FY 25 Harford County Government Proposed Operating Budget
DIVISION SUMMARY BY CHARACTER
DPW Facilities & Ops 302100 by Character
FY 22 Audited
FY 23 Audited
FY 24 Approved Budget
FY 25 Proposed Budget
SALARIES AND WAGES CONTRACTUAL SERVICES SUPPLIES AND MATERIALS BUSINESS AND TRAVEL
$0 $0 $0 $0 $0
$0 $0 $0 $0 $0
$3,935,338 $2,227,375
$3,970,568 $2,430,375
$645,500 $96,450 $28,517
$611,600 $93,950 $36,600
MISCELLANEOUS
INTER-GOVERNMENTAL / INTER-FUND EXPENDITURES
$0
$0
$200
$200
TOTAL
$0
$0
$6,933,380
$7,143,293
DIVISION SUMMARY BY FUND
DPW Facilities & Ops 302100 by Fund
FY 22 Audited
FY 23 Audited
FY 24 Approved Budget
FY 25 Proposed Budget
GENERAL FUND (011) GENERAL FUND GENERAL FUND TOTAL
$0 $0 $0
$0 $0 $0
$6,933,380 $6,933,380 $6,933,380
$7,143,293 $7,143,293 $7,143,293
TOTAL
FINANCIAL NOTES PERSONAL SERVICES INCREASES $ 35,320 Full time salaries increase $26,101
Salary adjustment ($67,871) Turnover adjustment $19,652 FY 24 COLA - $74,320 FY 25 COLA of 1% and merit increase of $1,000 to all eligible employees $69,790 Transfer one Asset Manager out Pin 3269 ($146,720) Pension increase $12,127 Workers Compensation decrease ($7,238) Health benefts adjustment $63,325 based on 10% cost increase Other Post Employment Benefts (OPEB) and Retirement Health Services (RHS) adjusted ($1,268) Overtime increase of $15,000 FICA adjustment ($887) CONTRACTUAL SERVICES INCREASES $203,000 Electricity, Heating Fuel Gas and Water and Sewer increase of $120,000 based on actuals and addition of Converge Center County Facility Repair and Security Systems increase of $80,000 based on actuals and addition of Converge Center SUPPLIES & MATERIALS DECREASES ($33,900) Decrease in Ofce Mailing of $35,800 as water bill processing shifted to a contractor Paper supplies and Other Supplies and Materials decrease $12,100 based on actual expense history Equipment Repair Parts increased $25,000 based on actual expense history
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