A2OpenBook » Expenses by Fund

Fiscal Year:

FundAnnual Budgeted AmountYTD Expensed AmountYTD % Used
0001 - DDA HOUSING FUND$950,600-0%
0002 - ENERGY PROJECTS$68,289$66,73398%
0003 - DOWNTOWN DEVELOPMENT AUTHORITY$12,592,800$47,3470%
0009 - SMART ZONE LDFA$5,758,941$3,124,84354%
0010 - GENERAL$145,335,809$116,492,90780%
0011 - CENTRAL STORES$1,492,742$1,102,81274%
0012 - FLEET SERVICES$16,771,363$6,278,23137%
0014 - INFORMATION TECHNOLOGY$13,858,427$8,965,20265%
0016 - COMMUNITY TELEVISION NETWORK$1,959,796$1,557,47179%
0017 - HOMELAND SECURITY GRANT FUND$38,743$38,743100%
0021 - MAJOR STREET$22,029,679$9,961,03745%
0022 - LOCAL STREET$5,560,507$4,400,26479%
0023 - COURT FACILITIES$225,000$225,000100%
0024 - OPEN SPACE & PARK ACQ MILLAGE$2,846,783$1,818,02964%
0025 - BANDEMER PROPERTY$8,350$2,49730%
0026 - CONSTRUCTION CODE FUND$5,690,102$4,601,15181%
0027 - DRUG ENFORCEMENT$37,332-0%
0028 - FEDERAL EQUITABLE SHARING FORFEI$65,482$30,54047%
0033 - DDA PARKING MAINTENANCE$6,603,000-0%
0034 - PARKS MEMORIALS & CONTRIBUTIONS$1,415,439$13,7501%
0035 - GENERAL DEBT SERVICE$17,098,649$14,901,58587%
0036 - METRO EXPANSION$435,261$272,11363%
0038 - SPECIAL ASSISTANCE$120,000$6,0745%
0041 - OPEN SPACE ENDOWMENT$15,000$14,39496%
0042 - WATER SUPPLY SYSTEM$49,065,552$32,938,92467%
0043 - SEWAGE DISPOSAL SYSTEM$49,189,713$29,193,07459%
0048 - AIRPORT$1,051,085$780,63374%
0049 - PROJECT MANAGEMENT$6,326,086$4,010,76063%
0052 - VEBA TRUST$1,347,419$339,74325%
0053 - POLICE & FIRE RELIEF$50,000-0%
0055 - ELIZABETH R. DEAN TRUST FUND$61,400$11,44619%
0057 - RISK FUND$37,987,173$32,993,90387%
0058 - WHEELER CENTER$999,825$685,16369%
0059 - PENSION TRUST FUND$49,545,895$31,593,49764%
0061 - ALTERNATIVE TRANSPORTATION$1,020,389$429,81642%
0062 - STREET,BRIDGE & SIDEWALK MILLAGE$68,149,749$20,490,61930%
0063 - DDA PARKING FUND$26,866,100$8,1880%
0064 - MICHIGAN JUSTICE TRAINING$14,000$14,000100%
0069 - STORMWATER SEWER SYSTEM FUND$29,688,626$9,625,07032%
0070 - AFFORDABLE HOUSING$69,932-0%
0071 - PARK MAINT & CAPITAL IMP MILLAGE$16,348,663$6,329,85939%
0072 - SOLID WASTE$24,277,326$13,421,57155%
0075 - SEWER REVENUE BONDS$8,483,511$1,868,82022%
0082 - STORM SEWER REVENUE BONDS$6,955,381$10%
0088 - SEWER BOND PENDING SERIES$21,673,687-0%
0089 - WATER PENDING BOND SERIES$13,099,696$10%
0092 - WATER PLANT FINANCING$2,324,036$1,101,07147%
0093 - WATER REVENUE BONDS-($996)N/A
0095 - WATER BOND FUTURE 2019 SERIES$14,667,260$8,021,00355%
0096 - WATER PENDING BOND SERIES$2,806,145$812,46229%
00CP - GENERAL CAPITAL FUND$4,595,375$132,8713%
00MG - MAJOR GRANTS PROGRAMS$36,355,753$7,855,11522%
0100 - COUNTY MENTAL HEALTH MILLAGE $4,430,550$2,096,90747%
0101 - CAPITAL SINKING FUND$1,447,100$36,7713%
0102 - SIDEWALK CONSTRUCTION MILLAGE $3,687,992$397,56211%
0103 - AFFORDABLE HOUSING MILLAGE$15,463,869$15,279,45799%
0105 - MAJOR STREET ROAD BOND$6,270,830$2,588,91841%
0106 - LOCAL STREET ROAD BOND$139,212$138,38699%
0107 - STREET, BRIDGE, & SIDEWALK BONDS$2,600,000$1,180,48745%
0108 - TECHNOLOGY FIBER$351,099$196,05256%
0109 - CLIMATE ACTION MILLAGE$7,060,574$2,903,43641%
0110 - WATER CIP BOND$24,577,138$4,369,38618%
Total:$800,026,235$405,764,69951%

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