ELECTRIC EXPENDITURES - 4120Actual 2023-2024Actual 2024-20252025-2026 Budget7 Month Actual Year to DateEstimated 2025-20262026-2027 Budget
531.1100EXECUTIVE SALARIES94,11916,246000109,996
531.1200REGULAR SALARIES542,402532,728470,545258,519443,172389,118
531.1300ON CALL SALARIES5,34816,17916,56911,93520,46021,312
531.1400OTHER SALARIES, OT, HOLIDAY26,48238,51412,69310,84118,58819,359
531.1500SPECIFIED COMPENSATION (& CM DISCRETIONARY MERIT)000000
531.2100FICA TAXES40,21838,06630,98817,16329,89833,467
531.2101MEDICARE TAXES9,5118,3977,2473,6876,9927,827
531.2200FRS RETIREMENT CONTRIBUTIONS31,94225,46524,52821,05136,08435,866
531.2201REGULAR EMPLOYEE'S PENSION PLAN39,74694,61492,15835,75462,07945,924
531.2202DEFERRED COMP - CITY SHARE1,1042,8164816971,2001,145
531.2203REGULAR EMPLOYEE Defined Contribution PLAN9,3754,8715,872(110)4,9577,984
531.2300GROUP INSURANCE79,53480,95357,64544,74376,70483,965
531.2301GROUP INSURANCE (DEPENDENTS)28,62522,6717,71617,70730,36028,188
531.2302GROUP INSURANCE (RETIREES)6,1234,6034,5472,6054,4645,373
531.2304GROUP INSURANCE HRA14,99017,66013,00013,14714,25012,000
531.2400WORKMEN'S COMPENSATION INSURANCE2,7378,0235,0223,6736,3007,245
531.3100PROFESSIONAL SERVICES3,5993,3063,00003,0003,000
531.3200ACCOUNTING & AUDITING24,97526,32532,62527,04536,81036,810
531.3400CONTRACTUAL SERVICES192,493203,245289,20062,868287,133289,000
531.3403IT SUPPORT CONTRACTS26,30830,78142,61333,04542,61352,603
531.4000TRAVEL PER DIEM1,4031,8443,0001,9604,1004,500
531.4100COMMUNICATION SERVICES5,2405,4897,0002,6656,5007,000
531.4200POSTAGE AND FREIGHT9,0178,94612,0006,24010,69712,000
531.4300UTILITY SERVICES7,4718,83411,0006,11010,47411,000
531.4400RENTALS01,2165,000005,000
531.4500GENERAL INSURANCE29,55242,74438,73418,12431,06835,728
531.4600REPAIR AND MAINTENANCE44,336101,49080,00027,54290,000100,000
531.4604HURRICANE MILTON EXPENSES090,1820000
531.4900OTHER CURRENT CHARGES20,95826,49527,91410,41749,39230,000
531.5100OFFICE SUPPLIES4862205000500500
531.5200OPERATING SUPPLIES34,37636,56935,00015,97927,39235,000
531.5201IT OPERATING SUPPLIES1,7593,8475,5357155,5354,275
531.5202OPERATING SUPPLIES- FUEL16,30012,88816,0006,96011,93116,000
531.5203SMALL TOOLS & EQUIPMENT12,83010,7527,5003,3517,0007,500
531.5204SAFETY EQUIPMENT3,6296,6837,0002,8627,0007,000
531.5208IT LICENSES17,73813,67918,79912,27018,79927,236
531.5400BOOKS, PUBS, SUBS, & MEMBERSHIPS9,5079,77811,40010,87311,40012,900
531.5403TRAINING7,38712,2375,7757,8177,80020,000
531.5501DEMAND & ENERGY CHARGE4,558,2485,059,3754,868,6082,903,8354,978,0034,978,003
531.5902BAD DEBT EXPENSE(586)(483)0000
531.7203INTEREST (2018 & 2019 ALTEC TRUCKS)000000
531.7204INTEREST (SECO PERMANENT FINANCING)167,023158,146149,03975,673149,039139,699
582.7305FMPA POOLED LOAN FEES6,1006,1006,1003,0506,1006,100
***TOTAL ELECTRIC EXPENDITURES***6,132,4056,792,4946,432,3533,680,8136,557,7946,649,623
BUDGET EXCESS/DEFICIENCY943,988910,466408,458876,194927,122458,566
Less Cash Provided From Operations For Capital Fund Balance Utilized510,568458,445408,458226,652416,861431,892
Net income after Capitalization (Fund Balance Adds or Deletes)433,420452,0210649,542510,26126,674