Revised 7/8/2026
WASTEWATER EXPENDITURES - 4250Actual 2023-2024Actual 2024-20252025-2026 Budget7 Month Actual Year to DateEstimated 2025-20262026-2027 Budget
535.1100EXECUTIVE SALARIES000000
535.1200REGULAR SALARIES101,00352,56416,4179,85616,89617,218
535.1300ON CALL SALARIES1,0511,2780000
535.1400OTHER SALARIES, OT, HOLIDAY17,1769,0320000
535.1500SPECIFIED COMPENSATION000000
535.2100FICA TAXES8,7235,0411,0185731,0481,068
535.2101MEDICARE TAXES2,0541,184238114245250
535.2201REGULAR EMPLOYEE PENSION PLAN3,9305,9650000
535.2202DEFERRED COMP (CITY SHARE)1591210000
535.2203REGULAR EMPLOYEE Defined Contribution PLAN5,6082,9042,3228561,4642,411
535.2300GROUP INSURANCE17,0618,4542,7441,6002,5952,999
535.2301GROUP INSURANCE (DEPENDENT)7,1964,65207571,2971,499
535.2304GROUP INSURANCE HRA3,3362,0902,000571634500
535.2400WORKMEN'S COMPENSATION INSURANCE1,1731,4021,542122245262
535.3100PROFESSIONAL SERVICES477001,6731,6731,500
535.3200ACCOUNTING & AUDITING3,8854,0955,0754,2075,7265,726
535.3400CONTRACTUAL SERVICES253,005329,408516,377376,186666,640712,504
535.3403IT SUPPORT CONTRACTS3,4813,8895,0753,4115,0756,185
535.4000TRAVEL PER DIEM03305000500500
535.4100COMMUNICATION SERVICES8,0357,7269,2613,7646,4536,647
535.4200POSTAGE AND FREIGHT9879302,0006102,000
535.4300UTILITY SERVICES134,805145,634149,763105,860181,474190,548
535.4400RENTALS4782,0950000
535.4500GENERAL INSURANCE12,5168,7228,8416041,03226,429
535.4600REPAIR & MAINTENANCE204,594219,288200,000128,831423,041210,000
535.4604HURRICANE MILTON EXPENSES086,5710000
535.4900OTHER CURRENT CHARGES6,0453,4224,1723,0215,1795,179
535.5100OFFICE SUPPLIES11500000
535.5200OPERATING SUPPLIES28,72821,53716,0001,8153,1113,500
535.5201IT OPERATING SUPPLIES48030761578615475
535.5202OPERATING SUPPLIES - CHEMICAL TREATMENT67,77237,9130000
535.5203SMALL TOOLS & EQUIPMENT6,7211,6540000
535.5204SAFETY EQUIPMENT5200000
535.5208IT LICENSES2,6281,8692,0891,7832,0893,026
535.5210OPERATING SUPPLIES - FUEL9,7976,65410,0001,8703,2064,000
535.5400BOOKS, PUBS, SUBS, & MEMBERSHIPS294750404075
535.5401EDUCATION AND TRAINING1,0974432000200875
535.5902BAD DEBT EXPENSE(159)(114)0000
535.6100LAND ACQUISITION04,3000057,0000
535.72102017 WATER & SEWER BOND INTEREST52,07049,24846,37547,02147,02143,297
535.7211INTEREST DEP SRF 676060 HANSON PLANT (Webster)6,0744,6943,2851,8203,2851,844
535.7213INTEREST - SRF WW600441005,8042,6055,8044,976
535.7301SRF WW600440 SERVICE FEE EXPENSE6,50000000
535.7303SRF WW600441 SERVICE FEE EXPENSE00018,23418,2340
***SUBTOTALS***978,9471,014,3771,011,713717,2781,461,8321,255,493
BUDGET EXCESS/DEFICIENCY2,736,8561,891,4191,258,351832,5351,069,227811,498
Less Cash Provided From Operations For Capital544,887181,613456,776159,818251,800437,335
Net income after Capitalization (Fund Balance Additions)2,191,9691,709,806801,575672,717817,427374,163