
2,624,539
OTHER REVENUE
680.000
Sale Of Fixed Asst
381,975
686.020
Cont -Liv Pub Sch
584,340
686.021
Cont -Clarence Sch
2],69]
686.210
Golf Course Fee-Whis W
61,053
686.230
Golf Course Fee -Fox Cr
87,840
691.000
Contributions -Other
0
691.223
Cont From Grant Fond
0
691.261
Cont From Pub Sat Comm
0
691.297
Cont From Cable TV
22,260
691.890
Cont From Sp As Fond 8
16,001
695.010
OIL Source -Cap Lea
0
696.000
Purchase Discounts
346
698.000
Sundry Income
185,411
698.010
Cash-Over/Under
191-
698.040
Act 604 Reimburse
0
698.060
Sundry -Court Trans
412,000
4,000
PAGE 3
5,400
BP9200
7,400
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
4,000
5,400
5,400
6,000
7,400
7,400
10,000
14,000
14,000
11,000
13,000
13,000
0
0
0
6,500
6,500
6,500
5,151,645 5,296,009 5,296,009
620,000
600,000
600,000
10,000
10,000
10,000
50,000
30,000
30,000
40,000
40,000
40,000
345,000
330,000
330,000
1,910,000
1,870,000
1,870,000
200,000
225,000
225,000
175,000
225,000
225,000
0
20,000
20,000
3,350,000 3,350,000 3,350,000
1,700,000
1,700,000
1,700,000
58,000
57,404
57,404
119,938
129,911
129,911
138,000
55,248
55,248
440,000
500,000
500,000
1,500
1,500
1,500
2,457,438 2,444,063 2,444,063
250,000
250,000
250,000
520,799
544,374
544,374
28,525
29,385
29,385
0
0
0
87,835
87,836
87,836
0
520,000
520,000
0
0
0
250,000
250,000
250,000
27,064
30,416
30,416
0
0
0
1,900,000
0
0
0
0
0
175,000
175,000
175,000
0
0
0
0
0
0
412,000
414,000
414,000
City of Livonia F I N
A N C I A L N A
N A G E N E N
T
PAGE 4
DATE 10/26/01
ADOPTEE ANNUAL
BUDGET
BP9200
TIME 10:45:01
FISCAL YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
A ended
Mayor
City Coun.
ACCOUNT
Revenue
Budget
Approved
Approved
-------------------------------------------------------------------------------------
ENDS 101 - GENERAL ENDS
--------------------------------------------
REVENUE
DEPARTMENT 000 - ACCOUNT
BALANCES
1,778,732
3,651,223
2,301,011
2,301,011
OTHER FINANCING SOURCES
698.900 Sale of Bonds/Notes
0
0
0
0
0
0
0
0
ACCT HAL TOTAL . . . . .
49,537,644
52,101,097
51,952,391
51,952,391
REVENUE TOTAL . . . . . . .
49,537,644
52,101,097
51,952,391
51,952,391
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 5
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 101 - GENERAL FUND
---------------------------------
EXPENSE
DEPARTMENT 101 - CITY COUNCIL
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
]0].000 Alternate Payments
709.000 Overtime
FRINGE BENEFITS
714.100
226,522
Vacancy Adj-Benefits
715.000
0
FICA
]1].000
1,000
Holiday And Longev
719.000
1,000
Medical Pmt
720.000
1,500
Life Insurance
722.000
226,028
Retirement EB
723.000
0
Retirement DC
724.000
0
Retirement Medical
SUPPLIES
728.000 Office Supplies
756.000 Miscellaneous
PROF AND CONTRACTUAL SERVICES
813.000 Professional Fees
853.000 Telephone
TRANSPORTATION
864.010 Travel/Ed-Emp
COMMUNITY PROMOTION
885.000 Public Relations
PRINTING AND PUBLISHING
904.000 Printing
REPAIRS AND MAINTENANCE
934.000 Office Equip Maint
220,396
223,528
226,522
226,522
0
0
0
0
1,000
1,000
1,000
1,000
847
1,500
1,500
1,500
222,243
226,028
229,022
229,022
0
0
0
0
17,099
17,264
1],]19
1],]19
1,300
1,300
2,600
2,600
18,114
15,322
33,783
33,783
373
682
698
698
0
0
0
0
0
0
0
0
13,462
13,865
16,721
16,721
50,348
48,433
71,521
71,521
2,874
4,000
3,000
3,000
93
1,000
1,000
1,000
2,967
5,000
4,000
4,000
0
0
0
0
1,140
600
0
0
1,140
600
0
0
10,126
12,000
12,000
12,000
10,126
12,000
12,000
12,000
4,914
7,000
7,000
7,000
4,914
7,000
7,000
7,000
3,088
5,000
5,000
5,000
3,088
5,000
5,000
5,000
0
1,000
1,000
1,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
---------------------------------
FUND 101 - GENERAL FUND
---------------------------------
EXPENSE
DEPARTMENT 101 - CITY COUNCIL
4,212 53,800 9,800 9,800
COUNCIL TOTAL . . . . 299,175 359,861 340,343 340,343
PAGE 6
0
BP9200
1,000
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
4,212 53,800 9,800 9,800
COUNCIL TOTAL . . . . 299,175 359,861 340,343 340,343
0
1,000
1,000
1,000
OTHER CHARGES AND SERVICES
958.000
Dues And Subscript
137
1,000
1,000
1,000
137
1,000
1,000
1,000
CAPITAL
OUTLAY
981.000
Cap Outlay-Furnitr
3,663
5,400
1,400
1,400
983.000
Cap Outlay -Office Ec
549
48,400
8,400
8,400
4,212 53,800 9,800 9,800
COUNCIL TOTAL . . . . 299,175 359,861 340,343 340,343
City of Livonia F I N A N C I A L M A N A G E M E N T PAGE
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 101 - GENERAL FUND
-------------------------------
EXPENSE
DEPARTMENT 111 - CITY CLERK
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
]0].000 Alternate Payments
709.000 Overtime
FRINGE BENEFITS
714.100
Vacancy Adj-Benefits
715.000
FICA
]1].000
Holiday And Longev
719.000
Medical Pmt
720.000
Life Insurance
722.000
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
SUPPLIES
728.000 Office Supplies
753.000 Dog Licenses
754.000 Vehicle Licenses
756.000 Miscellaneous
PROF AND CONTRACTUAL SERVICES
818.000 Contractual Service
TRANSPORTATION
861.010 Auto Expense-Emp
864.010 Travel/Ed-Emp
PRINTING AND PUBLISHING
904.000
Printing
905.000
Publishing
906.000
Reproduction
REPAIRS AND MAINTENANCE
934.000 Office Equip Maint
2]5,444
0
2,000
684
2]8,128
0
21,396
1,560
21,134
646
0
29,53]
31,844
106,11]
3,596
0
2,291
2]2
6,159
2,685
2,685
1]9
1,965
2,144
20,063
2],449
0
289,299
0
2,000
2,000
293,299
0
22,626
2,4]0
21,]4]
828
0
32,11]
32,882
112,6]0
],100
800
2,500
350
10,]50
4,000
4,000
400
3,600
4,000
39,000
25,000
0
64,000
],]00
],]00
289,9]6
0
2,000
2,000
293,9]6
0
22,]08
2,860
22,553
828
0
32,389
40,1]]
121,515
6,500
800
2,500
350
10,150
6,000
6,000
400
3,600
4,000
20,000
30,000
0
50,000
],]00
],]00
289,9]6
0
2,000
2,000
293,9]6
0
22,]08
2,860
22,553
828
0
32,389
40,1]]
121,515
6,500
800
2,500
350
10,150
6,000
6,000
400
3,600
4,000
20,000
30,000
0
50,000
],]00
],]00
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 8
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 101 - GENERAL FUND
--------------------------------
EXPENSE
DEPARTMENT 111 - CITY CLERK
OTHER CHARGES AND SERVICES
943.000 Outside Equip Rental
944.000 Lease Purchase Pay
958.000 Dues And Subscript
MISCELLANEOUS
970.010 Burial Reimbursement
CAPITAL OUTLAY
983.000 Cap Outlay -Office Eqp
CLERK TOTAL . . . . .
0
0
0
0
4,507
2,100
2,400
2,400
265
300
300
300
4,]]2
2,400
2,700
2,700
500
2,400
2,000
2,000
500
2,400
2,000
2,000
835
525
1,000
1,000
835
525
1,000
1,000
452,022
501,744
499,041
499,041
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
715.000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SERVICES
719.000
2000
2001
1,155,301
702.100
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
713.030
028.000
----------------------------------------------
FUND 101
- GENERAL FUND
730.000
--------------------------------------------
EXPENSE
715.000
756.000
DEPARTMENT 141 - 16TH DISTRICT
COURT
PERSONNEL
SERVICES
719.000
702.000
Salaries And Wages
1,155,301
702.100
Vacancy Adj-Wages
0
]0].000
Alternate Payments
4,000
709.000
Overtime
4,054
712.030
Wage Tsf-Invoiced
54,758 -
FRINGE BENEFITS
713.030
028.000
Benet Tsf-Ince
714.100
730.000
Vacancy Adj-Benefits
715.000
756.000
FICA
]1].000
]5].010
Holiday And Longev
719.000
835.000
Medical Pmt
720.000
835.001
Life Insurance
722.000
835.002
Retirement EB
723.000
853.000
Retirement DC
724.000
Retirement Medical
SUPPLIES
CONTRACTUAL SERVICES
028.000
BP9200
Office Supplies
730.000
2002
Postage
756.000
City Coun.
Miscellaneous
]5].010
Court Records Supp
PROF AND
CONTRACTUAL SERVICES
802.000
BP9200
Accounting Fees
814.020
2002
Computer Service
817.020
City Coun.
Consultants-Attys
819.000
Transcript Fees
835.000
Witness/Jury Fees
835.001
Jurors' Fees and Exp
835.002
Witness Fees and Exp
853.000
Telephone
TRANSPORTATION
861.010 Auto Expense-Emp
864.005 Travel/Ed-Judges
864.010 Travel/Ed-Emp
1,108,59]
4,310-
0
85,01]
48,385
164,393
2,356
0
99,306
123,608
518,]55
12,814
33,848
2,40]
700
49,]69
15,000
23,682
52,]92
25
0
11,282
10,352
18,000
131,133
10,800
0
1,289
1,303,]48
0
3,000
9,000
110,000
1,205,]48
9,000-
0
100,0]3
41,102
190,524
3,266
0
10],202
131,5]]
564,]44
15,900
34,000
2,000
Soo
52,400
15,000
30,000
58,000
300
0
11,800
12,000
18,000
145,100
12,900
1,000
1,500
12,089 15,400
COMMUNITY PROMOTION
1,319,]]4
0
2,000
10,000
110,000
1,221,]]4
9,000-
0
103,]9]
39,428
20],82]
3,348
0
115,8]5
164,582
625,85]
14,500
36,000
2,000
Soo
53,000
15,000
30,000
53,000
500
0
13,000
12,000
18,000
141,500
12,900
4,000
1,500
18,400
1,319,]]4
0
2,000
10,000
110,000
1,221,]]4
9,000-
0
103,]9]
39,428
20],82]
3,348
0
115,8]5
164,582
625,85]
14,500
36,000
2,000
Soo
53,000
15,000
30,000
53,000
500
0
13,000
12,000
18,000
141,500
12,900
4,000
1,500
18,400
PAGE 9
BP9200
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
1,319,]]4
0
2,000
10,000
110,000
1,221,]]4
9,000-
0
103,]9]
39,428
20],82]
3,348
0
115,8]5
164,582
625,85]
14,500
36,000
2,000
Soo
53,000
15,000
30,000
53,000
500
0
13,000
12,000
18,000
141,500
12,900
4,000
1,500
18,400
1,319,]]4
0
2,000
10,000
110,000
1,221,]]4
9,000-
0
103,]9]
39,428
20],82]
3,348
0
115,8]5
164,582
625,85]
14,500
36,000
2,000
Soo
53,000
15,000
30,000
53,000
500
0
13,000
12,000
18,000
141,500
12,900
4,000
1,500
18,400
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
PAGE 10
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
COURT
BP9200
TIME
10:45:01
FISCAL YEAR 2001
- 2002
4,000
SLATER
7,200
7,200
2000
2001
2002
2002
7,200
7,200
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
EXPENSE
DEPARTMENT
141 - 16TH DISTRICT
COURT
882.141
Promo Prog Probatn
4,000
7,200
7,200
7,200
4,000
7,200
7,200
7,200
PRINTING AND PUBLISHING
904.000
Printing
10,827
17,000
17,000
17,000
10,827
17,000
17,000
17,000
INSURANCES
918.000
Liability Insurance
25,000
25,000
25,000
25,000
25,000
25,000
25,000
25,000
PUBLIC
UTILITIES
928.000
Heat, Light, Nater
43,2]]
44,000
44,000
44,000
43,2]]
44,000
44,000
44,000
REPAIRS AND MAINTENANCE
931.000
Building Maint
20,000
20,000
20,000
20,000
934.000
Office Equip Maint
5,441
8,500
9,000
9,000
25,441
28,500
29,000
29,000
OTHER CHARGES
AND SERVICES
941.000
MEA Payment
146,827
71,310
]2,9]5
]2,9]5
942.000
Building Rentals
300,000
300,000
300,000
300,000
944.000
Lease Purchase Pay
32,485
32,284
27,284
27,284
958.000
Dues And Subscript
5,621
6,500
6,000
6,000
960.005
Ed/Training-Judges
0
1,500
4,500
4,500
960.010
Ed/Training-Emp
1,507
1,500
1,500
1,500
486,440
413,094
412,259
412,259
CAPITAL
OUTLAY
976.000
Cap Outlay -Bldg Impry
3,997
1,200
0
0
978.000
Cap Outlay -Hooks
5,646
6,300
6,300
6,300
981.000
Cap Outlay-Furnitr
0
1,000
0
0
983.000
Cap Outlay -Office Eqp
7,963
3,000
3,000
3,000
986.000
Cap Outlay -Comp Hardx
18,300
0
0
0
987.000
Cap Outlay -Other Eqp
2,354
3,300
2,500
2,500
38,260
14,800
11,800
11,800
COURT
TOTAL . . . . .
2,453,588
2,532,986
2,606,790
2,606,790
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 11
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FOND 101 - GENERAL FUND
-----------------------------------
EXPENSE
DEPARTMENT 173 - MAYOR'S OFFICE
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
707.000 Alternate Payments
709.000 Overtime
FRINGE BENEFITS
714.100
144,474
Vacancy Adj-Benefits
715.000
0
FICA
717.000
1,000
Holiday And Longev
719.000
0
Medical Pmt
720.000
0
Life Insurance
722.000
145,475
Retirement EB
723.000
0
Retirement DC
724.000
0
Retirement Medical
SUPPLIES
728.000 Office Supplies
756.000 Miscellaneous
PROF AND CONTRACTUAL SERVICES
841.000 Emergency Fd -Mayor
TRANSPORTATION
864.010 Travel/Ed-Emp
COMMUNITY PROMOTION
885.000 Public Relations
PRINTING AND PUBLISHING
904.000 Printing
REPAIRS AND MAINTENANCE
934.000 Office Equip Maint
143,283
144,475
144,474
199,474
0
0
0
0
1,000
1,000
0
0
0
0
0
0
144,283
145,475
144,474
144,474
0
0
0
0
10,251
10,327
10,588
10,588
1,300
1,300
1,300
1,300
4,728
6,957
8,118
8,118
134
382
382
382
0
0
0
0
6,537
6,753
6,753
6,753
6,331
6,342
7,721
7,721
29,281
32,061
34,862
34,862
814
600
600
600
0
0
400
400
814
600
1,000
1,000
263
500
500
500
263
500
500
500
501
3,000
3,000
3,000
501
3,000
3,000
3,000
3,870
5,000
6,000
6,000
3,870
5,000
6,000
6,000
3,418
4,000
4,000
4,000
3,418
4,000
4,000
4,000
419
472
500
500
419
472
500
500
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
-----------------------
FOND 101 - GENERAL FUND
EXPENSE
DEPARTMENT 173 - MAYOR'S OFFICE
OTHER CHARGES AND SERVICES
944.000 Lease Purchase Pay
947.000 Outside Vehicle Rental
958.000 Dues And Subscript
CAPITAL OUTLAY
983.000 Cap Outlay -Office Ec
MAYOR TOTAL . . . . .
PAGE 12
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
1,551
2,150
2,150
2,150
7,412
7,300
8,872
8,872
369
400
500
500
9,332
9,850
11,522
11,522
5,000
4,678
5,000
5,000
5,000
4,678
5,000
5,000
197,181
205,636
210,858
210,858
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
]1].000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
PERSONNEL
SERVICES
2000
2001
Salaries And Wages
165,535
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
168,861
---------------------------------------------
FUND 101
- GENERAL FUND
0
--------------------------------------------
EXPENSE
]1].000
0
DEPARTMENT
174 - ADMINISTRATIVE
SERVICES
PERSONNEL
SERVICES
168,867
702.000
Salaries And Wages
165,535
702.100
Vacancy Adj-Wages
0
]0].000
Alternate Payments
0
709.000
Overtime
0
FRINGE BENEFITS
714.100
168,861
Vacancy Adj-Benefits
715.000
0
FICA
]1].000
0
Holiday And Longev
719.000
0
Medical Pmt
720.000
168,867
Life Insurance
722.000
0
Retirement EB
723.000
13,276
Retirement DC
724.000
4,680
Retirement Medical
SUPPLIES
728.000 Office Supplies
756.000 Miscellaneous
TRANSPORTATION
864.010 Travel/Ed-Emp
PRINTING AND PUBLISHING
904.000 Printing
REPAIRS AND MAINTENANCE
934.000 Office Equip Maint
CAPITAL OUTLAY
983.000 Cap Outlay -Office Eqp
165,535
0
12,968
3,9]2
22,052
251
0
],]65
19,218
66,226
1,265
394
1,659
180
180
362
362
0
0
12,023
12,023
ADMIN SERV TOTAL . . . . 245,985
PAGE 13
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
168,505
168,861
168,861
0
0
0
0
0
0
0
0
0
168,575
168,867
168,867
0
0
0
13,075
13,276
13,276
4,290
4,680
4,680
24,695
26,481
26,481
490
490
490
0
0
0
],]61
7,843
7,843
19,482
23,519
23,519
69,793
76,289
76,289
2,900
2,900
2,900
500
500
500
3,400
3,400
3,400
250
250
250
250
250
250
500
500
500
500
500
500
400
400
400
400
400
400
0
2,000
2,000
0
2,000
2,000
242,918
251,706
251,706
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
]1].000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SERVICES
720.000
2000
2001
68,860
702.100
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
---------------------------------------------
FUND 101
- GENERAL FUND
--------------------------------------------
EXPENSE
]1].000
DEPARTMENT 193 - ELECTION
COMMISSION
PERSONNEL
SERVICES
720.000
702.000
Salaries And Wages
68,860
702.100
Vacancy Adj-Wages
0
]0].000
Alternate Payments
0
709.000
Overtime
21,012
FRINGE BENEFITS
714.100
Vacancy Adj-Benefits
715.000
FICA
]1].000
Holiday And Longev
719.000
Medical Pmt
720.000
Life Insurance
722.000
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
SUPPLIES
728.000 Office Supplies
756.000 Miscellaneous
751.020 D/P-Voter Reg Supp
PROF AND CONTRACTUAL SERVICES
813.000 Professional Fees
818.000 Contractual Service
851.020 comp Software Maint
TRANSPORTATION
861.010 Auto Expense-Emp
864.010 Travel/Ed-Emp
PRINTING AND PUBLISHING
904.000 Printing
905.000 Publishing
REPAIRS AND MAINTENANCE
933.000 Equipment Maint
933.010 Equip Maint-Tsf
89,802
0
],215
650
13,2]4
1]4
0
8,414
8,149
3],8]6
2,830
922
7.100
10,852
0
]8,209
0
]8,209
224
288
512
1,451-
]-
1,458-
18,600
8,]88
]3,01]
0
0
10,000
83,01]
0
6,420
910
11,345
209
0
8,835
8,298
36,01]
3,000
1,000
11,000
15,000
0
65,400
5,300
]0,]00
300
0
300
25,000
1,100
26,100
16,500
10,000
PAGE 14
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
]3,383
0
0
25,000
98,383
0
],596
910
10,930
209
0
8,915
10,193
38,]53
3,000
1,000
11,000
15,000
0
80,000
5,000
85,000
300
]50
1,050
20,000
1,100
21,100
20,000
10,000
]3,383
0
0
25,000
98,383
0
],596
910
10,930
209
0
8,915
10,193
38,]53
3,000
1,000
11,000
15,000
0
80,000
5,000
85,000
300
]50
1,050
20,000
1,100
21,100
20,000
10,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
150
TIME
10:45:01
FISCAL YEAR 2001
- 2002
944.000 Lease Purchase Pay
47,381
2000
2001
960.010 Ed/Training-Emp
3,815
Actual
Amended
ACCOUNT Expense Budget
PAGE 15
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
26,500
30,000
---------------------------------------------
FUND 101 - GENERAL FUND
47,381
--------------------------------------------
EXPENSE
47,381
DEPARTMENT 193 - ELECTION COMMISSION
150
150
2],388
OTHER CHARGES AND SERVICES
5,000
944.000 Lease Purchase Pay
47,381
958.000 Dues And Subscript
0
960.010 Ed/Training-Emp
3,815
10,100
51,196
CAPITAL OUTLAY
316,265
987.000 Cap Outlay -Other Sop
6,450
6,450
ELECTIONS TOTAL . . .
300,897
PAGE 15
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
26,500
30,000
30,000
47,381
47,381
47,381
150
150
150
1,000
5,000
5,000
48,531
52,531
52,531
10,100
1,200
1,200
10,100
1,200
1,200
316,265
343,017
343,017
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L M A N A G E M E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
--------------------------------
FOND 101 - GENERAL FUND
--------------------------------
EXPENSE
DEPARTMENT 201 - ACCOUNTING
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
]0].000 Alternate Payments
709.000 Overtim
712.000 Wage Tsf-Other
712.010 Wage Tsf-Refuse
712.020 Wage Tsf-Act 51
712.050 Wage Tsf-Grants
]12.0]0 Wage Tsf-Investments
712.592 Wage Tsf-W c S Fund
FRINGE BENEFITS
713.050 Benet Tsf-Grnt
714.100 Vacancy Adj-Benefits
715.000 FICA
]1].000 Holiday And Longev
719.000 Medical Pmt
720.000 Life Insurance
722.000 Retirement EB
723.000 Retirement DC
724.000 Retirement Medical
725.010 O/H Tsf-Refuse
725.020 O/H Tsf-Act 51
SUPPLIES
028.000 Office Supplies
756.000 Miscellaneous
PROF AND CONTRACTUAL SERVICES
802.262 Accounting Fees-PRDA
813.000 Professional Fees
TRANSPORTATION
861.010 Auto Expense-Emp
864.010 Travel/Ed-Emp
PRINTING AND PUBLISHING
904.000 Printing
PAGE 16
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
431,836 456,953 453,291 453,291
0 5,000- 0 0
2,000 2,000 2,000 2,000
16,426 15,000 20,000 20,000
8,400- 8,100- 8,100- 8,100-
24,700- 24,700- 24,700- 24,700-
53,500- 58,490- 58,490- 58,490-
11,287- 15,400- 15,400- 15,400-
30,000- 30,000- 30,000- 30,000-
35,000- 35,000- 35,000- 35,000-
28],3]5 297,263 303,601 303,601
2,143- 1,600- 1,600- 1,600-
0 2,500- 2,500- 2,500-
35,261 37,535 37,255 37,255
10,660 11,700 11,700 11,700
40,318 45,703 45,897 45,897
1,012 1,238 1,229 1,229
6- 0 0 0
36,063 37,069 35,126 35,126
50,564 51,690 62,068 62,068
24,700- 24,700- 24,700- 24,700-
53,500- 58,490- 58,490- 58,490-
93,529 97,645 105,985 105,985
4,571 4,400 4,400 4,400
598 300 300 300
5,169 4,700 4,700 4,700
7,200- 8,400- 8,400- 8,400-
2,000 42,500 0 0
5,200- 34,100 8,400- 8,400-
29 250 250 250
2,249 1,800 1,800 1,800
2,278 2,050 2,050 2,050
6,326 9,000 9,000 9,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-------------------------------
FUND 101 - GENERAL FUND
-------------------------------
EXPENSE
DEPARTMENT 201 - ACCOUNTING
PAGE 1]
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
11,240 13,700 4,000 4,000
ACCOUNTING TOTAL . . . 405,903 465,107 427,585 427,585
6,326
9,000
9,000
9,000
REPAIRS
AND MAINTENANCE
934.000
Office Equip Maint
139
200
200
200
139
200
200
200
OTHER CHARGES AND SERVICES
944.000
Lease Purchase Pay
3,448
3,449
3,449
3,449
958.000
Dues And Subscript
498
500
500
500
960.010
Ed/Training-Emp
1,101
2,500
2,500
2,500
5,047
6,449
6,449
6,449
CAPITAL
OUTLAY
983.000
Cap Outlay -Office Eqp
11,240
13,700
4,000
4,000
11,240 13,700 4,000 4,000
ACCOUNTING TOTAL . . . 405,903 465,107 427,585 427,585
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 18
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 101
- GENERAL FUND
------------------------------
EXPENSE
Vacancy Adj-Benefits
DEPARTMENT 202 - ASSESSING
PERSONNEL
SERVICES
702.000
Salaries And Wages
702.100
Vacancy Adj-Wages
]0].000
Alternate Payments
709.000
Overtime
FRINGE BENEFITS
714.100
Vacancy Adj-Benefits
715.000
FICA
]1].000
Holiday And Longev
719.000
Medical Pmt
720.000
Life Insurance
722.000
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
SUPPLIES
728.000 Office Supplies
756.000 Miscellaneous
]5].030 Assessmnt Supplies
PROF AND CONTRACTUAL SERVICES
818.225 Cont Serv-Ind/Com Ap
834.000 Fee Apprais-Tax Trib
TRANSPORTATION
861.010 Auto Expense-Emp
864.010 Travel/Ed-Emp
PRINTING AND PUBLISHING
904.000 Printing
905.000 Publishing
REPAIRS AND MAINTENANCE
934.000 Office Equip Maint
294,441
0
1,000
11,04]
306,488
0
23,]53
4,013
31,900
]00
0
2],502
34,160
122,028
4,021
4]5
2,408
6,904
],841
0
],841
]49
4,243
4,992
],101
0
325,916
0
1,000
10,000
336,916
0
26,092
4,160
34,116
850
0
28,939
34,946
129,103
3,900
500
1,500
5,900
0
2,000
2,000
1,000
5,000
6,000
8,000
1,000
9,000
4,200
332,605
0
1,000
10,000
343,605
0
26,684
5,200
39,48]
866
0
29,486
43,52]
145,250
3,900
500
1,500
5,900
0
2,000
2,000
1,100
5,000
6,100
6,900
1,000
],900
4,000
195 4,200 4,000
332,605
0
1,000
10,000
343,605
0
26,684
5,200
39,48]
866
0
29,486
43,52]
145,250
3,900
500
1,500
5,900
0
2,000
2,000
1,100
5,000
6,100
6,900
1,000
],900
4,000
4,000
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 19
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual A ended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 101 - GENERAL FUND
--------------------------------
EXPENSE
DEPARTMENT 202 - ASSESSING
OTHER CHARGES AND SERVICES
943.000 Outside Equip Rental
958.000 Dues And Subscript
CAPITAL OUTLAY
983.000 Cap Outlay -Office Eqp
ASSESSING TOTAL . . . .
1,514
1,808
3,392
5,392
5,392
464,333
2,000
1,000
3,000
8,650
8,650
504,]69
2,000
1,000
3,000
6,000
6,000
523,]55
2,000
1,000
3,000
6,000
6,000
523,]55
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 20
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 101 - GENERAL FUND
----------------------------------
EXPENSE
DEPARTMENT 220 - CIVIL SERVICE
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
]0].000 Alternate Payments
709.000 Overtime
FRINGE BENEFITS
714.100
Office Supplies
Vacancy Adj-Benefits
715.000
Sery Recognition
FICA
]1].000
Miscellaneous
Holiday And Longev
719.000
Broken Eye Glasses
Medical Pmt
720.000
Testing Supplies
Life Insurance
722.000
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
SUPPLIES
728.000
Office Supplies
749.000
Sery Recognition
756.000
Miscellaneous
756.010
Broken Eye Glasses
765.000
Testing Supplies
PROF AND CONTRACTUAL SERVICES
813.000 Professional Fees
825.000 Interview Board
828.000 Medical Services
TRANSPORTATION
861.010 Auto Expense-Emp
PRINTING AND PUBLISHING
904.000 Printing
905.000 Publishing
REPAIRS AND MAINTENANCE
934.000 Office Equip Maint
35],343
0
1,000
4,832
363,1]5
0
28,101
4,160
32,149
68]
0
20,302
40,19]
125,596
4,]]6
4,89]
4,596
45
22,812
3],126
2,268
2,185
27,502
31,955
168
168
],458
62,512
69,9]0
100
382,]11
0
1,000
5,]00
389,411
0
30,208
5,460
38,963
1,049
0
24,]]2
42,924
143,3]6
4,500
5,]00
1,300
300
22,000
33,800
3,000
3,]50
42,000
48,]50
]50
]50
],500
]],000
84,500
375
394,821
0
2,000
6,000
402,821
0
31,104
3,510
43,]15
1,082
0
23,615
53,260
156,286
4,500
5,]00
1,300
300
32,000
43,800
3,000
3,]50
54,000
60,]50
]50
]50
8,500
5],000
65,500
375
394,821
0
2,000
6,000
402,821
0
31,104
3,510
43,]15
1,082
0
23,615
53,260
156,286
4,500
5,]00
1,300
300
32,000
43,800
3,000
3,]50
54,000
60,]50
]50
]50
8,500
5],000
65,500
375
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
----------------------------------
FUND 101 - GENERAL FUND
----------------------------------
EXPENSE
DEPARTMENT 220 - CIVIL SERVICE
OTHER CHARGES AND SERVICES
943.000
375
Outside Equip Rental
944.000
0
Lease Purchase Pay
958.000
3,732
Dues And Subscript
960.010
4,812
Ed/Training-Emp
960.025
1,500
Ed/Training-Safety
960.030
4,000
Ed/Training-City Nide
960.040
703
Tuitn Reimb-L 192
960.045
1,000
Tuitn Reimb-L 1917
CAPITAL OUTLAY
983.000 Cap Outlay -Office Eqp
987.000 Cap Outlay -Other Eqp
CIVIL SERV TOTAL . . .
PAGE 21
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
100
375
375
375
0
0
0
0
3,732
4,812
4,812
4,812
1,498
3,000
1,500
1,500
4,345
4,000
3,500
3,500
703
1,000
1,000
1,000
8,671
10,000
8,000
8,000
4,217
6,500
6,500
6,500
368
1,500
1,500
1,500
23,534
30,812
26,812
26,812
18,796
10,804
2,700
2,700
0
0
0
0
18,796
10,804
2,700
2,700
670,420
]42,5]8
]59,]94
]59,]94
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L M A N A G E M E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-----------------------
FOND 101 - GENERAL FUND
EXPENSE
DEPARTMENT 222 - LEGAL
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
]0].000 Alternate Payments
FRINGE BENEFITS
714.100
Auto Expense-Emp
Vacancy Adj-Benefits
715.000
PRINTING AND PUBLISHING
FICA
]1].000
REPAIRS
Holiday And Longev
719.000
Office Equip Maint
Medical Pmt
720.000
Lease Purchase Pay
Life Insurance
722.000
0
Retirement EB
723.000
28,886
Retirement DC
724.000
30,547
Retirement Medical
SUPPLIES
728.000 Office Supplies
756.000 Miscellaneous
PROF AND CONTRACTUAL SERVICES
802.021 Tsf-Attorney Fees
813.000 Professional Fees
826.000 Court Expense
TRANSPORTATION
861.010
Auto Expense-Emp
864.010
Travel/Ed-Emp
PRINTING AND PUBLISHING
904.000
Printing
REPAIRS
AND MAINTENANCE
934.000
Office Equip Maint
OTHER CHARGES AND SERVICES
944.000
Lease Purchase Pay
PAGE 22
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
3]],455
390,474
396,256
396,256
0
0
0
0
2,000
2,000
2,000
2,000
379,455
392,474
398,256
398,256
0
0
0
0
28,886
29,745
30,547
30,547
3,180
3,380
4,680
4,680
25,038
26,718
27,198
27,198
761
1,056
1,070
1,070
0
0
0
0
31,666
33,222
34,026
34,026
43,395
44,387
54,691
54,691
132,926
138,508
152,212
152,212
2,574
2,800
2,800
2,800
0
50
50
50
2,574
2,850
2,850
2,850
20,000-
20,000-
20,000-
20,000-
2,000
2,000
2,000
2,000
559
1,500
1,000
1,000
17,441-
16,500-
17,000-
17,000-
1,011
4,800
1,500
1,500
192
1,500
1,500
1,500
1,203
6,300
3,000
3,000
868
850
1,200
1,200
868
850
1,200
1,200
1,411
850
500
500
1,411
850
500
500
1,551
1,000
1,000
1,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
------------------------------
ENND 101 - GENERAL ENDS
------------------------------
EXPENSE
DEPARTMENT 222 - LEGAL
958.000 Dues And Subscript
960.010 Ed/Training-Emp
CAPITAL OUTLAY
983.000 Cap Outlay -Office Eqp
LEGAL TOTAL . . . . . .
PAGE 23
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
15,048
14,000
14,000
14,000
899
1,500
1,500
1,500
17,498
16,500
16,500
16,500
0
0
0
0
0
0
0
0
518,494
541,832
557,518
557,518
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
]1].000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
PERSONNEL
SERVICES
2000
2001
Salaries And Wages
153,437
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
165,633
----------------------------------------------
FOND 101
- GENERAL FUND
0
--------------------------------------------
EXPENSE
]1].000
0
DEPARTMENT
230 - FINANCE DEPARTMENT
6,000
PERSONNEL
SERVICES
5,600-
702.000
Salaries And Wages
153,437
702.100
Vacancy Adj-Wages
0
]0].000
Alternate Payments
0
709.000
Overtime
8,]0]
]12.0]0
Wage Tsf-Investments
5,600 -
FRINGE BENEFITS
714.100
165,633
Vacancy Adj-Benefits
715.000
0
FICA
]1].000
0
Holiday And Longev
719.000
6,000
Medical Pmt
720.000
5,600-
Life Insurance
722.000
166,033
Retirement EB
723.000
0
Retirement DC
724.000
12,821
Retirement Medical
SUPPLIES
728.000 Office Supplies
756.000 Miscellaneous
TRANSPORTATION
861.000 Auto Expense
864.010 Travel/Ed-Emp
PRINTING AND PUBLISHING
904.000 Printing
905.000 Publishing
REPAIRS AND MAINTENANCE
934.000 Office Equip Maint
OTHER CHARGES AND SERVICES
958.000 Dues And Subscript
960.010 Ed/Training-Emp
156,544
0
11,93]
910
15,085
3]0
0
1],192
1],]61
63,255
950
0
950
0
2,005
2,005
2,353
1,985
4,338
349
349
]53
0
753
PAGE 24
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
158,912
165,633
165,633
0
0
0
1,000
0
0
6,000
6,000
6,000
5,600-
5,600-
5,600-
160,312
166,033
166,033
0
0
0
12,283
12,821
12,821
1,300
1,950
1,950
16,515
23,782
23,782
430
449
449
0
0
0
17,920
20,110
20,110
18,056
22,992
22,992
66,504
82,104
82,104
1,400
1,000
1,000
0
0
0
1,400
1,000
1,000
100
100
100
2,700
2,700
2,700
2,800
2,800
2,800
3,000
3,000
3,000
2,100
2,500
2,500
5,100
5,500
5,500
353
353
353
353
353
353
1,100
800
800
0
0
0
1,100
800
800
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
0
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
ENDS
101 - GENERAL
ENDS
EXPENSE
DEPARTMENT 230 - FINANCE DEPARTMENT
CAPITAL OUTLAY
983.000 Cap Outlay -Office Ec
FINANCE TOTAL . . . .
PAGE 25
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
4,000
0
0
0
4,000
0
0
0
232,194
237,569
258,590
258,590
City of Livonia
F I N A N C I
A L N A N
A G E N E N T
PAGE 26
DATE 10/26/01
ADOPTEE
ANNUAL BUDGET
BP9200
TIME 10:45:01
FISCAL
YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
A ended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
-------------------------------------------------------------------------------------
FOND 101
- GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 232 - INDEPENDENT AUDIT
PROF AND
CONTRACTUAL SERVICES
808.000
Audit
and
Acctinq Sery
80,021
99,000
101,000
101,000
808.010
Try
Audit
Costs -Gen Fd
16,665-
15,356-
14,035-
14,035-
808.205
Try
Audit
Costs -Refuse
2,058-
3,000-
4,000-
4,000-
808.231
Try
Audit
Costs-CDBG
7,200-
7,000-
7,500-
7,500-
808.262
Try
Audit
Costs-PRDA
0
2,000-
2,000-
2,000-
808.297
Try
Audit
Costs -Cable
1,374-
2,000-
2,000-
2,000-
808.300
Try
Audit
Costs -Debt
0
0
0
0
808.566
Try
Audit
Costs -EDC
0
600-
600-
600-
808.592
Try
Audit
Costs -N c S
14,076-
20,500-
21,000-
21,000-
38,648
48,544
49,865
49,865
AUDIT
TOTAL
. . .
. .
38,648
48,544
49,865
49,865
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-----------------------
FOND 101 - GENERAL FUND
EXPENSE
DEPARTMENT 234 - LABOR RELATIONS
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
FRINGE BENEFITS
714.100
0
Vacancy Adj-Benefits
715.000
0
FICA
]1].000
0
Holiday And Longev
719.000
0
Medical Pmt
720.000
0
Life Insurance
722.000
0
Retirement EB
723.000
0
Retirement DC
724.000
0
Retirement Medical
SUPPLIES
728.000 Office Supplies
PROF AND CONTRACTUAL SERVICES
813.000 Professional Fees
813.010 Transfers to Work Comp
813.050 Prof Sv Actuarial
818.000 Contractual Service
PRINTING AND PUBLISHING
904.000 Printing
LABOR REL TOTAL . . . .
PAGE 2]
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
136,392
122,600
120,000
120,000
51,350-
0
0
0
3,250
4,400
7,000
7,000
0
20,000
20,000
20,000
88,292
147,000
147,000
147,000
0
200
200
200
0
200
200
200
88,292
147,200
147,200
147,200
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L M A N A G E M E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
-----------------------
FOND 101 - GENERAL FUND
EXPENSE
DEPARTMENT 247 - BOARD OF REVIEW
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
728.000 Office Supplies
756.000 Miscellaneous
PRINTING AND PUBLISHING
904.000 Printing
REVIEW BRE TOTAL . . . .
PAGE 28
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
2,140
5,000
2,500
2,500
0
2,000-
0
0
2,140
3,000
2,500
2,500
0
153-
0
0
164
305
191
191
164
232
191
191
62
500
300
300
105
300
200
200
167
000
500
500
0
2,500
1,000
1,000
0
2,500
1,000
1,000
2,471
6,532
4,191
4,191
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 29
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 101
- GENERAL FUND
------------------------------
EXPENSE
Vacancy Adj-Benefits
DEPARTMENT 253 - TREASURER
PERSONNEL
SERVICES
702.000
Salaries And Wages
702.100
Vacancy Adj-Wages
]0].000
Alternate Payments
709.000
Overtime
FRINGE BENEFITS
714.100
Vacancy Adj-Benefits
715.000
FICA
]1].000
Holiday And Longev
719.000
Medical Pmt
720.000
Life Insurance
722.000
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
SUPPLIES
728.000 Office Supplies
PROF AND CONTRACTUAL SERVICES
810.000 Banking Service
818.000 Contractual Service
818.003 Cont Serv-Auctioneer
826.000 Court Expense
TRANSPORTATION
861.010 Auto Expense-Emp
864.010 Travel/Ed-Emp
PRINTING AND PUBLISHING
904.000 Printing
REPAIRS AND MAINTENANCE
934.000 Office Equip Maint
308,825
0
2,000
1,301
312,126
0
24,1]6
3,896
21,699
466
6
6,818
31,5]6
88,63]
8,238
2,994
42,981
0
0
45,9]5
483
4,62]
5,110
21,524
21,524
1,056
313,50]
0
3,000
10,000
326,50]
0
25,2]6
3,900
28,920
866
0
9,3]1
34,646
102,9]9
],000
],000
3,500
60,]00
300
100
64,600
500
5,000
5,500
23,000
23,000
2,300
1,056 2,300
OTHER CHARGES AND SERVICES
313,101
0
2,000
8,000
323,101
0
25,169
3,900
41,730
862
0
8,928
41,525
122,114
],000
3,300
60,]00
300
100
64,400
600
5,000
5,600
21,400
21,400
2,300
2,300
313,101
0
2,000
8,000
323,101
0
25,169
3,900
41,]30
862
0
8,928
41,525
122,114
],000
],000
3,300
60,]00
300
100
64,400
600
5,000
5,600
21,400
21,400
2,300
2,300
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
--------------------------------
FUND 101 - GENERAL FUND
--------------------------------
EXPENSE
DEPARTMENT 253 - TREASURER
943.000 Outside Equip Rental
MISCELLANEOUS
961.000 Taxes -Error In Rolls
CAPITAL OUTLAY
983.000 Cap Outlay -Office Sop
TREASURER TOTAL . . .
PAGE 30
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
1,709
2,000
2,000
2,000
1,709
2,000
2,000
2,000
576
300
300
300
576
300
300
300
17,540
19,840
8,500
8,500
17,540
19,840
8,500
8,500
502,491
554,026
556,715
556,715
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
300,000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
0
0
2000
2001
128,009
0
Actual
Amended
ACCOUNT Expense Budget
69,125
UTILITIES TOTAL . . . 505,508
PAGE 31
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
140,000
145,000
145,000
----------------------------------------------
FUND 101
- GENERAL FUND
145,000
--------------------------------------------
EXPENSE
300,000
300,000
DEPARTMENT 263 - UTILITIES AND
SUPPLIES
SUPPLIES
0
0
730.000
Postage
128,009
0
130,000
128,009
PROF AND
CONTRACTUAL SERVICES
35,000
853.000
Telephone
308,374
40,000
119,668-
308,3]4
TRANSPORTATION
60,332
95,114
864.010
Travel/Ed-Emp
0
540,114
0
PUBLIC UTILITIES
921.000
Electric
131,665
923.000
Heat
20,392
927.000
Nater
34,933
928.010
Tsf-Utilities
117,865-
69,125
UTILITIES TOTAL . . . 505,508
PAGE 31
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
140,000
145,000
145,000
140,000
145,000
145,000
300,000
300,000
300,000
300,000
300,000
300,000
0
0
0
0
0
0
130,000
135,000
135,000
20,000
35,000
35,000
30,000
40,000
40,000
119,668-
114,886-
114,886-
60,332
95,114
95,114
500,332
540,114
540,114
City of Livonia F I N
A N C I A L N A N
A G E N E N T
PAGE 32
DATE 10/26/01
ADOPTEE ANNUAL BUDGET
BP9200
TIME 10:45:01
FISCAL YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
A ended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
-------------------------------------------------------------------------------------
FOND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 267 - ACQUISITION OF LAND
CAPITAL OUTLAY
972.000 Land Purchase
3,000
10,000
10,000
10,000
972.001 Land Purch-Fees
2,008
3,000
3,000
3,000
5,008
13,000
13,000
13,000
LAND ACQ TOTAL . . . .
5,008
13,000
13,000
13,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
24,000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FOND
101 - GENERAL
FUND
EXPENSE
DEPARTMENT 2]] - RESEARCH & INVESTIGATION
PROF AND CONTRACTUAL SERVICES
838.000 Legislative Affairs 24,000
24,000
RESEARCH TOTAL . . . . 24,000
PAGE 33
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
24,000
24,000
24,000
24,000
24,000
24,000
24,000
24,000
24,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
0
TIME
10:45:01
FISCAL YEAR 2001
- 2002
0
0
2000
2001
69,000
69,000
Actual
Amended
ACCOUNT Expense Budget
-------------------------------------------
FUND 101 - GENERAL FUND
-------------------------------------------
EXPENSE
DEPARTMENT 279 - DUES AND SUBSCRIPTIONS
PERSONNEL SERVICES
702.000 Salaries And Wages
FRINGE BENEFITS
715.000 FICA
OTHER CHARGES AND SERVICES
956.000 Cont To Comm Agencies
950.000 Dues And Subscript
0
0
0
0
60,949
60,949
DUES/SUHSC TOTAL . . . . 68,949
PAGE 34
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
67,000
69,000
69,000
67,000
69,000
69,000
67,000
69,000
69,000
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 35
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FOND 101 - GENERAL FUND
-----------------------------------
EXPENSE
DEPARTMENT 302 - TRAFFIC BUREAU
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
709.000 Overtim
710.000 Education Premium
711.000 Merit Pay
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
717.000 Holiday And Longev
719.000 Medical Pmt
720.000 Life Insurance
722.000 Retirement EB
723.000 Retirement DC
724.000 Retirement Medical
724.010 Gun Allowance
SUPPLIES
767.000 Police Supplies
768.000 Uniform Allowance
768.010 Uniform Purchases
OTHER CHARGES AND SERVICES
960.010 Ed/Training-Emp
CAPITAL OUTLAY
983.000 Cap Outlay -Office Egp
985.000 Cap Outlay -Vehicles
987.000 Cap Outlay -Other Egp
TRAFFIC TOTAL . . . .
350,255 361,249 380,390 380,390
0 5,000- 5,000- 5,000-
21,919 20,600 21,218 21,218
9,300 8,550 10,050 10,050
4,550 4,050 6,030 6,030
386,024 389,449 412,688 412,688
0 2,500- 2,500- 2,500-
31,661 31,794 33,500 33,500
24,065 25,212 26,256 26,256
42,595 42,690 46,488 46,488
887 986 1,027 1,027
9,011 9,574 0 0
8,970 9,108 9,077 9,077
34,812 34,439 43,795 43,795
6,300 6,300 6,600 6,600
158,301 157,603 164,243 164,243
6,012 9,360 9,360 9,360
3,175 2,988 3,588 3,588
1,966 11,600 11,600 11,600
11,153 23,948 24,548 24,548
762 2,000 2,000 2,000
762 2,000 2,000 2,000
0 0 0 0
21,000 46,000 37,500 37,500
6,394 16,400 7,300 7,300
27,394 62,400 44,800 44,800
583,634 635,400 648,279 648,279
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
717.000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
PERSONNEL
SERVICES
2000
2001
722.000
Salaries And Wages
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
Office Supplies
---------------------------------------------
FUND 101
- GENERAL FUND
Ammunition
--------------------------------------------
EXPENSE
717.000
Blanket -Medical
Holiday And Longev
DEPARTMENT 304 - POLICE ADMINISTRATION
Miscellaneous
PERSONNEL
SERVICES
Photo Supplies
702.000
722.000
Salaries And Wages
558,614
702.100
Prisoner Medical
Vacancy Adj-Wages
0
707.000
Retirement Medical
Alternate Payments
0
709.000
Overtime
35,470
710.000
Uniform Purchases
Education Premium
8,150
711.000
Merit Pay
13,032
FRINGE BENEFITS
714.100
Office Supplies
Vacancy Adj-Benefits
715.000
Ammunition
FICA
717.000
Blanket -Medical
Holiday And Longev
719.000
Miscellaneous
Medical Pmt
720.000
Photo Supplies
Life Insurance
722.000
Prisoner Meals
Retirement EB
723.000
Prisoner Medical
Retirement DC
724.000
Prisoner Housing
Retirement Medical
724.010
Tools And Supplies
Gun Allowance
SUPPLIES
728.000
Office Supplies
741.000
Ammunition
742.000
Blanket -Medical
756.000
Miscellaneous
759.000
Photo Supplies
761.000
Prisoner Meals
761.300
Prisoner Medical
761.400
Prisoner Housing
766.000
Tools And Supplies
768.000
Uniform Allowance
768.010
Uniform Purchases
772.000
Microfilm Services
PROF AND CONTRACTUAL SERVICES
818.000 Contractual Service
829.000 New Hire Expenses
TRANSPORTATION
864.010 Travel/Ed-Emp
867.000 Parking Rental
615,266
0
47,488
36,486
71,096
1,332
6,256
44,406
60,679
5,400
273,143
19,344
26,776
7,340
494
9,087
21,182
23,741
604,879
256
4,250
2,111
0
719,460
2,400
806
3,206
1,533
845
2,378
571,542
7,000
0
20,600
8,400
14,725
608,267
3,500-
46,422
36,167
64,604
1,543
5,794
48,463
58,773
5,400
263,666
23,500
28,600
7,800
1,000
12,500
27,500
39,500
513,000
2,300
4,365
0
2,000
662,065
2,400
6,400
8,800
1,600
1,200
2,800
PAGE 36
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
574,485
5,000
0
21,218
8,400
15,085
614,188
2,500-
47,242
34,296
69,801
1,546
0
44,447
77,452
5,500
277,784
23,500
28,600
7,800
600
12,500
27,500
30,000
636,000
2,300
4,565
0
1,000
774,365
2,600
5,000
1,600
1,500
3,100
574,485
5,000
0
21,218
8,400
15,085
614,188
2,500-
47,242
34,296
69,801
1,546
0
44,447
77,452
5,500
277,784
23,500
28,600
7,800
600
12,500
27,500
30,000
636,000
2,300
4,565
0
1,000
774,365
2,600
5,000
7,600
1,600
1,500
3,100
City of Livonia F I N A N C I
A L N A N
A G E N E N
T
PAGE 37
DATE 10/26/01 ADOPTEE
ANNUAL BUDGET
BP9200
TIME 10:45:01 FISCAL
YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
-------------------------------------------------------------------------------------
FOND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 304 - POLICE ADMINISTRATION
COMMUNITY PROMOTION
885.000 Public Relations
9,681
14,000
14,000
14,000
9,681
14,000
14,000
14,000
PRINTING AND PUBLISHING
904.000 Printing
12,057
13,000
13,000
13,000
12,057
13,000
13,000
13,000
PUBLIC UTILITIES
928.000 Heat, Light, Nater
116,619
119,600
125,580
125,580
116,619
119,600
125,580
125,580
REPAIRS AND MAINTENANCE
933.000 Equipment Maint
8,581
21,000
21,000
21,000
933.050 Equip Maint-Outside Rp
398
7,000
7,000
7,000
934.000 Office Equip Maint
1,678
4,000
4,000
4,000
10,657
32,000
32,000
32,000
OTHER CHARGES AND SERVICES
944.000 Lease Purchase Pay
10,000
10,000
10,000
10,000
958.000 Dues And Subscript
3,971
4,000
4,000
4,000
960.010 Ed/Training-Emp
3,002
5,500
5,500
5,500
960.110 Ed/Train-Reimbursement
53,540
120,000
120,000
120,000
70,513
139,500
139,500
139,500
CAPITAL OUTLAY
976.000 Cap Outlay -Bldg Impry
0
55,036
0
0
985.000 Cap Outlay -Vehicles
0
0
0
0
987.000 Cap Outlay -Other Eqp
29,520
27,300
40,630
40,630
29,520
82,336
40,630
40,630
DEBT SERVICE
993.000 Debt Serv-Principal
310,608
31],0]9
315,800
315,800
997.000 Debt Serv-Interest
100,353
92,510
]4,48]
]4,48]
999.000 Paying Agent Fees
655
810
791
791
411,616
410,399
391,078
391,078
POLICE ADM TOTAL . . .
2,274,116
2,356,433
2,432,825
2,432,825
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
717.000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
PERSONNEL
SERVICES
2000
2001
722.000
Salaries And Wages
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
Office Supplies
---------------------------------------------
FUND 101
- GENERAL FUND
Computer Supplies
--------------------------------------------
EXPENSE
717.000
Miscellaneous
Holiday And Longev
DEPARTMENT 306 - POLICE DATA
PROCESSING
PERSONNEL
SERVICES
Uniform Allowance
702.000
722.000
Salaries And Wages
264,019
702.100
Vacancy Adj-Wages
0
707.000
Retirement Medical
Alternate Payments
0
709.000
Overtime
27,020
710.000
Education Premium
3,300
711.000
Merit Pay
4,725
FRINGE BENEFITS
714.100
Office Supplies
Vacancy Adj-Benefits
715.000
Computer Supplies
FICA
717.000
Miscellaneous
Holiday And Longev
719.000
Tools And Supplies
Medical Pmt
720.000
Uniform Allowance
Life Insurance
722.000
Outlay
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
724.010
Gun Allowance
SUPPLIES
728.000
OUTLAY
Office Supplies
729.000
983.000
Computer Supplies
756.000
Outlay
Miscellaneous
766.000
Tools And Supplies
768.000
-Vehicles
Uniform Allowance
PROF AND CONTRACTUAL SERVICES
851.010 comp Hardware Maint
OTHER CHARGES AND SERVICES
944.000 Lease Purchase Pay
958.000 Dues And Subscript
960.010 Ed/Training-Emp
CAPITAL
OUTLAY
983.000
Cap
Outlay
-Office Egp
985.000
Cap
Outlay
-Vehicles
987.000
Cap
Outlay
-Other Egp
299,064
0
23,157
14,027
27,163
596
2,489
9,769
28,863
1,800
107,864
2,565
16,498
692
3,000
1,281
24,036
101,948
101,948
0
0
8,308
8,308
12,240
0
406,606
215,987
0
0
20,000
2,550
2,250
240,787
0
19,011
9,968
22,710
602
3,566
0
22,771
1,800
80,428
3,000
20,000
5,422
3,000
1,176
32,598
159,100
159,100
420,378
0
20,000
440,378
1,000
0
1,904,500
1,905,500
PAGE 38
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
238,035
0
0
20,600
2,550
2,250
263,435
0
20,759
10,172
25,868
663
0
0
29,932
1,850
89,244
3,000
25,000
800
3,000
1,276
33,076
172,100
172,100
393,380
25,500
20,000
438,880
1,000
0
2,000
3,000
238,035
0
0
20,600
2,550
2,250
263,435
0
20,759
10,172
25,868
663
0
0
29,932
1,850
89,244
3,000
25,000
800
3,000
1,276
33,076
172,100
172,100
393,380
25,500
20,000
438,880
1,000
0
2,000
3,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FUND
101 - GENERAL
FUND
PAGE 39
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
POL DATA P TOTAL . . . . 960,066 2,858,091 999,735 999,735
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L M A N A G E M E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
---------------------------------------------
FOND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 307 - DETECTIVE BUREAU
PERSONNEL
SERVICES
702.000
983.000
Salaries And Wages
1,305,704
702.100
-Office Egp
Vacancy Adj-Wages
0
707.000
Outlay
Alternate Payments
2,000
709.000
Cap
Overtime
93,811
710.000
Education Premium
32,550
711.000
Merit Pay
22,418
1,456,483
FRINGE BENEFITS
714.100
Vacancy Adj-Benefits
0
715.000
FICA
115,903
717.000
Holiday And Longev
87,614
719.000
Medical Pmt
146,626
720.000
Life Insurance
3,182
722.000
Retirement EB
24,643
723.000
Retirement DC
67,507
724.000
Retirement Medical
130,746
724.010
Gun Allowance
22,500
SUPPLIES
728.030 Crime Prev Supply
756.000 Miscellaneous
768.000 Uniform Allowance
768.010 Uniform Purchases
OTHER CHARGES AND SERVICES
944.000 Lease Purchase Pay
960.010 Ed/Training-Emp
CAPITAL
OUTLAY
983.000
Cap
Outlay
-Office Egp
985.000
Cap
Outlay
-Vehicles
987.000
Cap
Outlay
-Other Egp
598,721
5,821
3,000
16,411
2,534
27,766
1,975
5,597
7,572
16,906
0
3,800
20,706
1,302,928
20,000
2,000
80,000
31,050
22,718
1,418,696
10,000-
115,036
91,860
135,890
3,530
26,423
65,632
126,744
19,800
574,915
12,000
3,500
17,050
3,500
36,050
2,580
6,000
8,580
13,842
40,000
24,700
78,542
DETECTIVE TOTAL . . . . 2,111,248 2,116,783
PAGE 40
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
1,317,210
10,000
2,000
82,400
29,550
29,018
1,450,178
5,000-
116,016
85,864
163,974
3,554
0
64,124
152,427
20,350
601,309
10,000
4,500
17,776
3,500
35,776
4,800
6,000
10,800
0
0
4,500
4,500
2,102,563
1,317,210
10,000
2,000
82,400
29,550
29,018
1,450,178
5,000-
116,016
85,864
163,974
3,554
0
64,124
152,427
20,350
601,309
10,000
4,500
17,776
3,500
35,776
4,800
6,000
10,800
0
0
4,500
4,500
2,102,563
City of Livonia F I
DATE 10/26/01
TIME 10:45:01
ACCOUNT
N A N C I A L N A N A G E N E N T
ADOPTEE ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
Expense Budget
2002
Mayor
Approved
PAGE 41
BP9200
SLATER
2002
City Coun.
Approved
-------------------------------------------------------------------------------------
FUND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 309 - AUTOMOTIVE SERVICE
SUPPLIES
751.000 Gas And Oil
138,090
115,500
127,050
127,050
138,090
115,500
127,050
127,050
REPAIRS AND MAINTENANCE
939.000 Vehicle Maint
197,045
235,000
235,000
235,000
197,045
235,000
235,000
235,000
POL AUTO TOTAL . . . .
335,135
350,500
362,050
362,050
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
717.000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SERVICES
720.000
2000
2001
Salaries And Wages
345,466
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
---------------------------------------------
FUND 101
- GENERAL FUND
--------------------------------------------
EXPENSE
717.000
Holiday And Longev
DEPARTMENT 310 - POLICE COMMUNICATIONS
PERSONNEL
SERVICES
720.000
702.000
Life Insurance
Salaries And Wages
345,466
702.100
723.000
Vacancy Adj-Wages
0
707.000
Alternate Payments
3,000
709.000
Gun Allowance
Overtime
27,717
710.000
Education Premium
3,450
711.000
Merit Pay
5,000
FRINGE BENEFITS
714.100
Vacancy Adj-Benefits
715.000
FICA
717.000
Holiday And Longev
719.000
Medical Pmt
720.000
Life Insurance
722.000
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
724.010
Gun Allowance
SUPPLIES
728.000 Office Supplies
756.000 Miscellaneous
766.000 Tools And Supplies
768.000 Uniform Allowance
PROF AND CONTRACTUAL SERVICES
851.000 Radio Maintenance
TRANSPORTATION
861.010 Auto Expense-Emp
OTHER CHARGES AND SERVICES
944.000 Lease Purchase Pay
960.010 Ed/Training-Emp
384,633
0
30,541
14,200
30,681
828
5,370
15,017
36,047
2.700
135,384
54
149
376
1,575
2,349
31,400
31,400
0
0
984
1,721
429,066
5,000
3,000
20,000
5,100
6,975
459,141
2,500-
36,505
20,024
40,713
1,200
5,840
26,782
44,651
3,600
176,815
650
600
1,000
2,163
4,413
35,000
35,000
100
100
1,800
2,500
2,705 4,300
CAPITAL OUTLAY
983.000 Cap Outlay -Office Egp 2,825 0
985.000 Cap Outlay -Vehicles 0 0
PAGE 42
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
431,810
5,000
3,000
20,600
5,100
6,975
462,485
2,500-
36,840
21,056
41,523
1,205
0
27,185
54,631
3,600
183,540
650
600
1,000
1,976
4,226
32,000
32,000
100
100
1,800
2,500
2,100
0
431,810
5,000
3,000
20,600
5,100
6,975
462,485
2,500-
36,840
21,056
41,523
1,205
0
27,185
54,631
3,600
183,540
650
600
1,000
1,976
4,226
32,000
32,000
100
100
1,800
2,500
4,300
2,100
0
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FUND
101 - GENERAL
FUND
EXPENSE
DEPARTMENT 310 - POLICE COMMUNICATIONS
987.000 Cap Outlay -Other Eq 87,154
89,9]9
PAGE 43
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
74,588 67,880 67,880
74,588 69,980 69,980
POLICE CON TOTAL . . . . 646,450 ]54,35] 756,631 756,631
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-----------------------
FOND 101 - GENERAL FUND
EXPENSE
DEPARTMENT 313 - CROSSING GUARDS
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
768.000 Uniform Allowance
768.010 Uniform Purchases
OTHER CHARGES AND SERVICES
960.010 Ed/Training-Emp
CROSSING G TOTAL . . . .
PAGE 44
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
52,075
58,000
58,000
58,000
0
0
0
0
52,075
58,000
58,000
58,000
0
0
0
0
3,984
4,437
4,437
4,437
3,984
4,437
4,437
4,437
0
0
0
0
0
400
400
400
0
400
400
400
150
200
200
200
150
200
200
200
56,209
63,037
63,037
63,037
City
of Livonia
F I N A N C I A L M A N
A G E M E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
715.000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
PERSONNEL
SERVICES
2000
2001
720.000
Salaries And Wages
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
713.000
500
----------------------------------------------
FUND 101
- GENERAL FUND
3,975
--------------------------------------------
EXPENSE
715.000
-Office Egp
FICA
DEPARTMENT 316 - DARE/SCHOOL
LIAISON
PERSONNEL
SERVICES
987.000
702.000
720.000
Salaries And Wages
472,994
702.100
1,598
Vacancy Adj-Wages
0
]0].000
Retirement DC
Alternate Payments
0
709.000
724.010
Overtime
22,840
710.000
0
Education Premium
11,850
711.000
0
Merit Pay
2,250
712.000
432,694
Wage Tsf-Other
213,041 -
FRINGE BENEFITS
713.000
500
Benet Try
714.100
3,975
Vacancy Adj-Benefits
715.000
-Office Egp
FICA
]1].000
Cap
Holiday And Longev
719.000
987.000
Medical Pmt
720.000
Outlay
Life Insurance
722.000
1,598
Retirement EB
723.000
2,600
Retirement DC
724.000
0
Retirement Medical
724.010
0
Gun Allowance
SUPPLIES
756.000 Miscellaneous
768.000 Uniform Allowance
768.010 Uniform Purchases
OTHER CHARGES AND SERVICES
960.010 Ed/Training-Emp
CAPITAL
OUTLAY
500
500
983.000
3,975
Cap
Outlay
-Office Egp
985.000
1,680
Cap
Outlay
-Vehicles
987.000
6,955
Cap
Outlay
-Other Egp
DARE LIAIS TOTAL . . .
296,893
81,286-
0
41,549
30,553
64,043
1,128
12,35]
8,619
45,141
8,100
130,204
466,3]8
5,000
0
2],000
11,850
2,250
211,5]8
290,900
105,233-
2,500-
41,130
32,419
60,]66
1,2]2
12,908
9,010
44,263
8,100
102,135
PAGE 45
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
491,1]1
5,000
0
2],810
11,850
9,450
242,323
292,958
116,348-
2,500-
43,295
35,119
68,994
1,32]
0
8,980
56,498
8,500
103,865
491,1]1
5,000
0
2],810
11,850
9,450
242,323
292,958
116,348-
2,500-
43,295
35,119
68,994
1,32]
0
8,980
56,498
8,500
103,865
24
500
500
500
3,975
3,975
4,]]5
4,]]5
0
1,680
1,680
1,680
3,999
6,155
6,955
6,955
1,598
2,600
2,600
2,600
1,598
2,600
2,600
2,600
0
9,500
0
0
0
0
0
0
0
0
0
0
0
9,500
0
0
432,694
411,290
406,378
406,378
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
]1].000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SERVICES
720.000
2000
2001
Salaries And Wages
159,999
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
----------------------------------------------
FUND 101
- GENERAL FUND
--------------------------------------------
EXPENSE
]1].000
-Office Egp
Holiday And Longev
DEPARTMENT 319 - RESERVE POL/SPECIAL EVENT
PERSONNEL
SERVICES
720.000
702.000
Life Insurance
Salaries And Wages
159,999
702.100
723.000
Vacancy Adj-Wages
0
]0].000
Alternate Payments
0
709.000
Gun Allowance
Overtime
9,715
710.000
Education Premium
3,300
711.000
Merit Pay
2,475
712.000
Wage Tsf-Other
0
FRINGE BENEFITS
714.100
Vacancy Adj-Benefits
715.000
FICA
]1].000
-Office Egp
Holiday And Longev
719.000
Cap
Medical Pmt
720.000
987.000
Life Insurance
722.000
Outlay
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
724.010
Gun Allowance
SUPPLIES
766.000 Tools And Supplies
768.000 Uniform Allowance
768.010 Uniform Purchases
OTHER CHARGES AND SERVICES
960.010 Ed/Training-Emp
CAPITAL
OUTLAY
983.000
Cap
Outlay
-Office Egp
985.000
Cap
Outlay
-Vehicles
987.000
Cap
Outlay
-Other Egp
1]5,489
0
14,028
8,510
8,776
291
3,666
0
11,425
900-
45,]96
458
1,200
1,]93
3,451
6,493
6,493
590
0
13,013
13,603
198,206
1,000
0
10,000
3,300
2,4]5
2,000
210,981
500-
16,831
8,510
8,344
31]
3,855
0
11,434
1,800
50,591
2,000
988
8,000
10,988
6,500
6,500
2,100
0
3],835
39,935
PAGE 46
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
208,398
1,000
1,000
10,300
3,300
4,]25
3,000
223,]23
500-
1],811
9,826
],524
341
0
0
14,888
1,800
51,690
2,000
988
8,000
10,988
6,500
6,500
1,500
0
0
1,500
208,398
1,000
1,000
10,300
3,300
4,]25
3,000
223,]23
500-
1],811
9,826
],524
341
0
0
14,888
1,800
51,690
2,000
988
8,000
10,988
6,500
6,500
1,500
0
0
1,500
ASV/SP EV TOTAL . . . . 244,832 318,995 294,401 294,401
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
717.000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
PERSONNEL
SERVICES
2000
2001
722.000
Salaries And Wages
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
Miscellaneous
---------------------------------------------
FUND 101
- GENERAL FUND
Police Supplies
--------------------------------------------
EXPENSE
717.000
SWAT Supplies
Holiday And Longev
DEPARTMENT 325 - POLICE PATROL
BUREAU
PERSONNEL
SERVICES
Uniform Purchases
702.000
722.000
Salaries And Wages
5,349,871
702.100
Vacancy Adj-Wages
0
707.000
Retirement Medical
Alternate Payments
8,000
709.000
Overtime
350,212
710.000
Education Premium
120,900
711.000
Merit Pay
23,993
FRINGE BENEFITS
714.100
Miscellaneous
Vacancy Adj-Benefits
715.000
Police Supplies
FICA
717.000
SWAT Supplies
Holiday And Longev
719.000
Uniform Allowance
Medical Pmt
720.000
Uniform Purchases
Life Insurance
722.000
Outlay
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
724.010
Gun Allowance
SUPPLIES
756.000
OUTLAY
Miscellaneous
767.000
983.000
Police Supplies
767.010
Outlay
SWAT Supplies
768.000
Uniform Allowance
768.010
-Vehicles
Uniform Purchases
OTHER CHARGES AND SERVICES
960.010 Ed/Training-Emp
CAPITAL
OUTLAY
983.000
Cap
Outlay
-Office Egp
985.000
Cap
Outlay
-Vehicles
987.000
Cap
Outlay
-Other Egp
POLICE PAT TOTAL . . .
5,852,976
0
469,882
328,081
613,054
12,745
100,633
217,100
532,201
92,558
2,366,254
950
8,500
1,817
45,569
40,841
97,677
7,215
7,215
4,073
264,000
891
268,964
8,593,086
5,539,554
65,000
8,000
329,600
127,350
40,943
5,980,447
33,000-
484,546
333,533
618,753
15,240
98,791
271,549
532,752
93,600
2,415,764
1,000
8,500
2,200
42,163
60,000
113,863
8,000
8,000
0
276,000
16,500
292,500
8,810,574
PAGE 47
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
5,939,143
47,500-
12,000
324,043
134,100
62,678
6,424,464
23,750
518,121
348,557
683,070
16,152
0
295,611
701,518
97.850
2,637,129
1,000
10,200
2,200
55,915
60,000
129,315
8,000
8,000
5,875
336,000
30,450
372,325
9,571,233
5,939,143
47,500
12,000
324,043
134,100
62,678
6,424,464
23,750-
518,121
348,557
683,070
16,152
0
295,611
701,518
97,850
2,637,129
1,000
10,200
2,200
55,915
60,000
129,315
8,000
8,000
5,875
336,000
30,450
372,325
9,571,233
City
of Livonia
F I N A N C I A L M A N
A G E M E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
715.000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
PERSONNEL
SERVICES
2000
2001
720.000
Salaries And Wages
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
713.000
---------------------------------------------
FUND 101
- GENERAL FUND
--------------------------------------------
EXPENSE
715.000
FICA
DEPARTMENT 329 - INTELLIGENCE
BUREAU
PERSONNEL
SERVICES
702.000
720.000
Salaries And Wages
741,809
702.100
Vacancy Adj-Wages
0
]0].000
Retirement DC
Alternate Payments
0
709.000
724.010
Overtime
134,408
710.000
Education Premium
18,600
711.000
Merit Pay
11,250
712.000
Wage Tsf-Other
0
FRINGE BENEFITS
713.000
Benet Try
714.100
Vacancy Adj-Benefits
715.000
FICA
]1].000
Holiday And Longev
719.000
Medical Pmt
720.000
Life Insurance
722.000
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
724.010
Gun Allowance
SUPPLIES
756.000 Miscellaneous
768.000 Uniform Allowance
REPAIRS AND MAINTENANCE
933.000 Equipment Maint
OTHER CHARGES AND SERVICES
947.000 Outside Vehicle Rental
960.010 Ed/Training-Emp
CAPITAL OUTLAY
985.000 Cap Outlay -Vehicles
INTELLGNC TOTAL . . . .
906,06]
0
0
]2,054
48,099
]8,434
1,809
18,89]
14,920
]2,26]
12,600
319,080
12,000
10,150
22,150
234
234
0
996
119,607
119,60]
1,368,134
]42,003
10,000
0
100,000
16,950
13,500
0
862,453
0
5,000
69,610
50,9]]
]],553
2,021
18,884
18,458
]1,920
11,]00
316,123
12,000
10,0]5
22,0]5
500
500
0
1,000
1,000
40,000
40,000
1,242,151
PAGE 48
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
82],420
5,000
0
111,000
17,100
13,]25
69,152
895,093
15,021-
2,500-
]],142
52,868
109,066
2,230
0
2],116
94,913
12,950
12,000
11,550
23,550
500
500
0
1,000
1,000
80,000
80,000
1,358,90]
82],420
5,000
0
111,000
17,100
13,]25
69,152
895,093
15,021
2,500
]],142
52,868
109,066
2,230
0
2],116
94,913
12,950
358,]64
12,000
11,550
23,550
500
500
0
1,000
1,000
80,000
80,000
1,358,90]
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
]1].000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
Medical Pmt
702.000
2000
2001
702.100
Vacancy Adj-Wages
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
---------------------------------------------
FOND 101
- GENERAL FUND
--------------------------------------------
EXPENSE
]1].000
DEPARTMENT 336 - FIRE ADMINISTRATION
PERSONNEL
SERVICES
Medical Pmt
702.000
Salaries And Wages
300,512
702.100
Vacancy Adj-Wages
0
]0].000
Alternate Payments
0
709.000
Overtime
10,812
710.000
Education Premium
1,250
710.050
EMT/ALS Bonus
900
FRINGE BENEFITS
714.100
Vacancy Adj-Benefits
715.000
FICA
]1].000
Holiday And Longev
719.000
Medical Pmt
720.000
Life Insurance
722.000
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
724.020
Food c Clothing Allow
SUPPLIES
728.000 Office Supplies
768.000 Uniform Allowance
]]8.000 Equip Maint Supply
PROF AND CONTRACTUAL SERVICES
818.000 Contractual Service
818.336 Cont Ser -EMT Billing
836.000 Mutual Aid Pact
TRANSPORTATION
864.010 Travel/Ed-Emp
PRINTING AND PUBLISHING
904.000 Printing
REPAIRS AND MAINTENANCE
934.000 Office Equip Maint
313,4]4
0
25,193
18,840
2],32]
666
20,9]4
6,542
39,003
1,300
139,845
4,351
350
3,40]
8,108
706
88,811
3,286
92,803
1,238
1,238
15,662
15,662
6,809
316,545
0
0
15,000
1,250
3,000
335,]95
0
25,850
14,8]2
31,]1]
862
26,503
],326
41,698
3,865
152,693
4,300
350
0
4,650
2,400
90,000
9,835
102,235
1,400
1,400
21,000
21,000
8,200
PAGE 49
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
322,358
0
0
15,000
1,250
4,350
342,958
0
26,94]
14,440
38,651
8]6
15,443
],64]
49,1]]
3,915
15],096
4,300
350
3,450
8,100
2,400
95,000
9,8]5
10],2]5
1,400
1,400
21,000
21,000
5,250
322,358
0
0
15,000
1,250
4,350
342,958
0
26,94]
14,440
38,651
8]6
15,443
],64]
49,177
3,915
15],096
4,300
350
3,450
8,100
2,400
95,000
9,8]5
10],2]5
1,400
1,400
21,000
21,000
5,250
City of Livonia F I N A N C I A L N A N A G E N E N T
DATE 10/26/01 ADOPTEE ANNUAL BUDGET
TIME 10:45:01 FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
2002
Mayor
Approved
PAGE 50
BP9200
SLATER
2002
City Coun.
Approved
-------------------------------------------------------------------------------------
FUND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 336 - FIRE ADMINISTRATION
6,809
8,200
5,250
5,250
OTHER CHARGES AND SERVICES
960.010 Ed/Training-Emp
314
5,000
5,000
5,000
314
5,000
5,000
5,000
CAPITAL OUTLAY
985.000 Cap Outlay -Vehicles
0
22,500
60,000
60,000
0
22,500
60,000
60,000
FIRE ADMIN TOTAL . . .
578,253
653,473
]08,0]9
]08,0]9
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 51
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FOND 101
- GENERAL FUND
----------------------------------
EXPENSE
Vacancy Adj-Benefits
715.000
DEPARTMENT 338 - FIRE FIGHTING
PERSONNEL
SERVICES
702.000
Holiday And Longev
Salaries And Wages
702.100
Medical Pmt
Vacancy Adj-Wages
]0].000
Life Insurance
Alternate Payments
709.000
Retirement EB
Overtim
710.000
Retirement DC
Education Premium
710.050
Retirement Medical
ENT/ALS Bonus
FRINGE BENEFITS
714.100
Blanket -Medical
Vacancy Adj-Benefits
715.000
Extinguisher Rechg
FICA
]1].000
Gas And Oil
Holiday And Longev
719.000
Miscellaneous
Medical Pmt
720.000
Oxygen
Life Insurance
722.000
Tools And Supplies
Retirement EB
723.000
Uniform Allowance
Retirement DC
724.000
Equip Maint Supply
Retirement Medical
724.020
Laundry
Food c Clothing Allow
SUPPLIES
742.000
Blanket -Medical
]4].000
Extinguisher Rechg
751.000
Gas And Oil
756.000
Miscellaneous
758.000
Oxygen
766.000
Tools And Supplies
768.000
Uniform Allowance
]]8.000
Equip Maint Supply
]]9.000
Laundry
PROF AND CONTRACTUAL SERVICES
81].0]0 Medical Eval Fire Emp
818.000 Contractual Service
TRANSPORTATION
861.010 Auto Expense-Emp
4,412,812
0
1,000
258,]45
13,000
]6,384
4,]61,941
0
383,548
280,420
480,285
9,]26
608,]]3
115,415
6]2,382
10],923
2,658,4]2
]3,46]
]]2
31,8]5
486
3,831
15,943
49,995
16,15]
8,403
200,929
7,280
69,1]6
]6,456
841
4,495,094
30,000
4,000
153,962
12,000
108,900
4,]43,956
15,000-
38],006
300,805
4]8,154
12,185
633,4]0
136,643
6]6,552
111,300
2,]21,115
]5,000
2,500
22,000
330
5,000
],1]0
5],500
20,000
10,000
199,500
10,775
50,398
61,1]3
1,000
4,564,289
20,000
2,000
185,000
16,500
142,2]5
4,890,064
10,000-
396,]25
282,550
56],]93
12,348
342,]34
159,332
]84,245
113,400
2,649,12]
80,000
2,500
25,000
500
5,000
10,000
5],500
20,000
10,000
210,500
10,775
5,88]
16,662
1,000
841 1,000 1,000
PUBLIC UTILITIES
928.000 Heat, Light, Water 97,286 93,000 105,000
4,564,289
20,000
2,000
185,000
16,500
142,2]5
4,890,064
10,000-
396,]25
282,550
56],]93
12,348
342,]34
159,332
]84,245
113,400
2,649,12]
80,000
2,500
25,000
500
5,000
10,000
5],500
20,000
10,000
210,500
10,775
5,88]
16,662
1,000
1,000
105,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
----------------------------------
FOND 101 - GENERAL FUND
----------------------------------
EXPENSE
DEPARTMENT 338 - FIRE FIGHTING
PAGE 52
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
128,340 130,863 128,288 128,288
FIRE FIGHT TOTAL . . . 8,268,479 8,540,645 8,569,641 8,569,641
97,286
93,000
105,000
105,000
REPAIRS
AND MAINTENANCE
939.000
Vehicle Maint
85,507
90,000
100,000
100,000
939.100
Vehicle Maint-Contract
38,440
154,599
250,000
250,000
123,947
244,599
350,000
350,000
OTHER
CHARGES AND SERVICES
944.000
Lease Purchase Pay
0
0
0
0
960.010
Ed/Training-Emp
65,853
60,146
60,000
60,000
960.020
Ed/Training-ALS
2,554
9,854
10,000
10,000
960.110
Ed/Train-Reimbursement
2,814
7,000
7,000
7,000
71,221
]],000
]],000
]],000
CAPITAL
OUTLAY
979.000
Cap Outlay -Fire Equip
147,834
147,000
15,000
15,000
981.000
Cap Outlay-Furnitr
0
0
0
0
987.000
Cap Outlay -Other Eqp
1,212
121,439
127,000
127,000
149,046
268,439
142,000
142,000
DEBT
SERVICE
993.000
Debt Serv-Principal
50,000
55,000
55,000
55,000
997.000
Debt Serv-Interest
]],940
75,463
72,888
72,888
999.000
Paying Agent Fees
400
400
400
400
128,340 130,863 128,288 128,288
FIRE FIGHT TOTAL . . . 8,268,479 8,540,645 8,569,641 8,569,641
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 53
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FOND 101
- GENERAL FUND
------------------------------------
EXPENSE
Vacancy Adj-Benefits
715.000
DEPARTMENT
341 - FIRE PREVENTION
PERSONNEL
SERVICES
702.000
719.000
Salaries And Wages
702.100
720.000
Vacancy Adj-Wages
]0].000
722.000
Alternate Payments
709.000
723.000
Overtim
710.000
724.000
Education Premium
710.050
724.020
ENT/ALS Bonus
FRINGE BENEFITS
714.100
294,]]8
Vacancy Adj-Benefits
715.000
0
FICA
]1].000
0
Holiday And Longev
719.000
0
Medical Pmt
720.000
16,500
Life Insurance
722.000
1,250
Retirement EB
723.000
3,600
Retirement DC
724.000
4,875
Retirement Medical
724.020
316,653
Food c Clothing Allow
SUPPLIES
756.000 Miscellaneous
759.000 Photo Supplies
TRANSPORTATION
864.010 Travel/Ed-Emp
PRINTING AND PUBLISHING
904.000 Printing
905.000 Publishing
OTHER CHARGES AND SERVICES
958.000 Dues And Subscript
CAPITAL OUTLAY
985.000 Cap Outlay -Vehicles
294,627
293,571
294,]]8
294,]]8
0
0
0
0
0
0
0
0
21,610
15,000
16,500
16,500
1,250
1,250
Soo
Soo
3,600
3,600
4,875
4,875
321,087
313,421
316,653
316,653
0
0
0
0
26,027
25,241
25,799
25,799
21,541
22,185
20,584
20,584
36,736
33,540
36,145
36,145
]1]
790
792
792
2],]39
22,456
20,382
20,382
15,963
20,256
10,152
10,152
45,597
43,290
49,696
49,696
6,900
6,800
6,900
6,900
181,220
174,558
170,450
170,450
499
490
500
500
2,992
1,510
2,000
2,000
3,491
2,000
2,500
2,500
5,333
6,500
4,500
4,500
5,333
6,500
4,500
4,500
200
500
2,000
2,000
964
1,500
1,500
1,500
1,164
2,000
3,500
3,500
878
1,750
1,750
1,750
878
1,750
1,750
1,750
0
0
45,000
45,000
0
0
45,000
45,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FUND
101 - GENERAL
FUND
PAGE 54
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
FIRE PREV TOTAL . . . . 513,173 500,229 544,353 544,353
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 55
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 101
- GENERAL FUND
-------------------------------
EXPENSE
Benet Tsf-Grnt
714.100
DEPARTMENT 371 - INSPECTION
PERSONNEL
SERVICES
702.000
FICA
Salaries And Wages
702.100
Holiday And Longev
Vacancy Adj-Wages
707.000
Medical Pmt
Alternate Payments
709.000
Life Insurance
Overtim
712.010
Retirement EB
Wage Tsf-Refuse
712.050
Retirement DC
Wage Tsf-Grants
FRINGE BENEFITS
713.050
Benet Tsf-Grnt
714.100
Vacancy Adj-Benefits
715.000
FICA
717.000
Holiday And Longev
719.000
Medical Pmt
720.000
Life Insurance
722.000
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
725.010
O/H Tsf-Refuse
SUPPLIES
728.000 Office Supplies
756.000 Miscellaneous
766.000 Tools And Supplies
768.000 Uniform Allowance
PROF AND CONTRACTUAL SERVICES
818.000 Contractual Service
TRANSPORTATION
861.010 Auto Expense-Emp
864.010 Travel/Ed-Emp
PRINTING AND PUBLISHING
904.000 Printing
765,156
0
1,000
15,553
52,510
834
728,365
441-
0
60,496
7,381
89,227
1,678
0
49,883
86,698
52,510-
5,293
0
818
1,901
8,012
4,690
4,690
0
1,419
1,419
4,423
797,040
5,000
2,000
16,000
58,917
1,000
750,123
450-
2,500-
65,956
8,580
97,648
2,362
0
61,798
97,014
58,917-
271,491
4,500
0
198
2,350
7,048
39,617
39,617
200
21,200
21,400
8,300
4,423 8,300
REPAIRS AND MAINTENANCE
934.000 Office Equip Maint 151 85
838,822
5,000
2,000
18,000
90,022
1,000
762,800
450-
2,500-
66,396
9,100
116,383
2,330
0
54,162
115,172
90,022-
270,571
5,500
Soo
1,000
2,950
9,950
20,000
20,000
200
4,000
4,200
7.000
7,000
300
838,822
5,000
2,000
18,000
90,022
1,000
762,800
450-
2,500-
66,396
9,100
116,383
2,330
0
54,162
115,172
90,022-
270,571
5,500
Soo
1,000
2,950
9,950
20,000
20,000
200
4,000
4,200
7,000
7,000
300
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-------------------------------
FOND 101 - GENERAL FUND
-------------------------------
EXPENSE
DEPARTMENT 371 - INSPECTION
PAGE 56
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
151
85
300
300
OTHER CHARGES AND SERVICES
958.000 Dues And Subscript
387
1,395
1,395
1,395
960.010 Ed/Training-Emp
790
2,700
4,000
4,000
1,1]]
4,095
5,395
5,395
CAPITAL OUTLAY
987.000 Cap Outlay -Other Sop
6,685
52,000
0
0
6,685
52,000
0
0
INSPECTION TOTAL . . .
997,334
1,154,159
1,080,216
1,080,216
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
1,000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
PERSONNEL
SERVICES
2000
2001
Salaries And Wages
635
Actual
A ended
ACCOUNT Expense Budget
PAGE 5]
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
1,000
1,000
1,000
---------------------------------------------
FOND 101
- GENERAL FUND
0
--------------------------------------------
EXPENSE
1,000
1,000
DEPARTMENT
381 - BLDG CODE BD
OF APPEALS
PERSONNEL
SERVICES
]]
702.000
Salaries And Wages
635
702.100
Vacancy Adj-wages
0
530
100
635
FRINGE BENEFITS
1,1]]
1,1]]
714.100
Vacancy Adj-Benefits
0
715.000
FICA
49
49
SUPPLIES
728.000
Office Supplies
0
0
BLDG
CODE TOTAL . . .
684
PAGE 5]
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
1,000
1,000
1,000
0
0
0
1,000
1,000
1,000
0
0
0
]]
]]
]]
]]
]]
]]
530
100
100
530
100
100
1,607
1,1]]
1,1]]
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
1,200
TIME
10:45:01
FISCAL YEAR 2001
- 2002
91
130
2000
2001
115
0 0
Actual
A ended
ACCOUNT Expense Budget
----------------------------------------
FOND 101 - GENERAL FUND
----------------------------------------
EXPENSE
DEPARTMENT 386 - ELECT BOARD OF EXAM
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
728.000 Office Supplies
OTHER CHARGES AND SERVICES
958.000 Dues And Subscript
ELECT BRE TOTAL . . .
PAGE 58
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
1,190
1,400
0 0
0
200-
0 0
1,190
1,200
0 0
0
15-
0 0
91
130
0 0
91
115
0 0
93
0
0 0
93
0
0 0
60
60
0 0
60
60
0 0
1,434
1,375
0 0
City
of Livonia
F I N A N C I A L M A N
A G E M E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
]1].000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
Medical Pmt
720.000
2000
2001
722.000
650
Actual
Amended
ACCOUNT Expense Budget
---------------------------------------------
FOND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 429 - OFFICE OF EMER PREPARE
PERSONNEL SERVICES
702.000 Salaries And Wages 31,051
702.100 Vacancy Adj-Wages 0
FRINGE BENEFITS
714.100
32,839
Vacancy Adj-Benefits
715.000
0
FICA
]1].000
32,839
Holiday And Longev
719.000
0
Medical Pmt
720.000
2,562
Life Insurance
722.000
650
Retirement EB
723.000
4,183
Retirement DC
724.000
]2
Retirement Medical
SUPPLIES
028.000 Office Supplies
730.000 Postage
756.000 Miscellaneous
PROF AND CONTRACTUAL SERVICES
853.000 Telephone
TRANSPORTATION
861.010 Auto Expense-Emp
PRINTING AND PUBLISHING
904.000 Printing
PUBLIC UTILITIES
921.000 Electric
REPAIRS AND MAINTENANCE
933.000 Equipment Maint
31,051
0
2,425
650
3,288
52
0
2,5]6
2,488
11,4]9
149
0
40
189
158
158
188
188
8
8
490
490
240
PAGE 59
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
32,547
32,839
32,839
0
0
0
32,547
32,839
32,839
0
0
0
2,540
2,562
2,562
650
650
650
3,790
4,183
4,183
]2
]2
]2
0
0
0
2,784
2,819
2,819
2,614
3,223
3,223
12,450
13,509
13,509
200
200
200
50
50
50
300
300
300
550
550
550
300
300
300
300
300
300
100
150
150
100
150
150
200
200
200
200
200
200
500
500
500
500
500
500
2,500
2,500
2,500
2,500
2,500
2,500
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
550
TIME
10:45:01
FISCAL YEAR 2001
- 2002
1],000
0
2000
2001
51,098
51,098
Actual
Amended
ACCOUNT Expense Budget
---------------------------------------------
FOND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 429 - OFFICE OF EMER PREPARE
OTHER CHARGES AND SERVICES
958.000 Dues And Subscript 0
960.010 Ed/Training-Emp 0
0
CAPITAL OUTLAY
987.000 Cap Outlay -Other Egp 0
EMER PREP TOTAL . . . . 43,803
PAGE 60
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
100
100
100
450
450
450
550
550
550
1],000
0
0
1],000
0
0
66,697
51,098
51,098
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
0
TIME
10:45:01
FISCAL YEAR 2001
- 2002
0
0
2000
2001
432
444
Actual
Amended
ACCOUNT Expense Budget
---------------------------------------
FOND 101 - GENERAL FUND
---------------------------------------
EXPENSE
DEPARTMENT 435 - TRAFFIC COMMISSION
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
728.000 Office Supplies
TRANSPORTATION
861.015 Auto Expense -Comm
TRAFFIC CO TOTAL . . .
PAGE 61
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
5,647
5,800
5,800
5,800
0
0
0
0
5,647
5,800
5,800
5,800
0
0
0
0
432
444
444
444
432
444
444
444
96
540
540
540
96
540
540
540
0
0
0
0
0
0
0
0
6,175
6,784
6,784
6,784
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 62
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 101
- GENERAL FUND
--------------------------------------
EXPENSE
Benet Tsf-W c S Fond
714.100
DEPARTMENT
441 - ENGINEER/BUILDING
PERSONNEL
SERVICES
702.000
717.000
Salaries And Wages
702.100
719.000
Vacancy Adj-Wages
707.000
720.000
Alternate Payments
709.000
722.000
Overtim
712.020
723.000
Wage Tsf-Act 51
712.592
724.000
Wage Tsf-W c S Bond
FRINGE BENEFITS
713.592
Office Supplies
Benet Tsf-W c S Fond
714.100
Miscellaneous
Vacancy Adj-Benefits
715.000
Testing Supplies
FICA
717.000
Tools And Supplies
Holiday And Longev
719.000
Uniform Allowance
Medical Pmt
720.000
140,000-
Life Insurance
722.000
89,354-
Retirement EB
723.000
107,319-
Retirement DC
724.000
662,586
Retirement Medical
725.020
42,620-
O/H Tsf-Act 51
SUPPLIES
728.000
888,525
Office Supplies
756.000
0
Miscellaneous
765.000
5,000-
Testing Supplies
766.000
0
Tools And Supplies
768.000
30,000
Uniform Allowance
PROF AND CONTRACTUAL SERVICES
818.005 Cont Serv-Consultant
818.600 Cont Sex -Contingencies
TRANSPORTATION
861.010 Auto Expense-Emp
864.010 Travel/Ed-Emp
PRINTING AND PUBLISHING
904.000 Printing
816,422
888,525
881,905
881,905
0
5,000-
5,000-
5,000-
0
0
0
0
59,671
30,000
33,000
33,000
115,000-
140,000-
140,000-
140,000-
89,354-
104,354-
107,319-
107,319-
671,739
669,171
662,586
662,586
32,620-
42,620-
58,321-
58,321-
0
2,500-
2,500-
2,500-
68,772
71,294
71,054
71,054
14,095
13,910
13,910
13,910
95,203
100,389
125,312
125,312
1,706
2,393
2,376
2,376
0
0
0
0
52,354
63,401
55,377
55,377
91,131
99,648
119,276
119,276
115,000-
140,000-
140,000-
140,000-
175,641
165,915
186,484
186,484
2,151
3,000
3,000
3,000
6
so
so
so
183
0
0
0
2,752
2,850
2,850
2,850
2,057
3,800
4,175
4,175
7,149
9,700
10,075
10,075
12,861
26,400
32,750
32,750
9,785
20,700
10,500
10,500
22,646
47,100
43,250
43,250
41
210
210
210
40
2,700
2,700
2,700
81
2,910
2,910
2,910
7,065
8,000
8,000
8,000
7,065
8,000
8,000
8,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
--------------------------------------
FUND 101 - GENERAL FUND
--------------------------------------
EXPENSE
DEPARTMENT 441 - ENGINEER/BUILDING
REPAIRS AND MAINTENANCE
934.000 Office Equip Maint
OTHER CHARGES AND SERVICES
958.000 Dues And Subscript
960.010 Ed/Training-Emp
CAPITAL OUTLAY
987.000 Cap Outlay -Other Eqp
ENGINEER/H TOTAL . . . .
PAGE 63
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
1,341
1,875
1,875
1,875
1,341
1,875
1,875
1,875
200
210
220
220
368
1,500
1,500
1,500
568
1,710
1,720
1,720
1,378
22,600
18,000
18,000
1,378
22,600
18,000
18,000
887,608
928,981
934,900
934,900
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
Licenses -Other
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SERVICES
Uniform Allowance
2000
2001
Salaries And Wages
408,032
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
Vacancy Ad] -Benefits
----------------------------------------------
FOND 101
- GENERAL FOND
FICA
--------------------------------------------
EXPENSE
Licenses -Other
Holiday And Longev
719.000
DEPARTMENT 444 - PUBLIC SERV ADNINISTATION
PERSONNEL
SERVICES
Uniform Allowance
702.000
722.000
Salaries And Wages
408,032
702.100
Vacancy Adj-Wages
0
]0].000
Retirement Medical
Alternate Payments
1,000
709.000
725.020
Overtime
7,804
712.010
Wage Tsf-Refuse
44,982-
712.020
O/H Tsf-W & S Fond
Wage Tsf-Act 51
94,000-
712.208
Wage Tsf-Recreation
0
712.592
Wage Tsf-W c S Bond
1]3,5]0 -
FRINGE BENEFITS
714.100
Vacancy Ad] -Benefits
715.000
Office Supplies
FICA
]1].000
Licenses -Other
Holiday And Longev
719.000
Miscellaneous
Medical Pmt
720.000
Uniform Allowance
Life Insurance
722.000
Safety Supplies
Retirement DB
723.000
Retirement DC
724.000
Retirement Medical
725.010
O/H Tsf-Refuse
725.020
O/H Tsf-Act 51
725.208
O/H Tsf-Recreation
725.592
O/H Tsf-W & S Fond
SUPPLIES
028.000
Office Supplies
752.000
Licenses -Other
756.000
Miscellaneous
768.000
Uniform Allowance
]]0.000
Safety Supplies
PROF AND CONTRACTUAL SERVICES
828.000 Medical Services
PRINTING AND PUBLISHING
904.000 Printing
PUBLIC UTILITIES
928.000 Heat, Light, Water
104,284
0
32,458
],44]
38,295
931
289-
28,2]2
46,118
44,982-
94,000-
0
1]3,5]0-
159,320-
8,4]2
1,482
200
300
],928
18,382
8,632
8,632
4,45]
4,45]
40,164
486,840
5,000
2,000
],000
44,924
9],000
22,248
231,398
95,2]0
2,500-
38,548
8,060
45,486
1,3]0
0
36,48]
55,]]5
44,924-
8],800-
22,248-
231,398-
203,144-
9,000
2,400
200
300
9,000
20,900
9,000
9,000
4,500
4,500
58,000
PAGE 64
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
504,996
0
3,000
8,000
50,650
104,250
22,248
242,858
95,990
0
40,210
9,620
48,665
1,411
0
39,136
]0,092
50,650-
94,800-
22,248-
242,858-
201,422-
9,000
2,400
250
300
9,000
20,950
9,200
9,200
4,500
4,500
58,000
504,996
0
3,000
8,000
50,650
104,250
22,248
242,858
95,990
0
40,210
9,620
48,665
1,411
0
39,136
]0,092
50,650-
94,800-
22,248-
242,858-
201,422-
9,000
2,400
250
300
9,000
20,950
9,200
9,200
4,500
4,500
58,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
Soo
TIME
10:45:01
FISCAL YEAR 2001
- 2002
Soo
40,164
2000
2001
3,000
934.000
Actual
Amended
ACCOUNT Expense Budget
PAGE 65
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
58,000
58,000
58,000
----------------------------------------------
FUND 101
- GENERAL FUND
500
--------------------------------------------
EXPENSE
Soo
500
DEPARTMENT 444 - PUBLIC SERV ADNINISTATION
9,000
9,000
Soo
40,164
REPAIRS
AND MAINTENANCE
3,000
934.000
Office Equip Maint
312
800
12,100
312
OTHER CHARGES
AND SERVICES
0
944.000
Lease Purchase Pay
7,692
958.000
Dues And Subscript
Soo
960.000
Em Recog Ceremony
2,700
960.010
Ed/Training-Emp
]]o
11,662
CAPITAL
OUTLAY
982.000
Cap Outlay-Mach/Eq
0
0
PER
ADMIN TOTAL . . .
28,573
PAGE 65
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
58,000
58,000
58,000
500
Soo
500
500
Soo
500
7,800
9,000
9,000
Soo
Soo
Soo
3,000
3,000
3,000
800
800
800
12,100
13,300
13,300
3,800
0
0
3,800
0
0
926
1,018
1,018
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
--------------------------------------------
EXPENSE
TIME
10:45:01
FISCAL YEAR 2001
- 2002
445 -
DIRECTOR -PUBLIC
2000
2001
SERVICES
2,111-
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
87,133
Vacancy Adj-Benefits
----------------------------------------------
FUND 101
- GENERAL FUND
FICA
--------------------------------------------
EXPENSE
22,436-
Holiday And Longev
719.000
DEPARTMENT
445 -
DIRECTOR -PUBLIC
WORDS
PERSONNEL
SERVICES
2,111-
Retirement EB
702.000
Salaries
And Wages
84,594
702.100
Vacancy Adj-Wages
0
712.010
Wage Tsf-Refuse
725.020
19,93]-
]12.020
Wage Tsf-Act
51
19,93]-
]12.592
Wage Tsf-W
c S Bond
39,874 -
FRINGE BENEFITS
714.100
87,133
Vacancy Adj-Benefits
715.000
0
FICA
]1].000
22,436-
Holiday And Longev
719.000
21,936-
Medical Pmt
720.000
44,872-
Life Insurance
722.000
2,111-
Retirement EB
723.000
0
Retirement DC
724.000
6,2]]
Retirement Medical
725.010
1,950
O/H Tsf-Refuse
725.020
9,301
O/H Tsf-Act 51
725.592
226
O/H Tsf-W & S Fond
SUPPLIES
728.000 Office Supplies
PROF AND CONTRACTUAL SERVICES
802.030 Tsf-Building Maint
TRANSPORTATION
864.010 Travel/Ed-Emp
INSURANCES
917.010 Tsf-Workers Comp
918.020 Tsf-Genl Insurance
4,846
0
5,9]9
1,950
],919
205
0
10,385
9,963
19,93]-
19,93]-
39,8]4-
43,34]
99
99
39,000
39,000
222
222
1,6]0
4,374
PAGE 66
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
87,131
87,133
87,133
0
0
0
21,783-
22,436-
22,436-
21,783-
21,936-
21,936-
43,566-
44,872-
44,872-
1-
2,111-
2,111-
0
0
0
6,666
6,2]]
6,2]]
1,950
1,950
1,950
8,421
9,301
9,301
226
226
226
0
0
0
10,690
10,690
10,690
10,039
12,222
12,222
21,783-
22,436-
22,436-
21,783-
21,936-
21,936-
43,566-
44,872-
44,872-
49,140-
48,578-
48,578-
100
39,000
39,000
2,300
2,300
81]
3,923
6,044 4,740
PUBLIC UTILITIES
928.010 Tsf-Utilities 2,539 2,530
2,539
2,530
100
39,000
39,000
2,300
2,300
991
5,003
5,994
2,831
2,831
100
39,000
39,000
2,300
2,300
991
5,003
5,994
2,831
2,831
City of Livonia F I N A N C I
A L N A N
A G E N E N T
PAGE 67
DATE 10/26/01 ADOPTEE
ANNUAL BUDGET
BP9200
TIME 10:45:01 FISCAL
YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
A ended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
-------------------------------------------------------------------------------------
FUND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 445 - DIRECTOR -PUBLIC
WORKS
OTHER CHARGES AND SERVICES
958.000 Dues And Subscript
99
Soo
500
Soo
99
Soo
Soo
Soo
PER DID TOTAL . . . .
9,502
29
36
36
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
717.000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SERVICES
720.000
2000
2001
467,700
702.100
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
Gas And Oil
----------------------------------------------
FUND 101
- GENERAL FUND
Certificat/Aegist/Test
--------------------------------------------
EXPENSE
717.000
Tools And Supplies
DEPARTMENT 446 - PUBLIC SERV
-EQUIP SAINT
PERSONNEL
SERVICES
720.000
702.000
Salaries And Wages
467,700
702.100
Vacancy Adj-Wages
0
709.000
Overtime
74,629
712.000
Wage Tsf-ocher
61,976 -
FRINGE BENEFITS
714.100
Gas And Oil
Vacancy Adj-Benefits
715.000
Certificat/Aegist/Test
FICA
717.000
Tools And Supplies
Holiday And Longev
719.000
Uniform Allowance
Medical Pmt
720.000
Equip Maint Supply
Life Insurance
722.000
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
SUPPLIES
751.000
Gas And Oil
752.050
Certificat/Aegist/Test
766.000
Tools And Supplies
768.000
Uniform Allowance
778.000
Equip Maint Supply
PROF AND CONTRACTUAL SERVICES
808.010 Try Audit Costs -Gen Fd
INSURANCES
917.010 Tsf-Workers Comp
918.020 Tsf-Genl Insurance
PUBLIC UTILITIES
928.000 Heat, Light, Water
928.010 Tsf-Utilities
REPAIRS AND MAINTENANCE
933.050 Equip Maint-Outside Rp
480,353
0
42,567
11,539
66,596
1,089
0
25,621
54,407
201,819
130,623
1,862
4,035
6,169
229,419
372,108
16,665
16,665
28,858
52,579
81,437
12,881
43,875
56,756
61,131
61,131
516,567
10,000
62,000
84,800
483,767
5,000-
45,155
13,000
77,095
1,452
0
31,134
60,247
223,083
120,000
7,500
12,000
7,000
295,000
441,500
15,356
15,356
12,732
61,139
73,871
18,000
39,419
5/,419
68,000
68,000
PAGE 68
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
519,728
10,000-
62,000
84,800-
486,928
5,000
45,676
12,350
88,779
1,447
0
31,356
72,418
247,026
160,000
3,000
9,000
7,000
290,000
469,000
14,035
14,035
12,596
63,602
76,198
18,000
35,995
53,995
66,000
66,000
519,728
10,000
62,000
84,800
486,928
5,000-
45,676
12,350
88,779
1,447
0
31,356
72,418
247,026
160,000
3,000
9,000
7,000
290,000
469,000
14,035
14,035
12,596
63,602
76,198
18,000
35,995
53,995
66,000
66,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
Outlay
TIME
10:45:01
FISCAL YEAR 2001
- 2002
Outlay
-Vehicles
2000
2001
Cap
Outlay
Actual
Amended
ACCOUNT Expense Budget
----------------------------------------------
FUND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 446 - PUBLIC SERV -EQUIP SAINT
OTHER CHARGES AND SERVICES
943.592 Try Equip Rent -F c S 188,000-
947.000 Outside Vehicle Rental 1,271
947.010 Try Vatic Cost-Oth Fun ]82,000-
94].020 Try Vatic Cost -Act 51 409,000-
960.010 Ed/Training-Emp 566
CAPITAL
OUTLAY
984.000
Cap
Outlay
-Radio Eqp
985.000
Cap
Outlay
-Vehicles
987.000
Cap
Outlay
-Other Eqp
PER EQPT TOTAL . . . .
1,3]],163-
9,993
113,000
228,4]]
19],000
2,000
]95,000
509,000
1,500
1,49],500-
0
382,000
129,000
PAGE 69
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
192,500-
2,000
]80,000-
530,000-
1,500
1,499,000
0
184,000
]8,000
351,470 511,000 262,000
244,576 376,496 176,182
192,500
2,000
]80,000
530,000
1,500
1,499,000-
0
184,000
]8,000
262,000
1]6,182
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
Uniform Allowance
TIME
10:45:01
FISCAL YEAR 2001
- 2002
PERSONNEL
SERVICES
2000
2001
Custodial Supplies
Salaries And Wages
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
713.030
Benet Tsf-Ince
----------------------------------------------
FOND 101
- GENERAL FOND
Vacancy Adj-Benefits
--------------------------------------------
EXPENSE
Uniform Allowance
FICA
]1].000
DEPARTMENT 447 - PUBLIC SERV
-BLDG SAINT
PERSONNEL
SERVICES
Medical Pmt
702.000
Custodial Supplies
Salaries And Wages
816,020
702.100
Retirement DB
Vacancy Adj-Wages
0
]0].000
724.000
Alternate Payments
0
709.000
Overtime
50,226
712.000
O/H Tsf-Refuse
Wage Tsf-Other
63,000-
712.010
725.208
Wage Tsf-Refuse
9,950-
712.030
Wage Tsf-Invoiced
9,707-
712.208
Wage Tsf-Recreation
0
FRINGE BENEFITS
713.030
Benet Tsf-Ince
714.100
Tools And Supplies
Vacancy Adj-Benefits
715.000
Uniform Allowance
FICA
]1].000
Maintenance Supply
Holiday And Longev
719.000
Maint Supp-Greenmead
Medical Pmt
720.000
Custodial Supplies
Life Insurance
722.000
Supplies-Tsf
Retirement DB
723.000
Retirement DC
724.000
Retirement Medical
725.000
O/H Tsf-Other
725.010
O/H Tsf-Refuse
725.030
O/H Tsf-Invoiced
725.208
O/H Tsf-Recreation
SUPPLIES
766.000
Tools And Supplies
768.000
Uniform Allowance
]]6.000
Maintenance Supply
]]6.020
Maint Supp-Greenmead
777.000
Custodial Supplies
777.010
Supplies-Tsf
PROF AND CONTRACTUAL SERVICES
802.030 Tsf-Building Maint
811.000 Heat/Air Condition
818.020 Cont Sery-Maintenance
]83,589
611-
0
6],]92
12,269
68,534
1,418
0
4],]90
8],218
63,000-
9,950-
0
0
211,460
2,878
5,941
65,430
4,4]2
52,207
3,000-
12],928
39,000-
23,148
191,885
934,038
15,000
4,000
32,000
63,000
11,000
500
]3,320
80],218
0
],500-
]5,]90
15,2]5
81,1]8
2,819
0
61,33]
105,004
63,000-
11,000-
Soo-
]3,320 -
186,083
3,000
8,200
]0,000
5,000
53,000
3,000-
136,200
39,000-
33,000
225,000
176,033 219,000
OTHER CHARGES AND SERVICES
944.000 Lease Purchase Pay 444,314 416,314
960.010 Ed/Training-Emp 131- 800
PAGE ]0
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
943,520
15,000
3,000
32,000
]5,000
11,000
10,000
60,000
80],520
]50-
],500-
]6,124
16,5]5
115,403
2,839
0
62,488
128,495
]5,000-
11,000-
Soo-
60,000 -
24],1]4
3,000
8,200
]0,000
5,000
53,000
4,400-
134,800
39,000-
30,000
209,000
200,000
4]1,314
800
943,520
15,000
3,000
32,000
]5,000
11,000
10,000
60,000
80],520
]50-
],500-
]6,124
16,5]5
115,403
2,839
0
62,488
128,495
]5,000-
11,000-
Soo-
60,000 -
24],1]4
3,000
8,200
]0,000
5,000
53,000
4,400-
134,800
39,000-
30,000
209,000
200,000
4]1,314
800
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
3,500
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
DEPARTMENT
447 - PUBLIC
Actual
Amended
ACCOUNT Expense Budget
10],6]5 109,500
PSD BLDG S TOTAL . . . 1,850,868 1,875,115
PAGE ]1
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
472,114
472,114
45,000
45,000
35,000
----------------------------------------------------------
ENNE 101
- GENERAL ENDS
3,500
83,500
83,500
--------------------------------------------
EXPENSE
1,945,108
DEPARTMENT
447 - PUBLIC
SERV -BLDG
SAINT
444,183
417,114
CAPITAL
OUTLAY
975.000
Cap
Outlay -Bldg
0
59,500
976.000
Cap
Outlay -Bldg
Impry
10],6]5
50,000
987.000
Cap
Outlay -Other
Egp
0
0
10],6]5 109,500
PSD BLDG S TOTAL . . . 1,850,868 1,875,115
PAGE ]1
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
472,114
472,114
45,000
45,000
35,000
35,000
3,500
3,500
83,500
83,500
1,945,108
1,945,108
City
of
Livonia
F I N A N C I
A L N A N
A G E N E N T
PAGE 72
DATE
10/26/01
ADOPTEE
ANNUAL BUDGET
BP9200
TIME
10:45:01
FISCAL
YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
-------------------------------------------------------------------------------------
ENDS
101
- GENERAL ENDS
--------------------------------------------
EXPENSE
DEPARTMENT 450
- STREET LIGHTING
PUBLIC
UTILITIES
926.901
S/L
Cont -In -Aid
0
0
0
0
926.910
S/L-Casual
191,140
220,000
210,000
210,000
926.911
S/L-Plymouth
Rd
44,817
90,000
75,000
75,000
926.912
S/L-Niddlebelt
Rd
109,124
115,000
115,000
115,000
926.913
S/L-Farmington
Rd
150,565
160,000
160,000
160,000
926.914
S/L-Nerrim
n Rd
68,248
70,000
70,000
70,000
926.915
S/L-Soy
Road
30,006
32,000
32,000
32,000
926.916
S/L-Five
Nile Road
160,406
170,000
170,000
170,000
926.917
S/L-Six
Nile
51,307
52,000
52,000
52,000
926.918
S/L-seven
Nile
11,182
12,000
12,000
12,000
926.919
S/L-Newburg
Road
51,945
15,000
53,000
53,000
928.020
S/L
Naint Tsf-Roads
509,310-
564,310-
573,369-
573,369-
359,430
371,690
375,631
375,631
STAT
LIGHT TOTAL
. . .
359,430
371,690
375,631
375,631
City
of Livonia F I N A N C I
A L N A N
A G E N E N
T
PAGE 73
DATE
10/26/01
ADOPTEE
ANNUAL BUDGET
BP9200
TIME
10:45:01
FISCAL
YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
-------------------------------------------------------------------------------------
FOND
101 -
GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 463 - MAINTENANCE STREET
PERSONNEL
SERVICES
702.000
Salaries And Wages
1,362,543
1,511,959
1,507,130
1,507,130
702.100
Vacancy Adj-Wages
0
14,000-
14,000-
14,000-
]0].000
Alternate Payments
2,000
2,000
2,000
2,000
709.000
Overtime
310,220
292,000
301,000
301,000
712.010
Wage Tsf-Refuse
503,000-
525,000-
525,000-
525,000-
712.020
Wage Tsf-Act 51
486,000-
515,000-
562,000-
562,000-
712.030
Wage Tsf-Invoiced
6,711-
4,500-
1,500-
1,500-
712.208
Wage Tsf-Recreation
0
10,000-
8,000-
8,000-
712.592
Wage Tsf-W c S Fond
234,000-
220,000-
200,000-
200,000-
445,052
517,459
499,630
499,630
FRINGE BENEFITS
714.100
Vacancy Adj-Benefits
0
7,000-
7,000-
],000-
]15.000
FICA
131,962
141,547
141,866
141,866
]1].000
Holiday And Longev
39,713
44,330
44,330
44,330
719.000
Medical Pmt
167,138
185,071
226,088
226,088
720.000
Life Insurance
2,973
4,073
4,082
4,082
722.000
Retirement DB
0
0
0
0
723.000
Retirement DC
60,708
69,887
61,716
61,716
724.000
Retirement Medical
157,999
168,158
199,124
199,124
725.010
O/H Tsf-Refuse
503,000-
525,000-
525,000-
525,000-
725.020
O/H Tsf-Act 51
486,000-
515,000-
562,000-
562,000-
725.030
O/H Tsf-Invoiced
991-
4,500-
1,500-
1,500-
725.208
O/H Tsf-Recreation
0
10,000-
8,000-
8,000-
725.592
O/H Tsf-W c S Fond
234,000-
220,000-
200,000-
200,000-
663,498-
668,434-
626,294-
626,294 -
SUPPLIES
766.000
Tools And Supplies
13,062
15,000
15,000
15,000
768.000
Uniform Allowance
10,393
10,500
10,500
10,500
782.000
Road Maint Supplies
12],]13
160,000
152,000
152,000
784.000
Snow Removal Supplies
75,995
140,000
140,000
140,000
785.010
Supply-Tsf-Oth Fd
5,200-
5,200-
5,200-
5,200-
788.010
Road Maint Tsf-Refuse
0
0
0
0
788.020
Road Maint Tsf-Act 51
199,000-
275,000-
250,000-
250,000-
22,963
45,300
62,300
62,300
PROF AND CONTRACTUAL
SERVICES
818.020
Cont Serv-Maintenance
06,890
100,000
145,000
145,000
818.021
Cont Sery-Main-Tsf
01,880-
100,000-
145,000-
145,000-
5,003
0
0
0
INSURANCES
917.010
Tsf-Workers Comp
36,448
20,208
20,749
20,749
918.020
Tsf-Genl Insurance
118,458
97,033
104,765
104,765
City of Livonia
F I N A N C I A L N A N
A G E N E N T
125,514
PAGE 74
DATE 10/26/01
ADOPTEE ANNUAL BUDGET
BP9200
TIME 10:45:01
FISCAL YEAR 2001
- 2002
59,292
SLATER
2000
2001
2002
2002
OTHER CHARGES AND SERVICES
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
-------------------------------------------------------------------------------------
FUND 101 - GENERAL
FUND
10,000-
10,000-
10,000-
--------------------------------------------
EXPENSE
1,473
1,500
1,500
1,500
DEPARTMENT 463
- MAINTENANCE STREET
1,500
1,500-
1,500 -
154,906
117,241
125,514
125,514
PUBLIC UTILITIES
928.010 Tsf-Utilities
55,415
62,562
59,292
59,292
55,415
62,562
59,292
59,292
OTHER CHARGES AND SERVICES
943.000 Outside Equip Rental
1,800
10,000
7,000
7,000
943.020 Try Equip Rent -Act 51
1,800-
10,000-
10,000-
10,000-
960.010 Ed/Training-Emp
1,473
1,500
1,500
1,500
1,473
1,500
1,500-
1,500 -
MISCELLANEOUS
965.202 Cont To Major St Fund
0
0
0
0
0
0
0
0
CAPITAL OUTLAY
974.000 Land Improvement
0
0
0
0
987.000 Cap Outlay -Other Eqp
0
0
0
0
0
0
a
a
STRT SAINT TOTAL . . .
21,314
75,628
118,942
118,942
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 75
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 101
- GENERAL FUND
-------------------------------
EXPENSE
Vacancy Adj-Benefits
715.000
DEPARTMENT 475 -
NAINTENANC:
PERSONNEL
SERVICES
719.000
702.000
Medical Pmt
Salaries
And Wages
702.100
722.000
Vacancy Adj-Wages
709.000
723.000
Overtim
Retirement DC
712.010
Wage Tsf-Refuse
725.010
712.020
O/H Tsf-Refuse
Wage Tsf-Act
51
712.030
725.030
Wage Tsf-Invoiced
O/H Tsf-Invoiced
712.208
Wage Tsf-Recreation
FRINGE BENEFITS
714.100
Vacancy Adj-Benefits
715.000
FICA
717.000
Holiday And Longev
719.000
Medical Pmt
720.000
Life Insurance
722.000
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
725.010
O/H Tsf-Refuse
725.020
O/H Tsf-Act 51
725.030
O/H Tsf-Invoiced
725.208
O/H Tsf-Recreation
SUPPLIES
766.000 Tools And Supplies
768.000 Uniform Allowance
786.000 Tray Control Supply
788.010 Road Maint Tsf-Refuse
789.020 Sign Maint Tsf-Act 51
PROF AND CONTRACTUAL SERVICES
818.020 Cont Sery-Maintenance
INSURANCES
917.010 Tsf-Workers Comp
918.020 Tsf-Genl Insurance
PUBLIC UTILITIES
928.010 Tsf-Utilities
SERV
199,942
0
6,211
4,200
125,000
0
0
76,953
0
16,207
5,703
22,706
476
0
0
23,546
4,200-
125,000-
0
0
60,562
2,874
2,349
48,413
Soo
40,000
13,136
6,426
6,426
5,011
13,124
18,135
7,619
207,105
0
5,200
4,700
120,000
1,000
1,000
85,605
0
16,689
5,850
23,993
581
0
0
24,000
4,]00-
120,000-
1,000-
1,000-
55,587-
4,000
2,500
55,000
Soo-
40,000 -
21,000
11,500
11,500
2,285
10,972
13,257
7,074
207,105
0
6,000
5,700
121,000
1,000
1,000
84,405
0
16,800
6,500
28,403
581
0
0
28,730
5,]00-
121,000-
1,000-
1,000-
47,686
4,000
2,500
55,000
Soo
45,000
16,000
8,000
2,868
14,483
17,351
8,196
207,105
0
6,000
5,700
121,000
1,000
1,000
84,405
0
16,800
6,500
28,403
581
0
0
28,730
5,]00-
121,000-
1,000-
1,000-
47,686-
4,000
2,500
55,000
Soo-
45,000 -
16,000
8,000
8,000
2,868
14,483
17,351
8,196
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-----------------------
ENND 101 - GENERAL ENDS
-----------------------
EXPENSE
DEPARTMENT 475 - NA:
OTHER CHARGES AND SERVICES
960.010 Ed/Training-Emp
CAPITAL OUTLAY
987.000 Cap Outlay -Other Egp
SIGN SHOP TOTAL . . . .
PAGE ]6
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
7,619
],0]4
8,196
8,196
1,630
1,500
1,600
1,600
1,630
1,500
1,600
1,600
15,000
0
0
0
15,000
0
0
0
]8,33]
84,349
87,866
87,866
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
ENDS
101 - GENERAL
ENDS
EXPENSE
DEPARTMENT 525 - SANITATION
MISCELLANEOUS
965.205 Cont To Refuse Fund
SANITATION TOTAL . . .
PAGE ]]
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
Vacancy Adj-Benefits
PAGE 78
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
719.000
BP9200
TIME
10:45:01
FISCAL YEAR 2001
- 2002
Retirement
SLATER
724.000
2000
2001
2002
2002
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
---------------------------------------------
FUND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 680 - PRO SHOP -NNIS WILLOWS
PERSONNEL SERVICES
702.000 Salaries And Wages 72,658
702.100 Vacancy Adj-Wages 0
709.000 Overtime 0
FRINGE BENEFITS
714.100
Vacancy Adj-Benefits
715.000
FICA
719.000
Medical Pmt
723.000
Retirement
DC
724.000
Retirement
Medical
SUPPLIES
728.000 Office Supplies
PROF AND CONTRACTUAL SERVICES
810.050 Credit Card Costs
818.210 Cont Sery-Golf Prof
818.214 Golf Pro Staff -Shop
COMMUNITY PROMOTION
885.000 Public Relations
CAPITAL OUTLAY
974.100 Cap Proj-Golf Cs
987.000 Cap Outlay -Other Egp
DEBT SERVICE
993.000 Debt Serv-Principal
997.000 Debt Serv-Interest
]2,658
0
5,559
3,0]3
0
0
8,632
3,99]
3,99]
],412
15,28]
0
22,699
1,994
1,994
0
1,445
1,445
58,953
2,090
61,043
1,]16 0 0
0 0 0
0 0 0
1,]16 0 0
0 0 0
132 0 0
318 6,426 6,426
0 0 0
0 0 0
450
6,000
6,000
6,500
15,28]
]4,]54
96,541
2,500
2,500
0
26,200
26,200
0
6,426
6,1]4
6,1]4
6,689
1],050
]5,325
99,064
2,5]2
2,5]2
0
0
M
6,426
6,1]4
6,1]4
6,689
1],050
]5,325
99,064
2,5]2
2,5]2
0
0
M
PRO -W WILL TOTAL . . . . 172,468 133,407 114,236 114,236
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
715.000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
PERSONNEL
SERVICES
2000
2001
720.000
Salaries And Wages
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
713.030
----------------------------------------------
FUND 101
- GENERAL FUND
--------------------------------------------
EXPENSE
715.000
FICA
DEPARTMENT 681 - MAINTENANCE-NHIS
WILLOW
PERSONNEL
SERVICES
702.000
720.000
Salaries And Wages
193,863
702.100
Vacancy Adj-Wages
0
]0].000
Retirement DC
Alternate Payments
1,000
709.000
725.010
Overtime
53,122
712.010
Wage Tsf-Refuse
6,100-
712.030
Wage Tsf-Invoiced
5,182 -
FRINGE BENEFITS
713.030
Benet Tsf-Ince
714.100
Vacancy Adj-Benefits
715.000
FICA
]1].000
Holiday And Longev
719.000
Medical Pmt
720.000
Life Insurance
722.000
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
725.010
O/H Tsf-Refuse
SUPPLIES
766.000 Tools And Supplies
768.000 Uniform Allowance
]]6.000 Maintenance Supply
781.000 Repair Parts
PROF AND CONTRACTUAL SERVICES
818.216 Golf Pro Staff -Main
853.000 Telephone
PUBLIC UTILITIES
928.000 Heat, Light, Water
OTHER CHARGES AND SERVICES
943.000 Outside Equip Rental
960.010 Ed/Training-Emp
236,]03
408-
0
19,1]0
2,600
14,439
2]1
0
],288
15,032
6,100-
9]4
688
38,340
5,391
45,393
0
3,029
3,029
25,818
25,818
0
464
59,255
0
0
15,000
5,500
],500
61,255
]50-
0
4,656
650
6,]92
154
0
6,121
6,]05
5,500-
18,828
2,140
565
41,]30
5,600
50,035
200,253
3,400
203,653
25,000
25,000
125
500
464 625
CAPITAL OUTLAY
PAGE ]9
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
50,35]
0
0
15,435
5,500
],500
52,]92
]50-
0
5,083
650
6,569
13]
0
6,121
6,998
5,500-
19,308
2,202
1,080
42,940
6,]91
53,013
206,060
4,500
210,560
25,]25
25,]25
125
515
640
50,35]
0
0
15,435
5,500
],500
52,]92
]50-
0
5,083
650
6,569
13]
0
6,121
6,998
5,500-
19,308
2,202
1,080
42,940
6,]91
53,013
206,060
4,500
210,560
25,]25
25,]25
125
515
640
City of Livonia F I N A N C I
A L N A N
A G E N E N T
PAGE 80
DATE 10/26/01 ADOPTEE
ANNUAL BUDGET
BP9200
TIME 10:45:01 FISCAL
YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
-------------------------------------------------------------------------------------
FUND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 681 - NAINTENANCE-NHIS WILLOW
974.000 Land Improvesment
0
0
0
0
985.000 Cap Outlay -Vehicles
0
0
30,000
30,000
987.000 Cap Outlay -Other Eq
69,056
15,488
0
0
69,056
15,488
30,000
30,000
MUTT W WILL TOTAL . . .
432,755
374,884
392,038
392,038
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
Amended
ACCOUNT Expense Budget
---------------------------------------------
FOND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 682 - PRO SHOP -IDYL NYLD GLF
PERSONNEL SERVICES
702.000 Salaries And Wages 51,514
702.100 Vacancy Adj-Wages 0
709.000 Overtime 0
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
719.000 Medical Pmt
724.000 Retirement Medical
SUPPLIES
728.000 Office Supplies
PROF AND CONTRACTUAL SERVICES
810.050 Credit Card Costs
818.210 Cont Sery-Golf Prof
818.214 Golf Pro Staff -Shop
COMMUNITY PROMOTION
885.000 Public Relations
CAPITAL OUTLAY
987.000 Cap Outlay -Other Egp
DEBT SERVICE
993.000 Debt Serv-Principal
997.000 Debt Serv-Interest
999.000 Paying Agent Fees
51,514
0
3,941
3,0]3
0
],014
3,803
3,803
3,81]
15,28]
0
19,104
1,8]]
1,8]]
1,445
1,445
0
1,040
0
1,040
0
80
318
0
398
6,000
6,000
2,]50
15,28]
56,105
]4,142
2,500
2,500
1,200
1,200
0
PRO -I WYLD TOTAL . . . . 84,]5] 85,280
PAGE 81
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
N
0
0
0
6,426
0
6,426
6,1]4
6,1]4
2,830
1],050
55,386
]5,266
2,5]3
2,5]3
0
0
0
90,439
N
0
0
6,426
0
6,426
6,1]4
6,1]4
2,830
1],050
55,386
]5,266
2,5]3
2,5]3
0
M
90,439
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
]1].000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
PERSONNEL
SERVICES
2000
2001
Salaries And Wages
185,2]]
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
766.000
----------------------------------------------
FUND 101
- GENERAL FUND
768.000
--------------------------------------------
EXPENSE
]1].000
]]6.000
DEPARTMENT
683 - MAINTENANCE
-IDYL NYLD G
PERSONNEL
SERVICES
PROF AND
702.000
Salaries And Wages
185,2]]
702.100
Vacancy Adj-Wages
0
]0].000
Alternate Payments
0
709.000
Overtime
42,943
712.010
Wage Tsf-Refuse
6,100 -
FRINGE BENEFITS
714.100
766.000
Vacancy Adj-Benefits
715.000
768.000
FICA
]1].000
]]6.000
Holiday And Longev
719.000
781.000
Medical Pmt
720.000
PROF AND
Life Insurance
722.000
49,232
Retirement EB
723.000
0
Retirement DC
724.000
4,576
Retirement Medical
725.010
UTILITIES
O/H Tsf-Refuse
SUPPLIES
43,826
766.000
0
Tools And Supplies
768.000
0
Uniform Allowance
]]6.000
14,000
Maintenance Supply
781.000
9,000-
Repair Parts
PROF AND
CONTRACTUAL SERVICES
818.000
49,232
Contractual Service
818.216
0
Golf Pro Staff -Main
853.000
4,576
Telephone
PUBLIC
UTILITIES
9,724
928.000
7,105
Heat, Light, Water
OTHER CHARGES AND SERVICES
943.000
0
Outside Equip Rental
960.010
5,400
Ed/Training-Emp
CAPITAL OUTLAY
976.000 Cap Outlay -Bldg Impry
222,120
0
1],]5]
3,900
15,541
239
0
1,982
13,669
6,100-
46,988
1,]04
494
29,]10
4,010
35,918
125
0
2,855
2,980
15,292
15,292
142
250
392
0
PAGE 82
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
61,136
43,826
43,826
0
0
0
0
0
0
14,000
14,406
14,406
9,000-
9,000-
9,000-
66,136
49,232
49,232
0
0
0
4,988
4,576
4,576
1,950
1,950
1,950
9,724
7,105
7,105
164
137
137
0
0
0
5,400
0
0
7,359
6,157
6,157
9,000-
9,000-
9,000-
20,585
10,925
10,925
2,200
2,264
2,264
948
756
756
39,055
40,188
40,188
8,500
6,689
6,689
50,703
49,897
49,897
2,000
2,058
2,058
162,811
167,533
167,533
2,400
2,470
2,470
167,211
172,061
172,061
14,000
13,000
13,000
14,000
13,000
13,000
500
514
514
500
514
514
1,000
1,028
1,028
0
0
0
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
14,473
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
M4TT-I NYLD
TOTAL . . .
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
ENDS
101 - GENERAL
ENDS
EXPENSE
DEPARTMENT
683 - NAINTENANCE-IDYL
NYLD G
985.000 Cap
Outlay -Vehicles
40,355
14,473
987.000 Cap
Outlay -Other Eq
0
1,488
40,355
15,961
M4TT-I NYLD
TOTAL . . .
364,045
335,596
PAGE 83
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
44,000 44,000
0 0
44,000 44,000
340,143 340,143
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
715.000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
PERSONNEL
SERVICES
2000
2001
Salaries And Wages
79,254
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
713.030
0
----------------------------------------------
FOND 101
- GENERAL FUND
0
--------------------------------------------
EXPENSE
715.000
0
DEPARTMENT
684 - PRO SHOP -FOX
CREEK GLF
PERSONNEL
SERVICES
0
702.000
Salaries And Wages
79,254
702.100
Vacancy Adj-Wages
0
709.000
Overtime
0
712.030
Wage Tsf-Invoiced
3,012 -
FRINGE BENEFITS
713.030
0
Benet Tsf-Ince
714.100
0
Vacancy Adj-Benefits
715.000
0
FICA
719.000
0
Medical Pmt
723.000
0
Retirement DC
724.000
0
Retirement Medical
SUPPLIES
728.000 Office Supplies
PROF AND CONTRACTUAL SERVICES
810.050 Credit Card Costs
813.000 Professional Fees
818.210 Cont Sery-Golf Prof
818.214 Golf Pro Staff -Shop
COMMUNITY PROMOTION
885.000 Public Relations
CAPITAL OUTLAY
974.100 Cap Proj-Golf Cs
987.000 Cap Outlay -Other Egp
DEBT SERVICE
993.000 Debt Serv-Principal
997.000 Debt Serv-Interest
999.000 Paying Agent Fees
76,242
237-
0
6,063
6,570
0
0
12,396
4,356
4,356
6,854
0
20,576
0
27,430
2,904
2,904
15,000
1,445
16,445
292,703
91,770
745
385,218
PAGE 84
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
13,193
0
0
0
0
0
0
0
0
0
0
0
13,193
0
0
0
0
0
0
0
0
1,010
0
0
1,873
6,428
6,428
0
0
0
0
0
0
2,883
6,428
6,428
6,000
6,174
6,174
6,000
6,174
6,174
5,000
5,145
5,145
0
0
0
20,576
17,050
17,050
62,213
72,002
72,002
87,789
94,197
94,197
2,500
2,572
2,572
2,500
2,572
2,572
0
0
0
1,200
0
0
1,200
0
0
299,418
314,022
314,022
72,260
66,532
66,532
723
764
764
372,401
381,318
381,318
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FOND
101 - GENERAL
FUND
PAGE 85
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
PRO -FOX C TOTAL . . . . 524,991 485,966 490,689 490,689
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
]1].000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
PERSONNEL
SERVICES
2000
2001
Salaries And Wages
146.901
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
43,826
----------------------------------------------
FOND 101
- GENERAL FUND
0
--------------------------------------------
EXPENSE
]1].000
0
DEPARTMENT
685 - MAINTENANCE
-FOX CREEK G
PERSONNEL
SERVICES
7,800-
702.000
Salaries And Wages
146.901
702.100
Vacancy Adj-Wages
0
]0].000
Alternate Payments
0
709.000
Overtime
38,130
712.010
Wage Tsf-Refuse
6,100 -
FRINGE BENEFITS
714.100
43,826
Vacancy Adj-Benefits
715.000
0
FICA
]1].000
0
Holiday And Longev
719.000
12,348
Medical Pmt
720.000
7,800-
Life Insurance
722.000
48,374
Retirement EB
723.000
0
Retirement DC
724.000
4,271
Retirement Medical
725.010
0
O/H Tsf-Refuse
SUPPLIES
766.000 Tools And Supplies
768.000 Uniform Allowance
]]6.000 Maintenance Supply
781.000 Repair Parts
PROF AND CONTRACTUAL SERVICES
818.216 Golf Pro Staff -Main
853.000 Telephone
PUBLIC UTILITIES
928.000 Heat, Light, Water
OTHER CHARGES AND SERVICES
943.000 Outside Equip Rental
960.010 Ed/Training-Emp
CAPITAL OUTLAY
974.100 Cap Proj-Golf Cs
985.000 Cap Outlay -Vehicles
1]8,931
0
14,155
0
6,395
146
0
0
],102
6,100-
21,698
1,181
550
34,802
3,31]
39,850
0
1,222
1,222
15,6]2
15,6]2
0
145
0
24,]15
PAGE 86
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
46,600
43,826
43,826
0
0
0
0
0
0
12,000
12,348
12,348
7,800-
7,800-
7,800-
50,800
48,374
48,374
0
0
0
3,566
4,271
4,271
0
0
0
6,311
6,725
6,725
122
118
118
0
0
0
3,068
3,068
3,068
4,939
6,013
6,013
7,800-
7,800-
7,800-
10,206
12,395
12,395
2,200
2,264
2,264
902
648
648
45,920
47,252
47,252
4,250
5,402
5,402
53,272
55,566
55,566
195,189
200,849
200,849
2,100
2,160
2,160
197,289
203,009
203,009
19,500
22,000
22,000
19,500
22,000
22,000
125
129
129
500
515
515
625
644
644
0
0
0
13,527
25,000
25,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
ENDS
101 - GENERAL
ENDS
EXPENSE
DEPARTMENT 685 - MAINTENANCE -FOX CREEK G
PAGE 8]
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
987.000 Cap Outlay -Other Eq 0 1,488 0 0
24,715 15,015 25,000 25,000
M4TT-FOX C TOTAL . . . 282,233 346,]0] 366,988 366,988
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-----------------------
FUND 101 - GENERAL FUND
-----------------------
EXPENSE
FRINGE BENEFITS
DEPARTMENT 704 -
PARRS
PERSONNEL
SERVICES
768.000
702.000
714.100
Salaries
And Wages
702.100
776.000
Vacancy Adj-Wages
707.000
776.010
Alternate Payments
709.000
783.000
Overtim
720.000
712.000
Life Insurance
Wage Tsf-Other
73,000-
712.010
723.000
Wage Tsf-Refuse
Retirement DC
712.020
12,000-
Wage Tsf-Act
51
712.030
O/H Tsf-Refuse
Wage Tsf-Invoiced
10,800-
712.208
725.030
Wage Tsf-Recreation
O/H Tsf-Invoiced
712.592
897,721
Wage Tsf-W
c S Bond
FRINGE BENEFITS
713.000
766.000
Benet Try
713.030
768.000
Benet Tsf-Ince
714.100
770.000
Vacancy Adj-Benefits
715.000
776.000
FICA
717.000
776.010
Holiday And Longev
719.000
783.000
Medical Pmt
720.000
55,500-
Life Insurance
722.000
73,000-
Retirement EB
723.000
50,000-
Retirement DC
724.000
12,000-
Retirement Medical
725.010
0
O/H Tsf-Refuse
725.020
10,800-
O/H Tsf-Act 51
725.030
0
O/H Tsf-Invoiced
725.208
897,721
O/H Tsf-Recreation
725.592
27,000-
O/H Tsf-W & S Fund
SUPPLIES
1,005,521
766.000
978,279
Tools And Supplies
768.000
5,000-
Uniform Allowance
770.000
2,000
Safety Supplies
776.000
115,581
Maintenance Supply
776.010
106,000
Maint Supp -Play G
783.000
0
Seeding/Planting Supp
OTHER CHARGES AND SERVICES
958.000 Dues And Subscript
960.010 Ed/Training-Emp
CAPITAL OUTLAY
PAGE 88
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
931,562
1,005,521
978,279
978,279
0
50,000-
5,000-
5,000-
2,000
2,000
1,000
1,000
115,581
102,000
106,000
106,000
80,000-
40,000-
0
0
55,500-
72,000-
73,000-
73,000-
21,000-
27,000-
50,000-
50,000-
12,312-
12,000-
12,000-
12,000-
0
10,800-
10,800-
10,800-
0
0
0
0
880,331
897,721
934,479
934,479
27,000-
15,000-
0
0
969-
1,000-
1,200-
1,200-
0
25,000-
2,500-
2,500-
82,167
86,568
84,803
84,803
19,891
20,150
23,270
23,270
83,499
102,818
110,018
110,018
1,551
2,153
2,078
2,078
0
0
0
0
19,580
20,640
9,786
9,786
81,916
86,095
101,753
101,753
55,500-
72,000-
73,000-
73,000-
21,000-
27,000-
50,000-
50,000-
0
0
0
0
0
10,800-
10,800-
10,800-
0
0
0
0
184,135
167,624
194,208
194,208
7,799
7,800
8,000
8,000
6,352
6,500
6,500
6,500
2,820
3,000
3,000
3,000
83,189
105,000
88,000
88,000
19,780
26,000
24,000
24,000
15,000
15,000
15,000
15,000
134,940
163,300
144,500
144,500
0
150
150
150
266
700
1,000
1,000
266
850
1,150
1,150
City of Livonia F I N A N C I A L N A N A G E N E N T
DATE 10/26/01 ADOPTEE ANNUAL BUDGET
TIME 10:45:01 FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
--------------------------------------------------------------
FUND 101 - GENERAL FUND
--------------------------------------------
98].000 Cap Outlay -Other Eq 0 0
0 0
PAGE 89
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0 0
0 0
PARRS TOTAL . . . . . . 1,199,672 1,229,495 1,2]4,33] 1,2]4,33]
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
]1].000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SERVICES
720.000
2000
2001
3]1,43]
702.100
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
3]5,3]8
----------------------------------------------
FUND 101
- GENERAL FUND
2,000-
--------------------------------------------
EXPENSE
]1].000
1,000
DEPARTMENT
]0] - RECREATION ADMINISTRATION
PERSONNEL
SERVICES
720.000
702.000
Salaries And Wages
3]1,43]
702.100
Vacancy Adj-Wages
0
]0].000
Alternate Payments
1,000
709.000
Overtime
4,037
712.208
Wage Tsf-Recreation
53,389 -
FRINGE BENEFITS
714.100
3]5,3]8
Vacancy Adj-Benefits
715.000
2,000-
FICA
]1].000
1,000
Holiday And Longev
719.000
5,000
Medical Pmt
720.000
41,102-
Life Insurance
722.000
338,276
Retirement EB
723.000
1,000-
Retirement DC
724.000
29,792
Retirement Medical
725.208
8,060
O/H Tsf-Recreation
SUPPLIES
728.000 Office Supplies
756.000 Miscellaneous
764.000 Promotional Supply
]]6.000 Maintenance Supply
777.000 Custodial Supplies
PROF AND CONTRACTUAL SERVICES
810.050 Credit Card Costs
818.000 Contractual Service
TRANSPORTATION
861.000 Auto Expense
861.015 Auto Expense -Comm
864.010 Travel/Ed-Emp
COMMUNITY PROMOTION
882.010 Promotional Progrm
882.015 Memorial Day Parade
323,085
0
29,538
],800
39,462
884
0
32,904
44,59]
53,389-
101,]96
6,026
488
3,680
3,014
2,840
16,048
0
1,839
1,839
22
2,5]5
4,133
6,]30
663
4,669
5,332
PAGE 90
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
399,007
3]5,3]8
3]5,3]8
2,000-
2,000-
2,000-
1,000
1,000
1,000
5,000
5,000
5,000
55,479-
41,102-
41,102-
347,528
338,276
338,276
1,000-
1,000-
1,000-
31,141
29,792
29,792
8,060
8,060
8,060
46,679
3],26]
3],26]
1,081
1,007
1,007
0
0
0
34,938
33,284
33,284
45,876
52,429
52,429
55,479-
41,102-
41,102-
111,296
119,]3]
119,]3]
6,000
4,000
4,000
500
500
500
3,432
2,000
2,000
2,316
2,500
2,500
3,500
3,500
3,500
15,748
12,500
12,500
0
1,000
1,000
1,900
5,900
5,900
1,900
6,900
6,900
500
500
500
2,500
2,500
2,500
5,000
3,000
3,000
8,000
6,000
6,000
4,000
2,500
2,500
6,000
6,000
6,000
10,000
8,500
8,500
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
Amended
ACCOUNT Expense Budget
----------------------------------------------
ENNE 101 - GENERAL ENDS
--------------------------------------------
EXPENSE
DEPARTMENT ]0] - RECREATION ADMINISTRATION
PRINTING AND PUBLISHING
904.000 Printing 21,378
PUBLIC UTILITIES
928.000 Heat, Light, Nater
929.000 Park Lighting
REPAIRS AND MAINTENANCE
934.000 Office Equip Maint
OTHER CHARGES AND SERVICES
944.000 Lease Purchase Pay
958.000 Dues And Subscript
CAPITAL OUTLAY
974.000 Land Improvement
987.000 Cap Outlay -Other Eqp
21,3]8
5,199
28,113
33,312
442
442
4,20]
2,306
6,513
240,]62
16,504
NORMS
28,000
5,000
2],000
32,000
1,]68
1,]68
5,600
3,000
8,600
15,100
3,600
18,]00
REC ADMIN TOTAL . . . . 773,741 583,540
PAGE 91
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
23,033
23,033
9,000
2],000
36,000
1,500
1,500
12,]20
2,500
15,220
0
2,500
5]0,166
23,033
23,033
9,000
2],000
36,000
1,500
1,500
12,]20
2,500
15,220
0
2,500
2,500
5]0,166
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
0
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SERVICES
0
2000
2001
25,935
702.100
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
760.000 Playground Supply
766.000 Tools And Supplies
PROF AND CONTRACTUAL SERVICES
818.000 Contractual Service
TRANSPORTATION
873.010 Travel-Rec-Summer
REPAIRS AND MAINTENANCE
933.310 Equip Maint-Athletic
OTHER CHARGES AND SERVICES
942.000 Building Rentals
CAPITAL OUTLAY
987.000 Cap Outlay -Other Eqp
REC FACIL TOTAL . . .
25,935
0
1,984
1,984
24,498
0
24,498
16,945
16,945
1,140
PAGE 92
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
30,117
27,021
27,021
---------------------------------------------
FOND 101
- GENERAL FUND
0
--------------------------------------------
EXPENSE
0
0
DEPARTMENT 709 - RECREATION
FACILITIES
PERSONNEL
SERVICES
0
702.000
Salaries And Wages
25,935
702.100
Vacancy Adj-Wages
0
709.000
Overtime
0
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
760.000 Playground Supply
766.000 Tools And Supplies
PROF AND CONTRACTUAL SERVICES
818.000 Contractual Service
TRANSPORTATION
873.010 Travel-Rec-Summer
REPAIRS AND MAINTENANCE
933.310 Equip Maint-Athletic
OTHER CHARGES AND SERVICES
942.000 Building Rentals
CAPITAL OUTLAY
987.000 Cap Outlay -Other Eqp
REC FACIL TOTAL . . .
25,935
0
1,984
1,984
24,498
0
24,498
16,945
16,945
1,140
PAGE 92
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
30,117
27,021
27,021
0
0
0
0
0
0
30,117
27,021
27,021
0
0
0
2,304
2,067
2,067
2,304
2,067
2,067
3,000
3,000
3,000
0
0
0
3,000
3,000
3,000
0
0
0
0
0
0
0
0
0
1,140
0
0
0
4,054
0
0
0
4,054
0
0
0
0
0
0
0
0
0
0
0
36,444
16,066
6,000
6,000
36,444
16,066
6,000
6,000
111,000
51,487
38,088
38,088
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
44,944
TIME
10:45:01
FISCAL YEAR 2001
- 2002
3,438
3,438
2000
2001
3,438
3,438
Actual
A ended
ACCOUNT Expense Budget
---------------------------------------------
FUND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 711 - RECREATION ATHLETICS
PERSONNEL SERVICES
702.000 Salaries And Wages 8,452
702.100 Vacancy Adj-Wages 0
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
766.000 Tools And Supplies
PROF AND CONTRACTUAL SERVICES
818.000 Contractual Service
TRANSPORTATION
873.015 Travel-Rec-Athletics
REPAIRS AND MAINTENANCE
933.310 Equip Maint-Athletic
OTHER CHARGES AND SERVICES
942.000 Building Rentals
CAPITAL OUTLAY
987.000 Cap Outlay -Other Eqp
8,452
0
654
654
1,]98
1,]98
11,169
11,169
899
899
0
0
20,599
20,599
0
0
REC ATHLET TOTAL . . . . 43,571
PAGE 93
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
44,944
44,944
44,944
0
0
0
44,944
44,944
44,944
0
0
0
3,438
3,438
3,438
3,438
3,438
3,438
30,024
31,500
31,500
30,024
31,500
31,500
40,500
43,500
43,500
40,500
43,500
43,500
3,000
2,000
2,000
3,000
2,000
2,000
4,250
3,000
3,000
4,250
3,000
3,000
27,540
30,540
30,540
27,540
30,540
30,540
0
0
0
0
0
0
153,696
158,922
158,922
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 94
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 101 - GENERAL FUND
------------------------------
EXPENSE
DEPARTMENT 715 - ICE RINK
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
709.000 Overtim
712.000 Wage Tsf-ocher
FRINGE BENEFITS
713.000
0
Benet Try
714.100
0 0
Vacancy Adj-Benefits
715.000
164,]]5
FICA
SUPPLIES
762.010 Program Supplies
]]6.000 Maintenance Supply
777.000 Custodial Supplies
PROF AND CONTRACTUAL SERVICES
853.000 Telephone
PUBLIC UTILITIES
921.000 Electric
923.000 Heat
927.000 Water
REPAIRS AND MAINTENANCE
931.000 Building Maint
OTHER CHARGES AND SERVICES
943.000 Outside Equip Rental
947.000 Outside Vehicle Rental
CAPITAL OUTLAY
976.000 Cap Outlay -Bldg Impry
987.000 Cap Outlay -Other Egp
84,]]5
0 0
0
0 0
0
0 0
80,000
0 0
164,]]5
0 0
2],000
0 0
0
0 0
6,486
0 0
33,486
0 0
12,904
0 0
2,5]4
0 0
3,014
0 0
18,492
0 0
62]
0 0
62]
0 0
65,502
0 0
11,685
0 0
10,15]
0 0
8],344
0 0
32,530
0 0
32,530
0 0
0
0 0
3,544
0 0
3,544
0 0
0
0 0
1,445
0 0
1,445
0 0
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FUND
101 - GENERAL
FUND
ICE RINK TOTAL . . . . . 342,243
PAGE 95
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
City of Livonia F I N A
DATE 10/26/01
TIME 10:45:01
ACCOUNT
N C I A L N A N A G E N E N T
ADOPTEE ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
Expense Budget
2002
Mayor
Approved
PAGE 96
BP9200
SLATER
2002
City Coun.
Approved
-------------------------------------------------------------------------------------
FOND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 716 - ICE RINK
- DEVON-AIRE
PERSONNEL SERVICES
702.000 Salaries And Wages
0
0
0
0
702.100 Vacancy Adj-Wages
0
0
0
0
0
0
0
0
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
0
0
0
0
715.000 FICA
0
0
0
0
0
0
0
0
SUPPLIES
]]6.000 Maintenance Supply
0
0
0
0
0
0
0
0
PROF AND CONTRACTUAL SERVICES
853.000 Telephone
0
0
0
0
0
0
0
0
PUBLIC UTILITIES
923.000 Heat
0
0
0
0
0
0
0
0
REPAIRS AND MAINTENANCE
931.000 Building Maint
0
0
0
0
0
0
0
0
DEVON -AIRF TOTAL . . .
0
0
0
0
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SERVICES
2000
2001
49,845
702.100
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
764.000 Promotional Supply
766.000 Tools And Supplies
PROF AND CONTRACTUAL SERVICES
818.000 Contractual Service
OTHER CHARGES AND SERVICES
942.000 Building Rentals
CAPITAL OUTLAY
987.000 Cap Outlay -Other EW
49,845
0
3,813
3,813
13,424
0
13,424
1],914
1],914
3,]25
3,]25
5,0]0
5,0]0
32,361
0
0
32,361
0
2,4]6
2,4]6
11,000
0
11,000
12,000
12,000
],000
],000
4,112
4,112
REC PROGRM TOTAL . . . . 93,791 68,949
PAGE 9]
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
31,361
0
0
31,361
0
2,399
2,399
11,000
0
11,000
8,000
8,000
5,000
5,000
0
31,361
0
0
31,361
0
2,399
2,399
11,000
0
11,000
8,000
8,000
5,000
5,000
0
5],]60
---------------------------------------------
FUND 101
- GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT ]1] - RECREATION
PROGRAMS
PERSONNEL
SERVICES
702.000
Salaries And Wages
49,845
702.100
Vacancy Adj-Wages
0
709.000
Overtime
0
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
764.000 Promotional Supply
766.000 Tools And Supplies
PROF AND CONTRACTUAL SERVICES
818.000 Contractual Service
OTHER CHARGES AND SERVICES
942.000 Building Rentals
CAPITAL OUTLAY
987.000 Cap Outlay -Other EW
49,845
0
3,813
3,813
13,424
0
13,424
1],914
1],914
3,]25
3,]25
5,0]0
5,0]0
32,361
0
0
32,361
0
2,4]6
2,4]6
11,000
0
11,000
12,000
12,000
],000
],000
4,112
4,112
REC PROGRM TOTAL . . . . 93,791 68,949
PAGE 9]
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
31,361
0
0
31,361
0
2,399
2,399
11,000
0
11,000
8,000
8,000
5,000
5,000
0
31,361
0
0
31,361
0
2,399
2,399
11,000
0
11,000
8,000
8,000
5,000
5,000
0
5],]60
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
987.000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2,678
Cap
2000
2001
2,947
2,947
Actual
Amended
ACCOUNT Expense Budget
---------------------------------------------
FOND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 720 - SWIMMING POOL - BOTSFORD
PERSONNEL SERVICES
702.000 Salaries And Wages 37,403
702.100 Vacancy Adj-Wages 0
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
743.000 Chemicals
]]6.000 Maintenance Supply
PROF AND CONTRACTUAL SERVICES
818.220 Cont ser -Pool Maintena
853.000 Telephone
PUBLIC UTILITIES
921.000 Electric
923.000 Heat
927.000 Water
REPAIRS AND MAINTENANCE
933.000 Equipment Maint
CAPITAL
OUTLAY
38,525
974.000
0
Land
Improvement
987.000
38,525
Cap
Outlay -Other EW
987.020
2,678
Cap
Outlay -DPW
3],403
0
2,861
2,861
4,829
2,694
],523
4,855
652
5,507
4,244
3,893
4,528
12,665
90
90
0
5,153
0
5,153
BOTSFORD TOTAL . . . . . 71,202
PAGE 98
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
35,000
38,525
38,525
0
0
0
35,000
38,525
38,525
0
0
0
2,678
2,947
2,947
2,678
2,947
2,947
6,460
5,500
5,500
3,000
3,000
3,000
9,460
8,500
8,500
6,040
7,000
7,000
400
700
700
6,440
],]00
],]00
4,000
4,500
4,500
3,500
6,000
6,000
6,000
6,000
6,000
13,500
16,500
16,500
3,000
3,000
3,000
3,000
3,000
3,000
0
0
0
26,954
40,000
40,000
0
0
0
26,954
40,000
40,000
97,032
11],1]2
11],1]2
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
987.000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2,259
Cap
2000
2001
2,522
2,522
Actual
Amended
ACCOUNT Expense Budget
----------------------------------------------
FUND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 721 - SWIMMING POOL - CLEMENT C
PERSONNEL SERVICES
702.000 Salaries And Wages 32,007
702.100 Vacancy Adj-Wages 0
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
743.000 Chemicals
]]6.000 Maintenance Supply
PROF AND CONTRACTUAL SERVICES
818.220 Cont ser -Pool Maintena
853.000 Telephone
PUBLIC UTILITIES
921.000 Electric
923.000 Heat
927.000 Water
REPAIRS AND MAINTENANCE
933.000 Equipment Maint
CAPITAL
OUTLAY
32,967
974.000
0
Land
Improvement
987.000
32,967
Cap
Outlay -Other Eqp
987.020
2,259
Cap
Outlay -DPW
32,00]
0
2,449
2,449
5,033
2,]46
],]]9
4,195
612
4,80]
4,2]4
4,190
3,206
11,6]0
1,8]4
1,8]4
0
9,]9]
0
9,]9]
CLEMENT C TOTAL . . . . 70,383
PAGE 99
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
29,528
32,967
32,967
0
0
0
29,528
32,967
32,967
0
0
0
2,259
2,522
2,522
2,259
2,522
2,522
6,638
5,500
5,500
3,000
3,000
3,000
9,638
8,500
8,500
6,957
7,000
7,000
500
700
700
],45]
],]00
],]00
3,700
4,500
4,500
3,000
6,000
6,000
6,000
6,000
6,000
12,700
16,500
16,500
3,000
3,000
3,000
3,000
3,000
3,000
0
0
0
24,949
60,000
60,000
0
0
0
24,949
60,000
60,000
89,531
131,189
131,189
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
0
TIME
10:45:01
FISCAL YEAR 2001
- 2002
400
400
2000
2001
400
400
Actual
A ended
ACCOUNT Expense Budget
--------------------------------------------
FUND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 722 - SiIIM1ING POOL - SHELDON
SUPPLIES
]]6.000 Maintenance Supply
PROF AND CONTRACTUAL SERVICES
818.220 Cont ser -Pool Maintena
PUBLIC UTILITIES
927.000 Nater
CAPITAL OUTLAY
987.000 Cap Outlay -Other Eq
987.020 Cap Outlay -DPN
SHELDON TOTAL . . . .
PAGE 100
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0
0
0
0
0
0
0
0
0
0
0
0
400
400
400
400
400
400
1,945
35,000
35,000
0
0
0
1,945
35,000
35,000
2,345
35,400
35,400
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-----------------------
FOND 101 - GENERAL FUND
EXPENSE
DEPARTMENT 735 - ARTS COMMISSION
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
728.000 Office Supplies
730.000 Postage
COMMUNITY PROMOTION
882.010 Promotional Progrm
OTHER CHARGES AND SERVICES
958.000 Dues And Subscript
ARTS COMM TOTAL . . . .
PAGE 101
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
4,355
5,760
5,660
5,660
0
0
0
0
4,355
5,760
5,660
5,660
0
0
0
0
333
441
433
433
333
441
433
433
331
350
450
450
1,361
1,500
1,500
1,500
1,692
1,850
1,950
1,950
12,750
13,500
12,500
12,500
12,750
13,500
12,500
12,500
48
100
100
100
48
100
100
100
19,178
21,651
20,643
20,643
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
Photo Supplies
TIME
10:45:01
FISCAL YEAR 2001
- 2002
Travel/Ed-Commissions
COMMUNITY
2000
2001
Promotional Progrm
882.025
Actual
Amended
ACCOUNT Expense Budget
----------------------------------------------
FUND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 736 - HISTORIC PRESERVATION CON
PERSONNEL SERVICES
702.000 Salaries And Wages 1,828
702.100 Vacancy Adj-Wages 0
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
PAGE 102
728.000
Office Supplies
756.000
Miscellaneous
759.000
Photo Supplies
TRANSPORTATION
861.015
Auto Expense -Comm
864.015
Travel/Ed-Commissions
COMMUNITY
PROMOTION
882.010
Promotional Progrm
882.025
Community Promotn
PRINTING AND PUBLISHING
904.000
Printing
OTHER CHARGES AND SERVICES
958.000
Dues And Subscript
1,828
0
140
140
9
135
12]
2]1
93
413
506
0
20
20
55
55
262
262
HISTORIC P TOTAL . . . . 3,082
2,980
PAGE 102
2,980
BP9200
780-
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
2,980
2,980
2,980
780-
780-
780-
2,200
2,200
2,200
60-
60-
60-
228
228
228
168
168
168
300
150
150
190
190
190
300
300
300
790
640
640
425
225
225
800
700
700
1,225
925
925
350
300
300
350
300
300
700
600
600
500
500
500
500
500
500
300
300
300
300
300
300
5,883
5,333
5,333
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
Postage
TIME
10:45:01
FISCAL YEAR 2001
- 2002
442
Seeding/Planting Supp
2000
2001
Trees/Landscap Materia
306
Actual
Amended
ACCOUNT Expense Budget
---------------------------------------------
FOND 101 - GENERAL FOND
--------------------------------------------
EXPENSE
DEPARTMENT ]3] - HISTORICAL COMMISSION
PERSONNEL SERVICES
702.000 Salaries And Wages 3,475
702.100 Vacancy Adj-Wages 0
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
5,780
728.000
1,780-
Office Supplies
730.000
4,000
Postage
759.000
136-
Photo Supplies
783.000
442
Seeding/Planting Supp
785.000
306
Trees/Landscap Materia
PROF AND CONTRACTUAL SERVICES
818.000 Contractual Service
853.000 Telephone
TRANSPORTATION
861.010 Auto Expense-Emp
861.015 Auto Expense -Comm
864.015 Travel/Ed-Commissions
COMMUNITY PROMOTION
882.010 Promotional Progrm
PRINTING AND PUBLISHING
904.000 Printing
PUBLIC UTILITIES
928.200 Utilities -Wilson Barn
928.220 Utilities-Greenmd
3,4]5
0
266
266
322
23
488
0
0
833
0
0
0
]8
156
135
369
220
220
4]2
4]2
2,]32
20,540
23,2]2
PAGE 103
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
5,780
5,780
5,780
1,780-
1,780-
1,780-
4,000
4,000
4,000
136-
136-
136-
442
442
442
306
306
306
500
500
500
750
750
750
1,500
1,500
1,500
0
0
0
1,000
1,000
1,000
3,750
3,750
3,750
0
0
0
0
0
0
0
0
0
0
0
0
190
190
190
150
350
350
340
540
540
500
500
500
500
500
500
1,000
1,000
1,000
1,000
1,000
1,000
3,800
3,800
3,800
21,000
21,000
21,000
24,800
24,800
24,800
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
2002
TIME
10:45:01
FISCAL YEAR 2001
- 2002
AND MAINTENANCE
0
2000
2001
300
931.210
Actual
Amended
ACCOUNT Expense Budget
]1,106
HISTORIC C TOTAL . . . 119,938
PAGE 104
1,500
---------------------------------------------
ENNE 101
- GENERAL ENDS
SLATER
--------------------------------------------
EXPENSE
2002
Mayor
DEPARTMENT ]3] - HISTORICAL COMMISSION
Approved
REPAIRS
AND MAINTENANCE
0
931.200
Maintenance -Nilson Har
300
931.210
Maintenance-Cemetr
0
931.220
Maintenance-Greenmead
19,225
25,000
400
19,525
OTHER CHARGES
AND SERVICES
11,000
943.000
Outside Equip Rental
0
958.000
Dues And Subscript
400
113,246
400
CAPITAL
OUTLAY
976.220
Restoration-Greenmead
70,809
978.000
Cap Outlay -Hooks
297
983.000
Cap Outlay -Office Eqp
0
]1,106
HISTORIC C TOTAL . . . 119,938
1,000
PAGE 104
1,500
BP9200
0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
1,000
1,500
1,500
3,000
0
0
40,000
40,000
40,000
44,000
41,500
41,500
0
0
0
450
450
450
450
450
450
50,000
25,000
25,000
400
400
400
0
11,000
11,000
50,400
36,400
36,400
129,546
113,246
113,246
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
700,000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FUND
101 - GENERAL
FUND
EXPENSE
DEPARTMENT 738 - CIVIC CENTER LIBRARY
MISCELLANEOUS
965.271 Cont To Library 700,000
]00,000
CIVIC LIB TOTAL . . . 700,000
PAGE 105
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
700,000
700,000
700,000
700,000
700,000
700,000
700,000
700,000
700,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-----------------------
FOND 101 - GENERAL FUND
-----------------------
EXPENSE
FRINGE BENEFITS
DEPARTMENT 781 -
FORESTRY
PERSONNEL
SERVICES
0
702.000
]1].000
Salaries
And Wages
702.100
0
Vacancy Adj-Wages
]0].000
24,500
Alternate Payments
709.000
170,000-
Overtim
723.000
712.010
Retirement DC
Wage Tsf-Refuse
9,000-
712.020
725.010
Wage Tsf-Act
51
712.208
66,723
Wage Tsf-Recreation
725.208
FRINGE BENEFITS
714.100
212,059
Vacancy Adj-Benefits
715.000
0
FICA
]1].000
0
Holiday And Longev
719.000
0
Medical Pmt
720.000
24,500
Life Insurance
722.000
170,000-
Retirement EB
723.000
9,000-
Retirement DC
724.000
9,000-
Retirement Medical
725.010
1,000-
O/H Tsf-Refuse
725.020
66,723
O/H Tsf-Act 51
725.208
0
O/H Tsf-Recreation
SUPPLIES
766.000 Tools And Supplies
768.000 Uniform Allowance
]]6.000 Maintenance Supply
785.000 Trees/Landsaap Materia
PROF AND CONTRACTUAL SERVICES
818.020 Cont Serv-Maintenance
INSURANCES
917.010 Tsf-Workers Comp
918.020 Tsf-Genl Insurance
PUBLIC UTILITIES
928.010 Tsf-Utilities
PAGE 106
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
183,943
210,723
212,059
212,059
0
0
0
0
0
0
0
0
18,136
36,000
24,500
24,500
170,000-
170,000-
170,000-
170,000-
9,000-
9,000-
9,000-
9,000-
0
1,000-
1,000-
1,000-
23,079
66,723
56,559
56,559
0
0
0
0
15,761
19,292
18,345
18,345
3,946
3,510
3,250
3,250
26,992
36,697
39,615
39,615
388
595
593
593
0
0
0
0
8,543
10,965
13,124
13,124
21,179
24,144
29,179
29,179
170,000-
170,000-
170,000-
170,000-
9,000-
9,000-
9,000-
9,000-
0
1,000-
1,000-
1,000-
102,191-
84,]9]-
75,894-
75,894-
4,211
5,500
5,500
5,500
3,237
4,600
4,600
4,600
2,958
5,000
5,000
5,000
36,819
35,000
55,000
55,000
47,225
50,100
70,100
70,100
368
3,000
2,000
2,000
368
3,000
2,000
2,000
5,536
2,611
2,999
2,999
14,500
12,538
15,145
15,145
20,036
15,149
18,144
18,144
8,417
8,084
8,571
8,571
8,417
8,084
8,571
8,571
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-----------------------------
FUND 101 - GENERAL FUND
-----------------------------
EXPENSE
DEPARTMENT 781 - FORESTRY
OTHER CHARGES AND SERVICES
960.010 Ed/Training-Emp
CAPITAL OUTLAY
987.000 Cap Outlay -Other Egp
FORESTRY TOTAL . . . . .
1,079
PAGE 10]
1,100
BP9200
1,079
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
1,079
1,000
1,100
1,100
1,079
1,000
1,100
1,100
40,000
0
0
0
40,000
0
0
0
38,013
59,259
80,580
80,580
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 108
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 101
- GENERAL FUND
------------------------------
EXPENSE
Benet Tsf-Grnt
DEPARTMENT 805 - PLANNING
PERSONNEL
SERVICES
702.000
Salaries And Wages
702.100
Vacancy Adj-Wages
]0].000
Alternate Payments
709.000
Overtim
712.050
Wage Tsf-Grants
FRINGE BENEFITS
713.050
Benet Tsf-Grnt
714.100
Vacancy Adj-Benefits
715.000
FICA
]1].000
Holiday And Longev
719.000
Medical Pmt
720.000
Life Insurance
722.000
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
SUPPLIES
728.000 Office Supplies
PROF AND CONTRACTUAL SERVICES
804.262 Plan Dept Fees -PADA
818.000 Contractual Service
TRANSPORTATION
861.010 Auto Expense-Emp
861.015 Auto Expense -Comm
864.015 Travel/Ed-Commissions
COMMUNITY PROMOTION
882.035 Comm Promotion-PRUA
885.000 Public Relations
390,419
0
0
505
0
390,924
0
0
30,6]4
5,850
43,]96
]22
0
3],88]
44,926
163,855
4,555
4,555
2,400
2],551
25,151
4,260
0
20
4,280
0
40
406,]21
0
0
2,000
0
408,]21
0
0
31,]15
5,850
42,119
1,068
0
39,308
44,556
164,616
4,500
4,500
2,400-
28,000
25,600
4,000
0
2,000
6,000
0
100
PRINTING AND PUBLISHING
904.000 Printing 1,229 5,000
905.000 Publishing 964 2,500
414,336
0
0
2,000
0
416,336
0
0
32,40]
],280
46,962
1,085
0
40,38]
55,483
183,604
5,500
5,500
2,400
30,000
2],600
4,000
0
3,000
],000
0
100
5,000
2,500
414,336
0
0
2,000
0
416,336
0
0
32,40]
],280
46,962
1,085
0
40,38]
55,483
183,604
5,500
5,500
2,400-
30,000
2],600
4,000
0
3,000
],000
0
100
5,000
2,500
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-----------------------------
FUND 101 - GENERAL FUND
-----------------------------
EXPENSE
DEPARTMENT 805 - PLANNING
PAGE 109
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
1,308 12,050 5,600 5,600
PLANNING TOTAL . . . . 600,488 636,]8] 660,940 660,940
2,193
7,500
7,500
7,500
REPAIRS
AND MAINTENANCE
934.000
Office Equip Maint
0
100
100
100
0
100
100
100
OTHER CHARGES AND SERVICES
944.000
Lease Purchase Pay
6,485
2,000
2,000
2,000
958.000
Dues And Subscript
385
1,786
1,600
1,600
960.010
Ed/Training-Emp
1,312
3,814
4,000
4,000
8,182
7,600
7,600
7,600
MISCELLANEOUS
965.262
Cont to IDEA
0
0
0
0
0
0
0
0
CAPITAL
OUTLAY
983.000
Cap Outlay -Office Eqp
1,308
12,050
5,600
5,600
1,308 12,050 5,600 5,600
PLANNING TOTAL . . . . 600,488 636,]8] 660,940 660,940
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
]1].000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
PERSONNEL
SERVICES
2000
2001
Salaries And Wages
55,533
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
69,004
---------------------------------------------
FOND 101
- GENERAL FUND
4,700-
--------------------------------------------
EXPENSE
]1].000
2,000
DEPARTMENT
815 - ZONING BOARD
OF APPEALS
PERSONNEL
SERVICES
67,304
702.000
Salaries And Wages
55,533
702.100
Vacancy Adj-Wages
0
]0].000
Alternate Payments
1,000
709.000
Overtime
0
FRINGE BENEFITS
714.100
69,004
Vacancy Adj-Benefits
715.000
4,700-
FICA
]1].000
2,000
Holiday And Longev
719.000
1,000
Medical Pmt
720.000
67,304
Life Insurance
722.000
360-
Retirement EB
723.000
5,508
Retirement DC
724.000
0
Retirement Medical
SUPPLIES
728.000 Office Supplies
756.000 Miscellaneous
PROF AND CONTRACTUAL SERVICES
818.000 Contractual Service
TRANSPORTATION
861.016 Auto Expense -Board Nem
864.010 Travel/Ed-Emp
PRINTING AND PUBLISHING
904.000 Printing
REPAIRS AND MAINTENANCE
934.000 Office Equip Maint
OTHER CHARGES AND SERVICES
958.000 Dues And Subscript
56,533
0
4,325
0
1,9]6
66
0
2,]62
5,490
14,619
1,113
0
1,113
],623
],623
9,302
505
9,80]
4,616
4,616
0
PAGE 110
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
6],18]
69,004
69,004
4,700-
4,700-
4,700-
2,000
2,000
2,000
1,500
1,000
1,000
65,987
67,304
67,304
360-
360-
360-
5,408
5,508
5,508
0
0
0
1,030
1,030
1,030
168
170
170
0
0
0
3,882
4,009
4,009
6,250
7,858
7,858
16,378
18,215
18,215
1,200
1,500
1,500
550
0
0
1,750
1,500
1,500
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
3,000
3,000
3,000
13,000
13,000
13,000
6,000
6,000
6,000
6,000
6,000
6,000
700
700
700
700
700
700
300
300
300
City of Livonia F I N A N C I A L N A N A G E N E N T
DATE 10/26/01 ADOPTEE ANNUAL BUDGET
TIME 10:45:01 FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
2002
Mayor
Approved
PAGE 111
BP9200
SLATER
2002
City Coun.
Approved
-------------------------------------------------------------------------------------
FOND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 815 - ZONING HOARD OF
APPEALS
89
300
300
300
CAPITAL OUTLAY
981.000 Cap Outlay-Furnitr
990
0
0
0
983.000 Cap Outlay -Office Egp
599
1,383
0
0
1,589
1,383
0
0
ZONING HER TOTAL . . .
95,989
115,498
117,019
117,019
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
717.000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SERVICES
720.000
2000
2001
Salaries And Wages
502,375
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
Office Supplies
----------------------------------------------
FUND 101
- GENERAL FUND
Supplies -Senior Ctr.
--------------------------------------------
EXPENSE
717.000
Supplies -Youth Asst
Holiday And Longev
DEPARTMENT 891 - COMMUNITY RESOURCES
PERSONNEL
SERVICES
720.000
702.000
Life Insurance
Salaries And Wages
502,375
702.100
723.000
Vacancy Adj-Wages
0
707.000
Alternate Payments
2,000
709.000
O/H Tsf-Other
Overtime
218
712.000
Wage Tsf-ocher
5,117-
712.050
Wage Tsf-Grants
6,000 -
FRINGE BENEFITS
714.100
Office Supplies
Vacancy Adj-Benefits
715.000
Supplies -Senior Ctr.
FICA
717.000
Supplies -Youth Asst
Holiday And Longev
719.000
Miscellaneous
Medical Pmt
720.000
Greenmead Supplies
Life Insurance
722.000
-Youth Art
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
725.000
O/H Tsf-Other
SUPPLIES
728.000
PROMOTION
Office Supplies
728.120
Supplies -Senior Ctr.
728.140
2002
Supplies -Youth Asst
756.000
886.130
Miscellaneous
757.040
-Farmers Marks
Greenmead Supplies
TRANSPORTATION
861.010 Auto Expense-Emp
864.010 Travel/Ed-Emp
COMMUNITY
PROMOTION
886.110
Special Activities -exp
886.120
2002
Spec Act
-Senior Center
886.130
Approved
Spec Act
-Farmers Marks
886.140
Spec Act
-Youth Art
REPAIRS AND MAINTENANCE
931.010 Bldg Maint-Sr CIL
934.000 Office Equip Maint
493,476
0
39,210
6,974
55,957
979
0
39,754
59,013
5,117-
196,770
7,402
0
0
397
16,963
24,762
669
1,270
1,939
37,441
7,567
1,320
607
46,935
7,617
3,182
541,388
0
2,000
1,200
5,117
6,000
533,471
0
42,397
7,930
60,632
1,522
0
42,743
61,242
5,117-
211,349
4,200
2,100
2,000
340
16,450
25,090
925
1,350
2,275
42,000
8,000
1,200
1,600
52,800
9,600
8,000
571,987
0
2,000
1,200
5,117
6,000
564,070
0
44,738
9,620
77,580
1,610
0
45,191
78,473
5,117-
252,095
4,200
1,400
2,000
275
17,500
25,375
925
1,700
2,625
40,000
7,000
1,200
1,000
49,200
10,500
8,000
571,987
0
2,000
1,200
5,117
6,000
564,070
0
44,738
9,620
77,580
1,610
0
45,191
78,473
5,117-
252,095
4,200
1,400
2,000
275
17,500
25,375
925
1,700
2,625
40,000
7,000
1,200
1,000
49,200
10,500
8,000
PAGE 112
BP9200
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
571,987
0
2,000
1,200
5,117
6,000
564,070
0
44,738
9,620
77,580
1,610
0
45,191
78,473
5,117-
252,095
4,200
1,400
2,000
275
17,500
25,375
925
1,700
2,625
40,000
7,000
1,200
1,000
49,200
10,500
8,000
571,987
0
2,000
1,200
5,117
6,000
564,070
0
44,738
9,620
77,580
1,610
0
45,191
78,473
5,117-
252,095
4,200
1,400
2,000
275
17,500
25,375
925
1,700
2,625
40,000
7,000
1,200
1,000
49,200
10,500
8,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
6,300
TIME
10:45:01
FISCAL YEAR 2001
- 2002
6,051
947.100 Sen Cit Bus Tsp
2000
2001
882
18,000
Actual
A ended
ACCOUNT Expense Budget
PAGE 113
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
17,600
18,500
---------------------------------------------
FUND 101 - GENERAL FUND
6,051
--------------------------------------------
EXPENSE
7,038
DEPARTMENT 891 - COMMUNITY RESOURCES
6,300
10,]99
OTHER CHARGES AND SERVICES
1,000
947.010 Try Vatic Cost-Oth Fun
6,051
947.100 Sen Cit Bus Tsp
5,232
958.000 Dues And Subscript
882
18,000
12,165
CAPITAL OUTLAY
18,000
983.000 Cap Outlay -Office Sop
16,569
944,203
16,569
COMM RES TOTAL . . . .
803,415
PAGE 113
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
17,600
18,500
18,500
6,051
7,038
7,038
6,300
6,300
6,300
1,135
1,000
1,000
13,486
14,338
14,338
35,000
18,000
18,000
35,000
18,000
18,000
891,071
944,203
944,203
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
2002
TIME
10:45:01
FISCAL YEAR 2001
- 2002
MISCELLANEOUS
10,000
2000
2001
0
0
Actual
Amended
ACCOUNT Expense Budget
503,006
NON -DEPT P TOTAL . . . 583,006
PAGE 114
0
----------------------------------------------
ENNE 101
- GENERAL ENDS
SLATER
--------------------------------------------
EXPENSE
2002
Mayor
DEPARTMENT
902 - NON -DEPT CAPITAL
PROJECTS
MISCELLANEOUS
10,000
965.099
Cont To Sp As Fund 099
0
0
15,000
0
CAPITAL
OUTLAY
15,000
974.000
Land Improvement
0
975.000
Cap Outlay -Bldg
0
903.000
Cap Outlay -Office Egp
15,006
907.000
Cap Outlay -Other Egp
560,000
503,006
NON -DEPT P TOTAL . . . 583,006
0
PAGE 114
0
BP9200
0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
0
0
0
0
0
0
0
0
0
5,000
5,000
5,000
10,000
10,000
10,000
0
0
0
15,000
15,000
15,000
15,000
15,000
15,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
950,000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
796,065
1,245,000
2000
2001
796,065
1,245,000
Actual
Amended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FUND
101 - GENERAL
FUND
EXPENSE
DEPARTMENT 906 - DAMAGE CLAIMS
MISCELLANEOUS
964.010 Damage Claim
964.020 Ball Termination Pay
964.030 Legal Claims-Settlemen
DAMAGE CLM TOTAL . . . .
PAGE 115
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0
295,000
]]5,000
]]5,000
796,065
950,000
950,000
950,000
0
0
0
0
796,065
1,245,000
1,725,000
1,725,000
796,065
1,245,000
1,725,000
1,725,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
-------------------------------------
FOND 101 - GENERAL FUND
-------------------------------------
EXPENSE
DEPARTMENT 907 - NON DEPARTMENTAL
SUPPLIES
756.000 Miscellaneous
PROF AND CONTRACTUAL SERVICES
818.035 Cont Sery-Baz Waste
TRANSFERS OUT
890.401 Equity Transfer To 401
NON DEPTML TOTAL . . . .
PAGE 116
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
753
1,000
1,000
1,000
753
1,000
1,000
1,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
753
1,000
1,000
1,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
2002
TIME
10:45:01
FISCAL YEAR 2001
- 2002
486
487
2000
2001
368
368
Actual
Amended
ACCOUNT Expense Budget
----------------------------------------------
FUND 101 - GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 908 - HUNAN RELATIONS COMIISSIO
PERSONNEL SERVICES
702.000 Salaries And Wages 3,950
702.100 Vacancy Adj-Wages 0
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
728.000 Office Supplies
730.000 Postage
756.000 Miscellaneous
COMMUNITY PROMOTION
882.010 Promotional Pros=
882.020 Community Educatn
PRINTING AND PUBLISHING
904.000 Printing
3,950
0
302
302
0
65
0
65
528
1,051
1,5]9
130
130
HUMAN AEI TOTAL . . . . 6,026
6,360
PAGE 11]
6,360
BP9200
1,560-
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
6,360
6,360
6,360
1,560-
1,560-
1,560-
4,800
4,800
4,800
119-
119-
119-
486
487
487
367
368
368
100
100
100
300
175
175
so
so
so
450
325
325
750
525
525
1,400
1,400
1,400
2,150
1,925
1,925
250
250
250
250
250
250
8,017
7,668
7,668
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
-----------------------
FOND 101 - GENERAL FUND
EXPENSE
DEPARTMENT 909 - YOUTH COMMISSION
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
728.000 Office Supplies
COMMUNITY PROMOTION
886.135 Spec Act -Passbook
PRINTING AND PUBLISHING
904.000 Printing
OTHER CHARGES AND SERVICES
958.000 Dues And Subscript
YOUTH COMM TOTAL . . . .
3,750
PAGE 118
4,680
BP9200
0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
3,750
4,680
4,680
4,680
0
680-
680-
680-
3,750
4,000
4,000
4,000
0
52-
52-
52-
287
358
358
358
287
306
306
306
34
100
100
100
34
100
100
100
2,733
5,451
4,801
4,801
2,733
5,451
4,801
4,801
61
200
200
200
61
200
200
200
0
so
so
so
0
so
50
50
6,865
10,107
9,457
9,457
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
-----------------------
FOND 101 - GENERAL FUND
EXPENSE
DEPARTMENT 910 - ETHICS BOARD
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
728.000 Office Supplies
PROF AND CONTRACTUAL SERVICES
818.000 Contractual Service
PRINTING AND PUBLISHING
904.000 Printing
OTHER CHARGES AND SERVICES
960.030 Ed/Training-City Wide
ETHICS HER TOTAL . . . .
PAGE 119
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
1,380
1,540
1,540
1,540
0
0
0
0
1,380
1,540
1,540
1,540
0
0
0
0
106
118
118
118
106
118
118
118
0
750
250
250
0
750
250
250
0
Soo
250
250
0
Soo
250
250
225
500
500
500
225
500
500
500
0
0
0
0
0
0
0
0
1,711
3,408
2,658
2,658
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
Amended
ACCOUNT Expense Budget
----------------------------------------
FOND 101 - GENERAL FOND
----------------------------------------
EXPENSE
DEPARTMENT 913 - COMMISSION ON AGING
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
728.000 Office Supplies
730.000 Postage
COMMUNITY PROMOTION
882.010 Promotional Progrm
PRINTING AND PUBLISHING
904.000 Printing
3,680
0
3,680
0
282
282
4]
4,339
4,386
2,]45
2,]45
2,328
2,328
4,680
300
4,380
23-
358
335
200
9,000
9,200
2,960
2,960
4,000
4,000
AGING COMM TOTAL . . . . 13,421 20,875
PAGE 120
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
4,680
300
4,380
23-
358
335
200
9,000
9,200
2,460
2,460
3,]50
3,]50
20,125
4,680
300
4,380
23-
358
335
200
9,000
9,200
2,460
2,460
3,]50
3,]50
20,125
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 121
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 101 - GENERAL FUND
------------------------------------
EXPENSE
DEPARTMENT 915 - DATA PROCESSING
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
707.000 Alternate Payments
709.000 Overtime
FRINGE BENEFITS
714.100
Cont Serv-Consultant
Vacancy Adj-Benefits
715.000
comp Hardware Maint
FICA
717.000
comp Software Maint
Holiday And Longev
719.000
Telephone
Medical Pmt
720.000
Life Insurance
722.000
904.000
Retirement EB
723.000
OTHER CHARGES AND SERVICES
Retirement DC
724.000
Dues And Subscript
Retirement Medical
SUPPLIES
728.000 Office Supplies
PROF AND CONTRACTUAL SERVICES
818.005
Cont Serv-Consultant
851.010
comp Hardware Maint
851.020
comp Software Maint
853.000
Telephone
TRANSPORTATION
861.010
Auto Expense-Emp
PRINTING AND PUBLISHING
904.000
Printing
OTHER CHARGES AND SERVICES
958.000
Dues And Subscript
960.010
Ed/Training-Emp
235,053
0
1,000
2,167
238,220
0
18,348
1,620
15,441
314
0
14,645
27,730
78,098
4,160
115,000
33,086
21,937
3,085
173,108
297
297
996
1,990
7.232
258,800
0
2,000
5,000
265,800
0
20,357
1,300
18,313
708
0
17,490
29,313
87,481
5,000
5,000
120,000
45,000
84,000
4,000
253,000
500
500
1,200
1,200
2,500
11,000
9,222 13,500
MISCELLANEOUS
265,206
0
2,000
3,000
270,206
0
20,790
1,560
16,122
718
0
17,808
36,471
93,469
5,000
5,000
90,000
60,000
89,000
4,000
243,000
500
500
1,200
1,200
2,000
10,000
265,206
0
2,000
3,000
270,206
0
20,790
1,560
16,122
718
0
17,808
36,471
93,469
5,000
5,000
90,000
60,000
89,000
4,000
243,000
500
500
1,200
1,200
2,000
10,000
12,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
------------------------------------
FUND 101 - GENERAL FUND
------------------------------------
EXPENSE
DEPARTMENT 915 - DATA PROCESSING
969.592 Cont -N c S Fund
CAPITAL
OUTLAY
BP9200
976.000
SLATER
Cap
Outlay
-Bldg Impry
982.000
Approved
Cap
Outlay-Mach/Eq
986.010
Cap
Outlay
-Comp Gotta
DATA PROC TOTAL . . . .
50,000-
50,000-
29,500
48,]59
38,66]
116,926
5]1,02]
150,000
150,000-
0
80,]50
19,000
99,]50
5]6,231
150,000
150,000-
0
16,500
53,]50
]0,250
545,625
150,000
150,000-
0
16,500
53,]50
]0,250
545,625
PAGE 122
BP9200
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
150,000
150,000-
0
16,500
53,]50
]0,250
545,625
150,000
150,000-
0
16,500
53,]50
]0,250
545,625
City
of Livonia F I N A N C
I A L N A N
A G E N E N
T
PAGE 123
DATE
10/26/01
ADOPTEE
ANNUAL BUDGET
BP9200
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
-------------------------------------------------------------------------------------
FUND
101 -
GENERAL FUND
--------------------------------------------
EXPENSE
DEPARTMENT 920 - EMPLOYEE BENEFITS CONTROL
FRINGE BENEFITS
715.000
FICA
761
0
0
0
718.100
Vac/Sick Term Pay Curr
0
100,000
0
0
719.000
Medical Pmt
185,680-
0
100,000-
100,000-
719.001
Contra Medical Pmt
0
0
0
0
719.010
Medical -Insurance Prem
2,631,476
2,300,000
3,100,000
3,100,000
719.012
Medical -Self Insurance
3,975,998
3,100,000
4,375,000
4,375,000
719.014
Medical -Payroll Alloca
3,101,063-
3,000,000-
3,800,000-
3,800,000-
719.016
Medical -Retirees Insur
3,005,467-
2,525,000-
3,600,000-
3,600,000-
719.100
Dental Reimburse
0
5,000
5,000
5,000
720.000
Life Insurance
17,989
20,000
20,000
20,000
720.001
Contra -Life Ins
0
15,000-
15,000-
15,000-
720.100
S -T Disability
11,732
20,000
20,000
20,000
722.000
Retirement DB
0
0
0
0
723.000
Retirement DC
0
0
0
0
724.000
Retirement Medical
0
0
0
0
345,746
5,000
5,000
5,000
EMPLYEE
BN TOTAL . . .
345,746
5,000
5,000
5,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
PAGE 124
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
40,191
35,000
BP9200
TIME
10:45:01
FISCAL YEAR 2001
- 2002
1,157,346
SLATER
1,000,000
1,000,000
2000
2001
2002
2002
185,605-
212,997-
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
-------------------------------------------------------------------------------------
FUND
101 - GENERAL
FUND
EXPENSE
DEPARTMENT 925 - INSURANCE -GENERAL
INSURANCES
916.000
Unemployment Ins
40,191
35,000
65,000
65,000
918.000
Liability Insurance
1,157,346
1,050,000
1,000,000
1,000,000
918.020
Tsf-Genl Insurance
203,034-
185,605-
212,997-
212,997-
994,503 899,395 852,003 852,003
INS GRUEL TOTAL . . . 994,503 899,395 852,003 852,003
City of
Livonia F I N A N C
I A L N A
N A G E N E N
T
PAGE 125
DATE 10/26/01
ADOPTEE
ANNUAL
BUDGET
BP9200
TIME 10:45:01
FISCAL YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
-------------------------------------------------------------------------------------
ENDS 101
- GENERAL ENDS
--------------------------------------------
EXPENSE
DEPARTMENT 950 - INSURANCE -WORKERS COMP
INSURANCES
917.000
Worker's Comp
69,084-
80,000
80,000
80,000
917.010
Tsf-Workers Comp
]],524-
38,653-
40,204-
40,204-
917.100
Worker's Comp-Emp Pmt
9,202
15,000
15,000
15,000
917.200
Worker's Comp -Medical
41,170
45,000
45,000
45,000
917.592
Tsf-Wk Comp -W c S Fund
75,000-
75,000-
75,000-
]5,000-
91].900
Work Comp -Prior Yr
247,926
120,000
100,000
100,000
76,690
146,347
124,796
124,796
WKRS
COMP TOTAL . . . .
76,690
146,347
124,796
124,796
EXPENSE
TOTAL . . . . . . .
49,314,559
52,096,383
51,908,015
51,908,015
GENERAL
MET DIFFERENCE . . .
223,085
4,714
44,376
44,376
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
- - - -
FUND 202 - MAJOR STREET FUND
- - - - - - - - - - - - - -
REVENGE
DEPARTMENT 000 - ACCOUNT BALANCES
FEDERAL GRANTS
541.000 Federal Shared Revenue
STATE GRANTS
569.000 Gas And Weight Tax
INTEREST AND RENTS
665.000 Interest
OTHER REVENUE
691.101 Cont From General Fond
698.000 Sundry Income
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
0
4,3]0,599
4,3]0,599
11],334
11],334
0
95,915
95,915
4,583,848
4,583,848
PAGE 126
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0
0
0
0
0
0
4,389,265
4,475,418
4,475,418
4,389,265
4,475,418
4,475,418
80,000
100,000
100,000
80,000
100,000
100,000
0
0
0
0
0
0
0
0
0
4,469,265
4,575,418
4,575,418
4,469,265
4,575,418
4,575,418
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
------------------------------------ ---
ENDS 202 - MAJOR STREET ENDS
EXPENSE
DEPARTMENT 450 - STREET LIGHTING
SUPPLIES
756.000 Miscellaneous
PUBLIC UTILITIES
920.020 S/L Naint Tsf-Roads
STAT LIGHT TOTAL . . . .
0
PAGE 12]
1,000
BP9200
0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
0
1,000
1,000
1,000
0
1,000
1,000
1,000
369,533
424,533
417,399
417,399
369,533
424,533
417,399
417,399
369,533
425,533
410,399
410,399
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
2002
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FUND
202 - MAJOR
----------------
STREET FUND
EXPENSE
DEPARTMENT 451 - CONST -STREET AND BRIDGES
CAPITAL OUTLAY
972.000 Land Purchase
STAT CONST TOTAL . . .
25,097
PAGE 128
25,000
BP9200
25,097
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
25,097
25,000
25,000
25,000
25,097
25,000
25,000
25,000
25,097
25,000
25,000
25,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-------------------------------------- ----
FUND 202 - MAJOR STREET FUND
EXPENSE
DEPARTMENT 463 - MAINTENANCE STREP
PERSONNEL SERVICES
712.020 Nage Tsf-Act 51
FRINGE BENEFITS
725.020 O/H Tsf-Act 51
SUPPLIES
082.000 Road Naint Supplies
PROF AND CONTRACTUAL SERVICES
818.100
257,682
Cont
Serv-Pavement
Stu
818.117
328,292
Cont
Sex-SointcCrack
S
818.118
328,292
Cont
ser -Lane
Line Mar
818.119
44,750
Cont
Sery-Pav
c Catch
818.125
60,609
C/S-County
Proj Partin
818.129
0
Cont
Serv-Inkster
Soy -
818.130
30,000
Cont
Sex-Merrim n -Soy/
818.137
71,000
Cont
Serv-Bridge
Inspe
818.139
900,000
Cont
Sery-Ply
New To I
_P..141
0
Cont
Sery-8
Mi/I-215 R
_`..144
0
Cont
Sery-seven
Mi. 93
_`..145
0
Cont
Sery-Farm
N. Of a
_5.14"1
0
Cont
Sery-Farm
] To 8
-_5.148
0
Cont
Sery-CSX
@ Stark
_5,149
0
Cont
Serv-Eckles
Rd.
_5,150
0
Cont
Sery-GIS
0
_5,151
0
Cont
Sery-Gd
Riv 8 To
x.152
0
Cont
Sery-Civic
CIL Dr
5.154
0
Cont
Sery-ERES
Consult
-_5.155
0
Con
Sv-Ply-Mex Rt Turn
-_5.157
0
Cont
Sery-Soil
Invstgt
;L 6.158
0
Cont
Sery-CSX
at Levan
818.159
0
Cont
Sery-Levan
Rd 00 -
OTHER CHARGES AND SERVICES
947.020 Try Vatic Cost -Act 51
MISCELLANEOUS
962.000 Other Sundry Exp
PAGE 129
BP9200
SLATER
2002 2002
Mayor City Conn.
Approved Approved
266,656
257,682
328,292
328,292
266,656
257,682
328,292
328,292
266,656
257,682
328,292
328,292
266,656
257,682
328,292
328,292
44,750
60,609
72,800
72,800
44,750
60,609
72,800
72,800
0
0
0
0
0
30,000
30,000
30,000
69,383
54,510
71,000
71,000
320,000
900,000
900,000
900,000
0
1,684,500
915,400
915,400
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
5,860
15,213
0
0
0
0
0
0
0
0
0
0
0
71,024
0
0
222,260
142,348
0
0
617,503
2,897,595
1,916,400
1,916,400
59,198
87,495
126,350
126,350
59,198
87,495
126,350
126,350
0
0
0
0
City
of Livonia F I N
A N C I A L N A N
A G E N E N
T
PAGE 130
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
BP9200
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
A ended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
F-
UND
202 - NAaox STREET FUND
- - - - - - - - -
- - - - - -
- - - - - -
- - - - - -
--------------------------------------------
0
0
0
0
STRT SAINT TOTAL . . .
1,254,763
3,561,063
2,]]2,134
2,]]2,134
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
----------------------------
ENND 202 - MAJOR STREET ENDS
----------------------------
EXPENSE
DEPARTMENT 475 - NAINTEN
PERSONNEL SERVICES
712.020 Nage Tsf-Act 51
FRINGE BENEFITS
725.020 O/H Tsf-Act 51
SUPPLIES
786.000 Tray Control Supply
PUBLIC UTILITIES
921.000 Electric
OTHER CHARGES AND SERVICES
947.020 Try Vatic Cost -Act 51
MISCELLANEOUS
973.010 Cont ser-Maint,Traffi
973.020 Cont Sery-Traf Sig Ins
SIGN SHOP TOTAL . . .
SERV
PAGE 131
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
78,399
]3,15]
79,034
79,034
78,399
]3,15]
79,034
79,034
78,399
]3,15]
79,034
79,034
78,399
]3,15]
79,034
79,034
24,000
24,000
27,000
27,000
24,000
24,000
27,000
27,000
27,336
27,000
40,000
40,000
27,336
27,000
40,000
40,000
35,220
35,220
39,070
39,070
35,220
35,220
39,070
39,070
85,384
80,000
90,000
90,000
55,901
30,000
30,000
30,000
141,285
110,000
120,000
120,000
384,639
342,534
384,138
384,138
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
2002
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FUND
202 - MAJOR
----------------
STREET FUND
EXPENSE
DEPARTMENT 478 - NAINT-FREEWAY LIGHTING
PUBLIC UTILITIES
922.000 Freeway Lighting 29,907
29,90]
FREEWY LGT TOTAL . . . 29,907
33,000
PAGE 132
33,000
BP9200
33,000
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
33,000
33,000
33,000
33,000
33,000
33,000
33,000
33,000
33,000
City of Livonia F I N A N C I A L N A N A G E N E N T
DATE 10/26/01 ADOPTEE ANNUAL BUDGET
TIME 10:45:01 FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
2002
Mayor
Approved
PAGE 133
BP9200
SLATER
2002
City Coun.
Approved
F- - - -
BOND 202 - NAaox STREET FUND
- - - - - -
- - - - - - -
- - - - -
- - - - - -
EXPENSE
DEPARTMENT 479 - SNOW AND ICE REMOVAL
PERSONNEL SERVICES
712.020 Nage Tsf-Act 51
39,789
56,283
39,790
39,790
39,789
56,283
39,790
39,790
FRINGE BENEFITS
725.020 O/H Tsf-Act 51
39,789
56,283
39,790
39,790
39,789
56,283
39,790
39,790
SUPPLIES
782.000 Road Maint Supplies
64,700
90,641
64,700
64,700
64,700
90,641
64,700
64,700
PROF AND CONTRACTUAL SERVICES
818.000 Contractual Service
0
0
0
0
0
0
0
0
OTHER CHARGES AND SERVICES
947.020 Try Vatic Cost -Act 51
71,602
93,305
71,600
71,600
71,602
93,305
71,600
71,600
CAPITAL OUTLAY
976.000 Cap Outlay -Bldg Impry
0
0
0
0
0
0
0
0
SNOW/ICE TOTAL . . . .
215,880
296,512
215,880
215,880
City of Livonia F I N
DATE 10/26/01
TIME 10:45:01
ACCOUNT
A N C I A L N A N A G E N E N T
ADOPTEE ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
Expense Budget
2002
Mayor
Approved
PAGE 134
BP9200
SLATER
2002
City Coun.
Approved
F-
FUND 202 - NAaox STREET FUND
- - - - - - - - -
- - - - - - -
- - - - -
- - - - - -
EXPENSE
DEPARTMENT 483 - ARNIN, ENGIN RECORD REEPI
PERSONNEL SERVICES
712.020 Nage Tsf-Act 51
153,468
157,289
176,356
176,356
153,468
157,289
176,356
176,356
FRINGE BENEFITS
725.020 O/H Tsf-Act 51
153,468
151,981
170,515
170,515
153,468
151,981
170,515
170,515
ENGR RICER TOTAL . . .
306,936
309,270
346,871
346,871
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 135
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual A ended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
ENDS 202
- MAJOR
STREET ENDS
-----------------------------------
EXPENSE
DEPARTMENT 484
- ENDS TRANSFERS
MISCELLANEOUS
965.203
Cont
To
Local St Fund
965.354
Cont
To
84 MVE Maj\Loc
965.355
Cont
To
84 MVE Loan Re
965.356
Cont
To
86 MVE Maj/Loc
965.357
Cont
To
88 MTF Maj/Loc
965.892
Cont
To
1983 Spec Ass
965.899
Cont
To
Sp As Fund 899
FUND TRANS TOTAL . . .
EXPENSE TOTAL . . . . . . .
MAJOR STRT MET DIFFERENCE
1,092,650
0
0
41,025
91,406
0
29,967
1,255,048
1,255,048
3,841,803
]42,045
325,000
0
0
44,200
104,360
0
59,154
532,]14
532,]14
5,525,626
1,056,361-
500,000
0
0
0
10],614
0
0
60],614
4,803,036
22],618-
500,000
0
0
0
10],614
0
0
60],614
60],614
4,803,036
22],618
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
------------------------------------
FUND 203 - LOCAL STREET FUND
------------------------------------ -------------
REVENGE
DEPARTMENT 000 - ACCOUNT BALANCE
STATE GRANTS
569.000 Gas And Weight Tax
1,682,]00
1,093,625
ACCT HAL TOTAL . . . . . 2,834,710
REVENUE TOTAL . . . . . . . 2,834,710
1,690,285
1,690,285
30,000
30,000
0
325,000
0
325,000
2,045,285
2,045,285
PAGE 136
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
1,]26,]]5
1,]26,]]5
50,000
50,000
0
500,000
0
500,000
2,2]6,]]5
2,2]6,]]5
1,]26,]]5
1,]26,]]5
50,000
50,000
0
500,000
0
500,000
2,2]6,]]5
2,2]6,]]5
1,682,]00
INTEREST
AND RENTS
665.000
Interest
58,385
58,385
OTHER REVENUE
691.101
Cont From
General Fond
0
691.202
Cont From
Major Str Fu
1,092,650
698.000
Sundry Income
975
1,093,625
ACCT HAL TOTAL . . . . . 2,834,710
REVENUE TOTAL . . . . . . . 2,834,710
1,690,285
1,690,285
30,000
30,000
0
325,000
0
325,000
2,045,285
2,045,285
PAGE 136
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
1,]26,]]5
1,]26,]]5
50,000
50,000
0
500,000
0
500,000
2,2]6,]]5
2,2]6,]]5
1,]26,]]5
1,]26,]]5
50,000
50,000
0
500,000
0
500,000
2,2]6,]]5
2,2]6,]]5
City of Livonia F I N
A N C I A L N A N
A G E N E N T
PAGE 137
DATE 10/26/01
ADOPTEE ANNUAL BUDGET
BP9200
TIME 10:45:01
FISCAL YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
A ended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
F-
FUND 203 - LOCAL STREET FUND
- - - - - - - - -
- - - - - - -
- - - - -
- - - - - -
EXPENSE
DEPARTMENT 000 - ACCOUNT
BALANCES
SUPPLIES
756.000 Miscellaneous
267
1,000
1,000
1,000
267
1,000
1,000
1,000
ACCT BAL TOTAL . . . .
267
1,000
1,000
1,000
City of Livonia F I N
A N C I
A L N A N
A G E N E N T
PAGE 138
DATE 10/26/01
ADOPTEE
ANNUAL BUDGET
BP9200
TIME 10:45:01
FISCAL
YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
A ended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
F-
UND 203 - LOCAL STREET FUND
- - -
- - - - - -
- - - - - - -
- - - - -
- - - - - -
EXPENSE
DEPARTMENT 450 - STREET LIGHTING
PUBLIC UTILITIES
926.910 S/L-Casual
139,777
139,777
155,970
155,970
139,777
139,777
155,970
155,970
STAT LIGHT TOTAL . . .
139,777
139,777
155,970
155,970
City of Livonia F I
N A N C I A L N A N
A G E N E N T
PAGE 139
DATE 10/26/01
ADOPTEE ANNUAL BUDGET
BP9200
TIME 10:45:01
FISCAL YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
A ended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
F- - - - - - - - - -
FUND 203 - LOCAL STREET FUND
- - - - - - -
- - - - -
- - - - - -
EXPENSE
DEPARTMENT 451 - CONST
-STREET AND BRIDGES
CAPITAL OUTLAY
972.000 Land Purchase
0
5,000
5,000
5,000
0
5,000
5,000
5,000
STAT CONST TOTAL . . .
0
5,000
5,000
5,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
--------------------------------------
FUND 203 - LOCAL STREET FUND
--------------------------------------
EXPENSE
DEPARTMENT 463 - MAINTENANCE STREP
PERSONNEL SERVICES
712.020 Nage Tsf-Act 51
FRINGE BENEFITS
725.020 O/H Tsf-Act 51
SUPPLIES
082.000 Road Naint Supplies
PROF AND CONTRACTUAL SERVICES
818.100
189,022
Cont
Serv-Pavement
Stu
818.117
201,133
Cont
Sex-SointcCrack
S
818.118
201,133
Cont
ser -Lane
Line Mar
818.119
86,813
Cont
Sery-Pav
c Catch
818.146
120,158
Cont
Serv-Paving
94-H
818.150
0
Cont
Sery-GIS
251,910
818.153
220,000
Cont
Serv-Shadyside
0
818.154
112,138
Cont
Sery-ERES
Consult
818.156
0
Cont
Sery-Hicen
Drive
818.157 Cont Sery-Soil Invstgt
OTHER CHARGES AND SERVICES
943.020 Try Equip Rent -Act 51
947.020 Try Vatic Cost -Act 51
STRT SAINT TOTAL . . . .
PAGE 140
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
176,591
189,022
201,133
201,133
176,591
189,022
201,133
201,133
176,591
189,022
201,133
201,133
176,591
189,022
201,133
201,133
86,813
120,158
109,764
109,764
86,813
120,158
109,764
109,764
0
11,935
0
0
207,692
251,910
220,000
220,000
0
1,950
0
0
112,138
1,187,863
700,000
700,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
319,830
1,453,658
920,000
920,000
1,800
10,000
10,000
10,000
159,306
190,980
209,305
209,305
161,106
200,980
219,305
219,305
920,931
2,152,840
1,651,335
1,651,335
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
----------------------------
ENND 203 - LOCAL STREET ENDS
----------------------------
EXPENSE
DEPARTMENT 475 - NAINTEN
PERSONNEL SERVICES
712.020 Nage Tsf-Act 51
FRINGE BENEFITS
725.020 O/H Tsf-Act 51
SUPPLIES
786.000 Tray Control Supply
OTHER CHARGES AND SERVICES
947.020 Try Vatic Cost -Act 51
SIGN SHOP TOTAL . . . .
SERV
PAGE 141
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
52,190
53,646
48,875
48,875
52,190
53,646
48,875
48,875
52,190
53,646
48,875
48,875
52,190
53,646
48,875
48,875
58,000
16,000
18,000
18,000
58,000
16,000
18,000
18,000
30,750
30,750
30,750
30,750
30,750
30,750
30,750
30,750
193,130
154,042
146,500
146,500
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
2002
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
Amended
ACCOUNT Expense Budget
--------------------------------------------- -------
FUND 203 - LOCAL STREET FUND
EXPENSE
DEPARTMENT 479 - SNOW AND ICE REMOVAL
PERSONNEL SERVICES
712.020 Nage Tsf-Act 51 27,375
FRINGE BENEFITS
725.020 O/H Tsf-Act 51
SUPPLIES
782.000 Road Maint Supplies
PROF AND CONTRACTUAL SERVICES
010.000 Contractual Service
OTHER CHARGES AND SERVICES
947.020 Try Vatic Cost -Act 51
CAPITAL OUTLAY
976.000 Cap Outlay -Bldg Impry
27,375
27,375
27,375
2,737
2,737
71,887
71,887
47,324
47,324
0
0
41,210
41,210
41,210
41,210
3,592
3,592
100,000
100,000
65,650
65,650
0
SNOW/ICE TOTAL . . . . . 176,690 251,662
27,375
27,375
27,375
27,375
2,736
2,736
145,000
145,000
47,325
47,325
0
249,011
27,375
27,375
27,375
27,375
2,736
2,736
145,000
145,000
47,325
47,325
0
249,011
PAGE 142
BP9200
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
27,375
27,375
27,375
27,375
2,736
2,736
145,000
145,000
47,325
47,325
0
249,011
27,375
27,375
27,375
27,375
2,736
2,736
145,000
145,000
47,325
47,325
0
249,011
City of Livonia F I N
DATE 10/26/01
TIME 10:45:01
ACCOUNT
A N C I A L N A N A G E N E N T
ADOPTEE ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
Expense Budget
2002
Mayor
Approved
PAGE 143
BP9200
SLATER
2002
City Coun.
Approved
F-
FUND 203 - LOCAL STREET FUND
- - - - - - - - -
- - - - - - -
- - - - -
- - - - - -
EXPENSE
DEPARTMENT 483 - ARNIN, ENGIN RECORD REEPI
PERSONNEL SERVICES
712.020 Nage Tsf-Act 51
128,969
159,984
165,822
165,822
128,969
159,984
165,822
165,822
FRINGE BENEFITS
725.020 O/H Tsf-Act 51
128,969
156,092
162,211
162,211
128,969
156,092
162,211
162,211
ENGR RICER TOTAL . . .
257,938
316,076
328,033
328,033
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 144
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual A ended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
ENDS 203
- LOCAL
STREET ENDS
-----------------------------------
EXPENSE
0
0
0
0
0
DEPARTMENT
484
- ENDS
TRANSFERS
MISCELLANEOUS
0
0
156,844
965.353
184,657
Cont
To
83
MVE Loan Re
965.354
102,433
Cont
To
84
MVE Maj\Loc
965.355
234,657
Cont
To
84
MVE Loan Re
965.356
2,079,330
Cont
To
86
MVE Maj/Loc
965.357
495,531-
Cont
To
88
MTF Maj/Loc
965.892
Cont
To
1983 Spec Ass
965.899
Cont
To
Sp
As Fund 899
FUND TRANS TOTAL . . .
EXPENSE TOTAL . . . . . . .
LOCAL STRT MET DIFFERENCE
0
0
0
0
0
0
0
0
0
0
0
0
131,312
141,467
0
0
156,844
1]9,0]2
184,657
184,657
0
0
0
0
102,433
50,000
50,000
50,000
390,589
370,539
234,657
234,657
390,589
370,539
234,657
234,657
2,079,330
3,390,936
2,]]2,306
2,]]2,306
]55,380
1,345,651-
495,531-
495,531-
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
- - - - - - -
FUND 205 - NUTUCIPAL REFUSE FUND
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
TAXES
402.000
Real Property Tax
8,312,623
415.000
Pers Property Tax
1,631,690
444.000
Property Tax Adj
1,656 -
CHARGES FOR SERVICES
640.000 Collect-Cty Dump Fees
641.000 Needs
642.000 Recycling Salvage Sale
FINDS AND FORFIETS
659.000 Penalties -Ref Cntrct
INTEREST AND RENTS
665.000 Interest
667.000 Rental Income
OTHER REVENUE
691.101 Cont From General Fond
698.000 Sundry Income
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
9,942,65]
64,534
23,990
0
0
0
290,245
12,000
302,245
0
20,318
20,318
10,353,]44
10,353,]44
8,58],960
1,660,684
0
10,248,644
60,000
30,000
15,000
105,000
0
200,000
12,250
212,250
0
5,000
5,000
10,5]0,894
10,5]0,894
PAGE 145
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
8,9]9,508
1,69],9]6
0
10,6]],484
60,000
30,000
0
90,000
0
200,000
3,000
203,000
0
5,000
5,000
10,9]5,484
10,9]5,484
8,9]9,508
1,69],9]6
0
10,6]],484
60,000
30,000
0
90,000
0
200,000
3,000
203,000
0
5,000
5,000
10,9]5,484
10,9]5,484
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 146
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 205
- MUNICIPAL
REFUSE FUND
--------------------------------
EXPENSE
715.000
Licenses -Other
FICA
DEPARTMENT
525 -
SANITATION
PERSONNEL
SERVICES
Medical Pmt
702.000
Uniform Allowance
Salaries
And Wages
702.100
Retirement EB
Vacancy Adj-Wages
707.000
Retirement DC
Alternate Payments
709.000
Retirement Medical
Overtime
408,196
712.000
725.010
Wage Tsf-Other
O/H Tsf-Refuse
712.010
19,647
Wage Tsf-Refuse
22,769
FRINGE BENEFITS
714.100
Office Supplies
Vacancy Adj-Benefits
715.000
Licenses -Other
FICA
717.000
Miscellaneous
Holiday And Longev
719.000
Tools And Supplies
Medical Pmt
720.000
Uniform Allowance
Life Insurance
722.000
24,700
Retirement EB
723.000
52,510
Retirement DC
724.000
90,022
Retirement Medical
725.000
408,196
O/H Tsf-Other
725.010
0
O/H Tsf-Refuse
SUPPLIES
728.000
253,635
Office Supplies
752.000
0
Licenses -Other
756.000
0
Miscellaneous
766.000
3,000
Tools And Supplies
768.000
5,000
Uniform Allowance
PROF AND CONTRACTUAL SERVICES
808.000 Audit and Accting Gary
818.015 Cont Sery-Weed Cutting
851.020 comp Software Maint
TRANSPORTATION
864.010 Travel/Ed-Emp
COMMUNITY PROMOTION
882.050 civ Imp -Unsafe Bldg Re
250,745
253,635
278,174
278,174
0
0
0
0
2,000
3,000
3,000
3,000
0
5,000
12,300
12,300
24,700
24,700
24,700
24,700
52,510
58,917
90,022
90,022
329,955
345,252
408,196
408,196
0
0
0
0
19,647
19,951
22,769
22,769
4,076
4,160
4,160
4,160
20,935
21,056
25,418
25,418
488
710
725
725
0
0
0
0
22,948
25,696
26,167
26,167
28,753
29,053
36,022
36,022
24,700
24,700
24,700
24,700
52,510
58,917
90,022
90,022
174,057
184,243
229,983
229,983
2,116
2,500
2,500
2,500
0
200
200
200
160
Iso
Soo
Soo
0
100
100
100
1,283
1,300
1,300
1,300
3,559
4,250
4,600
4,600
2,145
3,000
4,000
4,000
28,651
25,000
30,000
30,000
0
6,000
6,000
6,000
30,796
34,000
40,000
40,000
838
6,800
1,800
1,800
838
6,800
1,800
1,800
0
5,000
5,000
5,000
0
5,000
5,000
5,000
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 147
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
ENDS 205 - MUNICIPAL REFUSE ENDS
--------------------------------
EXPENSE
DEPARTMENT 525 - SANITATION
PRINTING AND PUBLISHING
904.000 Printing
905.000 Publishing
INSURANCES
916.000 Unemployment Ins
917.000 Worker's Comp
918.000 Liability Insurance
PUBLIC UTILITIES
928.000 Heat, Light, Nater
REPAIRS AND MAINTENANCE
934.000 Office Equip Maint
936.104 Need Mowing -R -O -N
CAPITAL OUTLAY
983.000 Cap Outlay -Office Eqp
SANITATION TOTAL . . . .
1,643
2,350
2,000
2,000
92
500
500
500
1,735
2,850
2,500
2,500
0
530
530
530
444
1,600
1,600
1,600
63,867
60,000
60,000
60,000
64,311
62,130
62,130
62,130
1,524
2,313
2,313
2,313
1,524
2,313
2,313
2,313
31
500
500
500
5,106
10,000
10,000
10,000
5,137
10,500
10,500
10,500
486
14,500
20,000
20,000
486
14,500
20,000
20,000
612,398
671,838
]8],022
]8],022
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
--------------------------------
FUND 205 - MUNICIPAL REFUSE FUND
EXPENSE
DEPARTMENT 526 - ANIMAL CONTROL
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
709.000 Overtime
FRINGE BENEFITS
714.100
81,452
Vacancy Adj-Benefits
715.000
SLATER
FICA
]1].000
Mayor
Holiday And Longev
719.000
Approved
Medical Pmt
720.000
83,952
Life Insurance
722.000
0
Retirement EB
723.000
6,352
Retirement DC
724.000
6,542
Retirement Medical
SUPPLIES
728.000 Office Supplies
746.000 Dog Food And Supplies
766.000 Tools And Supplies
768.000 Uniform Allowance
PROF AND CONTRACTUAL SERVICES
805.000 Animal Collection
TRANSPORTATION
864.010 Travel/Ed-Emp
PRINTING AND PUBLISHING
904.000 Printing
INSURANCES
917.000 Worker's Comp
OTHER CHARGES AND SERVICES
960.010 Ed/Training-Emp
81,211
PAGE 148
81,452
BP9200
0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
81,211
81,452
81,452
81,452
0
0
0
0
1,172
2,500
2,500
2,500
82,383
83,952
83,952
83,952
0
0
0
0
6,352
6,492
6,542
6,542
650
910
1,560
1,560
14,069
14,386
17,261
17,261
191
230
230
230
0
0
0
0
0
0
0
0
9,225
9,282
11,165
11,165
30,487
31,300
36,758
36,758
383
150
600
600
93
100
100
100
716
1,000
1,000
1,000
899
900
950
950
2,091
2,150
2,650
2,650
38,455
30,000
35,000
35,000
38,455
30,000
35,000
35,000
347
375
400
400
347
375
400
400
569
100
600
600
569
100
600
600
2,270
0
0
0
2,270
0
0
0
500
1,450
500
500
City of Livonia F I N A N C I
A L N A N
A G E N E N T
PAGE 149
DATE 10/26/01 ADOPTEE
ANNUAL BUDGET
BP9200
TIME 10:45:01 FISCAL
YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
A ended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
- -
ENDS 205 - MUNICIPAL REFUSE ENDS
- - - - - -
- - - - - - -
- - - - -
- - - - - -
EXPENSE
DEPARTMENT 526 - ANIMAL CONTROL
500
1,450
500
500
CAPITAL OUTLAY
984.000 Cap Outlay -Radio Eq
0
0
0
0
985.000 Cap Outlay -Vehicles
0
0
46,000
46,000
0
0
46,000
46,000
ANIMAL CON TOTAL . . .
157,102
149,327
205,860
205,860
City
of Livonia F I N A N C I
A L N A N
A G E N E N T
PAGE 150
DATE
10/26/01
ADOPTEE
ANNUAL BUDGET
BP9200
TIME
10:45:01
FISCAL
YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
FOND
205 -
- -
MUNICIPAL REFUSE FUND
- - - - - -
- - - - - - -
- - - - -
- - - - - -
EXPENSE
DEPARTMENT 527 - PUBLIC SERVICE
PERSONNEL
SERVICES
702.000
Salaries And Wages
44,004
45,6]]
45,6]]
45,6]]
702.100
Vacancy Adj-Wages
0
0
0
0
]0].000
Alternate Payments
0
0
0
0
712.000
Wage Tsf-Other
0
0
0
0
712.010
Wage Tsf-Refuse
0
0
0
0
712.444
Wage Tsf-PSD Ad,uin
44,982
44,924
50,650
50,650
712.445
Wage Tsf-PSD Dir
19,937
21,783
22,436
22,436
]12.44]
Wage Tsf-Building
9,950
11,000
11,000
11,000
712.463
Wage Tsf-Streets
503,000
525,000
525,000
525,000
]12.4]5
Wage Tsf-Signs
4,200
4,700
5,700
5,700
712.592
Wage Tsf-W c S Fond
63,000
57,000
54,000
54,000
712.681
Wage Tsf-Whis Willows
6,100
5,500
5,500
5,500
712.683
Wage Tsf-Idyl Wyld
6,100
9,000
9,000
9,000
712.685
Wage Tsf-Fox Creek
6,100
7,800
7,800
7,800
]12.]04
Wage Tsf-Parks
55,500
72,000
73,000
73,000
]12.]81
Wage Tsf-Forestry
170,000
170,000
170,000
170,000
932,873
974,384
9]9,]63
9]9,]63
FRINGE BENEFITS
714.100
Vacancy Adj-Benefits
0
0
0
0
715.000
FICA
3,366
3,513
3,514
3,514
]1].000
Holiday And Longev
0
260
260
260
719.000
Medical Pmt
3,726
],5]9
8,366
8,366
720.000
Life Insurance
109
127
127
127
722.000
Retirement DB
0
0
0
0
723.000
Retirement DC
5,374
5,511
5,512
5,512
724.000
Retirement Medical
4,965
5,176
6,303
6,303
725.000
O/H Tsf-Other
0
0
0
0
725.010
O/H Tsf-Refuse
0
0
0
0
725.444
O/H Tsf-PSD Ad,uin
44,982
44,924
50,650
50,650
725.445
O/H Tsf-PSD Dir
19,937
21,783
22,436
22,436
]25.44]
O/H Tsf-Buildings
9,950
11,000
11,000
11,000
725.463
O/H Tsf-Streets
503,000
525,000
525,000
525,000
]25.4]5
O/H Tsf-Signs
4,200
4,700
5,700
5,700
725.592
O/H Tsf-W c S Fond
63,000
57,000
54,000
54,000
725.681
O/H Tsf-Whis Willow
6,100
5,500
5,500
5,500
725.683
O/H Tsf-Idyl Wyld
6,100
9,000
9,000
9,000
725.685
O/H Tsf-Fox Creek
6,100
7,800
7,800
7,800
]25.]04
O/H Tsf-Parks
55,500
72,000
73,000
73,000
]25.]81
O/H Tsf-Forestry
170,000
170,000
170,000
170,000
906,409
950,873
958,168
958,168
SUPPLIES
028.000
Office Supplies
925
1,100
1,100
1,100
730.000
Postage
29,554
37,000
38,500
38,500
756.000
Miscellaneous
2,392
750
850
850
766.000
Tools And Supplies
1,866
5,000
5,500
5,500
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 151
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 205 - MUNICIPAL REFUSE FUND
-----------------------------------
EXPENSE
DEPARTMENT 527 - PUBLIC SERVICE
766.010 Tsf-Tools c Supply
782.000 Road Naint Supplies
786.000 Tray Control Supply
3,000
0
500
38,23]
PROF AND
CONTRACTUAL SERVICES
Civ Imp Recycle Ed
805.010
755
Gypsy Moth Suppression
0
810.000
Spec Activ-Brush Pick -
Banking Service
750
818.010
886.015
Cont Serv-Refuse Colle
2,636,316
818.025
0
Cont Sery-Curb Recycli
1,126,047
818.030
Spec Activ-Park Clean -
Cont Serv-Compost Coll
790,835
818.035
886.030
Cont Sery-Haz Waste
100,057
818.040
11,881
Cont Serv-Lndfll Test/
12,894
818.041
0
Landfill Remediation
0
818.045
499
Cont Serv-Forestry
216,865
500
1]],020
192,500
4,883,]64
TRANSPORTATION
4,586
5,000
864.010
5,000
Travel/Ed-Emp
1,075
COMMUNITY PROMOTION
882.030
1,500
Civ Imp Recycle Ed
882.060
755
Civ Imp-Tree/Stump Rem
886.010
7,500
Spec Activ-Brush Pick -
886.011
60,000
Tsf-Brush Pick -Up
886.015
500
Spec Activ-Leaf Pick -U
886.016
0
Tsf-Leaf Pick -Up
886.020
0
Spec Activ-Park Clean -
886.021
109,000
Tsf-Park Clean -Up
886.030
0
Facilities Cleaning
PRINTING AND PUBLISHING
904.000 Printing
905.000 Publishing
INSURANCES
917.000 Worker's Comp
PUBLIC UTILITIES
921.000 Electric
3,000
0
500
4],350
5,000
]50
2,8]0,000
1,042,000
900,000
110,000
]5,000
]50,000
350,000
6,102,]50
1,500
4,400
0
500
50,850
55,000
]50
2,940,000
1,0]0,000
9]5,000
110,000
65,000
]50,000
350,000
6,315,]50
1,500
4,400
0
500
50,850
55,000
]50
2,940,000
1,0]0,000
9]5,000
110,000
65,000
]50,000
350,000
6,315,]50
1,500
1,075
1,500
1,500
1,500
755
7,500
7,500
7,500
45,556
60,000
60,000
60,000
0
500
500
500
0
0
0
0
118,329
111,000
109,000
109,000
0
0
0
0
11,881
13,000
13,000
13,000
0
0
0
0
499
500
500
500
1]],020
192,500
190,500
190,500
4,586
5,000
5,000
5,000
2,100
3,100
3,100
3,100
6,686
8,100
8,100
8,100
]]
0
0
0
]]
0
0
0
0
0
0
0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-----------------------------------
ENND 205 - MUNICIPAL REFUSE ENDS
-----------------------------------
EXPENSE
DEPARTMENT 527 - PUBLIC SERVICE
923.000 Heat
REPAIRS
AND MAINTENANCE
936.000
BP9200
Road Maint
936.020
Land
Leachate Program -Dump
936.030
City Coun.
Glendale Extension 98-
936.101
-Bldg Impry
Landfill Pump Maint
936.102
Cap
Storm Sewer Cleang
936.105
987.000
Street Sweeping
936.106
Outlay
Tsf-Street Sweeping
936.107
Recycling Expense
936.108
Tsf-Recycling
OTHER CHARGES AND SERVICES
943.000 Outside Equip Rental
947.446 Try Vatic Cost -DPW
947.592 Try Vatic Cost -W c S
960.010 Ed/Training-Emp
MISCELLANEOUS
965.101 Cont To General Fund
CAPITAL
OUTLAY
BP9200
974.000
SLATER
Land
Improvement
976.000
City Coun.
Cap
Outlay
-Bldg Impry
985.000
Cap
Outlay
-Vehicles
987.000
Cap
Outlay
-Other Egp
PUBLIC SEA TOTAL . . .
EXPENSE TOTAL . . . . . .
n
0
5,303
529,724
0
0
0
0
4,329
0
539,356
4,665
782,000
90,000
5,145
881,810
1,000,000
1,000,000
326,121
0
0
84,448
410,569
9,777,876
10,547,376
n
0
10,000
0
1,000
0
0
0
11,000
0
22,000
6,500
795,000
100,000
1,400
902,900
1,100,000
1,100,000
0
0
0
72,700
72,700
10,375,057
11,196,222
REFUSE MET DIFFERENCE . . . 193,632- 625,328
5,000
5,000
0
10,000
0
1,000
0
0
0
10,000
0
21,000
6,500
780,000
80,000
1,400
975,000
975,000
0
0
155,000
96,000
251,000
10,624,531
11,617,413
5,000
5,000
0
10,000
0
1,000
0
0
0
10,000
0
21,000
6,500
780,000
80,000
1,400
867,900
975,000
975,000
0
0
155,000
96,000
251,000
10,624,531
11,617,413
641,929- 641,929-
PAGE 152
BP9200
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
5,000
5,000
0
10,000
0
1,000
0
0
0
10,000
0
21,000
6,500
780,000
80,000
1,400
975,000
975,000
0
0
155,000
96,000
251,000
10,624,531
11,617,413
5,000
5,000
0
10,000
0
1,000
0
0
0
10,000
0
21,000
6,500
780,000
80,000
1,400
867,900
975,000
975,000
0
0
155,000
96,000
251,000
10,624,531
11,617,413
641,929- 641,929-
City of Livonia F I N A N C I A L N A N A G E N E N T
DATE 10/26/01 ADOPTEE ANNUAL BUDGET
TIME 10:45:01 FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
-------------------------------------------------------------- --------------
FOND 208 - COMMUNITY RECREATION
UN
-------------------------------------------- -----------------
REVENGE
DEPARTMENT 000 - ACCOUNT BALANCES
TAXES
402.000 Real Property Tax 2,526,633 2,615,430
415.000 Pers Property Tax 495,954 505,755
444.000 Property Tax Adj 975- 0
446.000 Interest On Del Tx 0 0
CHARGES FOR
SERVICES
642.045
at Ice Rink
Con At Ren Center
651.010
Use
Use Fees -Recreation
651.060
0
Gym Rental
651.062
651.631
Open Gym Time
651.064
Rink Instruct -E Ed
Room Rental
651.066
Ice
Golf Instructions
651.068
0
Exercise Programs
651.070
Martial Arts Classes
651.403
Open Swim
651.407
In House Swim Lessons
651.409
Pool Rental
651.410
Contract Swim Lessons
CHARGES FOR SERVICES -ICE BINES
651.605
0
Con
at Ice Rink
651.611
3,000
Use
Fees -E Ed Ice
651.621
0
Rent/E
Ed Ice
651.631
32,000
Ice
Rink Instruct -E Ed
651.640
0
Ice
Show/competition
INTEREST AND RENTS
665.000 Interest
OTHER REVENUE
691.223 Cont From Grant Fond
698.000 Sundry Income
OTHER FINANCING SOURCES
699.000 Bond Proceeds
3,021,612 3,121,185
0
0
0
0
0
3,000
20
8,000
0
0
0
0
0
32,000
0
0
351
0
6,495
11,000
0
0
20,473
16,000
27,339 70,000
0
0
0
18,000
0
101,000
0
64,000
0
0
0 183,000
82,078 500,000
82,078 500,000
0 500,000
0 0
0 500,000
0 31,000,000
0 31,000,000
PAGE 153
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
2,]36,580
51],4]2
0
0
3,254,052
0
1,000
8,000
6,000
1,000
2,000
1,000
3,000
4,300
14,000
1,000
50,000
91,300
0
0
0
95,250
46,800
142,050
100,000
100,000
0
0
0
0
0
2,]36,580
51],4]2
0
0
3,254,052
0
1,000
8,000
6,000
1,000
2,000
1,000
3,000
4,300
14,000
1,000
50,000
91,300
0
0
0
95,250
46,800
142,050
100,000
100,000
0
0
0
0
0
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
PAGE 154
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
BP9200
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
A ended
Mayor
City Coun.
ACCOUNT
Revenue
Budget
Approved
Approved
FUND 208 - COMMUNITY RECREATION
--------------------------------------------
ACCT HAL TOTAL . . . . . 3,131,029 35,374,185 3,587,402 3,587,402
REVENUE TOTAL . . . . . . . 3,131,029 35,374,105 3,507,402 3,507,402
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 155
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 208 - COMMUNITY RECREATION
-------------------------------
EXPENSE
DEPARTMENT 715 - ICE RINK
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
712.000 Wage Tsf-Other
FRINGE BENEFITS
713.000
43,000
Benet Try
714.100
0
Vacancy Adj-Benefits
715.000
0
FICA
SUPPLIES
762.010 Program Supplies
]]6.000 Maintenance Supply
777.000 Custodial Supplies
PROF AND CONTRACTUAL SERVICES
810.050 Credit Card Costs
853.000 Telephone
PUBLIC UTILITIES
921.000 Electric
923.000 Heat
927.000 Water
REPAIRS AND MAINTENANCE
931.000 Building Maint
933.000 Equipment Maint
OTHER CHARGES AND SERVICES
941.000 MEA Payment
942.000 Building Rentals
MISCELLANEOUS
965.408 Cont To MEA Comm Ren C
0 89,500
43,000
43,000
0 0
0
0
0 40,000
0
0
0 129,500
43,000
43,000
0 15,000
0
0
0 0
0
0
0 6,847
3,290
3,290
0 21,847
3,290
3,290
0 12,000
15,000
15,000
0 3,000
0
0
0 3,000
0
0
0 18,000
15,000
15,000
0 0
300
300
0 1,000
0
0
0 1,000
300
300
0 40,000
0
0
0 10,000
0
0
0 5,000
0
0
0 55,000
0
0
0 15,000
0
0
0 3,000
0
0
0 18,000
0
0
0 347,438
456,610
456,610
0 42,000
80,000
80,000
0 389,438
536,610
536,610
0 6,000,000
0
0
0 6,000,000
0
0
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
997.000
Debt Serv-Interest
2000
2001
999.000
Paying Agent Fees
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FUND
208 - COMMUNITY
--------------
RECREATION
EXPENSE
PAGE 156
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0 0
0 0
0 0
0 0
590,200 590,200
DEPARTMENT 715 - ICE RINK
DEBT
SERVICE
993.000
Debt Serv-Principal
0
0
997.000
Debt Serv-Interest
0
0
999.000
Paying Agent Fees
0
0
0
0
ICE RINK TOTAL . . . .
0
6,632,785
PAGE 156
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0 0
0 0
0 0
0 0
590,200 590,200
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 157
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FOND 208
- COMMUNITY RECREATION
--------------------------------------
EXPENSE
Ad] -Benefits
715.000
Chemicals
DEPARTMENT 755 -
RECREATION CENTER
PERSONNEL
SERVICES
Holiday
702.000
719.000
Salaries
And Wages
702.100
720.000
Vacancy Adj-Wages
707.000
723.000
Alternate Payments
709.000
724.000
Overtime
Retirement Medical
712.000
Wage Tsf-Other
712.444
Wage Tsf-PSD
Admin
712.447
Wage Tsf-Building
712.463
Wage Tsf-Streets
712.475
Wage Tsf-Signs
712.592
Wage Tsf-W
c S Fund
712.704
Wage Tsf-Parks
712.781
Wage Tsf-Forestry
FRINGE BENEFITS
714.100
CONTRACTUAL SERVICES
Vacancy
Ad] -Benefits
715.000
Chemicals
FICA
Heat/Air Condition
717.000
776.000
Holiday
And Longev
719.000
Cont Serv-Maintenance
Medical
Pmt
720.000
Custodial Supplies
Life Insurance
723.000
Retirement DC
724.000
Retirement Medical
725.000
O/H Tsf-Other
725.444
O/H Tsf-PSD
Admin
725.447
O/H Tsf-Buildings
725.463
O/H Tsf-Streets
725.475
O/H Tsf-Signs
725.592
O/H Tsf-W
& S Fond
725.704
O/H Tsf-Parks
725.781
O/H Tsf-Forestry
SUPPLIES
728.000
CONTRACTUAL SERVICES
Office Supplies
743.000
Credit Card Costs
Chemicals
764.000
Heat/Air Condition
Promotional Supply
776.000
Professional Fees
Maintenance Supply
776.030
Cont Serv-Maintenance
Maint Supply -Pool
777.000
Custodial Supplies
PROF AND
CONTRACTUAL SERVICES
810.050
Credit Card Costs
811.000
Heat/Air Condition
813.000
Professional Fees
818.020
Cont Serv-Maintenance
0
793
0
114
0
0
0
5,227
0
6,023
120,196
0
0
0
22,248
73,320
10,000
1,000
5,000
10,800
1,000
243,564
0
14,211
0
16,562
307
7,538
12,137
0
22,248
73,320
10,000
1,000
5,000
10,800
1,000
174,123
5,000
5,000
0
7,000
5,000
5,000
27,000
0
0
0
15,000
124,072
0
1,000
2,000
0
22,248
60,000
8,000
1,000
2,500
10,800
1,000
232,620
0
9,741
260
9,480
269
7,333
11,290
0
22,248
60,000
8,000
1,000
2,500
10,800
1,000
143,921
3,000
3,000
5,000
4,000
5,000
2,500
22,500
300
0
0
15,000
124,072
0
1,000
2,000
0
22,248
60,000
8,000
1,000
2,500
10,800
1,000
232,620
0
9,741
260
9,480
269
7,333
11,290
0
22,248
60,000
8,000
1,000
2,500
10,800
1,000
143,921
3,000
3,000
5,000
4,000
5,000
2,500
22,500
300
0
0
15,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
--------------------------------------
FUND 208 - COMMUNITY RECREATION
--------------------------------------
EXPENSE
DEPARTMENT 755 - RECREATION CENTER
818.208 Ren Center Programs
853.000 Telephone
TRANSPORTATION
864.010
Travel/Ed-Emp
PRINTING AND
PUBLISHING
904.000
Printing
INSURANCES
0
917.000
Worker's Comp
PUBLIC UTILITIES
291
921.000
Electric
923.000
Heat
927.000
Nater
OTHER CHARGES AND SERVICES
941.000 MEA Payment
MISCELLANEOUS
965.408 Cont To MEA Comm Ren C
CAPITAL
OUTLAY
0
974.000
11,250
Land
Improvement
976.000
0
Cap
Outlay -Bldg Impry
987.000
291
Cap
Outlay -Other Egp
DEBT SERVICE
993.000 Debt Serv-Principal
997.000 Debt Serv-Interest
999.000 Paying Agent Fees
0
]0,000
0
850
11,250
85,850
0
5,000
0
5,000
291
5,000
291
5,000
0
0
0
0
0
111,000
0
99,150
1,674
18,250
1,674
228,400
0
1,092,000
0
1,092,000
0
27,375,750
0
27,375,750
0
0
0
0
500
0
500
0
0
0
0
0
0
0
0
0
36,000
200
51,500
5,000
5,000
8,000
8,000
0
0
5],000
48,000
8,500
113,500
1,528,850
1,528,850
0
0
3,480
0
85,]45
89,225
0
0
0
36,000
200
51,500
5,000
5,000
8,000
8,000
0
0
5],000
48,000
8,500
113,500
1,528,850
1,528,850
0
0
3,480
0
85,]45
89,225
0
0
0
PAGE 158
BP9200
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
36,000
200
51,500
5,000
5,000
8,000
8,000
0
0
5],000
48,000
8,500
113,500
1,528,850
1,528,850
0
0
3,480
0
85,]45
89,225
0
0
0
36,000
200
51,500
5,000
5,000
8,000
8,000
0
0
5],000
48,000
8,500
113,500
1,528,850
1,528,850
0
0
3,480
0
85,]45
89,225
0
0
0
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
PAGE 159
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
2,195,116
2,195,116
BP9200
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
A ended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
FUNS 208 - COMMUNITY RECREATION
--------------------------------------------
REC CENTER TOTAL . . . .
14,622
29,236,687
2,195,116
2,195,116
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-------------------------------------
FUND 208 - COMMUNITY RECREATION
-------------------------------------
EXPENSE
DEPARTMENT 756 - OTHER RECREATION
PERSONNEL SERVICES
712.000 Nage Tsf-ocher
FRINGE BENEFITS
725.000 O/H Tsf-Other
SUPPLIES
028.000 Office Supplies
PROF AND CONTRACTUAL SERVICES
813.000 Professional Fees
TRANSPORTATION
864.010 Travel/Ed-Emp
PRINTING AND PUBLISHING
904.000 Printing
PUBLIC UTILITIES
921.000 Electric
927.000 Nater
MISCELLANEOUS
965.408 Cont To MEA Comm Ren C
CAPITAL OUTLAY
974.000 Land Improvement
976.000 Cap Outlay -Bldg Impry
DEBT SERVICE
989.000 Sale Of Bonds Expense
993.000 Debt Serv-Principal
PAGE 160
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
53,389
55,479
41,102
41,102
53,389
55,479
41,102
41,102
53,389
55,479
41,102
41,102
53,389
55,479
41,102
41,102
4,900
4,000
5,000
5,000
4,900
4,000
5,000
5,000
6,566
95,000
25,000
25,000
6,566
95,000
25,000
25,000
0
3,000
4,500
4,500
0
3,000
4,500
4,500
3,920
10,000
10,000
10,000
3,920
10,000
10,000
10,000
0
500
0
0
0
500
0
0
0
1,000
0
0
0
1,000,000
0
0
0
1,000,000
0
0
475,856
749,559
150,000
150,000
0
0
0
0
475,856
749,559
150,000
150,000
400
0
0
0
0
36,000
0
0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
-------------------------------------
FUND 208 - COMMUNITY RECREATION
-------------------------------------
EXPENSE
DEPARTMENT 756 - OTHER RECREATION
997.000 Debt Serv-Interest
999.000 Paying Agent Fees
OTHER REC TOTAL . . . .
EXPENSE TOTAL . . . . . . .
COMM REC NET DIFFERENCE . .
0
0
0
0
400
36,000
590,420
2,009,517
613,042
3],0]0,909
2,51],90]
2,504,004 -
PAGE 161
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0 0
0 0
0 0
2]6,]04 2]6,]04
3,070,020 3,070,020
517,302 517,302
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
------------------------------------
FUND 218 - COMMUNITY TRANSIT PROGRAM
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
LOCAL UNIT CONTRIBUTIONS
536.000 Municipal Credit Reimb
536.050 Community Credit
CHARGES FOR SERVICES
651.050 Ride Fares
INTEREST AND RENTS
665.000 Interest
OTHER REVENUE
691.000 Contributions -Other
698.000 Sundry Income
ACCT HAL TOTAL . . . .
REVENUE TOTAL . . . . . .
9],946
]],326
1]5,2]2
45,099
45,099
3,828
3,828
100,]99
0
100,]99
324,998
9],946
]],326
1]5,2]2
40,000
40,000
2,500
2,500
0
0
0
21],]]2
21],]]2
94,491
]0,869
165,360
43,000
43,000
4,200
4,200
0
0
0
212,560
94,491
]0,869
165,360
43,000
43,000
4,200
4,200
0
0
0
212,560
212,560
PAGE 162
BP9200
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
94,491
]0,869
165,360
43,000
43,000
4,200
4,200
0
0
0
212,560
94,491
]0,869
165,360
43,000
43,000
4,200
4,200
0
0
0
212,560
212,560
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
------------------------------------
FUND 218 - COMMUNITY TRANSIT PROGRAM
EXPENSE
DEPARTMENT 889 - COMMUNITY TRANSIT
PERSONNEL SERVICES
702.000 Salaries And Wages
712.000 Wage Tsf-Other
FRINGE BENEFITS
715.000 FICA
SUPPLIES
CONTRACTUAL SERVICES
728.000
Office Supplies
756.000
Miscellaneous
766.000
Tools And Supplies
768.000
Uniform Allowance
]]8.000
Equip Maint Supply
PROF AND
CONTRACTUAL SERVICES
802.218
Tsf-Specialized Ser.Gr
818.050
Cont Sery-Taxi Fares
818.053
Cont Serv-Shuttle Tsp
828.000
Medical Services
851.020
comp Software Maint
853.000
Telephone
COMMUNITY PROMOTION
882.010 Promotional Progrm
PRINTING AND PUBLISHING
904.000 Printing
INSURANCES
917.000 Worker's Comp
OTHER CHARGES AND SERVICES
960.010 Ed/Training-Emp
1]3,259
9,000
182,259
13,339
13,339
960
523
221
2,432
35,914
40,050
3],414
0
4,]46
525
0
11,]89
20,354-
2,011
2,011
440
440
894
894
805
805
198,100
12,000
210,100
15,155
15,155
600
300
0
2,500
25,000
28,400
15,]99-
0
6,500
Soo
0
5,500
3,299-
2,000
2,000
500
500
1,000
1,000
1,000
1,000
PAGE 163
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
198,100
12,000
210,100
15,155
15,155
600
300
100
2,500
30,000
33,500
16,400-
0
0
650
0
1,000
14,]50-
]50
]50
500
500
1,000
1,000
1,200
1,200
198,100
12,000
210,100
15,155
15,155
600
300
100
2,500
30,000
33,500
16,400-
0
0
650
0
1,000
14,]50-
]50
]50
500
500
1,000
1,000
1,200
1,200
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
--------------------------------------
ENND 218 - COMMUNITY TRANSIT PROGRAM
--------------------------------------
EXPENSE
DEPARTMENT 889 - COM40NITY TRANSIT
MISCELLANEOUS
965.226 Cont To SMART Trans
CAPITAL
OUTLAY
0
BP9200
985.000
SLATER
Cap
Outlay
-vehicles
986.010
Approved
Cap
Outlay
-comp Gotta
987.000
0
Cap
Outlay
-Other Ec
COMM TRANS TOTAL . . . .
EXPENSE TOTAL . . . . . . .
COMM TRANS MET DIFFERENCE
0
PAGE 164
0
BP9200
0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
0
0
0
0
0
0
0
0
19,782
15,000
16,500
16,500
0
0
0
0
9,751
2,000
2,000
2,000
29,533
17,000
10,500
10,500
240,977
271,056
265,955
265,955
240,977
271,056
265,955
265,955
76,021
54,004-
53,395-
53,395-
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 165
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Revenue Budget Approved Approved
FUND 261 - PUH. SAFETY COMMUNICATION
- - - - - - - - - - - - - - —
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
CHARGES FOR SERVICES
632.015 Use Fees -911 Service
632.016 Use Fees -911 Cell Ph S
INTEREST AND RENTS
665.000 Interest
OTHER REVENUE
691.000 Contributions -Other
691.101 Cont From General Fond
695.010 OIL Source -Cap Lea
ACCT HAL TOTAL . . . .
REVENUE TOTAL . . . . . .
443,866
426,000
426,000
426,000
21,876
0
55,000
55,000
465,742
426,000
481,000
481,000
39,434
40,000
40,000
40,000
39,434
40,000
40,000
40,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
505,176
466,000
521,000
521,000
505,176
466,000
521,000
521,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
-------------------------------------
FUND 261 - PUH. SAFETY COMMUNICATION
-------------------------------------
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
PROF AND CONTRACTUAL SERVICES
010.000 Contractual Service
OTHER CHARGES AND SERVICES
944.000 Lease Purchase Pay
MISCELLANEOUS
965.101 Cont To General Fund
CAPITAL OUTLAY
904.000 Cap Outlay -Radio Eq
907.000 Cap Outlay -Other Ec
ACCT HAL TOTAL . . . . .
EXPENSE TOTAL . . . . . . .
COM ERTICAT MET DIFFERENCE
24,499
24,499
292,]66
292,]66
0
0
0
0
0
31],265
31],265
60,000
60,000
209,092
209,092
250,000
250,000
0
0
0
599,092
599,092
133,092
PAGE 166
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
60,000
60,000
291,3]3
291,3]3
250,000
250,000
0
0
0
601,3]3
601,3]3
00,3]3
60,000
60,000
291,3]3
291,3]3
250,000
250,000
0
0
0
601,3]3
601,3]3
00,3]3
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
----------------------------------------------
FUND 262 - PLYMOUTH RD DEV AUTHORITY
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
TAXES
680.000
812,828
402.000
690.050
Real Property Tax
574,408
415.000
Mayor
Pers Property Tax
1,650,365
444.000
Cont From IDEA Courts
Property Tax Adj
62,212 -
STATE GRANTS
558.020 Mich Equity Grant
INTEREST AND RENTS
665.000 Interest
OTHER REVENUE
680.000
812,828
Sale Of Fixed Asst
690.050
SLATER
Donations - Parade
691.101
Mayor
Cont From General Fond
691.494
Approved
Cont From IDEA Courts
698.000
350,000
Sundry Income
ACCT HAL TOTAL . . . .
2,162,561
0
0
286,922
286,922
0
100
0
29,024
910
30,034
2,4]9,51]
REVENUE TOTAL . . . . . . . 2,4]9,51]
746,224
PAGE 16]
812,828
BP9200
955,087
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
746,224
812,828
812,828
848,047
955,087
955,087
0
0
0
1,594,271
1,]6],915
1,]6],915
0
350,000
350,000
0
350,000
350,000
150,000
40,000
40,000
150,000
40,000
40,000
0
0
0
0
0
0
0
0
0
0
0
0
500
500
500
500
500
500
1,744,771
2,158,415
2,158,415
1,744,771
2,158,415
2,158,415
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
------------------------------------
FOND 262 - PLYMOUTH RD DEV AUTHORITY
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
728.000 Office Supplies
730.000 Postage
756.000 Miscellaneous
PROF AND
CONTRACTUAL SERVICES
802.262
BP9200
Accounting Fees-PRDA
804.262
2002
Plan Dept Fees -PADA
808.000
City Coun.
Audit and Accting Sery
818.000
0
Contractual Service
818.020
0
Cont Serv-Maintenance
TRANSPORTATION
861.010 Auto Expense-Emp
COMMUNITY PROMOTION
882.010 Promotional Progrm
882.017 Holiday Parade
PRINTING AND PUBLISHING
904.000 Printing
INSURANCES
917.000 Worker's Comp
918.000 Liability Insurance
55,000
PAGE 168
55,000
BP9200
0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
55,000
55,000
55,000
55,000
0
0
0
0
55,000
55,000
55,000
55,000
0
0
0
0
4,227
4,208
4,208
4,208
4,227
4,208
4,208
4,208
58
9,500
1,500
1,500
5,308
6,000
6,000
6,000
81
Soo
Soo
Soo
5,447
16,000
8,000
8,000
7,200
8,400
8,400
8,400
2,400
2,400
2,400
2,400
1,900
2,000
2,000
2,000
10,189
25,000
25,000
25,000
108,222
90,000
175,000
175,000
129,911
127,800
212,800
212,800
4,200
4,200
4,200
4,200
4,200
4,200
4,200
4,200
15,103
17,000
25,000
25,000
8,583
0
0
0
23,686
17,000
25,000
25,000
10,067
7,000
10,000
10,000
10,067
7,000
10,000
10,000
415
450
500
500
0
10,000
10,000
10,000
415
10,450
10,500
10,500
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
------------------------------------
ENND 262 - PLYMOUTH RD DEV AUTHORITY
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
PUBLIC UTILITIES
921.000 Electric
927.000 Nater
928.000 Heat, Light, Nater
OTHER CHARGES AND SERVICES
942.000 Building Rentals
958.000 Dues And Subscript
960.010 Ed/Training-Emp
MISCELLANEOUS
856.010
Business Loan Program
961.050
Taxes -Capture Rebate
965.101
Cont To General Fund
965.394
Cont To 394 - HDA
965.592
Cont To Nater/Sewer Fu
CAPITAL
OUTLAY
972.010
Land Purchase c Imp
974.000
Land Improvement
974.036
Streetscape Phase III
9]4.03]
Streetscape Phase IV
974.038
Bus Shelters
974.039
Curb c Walk Repair
974.045
Landscape Phase II
974.046
Landscape Phase III
9]4.04]
Detail Landscape Phase
DEBT SERVICE
989.000 Sale Of Bonds Expense
ACCT HAL TOTAL . . . .
EXPENSE TOTAL . . . . . .
33,802
22,820
0
56,622
0
1,355
1,334
0
0
0
561,3]9
18,34]
5]9,]26
50,000
0
835,]]8
1,2]9,11]
11,536
331,829
9],303
166,]35
191,285
2,963,583
0
0
3,835,5]3
3,835,5]3
35,000
20,000
0
55,000
6,000
1,000
0
],000
100,000
0
0
560,]99
0
660,]99
3,200,000
0
0
0
0
0
0
0
0
3,200,000
0
0
4,164,45]
4,164,45]
PAGE 169
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
40,000
25,000
0
65,000
6,000
1,500
0
0
0
0
564,644
0
564,644
1,125,000
0
0
0
0
0
0
0
0
1,125,000
0
0
2,091,852
2,091,852
40,000
25,000
0
65,000
6,000
1,500
0
],500
0
0
0
564,644
0
564,644
1,125,000
0
0
0
0
0
0
0
0
1,125,000
0
0
2,091,852
2,091,852
City
of Livonia
F I N A N C I
A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE
ANNUAL BUDGET
TIME
10:45:01
FISCAL
YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FUND
262 - PLYMOUTH
RD DEV AUTHORITY
PAGE 1]0
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
PRDA NET DIFFERENCE . . . . 1,356,056- 2,419,686- 66,563 66,563
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Revenue Budget
----------------------------------
FUND 265 - ADJUDICATED FORFEITURES
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
FINES AND FORFIETS
656.000 Fines c Forfeits
656.010 Fines c Forfeits -Feder
INTEREST AND RENTS
665.000 Interest
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
106,955
405,600
512,643
62,]04
62,]04
5]5,42]
5]5,42]
250,000
225,000
4]5,000
50,000
50,000
525,000
525,000
PAGE 1]1
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
250,000
250,000
500,000
50,000
50,000
550,000
550,000
250,000
250,000
500,000
50,000
50,000
550,000
550,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
2002
TIME
10:45:01
FISCAL YEAR 2001
- 2002
Vehicle Licenses
2000
2001
Miscellaneous
759.000
Actual
Amended
ACCOUNT Expense Budget
- - - - - - - - - - - - - - - - - -
FUND 265 - ADJUDICATED FORFEITURES
EXPENSE
DEPARTMENT 333 - STATE/LOCAL FORFEITURE EX
PERSONNEL SERVICES
712.000 Nage Tsf-Other 213,041 211,578 242,323
FRINGE BENEFITS
713.000 Henef Try
719.000 Medical Pmt
SUPPLIES
PAGE 172
728.000
BP9200
Office Supplies
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
- - - - - - - - - - - - - - - - - -
FUND 265 - ADJUDICATED FORFEITURES
EXPENSE
DEPARTMENT 333 - STATE/LOCAL FORFEITURE EX
PERSONNEL SERVICES
712.000 Nage Tsf-Other 213,041 211,578 242,323
FRINGE BENEFITS
713.000 Henef Try
719.000 Medical Pmt
SUPPLIES
CONTRACTUAL SERVICES
728.000
Office Supplies
745.000
Drug Detection Dog
746.000
Dog Food And Supplies
754.000
Vehicle Licenses
756.000
Miscellaneous
759.000
Photo Supplies
768.000
Uniform Allowance
768.010
Uniform Purchases
PROF AND
CONTRACTUAL SERVICES
813.100
Veterinary
818.000
Contractual Service
818.020
Cont Sery-Maintenance
826.000
Court Expense
853.000
Telephone
TRANSPORTATION
861.000 Auto Expense
REPAIRS AND MAINTENANCE
933.000 Equipment Maint
939.000 Vehicle Maint
213,041
81,286
0
81,286
5,907
0
1,519
0
20,192
1,286
0
4,071
32,975
1,013
9,095
978
0
418
11,504
0
0
1,835
9,802
211,578
105,233
0
105,233
5,500
10,000
3,000
500
20,000
4,000
0
6,000
49,000
3,000
19,840
5,000
20,500
5,000
53,340
0
0
5,000
20,000
11,637 25,000
OTHER CHARGES AND SERVICES
943.000 Outside Equip Rental 4,133 3,000
958.000 Dues And Subscript 400 500
960.010 Ed/Training-Emp 10,623 20,000
15,156
23,500
242,323
116,348
0
116,348
5,500
10,000
3,000
500
20,000
4,000
0
6,000
49,000
3,000
19,840
13,000
15,000
5,000
55,840
0
0
5,000
20,000
25,000
3,000
1,500
20,000
24,500
242,323
242,323
116,348
0
116,348
5,500
10,000
3,000
500
20,000
4,000
0
6,000
49,000
3,000
19,840
13,000
15,000
5,000
55,840
0
0
5,000
20,000
25,000
3,000
1,500
20,000
24,500
City
of Livonia
F I N A N C I
A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE
ANNUAL BUDGET
Outlay
TIME
10:45:01
FISCAL
YEAR 2001
- 2002
Cap
Outlay
-Vehicles
2000
2001
986.010
Cap
Actual
Amended
ACCOUNT
0
Expense
Budget
--------------------------------------------------------------
ENDS
265 - ADJUDICATED
FORFEITURES
-------------
EXPENSE
DEPARTMENT 333 - STATE/LOCAL FORFEITURE EX
CAPITAL
OUTLAY
0
0
0
0
983.000
176,350
Cap
Outlay
-Office Ec
22,500
12,500
985.000
Cap
Outlay
-Vehicles
129,475
19,500
986.010
Cap
Outlay
-Comp Gotta
0
0
987.000
Cap
Outlay
-Other Eq
48,056
247,913
200,031
279,913
LOC
BURET TOTAL .
. .
565,630
]4],564
PAGE 1]3
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
11,700
11,700
0
0
0
0
176,350
176,350
188,050 188,050
701,061 701,061
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
Drug Detection Dog
TIME
10:45:01
FISCAL YEAR 2001
- 2002
Outlay
Vehicle Licenses
2000
2001
Miscellaneous
759.000
Actual
Amended
ACCOUNT Expense Budget
-------------------------------------------------------------- -------------
FUND 265 - ADJUDICATED FORFEITURES
EXPENSE
DEPARTMENT 334 - FEDERAL FORFEITURE EXP
PERSONNEL SERVICES
712.000 Nage Tsf-ocher
FRINGE BENEFITS
713.000 Benet Try
SUPPLIES
CONTRACTUAL SERVICES
028.000
BP9200
Office Supplies
745.000
Cap
Drug Detection Dog
746.000
983.000
Dog Food And Supplies
754.000
Outlay
Vehicle Licenses
756.000
0
Miscellaneous
759.000
-Vehicles
Photo Supplies
768.000
Cap
Uniform Allowance
768.010
987.000
Uniform Purchases
PROF AND
CONTRACTUAL SERVICES
813.100
BP9200
Veterinary
818.000
Cap
Contractual Service
826.000
983.000
Court Expense
853.000
Outlay
Telephone
REPAIRS AND MAINTENANCE
933.000 Equipment Maint
939.000 Vehicle Maint
OTHER CHARGES AND SERVICES
943.000 Outside Equip Rental
958.000 Dues And Subscript
960.010 Ed/Training-Emp
CAPITAL
OUTLAY
0
BP9200
975.000
SLATER
Cap
Outlay
-Bldg
983.000
Approved
Cap
Outlay
-Office Egp
985.000
0
Cap
Outlay
-Vehicles
986.010
0
Cap
Outlay
-Comp Delta
987.000
20,000
Cap
Outlay
-Other Egp
0
0
0
0
0
0
0
12,249
0
0
0
12,249
0
0
0
2],290
2],290
0
0
0
0
0
5,631
5,631
16,858
3,909
4,090
0
49,262
0
PAGE 1]4
0
BP9200
0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
13,866
20,000
20,000
0
0
0
0
0
0
0
0
0
13,866
20,000
20,000
0
0
0
0
0
0
0
0
0
30,000
30,000
30,000
30,000
30,000
30,000
0
0
0
0
0
0
0
0
0
0
0
0
1,600
0
0
10,000
15,000
15,000
11,600
15,000
15,000
381,000
172,000
172,000
0
0
0
0
76,000
76,000
0
0
0
326,371
64,000
64,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
3]],000
PAGE 175
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
1,510,401
1,070,061
BP9200
TIME
10:45:01
FISCAL YEAR 2001
- 2002
528,061-
SLATER
2000
2001
2002
2002
Actual
A ended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
ENDS 265 - ADJUDICATED FORFEITURES
--------------------------------------------
]4,119 707,371 312,000 312,000
FEE BURET
TOTAL . . . .
119,209
]62,03]
3]],000
3]],000
EXPENSE TOTAL
. . . . . . .
604,919
1,510,401
1,070,061
1,070,061
ADS BURET NET
DIFFERENCE . .
109,492-
985,401-
528,061-
528,061
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
----------------------------------------------
FOND 271 - LIBRARY FUND
REVENUE
Library Sery-WOLF
686.014
DEPARTMENT 000 - ACCOUNT BALANCES
TAXES
686.015
402.000
686.016
Real Property Tax
2,601,485
415.000
Pers Property Tax
510,647
444.000
Donations -Friends Of L
Property Tax Adj
307-
446.000
698.032
Interest On Del Tx
0
CHARGES FOR SERVICES
651.030 Use Fees -Auditorium
INTEREST AND RENTS
665.000 Interest
686.010
Library Sery-WOLF
686.014
Main Library Fines
686.015
Noble Lib Fines
686.016
Sandberg Lib Fines
691.101
Cont From General Fond
691.110
Donations -Friends Of L
698.000
Sundry Income
698.032
Video Cassette Rn
698.033
Sundry -Coin Copy Machi
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
3,111,825
19,585
19,585
]3,]05
]3,]05
22],94]
3],684
8,139
8,2]1
]00,000
10,000
58,3]5
15,]]6
18,9]0
1,085,162
4,290,2]]
4,290,2]]
2,692,]90
520,]14
0
0
3,213,504
20,000
20,000
40,000
40,000
2]3,1]0
42,300
8,136
8,300
]00,000
20,000
0
16,900
23,500
1,092,306
4,365,810
4,365,810
PAGE 1]6
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
2,81],536
532,]80
0
0
3,350,316
23,000
23,000
30,000
30,000
255,191
42,000
9,500
8,300
]00,000
0
0
18,500
20,000
1,053,491
4,456,80]
4,456,80]
2,81],536
532,]80
0
0
3,350,316
23,000
23,000
30,000
30,000
255,191
42,000
9,500
8,300
]00,000
0
0
18,500
20,000
1,053,491
4,456,80]
4,456,80]
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
717.000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SERVICES
720.000
2000
2001
1,311,865
702.100
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
728.000
---------------------------------------------
FUND 271
- LIBRARY FUND
728.010
--------------------------------------------
EXPENSE
717.000
769.000
DEPARTMENT 738 - CIVIC CENTER
LIBRARY
PERSONNEL
SERVICES
720.000
702.000
Salaries And Wages
1,311,865
702.100
Vacancy Adj-Wages
0
707.000
Alternate Payments
2,500
709.000
Overtime
579
712.000
Wage Tsf-ocher
1,326
FRINGE BENEFITS
714.100
728.000
Vacancy Adj-Benefits
715.000
728.010
FICA
717.000
769.000
Holiday And Longev
719.000
769.010
Medical Pmt
720.000
Life Insurance
722.000
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
SUPPLIES
861.000
728.000
Auto Expense
Office Supplies
728.010
Auto Expense-Emp
Supplies -Vest Pocket
769.000
Auto Expense -Comm
Record Collection
769.010
Travel/Ed-Emp
Video Cassettes
PROF AND CONTRACTUAL SERVICES
818.020 Cont Serv-Maintenance
827.000 Lib Sex -The Library Me
827.010 Lib Sex -Bibliographic
TRANSPORTATION
861.000
Auto Expense
861.010
SLATER
Auto Expense-Emp
861.015
Mayor
Auto Expense -Comm
864.010
Approved
Travel/Ed-Emp
864.015
Travel/Ed-Commissions
COMMUNITY PROMOTION
886.150 Spec Act -Library Sv
1,316,270
0
101,849
16,396
122,788
2,551
0
39,814
133,889
8,637
291
8,000
8,384
25,312
1,695
25,084
42,651
69,430
148
1,248
0
0
0
1,396
4,284
4,284
1,351,139
0
4,500
2,500
2,000
1,360,139
0
105,210
17,160
125,139
3,470
0
44,551
132,601
428,131
10,000
300
9,000
9,000
28,300
1,800
15,500
51,192
68,492
200
2,200
0
0
0
2,400
6,000
6,000
1,395,546
0
4,500
2,500
3,000
1,405,546
0
108,951
21,645
141,619
3,953
0
49,009
166,835
9,000
300
8,000
8,000
25,300
1,800
18,000
54,000
73,800
200
1,000
0
0
0
1,200
3,000
3,000
1,395,546
0
4,500
2,500
3,000
1,405,546
0
108,951
21,645
141,619
3,953
0
49,009
166,835
492,012
9,000
300
8,000
8,000
25,300
1,800
18,000
54,000
73,800
200
1,000
0
0
0
1,200
3,000
3,000
PAGE 177
BP9200
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
1,395,546
0
4,500
2,500
3,000
1,405,546
0
108,951
21,645
141,619
3,953
0
49,009
166,835
9,000
300
8,000
8,000
25,300
1,800
18,000
54,000
73,800
200
1,000
0
0
0
1,200
3,000
3,000
1,395,546
0
4,500
2,500
3,000
1,405,546
0
108,951
21,645
141,619
3,953
0
49,009
166,835
492,012
9,000
300
8,000
8,000
25,300
1,800
18,000
54,000
73,800
200
1,000
0
0
0
1,200
3,000
3,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
Outlay
TIME
10:45:01
FISCAL YEAR 2001
- 2002
Outlay
-Hooks
2000
2001
Cap
Outlay
Actual
Amended
ACCOUNT
Cap
Expense
Budget
---------------------------------------------
FUND 271 - LIBRARY FUND
--------------------------------------------
EXPENSE
DEPARTMENT 738 - CIVIC CENTER LIBRARY
PRINTING AND PUBLISHING
902.000 Binding 316
904.000 Printing 20,837
INSURANCES
917.000 Worker's Comp
918.000 Liability Insurance
PUBLIC UTILITIES
928.000 Heat, Light, Nater
REPAIRS AND MAINTENANCE
931.020 Bldg Maint-Library
934.000 Office Equip Maint
OTHER CHARGES AND SERVICES
958.000 Dues And Subscript
960.010 Ed/Training-Emp
CAPITAL
OUTLAY
500
BP9200
976.000
SLATER
Cap
Outlay
-Bldg Impry
978.000
Approved
Cap
Outlay
-Hooks
978.010
14,000
Cap
Outlay
-Hooks V.P.
983.000
100,000
Cap
Outlay
-Office Egp
987.000
150,000
Cap
Outlay
-Other Egp
987.020
142,000
Cap
Outlay
-DPN
DEBT SERVICE
993.000 Debt Serv-Principal
997.000 Debt Serv-Interest
999.000 Paying Agent Fees
21,153
2,402
3,619
6,021
90,616
90,616
126,000
13,65]
139,65]
3,151
1,939
5,090
93,461
239,]92
4,000
151,434
0
0
488,68]
3]0,000
104,315
150
4]4,465
CIVIC LIS TOTAL . . . . 3,059,668
1,000
PAGE 1]8
500
BP9200
23,000
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
1,000
500
500
24,000
23,000
23,000
25,000
23,500
23,500
4,000
4,000
4,000
10,000
10,000
10,000
14,000
14,000
14,000
91,144
100,000
100,000
91,144
100,000
100,000
126,000
150,000
150,000
16,000
15,000
15,000
142,000
165,000
165,000
3,500
3,200
3,200
2,600
2,500
2,500
6,100
5,700
5,700
0
0
0
227,000
227,000
227,000
6,500
3,000
3,000
87,590
70,000
70,000
29,488
0
0
0
0
0
350,578
300,000
300,000
400,000
400,000
400,000
91,820
]],220
]],220
1,500
281
281
493,320
4]],501
4]],501
3,015,604
3,086,559
3,086,559
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 179
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 271 - LIBRARY FUND
----------------------------------
EXPENSE
DEPARTMENT 739 - NOBLE LIBRARY
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
]0].000 Alternate Payments
709.000 Overtime
FRINGE BENEFITS
714.100
424,671
Vacancy Adj-Benefits
715.000
Office
FICA
]1].000
3,250
Holiday And Longev
719.000
769.010
Medical Pmt
720.000
Cassettes
Life Insurance
722.000
419,276
Retirement EB
723.000
0
Retirement DC
724.000
0
Retirement Medical
SUPPLIES
415,526
424,671
728.000
0
Office
Supplies
769.000
3,250
Record
Collection
769.010
1,164
Video
Cassettes
PROF AND CONTRACTUAL SERVICES
827.000 Lib Sex -The Library Ne
827.010 Lib Sex -Bibliographic
TRANSPORTATION
861.010 Auto Expense-Emp
861.015 Auto Expense -Comm
864.010 Travel/Ed-Emp
COMMUNITY PROMOTION
886.150 Spec Act -Library Sv
PRINTING AND PUBLISHING
902.000 Binding
904.000 Printing
384,119
415,526
424,671
424,671
0
0
0
0
3,250
3,250
3,250
3,250
1,164
500
500
500
388,533
419,276
428,421
428,421
0
0
0
0
30,117
32,512
33,279
33,279
5,154
5,720
6,598
6,598
21,530
22,167
28,428
28,428
805
1,181
1,2]]
1,2]]
0
0
0
0
22,452
22,925
22,375
22,375
43,448
42,305
53,905
53,905
123,506
126,810
145,862
145,862
4,947
5,000
4,500
4,500
2,400
3,000
2,500
2,500
5,325
6,000
5,000
5,000
12,672
14,000
12,000
12,000
17,000
11,000
10,000
10,000
21,687
24,000
24,000
24,000
38,687
35,000
34,000
34,000
622
700
700
700
0
0
0
0
0
0
0
0
622
700
700
700
2,501
3,000
2,000
2,000
2,501
3,000
2,000
2,000
so
250
100
100
4,087
5,000
5,000
5,000
4,137
5,250
5,100
5,100
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-----------------------
ENND 271 - LIBRARY ENDS
EXPENSE
DEPARTMENT 739 - NOBLE LIBRARY
INSURANCES
917.000 Worker's Comp
918.000 Liability Insurance
918.010 Security Systems
PUBLIC UTILITIES
928.000 Heat, Light, Nater
REPAIRS AND MAINTENANCE
931.020 Bldg Maint-Library
934.000 Office Equip Maint
OTHER CHARGES AND SERVICES
958.000 Dues And Subscript
960.010 Ed/Training-Emp
CAPITAL
OUTLAY
850
850
976.000
5,000
Cap
Outlay
-Bldg Impry
978.000
1,800
Cap
Outlay
-Hooks
983.000
7,650
Cap
Outlay
-Office Egp
987.000
17,264
Cap
Outlay
-Other Egp
NOBLE LIS TOTAL . . . .
PAGE 180
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
6]]
850
850
850
7,983
5,000
5,000
5,000
1,869
1,800
1,800
1,800
10,529
7,650
7,650
7,650
17,264
18,000
19,500
19,500
17,264
18,000
19,500
19,500
0
0
0
0
1,688
5,000
4,000
4,000
1,688
5,000
4,000
4,000
534
550
550
550
Soo
2,000
1,500
1,500
1,034
2,550
2,050
2,050
0
0
0
0
49,690
47,000
47,000
47,000
0
0
0
0
0
0
0
0
49,690
47,000
47,000
47,000
650,863
684,236
708,283
708,283
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 181
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 271 - LIBRARY FUND
-------------------------------------
EXPENSE
DEPARTMENT 740 - SANDBURG LIBRARY
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
]0].000 Alternate Payments
709.000 Overtime
FRINGE BENEFITS
714.100
416,242
Vacancy Adj-Benefits
715.000
Office
FICA
]1].000
1,250
Holiday And Longev
719.000
769.010
Medical Pmt
720.000
Cassettes
Life Insurance
722.000
404,658
Retirement EB
723.000
0
Retirement DC
724.000
0
Retirement Medical
SUPPLIES
402,908
416,242
728.000
0
Office
Supplies
769.000
1,250
Record
Collection
769.010
527
Video
Cassettes
PROF AND CONTRACTUAL SERVICES
827.000 Lib Sex -The Library Ne
827.010 Lib Sex -Bibliographic
TRANSPORTATION
861.010 Auto Expense-Emp
864.010 Travel/Ed-Emp
COMMUNITY PROMOTION
886.150 Spec Act -Library By
PRINTING AND PUBLISHING
902.000 Binding
904.000 Printing
390,272
402,908
416,242
416,242
0
0
0
0
1,250
1,250
1,250
1,250
527
Soo
Soo
Soo
392,049
404,658
417,992
417,992
0
0
0
0
30,375
31,389
32,496
32,496
5,019
5,655
6,793
6,793
41,449
43,179
45,582
45,582
713
1,135
1,241
1,241
0
0
0
0
1],]45
18,645
19,228
19,228
43,119
42,902
52,846
52,846
138,420
142,905
158,186
158,186
4,434
4,500
4,000
4,000
2,000
3,000
2,000
2,000
5,981
6,000
5,000
5,000
12,415
13,500
11,000
11,000
17,000
11,500
10,000
10,000
21,814
23,000
24,000
24,000
38,814
34,500
34,000
34,000
359
400
400
400
0
0
0
0
359
400
400
400
2,643
3,000
2,000
2,000
2,643
3,000
2,000
2,000
0
so
0
0
4,504
4,800
4,000
4,000
4,504
4,850
4,000
4,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-----------------------
FUND 271 - LIBRARY FUND
EXPENSE
DEPARTMENT 740 - SANDHURG LIBRARY
INSURANCES
917.000 Worker's Comp
918.000 Liability Insurance
918.010 Security Systems
PUBLIC UTILITIES
928.000 Heat, Light, Nater
REPAIRS AND MAINTENANCE
931.020 Bldg Maint-Library
934.000 Office Equip Maint
OTHER CHARGES AND SERVICES
958.000 Dues And Subscript
960.010 Ed/Training-Emp
CAPITAL
OUTLAY
BP9200
976.000
SLATER
Cap
Outlay
-Bldg Impry
978.000
Approved
Cap
Outlay
-Books
983.000
Cap
Outlay
-Office Eqp
987.000
Cap
Outlay
-Other Eqp
SANDHURG L TOTAL . . . .
EXPENSE TOTAL . . . . . . .
685
7,313
1,737
9,735
12,762
12,762
0
2,932
2,932
568
609
1,177
0
49,956
0
0
49,956
665,766
4,376,297
850
5,000
1,800
7,650
15,000
15,000
0
3,200
3,200
700
2,000
2,700
0
47,000
0
500
47,500
679,863
4,379,703
LIBRARY NET DIFFERENCE . . . 86,020- 13,893
850
5,000
1,700
7,550
17,000
17,000
0
4,000
4,000
700
1,500
2,200
0
47,000
0
0
47,000
705,328
4,500,170
43,363
850
5,000
1,700
7,550
17,000
17,000
0
4,000
4,000
700
1,500
2,200
0
47,000
0
0
47,000
705,328
4,500,170
43,363
PAGE 182
BP9200
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
850
5,000
1,700
7,550
17,000
17,000
0
4,000
4,000
700
1,500
2,200
0
47,000
0
0
47,000
705,328
4,500,170
43,363
850
5,000
1,700
7,550
17,000
17,000
0
4,000
4,000
700
1,500
2,200
0
47,000
0
0
47,000
705,328
4,500,170
43,363
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
---------------------------
FUND 294 - NEWBURGH VILLAGE
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
INTEREST AND RENTS
665.000 Interest
667.000 Rental Income
OTHER REVENUE
698.000 Sundry Income
OTHER FINANCING SOURCES
698.521 Equity Transfer From 5
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
PAGE 183
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
9,837
14,000
14,000
14,000
675,165
678,000
688,800
688,800
685,002
692,000
702,800
702,800
950
1,600
1,600
1,600
950
1,600
1,600
1,600
0
0
0
0
0
0
0
0
685,952
693,600
704,400
704,400
685,952
693,600
704,400
704,400
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 184
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FOND 294 - NEWBURGH VILLAGE
-------------------------------------
EXPENSE
DEPARTMENT 834 - NEWBURGH VILLAGE
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
709.000 Overtim
712.000 Wage Tsf-Other
FRINGE BENEFITS
714.100
76,153
Vacancy Adj-Benefits
715.000
0
FICA
717.000
2,894
Holiday And Longev
719.000
3,000
Medical Pmt
720.000
3,750
Life Insurance
722.000
84,203
Retirement EB
723.000
0
Retirement DC
724.000
0
Retirement Medical
SUPPLIES
728.000 Office Supplies
730.000 Postage
756.000 Miscellaneous
766.000 Tools And Supplies
PROF AND CONTRACTUAL SERVICES
818.020 Cont Serv-Maintenance
853.000 Telephone
TRANSPORTATION
861.000 Auto Expense
861.010 Auto Expense-Emp
COMMUNITY PROMOTION
886.110 Special Activities -Exp
PRINTING AND PUBLISHING
904.000 Printing
72,739
76,153
76,153
76,153
0
0
0
0
2,894
4,300
3,000
3,000
3,750
3,750
3,750
3,750
79,383
84,203
82,903
82,903
0
0
0
0
5,871
6,063
6,140
6,140
1,105
1,105
1,105
1,105
12,482
10,594
12,353
12,353
181
216
216
216
0
0
0
0
5,203
5,379
5,379
5,379
8,434
8,707
10,512
10,512
33,276
32,064
35,705
35,705
1,040
1,000
1,000
1,000
78
200
200
200
388
500
500
500
3,115
4,000
4,000
4,000
4,621
5,700
5,700
5,700
12,549
28,050
13,000
13,000
1,935
2,300
1,800
1,800
14,484
30,350
14,800
14,800
0
100
100
100
300
350
350
350
300
450
450
450
500
600
600
600
500
600
600
600
102
500
500
500
102
500
500
500
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
---------------------------
ENND 294 - NEWBURGH VILLAGE
EXPENSE
DEPARTMENT 834 - NEWBURGH VILLAGE
INSURANCES
917.000 Worker's Comp
918.000 Liability Insurance
PUBLIC UTILITIES
921.000 Electric
923.000 Heat
927.000 Nater
REPAIRS AND MAINTENANCE
931.000 Building Maint
933.000 Equipment Maint
938.000 Maintenance -Ground
OTHER CHARGES AND SERVICES
941.000 MEA Payment
960.010 Ed/Training-Emp
MISCELLANEOUS
969.800 Excess Interest Earnin
969.900 Pay In Lieu Of Tax
CAPITAL
OUTLAY
300
300
982.000
12,000
Cap
Outlay-Mach/Eq
12,910
983.000
12,300
Cap
Outlay
-Office Eqp
987.000
7,000
Cap
Outlay
-Other Eqp
NEWBURGH V TOTAL . . . .
EXPENSE TOTAL . . . . . . .
NEWBURGH V MET DIFFERENCE
PAGE 185
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
137
300
300
300
12,773
12,000
12,000
12,000
12,910
12,300
12,300
12,300
6,819
6,800
7,000
7,000
1,000
2,500
3,000
3,000
19,234
16,000
20,000
20,000
27,053
25,300
30,000
30,000
20,657
36,600
13,000
13,000
269
12,600
600
600
7,963
15,000
9,000
9,000
28,889
64,200
22,600
22,600
506,091
492,775
503,183
503,183
120
750
750
750
506,211
493,525
503,933
503,933
0
0
0
0
12,770
13,000
13,136
13,136
12,770
13,000
13,136
13,136
800
0
0
0
0
0
0
0
0
0
0
0
800
0
0
0
721,299
762,192
722,627
722,627
721,299
762,192
722,627
722,627
35,34]-
68,592-
18,227-
18,227-
City PAGE 186
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
-------------------------------------------------------------------------------------
FUND
294 - NEWBURGH
VILLAGE
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
2002
TIME
10:45:01
FISCAL YEAR 2001
- 2002
- - - -
0
2000
2001
0
54,420 0
Actual
Amended
ACCOUNT
Revenue
Budget
--------------------------------------------------------------
FOND
295 - CITY
----------------
OWNED HOMES
DEPARTNEBT 832 - CDHG PURCHASED HOMES
PAGE 18]
BP9200
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
DEPARTNEBT 832 - CDHG PURCHASED HOMES
INTEREST AND RENTS
665.000 Interest
0
0 0
667.100 Rent -City Homes
0
54,420 0
- - - -
0
- - - - - -
54,420 0
CDHG HOMES TOTAL . . .
0
54,420 0
U
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
2002
TIME
10:45:01
FISCAL YEAR 2001
- 2002
0 54,420
0 0
2000
2001
Actual
Amended
ACCOUNT Revenue Budget
-----------------------------------------
FUNS 295 - CITY OWNED HOMES
----------------------------------------- ---------------
REVENGE
DEPARTMENT 833 - CITY PURCHASED HOMES
INTEREST AND RENTS
665.000 Interest
667.100 Rent -City Homes
OTHER REVENUE
698.000 Sundry Income
CITY HOMES TOTAL . . . .
REVENUE TOTAL . . . . . . .
0 0
PAGE 188
0 0
BP9200
0 0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 54,420
0 0
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
6,835
TIME
10:45:01
FISCAL YEAR 2001
- 2002
ACCT HAL TOTAL . . . .
6,835
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FUND
295 - CITY
----------------
OWNED HOMES
EXPENSE
PAGE 189
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
DEPARTMENT 000 - ACCOUNT BALANCES
MISCELLANEOUS
965.238 Cont To CDBG
6,835
0 0
6,835
0 0
ACCT HAL TOTAL . . . .
6,835
0 0
0
City of Livonia F I N A N C I
A L N A N
A G E N E N T
PAGE 190
DATE 10/26/01 ADOPTEE
ANNUAL BUDGET
BP9200
TIME 10:45:01 FISCAL
YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
----- - - - -
FOND 295 - CITY OWNED
- - - - - -
- - - - - - - -
- - - - -
- - - - - -
EXPENSE
DEPARTMENT 832 - CDBG PURCHASED HOMES
PERSONNEL SERVICES
702.000 Salaries And Wages
0
1,712
0
0
702.100 Vacancy Adj-Wages
0
0
0
0
0
1,712
0
0
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
0
0
0
0
715.000 FICA
0
131
0
0
]1].000 Holiday And Longev
0
0
0
0
719.000 Medical Pmt
0
321
0
0
720.000 Life Insurance
0
5
0
0
722.000 Retirement DB
0
0
0
0
723.000 Retirement DC
0
205
0
0
724.000 Retirement Medical
0
193
0
0
0
855
0
0
SUPPLIES
728.000 Office Supplies
0
0
0
0
0
0
0
0
INSURANCES
917.000 Worker's Comp
0
50
0
0
918.000 Liability Insurance
0
2,100
0
0
0
2,150
0
0
REPAIRS AND MAINTENANCE
931.000 Building Maint
0
44,700
0
0
0
44,700
0
0
OTHER CHARGES AND SERVICES
960.010 Ed/Training-Emp
0
0
0
0
0
0
0
0
MISCELLANEOUS
969.100 Txs/Insur-Cty Homes
0
5,000
0
0
0
5,000
0
0
CAPITAL OUTLAY
987.000 Cap Outlay -Other Egp
0
0
0
0
0
0
0
0
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FUND
295 - CITY
----------------
OWNED HOMES
CDHG HOMES TOTAL . . . 0 54,417
PAGE 191
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
City of Livonia F I N A N C I
A L N A N
A G E N E N T
PAGE 192
DATE 10/26/01 ADOPTEE
ANNUAL BUDGET
BP9200
TIME 10:45:01 FISCAL
YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
----- - - - -
FOND 295 - CITY OWNED
- - - - - -
- - - - - - - -
- - - - -
- - - - - -
EXPENSE
DEPARTMENT 833 - CITY PURCHASED HOMES
PERSONNEL SERVICES
702.000 Salaries And Wages
0
0
0
0
702.100 Vacancy Adj-Wages
0
0
0
0
0
0
0
0
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
0
0
0
0
715.000 FICA
0
0
0
0
]1].000 Holiday And Longev
0
0
0
0
719.000 Medical Pmt
0
0
0
0
720.000 Life Insurance
0
0
0
0
722.000 Retirement DB
0
0
0
0
723.000 Retirement DC
0
0
0
0
724.000 Retirement Medical
0
0
0
0
0
0
0
0
SUPPLIES
728.000 Office Supplies
0
0
0
0
0
0
0
0
INSURANCES
917.000 Worker's Comp
0
0
0
0
918.000 Liability Insurance
0
0
0
0
0
0
0
0
REPAIRS AND MAINTENANCE
931.000 Building Maint
0
0
0
0
0
0
0
0
OTHER CHARGES AND SERVICES
960.010 Ed/Training-Emp
0
0
0
0
0
0
0
0
MISCELLANEOUS
969.100 Txs/Insur-Cty Homes
0
0
0
0
0
0
0
0
CAPITAL OUTLAY
987.000 Cap Outlay -Other Egp
0
0
0
0
0
0
0
0
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FUND
295 - CITY
----------------
OWNED HOMES
CITY HOMES TOTAL . . .
EXPENSE TOTAL . . . . . . .
CITY HOMES NET DIFFERENCE
PAGE 193
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0 0 0
6,835 54,417 0
6,835- 3 0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
------------------------------
FUND 296 - SILVER VILLAGE FUND
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
INTEREST AND RENTS
665.000 Interest
661.000 Rental Income
667.100 Rent -City Homes
OTHER REVENUE
698.000 Sundry Income
OTHER FINANCING SOURCES
698.300 Equity Transfer In
ACCT HAL TOTAL . . . .
REVENUE TOTAL . . . . . . .
26,217
PAGE 194
25,000
BP9200
482,195
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
26,217
20,000
25,000
25,000
482,195
490,290
501,240
501,240
0
0
0
0
508,412
510,290
526,240
526,240
638
1,000
1,000
1,000
638
1,000
1,000
1,000
0
0
0
0
0
0
0
0
509,050
511,290
527,240
527,240
509,050
511,290
527,240
527,240
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 195
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FOND 296
- SILVER VILLAGE FOND
-----------------------------------
EXPENSE
Vacancy Adj-Benefits
DEPARTMENT
831 - SILVER VILLAGE
PERSONNEL
SERVICES
701.000
Per ser -commission Com
702.000
Salaries And Wages
702.100
Vacancy Adj-Wages
709.000
Overtim
712.000
Wage Tsf-ocher
FRINGE BENEFITS
714.100
0
Vacancy Adj-Benefits
715.000
123,452
FICA
]1].000
0
Holiday And Longev
719.000
0
Medical Pmt
720.000
6,000
Life Insurance
722.000
3,750
Retirement EB
723.000
126,949
Retirement DC
724.000
135,914
Retirement Medical
SUPPLIES
728.000 Office Supplies
730.000 Postage
756.000 Miscellaneous
766.000 Tools And Supplies
PROF AND CONTRACTUAL SERVICES
818.020 Cont Serv-Maintenance
853.000 Telephone
TRANSPORTATION
861.000 Auto Expense
861.010 Auto Expense-Emp
COMMUNITY PROMOTION
886.110 Special Activities -Exp
PRINTING AND PUBLISHING
904.000 Printing
0
0
0
0
121,191
123,452
126,164
126,164
0
0
0
0
2,008
5,000
6,000
6,000
3,750
3,750
3,750
3,750
126,949
132,202
135,914
135,914
0
0
0
0
9,530
9,910
10,247
10,247
1,528
1,]]5
1,788
1,788
17,463
15,023
15,135
15,135
266
346
348
348
0
0
0
0
6,740
6,984
7,191
7,191
12,922
13,178
16,120
16,120
48,449
47,216
50,829
50,829
478-
350
350
350
84
600
600
600
166
300
300
300
5,385
6,000
6,500
6,500
5,157
7,250
],]50
],]50
3,443
20,000
20,000
20,000
605
1,000
1,000
1,000
4,048
21,000
21,000
21,000
6
3,000
3,000
3,000
0
200
200
200
6
3,200
3,200
3,200
1,789
2,000
2,000
2,000
1,789
2,000
2,000
2,000
620
1,000
1,000
1,000
620
1,000
1,000
1,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
------------------------------
ENND 296 - SILVER VILLAGE ENDS
EXPENSE
DEPARTMENT 831 - SILVER VILLAGE
INSURANCES
917.000 Worker's Comp
918.000 Liability Insurance
PUBLIC UTILITIES
921.000 Electric
923.000 Heat
927.000 Nater
REPAIRS AND MAINTENANCE
931.000 Building Maint
931.100 Maintenance-Cty Has
933.000 Equipment Maint
938.000 Maintenance -Ground
OTHER CHARGES AND SERVICES
941.000 MEA Payment
947.000 Outside Vehicle Rental
960.010 Ed/Training-Emp
MISCELLANEOUS
969.900 Pay In Lieu Of Tax
CAPITAL
OUTLAY
250
250
982.000
8,000
Cap
Outlay-Mach/Eq
8,733
983.000
8,250
Cap
Outlay
-Office Eqp
987.000
5,000
Cap
Outlay
-Other Eqp
SILVER VIL TOTAL . . . .
EXPENSE TOTAL . . . . . . .
SILVER VIL MET DIFFERENCE .
PAGE 196
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
217
250
250
250
8,516
8,000
8,000
8,000
8,733
8,250
8,250
8,250
4,438
9,400
5,000
5,000
1,201
2,000
3,000
3,000
12,340
15,000
16,000
16,000
1],9]9
26,400
24,000
24,000
12,588
45,000
45,000
45,000
0
0
0
0
284
750
750
750
11,205
29,000
29,000
29,000
24,0]]
]4,]50
]4,]50
]4,]50
148,393
153,507
144,367
144,367
0
0
0
0
665
2,500
2,500
2,500
149,058
156,007
146,867
146,867
8,957
9,300
9,300
9,300
8,957
9,300
9,300
9,300
1,070
0
0
0
0
0
0
0
215,564
110,000
37,000
37,000
216,634
110,000
37,000
37,000
612,456
598,575
521,860
521,860
612,456
598,575
521,860
521,860
103,406-
87,285-
5,380
5,380
City PAGE 197
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
-------------------------------------------------------------------------------------
FUND
296 - SILVER
VILLAGE FUND
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
--------------------------------
FOND 297 - CABLE TELEVISION FUND
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
INTEREST AND RENTS
665.000 Interest
668.000 Franchise Fees
668.010 Franchise Fee -Bravo
OTHER REVENUE
698.000 Sundry Income
ACCT HAL TOTAL . . . .
REVENUE TOTAL . . . . . . .
45,555
658,658
3,6]4
]0],88]
60,000
60,000
]6],88]
30,000
503,000
0
533,000
200,000
200,000
]33,000
]33,000
30,000
531,700
0
PAGE 198
561,700
0
BP9200
0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
30,000
531,700
0
30,000
531,700
0
561,700
0
561,700
0
0
0
561,700
561,700
561,700
561,700
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 199
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FUND 297 - CABLE TELEVISION FUND
-------------------------------------
EXPENSE
DEPARTMENT 751 - CABLE TELEVISION
PERSONNEL SERVICES
701.000 Per ser -commission Com
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
709.000 Overtime
712.000 Wage Tsf-Other
FRINGE BENEFITS
714.100
802.020
Vacancy Adj-Benefits
715.000
808.000
FICA
]1].000
818.000
Holiday And Longev
719.000
818.005
Medical Pmt
720.000
Life Insurance
722.000
Retirement EB
723.000
Retirement DC
724.000
Retirement Medical
725.000
O/H Tsf-Other
SUPPLIES
028.000 Office Supplies
730.000 Postage
PROF AND
CONTRACTUAL SERVICES
802.020
Attorney Fees
808.000
Audit and Accting Sery
818.000
Contractual Service
818.005
Cont Serv-Consultant
TRANSPORTATION
861.010 Auto Expense-Emp
COMMUNITY PROMOTION
882.010 Promotional Progrm
886.101 Special Activities -101
PRINTING AND PUBLISHING
904.000 Printing
0
220,386
0
5
5,11]
225,508
0
16,993
1,]38
22,004
433
0
12,]15
21,022
5,11]
80,022
2,110
5,198
],308
20,000
1,432
14,02]
33,201
68,660
44
44
]3,095
22,260
95,355
8,314
4,800
236,]]3
0
400
5,11]
24],090
0
18,660
1,950
22,98]
540
0
13,923
21,6]0
5,11]
84,84]
2,000
6,000
8,000
20,000
2,000
10,000
30,000
62,000
200
200
254,115
2],064
281,1]9
10,000
0
24],636
0
400
5,11]
253,153
0
19,144
2,210
24,820
550
0
14,300
26,]93
5,11]
92,934
2,000
6,000
8,000
20,000
2,000
10,000
30,000
62,000
200
200
262,]25
30,416
293,141
5,000
0
24],636
0
400
5,11]
253,153
0
19,144
2,210
24,820
550
0
14,300
26,]93
5,11]
92,934
2,000
6,000
8,000
20,000
2,000
10,000
30,000
62,000
200
200
262,]25
30,416
293,141
5,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-------------------------------------
ENND 297 - CABLE TELEVISION ENDS
-------------------------------------
EXPENSE
DEPARTMENT 751 - CABLE TELEVISION
INSURANCES
916.000 Unemployment Ins
917.000 Worker's Comp
OTHER CHARGES AND SERVICES
942.000 Building Rentals
947.000 Outside Vehicle Rental
958.000 Dues And Subscript
960.010 Ed/Training-Emp
MISCELLANEOUS
OUTLAY
965.101
5,000
Cont
To General Fund
969.015
Outlay
Cont
-Liv Arts Comm
969.020
Police
Cont
-Liv Historic Comm
969.030
1,700
Cont
-Library
CAPITAL
OUTLAY
5,000
5,000
975.000
200
Cap
Outlay
-Bldg
976.026
1,500
Police
Cap
Impry
983.000
1,700
Cap
Outlay
-Office Egp
985.000
0
Cap
Outlay
-Vehicles
986.050
2,000
Cap
Outlay
-Kiosk Syste
CABLE TV TOTAL . . . . .
EXPENSE TOTAL . . . . . . .
CABLE TEL MET DIFFERENCE . .
PAGE 200
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
8,314
10,000
5,000
5,000
0
200
200
200
390
1,500
1,500
1,500
390
1,700
1,700
1,700
27,984
27,984
27,984
27,984
0
0
0
0
1,974
2,000
2,000
2,000
3,694
8,000
8,000
8,000
33,652
37,984
37,984
37,984
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
2,368
0
0
0
0
0
0
0
9,9]]
10,000
10,000
10,000
0
0
0
0
0
0
0
0
12,345
10,000
10,000
10,000
531,598
743,000
764,112
764,112
531,598
743,000
764,112
764,112
236,289
10,000-
202,412-
202,412-
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
-------------------------------------
FUND 308 - D/S MEA Comm Recreation
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
INTEREST AND RENTS
665.000 Interest
OTHER REVENUE
691.208 Cont From Comm Recreat
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
PAGE 201
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0 0
0
0
0 0
0
0
0 1,202,748
1,985,460
1,985,460
0 1,202,748
1,985,460
1,985,460
0 1,202,748
1,985,460
1,985,460
0 1,202,748
1,985,460
1,985,460
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
----------------------------------
FUND 308 - D/S MEA Comm Recreation
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
DEBT SERVICE
992.000 Debt Sery Principal
996.000 Debt Serv-Interest-Hon
999.000 Paying Agent Fees
ACCT HAL TOTAL . . . . .
EXPENSE TOTAL . . . . . . .
MEA Recrtn NET DIFFERENCE
0 50,000
PAGE 202
150,000
BP9200
1,034,060
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
0 50,000
150,000
150,000
0 1,152,440
1,034,060
1,034,060
0 300
1,400
1,400
0 1,202,740
1,905,460
1,905,460
0 1,202,740
1,905,460
1,905,460
0 1,202,740
1,905,460
1,905,460
0 0
0
0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
---------------------------------
FUND 314 - D/S 1992 MEA REFUNDING
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
INTEREST AND RENTS
665.000 Interest
669.100 Int Earned On Lease Co
OTHER REVENUE
691.000 Contributions -Other
691.101 Cont From General Fond
698.000 Sundry Income
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
PAGE 203
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0
0
0
0
126,660
114,540
88,815
88,815
126,660
114,540
88,815
88,815
0
0
0
0
480,000
491,200
501,200
501,200
0
0
0
0
480,000
491,200
501,200
501,200
606,660
605,740
590,015
590,015
606,660
605,740
590,015
590,015
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
---------------------------------
FUND 314 - D/S 1992 MEA REFUNDING
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
DEBT SERVICE
992.000 Debt Sery Principal
996.000 Debt Serv-Interest-Hon
999.000 Paying Agent Fees
ACCT HAL TOTAL . . . . .
EXPENSE TOTAL . . . . . . .
MEA 92 NET DIFFERENCE . . .
580,000
PAGE 204
500,000
BP9200
141,205
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
580,000
490,000
500,000
500,000
141,205
114,540
88,815
88,815
0
1,200
1,200
1,200
721,205
605,740
590,015
590,015
721,205
605,740
590,015
590,015
721,205
605,740
590,015
590,015
114,545-
0
0
0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
---------------------------------
FUND 315 - D/S 1996 MEA REFUNDING
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
INTEREST AND RENTS
665.000 Interest
669.100 Int Earned On Lease Co
OTHER REVENUE
691.000 Contributions -Other
691.101 Cont From General Fond
OTHER FINANCING SOURCES
698.517 Equity Transfer From 5
698.518 Equity Transfer From 5
699.000 Bond Proceeds
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
4,140
262,365
266,505
50,000
0
50,000
0
0
0
0
316,505
316,505
2,000
260,315
262,315
50,495
55
50,550
0
0
0
0
312,865
312,865
PAGE 205
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
2,000
258,215
260,215
50,495
55
50,550
0
0
0
0
310,]65
310,]65
2,000
258,215
260,215
50,495
55
50,550
0
0
0
0
310,]65
310,]65
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
-------------------------------------
FUND 315 - D/S 1996 MEA REFUNDING
-------------------------------------
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
SUPPLIES
756.000 Miscellaneous
DEBT SERVICE
990.000
0
Bond
Defeasement
992.000
0
Debt
Sery Principal
996.000
0
Debt
Serv-Interest-Hon
999.000
50,000
Paying
Agent Fees
ACCT HAL TOTAL . . . . .
EXPENSE TOTAL . . . . . . .
MEA 96 MET DIFFERENCE . . .
PAGE 206
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0
0
0
0
0
0
0
0
0
0
0
0
50,000
50,000
50,000
50,000
262,365
260,315
258,215
258,215
0
550
550
550
312,365
310,865
308,765
308,765
312,365
310,865
308,765
308,765
312,365
310,865
308,765
308,765
4,140
2,000
2,000
2,000
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
-------------------------------------
FUND 320 - D/S MEA GOLF COURSE INPR
REVENUE - - - - - - - - - - - - - -
DEPARTMENT 000 - ACCOUNT BALANCES
INTEREST AND RENTS
665.000 Interest
OTHER REVENUE
691.101 Cont From General Fond
698.000 Sundry Income
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
0
PAGE 20]
0
BP9200
0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
0
0
0
0
0
0
0
0
72,900
70,800
66,288
66,288
0
0
0
0
72,900
70,800
66,288
66,288
72,900
70,800
66,288
66,288
72,900
70,800
66,288
66,288
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
-------------------------------------
FUND 320 - D/S MEA GOLF COURSE INPR
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
SUPPLIES
756.000 Miscellaneous
DEBT SERVICE
992.000 Debt Sery Principal
996.000 Debt Serv-Interest-Hon
999.000 Paying Agent Fees
ACCT HAL TOTAL . . . . .
EXPENSE TOTAL . . . . . . .
MEA GOLF MET DIFFERENCE
0
PAGE 208
0
BP9200
0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
0
0
0
0
0
0
0
0
50,000
50,000
50,000
50,000
24,975
20,500
15,900
15,900
150
300
300
300
75,125
70,000
66,200
66,200
75,125
70,000
66,200
66,200
75,125
70,000
66,200
66,200
2,225-
0
0
0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
-------------------------------------
FOND 321 - D/S MEA SR CIT HOUSING
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
INTEREST AND RENTS
665.000 Interest
OTHER REVENUE
0
691.101
0
Cont From
General Fond
691.294
0
Cont From
Newburgh Vil
698.000
0
Sundry Income
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
PAGE 209
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0
0
0
0
0
0
0
0
0
0
0
0
221,928
210,167
222,675
222,675
0
0
0
0
221,928
210,167
222,675
222,675
221,928
210,167
222,675
222,675
221,928
210,167
222,675
222,675
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
-------------------------------------
FOND 321 - D/S MEA SR CIT HOUSING
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
SUPPLIES
756.000 Miscellaneous
DEBT SERVICE
992.000 Debt Sery Principal
996.000 Debt Serv-Interest-Hon
999.000 Paying Agent Fees
ACCT HAL TOTAL . . . . .
EXPENSE TOTAL . . . . . . .
MEA SR HSG MET DIFFERENCE
PAGE 210
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0
0
0
0
0
0
0
0
175,000
175,000
200,000
200,000
46,063
34,337
21,]]5
21,]]5
865
830
900
900
221,928
210,167
222,675
222,675
221,928
210,167
222,675
222,675
221,928
210,167
222,675
222,675
0
0
0
0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
-------------------------------------
FUND 322 - D/S MEA 16TH DIST CT INPR
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
INTEREST AND RENTS
665.000 Interest
OTHER REVENUE
691.101 Cont From General Fond
698.000 Sundry Income
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
PAGE 211
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0
0
0
0
0
0
0
0
146,827
71,310
]2,9]5
]2,9]5
0
0
0
0
146,827
71,310
]2,9]5
]2,9]5
146,827
71,310
]2,9]5
]2,9]5
146,827
71,310
]2,9]5
]2,9]5
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
------------------------------------
FUND 322 - D/S MEA 16TH DIST CT INPR
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
DEBT SERVICE
992.000 Debt Sery Principal
996.000 Debt Serv-Interest-Hon
999.000 Paying Agent Fees
ACCT HAL TOTAL . . . . .
EXPENSE TOTAL . . . . . . .
MEA COURT NET DIFFERENCE . .
120,000
PAGE 212
55,000
BP9200
26,292
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
120,000
50,000
55,000
55,000
26,292
20,810
1],4]5
1],4]5
535
500
500
500
146,827
71,310
]2,9]5
]2,9]5
146,827
71,310
]2,9]5
]2,9]5
146,827
71,310
]2,9]5
]2,9]5
0
0
0
0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
-------------------------------------
FOND 323 - 1998 MEA FIRE STATION
-------------------------------------
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
INTEREST AND RENTS
665.000 Interest
OTHER REVENUE
691.000 Contributions -Other
691.101 Cont From General Fond
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
PAGE 213
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0
0
0
0
0
0
0
0
0
0
0
0
127,940
130,863
128,288
128,288
127,940
130,863
128,288
128,288
127,940
130,863
128,288
128,288
127,940
130,863
128,288
128,288
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
--------------------------------
FOND 323 - 1998 MEA FIRE STATION
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
DEBT SERVICE
992.000 Debt Sery Principal
996.000 Debt Serv-Interest-Hon
999.000 Paying Agent Fees
ACCT HAL TOTAL . . . . .
EXPENSE TOTAL . . . . . . .
D/S FIRE S NET DIFFERENCE
50,000
PAGE 214
55,000
BP9200
]],940
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
50,000
55,000
55,000
55,000
]],940
75,463
72,888
72,888
0
400
400
400
127,940
130,863
128,288
128,288
127,940
130,863
128,288
128,288
127,940
130,863
128,288
128,288
0
0
0
0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Revenue Budget
-------------------------------------
FUND 324 - D/S 1999 MEA REFUNDING
-------------------------------------
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
INTEREST AND RENTS
665.000 Interest
OTHER REVENUE
691.000 Contributions -Other
OTHER FINANCING SOURCES
699.000 Bond Proceeds
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
PAGE 215
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0
0
0
0
0
0
0
0
622,858
645,600
621,068
621,868
622,850
645,600
621,068
621,868
0
0
0
0
0
0
0
0
622,050
645,600
621,060
621,060
622,050
645,600
621,060
621,060
City of Livonia F I N A N C I A L N A N A G E N E N T PAGE 216
DATE 10/26/01 ADOPTEE ANNUAL BUDGET BP9200
TIME 10:45:01 FISCAL YEAR 2001 - 2002 SLATER
2000 2001 2002 2002
Actual Amended Mayor City Coun.
ACCOUNT Expense Budget Approved Approved
FOND
324
- D/S 1999 MEA REFUNDING
-------------------------------------
EXPENSE
0
0
DEPARTMENT 000 - ACCOUNT BALANCES
DEBT
SERVICE
515,000
909.000
510,000
Sale Of Bonds Expense
990.000
111,460
Bond Defeasement
992.000
400
Debt Sery Principal
996.000
622,050
Debt Serv-Interest-Hon
999.000
621,060
Paying Agent Fees
ACCT HAL TOTAL . . . . .
EXPENSE TOTAL . . . . . . .
MEA 99 REF NET DIFFERENCE
0
0
0
0
0
0
0
0
475,000
515,000
510,000
510,000
147,550
130,200
111,460
111,460
300
400
400
400
622,050
645,600
621,060
621,060
622,050
645,600
621,060
621,060
622,050
645,600
621,060
621,060
0
0
0
0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
-------------------------------------
FUND 356 - 1906 INE MAJOR/LOCAL
REVENUE - - - - - - - - - - - - - -
DEPARTMENT 000 - ACCOUNT BALANCES
INTEREST AND RENTS
665.000 Interest
OTHER REVENUE
691.202 Cont From Major Str Fu
691.203 Cont From Local Str Fu
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
so
PAGE 21]
0 0
BP9200
1,000
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
so
1,000
0 0
so
1,000
0 0
41,025
44,200
0 0
131,312
141,467
0 0
1]2,33]
105,667
0 0
1]2,30]
106,667
0 0
1]2,30]
106,667
0 0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
-------------------------------
FUND 356 - 1986 INE MAJOR/LOCAL
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
DEBT SERVICE
992.000 Debt Sery Principal
996.000 Debt Serv-Interest-Hon
999.000 Paying Agent Fees
ACCT HAL TOTAL . . . . .
EXPENSE TOTAL . . . . . . .
INH D/S 86 NET DIFFERENCE
150,000
PAGE 218
0 0
BP9200
11,813
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
150,000
175,000
0 0
21,938
11,813
0 0
800
800
0 0
1]2,]38
187,613
0 0
1]2,]38
187,613
0 0
1]2,]38
187,613
0 0
351-
946-
0 0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
-------------------------------------
FUND 357 - 1988 MTF MAJOR/LOCAL
REVENUE - - - - - - - - - - - - - -
DEPARTMENT 000 - ACCOUNT BALANCES
INTEREST AND RENTS
665.000 Interest
OTHER REVENUE
691.202 Cont From Major Str Fu
691.203 Cont From Local Str Fu
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
PAGE 219
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
62
1,000
100
100
62
1,000
100
100
91,406
104,360
107,614
107,614
156,844
1]9,0]2
184,657
184,657
248,250
283,432
292,271
292,271
248,312
284,432
292,371
292,371
248,312
284,432
292,371
292,371
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
-------------------------------
FUND 357 - 1988 MTF MAJOR/LOCAL
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
DEBT SERVICE
992.000 Debt Sery Principal
996.000 Debt Serv-Interest-Hon
999.000 Paying Agent Fees
ACCT HAL TOTAL . . . . .
EXPENSE TOTAL . . . . . . .
INH D/S 88 NET DIFFERENCE
PAGE 220
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
200,000
250,000
275,000
275,000
47,850
34,650
18,150
10,150
000
000
000
000
240,650
205,450
293,950
293,950
240,650
205,450
293,950
293,950
240,650
205,450
293,950
293,950
330-
1,010-
1,579-
1,579-
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
----------------------------------------------
FUND 3]] - 1990 STREET INPRVMEHT HDR
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
TAXES
402.000 Real Property Tax 1,029,287
415.000 Pers Property Tax 202,039
444.000 Property Tax Adj 98 -
INTEREST AND RENTS
665.000 Interest
OTHER REVENUE
691.305 Cont From HER Fire
691.486 Cont From 1990 St Imp
698.000 Sundry Income
OTHER FINANCING SOURCES
698.305 Equity Transfer From 3
ACCT HAL TOTAL . . . .
REVENUE TOTAL . . . . . .
1,231,228
8,533
8,533
6
0
0
6
0
0
1,239,]6]
1,239,]6]
989,880
191,41]
0
1,181,29]
2,000
2,000
0
0
0
0
0
1,183,29]
1,183,29]
PAGE 221
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
992,5]2
18],690
0
1,180,262
2,000
2,000
0
0
0
0
0
1,182,262
1,182,262
992,5]2
18],690
0
1,180,262
2,000
2,000
0
0
0
0
0
1,182,262
1,182,262
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
PAGE 222
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
0
BP9200
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
0
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
PROF AND CONTRACTUAL SERVICES
808.000 Audit and Accting Sery
0
0
0
0
0
0
0
0
MISCELLANEOUS
965.486 Cont To 1990 St Imp Fu
0
0
0
0
0
0
0
0
DEBT SERVICE
992.000 Debt Sery Principal
825,000
875,000
925,000
925,000
996.000 Debt Serv-Interest-Hon
405,744
354,307
303,196
303,196
999.000 Paying Agent Fees
1,975
1,975
1,950
1,950
1,232,719
1,231,282
1,230,146
1,230,146
ACCT HAL TOTAL . . . . .
1,232,719
1,231,282
1,230,146
1,230,146
EXPENSE TOTAL . . . . . . .
1,232,719
1,231,282
1,230,146
1,230,146
STAT D/S90 NET DIFFERENCE
7,048
47,985-
47,884-
47,884-
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
-------------------------------------
FUND 391 - NAYNE COUNTY CONNECTION
- - - - - - - - - - - - - -
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
INTEREST AND RENTS
665.000 Interest
OTHER REVENUE
691.590 Cont From Sewer Fund
698.000 Sundry Income
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
PAGE 223
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
7,494
3,000
0 0
7,494
3,000
0 0
150,000
0
0 0
23,533
20,495
0 0
173,533
20,495
0 0
101,027
23,495
0 0
101,027
23,495
0 0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
-------------------------------------
FUND 391 - NAYNE COUNTY CONNECTION
-------------------------------------
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
PROF AND CONTRACTUAL SERVICES
000.000 Audit and Accting Sery
MISCELLANEOUS
962.106 Unbilled Cost Debt
DEBT SERVICE
993.010 D/S-Rouge Val-Prin
997.010 D/S-Rouge Val-Intr
ACCT HAL TOTAL . . . . .
EXPENSE TOTAL . . . . . . .
NAYNE CO N MET DIFFERENCE .
0
PAGE 224
0 0
BP9200
0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
0
0
0 0
0
0
0 0
e-
0
0 0
e-
0
0 0
173,995
173,995
0 0
9,135
3,045
0 0
103,130
1]],040
0 0
103,122
1]],040
0 0
103,122
1]],040
0 0
2,095-
153,545-
0 0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Revenue Budget
------------------------------------
FUND 394 - 1998 PADA-STREETSCAPE DHT
REVENUE
DEPARTNEBT 000 - ACCOUNT BALANCES
OTHER REVENUE
691.262 Cont From 262 PADA
691.494 Cont From PADA Constr
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
PAGE 225
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
561,379
560,799
564,644
564,644
0
0
0
0
561,379
560,799
564,644
564,644
561,379
560,799
564,644
564,644
561,379
560,799
564,644
564,644
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Expense Budget
------------------------------------
FUND 394 - 1998 PADA-STREETSCAPE DHT
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
DEBT SERVICE
992.000 Debt Sery Principal
996.000 Debt Serv-Interest-Hon
999.000 Paying Agent Fees
ACCT HAL TOTAL . . . . .
EXPENSE TOTAL . . . . . . .
IDEA DEBT NET DIFFERENCE . .
PAGE 226
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
225,000
235,000
250,000
250,000
335,979
325,399
314,244
314,244
400
400
400
400
561,379
560,799
564,644
564,644
561,379
560,799
564,644
564,644
561,379
560,799
564,644
564,644
0
0
0
0
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L M A N A G E M E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual A ended
ACCOUNT Revenue Budget
------------------------------
FOND 566 - ECONOMIC DEVEL CORP
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
CHARGES FOR SERVICES
610.100 Proj App c Plan Rev Be
610.200 Special Meeting Fees
INTEREST AND RENTS
665.000 Interest
ACCT HAL TOTAL . . . . .
REVENUE TOTAL . . . . . . .
0
PAGE 22]
0
BP9200
0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
0
0
0
0
0
0
0
0
0
0
0
0
195
300
200
200
195
300
200
200
195
300
200
200
195
300
200
200
City of Livonia
DATE 10/26/01
TIME 10:45:01
F I N A N C I A L N A N A G E N E N T
ADOPTED ANNUAL BUDGET
FISCAL YEAR 2001 - 2002
2000 2001
Actual Amended
ACCOUNT Expense Budget
------------------------------
FUND 566 - ECONOMIC DEVEL CORP
EXPENSE
DEPARTMENT 000 - ACCOUNT BALANCES
PERSONNEL SERVICES
702.000 Salaries And Wages
702.100 Vacancy Adj-Wages
FRINGE BENEFITS
714.100 Vacancy Adj-Benefits
715.000 FICA
SUPPLIES
PAGE 228
728.000
Office Supplies
730.000
Postage
PROF AND CONTRACTUAL SERVICES
802.000
Accounting Fees
808.000
Audit and Accting Gary
819.000
Transcript Fees
821.000
Per Diem Expense Allow
COMMUNITY
PROMOTION
882.010
Promotional Progrm
PRINTING AND PUBLISHING
904.000
Printing
INSURANCES
50
917.000
Worker's Comp
ACCT HAL TOTAL . . . . .
EXPENSE TOTAL . . . . . . .
350
PAGE 228
500
BP9200
0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
350
0
500
500
0
0
0
0
350
0
500
500
0
0
0
0
23
0
50
50
23
0
50
50
0
0
0
0
05
0
0
0
05
0
0
0
600
600
600
600
600
600
600
600
0
Soo
0
0
0
Soo
0
0
1,200
2,200
1,200
1,200
467
1,000
500
500
467
1,000
500
500
300
300
300
300
300
300
300
300
0
0
0
0
0
0
0
0
2,425
3,500
2,550
2,550
2,425
3,500
2,550
2,550
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Expense
Budget
--------------------------------------------------------------
FUND
566 - ECONOMIC
REVEL CORP
PAGE 229
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
EDC NET DIFFERENCE . . . . . 2,230- 3,200- 2,350- 2,350-
City
of
Livonia F I N A N C
I A L N A
N A G E N E N
T
PAGE 230
DATE
10/26/01
ADOPTEE
ANNUAL
BUDGET
BP9200
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
Amended
Mayor
City Coun.
ACCOUNT
Revenue
Budget
Approved
Approved
-------------------------------------------------------------------------------------
FOND
592
- NATER AND SEWER FOND
--------------------------------------------
REVENUE
DEPARTMENT 000 - ACCOUNT BALANCES
CHARGES
FOR SERVICES
642.000
Recycling Salvage Sale
0
200
200
200
650.101
Water Sales, Quarterly
5,693,690
],]]2,0]6
8,612,365
8,612,365
650.102
Water Sales, Monthly
2,959,715
2,051,584
2,248,536
2,248,536
650.103
Water Sales, Unmetered
11,751
12,000
12,000
12,000
650.201
Service Connections
]0,0]4
70,000
65,000
65,000
650.202
Sales Of Meters
61,882
60,000
55,000
55,000
650.203
Sales Of Read-o-Matics
5,025
7,000
6,500
6,500
650.301
Sewage Dis-Liv, Quarte
320,175
318,100
297,200
297,200
650.302
Sewage Dis-Liv, Monthl
388,182
418,913
450,054
450,054
650.303
Sewage Dis-Wayne Count
9,]94,1]1
11,798,165
12,211,706
12,211,706
19,304,665
22,508,038
23,958,561
23,958,561
FINDS
AND FORFIETS
657.100
Penalties Forfeitd
641,548
550,000
600,000
600,000
641,548
550,000
600,000
600,000
INTEREST
AND RENTS
665.000
Interest
145,910
95,000
200,000
200,000
665.010
I/I-Receivables
249,759
200,000
150,000
150,000
665.011
1/1-Open/Main
176,655
180,000
180,000
180,000
665.012
Int On Invest -Surplus
243,569
240,000
200,000
200,000
665.022
Int On Invest-W.C. SS
0
0
0
0
665.023
Int On Invest-W.C. SS
0
0
0
0
665.024
Int On Invest-W.C. SS
0
0
0
0
667.030
Rent-Novi/Nrthvll
0
0
0
0
669.510
I/I-Sewer Corm-Wci
24,035
22,000
21,000
21,000
839,928
]3],000
751,000
751,000
OTHER
REVENUE
680.000
Sale Of Fixed Asst
0
0
0
0
691.000
Contributions -Other
0
0
0
0
691.262
Cont From 262 IDEA
18,347
0
0
0
691.373
Cont From HDR Drain Fu
0
0
0
0
691.409
Cont From Golf -Cap Imp
0
0
0
0
696.000
Purchase Discounts
18
0
0
0
698.000
Sundry Income
240,618
191,800
240,000
240,000
698.010
Cash-Over/Under
32-
0
0
0
698.102
Charge For Turn Off
0
0
0
0
698.103
Charge For Repair
9,298
10,000
10,000
10,000
698.105
Water Tap Permits
0
0
0
0
698.106
Hydrant Permits
240
200
200
200
268,489
202,000
250,200
250,200
OTHER
FINANCING
SOURCES
699.000
Bond Proceeds
0
0
0
0
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
TIME
10:45:01
FISCAL YEAR 2001
- 2002
2000
2001
Actual
A ended
ACCOUNT
Revenue
Budget
--------------------------------------------------------------
FUND
592 - NATER AND
SEWER FUND
0 0
PAGE 231
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
0 0
ACCT HAL TOTAL . . . . . 21,054,630 23,997,030 25,559,761 25,559,761
REVENUE TOTAL . . . . . . . 21,054,630 23,997,030 25,559,761 25,559,761
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
]1].000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
PERSONNEL
SERVICES
2000
2001
Salaries And Wages
322,871
Actual
Amended
ACCOUNT Expense Budget
FRINGE BENEFITS
714.100
808.232
----------------------------------------------
FOND 592
- NATER AND SEWER FOND
810.000
--------------------------------------------
EXPENSE
]1].000
814.915
DEPARTMENT
558 - W & S FINANCIAL
ARMIN
PERSONNEL
SERVICES
840.010
702.000
Salaries And Wages
322,871
702.100
Vacancy Adj-Wages
0
]0].000
Alternate Payments
2,000
709.000
Overtime
5,380
712.201
Wage Tsf-Accounting
35,000
FRINGE BENEFITS
714.100
808.232
Vacancy Adj-Benefits
715.000
810.000
FICA
]1].000
814.915
Holiday And Longev
718.000
840.000
Sick Pay
719.000
840.010
Medical Pmt
720.000
840.020
Life Insurance
722.000
0
Retirement EB
723.000
29,643
Retirement DC
724.000
7,410
Retirement Medical
SUPPLIES
028.000 Office Supplies
730.000 Postage
750.100 Water Purchases
756.000 Miscellaneous
PROF AND
CONTRACTUAL SERVICES
808.232
BP9200
Try Audit Costs -Ind An
810.000
2002
Banking Service
814.915
City Coun.
Try Computer Sry-Data
840.000
35,000
Sewage Treatmnt Ex
840.010
415,648
Excess Flow Expense
840.020
0
CSO Expense
TRANSPORTATION
861.010 Auto Expense-Emp
864.016 Travel/Ed-Board Member
COMMUNITY PROMOTION
882.010 Promotional Progrm
365,251
0
26,432
6,928
14,429-
26,085
]53
0
12,660
36,323
94,]52
6,194
34,250
6,134,295
5,196
6,1]9,935
14,6]4
2,512
50,000
6,329,93]
1,056,000
0
7,453,123
28
0
363,648
PAGE 232
362,084
BP9200
0
SLATER
2002
2002
Mayor
City Coun.
Approved
Approved
363,648
362,084
362,084
0
0
0
2,000
3,000
3,000
15,000
15,000
15,000
35,000
35,000
35,000
415,648
415,084
415,084
0
0
0
29,820
29,643
29,643
7,150
7,410
7,410
20,000
20,000
20,000
31,080
30,317
30,317
989
984
984
0
0
0
17,216
17,068
17,068
40,105
48,113
48,113
146,360
153,535
153,535
7,000
10,000
10,000
40,000
43,000
43,000
6,]9],200
],]44,131
],]44,131
2,500
2,500
2,500
6,846,700 ],]99,631 ],]99,631
20,500
21,000
21,000
2,700
2,700
2,700
150,000
150,000
150,000
6,960,516
6,700,784
6,700,784
1,500,000
1,400,000
1,400,000
301,300
800,000
800,000
8,935,016 9,074,484 9,074,484
200
200
200
2,000
2,000
2,000
2,200
2,200
2,200
0
500
500
- - - -
0
- - -
500
- -
500
City of
Livonia F I N A N C
I A L N A
N A G E N E N
T
PAGE 233
DATE 10/26/01
ADOPTEE
ANNUAL
BUDGET
BP9200
TIME 10:45:01
FISCAL YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
-------------------------------------------------------------------------------------
FOND 592
- NATER AND SEWER FOND
--------------------------------------------
EXPENSE
DEPARTMENT 558 - W & S FINANCIAL ADMIN
PRINTING
AND PUBLISHING
904.000
Printing
8,672
14,000
20,000
20,000
8,672
14,000
20,000
20,000
INSURANCES
917.000
Worker's Comp
23,425
20,000
20,000
20,000
918.000
Liability Insurance
202,247
190,000
200,000
200,000
225,672
210,000
220,000
220,000
PUBLIC UTILITIES
928.000
Heat, Light, Water
o
0
0
0
0
0
0
0
REPAIRS
AND MAINTENANCE
934.000
Office Equip Maint
1,930
2,500
2,500
2,500
1,930
2,500
2,500
2,500
OTHER CHARGES
AND SERVICES
944.000
Lease Purchase Pay
1,724
3,500
3,500
3,500
958.000
Dues And Subscript
o
100
loo
100
959.000
Depreciation Expense
2,351,368
2,380,194
2,492,406
2,492,406
960.010
Ed/Training-Emp
o
Soo
1,200
1,200
2,353,092
2,384,294
2,497,206
2,497,206
MISCELLANEOUS
961.010
Uncollected Accounts
5,802
3,000
3,000
3,000
5,802
3,000
3,000
3,000
CAPITAL
OUTLAY
983.000
Cap Outlay -Office Eqp
1,543
2,900
1,200
1,200
1,543
2,900
1,200
1,200
DEBT SERVICE
989.000
Sale Of Bonds Expense
549
0
6,563
6,563
990.000
Bond Defeasement
41,396
41,396
41,396
41,396
996.000
Debt Serv-Interest-Hon
625,590
561,976
785,452
785,452
999.000
Paying Agent Fees
5,382
4,500
5,700
5,700
6]2,91]
60],8]2
839,111
839,111
W/S
ADMIN TOTAL . . .
17,362,717
19,570,490
21,028,451
21,028,451
City
of Livonia F I N A N C
I A L M A N
A G E M E N
T
PAGE 234
DATE
10/26/01
ADOPTEE
ANNUAL BUDGET
BP9200
TIME
10:45:01
FISCAL YEAR 2001
- 2002
SLATER
2000
2001
2002
2002
Actual
Amended
Mayor
City Coun.
ACCOUNT
Expense
Budget
Approved
Approved
-------------------------------------------------------------------------------------
FOND
592 -
NATER AND SEWER FOND
--------------------------------------------
EXPENSE
DEPARTMENT 559 - W & S FIELD OPERATIONS
PERSONNEL
SERVICES
702.000
Salaries And Wages
1,439,483
1,458,843
1,461,521
1,461,521
702.100
Vacancy Adj-Wages
0
0
0
0
]0].000
Alternate Payments
2,000
3,000
4,000
4,000
709.000
Overtime
233,061
236,000
250,000
250,000
712.205
Wage Tsf-Refuse
63,000-
57,000-
54,000-
54,000-
712.208
Wage Tsf-Recreation
0
5,000-
2,500-
2,500-
712.441
Wage Tsf-Engineering
89,354
104,354
107,319
107,319
712.444
Wage Tsf-PSD Ad,uin
1]3,5]0
231,398
242,858
242,858
712.445
Wage Tsf-PSD Dir
39,874
43,566
44,872
44,872
712.463
Wage Tsf-Streets
234,000
220,000
200,000
200,000
]12.]04
Wage Tsf-Parks
0
0
0
0
2,148,342
2,235,161
2,254,070
2,254,070
FRINGE BENEFITS
713.441
Benet Tsf-Engring
32,620
42,620
58,321
58,321
714.100
Vacancy Adj-Benefits
0
0
0
0
715.000
FICA
131,494
132,878
134,390
134,390
]1].000
Holiday And Longev
35,982
39,130
41,210
41,210
719.000
Medical Pmt
161,073
168,065
211,710
211,710
720.000
Life Insurance
2,961
3,962
3,967
3,967
722.000
Retirement DB
0
0
0
0
723.000
Retirement DC
26,957
28,894
37,550
37,550
724.000
Retirement Medical
161,206
164,363
197,850
197,850
725.205
O/H Tsf-Refuse
63,000-
57,000-
54,000-
54,000-
725.208
O/H Tsf-Recreation
0
5,000-
2,500-
2,500-
725.444
O/H Tsf-PSD Ad,uin
1]3,5]0
231,398
242,858
242,858
725.445
O/H Tsf-PSD Dir
39,874
43,566
44,872
44,872
725.463
O/H Tsf-Streets
234,000
220,000
200,000
200,000
]25.]04
O/H Tsf-Parks
0
0
0
0
936,]3]
1,012,876
1,116,228
1,116,228
SUPPLIES
728.000
Office Supplies
2,391
3,500
3,500
3,500
756.000
Miscellaneous
1,612
3,700
3,700
3,700
766.000
Tools And Supplies
9,915
35,000
35,000
35,000
766.010
Tsf-Tools c Supply
5,200
5,200
5,200
5,200
768.000
Uniform Allowance
10,303
17,000
17,000
17,000
]]0.000
Safety Supplies
2,347
3,700
4,000
4,000
]]8.000
Equip Maint Supply
993
3,000
3,000
3,000
]8].010
Meter Repair Supplies
4,940
12,000
12,000
12,000
]8].020
Service Line Install
10,323
40,000
40,000
40,000
]8].030
Meter Installations
30,720
100,000
100,000
100,000
]8].040
Meter Replacement Prog
52,822
125,000
125,000
125,000
]8].050
Water Line Repair Supp
80,981
75,000
82,000
82,000
]8].060
Gate Well Repair Supp
28,749
40,000
40,000
40,000
787.070
Hydrant -Maintenance
46,116
50,000
50,000
50,000
795.000
Sewer Cleaning Supplie
7,155
10,000
10,000
10,000
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
PAGE 235
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
OPERATIONS
BP9200
TIME
10:45:01
FISCAL YEAR 2001
- 2002
460
SLATER
25,000
25,000
2000
2001
2002
2002
3,500
3,500
Actual
Amended
Mayor
City Coun.
ACCOUNT
551,600
Expense
Budget
Approved
Approved
EXPENSE
DEPARTMENT
559 - N & S FIELD
OPERATIONS
796.000
Sewer Repair Natrl
460
25,000
25,000
25,000
]9].000
Flushing Sewers
3,023
3,500
3,500
3,500
298,050
551,600
558,900
558,900
PROF AND CONTRACTUAL SERVICES
817.000
Consulting Services
0
4,000
4,000
4,000
818.000
Contractual Service
154,563
280,269
240,000
240,000
154,563
284,269
244,000
244,000
TRANSPORTATION
861.010
Auto Expense-Emp
2,626
3,000
3,000
3,000
864.010
Travel/Ed-Emp
2,071
2,600
2,600
2,600
4,697
5,600
5,600
5,600
PRINTING AND
PUBLISHING
905.000
Publishing
0
300
300
300
0
300
300
300
INSURANCES
917.000
Worker's Comp
3,445
20,000
2,591
2,591
917.950
Tsf-Wk Comp Insurance
75,000
75,000
75,000
75,000
78,445
95,000
]],591
]],591
PUBLIC
UTILITIES
928.000
Heat, Light, Nater
2,667
5,000
5,000
5,000
2,667
5,000
5,000
5,000
REPAIRS AND
MAINTENANCE
931.000
Building Maint
0
3,500
3,500
3,500
939.000
Vehicle Maint
105,350
140,000
140,000
140,000
105,350
143,500
143,500
143,500
OTHER CHARGES
AND SERVICES
943.000
Outside Equip Rental
5,600
5,600
5,600
5,600
943.010
Try Equip Rent-Oth Fun
90,000-
100,000-
80,000-
80,000-
943.446
Try Equip Rent -DPN
188,000
197,000
192,500
192,500
958.000
Dues And Subscript
813
2,500
2,500
2,500
960.010
Ed/Training-Emp
1,573
2,000
2,000
2,000
105,986
107,100
122,600
122,600
MISCELLANEOUS
961.020
Inventory Adj
16,202
0
0
0
City
of Livonia
F I N A N C I A L N A N
A G E N E N T
DATE
10/26/01
ADOPTEE ANNUAL BUDGET
982.000
TIME
10:45:01
FISCAL YEAR 2001
- 2002
0
Cap
2000
2001
0
0
Actual
Amended
ACCOUNT Expense Budget
--------------------------------------------------------------
FOND 592 - NATER AND SEWER FOND
--------------------------------------------
EXPENSE
DEPARTMENT 559 - W & S FIELD OPERATIONS
CAPITAL
OUTLAY
0
973.165
0
Drain
Improvements
982.000
0
Cap
Outlay-Mach/Eq
983.000
0
Cap
Outlay -Office Eqp
W/S FIELD TOTAL . . . .
EXPENSE TOTAL . . . . . . .
WAT/SEW MET DIFFERENCE .
TOTAL REVENUES . .
TOTAL EXPENSES . .
TOTAL DIFFERENCE :
PAGE 236
BP9200
SLATER
2002 2002
Mayor City Coun.
Approved Approved
16,202
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
3,851,039
4,440,406
4,52],]89
4,52],]89
21,213,756
24,010,896
25,556,240
25,556,240
159,126- 13,858- 3,521 3,521
106,152,574 143,358,518 114,657,164 114,657,164
103,574,366 152,8]],330 116,360,664 116,360,664
2,578,208 9,518,812- 1,703,500- 1,703,500-