Matters ▸ Attachment
FY2013 FINAL PROPOSED GENERAL FUND APPROPRIATION — File 193433
FY2013
GENERAL FUND
PERSONAL
ORDINARY
CAPITAL
SPECIAL
TOTAL
SERVICES
MAINTENANCE
OUTLAY
ITEMS
BUDGET
GENERAL GOVERNMENT
BOARD OF ALDERMEN
284,922
40,660
325,582
CLERK OF COMMITTEES
57,450
1,000
58,450
EXECUTIVE ADMINISTRATION
353,337
62,900
170,000
586,237
EXEC-SOMERSTAT
363,713
31,340
395,053
EXEC-CAPITAL PROJECTS
244,342
20,000
264,342
EXEC-SOMERVILLE PROMISE ALLIANCE
67,210
127,850
195,060
EXEC-COUNCIL ON AGING
217,486
41,375
258,861
EXEC-ARTS COUNCIL
112,888
101,000
213,888
EXEC-CONSTITUENT SERVICES
554,644
16,150
570,794
OFFICE OF SUSTAINABILITY & ENVIRONMENT
139,210
7,500
146,710
COMMUNICATIONS
42,910
23,325
66,235
PERSONNEL
395,985
218,900
44,000
658,885
INFORMATION TECHNOLOGY
555,108
1,044,545
1,599,653
ELECTIONS
324,953
74,670
399,623
VETERAN'S SERVICES
107,115
358,304
465,419
FINANCE DEPT-TREASURER/COLL
583,986
296,500
880,486
FINANCE DEPT-AUDITING DIV
757,194
105,990
863,184
FINANCE DEPT-PURCHASING DIV
315,354
35,075
350,429
FINANCE DEPT-ASSESSING DIV
445,678
87,100
532,778
FINANCE DEPT-GRANTS MGT
106,123
4,456
110,579
FINANCE DEPT- INTERNAL AUDIT
-
-
CITY CLERK
345,501
133,797
479,298
LICENSING COMMISSION
6,530
6,530
LAW
556,538
125,700
682,238
OSPCD ADMINISTRATION
142,203
21,551
163,754
OSPCD TRANSPORTATION
124,828
5,212
130,040
OSPCD PLANNING
403,723
23,637
427,360
OSPCD HOUSING
59,271
1,600
60,871
REDEVELOPMENT AUTHORITY
10,883
10,883
OSPCD ECONOMIC DEVELOPMENT
75,170
5,417
80,587
INSPECTIONAL SERVICES
999,765
199,312
1,199,077
TOTAL GENERAL GOVERNMENT
8,754,020
3,214,866
-
214,000
12,182,886
PUBLIC SAFETY
EMERGENCY MANAGEMENT
18,792
5,700
24,492
FIRE
14,421,057
333,050
54,465
14,808,572
FIRE ALARM
892,954
892,954
POLICE-E911
664,447
664,447
POLICE-ANIMAL CONTROL
90,057
13,507
103,564
POLICE
13,855,623
475,632
51,314
14,382,569
TRAFFIC AND PARKING
2,201,785
902,100
3,103,885
HEALTH
1,274,814
115,599
1,390,413
TOTAL PUBLIC SAFETY
33,419,529
1,845,588
-
105,779
35,370,896
CULTURE AND RECREATION
LIBRARIES
1,453,222
314,149
1,767,371
RECREATION
538,139
86,925
625,064
TOTAL CULTURE & RECREATION
1,991,361
401,074
-
-
2,392,435
PUBLIC WORKS
DPW - ADMINISTRATION
503,746
842,475
1,346,221
DPW - ELECTRICAL
317,597
209,000
526,597
DPW - ENGINEERING
101,825
7,850
109,675
DPW - HIGHWAY
1,830,038
808,516
2,638,554
DPW- SNOW REMOVAL
650,000
650,000
DPW - SANITATION
3,941,580
3,941,580
CITY OF SOMERVILLE
FISCAL YEAR 2013
PROPOSED DEPARTMENT APPROPRIATIONS
FY2013
GENERAL FUND
PERSONAL
ORDINARY
CAPITAL
SPECIAL
TOTAL
SERVICES
MAINTENANCE
OUTLAY
ITEMS
BUDGET
CITY OF SOMERVILLE
FISCAL YEAR 2013
PROPOSED DEPARTMENT APPROPRIATIONS
DPW - BUILDING & GROUNDS
1,897,428
6,905,521
8,802,949
DPW-SCHOOL CUSTODIANS
1,630,257
827,502
2,457,759
WEIGHTS AND MEASURES
83,946
2,790
86,736
TOTAL PUBLIC WORKS
6,364,837
14,195,234
-
-
20,560,071
PENSION & FRINGE
HEALTH & LIFE INSURANCE
22,406,961
38,500
22,445,461
WORKER'S COMPENSATION
402,517
277,850
680,367
UNEMPLOYMENT COMPENSATION
250,000
250,000
PENSIONS/NON-CONTRIBUTORY
274,001
274,001
PENSION ACCUMULATION FUND
11,084,135
11,084,135
TOTAL PENSION & FRINGE
34,143,613
590,351
-
-
34,733,964
DEBT SERVICE
MUNICIPAL INDEBTEDNESS
8,998,327
8,998,327
TOTAL DEBT SERVICE
8,998,327
-
-
8,998,327
OTHER
DAMAGE TO PERSONS & PROPERTY
175,000
175,000
SALARY CONTINGENCY
4,390,611
4,390,611
BUILDING INSURANCE
271,000
271,000
TOTAL OTHER
4,390,611
446,000
-
-
4,836,611
SCHOOL DEPARTMENT
52,545,257
52,545,257
TOTAL MUNICIPAL- GENERAL FUND
APPROPRIATIONS
89,063,971
29,691,440
-
52,865,036
171,620,447