| CITY OF PEQUOT LAKES 				2018 PRELIMINARY BUDGET  						Page:   5
<br /> 										Period:09/17     					Sep 28,2017 10:53AM
<br />											01/17-09/17	2017   	2018
<br />											Current year   Current year    Preliminary       Budget       Budget
<br />     	Account Number      		Account Titte			Actual 	Budget 	Budget	Variance    Variance%
<br />   	101-41910-500	CAPITAL OUTLAY   					302    	300    	300       	0  	.00
<br /> 		Budgetnotes:
<br />      		-2018 EXCHANGE SERVER UPGRADE&SQL LICENSE
<br />   	101-41910-810	REFUNDS&REIMBURSEMENTS   			352       	0       	0       	0  	.00
<br />  		Total PLANNING&ZONING:      					62,198 	85,300 	91,920  	6,620      7.76%
<br />   	E911 ADDRESSING
<br />   	101-41911-210	OPERATING SUPPLIES     				346    	250  	4,050  	3,800   1520.00%
<br />		Budgetnotes:
<br />      		�2018 MISC$410,TURNBACKS$3,640
<br />   	101-41911-313	CONTRACT SERVICES      				150    	250  	3,700  	3,450   1380.00%
<br />		Budget notes:
<br />      		�2018 MISC$200,TURNBACKS$3,500
<br />  		Total E911 ADDRESSING:    						496    	500  	7,750  	7,250   1450.00%
<br />   	GENERAL BUILDING
<br />   	101-41940-210	OPERATING SUPPLIES   				2,954 	11,60�   	9,800   (       1,800)    -15.52%
<br />		Budget notes:
<br />     		-2018 PAPER PRODUCTS/MINOR REPAIRS/CLEANING SUPPLIES/LIGHT BULBS FOR CITY HALL, CHAMBER,LIBRARY, &COLE
<br />      		BLDGS$9,500,NEW BLDG$300
<br />   	101-41940-313	CONTRACT SERVICES   				10,847 	13,000 	13,200    	200       1.54%
<br />		Budget notes:
<br />     		�2018 PARKING LOT STRIPES,FIRE EXT CERTIFICATIONS, IAWN SERVICE, ELEVATORS,ALARM SYSTEM MONITORING,
<br />      		LIBRARY RUGS RENTAL,CLEANING SERVICES$13,000;FIRE EXTINGUISHERS FOR NEW BLDG$200
<br />   	101-41940-321	TELEPHONE       					1,453  	2,100  	2,700    	600     28.57%
<br />		Budget notes:
<br />     		-2018 INCREASE DUE TO NEW BUILDING
<br />   	101-41940-381	ELECTRICITY      					8,009 	11,500 	74,000  	2,500     21.74°/a
<br />		Budget notes:
<br />     		-2018 INCREASE DUE TO NEW BUILDING
<br />   	101-41940-383	HEATING  						4,285  	9,600 	12,100   	2,500     26.04%
<br />		Budget notes:
<br />     		�2018 INCREASE DUE TO NEW BUILDING
<br />   	101-41940-384	SANITATION  						60       	0       	0       	0  	.00
<br />   	101-41940-400	REPAIR/MAINTENANCE/SERVICES     		27,869  	3,500  	3,950    	450     12.86%
<br />		Budget notes:
<br />     		�2018 INCREASE DUE TO NEW BUILDING
<br />   	101-41940-433	DUES/LICENSING/SUBSCRIPTIONS			280    	260    	260       	0  	.00
<br />		Budget notes:
<br />     		-2018 SOLID WASTE TAXES,CWC ALARM SYSTEM RENEWAL
<br />   	101-41940-500	CAPITAL OUTLAY      					0  	5,000       	0  (       5,000)  -100.00%
<br />   	101-41940-601	DEBT SERVICE-PRINCIPAL    			17,913 	24,010 	24,990     	980      4.08%
<br />		Budget notes:
<br />     		�2018 CITY HALL DEBT SERVICE
<br />   	101-41940-610	DEBT SERVICE-INTEREST      			6,094  	8,010  	7,030  ( 	980)    -12.23%
<br />		Budget notes:
<br />     		�2018 CITY HALL DEBT SERVICE
<br />  		Total GENERAL BUILDING:       					79,762 	88,580 	88,030   ( 	550)     -0.62%
<br />   	POLICE
<br />   	101-42100-100	WAGES 						260,638	362,830	365,260  	2,430      0.67%
<br />		Budgetnotes:
<br />     		^2018 3.5%INCREASE,70 OT HRS PER FT OFFICER&SGT,NO OT HRS FOR OFFICE MGR,500 HRS FOR PT OFFICERS
<br />   	101-42100-121	EMPLOYER SHARE-PERA      			41,299 	55,740 	55,760      	20      0.04%
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