HomeMy WebLinkAboutFY2012 Budget BookCITY OF PADUCAH
KENTUCKY
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ANNUAL BUDGET
FISCAL YEAR 2011 2012
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CITY OF PAD UCAH KENTUCKY
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ANNUAL BUDGET
FISCAL YEAR 2011 2012
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CITY OF PADUCAH KENTUCKY
TABLE OF CONTENTS
Directory vi
Managers Budget Letter vii
Budget Ordinance xxv f
GENERAL FUND 001
General Fund Revenue Sources 1
General Fund Revenue Summary 2
General Fund Overall Expenditure Summary by Dept 6
GENERAL GOVERNMENT 01
Mayor Commissioners 7
City Manager 10
City Clerk 13
Corporate Counsel 16
Non Departmental 18
Memberships Contingency 20
Civic Beautification 23
FINANCE 02
Administration 25
Accounting Budget 27
Human Resources 30
Revenue 32
PRDA 03
Administration 35
INFORMATION TECHNOLOGY 05
Administration 38
INSPECTION 08
Administration 42
Construction 44
Code Enforcement 46
Neighborhood Redevelopment 49
PLANNING 121
Administration 51
Planning 54
Grants 57
Section Eight Housing 59
POLICE 16
Administrative Services 62
Patrol 67
Investigations 73
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FIRE 18 Ij
Administration 78
Suppression 82
Prevention 87
Training 90
ENGINEERING PUBLIC WORKS 22
Administration 93
Street Maintenance 95 f
Street Lighting 98
Downtown Landscape 100
Maintenance 102
Youth Program 105
PARKS SERVICES 24
Administration 107
Grounds Cemetery Maintenance 111
Pool 115
Recreation Programsgms 118
CABLE AUTHORITY 28
Cable Authority 123
HUMAN RIGHTS 30
Administration 125
ENGINEERING PUBLIC WORKS 33 is
Engineering Services 128
Flood Control 131
GIS Operation 134
HUMAN RESOURCES 35
Human Resources Risk 136
PADUCAH RENAISSANCE ALLIANCE 44
PRA 140
SPECIAL PROJECTS 88
Match Funds 142
INTERFUND TRANSFERS 99
Interfund Transfers 144
SMALL GRANTS FUND 002
Small Grants Fund Revenue Summary 147
General Government Grant 149
Planning Administration 150
Parks Services Recreation Programs 151
Interfund Transfers 152
MUNICIPAL AID PROGRAM FUND 003
Municipal Aid Program Fund Revenue Summary 153
Municipal Aid Program 154
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INVESTMENT FUND 004
Investment Fund Revenue Summary 156
Economic Development 158
Neighborhood Development 159 fo
Interfund Transfers 160
CDBG GRANT FUND 006
CDBG Grant Fund Revenue Summary 162
RenKen CDBG 164
Alpha CDBG 165
HOME GRANT FUND 008
HOME Grant Fund Revenue Summary 166
HOME 2 Grant 167
HUD REVOLVING FUND 009
HUD Revolving Fund Revenue Summary 169
Planning HUD Revolving 171
Interfund Transfers 172
TELECOMMUNICATIONS FUND 011
Telecommunications Fund Revenue Summary 173
Telecommunications Operation 174
EMERGENCY 911 FUND 012
Emergency 911 Fund Revenue Summary 178
Emergency 911 Operation 179
COURT AWARDS FUND 013
Court Awards Fund Revenue Summary 183
Court Awards Operation 184
DEBT SERVICE FUND 030
Debt Service Fund Revenue Summary 186
Debt Service 188
CAPITAL IMPROVEMENTS FUND 040
Capital Improvements Fund Revenue Summary 193
General Government Mayor Commissioners 196
Inspection Administration 197
Planning Grants 198
Planning Economic Development 199
Planning Information Systems 200
Police Police BuildingVehicles 201
Fire Suppression 202
Human Resources Administration 203
Engineering Public Works Street Projects 204
E911 E911 Operation 205
PRA PRA 206
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Special Projects Park Improvements 207
Special Projects Non recurring Projects 208
Interfund Transfers 209
BOND FUND 042
Bond Fund Revenue Summary 210
Interfund Transfers 211
SOLID WASTE FUND 050
Solid Waste Fund Revenue Summary 213
Administration 214
Residential Collection 217
Commercial Collection 220
Composting Recycling 223
Bulk Brush Leaf 226
Landfill 228
Interfund Transfers 230
CIVIC CENTER FUND 062
Civic Center Fund Revenue Summary 232
Civic Center 233
RENTAL PROPERTY FUND 063
Rental Property Fund Revenue Summary 235
Rental Property 237
Interfund Transfers 238
RADIO DEPRECIATION OPERATION FUND 064
Radio Depreciation Operation Fund Revenue Summary 239
Radio Depreciation Operation 240
FLEET MAINTENANCE FUND 070
Fleet Maintenance Fund Revenue Summary 242
Fleet Maintenance 243
FLEET LEASE TRUST FUND 071
Fleet Lease Trust Fund Revenue Summary 246
Fleet Lease Trust 247
INSURANCE FUND 072
Insurance Fund Revenue Summary 249
Insurance Fund 250
HEALTH INSURANCE CAFETERIA FUND 073
Health InsuranceCafeteria Fund Revenue Summary 252
Insurance Fund 253
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MAINTENANCE REHAB TRUST FUND 074
Maintenance Rehab Trust Fund Revenue Summary 256
Rental Property 258
Interfund Transfers 259
APPOINTIVE EMP PENSION FUND 076
Appointive Employee Pension Fund Revenue Summary 260
Appointive Emp Pension Fund 261
POLICE FIRE PENSION FUND 077
Police Fire Pension Fund Revenue Summary 263
Police Fire Pension Fund 264
PRA FUND 080
PRA Fund Revenue Summary 266 t
PRA 268
Interfund Transfers 270
Statistics 271
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CITY OF PADUCAH KENTUCKY
DIRECTORY
MAYOR
BILL PAXTON
BOARD OF COMMISSIONERS
Gayle Kaler Gerald Watkins
Carol Gault Richard Abraham
CITY MANAGER Jeff Pederson
FINANCE DIRECTOR Jonathan Perkins CPA
CITY CLERK Tammara Brock
PRDA EXECUTIVE DIRECTOR Steve Doolittle
DIRECTOR OF INFORMATION TECHNOLOGY Greg Mueller
DIRECTOR OF INSPECTION Joel Scarbrough
DIRECTOR OF PLANNING Steve Ervin
POLICE CHIEF James Berry
FIRE CHIEF Steve Kyle
PARKS SERVICES DIRECTOR Mark Thompson
CITY ENGINEER AND PUBLIC WORKS DIRECTOR Rick Murphy
HUMAN RESOURCES DIRECTOR Cindy Medford
PUBLIC INFORMATION OFFICER Pam Spencer
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INTRODUCTORY
SECTION
CITY MANAGERS BUDGET SUBMITTAL
LETTER
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June 30 2011
Honorable Mayor and City Commission
I am pleased to provide you with this approved and adopted Paducah City Budget for Fiscal Year
20112012 The Adopted Budget represents the annual financial plan for all City operations as
well as financial support for affiliate organizations that contribute to the Mission of the City
Preparation of this budget was a collaborative effort of the City Management team and the I
process was expertly guided and coordinated by Finance Director Jonathan Perkins and Deputy
Finance Director Adrianne Gleeson
Paducah City government continues to be impacted by the recent economic downturn and the
very slow recovery that is taking place Importantly it is projected that General Fund revenues
will not increase over the prior budget year The City is clearly managing the budget within the
New Normal wherein annual revenue growth can no longer be assumed With unit costs
continuing to increase in some significant areas a higher degree of prioritization is needed in the
process of allocating financial resources to programs in the budget
Your City budget performs several important functions
The budget is a legal document through which the Commission carries out its legislative
responsibility to control the Citys finances
The Budget is a public education document designed to help Paducahs taxpayers understand
the finances of their local government
The Budget is a management tool that each City Department uses to plan administer and
improve its operations and customer services
The Budget is an instrument for implementing the goals that the Commission sets for the
City
The Budget process entails decisions for the allocation of resources to programs projects
and activities
vii
Budget Letter
The budget decisions made by the Commission are alignedygned with the vision statement the
Commission adopted to describe the community they want Paducah to become by the year 2022
PADUCAH is a VIBRANT and BEAUTIFUL RIVER CITY
which is the HEART of FOUR RIVERS REGION
Our Region has a STRONG LOCAL ECONOMY
Our City has a NATIONAL REPUTATION for the
ARTS and TOURISM IS
We are a HOMETOWN for FAMILIES and an
INCLUSIVE COMMUNITY
Our Residents enjoy a QUALITY COMMUNITY and
FUN THINGS to DO
PADUCAH A GREAT PLACE TO CALL HOME
To realize this vision of Paducahs future the Commission in 2010 established the following
goals for the years 2010 2015
1 Strong Local Economy Regional Center for Four States
2 Efficient City Government Quality Services for Citizens
3 Restored Historic Downtown Lowertown Riverfront A
Community Focal Point
4 Vital Neighborhoods Place for People and Businesses
5 Great Place to Live A Fun City to Enjoy
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Budget Letter
L OVERVIEW OF PADUCAHS FINANCES
Funds
In compliance with professional accounting standards the City of Paducah operates its finances
through 25 different funds Revenues and expenditures are budgeted in each of these funds
General Fund
All City Departments that do not operate with an earmarked source of revenue are
budgeted in the General Fund For example Police Fire and EngineeringPublic Works
Departments are operated through the General Fund among others
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Investment Fund
Provides separate accountability for economic development community re development
and capital and infrastructure investment activities funded with 25 of the City
occupational wage tax revenue 12 of the 2 local payroll tax
Municipal Aid Program MAP
State law requires us to account for state shared gas tax money in a separate fund We
traditionally add a transfer from the Investment fund to the MAP fund and account for the
Citys annual paving program through it
Grant Funds
Special Revenue Funds are used to account for grants awarded to the City from agencies
of the Federal Government and the Commonwealth of Kentucky We have several
individual funds for large grants
Solid Waste Fund
The City operates its refuse collection service as a business and accounts for its
operations using accounting rules which are modeled on business accounting instead of
governmental fund accounting The Solid Waste Fund receives the revenue from the
garbage service fees
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Budget Letter
Internal Service Funds
Internal Service Funds also follow business accounting rules The budget includes the
Fleet Maintenance Fleet Lease Trust Rental Properties Radio Depreciation Health
Insurance and General Insurance internal service funds
Bond Funds
Over the years the City has sold several bond issues We maintain separate funds to
account for bond proceeds and for annual principal and interest payments Money for
some of our issues including 2005 bonds to cover the unfunded liability in the Police and
Fire Pension Fund flows to the Bond Fund from the General Fund Money for bond
payments on projects directly related to economic development like the 5 million
borrowed in 2004 for the Infiniti Media project flows through the Investment Fund
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Budget Letter
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II Combined Budgets All funds q
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A Expenditures
The multitude of funds makes it hard to answer the simple question How big is the City
Budget Just adding the budgets of all the funds together does not answer the question l
accurately because transfers of monies between funds cause the same dollar to be counted two or
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more times The following table adds the budgets of all our funds and then makes adjustments f
for the transfers to subtract out the double counts The adopted FY2012 Budget totals 439
million
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Total Expenditures Inter Fund I
Fund Transfers Transfers Budget
General Fund 30457985 1515960 28942025
Investment Fund 4980000 3061610 1918390
Small Grants 0 0
MAP 1397000 1397000 I
CDBG 1218360 1218360
HOME 262200 262200 I
Court Awards 10800 10800
Debt Service 2729385 2729385
General CIP 954050 954050
Bond Fund 0 0
Solid Waste 4376270 240000 4136270
Civic Center 85755 85755
Rental Property 101885 70860 31025
Radio Depr Opr 50525 50525 0
Fleet Maintenance 517520 369000 148520
Fleet Lease Trust 128600 128600 0
Insurance 941335 941335 0
Health Insurance Trust 3102405 3102405 0 L
Maintenance Trust 8000 8000
AEPF 42685 42685
PFPF 171 3710 1713710
PRA 273000 273000
Totals 53351470 9480295 43871175
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Budget Letter
B Explanation of Fund Balances
Although any balance remaining in some funds at the end of the fiscal year is closed out
transferred to the General Fund other funds maintain a fund balance Enterprise funds like the
Solid Waste fund do carry cash reserves that are used for asset replacement purchase
The following table shows the fund balance or equivalent that we expect to have June 30 2011
in the funds that we can estimate
Estimated Fund Balances
Estimated
Fund Balance Notes
General Fund 3100000 8 Operating Reserve 2400000
Investment Fund 650000 Reserved for Projects
Small Grants 0
MAP 700000 Reserved for Street Projects
CDBG 0
HOME 0
HUD Revolving 0
Court Awards 5000 Restricted to Police Drug Activities
Debt Service 0 Reserved for Debt
General CIP 1100000 Reserved for Capital Projects
Undesignated cash Fund Balance Equivalent
Solid Waste 3600000
Accumulated to delay future garbage rate
increases
8 Operating Reserve 350000
Civic Center 0
Rental Property 0
Radio Depr Opr 420000 Reserved for Radio System Projects
Fleet Maintenance 0 Undesignated cash Fund Balance Equivalent
Fleet Lease Trust 3400000 Future purchase of replacement vehicles
Insurance 250000 Reserved for Insurance Deductible Payments
Health Insurance Trust 700000 Reserved for Health Insurance Claims
Maintenance Trust 0 Reserved for Commerce Center Maintenance
AEPF 130000 Reserved to pay pensions
PFPF 8700000 Reserved to pay police and fire pensions
Renaissance 50000 Reserved for designated projects
Total 22805000
xii
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Budget Letter
HI General Fund
A Revenue
We have been conservative in projecting revenues for FY2012 and we are estimating 10 more
revenue than we budgeted a year ago for FY2011 Of significance is the continuation of a multi
year trend line that is basically flat for revenue growth in this critical Fund This flat growth in
General Fund revenue necessitates an alignment between on going operating expenses and
available revenue
GENERAL FUND REVENUE
Actual Actual Budget f Adopted
FY2009 FY2010 FY2011 FY2012
30544031 29984929 29723865 29805655
The four most important sources of General Fund revenue are is
Payroll Tax
The payroll tax generates 44 of our General Fund revenue For FY2011 we budgeted 125
million in revenue from the payroll tax Actual revenue for that year is projected to exceed that
amount and accordingly we have budgeted for an increase in revenue for FY2012 of
approximately 15
Payroll tax is subject to economic fluctuations and therefore it is monitored closely While there
is very modest growth from this revenue source the City must be mindful that payroll tax is the
largest source of General Fund revenue and any downward trend would have a very negative
impact on funding for General Fund programs
Insurance Premium Tax for FY2012 we have decreased our estimated revenue from the 2011
projection of 418 million to 35 million This serious decline represents a continuation of a
downward trend that began in FY 2009 Consideration needs to be given to increasing the
insurance premium tax upwards from the current 6 and we anticipate having that discussion
with the City Commission early in the fiscal year
Business License Tax The business license tax is always the hardest of our significant revenue
sources to estimate because over half our total revenue is received in the spring so we do not
have a basis for projecting the current years revenue when we present the budget with an
estimate of the new years revenue to the Commission Based on the history we project that
FY2012 revenues will be 42 million 100000 more than our FY2011 estimate of 41 million
xiii
Budget Letter
Property Tax Property tax revenues are slow to respond to changing economic conditions and
therefore it is our most stable large revenue source For FY2012 we estimate real property tax
revenues will be 36 million
The table below shows the main sources of anticipated revenue in the General Fund for FY2012
Payroll Tax 12990000 436
Payroll Tax Rebates County Lynx 211750 7
Property Tax 5676360 190
Insurance Premium Tax 3552000 119
Business Licenses 4202000 141
Other License Charge For Services 1524780 51
Grants 1038905 35
Rent Fines and Interest 672500 23
Fund Transfers 360860 12
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Total Revenue Sources 29805655 100
B Expenditures
Total expenditures in the adopted FY2012 operating budget are 304 million The General
Fund expenditure budget is balanced with unreserved fund balancedfiidbance infusion of 650 000 It ispg
121000 or 4 less than the revised FY2011 budget This spending reduction was
accomplished despite significant cost increases associated with personnel and fuel utilities
Nonetheless the drawdown of reserve cash at this level is not believed to be sustainable in
subsequent years This alone will necessitate significant adjustment to some combination of
revenues and expenditures in order to achieve a balanced budget going forward
Over the last few years an increasing proportion of the General Fund revenue has been required
to fund dayto day operating costs For the 2012 Budget Year the General Fund revenue base
has essentially lost the ability to fund capital maintenancereplacement items The following
table illustrates this trend The Investment Fund will need to be looked to for an increased role
in infrastructure improvementreplacement in upcoming years Deferred maintenance of critical
City infrastructure is poor practice and if continued will impede the ability of the City to sustain
quality services and programs
GENERAL FUND OPERATING EXPENDITURES
Actual Actual Budget Adopted
FY2009 FY2010 FY2011 FY2012
Operating 28135052 27204143 28443475 28792025
Contingency 300000 150000
Transfers for Debt 952430 1680573 1554735 1515960
Pension Other
Capital 696075 719907 280905 0
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Budget Letter
Actual Actual Budget Adopted
FY2009 FY2010 FY2011 FY2012
TOTAL 29783557 29604623 30579115 30457985
The following two tables show this years General Fund budget broken out by Department and
by Category of Expenditure as compared to last years amounts The largest category of
expenditure on the second table is employee salaries and benefits which consumes 714 of the
FY2012 General Fund Budget
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Expenditures by Department
FY2009 FY2010 FY2011 FY2012
Police 278 285 291 299
Public Works Engineering 228 157 159 158
Fire 199 207 210 214
Administration Finance
Human Resources Risk Management 90 88 98 92
Planning Inspections Information Tech 66 70 71 74
Interfund Transfers 73 81 60 50
Recreation 50 87 94 94
Other 16 25 17 19
Expenditures by Category
FY2009 FY2010 FY2011 FY2012
Personal Service 690 681 690 714
Contractual 60 63 77 69
Commodities 146 143 153 154
Capital 09 09 11 06
City Grants 13 12 09 08
Interfund Transfers 82 92 60 49
Each year the budget letter includes a list of pressures that cause growth in the expenditure
budget The table below includes the most significant uncontrollable expenditures the City
expects to encounter in the coming fiscal year As the following uncontrollable expenses
illustrate it was difficult to balance the budget
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Budget Letter
Sample Uncontrollable Expenditures
1 Annual Wage Increase 126000
State Retirement System Increase 379000
Projected Fuel Increase 180000
Old Police and Fire Pension Unfunded Liability Payment established by 380000
Actuary to begin replacing funds lost by Fund in market crash
Police and Fire Pension Fund Debt Service Payment 499000
Total Uncontrollable Expenditures 1564000
C Fund Balance
The Commission has adopted a financial policy to maintain a minimum undesignated cash
balance in the General Fund equal to 8 of that funds budgeted expenditures
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Applying this rule the fund balance required to meet the policy is 24 million The audit
undesignated fund balance in the table below represents additional revenues accrued at fiscal
year end and other non cash assets
The following table shows our projection for the current fiscal year
FUND BALANCE IN GENERAL FUND
Actual Actual Actual Estimated
FY2008 FY2009 FY2010 FY2011
CASH Undesignated 4150826 4191001 6085045 3100000
AUDIT Undesignated 9416427 10311490 10208678 10300000
xvi
Budget Letter
IV Investment Fund
A Background
When the City Commission created the Investment Fund in the FY2006 Budget Ordinance it
included the following financial management policy
The City will maintain a special fund called the Investment Fund The Investment Fund will be
funded with a 2 cent increase in the Citys occupational license fee employee payroll
withholding tax This fund is dedicated to the following expenditures economic development
neighborhood redevelopment infrastructure capital investment and property tax relief
The ordinance levying the tax increase included a sunset clause which would have reverted the
tax from 2 of payroll to 15 on October 1 2008 In September of 2007 the Commission
adopted an ordinance to delete the sunset clause
SUMMARY OF REVENUE SINCE INCEPTION
Transfer From General Fund monies available as a result of 1302230
changing the fund balance reserve policy from 122 to
8
Appropriations from General Fund Primarily proceeds 330000
from delinquent tax amnesty program
First 2 years proceeds from A Increase in Occupational 1885559
License Fee
Total FY2006 3517789
FY2007 Proceeds from 2 Occupational License Fee 3946685
FY2008 Proceeds from 2 Occupational License Fee 4088521
FY2009 Proceeds from 2 Occupational License Fee 4060019
FY2010 Proceeds from 2 Occupational License Fee 4010631
FY2011 Proceeds from 2 Occupational License Fee 4186000
Projected
GRAND TOTAL 23809645
A detailed report of the use of investment fund revenues since the inception of the program can
be found under the heading Investment Fund Scorecard in the Finance Department section of
the City of Paducah webpage http paducahkygov
xvii
Budget Letter
B Investment Fund Decisions
Investment Fund expenditures are restricted to four purposes
Property Tax Relief I
Economic Development
Neighborhood Re Development
Capital and Infrastructure Investment
The FY2011 budget allocation saw a change between the restricted eligible categories as the
following table displays There is no allocation specified in the Ordinance therefore the
breakdown shown in the Table is for illustrative purposes only
Actual Actual Actual Projected
FY2008 FY2009 FY2010 FY2011
Economic Development 33 48 386 506
Neighborhood Redevelopment 18 14 116 44
Capital Infrastructure Investment 49 38 498 450
Planning for future allocation of the Investment Fund began in early 2011 using a Five Year
Projection that was shared with Commissioners in March Continuous refinement of that
projection has occurred and the current Five Year Projection document is attached The
recommendations made and adopted for FY 2012 are included under the column entitled
Projected FY2012
Several key inclusions in the Investment Fund are noted below I
Continued funding for economic development agencies activities at 2011 Budget levels
75000 for the first of three annual yma ents for Arts Schoolp
175000 for the first bond payment for MSU Paducah Center Building
175000 for design and permitting for Phase 1 of Sports Park
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Budget Letter
V The Rest of the City Budget
The Other Funds
A MUNICIPAL AID PROGRAM MAP FUND l3
Map Fund Revenue
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Paducahs allocation of State gas tax funds has historically averaged around 475000 a year
We anticipate 500000 in FY 2012 f
As shown on the table below for the last few years we have received additional onetime
receipts from State of Kentuckys Road Bond issues No similar bond fund revenue from
the state is anticipated for FY2012
Actual Actual Budget Adopted
FY2009 FY2010 FY2011 FY2012
Gas Tax 462702 489837 490000 500000
State Bond Funds 0 0 0 0
General Fund Transfer 34000 0 0 0
Investment Fund 850000 Q 0 890000
Transfer
Bond Fund Transfer 0 857278 870000 0
TOTAL 1346702 1347115 1360000 1390000
Expenditures
The City maintains 216 miles of streets In the CIP we set a goal of spending 1 million a year
for street resurfacing which will allow us to repair or resurface a street as it becomes necessary to
do so The increased cost of petroleum products means that a dollar buys much less paving than
it did a few years ago The EngineeringPublic Works Department starts looking seriously at
resurfacing streets when they rank 5 or lower on a street evaluation scale of 1 to 10
xix
Budget Letter
B SOLID WASTE FUND r
We operate our Solid Waste Division as a business enterprise The cost of the service is paid for
with the fees we collect
Revenue
For every ton of residential waste collected the City collects approximately two tons of
commercial waste Our commercial customers also provide the largest portion of the revenue for
operating the Citys Solid Waste Department
Commercial customers 494 of revenue j
Residential customers 470 of revenue
Other income 36 of revenue
Total 1000 is
Revenue History
Actual Actual Budget Adopted
FY2009 FY2010 FY2011 FY2012
4770714 447 184 4308600 4252000
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Expenditures
The operating cost of the Solid Waste Department includes administration residential collection
commercial dumpster collection brush and leaf collection and operation of our compost facility
Disposal costs are paid to Republic Services of Kentucky formerly CWI which operates the
transfer station on Burnett Street from CWI and hauls our waste to a landfill in Tennessee In
FY2011 we renewed our solid waste contract with Republic Services of Kentucky for 5 years
SOLID WASTE FUND EXPENDITURES
Actual Actual Budget Adopted
FY2009 FY2010 FY2011 FY2012
Operating Cost 2577563 2267956 2584755 2691170
Disposal Cost 1137026 1151566 1100000 1110000
Capital 5211 6151 242835 213100
Depreciation 377626 371423 330000 362000
TOTAL 4097426 3797096 4132255 4376270
The total in the Solid Waste Fund Expenditures table double counts by including both
depreciation and capital expenditures for new trucks and other equipment We use the money we
put aside in retained earnings from depreciation to pay for new trucks as we replace our old
packers To compare revenues to expenditures the capital expenditures of 213100 in the
FY2012 table above should be subtracted from total expenditures
At June 2011 our retained earnings in the Solid Waste Fund will be approximately 36 million
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Budget Letter
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C FLEET FUNDS t3
The City uses it Fleet Funds to charge itself for services it provides to its own departments The
Fleet Maintenance division provides services to the General Fund and Solid Waste Fleet Fund t
Until FY1999 the Fleet Fund operated as a single fund but beginning with the FY2000 budget
it was separated into two funds
The Fleet Maintenance Fund tracks the operation of our maintenance garage Each departmentpggp
has funds budgeted for the repair and maintenance of equipment and vehicles as well as fuel
When a tire is changed on a police car a charge is paid from the Police Department to the Fleet
Maintenance Fund Total expenditures in the Fleet Maintenance Fund next year are expected to
be 517520
The second fund is our Fleet Lease Trust Fund We use this fund to build up monies to replace
trucks and cars owned by the General Fund When a new vehicle is purchased a lease amount is
calculated by dividing the cost of the vehicle by its expected useful life Each year the
Department using the vehicle pays the lease amount into the Fleet Lease Trust Fund When the
vehicle is ready to be auctioned the funds accumulated from the lease payments and the interest is
they earn provide the money to buy a replacement vehicle We started putting money into this I
vehicle replacement system in FY1999 At July 2011 we have a balance of approximately 34
million in the fund
We made our first expenditures from the fund in FY2005 Now most all of our purchases of
replacement vehicles are paid for with Fleet Lease Trust Fund monies The only City vehicles
that are not fully amortized in the Fleet Trust Fund are garbage trucks which are depreciated by
business accounting rules in the Solid Waste Fund a few old items of heavy construction
equipment in Public Works that were purchased before we started the Fleet Trust Fund
In FY2005 we started making lease payments into the fund for the replacement of our fleet of
fire trucks If we continue to follow the plan shown on the following table we will have replaced
7 fire trucks by 2017 In FY2009 we bought our first pumper truck and in FY2010 replaced our
first ladder truck under the replacement plan
xxi
Budget Letter
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D DEBT SERVICE FUND
Convention CenterFour Rivers Center Bonds Bond Series 2001
In June of 2001 the City issued approximately 929 million in 25 year general obligation bonds
to provide 6 million for construction of the 50000 square foot additions to the Convention
Center and 3 million for construction of the Four Rivers Performing Arts Center This Bond
Series was refinanced in August of 2010 Total principal and interest payment for FY2012 will
be approximately 584898
While the City issued these bonds 50 percent of the principal amount of the bonds was issued on
behalf of McCracken County In accordance with an interlocal cooperative agreement between
the City County and the Convention Visitors Bureau principal and interest payments on the
bond are being made from an additional 2 transient room tax collected by the County
Principal Interest Payment 584898
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Revenue from 2 of HotelMotel Bed Tax 480000
City Contribution 34968
County Contribution 34965
Visitors Bureau Contribution 34965
TOTAL 584898
2003 Capital Project Bond
In May 2003 the City Commission approved a 20 year bond issue for 35 million through the
Kentucky League of Cities bond pool to finance the following capital projects
Four Rivers Center for Performing Arts utility relocation streetseape
improvements and parking lot construction 1500000
Park Improvements Blackburn Kolb Noble Parks and Perkins Creek
Nature Preserve 1000000
Police building HVAC related construction 650000
City Hall HVAC control system ductwork and structural improvements 350000
TOTAL 3500000
Principal and interest payment next year will be 210440 from the Investment Fund
2004 Bonds to Construct the Infiniti Media Building
In the spring of 2004 the Commission approved an economic development incentive to bring the
Infiniti Media manufacturing plant to Paducah The City and County built a 100000 square foot
manufacturing building in Industrial Park West to Infiniti Medias specifications The City sold
5 million in 20 year taxable general obligation bonds to pay for the project We lease the
building to the Industrial Development Authority and the Authority leases the building to Infiniti
Media For the first three years the City and County split paying the lease on the building
xxii
Budget Letter
September 1 2007 the company started paying the lease on the building The lease payments
will fund all but 2031 of the principal and interest payments on the bonds Principal and
interest payment for FY2012 will be 421875 most of which is covered by lease payments
2005 Police and Fire Pension Bond
In November 2005 the City issued 61 million in 20 year general obligation bonds to fund the
Police and Firefighters Pension Fund PFPF unfunded pension liability With the unfunded
liability fully paid the Citys financial responsibility to the fund is fulfilled and the PFPF Board
is now responsible for determining each year whether the fund has enough resources to afford
pension payment increases for their retirees Total principal and interest payment for FY2012
will be 498035 from the General Fund
Citys Share of 50 Million KACo Loan for Julian Carroll Convention Center Renovation
In April 2009 the County borrowed 50 million from the KACO The City and County agreed
to split the obligation equally 5050 Debt service will be fully funded by the Investment Fund
The County acts as banker Proceeds were used for renovationrehabilitation of the Julian
Carroll Convention Center In FY2012 the Citys portion of the principal and interest payment
for this loan will be 197175 from the Investment Fund
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KLC Flood Protection System Loan
In March 2009 the City issued a bond issue through KLC in the amount of 28 million at a
variable rate of interest Debt service to be fully funded by the Investment Fund for the
following projects
Floodwall rehabilitation 1765000
Floodwall feasibility study levee certification 400000
River bank stabilization project shared wRiverport 50000
Jail land acquisition for McCracken County 100000
EngineeringDesign for Floodwall Projects 160000
OtherContingency Projects 325000
Total 2800000
The principal and interest payment for this loan will be funded by the Investment Fund in the
amount 169440
2010 Build America Bonds
In March 2010 the City borrowed 6645 million to fund various capital projects The Citys
Investment Fund will be used to fund the annual debt service payments through 2030 The
following capital projects were funded
xxiii
Budget Letter
Greenway Trail 2010 200000
Noble Park Parking Lot 2010 500000
Streets Resurfacing Program 2010 900000
Citywide Generators 2010 125000
Traffic Signals 2010 250000
Public Purpose Portion of Exec Inn Acquisition 2010 800000
Pavilion Acquisition 2010 1765000
Sports Park 2010 940000
Greenway Trail 2011 150000
Streets Resurfacing Program 2011 900000
Total 6530000
The principal and interest payment for this bond issuance will be funded in FY2012 by the
Investment Fund in the amount 446620
CONCLUSION
This is the first budget process that I have had the pleasure of directing for the City of Paducah
The City has taken a proactive approach to managing challenges associated with the economic
downturn including a series of employee reductions in FY2010 Efforts have continued to
identify operational efficiencies in the ensuing years and continuing in this proposed Budget for
FY2012 Employees at all levels continue to demonstrate resourcefulness and resolve in this
process and the leadership of the Director Team in that is commendable While this proposed IBudgetisessentiallyinbalancethereareindicatorssuggestingthattoughbudgetdecisionslie
ahead Without a significant reversal in the downward revenue trend in the General Fund
operational program reductions will need to be considered in order to achieve sustainability
City administrative staff will continue to remain abreast of the Citys fiscal condition in order to
work with the City Commission to keep Paducah the vital and livable community that it is
Respectfull sub itted
111
Pederson
City Manager
xxiv
BUDGET ORDINANCE
L
LL
I
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ORDINANCE NO 201167825
AN ORDINANCE ADOPTING THE CITY OF PADUCAH KENTUCKY ANNUAL BUDGET FOR THE FISCAL YEARJULY 1 2011 THROUGH
JUNE 30 2012 BY ESTIMATING REVENUES AND RESOURCES AND APPROPRIATING FUNDS FOR THE OPERATION OF CITY GOVERNMENT Iz
WHEREAS an annual budget proposal has been prepared and delivered to the City Commission and C
WHEREAS the City Commission has reviewed such proposed budget and made the necessary modifications
BE IT ORDAINED BY THE CITY OF PADUCAH KENTUCKY
SECTION 1 The following estimate of revenues and resources is adopted as the City of Paducah Kentucky Revenue Budget for Fiscal Year 2011
2012
MUNICIPAL
FY2012 AID
GENERAL SMALL PROGRAM INVESTMENT CDBG HOME
FUND GRANTS FUND FUND FUND FUND
01 02 03 04 06 08
SOURCES
CASH FROM FUND RESERVE 652330 650000 I
REVENUES
PROPERTY TAXES 5676360
LISC PERMITS
OTHER TAXES 21265800 500000 4330000
GRANTS CONTRIBUTIONS 1038905 1218360 226000 isFINESFORFEITURES136500
PROP RENTAL SALES 425000
CHARGES FOR SERVICES 692980
INTEREST INCOME 111000 7000
RECREATION OTHER FEES 89750 j
MISCELLANEOUS 8500 I
TOTAL REVENUES 29444795 507000 4330000 1218360 226000 4
FUND TRANSFERS IN 360860 890000 36200
TOTAL SOURCES 30457985 0 1397000 4980000 1218360 262200
GENERAL
FY2012 COURT DEBT SOLID
E911 AWARDS SERVICE CEP WASTE
TELCOM FUND FUND FUND FUND FUND
I l 12 13 30 40 50
SOURCES
CASH FROM FUND RESERVE 81695 100000 335320 124270
REVENUES
PROPERTY TAXES
LISC PERMITS
OTHER TAXES 777000 480000
GRANTS CONTRIBUTIONS 362080 27000
FINES FORFEITURES 27000
PROP RENTAL SALES 405800 5000
CHARGES FOR SERVICES 126225 77970 4205000
INTEREST INCOME 2500 800 15000
RECREATION OTHER FEES
MISCELLANEOUS 2000
TOTAL REVENUES 126225 1143580 27800 963770 4252000
FUND TRANSFERS IN 428440 1765615 618730
TOTAL SOURCES 207920 1672020 27800 2729585 954050 4376270
XXV
I
i
f
FY2012 CIVIC FLEET FLEET
CENTER RENTAL RADIO SERVICE TRUST INSUR IFUNDFUNDFUNDFUNDFUNDFUND4626364707172SOURCES
CASH FROM FUND RESERVE 10400 I
I
I
REVENUES
i
PROPERTY TAXES 1
LISCPERMITS
OTHER TAXES
GRANTS CONTRIBUTIONS
FINES FORFEITURES
PROP RENTAL SALES 32000 101885 116755 2100 809775
CHARGES FOR SERVICES 369000 921655
INTEREST INCOME 2700 33000
RECREATION OTHER FEES
MISCELLANEOUS 1500
TOTAL REVENUES 32000 101885 119455 372600 842775 921655 1
i
FUND TRANSFERS IN 43355 144920 20000
TOTAL SOURCES 85755 101885 119455 517520 842775 941655
FY2012 HEALTH MAINT AEPFPFPF
INS TRUST TRUST PENSION PRA
FUND FUND FUND FUND
73 74 767784 80
SOURCES li
CASH FROM FUND RESERVE 662235 50000
REVENUES
PROPERTY TAXES
LISC PERMITS
OTHER TAXES it
GRANTS CONTRIBUTIONS
FINES FORFEITURES
PROP RENTAL SALES 8000 509300 1200
CHARGES FOR SERVICES 3484000
INTEREST INCOME 204800 500
RECREATION OTHER FEES
MISCELLANEOUS 21300
TOTAL REVENUES 3484000 8000 714100 23000
FUND TRANSFERS IN 380310 200000
TOTAL SOURCES 3484000 8000 1756645 273000
XXV1
is
SECTION 2 The following sums of money are hereby appropriated for Fiscal Year 2011 2012
MUNICIPAL I
FY2012 AID
GENERAL SMALL PROGRAM INVESTMENT CDBG HOME
FUND GRANTS FUND FUND FUND FUND
01 02 03 04 06 08
APPROPRIATIONS
GENERAL GOVERNMENT 1534015
FINANCE 984260
PRDA 131410
INFORMATION SYSTEMS 589350
INSPECTIONS 923145
PLANNING 756090 1218360 262200
POLICE 9122060
FIRE 6518315
ENGPUBLIC WORKS 3705925
PARKS SERVICES 2877105
CABLE AUTHORITY 84030
HUMAN RIGHTS 48430
ENGINEERING 1114930 1397000
HUMAN RESOURCES 298985
PRA 253975
INVESTMENT FUND 1918390
DEBT SERVICE E911
SOLID WASTE OPERATION
FLEET MAINTENANCE
PENSIONS
CASH CARRY FORWRDRESRV
FUND TRANSFERS OUT 1515960 3061610
TOTAL APPROPRIATIONS 30457985 0 1397000 4980000 1218360 262200
GENERAL f
FY2012 COURT DEBT SOLID
E9 I 1 AWARDS SERVICE CIP WASTE
TELCOM FUND FUND FUND FUND FUND
I l 12 13 30 40 50
APPROPRIATIONS
GENERAL GOVERNMENT 166430
FINANCE
PRDA
INFORMATION SYSTEMS 207920
INSPECTIONS 65000
PLANNING 239570
POLICE 10800 30000
FIRE
ENGPUBLIC WORKS
PARKS SERVICES 368050
CABLE AUTHORITY
HUMAN RIGHTS j
ENGINEERING 85000
HUMAN RESOURCES
PRA
INVESTMENT FUND
DEBT SERVICE E911 1672020 2729385
SOLID WASTE OPERATION 4136270
FLEET MAINTENANCE
PENSIONS
CASH CARRY FORWRDRESRV 17000 IrFUNDTRANSFERSOUT240000
APPROPRIATIONS 207920 1672020 27800 2729385 954050 4376270
XXVii
FY2012 CIVIC FLEET FLEET
CENTER RENTAL RADIO SERVICE TRUST INSUR
FUND FUND FUND FUND FUND FUND
APPROPRIATIONS
62 63 64 70 71 72
GENERAL GOVERNMENT
FINANCE 50525 128600
PRDA
INFORMATION SYSTEMS
INSPECTIONS
PLANNING
POLICE
FIRE
ENGPUBLIC WORKS 31025 3
PARKS SERVICES 85755
CABLE AUTHORITY
HUMAN RIGHTS
ENGINEERING Ia
HUMAN RESOURCES 941335 I
PRA
INVESTMENT FUND
DEBT SERVICE E911
SOLID WASTE OPERATION
FLEET MAINTENANCE 517520
PENSIONS
CASH CARRY FORWRDRESRV 68930 714175 320
FUND TRANSFERS OUT 70860
TOTAL APPROPRIATIONS 85755 101885 119455 517520 842775 941655 I
FY2012 HEALTH MAINT AEPFPFPF
INS TRUST TRUST PENSION PRA
FUND FUND FOND FUND
73 7 80
APPROPRIATIONS
GENERAL GOVERNMENT
FINANCE
PRDA
WFORMATION SYSTEMS li
INSPECTIONS
PLANNING
POLICE
FIRE
ENGPUBLIC WORKS 8000
PARKS SERVICES
CABLE AUTHORITY
HUMAN RIGHTS
ENGINEERING
HUMAN RESOURCES 3102405
PRA 273000
INVESTMENT FUND
DEBT SERVICE E911
SOLID WASTE OPERATION
FLEET MAINTENANCE
PENSIONS 1756645
CASH CARRY FORWRDRESRV 381595
FUND TRANSFERS OUT
TOTAL APPROPRIATIONS 3484000 8000 1756645 273000
SECTION 3 The City Manager and Finance Director will publish a budget document which reflects the funding priorities set by the City Commission
during their budget workshops and which will be used to interpret the above appropriations on the Citys website
SECTION 4 The City does hereby adopt the following financial management policies
A The General Funds minimum undesignated cash balance shall be 8 of the General Funds budgeted expenditures The Solid Waste Funds
minimum unreserved cash balance shall be 8 of the Solid Wastes budgeted operating expenses The Debt Service Funds designated fund balance shall be
sufficient to fully fund all outstanding debt including principal and interest
B The City Manager is authorized to transfer budgeted amounts between funds departmental budget line items projects and between divisions of
departments and between departments as shown in Section 2
C Funds designated as Commission contingency shall be obligated only upon approval by the City Commission by municipal order
D Funds designated as Administrative contingency shall be obligated at the discretion of the City Manager however the Commission shall be notified
five working days prior to approval of expenditure If any individual member of the Board of Commissioners requests Commission review of a proposed
expenditure the City Manager must bring expenditure before the Commission for approval by municipal order
E City Manager shall assure that recurring revenues and resources are greater than or equal to recurring expenditures
XXV111
fe
F The City Manager has the authority to enact a budget allocation program or to transfer funds to or from any depamnental line item to insurance or
reserve accounts
G As new vehicles are purchased the City will fully fund the Fleet Trust Fund in order to replace rolling stock owned by the General Fund as it
achieves obsolescence The Fleet Trust Fund shall be funded with monthly lease charges assigned to rolling stock as determined by the Finance Director or his
designee Additionally General Fund transfers shall be made to offset the cost of initial rolling stock acquisition costs
H The City will maintain a self insurance fund called Health Insurance Trust Fund through the use of user fees as set by administrative policy
I The City will continue to maintain the Appointive Employees Pension Fund AEPF in a fully funded status through sound financial management
andor annual General Fund transfers as designated in the budget document In fiscal year 2006 the City issued a General Obligation Bond for the Police and
Firefighters Pension Fund PFPF bringing the fund up to an actuarily sound basis however the fiscal year 2009 recession reduced the funds corpus leaving a new
unfunded liability Funding is provided in the General Fund of this ordinance to further address the PFPF unfunded liability
J The City will provide to all eligible employees a 371625 per month credit for the months of July December 2011 to be applied to the
Comprehensive Health Insurance Benefit Plan Cafeteria Plan as directed by the employee In January 2012 this monthly credit will be adjusted by the City
Commission as they see fit
K The City will maintain a special fund called Investment Fund The Investment Fund will be funded with a 12 cent increase in the Citys
occupational license fee employee payroll withholding tax This fund is dedicated to the following expenditures economic development neighborhood re
development infrastructure capital investment and property tax relief
SECTION 5 Finance Director is responsible for maintaining current table of Estimated Revenues in Section I and Appropriation of Funds in Section 2
and to provide a copy to the City Clerk it
If during the course of the year the City Commission adopts Ordinances to anticipate new revenues or to make new appropriations the Finance Director I
will update these Tables and provide a copy to the City Clerk
SECTION 6 This ordinance shall be read on two separate days and will become effective upon publication in full pursuant to KRS Chapter 424 1
I
yor
yfTTBS leh
Tammara S Brock City Clerk
Introduced by the Board of Commissioners June 14 2011
Adopted by the Board of Commissioners June 28 2011
Recorded by Tammara Brock City Clerk June 28 2011
Published by The Paducah Sun July 4 2011
excelBudget FY2012
XXiX
ff
GENERAL FUND
The General Fund is used to account for resources traditionally associated with
government which are not required legally or by sound financial management to be
accounted for in another fund
RUN DATE 061311 144450 CITY OF PADUCAH KENTUCKY
f
WORKSHEET SUM REV FISCAL YEAR 2012
1
3
Actual Actual Revised Adopted
ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
4
GENERAL FUND
Taxes 5334313 5815145 5525000 5676360
iLicensesPermits21351075209691372132775021265800
Grants 1912504 962629 1031485 1038905 f
Fines 130589 145592 123000 136500
Property Rent Sales 451869 503026 425550 425000 d
Charges for Service 694468 772003 721255 692980
Interest Income 123680 76995 112500 111000
Other Fees 225094 239941 261250 98250
Interfund Transfers 320439 500461 196075 360860 4
i
GENERAL FUND 30544031 29984929 29723865 29805655
1
tr
f
C
i
I
if
i
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1
RUN DATE 061311 144712 CITY OF PADUCAH KENTUCKY 1
flWORKSHEETDRAFTREVFISCALYEAR2012
k
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1
GENERAL FUND
001 0000 40005 00 Real Current Year 3368282 3508073 3573000 3626600 1
001 0000 40010 00 Personal Current Year 663784 691322 690000 704000
001 0000 40015 00 Real Prior Year 95450 96650 86500 98000 c
g
001 0000 40020 00 Personal Prior Year 203920 13996 15000 25000
001 0000 40022 00 Inventory Prior Year 823
001 0000 40030 00 Franchise Current Year 65585 134228 125000 127500
001 0000 40035 00 Franchise Prior Year 106713 37403 25000 27500
001 0000 40040 00 Vehicle Tax County 576876 585495 600000 609000 1
001 0000 40045 00 Local bank deposit tax 186531 204522 215000 224500
001 0000 40050 00 PILT Paducah Power 175846 229788 205000 201000 3
001 0000 40055 00 PILT Pad Housing Auth 25942 23911 26000 20490
1
001 0000 40060 00 Pen Int Current Year 33337 32412 30000 35000
001 0000 40065 00 Pen Int Prior Year 22859 21154 20000 20000
001 0000 40080 00 Collection Cost Agency 7785 5869 7500 8230
001 0000 40085 00 Annexation Rebates 58496 67528 78000 34000
LEVEL TEXT TEXT AMT
1 OLIVET CHURCH FALCONITE HIPP ED0052 10000
LAKEWOOD VILLAS ON BLEICH RD HIGDON ED0053 17000 s
GROVE II CDH GROUP ED0055 5000
HT HACKNEY ED0058
WESTWOOD MILLS ED0059 2000
34000
001 0000 40099 99 PJC tax collection 284132 309588 k
Taxes 5334313 5815145 5525000 5676360
001 0000 41001 00 Payroll Tax 12524599 12373878 12525000 12990000 1
001 0000 41002 00 Payroll Tax From County 500
001 0000 41005 00 Insurance Tax 4055228 3797347 4186000 3552000
001 0000 41010 00 Business License 4320850 4229102 4120000 4202000
001 0000 41015 00 Alcoholic Bev License 117105 123740 132000 125000
001 0000 41020 00 License Penalties 148644 156944 135000 155000
001 0000 41085 00 County PR Rev Sharing 251563 161449 193500 211750
r
LEVEL TEXT TEXT AMT I
1 PAYROLL TAX REVENUE SHARING WITH COUNTY
LYNX 50 ED0020 47650
INFINITI MEDIA 50 ED0032 10000
AAA FABRICATORS 50 ED0071 10000
COCA COLA 50 ED0072 30500
MARQUETTE 50 ED0073 48400
BLUE GRASS MARINE 50 ED0073 25800
PEPSI 50 ED0074 8100
ULLRICH 50 ED0075 12300
HT HACKNEY 50 ED0079 19000
JUVENILE DETENTION CTR PAID IN FULL IN FY2011
2
RUN DATE 061311 144712 CITY OF PADUCAH KENTUCKY 11
WORKSHEET DRAFTREV FISCAL YEAR 2012 j
4
I
Actual Actual Revised Adopted 1
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012 1
1
AEP 50e ED0078
1
PAYROLL TAX SHARED WITH COMPANY f
H B FULLER EDOOXX
211750
2
001 0000 41101 00 Building Permits 96617 107714 85000 110000 i
001 0000 41105 00 Electrical Permits 23571 28126 22500 29500 4
001 0000 41110 00 Misc Bldg Elec Fees 423 252 500 250 1
001 0000 41115 00 KY Telecommunication Tax 282388 282432 282250 282400
001 0000 41116 00 PEG Receipts 25139 24442 25000 23400
1
1
LEVEL TEXT TEXT AMT
1 PASS THRU TO PJC 25 HH MONTH COMCAST MR0027 23400
23400
001 0000 41120 00 Planning Fees 8074 6609 7500 8000
s
Licenses Permits 21351075 20969137 21327750 21265800
001 0000 42021 00 KY Emergency Management 221444
001 0000 42066 00 Hiway Safety Grant 39257 55333 25000 20000
001 0000 42069 00 Division of Waste Mgmt 16337
001 0000 42105 00 Section Eight Program 242710 234764 242485 243405
001 0000 42115 00 FEMA 856768
001 0000 42120 00 State Incentive Police 274405 288757 320000 320500
001 0000 42125 00 State Incentive Fire 258599 253855 260000 270000
001 0000 42164 00 Police Hiring Supplement 121172 184000 185000
LEVEL TEXT TEXT AMT
1 COPS HIRING GRANT FOR 3 POLICE OFFICERS P00050 185000
185000
001 0000 42174 00 KLC 2984
001 0000 42175 00 County Contribution 7500
001 0000 42179 00 Ronald McDonald Grant 1248
Grants 1912504 962629 1031485 1038905
001 0000 43001 00 Parking Violations 27777 20000 16000
001 0000 43003 00 False Alarms Police 13592 6350 5000 4500
001 0000 43004 00 False Alarms Fire 8565 2051 1000 4000
001 0000 43005 00 Warrant Service Fees PPD 48794 52325 50000 50000
001 0000 43006 00 Prisoner Extradition Reim 24185 20729 17000 25000
001 0000 43007 00 Nuisance Violations 35453 36240 30000 37000
001 0000 43008 00 DUI Blood Draw Restitu 120
Fines 130589 145592 123000 136500
001 0000 44001 00 Rental Income 2302 3161 2050 1500
001 0000 44003 00 Forest Hills Lease 360000 360000 360000 360000
001 0000 44004 00 American Legion 1000 1200 1200
3
RUN DATE 061311 144712 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
001 0000 44005 00 Shelter Rent 11348 14600 12000 13000
001 0000 44010 00 Jetton Stuart Nelson Rent 1085 1377 1300 1300 1
001 0000 44015 00 Swimming Pool Rent 4597 3161 2500 2500
001 0000 44101 00 Burial Permits 2200 425 1000 500
001 0000 44105 00 Sale of Assets 56482 111647 35000 35000
001 0000 44115 00 Cemetery Lot Sales 12855 8655 10500 10000
Property Rent Sales 451869 503026 425550 425000
001 0000 45101 00 Tax Collection Fee School 134516 146079 135000 153000
001 0000 45105 00 Overhead Admin Charge 252900 229000 231300 266000
001 0000 45110 00 Property Upkeep 24493 44236 33000 35000
001 0000 45112 00 ROW materials billed 5001 2358 5000 5000
001 0000 45115 00 KY City Police Fines 61756 55010 42000 60000
001 0000 45118 00 Police transport 20543 19085 20000 20000
001 0000 45119 00 State Drug Task Force 31200
LEVEL TEXT TEXT AMT
1 PARTIAL REIMB FOR 1 POLICE OFFICER 31200
31200
001 0000 45120 00 County billed 131942 139400 108900 46185
LEVEL TEXT TEXT AMT
1 NETWORK TECHNICIAN JSA 30 20805
GIS SERVICE CONTRACT 2115 M0 FILE 853 25380
46 185
001 0000 45121 00 CCC billed 50931 72140
001 0000 45122 00 E911 GIS billed 23190 23885 24600 25380
LEVEL TEXT TEXT AMT i
1 GIS SERVICE CONTRACT 2115 MONTH 25380
25380
001 0000 45123 00 Inspection Fee Sect 8 10416 10416 10415 10415
001 0000 45125 00 Custodial Fee 10800 10800 10800 10800
001 0000 45130 00 GIS User Fee 1317 580 600
001 0000 45135 00 Off Duty Police Fee 17594 40223 27500 30000
Charges for Service 694468 772003 721255 692980
001 0000 46001 00 Interest on Investments 63829 35659 50000 27500
001 0000 46005 00 Interest on Checking 59851 41336 62500 83500
Interest Income 123680 76995 112500 111000
001 0000 48001 00 Recreation Classes 38857 34269 33000 33000
001 0000 48002 00 Contractual Programs 7808 7294 7500 7500
001 0000 48005 00 USDA Food Program 35134 8372 36000
001 0000 48015 00 Swimming Pool Admissions 19709 18982 17500 17500
4
RUN DATE 061311 144712 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
001 0000 48020 00 Swimming Lessons 8459 8679 8000 8000
001 0000 48025 00 Ice Rink Revenues 84956 52081 65000
001 0000 48026 00 Ice Rink Concessions 944 9726 9000
001 0000 48030 00 Concessions 748 725 250 250
001 0000 48040 00 Basketball 5959 4084 10000 1500
001 0000 48050 00 Softball 22676 24345 30000 22000
001 0000 48101 00 Miscellaneous Other 1732 71384 45000 7500
001 0000 48125 00 Restitution 1000
Other Fees 225094 239941 261250 98250
001 0000 49990 01 General Fund 5028
001 0000 49990 02 Grant Fund 28413
001 0000 49990 04 Investment Fund 108017 92000 95000 50000
LEVEL TEXT TEXT AMT
1 HOTELIER RECRUITMENT PROGRAM EDOOXX 50000
50000
001 0000 49990 09 HUD Revolving Fund 132246
001 0000 49990 40 Capital Projects Fund 99235 116594 15195
001 0000 49990 50 Solid Waste Fund 240000 Ii
LEVEL TEXT TEXT AMT
1 3 FTE STREET SWEEPERS 163500
BULK BRUSH PROGRAMMONDAYSPARTIAL EXP INCURRED 76500
240000
001 0000 49990 63 Rental Property Fund 109943 114792 84380 70860
001 0000 49990 74 Commerce Center Fund 3244 8388
001 0000 49990 80 Mainstreet Fund 3000 1500
Interfund Transfers 320439 500461 196075 360860
GENERAL FUND 30544031 29984929 29723865 29805655
5
I
RUN DATE 061311 144442 CITY OF PADUCAH KENTUCKY
WORKSHEET SUMEXP FISCAL YEAR 2012
i
Actual Actual Revised Adopted
ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1
GENERAL FUND
General Government 1247937 1460485 1718845 1534015 3
Finance 1315598 1059832 1170045 984260
PRDA 112895 131410
Information Technology 355185 489172 568475 589350 1
Inspection 845676 853052 869405 923145 1
Planning 759495 735795 747295 756090
Police 8263696 8433356 8910010 9122060
Fire 5910775 6141978 6408725 6518315
Engineering Public Works 5650377 3787591 3800090 3705925
Parks Services 1490733 2582384 2884800 2877105
Cable Authority 95808 85096 85685 84030
t
Human Rights 99622 56203 60375 48430
Engineering Public Works 1124639 849007 1057880 1114930
Human Resources 124120 97574 104975 298985
PRA 300691 243975 253975
Special Projects 336830 271927
Interfund Transfers 2163066 2400480 1835640 1515960 1
GENERAL FUND 29783557 29604623 30579115 30457985 1
i
il
6
Fund 001 General
Department 01 General Government
Division 02 Mayor Commissioners I
The City of Paducah has an elected Mayor and four elected City Commissioners known
together as the Board of Commissioners The policies of the Board of Commissioners
are carried out by the City Manager
In this form of government the Mayor may vote on all matters brought before the Board
and may introduce legislation The Mayor presides over the City Commission meetings
The Mayor as the highest elected official of the City is responsible for leading the
community responding to citizens needs and for acting as the spokesperson or
representative of the City at events and functions
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 148005 152932 151295 154255
Contractuals 26154 18157 5060 7070
Commodities 36866 31012 31050 29240
Capital Outlay 1677
212702 202101 187405 190565
Funded Staffing Level 5 5 5 5
r
DIVISION OUTPUTS
FY2012 OBJECTIVES
7
I
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
a
GENERAL FUND
General Government
Mayor Commissioners
001 0102 51110 01 Full Time Regular 102987 103692 103295 104845 li
001 0102 51114 01 FICA 3865 4804 4800 4810
001 0102 51114 03 Medicare 1336 1380 1400 1400
001 0102 51114 11 CERS Non Hazardous 5527 8248 3935 8360
001 0102 51114 17 Workers Compensation 170 160 125 135
001 0102 51114 19 Unemployment 1
001 0102 51114 21 Life Insurance 638 638 640 745
001 0102 51114 23 Cafeteria Flex Plan 33481 33650 36140 33000
001 0102 51116 45 Gym Reimbursement 360 960 960
Personal Services 148005 152932 151295 154255
001 0102 51121 02 Liability 1532 1588 1420 1420
001 0102 51121 05 Vehicle 1158 623 650 650
001 0102 51123 07 Other 23464 15946 2990 5000
LEVEL TEXT TEXT AMT
1 COMMISSION ADVANCE 5000
5000
Contractual Services 26154 18157 5060 7070
001 0102 51131 03 Fuel 1674 1837 3000 2750
001 0102 51133 01 Fleet Charges 148 90 1400 500
001 0102 51133 02 Vehicle Lease 2813 2813 2815 2815
001 0102 51135 03 Office 2797 2275 2000 1750
001 0102 51137 05 Telephone 4900 5790 3935 5000
LEVEL TEXT TEXT AMT
1 PHONE LINES FEE TISA 5 1650 MONTH 990
NETWORK ACCESS TISA 3 800 MONTH 290
MAYORS CELL PHONE FAX LINES OTHER 3720
5000
001 0102 51138 01 Training Travel 21530 15253 12125 11500
LEVEL TEXT TEXT AMT
1 ECONOMIC DEVELOPMENT
KLC CONFERENCE 3 COMMISSIONERS
NLC 1 COMMISSIONER
WASHINGTON CHAMBER FLY IN 2 COMMISSIONERS
FRANKFORT TRIPS
GOVERNOR LOCAL ISSUES CONFERENCE 1 COMMISSIONER
WEST KY THANK YOU NIGHT
OTHER TRAVEL 11500
11500
8
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
001 0102 51138 05 DuesMbrshipsBooks Subs 1008 660 1200 1325
LEVEL TEXT TEXT AMT
1 NEWSPAPER CHAMBER BREAKFAST SAMS CLUB FLAG
ADVISORY
001 0102 51139 05 Postage 447 409 700 600
001 0102 51139 07 Printing 694 105 900 500
LEVEL TEXT TEXT AMT
1 CHRISTMAS CARDS PRINTING FOR NEW COMMISSIONER 500
500
1
001 0102 51139 09 Promotions 855 1780 2975 2500
LEVEL TEXT TEXT AMT
1 BBQ ON RIVER VIP 2500
2500
Commodities 36866 31012 31050 29240
001 0102 51142 09 Computer Hardware 1677
Capital Outlay 1677
Mayor Commissioners 212702 202101 187405 190565
ii
9
Fund 001 General
Department 01 General Government
Division 03 City Manager
The City Manager serves as Chief Administrative Officer of the City and is accountable
to the Board of Commissioners The City Manager directs oversees and coordinates
the operations of the City departments and is directed to fulfilling the goals of the City
Board of Commissioners
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 311375 416787 336830 407610
Contractuals 14748 7517 9370 11170
Commodities 14581 12121 15675 14275
Capital Outlay 941 4195 1000
341645 436425 366070 434055
Funded Staffing Level 4 4 4 4
DIVISION OUTPUTS
Policy decisions
Management and evaluation of directors
Personnel actions promotions disciplinary hiring
Preparation of budget
FY2012 OBJECTIVES
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
City Manager
001 0103 51110 01 Full Time Regular 217333 294552 220005 275125
001 0103 51110 02 Part Time Regular 2016
001 0103 51110 05 Longevity 557 1094 780 960
001 0103 51112 01 Full Time Regular OT 748 246 200
001 0103 51114 01 FICA 13491 19074 13870 13920
001 0103 51114 03 Medicare 3432 4590 3850 4270 j
001 0103 51114 11 CERS Non Hazardous 16152 25349 20835 23590
001 0103 51114 13 NRS Deferred Comp 6769 22500
001 0103 51114 15 Deferred compensation 10580 12607 22000 16500 3
001 0103 51114 17 Workers Compensation 400 355 300 365
001 0103 51114 19 Unemployment 65 263 1520 860
001 0103 51114 21 Life Insurance 893 798 385 1040
001 0103 51114 23 Cafeteria Flex Plan 33662 38597 40125 36000
001 0103 51116 35 Automobile allowance 12046 12073 12000 12000
001 0103 51116 45 Gym Reimbursement 420 960 480
Personal Services 311375 416787 336830 407610
001 0103 51121 02 Liability 2591 2547 2665 2665
001 0103 51122 03 Copiers 2260 2337 3000 1500
001 0103 51122 06 Communication Equipment 413 413 430 230
LEVEL TEXT TEXT AMT
1 1 RADIO 1084 130
MOTOROLA MA 100
230
001 0103 51123 06 Temporaries 6885 3500
001 0103 51123 07 Other 2599 2220 3275 3275
LEVEL TEXT TEXT AMT
1 EMPLOYEE CHRISTMAS DINNER 3275
3275
Contractual Services 14748 7517 9370 11170
001 0103 51135 03 Office 2256 836 2300 1800
001 0103 51137 05 Telephone 2765 2801 2925 2925
LEVEL TEXT TEXT AMT
1 CELL PHONES 2 480 YR 960
PHONE LINES FEE TISA 6 1650 MONTH 1190
NETWORK ACCESS TISA 6 800 MONTH 580
TNCI LONG DISTANCE OTHER 195
2925
001 0103 51138 01 Training Travel 6306 5100 4600 4800
LEVEL TEXT TEXT AMT
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1 ICMA KLC KCCMA CM PIO CMLG
FRANKFORT CHAMBER DC FLY IN OTHER 4800
4800
001 0103 51138 05 DuesMbrshipsBooks Subs 1765 989 2200 2200
LEVEL TEXT TEXT AMT
1 CHAMBER PIP 2 KCCMA ICMA 3CMA ASPA
NATIONAL CIVIC LEAGUE
BOOKS
OTHER 2200
2200
001 0103 51138 07 Education 42
001 0103 51139 05 Postage 259 320 650 300
001 0103 51139 11 Marketing 1230 2033 3000 2250
Commodities 14581 12121 15675 14275
001 0103 51142 01 Furniture Fixtures 1000 I
001 0103 51142 09 Computer Hardware 941 4195
Capital Outlay 941 4195 1000
City Manager 341645 436425 366070 434055
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Fund 001 General
Department 01 General Government
Division 04 City Clerk
The City Clerk is the custodian of official City records pursuant to KRS 61870 to KRS
61882 The Clerk is responsible for preparation maintenance and safekeeping of
official City records preparation of ordinances municipal orders and motions for action
by Board of Commissioners and preparation of motions for public printing The Clerk
prepares the City Commission agenda attends all Commission meetings and records
the minutes for those meetings In addition the Clerk responds to citizen complaints
inquiries and requests
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 147772 142954 146170 146175
Contractuals 10270 6838 9800 10000
Commodities 17278 15044 19325 19345
Capital Outlay 1330 1810 3050 1900
176650 166646 178345 177420
Funded Staffing Level 2 2 2 2
DIVISION OUTPUTS
Commission meeting minutes I
Legal documents including ordinances and municipal orders
Official City records
FY2012 OBJECTIVES
Monitor scanning project to include scanning of current and future minutes
Extend scanning to all document types handled by City Clerks office
13
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
t
WORKSHEET DRAFTEXP FISCAL YEAR 2012
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Actual Actual Revised Adopted I
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
City Clerk
001 0104 51110 01 Full Time Regular 91138 91052 91890 92800
001 0104 51110 02 Part Time Regular 8480
001 0104 51110 05 Longevity 2091 2212 2220 2340
001 0104 51112 01 Full Time Regular OT 926 420 500 100
001 0104 51114 01 FICA 6237 5664 5655 5695
001 0104 51114 03 Medicare 1459 1325 1325 1335
001 0104 51114 11 CERS Non Hazardous 13617 16113 16950 19175
001 0104 51114 17 Workers Compensation 185 155 120 130
001 0104 51114 19 Unemployment 30 85 610 300
001 0104 51114 21 Life Insurance 255 255 255 300
001 0104 51114 23 Cafeteria Flex Plan 17331 19650 20645 18000
001 0104 51116 35 Automobile allowance 6023 6023 6000 6000
Personal Services 147772 142954 146170 146175
001 0104 51121 02 Liability 1304 1288 1300 1300
001 0104 51122 02 Computer Software 1373 1426 1500 1700
LEVEL TEXT TEXT AMT
1 MCCI DOCUMENT IMAGING SW MA 1700
1700
001 0104 51123 07 Other 1142 1271 2000 2000
LEVEL TEXT TEXT AMT
1 RECORDING FEES DISCIPLINARY HEARINGS TRANSCRIPT
WEB HOSTING SERVICES MINUTES MCCI 2000
2000
001 0104 51123 08 Recodification 6451 2853 5000 5000
Contractual Services 10270 6838 9800 10000
001 0104 51135 03 Office 1551 1286 2300 2000
001 0104 51137 05 Telephone 1240 1383 1675 1695
LEVEL TEXT TEXT AMT
1 PHONE LINES FEE TISA 5 1650 MONTH 990
NETWORK ACCESS TISA 4 800 MONTH 380
OTHER 325
1695
001 0104 51138 01 Training Travel 220 259 600 900
001 0104 51138 05 DuesMbrshipsBooks Subs 405 384 400 400
001 0104 51139 01 Advertisement 13527 11404 14000 14000
001 0104 51139 05 Postage 335 328 350 350
Commodities 17278 15044 19325 19345
001 0104 51142 01 Furniture Fixtures 1330
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012 1
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
001 0104 51142 09 Computer Hardware 1150
001 0104 51142 11 Computer Software 1810 1900 1900
Capital Outlay 1330 1810 3050 1900
City Clerk 176650 166646 178345 177420
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Fund 001 General
Department 01 General Government
Division 05 Corporate Counsel 1
i
The broad function of this program is to provide legal services to the City Commission
City Manager and staff through a law firm retained to function as City Attorney as well fill
as to the Planning Board through a parttime assistant City Attorney Corporate Counsel
lirenderslegalopinionspreparesordinancesresolutionsmunicipalordersand
contracts They also handle litigation involving the city
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BUDGET SUMMARY 11
Program Expense Actual Actual Revised Adopted I
I
2008 2009 2009 2010 2010 2011 2011 2012 I
Personal Services 23625 25236 25305 25060
Contractuals 70830 153434 141700 126250 1
1
Commodities 4150 3880 3400 3500
Capital Outlay
98605 182550 170405 154810
Funded Staffing Level 1 1 1 1 i
1
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
ii
WORKSHEET DRAFTEXP FISCAL YEAR 2012 f
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Corporate Counsel
001 0105 51110 01 Full Time Regular 11207 11207 11165 11165
001 0105 51110 05 Longevity 1205 1205 1200 1200
001 0105 51114 01 FICA 620 570 500 565
001 0105 51114 03 Medicare 145 133 120 135
001 0105 51114 11 CERS Non Hazardous 1687 2006 2095 2345
001 0105 51114 17 Workers Compensation 20 20 15 15
001 0105 51114 19 Unemployment 3 10 75 40
001 0105 51114 21 Life Insurance 510 510 510 595
001 0105 51114 23 Cafeteria Flex Plan 8228 9575 9625 9000
Personal Services 23625 25236 25305 25060
001 0105 51121 02 Liability 1236 1186 1250 1250
001 0105 51123 05 Legal 69594 152248 140450 125000
Contractual Services 70830 153434 141700 126250
001 0105 51138 05 DuesMbrshipsBooks Subs 4150 3880 3400 3500
Commodities 4150 3880 3400 3500
Corporate Counsel 98605 182550 170405 154810
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Fund 001 General
Department 01 General Government
Division 06 Non Departmental
This program provides funding for projects and programs which are not directly related
to any one particular department It also serves as a disbursing cost center for grants to
various agencies and organizations that provide municipal services which the City does
not currently perform
Its objective is to disburse grants to agencies based on a determination of need of the
City and correlation of service to legality of City undertaking said funding It also
provides internal accounting controls and monitoring of non departmental programs and
City grants
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals
Commodities 1699
Contributions 375079 370000 263280 239000
376778 370000 263280 239000
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Non Departmental
001 0106 51133 05 Property Plant 1699
Commodities 1699
001 0106 51180 08 PATS 300000 250000 225000 225000
001 0106 51180 11 Paxton Park Golf Board 51000 21000
001 0106 51180 33 Yeiser Art Center 10000
001 0106 51180 53 Chamber Legis Lobbyist 12500 14000 14000 14000
001 0106 51180 56 Soccer 1579
001 0106 51180 66 War Memorial 15000
001 0106 51180 69 Convention Ctr Corp 75000
001 0106 51180 70 Lowertown Renaissance Ass 10000
001 0106 51180 73 Brooks Stadium Comm 9280
Contributions 375079 370000 263280 239000
Non Departmental 376778 370000 263280 239000
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Fund 001 General
Department 01 General Government
Division 07 Memberships Contingency
This program provides funding for general contingencies in the general fund It provides
financial support for special or unforeseen expenditures
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 6780 75499 527825 313100
Commodities 23974 23496 21505 21255
Contributions 7500
38254 98995 549330 334355
20
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Memberships Contingency
001 0107 51122 05 Office Equipment 4143 4138 4200 4200
LEVEL TEXT TEXT AMT
1 ANNUAL AND ONGOING MAINTENANCE FOR POSTAGE MACHINE 4200
4200
001 0107 51123 07 Other 2232 3429 4500 3500
LEVEL TEXT TEXT AMT
1 MANAGEMENT DEVELOPMENT PROGRAM 3000
CITY HALL SHRED PROJECT 500
3500
001 0107 51124 13 Property taxes 390 291 350 400
001 0107 51124 14 Unemployment Op Ef Plan 67641 65000 5000
LEVEL TEXT TEXT AMT
1 ESTIMATEAD COST DUE TO OPERATIONAL EFFICIENCY PLAN 5000
5000
001 0107 51124 50 Reserved 15 210335 50000
001 0107 51124 52 Commission Reserve 243440 250000 4
LEVEL TEXT TEXT AMT
1 COMMISSION CONTINGENCY 150000
PAY CLASS STUDY IMPLEMENTATION 100000
250000
Contractual Services 6780 75499 527825 313100
001 0107 51138 05 DuesMbrshipsBooks Subs 23974 23496 21505 21255
LEVEL TEXT TEXT AMT
1 KLC 6870 It
PADD 7210
I 69 2500
NLC 1860
CHAMBER OF COMMERCE 1290
TENN RIVER VALLEY ASSOC 1000
TENN TOM BIGBY 175
JACKSON PURCHASE RC D 100
OTHER 250
21255
Commodities 23974 23496 21505 21255
001 0107 51180 49 GPS 7500
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
A
Contributions 7500
Memberships Contingency 38254 98995 549330 334355
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Fund 001 General
Department 01 General Government
Division 09 Civic Beautification
The Civic Beautification Board is organized to study investigate and recommend plans
for improving the environment health sanitation safety and cleanliness of the City of
Paducah
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012 II
Personal Services
Contractuals
Commodities 3303 3768 4010 3810
Capital Outlay
3303 3768 4010 3810
DIVISION OUTPUTS
Promote public interest in the general improvement of the appearance of the City yActashostessfortheMayorofPaducah
Beautify the streets highways alleys lots and yards in the City of Paducah
Encourage the placing planting and or preservation of trees flowers plants and
shrubbery and other objects of ornamentation in the City
23
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Civic Beautification
001 0109 51135 03 Office 175 25
001 0109 51135 15 Grounds Maintenance 1650
001 0109 51137 05 Telephone 19
001 0109 51138 05 DuesMbrshipsBooks Subs 135
001 0109 51139 09 Promotions 1499 3768 3835 3785
LEVEL TEXT TEXT AMT
1 ANNUAL BUSINESS AWARDS 500
DOGWOOD TRAIL
CERTIFICATE AND PHOTOS ON OFF TRAIL 50
RECEPTION 250
PROMOTIONS 85
MARKETING FOR TRAIL 900
ADOPT A SPOT ID SIGNS OTHER NOTICES AND EXPS 1000
MAINTENANCE FOR 5 WELCOME TO PADUCAH SIGNS 1000
3785
Commodities 3303 3768 4010 3810
Civic Beautification 3303 3768 4010 3810
General Government 1247937 1460485 1718845 1534015
24
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Fund 001 General
Department 02 Finance
Division 01 Administration
The overall operation of the Finance Department is managed by the Finance Director to f3
bring about the most effective use of the Citys resources for all taxpayer services
Administration oversees the general operation which includes but is not limited to
Budget Preparation Accounting Payroll Debt Management ProcurementBudgeting
Monitoring Revenue Collection operations Business LicensePayroll Taxes
Cash Investments Management and technical assistance to other City departments
governmental agencies and outside agencies
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 239376 150237 181510 242550
Contractuals 2079 1663 3235 2550
Commodities 6835 6310 10210 8620
Capital Outlay
248290 158210 194955 253720
Funded Staffing Level 3 2 2 2
DIVISION OUTPUTS
Oversight of department functions
Issuance of annual budget
Issuance of annual financial report
FY2012 OBJECTIVES
Maintain GFOA Certificate of Excellence for annual CAFR
Apply for GFOA Distinguished Budget Award
Review and update financial policies
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
4
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Actual Actual Revised Adopted 1
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Finance
Administration i
001 0201 51210 01 Full Time Regular 172204 104083 103415 150820
001 0201 51210 05 Longevity 2235 1956 2150 2400
001 0201 51214 01 FICA 11245 6972 6980 9160 3
001 0201 51214 03 Medicare 2634 1607 1865 2430
001 0201 51214 i1 CERS Non Hazardous 11182 6889 19330 30280
001 0201 51214 13 NRS Deferred Comp 8031 6108 5925
001 0201 51214 15 Deferred compensation 18335 22000
001 0201 51214 17 Workers Compensation 310 215 150 205
001 0201 51214 19 Unemployment 50 94 765 475
001 0201 51214 21 Life Insurance 361 222 225 300
001 0201 51214 23 Cafeteria Flex Plan 25101 17941 16570 18000
001 0201 51216 35 Automobile allowance 6023 4150 5000 6000 I
001 0201 51216 45 Gym Reimbursement 800 480
Personal Services 239376 150237 181510 242550
001 0201 51221 01 Bonds 228 228 230 245
001 0201 51221 02 Liability 1851 1435 1505 1505
001 0201 51222 03 Copiers 1500 800
Contractual Services 2079 1663 3235 2550
001 0201 51235 03 Office 929 1246 1900 900
001 0201 51237 05 Telephone 1144 886 1370 1170
LEVEL TEXT TEXT AMT
1 CELL PHONES 1 0 480 YR 480
PHONE LINES FEE TISA 2 1650 MONTH 400
LONG DISTANCE 100
NETWORK ACCESS TISA 2 0 800 MONTH 190
1170
001 0201 51238 01 Training Travel 3940 3533 5850 5700
LEVEL TEXT TEXT AMT
1 CPE REQUIREMENTS 40 HOURS PERKINS
F
KCCMA KLC KOLA GFOA CONFERENCE CHAMBER PIP 3200
GFOA LEADER ADVANCE INSTITUTE MADISON 2500
5700
001 0201 51238 05 DuesMbrshipsBooks Subs 822 633 1050 800
001 0201 51239 05 Postage 12 40 50
Commodities 6835 6310 10210 8620
Administration 248290 158210 194955 253720
26
Fund 001 General
Department 02 Finance
Division 02 Accounting Budget
This division is responsible for preparing and assisting in the preparation of financial
reports including monthly financial statements the annual budget and the CAFR The
Citys CAFR includes a management discussion and analysis statistics and meets the
highest standards in governmental financial reporting This division also processes bi
weekly payroll for approximately 325 full time employees and prepares all manner of
payroll related reports They also receive and process all purchase requisitions entered
by departments issuing over 7500 vendor payments a year
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 248203 210328 232955 254270 i
Contractuals 75214 54489 59500 56830
Commodities 20916 15390 18440 15920
Capital Outlay 1723 4177
346056 284384 310895 327020
Funded Staffing Level 5 4 4 4
DIVISION OUTPUTS
Financial statements
Budget preparation assistance
Purchasing
Payroll
Fixed asset records
Audit support
FY2012 OBJECTIVES
Shorten the length of time between month end and system close
Improve efficiency of audit by preparing annual accrual adjustments
Promote professional development within division by offering training
opportunities
Complete cross training within division
Invest funds to maximize earning potential
27
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Accounting Budget
001 0202 51210 01 Full Time Regular 179364 150855 162705 176000
001 0202 51210 05 Longevity 991 1107 1355 1500
001 0202 51214 01 FICA 10618 8897 9675 9600
001 0202 51214 03 Medicare 2483 2081 2260 2245
001 0202 51214 11 CERS Non Hazardous 24488 24557 27730 31425
001 0202 51214 17 Workers Compensation 325 250 200 210
001 0202 51214 19 Unemployment 52 130 1000 495
001 0202 51214 21 Life Insurance 595 489 535 595
001 0202 51214 23 Cafeteria Flex Plan 29287 21662 25575 31000
001 0202 51216 45 Gym Reimbursement 300 1920 1200
Personal Services 248203 210328 232955 254270
iR
001 0202 51220 02 Audit 49270 29880 32800 32500
LEVEL TEXT TEXT AMT
1 GENERAL FUND PORTION OF THE FY2011 FINANCIAL AUDIT 32500
32500
001 0202 51221 02 Liability 2489 2322 2310 2310
001 0202 51222 02 Computer Software 23455 22287 24390 22020
LEVEL TEXT TEXT AMT
1 HTE ASSET MGMT GMBA PURCH INV PAYROLL ACOM 22020
22020
Contractual Services 75214 54489 59500 56830
001 0202 51235 03 Office 7488 4867 5400 4500
001 0202 51237 05 Telephone 1873 1654 1690 1370
LEVEL TEXT TEXT AMT
1 PHONE LINES FEE TISA 5 1650 MONTH 990
NETWORK ACCESS TISA 4 800 MONTH 380 i
OTHER
1370
001 0202 51238 01 Training Travel 4443 3637 5150 4400
LEVEL TEXT TEXT AMT
1 HTE CONFERENCE 1700
CPE HERNDON 40 HRS 1200
CPE RUSHING 40 HRS 1200
PAYROLL UPDATES 300
4400
001 0202 51238 05 DuesMbrshipsBooks Subs 1039 839 1400 1550
LEVEL TEXT TEXT AMT
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1 KYCPA LICENSE RENEWAL MEMBERSHIPS HERNDON RUSHING 750
GFOA CERTIFICATE OF ACHIEVEMENT 500
KYGFOA MEMBERSHIP 50
TECHNICAL GUIDES BOOKS SUBSCRIPTIONS SUGA 250
1550
001 0202 51239 05 Postage 3480 3911 3500 2900
001 0202 51239 07 Printing 2593 482 1300 1200
LEVEL TEXT TEXT AMT
1 A P PAYROLL PENSION MAILINGS W2S 1200
1200
Ii
Commodities 20916 15390 18440 15920
001 0202 51242 09 Computer Hardware 1723 4177
Capital Outlay 1723 4177
Accounting Budget 346056 284384 310895 327020
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Fund 001 General
Department 02 Finance
Division 03 Human Resources
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Due to implementation of the Operational Efficiency Plan the Human Resources
Department was absorbed by the Finance Department As a result the new cost center
Budget HR was formed Budget HR will be responsible for preparing and
presenting the budget document developing programs and performing activities to
ensure that the entire range of Human Resources activities are performed within the
City
i
BUDGET SUMMARY
I
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 224057 162408 202055
Contractuals 64064 33920 36650 i
Commodities 63573 55249 45185
Capital Outlay 1850 1328
353544 252905 283890 0
Funded Staffing Level 3 3 3 0
DIVISION OUTPUTS
Budget preparation and monitoring
Fill vacant positions
Administer employee Wellness Program
Employee training and development
Develop and administer personnel policies and procedures
THIS DIVISION IN FINANCE HAS BEEN COMBINED WITH RISK MANAGEMENT
SEE HUMAN RESOURCES 3511
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Human Resources
001 0203 51210 01 Full Time Regular 152857 112105 139395
001 0203 51210 02 Part Time Regular 7839 27
001 0203 51210 05 Longevity 962 652 890
001 0203 51212 01 Full Time Regular OT 50
001 0203 51214 01 FICA 9486 6424 7805
001 0203 51214 03 Medicare 2219 1502 1825
001 0203 51214 11 CERS Non Hazardous 21279 18793 23775
001 0203 51214 17 Workers Compensation 235 160 150
001 0203 51214 19 Unemployment 47 96 850
001 0203 51214 21 Life Insurance 404 287 385
001 0203 51214 23 Cafeteria Flex Plan 24017 22362 26980
001 0203 51216 35 Automobile allowance 4662
Personal Services 224057 162408 202055
001 0203 51221 02 Liability 2526 2022 1995
001 0203 51222 02 Computer Software 3480 3619 3615
001 0203 51222 03 Copiers 974 852 1090
001 0203 51223 07 Other 45126 15893 17700
001 0203 51224 28 Life Insurance Retirees 4260 4150 4000
001 0203 51224 33 Employee Assist Program 7698 7384 8250
Contractual Services 64064 33920 36650
001 0203 51235 03 Office 5919 1890 2760
001 0203 51237 05 Telephone 2201 1900 2020
001 0203 51238 01 Training Travel 1859 6707 1000
001 0203 51238 03 Training Special HR 1548
001 0203 51238 05 DuesMbrshipsBooks Subs 6374 3080 3805
001 0203 51239 01 Advertisement 11582 10534 8500
001 0203 51239 05 Postage 1239 698 850
001 0203 51239 25 Testing Materials 1647 4182 750
001 0203 51239 27 Post Employment Test 14621 10884 10500
001 0203 51239 28 Compliance employment 18131 13826 15000
Commodities 63573 55249 45185
001 0203 51242 09 Computer Hardware 1850 1328
Capital Outlay 1850 1328
Human Resources 353544 252905 283890
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Fund 001 General
Department 02 Finance
Division 05 Revenue
Revenue is responsible for the billing collection and record maintenance of
approximately 13000 property tax bills real and personal each year In addition they
issue approximately 3500 business licenses collect quarterly payroll taxes from over
3000 entities and receive municipal insurance premium taxes This division is
responsible for collecting and or processing all miscellaneous revenue received by the
City from all sources They also coordinate collection efforts with a collection agency
and or legal staff to collect on delinquent accounts
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 273133 249497 258400 268620
Contractuals 61949 75006 75800 93975
Commodities 32626 38502 40605 40925
Capital Outlay 1328 5500
367708 364333 380305 403520
Funded Staffing Level 6 5 5 5
DIVISION OUTPUTS
Property tax bill preparation and collection
Payroll tax collection
Issuance of business licenses
Collection and processing of miscellaneous revenue
FY2012 OBJECTIVES ii
Property tax software conversion
Promote professional development within division by offering training
opportunities
Technological update in cash management techniques
1099 compliance program
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Revenue
001 0205 51210 01 Full Time Regular 190182 173639 181515 186300
001 0205 51210 05 Longevity 1299 1364 1605 1680
001 0205 51212 01 Full Time Regular OT 503 221
001 0205 51214 01 FICA 11309 10269 10535 10845
001 0205 51214 03 Medicare 2645 2401 2465 2540
001 0205 51214 11 CERS Non Hazardous 26034 28276 30935 35005
001 0205 51214 17 Workers Compensation 320 275 220 235
001 0205 51214 19 Unemployment 53 149 1100 550
001 0205 51214 21 Life Insurance 712 638 735 745
001 0205 51214 23 Cafeteria Flex Plan 40076 32025 28570 30000
001 0205 51216 45 Gym Reimbursement 240 720 720
Personal Services 273133 249497 258400 268620
001 0205 51221 02 Liability 2686 2852 2905 2905
001 0205 51222 02 Computer Software 8890 9246 9250 18720 i
LEVEL TEXT TEXT AMT
1 HTE CASH RECEIPTS ACCTS REC BUSINESS LICENSE 9250
HTE PROPERTY TAX MODULE 9470
18720
001 0205 51223 01 Banking Investment 586 2400 2200
001 0205 51223 03 Data Processing 3525 4320 3800 2900
LEVEL TEXT TEXT AMT
1 MAINTENANCE FEES LEGACY PROP TAX SW SYSTEM 2900
2900
001 0205 51223 06 Temporaries 6848 18002 17445 17250
001 0205 51223 11 McCracken County PVA 40000 40000 40000 50000
LEVEL TEXT TEXT AMT
1 STATUTORY REQUIREMENT ANNUAL PAYMENT TO PVA 50000
50000
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Contractual Services 61949 75006 75800 93975 F
001 0205 51233 03 Equipment 373
001 0205 51235 03 Office 4619 5643 5845 4800
LEVEL TEXT TEXT AMT
1 GREEN BAR COPY PAPER COPY REPAIR OTHER 4800
4800
001 0205 51237 05 Telephone 2366 2460 2320 2250
LEVEL TEXT TEXT AMT
33
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
5
Actual Actual Revised Adopted k1
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1
1 PHONE LINES FEE TISA 7 1650 MONTH 1390
NETWORK ACCESS TISA 8 800 MONTH 860
OTHER
2250
001 0205 51238 01 Training Travel 2035 3991 3300 4500
LEVEL TEXT TEXT AMT
1 HTE SUGA KOLA CONFERENCE 4500
4500
001 0205 51238 05 DuesMbrshipsBooks Subs 493 605 600 600
001 0205 51238 07 Education tuition reimb 190 2300
LEVEL TEXT TEXT AMT
1 MILLAY MCCLURE 2300
2300
001 0205 51239 01 Advertisement 670 684 900 925
001 0205 51239 05 Postage 15423 18379 17200 17950
LEVEL TEXT TEXT AMT
1 NOTICED MAILED
PROPERTY TAX BILLS 12500 YR 5500
PROPERTY TAX 2ND HALF REMINDERS 9000 YR 4000
BUSINESS LICENSE FORMS 3200 YR 1400
PAYROLL TAX FORMS 2800 QTR 4950
OTHER CORRESPONDENCE 2100
17 950
001 0205 51239 07 Printing 7020 6367 10250 7600
LEVEL TEXT TEXT AMT
1 PROPERTY TAX BILLS BUSINESS LIC PR TAX FORMS 7600
7600
Commodities 32626 38502 40605 40925
001 0205 51242 09 Computer Hardware 1328 5500
Capital Outlay 1328 5500
Revenue 367708 364333 380305 403520
Finance 1315598 1059832 1170045 984260
34
Fund 001 General
Department 03 PRDA
Division 01 Administration
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 109145 110315
Contractuals 820
Commodities 1750 20275
Capital Outlay 2000
0 0 112895 131410
Funded Staffing Level 0 0 0 1
I
35
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
PRDA
Administration
001 0301 51810 01 Full Time Regular 73175 73910
001 0301 51810 05 Longevity 180 180
001 0301 51814 01 FICA 4565 4425
001 0301 51814 03 Medicare 1065 1035
001 0301 51814 11 CERS Non Hazardous 13505 15275
001 0301 51814 17 Workers Compensation 95 100
001 0301 51814 19 Unemployment 485 240
001 0301 51814 21 Life Insurance 130 150
001 0301 51814 23 Cafeteria Flex Plan 9945 9000
001 0301 51816 35 Automobile allowance 6000 6000
Personal Services 109145 110315
001 0301 51821 02 Liability 820
Contractual Services 820
001 0301 51835 03 Office 500 1000
001 0301 51837 05 Telephone 250 775
LEVEL TEXT TEXT AMT
1 CELL PHONES 1 480 YR 480
PHONE LINES FEE TISA 1 1650 MONTH 200
NETWORK ACCESS TISA 1 800 MONTH 95
775
001 0301 51838 01 Training Travel 1000 10000
LEVEL TEXT TEXT AMT
is
1 PRDA BOARD SITE VISITS 10000
10000
001 0301 51838 05 DuesMbrshipsBooks Subs 1000
LEVEL TEXT TEXT AMT
1 IEDC 1000
1000
001 0301 51839 01 Advertisement 7500
LEVEL TEXT TEXT AMT
1 INDUSTRY PUB ADS ANNOUNCING PPTY AVAILABILITY 7500
7500
Commodities 1750 20275
001 0301 51842 09 Computer Hardware 2000
36
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Capital Outlay 2000
Administration 112895 131410
PRDA 112895 131410
It
li
is
37
I
is
Fund 001 General
Department 05 Information Technology
Division 01 Administration
Our mission is to provide voice and data network services and support to employees of
the City of Paducah and McCracken County Governments so that they may serve the
citizens in an efficient manner As a result of the Operational Efficiency Plan Information s
Systems absorbed the GIS Division of Engineering and was renamed Information
Technology to reflect its expanded responsibilities In conjunction with the original GIS
objectives Information Technology is to provide the implementation of Geographic
Information System GIS for the City in order to maintain records on a computer based
mapping system This process will link the data of hardcopy and data based records
with digital map graphics in order to eliminate the inefficient process of redundant record
keeping by several departments throughout the City This will improve City services
through the use of automated facility management and land management system and
eventually public safety environmental KRS 100 compliance and economic
development activities
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 325250 436154 417325 481440 I
Contractuals 21992 42500 55040 67800
Commodities 7943 10518 25010 33610
Capital Outlay 71100 6500
355185 489172 568475 589350
Funded Staffing Level 4 6 6 6
DIVISION OUTPUTS
Service PCs laptops
Service phones
Network operation support
Network security
FY2012 OBJECTIVES
Prepare for migration to Windows 7
Begin upgrade of Microsoft Office Suite on all City owned machines
Begin testing phase of high speed data transfer for public safety agencies
38
I
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
4
Actual Actual Revised Adopted I
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Information Technology
Administration
001 0501 51410 01 Full Time Regular 226015 307078 291740 341470
001 0501 51410 02 Part Time Regular 7651
001 0501 51410 05 Longevity 1489 2336 2400 2460
001 0501 51414 01 FICA 13898 18155 18335 18900
001 0501 51414 03 Medicare 3250 4246 4290 4420
001 0501 51414 11 CERS Non Hazardous 32097 51440 54620 62805
001 0501 51414 17 Workers Compensation 355 490 390 1505
001 0501 51414 19 Unemployment 69 271 1965 985
001 0501 51414 21 Life Insurance 574 765 765 895
001 0501 51414 23 Cafeteria Flex Plan 33829 45350 36820 42000
001 0501 51416 35 Automobile allowance 6023 6023 6000 6000
Personal Services 325250 436154 417325 481440
001 0501 51421 02 Liability 2393 3877 4300 4300 I1I
001 0501 51422 01 Computer Hardware 17497 6297 6950 6950
LEVEL TEXT TEXT AMT
1 IBM 6412 PRINTERS ANNUAL MAINTENANCE 3650
IBM 6262 PRINTERS ANNUAL MAINTENANCE 3300
6950
i
001 0501 51422 02 Computer Software 1500 24028 33330 42400
LEVEL TEXT TEXT AMT
1 HTE QREP ADMINISTRATOR END USER 1650
MDB CLIENT SOFTWARE CITY 11950
HTE DMS MAINTENANCE AGREEMENT 1200
LOOKING GLASS ANNUAL MA VIEWER 2850
LOOKING GLASS ANNUAL MA COMMUNITY MA 2125
LOOKING GLASS ANNUAL MA ADDRESS FOR LAND 2125
BARRACUDA ANNUAL MA WEB FILTER HOTSPOT 600
ESRI ANNUAL MAINTENANCE
ARCINFO CONCURRENT USE PRIMARY MA 3000
ARCEDITOR CONCURRENT USE PRIMARY MA 1500
ARCEDITOR CONCURRENT USE SECONDARY MA 3600
ARCEDITOR CONCURRENT USE SECONDARY MA 1200
ARCGIS 3D ANALYST CONCURRENT ENTERPRISE USE 500
ARCGIS PUBLISHER CONCURRENT ENTERPRISE USE 500
ARCVIEW SINGLE USE PRIMARY MAINTENANCE 400
ARCGIS NETWORK ANALYSIS CONCURRENT PRIMARY 500
2 NEW ARCEDITOR CONCURRENT USE MAINTENANCE 2400
UPGRADE TO ARCGIS SERVER ADVANCED 5000
ONSSI CAMERA SW MAINTENANCE 1300
42400
001 0501 51423 07 Other 602 8298 10460 14150
39
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
LEVEL TEXT TEXT AMT
1 ANNUAL WEB DOMAIN NAME REGISTRATIONS 1050
MISC NETWORK WORK 20 HRS 110 2200 k
MISC TELEPHONE WORK 20 HRS 70 1400
ANNUAL MAP GIS CONSORTIUM FEE 6000
WEBSITE UPDATE 3500
14150
Contractual Services 21992 42500 55040 67800
001 0501 51433 03 Equipment 1000 1000
LEVEL TEXT TEXT AMT i
1 MDT HW SRVC KEYBOARDS DISPLAYS SYS BOARDS 1000
I
1000
001 0501 51435 03 Office 1691 1693 3500 3500
001 0501 51437 05 Telephone 5653 7476 10710 10660 I
j
LEVEL TEXT TEXT AMT
1 CELL PHONES 6 480 YR 2880 I
PHONE LINES FEE TISA 8 1650 MONTH 1585 r
NETWORK ACCESS TISA 32 800 MONTH 3075 1
I
VERIZON WIRELESS 4 CARDS 3 I T 1 CM 3120
OTHER
10660
001 0501 51438 01 Training Travel 512 1318 6200 17850
li
LEVEL TEXT TEXT AMT
1 2011 KENTUCKY GIS CONFERENCE 3 PEOPLE 1800
ESRI TRAINING FOR NEW GIS SPECIALIST 3850
2012 ESRI ANNUAL CONFERENCE 2 PEOPLE 5000
BEN KAPA FALL AND SPRING CONFERENCE 1200
OTHER CLASSROOM TRAINING 6000
17 850
001 0501 51438 05 DuesMbrshipsBooks Subs 48 500 500
II
LEVEL TEXT TEXT AMT
1 BOOKS MAGAZINES REFERENCE MATERIALS 500
500
001 0501 51438 07 Education tuition reimb 3000
001 0501 51439 05 Postage 39 31 100 100
Commodities 7943 10518 25010 33610
40
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
001 0501 51442 09 Computer Hardware 7650 6500
LEVEL TEXT TEXT AMT
1 NEW DMS NAVILINE SERVER 6500
6500
001 0501 51442 11 Computer Software 63450
Capital Outlay 71100 6500
Administration 355185 489172 568475 589350
Information Technology 355185 489172 568475 589350
ii
41
Fund 001 General
Department 08 Inspection
Division 01 Administration
The overall operation of the Inspection Department is managed by the DirectorChief
Building Inspector to oversee the professional operation of the department
Administration enforces all applicable federal state and local laws rules and
regulations mandated to the department and maintains current and correct information
records and certification on all projects within their jurisdiction
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 141051 158361 161315 164105
Contractuals 4770 4802 4750 3130
Commodities 10200 11737 12240 12440
Capital Outlay 1039 2500 2500
157060 174900 180805 182175
Funded Staffing Level 2 2 2 2
DIVISION OUTPUTS
Enforce laws rules and regulations
Issue building and electrical permits
Maintain current property records on all projects within jurisdiction
FY2012 OBJECTIVES
Continue to oversee the department in a professional and efficient manner so as
to provide the citizens with the health safety and welfare required in the built
environment and neighborhoods
42
Ids
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY i
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
fs
Inspection
Administration
001 0801 51610 01 Full Time Regular 96428 103685 104780 105815
001 0801 51610 05 Longevity 1435 1749 1740 1800
001 0801 51614 01 FICA 6046 6544 6580 6655
001 0801 51614 03 Medicare 1414 1531 1540 1560
001 0801 51614 11 CERS Non Hazardous 13770 18089 19130 21635
001 0801 51614 17 Workers Compensation 2205 2195 1755 1775
001 0801 51614 19 Unemployment 29 95 690 340
001 0801 51614 21 Life Insurance 244 255 255 300
001 0801 51614 23 Cafeteria Flex Plan 14842 18075 18620 18000
001 0801 51616 35 Automobile allowance 4638 6023 6000 6000
001 0801 51616 40 Boot Allowance 225 225
001 0801 51616 45 Gym Reimbursement 120
Personal Services 141051 158361 161315 164105
001 0801 51621 01 Bonds 102 102 105 105
001 0801 51621 02 Liability 1226 1312 1335 1335
001 0801 51622 06 Communication Equipment 3442 3388 3310 1690
LEVEL TEXT TEXT AMT
1 13 RADIOS 1084 MONTH 1690
1690
Contractual Services 4770 4802 4750 3130
001 0801 51635 03 Office 4983 6642 6000 6000
001 0801 51637 05 Telephone 3014 2108 2740 2940
LEVEL TEXT TEXT AMT
jl
1 CELL PHONES 1 480 YR 480
PHONE LINES FEE TISA 7 1650 MONTH 1385
NETWORK ACCESS TISA 6 800 MONTH 575
VERIZON AIR CARD 500
2940
L
001 0801 51638 01 Training Travel 1726 2336 2500 2500
001 0801 51638 05 DuesMbrshipsBooks Subs 477 349 500 500
001 0801 51639 07 Printing 302 500 500 i
Commodities 10200 11737 12240 12440
001 0801 51642 09 Computer Hardware 1039 2500 2500
Capital Outlay 1039 2500 2500
Administration 157060 174900 180805 182175
43
Fund 001 General
Department 08 Inspection
Division 02 Construction
This division ensures that building and electrical work done within their jurisdiction
complies with codes laws and regulations mandated by the State of Kentucky and the
City of Paducah Not only are building plans reviewed for compliance with codes but
inspections are also made at predetermined stages of construction Inspectors advise
and confer with contractors and or property owners before and during construction to
help ensure construction and or alteration compliance
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 248275 239796 310405 326925
Contractuals 17402 17352 18350 17305
Commodities 17177 20751 21030 20100
Capital Outlay
282854 277899 349785 364330
Funded Staffing Level 5 4 4 5
DIVISION OUTPUTS
Review building plans for compliance with codes
Conduct building and electrical inspections
Advise and confer with contractors and or property owners on building projects f
FY2012 OBJECTIVES
To continue to provide the necessary inspections in a timely manner so as to
provide the required degree of safety in the built environment
44
i
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
1
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1
Construction
3
001 0802 51610 01 Full Time Regular 175602 169892 216430 225815
t
001 0802 51610 05 Longevity 1122 1265 1320 1560 1
001 0802 51612 01 Full Time Regular OT 644 724 1000 1000
00108025161401 FICA 10181 9762 12490 12605 a
001 0802 51614 03 Medicare 2381 2283 2920 2950 g
001 0802 51614 11 CERS Non Hazardous 24162 27853 36970 43295
001 0802 51614 17 Workers Compensation 5650 4330 4385 4600
001 0802 51614 19 Unemployment 50 147 1330 680 s
001 0802 51614 21 Life Insurance 532 510 640 745
00108025161423 Cafeteria Flex Plan 27613 22700 32245 33000 i
001 0802 51616 40 Boot Allowance 338 330 675 675
1z
i
Personal Services 248275 239796 310405 326925
00108025162102 Liability 2482 2149 2640 2640
001 0802 51621 05 Vehicle 2973 2975 3125 3125
001 0802 51622 02 Computer Software 10670 11097 11085 10040
1
LEVEL TEXT TEXT AMT 1
i
1 HTE BLDG PRMT CODE ENFORCE LAND PARCEL MGMT 10040 3
10040
001 0802 51623 04 Laundry 1277 1131 1500 1500 I
li
Contractual Services 17402 17352 18350 17305
001 0802 51631 03 Fuel 3113 3026 3640 5200 l
LEVEL TEXT TEXT AMT
1 1300 GAL GASOLINE 4 5200 r
5200 I
1i
001 0802 51633 01 Fleet Charges 1948 2591 2500 3000
001 0802 51633 02 Vehicle Lease 7280 9351 8305 6760
001 0802 51637 05 Telephone 2145 3263 2835 2140 1
LEVEL TEXT TEXT AMT
1 CELL PHONES 2 480 YR 960
PHONE LINES FEE TISA 4 1650 MONTH 795 r
NETWORK ACCESS TISA 4 800 MONTH 385
2140 I
001 0802 51638 01 Training Travel 1964 1990 3000 2500
001 0802 51638 05 DuesMbrshipsBooks Subs 727 530 750 500
I
Commodities 17177 20751 21030 20100
Construction 282854 277899 349785 364330
J
45
Fund 001 General
Department 08 Inspection
Division 03 Code Enforcement
The Code Enforcement Division enforces all applicable laws rules and regulations in
order to provide a healthy clean and pleasant environment for the citizens of Paducah
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 210681 187521 165335 197975
Contractuals 147111 189299 149995 154815
Commodities 18954 22324 23485 23850
Capital Outlay
376746 399144 338815 376640 IFundedStaffingLevel5454
DIVISION OUTPUTS
Enforce City of Paducah Nuisance Code Ordinance
Enforce the Citys weed litter junk abandoned autos noise and trash a
ordinances
Enforce the Property Maintenance Code as adopted by the City Commission
FY2012 OBJECTIVES
Continue to enforce all applicable rules and regulations for the enhancement and
safety of the city in an efficient and professional manner
46
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY f4
WORKSHEET DRAFTEXP FISCAL YEAR 2012 k1
1
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Code Enforcement
001 0803 51610 01 Full Time Regular 144969 127951 114905 131470
001 0803 51610 02 Part Time Regular 3040
LEVEL TEXT TEXT AMT
1 SUMMER INTERN 8 WKS 3040
3040
I
001 0803 51610 05 Longevity 660 829 840 780
001 0803 51612 01 Full Time Regular OT 447 56 500
001 0803 51614 01 FICA 8626 7603 7715 8215
001 0803 51614 03 Medicare 2017 1778 1805 1910
001 0803 51614 11 CERS Non Hazardous 19753 20787 22220 25170
001 0803 51614 17 Workers Compensation 3750 2335 1875 1900
001 0803 51614 19 Unemployment 41 110 800 395
001 0803 51614 21 Life Insurance 542 510 510 595
001 0803 51614 23 Cafeteria Flex Plan 29538 25325 14215 24000
001 0803 51616 40 Boot Allowance 338 237 450
Personal Services 210681 187521 165335 197975
001 0803 51621 02 Liability 3474 3025 3015 3015
001 0803 51621 05 Vehicle 2444 2389 2510 1800
001 0803 51623 06 Temporaries 550
001 0803 51623 10 Tree Weed Debris Mgmt 74937 112370 80000 80000
001 0803 51623 13 Demolition 65706 71515 64470 70000 IS
Contractual Services 147111 189299 149995 154815
001 0803 51631 03 Fuel 3116 3782 4060 6340
LEVEL TEXT TEXT AMT
1 1585 GAL GASOLINE 4 6340
6340
001 0803 51633 01 Fleet Charges 2213 1251 2500 2000
001 0803 51633 02 Vehicle Lease 4782 5110 4590 4100
001 0803 51637 05 Telephone 2409 2120 3035 1860 r
LEVEL TEXT TEXT AMT
1 CELL PHONES 1 B 480 YR 480
PHONE LINES FEE TISA 5 1650 MONTH 990
NETWORK ACCESS TISA 4 800 MONTH 390
1860
001 0803 51638 01 Training Travel 220 1000 750
001 0803 51638 05 DuesMbrshipsBooks Subs 127 25 300 300
001 0803 51639 05 Postage 6012 9731 7500 8000
001 0803 51639 07 Printing 75 305 500 500
47
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY 1
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Commodities 18954 22324 23485 23850
Code Enforcement 376746 399144 338815 376640
GI
iff
48
j
ix
Fund 001 General
Department 08 Inspection
Division 04 Neighborhood Redevelopment
Aggressive code enforcement is a vital key to the redevelopment of neighborhoods in
decline with large percentages of dilapidated structures This division focuses on
defined neighborhoods in the redevelopment process resulting in a more inviting area
with large increases in assessed property values The code enforcement officer
becomes familiar with the area to learn where the problems and weaknesses are while
overseeing all code enforcement related activities
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 24585 1046
Contractuals 1111 t
Commodities 3320 63
Capital Outlay
29016 1109 0 0
Funded Staffing Level 1 0 0 0
DIVISION OUTPUTS
Oversee code enforcement related activities in redevelopment neighborhoods
it
FY2012
r
DUE TO THE OPERATIONAL EFFICIENCY PLAN DIV 0804 HAS BEEN
ELIMINATED
49
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Neighborhood Redevelopmt
001 0804 51610 01 Full Time Regular 21364 971
001 0804 51614 01 FICA 1349 60
001 0804 51614 03 Medicare 316 14
001 0804 51614 17 Workers Compensation 1550
001 0804 51614 19 Unemployment 6 1
Personal Services 24585 1046
001 0804 51621 02 Liability 560
001 0804 51621 05 Vehicle 551
Contractual Services 1111
001 0804 51631 03 Fuel 513
001 0804 51633 01 Fleet Charges 201 63
001 0804 51633 02 Vehicle Lease 1912
001 0804 51637 05 Telephone 694
Commodities 3320 63
Neighborhood Redevelopmt 29016 1109
ff
Inspection 845676 853052 869405 923145
Is
is
ICI
50
Fund 001 General
Department 12 Planning
Division 01 Administration
This division provides overall program direction records personnel and budget
management and clerical support to all divisions of the department
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 213461 234717 222480 231405
Contractuals 7696 7748 8650 9445
Commodities 22419 17608 16975 14125
Capital Outlay 309 5500 900
243576 260382 253605 255875
Funded Staffing Level 3 3 3 3
h
DIVISION OUTPUTS
Preparation direction and oversight of all departmental programs and I
procedures
Maintenance of personnel budget and other departmental records and
procedures
Provide clerical support to all department functions
Technical and administrative support to pertinent Boards Committees and
Commissions
FY2012 OBJECTIVES
Complete all priority agenda items outlined by the City Commission
51
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
I
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Planning
Administration
001 1201 51310 01 Full Time Regular 145228 146286 147830 152800
001 1201 51310 05 Longevity 2974 3155 3180 3300
001 1201 51314 01 FICA 8878 8847 8870 8930
001 1201 51314 03 Medicare 2076 2069 2075 2090
001 1201 51314 11 CERS Non Hazardous 21027 37481 26665 30165
001 1201 51314 17 Workers Compensation 270 240 190 200
001 1201 51314 19 Unemployment 43 133 960 475
001 1201 51314 21 Life Insurance 383 383 385 445
001 1201 51314 23 Cafeteria Flex Plan 26559 30100 26325 27000 II
001 1201 51316 35 Automobile allowance 6023 6023 6000 6000
Personal Services 213461 234717 222480 231405
001 1201 51321 02 Liability 1897 1812 1880 1875 C
001 1201 51321 05 Vehicle 524 541 570 570
001 1201 51322 03 Copiers 5065 5366 4800 5000
ft
LEVEL TEXT TEXT AMP
1 COPIER 5000 MAINTENANCE INCLUDES ALL SUPPLIES 5000
5000
001 1201 51323 07 Other 210 29 1400 2000
Pi
LEVEL TEXT TEXT AMT
1 PROFESSIONAL SERVICES 2000
i
2000
Contractual Services 7696 7748 8650 9445
001 1201 51331 03 Fuel 530 629 700 800
LEVEL TEXT TEXT AMT
1 200 GAL GASOLINE 4 800
800
001 1201 51333 01 Fleet Charges 113 430 500 500
001 1201 51333 02 Vehicle Lease 1673 1673 1675 1675
001 1201 51335 03 Office 5925 5618 5300 3600
001 1201 51337 05 Telephone 4368 3670 2300 2050
LEVEL TEXT TEXT AMT
1 CELL PHONES 1 480 YR 480
F
PHONE LINES FEE TISA 5 1650 MONTH 990
NETWORK ACCESS TISA 6 800 MONTH 580
LONG DISTANCE OTHER
2050
52
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 20082009 20092010 2010 2011 20112012
001 1201 51338 01 Training Travel 3846 1644 2400 1100
1
LEVEL TEXT TEXT AMT
1 LOCAL ISSUES CONFERENCE AFFORDABLE HOUSING CONF 1100
1100
001 1201 51338 05 DuesMbrshipsBooks Subs 1108 773 900 800
LEVEL TEXT TEXT AMT
1 PADUCAH SUN APA STAFF BOARD MEMBERS DUES
VARIOUS PROFESSIONAL LITERATURE 800
j
800
001 1201 51339 01 Advertisement 274 i
001 1201 51339 05 Postage 3735 3171 2800 3200
001 1201 51339 07 Printing 847 400 400
Ii
Commodities 22419 17608 16975 14125 4r
001 1201 51342 01 Furniture Fixtures 309
001 1201 51342 09 Computer Hardware 5500 900 3
LEVEL TEXT TEXT AMT
1 PC CLERICAL ONE MACHINE 900 I
900
Capital Outlay 309 5500 900
Administration 243576 260382 253605 255875
is
Ik
Is
53
Fund 001 General
Department 12 Planning
Division 02 Planning
The Planning Division provides the community with comprehensive planning per KRS
100 and current planning zoning
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 108979 60109 61575 66740
Contractuals 14038 10221 13045 11760
Commodities 12421 7678 8745 7590
Capital Outlay 1050
135438 78008 84415 86090
Funded Staffing Level 2 1 1 1
DIVISION OUTPUTS
Administration of the zoning ordinance
Administration of the subdivision ordinance
Administration of Annexation Incentive Ordinance
Staff support to the Planning Commission Zoning Board of Adjustment and
Historical and Architectural Review Commission HARC and Urban Renewal
and Community Development Agency URCDA
Comprehensive planning activities as they relate to land use
Special studies as directed Greenway Plan Bicycle Plan Tree Preservation
Ordinance I
FY2012 OBJECTIVES
Annex riverfront and floodwall berm
Fountain Avenue Begin transferring 26 vacant lots to individuals or developers
to build new single family structures and to transfer the 36 structures to
individuals or contractors so that they may be rehabilitated
Complete Bicycle Greenway plan
Market 14 Madison Street
Adoption of Tree Preservation Ordinance
Finish KHC HOME Project
Start Home Owner Assistance Program HAP
Finish 4 exterior rehabilitation projects
Finalize Downtown Design Guidelines
Apply and initiate AHTF Grant in Fountain Avenue Neighborhood
54
If
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012 I
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Planning
001 1202 51310 01 Full Time Regular 79601 41800 42225 46185
001 1202 51310 05 Longevity 368 42 60 120
001 1202 51314 01 FICA 4715 2250 2150 2420
001 1202 51314 03 Medicare 1103 526 505 565
001 1202 51314 11 CERS Non Hazardous 10892 6762 7160 8110
001 1202 51314 17 Workers Compensation 175 65 55 60
001 1202 51314 19 Unemployment 22 36 260 130
001 1202 51314 21 Life Insurance 223 128 130 150
001 1202 51314 23 Cafeteria Flex Plan 11880 8500 8550 9000 fi
001 1202 51316 45 Gym Reimbursement 480
Personal Services 108979 60109 61575 66740
001 1202 51321 02 Liability 1281 627 620 620
001 1202 51322 02 Computer Software 4340 4514 4515 4510
LEVEL TEXT TEXT AMT
1 HTE PLANNING ENGINEERING 4510
4510
001 1202 51322 06 Communication Equipment 458 458 460 130
LEVEL TEXT TEXT AMT
1 1 RADIOS 1084 MONTH 130
MOTOROLA MA
130
001 1202 51323 07 Other 7959 4622 7450 6500
LEVEL TEXT TEXT AMT
1 BOARD SALARY 5000
6 MEMBERS 30 MEETING X 24 MEETINGS
1 CHAIRMAN 50 MEETING X 24 MEETINGS
is
RECORDING FEES PROFESSIONAL FEES 1500
6500
Contractual Services 14038 10221 13045 11760 I
001 1202 51333 01 Fleet Charges 15
001 1202 51335 03 Office 1977 1488 150
001 1202 51337 05 Telephone 400 32 395 290
LEVEL TEXT TEXT AMT
1 PHONE LINES FEE TISA 1 1650 MONTH
NETWORK ACCESS TISA 3 800 MONTH 290
290
001 1202 51338 01 Training Travel 5307 2437 3000 2200
55
IiRUNDATE061311145118CITYOFPADUCAHKENTUCKYf
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
LEVEL TEXT TEXT AMT
1 EMPLOYEE KAPA SPRING FALL CONFERENCE 850
EMPLOYEE HISTORIC PRESERVATION CONFERENCE 500
HARC BOA PC HB 55 MANDATORY TRAINING 850
2200
001 1202 51338 05 DuesMbrshipsBooks Subs 1184 657 800 600
LEVEL TEXT TEXT AMT
1 APA DUES PLANNING COMMISSION JOURNAL AND
VARIOUS PROFESSIONAL LITERATURE OTHER 600 Ii
600
001 1202 51339 01 Advertisement 3538 3064 4400 4500
Commodities 12421 7678 8745 7590
001 1202 51342 09 Computer Hardware 1050
Capital Outlay 1050
ft
Planning 135438 78008 84415 86090
56
Fund 001 General
Department 12 Planning
Division 03 Grants
The Grants Division of the Planning Department researches grant opportunities and
disseminates information to the City and agencies within the community This division
assists with project development the application process and administers grant awards
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 133541 152933 158070 164780
Contractual 941 5943 1225 1220
Commodities 3231 3766 4665 4450
Capital Outlay 1050
137713 162642 165010 170450
Funded Staffing Level 2 2 2 2
DIVISION OUTPUTS
Research and report grant opportunities to appropriate parties
Federal state grant applications and legislative acceptance of awards
Grant reporting financial programmatic to federal and state agencies
Administer agency and legislative pass through grants
Ensure compliance with terms and conditions of grants
FY2012 OBJECTIVES
Subscribe to and review official state and federal Notice of Funding Availability
NOFA newsletters Advise divisions of local government and local notfor
profits
is
of NOFAs interest to those agencies
On behalf of divisions of local government and local not for profit organizations
apply for formula grant monies
On behalf of divisions of local government and local not for profit organizations
administer pass through grants and or legislative appropriations
On behalf of divisions of local government and local not for profit organizations
submit eligible projects to competitive discretionary funding sources
File or contract with the grant recipient agency for the filing of quarterly financial
and narrative reports on all open grant awards
57
I
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
1
I
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012 s
a
Grants t
001 1203 51310 01 Full Time Regular 90891 91914 92705 96840
001 1203 51310 02 Part Time Regular 5875 19840 21980 21980
001 1203 51310 05 Longevity 565 741 780 900
001 1203 51314 01 FICA 5531 6367 6580 6685
001 1203 51314 03 Medicare 1294 1489 1540 1565
001 1203 51314 11 CERS Non Hazardous 12496 15051 15910 18010
001 1203 51314 17 Workers Compensation 150 180 140 150
001 1203 51314 19 Unemployment 28 96 710 350
001 1203 51314 21 Life Insurance 255 255 255 300
001 1203 51314 23 Cafeteria Flex Plan 16456 17000 17470 18000
f
Personal Services 133541 152933 158070 164780
i
001 1203 51321 02 Liability 941 1200 1225 1220
4
001 1203 51323 07 Other 4743
Contractual Services 941 5943 1225 1220
001 1203 51337 05 Telephone 480 627 1365 1650
LEVEL TEXT TEXT AMT
1 CELL PHONES 1 480 YR 480
PHONE LINES FEE TISA 4 1650 MONTH 790
NETWORK ACCESS TISA 4 800 MONTH 380
1650
lY
001 1203 51338 01 Training Travel 2556 2944 3000 2500
LEVEL TEXT TEXT AMT
1 CDBG GUIDLINES 3 EMPLOYEES 600
LOCAL ISSUES CONF 3 EMPLOYEES 1200
AFFORDABLE HOUSING CONFERENCE 700 is
2500
001 1203 51338 05 DuesMbrshipsBooks Subs 195 195 300 300
Commodities 3231 3766 4665 4450
001 1203 51342 09 Computer Hardware 1050
Capital Outlay 1050
Grants 137713 162642 165010 170450
58
Fund 001 General
Department 12 Planning
Division 06 Section 8 Housing
Section 8 is a federally HUD funded assisted housing program that provides housing
assistance to low income elderly and disabled families in Paducah McCracken County
by subsidizing a portion of the familys monthly rent in privatelyowned housing units
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 185464 182900 192680 194320
Contractual 22545 24432 27905 29405
Commodities 16903 18142 22180 18200
Capital Outlay 17856 9289 1500 1750
242768 234763 244265 243675
Funded Staffing Level 3 3 3 3
DIVISION OUTPUTS
Administer Certificate and Voucher Programs providing decent safe and
sanitary housing for low income elderly and disabled families
Administer Family Self Sufficiency Program promoting financial independence
and home ownership
FY2012 OBJECTIVES
100 occupancy by September 2011
59
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Section Eight Housing
001 1206 51310 01 Full Time Regular 128749 124041 128260 129540
001 1206 51310 05 Longevity 2728 2563 2400 2460
001 1206 51314 01 FICA 7690 7295 7490 7450
001 1206 51314 03 Medicare 1798 1706 1755 1745
001 1206 51314 11 CERS Non Hazardous 17935 20350 22205 25120
001 1206 51314 17 Workers Compensation 210 205 160 165
001 1206 51314 19 Unemployment 37 108 800 395
001 1206 51314 21 Life Insurance 383 361 385 445
001 1206 51314 23 Cafeteria Flex Plan 25934 26271 28745 27000
001 1206 51316 45 Gym Reimbursement 480
Personal Services 185464 182900 192680 194320
001 1206 51320 02 Audit 2100 3200 3200 3200
001 1206 51321 05 Vehicle 901 770 805 805
001 1206 51322 05 Office Equipment 820 820 1400 1400
001 1206 51323 03 Data Processing 8211 9046 9000 9000
001 1206 51323 07 Other 10513 10596 13500 15000
lip
LEVEL TEXT TEXT AMT IJ
1 INSPECTION SERVICES 868 MONTH 10415 r
OTHER 4585
15000 It
Contractual Services 22545 24432 27905 29405
001 1206 51331 03 Fuel 841 915 980 1400
LEVEL TEXT TEXT AMT
1 350 GAL GASOLINE 4 1400
1400
001 1206 51333 01 Fleet Charges 356 297 500 500
001 1206 51335 03 Office 4932 3790 5100 4100
001 1206 51335 05 Computer 500
001 1206 51337 05 Telephone 2631 2604 2900 1250
LEVEL TEXT TEXT AMT
1 CELL PHONES 1 480 YR 480
PHONE LINES FEE TISA 5 1650 MONTH 480
NETWORK ACCESS TISA 3 800 MONTH 290
DSL VCI INTERNET SERVICE
LONG DISTANCE TCNI
1250
001 1206 51338 01 Training Travel 2559 4191 5000 5000
001 1206 51338 05 DuesMbrshipsBooks Subs 1502 1102 2000 1500
001 1206 51339 01 Advertisement 259 1298 1500 750
60
ff
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
001 1206 51339 05 Postage 3711 3945 3500 3500
001 1206 51339 07 Printing 112 200 200
Commodities 16903 18142 22180 18200
001 1206 51340 05 Vehicles 16984
001 1206 51342 09 Computer Hardware 872 1343 1000 1250
LEVEL TEXT TEXT AMT
1 PC DESKTOP AND MONITOR FRONT DESK 1250
1250
001 1206 51342 17 Equipment Office 7946 500 500
Capital Outlay 17856 9289 1500 1750
Section Eight Housing 242768 234763 244265 243675
Planning 759495 735795 747295 756090
Ii
61
44f
Fund 001 General
Department 16 Police
Division 01 Administrative Services
The Administrative Services Division maintains a total managerial oversight for the department
It is responsible for the Departments planning organization staffing training budgeting
equipment coordination public information reporting and directing It is also responsible to the
Citys government for carrying out these functions concerning law enforcement actions
The Training Unit maintains total oversight of the training schedules and needs of the
department and makes sure they are met on a timely basis
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 732351 551245 427115 455645
Contractuals 288614 290261 278985 284070
Commodities 105045 120865 171665 163720
Capital Outlay 7252 1224 1275
1133262 963595 879040 903435 I
Funded Staffing Level 11 9 4 4
is
DIVISION OUTPUTS
Administrative support
Financial services
Training oversight
FY2012 OBJECTIVES
Recertify all department personnel in CPR
Complete Verbal Judo training with new officers
Recertify all officers in Taser usage
Complete training in advanced firearms and tactics
62
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
a
3
1
Actual Actual Revised Adopted 3
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012 1
Police t
i
Administrative Services
001 1601 52110 01 Full Time Regular 470145 332483 236790 249935
001 1601 52110 02 Part Time Regular 42512 35904 38700 46000
001 1601 52110 05 Longevity 2263 1665 1540 1560
001 1601 52112 01 Full Time Regular OT 11246 7956 8850 7500
001 1601 52112 02 Part Time Regular OT 788 1924 2250 2000 p
001 1601 52114 01 FICA 17423 13545 12125 14460
001 1601 52114 03 Medicare 7673 5836 5095 5155
001 1601 52114 09 CERS Hazardous 38318 40103 40760 43235
001 1601 52114 11 CERS Non Hazardous 29258 18910 7560 8105 II
001 1601 52114 13 NRS Deferred Comp 3978 612
f
001 1601 52114 15 Deferred compensation 5035 21154 22000 22000 I
1
001 1601 52114 17 Workers Compensation 8325 8090 6150 5915
f
001 1601 52114 19 Unemployment 153 342 2120 1045 f
001 1601 52114 21 Life Insurance 1416 893 620 615 I
001 1601 52114 23 Cafeteria Flex Plan 68923 40662 26525 30000 S
P
r
001 1601 52114 25 Physical Fitness Incent 250 750 500 f
001 1601 52116 05 State Incentive Pay 8706 6908 9300 9300 I
00116015211610 Clothing Allowance 5114 6624 3000 3400 1
i
i
LEVEL TEXT TEXT AMT tI
1 CHIEF 1500 1
ESTES 1000 iII
KRUEGER 900
3400
9
001 1601 52116 25 Specialized Duty Pay 2248 2088 2080 3120
001 1601 52116 30 College Credit 775 900 1800 I
I
LEVEL TEXT TEXT AMT I
1 BACHELORS BERRY KRUEGER 1800 I
1800 ii
001 1601 52116 35 Automobile allowance 8052 5296 I
H
Personal Services 732351 551245 427115 455645 1
001 1601 52121 02 Liability 59772 62180 66445 66440 I
00116015212103 Police Liability 68337 71410 67805 67500 I
001 1601 52121 04 Property Damage 7935 7190 6125 6065
001 1601 52121 05 Vehicle 1091 1360 2445 2445
001 1601 52122 01 Computer Hardware 2709 2709
001 1601 52122 02 Computer Software 4463 4437 4490 4340
LEVEL TEXT TEXT AMT i
1 HTE RETROFIT MODIFICATION CITATIONS 4340
4340
63
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
001 1601 52122 03 Copiers 2794 2794 3050 2000
001 1601 52122 06 Communication Equipment 40133 40122 40110 30180
LEVEL TEXT TEXT AMT
1 167 RADIOS 1084 MONTH 21725
65 MDTS 1084 MONTH 8455
30180
001 1601 52123 04 Laundry 415 448 500 500
001 1601 52123 07 Other 7085 5510 4500 8600
LEVEL TEXT TEXT AMT
1 PROMOTION CEREMONIES EMPLOYEE APPRECIATION 1500
LANUAGE LINE SERVICES 250
OCCUNET BLOOD TEST 800
TERMINEX 400
JACKSON PURCHASE RIFLE CLUB 4000
OTHER 1650
8600
001 1601 52123 16 Animal Control County 93880 92101 83515 96000
LEVEL TEXT TEXT AMT
1 CITYS PRORATA SHARE OF COUNTYS ANIMAL CONTROL 96000
96000
Contractual Services 288614 290261 278985 284070
001 1601 52131 03 Fuel 4213 4054 5130 7200
LEVEL TEXT TEXT AMT
1 1800 GAL GASOLINE 4 7200
7200
001 1601 52133 01 Fleet Charges 2670 6307 3000 3000
001 1601 52133 02 Vehicle Lease 6886 7857 8140 8025 II
001 1601 52133 03 Equipment 488 693 500 1500
001 1601 52133 05 Property Plant 17956 9536 25000 10500 r
LEVEL TEXT TEXT AMT I
1 HVAC 5000
PLUMBING ETC 2500
PAINT ROUTINE MAINT 3000
10500
001 1601 52135 03 Office 10524 10741 7000 8000
001 1601 52135 13 Field Operation Supplies 5800
LEVEL TEXT TEXT AMT
64
ti
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted 1
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012 1
1 BOXING AND BASKETBALL PROGRAMS RANGE MATERIALS i
1
SIMUNITIONS EQPT FOR THE RANGE 5800
5800 t
1i
001 1601 52135 29 Gear Leather 283 496 200 1000
00116015213701 Electricity 28708 36866 40000 39000
001 1601 52137 03 Natural Gas 7611 4378 4000 5000
001 1601 52137 05 Telephone 8618 8618 9630 6280
LEVEL TEXT TEXT AMT
1
1 CELL PHONES 4 480 YR 1920
PHONE LINES FEE TISA 7 1650 MONTH 1390
NETWORK ACCESS TISA 7 800 MONTH 670
POLICE FAX VCI INTERNET SERVICES 500
LONG DISTANCE OTHER 60
SATELLITE PHONE 890 l
FIREHORN 850
6280
001 1601 52137 07 Water 1462 1796 1800 1800
001 1601 52137 11 Refuse 3836 2992 5400 3805
LEVEL TEXT TEXT AMT
1 2 ROLLOUTS WEEK 445
1 8 YD WEEK 1560
HAZARDOUS WASTE 1800
3805
ii
001 1601 52138 01 Training Travel 7723 16784 23000 11300
LEVEL TEXT TEXT AMT
1 ADVANCED LEADERSHIP KRUEGER 1000
GLOCK ARMORER 800
IACP CONFERENCE CHIEF 1 OTHER 3500
IN SERVICES CHIEF KRUEGER ESTES 2500
KACP BERRY 1 OTHER 2000
NOBLE CHIEF 1500 I
11300
001 1601 52138 05 DuesMbrshipsBooks Subs 969 5220 2265 2460
LEVEL TEXT TEXT AMT
1 FBINAA KRUEGER 120
IACP CHIEF KRUEGER 240
LIONS CLUB CHIEF KRUEGER 350
ICTOA KRUEGER 90
ILEFIIA ESTES 55
KACP CHIEF KRUEGER 200
65
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
a
i
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
NOBLE CHIEF 150
PADUCAH SUN 290
CRIMINAL LAW MANUAL 120 a
CITY DIRECTORY 215
PIP CARDS CHIEF KRUEGER 280
NIOA ROBIN 80 a
LAW ENFORCEMENT DIRECTORY 155
NATL SHERIFFS ASSN 65
i
ILEETA 50 1
2460
001 1601 52138 07 Education tuition reimb 8300
h
LEVEL TEXT TEXT AMT
1 KRUEGER MASTERSESTES BACHELORS 8300 t
3
8300 1
I
001 1601 52139 01 Advertisement 350
001 1601 52139 03 Ammunition 31100 36000
i
LEVEL TEXT TEXT AMT
1
1 AMMUNITION
TASER CARTRIDGES
TRAINING
001 1601 52139 05 Postage 1773 3030 2500 2250
001 1601 52139 07 Printing 1325 1497 2650 2500
Commodities 105045 120865 171665 163720
001 1601 52142 09 Computer Hardware 4416 1224 1275 I
001 1601 52142 11 Computer Software 2836 ti
Capital Outlay 7252 1224 1275
f
rAdministrativeServices1133262963595879040903435
V
1
I
1
h
l
66
Fund 001 General
Department 16 Police
Division 02 Patrol
The Operations Patrol Division is the backbone of any Police Department In many cases the
patrol officer is the only contact the public will have with the Department Patrols primary duties
pertain to patrolling the streets to apprehend lawbreakers and deter crime The service
provided by patrol is varied and includes preliminary investigations of murders robbery
burglary searching for lost children conducting community policing initiatives intervening and
counseling parties in domestic disputes and arresting dangerous criminals The Patrol Division
is continually called upon to perform public services outside the enforcement of criminal law It
serves as the primary support for all other divisions in the Department
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 4967684 4953415 5232700 5368680
Contractuals 65958 69834 59610 63235
Commodities 678158 713755 687100 805370
Capital Outlay 76035 112456 110800 22350
5787835 5849460 6090210 6259635
Funded Staffing Level 65 64 65 64
DIVISION OUTPUTS
Enforcing criminal and traffic laws
First response to calls for service
Preliminary reports and investigations
Community policing initiatives
FY2012 OBJECTIVES
Reduce Part I Crime by 5 percent
Reduce traffic collisions by 5 percent
Reduce citizen complaints by 15 percent
67
ii
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Patrol
001 1602 52110 01 Full Time Regular 2625049 2645050 2825370 2861735
001 1602 52110 05 Longevity 4064 4646 4655 5100
001 1602 52112 01 Full Time Regular OT 454957 366037 345000 345000
001 1602 52112 02 Part Time Regular OT 7210 18274 15000 15000
001 1602 52114 01 FICA 5985 4580 4745 4220
001 1602 52114 03 Medicare 43576 42023 43815 45480
001 1602 52114 09 CERS Hazardous 973837 1032542 1111690 1208290
001 1602 52114 11 CERS Non Hazardous 12673 12585 13465 14135
001 1602 52114 13 NRS Deferred Comp 850 750 1650
001 1602 52114 15 Deferred compensation 750
001 1602 52114 17 Workers Compensation 85550 84790 70115 70410
001 1602 52114 19 Unemployment 925 2763 20810 10260
001 1602 52114 21 Life Insurance 8825 8537 9640 9785
001 1602 52114 23 Cafeteria Flex Plan 486358 478103 494000 474750
001 1602 52114 25 Physical Fitness Incent 2500 3750 8000 8000
001 1602 52116 05 State Incentive Pay 172859 173229 182105 189105
001 1602 52116 10 Clothing Allowance 40809 36053 35000 59350
LEVEL TEXT TEXT AMT
1 SWORN PERSONNEL 64 900 57600
CIVILIANS 5 350 1750
59350
001 1602 52116 25 Specialized Duty Pay 19308 18116 17680 19760
001 1602 52116 30 College Credit 22349 20048 21800 22500
LEVEL TEXT TEXT AMT
1 MASTERS 1 1200 1200
BACHELORS 19 900 17100
ASSOCIATES 7 600 4200
22 500
001 1602 52116 45 Gym Reimbursement 2289 8160 5800
l
Personal Services 4967684 4953415 5232700 5368680
001 1602 52121 01 Bonds 1004 1004 1075 1100
001 1602 52121 05 Vehicle 45053 50269 49035 49035
001 1602 52122 03 Copiers 3807 3886 4000 4100
001 1602 52123 07 Other 16094 14675 5500 9000
LEVEL TEXT TEXT AMT
1
PHYSICALS OTHER 2500
PRISONER MEDICAL 5000
BLOOD DRAWS 500
WRECKERS 1000
9000
68
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
i
3
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1
1
i
Contractual Services 65958 69834 59610 63235
A
001 1602 52131 03 Fuel 154096 162440 182000 290000
a
LEVEL TEXT TEXT AMT
i
1 72500 GAL GASOLINE 4 290000 f
290000 a
a
001 1602 52133 01 Fleet Charges 172243 188119 160000 160000 t
001 1602 52133 02 Vehicle Lease 226787 204508 195025 188315
001 1602 52133 03 Equipment 5843 6961 6750 6750
LEVEL TEXT TEXT AMT l
1 REPAIR CAMERAS DOCKS MDTS OTHER
WRECKERS BIKES
001 1602 52133 06 MDT Replacement 10700 12600
I
LEVEL TEXT TEXT AMT f
1 15 MDTS X 70 MONTH X 12 MONTHS 12600
12600
001 1602 52135 03 Office 9979 11568 13600 12000 t
001 1602 52135 09 Photography 233 147 750 750
001 1602 52135 13 Field Operation Supplies 12549 27720 9525 10750
LEVEL TEXT TEXT AMT
1 CHEMICAL MUNITIONS 1000
EXPLOSIVES AMMUNITION TARGET RANGE MATERIALS 2000 r
BATTERIES RADIO 9V AA FLASHLITE 3000
PEPPER SPRAY TASER BATTERIES 250
VHS TAPES 1500
RADIO HOLSTERS CHARGERS ANTENNA 1000
FINGERPRINT SUPPLIES 500
II
WOOD STEEL PVC BOMB 500
DARE TROPHIES T SHIRTS FOR KIDS 1000
10750 L
001 1602 52135 18 K 9 4502 3765 10200 10750
LEVEL TEXT TEXT AMT
1 K 9 SUPPLIES 10750
10750
ji
001 1602 52135 29 Gear Leather 6820 12042 16250 7800
LEVEL TEXT TEXT AMT
1 BADGES PATCHES BRASS FINISH REPLACING 5000
69
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
LEATHER SWAT HOLSTERS BELTS 1800
HONOR GUARD 1000
7800
001 1602 52137 05 Telephone 13187 11862 14195 13350
LEVEL TEXT TEXT AMT
1 CELL PHONES 6 480 YR 2880
PHONE LINES FEE TISA 12 1650 MONTH 2380
NETWORK ACCESS TISA 71 800 MONTH 6820 e
DRUG UNIT MALL FAX VCI INTERNET 420
AT T MOBILITY LONG DISTANCE OTHER 50
BOMB SQUAD WIRELESS INTERNET CARD 800
13350
jt
001 1602 52138 01 Training Travel 38080 44919 57000 58550
LEVEL TEXT TEXT AMT
1 ANNUAL BOMB TRAINING 1000
APS SERGEANTS 2 SERG 2000 j
BASIC BOMB TECH 11000
CJED 1500
CRISIS NEGOTIATION CONFERENCE 1500
CRISIS NEGOTIATION TEAM 2200
DARE OFFICERS 2000
INSERVICES 13500
IPTM ADV RECONSTR HUGHES BRYANT 3800
IPTM TRAFFIC CRASH RECONSTR HUGES BRYANT 3800
K9 RECERTIFICATION 2 4050
LEADERSHIP DEV BARNHILL ROBERTS 1 3500
PTO CONFERENCE 2000 IS
SWAT 2000
SWAT INSTRUCTOR 1500
SWAT TEAM 3200
58550
001 1602 52138 05 DuesMbrshipsBooks Subs 1478 1597 3065 3350
LEVEL TEXT TEXT AMT
1 BOMB X RAY LICS KWLEN 150
CITY DIRECTORY 215
CRIMINAL LAW MANUAL 300
EMT RECERT ROBERTS 25
IABTI BOMB SQUAD 250
IACP A C CAPTAINS 600
KACP A C BARNHILL ROTARY 200
KCPC 100
KTOA SWAT 225
70
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
1
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
LAW ENFORCEMENT DIRECTORY 155
3
LEADERSHIP ALUM 30
N
NTOA SWAT 150 1
PIP CARDS A C CAPTAINS 700
ROTARY BARNHILL 200
SPI BARNHILL 50
3350 4
i
3
001 1602 52138 07 Education tuition reimb 4904 6508 5115 28405
1
LEVEL TEXT TEXT AMT 3
1 HAYES HEFNER ROBERTS MASTERS I
SMITH BAXTER JOHNSON CRAVEN BACHELORS 28405 3
28405
1
001 1602 52139 01 Advertisement 735 71 1000 1000
001 1602 52139 03 Ammunition 26299 30305 7
001 1602 52139 07 Printing 423 1223 1925 1000
I
Commodities 678158 713755 687100 805370 i
001 1602 52140 03 Equipment Non Highway 9900
001 1602 52140 09 Vehicle Accessories 10805 ii
001 1602 52142 01 Furniture Fixtures 1296
001 1602 52142 09 Computer Hardware 69185 29038 1500 1250 q
I
I
LEVEL TEXT TEXT AMT 3
1 SUPERVISOR 1250 1
1250
001 1602 52142 11 Computer Software 3645 P
001 1602 52142 12 Equipment Safety 5245 13850 10300 5400 1
I
LEVEL TEXT TEXT AMT
1 VESTS 9 600 5400 1
5400
f
00116025214213 Equipment Communication 7560 21600 I
LEVEL TEXT TEXT AMT
1 MOBILE RADIOS
001 1602 52142 15 Equipment Electronic Sury 26875 58000 12000 j
I
LEVEL TEXT TEXT AMT
1 DIGITAL IN CAR CAMERAS 12000
12 000
001 1602 52142 17 Equipment Office 3946
001 1602 52142 19 Equipment Other 13799 7500
71
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
001 1602 52142 21 Weapons 1605 1642 2000 3700
LEVEL TEXT TEXT AMT
1 GLOCKS 2000
TASERS 1700
3700
Capital Outlay 76035 112456 110800 22350
Patrol 5787835 5849460 6090210 6259635
is
AIL
72
33
Fund 001 General
Department 16 Police
Division 04 Investigations
The Support Services Division of the Paducah Police Department is composed of three units
the General Investigations Unit the Drug and Vice Enforcement Unit and the Records and
Evidence Unit The General Investigations Unit is responsible for investigating serious felony
cases ranging from larcenies to homicides The unit also conducts applicant background
investigations and is involved in various community activities such as mentoring and working
with victim advocates The Drug and Vice Enforcement Unit engages in covert and overt
operations in an effort to combat dangerous drugs and related activity in the Paducah area 1
The Records Unit collects collates and files all reports made by the department and makes
these available to Departmental personnel It also handles the processing of prisoners
evidence and evidence recordkeeping
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 1178737 1415957 1708825 1740710
Contractuals 26382 26443 57645 56895
Commodities 134929 160271 165940 159385
Capital Outlay 2551 17630 8350 2000
1342599 1620301 1940760 1958990
Funded Staffing Level 17 17 21 22
DIVISION OUTPUTS
General investigation of all murders rapes burglaries thefts assaults child abuse
missing persons and other crimes against the public
Special Investigations ie coordinating task force activities
Coordinates criminal civil seizures forfeitures gathering collation of intelligence
information
Recordkeeping
FY2012 OBJECTIVES
Increase clearance rate by 5 percent
73
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
i
WORKSHEET DRAFTEXP FISCAL YEAR 2012
1
1
Actual Actual Revised Adopted 1
s
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1
i
Investigations 1
001 1604 52110 01 Full Time Regular 621700 758184 924845 932355
001 1604 52110 05 Longevity 3835 4114 5000 4620
001 1604 52112 01 Full Time Regular OT 117154 107235 110000 105000
1
i
001 1604 52112 02 Part Time Regular OT 2093 1500 1000
001 1604 52114 01 FICA 5606 9108 13990 14250
001 1604 52114 03 Medicare 9709 11999 14810 15000
001 1604 52114 09 CERS Hazardous 210008 259140 298930 315220
001 1604 52114 11 CERS Non Hazardous 13283 25654 41395 46880
3
001 1604 52114 13 NRS Deferred Comp 130 250 400
001 1604 52114 15 Deferred compensation 250 250
001 1604 52114 17 Workers Compensation 21105 22420 17100 18640 j
001 1604 52114 19 Unemployment 227 805 5585 3355
001 1604 52114 21 Life Insurance 1941 2408 3305 3355
001 1604 52114 23 Cafeteria Flex Plan 114592 140492 192150 168000 f
001 1604 52114 25 Physical Fitness Incent 1500 3000 If
001 1604 52116 05 State Incentive Pay 35134 39552 43405 43405 I
001 1604 52116 10 Clothing Allowance 6823 9772 10500 16750 I
LEVEL TEXT TEXT AMT
1 DETECTIVES 14 1000 14000 S
CIVILIANS 5 350 1750
HUGHES 1000
16750
001 1604 52116 25 Specialized Duty Pay 11632 13008 14560 38480
r
1
LEVEL TEXT TEXT AMT
1 DETECTIVE PAY 2080 X 14 29120
SPECIAL DUTY PAY SPECIALIZED ASSIGNMENTS 9360
38480
i
001 1604 52116 30 College Credit 5858 8233 9640 10200
LEVEL TEXT TEXT AMT
1 MASTERS 3 g 1200 3600
BACHELORS 6 g 900 5400 L
ASSOCIATES 2 g 600 1200
10200
001 1604 52116 45 Gym Reimbursement 240 1460 1200
Personal Services 1178737 1415957 1708825 1740710
001 1604 52121 05 Vehicle 13663 14604 9745 9745
001 1604 52122 01 Computer Hardware 7200 7200
LEVEL TEXT TEXT AMT
1 L 3 SERVER
74
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
TRACKER
1k
001 1604 52122 03 Copiers 1517 1410 3700 4000
001 1604 52123 07 Other 10352 10079 31700 10000
LEVEL TEXT TEXT AMT
1 DNA
PHONE SUBPOENAS
PRISONER MEDICAL
ACCURINT
TRANS UNION
METH LAB PHYSICALS 10000
10000
001 1604 52124 01 Rental Equipment 850 350 600 250
001 1604 52124 09 Rent 4200 25200 CI
LEVEL TEXT TEXT AMT
1 DAVE BLDG 25200
25200
001 1604 52124 26 Confidential Funds 500 500 i3
Contractual Services 26382 26443 57645 56895
001 1604 52131 03 Fuel 18051 16671 23040 28000
LEVEL TEXT TEXT AMT
1 7000 GAL GASOLINE 4 28000
28000
001 1604 52133 01 Fleet Charges 11089 22847 12000 20000
001 1604 52133 02 Vehicle Lease 36991 34101 30240 25445
001 1604 52133 03 Equipment 594 1212 2700 3000
001 1604 52135 03 Office 11445 11374 14250 12250 I
001 1604 52135 09 Photography 262 584 1300 750
001 1604 52135 13 Field Operation Supplies 5733 4877 5100 5300
LEVEL TEXT TEXT AMT
1 LIFT TAPE FINGERPRINT DUST
DRUG TEST KITS
GPS BATTERY PACK
OTHER
001 1604 52135 29 Gear Leather 27 520 1000
001 1604 52137 01 Electricity 2500 4000
001 1604 52137 03 Natural Gas 3000
LEVEL TEXT TEXT AMT
1 DAVE BLDG 3500
3500
75
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
001 1604 52137 05 Telephone 14272 16002 19685 14500
LEVEL TEXT TEXT AMT
1 CELL PHONES 14 480 YR 6720
PHONE LINES FEE TISA 21 1650 MONTH 4160
NETWORK ACCESS TISA 21 800 MONTH 2020
VERIZON AIR CARDS 2 60 MONTH 1600
14500
001 1604 52137 07 Water 500 1750
001 1604 52138 01 Training Travel 13024 26271 27000 24500
LEVEL TEXT TEXT AMT
1 INSERVICES 8000
ADVANCED NARCOTICS 1000
ARSON INVESTIGATION 2000
DAVE EQPT TECH COURSE 2000
DAVE DRUG COMMANDERS 2500
PROFESSIONAL DEVELOPMENT 8000
KWLEN 1000
24500
001 1604 52138 02 Prisoner transport 18945 17211 2500
001 1604 52138 05 DuesMbrshipsBOOks Subs 3074 5941 6820 6250
LEVEL TEXT TEXT AMT
1 ROCIC 300
PDR 125
LEADS ONLINE 3000
CRIMINAL LAW MANUAL 350
CITY DIRECTORY 215
NARCOTICS SEARCH SEIZURE 450
DUES ROTARY LIONS KACP ETC 1810
6250
001 1604 52138 07 Education tuition reimb 1422 2500 18215 9640
LEVEL TEXT TEXT AMT
1 3 MASTERS LAIRD RIVERA 9640
9640
1
001 1604 52139 03 Ammunition 90
001 1604 52139 05 Postage 103
001 1604 52139 21 Safety Equipment 57
Commodities 134929 160271 165940 159385
001 1604 52142 09 Computer Hardware 2302 9214 2000
76
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
LEVEL TEXT TEXT AMT
1 ROBBINS EVIDENCE 2000
2000
001 1604 52142 15 Equipment Electronic Sury 249 8416 8350
LEVEL TEXT TEXT AMT
1 WC CAP AV SYSTEM
BODY DVR RECORDER
COVERT VIDEO RECORDER
EVIDENCE CAMERAS
CAMERAS ETC
Capital Outlay 2551 17630 8350 2000
Investigations 1342599 1620301 1940760 1958990
Police 8263696 8433356 8910010 9122060
i
is
If
rs
77
Fund 001 General
Department 18 Fire
Division 01 Administration
Administration is responsible for general management of all divisions of the Fire
Department
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 151937 171135 179565 184060
Contractuals 10258 24629 28470 33630
Commodities 18624 24160 18315 17590
Capital Outlay 3648 3000
184467 219924 229350 235280
Funded Staffing Level 2 2 2 2
DIVISION OUTPUTS
Grant applications
Payroll
Requisitions
Scheduling of car seat and Fire Prevention events
Public Correspondence violation and compliance letters
FY2012 OBJECTIVES
Maintain workback log
Apply for AFG grant annually
Apply for KY Dept of Homeland Security Grant annually
Apply for CEDAP Grant annually
Pursue Executive Fire Officer Program certification
Generate an average of 16 violation lettersday
Pursue a zero error on all payroll submissions for the year
Move to a paperless filing system
Start accreditation process
78
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Fire
Administration
001 1801 52210 01 Full Time Regular 102904 111997 113180 114305
001 1801 52210 05 Longevity 1137 1285 1320 1440
001 1801 52212 01 Full Time Regular OT 385
001 1801 52214 01 FICA 1951 1883 1990 1855
001 1801 52214 03 Medicare 1392 1539 1620 1600
001 1801 52214 09 CERS Hazardous 20782 27156 28740 31200
001 1801 52214 11 CERS Non Hazardous 5054 6022 6375 7220
001 1801 52214 17 Workers Compensation 2285 2200 1895 1905
001 1801 52214 19 Unemployment 30 102 755 375
001 1801 52214 21 Life Insurance 223 255 255 300
001 1801 52214 23 Cafeteria Flex Plan 13043 12700 12750 12000
001 1801 52216 05 State Incentive Pay 2842 3100 3100 3100
001 1801 52216 10 Clothing Allowance 294 127 1200 1800
001 1801 52216 35 Automobile allowance 2769 6000 6000
001 1801 52216 45 Gym Reimbursement 960
Personal Services 151937 171135 179565 184060
001 1801 52221 02 Liability 1859 1607 1735 1730
001 1801 52221 05 Vehicle 599 621
001 1801 52222 02 Computer Software 4420 4597 4595 4600
LEVEL TEXT TEXT AMT
1 HTE RES ACT TRCKG PREVENTION SYST INC RPRTG 4600
4600
j
001 1801 52222 03 Copiers 663 221 800 800
LEVEL TEXT TEXT AMT
1 COPIER MAINTENANCE CONTRACT ADMINISTRATIVE
DEPT CONFERENCE COPIER TRAINING DEPT 800
800
001 1801 52222 06 Communication Equipment 1328 1328 1340 1500
LEVEL TEXT TEXT AMT
1 9 RADIOS 1084 MONTH 1200
MOTOROLA MA 300
1500
001 1801 52223 05 Legal 1344 16255 20000 25000 Ii
001 1801 52223 07 Other 45
Contractual Services 10258 24629 28470 33630
001 1801 52231 03 Fuel 2162 663 280
001 1801 52233 01 Fleet Charges 1803 6028 750 80
001 1801 52233 02 Vehicle Lease 4244 1869
79
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
1
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012 I
001 1801 52235 03 Office 4499 7187 7500 7500
001 1801 52237 05 Telephone 2739 3780 2635 2050 rJ
11
II
LEVEL TEXT TEXT AMT
1 CELL PHONES 1 480 YR 480
PHONE LINES FEE TISA 3 1650 MONTH 600
i
NETWORK ACCESS TISA 2 800 MONTH 190
AT T MOBILITY LONG DISTANCE OTHER 300
VERIZON AIRCARD 1 480 YEAR 480
2050 I
001 1801 52238 01 Training Travel 1026 1980 3200 4400
I
LEVEL TEXT TEXT AMT
1 FDSOA APPARATUS MAINTENANCE SYMPOSIUM 2300
FDIC 2100
s
4400
001 1801 52238 05 DuesMbrshipsBooks Subs 1306 1942 1250 1360
LEVEL TEXT TEXT AMT L
1 NFPA 150
IAFC 500
FIRE ENGINEERING 80
IAAP 90
NAFI 55
KAFC 50 I
FDSOA 85
FIREHOUSE 70
J
EDM FIRE CHIEFS 100 ii
HR 80
ICC 100
1360 r
Ls
001 1801 52239 01 Advertisement 97 1200 1200 li
LEVEL TEXT TEXT AMT
1 TURNOUT GEAR 500
KFA AD 100
GRANT AD 500 I
FIRE PREVENTION AD JPFA 100
1200
001 1801 52239 05 Postage 845 614 1500 1000
Commodities 18624 24160 18315 17590
001 1801 52242 09 Computer Hardware 3648 3000
80
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted 1
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Capital Outlay 3648 3000
Administration 184467 219924 229350 235280
I
f
I
ft
Ii
it
Is
Il
fl
ft
is
81
Fund 001 General
Department 18 Fire
Division 02 Suppression
The Suppression Division operates five fire stations that cover more than 21 square
miles in the City of Paducah The stations possess five engine companies two aerial C
companies and two rescue units for the purpose of responding to fire emergencies and
for rescue assistance
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 4720268 4897921 5068120 5160630
Contractuals 94448 89141 89695 95535
Commodities 530834 570252 640825 610255
Capital Outlay 41417 82831 72560 100945
5386967 5640145 5871200 5967365
Funded Staffing Level 62 59 59 593
DIVISION OUTPUTS
Prevent combat and extinguish fires
Provide rescue services and public assistance
Coordinate mitigation of hazardous material incidents
Smoke detector installation program
Car seat installation program
Public education programs with schools and civic groups
FY2012 OBJECTIVES
Increase responses effectiveness by maintaining response time to 4 minutes or
less
Maintain current training standards
Pursue Level I instructor certifications for Company officers
Pursue Company Officer certification
Initiate quality assurance program for first response program
Continue partnership with hospitals in car seat installation program
Make available and install smoke detectors to the citizens of Paducah
Support the accreditation process
82
is
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY i
WORKSHEET DRAFTEXP FISCAL YEAR 2012
1
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1
Suppression 11
I
001 1802 52210 01 Full Time Regular 1763013 1887985 1937535 1908710
001 1802 52210 05 Longevity 3460 2870 2340 2400 i
001 1802 52212 01 Full Time Regular OT 145949 163531 137950 142950 1
li
LEVEL TEXT TEXT AMT
1 BASE OT 130950
2015 HR BASED ON SUPPLEMENTAL CALL BACK 10 EVENT 10000 1
COMMITTEE MEETINGS 96 HOURS 2000
3
142950
1
001 1802 52212 04 Fire Fighters scheduled 1055363 992510 1023945 1041555
001 1802 52214 03 Medicare 38897 40182 40690 40600
001 1802 52214 07 PFPF 4509 5303 4565 4610
001 1802 52214 09 CERS Hazardous 915844 1007836 1054985 1169675
001 1802 52214 17 Workers Compensation 86850 86370 69100 62400
001 1802 52214 19 Unemployment 881 2748 19670 9740
001 1802 52214 21 Life Insurance 7728 7430 7145 8840 I
001 1802 52214 23 Cafeteria Flex Plan 477014 476063 529085 493500
001 1802 52216 05 State Incentive Pay 181224 178712 184710 184450
001 1802 52216 10 Clothing Allowance 39536 42241 37200 81000
001 1802 52216 45 Gym Reimbursement 4140 19200 10200 h
Personal Services 4720268 4897921 5068120 5160630
001 1802 52221 02 Liability 38733 41650 43580 43550 I
001 1802 52221 04 Property Damage 11547 10462 9710 9615
001 1802 52221 05 Vehicle 20287 23883 23040 25880 I
001 1802 52222 06 Communication Equipment 7817 8646 8865 10490
ri
LEVEL TEXT TEXT AMT
1 61 RADIOS 1084 MONTH 8000
MOTOROLA MA 2490 j
4 MDT MODEMS 1084 MONTH 1
10490 I
f
001 1802 52223 04 Laundry 11564
001 1802 52224 21 Fire Dept concessions 4500 4500 4500 6000
1
Contractual Services 94448 89141 89695 95535
001 1802 52231 03 Fuel 22801 24760 27470 40400
LEVEL TEXT TEXT AMT
1 650 GAL GASOLINE 4 2600
9450 GAL DIESEL 4 37800
40400
001 1802 52233 01 Fleet Charges 146078 138357 130000 130000
001 1802 52233 02 Vehicle Lease 220813 245480 282420 281535
83
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
LEVEL TEXT TEXT AMT
1 FIRE TRUCK SET ASIDE 270000
3 VEHICLE 11535
281535
001 1802 52233 03 Equipment 7723 8536 6200 10200
LEVEL TEXT TEXT AMT
1 GENERAL REPAIRS 4500
AIR PAK TESTING 2000
AIR PACK REPAIRS 2000
BATTERIES FOR AIR PACKS 600
BATTERIES FOR AEDS 400
CALIBRATION GAS 500
RADIO CHARGERS 200
10 200
001 1802 52233 05 Property Plant 22294 36091 62515 23500
LEVEL TEXT TEXT AMT
1 GENERAL UPKEEP OF FACILITIES 10000
GENERAL FIRE EXTINGUISHER SCBA TESTING GEN MAIN 1500 Is
CASCADE MAINTENANCE 4000
02 CYLINDERS REFILLED 3000
STATION 1
HEATING AND COOLING SYSTEM
DOORS
STATION 2
ELECTRONIC EYES ROOF REPAIR 5000
23500
001 1802 52235 17 Housekeeping 10393 14436 13500 13500
001 1802 52235 29 Gear Leather 1537 5642 4000 4000
001 1802 52237 01 Electricity 39033 41307 42500 40000
001 1802 52237 03 Natural Gas 20072 14260 20500 15000 i
001 1802 52237 05 Telephone 22323 18870 23540 25020 I
LEVEL TEXT TEXT AMT
1 PHONE LINES FEE TISA 10 1650 MONTH 1980
EMAIL ACCESS TISA 17 800 MONTH 1630
MOBILE DATA TERMINALS 9 @ 44 MONTH4
750 TNCI VCI INTERNET LONG DISTANCE1
360 USA MOBILITY DIRECT LINE FROM 911 TO ALL STATIONS9
000 I AM RESPONDING2
000 EMERGENCY CALL BACK STIPEND
520 ASST CHIEF CELL PHONE
420 CELL PHONE STIPENDS 3 480 PER YEAR1
44084
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY t
a
WORKSHEET DRAFTEXP FISCAL YEAR 2012
a
3
3
Actual Actual Revised Adopted
I
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
VERIZON CARDS 4 40 MONTH 1920 i
i
25020
1
001 1802 52237 07 Water 4967 5362 4250 5100
a
001 1802 52237 11 Refuse 4200 7830 7830 7830
i
LEVEL TEXT TEXT AMT
1 STATION 1 1 8 YD 2X WEEK
STATION 2 1 8 YR 1X WEEK 1
STATION 3 4 ROLLOUTS WEEK s
STATION 4 5 ROLLOUTS WEEK
STATION 5 1 4 YD 1X WEEK
FIRE TRAINING YARD 1 2 YD 1X WEEK
001 1802 52238 07 Education tuition reimb 1930
001 1802 52239 28 Compliance employment 8600 9321 14170 14170
LEVEL TEXT TEXT AMT
1 6 65 PHYSICALS 390
50 65 DRUG SCREEN TEST 3250
S
6 90 QUANTITATIVE FIT TEST 540
6 50 BLOOD WORK TESTING 300
6 550 RETURN TO WORK TESTING 3300
71 90 YEARLY QUANTITATIVE FIT TESTING 6390
14170
Commodities 530834 570252 640825 610255
001 1802 52240 13 Fire Hoses Rescue Equipmt 17477 58471 45560 78945
LEVEL TEXT TEXT AMT
1 FIRE HOSE
5 HOSE 10 600 6000
NOZZLES
1 34 NOZZLES 3 700 2100
2 12 NOZZLES 2 800 1600
2 FOAM INDUCTORS 2 650 1300
FIREFIGHTER FOAM 10 160 1600
FIRE EQUIPMENT
HYDROGEN CYANIDE METER 1 600 600
BARREL STRAINER 1 400 400
K TOOL KITS 9 150 1350
4 GAS METERS 2 1500 3000
3 WAY MANIFOLD 1 1500 1500
LADDER FOR RESCUE TRUCK 1 750 750
SCBA MASKS WITH AMPS 6 300 1800
SCBA BOTTLES REPLA SCH8 1000 8000
BREAK AWAY VESTS 6 25 150
02 SENSORS 2 165 330
85
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
FITTINGS AND ADAPTERS 1 200 200
PRO PAK 1 1100 1100
RESCUE EQUIPMENT
DRY SUITS 2 900 1800
ROPE RESCUE KIT 1 5500 5500
ZODIAC ZOOM 1 1000 1000
LIFE VEST 17 160 2720
HONDA OUTBOARD HET SIPHON 1 2300 2300
NRS UNIVERSAL SWIM FINS 2 110 220
COLD WATER RESCUE SLING 2 170 340
FLOATING SPINE BOARD 1 75 75
BINOCULARS 1 300 300
HAZMAT EQUIPMENT
HAZMAT TOOLS 1 1200 1200
MEDICAL EQUIPMENT
AED 2 2500 5000
SUCTION UNITS 4 6225 2490
OXYGEN REGULATOR 2 50 100
STETHOSCOPES 3 40 120
TURNOUT GEAR 15 SETS 15 @ 160024
00078
945
3 001 1802522 42 09 Computer Hardware1
725 001 1802522 42 12 Equipment Safety22 00023 15322 00018
000 LEVEL TEXT TEXT
AMT 1 MEDICAL DIRECTOR SUPPLIES18
00018
000 001 1802522 42 13 Equipment Communication 2151 2075 0004
000
is LEVEL TEXT TEXT
AMT 1 HAND HELD RADIOS 2 1750 EACH3
500 10 BATTERIES 50 BATTERY
5004
000 Capital Outlay41 41782 83172 560100
945 Suppression5386 9675640 1455871 2005967
36586
Fund 001 General
Department 18 Fire
Division 03 Prevention
The Prevention Division is responsible for city wide fire protection and code enforcement
program and public education Fire Prevention inspections are conducted annually on
residential assembly education business mercantile storage factory and industrial
high hazard and utility and miscellaneous type use groups These inspections are
conducted using the Kentucky Fire Prevention Code The Fire Marshals office also
offers in services talks and demonstrations on fire safety and education free of charge
to all legitimate civic organizations businesses schools churches and healthcare
facilities
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 190304 128829 151480 151410
Contractuals 5675 4810 3905 3640
Commodities 32320 25518 31005 28945
Capital Outlay
228299 159157 186390 183995
Funded Staffing Level 4 2 2 2
DIVISION OUTPUTS
Fire prevention inspections
Public education
Safe Communities Program car seat installation
FY2012 OBJECTIVES
Pursue grant funding for public education
Maintain inspection schedule
Maintain schedules for fire prevention month October
Inspect 2 million square feet annually
Conduct 12 public education sessions annually
Maintain inspection certification
Maintain investigation certification
Obtain NAFI fire investigation certification for deputy fire marshals
Obtain NFPA fire inspection certification for deputy fire marshals
Support the accreditation process
87
f4
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012 I
II
t
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012 f
s
P
Prevention 1
a
001 1803 52210 01 Full Time Regular 108160 77654 90785 91700 1
001 1803 52210 05 Longevity 495 132 120 240
001 1803 52212 01 Full Time Regular OT 6083 392 385 11
l
001 1803 52214 01 FICA 6817 3180 3175
001 1803 52214 03 Medicare 1636 1117 1300 1325 1
001 1803 52214 09 CERS Hazardous 28794 27663 32605 35440 1
001 1803 52214 11 CERS Non Hazardous 3045 1
001 1803 52214 17 Workers Compensation 4220 2605 2100 2110 1
001 1803 52214 19 Unemployment 34 71 600 295
001 1803 52214 21 Life Insurance 404 223 255 300
001 1803 52214 23 Cafeteria Flex Plan 24480 10625 12755 12000 i
001 1803 52216 05 State Incentive Pay 6034 5167 6200 6200
001 1803 52216 10 Clothing Allowance 102 1200 1800
ii
Personal Services 190304 128829 151480 151410
001 1803 52221 02 Liability 2197 1424 1400 1395 1
001 1803 52221 05 Vehicle 2249 2157 1405 1405 I
001 1803 52222 06 Communication Equipment 1229 1229 1100 840 h
LEVEL TEXT TEXT AMT
1 5 RADIOS 1084 MONTH 650
MOTOROLA MA 190 h
h
840
is
Contractual Services 5675 4810 3905 3640
001 1803 52231 03 Fuel 3681 5233 5600 7600 L
LEVEL TEXT TEXT AMT
1 1900 GAL GASOLINE 4 7600
7600
001 1803 52233 01 Fleet Charges 9256 2731 3500 4000
001 1803 52233 02 Vehicle Lease 8161 6868 5230 4470
001 1803 52237 05 Telephone 2716 2419 2570 2665
L
1
LEVEL TEXT TEXT AMT
1 CELL PHONES 2 480 YR 960
PHONE LINES FEE TISA 3 1650 MONTH 595
NETWORK ACCESS TISA 5 800 MONTH 480
LONG DISTANCE OTHER 150
VERIZON AIRCARD 1 40 MONTH 480
2665
001 1803 52238 01 Training Travel 2517 4081 5640 6240
LEVEL TEXT TEXT AMT
88
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012 j
d
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1 STATE FIRE SCHOOL 900
KY FIE INSPECTORS ASSCIATION TRIPS 1200
NASHVILLE 2 CLASS LODGING MEAL REGISTRATION 2500
NATIONAL FIRE ACADEMY 2 TRIPS 220 MEAL TICKET 440
GREEN RIVER OFFICERS SCHOOL 1200 4
6240
001 1803 52238 05 DuesMbrshipsBooks Subs 2097 1154 1965 1970 f
z
i
LEVEL TEXT TEXT AMT
1 NAFI 2 70 EACH 140
NFPA 2 150 EACH 300 4
NFPA SUBSCRIPTION 900 t
ICC 200
PI MAGAZINE 75
CAAK2 35 EACH 70 l
JPFA 35
IAAI 100
EDM PUBLISHERS 150
1970
I
001 1803 52239 09 Promotions 3892 3032 6500 2000
1
is
LEVEL TEXT TEXT AMT
1 COLORING BOOKS FIRE HATS CANDY STICKERS 2000 f
2000
1
Commodities 32320 25518 31005 28945
p
I
Prevention 228299 159157 186390 183995
I
I
89
1
1
Fund 001 General
Department 18 Fire
Division 04 Training
City of Paducah firefighters have more than 300 hours of continued education each year
The Training Officer coordinates education in the areas of EMS firefighter skills Haz
mat pump operations and others These education requirements ensure that the level
of competency of the members of the Fire Department is the highest achievable and
maximizes the resources of personnel and equipment available to best protect and serve
the citizens of the City
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 79248 78993 82175 88770
Contractuals 2514 2491 3205 3495
Commodities 29280 41268 36405 39410
Capital Outlay
111042 122752 121785 131675
Funded Staffing Level 1 1 1 1
DIVISION OUTPUTS
Incentive required training
EMT required training
FFI FFII training
Car seat refresher training
FY2012 OBJECTIVES is
Complete Confined Space refresher
Complete Hazmat refreshers
Conduct multi agency drills
Complete Company Officer training and certification
Train and certify 5 new recruits to current requirements for firefighters
Train and certify 6 firefighters to be car seat technicians
Obtain instructor certification for Company Officer
Support the accreditation process
90
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Training
001 1804 52210 01 Full Time Regular 51699 51728 52275 52795
001 1804 52210 05 Longevity 268 340 360 420
001 1804 52214 03 Medicare 740 743 750 715
001 1804 52214 09 CERS Hazardous 16418 18347 18695 20310
001 1804 52214 17 Workers Compensation 1505 1500 1205 1210
001 1804 52214 19 Unemployment 15 47 345 170
001 1804 52214 21 Life Insurance 128 128 130 150
001 1804 52214 23 Cafeteria Flex Plan 5478 3000 4715 9000
001 1804 52216 05 State Incentive Pay 2997 3100 3100 3100
001 1804 52216 10 Clothing Allowance 600 900
001 1804 52216 45 Gym Reimbursement 60
Personal Services 79248 78993 82175 88770
001 1804 52221 02 Liability 1058 941 925 920
001 1804 52221 04 Property Damage 449 407 385 380
001 1804 52221 05 Vehicle 496 524 1405 1405
001 1804 52222 06 Communication Equipment 511 619 490 790
LEVEL TEXT TEXT AMT
1 3 RADIO 1084 MONTH 390
MOTOROLA MA 400
1 MDT 1084 MONTH
790
ii
Contractual Services 2514 2491 3205 3495
001 1804 52231 03 Fuel 1854 673 435 1040
hf
LEVEL TEXT TEXT AMT
1 260 GAL GASOLINE 4 1040
1040
001 1804 52233 01 Fleet Charges 2330 1078 1000 1000
001 1804 52233 02 Vehicle Lease 3041 2827 2185 2185
001 1804 52237 05 Telephone 1509 1422 1655 1855 i
LEVEL TEXT TEXT AMT
1 CELL PHONES 1 480 YR 480
PHONE LINES FEE TISA 3 1650 MONTH 595
NETWORK ACCESS TISA 2 800 MONTH 200
VERIZON AIRCARD 1 40 MONTH 480
MDT TERMINAL 1 800 MONTH 100
1855
001 1804 52238 01 Training Travel 20463 29155 25600 27200
LEVEL TEXT TEXT AMT
91
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1 CAR SEAT TECH RECERTIFICATION TRAINING 2375 3
EMT RECERT KENTUCKY 1200 4
EMT RECERT NATIONAL REGISTRY 600
IFSAC CERTIFICATIONS 975
IFSAC SKILL CERTIFICATION FEES 150
STATE FIRE SCHOOL 3000
DRIVERS TRAINING SIMULATOR 2400 a
JPFA FIRE SCHOOL 900
EMT CONTINUING EDUCATION TRAINING 6500
SFRT HAZ MAT REFRESHER TRAINING 3250
TRAINING ROPES 500
WATER RESCUE MANIKIN 750
CONFINED SPACE PROP RENTAL 1200
SMOKE MAZE PROP RENTAL 1200
FLASHOVER PROP RENTAL 1200
BURN MATERIALS 500
SMOKE FLUID 500
27200
001 1804 52238 05 DuesMbrshipsBooks Subs 748 4951 5530 4630
LEVEL TEXT TEXT AMT
1 COMPANY OFFICER TRAINING CLASSROOM MATERIALS 2800
IFSTA MANUALS 750
CAR SEAT COURSE 1080
4630
1
001 1804 52238 07 Education tuition reimb 665 1162 1500 1
Commodities 29280 41268 36405 39410
Training 111042 122752 121785 131675
Fire 5910775 6141978 6408725 6518315
92
ii
Fund 001 General
Department 22 Engineering Public Works
Division 01 Administration
The Administration Division synchronizes all Public Works operations by providing call
center operations and clerical support to all divisions They process approximately 175
work requests a day for both internal and external customers Additional activities
include budgetfinancial oversight purchasing payroll maintaining personnel recordsg9g9p
and managing Oak Grove Cemetery operations burials and records The division also
coordinates payment of refuse accounts through Paducah Water supports the Risk
Manager Traffic Commission and manages requests for special event support
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 365138 154270
Contractuals 6311 3646
Commodities 16052 8924
Capital Outlay 3887
391388 166840 0 0
Funded Staffing Level 55 3 0 0
DIVISION OUTPUTS
Call Center operation
Administrative support
Financial services
Cemetery support
Event coordination
FY2012
DUE TO REORGANIZATION AS A RESULT OF THE OPERATIONAL EFFICIENCY
PLAN PUBLIC WORKS ADMINISTRATION HAS BEEN TRANSFERRED TO
ENGINEERING SERVICES REFER TO DIV 3307
93
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Engineering Public Works
Administration 1
i
001 2201 53110 01 Full Time Regular 254356 108479
001 2201 53110 05 Longevity 2710 1276
001 2201 53112 01 Full Time Regular OT 1745 190
001 2201 53114 01 FICA 15502 6509 1
001 2201 53114 03 Medicare 3626 1522 i
001 2201 53114 11 CERS Non Hazardous 33784 17767
001 2201 53114 17 Workers Compensation 4005 1485 s
001 2201 53114 19 Unemployment 74 94
001 2201 53114 21 Life Insurance 718 383
001 2201 53114 23 Cafeteria Flex Plan 43629 15825
001 2201 53116 35 Automobile allowance 4662
1
001 2201 53116 40 Boot Allowance 327 200
001 2201 53116 45 Gym Reimbursement 540
i
Personal Services 365138 154270
001 2201 53121 02 Liability 2611 1291 is
001 2201 53121 05 Vehicle 519 546
001 2201 53122 03 Copiers 1493 1263
001 2201 53123 04 Laundry 157 268 T
001 2201 53123 07 Other 1531 278
h
Contractual Services 6311 3646
001 2201 53131 03 Fuel 1209 876
E
001 2201 53133 01 Fleet Charges 1570 432
001 2201 53133 02 Vehicle Lease 2100 2100
001 2201 53135 03 Office 2820
001 2201 53137 05 Telephone 4542 3598
001 2201 53138 01 Training Travel 1337
001 2201 53138 05 DuesMbrshipsBooks Subs 1271 23
001 2201 53138 07 Education tuition reimb 1106 1876
001 2201 53139 05 Postage 97 19
Commodities 16052 8924
001 2201 53142 09 Computer Hardware 3103
001 2201 53142 19 Equipment Other 784
Capital Outlay 3887
Administration 391388 166840
94
Fund 001 General
Department 22 Engineering Public Works
Division 02 Street Maintenance
The Street Maintenance Division is responsible for the maintenance and repair of over
250 miles of city roadways rights ofway sidewalks curbs and gutters 14 traffic control
signals more than 3000 traffic signs and storm water drainage The division is also
responsible for grounds maintenance of City parks Information Age Park boulevards
Oak Grove Cemetery and management of the Bulk Brush program
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 1324001 1263284 1335070 1376305
Contractuals 178815 142374 131135 106910
Commodities 599034 634481 700860 704300
Capital Outlay 25438 9257 9865 14960
2127288 2049396 2176930 2202475
Funded Staffing Level 25 23 23 23
DIVISION OUTPUTS
Street Right ofWay ROW maintenance
Traffic control sign and signal maintenance
Inlet catch basin maintenance
Alley maintenance
Grounds maintenance
Bulk brush collection
Snow ice control
FY2012 OBJECTIVES
Traffic Operations set up and ensure staff follow established PM schedule
Maintain schedule for Oak Grove Cemetery grounds monuments restoration
Information Age Park landscape makeover
95
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
1
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Street Maintenance
001 2202 53110 01 Full Time Regular 846715 805483 833390 859585
001 2202 53110 02 Part Time Regular 10418 60
001 2202 53110 05 Longevity 7808 8963 9540 10260
001 2202 53112 01 Full Time Regular OT 39519 15390 20010 20000
001 2202 53114 01 FICA 51975 47563 54870 50975
001 2202 53114 03 Medicare 12156 11124 12830 11925
001 2202 53114 11 CERS Non Hazardous 123807 134040 149900 168805
001 2202 53114 17 Workers Compensation 41035 41440 32625 33235
001 2202 53114 19 Unemployment 254 706 5395 2645
001 2202 53114 21 Life Insurance 3008 3124 3445 3950
001 2202 53114 23 Cafeteria Flex Plan 182148 190042 204110 207000
001 2202 53116 10 Clothing Allowance 900 750
001 2202 53116 40 Boot Allowance 5158 4749 5175 5175
001 2202 53116 45 Gym Reimbursement 600 2880 2000
Personal Services 1324001 1263284 1335070 1376305
001 2202 53120 04 Landfill 27316 29910 25000 25000
001 2202 53121 02 Liability 18990 19838 19940 19935
001 2202 53121 04 Property Damage 6953 7086 6160 6185
001 2202 53121 05 Vehicle 29740 27617 23850 23300 Ir
001 2202 53122 02 Computer Software 2870 2985 2985 2990
LEVEL TEXT TEXT AMT
1 HTE WORK ORDERS FACILITIES MGMT 12 2990
2990
001 2202 53122 06 Communication Equipment 8314 8194 8010 3500 j
LEVEL TEXT TEXT AMT
1 49 RADIOS 1084 MONTH
MOTOROLA MA
001 2202 53123 04 Laundry 11649 10503 10500 8000
001 2202 53123 07 Other 203 110 500 500
001 2202 53123 10 Tree Weed Debris Mgmt 69959 33109 27750 12500
001 2202 53124 01 Rental Equipment 2821 3022 6440 5000
Contractual Services 178815 142374 131135 106910
001 2202 53131 03 Fuel 74257 68099 88100 108300
LEVEL TEXT TEXT AMT
1 3650 GAL GASOLINE 4 14600
23425 GAL DIESEL @ 493
700108
300 001 2202531 33 01 Fleet Charges230 803208 060200 000210
000 001 2202531 33 02 Vehicle Lease171 555163 616174 115150
400 001 2202531 33 05 Property Plant2 6207 2555
00096
I
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
C
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
ii
001 2202 53135 03 Office 221
001 2202 53135 13 Field Operation Supplies 9232 9294 11500 10000
001 2202 53137 01 Electricity 12722 11478 12500 10000
001 2202 53137 03 Natural Gas 6893 4026 7250 3500
001 2202 53137 05 Telephone 3418 3779 3450 3800 11
LEVEL TEXT TEXT AMT
1 CELL PHONES 1 480 YR 480 t
PHONE LINES FEE TISA 4 1650 MONTH 790
i
NETWORK ACCESS TISA 4 800 MONTH 380
AT T MOBILITY 2150
3800 rs
4
00122025313707 Water 1604 3550 6000 1800
001 2202 53138 01 Training Travel 6790 4293 500 1000
001 2202 53138 05 DuesMbrshipsBooks Subs 895 230 500 500 f
001 2202 53138 07 Education tuition reimb 891 I
G4
001 2202 53139 05 Postage 39 7
001 2202 53139 15 Traffic Sign Materials 30336 20305 20000 25000
001 2202 53139 18 Traffic decorative lght 6731 3450 4000 I
1
001 2202 53139 19 ConstrMaterials Streets 33702 90320 85690 90000 L
001 2202 53139 20 Constr Materials StrmSwr 9166 41133 60000 60000
i
001 2202 53139 22 StreetDe icing Materials 20000 25000
I
1
Commodities 599034 634481 700860 704300 r
001 2202 53142 09 Computer Hardware 1175 1212
001 2202 53142 12 Equipment Safety 6361 1120 2000 3450
LEVEL TEXT TEXT AMT F
1 UPDATING EMPLOYEE SAFETY RAIN GEAR 3450 r
I
3450
001 2202 53142 13 Equipment Communication 8010
LEVEL TEXT TEXT AMT
1 49 RADIOS 1084 MONTH 6375
MOTOROLA MA 1635
8010
001 2202 53142 19 Equipment Other 17902 6925 7865 3500
Capital Outlay 25438 9257 9865 14960
Street Maintenance 2127288 2049396 2176930 2202475
97
Fund 001 General
Department 22 Engineering Public Works
Division 03 Street Lighting
This division is used to maintain all street lighting located within the city limits in general
This includes payments for electricity and maintaining aesthetics of city maintained F
decorative lighting systems in the downtown parking lot around Market House Square
Maiden Alley Second Street Market Street City Hall parking lot and Dolly McNutt Park
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals
Commodities 540358 494680 515000 515000
Capital Outlay
540358 494680 515000 515000
DIVISION OUTPUTS
Ensure that the city presents an image of safety through its street lighting The
process of maintaining and repairing this lighting system requires a close working
relationship with Paducah Power Jackson Purchase Energy KY Highway Dept
and McCracken County
Offer the citizens a quality street lighting service designed to maintain strong
infrastructure in our city and provide this service at an economical cost
Provide lighting for safe passage of our streets and sidewalks and improve the
overall image of neighborhood infrastructure
Add to the aesthetics of downtown revitalization by providing electricity for our
downtown decorative lighting in the parking lot around Market House Square
Maiden Alley Second Street and Market Street
98
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Street Lighting
001 2203 53137 15 Street Lighting 540358 494680 515000 515000
Commodities 540358 494680 515000 515000
Street Lighting 540358 494680 515000 515000
I I
hd
i1
99
Fund 001 General
Department 22 Engineering Public Works
Division 14 Downtown Landscape
The function of the Downtown Landscape Division is directed toward landscaping and
beautification throughout the City Being one of the most visible municipal departments the
division strives to keep beautification areas in an aesthetically pleasing condition at all times
which provides safe clean and enjoyable landscapes for Paducahs citizens and visitors to
enjoy year round The division is also responsible for trash litter collection in the downtown
areas mows fourteen City owned sites maintains landscaped areas and beds in sixteen
locations throughout the downtown Oak Grove Cemetery Lower Town Parks boulevards
and general city locations including twentytwo large and sixteen small beds on Broadway
seven beds on Kentucky the Murals ten beds in Dolly McNutt Park beds planters and tree
wells around Market House Square over fifteen acres of beds in Noble Park and assists with
City sponsored event setup and cleanup
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 234976 744
Contractuals 7754 123
Commodities 69389 83
Capital Outlay 2358
314477 784 0 0
Funded Staffing Level 4 14 0 0
DIVISION OUTPUTS
Broadway and downtown landscaping and beautification
Grounds maintenance
Dogwood Trail Revitalization and Memorial Tree Program
Pesticide certification training and continuing education for license retention
FY2012
DUE TO REORGANIZATION AS A RESULT OF THE OPERATIONAL EFFICIENCY PLAN
DOWNTOWN LANDSCAPE HAS BEEN TRANSFERRED TO THE PARKS SERVICES
DEPARTMENT GROUNDS CEMETERY MAINTENANCE REFER TO DIV 2402
100
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Downtown Landscape s
001 2214 53110 01 Full Time Regular 157832 601
001 2214 53110 05 Longevity 630 2
001 2214 53112 01 Full Time Regular OT 1963
001 2214 53114 01 FICA 9413 35
001 2214 53114 03 Medicare 2201 8
001 2214 53114 11 CERS Non Hazardous 21617 97
001 2214 53114 17 Workers Compensation 5680
001 2214 53114 19 Unemployment 45 1
001 2214 53114 21 Life Insurance 510
001 2214 53114 23 Cafeteria Flex Plan 34412
001 2214 53116 40 Boot Allowance 673
Personal Services 234976 744
001 2214 53121 02 Liability 2295
001 2214 53121 05 Vehicle 2155
001 2214 53123 04 Laundry 2179 123
001 2214 53123 06 Temporaries 1125
Contractual Services 7754 123
001 2214 53131 03 Fuel 4693
001 2214 53133 01 Fleet Charges 9556
001 2214 53133 02 Vehicle Lease 8834
001 2214 53133 05 Property Plant 4912
001 2214 53135 15 Grounds Maintenance 21934
001 2214 53137 01 Electricity 14991
001 2214 53137 05 Telephone 2700
001 2214 53137 07 Water 892 83
001 2214 53138 01 Training Travel 707
001 2214 53138 05 DuesMbrshipsBooks Subs 170
Commodities 69389 83
i
001 2214 53142 12 Equipment Safety 1193
001 2214 53142 19 Equipment Other 1165
Capital Outlay 2358
Downtown Landscape 314477 784
101
Fund 001 General
Department 22 Engineering Public Works
Division 16 Maintenance
As a result of the 2007 department reorganization the Maintenance Division was
realigned to include Fleet Maintenance Facility Maintenance and Custodial Services
Grounds Maintenance was moved to Street Maintenance Facility Maintenance is
responsible for approximately 31 buildings 800000 sq ft city owned leased facilities
and 14 Parks including pools shelters playground equipment skate park and
greenway trails The division also provides custodial services of City owned facilities
and downtown bathrooms
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 1538164 697053 713960 656900 I
Contractuals 237329 66645 64115 42575
Commodities 433117 309044 327585 285325
Capital Outlay 44960 3149 2500 3650
2253570 1075891 1108160 988450
Funded Staffing Level 30 15 135 115
DIVISION OUTPUTS
Facilities maintenance
Parks building and equipment maintenance
Custodial services
Event support
FY2012 OBJECTIVES
Number of labor hours spent on maintenance and repair
Cost per square foot maintained
102
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Maintenance
001 2216 53110 01 Full Time Regular 1001964 439521 462295 414050
001 2216 53110 05 Longevity 9757 5935 6090 5940
001 2216 53112 01 Full Time Regular OT 19745 4887 5000 5000
001 2216 53112 02 Part Time Regular OT 19
001 2216 53114 01 FICA 59879 26120 27180 24545 Ie
001 2216 53114 03 Medicare 14004 6109 6355 5740
001 2216 53114 11 CERS Non Hazardous 142283 72799 79380 80625
001 2216 53114 17 Workers Compensation 36465 18710 12330 11200
F
001 2216 53114 19 Unemployment 289 384 2855 1265
001 2216 53114 21 Life Insurance 3848 1858 1940 2005
001 2216 53114 23 Cafeteria Flex Plan 243348 117658 104955 103500
001 2216 53116 10 Clothing Allowance 181 450 300
001 2216 53116 40 Boot Allowance 6563 2051 2250 2250
001 2216 53116 45 Gym Reimbursement 840 2880 480
Personal Services 1538164 697053 713960 656900
001 2216 53120 03 Pauper Burials County 15500 16500 16000
001 2216 53120 04 Landfill 979 635 500 500
001 2216 53121 02 Liability 17069 9115 8190 8180
001 2216 53121 04 Property Damage 17606 16207 15460 15300
001 2216 53121 05 Vehicle 14748 8623 6380 7155
001 2216 53122 06 Communication Equipment 4609 2117 2585 1690
LEVEL TEXT TEXT AMT
1 13 RADIOS 1084 MONTH 1690
1690
001 2216 53123 04 Laundry 20018 12711 13500 9000
001 2216 53123 06 Temporaries 100629
001 2216 53123 07 Other 1652 10
001 2216 53123 10 Tree Weed Debris Mgmt 43195
001 2216 53124 01 Rental Equipment 1324 727 1500 750
Contractual Services 237329 66645 64115 42575
001 2216 53131 03 Fuel 45467 10333 16060 19200
LEVEL TEXT TEXT AMT
1 4300 GAL GASOLINE 4 17200
500 GAL DIESEL @ 42
00019
200 001 2216531 33 01 Fleet Charges89 64718 47825 00010
000 001 2216531 33 02 Vehicle Lease46 35323 30723 08517
710 001 2216531 33 05 Property Plant31 67567 18265 00060
000 001 2216531 33 07 Ball Field
250 001 2216531 35 13 Field Operation Supplies10 0005
000 001 2216531 35 15 Grounds Maintenance31 21411
632103
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
1
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
001 2216 53135 19 Janitorial 21734 16219 18000 18000
001 2216 53137 01 Electricity 107171 115824 112500 95000
001 2216 53137 03 Natural Gas 23914 17484 25000 15000 1
1
001 2216 53137 05 Telephone 5927 2044 2355 830
LEVEL TEXT TEXT AMT
1 CELL PHONES 50 480 YR 240
S
PHONE LINES FEE TISA 3 1650 MONTH 590
NETWORK ACCESS TISA 1 800 MONTH is
LONG DISTANCE
VCI INTERNET SERVICE
830
i
001 2216 53137 07 Water 25115 23262 24000 35000
001 2216 53137 11 Refuse 3085 3085 3085 3085
001 2216 53138 01 Training Travel 444 94 3000 1000
001 2216 53138 05 DuesMbrshipsBooks Subs 705 100 500 500
001 2216 53138 07 Education tuition reimb 416
001 2216 53139 18 Traffic decorative lght 5000
Commodities 433117 309044 327585 285325
001 2216 53142 09 Computer Hardware 1010
001 2216 53142 12 Equipment Safety 5439 732 500 1650
LEVEL TEXT TEXT AMT
1 UPDATE EMPLOYEE SAFETY RAIN GEER 1650
1650
001 2216 53142 19 Equipment Other 39521 1407 2000 2000
Capital Outlay 44960 3149 2500 3650
Maintenance 2253570 1075891 1108160 988450
104
it
Fund 001 General
Department 22 Engineering Public Works
Division 18 Summer Youth Program
This program was created to give youth a real work experience to teach job values
and good work ethics and to provide for them the kind of job training that will benefit
them for the rest of their lives The youth are divided into crews which support our office
staff and work in the Street Division Parks Division Downtown areas Midtown Golf
Course UK Greenhouse Project and the Off Broadway Clean up Project
BUDGET SUMMARY
is
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 23238
Contractuals 58
Commodities
Capital Outlay
23296 0 0 0
DIVISION OUTPUTS
Support our economy by developing a fu ture workforce for Pad ucah and the
surrounding areas
Add value to the services provided for our citizens
Perform clean up in our downtown areas as well as neighborhood cleanup
projects
Work in the downtown areas along Broadway Kentucky and Jefferson to clean
the sidewalks gutters and streets in order to provide support for our tourist and
arts activities planning and preparation
105
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Summer Youth Program
001 2218 53110 02 Part Time Regular 20357
001 2218 53114 01 FICA 1257
001 2218 53114 03 Medicare 294
001 2218 53114 17 Workers Compensation 1325
001 2218 53114 19 Unemployment 5
Personal Services 23238
001 2218 53123 07 Other 58
Contractual Services 58
Summer Youth Program 23296
Engineering Public Works 5650377 3787591 3800090 3705925
13
h
106
zI
Fund 001 General
Department 24 Parks Services
Division 01 Administration
The Administration Division of Parks Services is responsible for all planning and new
development for the Parks Services Department in Paducah Administrative duties
include oversight of construction projects and renovations of grounds and facilities
initiating grant programs oversight of recreation programming community awareness
and all related tasks necessary to upgrade present facilities and plan for future growth
BUDGET SUMMARY
it
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 486685 435851 495840 515385
Contractuals 41392 51264 59355 62580
Commodities 195534 168684 199330 220755
Capital Outlay 13612 1409 1125 1945
737223 657208 755650 800665
Funded Staffing Level 7 7 7 7
is
DIVISION OUTPUTS
Oversee construction and renovation of grounds and facilities
Oversee recreation programming
Raise community awareness of park services
Plan for future growth of services and facilities
FY2012 OBJECTIVES
Architectural development of Armory
Complete accreditation process
Continue with Master Plan CityCounty Soccer Complex
Update Policies and Procedures Manual
Complete Phase Ill of Greenway Trail TE Funds
107
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY I
WORKSHEET DRAFTEXP FISCAL YEAR 2012
z
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1
Parks Services
Administration
001 2401 53410 01 Full Time Regular 285134 233655 271120 283625
001 2401 53410 02 Part Time Regular 56862 68130 71890 71890 s
001 2401 53410 05 Longevity 1895 1722 2100 2160
001 2401 53412 01 Full Time Regular OT 816 541 1000 1000
001 2401 53412 02 Part Time Regular OT 1089 678 1200 1000
001 2401 53414 01 FICA 20316 17947 20260 19560
001 2401 53414 03 Medicare 4751 4197 4740 4575
s
001 2401 53414 11 CERS Non Hazardous 40138 38950 47690 52170
1
001 2401 53414 17 Workers Compensation 7260 7985 4100 4760
001 2401 53414 19 Unemployment 99 265 2160 1035
001 2401 53414 21 Life Insurance 893 744 895 1040
001 2401 53414 23 Cafeteria Flex Plan 59471 53300 58685 63000 tI
001 2401 53416 10 Clothing Allowance 1938 1474 1600 1650 l
001 2401 53416 35 Automobile allowance 6023 6023 6000 6000
001 2401 53416 45 Gym Reimbursement 240 2400 1920
Personal Services 486685 435851 495840 515385 f
i
001 2401 53421 02 Liability 5168 5584 5720 5715
001 2401 53421 04 Property Damage 12542 8199 15175 15040 C
001 2401 53421 05 Vehicle 3331 4550 4135 3750
I
001 2401 53422 02 Computer Software 4697 5227 4880 5340 r
LEVEL TEXT TEXT AMT
1 REC TRAC MA 3065 f
WEB TRAC MA 1350
PAYMENT TECH INTERFACE 150
WEB SERVER ANNUAL FEE 595 ij
PLUG N PLAY 180
5340
001 2401 53422 03 Copiers 2396 2385 2610 3610 j
LEVEL TEXT TEXT AMT 44
1 QUARTERLY MAINTENANCE CHARGE 267 QTR X 4 1070
OVERAGE CHARGES 2540
r
3610
001 2401 53422 06 Communication Equipment 1431 3732 4515 1525
LEVEL TEXT TEXT AMT
1 11 RADIOS 1084 MONTH 1430
MOTOROLA MA 95
1525
001 2401 53423 06 Temporaries 3309 914
001 2401 53423 07 Other 8518 20673 22320 27600
108
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
LEVEL TEXT TEXT AMT
1 GREENWAY TRAIL WETLANDS MITIGATION REPORT 2500
JAMES MARINE 10000
BROOKS STADIUM NAIA 5000
BROOKS STADIUM COMMISSION OPERATION SUBSIDY 2500
TILGHMAN TORNADO LEAGUE 3000
PADUCAH MCCRACKEN COUNTY SENIORS 1200
4
PADUCAH CONCERT BAND 3400
27600
1
Contractual Services 41392 51264 59355 62580
001 2401 53431 03 Fuel 11429 9097 11200 15040
LEVEL TEXT TEXT AMT
1 3760 GAL GASOLINE 4 15040
15040
001 2401 53433 01 Fleet Charges 10175 11147 8500 8500
001 2401 53433 02 Vehicle Lease 8719 9713 10020 9640
001 2401 53433 05 Property Plant 44894 37470 59705 45000 fi
LEVEL TEXT TEXT AMT
1 OPERATIONS 45000
45000
001 2401 53435 03 Office 7732 6042 6400 7900
001 2401 53437 01 Electricity 64711 57165 71500 102500
LEVEL TEXT TEXT AMT
1 ELECTRICITY FOR DOME PAVILION
OPERATIONS
CURRENT LOCATIONS PARKS 70000
AMT TRANSFERRED FROM EPW 29500
ARMORY 3000
102 500
001 2401 53437 03 Natural Gas 14828 11232 11500 10000
001 2401 53437 05 Telephone 6249 5239 3900 3030
LEVEL TEXT TEXT AMT
1 CELL PHONES 2 480 YR 960
PHONE LINES FEE TISA 7 1650 MONTH 1390
NETWORK ACCESS TISA 5 800 MONTH 480
LONG DISTANCE 200
3030
109
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
t
WORKSHEET DRAFTEXP FISCAL YEAR 2012
f
15
Actual Actual Revised Adopted
t
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
001 2401 53437 07 Water 9089 11427 9200 8700
001 2401 53438 01 Training Travel 12299 6394 5340 8630
c
LEVEL TEXT TEXT AMT 3
1 KRPS 2310 I
NRPA MID YEAR 1495 i
NRPA CONGRESS 1230 tiLEADERSHIPPADUCAH1000
KLC 480
SUPERVISORS MGMT SCHOOL 2115
8630 3
j
001 2401 53438 05 DuesMbrshipsBooks Subs 4333 1785 2065 1715
i
LEVEL TEXT TEXT AMT
1 NRPA 720
KRPS 695
PADUCAH SUN 70
SAMSCLUB 110
COC 120
1715 s
001 2401 53438 07 Education tuition reimb 687 1973 l
001 2401 53439 01 Advertisement 389 100 l
h
Commodities 195534 168684 199330 220755
001 2401 53442 09 Computer Hardware 1762 427 i
001 2401 53442 11 Computer Software 5091 I
001 2401 53442 19 Equipment Other 6759 982 1125 1945 I
LEVEL TEXT TEXT AMT i
1 HAND HELD RADIOS 815 f
SHOULDER MICROPHONES 125
DELL LAPTOP 945
BATTERY 60 4j
1945 i
i
Capital Outlay 13612 1409 1125 1945
i3
Administration 737223 657208 755650 800665
110
Fund 001 General
Department 24 Parks Services
Division 02 Grounds Cemetery Maintenance
The Parks Grounds Cemetery Maintenance Division of Parks Services primary goal is
to maintain an attractive safe and well kept series of parks for users
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 931790 945910 966240
Contractuals 176757 200775 183890 f
Commodities 217484 261090 255255
Capital Outlay 7597 34860 4615
0 1333628 1442635 1410000
Funded Staffing Level 0 0 17 17
l
DIVISION OUTPUTS
Maintain park facilities and amenities
Support special events activities and festivals city wide
Maintain playing surfaces of sports facilities
Increase attention to maintaining attractive parks
is
FY2012 OBJECTIVES
Improve park facilities and amenities
Improve playing surfaces of sports facilities
Reduce repairs and replacements of tools and equipment
111
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Grounds Cemetery Maint
001 2402 53410 01 Full Time Regular 586483 584765 601395
001 2402 53410 02 Part Time Regular 13028 15600 15600
001 2402 53410 05 Longevity 6161 5580 6600
001 2402 53412 01 Full Time Regular OT 8481 9000 10000
001 2402 53414 01 FICA 34968 34915 35835
001 2402 53414 03 Medicare 8178 8165 8380
001 2402 53414 11 CERS Non Hazardous 97083 101725 116430
001 2402 53414 17 Workers Compensation 18635 19220 18645
001 2402 53414 19 Unemployment 522 3755 1870
001 2402 53414 21 Life Insurance 2548 2525 4740
001 2402 53414 23 Cafeteria Flex Plan 152238 154915 141000
001 2402 53416 40 Boot Allowance 2505 3825 3825
001 2402 53416 45 Gym Reimbursement 960 1920 1920
LEVEL TEXT TEXT AMT
1 8 PERSONS 40 MO 120 X 4 QTRS 1920
1920
Personal Services 931790 945910 966240
001 2402 53420 04 Landfill 1000
001 2402 53421 02 Liability 8792 10475 10470
001 2402 53421 05 Vehicle 7535 8505 8505
001 2402 53422 06 Communication Equipment 1604 3510 2215
LEVEL TEXT TEXT AMT
1 17 RADIOS 1084 MONTH 2215
2215
001 2402 53423 04 Laundry 6117 6000 6900 is
001 2402 53423 06 Temporaries 99333 95000 95000
LEVEL TEXT TEXT AMT
1 1065 HR X 40 HRS X 8 PEOPLE X 28 WEEKS 95000
95000
001 2402 53423 07 Other 1720 14575 800 Ir
LEVEL TEXT TEXT AMT
1 HEPATITIS B SHOTS 800
800
001 2402 53423 10 Tree Weed Debris Mgmt 51506 61710 60000
001 2402 53424 01 Rental Equipment 150
Contractual Services 176757 200775 183890
001 2402 53431 03 Fuel 43345 39400 48800
112
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
LEVEL TEXT TEXT AMT
1 10600 GAL GASOLINE 4 42400
1600 GAL DIESEL @ 46
40048
800 001 2402534 33 01 Fleet Charges50 98565 00055
000 001 2402534 33 02 Vehicle Lease29 46535 13034
905 001 2402534 33 05 Property Plant11 3977 00012
000 LEVEL TEXT TEXT
AMT 1 MAINT MATERIALS FOR OAK GROVE DT DOME5
000 BALLFIELD MAINTENANCE5
000 SHEEHAN BRIDGE RD2
000 12
000 001 2402534 35 03 Office1 9441 8002
500 LEVEL TEXT TEXT
AMT 1 FIRST AID OFFICE SUPPLIES2
000 TV DVD FOR TRAINING
5002
500 001 2402534 35 15 Grounds Maintenance45 68558 10050
000 001 2402534 35 19 Janitorial 146 55
500 001 2402534 37 01 Electricity22 14329 20024
400 001 2402534 37 03 Natural Gas1 1943 3905
400 LEVEL TEXT TEXT
AMT 1 DOME
PAVILION 001 2402534 37 05 Telephone4 4894 3153
770 LEVEL TEXT TEXT
AMT 1 CELL PHONES 1 480 YR
480 PHONE LINE TISA 51650 MO
990 NETWORK ACCES TISA 4 8 MO 380
F CELLPHONES 12 X 160 MO1
9203
770 001 2402534 37 07 Water1 9922 1003
000 001 2402534 37 11 Refuse10 00010
000 LEVEL TEXT TEXT
AMT 1 REFUSE COLLECTION IN THE ENTIRE PARKS
SYSTEM 001 2402534 38 01 Training Travel3 1565 2004
580 LEVEL TEXT TEXT
AMT 1 MAINTENANCE MGMT
SCHOOL113
I
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
KRPS ANNUAL CONFERENCE 1000
KRPS MEETINGS 480
KRPS MAINTENANCE CLASS 500
PESTICIDE TRAINING 1200
CERTIFIED ARBORIST TRAINING 200
NRPA CONGRESS 1200
4580
001 2402 53438 05 DuesMbrshipsBooks Subs 337 400 400
001 2402 53438 07 Education tuition reimb 1206
LEVEL TEXT TEXT AMT
1 DAVID DOWNING JR TUITION
Commodities 217484 261090 255255
001 2402 53442 12 Equipment Safety 2889 2800 2800
001 2402 53442 19 Equipment Other 4708 32060 1815
LEVEL TEXT TEXT AMT
1 CORE AERATOR 1815
1815
Capital Outlay 7597 34860 4615
Grounds Cemetery Maint 1333628 1442635 1410000
ri
114
Fund 001 General
Department 24 Parks Services
Division 04 Pool
This division provides open swimming and structured classes to all citizens in a totally
safe environment at economical prices
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 54503 49150 48960 52005
Contractuals 6479 4981 6065 8485
Commodities 71781 57686 94605 109855
Capital Outlay
132763 111817 149630 170345
DIVISION OUTPUTS
Oversee operation of pool
Oversee operation of sprayground
Provide swimming lessons
FY2012 OBJECTIVES
Target low income non swimmers for swimming lessons f
Update Policies and Procedures Manual
115
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY p
WORKSHEET DRAFTEXP FISCAL YEAR 2012 f
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012 1
1
d
I
Pool
001 2404 53410 02 Part Time Regular 46857 42870 43200 46865
001 2404 53412 02 Part Time Regular OT 1973 978 800
001 2404 53414 01 FICA 3028 2719 2730 2905
001 2404 53414 03 Medicare 708 636 640 680 1
1
001 2404 53414 17 Workers Compensation 1920 1910 1320 1415 s
001 2404 53414 19 Unemployment 17 37 270 140 lit
q
Personal Services 54503 49150 48960 52005
001 2404 53421 02 Liability 901 908 925 920
001 2404 53421 04 Property Damage 3373 3057 4105 4065
001 2404 53423 07 Other 2205 1016 1035 3500 r
i
LEVEL TEXT TEXT AMT 1
1 LIFEGUARD SUITS f
f
Contractual Services 6479 4981 6065 8485
001 2404 53433 05 Property Plant 41106 20648 59300 68000 1
LEVEL TEXT TEXT AMT
1 OPERATING COSTS NP POOL COLEMAN SPRAYGROUND 30000
PAINT POOL 3000 t
LIGHTING 20000
FACILITY UPGRADE 10000
ADA REQUIREMENT UPGRADES 5000 G
68 000
L
001 2404 53435 03 Office 800 800 1
r
LEVEL TEXT TEXT AMT 1
1
1 OFFICE SUPPLIES
FIRST AID SUPPLIES 800 1I
800
h
I
001 2404 53435 19 Janitorial 500
001 2404 53435 23 Water Treatment 9799 16713 15000 18000
001 2404 53437 01 Electricity 6609 6027 6000 6000 1
001 2404 53437 05 Telephone 1023 1096 1405 2455
L
LEVEL TEXT TEXT AMT I
1 PHONE LINES FEE TISA 3 1650 MONTH 595
VCI INTERNET SERVICE OTHER 2 15 MONTH 360
WIRELESS INTERNET 2 750 YEAR 1500
2455
001 2404 53437 07 Water 11019 10422 8500 10500
LEVEL TEXT TEXT AMT
116
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1 WATER 10000
DUMPSTER FOR POOL 500
10500
001 2404 53438 01 Training Travel 2225 2780 3600 3600
LEVEL TEXT TEXT AMT
1 LIFEGUARD CERTIFICATION TRAINING 18 200 3600
3600
Commodities 71781 57686 94605 109855
Pool 132763 111817 149630 170345
jl
is
li
117
Fund 001 General
Department 24 Parks Services
Division 05 Recreation Programs
This division provides citizens and visitors with the opportunity to participate in quality
recreation programs and leisure activities in an appropriate facility or location and safe
environment at reasonable or no cost to the user
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 140013 155074 176070 201345
Contractuals 71882 54063 24590 26270
Commodities 401352 270594 336225 263480
Capital Outlay 7500 5000
620747 479731 536885 496095
DIVISION OUTPUTS
Administer recreation programs
Issue special events permits
Facility rentals
FY2012 OBJECTIVES
Pre program Armory
Restructure programs to increase participation
Streamline registration process
Update Policies and Procedures Manual
Increase on line registration
Perform consistent program evaluations
118
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Recreation Programs
001 2405 53410 01 Full Time Regular 30000
LEVEL TEXT TEXT AMT
1 52 WKS 1443 40 HAS 30000
30000
001 2405 53410 02 Part Time Regular 123807 136873 158135 154895
LEVEL TEXT TEXT AMT
1 REC STAFFING 103905
REFEREES 21010
MH PROGRAM STAFFING 16980
MH PT POSITION 52 WK X 10 25 HRS 13000
154 895
001 2405 53412 02 Part Time Regular OT 1277 120 75
001 2405 53414 01 FICA 7755 8493 9765 8360
001 2405 53414 03 Medicare 1814 1987 2295 2465
001 2405 53414 17 Workers Compensation 5315 7485 4745 5120
001 2405 53414 19 Unemployment 45 116 1055 505
Personal Services 140013 155074 176070 201345
001 2405 53421 02 Liability 5144 3880 4765 4760
001 2405 53421 04 Property Damage 5825 5726 6505 6440
001 2405 53423 06 Temporaries 42278 30907
001 2405 53423 07 Other 4105 549 2065 2070
LEVEL TEXT TEXT AMT
1 BMI 310
ASCAP 310
OCCUNET DRUG TEST CONTRACTUAL EMPLOYEES 10 45 450
VOLUNTEER PROGRAM 1000
2070
001 2405 53424 01 Rental Equipment 14530 13001 11255 13000
LEVEL TEXT TEXT AMT
1 PORTABLE NOBLE PK STUART NELSON KELLER 13000
13000
Contractual Services 71882 54063 24590 26270
001 2405 53433 05 Property Plant 135780 113519 111210 42515
LEVEL TEXT TEXT AMT
1 SEASONAL ICE RINK
MH 15000
Ii
119
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
DISC GOLF BASKETS MIDTOWN 5515
FENCING FIELD 3 AT SNP 22000
42515
001 2405 53435 03 Office 2300
LEVEL TEXT TEXT AMT
1 FIRST AID AED 1000
OFFICE SUPPLIES 1300
2300
001 2405 53435 24 After School Program 279
001 2405 53435 25 USDA Food Program 35399 12581 31500
001 2405 53435 27 Rec Program 121873 54543 86040 108410
LEVEL TEXT TEXT AMT
1 AFTER SCHOOL HOURS 2000
ARBOR DAY 250
BIKES ON BROADWAY 300
BREAK CAMPS 1170
CANDY CANE HUNT 500
CHRISTMAS PARADE 5500
CROSS RIVER SWIM 350
DISC GOLF 1060
DOG DAT AT POOL 20
EASTER EGG DASH 2500
FOURTH OF JULY 18350
GOLF 150
HALLOWEEN SHORT STORIES 900
HERSHEY TRACK FIELD 2400
KIDZ KLUB 5000
KICKBALL 400
KIDZ CLUB TOO 550
Ii
LEADER TRAINING PROGRAMS 500 G
LEPRECHAUN HUNT 400
MOVIES IN THE PARK 1800
NAIA BASEBALL CLINIC 1705
NASP 5000
NOBLE PARK BOAT DAY 630
i4
NOBLE PARK FISH OUT 740 I
OAK GROVE DRAMA 1020
PADUCAH REGATTA 200
PADUCAH SUMMER GAMES 1825
PEPSI PITCH HIT RUN 100
PAC 9560
PUNT PASS KICK 100
SCARECROWS MORE 1200
SNOW SCULPTURE 100
120
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
3
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
SOFTBALL LEAGUE 5450
SPECIALTY POPS CAMP 4000
SPECIALTY CAMPS 2200
TEEN BOARD 3500
TENNIS 950
TINY TOT SOCCER 750
TINY TOT TEE BALL 1075 s
TOT SCHOOL 2300 1
TOUCH A TRUCK 350
TRACK CLUB 1950
ULTIMATE FRISBEE 315
VETERANS DAY PARADE 2750
1
YOUTH TRIATHLON 685
BREAKFAST WITH SANTA 630 p
DODGE BALL 490
FUTSAL PROGRAM 2890
LADIES NIGHT OUT 400
9
NP BASEBALL SOFTBALL 2000 f
OPEN GYM 500
PROGRAM DEVELOPMENT 1250
PADUCAH SPECIAL GAMES 2500 z
PICKLEBALL 320
SENIOR TIME 1000
SPECIAL POPS FUN DAY 1050
SPORTS CAMP 800 E
i
TEEN NIGHT 1500
VOLLEYBALL LEAGUE 525
108410
1
001 2405 53435 31 Concessions 4063 3665
001 2405 53437 01 Electricity 46890 34413 39000 50000
1
LEVEL TEXT TEXT AMT f
1 PARKS 39000 IL
MARGARET HANK 11000 I
50000
001 2405 53437 03 Natural Gas 7454 5676 8000 5000
001 2405 53437 05 Telephone 11 553 2180 2070
LEVEL TEXT TEXT AMT
1 NETWORK ACCESS TISA 3 800 MONTH 290 I
PHONE LINES FEE TISA 18 1650 MONTH 1780
2070
001 2405 53437 07 Water 3048 3216 6000 6000
001 2405 53437 13 Athletic Lighting 19349 19675 21500 24500
001 2405 53438 01 Training Travel 882 1454 1000 1000
121
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012 i
t
Actual Actual Revised Adopted i
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
k
4
4
LEVEL TEXT TEXT AMT
1 CPR CERTIFICATION 1000
1000 d
1
001 2405 53439 01 Advertisement 17118 7750 14000 18500
LEVEL TEXT TEXT AMT
1 BROCHURE NEWSLETTER 4 4000 16000 1
FLYERS 1000 1RADIOADVERTISING1000
NEWSPAPER 500
18500 1
1
001 2405 53439 05 Postage 13548 13430 12130 3185
1
1
LEVEL TEXT TEXT AMT
i
1 REGULAR MAIL 3000
BULK MAIL PERMIT 185
3185
Commodities 401352 270594 336225 263480
001 2405 53442 19 Equipment Other 7500 5000
LEVEL TEXT TEXT AMT
1 MH CENTER EQPT 5000 I
5000
Capital Outlay 7500 5000
Recreation Programs 620747 479731 536885 496095
Parks Services 1490733 2582384 2884800 2877105
r
122
Fund 001 General
Department 28 Cable Authority
Division 11 Cable Authority
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 95800 85078 85635 84030
Commodities 8 18 50
Capital Outlay
95808 85096 85685 84030
I
Li
II
123
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Cable Authority
Cable Authority
001 2811 53521 02 Liability 661 636 635 630
001 2811 53523 07 Other 70000 60000 60000 60000
LEVEL TEXT TEXT AMT
1 UP UNTIL FY 2002 CITY PMT TO WKCTC WAS 50K YR is
IN FY 2003 WE INCREASED PMT BY 10000 TO 60000
IN ADDITION IN THE PAST COMCAST DEDUCTED 10000
FROM ITS FRANCHISE FEE PAYMENTS TO THE CITY AND
GAVE 10000 DIRECTLY TO THE COLLEGE IN JANUARY
2006 WHEN THE STATE PREEMPTED OUR FRANCHISE FEE
PAYMENTS THE CITY HELD THE COLLEGE HARMLESS AND
INCREASED OUR ANNUAL PAYMENTS TO THEM TO 70000
Ij
IN FY2010 PMT WAS REDUCED BY 10000 TO 60000
DUE TO THE EFFICIENCIES IN THE NEW CAMERA EQPT
RESULTING IN ONE LESS BODY MANNING THE CAMERAS
ADDITIONALLY PJC RECIEVES 23400YR PEG PMTS 60000
60 000
001 2811 53523 17 PEG Payments 25139 24442 25000 23400
LEVEL TEXT TEXT AMT
1 PASS THRU TO PJC 25 HH MONTH COMCAST MR0027 23400
23400
Contractual Services 95800 85078 85635 84030 It
001 2811 53535 03 Office 50
001 2811 53537 05 Telephone 8 18
Commodities 8 18 50
Cable Authority 95808 85096 85685 84030
Cable Authority 95808 85096 85685 84030 F
124
Fund 001 General
Department 30 Human Rights
Division 11 Administration
The Human Rights Commission endeavors to promote and secure mutual understanding
and respect among all economic social ethnic religious and racial groups in the City
and shall act as a conciliator in controversies involving intergroup and interracial
relations The Commission cooperates with federal and state agencies and other city
agencies in an effort to develop harmonious intergroup and interracial relations and
shall endeavor to enlist the support of civic religious labor industrial and commercial
groups and civic leaders dedicated to the improvement of intergroup and interracial
relations and the elimination of discriminatory practices I
BUDGET SUMMARY I
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 75589 34286
Contractuals 6073 10225 54390 40900
Commodities 17960 11692 5985 7530
Capital Outlay
99622 56203 60375 48430
Funded Staffing Level 1 1 1 0 It
DIVISION OUTPUTS
Receive and process all charges of discrimination complaints based on race
color religion national origin sex ADA or age in the areas of employment
housing and public accommodations
Conduct investigations hold hearings make studies and have such studies that
enable the Commission to carry out the purpose of its appointed responsibilities
FY2012 OBJECTIVES
125
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012 4
Human Rights
Administration
001 3011 51410 01 Full Time Regular 54671 21308
001 3011 51410 05 Longevity 871 781
001 3011 51414 01 FICA 3271 1303
001 3011 51414 03 Medicare 765 305
001 3011 51414 11 CERS Non Hazardous 7549 2914
001 3011 51414 17 Workers Compensation 90
001 3011 51414 19 Unemployment 16 19
001 3011 51414 21 Life Insurance 128 106
001 3011 51414 23 Cafeteria Flex Plan 8228 7550
Personal Services 75589 34286
001 3011 51421 02 Liability 69 445 450 450
001 3011 51422 03 Copiers 1119 445 450
001 3011 51423 06 Temporaries 4885 7597 29000 30000
LEVEL TEXT TEXT AMT
1 CONTRACTUAL EMPLOYEE 30000
30000
001 3011 51423 07 Other 2183 24495 10000
LEVEL TEXT TEXT AMT
1 LEGAL WORK CONTRACTUAL OBLIGATIONS 10000
10000
Contractual Services 6073 10225 54390 40900
001 3011 51435 03 Office 4364 1288 1000 750
001 3011 51437 05 Telephone 1088 1038 985 880
LEVEL TEXT TEXT ANT
1 PHONE LINES FEE TISA 3 1650 MONTH 595
NETWORK ACCESS TISA 3 800 MONTH 285
880
001 3011 51438 01 Training Travel 1565 395 350 350
LEVEL TEXT TEXT AMT
1 PHONE LINES FEE TISA 3 1650 MONTH
NETWORK ACCESS TISA 3 800 MONTH
OTHER
001 3011 51438 05 DuesMbrshipsBooks Subs 608 8 350 350
001 3011 51438 06 Education and Outreach 4759 3000 5000
001 3011 51439 01 Advertisement 979 1900
001 3011 51439 05 Postage 370 388 300 200
001 3011 51439 09 Promotions 8986 1932
126
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Commodities 17960 11692 5985 7530
Administration 99622 56203 60375 48430
Human Rights 99622 56203 60375 48430
19
i
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127
Fund 001 General
Department 33 Engineering Public Works
Division 07 Engineering Services
is
This division provides engineering support services for various governmental
departments and divisions administers infrastructure related capital improvements
storm water right of way and sewer connection regulations maintains City
infrastructure and property records coordinates local regulatory responsibilities with
various state and federal agencies participates in the development site plan review
process and provides reliable professional assistance to the public to ensure the
construction and maintenance of public infrastructure is carried out in a cost effective is
manner in accordance with sound engineering principles and practices to help protect
the health safety and welfare of the public and to improve the overall quality of life
within the community
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 433240 347820 510795 563385
Contractuals 9549 6578 9705 10575
Commodities 22340 26175 31835 33520
Capital Outlay 1238 6845 3000
466367 380573 559180 610480
Funded Staffing Level 6 5 7 76
DIVISION OUTPUTS
Manage capital improvement projects
Approve site plans
Administer MAP program
FY2012 OBJECTIVES
To do our job to the best of our ability with the funding and personnel made
available to this departmentdivision
Improve processing time of work requests invoices and contracts by reducing
coordination steps forms and time used in business processes
Timely payment of invoices to reduce costs to taxpayers by maximizing vendor
discounts and minimizing late fees
Solicit and or renew service contracts without any disruption of services and pay
all vendor and contractor invoices within contract terms
128
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Engineering Public Works
Engineering Services
001 3307 53210 01 Full Time Regular 300386 241392 349370 375540
001 3307 53210 02 Part Time Regular 7016
001 3307 53210 05 Longevity 2774 2656 3960 3975
001 3307 53212 01 Full Time Regular OT 1080 1199 2250 1000
001 3307 53214 01 FICA 18657 14691 21125 21705
001 3307 53214 03 Medicare 4363 3436 4945 5075
001 3307 53214 11 CERS Non Hazardous 41976 40605 61175 70575
001 3307 53214 17 Workers Compensation 5945 5955 5970 5320
001 3307 53214 19 Unemployment 89 214 2200 1110
001 3307 53214 21 Life Insurance 765 510 895 1130
001 3307 53214 23 Cafeteria Flex Plan 42597 29788 48710 68400
001 3307 53216 10 Clothing Allowance 1294 997 1600 1200
001 3307 53216 35 Automobile allowance 6023 6023 6000 4800
001 3307 53216 40 Boot Allowance 275 234 675 675
001 3307 53216 45 Gym Reimbursement 120 1920 2880
Personal Services 433240 347820 510795 563385
001 3307 53221 02 Liability 3601 2906 4235 4230
001 3307 53221 05 Vehicle 1412 1468 2115 2115
001 3307 53222 03 Copiers 1200
001 3307 53222 06 Communication Equipment 130
001 3307 53223 04 Laundry 100
001 3307 53223 07 Other 4536 2204 2155 4000
Contractual Services 9549 6578 9705 10575
001 3307 53231 03 Fuel 1886 1814 3055 4000
LEVEL TEXT TEXT AMT
1 1000 GAL GASOLINE 4 4000
4000
001 3307 53233 01 Fleet Charges 1101 1172 2250 3000
001 3307 53233 02 Vehicle Lease 2452 3752 4245 3720
001 3307 53235 03 Office 5341 4765 4500 4500
001 3307 53235 13 Field Operation Supplies 285 176 500 500
001 3307 53237 05 Telephone 5134 6097 7285 8800
LEVEL TEXT TEXT AMT
1 PHONE LINES FEE TISA13 1650 MONTH 2570
NETWORK ACCESS TISA 9 800 MONTH 860
AT T MOBILITY 5 LINES 5370
8800
001 3307 53238 01 Training Travel 4191 7421 6500 6000
001 3307 53238 05 DuesMbrshipsBooks Subs 428 238 500 500
001 3307 53238 07 Education tuition reimb 1500 500
129
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
LEVEL TEXT TEXT AMT
1 CHRISTOPHER YARBER TUITION 500
500
001 3307 53239 01 Advertisement 473 86 500
001 3307 53239 05 Postage 1001 654 1000 1000
001 3307 53239 07 Printing 48 500 500
Commodities 22340 26175 31835 33520
001 3307 53242 09 Computer Hardware 1238 5225 1500
001 3307 53242 11 Computer Software 1620 1500
Capital Outlay 1238 6845 3000
Engineering Services 466367 380573 559180 610480
I
I
tf
i
1
I
L
1
130
It
Fund 001 General
Department 33 Engineering Public Works
Division 08 Flood Control
The Flood Control Division operates and maintains the Citys floodwall and related
appurtenances in an efficient effective manner in order to ensure the highest level of
preparedness for operation necessary to protect the health safety and welfare of the
public during flooding conditions on the Ohio River
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 20092010 2010 2011 2011 2012
Personal Services 348103 377688 367460 370980
Contractuals 30973 25181 29605 27965
Commodities 104053 62089 101635 105505
Capital Outlay
483129 464958 498700 504450
Funded Staffing Level 5 5 5 5
DIVISION OUTPUTS
Permit operate and maintain levee system including pump stations pipe gates
and vehicular openings
FY2012 OBJECTIVES
To do our job to the best of our ability with the funding and personnel made
available to this departmentdivision and to keepthe City dry Weve been
successful at this for 60 years
131
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
3
t
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1
1
Flood Control
001 3308 53210 01 Full Time Regular 201613 203983 205295 207350
300133085321002PartTimeRegular257823717527000300001
001 3308 53210 05 Longevity 2535 2779 2820 3060 1
001 3308 53212 01 Full Time Regular OT 5180 9841 8000 8005 i
001 3308 53212 02 Part Time Regular OT 7066 11725 8000 10000 100133085321401FICA13979155411440213915
001 3308 53214 03 Medicare 3269 3635 3368 3255
001 3308 53214 11 CERS Non Hazardous 28447 34909 36590 41415
001 3308 53214 17 Workers Compensation 15365 7031 6225 5500
001 3308 53214 19 Unemployment 67 226 1440 710
001 3308 53214 21 Life Insurance 638 714 740 865 1
001 3308 53214 23 Cafeteria Flex Plan 43265 49055 51675 45000
001 3308 53216 10 Clothing Allowance 300 300
001 3308 53216 40 Boot Allowance 897 834 1125 1125
001 3308 53216 45 Gym Reimbursement 240 480 480 li
Personal Services 348103 377688 367460 370980
001 3308 53221 02 Liability 3233 3416 3645 3640
001 3308 53221 04 Property Damage 15975 14474 13690 13555
001 3308 53221 05 Vehicle 2573 2611 2690 2690 1
001 3308 53222 06 Communication Equipment 1109 979 980 980
LEVEL TEXT TEXT AMT
1 6 RADIOS 1084 MONTH
MOTOROLA MA
001 3308 53223 04 Laundry 2959 2947 3100 2600
001 3308 53223 07 Other 1000
001 3308 53223 10 Tree Weed Debris Mgmt 490 490 500 500
001 3308 53224 01 Rental Equipment 3634 264 5000 4000 li
I
Contractual Services 30973 25181 29605 27965
001 3308 53231 03 Fuel 7302 8191 9540 11400
LEVEL TEXT TEXT AMT I
1 1500 GAL GASOLINE 4 6000
1350 GAL DIESEL @ 45
40011
400 001 3308532 33 01 Fleet Charges4 5359 5898 0007
000 001 3308532 33 02 Vehicle Lease12 55112 55119 61018
075 001 3308532 33 04 Vehicle self repair 323 275 250
250 001 3308532 33 05 Property Plant28 69614 50115 00015
000 001 3308532 35 03 Office 299
173 001 3308532 35 13 Field Operation Supplies1 4771 4601 5001
500 001 3308532 35 19 Janitorial 171 167 300
300 001 3308532 37 01 Electricity42 1189 87437 50035
000 001 3308532 37 03 Natural Gas2 3531 5102 2001
600132
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1
001 3308 53237 05 Telephone 3494 3393 3335 3630
LEVEL TEXT TEXT AMT
1 PHONE LINES FEE TISA 11 1650 MONTH 2180
NETWORK ACCESS TISA 1 800 MONTH 100
VCI INTERNET SERVICE 1350
3630
C
001 3308 53237 07 Water 395 287 500 500
001 3308 53238 01 Training Travel 339 118 400 500
001 3308 53239 19 ConstrMaterials Streets 3500 10000 1
LEVEL TEXT TEXT AMT
1 CONCERTE MATERIAL SEAL VEHICULAR OPENING 10000
10000
1
001 3308 53239 21 Safety Equipment 750
Commodities 104053 62089 101635 105505
2
Flood Control 483129 464958 498700 504450
I
is
133
Fund 001 General
Department 33 Engineering Public Works
Division 09 GIS Operation
This division provides the implementation of Geographic Information System GIS for
the City in order to maintain records on a computer based mapping system This
process will link the data of hardcopy and data based records with digital map graphics
in order to eliminate the inefficient process of redundant record keeping by several
departments throughout the City This will improve City services through the use of
automated facility management and land management system and eventually public
safety environmental KRS 100 compliance and economic development activities
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 137840 3476
Contractuals 17493
Commodities 5044
Capital Outlay 14766
175143 3476 0 0
Funded Staffing Level 2 0 0 0
DIVISION OUTPUTS
Integrate all existing data
Display data in a spatial manner
Provide analysis and models
FY2012
DUE TO THE OPERATIONAL EFFICIENCY PLAN GIS OPERATION HAS BEEN
ABSORBED BY INFORMATION TECHNOLOGY SEE DIV 0501
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Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
GIS Operation
001 3309 53210 01 Full Time Regular 101246 2801
s
001 3309 53210 05 Longevity 250
001 3309 53214 01 FICA 5970 178 1
001 3309 53214 03 Medicare 1396 42
001 3309 53214 11 CERS Non Hazardous 13518 453
001 3309 53214 17 Workers Compensation 170
001 3309 53214 19 Unemployment 28 2
001 3309 53214 21 Life Insurance 223
001 3309 53214 23 Cafeteria Flex Plan 15039
1
Personal Services 137840 3476
001 3309 53221 02 Liability 1282
001 3309 53221 05 Vehicle 711
001 3309 53222 02 Computer Software 9500
001 3309 53223 07 Other 6000
Contractual Services 17493
001 3309 53231 03 Fuel 488
001 3309 53233 01 Fleet Charges 280
001 3309 53233 02 Vehicle Lease 1620 1
001 3309 53237 05 Telephone 1156
001 3309 53238 01 Training Travel 1500
Commodities 5044
00133095324209 Computer Hardware 7000
001 3309 53242 11 Computer Software 7766
Capital Outlay 14766
GIS Operation 175143 3476
Engineering Public Works 1124639 849007 1057880 1114930
C
135
Fund 001 General
Department 35 Human Resources
Division 11 Human Resources Risk
The goal of Risk Management is to reduce accidents injuries and workers
compensation insurance costs for the City of Paducah through enhanced loss control
efforts and risk financing strategies
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 112979 93359 96520 216855
Contractuals 1617 1328 820 35530
Commodities 9524 2887 6760 46600
Capital Outlay 875
124120 97574 104975 298985
Funded Staffing Level 15 1 1 3
Et
DIVISION OUTPUTS
Manage general liability programs
Select develop and implement strategies for risk avoidance and program
improvements
Provide risk management consultation on contracts agreements leases and
vendor insurance certificates
Ensure compliance with applicable OSHA DOT and EPA regulations
FY 2012 OBJECTIVES
THIS DEPARTMENT FORMERLY RISK MANAGEMENT HAS BEEN COMBINED
WITH HUMAN RESOURCES DIVISION 0203 IN FINANCE
136
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
1
Actual Actual Revised Adopted 3
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012 1
Human Resources s
Human Resources Risk
001 3511 51310 01 Full Time Regular 78949 66499 67200 152575
001 3511 51310 02 Part Time Regular 1224
001 3511 51310 05 Longevity 433 243 240 1020
001 3511 51314 01 FICA 5145 4322 4355 9075
a
001 3511 51314 03 Medicare 1203 1011 1020 2125
001 3511 51314 11 CERS Non Hazardous 11685 11836 12515 28930
001 3511 51314 17 Workers Compensation 140 115 650 720
001 3511 51314 19 Unemployment 24 62 450 460
001 3511 51314 21 Life Insurance 186 128 130 450
001 3511 51314 23 Cafeteria Flex Plan 7967 3000 3000 21000
001 3511 51316 35 Automobile allowance 6023 6023 6000
001 3511 51316 45 Gym Reimbursement 120 960 500
t
Personal Services 112979 93359 96520 216855
001 3511 51321 02 Liability 955 805 820 2810
001 3511 51322 02 Computer Software 3620
LEVEL TEXT TEXT AMT
1 QREP FOR HR 320
HTE HUMAN RESOURCE 3300
3620 it
ii00135115132203Copiers1000
001 3511 51323 07 Other 662 523 15800
LEVEL TEXT TEXT AMT I
1 WELLNESS EDUCATION PROGRAMS 1400
LABOR NEGOTIATIONS 2500
PREDICTIVE INDEX 8500
FLU SHOTS 800
EMPLOYEE RECRUITMENT 2600
15800
001 3511 51324 28 Life Insurance Retirees 4000
001 3511 51324 33 Employee Assist Program 8300
Contractual Services 1617 1328 820 35530
001 3511 51335 03 Office 180 88 100 2100
001 3511 51337 05 Telephone 758 948 970 2540
LEVEL TEXT TEXT AMT
1 CELL PHONES 1 480 YR 480
PHONE LINES FEE TISA 7 1650 MONTH 1385
NETWORK ACCESS TISA 7 8 MONTH 675
2540
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
001 3511 51338 01 Training Travel 700 794 1500 3750
LEVEL TEXT TEXT AMT
1 NTL ASSE CONF REGIONAL ASSE MTG KMESHA CONF 1500
WELLNESS SEMINARS 950
PHR REQUIREMENTS 30 HRS 600
OTHER 700
3750
001 3511 51338 03 Training Special HR 750
LEVEL TEXT TEXT AMT
1 IN HOUSE TRAINING STAFF LED MATERIALS 750
750
001 3511 51338 04 Training safety 4636 2890 800
001 3511 51338 05 DuesMbrshipsBooks Subs 1390 1025 1250 4260
LEVEL TEXT TEXT AMT
1 BLR WEB FEE ASSE DUES CERT SAFETY PROF RENEWAL 1210
AMA MEMBERSHIP INCLUDES 1 MGR TRAINING CLASS 1800
KY 4RIVER SHRM SUBSCRIPTIONS MEMBERSHIPS 500
HR TRAINING SEMINARS CONFERENCES 750
4260
001 3511 51339 01 Advertisement 7500
LEVEL TEXT TEXT AMT
1 NEWSPAPER PUBLICATION EMPLOYMENT ADS 7500
7500
001 3511 51339 05 Postage 30 32 50 600
001 3511 51339 25 Testing Materials 1100
LEVEL TEXT TEXT AMT
1 KY ASSOC OF CHIEFS OF POLICE OTHER TESTING MAT 1100
1100 r
f
001 3511 51339 27 Post Employment Test 1830 8200
LEVEL TEXT TEXT AMT
1 POST EMPLOYMENT OFFER TESTING 1300
EMPLOYMENT PHYSICALS 6900
8200
001 3511 51339 28 Compliance employment 15000
LEVEL TEXT TEXT AMT
138
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
II
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1 RANDOM DRUG TESTING 15000
15000
Commodities 9524 2887 6760 46600
001 3511 51342 09 Computer Hardware 875
Capital Outlay 875
Human Resources Risk 124120 97574 104975 298985
Human Resources 124120 97574 104975 298985
139
Fund 001 General
Department 44 Paducah Renaissance Alliance
Division 11 PRA
Paducah Renaissance Alliance a national Main Street Program serves and develops
Paducahs Renaissance Area The Renaissance Area includes the LowerTown Arts
District the historic downtown and the riverfront development projects Areas of focus
include economic development marketing historic preservation and organization that
recruits both human and financial resources
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 299251 243975 253495
Contractuals
Commodities 1440 480
Capital Outlay
0 300691 243975 253975
Funded Staffing Level 5 3 5 4
I
DIVISION OUTPUTS
Recruitment of artists merchants and other businesses to Renaissance District
Develop and implement brand for PRA
Address inconsistent store and gallery hours
Manage a Holiday Promotion LowerTown Arts Music Festival Farmers
Market Downtown After Dinner and Second Saturday
FY2012 OBJECTIVES
Create baseline data for performance measures
Measure all promotions and events for ROI
Collect necessary data for targeted and sustainable recruitment
140
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
PRA
PRA
001 4411 59210 01 Full Time Regular 212465 177530 168165
001 4411 59210 02 Part Time Regular 330
001 4411 59210 05 Longevity 257 60 120
001 4411 59214 01 FICA 12616 10225 10680
001 4411 59214 03 Medicare 2950 2395 2500
001 4411 59214 11 CERS Non Hazardous 35216 30240 34195
001 4411 59214 17 Workers Compensation 270 215 225
001 4411 59214 19 Unemployment 187 1090 535
001 4411 59214 21 Life Insurance 500 510 595
001 4411 59214 23 Cafeteria Flex Plan 28317 21710 36000
001 4411 59216 35 Automobile allowance 6023
001 4411 59216 45 Gym Reimbursement 120 480
Personal Services 299251 243975 253495
001 4411 59237 05 Telephone 1440 480
LEVEL TEXT TEXT AMT
1 CELL PHONES 1 480 YR 480
480
Commodities 1440 480
PRA 300691 243975 253975
PRA 300691 243975 253975
141
t
Fund 001 General
Department 88 Special Projects
Division 88 Match Funds
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals
Commodities
Capital Outlay
Leave Expense 52698 37661
Grant Match Intergovern 284132 309588
336830 271927 0 0
142
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Special Projects
Match Funds
001 8888 77777 77 Short Term Part of Leave 52698 37661
Leave Expense 52698 37661
001 8888 88888 89 Intergovernmental 284132 309588
Grant Match Intergovern 284132 309588
Match Funds 336830 271927
Special Projects 336830 271927
Ii
i
143
Fund 001 General
Department 99 Interfund Transfers
Division 99 Interfund Transfers
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals
Commodities
Capital Outlay
Interfund Transfers 2163066 2400480 1835640 1515960
2163066 2400480 1835640 1515960
1
5
I
144
RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Interfund Transfers
Interfund Transfers
001 9999 69990 01 General Fund 5028
001 9999 69990 03 Municipal Aid Program Fd 34000
001 9999 69990 04 Investment Fund 40823
001 9999 69990 11 Telecommunications Fund 85731 56167 78105
001 9999 69990 12 E911 Fund 376388 335322 382100 428440
001 9999 69990 30 Debt Service Fund 730916 740500 495740 498935
LEVEL TEXT TEXT AMT
1 CITYS GENERAL FUND SHARE OF BOND PAYMENTS
GOB P I PFPF 498035
AUDIT OTHER EXPENSES 900
498 935
001 9999 69990 40 Capital Projects Fund 486336 643740 202800
001 9999 69990 62 Civic Center Fund 25108 22726 45515 43355
LEVEL TEXT TEXT AMT
1 GENERAL FUND USAGE FEES 18000
GENERAL FUND SUBSIDY 25355
43355
001 9999 69990 63 Rental Property Fund 76047 10269
001 9999 69990 64 Radio Fund 12194 1645
001 9999 69990 70 Fleet Maintenance Fund 145080 144920
LEVEL TEXT TEXT AMT
1 COST OF CONVENIENCE SUBSIDY 144920
144920
001 9999 69990 71 Fleet Lease Trust Fund 90000 20000
001 9999 69990 72 Insurance Fund 24839 8984 25000 20000
001 9999 69990 74 Maint Rehab Fund 276
001 9999 69990 77 Police Fire Pension Fund 221507 460000 446300 380310
LEVEL TEXT TEXT AMT
1 GENERAL OBLIGATION BOND ISSUED IN FY2006
ELIMINATED THE PENSION FUNDS OUTSTANDING
UNFUNDED LIABILITY AT THAT TIME THEREFORE
NO FURTHER CITY LIABILITY OBLIGATION OTHER THAN
NORMAL COST FOR ACTIVE PARTICIPANTS STATUTORY
MINIMUM REQUIREMENT AS ESTIMATED BY BPSM 385000
LESS FUNDING ELSEWHERE IN FY2012 BUDGET 4690
380310
001 9999 69990 80 PRA Fund 55000 15000
145
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RUN DATE 061311 145118 CITY OF PADUCAH KENTUCKY
liWORKSHEETDRAFTEXPFISCALYEAR2012
1
Actual Actual Revised Adopted 1ACCOUNTNUMBERACCOUNTDESCRIPTION20082009200920102010201120112012
z
Interfund Transfers out 2163066 2400480 1835640 1515960
Interfund Transfers 2163066 2400480 1835640 1515960
1
3
Interfund Transfers 2163066 2400480 1835640 1515960
GENERAL FUND 29783557 29604623 30579115 30457985
1
3
i
f
I
S
F
i
1
i
I
F1111
I
k
it
146
gt
SMALL GRANTS FUND
The Small Grants Fund is used to account for miscellaneous state and federal grant
programs
II
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
SMALL GRANTS FUND
002 0000 42068 00 GOLD ED Cabinet 12417
002 0000 42173 00 General Mills 1578
Grants 13995
002 0000 44140 00 Booth Rent Entry Fees 1600
Property Rent Sales 1600
002 0000 46001 00 Interest on Investments 4978
Interest Income 4978
002 0000 48101 00 Miscellaneous Other 503
002 0000 48140 00 Private Donations 40250 30000
Other Fees 40753 30000
002 0000 49990 04 Investment Fund 25000
Interfund Transfers 25000
SMALL GRANTS FUND 86326 30000
is
ply
147
I
Fund 002 Small Grants
Department
Division
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 68359 199376
Commodities f
Capital Outlay
Interfund Transfers 99505
68359 298881 0 0
414i
rS
i
II
is
ti
is
It
148
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012 1
SMALL GRANTS FUND 1
General Government
Grant
002 0110 51123 07 Other 504 199866
1
Contractual Services 504 199866
Grant 504 199866
1
General Government 504 199866
11
44
li
IJ
is
149
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Planning
Administration
a
002 1201 51323 07 Other 66281 490
2
Contractual Services 66281 490
f3
Administration 66281 490
Planning 66281 490
3
I
j
150
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Parks Services
Recreation Programs
002 2405 53423 07 Other 1574
Contractual Services 1574
Recreation Programs 1574
Parks Services 1574
1
iF
151
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Interfund Transfers
Interfund Transfers
002 9999 69990 01 General Fund 28413
002 9999 69990 84 Oak Grove 71092
Interfund Transfers out 99505
Interfund Transfers 99505
Interfund Transfers 99505
SMALL GRANTS FUND 68359 298881
I
1
Is
152
F
1
1
1
1
1
MUNICIPAL AID PROGRAM FUND
The Municipal Aid Program MAP Fund is used to account for funds from the State of
Kentucky for road improvements
II
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY j
WORKSHEET DRAFTREV FISCAL YEAR 2012 3
I
i
3
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
MUNICIPAL AID PROGRAM
003 0000 40101 00 Gasoline Tax 462702 489837 490000 500000 j
Taxes 462702 489837 490000 500000
003 0000 46005 00 Interest on Checking 4063 2286 1000 7000
i
1InterestIncome4063228610007000
003 0000 49990 01 General Fund 34000
003 0000 49990 04 Investment Fund 850000 890000
LEVEL TEXT TEXT AMT
1 ANNUAL STREET RESURFACING PROGRAM 670000
SIDEWALK PROGRAM 220000
890000
I
003 0000 49990 42 Bond Fund 857278 870000
Interfund Transfers 884000 857278 870000 890000
MUNICIPAL AID PROGRAM 1350765 1349401 1361000 1397000
is
ii
153
Fund 003 Municipal Aid Program
Department 22 Engineering Public Works
Division 17 MAP Program
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 350 400 400 1000
Commodities 26835
Capital Outlay 1053648 1347115 1360600 1396000
Interfund Transfers
1080833 1347515 1361000 1397000
I1
154
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
MUNICIPAL AID PROGRAM
Engineering Public Works
Map Program
003 2217 53120 02 Audit 350 400 400 1000
Contractual Services 350 400 400 1000
003 2217 53139 20 Constr Materials StrmSwr 26835
Commodities 26835
003 2217 53142 27 Street Resurf Rehab 1053648 1347115 1360600 1396000
Capital Outlay 1053648 1347115 1360600 1396000
Map Program 1080833 1347515 1361000 1397000
Engineering Public Works 1080833 1347515 1361000 1397000 fIf
MUNICIPAL AID PROGRAM 1080833 1347515 1361000 1397000
1
155
is
INVESTMENT FUND
The Investment Fund is a Special Revenue Fund whose use is restricted to Economic
Development Community Redevelopment Capital and Infrastructure Investment and
property tax relief
is
ii
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
INVESTMENT FUND
004 0000 41001 00 Payroll Tax 4060019 4010631 4175000 4330000
LEVEL TEXT TEXT AMT
1 SIXTH FULL YEAR OF 12 CENT PAYROLL TAX ENACTED
TO FUND ECONOMIC DEVELOPMENT NEIGHBORHOOD
DEVELOPMENT AND INFRASTRUCTURE IMPROVEMENTS 4330000
4330000
Licenses Permits 4060019 4010631 4175000 4330000
004 0000 42101 00 Bond Proceeds 54419 45524
Grants 54419 45524
004 0000 46001 00 Interest on Investments 116 7002
Interest Income 116 7002
004 0000 49990 01 General Fund 40823
004 0000 49990 04 Investment Fund 215000 335000
004 0000 49990 40 Capital Projects Fund 101710 105814
Interfund Transfers 316710 481637 F
INVESTMENT FUND 4431264 4544794 4175000 4330000
I4
i
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156
Fund 004 Investment
Department
Division
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 637958 547599 827000 1568390
Commodities
Capital Outlay
Contributions 132500 342500 350000
Interfund Transfers 3256440 3638134 3545000 3061610
3894398 4318233 4714500 4980000
IL
I
157
RUN DATE 061411 162744 CITY OF PADUCAH KENTUCKY
I
WORKSHEET DRAFTEXP FISCAL YEAR 2012 1
i
Actual Actual Revised Adopted
I
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012 I
INVESTMENT FUND
Investment Fund
Economic Development
004 0401 53623 07 Other 575250 500000 825000 1566190
LEVEL TEXT TEXT AMT
1 GPEDC MARKETING RECRUITMENT ED0006 300000
ENTRE PADUCAH ED0101 100000
COMMUNITY SCHOLARSHIP FOUNDATION ED0111 125000
P L RAILROAD INCENTIVE PAYMENT ED0112 350000
H T HACKNEY UP TO 12 100K UTILITY ED0058 50000
HIGDON COUNTY RD ACCESS PHASE I ED0057 200000
WKCTC ART SCHOOL RENT SUBSIDY 1 OF 3 EDOOXX 75000
TEMP STAFF AND INSTALL TEAR DOWN PAVILION 13000
RESERVE FOR NEW ECON DEV INCENTIVES 353190
1566190
004 0401 53624 54 Other Contingency 59295 45599
Contractual Services 634545 545599 825000 1566190
004 0401 53680 33 Yeiser Art Center 30000 10000 2500
004 0401 53680 55 Paducah Symphony 30000 25000 16535
004 0401 53680 57 River Heritage Museum 2500 4985
004 0401 53680 59 Metropolitan Hotel 5000 2500
004 0401 53680 60 Market House Theatre 30000 25000 9395
004 0401 53680 61 FRC 30000 50000 68875 f
004 0401 53680 65 National Quilt Museum 22255
004 0401 53680 69 Convention Ctr Corp 175000 175000
004 0401 53680 71 Maiden Alley Cinema 5000 2955
004 0401 53680 72 AQS 25000 25000
LEVEL TEXT TEXT AMT
1 GRANT MATCH FOR AQS 25000
25 000
Contributions 120000 322500 330000
ii
Economic Development 634545 665599 1147500 1896190
I
f
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Neighborhood Development
004 0402 53620 02 Audit 1500 2000 2000 2200
004 0402 53623 07 Other 1913
Contractual Services 3413 2000 2000 2200
004 0402 53680 68 Midtown Alliance 12500 20000 20000
Contributions 12500 20000 20000
Neighborhood Development 3413 14500 22000 22200
Investment Fund 637958 680099 1169500 1918390
rs
jF
Ii
III
159
RUN DATE 061411 162744 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Interfund Transfers
Interfund Transfers
004 9999 69990 01 General Fund 108017 92000 95000 50000
LEVEL TEXT TEXT AMT
1 HOTELIER RECRUITMENT PROGRAM EDOOXX 50000
50000
004 9999 69990 02 Grant Fund 25000
004 9999 69990 03 Municipal Aid Program Fd 850000 890000
LEVEL TEXT TEXT AMT
1 ANNUAL STREET RESURFACING PROGRAM 670000
SIDEWALK PROGRAM 220000
890000
004 9999 69990 04 Investment Fund 215000 335000
004 9999 69990 08 HOME Fund 36200
LEVEL TEXT TEXT AMT
1 GAP POOL FINANCING CDOOXX 11200
AFFORDABLE HOUSING TRUST LOCAL MATCH CDOOXX 25000
36200
004 9999 69990 30 Debt Service Fund 111473 349130 1413520 1266680
LEVEL TEXT TEXT AMT
1 CITYS INVESTMENT FUND SHARE OF BOND NOTE PMTS
13 SHARE EXCESS OF BED TAX FRC SERIES 2001 34965
50 50 SHARE WITH COUNTY
INFINITI EXCEEDING RENT SERIES 2004 8040
JC CONVENTION CENTER KACO SERIES 2009 197175
100 CITY ONLY
GOB P I PARKS POL BLG KLC SERIES 2003 210440
GOB P I FW REHAB JAIL KLC SERIES 2009 169440 F
GOB P I SPRTS PK PVN E INN SERIES 2010 446620
MH GYM NOTE NO INTEREST 25000
CITYS INVESTMENT FUND PAYMENT ON NOTE TO COUNTY
MSU FACILITY 175000
1266680
004 9999 69990 40 Capital Projects Fund 1451250 2627004 1873980 618730
LEVEL TEXT TEXT AMT
1 FOUNTAIN AVENUE PPTY FILE 9112 CD0040 59000
FA HOMEOWNERSHIP INCENTIVES FILE 9168 CD0043 55000
FA MEDIAN IMPROVEMENTS CDOOXX 30000
COCA COLA 8TH OF 20 YEARS FILE 1326 ED0022 6250
160
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
AIRPORT OPERATING SUBSIDY FILE 9143 TR0003 146430
WALL TO WALL MURAL MAINT FILE 7024 DT0023 22050
GENERAL FACILITY MAINT PFOOXX 100000
SPORTS PARK DESIGN ENG FOR GRADING PLAN PAOOXX 100000
SPORTS PARK PERMITS WETLAND ARCH PA00XX 75000
ARMORY RENOVATION MAKE READY PFOOXX 25000
618730
004 9999 69990 80 PRA Fund 495700 235000 162500 200000
LEVEL TEXT TEXT AMT
1 INVESTMENT FUND SUBSIDY PRA 200000
200000
Interfund Transfers out 3256440 3638134 3545000 3061610
Interfund Transfers 3256440 3638134 3545000 3061610
Interfund Transfers 3256440 3638134 3545000 3061610
INVESTMENT FUND 3894398 4318233 4714500 4980000
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CDBG FUND
The Community Development Block Grant CDBG Fund is used to account for funds
from HUD Funds are used to rehabilitate owner occupied housing and certain
infrastructure within qualified neighborhoods
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
CDBG GRANT FUND
006 0000 42128 00 Jackson House CDBG 1000000
LEVEL TEXT TEXT AMT
1 PASS THRU CDBG JACKSON HOUSE CORP CD0078 1000000
1000000
006 0000 42133 00 Alpha CDBG 33334 28933
006 0000 42134 00 Econ Dev CDBG 218360
LEVEL TEXT TEXT AMT
1 PASS THRU CDBG RECOVERY CENTER CD0076 218360
218360
Grants 33334 28933 1218360
CDBG GRANT FUND 33334 28933 1218360
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Fund 006 CDBG Grant
Department
Division
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012 4
Personal Services
Contractuals 33334 28933 1218360
Commodities
Capital Outlay
33334 28933 0 1218360
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
CDBG GRANT FUND 1
Planning
RenKen CDBG
006 1213 51323 07 Other 1218360
LEVEL TEXT TEXT AMT
1 CDBG RECOVERY CENTER CD0076 218360
CDBG JACKSON HOUSE CORPORATION CD0078 1000000
1218360
Contractual Services 1218360
RenKen CDBG 1218360
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Alpha CDBG
006 1219 51323 07 Other 33334 28933
Contractual Services 33334 28933
Alpha CDBG 33334 28933
Planning 33334 28933 1218360
CDBG GRANT FUND 33334 28933 1218360
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HOME GRANT FUND
The Home Grant Fund is used to account for funds from HUD Funds are used to
rehabilitate owner occupied housing
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WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
HOME GRANT FUND
008 0000 42104 00 CFSB 14613 258391
008 0000 42122 00 GAP Pool Financing 176000
LEVEL TEXT TEXT AMT
1 GAP POOL FINANCING GRANT CDOOXX 176000
176000
008 0000 42171 00 HOME Grant 180000 185200 50000
LEVEL TEXT TEXT AMT
1 AFFORDABLE HOUSING TRUST FUND CD00XX 50000
50000
s
Grants 194613 443591 226000 t
008 0000 44105 00 Sale of Assets 142932 232855
Property Rent Sales 142932 232855
008 0000 49990 04 Investment Fund 36200
LEVEL TEXT TEXT AMT
1 GAP POOL FINANCING LOCAL MATCH CDOOXX 11200
AFFORDABLE HOUSING TRUST LOCAL MATCH CDOOXX 25000
36200
008 0000 49990 40 Capital Projects Fund 124000
Interfund Transfers 124000 36200
HOME GRANT FUND 461545 676446 262200
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Fund 008 HOME Grant 1
Department 12 Planning
Division 16 HOME 2 Grant
BUDGET SUMMARY 3
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 485598 527797 262200 3
Commodities
Capital Outlay
Interfund Transfers
485598 527797 0 262200
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
HOME GRANT FUND
Planning
HOME 2 Grant
008 1216 51323 07 Other 485598 527797 262200
LEVEL TEXT TEXT AMT
1 GAP POOL FINANCING CDOOXX 187200
AFFORDABLE HOUSING TRUST FUND CDOOXX 75000
262200
Contractual Services 485598 527797 262200
HOME 2 Grant 485598 527797 262200
Planning 485598 527797 262200
HOME GRANT FUND 485598 527797 262200
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HUD REVOLVING FUND
The HUD Revolving Fund is used to account for funds derived from program income
generated from previous HUD grant funded projects
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
HUD REVOLVING FUND
009 0000 44105 00 Sale of Assets 49306
Property Rent Sales 49306
009 0000 46005 00 Interest on Checking 2712 514
Interest Income 2712 514
HUD REVOLVING FUND 52018 514
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Fund 009 HUD Revolving
Department
Division
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 55364 11181
Commodities
Capital Outlay
Interfund Transfers 32500 199815
87864 210996 0 0
1
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
HUD REVOLVING FUND
Planning
HUD Revolving
009 1209 51320 02 Audit 2100 1000
009 1209 51323 07 Other 53264 10181
Contractual Services 55364 11181
1
HUD Revolving 55364 11181
Planning 55364 11181
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Interfund Transfers
Interfund Transfers
009 9999 69990 01 General Fund 132246
009 9999 69990 40 Capital Projects Fund 32500 6600
009 9999 69990 80 PRA Fund 60969
Interfund Transfers out 32500 199815
Interfund Transfers 32500 199815
Interfund Transfers 32500 199815
HUD REVOLVING FUND 87864 210996
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TELECOMMUNICATIONS FUND
The Telecommunications Fund is used to account for funds for the operation of the
Paducah McCracken County telecommunications and information systems
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY I
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
TELECOMMUNICATIONS FUND
011 0000 42175 00 County Contribution 33463 17047 29595
Grants 33463 17047 29595
011 0000 45131 00 Telephone User Fees 98043 99198 98610 94255
LEVEL TEXT TEXT AMT
1 CITY 216 1650 MONTH 42770
COUNTY 183 36235
E911 21 4160
PWW JSA 56 11090
94255
011 0000 45133 00 Network User Fees 50248 48960 45600 31970
LEVEL TEXT TEXT AMT
1 CITY 300 8 MONTH 28800
E911 15 1440
JSA 18 1730
31970
Charges for Service 148291 148158 144210 126225
011 0000 49990 01 General Fund 85731 56167 78105
Interfund Transfers 85731 56167 78105
4aTELECOMMUNICATIONSFUNDc267485221372251910126225
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Fund 011 Telecommunications
Department 39 Telecommunications
Division 11 Telecommunications Operation
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 84859 80664 89770 82875
Commodities 44275 57669 64715 66045
Capital Outlay 19910 46396 59350 59000
Depreciation Amort 13807 22069 23000
Interfund Transfers
162851 206798 236835 207920
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
ti
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
i
TELECOMMUNICATIONS FUND
Telecommunications
Telecommunications Operat
011 3911 54320 01 Administrative 3100 3100 3200 5000 1
1
LEVEL TEXT TEXT AMT
1 ACCOUNTING SERVICES 5000
5000
011 3911 54320 02 Audit 600 720 720 720
011 3911 54321 02 Liability 1559 2106 2110 1745 3
011 3911 54322 01 Computer Hardware 62148 60059 67600 60710
LEVEL TEXT TEXT AMT
1 IBM AS 400 HARDWARE SUPPORT 3000
IBM AS 400 SOFTWARE MAINTENANCE FOR I5 OS 7250 3
IBM AS 400 SOFTWARE MAINTENANCE DB2 WEB QUERY 1250 1
CRIMES MANAGEMENT SOFTWARE MAINT HTE 10440
MDT SUPPORT SOFTWARE
1
MDB MESSAGE SWITCH 13305
MDB CLIENT SOFTWARE FIRES 1
MDB CLIENT SOFTWARE COUNTY REMOVED FRM BUDGET a
i
STATE INTERFACE 3270 t
MOTOROLA SOFTWARE SUBSCRIPTION AGREEMENT i
CISCO HARDWARE SMARTNET MAINTENANCE AGREEMENTS
1841 EDGE ROUTER FTX936Y1LC 195
PIX 515E 808381546 1105
2811 FTX1108A4T1 670 i
3560 FOC 1048Y3FA 535
1841 JSA FTX13088845 195 ii
1841 GIS FTX1016Y09V 195 t
BROUGHTON INTERNATIONAL NETWORK ASSVIRUS SCAN 3000
BROUGHTON INTERNATIONAL NETWORK ASS GROUPSHIELD 2300
BROUGHTON INTERNATIONAL NETWORK ASS ANTI SPYWARE 1200
BARRACUDA MA SPAM FIREWALL ENERGIZE UPDATE 550
BARRACUDA MA SPAM FIREWALL INSTANT REPLACEMEN 550
BARRACUDA MA WEB FILTER TISA 550
BARRACUDA MA OPEN INTERNET 550
BARRACUDA MA WEB FILTER 610 ENERGIZE UPDATE 2400
BARRACUDA MA WEB FILTER 610 INSTANT REPLACEMENT 2000
WEB SERVER CERTIFICATES OWA 400 I
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HTE HELP TRAINING 5800
60710
011 3911 54323 07 Other 17452 14679 16140 14700
LEVEL TEXT TEXT AMT
1 E TEL MISCELLANEOUS PHONE WORK80 HRS 70 HR 5600
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
ff
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
ltd
MIOCON MISC EMERGENCY CONSULT 10 HOURS 110 HR 1100
ACCIDENTS CONTIGENCY 8000
14700
Contractual Services 84859 80664 89770 82875
011 3911 54333 05 PropertyPlant 97 500 500
011 3911 54335 03 Office 86 31
011 3911 54337 05 Telephone 43112 47975 52165 53495
LEVEL TEXT TEXT AMT
1 E TEL TECHNOLOGIES PHONE SWITCH MAINT 14950
ATT BELLSOUTH 23000
NORLIGHT CINERGY INT T1 SPAM FILTERING 601 MONTH 7250
POWERNET GLOBAL 1800 DIAL UP SERVICE 50
HANDSET FEE 2 1650 MONTH 395
VCI PHONE 450
VCI TISA INTERNET 10MB PIPE 230 MONTH 3000
VCI PUBLIC OPEN INTERNET 5MB PIPE 2000
TNCI LONG DISTANTCE 2400
53495
011 3911 54338 01 Training Travel 980 9663 11300 11300
LEVEL TEXT TEXT AMT IY
1 TRAINING CERTIFICATION 5500
STAFF MILEAGE 15 MILES DAILTY 240 36 1300
VENDOR ON SITE TRAINING TRAVEL EST 1500 DAY 4500
11300
011 3911 54338 05 DuesMbrshipsBooks Subs 500 500
LEVEL TEXT TEXT AMT
1 BOOKS SUBSCRIPTIONS REFERENCE MATERIALS 500
500
011 3911 54339 05 Postage 250 250
Commodities 44275 57669 64715 66045
011 3911 54342 01 Furniture Fixtures 170 638 1200 1200
011 3911 54342 09 Computer Hardware 9435 29032 38750 16500
LEVEL TEXT TEXT AMT
1 VOIP PHONE SYSTEM EXPANSION STARTUP TESTING CODE 5500
MISCELLANEOUS 8000
DELL WORKSTATION PC AND 24 MONITOR FOR GIS 3000
16500
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
011 3911 54342 11 Computer Software 8822 15685 16700 38600
LEVEL TEXT TEXT AMT
1 MISCELLANEOUS SOFTWARE 8000
WINDOWS 7 PROFESSIONAL 64 BIT OS 3 LICENSES 200 600
ESRI ARCEDITOR LICENSES 2 6000 EACH 12000
ESRI SERVER UPGRADE FROM STANDARD TO ADVANCED 18000
38600
011 3911 54342 13 Equipment Communication 1483 1041 2700 2700
LEVEL TEXT TEXT AMT
1 CABLING CONNECTORS PATCH PANELS
Capital Outlay 19910 46396 59350 59000
011 3911 54360 10 Depreciation 13807 22069 23000
Depreciation Amortizatio 13807 22069 23000
Telecommunications Operat 162851 206798 236835 207920
Telecommunications 162851 206798 236835 207920
TELECOMMUNICATIONS FUND 162851 206798 236835 207920
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EMERGENCY 911 FUND
The Emergency 911 Fund is used to account for funds for the operation of the Paducah
McCracken County emergency dispatching system
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RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
3
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
EMERGENCY 911 FUND
012 0000 40105 00 Telephone Tax 533471 511595 530000 512000
01200004010600 CMRS wireless phones 237096 263109 225000 265000
Taxes 770567 774704 755000 777000 4
012 0000 42175 00 County Contribution 337756 278664 323265 362080
Grants 337756 278664 323265 362080
012 0000 46001 00 Interest on Investments 465 1143
012 0000 46005 00 Interest on Checking 2893 2067 1250 2500
Interest Income 3358 3210 1250 2500
012 0000 48101 00 Miscellaneous Other 17683 70 2000
Other Fees 17683 70 2000
01200004999001 General Fund 376388 335322 382100 428440
Interfund Transfers 376388 335322 382100 428440
EMERGENCY 911 FUND 1505752 1391970 1461615 1572020
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Fund 012 Emergency 911
Department 40 E911
Division 11 E911 Operation
The overall operation of PMC911 is managed by the 911 Director The mission of the
Department of Emergency Communications 9 1 1 Center is to provide timely and
appropriate response to requests for assistance in case of emergencies throughout
McCracken County and the City of Paducah The administration oversees the general
operation which includes but is not limited to emergency communications services for
City Police and Fire Departments McCracken County Sheriffs Office five county fire
departments Joint Sewer Agency county animal wardens county constables other city
and county agencies various department administrative telephone answering services fandemergency911telephonecommunications
BUDGET SUMMARY
is
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 1131644 1119509 1310215 1387175
Contractuals 95217 100649 104625 115410
Commodities 144067 171812 166775 169435
Capital Outlay
Interfund Transfers
1370928 1391970 1581615 1672020
Funded Staffing Level 21 21 22 23
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
EMERGENCY 911 FUND
E911
E911 Operation
012 4011 52310 01 Full Time Regular 711786 702004 821975 871305
012 4011 52310 02 Part Time Regular 10028 14796
012 4011 52310 05 Longevity 8086 8131 9050 10450
012 4011 52312 01 Full Time Regular OT 74432 52823 55000 50000
012 4011 52314 01 FICA 46563 44589 55050 58075
012 4011 52314 03 Medicare 10890 10428 12875 13580
012 4011 52314 11 CERS Non Hazardous 108360 124000 150310 177600
012 4011 52314 17 Workers Compensation 2335 1435 1155 1225
012 4011 52314 19 Unemployment 229 669 5410 2790
012 4011 52314 21 Life Insurance 2381 2445 2810 3420
012 4011 52314 23 Cafeteria Flex Plan 147504 148814 183580 188250
LEVEL TEXT TEXT AMT
1 20 PARTICIPATING EMPLOYEES 3 WAIVERS 189000
189000
012 4011 52316 10 Clothing Allowance 9050 9075 10600 6700
012 4011 52316 45 Gym Reimbursement 300 2400 3780 I
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Personal Services 1131644 1119509 1310215 1387175
012 4011 52320 02 Audit 500 1200 1200 1200
012 4011 52321 02 Liability 16378 17503 18230 17505
01240115232104 Property Damage 4132 4382 4000 4000
012 4011 52322 02 Computer Software 27625 31142 31430 31430
LEVEL TEXT TEXT AMT
1 HTE CAD 400 23715
HTE GEOBLADE 6515
911 LINK NCIC 1200
31430
012 4011 52322 06 Communication Equipment 22784 21783 21985 32745
LEVEL TEXT TEXT AMT
1 911 PLANT 23760
MOTOROLA RADIO DISPATCH CONSOLES 5675
AUDIO LOG SOUND COMMUNICATIONS 3310
32745
012 4011 52322 07 Other Equipment 1364 2730 3070 1820
LEVEL TEXT TEXT AMT
1 HVAC 15150 MONTH 1820
GENERATOR MAINTENANCE AGREEMENT BEGIN FY2013
1820
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
012 4011 52323 05 Legal 1344 625 2000 2000
012 4011 52323 07 Other 21090 21284 22710 24710
LEVEL TEXT TEXT AMT
1 CUSTODIAL 900 MONTH 10800
ACCOUNTING PAYROLL SERVICES 8000
PEST CONTROL 750
PRE EMPLOYMENT TESTING 500
CONSULTANT OTHER 2000
EAP
2660
24710
Contractual Services 95217 100649 104625 115410
012 4011 52331 03 Fuel 366 453 1100 2000
LEVEL TEXT TEXT AMT
1 GENERATOR FUEL 2000
2000
012 4011 52333 03 Equipment 5901 16265 6500 5700
LEVEL TEXT TEXT AMT
1 GENERATOR REPAIRS 1500
COMPUTER HEADSETS OTHER EQUIPT 3000
MISCELLANEOUS EQUIPMENT REPAIRS 1200
5 700
012 4011 52333 05 Property Plant 286 2125 3000 3000
LEVEL TEXT TEXT AMT
1 HVAC REPAIRS PLUMBING ELECTRIC 1000 EACH 3000
3000
012 4011 52335 03 Office 8119 9853 7500 7500
012 4011 52337 01 Electricity 22672 25671 25500 25500
012 4011 52337 03 Natural Gas 1167 536 1300 1300
012 4011 52337 05 Telephone 68994 73830 84320 83725
LEVEL TEXT TEXT AMT
1 PHONE LINES FEE TISA 18 1650 MONTH 3565
NETWORK ACCESS TISA 15 800 MONTH 1440
443 7347 ADMINISTRATIVE LINE 6000
911 TRUNKS 6000 MONTH 72000
CELL PHONES 720
83725
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
012 4011 52337 07 Water 433 615 450 450
012 4011 52337 11 Refuse 1200 1500 1500 1500
012 4011 52338 01 Training Travel 3538 8035 4300 4340
012 4011 52338 05 DuesMbrshipsBooks Subs 1290 985 1315 1040
012 4011 52339 01 Advertisement 107 766 1000 500 3
LEVEL TEXT TEXT AMT
1 JOB POSTINGS 500
500
012 4011 52339 05 Postage 804 893 1100 1100
012 4011 52339 36 Cellular Phase II 29190 30285 27890 31780
LEVEL TEXT TEXT AMT
1 ARCVIEW SOFTWARE MAINTENANCE 400 7
GIS CONSORTIUM MEMBERSHIP 6000
GIS SERVICE CONTRACT 2115 MO 25380
31780
Commodities 144067 171812 166775 169435
E911 Operation 1370928 1391970 1581615 1672020 j
E911 1370928 1391970 1581615 1672020
EMERGENCY 911 FUND 1370928 1391970 1581615 1672020
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COURT AWARDS FUND
The Court Awards Fund is used to account for funds derived from Court Awards Funds
are used for police activities
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
COURT AWARDS
013 0000 43101 00 Federal 36913 17000
013 0000 43105 00 KY Local 26708 11916 37650 10000
Fines 26708 48829 37650 27000
013 0000 46001 00 Interest on Investments 1890 599 500
013 0000 46005 00 Interest on Checking 829 319 250 800
Interest Income 2719 918 750 800
013 0000 48101 00 Miscellaneous Other 3331 172
Other Fees 3331 172
COURT AWARDS 32758 49919 38400 27800
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Fund 013 Court Awards
Department 16 Police
Division 11 Court Awards Operation
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 20112012
Personal Services
Contractuals 29023 32090 38400 10800
Commodities 4306 80
Capital Outlay 20888
54217 32010 38400 10800
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
COURT AWARDS
Police
Court Awards Operation ti
013 1611 52120 02 Audit 400 400 400 500
013 1611 52123 07 Other 2332 172
013 1611 52124 26 Confidential Funds 26291 38000 10300
013 1611 52124 50 Reserved 31518
Contractual Services 29023 32090 38400 10800
013 1611 52138 01 Training Travel 4306 80
Commodities 4306 80
013 1611 52142 15 Equipment Electronic Sury 16071
013 1611 52142 19 Equipment Other 4817
Capital Outlay 20888
Court Awards Operation 54217 32010 38400 10800
Police 54217 32010 38400 10800
COURT AWARDS 54217 32010 38400 10800
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DEBT SERVICE FUND
The Debt Service Fund is used to account for the accumulation of resources for and the
payments of principal interest and related costs of debt
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RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
DEBT SERVICE FUND
030 0000 41025 00 County Bed Tax 529083 499484 510000 480000
LEVEL TEXT TEXT AMT
1 COUNTY TRANSIENT BED TAX ADMINISTERED BY COUNTY
ESTIMATED RECEIPTS BOND SERIES 2001 480000
480000
Licenses Permits 529083 499484 510000 480000
030 0000 44001 00 Rental Income 405796 405796 405790 405800
LEVEL TEXT TEXT AMT
1 INFINITI MONTHLY LEASE PAYMENTS STARTING
SEPT 1 2007 AT 33816 MONTH BOND SERIES 2004 405800
405800
Property Rent Sales 405796 405796 405790 405800
030 0000 45103 00 County Contribution 46977 54464 52650 43005 A
LEVEL TEXT TEXT AMT l
C1COUNTYSHAREOFBONDPAYMENTS
13 SHARE EXCESS OF BED TAX FRC SERIES 2001 34965
50 SHARE INFINITI FACILITY SERIES 2004 8040 f
43005 1
I
030 0000 45104 00 CVB Convention Board 38072 47539 44730 34965 i
LEVEL TEXT TEXT AMT
I1CVBSHAREOFBONDPAYMENTS
13 SHARE EXCESS OF BED TAX FRC SERIES 2001 34965
34965
I
IChargesforService850491020039738077970
030 0000 49990 01 General Fund 730916 740500 495740 498935 i
LEVEL TEXT TEXT AMT
1 CITYS GENERAL FUND SHARE OF BOND PAYMENTS
GOB P I PFPF 498035
AUDIT OTHER EXPENSES 900
498935
030 0000 49990 04 Investment Fund 111473 349130 1413520 1266680
LEVEL TEXT TEXT AMT
1 CITYS INVESTMENT FUND SHARE OF BOND NOTE PMTS
186
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
13 SHARE EXCESS OF BED TAX FRC SERIES 2001 34965
50 5Oo SHARE WITH COUNTY
INFINITI EXCEEDING RENT SERIES 2004 8040
JC CONVENTION CENTER KACO SERIES 2009 197175
100 CITY ONLY
GOB P I PARKS POL BLG KLC SERIES 2003 210440
GOB P I FW REHAB JAIL KLC SERIES 2009 169440
GOB P I SPRTS PK PVN E INN SERIES 2010 446620
MH GYM NOTE NO INTEREST 25000
CITYS INVESTMENT FUND PAYMENT ON NOTE TO COUNTY
MSU FACILITY 175000
1266680
Interfund Transfers 842389 1089630 1909260 1765615
DEBT SERVICE FUND 1862317 2096913 2922430 2729385
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Fund 030 Debt Service
Department 02 Finance
Division 09 Debt Service
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 804 800 800 900
Commodities
Capital Outlay
Debt Service 1833316 2096912 2921630 2728485
1834120 2097712 2922430 2729385
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
If
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
DEBT SERVICE FUND
Finance
Debt Service
030 0209 51220 02 Audit 800 800 800 900
030 0209 51223 07 Other 4
Contractual Services 804 800 800 900
030 0209 51250 31 Agent Fees 31063 77383 89100 91200
LEVEL TEXT TEXT AMT
1 FEES ASSOCIATED W KLC 2003 2009 BOND SERIES
CREDIT LIQUIDITY ADMINISTRATION RATING
REMARKETING AND TRUSTEE FEES I F SERIES 2003 39000
I F SERIES 2009 52200
91200
030 0209 51250 46 Principal 2001 Series 280000 290000 305000 410000
LEVEL TEXT TEXT AMT
1 PRINCIPLE DUE IN JUNE 2012
FUNDED WITH COUNTY BED TAX FUNDS BALANCE
SPLIT 3 WAYS BETWEEN CITY I F COUNTY CVB 410000 P
410000
030 0209 51250 47 Interest 2001 Series 363300 352100 339195 174900
LEVEL TEXT TEXT AMT
1 INTEREST 12 DUE IN DEC 2011 12 JUNE 2012
FUNDED WITH COUNTY BED TAX FUNDS BALANCE
SPLIT 3 WAYS BETWEEN CITY I F COUNTY CVB 174900
174900
030 0209 51250 48 Principal 2003 Series 150319 154886 159590 164440
LEVEL TEXT TEXT AMT
1 PRINCIPLE PAID MONTHLY FUNDED BY THE IF 164440
164440
030 0209 51250 49 Interest 2003 Series 39567 5959 7375 7000
LEVEL TEXT TEXT AMT
1 INTEREST VARIABLE RATE PAID MONTHLY BY IF
RATE IS 06 PLUS BMA BOND MRKT ASSOCIATION
SERIES 2003 7000
7000
030 0209 51250 51 Principal 2004 Series 180000 185000 195000 205000
LEVEL TEXT TEXT AMT
189
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1 PRINCIPLE DUE ANNUALLY IN JUNE
96 OF THE BOND PAYMENT FUNDED BY INFINITI
MONTHLY RENTAL PAYMENTS STARTING SEPT 1 2007
BALANCE FUNDED 5050 BY CITY INVESTMENT FUND
AND COUNTY 8TH YR OF LEASE INFINITI 205000
205000
030 0209 51250 52 Interest 2004 Series 243605 234647 226625 216875
LEVEL TEXT TEXT AMT
1 INTEREST 12 DUE IN DEC 2011 12 DUE JUNE 2012
96 OF THE BOND PAYMENT FUNDED BY INFINITI
1
MONTHLY RENTAL PAYMENTS STARTING SEPT 1 2007
BALANCE FUNDED 5050 BY CITY INVESTMENT FUND
AND COUNTY 8TH YR OF LEASE INFINITI 216875
216 875 N
3
030 0209 51250 57 Principal PADD spec 2 350000
030 0209 51250 58 Interest PADD spec 2 9000 9000 9000 1
030 0209 51250 61 Principal 2005 PFPF 195000 205000 215000 230000
LEVEL TEXT TEXT AMT
1 PRINCIPLE DUE ANNUALLY IN NOVEMBER PAID BY GF
PFPF UNFUNDED LIABILITY TAXABLE GOB 230000
230 000
030 0209 51250 62 Interest 2005 PFPF 285004 291174 279940 268035
Ii
LEVEL TEXT TEXT AMT
1 INTEREST 12 DUE NOV 2011 12 MAY 2012 GF
PFPF UNFUNDED LIABILITY TAXABLE GOB 268035
268 035
030 0209 51250 63 Principal 2009 KLC 25362 103198 106490 109740
LEVEL TEXT TEXT AMT r
1 PRINCIPLE PAID 15TH OF MONTH FUNDED BY THE
INVESTMENT FUND 109740
109 740
030 0209 51250 64 Interest 2009 KLC 3251 6425 9700 7500
LEVEL TEXT TEXT AMT
1 INTEREST VARIABLE RATE PAID 15TH OF MONTH
RATE IS 06 PLUS BMA BOND MRKT ASSOCIATION
FUNDED BY THE INVESTMENT FUND
SERIES 2009 7500
7500
190 7
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
030 0209 51250 65 Principle 2009 KACO 82500 85000 87005
LEVEL TEXT TEXT AMT
1 PRINCIPLE DUE THE 1ST OF MONTH
FUNDED 5050 COUNTYCITY INVESTMENT FUND 87005
030 0209 51250 66 Interest 2009 KACO 27845 99640 98645 110170
LEVEL TEXT TEXT AMT
1 INTEREST DUE THE 1ST OF MONTH
FUNDED 5050 COUNTYCITY INVESTMENT FUND 110170
110170
030 0209 51250 67 Principle 2010 Series 275000 270000
LEVEL TEXT TEXT AMT
1 PRINCIPLE DUE ANNUALLY IN MARCH PAID BY IF
TAXABLE GOB BAB 270000
270000
030 0209 51250 68 Interest 2010 Series 170970 176620
LEVEL TEXT TEXT AMT
1 INTEREST DUE 12 IN MARCH 12 SEPTEMBER IF
TAXABLE GOB BAB 271720
LESS US TREASURY 35 INTEREST REBATE 95100 I
176620
030 0209 51250 69 Principal 2011 M Hank 25000
LEVEL TEXT TEXT AMT
1 PRINCIPLE DUE ANNUALLY IN APRIL PAID BY IF 25000
25000
030 0209 51250 71 Principal MSU County 175000
LEVEL TEXT TEXT AMT
1 ANNUAL PAYMENT NOT TO EXCEED TO COUNTY FOR
THE MSU FACILITY PROJECT 175000
175000
Debt Service 1833316 2096912 2921630 2728485
Debt Service 1834120 2097712 2922430 2729385
191
RUN DATE 0613 11 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Finance 1834120 2097712 2922430 2729385
DEBT SERVICE FUND 1834120 2097712 2922430 2729385
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CAPITAL IMPROVEMENTS FUND
The Capital Improvements Fund is used to account for the acquisition and construction of
major capital facilities and equipment other than those financed by proprietary funds and
trust funds
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
I
IE
Actual Actual Revised Adopted f
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
s
CIP FUND
040 0000 42020 00 KY Homeland Security 151757 187008
040 0000 42021 00 KY Emergency Management 683878
i04000004206500TransportationCabiKYDOT55771665525
040 0000 42066 00 Hiway Safety Grant 3983 539
3
040 0000 42068 00 GOLD ED Cabinet 18 500000
040 0000 42069 00 Division of Waste Mgmt 54736
040 0000 42101 00 Bond Proceeds 1104512 1176865 g
040 0000 42102 00 KACO Loan Proceeds 614093 28536
040 0000 42115 00 FEMA 2051663 82359
040 0000 42136 00 PADD 6162
040 0000 42162 00 Federal 23710 206616 1
040 0000 42168 00 US Justice Vest Grant 825 6263
040 0000 42174 00 KLC 2977
040 0000 42175 00 County Contribution 9543
Grants 5201698 2317586
040 0000 44105 00 Sale of Assets 6001 460576 r
040 0000 44140 00 Booth Rent Entry Fees 15511 fC
Property Rent Sales 6001 476087
040 0000 45110 00 Property Upkeep 1800 2671
L
Charges for Service 1800 2671
040 0000 46001 00 Interest on Investments 60490 14043
Interest Income 60490 14043
040 0000 47201 01 Claims Settlements 5810
Internal Service Revenues 5810
040 0000 48101 00 Miscellaneous Other 256577 95161
040 0000 48140 00 Private Donations 162017 96382
Other Fees 418594 191543 I
i
040 0000 49990 01 General Fund 486336 643740 202800 1
f04000004999004InvestmentFund1451250262700418739806187301
h
fLEVELTEXTTEXTAMTF1FOUNTAINAVENUEPPTYFILE9112CD004059000
FA HOMEOWNERSHIP INCENTIVES FILE 9168 CD0043 55000
FA MEDIAN IMPROVEMENTS CDOOXX 30000
COCA COLA 8TH OF 20 YEARS FILE 1326 ED0022 6250
AIRPORT OPERATING SUBSIDY FILE 9143 TR0003 146430
WALL TO WALL MURAL MAINT FILE 7024 DT0023 22050
GENERAL FACILPIY MAINT PFOOXX 100000
SPORTS PARK DESIGN ENG FOR GRADING PLAN PAOOXX 100000
SPORTS PARK PERMITS WETLAND ARCH PAOOXX 75000
ARMORY RENOVATION MAKE READY PFOOXX 25000
193
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted 4
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
618730 e
i
040 0000 49990 09 HUD Revolving Fund 32500 6600
040 0000 49990 40 Capital Projects Fund 435463 36037
040 0000 49990 42 Bond Fund 2762534
040 0000 49990 63 Rental Property Fund 45000
040 0000 49990 80 Mainstreet Fund 20000
Interfund Transfers 2450549 6095915 2076780 618730
CIP FUND 8144942 9097845 2076780 618730
ft
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Fund 040 CIP Capital Improvements
Department
Division
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 8580910 8352849 2076780 954050
Commodities
Capital Outlay
Interfund Transfers 765408 258445 15195 f
9346318 8611294 2091975 954050
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY IfI
WORKSHEET DRAFTEXP FISCAL YEAR 2012 I
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
4
CIP FUND
General Government
Mayor Commissioners
040 0102 51123 07 Other 258363 207042 194070 166430
LEVEL TEXT TEXT AMT
1 AIRPORT OPERATING SUBSIDY FILE 9143 TR0003 146430
PAY CLASS STUDY MR0045 20000
166430
Contractual Services 258363 207042 194070 166430
Mayor Commissioners 258363 207042 194070 166430
General Government 258363 207042 194070 166430
196
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Inspection
Administration
040 0801 51623 07 Other 54402 149934 50530 65000
LEVEL TEXT TEXT AMT
1 LIEN RECOVERY PROGRAM FILE 970 MR0010 15000
DEMOLITIONS CARRYOVER FILE 9222 MR0047 50000
65000
Contractual Services 54402 149934 50530 65000
Administration 54402 149934 50530 65000
Inspection 54402 149934 50530 65000
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WORKSHEET DRAFTEXP FISCAL YEAR 2012 s
fifg
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Planning
Grants
040 1203 51323 07 Other 1926514 1407125 12800 152320
LEVEL TEXT TEXT AMT
1 FOUNTAIN AVENUE PPTY FILE 9112 CD0040 59000
FA HOMEOWNERSHIP INCENTIVES FILE 9168 CD0043 55000
FA MEDIAN IMPROVEMENTS CDOOXX 30000
CIVIC BEAUTIFICATION SIGNS FILE 9166 PF0051 8320
152320
Contractual Services 1926514 1407125 12800 152320
Grants 1926514 1407125 12800 152320
Ill
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
a
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Economic Development
040 1204 51323 07 Other 1006920 569372 6250 6250
LEVEL TEXT TEXT AMT
1 COCA COLA 8TH OF 20 YEARS FILE 1326 ED0022 6250
6250
Contractual Services 1006920 569372 6250 6250
Economic Development 1006920 569372 6250 6250
F
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Information Systems
040 1205 51323 07 Other 66609 39444 3690 6000
LEVEL TEXT TEXT AMT
1 GEOGRAPHICAL INFO SYS FILE 986 GIS001 6000
6000
Contractual Services 66609 39444 3690 6000
Information Systems 66609 39444 3690 6000
Planning 3000043 2015941 22740 164570
II
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1
200
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Police
Police Building vehicles
040 1616 52123 07 Other 168163 291861 30000
LEVEL TEXT TEXT AMT
1 HS BOMB SQUAD 2009 GRANT FILE 6201 P00051 30000
30000
Contractual Services 168163 291861 30000
Police Building vehicles 168163 291861 30000
Police 168163 291861 30000
Is
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201
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Fire
Suppression
040 1802 52223 07 Other 78 117885 41620
Contractual Services 78 117885 41620
Suppression 78 117885 41620
Fire 78 117885 41620
is
if
202
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Human Resources
Administration
040 3211 51523 07 Other 3968 600
Contractual Services 3968 600
Administration 3968 600
Human Resources 3968 600
1
203
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012 I
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1
4
Engineering Public Works
Street Projects
040 3315 53223 07 Other 3608071 425373 320000 85000
LEVEL TEXT TEXT AMT
1 ENVIRONMENTAL MONITORING FILE 9190 ST0035 10000
i
RIVERFRONT HUD PHASE I FILE 9132 DT0015 25000
TRAFFIC SIGNALS FILE 9210 ST0036 50000
PECAN 62 SIGNAL FILE 9214 ST0037
BOATING INFRASTRUCTURE PROJECT DTOOXX
85000
Contractual Services 3608071 425373 320000 85000
Street Projects 3608071 425373 320000 85000
Engineering Public Works 3608071 425373 320000 85000
LE
kk
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204
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
E911
E911 Operation
040 4011 52323 07 Other 167333
Contractual Services 167333
E911 Operation 167333
E911 167333
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RUN DATE 061311 14 5103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
PRA
PRA
040 4411 59223 07 Other 2491795 1239000 22050
LEVEL TEXT TEXT AMT
1 PROPERTY FACILITY REHAB FILE 9209 DT0024
HOTEL FEASIBILITY STUDY DT0025
WALL TO WALL MURAL MAINTENANCE FILE 7024 DT0023 22050 1
22050
Contractual Services 2491795 1239000 22050
PRA 2491795 1239000 22050
PRA 2491795 1239000 22050
I
206
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Special Projects
Park Improvements
040 8821 53623 07 Other 521278 2230892 20020 346000
LEVEL TEXT TEXT AMT
1 KYDOT GREENWAY PH II FILE 6191 PA0078
M HANK BLDG IMPROVEMENTS FILE 9221 PA0091 46000
GENERAL FACILITY MAINT PFOOXX 100000
SPORTS PARK DESIGN ENG FOR GRADING PLAN PAOOXX 100000
SPORTS PARK PERMITS WETLAND ARCH PAOOXX 75000
ARMORY RENOVATION MAKE READY PFOOXX 25000
346000
Contractual Services 521278 2230892 20020 346000
Park Improvements 521278 2230892 20020 346000
ii
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Non recurring Projects
040 8827 53623 07 Other 799211 421526 188800 75000
LEVEL TEXT TEXT AMT
1 FOUNT AVE PROP ACQUISITION FILE 9112 CD0040 50000
FOUNT AVE INCENTIVES FILE 9168 CD0043 25000
75000
Contractual Services 799211 421526 188800 75000
Non recurring Projects 799211 421526 188800 75000
Special Projects 1320489 2652418 208820 421000
rj
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY kx
WORKSHEET DRAFTEXP FISCAL YEAR 2012
2
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Interfund Transfers t
Interfund Transfers
040 9999 69990 01 General Fund 99235 116594 15195
040 9999 69990 04 Investment Fund 101710 105814
040 9999 69990 08 HOME Fund 124000
040 9999 69990 40 Capital Projects Fund 435463 36037
040 9999 69990 80 PRA Fund 5000
1
Interfund Transfers out 765408 258445 15195
Interfund Transfers 765408 258445 15195
gg
S
Interfund Transfers 765408 258445 15195 s
CIP FUND 9346318 8611294 2091975 954050
ee
1
IF
209
4
E
is
BOND FUND
The Bond Fund is used to account for transactions related to the City of Paducahs 2010
bond proceeds
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
f
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Bond Fund
042 0000 42101 00 Bond Proceeds 6530000
Grants 6530000
042 0000 46005 00 Interest on Checking 9283
Interest Income 9283
Bond Fund 6539283
f
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210
Fund 042 Bond
Department 99 Interfund Transfers
Division 99 Interfund Transfers
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals
Commodities
Capital Outlay
Interfund Transfers 3619812 870000
0 3619812 870000 0
211
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Bond Fund
Interfund Transfers
a
Interfund Transfers
042 9999 69990 03 Municipal Aid Program Fd 857278 870000
042 9999 69990 40 Capital Projects Fund 2762534 3
i
A
Interfund Transfers out 3619812 870000
Interfund Transfers 3619812 870000
Interfund Transfers 3619812 870000
Bond Fund 3619812 870000
1
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212
SOLID WASTE FUND
The Solid Waste Fund is used to account for the solid waste operations in a manner
similar to private business The intent of the City of Paducah is that the cost of providing
services to the general public on a continuing basis be financed primarily through user
charges
14
11
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
s
Actual Actual Revised Adopted I
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 20092010 2010 2011 2011 2012
itr
SOLID WASTE
050 0000 42021 00 KY Emergency Management 23892
050 0000 42069 00 Division of Waste Mgmt 27000 32000 27000
LEVEL TEXT TEXT AMT
1 HOUSEHOLD HAZARDOUS WASTE GRANT 27000
27000
h
i
050 0000 42115 00 FEMA 71676 i
050 0000 42175 00 County Contribution 10193
1
i
Grants 95568 37193 32000 27000
050 0000 44105 00 Sale of Assets 157953 1112 5000 5000
i
1
Property Rent Sales 157953 1112 5000 5000 1
11
050 0000 45001 05 Refuse Collection Res 2085233 2087726 2000000 2000000 Ii
050 0000 45001 10 Refuse Collection Comm 2188309 2159257 2100000 2100000
050 0000 45001 20 Special Pickups 1126 1592
050 0000 45001 23 Brush Dumping Fee 14590 5285 10000 1
05000004500127 Compost sales 67568 43561 25000 25000
050 0000 45001 28 Sludge Fee JSA 91447 82694 90000 80000
Charges for Service 4448273 4380115 4225000 4205000
050 0000 46001 00 Interest on Investments 49495 28497 25000
050 0000 46005 00 Interest on Checking 3137 4963 1600 15000
1
Interest Income 52632 33460 26600 15000
050 0000 48101 00 Miscellaneous Other 16288 26304 20000 Ii
I
Other Fees 16288 26304 20000 1
1
SOLID WASTE 4770714 4478184 4308600 4252000 1
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1
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213
I
Fund 050 Solid Waste
Department 22 Engineering Public Works
Division 08 Administration
This division supervises directs administers and manages the resources of all solid
waste funds It ensures that solid waste collection and disposal systems are provided
for the customers in an efficient effective and economical manner at or below
competitive market rates and adheres to state and federal regulations This division will
also ensure the compost facility will continue to improve its operation and offer a high
quality composted biosolids product
fi
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012 p
Personal Services 179820 168610 189970 242725
Contractuals 68198 69447 64665 66300
Commodities 43147 51046 47485 40350
Capital Outlay 1088 936 500 500 I
Depreciation Amort 377626 371423 330000 362000
669879 661462 632620 711875
Funded Staffing Level 3 3 3 34
DIVISION OUTPUTS
Monitor compliance with state and federal regulations
Supervise manage solid waste collection activities
FY2012 OBJECTIVES
Ensure accounts accurately reflect services received and revenue collected
Validate asset inventory dumpsters and rollouts
214
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
SOLID WASTE
Engineering Public Works 4
Solid Waste Administratn
050 2208 53110 01 Full Time Regular 124796 122727 123995 161360
050 2208 53110 05 Longevity 2918 2988 3000 3530
050 2208 53110 07 Leave expense 3933 6583
050 2208 53112 01 Full Time Regular OT 15 227 500 250
050 2208 53114 01 FICA 7629 7349 7330 9015
050 2208 53114 03 Medicare 1784 1719 1715 2110
050 2208 53114 11 CERS Non Hazardous 16546 20353 21500 30215
050 2208 53114 17 Workers Compensation 2820 2790 2240 2515
050 2208 53114 19 Unemployment 36 107 775 475
050 2208 53114 21 Life Insurance 340 383 385 505
050 2208 53114 23 Cafeteria Flex Plan 18559 16075 27000 30600
050 2208 53116 10 Clothing Allowance 175 600 500
050 2208 53116 35 Automobile allowance 1200
050 2208 53116 40 Boot Allowance 444 180 450 450
050 2208 53116 45 Gym Reimbursement 120 480
Personal Services 179820 168610 189970 242725
050 2208 53120 01 Administrative 17400 17400 17400 17400 4
LEVEL TEXT TEXT AMT
1 ACCOUNTING SERVICES 17400
17400
Ikk
050 2208 53121 02 Liability 4983 4897 4900 4670
050 2208 53121 05 Vehicle 3897 3298 3300 2585 f
050 2208 53122 02 Computer Software 2870 2985 3745 3745
LEVEL TEXT TEXT AMT
1 HTE WORK ORDERS FACILITIES MGMT 12 2990 1
GPS TRACKING SOFTWARE
OTHER 755
3745
050 2208 53122 03 Copiers 1800
050 2208 53122 06 Communication Equipment 7392 7173 6720 7000
i1
is
LEVEL TEXT TEXT AMT
1 32 RADIOS 1084 MONTH 4160 I
MOTOROLA MA 365
19 GPS 1084 MONTH 2475
7000
050 2208 53123 02 Collection 27604 28699 26000 26000
050 2208 53123 04 Laundry 3612 2898 2100 2300
050 2208 53123 07 Other 440 2097 500 800
215
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Contractual Services 68198 69447 64665 66300
050 2208 53131 03 Fuel 5582 4770 6720 9200
LEVEL TEXT TEXT AMT
1 2300 GAL GASOLINE 4 9200
9200
050 2208 53133 01 Fleet Charges 1602 2655 2500 3000
050 2208 53133 05 Property Plant 1673 14989 8000 5000
050 2208 53135 03 Office 3029 1673 1500 1500
050 2208 53137 01 Electricity 9116 7982 9000 7500
050 2208 53137 03 Natural Gas 6893 4026 7000 3600
050 2208 53137 05 Telephone 2785 2828 2265 3500
LEVEL TEXT TEXT AMT
1 PHONE LINES FEE TISA 3 1650 MONTH 590
NETWORK ACCESS TISA 3 800 MONTH 290
AT T MOBILITY 2500
OTHER 120
3500
050 2208 53137 07 Water 3950 2823 3000 2800
050 2208 53138 01 Training Travel 837 2762 2000 1000
050 2208 53138 05 DuesMbrshipsBooks Subs 1165 426 500 500
050 2208 53138 07 Education tuition reimb 50 f
050 2208 53139 01 Advertisement 1964 4103 2000 2000
050 2208 53139 05 Postage 186 101 500 250 f
050 2208 53139 07 Printing 4315 1908 2500 500
Commodities 43147 51046 47485 40350
050 2208 53142 09 Computer Hardware 1088 j
05022085314212 Equipment Safety 244 500 250
050 2208 53142 19 Equipment Other 692 250
Capital Outlay 1088 936 500 500
050 2208 53160 10 Depreciation 377626 371423 330000 362000
Depreciation Amortizatio 377626 371423 330000 362000
Solid Waste Administratn 669879 661462 632620 711875
216
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Fund 050 Solid Waste
Department 22 Engineering Public Works
Division 09 Residential Collection
This division provides collection and disposal of solid waste for the residential and f
commercial roll out customers on a once per week schedule This service is to be
provided in an efficient effective and economical manner while complying with federal
and state mandated regulations
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 673618 666778 733315 692240
Contractuals 472952 556338 465785 504420
Commodities 175795 157060 167800 196150
Capital Outlay 442 213 206000 172000
1322807 1380389 1572900 1564810
Funded Staffing Level 15 14 14 13 x
DIVISION OUTPUTS
Residential collection
Commercial roll out collection
FY2012 OBJECTIVES
Evaluate routes for maximized efficiency
Evaluate alley services and identify residential areas that should be moved to
curbside to increase efficiency and safety
217
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012 1
i
Residential Collection
050 2209 53110 01 Full Time Regular 428426 412462 455720 425895
050 2209 53110 05 Longevity 4399 4432 4980 4680
050 2209 53112 01 Full Time Regular OT 10076 10869 10000 10000 1
050 2209 53114 01 FICA 25554 24471 26170 24575 1
050 2209 53114 03 Medicare 5976 5723 6120 5750 I
i
050 2209 53114 11 CERS Non Hazardous 60209 68876 78000 81640 A
050 2209 53114 17 Workers Compensation 23210 22010 17870 16235
1
050 2209 53114 19 Unemployment 124 364 2810 1280 1
050 2209 53114 21 Life Insurance 1775 1951 2145 2260
1
050 2209 53114 23 Cafeteria Flex Plan 110887 113152 126000 117000 i
050 2209 53116 40 Boot Allowance 2982 2408 3500 2925 1
105022095311645GymReimbursement60
I
Personal Services 673618 666778 733315 692240 1
050 2209 53120 01 Administrative 87000 87000 87000 87000
050 2209 53120 04 Landfill 329641 413517 330000 370000
LEVEL TEXT TEXT AMT
1 RES TONAGE PLUS TONAGE COLLECTED ON FREE DUMP DAY 370000
370000
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050 2209 53121 02 Liability 9841 9398 9400 11500
050 2209 53121 04 Property Damage 338 306 320 290
050 2209 53121 05 Vehicle 36747 38250 32565 29630
050 2209 53123 04 Laundry 5999 7205 6500 6000
050 2209 53123 06 Temporaries 3386
050 2209 53123 07 Other 662 1
Contractual Services 472952 556338 465785 504420
050 2209 53131 03 Fuel 66030 62377 76800 105400 1
LEVEL TEXT TEXT AMT
1 26350 GAL DIESEL @ 4105 400
I105
400
1 050 2209531 33 01 Fleet Charges109 61694 11990 00090
000 050 2209531 35 13 Field Operation Supplies 500
500 050 2209531 35 15 Grounds Maintenance 149 310
1 050 2209531 38 07 Education tuition reimb 254 500
250 LEVEL TEXT TEXT
AMT 1 TUITION
REIMBURSEMENT
i Commodities175 795157 060167 800196 150
1 050 2209531 40 07 Vehicle Heavy185 000140
000 LEVEL TEXT TEXT
AMT218
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1 REAR PACKER 140000
140000
050 2209 53142 12 Equipment Safety 442 213 1000 2000
LEVEL TEXT TEXT AMT
1 UPDATE EMPLOYEE SAFETY RAIN GEER 2000
2000
050 2209 53142 19 Equipment Other 20000 30000
LEVEL TEXT TEXT AMT
1 ROLL OUT REPLACEMENTS DOWNTOWN REFUSE CONTAINERS 30000
30000
Capital Outlay 442 213 206000 172000
Residential Collection 1322807 1380389 1572900 1564810
li
is
if
219
Fund 050 Solid Waste
Department 22 Engineering Public Works
Division 10 Commercial Collection
The Commercial Collection Division is responsible for the collection and disposal of
commercial solid waste materials contained in dumpsters
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 202194 198344 215030 213170
Contractuals 752963 729177 759130 756695
Commodities 143945 160021 172100 185500
Capital Outlay 3681 5002 36335 40600
1102783 1092544 1182595 1195965
Funded Staffing Level 3 4 4 4
DIVISION OUTPUTS
Commercial collection
FY2012 OBJECTIVES
Evaluate routes for maximized efficiency
Review operational efficiency to ensure effective safe operations
220
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY 1
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
i
Commercial Collection
050 2210 53110 01 Full Time Regular 130417 127717 129460 130755 I
050 2210 53110 05 Longevity 1242 1371 1260 1440
050 2210 53112 01 Full Time Regular OT 8488 5175 8000 3500
050 2210 53114 01 FICA 8030 7653 7490 7055
050 2210 53114 03 Medicare 1878 1790 1750 1650
t
050 2210 53114 11 CERS Non Hazardous 19043 21595 22135 25065 a
s
050 2210 53114 17 Workers Compensation 5125 6615 5180 5215
050 2210 53114 19 Unemployment 39 115 800 395 1
050 2210 53114 21 Life Insurance 510 559 615 715 1
050 2210 53114 23 Cafeteria Flex Plan 26749 24575 36000 36000 i
050 2210 53116 40 Boot Allowance 673 939 900 900
050 2210 53116 45 Gym Reimbursement 240 1440 480 1
Personal Services 202194 198344 215030 213170 j
050 2210 53120 01 Administrative 29000 29000 29000 29000 J
4
050 2210 53120 04 Landfill 691794 670415 700000 690000
050 2210 53121 02 Liability 8979 10238 10240 8690 1
050 2210 53121 05 Vehicle 21380 17820 17890 25505
050 2210 53123 04 Laundry 1460 1704 2000 2000 4
050 2210 53123 07 Other 1000
i
LEVEL TEXT TEXT AMT 0
1 FESTIVAL EVENT SUPPORT EXPENSES 1000
1000
050 2210 53124 01 Rental Equipment 350 500 11I
Contractual Services 752963 729177 759130 756695 j
050 2210 53131 03 Fuel 58963 59804 71100 94000 J
I
LEVEL TEXT TEXT AMT I
1 23500 GAL DIESEL 4 94000 t
94000
1
050 2210 53133 01 Fleet Charges 84445 99595 100000 90000 I
050 2210 53135 13 Field Operation Supplies 500 1000
050 2210 53135 15 Grounds Maintenance 176 290
050 2210 53137 01 Electricity 361 332 500 500 1
Commodities 143945 160021 172100 185500
050 2210 53142 12 Equipment Safety 200 500 600 I
t
LEVEL TEXT TEXT AMT
1 UPDATE EMPLOYEE SATEFY RAIN GEER 600 I
600
f
050 2210 53142 19 Equipment Other 3681 4802 35835 40000
221
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
LEVEL TEXT TEXT AMT
1 PURCHASE UPDATE COMMERCIAL DUMPSTER CONTAINERS 40000
40000
Capital Outlay 3681 5002 36335 40600
Commercial Collection 1102783 1092544 1182595 1195965
G
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222
Fund 050 Solid Waste
Department 22 Engineering Public Works
Division 11 Composting Recycling
The compost facility will provide composting programs to meet federal and state targeted
goals of 25 reduction in the solid waste stream per Senate Bill 2 This facility will
continue to operate a biosolids composting facility by using yard waste collected and
combining it with biosolids from the wastewater treatment plant
is
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 116788 119410 122165 123625
Contractuals 184497 100173 97480 95030
Commodities 92111 41293 143500 103500
Capital Outlay
393396 260876 363145 322155
Funded Staffing Level 2 2 2 2
DIVISION OUTPUTS
Produce high quality composted biosolids products
FY2012 OBJECTIVES
223
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY r
WORKSHEET DRAFTEXP FISCAL YEAR 2012
i
r
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 20092010 20102011 20112012
Composting Recycling
050 2211 53110 01 Full Time Regular 71429 74633 75330 76050
050 2211 53110 05 Longevity 977 1123 1140 1260
050 2211 53112 01 Full Time Regular OT 7500 3610 5000 4000
050 2211 53114 01 FICA 4693 4633 4445 4510
1
050 2211 53114 03 Medicare 1098 1084 1040 1055
050 2211 53114 11 CERS Non Hazardous 10858 12826 12950 14660
050 2211 53114 17 Workers Compensation 3735 3765 3030 3050 4
050 2211 53114 19 Unemployment 22 68 470 230 i
050 2211 53114 21 Life Insurance 234 293 310 360 1
050 2211 53114 23 Cafeteria Flex Plan 15793 17000 18000 18000
050 2211 53116 40 Boot Allowance 449 375 450 450
1a
Personal Services 116788 119410 122165 123625
050 2211 53120 01 Administrative 5800 5800 5800 5800
3
050 2211 53121 02 Liability 2829 2303 2305 2825
050 2211 53121 04 Property Damage 720 653 675 605
050 2211 53123 04 Laundry 571 671 700 800
050 2211 53123 06 Temporaries 9632 13384 12000 8000
050 2211 53123 07 Other 4445 4891 6000 7000 1
4
LEVEL TEXT TEXT AMT 1
1 BIO HEAVY METALS TESTING ENVIRONMENTAL TESTING 7000 L
7000 It
050 2211 53124 01 Rental Equipment 160500 72471 70000 70000
1
LEVEL TEXT TEXT AMT
1 TUB GRINDER 70000
70000
I
Contractual Services 184497 100173 97480 95030
050 2211 53131 03 Fuel 25697 22274 25000 25000
LEVEL TEXT TEXT AMT 1j
1 BULK LOCAL DELIVERY 25000
25000 Is
050 2211 53133 01 Fleet Charges 62481 16090 25000 30000
050 2211 53133 05 Property Plant 19 90000 45000
LEVEL TEXT TEXT AMT
1 CONT EXPANSION OF COMPOST YARD PURCHASE PROP 45000
45000
050 2211 53135 13 Field Operation Supplies 140 500 500
050 2211 53135 15 Grounds Maintenance 456 376
224
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012 1
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
050 2211 53137 01 Electricity 1951 1326 2000 2000
050 2211 53137 07 Water 1526 1068 1000 1000
Commodities 92111 41293 143500 103500
Composting Recycling 393396 260876 363145 322155
j
i
33
I
225
Fund 050 Solid Waste
Department 22 Engineering Public Works
f
Division 12 Bulk Brush Leaf
This division will provide for the collection of separated green waste to include tree
limbs bagged grass clippings bagged leaves and brush It will establish an economical
and effective method of collecting and disposing of white goods furniture and green
waste at or below competitive market rates
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 251392 212522 165225 168230
Contractuals 187767 114373 126870 93335
Commodities 131927 31489 48400 39400
Capital Outlay 500 500
571086 358384 340995 301465
Funded Staffing Level 4 4 3 3
is
DIVISION OUTPUTS
Bulk brush and leaf collection
FY2012 OBJECTIVES
Review operational efficiency to ensure effective safe operations
Raise pay pile rates to recover tipping fee rate increases
226
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
1
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012 1
Bulk Brush Leaf
050 2212 53110 01 Full Time Regular 158424 132371 102980 103990 1
050 2212 53110 05 Longevity 1178 1283 780 900
050 2212 53112 01 Full Time Regular OT 9067 2590 3000 3000
050 2212 53114 01 FICA 9935 8032 6070 6095
050 2212 53114 03 Medicare 2323 1878 1420 1425
050 2212 53114 11 CERS Non Hazardous 22896 22017 17570 19890
050 2212 53114 17 Workers Compensation 6550 6265 3675 3925
050 2212 53114 19 Unemployment 47 116 635 315
050 2212 53114 21 Life Insurance 510 561 460 535
050 2212 53114 23 Cafeteria Flex Plan 40015 36300 27000 27000
050 2212 53116 40 Boot Allowance 447 749 675 675 i
050 2212 53116 45 Gym Reimbursement 360 960 480
Personal Services 251392 212522 165225 168230
050 2212 53120 01 Administrative 35000 35000 35000 35000
050 2212 53120 04 Landfill 115591 67634 70000 50000
050 2212 53121 02 Liability 4591 3712 3715 2810
050 2212 53121 05 Vehicle 6595 6697 6755 3925
050 2212 53123 04 Laundry 1867 1330 1400 1600
050 2212 53123 06 Temporaries 24123 10000
Contractual Services 187767 114373 126870 93335
050 2212 53131 03 Fuel 19318 15268 23400 14400
LEVEL TEXT TEXT AMT
1 3600 GAL DIESEL 4 14400
14400
050 2212 53133 01 Fleet Charges 26080 16221 25000 25000
050 2212 53135 15 Grounds Maintenance 86529
Commodities 131927 31489 48400 39400
050 2212 53142 12 Equipment Safety 500 500
LEVEL TEXT TEXT AMT
1 UPDATE EMPLOYEE SAFETY RAIN GEER 500
500
Capital Outlay 500 500
Bulk Brush Leaf 571086 358384 340995 301465
227
Fund 050 Solid Waste
Department 22 Engineering Public Works
Division 13 Landfill
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 37475 43441 40000 40000
Commodities
Capital Outlay
37475 43441 40000 40000
is
228
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Landfill
050 2213 53123 07 Other 37475 43441 40000 40000
LEVEL TEXT TEXT AMT
1 GROUND WATER TREATED BY JSA TREATMENT PLANT 40000
40000
Contractual Services 37475 43441 40000 40000
Landfill 37475 43441 40000 40000
Engineering Public Works 4097426 3797096 4132255 4136270
1
4
I
i
II
229
is
Fund 050 Solid Waste
Department 99 Interfund Transfers
Division 99 Interfund Transfers
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals
Commodities
Capital Outlay
Interfund Transfers 240000
0 0 0 240000
is
230
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY In
WORKSHEET DRAFTEXP FISCAL YEAR 2012 r
x
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1
Interfund Transfers
r
Interfund Transfers 1
050 9999 69990 01 General Fund 240000
i
LEVEL TEXT TEXT AMT
1 3 FTE STREET SWEEPERS 163500 1
BULK BRUSH PROGRAMMONDAYSPARTIAL EXP INCURRED 76500 1
240000 a
1
Interfund Transfers out 240000 1
Interfund Transfers 240000
Interfund Transfers 240000
SOLID WASTE 4097426 3797096 4132255 4376270 1
231
CIVIC CENTER FUND
The Civic Center Fund is used to account for the operation of the Civic Center in a
manner similar to private business The intent of the City of Paducah is that the cost of
providing services to the general public on a continuing basis be financed primarily
through user charges
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
CIVIC CENTER
062 0000 44001 00 Rental Income 38577 32455 32000 32000
1
Property Rent Sales 38577 32455 32000 32000
062 0000 46005 00 Interest on Checking 4 16
Interest Income 4 16
062 0000 49990 01 General Fund 25108 22726 45515 43355
LEVEL TEXT TEXT AMT
1 GENERAL FUND USAGE FEES 18000 y
GENERAL FUND SUBSIDY 25355
43355
Interfund Transfers 25108 22726 45515 43355
CIVIC CENTER 63689 55165 77515 75355
1
is
F
232
i
r
Fund 062 Civic Center
Department 24 Parks Services
Division 03 Civic Center
g
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 25238 23531 36015 36050
Commodities 39664 35511 41500 39305
Capital Outlay
Depreciation Amort 10790 10495 10200 10400
Interfund Transfers
75692 69537 87715 85755
is
1
is
j
233
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY Ls
WORKSHEET DRAFTEXP FISCAL YEAR 2012 j
I
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
CIVIC CENTER 3
Parks Services
Civic Center
062 2403 53420 02 Audit 250 250 250 250
062 2403 53421 02 Liability 568 596 600 645
062 2403 53421 04 Property Damage 2141 1939 2000 1810 1
062 2403 53423 07 Other 22279 20746 33165 33345
a
LEVEL TEXT TEXT AMT Ix
ld
1 175 RENTALS 17750 31065
3 FLOOR WAXES 760 2280
33345
Contractual Services 25238 23531 36015 36050
062 2403 53433 05 Property Plant 5333 3352 7500 7500
062 2403 53435 19 Janitorial 2737 2815 2780 2780
LEVEL TEXT TEXT AMT
1 RUG RENTALS 12 65 MONTH 780
SUPPLIES 2000 pp
2780 1
Ii
1
062 2403 53437 01 Electricity 23287 20689 20500 20000
062 2403 53437 03 Natural Gas 4564 3128 4500 3500 I
f
062 2403 53437 05 Telephone 5 5 700 5
062 2403 53437 07 Water 738 852 850 850
062 2403 53437 11 Refuse 3000 4670 4670 4670
Commodities 39664 35511 41500 39305 I
062 2403 53460 10 Depreciation 10790 10495 10200 10400
4
Depreciation Amortizatio 10790 10495 10200 10400
Civic Center 75692 69537 87715 85755
i
Parks Services 75692 69537 87715 85755
L
CIVIC CENTER 75692 69537 87715 85755 i
i4
234
1
Ij
RENTAL PROPERTY FUND
The Rental Property Fund is used to account for the Citys major rental properties in a
manner similar to private business The intent of the City of Paducah is to account for all
manner of financial transactions associated with Cityowned rental property I
L
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
RENTAL PROPERTY FUND
063 0000 44006 00 SCI Lease Income 60123 60123 60120 60120
LEVEL TEXT TEXT AMT
1 SCI 5010 MONTH 60120
60120
063 0000 44007 00 Probation Parole 75279 75279 39065 39065
LEVEL TEXT TEXT AMT
1 PROBATION PAROLE 325540 MONTH 39065
39065
063 0000 44012 00 James Marine 2700 2700 2700 2700
LEVEL TEXT TEXT AMT
1 JAMES MARINE 225 MONTH 2700
2700
Property Rent Sales 138102 138102 101885 101885
063 0000 49990 01 General Fund 76047 10269
Interfund Transfers 76047 10269
RENTAL PROPERTY FUND 214149 148371 101885 101885
I
cc
It
235
Fund 063 Rental Property
Department
Division
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 15950 14831 14470 13335
Commodities 42473 19875 19250 17690
Capital Outlay
Interfund Transfers 154943 114792 84380 70860
213366 149498 118100 101885
is
236
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
RENTAL PROPERTY FUND
Finance
Rental Property
063 0211 54221 02 Liability 953 1000 1000 250
063 0211 54221 04 Property Damage 14801 13416 13220 13085
LEVEL TEXT TEXT AMT
1 SEAMANS CHURCH INSTITUTE BUILDING 3760
RIVER HERITAGE MUSEUM 2900
MARKET HOUSE THEATRE 1935
OLD FLORIST BUILDING RR MUSEUM 1475
PROBATION PAROLE JUVENILE JUSTICE 1065
WC YOUNG 815
COLUMBIA THEATRE BUILDING 780
GPS BUILDING 1508 8TH ST 355
13085
063 0211 54223 07 Other 196 415 250
Contractual Services 15950 14831 14470 13335
063 0211 54233 05 Property Plant 28796 6242 6000 4000
063 0211 54237 01 Electricity 8394 10095 9000 9490
LEVEL TEXT TEXT AMT
1 PROBATION PAROLE FACILITY ELECTRICITY 9000
9000
063 0211 54237 03 Natural Gas 3869 3027 3750 3500
LEVEL TEXT TEXT AMT
1 PROBATION PAROLE BUILDING NATURAL GAS 3500 fi
3500 It
063 0211 54237 07 Water 1414 511 500 700
Commodities 42473 19875 19250 17690 i
Rental Property 58423 34706 33720 31025
Finance 58423 34706 33720 31025 Cr
is
237
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted a
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Interfund Transfers
Interfund Transfers
063 9999 69990 01 General Fund 109943 114792 84380 70860
063 9999 69990 40 Capital Projects Fund 45000
Interfund Transfers out 154943 114792 84380 70860
Interfund Transfers 154943 114792 84380 70860
Interfund Transfers 154943 114792 84380 70860
RENTAL PROPERTY FUND 213366 149498 118100 101885
1
3
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II
238
RADIO DEPRECIATION OPERATION FUND
The Radio Depreciation Operation Fund is used to account for the cost of operating the
Citys 800 MHz radio system in a manner similar to private business The intent of the
City of Paducah is that the cost of providing services on a continuing basis be financed
primarily through user charges
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1
RADIO DEPRECIATION OPER
064 0000 44001 00 Rental Income 106852 108326 106310 98935
1
LEVEL TEXT TEXT AMT t
1 RADIOS MDTS
3
PATS 27
4
PPS 1
PWW 5
LOURDES 2
AIRPORT 23
MERCY REG 18
PAD SCHOOL 2 f
COUNTY SCHOOLS 4
CONCORD FIRE 1
JSA 41 1084MO 5335
USEC 22 272MO 720
COUNTY 252 1084 MO 32780
CITY 393 69 1084 MO 60100
TOTALS 791 69 11
98935 r
L
064 0000 44008 00 Cingular Wire tower 17820 17820 17820 17820 r
Ix
LEVEL TEXT TEXT AMT
1 TOWER RENT1485 MONTH 17820
17820
Property Rent Sales 124672 126146 124130 116755
11
11
064 0000 46001 00 Interest on Investments 19079 5300 2500
064 0000 46005 00 Interest on Checking 1272 256 100 2700
Interest Income 20351 5556 2600 2700 t
064 0000 48101 00 Miscellaneous Other 2550 i
Other Fees 2550 4I
064 0000 49990 01 General Fund 12194 1645
ri
Interfund Transfers 12194 1645
RADIO DEPRECIATION OPER 157217 135897 126730 119455
239
Fund 064 Radio Depreciation Operation
Department 02 Finance
Division 14 Radio Depreciation Operation
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 23429 25733 49335 45525 1
Commodities 1
Capital Outlay 429726 25000 5000 i
23429 455459 74335 50525
l
1t
I
240
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012 r
1
Actual Actual Revised Adopted
1
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
s
RADIO DEPRECIATION OPER I
Finance 1
i
Radio Depreciation Oper
064 0214 54220 01 Administrative 5000 5000 6000 12000
1
LEVEL TEXT TEXT AMT
1 ACCOUNTING BILLING SERVICES 12000 1
12000
064 0214 54220 02 Audit 500 500 500 500
064 0214 54221 02 Liability 567 428 430 550
064 0214 54221 04 Property Damage 518 1955 1255 1165 3
3
LEVEL TEXT TEXT AMT 9
1 800 MHZ TOWER
064 0214 54222 06 Communication Equipment 16844 16844 16150 30310
LEVEL TEXT TEXT AMT
1 MOTOROLA MAINTENANCE ON BACKBONE
DOE MSF5000 STATION 3
064 0214 54223 07 Other 1006 25000 1000
4
Contractual Services 23429 25733 49335 45525
064 0214 54242 13 Equipment Communication 429726 25000 5000
Capital Outlay 429726 25000 5000 r
Radio Depreciation Oper 23429 455459 74335 50525
Finance 23429 455459 74335 50525
RADIO DEPRECIATION OPER 23429 455459 74335 50525
U
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I
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r
241
f
E
FLEET MAINTENANCE FUND
The Fleet Maintenance Fund is used to account for the financing of goods or services
provided by one department or agency to other departments or agencies of the
government and to other government units on a cost reimbursement basis
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
FLEET MAINTENANCE
070 0000 44105 00 Sale of Assets 2812 4918 2100
Property Rent Sales 2812 4918 2100
070 0000 46005 00 Interest on Checking 1854 334 500
i
Interest Income 1854 334 500
070 0000 47001 01 Labor Charges 390340 285486 285000 271000
070 0000 47001 05 Parts Materials 79247 75028 60000 68000
070 0000 47001 06 External parts 10115 7620 10000 9000
070 0000 47001 18 Fuel Surcharge 19471 18581 21000 21000
Internal Service Revenues 499173 386715 376000 369000
070 0000 48101 00 Miscellaneous Other 912 2759 750 1500
Other Fees 912 2759 750 1500
070 0000 49990 01 General Fund 145080 144920
LEVEL TEXT TEXT AMT
1 COST OF CONVENIENCE SUBSIDY 144920
144920
Interfund Transfers 145080 144920
FLEET MAINTENANCE 504751 394726 522330 517520
I
IIil
242
ff
Fund 070 Fleet Maintenance
Department 22 Engineering Public Works
Division 15 Fleet Maintenance
This division strives to establish efficient and effective delivery of City fleet services by
providing customers with safe reliable economical and environmentally sound
transportation and related support services that are responsible to the needs of the
customer departments and that conserve vehicle value and equipment investment
Ia
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 359282 440417 404900 399075
Contractuals 67896 58518 47555 43580
Commodities 54189 63819 61925 58315
Capital Outlay 8965 6961 7500 8750
Depreciation Amort 6612 10264 8000 7800
496944 579979 529880 517520
Funded Staffing Level 6 8 65 65
DIVISION OUTPUTS
Maintenance and repair of all City vehicles including police and fire vehicles
solid waste trucks heavy equipment and lawn maintenance equipment
Oversee purchase of all vehicles equipment
Facilitate City auction of used equipment vehicles and various other surplus
items
FY2012 OBJECTIVES
Review rate fees and adjust as necessary
Perform preventative maintenance according to schedule
Meet service and performance requirements at sustainable costs
Average turn around time for 75 of repairs from time of breakdown will not
exceed one week
243
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
FLEET MAINTENANCE 4
Engineering Public Works
Fleet Maintenance
070 2215 54110 01 Full Time Regular 227071 291033 261770 264385
070 2215 54110 05 Longevity 1951 3216 3090 3360
070 2215 54110 07 Leave expense 19082 3166
070 2215 54112 01 Full Time Regular OT 9871 7210 7500 6000
070 2215 54114 01 FICA 13957 17410 15120 15150
070 2215 54114 03 Medicare 3264 4072 3540 3545
070 2215 54114 11 CERS Non Hazardous 32349 48661 44885 50810
070 2215 54114 17 Workers Compensation 7545 9269 5860 5900
070 2215 54114 19 Unemployment 67 257 1615 795
070 2215 54114 21 Life Insurance 755 904 830 965
070 2215 54114 23 Cafeteria Flex Plan 41875 53656 58500 46500 4
070 2215 54116 10 Clothing Allowance 600 300
070 2215 54116 40 Boot Allowance 1495 1383 1350 1125
070 2215 54116 45 Gym Reimbursement 180 240 240
Personal Services 359282 440417 404900 399075
070 2215 54120 01 Administrative 43900 20000 20000 20000
070 2215 54121 02 Liability 3536 4535 4535 3910
070 2215 54121 04 Property Damage 2338 2119 2185 2015
070 2215 54121 05 Vehicle 3429 14110 4615 4255
070 2215 54122 02 Computer Software 5110 5314 7415 7500
LEVEL TEXT TEXT AMT
1 HTE FLEET MANAGEMENT 5310
SHOP KEY
OTHER 2190
7500
070 2215 54122 03 Copiers 150 200 400
070 2215 54122 06 Communication Equipment 2067 1936 1805
LEVEL TEXT TEXT AMT
1 10 RADIOS 1084 MONTH
MOTOROLA MA
070 2215 54123 04 Laundry 4426 5418 5800 4500
070 2215 54123 07 Other 3280 31 500 500
070 2215 54123 23 Over Long Account 190 4905 500 500
Contractual Services 67896 58518 47555 43580
070 2215 54131 03 Fuel 3957 3815 4680 5720
LEVEL TEXT TEXT AMT
1 1430 GAL GASOLINE 4 5720 i
5720
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WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted x
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
070 2215 54133 01 Fleet Charges 3117 4697 6000 6500
070 2215 54133 05 Property Plant 3427 13032 7500 7500
070 2215 54135 01 Garage Default 1336 5271
070 2215 54135 03 Office 992 1101 1200 905
070 2215 54135 11 Shop 15308 14786 18000 15000 1
070 2215 54137 01 Electricity 9116 7982 9000 9000
070 2215 54137 03 Natural Gas 6893 4026 7000 3500
070 2215 54137 05 Telephone 1574 2691 2195 2540 1
LEVEL TEXT TEXT AMT
1 CELL PHONES 50 480 YR 240 t
PHONE LINES FEE TISA 3 1650 MONTH 590
a
NETWORK ACCESS TISA 4 800 MONTH 380
AT T MOBILITY 1200
OTHER 130 1
2540
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1
070 2215 54137 07 Water 1604 3550 1750 1650
070 2215 54138 01 Training Travel 4944 1494 3000 5000 ja
LEVEL TEXT TEXT AMT
1 CONT EDUC FLEET SUPERVISORY MECHANICS CERTIFIC 5000 3
5000
070 2215 54138 05 DuesMbrshipsBooks Subs 948 1102 1000 1000
070 2215 54139 01 Advertisement 927 219 500
070 2215 54139 05 Postage 46 53 100
Commodities 54189 63819 61925 58315
070 2215 54142 11 Computer Software 2027 1488
070 2215 54142 12 Equipment Safety 432 462 500 750
LEVEL TEXT TEXT AMT
1 UPDATING EMPLOYEE SAFETY RAIN GEER 750
750
070 2215 54142 19 Equipment Other 6506 5011 7000 8000
Capital Outlay 8965 6961 7500 8750
070 2215 54160 10 Depreciation 6612 10264 8000 7800
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Depreciation Amortizatio 6612 10264 8000 7800
Fleet Maintenance 496944 579979 529880 517520
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Engineering Public Works 496944 579979 529880 517520
FLEET MAINTENANCE 496944 579979 529880 517520
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FLEET LEASE TRUST FUND
The Fleet Lease Trust Fund is used to account for the financing of vehicle acquisitions
provided by one department or agency to other departments or agencies of the
government and to other government units on a cost reimbursement basis
Ir
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
FLEET LEASE TRUST FUND
071 0000 44002 00 Vehicle Lease 779567 766962 821800 759775
LEVEL TEXT TEXT AMT
1 VEHICLES IN THE FLEET LEASE TRUST PLAN 489775
8TH YEAR OF FIRE TRUCK SET ASIDE PROGRAM 270000
759775
071 0000 44105 00 Sale of Assets 70126 59702 50000 50000
Property Rent Sales 849693 826664 871800 809775
071 0000 46001 00 Interest on Investments 95763 40963 45000 15000
071 0000 46005 00 Interest on Checking 12934 9671 5000 18000
Interest Income 108697 50634 50000 33000
071 0000 49990 01 General Fund 90000 20000
1
Interfund Transfers 90000 20000
FLEET LEASE TRUST FUND 1048390 897298 921800 842775
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Fund 071 Fleet Lease Trust
Department 02 Finance
Division 10 Fleet Lease Trust
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 7147 6900 13500 25600
Commodities
Capital Outlay 1089000 103000
Depreciation Amort 469190 503550 500000
Interfund Transfers
476337 510450 1602500 128600
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
4WORKSHEETDRAFTEXPFISCALYEAR2012r
f
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
FLEET LEASE TRUST FUND
Finance
t
Fleet Lease Trust
071 0210 54220 01 Administrative 5897 5400 12000 24000
1
LEVEL TEXT TEXT AMT
1 ACCOUNTING BILLING SERVICES 24000
24000
I
1
071 0210 54220 02 Audit 1250 1500 1500 1600
Contractual Services 7147 6900 13500 25600 i
071 0210 54240 05 Vehicles 1089000 103000
LEVEL TEXT TEXT AMT
1 FLOODWALL 1 34 TON 4X4 4X4 PU 43000
PARKS SERVICES 1 JD TRACTOR 48HP 28000
1 JD TRACTOR 48HP W SICK 32000 E
103000 F
riiCapitalOutlay1089000103000ii
071 0210 54260 10 Depreciation 469190 503550 500000
Depreciation Amortizatio 469190 503550 500000
Fleet Lease Trust 476337 510450 1602500 128600
l
Finance 476337 510450 1602500 128600 f
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FLEET LEASE TRUST FUND 476337 510450 1602500 128600 Li
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ti
INSURANCE FUND
is
The Insurance Fund is used to account for the costs associated with the Citys liability
insurance activities The intent of the City of Paducah is that the cost of providing
insurance coverages on a continuing basis be financed primarily through user charges
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
INSURANCE FUND
072 0000 46001 00 Interest on Investments 1159
Interest Income 1159
107200004720101ClaimsSettlements37037
1
072 0000 47201 05 Cancel Refunds 42631 75723 25000
072 0000 47201 10 WC Insurance 402515 382775 304000 299020
072 0000 47201 15 Liability Insurance 233823 235593 245195 244560
072 0000 47201 20 Police Liability 68337 71410 67805 67500
072 0000 47201 25 Property Damage Insurance 108667 102959 102850 100295
072 0000 47201 30 Vehicle Insurance 219228 233841 211700 210280 1
Internal Service Revenues 1075201 1139338 956550 921655
072 0000 49990 01 General Fund 24839 8984 25000 20000
Interfund Transfers 24839 8984 25000 20000
INSURANCE FUND 1101199 1148322 981550 941655
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Fund 072 Insurance
Department 02 Finance
Division 08 Insurance Fund
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 1061097 990675 985790 941335
Commodities 11377
Capital Outlay
1061097 1002052 985790 941335
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012 1
Actual Actual Revised Adopted I
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
1
i
INSURANCE FUND
Finance a
Insurance Fund
107202085422002Audit10001000100012001
072 0208 54221 01 Bonds 1728 471 500
072 0208 54221 02 Liability 238747 238017 245195 244560 1
072 0208 54221 03 Police Liability 69732 72131 67805 67500
072 0208 54221 04 Property Damage 110862 103693 102850 100295
072 0208 54221 05 Vehicle 231103 234334 211700 210280
072 0208 54221 06 Workers Compensation 331239 294978 286740 263000
072 0208 54223 14 Deductible WC 51847 37066 45000 36000
072 0208 54223 18 Deductible Gen PO Liab 21339 5428 15000 5000
072 0208 54223 19 Deductible Law Enf Liab 3500 3557 10000 13500
Contractual Services 1061097 990675 985790 941335
072 0208 54233 05 PropertyPlant 11377
Commodities 11377
Insurance Fund 1061097 1002052 985790 941335
Finance 1061097 1002052 985790 941335
INSURANCE FUND 1061097 1002052 985790 941335
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HEALTH INSURANCE CAFETERIA FUND
The Health Insurance Fund is used to account for the costs associated with the Citys
health insurance activities The intent of the City of Paducah is that the cost of providing
insurance coverages on a continuing basis be financed primarily through user charges
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
HEALTH INSURANCE CAFETERI
073 0000 47201 05 Cancel Refunds 549305 350359 75000 175000
LEVEL TEXT TEXT AMT
1 STOPLOSS SUBROGATION RECOVERIES MISCELLANEOUS 175000
175000
073 0000 47201 35 Other JSA 279479 245589 250000 250000
LEVEL TEXT TEXT AMT
1 JSA PAYMENTS 22000 MONTH 250000
250000
ii
073 0000 47201 37 COBRA Payments 14758 21338 10000 10000
LEVEL TEXT TEXT AMT
1 COBRA PREMIUMS USADMIN 10000
10000 Is
073 0000 47201 50 City of Paducah 3036174 2984074 2996000 3049000
LEVEL TEXT TEXT AMT
1 ANTHEM BCBS DED PFPF PENSIONERS 2050MO 25000
CITY PAID BENEFIT 336 CITY E911 9000 YR 3024000
3049000
Internal Service Revenues 3879716 3601360 3331000 3484000
HEALTH INSURANCE CAFETERI 3879716 3601360 3331000 3484000
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Fund 073 Health Insurance Cafeteria
Department 02 Finance
Division 08 Insurance Fund
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 3826996 3654575 3331000 3102405
Commodities
Capital Outlay
3826996 3654575 3331000 3102405
it
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
HEALTH INSURANCE CAFETERI
Finance
Insurance Fund
073 0208 54220 01 Administrative 5400 309814 330800 280200
LEVEL TEXT TEXT AMT
1 ACCOUNTING SERVICES 1000 MONTH GEN FUND 12000
ANTHEM ADMIN
CLAIM PROCESSING ON LINE ACCESS 115745
STOP LOSS INDIVIDUAL 108780
STOP LOSS AGGREGATE 13210
JSA SRVC FEES 23865
FEBCO ADMIN EMPLOYEE SRVC FEES 550 MONTH 6600
280200
073 0208 54220 02 Audit 1500 1500 1600 1600
073 0208 54221 07 Claims Medical Dental 2702832 2783836 2500000 2250000
If
LEVEL TEXT TEXT AMT
1 MARCH 2011 PROJECTION FOR CYE CLAIMS 21M 2250000
2250000
073 0208 54221 08 Premiums Paid 49605
LEVEL TEXT TEXT AMT
1 AVESIS VISION EMPLOYEE SRVC FEES INCL JSA 16975 it
DELTA DENTAL ADMIN CLAIM PROCESSING FEE 7980
PFPF ANTHEM BCBS PREMIUMS 2054 MONTH 24650
49605
073 0208 54223 07 Other 111822 79507 60600 65000
LEVEL TEXT TEXT AMT
1 PEEL HOLLAND CONSULTANT CONTRACT 60000
OTHER 5000
65000
073 0208 54224 40 Medical Spending Accounts 1005442 479918 438000 456000
LEVEL TEXT TEXT AMT
1 HSA ACCOUNT DEPOSITS EMPLOYEE EMPLOYER 186000
HRA FSA ACCOUNT DEPOSITS EMPLOYEE EMPLOYER 270000
456000
Contractual Services 3826996 3654575 3331000 3102405
Insurance Fund 3826996 3654575 3331000 3102405
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Finance 3826996 3654575 3331000 3102405
HEALTH INSURANCE CAFETERI 3826996 3654575 3331000 3102405
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MAINTENANCE AND REHAB TRUST FUND
The Maintenance and Rehab Trust Fund is used to account for the Citys Commerce
Center facility property in a manner similar to private business The intent of the City of
Paducah is to account for all manner of financial transactions associated with Cityowned
rental property
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
MAINTENANCE REHAB TRUST
074 0000 44009 00 UPB Building Rent 8000 8000 8000 8000
LEVEL TEXT TEXT AMT
1 GPEDC 1000 QTR BASE MAINTENANCE RENT FEE 4000
CHAMBER OF COMMERCE 1000 QTR BASE RENT FEE 4000
8000
Property Rent Sales 8000 8000 8000 8000
074 0000 49990 01 General Fund 276
Interfund Transfers 276
MAINTENANCE REHAB TRUST 8000 8276 8000 8000
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Fund 074 Maintenance Rehab Trust
Department
Division
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BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services
Contractuals 4743 4352 4485 4200
Commodities 449 893 3515 3800
Capital Outlay
Interfund Transfers 3244 8388
8436 13633 8000 8000
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
MAINTENANCE REHAB TRUST
Finance
Rental Property
074 0211 54220 02 Audit 50 100 100 100
074 0211 54221 04 Property Damage 4693 4252 4385 4100
Contractual Services 4743 4352 4485 4200
074 0211 54233 05 Property Plant 449 893 3515 3800 fv
Commodities 449 893 3515 3800
Rental Property 5192 5245 8000 8000
Finance 5192 5245 8000 8000
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Interfund Transfers
Interfund Transfers
074 9999 69990 01 General Fund 3244 8388
Interfund Transfers out 3244 8388
Interfund Transfers 3244 8388
Interfund Transfers 3244 8388
MAINTENANCE REHAB TRUST 8436 13633 8000 8000
259
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1
APPOINTIVE EMPLOYEES PENSION FUND
The Appointive Employees Pension Fund AEPF is a trust fund used to account for
assets held by the City of Paducah as an agent for employees retiring prior to the City
joining the state retirement plan
is
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
APPOINTIVE EMP PENSION FD
076 0000 46001 00 Interest on Investments 6594 1854 1900 2000
076 0000 46005 00 Interest on Checking 194 304 100 2000
Interest Income 6788 2158 2000 4000
076 0000 48101 00 Miscellaneous Other 636
Other Fees 636
APPOINTIVE EMP PENSION FD 6788 2794 2000 4000
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Fund 076 Appointive Employees Pension
Department 46 Appointive Employees Pension Fund
Division 11 Pensions
y3
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 43242 43242 43500 35400
Contractuals 9194 7281 9355 7235
Commodities 38 43 50 50
Capital Outlay
52474 50566 52905 42685
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
1
li
Actual Actual Revised Adopted i
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012 t
x
APPOINTIVE EMP PENSION FD
Appointive Emp Pension Fd
Pensions
076 4611 55110 10 Pensions 43242 43242 43500 35400
s
Personal Services 43242 43242 43500 35400
076 4611 55120 02 Audit 200 350 350 400
076 4611 55121 01 Bonds 102 102 105 110
076 4611 55123 07 Other 8892 6829 8900 6725
LEVEL TEXT TEXT AMT
1 ACCOUNTING BILLING SERVICES 3600
FUNERAL ALLOWANCES @100 100
GASB STMT ACTUARY VALUATION REVIEW RPT YR 4 OF 5 2500
ADP 1099 QUARTER REPORTS DIRECT DEPOSIT CHARGES 525
1
6725
Contractual Services 9194 7281 9355 7235
076 4611 55139 05 Postage 38 43 50 50
Commodities 38 43 50 50
Pensions 52474 50566 52905 42685
Appointive Emp Pension Fd 52474 50566 52905 42685
APPOINTIVE EMP PENSION FD 52474 50566 52905 42685
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POLICE AND FIRE PENSION FUND
The Police and Fire Pension Fund PFPF is a trust fund used to account for assets held
by the City of Paducah as an agent for police and fire personnel retiring prior to the City
joining the state retirement plan or for police and fire personnel who elected not to join
the state plan
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
POLICE FIRE PENSION FD
077 0000 44105 00 Sale of Assets 1961452 720444 200000 300000
077 0000 44106 00 Appr Depr of FV of Instmt 143801 160094 150000 200000
Property Rent Sales 2105253 880538 350000 500000
077 0000 46001 00 Interest on Investments 281147 245812 200000 200000
077 0000 46005 00 Interest on Checking 102 863 500 800
Interest Income 281249 246675 200500 200800
077 0000 47701 01 Contribution Employer 4550 5170 4560 4690
077 0000 47701 05 Contribution Employee 4474 5075 4480 4610
Internal Service Revenues 9024 10245 9040 9300
077 0000 48101 00 Miscellaneous Other 2995 3574
Other Fees 2995 3574
077 0000 49990 01 General Fund 221507 460000 446300 380310
LEVEL TEXT TEXT AMT
1 GENERAL OBLIGATION BOND ISSUED IN FY2006
ELIMINATED THE PENSION FUNDS OUTSTANDING
UNFUNDED LIABILITY AT THAT TIME THEREFORE
NO FURTHER CITY LIABILITY OBLIGATION OTHER THAN
NORMAL COST FOR ACTIVE PARTICIPANTS STATUTORY
MINIMUM REQUIREMENT AS ESTIMATED BY BPSM 385000
LESS FUNDING ELSEWHERE IN FY2012 BUDGET 4690
380310
1
Interfund Transfers 221507 460000 446300 380310
POLICE FIRE PENSION FD 1590478 1601032 1005840 1090410
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Fund 077 Police Fire Pension
Department 47 Police Fire Pension Fund
Division 11 Pensions
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 1793820 1755944 1750300 1660000
Contractuals 64773 48801 24655 53210
Commodities 464 510 500 500
Capital Outlay
1859057 1805255 1775455 1713710
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
1
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
POLICE FIRE PENSION FD
Police Fire Pension Fd
Pensions
077 4711 55210 10 Pensions 1793820 1755944 1750300 1660000
LEVEL TEXT TEXT AMT
1 BASE PENSION FOR 78 PENSION RECIPIENTS COLA SET
BY PENSION BOARD PER KRS 1660000
1660000
Personal Services 1793820 1755944 1750300 1660000
077 4711 55220 02 Audit 330 3000 3100 3200
077 4711 55221 01 Bonds 102 102 105 110
077 4711 55223 05 Legal 250 250
077 4711 55223 07 Other 22949 18771 21200 22650
LEVEL TEXT TEXT AMT
1 ACCOUNTING BILLING SERVICES 7200
ADP 1099R QUARTER RPTS DIRECT DEPOSIT 4400
ACTUARY VALUATION REPORT BPSM 7300
GASB 2527 STMTS FOR AUDIT BPSM 2200
FUTURE PENSION PLAN FUNDING PROJECTIONS BPSM 750
OTHER SERVICES AS DIRECTED BY PENSION BOARD 800
22 650
I
077 4711 55224 02 Administration Cost 41392 26928 27000
1
Contractual Services 64773 48801 24655 53210 I
077 4711 55239 05 Postage 464 510 500 500
jrri
Commodities 464 510 500 500
Pensions 1859057 1805255 1775455 1713710
Police Fire Pension Fd 1859057 1805255 1775455 1713710
POLICE FIRE PENSION FD 1859057 1805255 1775455 1713710 L
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PADUCAH RENAISSANCE ALLIANCE
The Paducah Renaissance Alliance was formed in 2008 and combines the efforts and
activities of the Main Street Board Downtown Development and Lowertown Artist
Relocation Program
1
RUN DATE 061311 163142 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTREV FISCAL YEAR 2012
Actual Actual Revised Adopted 3
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
a
PRA FUND 1
080 0000 44120 00 Sale of Bricks 615 640 500 500
408000004412500AffordableArtShow700
t
080 0000 44145 00 Wall To Wall Merchandise 1187
t
4
Property Rent Sales 615 1827 500 1200
080 0000 46001 00 Interest on Investments 355 749 550
080 0000 46005 00 Interest on Checking 2397 578 75 500
080 0000 46010 00 Interest on Loan Program 32 113 100
Interest Income 2784 1440 725 500
080 0000 48101 00 Miscellaneous Other 93966 51999 20000 21300
080 0000 48140 00 Private Donations 3420 2655 15000
Other Fees 97386 54654 35000 21300
080 0000 49990 01 General Fund 55000 15000
080 0000 49990 04 Investment Fund 495700 235000 162500 200000
LEVEL TEXT TEXT AMT
1 INVESTMENT FUND SUBSIDY PRA 200000 i
200000
080 0000 49990 09 HUD Revolving Fund 60969
080 0000 49990 40 Capital Projects Fund 5000
f
Interfund Transfers 500700 350969 177500 200000
PRA FUND 601485 408890 213725 223000
11
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Fund 080 Paducah Renaissance Alliance 3
Department
Division
BUDGET SUMMARY
Program Expense Actual Actual Revised Adopted
2008 2009 2009 2010 2010 2011 2011 2012
Personal Services 300596 195
Contractuals 61848 97530 23365 21000
Commodities 167584 202894 260415 249000
Capital Outlay 788 5363 2380 3000
Interfund Transfers 23000 1500 r
530816 328982 287660 273000
267
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted z
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
r
9
PRA FUND
PRA
PRA
080 4411 59210 01 Full Time Regular 216845 1
108044115921002PartTimeRegular156
080 4411 59210 05 Longevity 81 2
080 4411 59212 01 Full Time Regular OT 818
080 4411 59214 01 FICA 13326 9
080 4411 59214 03 Medicare 3117 2
080 4411 59214 11 CERS Non Hazardous 22392 26
080 4411 59214 17 Workers Compensation 360 h08044115921419Unemployment63
080 4411 59214 21 Life Insurance 670
080 4411 59214 23 Cafeteria Flex Plan 36901
080 4411 59216 35 Automobile allowance 6023
I
Personal Services 300596 195 I
080 4411 59220 02 Audit 1325 1000 1500 1500
I
I
080 4411 59221 02 Liability 1374 2270 2270 2010 fd
080 4411 59221 04 Property Damage 95 105 90
080 4411 59223 03 Data Processing 953 1250 2100
li08044115922305Legal61921260
080 4411 59223 06 Temporaries 18351 4340 5000 j
080 4411 59223 07 Other 47106 56612 j
080 4411 59224 01 Rental Equipment 70 270 390 1000
080 4411 59224 09 Rent 11020 11490 11400 11400
Contractual Services 61848 97530 23365 21000
080 4411 59233 03 Equipment 172
080 4411 59233 05 Property Plant 134 4170
080 4411 59235 03 Office 5468 6393 3935 3000
I08044115923701Electricity4006464442504500
080 4411 59237 03 Natural Gas 1233 1306 1750 1500
080 4411 59237 05 Telephone 4187 4368 2955 3215
LEVEL TEXT TEXT AMT
1 PHONE LINES FEE TISA 6 1650 MONTH 1200
NETWORK ACCESS TISA 6 800 MONTH 575
CELL PHONE 3 480 YEAR 1440 I
3215 I
080 4411 59238 01 Training Travel 8742 16032 17000 7000
080 4411 59238 05 DuesMbrshipsBooks Subs 1142 1507 1650 1000
080 4411 59239 01 Advertisement 156155 95000
LEVEL TEXT TEXT AMT
1 DISTRICT WIDE MARKETING 50000
DOWNTOWN MARKETING
268
RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
LOWERTOWN MARKETING 15000
OTHER 30000
95000
080 4411 59239 05 Postage 1793 1380 1200 1500
080 4411 59239 09 Promotions 249 350
080 4411 59239 30 Events Projects 38348 22151 55430 63000
LEVEL TEXT TEXT AMT
1 LIVE ON BROADWAY 46000
LOWERTOWN BRUNCHES 4000
ARTIST IN RESIDENCE 10000
OTHER EVENTS 3000
63000
080 4411 59239 34 Economic Restructuring 28000
LEVEL TEXT TEXT AMT
1 RECRUITMENT
BUSINESS 15000
ARTISTS 11500
OTHER 1500
28000
080 4411 59239 35 Economic recruitment 102493 144730 11570 41285
It
LEVEL TEXT TEXT AMT
1 ARTIST RELOCATION PROGRAM 11500
DOWNTOWN LIVING INITIATIVE 11285
RETAIL FENCE PROGRAM 7500
RIVERS EDGE 5000
LOWERTOWN ARTIST MUSIC FESTIVAL 5000
TOM SAWYER DAY 1000
41285
Commodities 167584 202894 260415 249000
080 4411 59242 09 Computer Hardware 788 2813 2200 2500
li
080 4411 59242 17 Equipment Office 2550 180 500
Capital Outlay h88 5363 2380 3000
PRA 530816 305982 286160 273000
PRA 530816 305982 286160 273000
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RUN DATE 061311 145103 CITY OF PADUCAH KENTUCKY
WORKSHEET DRAFTEXP FISCAL YEAR 2012
Actual Actual Revised Adopted
ACCOUNT NUMBER ACCOUNT DESCRIPTION 2008 2009 2009 2010 2010 2011 2011 2012
Interfund Transfers
Interfund Transfers
080 9999 69990 01 General Fund 3000 1500
080 9999 69990 40 Capital Projects Fund 20000
Interfund Transfers out 23000 1500
Interfund Transfers 23000 1500
Interfund Transfers 23000 1500
PRA FUND 530816 328982 287660 273000
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STATISTICS
Run Date 5192011 220 PM Page 1
Outstanding Debt
Projected at Fiscal Year Ending June 30 2012
Projected
Balance Debt Service Payment FY2012 Funding Source FY2012 Balance
Debt Issue Issue Date Original Debt 6 30 2011 Principal Interest Total City Other Total 6 30 2012
M H Facility April 2011 250000 225000 25000 25000 25000 25000 200000
2011 MSU Facility Bonds 2011 175000 175000 175000 175000 0 175000 0
2010 Series taxable BABs March 2010 6645000 6370000 270000 271719 541719 446619 95100 541719 6100000
KACO Julian Carroll Cony April 2009 2500000 2370962 87003 110172 197175 197175 0 197175 2283959
2009 Series KLC March 2009 2800000 2564948 109738 59700 169438 169438 0 169438 2455210
2005 Series PFPF November 2005 6100000 5125000 230000 268035 498035 498035 0 498035 4895000
PADDEDA RLF IPW Spc bdg February 2005 100000 0 0 0 0 0 0 0 0
PACRO IPW Spec bldg February 2005 250000 0 0 0 0 0 0 0 0
2004 Series Infiniti MayJune 2004 5000000 3780000 205000 216875 421875 8038 413837 421875 3575000
2003 Series KLC June 2003 3500000 2358171 164441 46000 210441 210441 0 210441 2193730
2001 Series Cony Center June 2001 9929000 7040000 410000 174898 584898 34966 549932 584898 6630000
370740001 30009081 1676182 1147399 2823581 1764712 1058869 2823581 28332899
N Debt service equally shared with McCracken County amount shown is City share only GF 498035
1 Funded with County Bed Tax 2 any balance is split 3 ways between City County CVB IF 1266677
Debt service equally shared with McCracken County after Infiniti rental payments
Source as noted R FinanceBudgetDebtSummary of outstanding DEBT at FYExlsx @FYE 6 302012
MUNICIPAL ORDER NO 1617
A MUNICIPAL ORDER ACCEPTING THE FY2011 2012 FLEET
PLAN FOR THE CITY OF PADUCAH
BE IT ORDERED BY THE CITY OF PADUCAH KENTUCKY
SECTION 1 That the Board of Commissioners of the City of Paducah
Kentucky hereby accepts the Fle6t Plan for FY2011 2012 as attached hereto which was
developed by the Engineering Public Works Department
SECTION 2 This Order shall be in full force and effect from and after
the date of its adoption
II 1
ayor
ATTEST
JnkicL
Tammara S Brock City Clerk I
Adopted by the Board of Commissioners June 28 2011
Recorded by Tammara S Brock June 28 2011
moFleet Plan FY2011 2012
272
CITY OF PADUCAH KENTUCKY
FLEET MAINTENANCE PLAN FOR
FISCAL YEAR 2011 2012
Fleet Expenditures
Police Department 315000
Fire Department 550000
Parks Maintenance Div 64000
EPW Floodwall Div 43000
EPW Facility Maintenance Div 29000
EPWFleet Maintenance Div 0
TOTAL EXPENDITURES 1001000
Fleet Overall Changes
Department Arc In Out Change
Police Department 11 0 12 1
Fire Department 2 0 1 1
Parks Maintenance Div 2 0 3 1 I
EPW Floodwall Div 1 0 1 0
EPW Facility Maintenance Div 1 0 4 3
EPW Fleet Maintenance Div 0 1 1 0
TOTAL 17 1 22 4
273
Fleet Maintenance Plan
Fiscal Year 1112
Police Department
Veh Year Make Model Proposal Cost
In 2012 Pursuit Vehicle 26000
2012 Pursuit Vehicle 26000
2012 Pursuit Vehicle 26000
2012 Pursuit Vehicle 26000
2012 Pursuit Vehicle 26000
2012 Pursuit Vehicle 26000
2012 Pursuit Vehicle 26000
2012 Pursuit Vehicle 26000
2012 Pursuit Vehicle 26000
2012 Pursuit Vehicle 26000
2012 F550 whauler bed 55000
Out 990 2003 Ford Crown Vic Auction
936 2003 Ford Crown Vic Auction
905 2005 Ford Crown Vic Auction
931 2005 Ford Crown Vic Auction
939 2005 Ford Crown Vic Auction
901 2006 Ford Crown Vic Auction
948 2006 Ford Crown Vic Auction
938 2003 Ford Crown Vic Auction
903 2006 Ford Crown Vic Auction
941 2001 Jeep Auction
987 2001 Jeep Auction
929 1994 Dodge Van Auction
Vehicle s in the out section are subject to change
TOTAL COST TO FLEET FUND 31500000
ACQUISITIONS 11
TRANSFERS IN 0
DISPOSALS TRANSFERS OUT 12
CHANGE IN FLEET 1
274
Fleet Maintenance Plan
Fiscal Year 1112
Fire Department
Veh Year Make Model Proposal Cost
In 2012 Pumper Truck 425000 I
2012 12 Ton Rescue 125000
Out 1994 Pumper Auction
I
TOTAL COST TO FLEET FUND 550000
ACQUISITIONS 2 f
TRANSFERS IN 0
DISPOSALS TRANSFERS OUT 1
CHANGE IN FLEET 1
Note
The 112 Ton Rescue Vehicle was intended to be purchased In the 2010 2011
Fiscal Year
The Fire Truck expenditure is allocated by an annual funding plan
2 Vehicles were transferred out in accordance with the 2010 2011 Fiscal Year Plan I
with one vehicle being transferred out for the purchase of the new 112 Ton Rescue
Truck
275
Fleet Maintenance Plan
Fiscal Year 1112
Parks Maintenance Division
Veh Year Make Model Proposal Cost
In 2012 John Deere 48hp Tractor wloader 32000
2012 John Deere 48hp Tractor w sickle 32000
Out 329H 1987 Ford Tractor Auction
326H 1983 JD Tractor Auction
325H 1990 JD Tractor Auction
TOTAL COST TO FLEET FUND 6400000
ACQUISITIONS 2
TRANSFERS IN 0 I
DISPOSALSTRANSFERS OUT 3
CHANGE IN FLEET 1 I
276
Fleet Maintenance Plan
Fiscal Year 1112
EPW Floodwall Division
is
Veh Year Make Model Proposal Cost
In 2012 34 Ton Pickup 4x4 Diesel 43000
Out 192 1998 Pickup Auction
TOTAL COST TO FLEET FUND 4300000
is
ACQUISITIONS 1
TRANSFERS IN 0
DISPOSALS TRANSFERS OUT 1
CHANGE IN FLEET 0
277
Fleet Maintenance Plan
Fiscal Year 1112
EPW Facility Maintenance Division
Veh Year Make Model Proposal Cost
In 2012 2 Ton 4 door Pickup 29000
Out 301 1991 Pickup Auction
332 2001 Pickup Auction
825 1998 Pickup Auction
315 2005 Pickup Transfer to Fleet
TOTAL COST TO FLEET FUND 29000
is
ACQUISITIONS 1
TRANSFERS IN 0
DISPOSALS TRANSFERS OUT 4
CHANGE IN FLEET 3
278
Fleet Maintenance Plan
Fiscal Year 1112
EPW Fleet Maintenance Division
Veh Year Make Model Proposal Cost
In 315 2005 F250 Pickup Transfer In 0
Out 801 1990 F450 Service Truck Auction
TOTAL COST TO FLEET FUND 0
ACQUISITIONS 0
TRANSFERS IN 1
DISPOSALS TRANSFERS OUT 1
CHANGE IN FLEET 0
279
IL
LiEmployeeBudgetCensusii
FY2009 FY2010 FY2011 i 0
dArtipkIA57q 1doptedAdoptedAdoptedtij1
CC DepartmentDivsions 2008 2009 2009 2010 2010 2011 1 a
0102 MAYOR COMMISSION 5 5 5
0103 CITY MANAGER 4 4 4
0
Mails10 L
104 CITY CLERK 2 2 2
0105 LEGAL 1 1 1 j
TOTAL GEN GOVT 12 12 12 MININV4
0201 ADMINISTRATION 3 2 2 141111111 1
0202 ACCOUNTING BUDGET 5 4 4 1
0203 HUMAN RESOURCES 3 3 3 I
0205 REVENUE 6 5 5 LL11111
TOTAL FINANCE 17 14 14 I
Wt
NN
is
0301 PRDA 0 0 0 1
0501 INFORMATION TECHNOLOGY 4 6 fifilitantliniit 1
mittnammg
mullisso
0801 ADMINISTRATION 2 2 2 MISKINS4211
0802 CONSTRUCTION 5 4 4 leglinat
vgEsggfsm0803CODEENFORCEMENT545tiatiliming4 li
mingsgstO
0804 NEIGHBORHOOD REDEVELOPMT 1 0 0 0101111511310
TOTAL INSPECTION la 10 11 f li
31
1201 ADMINISTRATION 3 3 3 010114
1202 PLANNING 2 1 1
1203 GRANTS 2 2 2
1206 SECTION 8 3 3 3 t r
a
a
TOTAL PLANNING 10 9 2 2
1
1601 ADMINISTRATIVE SERVICES 11 9 4 4
1602 PATROL 65 64 65 64
1604 INVESTIGATIONS 17 17 21 2
TOTAL POLICE 93 D 0
1801 ADMINISTRATION 2 2 2 2
1802 SUPPRESSION 62 59 59 5
1803 PREVENTION 4 2 2 2
1804 TRAINING 1 1 1 1
TOTAL FIRE 69 64 64 645
280
i
1
Employee Budget Census
li
FY2009 FY2010 FY2011 IirMait
Adopted Adopted Adopted 1441161041111
CC DepartmentDivsions 2008 2009 2009 2010 2010 2011 2OEki 2
1I
monlippin I
2201 ADMINISTRATION 55 3 0 littinialig
2202 STREET MAINTENANCE 25 23 23 r2214DOWNTOWNLANDSCAPE41400 g
2216 MAINTENANCE 30 15 135
TOTAL EPW PUBLIC WORKS 645 55 365
2208 ADMINISTRATION 3 3 3 1
2209 RESIDENTIAL 15 14 14111111C
2210 COMMERCIAL 3 4 4 C
2211 COMPOST RECYCLING 2 2 2
2212 BULK BRUSH 4 4 3
TOTAL SOLID WASTE 27 S 11141P
3 Ct 13 5
2215 FLEET 6 8 1 iilt trioLA
S 3141129
2401 ADMINISTRATION 7 7 7 k44iy 41411
r till
2402 GROUNDS CEM moved from 2216 0 0 17 11
TOTAL PARKS SERVICES 2 Z 24 G
1
1 114
2101 flc1
3011 HUMAN RIGHTS 1 1 111111
1
3307 ENGINEERING 6 5 7 7 F
k
3308 FLOOD CONTROL 5 5 5z F
3309 GIS 2 0 0 r
TOTAL EPW ENGINEERING 13 10 12
3511 HUMAN RESOURCES formerly Rsk Mmgt 1 1 1 Ilaiirpe
4411 PRA 5 3 5
3
TOTAL FULL TIME POSITIONS 343 317 318
4
The above amounts include elected officials 5
Summary FY2009 FY2010 FY2011 FM 3
GENERAL FUND 310 282 2855
ENTERPRISE FUNDS 33 35 325 319
FULL TIME POSITIONS 343 a7 3 135
281