FY23 FULL BUDGET REPORT ADOPTED
Public Works
Mission The Public Works Department provides exceptional customer service by ensuring citizen safety, maintaining the infrastructure, supporting Town departments, & providing quality essential services. Service to Community Responsible for ensuring the safety of the Town’s vehicle fleet, creating se cure & clean environments in Town facilities, providing safe & improved streets for travel, affording town-wide landscape, park, & athletic field maintenance while offering progressive, cost-effective solid waste services.
Budget Notes
2022 Estimated Actual
2023 Projected Budget
2020 Actual
2021 Actual
Public Works
Total Salary and Benefits
$ $ $ $
1,557,057 3,389,803 402,248 5,349,108
$ $ $ $
1,626,400 $ 3,862,548 $ 397,000 $ 5,885,948 $
1,720,370 $ 5,215,565 $ 557,184 $ 7,493,119 $
2,265,800 4,509,800
Operations
208,000
Capital Outlay
6,983,600
Total Expenditures
26%
Year Over Year % Change Total Year Over Year $s Change Total
10%
27%
-7%
$
1,092,331
$
536,839 $
1,607,171 $
(509,519)
Powell Bill Operations Capital Outlay
$ $ $
238,100
$ $ $
181,600 $
1,482,583 $
750,000
- $
- $
-
-
181,600 $
1,482,583 $
750,000
Total Expenditures
238,100
-30%
Year Over Year % Change Total Year Over Year $s Change Total
-24%
716%
-49%
$
(103,800) $
(56,500) $
1,300,983 $
(732,583)
Fleet Operations
$ $ $
200
$ $ $
- $
- $
-
551,806 $ 551,806 $
331,110 $ 331,110 $
460,000 460,000
Capital Outlay
844,563 844,763
Total Expenditures
89%
Year Over Year % Change Total Year Over Year $s Change Total
-35%
-40%
39%
$
397,628
$
(292,957) $
(220,696) $
128,890
FY22 Budget Priorities Vehicle Replacement
$ $ $ $ $
460,000 201,600 127,000 109,000 50,000
Material Base Budget Adjustment - Powell Bill Funding, Utilties, Maintenance, & Fuel
Facility Maintenance Needs & Repairs
Contracted Services Increase and Cricket Maintenance Increase
Sustainability Master Plan Support
Total
$
947,600
Total Fulltime Staff
25
76
Made with FlippingBook Annual report maker