Fund | Annual Budgeted Amount | YTD Expensed Amount | YTD % Used |
0001 - DDA HOUSING FUND | $950,600 | - | 0% |
0002 - ENERGY PROJECTS | $68,289 | $66,733 | 98% |
0003 - DOWNTOWN DEVELOPMENT AUTHORITY | $12,592,800 | $47,347 | 0% |
0009 - SMART ZONE LDFA | $5,758,941 | $3,124,843 | 54% |
0010 - GENERAL | $145,335,809 | $116,492,907 | 80% |
0011 - CENTRAL STORES | $1,492,742 | $1,102,812 | 74% |
0012 - FLEET SERVICES | $16,771,363 | $6,278,231 | 37% |
0014 - INFORMATION TECHNOLOGY | $13,858,427 | $8,965,202 | 65% |
0016 - COMMUNITY TELEVISION NETWORK | $1,959,796 | $1,557,471 | 79% |
0017 - HOMELAND SECURITY GRANT FUND | $38,743 | $38,743 | 100% |
0021 - MAJOR STREET | $22,029,679 | $9,961,037 | 45% |
0022 - LOCAL STREET | $5,560,507 | $4,400,264 | 79% |
0023 - COURT FACILITIES | $225,000 | $225,000 | 100% |
0024 - OPEN SPACE & PARK ACQ MILLAGE | $2,846,783 | $1,818,029 | 64% |
0025 - BANDEMER PROPERTY | $8,350 | $2,497 | 30% |
0026 - CONSTRUCTION CODE FUND | $5,690,102 | $4,601,151 | 81% |
0027 - DRUG ENFORCEMENT | $37,332 | - | 0% |
0028 - FEDERAL EQUITABLE SHARING FORFEI | $65,482 | $30,540 | 47% |
0033 - DDA PARKING MAINTENANCE | $6,603,000 | - | 0% |
0034 - PARKS MEMORIALS & CONTRIBUTIONS | $1,415,439 | $13,750 | 1% |
0035 - GENERAL DEBT SERVICE | $17,098,649 | $14,901,585 | 87% |
0036 - METRO EXPANSION | $435,261 | $272,113 | 63% |
0038 - SPECIAL ASSISTANCE | $120,000 | $6,074 | 5% |
0041 - OPEN SPACE ENDOWMENT | $15,000 | $14,394 | 96% |
0042 - WATER SUPPLY SYSTEM | $49,065,552 | $32,938,924 | 67% |
0043 - SEWAGE DISPOSAL SYSTEM | $49,189,713 | $29,193,074 | 59% |
0048 - AIRPORT | $1,051,085 | $780,633 | 74% |
0049 - PROJECT MANAGEMENT | $6,326,086 | $4,010,760 | 63% |
0052 - VEBA TRUST | $1,347,419 | $339,743 | 25% |
0053 - POLICE & FIRE RELIEF | $50,000 | - | 0% |
0055 - ELIZABETH R. DEAN TRUST FUND | $61,400 | $11,446 | 19% |
0057 - RISK FUND | $37,987,173 | $32,993,903 | 87% |
0058 - WHEELER CENTER | $999,825 | $685,163 | 69% |
0059 - PENSION TRUST FUND | $49,545,895 | $31,593,497 | 64% |
0061 - ALTERNATIVE TRANSPORTATION | $1,020,389 | $429,816 | 42% |
0062 - STREET,BRIDGE & SIDEWALK MILLAGE | $68,149,749 | $20,490,619 | 30% |
0063 - DDA PARKING FUND | $26,866,100 | $8,188 | 0% |
0064 - MICHIGAN JUSTICE TRAINING | $14,000 | $14,000 | 100% |
0069 - STORMWATER SEWER SYSTEM FUND | $29,688,626 | $9,625,070 | 32% |
0070 - AFFORDABLE HOUSING | $69,932 | - | 0% |
0071 - PARK MAINT & CAPITAL IMP MILLAGE | $16,348,663 | $6,329,859 | 39% |
0072 - SOLID WASTE | $24,277,326 | $13,421,571 | 55% |
0075 - SEWER REVENUE BONDS | $8,483,511 | $1,868,820 | 22% |
0082 - STORM SEWER REVENUE BONDS | $6,955,381 | $1 | 0% |
0088 - SEWER BOND PENDING SERIES | $21,673,687 | - | 0% |
0089 - WATER PENDING BOND SERIES | $13,099,696 | $1 | 0% |
0092 - WATER PLANT FINANCING | $2,324,036 | $1,101,071 | 47% |
0093 - WATER REVENUE BONDS | - | ($996) | N/A |
0095 - WATER BOND FUTURE 2019 SERIES | $14,667,260 | $8,021,003 | 55% |
0096 - WATER PENDING BOND SERIES | $2,806,145 | $812,462 | 29% |
00CP - GENERAL CAPITAL FUND | $4,595,375 | $132,871 | 3% |
00MG - MAJOR GRANTS PROGRAMS | $36,355,753 | $7,855,115 | 22% |
0100 - COUNTY MENTAL HEALTH MILLAGE | $4,430,550 | $2,096,907 | 47% |
0101 - CAPITAL SINKING FUND | $1,447,100 | $36,771 | 3% |
0102 - SIDEWALK CONSTRUCTION MILLAGE | $3,687,992 | $397,562 | 11% |
0103 - AFFORDABLE HOUSING MILLAGE | $15,463,869 | $15,279,457 | 99% |
0105 - MAJOR STREET ROAD BOND | $6,270,830 | $2,588,918 | 41% |
0106 - LOCAL STREET ROAD BOND | $139,212 | $138,386 | 99% |
0107 - STREET, BRIDGE, & SIDEWALK BONDS | $2,600,000 | $1,180,487 | 45% |
0108 - TECHNOLOGY FIBER | $351,099 | $196,052 | 56% |
0109 - CLIMATE ACTION MILLAGE | $7,060,574 | $2,903,436 | 41% |
0110 - WATER CIP BOND | $24,577,138 | $4,369,386 | 18% |
Total: | $800,026,235 | $405,764,699 | 51% |