1994 Budget � Village of Oak Brook
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' 1994
' Municipal Budget
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1 VILLAGE OF OAK BROOK
'
1200 OAK BROOK ROAD
OAK BROOK, ILLINOIS 60521 -2255
Village President and 708 990-3000
Board of Trustees
Village of Oak Brook
' The final draft of the Budget for the fiscal year beginning January 1,
1994 and ending December 31, 1994 is hereby submitted. In accordance
with the Municipal Budget Act pursuant to Section 5/8-2-9.1 through
Section 5/9-2-9.10 of Chapter 65 of the Illinois Compiled Statutes,
this Budget was adopted by the Board of Trustees on December 14, 1993.
' Following are highlights of the Budget prepared by staff and modified
based on comments and changes submitted by the Board at its Budget
Workshop held on December 11, 1993.
Corporate Fund
REVENUE HIGHLIGHTS -
Sales Tax
' The 1994 Budget projects sales tax revenues of $9,800,000. This
projection is based on the actual results of the 1993 eight-month year
as well as the 3.6% inflation rate predicted by the Illinois Municipal
League.
This sales tax projection continues the upward trend the Village has
experienced in this revenue source in 1992 as well as 1993.
Utility Tax
Utility tax revenues in the 1994 Budget are projected at $1,595,000.
The projection reflects the rate reduction effective October 1, 1993
' which was passed by the Board of Trustees August 10, 1993 as well as
the estimated $381,000 impact of the Commonwealth Edison refund which
will take place from November, 1993 through October, 1994.
' Income Tax and Income Tax Surcharge
Income, Surcharge, Photo and Use Taxes totaling $493,400 are included
1 in the 1994 Budget. The State of Illinois will begin combining the
surcharge with the regular income taxes after June 30, 1994;
consequently, the surcharge revenue will no longer appear as a line
item on subsequent Village budgets.
Operating Transfers between Funds
The 1994 Budget includes a transfer of $275,000 from the Water Fund to
the Corporate Fund. This transfer is designed to cover the expenses of
administration rendered to the Water Fund.
A $398,750 transfer from the Corporate Fund to the Equipment
' Replacement Fund and a $1,196,250 transfer from the Corporate Fund to
the Infrastructure Funds have been included in the 1994 Budget.
The transfers reflect the Board of Trustees pledge to utilize all
' Utility Tax revenues for capital projects.
Licenses, Fees, Permits and Miscellaneous
' A new business license revenue item of $50,000 has been included in the
Corporate Fund Budget for 1994. There are no increases budgeted for
other sources of revenue.
EXPENDITURE HIGHLIGHTS
Salaries and Wages
Full-time salaries projected in the 1994 Budget reflect a 2.8% annual
' top-of-grade increase in accordance with the new Salary Administration
Plan.
Pension Costs
The 1994 Budget contains pension costs for employees covered by the
Illinois Municipal Retirement Fund at the rate of 9.17%. This rate
Lwill be effective through December 31, 1994.
Projected Village contributions for the Police Pension Fund have been
calculated at the rate of 14.5% of covered payroll. Projected Village
contributions for the Firefighters' Pension Fund have been calculated
at the rate of 21%.
' Contingency
' The Board of Trustees Budget contains a line item labeled "Contingency"
which has been set up to provide for unanticipated expenditures as well
as additional capital expenditures for various departments. $543,200
of capital items were requested but not given final approval by the
' Board during the budget process, and have been included in the
Contingency line item along with an additional amount for potential
salary and pension increases for union employees which may result from
the collective bargaining contract still in process.
Capital Equipment
Capital expenditures for the Corporate Fund are projected to total
$1,340,828 for 1994.
Infrastructure and Equipment Replacement
' In accordance with the Board of Trustees decision to fund future
infrastructure and equipment replacement needs, most of the general
government expenditures for these items have been budgeted in the
' Infrastructure Fund or the Capital Equipment Replacement Fund rather
than in the Corporate Fund for 1994.
Water Fund
REVENUE HIGHLIGHTS
Water Fund revenues contained in the 1994 Budget are projected to total
$4,439,561 based on the increase in water rates passed by the Board of
Trustees on December 14, 1993. The rate per 1,000 gallons was
increased from $2.30 to $2.75.
EXPENDITURE HIGHLIGHTS
' Total expenditures of $5,017,864 are contained in the 1994 Budget
including $2,738,500 for payments to the DuPage Water Commission for
operating expenses and fixed charges.
' The Water Fund Budget also includes $1,006,310 of capital projects for
1994.
Sports Core Fund
REVENUE HIGHLIGHTS
' The 1994 Sports Core Budget provides for fee increases in both Golf
memberships and greens fees. The Bath & Tennis Club Budget reflects
year-round operation of the food and beverage facility and monthly dues
for all permanent members. For the first time monthly minimum food and
beverage charges will be required from all Bath & Tennis Club members.
' A new category of membership has been added to the Bath & Tennis Club
for 1994 which provides for corporate memberships at the rate of
$200.00 each with a minimum monthly food and beverage charge of $150.
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EXPENDITURE HICHLIGHTS
Capital Items
$451,622 of capital repairs and replacements are included in the 1994
Sports Core Budget. Funding for $177,292 of lake repairs will be
derived from the Golf Surcharge funds generated in current and prior
years.
' Capital Equipment Replacement Fund
This fund, which was established in 1993, is designed to provide for
equipment replacement needs for general government operations. For
1994, $224,400 of capital equipment expenditures have been included in
the Budget.
' Infrastructure Fund
This fund, also established in 1993, is designed to provide for paving,
' drainage and bike trail projects in the Village. For 1994, $175,000
has been budgeted for bike trails, $1,482,000 for paving projects, and
$889,000 for drainage in this fund.
' Preparation of this document could not have been accomplished without
the cooperation and expertise of all Departments. Their efforts are
sincerely appreciated.
' Special thanks to the Finance Officer and his staff for their fine
efforts in preparation of the 1994 Budget. The professionalism
required of this document was certainly enhanced by their dedication
and expertise.
' Finally, our special thanks to the President and Board of Trustees for
their input on programs designed to enhance the quality of life for all
Village residents. The 1994 Budget process was truly a collaborative
' endeavor.
' Respectfully submitted,
&'."l
' Mar C. Powers
Vi l age Manager
' Budget Officer
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Village of Oak Brook
December 1993
Elected Officials
President
Trustees(6)
Clerk
Village Attorney Village Treasurer
Advisory Boards
&Commissions
Bath&Tennis
Electrical
Fire&Police
Golf
Hotel/Motel
Library
Plan
Safety Pathway
Zoning
Village Manager
Staff Services
Administrative Services Engineering Finance PurchasingiGranis
Operating Departments
Fire/inspection Library Police Public Works Sports Core
President and Board of Trustees
December 1993
Village President
Karen Bushy
Village Trustee
Garry Bartecki
William Kenny
Gerald McInerney
Lexi Payovich
Mack Shumate
Kelly Skinner
Clerk
December 1993
Village Clerk
Linda Gonnella
Deputy Clerk Records Management Clerk
Kathy McShane Grade 1
Linda Andrys
Management
December 1993
Village Manager
Grade 13
Margaret Powers
Assistant to Village Manager Executive Secretary
Grade 11 Grade 5
Vincent Long Margaret Rimbo
Secretary Receptionist Clerk/1'ypist
Grade 2 Grade 1 Grade I
Joyce Resh Deborah Murphy Mary Furcich(p.t.)
Leal.
December 1993
Village Attorney
Richard Martens
Secretary
Grade 2
Sandra Schmidt
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Purchasing & Grants
December 1993
Purchasing Director/Grants Coordinator
Grade 12
Bruce Kapff
Secretary
Grade 2
Saudra Schmidt
Finance
December 1993
Finance Officer
Grade 12
Darrell Langlois
Administrative Assistant Account ClerkAccounts Payable/Sports Core
Grade 7 Grade 3 Celeste Sekera(p.t.)
Nancy Pauley
Diane Bicek-Cashier
Marlene Hellwig-Personnel
Bart Kasper-Accowits Payable
Mara Kheyfets-Water Billing
Rita Labedz-Sports Core
Engineering
December 1993
Village Engineer
Grade 12
Dale Durfey
Secretary
Grade 2
Eileen Kulis
Civil Engineer II Civil Engineer I
Grade 10 Grade R
Raymond Drager Richard Vaiciulis
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Police
December 1993
Police Chief
Grade 12
James Fleming
Secretary
Grade 2
Peggy Whoriskey
Support Field
Lieutenant Lieutenant
Grade 11 Grade 11
Ronald Carlson Allen Pisarek
Investigation Communications/Records Crime Prevention Sergeant
Sergeant Sergeant Patrol Officer Grade 9
Grade 9 Grade 9 Union
William Haas William Cavalier Mary Jo Nugent
Alan Borkovec
Edward Caspers
Anthony Coniglio
Corrununity Service Officer Patrol Officer Marcus De Lise
Detective Communications Records Grade 3 Union Louis Hayes
Union Communications Operator Donald Shaw
Grade 2 Kathleen Olsen
Nancy Pisarek Jeffrey Areddt Randy Mucha
Michael King Diane Bucci Robin Ayler Robert Mudra
James Romani Tracy Caslin Parry Barras Norman Nemec
Z Michael Hall Robert Birdpll Robert Rail
Dean Harrison Records Clark Clerk Typist Casey Cal�ello Thomas Russell
Lisa Marcuccilli Grade 1 Grade 1 Jason Catr's Benjamin Savaglio
Gail Peterka Donald Jacobs Tamie Shuey
Patricia Shine Joan Sterba
Dale Walinski Alan Laat2 Susan Srch
Cassie Polivka(p.tJ Marianne VJillette(p.t.)
Roy Lancor Paul Stadwiser
Stephen Larson Martinus Vanheeswijk
Richard Leck John Verdeia
Brian Molloy Jeffrey Weber
Martin Zelisko
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Fire/Inspection Bureau/EMS
December 1993
Fire Chief/Building Commissioner
Grade 12
Robert Nielsen
Code Enforcement Fire
Director Captain
Grade 11 Grade I1
'Phomas Hawk
Secretary Clerk/Typist Charles DeWitt
Grade 2 Grade 1 Daryl Sittig
Sharon Johnson(p.t.) Charles Templin
Linda Lojewski
Gail Polanek
Secretary
Grade 2
Linda Ruiz
Plan Reviewer/Chief Building Inspector Fire Prevention/Inspection(p.t.)
Grade 9
Richard Arling
John Meyers Lieutenant
Francis Pine Grade 9
Building Inspector Thomas Stanfa
Konrad Wies James Bodony
Theodore Vassios Robert Cote
Joseph KovarikFirefighter Paramedic/Firefighter
Anthony Stevens(p.t.) Arthur Mager Grade 7 Grade 7
Daryl Sittig(p.t.) John Meyers
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Elevator inspection(contract) Francis Pine Mark Bahnsen
Plumbing Inspection(contract) John Brazel Gary Clark Robert Morton
William Lindeman Robert Cronholm Gary Naus
William O'Rourke Clifford Ekkert Robert Schmuck
Frank Richter Mark Fleishman Mark Schoppe
Read Rogers William Garrigan Shawn Swagler
Dennis Schultz Scott Harris Theodore Vassios
Thomas Stanfa Jeffrey Marciniak Konrad Wies
Anthony Stevens James Zamboni
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Public Works
December 1993
Superintendant
Grade 12
Michael Meranda
Secretary
Grade 2
Diane Vrtiak
Public Works General Foreman
Grade 9
Douglas Pat chin
Building Maintenance Garage Street Water
Building Maintenance Journeyman Head Mechanic Foreman Foreman
Grade 8 Grade 8 Grade 8 Grade 8
John Payne Gary Martin Leroy I-Iammer James Heater
Maintenance Man I Maintenance Man I Maintenance Man II Maintenance Man I Maintenance Man 1I
Grade 5 Grade 5 Grade 4 Grade 5 Grade 4
Darren Martens111 Donald Lange
Randy Lawn Theodore Glidden
Nicholas Pavich Matt Schroedter Patrick Toland
Lou Reece Dick Schultz James Yunker
Mark Stevens Ronald Thompson
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Library
December 1993
Librarian
Grade 7
Assistant Librarian Clerk(p.t.) Library Technical Assistant(p.t.) Page(p.t.)
Grade 4
Laura Shulman
Cecile Martin Linda Pabish Michelle Lucarelli
Margaret Price Linnea Warda Jeanie Prasad
Monina Tan
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Sports Core
December 1993
Sports CoreManager
Grade 12
Secretary Clerical Staff
Grade 2 (p.t.)
Carole Curin
Bath&Tennis Golf Maintenance
Food&Beverage Manager Golf Pro Greens Superintendant
Bonnie Sartore Grade 2 Grade 9
(contract) Trey VanDyke Sean Creed
Tennis Pru Chef Pool vlanagzr Goll'Employees LjLal.rcr Golf Course
Tom Wangalin Bryan Shanahan (contract) (seasonal) Grade 5 Grade 1 Maintenance Employees
(contract) (contract) Paul Carter Rene Villarreal (seasonal)
�7 1 1 --
Tennis Employees Clubhouse Employees Food Service Employees Pool Employees
(seasonal) (seasonal) (seasonal) (seasonal)
� General Corporate Fund
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VILLAGE OF OAK; BROOK' PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 1
FUND : 01 - GENERAL CORPORATE
CENTER : 00 - GENERAL
ACTIVITY : 00 - ADMINISTRATION
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
N1IMRFR nFsrnrpTjnN 19--/ga 1993 1993 1994 C n M M E N T R
REVENUE
410000 FOREIGN FIRE INSURANCE 39,905 35,000 32,182 32,000
410100 STATE INCOME TAX 363,919 234,000 233,100 395,000
410105 STATE INCOME TAX - SURCHARGE 147,117 O 55,000 37,000
410110 STATE INCOME TAX - PHOTO 13,470 8,500 9,800 13,900
410115 STATE INCOME TAX - U.L.O. 42,686. 28,667 30,300 46,500
410120 CHARITABLE GAMES 0 0 1 ,246 1 ,300
410200 GENERAL SALES TAX 8,712,237 6,250,000 7,300,000 9,800,000
410300 YORK: TOWNSHIP ROAD % BRIDGE 131 ,082 91 ,500 a31 ,6.35 132,000
410400 REPLACEMENT TAX 12,309 7,800 7,185 10,675
TOTAL INTERGOVERNMENTAL 9,462,726 6,655,467 7,810,448 10,469,375
420000 LIQUOR LICENSE 54,934 53,000 62,367 58,500
420050 'TOBACCO LICENSES 250 1 ,550 1 ,650 1 ,350
420100 GARBAGE LICENSE 1 ,500 1 ,500 1 ,500 1 ,500
420200 VENDING MACHINE LICENSE 15,810 15,935 13,010 13,200
420210 BUILDING PERMITS 176,728 82,500 87,500 125,000
420220 PLUMBING PERMITS 9,464 5,600 5,000 7,500
420230 ELECTRICAL PERMITS 35,933 23,760 18,000 25,000
420240 ELEVATOR INSPECTIONS 33,515 13,500 17,400 30,000
420250 TAXI LICENSES 1 ,390 0 1 ,400 1 ,400
420260 BUSINESS LICENSE 0 O O 50,000
420400 MISC. LICENSES ,4 PERMITS 24,222 13,200 13,000 18,000
TOTAL LICENSES .4 PER11ITS 353,741 211 ,545 220,827 331 ,450
440000 INTEREST 148,261 70,000 96,000 127,100
440004 TRANSFER FROM WATER FUND 255,760 184,000 184,000 275,000
440005 TRANSFERS FROM OTHER FUNDS 1 ,273 0 O O
440010 COURT FI14ES 167,944 93,800 120,000 140,000
440012 VILLAGE FINES 65,146 40,200 38,800 55,000
440014 TRAI14ING REIMBURSEMENT-FIRE 5,943 5,000 11 ,445 5,000
440016 TRAINING REIMBURSEMENT-POLICE 0 12,100 19,614 13,000
440050 COURT APPEARANCE REIMBURSEMENT 225 235 55 125
440125 SPORTS FESTIVAL REV 8,825 0 0 0
440190 FINGERPRINTING 0 0 6.30 250
440200 MISCELLANEOUS 634,823 20,500 1 ,380 184,000
440210 FIRE WORKS CONTRIBUTIONS 0 0 2,350 0
440220 GRANTS 0 10,000 0 6,636
440250 B.A.T.T.L.E. PROGRAM 20,318 38,310 40,635 39,118
440500 UTILITY TAX 2,239,243 1 ,900,344 1 ,555,000 1 ,595,000
TOTAL MISC. INCOME 3,548,760 2,374,489 2,169,909 2,450,229
450000 IBT FRANCHISE FEES 147,010 78,500 108,000 140,100
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 2
FUND : 01 - GENERAL CORPORATE
CENTER : 00 - GENERAL
ACTIVITY : 00 - ADMINISTRATION
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
N JM13 R nFgrRTPTTnN 1992/93 1993 1993 1994 G O M M_F N
450010 GARBAGE FEES 1 ,901 229,048 225,963 0
4500.-^_0 RECYCLING FEES 123,461 41 ,200 39,875 0
450030 SALE OF RECYCLABLES 15,299 11 ,400 8,355 0
450050 ZONING/SUBDIVISION APPL FEES 4,722 6,000 3,000 4,000
450060 PLAN REVIEW FEES 11 ,360 11 ,550 9,000 13,500
450065 ENG PLAN REVIEW & INSP FEES 3,485 660 4,640 4,000
450070 SUBDIVISION REVIEW & INSP FEES 0 3,300 3,823 3,000
450080 AMBULANCE FEES 163,788 83,411 92,655. 134,360
450090 TOLL ROAD FIRE SERVICE 7,350 3,200 6,000 6,000
450100 LIBRARY SERVICES 2,717 3,100 2,408 3,600
450110 LIBRARY FINES 5,767 4,300 3,258 4,800
450117 SPECIAL SERVICES - EMS 366 5,000 0 1 ,000
450118 SPECIAL SERVICES-FIRE 2,800 2,640 1 ,000 2,000
450120 SPECIAL SERVICES-POLICE 22,732 42,750 13,000 20,100
450130 FIELD SERVICES-POLICE 30 BOO 450 675
450135 MISC. SUPPORT SERVICES-POLICE 5,307 3,500 3,500 5,250
450200 ANNUAL ALARM PERMIT FEE-POLICE 825 6.00 510 510
450210 FALSE ALARM FEES-FIRE 6,151 4,800 2,000 7,200
450215 FALSE ALARM FEES-POLICE 58,006 29,500 40,220 60,000
450220 ALARM APPLICATION FEES-POLICE 7,417 8,576 11 ,800 17,700
TOTAL FEES 590,494 573,835 579,457 427,795
TOTAL REVENUE 13,955,727 9,815,336 10,780,641 13,678,849
F P NS
TOTAL EXPENSE 0 0 0 0
TOTAL ACTIVITY REVENUE 13,955,727 9,815,336 10,780,641 13,678,849
TOTAL ACTIVITY EXPENSE 0 0- 0 0
NET ACTIVITY SURPLUS/DEFICIT 13,955,727 9,815,336 10,780,641 13,678,849
TOTAL CENTER REVENUE 13,955,727 9,815,336 10,780,6.41 13,6.78,849
TOTAL CENTER EXPENSE 0 0 0 0
NET CENTER SURPLUS/DEFICIT 13,955,727 9,815,336 10,780,641 13,6.78,849
...oto .�
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 3
FUND : 01 - GENERAL CORPORATE
CENTER : 10 - LEGISLATIVE BOARDS
ACTIVITY : 02 - BOARD OF TRUSTEES
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1922/93 1993 199' 1994 f O M M E N T S
REVENUE
TOTAL REVENUE 0 0 0 0
EXPENSE
510000 SALARIES FULL-TIME 20,740 14,314 13,500 22,415
511010 PENSION I .M.R.F. 1 ,544 903 926. 1 ,400
511035 F.I .C.A. 1 ,572 1 ,095 1 ,030 1 ,700
511040 HEALTH INSURANCE 0 0 0 3,242
511050 TRAVEL EXPENSE 40 80 80 140
511060 TRAINING 3,795 2,400 1 ,290 4,800
511070 DUES .4 MEMBERSHIPS 14,052 8,600 2,76.2 8,6.00
511090 UNEMPLOYMENT COMPENSATION 0 25 0 0
TOTAL PERSONNEL 41 ,742 27,417 19,588 42,297
520000 PRINTING/PUBLICATION 5,202 2,500 3,400 5,500
520110 GENERAL OFFICE SUPPLIES 588 275 150 250
520600 GENERAL EQUIPMENT 0 920 0 1 ,100
TOTAL MATERIALS & SUPPLIES 5,791 3,695 3,550 5,850
530000 LIABILITY INSURANCE 399 BOB 808 2,103
530280 MAINTENANCE OTHER EQUIPMENT 39 0 0 40
530380 RENTALS 142 95 82 144
53046.2 ADVERTISING 0 25 0 O
530510 GARBAGE DISPOSAL 49,755 0 0 0
530540 TAXPAYER BENEFIT 185,2715. 0 0 O
530542 RECYCLING EXPENSE 89,858 O 0 0
530545 AWARDS DINNER/SERVICE AWARDS 9,289 15,134 12,400 15,6.50
530560 BOARD OF POLICE ,4 FIRE COMM. 15,544 6,000 2,000 14,500
530600 EMERGENCY MANAGEMENT O 0 0 7,000
530650 ECON0MIC DEVELOPMENT 0 0 0 5,000
530700 OTHER SERVICES 2,224 2,350 1 ,400 2,400
530730 CONTINGENCY 0 757,992 0 693,200
TOTAL OPERATION 4 CONTRACTUAL 352,525 782,484 16,690 740,037
581000 TRANSFERS OUT 34,800 21 ,000 0 0
TOTAL MISCELLANEOUS 34,800 21 ,000 0 0
`00 NEW EQUIPMENT 0 0 0 2,000
�0 EQUIPMENT REPLACEMENT 0 15,000 0 16,800
LAND ACQUISITION 0 0 0 0
VILLAGE OF OAF; BROOK: PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 4
FUND : 01 - GENERAL CORPORATE
CENTER : 10 - LEGISLATIVE BOARDS
ACTIVITY : 02 - BOARD OF TRUSTEES
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER nFRrRIpTInN 199249' 1993 1993 1994 Ln M M F N T S
TOTAL CAPITAL 0 15,000 0 18,800
TOTAL EXPENSE 434,858 849,596 39,828 807,984
TOTAL ACTIVITY REVENUE O 0 0 0
TOTAL ACTIVITY EXPENSE 434,858 849,596 39,828 807,984
NET ACTIVITY SURPLUS/DEFICIT 434,858- 849,596- 39,828- 807,984-
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 5
FUND : 01 - GENERAL CORPORATE
CENTER : 10 - LEGISLATIVE BOARDS
ACTIVITY : 03 - VILLAGE CLERK
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/93 1993 199-q 1994 C O M M E_N T g
1
REVENUE
TOTAL REVENUE 0 0 O 0
FX PEPISE
510000 SALARIES FULL-TIME 14,051 13,350 13,574 40,000
510010 SALARIES PART-TIME 1 ,205 850 0 0
511010 PENSION I .M.R.F. 1 ,092 1 ,250 1 ,222 3,570
511035 F.I .C.A. 1 ,104 1 ,100 1 ,058 3,152
511040 HEALTH INSURANCE 3,949 4,556 3,877 12,955
511050 TRAVEL EXPENSE 27B 995 192 1 ,475
511050 TRAINING 746_. 1 ,700 1 ,483 2,005
511070 DUES 4 MEMBERSHIPS 240 175 80 230
TOTAL PERSONNEL 22,575 24,07E 21 ,595 53,398
520000 PRINTING/PUBLICATION 2,121 10,915 833 5,100
520110 GENERAL OFFICE SUPPLIES 237 320 202 2,205
520275 MICROFILMING 0 0 0 5,000
520500 GENERAL EQUIPMENT 0 15,080 15,90E• 550
TOTAL MATERIALS .4 SUPPLIES 2,358 27,315 15,941 14,955
530455 LICENSES & FEES 0 200 30 60
530700 OTHER SERVICES 783 1 ,450 11 100
530930 O/H MAINTENANCE OTHER EQUIP 251 300 0 900
TOTAL OPERATION .4 CONTRACTUAL 1 ,034 1 ,950 41 1 ,050
590000 NEW EQUIPMENT 0 0 0 9,780
590100 EQUIPMENT REPLACEMENT 0 0 0 2,000
TOTAL CAPITAL 0 0 O 11 ,780
TOTAL EXPENSE 25,058 53,341 38,578 91 ,193
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 26,058 53,341 38,578 91 ,193
NET ACTIVITY SURPLUS/DEFICIT 25,058= 53,341- 38,578- 91 ,193-
m = = m = = m
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 6
FUND' 01 - GENERAL CORPORATE
CENTER 10 - LEGISLATIVE BOARDS
ACTIVITY 03 - VILLAGE CLERIk;
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DFSCRTPTTpN 199=1/93 1993 199q 1994 f_ O M M E_N T S
TOTAL CENTER REVENUE 0 0 0 0
TOTAL CENTER EXPENSE 460,926 902,937 78,406 899,177
NET CENTER SURPLUS/DEFICIT 460,926- 902,937- 78,406- 899,177-
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 7
FUND : 01 - GENERAL CORPORATE
CENTER : 12 - GENERAL GOVERNMENT
ACTIVITY : 06 - LEGAL
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUM6ER OF4CRIPTION 199?/93 1993 1993 1994 Un M M E N T IS
REVENUE
TOTAL REVENUE 0 0 0 0
EXPENSE
510000 SALARIES FULL-TIME 14,229 10,200 10,580 15,215
510010 SALARIES PART-TIME 61 ,402 42,000 44,100 64,000
511010 PENSION I .M.R.F. 8,790 4,900 4,125 7,265
511035 F.I .C.A. 5,640. 4,000 4,250 6,060
511040 HEALTH INSURANCE 5,544 4,656 3,885 3,242
511050 TRAVEL EXPENSE 38 40 25 50
511060 TRAINING 108 300 35 300
511070 DUES 4 MEMBERSHIPS 355 0 0 350
TOTAL PERSONNEL 96,110 66,096 67,000 96,482
520000 PRINTING/PUBLICATION 50 125 50 100
520040 SUBSCRIPTIONS 2,803 2,000 1,000 1,200
520110 GENERAL OFFICE SUPPLIES 224 400 100 200
520600 GENERAL EQUIPMENT 0 500 0 700
TOTAL MATERIALS .4 SUPPLIES 3,077 3,025 1 ,150 2,200
530000 LIABILITY INSURANCE 1 ,097 2,455 2,231 4,417
530200 MAINTENANCE OFFICE EQUIPMENT 310 500 145 150
530380 RE14TALS 71 48 55 72
530555 LITIGATION COSTS 3,533 5,000 20,000 23,000
' TOTAL OPERATION 4 CONTRACTUAL 5,011 8,003 22,431 27,639
590000 NEW EQUIPMENT 415 0 O 1 ,500
590100 EQUIPMENT REPLACEMENT 0 0 0 0
TOTAL CAPITAL 415 0 0 1 ,500
TOTAL EXPENSE 104,613 77,124 90,581 127,821
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 104,613 77,124 90,581 127,821
NET ACTIVITY SURPLUS/DEFICIT 104,613- 77,124- 90,581- 127,821-
VILLAGE OF OAF; BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 8
FUND : 01 - GENERAL CORPORATE
CENTER : 12 - GENERAL GOVERNMENT
ACTIVITY : 08 - VILLAGE MANAGER
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/93 199 199'1 1994 C O M M E N T S
'1
REVENUE
TOTAL REVENUE 0 0 0 0
EXPENSE
510000 SALARIES FULL-TIME 240,276 177,800 138,000 286,000
510010 SALARIES PART-TIME 14,743 9,792 10,315 24,200
510020 SALARIES OVERTIME 2,273 1 ,190 4,066 9,250
. 510025 INTERNS 0 1 ,000 0 1 ,000
511010 PENSION I .M.R.F. 26,564 17,600 16,000 27,650
511035 F.I .C.A.. 18,254 14,350 13,250 22,900
511040 HEALTH INSURANCE 23,281 17,100 16,584 29,052
511050 TRAVEL EXPENSE 261 150 60 250
511060 TRAINING 996 6,990 2,040 8,000
511070 DUES & MEMBERSHIPS 2,094 1,142 1,100 1,600
TOTAL PERSONNEL 328,741 247,114 201 ,415 409,902
520000 PRINTING/PUBLICATION 185 265 200 500
520020 GAS 4 OIL 158 165 0 0
520040 SUBSCRIPTIONS 488 265 200 600
520090 FOOD 195 175 175 200
520110 GENERAL OFFICE SUPPLIES 2,064 1 ,320 1 ,200 1 ,600
520600 GENERAL EQUIPMENT 0 7,490 4,700 2,750
TOTAL MATERIALS 4 SUPPLIES 3,090 9,680 6,475 5,650
530000 LIABILITY INSURANCE 4,071 8,400 8,645 11 ,059
530100 MAINTENANCE VEHICLES 727 B00 160 240
530200 MAINTENANCE OFFICE EQUIPMENT 1 ,194 833 400 900
530340 MAINTENANCE MOBILE RADIOS 0 25 0 0
530380 RENTALS 418 400 125 300
530462 ADVERTISING 370 100 0 1 ,200
530475 PROFESSIONAL SERVICES 20 0 7,500 10,000
530547 SAFETY INCENTIVE 9,270 10,500 0 9,500
530700 OTHER SERVICES 1 ,O67 40,000 100 10,000
TOTAL OPERATION 4 CONTRACTUAL 17,137 151 ,058 16,930 43,199
590000 NEW EQUIPMENT 5,405 0 0 10,000
.590100 EQUIPMENT REPLACEMENT 0 0 0 0
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 9
FUND : 01 - GENERAL CORPORATE
CENTER : 12 - GENERAL GOVERNMENT
ACTIVITY : 08 - VILLAGE MANAGER
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER nEGCRIPTInN 199'x/9'1 1993 199'1 1994 C n M M _F N T S_
TOTAL CAPITAL 5,405 0 0 10,000
TOTAL EXPENSE 354,374 317,852 224,820 468,751
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 354,374 317,852 224,820 468,751
NET ACTIVITY SURPLUS/DEFICIT 354,374- 317,852- 224,820- 468,751-
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 10
FUND : 01 - GENERAL CORPORATE
CENTER : 12 - GEMERAL GOVERNMENT
ACTIVITY : 09 - GENERAL SERVICES
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DERCRIPTION 1992/9' 199'q 1993 1994 C O M M E N T S
RFVFNUE
TOTAL REVENUE 0 0 0 0
LAFER
520010 POSTAGE 0 15,400 20,000 35,300
TOTAL MATERIALS ,g SUPPLIES 0 15,400 20,000 35,300
530020 TELEPHONE 0 50,000 48,000 74,000
530290 COPIER COSTS O 3,700 2,500 11 ,200
530475 PROFESSIONAL SERVICES 0 0 0 6,500
TOTAL OPERATION A CONTRACTUAL 0 53,700 50,500 91 ,700
590000 NEW EQUIPMENT 0 0 0 6,500
TOTAL CAPITAL 0 0 0 6,500
TOTAL EXPENSE 0 69,100 70,500 133,500
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 0 69,100 70,500 133,500
NET ACTIVITY SURPLUS/DEFICIT 0 69,100- 70,500- 133,500-
VILLAGE OF OAK BROOfi; PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 11
FUND : O1 - GENERAL CORPORATE
CENTER . 12 - GENERAL GOVERNMENT
ACTIVITY : 10 - FINANCE AND ACCOUNTING
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER D G RIPTION 1992/91 1993 19911 1994 C O M M E N T 6
REVENUE
TOTAL REVENUE 0 0 0 0
EXPENSE
510000 SALARIES FULL-TIME 170,087 144,600 119,500 205,936
510010 SALARIES PART-TIM[ 8,28? 0 52 0
510020 SALARIES OVERTIME 35 7,750 4,500 5,000
511010 PENSION I .M.R.F. 16,648 14,300 12,580 19,350
511035 F.I .C.A. 13,277 11 ,650 10,280 16,140
511040 HEALTH INSURANCE 17,710 18,6.79 13,033 18,745
511050 TRAVEL EXPENSE 280 1 ,500 1 ,370 1 ,625
51106.0 TRAINING 4,495 5,450 285 2,000
511070 DUES 4 MEMBERSHIPS 580 020 0 875
511090 UNE11PLOYIIENT COMPENSATION 3,250 0 0 0
TOTAL PERSONNEL 234,6.50 204,749 161 ,600 26.9,671
520000 PRINTING/PUBLICATION 2,154 1 ,600 1 ,600 1 ,600
520040 SUBSCRIPTIONS 251 215 0 275
520110 GENERAL OFFICE SUPPLIES 9,311 8,560 3,390 7,250
520275 MICROFILMING 0 1 ,250 1 ,250 6,000
520600 GENERAL EQUIPMENT 0 2,940 2,865 3,500
TOTAL MATERIALS A SUPPLIES 11 ,716• 14,565 9,105 18,625
530000 LIABILITY INSURANCE 2,354 5,290 4,822 10,418
530020 TELEPHONE 360- 0 0 0
53036.5 MAINTENANCE COMPUTERS 4,146 4,800 1 ,860 3,500
530480 AUDITING 6,600 7,200 7,202 7,200
530700 OTHER SERVICES 27,628 14,100 12,500 55,000
TOTAL OPERATION g CONTRACTUAL 40,367 31 ,390 26,384 76,118
590000 NEW EQUIPMENT 5,46.6 5,300 3,097 3,000
TOTAL CAPITAL 5,46.6 5,300 3,097 3,000
TOTAL EXPE14SE 292,199 256,004 200,186 367,414
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 12
FUND : 01 - GENERAL CORPORATE
CENTER : 12 - GENERAL GOVERNME14T
ACTIVITY : 10 - FINANCE AND ACCOUNTING
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/99 19913 199'1 1994 r 0 M M E_N T_9
TOTAL ACTIVITY REVENUE 0 0 O 0
TOTAL ACTIVITY EXPENSE 292,199 256,004 200,186 367,414
NET ACTIVITY SURPLUS/DEFICIT 292,199- 256,004- 200,186- 367,414-
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 13
FUND : 01 - GENERAL CORPORATE
CENTER : 12 - GENERAL GOVERNMENT
ACTIVITY 11 - PURCHASING/GRANTS
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/93 1993 1993 1994 C O M M E N T S
REVENUE
TOTAL REVENUE 0 0 0 0
E X P NSF_
510000 SALARIES FULL-TIME O O O 84,131
510020 SALARIES OVERTIME 0 0 0 11200
511010 PENSION I .M.R.F. 0 0 0 7,825
511035 F.I .C.A. 0 O 0 6,530
511040 HEALTH INSURANCE 0 0 0 13,400
511050 TRAVEL EXPENSE 0 0 0 55
511060 TRAINING 0 0 0 2,100
511070 DUES & MEMBERSHIPS 0 0 0 885
TOTAL PERSONNEL 0 0 0 116,12 .
520000 PRINTING/PUBLICATION 0 0 O 1 ,595
520040 SUBSCRIPTIONS 0 0 0 430
520110 GENERAL OFFICE SUPPLIES 0 O 0 1 ,585
520100 GENERAL EQUIPMENT 0 0 O 2,200
TOTAL MATERIALS & SUPPLIES 0 0 O 5,810
530000 LIABILITY INSURANCE O 0 0 3,835
530200 MAINTENANCE OFFICE EQUIPMENT 0 0 0 300
530462 ADVERTISING 0 0 0 360
TOTAL OPERATION & CONTRACTUAL 0 0 0 4,495
590000 NEW EQUIPMENT O 0 O 3,500
TOTAL CAPITAL 0 0 O 3,500
TOTAL EXPENSE 0 0 0 129,931
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVIT`( EXPENSE 0 O 0 19,931
NET ACTIVITY SURPLUS/DEFICIT 0 0 0 129,931-
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 14
FUND : 01 - GENERAL CORPORATE
CENTER : 12 - GENERAL GOVERNMENT
ACTIVITY : 12 - ENGINEERING
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DFR RTPTTnN 1992/91 1993 199'1 1994 C_n M M F N T I4
REVENUE
TOTAL REVENUE 0 0 0 0
EXPENSE
510000 SALARIES FULL-TIME 183,276 132,900 124,111 194,602
510020 SALARIES OVERTIME 9,667 13,000 4,204 13,000
511010 PE14SION I .M.R.F. 19,353 13,700 12,400 18,945
511035 F.I .C.A. 13,894 11 ,200 10,134 15,404
511040 HEALTH INSURANCE 18,510 15,539 12,855 17,768
511050 TRAVEL EXPENSE 0 530 0 100
51106.0 TRAINING 2,080 3,940 1 ,304 4,295
511070 DUES I MEMBERSHIPS 543 610 573 710
511080 UNIFORMS/CLOTHING ALLOWANCE 0 100 100 100
TOTAL PERSONNEL 247,423 191 ,519 165,6.81 264,924
520000 PRINTING/PUBLICATION 14 950 306 • 1 ,800
520020 GAS 4 OIL 1 ,098 850 550 1 ,200
520040 SUBSCRIPTIONS 650 540 540 600
520080 TOOLS it HARDWARE 123 200 100 300
520090 FOOD 195 120 106 150
520110 GENERAL OFFICE SUPPLIES 1 ,151 600 682 1 ,700
520275 MICROFILMING 0 2,000 0 2,000
520600 GENERAL EQUIPMENT 0 0 0 2,050
TOTAL MATERIALS & SUPPLIES 3,230 5,260 2,284 9,800
530000 LIABILITY INSURANCE 3,650 9,197 7,446 10,704
530100 MAINTENANCE VEHICLES 983 840 1 ,063 1 ,360
530280 MAINTENANCE OTHER EQUIPMENT 1 ,323 575 50 2,900
530340 MAINTENANCE MOBILE RADIOS 15 300 0 0
530460 RECEPTION/ENTERTAINMENT 57 100 50 150
530475 PROFESSIONAL SERVICES 4,224 2,900 470 3,900
530490 ENGINEERING t5,681 23,500 2,248 40,800
530550 PHOTOGRAPHY A BLUEPRINTING 1 ,011 470 246, 1 ,270
TOTAL OPERATION $ CONTRACTUAL 26,944 36,882 11 ,573 61 ,084
590000 NEW EQU I P11EI-IT 1 ,843 0 0 6,700
590100 EQUIPMENT REPLACEMENT 0 0 0 1 ,500
= , = = M = M M m = mm = = ■i■ m m = m
VILLAGE OF OAF; BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 15
FUND 01 - GENERAL CORPORATE
CENTER 12 - GENERAL GOVERNMENT
ACTIVITY 12 - ENGINEERING
ACCOU14T ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DFSrRTPTInN 1992/93 1992 1993 1994 C D M M E N T S
TOTAL CAPITAL 1 ,843 O 0 8,200
TOTAL EXPENSE 279,440 233,651 179,538 344,008
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 2:9,440 233,661 179,538 344,008
NET ACTIVITY SURPLUS/DEFICIT 279,440- 233,661- 179,538- 344,008-
TOTAL CENTER REVENUE 0 0 0 O
TOTAL CENTER EXPENSE 1 ,030,527 953,741 765,625 1 ,571,425
NET CENTER SURPLUS/DEFICIT 1 ,030,627- 953,741- 755,625- 1 ,571 ,425-
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 16
FUND : 01 - GENERAL CORPORATE
CENTER : 14 - POLICE DEPARTMENT
ACTIVITY : 00 - ADMINISTRATION
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER_ nFc;rnTPTInN 1992/93 1993 1993 1994 C O M M E N T S
REVENUE
TOTAL REVENUE 0 0 O O
EXPENSE
510000 SALARIES FULL-TIME 103,51E 82,500 81 ,860 138,558
510020 SALARIES OVERTIME 0 139 100 200
510040 EDUCATIONAL INCENTIVE PAY 15,953 0 0 0
511010 PENSION i .M.R.F. 2,979 1 ,900 1 ,900 2,790
511020 PENSION POLICE 12,719 5,169 6,16.9 9,727
511035 F.I .C.A. 2,253 1 ,560 1 ,56.0 2,328
511040 HEALTH INSURANCE 254,712 217,085 170,838 255,474
511050 TRAVEL EXPENSE 3 0 0 0
511060 TRAINING 5,029 13,300 3,700 15,582
511070 DUES 4 MEMBERSHIPS 981 1 ,460 1 ,460 1 ,500
511090 UNEMPLOYMENT COMPENSATION 1 ,122 2,000 4,767 2,000
TOTAL PERSONNEL 399,367 326,114 272,354 428,159
520500 GENERAL EQUIPMENT 0 1 ,120 450 950
TOTAL MATERIALS & SUPPLIES 0 1 ,120 450 950
530000 LIABILITY INSURANCE 29,406 63,300 48,534 117,615
530460 RECEPTION/ENTERTAINMENT 237 255 255 395
530475 PROFESSIONAL SERVICES 893 6,000 5,O68 20,000
TOTAL OPERATION & CONTRACTUAL 30,535 59,555 53,857 138,010
590000 NEW EQUIPMENT 2,410 6,300 6,690 15,500
590100 EQUIPMENIT REPLACEMENT 200 0 0 18,500
TOTAL CAPITAL 2,610 6,300 6,690 34,000
TOTAL EXPENSE 432,512 403,089 333,351 601 ,119
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 432,512- 403,089 333,351 601 ,119
NET ACTIVITY SURPLUS/DEFICIT 432,512- 403,089- 333,351- 601 ,119-
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 17
FUND : O1 - GENERAL CORPORATE
CENTER : 14 - POLICE DEPARTMENT
ACTIVITY : 14 - FIELD SERVICES
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBFR D Sf'RIPTION 199'/93 1993 199'3 1994 C O M M F N T S
RFVEWUE
TOTAL REVENUE 0 0 0 0
EXPENSE
510000 SALARIES FULL-TIME_ 1 ,340,023 987,500 900,000 1 ,389,838
510020 SALARIES OVERTIME 56.,235 40,973 6.1 ,628 63,300
510022 SALARIES SPECIAL DETAIL 21 ,461 29,547 13,000 20,100
510024 COURT TIME 28,940 25,782 19,348 29,892
510040 EDUCATIONAL INCENTIVE PAY 192 8,6.55 6,850 9,600
511000 MEDI TAX 0 0 O O
511010 PENSION I .M.R.F. 6,421 4,060 4,060 5,924
511020 PENSION POLICE 217,501 129,469 18,000 190,488
511035 F.I .C.A. 12,053 10,042 10,042 12,921
511050 TRAVEL EXPENSE 1 ,456. 1 ,373 1 ,206 1 ,864
511060 TRAINING 174 500 400 500
TOTAL PERSONNEL 1 ,684,457 1 ,237,901 1 ,144,534 1 ,724,427
520020 GAS ,4 0 I L 36,747 29,266. 22,772 37,000
520080 TOOLS & HARDWARE 233 295 100 350
TOTAL MATERIALS .4 SUPPLIES 36,980 29,56.1 22,872 37,350
i
530100 MAINTENANCE VEHICLES 33,460 22,926 12,648 33,500
53016.5 MAINTENANCE ST. SIGNS/STRIPING 1 ,948 2,122 1,950 2,122
530465 LICENSES & FEES 351 400 440 520
530555 LITIGATION COSTS 1 ,650 2,009 1,273 2,640
TOTAL OPERATION & CONTRACTUAL 37,409 27,457 16,311 38,782
590000 NEW EQUIPMENT 6,953 30,938 13,120 4,900
590100 EQUIPMENT REPLACEMENT 24,266 121 ,650 100,529 0
TOTAL CAPITAL 31 ,219 152,588 113,649 4,900
TOTAL EXPENSE 1 ,790,06.5 1 ,447,507 1 ,297,366 1 ,805,459
TOTAL ACTIVITY REVENUE 0 0 0 O
TOTAL ACTIVITY EXPENSE 1 ,790,06.5 1 ,447,507 1 ,297,366 1 ,805,459
NET ACTIVITY SURPLUS/DEFICIT 1 ,790,065- 1 ,447,507- 1 ,297,36.6- 1 ,805,459-
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 18
FUND : 01 - GENERAL CORPORATE
r CENTER : 14 - POLICE DEPART11ENT
ACTIVITY : 16 - SUPPORT SERVICES
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/91 1993 1993 1994 C O M M E N T S _
REVENUE
TOTAL REVENUE 0 0 0 0
EXPENSE
510000 SALARIES FULL-TIME 552,652 362,500 330,586 585,787
510010 SALARIES PART-TIME 17,539 14,800 13,000 20,150
510020 SALARIES OVERTIME 27,516 27,315 16,870 25,038
510021 SALARIES OVERTIME TRAINING 4,034 6,901 2,000 10,641
510024 COURT TIME 6,577 5,783 3,000 5,000
510040 EDUCATIONAL INCENTIVE PAY 75 2,400 2,750 4,200
511010 PENSION I .M.R.F. 23,147 15,000 15,000 22,150
511020 PENSION POLICE 52,552 27,676 29,920 42,025
511035 F.I .C.A. 19,392 12,250 13,071 19,841
511050 TRAVEL EXPENSE 1 ,105 0 505 0
511060 TRAINING 16•,867 13,600 13,600 28,815
511080 UNIFORMS/CLOTHING ALLOWANCE 24,424 .23,200 23,200 36,166
TOTAL PERSONNEL 745,880 511 ,425 463,502 799,813
520000 PRINTING/PUBLICATION 4,816 5,216 5,216 8,910
520010 POSTAGE• 168 0 47 0
520040 SUBSCRIPTIONS 2,099 1 ,156 1 ,156 2,015
520070 DRUGS 4 MEDICAL 338 1 ,025 1 ,025 1 ,895
520090 FOOD 1 ,526 1 ,675 1 ,675 3,287
520110 GENERAL OFFICE SUPPLIES 3,802 3,13F• 3,136 4,845
520270 PHOTOGRAPHY SUPPLIES 3,544 2,955 2,965 4,580
520500 MISCELLANEOUS 1 ,815 1 ,847 1 ,847 2,854
520600 GENERAL EQUIPMENT 0 3,850 3,850 6,069
TOTAL MATERIALS 4 SUPPLIES 18,107 20,870 20,917 34,455
530080 LAUNDRY & CLEANING 654- 36.6 366 564
530200 MAINTENANCE OFFICE EQUIPMENT 6•,031 11 ,900 11 ,900 12,257
530200 MAINTENANCE OTHER EQUIPMENT 496 687 687 1 ,061
530300 MAINTENANCE ELECTRICAL EQUIP 3,729 3,832 3,832 5,920
530320 MAINTENANCE PORTABLE RADIOS 861 1 ,536 3,100 3,6.23
530340 MAINTENANCE MOBILE RADIOS 3,084 2,090 2,090 3,229
530360 MAINTENANCE BASE RADIO 680 978 978 3,311
530380 RENTALS 13,996 17,000 17,800 18,248
530420 AMMUNITION 3,598 3,978 3,978 4,225
530700 OTHER SERVICES 18,183 19,6.91 19,691 20,260
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 19
FUND : 01 - GENERAL CORPORATE
CENTER : 14 - POLICE DEPARTMENT
ACTIVITY : 16 - SUPPORT SERVICES
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER D 4rRTPTTON 199p/9_ 1991 1991 1994 C O M M E N T S_ _
TOTAL OPERATION & CONTRACTUAL 50,003 62,858 64,422 72,698
590000 NEW EQUIPMENT 0 16,000 8,500 22,054
590100 EQUIPMENT REPLACEMENT 1 ,980 0 0 4,706
TOTAL CAPITAL 1 ,980 16,000 8,500 26,760
TOTAL EXPENSE 815,970 611 ,153 557,341 933,726
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 815,970 611 ,153 557,341 933,726
NET ACTIVITY SURPLUS/DEFICIT 815,970- 611 ,153- 557,341- 933,726-
TOTAL CENTER REVENUE 0 0 0 0
TOTAL CENTER EXPENSE 3,038,546 2,461 ,749 2,188,058 3,340,304
NET CENTER SURPLUS/DEFICIT 3,038,546- 2,461 ,749- 2,188,058- 3,340,304-
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 20
FUND : 01 - GENERAL CORPORATE
CENTER : 16 - FIRE DEPARTMENT
ACTIVITY : 18 - FIRE SERVICES
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DFSrRIPTIDN 199P/9q 1993 1993 1994 C D_M M E N T S
REVENUE
TOTAL REVENUE 0 0 0 0
FYI PENSF.
510000 SALARIES FULL-TIME 1 ,264,173 875,400 875,400 1 ,318,045
510010 SALARIES PART-TIME 0 400 400 600
510020 SALARIES OVERTIME 77,239 45,065 45,065 76,607
510023 HOLIDAY BONUS 15,324 19,968 19,968 20,865
510026 MERIT BONUS 10,542 0 0 10,500
510030 PAID-ON-CALL FIREFIGHTERS 15,170 10,796 10,800 17,472
510040 EDUCATIONAL INCENTIVE PAY 13,249 8,712 8,712 13,200 '
511010 PENSION I .M.R.F. 2,423 1 ,700 1 ,700 2,330
. 511030 PENSION FIRE 249,424 202,977 184,000 323,433
511035 F.I .C.A. 5,627 3,000 5,558 7,444
511040 HEALTH INSURANCE 176,833 150,629 123,510 186,604
511042 PHYSICAL EXAMINATIONS 4,072 5,000 4,500 8,000
511050 TRAVEL EXPENSE 10 50 50 50
511060 TRAINING 5,640 9,565 8,000 13,550
511070 DUES A MEMBERSHIPS 970 1 ,500 1 ,500 1 ,675
511080 UNIFORMS/CLOTHING ALLOWANCE 11,151 6,940 6,157 12,000
511090 UNEMPLOYMENT COMPENSATION 0 250 0 0
TOTAL PERSONNEL 1,851,845 1,341,952 1,295,320 2,012,375
520000 PRINTING/PUBLICATION 1 ,408 1 ,687 1 ,200 1 ,750
520020 GAS 4 OIL 3,935 2,706 2,400 4,000
520040 SUBSCRIPTIONS 58 225 200 200
520070 DRUGS ,4 MEDICAL 1 ,285 1 ,518 1 ,200 2,100
520080 TOOLS & HARDWARE 2,178 1 ,200 1 ,200 2,000
520090 FOOD 1 ,453 1 ,400 1 ,200 1 ,700
520100 CLEANING/SUPPLIES 2,698 2,000 1 ,800 2,400
520110 GENERAL OFFICE SUPPLIES 2,407 2,000 1 ,800 2,750
520275 MICROFILMING 0 0 0 7,500
520500 MISCELLANEOUS 6,455 1 ,900 1 ,900 1 ,400
520600 GENERAL EQUIPMENT 0 1 ,500 1 ,500 3,050
TOTAL MATERIALS & SUPPLIES 21,877 16,136 14,400 28,850
530000 LIABILITY INSURANCE 5,949 52,471 19,934 73,832
530040 NATURAL GAS 5,874 1 ,000 2,000 6,000
530080 LAUNDRY 4 CLEANING 1 ,324 1 ,050 1 ,000 2,800
530100 MAINTENANCE VEHICLES 15,687 14,350 14,000 19,700
530280 MAINTENANCE OTHER EQUIPMENT 6,630 4,323 4,320 7,000
530340 MAINTENANCE MOBILE RADIOS 2,618 3,300 3,300 5,000
530380 RENTALS 0 500 0 500
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 21
FUND : 01 - GENERAL CORPORATE
CENTER : 16 - FIRE DEPARTMENT
ACTIVITY : 18 - FIRE SERVICES
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER D R RIPTION 199''/93 1993 1993 1994 r O M M E N T S
530547 SAFETY INCENTIVE 0 0 0 3,375
530700 OTHER SERVICES 7,519 9,210 9,000 13,850
TOTAL OPERATION 4 CONTRACTUAL 45,6.02 85,204 53,554 132,057
590000 NEW EQUIPMENT 11 ,481 12,500 12,500 5,300
590100 EQUIPMENT REPLACEMENT 27,810 40,478 40,478 27,500
590300 STRUCTURAL IMPROVEMENTS 13,970 0 0 50,000
TOTAL CAPITAL 53,26.1 52,978 52,978 82,800
TOTAL EXPENSE 1 ,972,585 1 ,497,270 1 ,416,252 2,256,082
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 1 ,972,585 1 ,497,270 1 ,416,252 2,256,082
NET ACTIVITY SURPLUS/DEFICIT 1 ,972,585- 1,497,270- 1 ,416,252- 2,256,082-
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 22
FUND : 01 - GE14ERAL CORPORATE
CENTER : 16 - FIRE DEPARTMENT
ACTIVITY : 20 - EMERGENCY MEDICAL SERVICES
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DFRCRIPTION 199'/91 199'1 199q 1994 f D M M E N T S
RFS
TOTAL REVENUE 0 0 0 0
EXPPN59
510000 SALARIES FULL-TIME 229,924 165,000 165,000 247,50
510010 SALARIES PART-TIME 25,790 7,310 7,310 11 ,513
510020 SALARIES OVERTIME 43,551 48,420 40,000 49,775
510022 SALARIES SPECIAL DETAIL 0 8,200 1 ,000 6,015
510030 PAID-ON-CALL FIREFIGHTERS 5,418 4,568 4,568 6,473
510040 EDUCATIONAL INCENTIVE PAY 21 ,897 14,850 14,850 24,000
511030 PENSI014 FIRE 4,236 3,119 3,400 5,040
511035 F.I .C.A. 1 ,246 870 1 ,000 1 ,675
511042 PHYSICAL EXAMINATIONS 5,455 2,500 1 ,000 1,000
511050 TRAVEL EXPENSE 58 66 100 100
511060 TRAINING 2,863 3,570 3,000. 4,250
511070 DUES & MEMBERSHIPS 0 75 75 115
511080 UNIFORMS/CLOTHING ALLOWANCE 182 132 100 200
TOTAL PERSONNEL 340,621 258,680 241 ,403 357,676
520000 PRINTING/PUBLICATION 1 ,421 1 ,518 1 ,250 1 ,800
520020 GAS £1 OIL 1 ,747 1 ,320 1 ,320 2,000
520040 SUBSCRIPTIONS 114 66 G.6 100
520070 DRUGS .4 MEDICAL 4,165 2,640 2,000 4,000
520100 CLEANING/SUPPLIES 10 0 0 0
520110 GENERAL OFFICE SUPPLIES 7 0 O 0
520500 MISCELLANEOUS 826 660 600 900
TOTAL MATERIALS & SUPPLIES 8,290 6,204 5,236 8,800
530000 LIABILITY INSURANCE 5,452 10,113 10,257 14,935
530080 LAUNDRY & CLEANING 52 50 50 50
530100 MAINTENANCE VEHICLES 2,037 2,343 2,255 3,000
530280 MAINTENANCE OTHER EQUIPMENT 455 1 ,200 1 ,000 1 ,500
530340 MAINTENANCE MOBILE RADIOS 438 1 ,056 1 ,200 1 ,600
530380 RENTALS 0 330 0 500
530700 OTHER SERVICES 104,669 79,250 79,250 136,393
TOTAL OPERATION 4 CONTRACTUAL 113,102 94,342 94,012 157,978
590000 NEW EQUIPMENT 0 3,500 3,401 0
590100 EQUIPMENT REPLACEMENT 0 100,000 71 ,000 0
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 23
FUND : 01 - GENERAL CORPORATE
CENTER : 16 - FIRE DEPARTMENT
ACTIVITY : 20 — EMERGENCY MEDICAL SERVICES
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DFc3rPTPTIOt•1 1992/93 1993 1921 1994 C Q M M F NT
TOTAL CAPITAL 0 103,500 74,401 0
TOTAL EXPENSE 462,012 462,72E 415,052 524,454
TOTAL ACTIVITY REVENUE 0 0 0, 0
TOTAL ACTIVITY EXPENSE 46.2,012 4G2,726 415,052 524,454
NET ACTIVITY SURPLUS/DEFICIT 46.2,012- 452,726— 415,052- 524,454—
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 24
FUND : 01 - GENERAL CORPORATE
CENTER : 16 - FIRE DEPARTMENT
ACTIVITY : 22 - INSPECTION BUREAU
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1997/93 199'1 199'1 1994 C O M M E N T S
REVENUE
TOTAL REVENUE 0 0 0 0
EXPENSE
510000 SALARIES FULL-TIME 116,019 90,000 90,000 159,781
510010 SALARIES PART-TIME 122,267 97,699 90,000 136,982
510020 SALARIES OVERTIME 4,516 4,525 4,000 7,605
510026 MERIT BONUS 219 500 O 500
511010 PENSION I .M.R.F. 14,398 8,850 8,900 16,410
511035 F.I .C.A. 18,840 14,725 13,000 24,839
511040 HEALTH INSURANCE 14,654 15,539 13,469 21 ,591
511050 TRAVEL EXPENSE 225 100 100 150
511060 TRAINING 1 ,849 2,229 2,220 2,450
511070 DUES & MEMBERSHIPS 381 425 400 600
511080 UNIFORMS/CLOTHING ALLOWANCE 200 400 300 500
TOTAL PERSONNEL 293,568 234,992 222,389 371,408
520000 PRINTING/PUBLICATION 4,622 3,000 2,500 4,500
520020 GAS 4 OIL 1 ,382 1 ,155 1 ,000 1 ,500
520040 SUBSCRIPTIONS 0 150 195 225
520110 GENERAL OFFICE SUPPLIES 1 ,944 1 ,650 1 ,650 2,500
520275 MICROFILMING 0 O O 10,000
520500 MISCELLANEOUS 774 1 ,122 1 ,000 1,550
TOTAL MATERIALS 4 SUPPLIES 8,721 7,077 6,345 20,275
530000 LIABILITY INSURANCE 3,745 7,274 6,854 13,917
530100 MAINTENANCE VEHICLES 946. 1 ,872 1,872 1 ,700
530280 MAINTENANCE OTHER EQUIPMENT 864 1 ,16.5 1 ,000 1 ,175
530320 MAINTE14ANCE PORTABLE RADIOS 363 6k.0 500 1 ,000
530340 MA I PITENA14CE MOBILE RADIOS 1330 0 0 0
5303BO RENTALS 70 132 125 200
530475 PROFESSIONAL SERVICES 0 9,200 0 O
530547 SAFETY INCENTIVE 0 O 0 100
530700 OTHER SERVICES 25,302 23,523 20,000 27,042
TOTAL OPERATION 4 CONTRACTUAL 31 ,420 43.B26 30,351 45,134
590000 NEW EQUIPMENT 6,509 3,500 3,500 6,000
590100 EQUIPMENT REPLACEMENT 8,098 0 0 3,500
590300 STRUCTURAL IMPROVEMENTS 0 0 0 15,000
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 25
FUND : 01 - GENERAL CORPORATE
CENTER : 16 - FIRE DEPARTMENT
ACTIVITY : 22 - INSPECTION BUREAU
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER D S RIPTIDN 1992/9'1 1993 19911 1994 C D M M E N T C=
TOTAL CAPITAL 14,607 3,500 3,500 24,500
TOTAL EXPENSE 348,316 289,395 262,585 461 ,317
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 348,316 289,395 262,585 461 ,317
NET ACTIVITY SURPLUS/DEFICIT 348,316- 289,395- 262,585- 461 ,317-
TOTAL CENTER REVENUE 0 0 0 0
TOTAL CE14TER EXPENSE 2,782,914 2,249,391 2,093,889 3,241 ,853
NET CENTER SURPLUS/DEFICIT 2,782,914- 2,249,391- 2,093,889- 3,241 ,853-
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 26
FUND : 01 - GENERAL CORPORATE
CENTER : 18 - PUBLIC WORKS
ACTIVITY : 24 - BUILDINGS 4 GROUNDS
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 19Q2/91 1993 1999 1994 C ❑ M M F N T S_
REVENUE
TOTAL REVENUE 0 0 0 0
EXPENSE
510000 SALARIES FULL-TIME 79,646 55,700 50,102 84,735
510010 SALARIES PART-TIME 0 0 0 9,000
510020 SALARIES OVERTIME 2,793 1 ,340 2,001 2,200
511010 PENSION I .M.R.F. 6,165 5,400 4,788 8,000
511035 F.I .C.A. 6,161 4,400 4,000 7,340
511040 HEALTH INSURANCE 11 ,686 9,313 7,112 9,143
511060 TRAINING 60 400 0 400
511070 DUES 4 MEMBERSHIPS 45 0 0 100
511080 UNIFORMS/CLOTHING ALLOWANCE 1 ,186 1 ,050 1 ,005 2,100
TOTAL PERSONNEL 109,743 77,603 69,008 123,018
520010 POSTAGE 30,832 0 0 0
520020 GAS 4 OIL 482 370 210 620
520040 SUBSCRIPTIONS 0 50 50 50
520070 DRUGS &. MEDICAL 2,156 3,750 3,500 2,700
520080 TOOLS 4 HARDWARE 1 ,081 740 740 1 ,310
520100 CLEANING/SUPPLIES 2,466 1 ,600 1 ,600 2,600
520110 GENERAL OFFICE SUPPLIES 104 30 30 30
520500 MISCELLANEOUS 3,023 1 ,680 3,115 4,700
520600 GENERAL EQUIPMENT 0 6,550 3,119 7,150
TOTAL MATERIALS 4 SUPPLIES 40,145 14,770 12,364 19,160
530000 LIABILITY INSURANCE 4,746- 2,361 2,713 4,652
530020 TELEPHONE 73,370 0 0 O
530060 ELECTRIC 25,078 8,000 10,900 25,200
530080 LAUNDRY X CLEANING 24,871 17,400 17,200 26,900
530100 MAINTENANCE VEHICLES 323 235 235 590
530280 MAINTENANCE OTHER EQUIPMENT 8,725 10,090 10,090 13,765
530290 COPIER COSTS 7,439 0 0 0
530340 MAINTENANCE MOBILE RADIOS 0 70 70 100
530372 MAINTE14ANCE BUILDINGS 14,588 12,500 12,500 10,000
530374 MAINTENANCE GAZEBO 0 0 0 0
530380 RENTALS 2,799 2,350 2,350 3,140
530520 LANDSCAPING 13,217 17,000 12,500 17,800
530925 0/H MAINTENANCE OFFICE EQUIP 70 0 0 0
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 27
FUND : 01 - GENERAL CORPORATE
CENTER : 16 - PUBLIC WORKS
ACTIVITY : 24 - BUILDINGS & GROUNDS
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DFSCRIPTION 1992/93 1993 1993 1994 C O M M E_N T S
TOTAL OPERATION 4 CONTRACTUAL 165,734 70,005 68,558 102,147
590000 NEW EQUIPMENT 67,492 4,500 2,966 2,000
590100 EQUIPMENT REPLACEMENT 10,208 7,300 5,530 28,500
590200 NEW STRUCTURES 3,267 6,000 0 0
590300 STRUCTURAL IMPROVEMENTS 5,350 9,230 9,230 324,000
590307 RENOVATION 102,889 0 0 0
TOTAL CAPITAL 189,216 27,030 17,725 354,500
TOTAL EXPENSE 504,837 189,409 167,656 598,825
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 504,837 189,409 167,h5E• 598,825
NET ACTIVITY SURPLUS/DEFICIT 504,837- 189,409- 167,6.56- 598,825-
m ' = = = = = m = = m m m m m
VILLAGE OF OAF; BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 28
FUND : 01 - GENERAL CORPORATE
CENTER : 18 - PUBLIC WORKS
ACTIVITY : 26 - STREETS
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 199?/91 199"3 1993 1994 C O M M E N T S
REVENUE
.
TOTAL REVENUE O 0 0 0
EXPENSE
510000 SALARIES FULL-TIME 390,107 279,500 249,500 405,730
510010 SALARIES PART-TIME 9,292 13,520 13,275 15,540
510020 SALARIES OVERTIME 45,988 24,800 24,800 48,750
511010 PENSION I.M.R.F. 44,043 28,500 26,800 41 ,675
511035 F.I .C.A. 33,663 24,350 20,990 36,000
511040 HEALTH INSURANCE 55,618 48,134 36,648 62,632
511060 TRAINING 396 2,500 200 2,500
511070 DUES & MEMBERSHIPS 152 385 200 340
511080 UNIFORMS/CLOTHING ALLOWANCE 6,678 5,530 5,530 9,280
TOTAL PERSONNEL 585,936 427,219 377,943 622,447
520000 PRINTING/PUBLICATION 743 950 675 1 ,560
520020 GAS & OIL 15,791 11 ,500 11 ,500 16,900
520070 DRUGS & MEDICAL 634 520 350 440
520080 TOOLS & HARDWARE 2,779 2,310 2,310 2,950
520090 FOOD 1 ,148 300 200 1 ,200
520100 CLEANING/SUPPLIES 3,556 2,600 2,890 4,800
520110 GENERAL OFFICE SUPPLIES 983 980 700 1 ,030
520500 MISCELLANEOUS 5,238 2,900 2,900 3,450
520600 GENERAL EQUIPMENT 0 3,100 2,864 6,450
TOTAL MATERIALS & SUPPLIES 30,873 25,160 24,389 38,780
530000 LIABILITY INSURANCE 28,604 15,042 11 ,791 23,326
530060 ELECTRIC 23,972 O 0 0
530090 TRAFFIC SIGNALS & STREET LIGHT 40,077 48,000 29,000 64,500
530100 MAINTENANCE VEHICLES 24,068 21 ,000 17,000 26,800
530150 MAINTENANCE STORM SEWER 9,064 8,000 6,850 12,000
530160 MAINTENANCE ROADS & PATHS 50,108 45,600 46,700 71 ,680
530165 MAINTENANCE ST. SIGNS/STRIPING 6,592 4,550 4,000 15,600
530280 MAINTENANCE OTHER EQUIPMENT 47B 2,130 2,130 4,800
530340 MAINTENANCE MOBILE RADIOS 267 500 200 600
530380 RENTALS 0 300 120 1 ,300
530500 PEST CONTROL 66,696 55,124 52,004 53,950
530510 GARBAGE DISPOSAL 106,879 207,840 207,840 0
530522 LANDSCAPE CONTRACT 54,030 52,285 49,000 61 ,700
530524 FORESTRY 0 20,000 13,272 77,710
530542 RECYCLING EXPENSE 0 55,560 55,560 O
530700 OTHER SERVICES 0 16,200 500 500
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 29
FUND : 01 - GENERAL CORPORATE
CENTER : 18 - PUBLIC WORKS
ACTIVITY : 26 - STREETS
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER D S RTPTION 1992/9'7 1991 199'7 1994 C O M M E N T S
TOTAL OPERATION 4 CONTRACTUAL 418,835 552,131 495,967 414,466
590000 NEW EQUIPMENT 1 ,370 6,400 4,094 15,500
590100 EQUIPMENT REPLACEMENT 12,743 40,300 37,594 28,560
590300 STRUCTURAL IMPROVEMENTS 0 0 0 66,400
TOTAL CAPITAL 14,113 46,700 41 ,688 110,460
TOTAL EXPENSE 1 ,049,757 1 ,051 ,210 939,987 1 ,186,153
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 1 ,049,757 1 ,051 ,210 939,987 1 ,186,153
NET ACTIVITY SURPLUS/DEFICIT 1 ,049,757- 1 ,051 ,210- 939,987- 1 ,186,153-
r� r� � r � �■■ � r r� r� � � � r r r rr � r
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 30
FUND : 01 - GENERAL CORPORATE
CENTER : 18 - PUBLIC WORKS
ACTIVITY : 28 - GARAGE
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/93 1993 199q 1994 C D M M E_ N T S _
REVENUE
TOTAL REVENUE 0 O 0 0
EXPENSE
510000 SALARIES FULL-TIME' 77,900 55,650 50,315 87,091
510010 SALARIES PART-TIME' 1 ,391 '6,120 3,770 9,500
510020 SALARIES OVERTIME 4,137 2,000 2,000 4,500
511010 PENSION I.M.R.F. 8,156 5,400 5,833 8,400
511035 F.I.C.A. 6,281 4,900 4,010 7,700
511040 HEALTH INSURANCE 11 ,087 9,313 7,785 12,966
511060 TRAINING 115 2,200 30 2,200
511080 UNIFORMS/CLOTHING ALLOWANCE 1 ,058 1 ,250 1 ,250 1 ,950
TOTAL PERSONNEL 110,126 86,833 74,993 134,307
520000 PRINTING/PUBLICATION 190 300 265 215
520020 GAS & OIL 1 ,374 1 ;460 1 ,460 2,520
520040 SUBSCRIPTIONS 0 200 200 200
520070 DRUGS A MEDICAL 728 270 296 450
520080 TOOLS 4 HARDWARE 2,803 2,240 2,240 6,360
520100 CLEANING/SUPPLIES 1 ,771 790 790 1 ,860
520110 GENERAL OFFICE SUPPLIES 38 70 70 150
520500 MISCELLANEOUS 4,883 1 ,600 1 ,500 3,300
520600 GENERAL EQUIPMENT 0 500 421 O
TOTAL MATERIALS A SUPPLIES 11 ,786 7,430 7,242 15,055
530040 NATURAL GAS 7,021 2,940 4,850 6,330
530100 MAINTENANCE VEHICLES 1,908 1 ,860 930 2,000
530280 MAINTENANCE OTHER EQUIPMENT 4 900 900 1 ,600
530340 MAINTENANCE MOBILE RADIOS 107 1 ,800 200 600
530372 MAINTENANCE BUILDINGS 491 1 ,300 0 1 ,700
530700 OTHER SERVICES 5,941 5,200 1 ,800 3,300
TOTAL OPERATION ,4 CONTRACTUAL 15,472 14,000 8,680 15,130
590000 NEW EQUIPMENT 7,987 12,000 4,000 0
590100 EQUIPMENT REPLACEMENT 200,000 42,000 41 ,509 200,000
TOTAL CAPITAL 207,987 54,000 45,509 200,000
r = = = = m = m r = r = m m m r = m =
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 31
FUND : 01 - GE14ERAL CORPORATE
CENTER : 18 - PUBLIC WORKS
ACTIVITY : 28 - GARAGE
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMAFR DESCRIPTION 1992/91 1993 1993 1994 C n M M E N T
TOTAL EXPENSE 345,372 162,26.3 136,424 364,492
TOTAL ACTIVITY REVENUE 0 O 0 O
TOTAL ACTIVITY EXPENSE 345,372 162,263 136,424 364,492
NET ACTIVITY SURPLUS/DEFICIT 345,3:2- 16.2,263- 136,424- 364,492-
a s as a a a as ® a a a a a a a as a a a
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 32
FUND : 01 - GENERAL CORPORATE
CENTER : 18 - PUBLIC WORKS
ACTIVITY : 30 - CAPITAL IMPROVEMENTS
ACCOUNT ACTUAL , BUDGET ESTIMATED PROPOSED
N 1MR R D S PTPTTfltl 199''/9'7 199'7 199'T 1994 C O M M E N T S
REVENUE
TOTAL REVENUE 0 0 0 0
EXPENSE
520000 PRINTING/PUBLICATION 227 400 282 0
TOTAL MATERIALS .4 SUPPLIES 227 400 282 0
530475 PROFESSIONAL SERVICES 0 13,500 6,475 0
530490 ENGINEERING 164,070 153,320 121 ,661 5,000
530550 PHOTOGRAPHY ,4 BLUEPRINTING 110- 0 0 0
TOTAL OPERATION 4 CONTRACTUAL 163,960 166,820 128,136 5,000
581000 TRANSFERS OUT 1 ,500,000 1 ,000,000 1 ,000,000 1 ,595,000
TOTAL MISCELLANEOUS 1 ,500,000 1 ,000,000 1 ,000,000 1 ,595,000
590400 BIKE TRAIL 3. MISC. IMPROVEMENT 0 115,000 76,676 0
590405 PAVING IMPROVEMENTS 1 ,656,430 95,500 60,998 363,000
590420 DRAINAGE IMPROVEMENTS 150,119 165,500 27,004 10,000
TOTAL CAPITAL 1 ,806,549 376,000 164,678 373,000
TOTAL EXPENSE 3,470,736 1 ,543,220 1 ,293,096 1 ,973,000
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 3,470,736 1 ,543,220 1 ,293,096 1 ,973,000
NET ACTIVITY SURPLUS/DEFICIT 3,470,736- 1 ,543,220- 1 ,293,096- 1 ,973,000-
TOTAL CENTER REVENUE 0 0 0 0
TOTAL CENTER EXPENSE 5,370,701 2,946,102 2,537,163 4,122,470
NET CENTER SURPLUS/DEFICIT 5,370,701- 2,946,102- 2,537,163- 4,122,470-
VILLAGE OF OAK BROOK; PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 33
FUND : 01 - GENERAL CORPORATE
CENTER : 20 - LIBRARY
ACTIVITY : 32 - LIBRARY
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1942/93 1993 1993 1994 r n M M E N T S
RrV NU i
TOTAL REVENUE 0 0 0 0
EXPENSE
510000 SALARIES FULL-TIME 73,059 52,100 50,441 73,835
510010 SALARIES PART-TIME 41 .972 32,430 31 ,241 53,773
511010 PENSION I .M.R.F. 8,841 4,900 4,722 8,280
511035 F.I .C.A. 8,899 6,500 5,230 9,520
511040 HEALTH INSURANCE 10,354 9,313 5,8215 9,143
511050 TRAVEL EXPENSE 123 100 93 150
511060 TRAINING 91 65 71 100
511070 DUES & MEMBERSHIPS 154 170 169 200
TOTAL PERSONNEL 143,493 105,578 99,793 155,001
520000 PRINTING/PUBLICATION 579 642 587 1 ,300
520040 SUBSCRIPTIONS 3,720 3,882 3,015 4,522
520080 TOOLS A HARDWARE 349 500 100 500
520110 GENERAL OFFICE SUPPLIES 2,584 1 ,941 710 2,900
520500 MISCELLANEOUS 40 95 75 145
520500 GENERAL EQUIPMENT 0 500 470 500
TOTAL MATERIALS & SUPPLIES 7,273 7,550 4,957 9,867
530000 LIABILITY INSURANCE 2,053 3,453 3,387 6,718
530040 NATURAL GAS 3,397 1 ,814 1 ,814 3,570
530080 LAUNDRY 4 CLEANING 3,838 2,15E• 2,197 3,995
530280 MAINTENANCE OTHER EQUIPMENT 2,343 2,960 1 ,5#-•0 1 ,705
530380 RENTALS 2,034 1 ,344 923 2,568
530700 OTHER SERVICES 13,549 47,682 11 ,663 54,190
TOTAL OPERATION A CONTRACTUAL 27,214 59,409 21 ,644 72,745
590000 NEW EQUIPMENT 227 6,000 4,685 12,600
590350 LIBRARY BOOKS 44,551 28,875 25,718 45,478
590370 NON-PRINT MEDIA 1 ,220 1 ,700 1 ,565 3,550
TOTAL CAPITAL 45,997 36•,575 32,168 61 ,528
TOTAL EXPENSE 223,976 209,122 158,56.2 299,242
i = m = = = = = r = r
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 34
FUND : O1 - GENERAL CORPORATE
CENTER : 20 - LIBRARY
ACTIVITY : 32 - LIBRARY
ACCOU14T ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER nFRCRTPTiON 1992/93 1993 1993 1994 C D M M E N T_S___
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 223,976 209,122 158,562 299,242
NET ACTIVITY SURPLUS/DEFICIT 223,976- 209,122- 158,562- 299,242-
TOTAL CENTER REVENUE 0 0 0 0
TOTAL CENTER EXPENSE 223,976 209,122 158,562 299,242
NET CENTER SURPLUS/DEFICIT 223,976- 209,122- 158,562- 299,242-
TOTAL FUND REVENUE 13,955,727 9,815,336 10,780,641 13,678,849
TOTAL FUND EXPENSE 12,907,690 9,723,042 7,821 ,703 13,474,471
NET FUND SURPLUS/DEFICIT 1 ,048,037 92,294 2,958,938 204,378
' Village of Oak Brook
Corporate Fund
Proposed Capital Outlays
1994 Budget Year
' Proposed
Capital Proposed
Budget Contingency
' Board of Trustees
Computer and software 2,000 0
' Aerial photo of Village 16,800 0
' 18,800 0
Legal
' Computer 1,500 0
' Village Manager
Computer, printer, and software, Village Manager 4,150 0
' Computer, printer, and software, Switchboard/Clerk 3,150 0
Computer, printer, and software, Human Resources Mgr. 2,700 0
' 10,000 0
Village Clerk
Computer, printer, and software 5,280 0
Copier machine, 50% (with Engineering) 4,500 0
' Dutch door for security in archives 2,000 0
11,780 0
' General Services
Telephone digital 24-hr recording system for Village information line 6,500 0
' Finance &Accounting
New cash register for front desk 3,000 0
' Village of Oak Brook
Corporate Fund
Proposed Capital Outlays
1994 Budget Year
' Proposed
Capital Proposed
Budget Contingency
' Purchasing/Grants
Computer, printer, and software , New Clerk 3,500 0
' Police Department
' Replace carpeting and tile 18,500 0
Specta Tac- private line 14,000 0
Accreditation office, cont. room, reception area 10,000 0
' 3 Computers 6,054 0
Computer, software, and printer, Accreditation Manager 4,500 0
Side marker strobe lights, all marked vehicles 3,000 0
' Radio room countertop replace me nt/reconfig u ration 3,000 0
Headsets for Operators 2,000 0
2 Desk replacements 1,706 0
' Office furniture, Accreditation Manager 1,000 0
New file cabinets 1,000 0
Equipment mounts for #304 ĵ 900 0
' In car video camera 0 6,500
2 Radar units 0 4,200
65,660 10,700
Fire Department
'
Replacement of Fire Station#2 rear drive 50 000
P ,
' Station one facility renovation study 15,000 0
Update self-contained breathing apparatus 12,500 0
Upgrade haz-mat equipment 10,000 0
' Bureau of Inspections computers&software 6,000 0
Replace fire hose 5,000 0
Update Village fire & building codes 3,500 0
Vari-clear communications system- 914 3,300 0
Confined space/below grade rescue equipment 2,000 0
Reroof Fire Station #2 0 75,000
' Village of Oak Brook
Corporate Fund
' Proposed Capital Outlays
1994 Budget Year
' Proposed
Capital Proposed
Budget Contingency
' Fire Department(cont)
Update/Upgrade paramedic equipment 0 45,000
' Specialty team vehicle 0 30,000
Update Opticom system 0 20,000
' Recarpeting - Station#1  0 15,000
Building Department vehicle 0 15,000
Install Spectra-Tac radio booster 0 10,000
' Paint Apparatus floor area 0 10,000
Replace Station#1  furniture 0 3,500
' 107,300 223,500
Engineering
' Copier machine, 50% (with Village Clerk) 4,500 0
Computer, printer, and software 2,200 0
' Upgrade AutoCAD PC 1,500 0
8,200 0
Public Works
' American Disability Act- includes engineering 259,000 o�-' 0
' Engineering/Construction of underground storage tanks 196,300 0
Village Hall, Library, and Public Works tuckpointing 30,000 0
Bike path underpass lighting-York, Jorie, & Rt. 83 28,000 0
Maintenance of traffic control standards 27,000 0
Salt Creek rain gauge 25,000 0
Payments on unit#505 24,060 0
' P.W. Garage over head doors 15,000'' 0
Retaining wall 8,000'' 0
Concrete saw 7,000 0
' Traffic control cabinet-22nd &Jorie 6,400 0
Village Hall e/w entrance thermopane windows (3) 6,000' 0
Cipher locks (employee lounge) 6,000 0
Village of Oak Brook
Corporate Fund
' Proposed Capital Outlays
1994 Budget Year
' Proposed
Capital Proposed
' Budget Contingency
Public Works (cont)
Truck mounted gravel spreader 5,500 0
Electrical Service for Old Oak brook Dam Gates 5,000 0
Power washer 4,500 0
Mug welder 3,700 0
Leaf box extension 3,000 0
Village Hall hot water tank 2,500 0
' Air conditioning tube cleaner 2,000 0
Public Works hot water tank 1,000 0
Commonwealth secondary feed 0 150,000
' Aerial bucket truck 0 75,000
Non-skid floor covering for P.W. Garage 0 25,000
Brush/limb chipper 0 25,000
Engine diagnostic machine 0 24,000
Wheel alignment system 0 10,000
664,960 309,000
Library
' Microfilm reader/printer 5,600 0
Signage for Library 2,000 0
' Magazine indexing, hardware &software 5,000 0
Library Books 45,478 0
Cassettes& compact discs 3,550 0
' 61,628 0
' Public Works Capital
Engineering-Jorie Blvd. 5,000 0
' Paving-Jorie Blvd. 363,000 0
Drainage- Old Oak Brook Dam 10,000 0
' 378,000 0
Total Corporate Fund 1,340,828 543,200
� Hotel/Motel Tax Fund
1
1
1
1
1
1
1
1
1
i
1
1
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 36
FUND : 03 - HOTEL/MOTEL TAX FUND
CENTER : 00 - GENERAL
ACTIVITY : 00 - ADMINISTRATION
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/93 199'1 1993 1994 C O M M E N S_
RFV N 1
440000 INTEREST 1 ,631 1 ,100 850 1 ,300
440400 HOTEL/MOTEL TAX 210,066 150,000 155,000 220,000
TOTAL MISC. INCOME 211 ,697 151 ,100 155,850 221 ,300
TOTAL REVENUE 211 ,697 151 ,100 155,850 221 ,300
FYP�.F.
520500 MISCELLANEOUS 10 0 0 0
TOTAL MATERIALS ,4 SUPPLIES 10 0 0 0
•
530710 ADVEP.TISEMENT/PROMOTION 147,519 130,000 66,647 206,650
530720 DUPAGE CONVENTION BUREAU 47,473 30,000 30,200 44,000
530730 CONTINGENCY 0 20,000 0 0
TOTAL OPERATION .4 CONTRACTUAL 194,992 180,000 96,847 250,650
TOTAL EXPENSE 195,002 180,000 96,847 250,650
TOTAL ACTIVITY REVENUE 211,697 151 ,100 155,850 221 ,300
TOTAL ACTIVITY EXPENSE 195,002 180,000 96,847 250,650
r4ET ACTIVITY SURPLUS/DEFICIT 16,695 28,900- 59,003 29,350-
TOTAL CENTER REVENUE 211 ,697 151 ,100 155,850 221 ,300
TOTAL CENTER EXPENSE 195,002 180,000 96,847 250,650
NET CENTER SURPLUS/DEFICIT 16,695 28,900- 59,003 29,350-
TOTAL FUND REVENUE 211 ,697 151 ,100 155,850 221 ,300
TOTAL FUND EXPENSE 195,002 180,000 96,847 250,650
NET FUND SURPLUS/DEFICIT 16,695 28,900- 59,003 29,350-
� Motor Fuel Tax Fund
1
1
i
1
1
1
1
1
1
1
1
1
i = = = = m = = = = m
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 37
FUND : 05 - MOTOR FUEL TAX
CENTER : 18 - PUBLIC WORKS
ACTIVITY : 00 - ADMINISTRATION
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DFRfRIPTION 199?/9q 1993 1993 1994 G O M M F N T S _
RFV Nle
410150 MOTOR FUEL TAX ALLOTMENTS 197,715 119,340 152,840 208,100
TOTAL INTERGOVERNMENTAL 197,715 119,340 15,840 208,100
440000 INTEREST 7,624 5,280 5,780 8,400
TOTAL MISC. INCOME 7,624 5,280 5,780 8,400
TOTAL REVENUE 205,339 124,620 158,620 216,500
FXP NS
520060 CHEMICALS 46,157 12,750 12,750 49,000
TOTAL MATERIALS & SUPPLIES 46,157 12,750 12,750 49,000
530060 ELECTRIC 35,562 37,000 25,000 36,000
TOTAL OPERATION & CONTRACTUAL 35,562 37,000 25,000 36,000
590407 STREET IMPROVEMENTS 124,126 60,000 59,829 63,000
TOTAL CAPITAL 124,126 6.0,000 59,829 63,000
TOTAL EXPENSE 205,845 109,750 97,579 148,000
TOTAL ACTIVITY REVENUE 205,339 124,620 158,620 216,500
TOTAL ACTIVITY EXPENSE 205,845 109,750 97,579 148,000
NET ACTIVITY SURPLUS/DEFICIT 505- 14,870 61 ,041 68,500
TOTAL CENTER REVENUE 205,339 124,620 158,620 216,500
TOTAL CENTER EXPENSE 205,845 109,750 97,579 148,000
NET CENTER SURPLUS/DEFICIT 505- 14,870 61,041 68,500
TOTAL FUND REVENUE 205,339 124,620 158,620 216,500
TOTAL FUND EXPENSE 205,845 109,750 97,579 148,000
NET FUND SURPLUS/DEFICIT 505- 14,070 61 ,041 68,500
� Water Fund
1
1
1
1
1
1
1
1
1
1
1
1
ri ri r ri �r irr rr r r r r r r r r it r r r
VILLAGE OF OAF•; BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 38
FUND : 08 - WATER
CENTER : 00 - GENERAL
ACTIVITY : 00 - ADMINISTRATION
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/93 1993 199n 1994 C O M ME N T S_-
REVENUE
430000 WATER SALES 3,352,896 2,739,875 2,449,500 4,125,000
430100 UNMETERED SALES 10,712 4,020 1 ,000 4,000
430200 WATER TAP ON CHARGES 86,377 26,000 62,000 60,000
430300 FIRE SERVICE CHARGE 107,842 73,000 73,000 107,900
430400 METER FEES B,706 7,500 4,000 3,100
430500 SPECIAL SERVICES 10,054 14,735 14,735 12,000
430600• W/C REIMBURSEMENT P/A STATION 519,804 0 0 0
TOTAL UTILITIES 4,096,392 2,865,130 2,604,235 4,312,000
440000 INTEREST. 100,079 126,816 60,000 78,361
440200 MISCELLANEOUS 78,450 37,900 33,000 49,200
TOTAL MISC. INCOME 178,529 164,716 93,000 127,561
450010 GARBAGE FEES 454 0 0 0
TOTAL FEES 454 0 0 0
TOTAL REVENUE 4,275,374 3,029,846 2,697,235 4,439,561
FXPFNSF
TOTAL EXPENSE 0 0 0 0
TOTAL ACTIVITY REVENUE 4,275,374 3,029,846 2,697,235 4,439,561
TOTAL ACTIVITY EXPENSE 0 0 0 O
NET ACTIVITY SURPLUS/DEFICIT 4,275,374 3,029,846 2,697,235 4,439,561
TOTAL CENTER. REVENUE 4,275,374 3,029,846 2,697,235 4,439,561
TOTAL CENTER EXPENSE 0 0 0 0
NET CENTER SURPLUS/DEFICIT 4,275,374 3,029,846 2,697,235 4,439,561
m ! m m m m m m m m m m m m m m m m m
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 39
FUND : 08 - WATER
CENTER : 18 - PUBLIC WORKS
ACTIVITY 1 34 - WATER DEPARTMENT
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMB R DFS RiPTTON 1992/91 199'1 1993 1994 C O M M E N T S
REVENUE
TOTAL REVENUE 0 0 0 0
EXPENSE
510000 SALARIES FULL-TIME 131 ,630 133,500 91 ,343 184,000
510010 SALARIES PART-TIME 12,349 6,860 6,650 14,260
510020 SALARIES OVERTIME 27,803 19,400 19,400 34,000
511010 PENSION I .M.R.F. 15,889 14,325 10,365 19,995
511035 F.I .C.A. 12,928 12,250 8,220 17,770
511040 HEALTH INSURANCE 21 ,808 26,700 14,866 35,000
511060 TRAINING 115 3,160 0 3,150
511070 DUES & MEMBERSHIPS 195 300 105 180
511080 UNIFORMS/CLOTHING ALLOWANCE 1 ,740 3,200 2,250 5,660
511090 UNEMPLOYMENT COMPENSATION 0 0 0 0
TOTAL PERSONNEL 224,456 219,695 153,199 314,015
520000 PRINTING/PUBLICATION 1 ,219 2,500 2,500 3,660
520020 GAS & OIL 6,235 4,700 3,000 6,500
520060 CHEMICALS 419 750 300 1 ,020
520080 TOOLS !l HARDWARE 721 1,550 1,200 2,150
520090 FOOD 731 900 470 770
520100 CLEANING/SUPPLIES 84 110 25 75
520110 GENERAL OFFICE SUPPLIES 34 115 300 500
520500 MISCELLANEOUS 2,373 2,350 1 ,150 2,490
520600 GENERAL EQUIPMENT 0 4,980 4,652 2,670
TOTAL MATERIALS 4 SUPPLIES 11 ,815 17,955 13,597 19,835
530000 LIABILITY INSURANCE 3,594 5,001 4,595 8,409
530020 . TELEPHONE 1 ,549 1 ,200 1 ,200 2,790
530060 ELECTRIC 66,586 33,000 24,000 72,000
530100 MAINTENANCE VEHICLES 8,421 2,880 2,880 8,840
530142 MAINTENANCE WATER MAINS 61 ,691 37,700 35,600 79,800
530144 MAINTENANCE HYDRANTS & VALVES 13,357 26,000 11 ,500 24,140
530146 MAINTENANCE WELLS 8,710 5,650 5,650 9,600
530148 MAINTENANCE STORAGE TANKS 14,721 15,000 12,800 16,400
53030 MAINTENANCE PORTABLE RADIOS 161 250 250 310
530480 AUDITING 4,290 4,600 4,680 4,680
530522 LANDSCAPE CONTRACT 12,677 13,800 12,675 15,310
530570 PURIFICATION 4,761 11 ,875 3,830 8,200
530580 WATER METER SERVICE 20,763 15,000 3,000 25,775
530585 DUPAGE WATER COMMISSION 0&t1 2,330,629 1 ,431 ,060 1 ,225,000 1 ,868,000
530590 DUPAGE WATER COMMISSION 459,975 614,880 593,000 870,500
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 40
FUND s 08 - WATER
CENTER 18 — PUBLIC WORKS
ACTIVITY 34 — WATER DEPARTMENT
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DFSCRIPTTnN 19912/97 1997 1997 1994 C O M M E N T_S_—
TOTAL OPERATION & CONTRACTUAL 3,011 ,884 2,217,896 1,940,660 3,014,754
590000 NEW EQUIPMENT 0 4,500 4,500 4,900
590100 EQUIPMENT REPLACEMENT 706 96,600 86,800 9,300
590300 STRUCTURAL IMPROVEMENTS 0 0 0 88,000
590430 'WATER METERS 0 34,670 33,300 35,600
TOTAL CAPITAL 706 135,770 124,600 137,800
TOTAL EXPENSE 3,248,862 2,591 ,316 2,232,056 3,486,404
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 3,248,862 2,591,316 2,232,056 3,486,404
NET ACTIVITY SURPLUS/DEFICIT 3,248,862— 2,591 ,316- 2,232,056- 3,486,404-
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 41
FUND : 08 - WATER
CENTER : 18 - PUBLIC WORKS
ACTIVITY : 35 - CAPITAL IMPROVEMENTS
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/93 1993 1993 1994 C O M M E_N_ T S
REVENUE
TOTAL REVENUE 0 0 0 0
FXPFNSr
520000 PRINTING/PUBLICATION 1 100 0 100
TOTAL MATERIALS & SUPPLIES 1 100 0 100
530475 PROFESSIONAL SERVICES 4,708- 11 ,000 4,663 12,200
530490 ENGINEERING 24,070- 53,089 31 ,87E 132,510
TOTAL OPERATION & CONTRACTUAL 26,778- 64,089 35,539 144,710
590,140 WATER DISTRIBUTION 4,500 6.:3,500 15,970 842,500
590450 WATER PUMPING & STORAGE O 19,000 23,713 19,000
TOTAL CAPITAL 4,500 82,500 39,583 861 ,500
TOTAL EXPENSE 24,277- 146,6.89 76,222 1 ,006,310
TOTAL ACTIVITY REVENUE 0 O O 0
TOTAL ACTIVITY EXPENSE 24,277- 146,689 76,222 1 ,001,310
NET ACTIVITY SURPLUS/DEFICIT 24,277 146,689- 76,222- 1 ,006,310-
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 42
FUND : 08 - WATER
CENTER : 18 - PUBLIC WORF•;S
ACTIVITY : 38 - DEBT SERVICE
ACCOUNT ACTUAL BUDGET • ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/93 1993 1993 1994 C O M M E N T _$-
RFVFNUF
.TOTAL REVENUE 0 0 0 0
FXPENSF
530660 BOND COLLECTION FEE 149 150 25 150
530900 AMORTIZATION OF BOND DISCOUNT 5,170 0 0 0
TOTAL OPERATION A CONTRACTUAL 5,319 150 25 150
581000 TRANSFERS OUT 256,760 184,000 184,000 275,000
582000 BONDS 1973 SERIES 0 0 0 225,000
582100 INTEREST 1973 SERIES 44,400 22,500 21 ,767 25,000
582300 INTEREST 1976 SERIES 0 0 0 0
582700 DEPRECIATION EXPENSE 433,312 0 0 0
TOTAL MISCELLANEOUS 734,472 206,500 205,767 525,000
TOTAL EXPENSE 739,791 206,650 205,792 525,150
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 739,791 206,650 205,792 525,150
NET ACTIVITY SURPLUS/DEFICIT 739,791- 206,650- 205,792- 525,150-
TOTAL CENTER REVENUE 0 0 0 0
TOTAL CENTER EXPENSE 3,964,375 2,944,655 2,514,070 5,017,864
NET CE14TER SURPLUS/DEFICIT 3,964,375- 2,944,655- 2,514,070- 5,017,864-
TOTAL FUND REVENUE 4,275,374 3,029,846 2,697,235 4,439,561
TOTAL FUND EXPENSE 3,964,375 2,944,655 2,514,070 5,017,864
NET FUND SURPLUS/DEFICIT 310,999 85,191 183,165 578,303-
� Self Insurance Fund
1
1
1
1
1
1
1
1
1
1
1
1
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 43
FUND : 09 - SELF INSURANCE
CENTER : 00 - GENERAL
ACTIVITY : 00 - ADMINISTRATION
ACCOU14T ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/93 1993 1993 1994 r_n M M F N T S
R V N 1
440600 VILLAGE CONTRIBUTION 0 0 351 ,000 591 ,105
440610 PARKS DISTRICT CONTRIBUTION 0 0 13,333 31 ,400
4406MO RETIRE CONTRIBUTION 0 0 26,560 55,500
440625 COBRA CONTRIBUTION 0 0 6,200 12,000
TOTAL MISC. INCOME 0 0 407,193 790,005
TOTAL REVENUE 0 0 407,193 790,005
EXPENSE-;
511105 AGREGATE PREMIUM 0 0 3,259 6,600
511115 SPECIFIC PREMIUM 0 0 86,800 170,100
511125 PPO PREMIUM 0 0 2,400 4,800
511135 LIFE INSURANCE 0 0 11 ,360 24,000
511145 ADMINISTRATIVE FEE 0 0 8,200 13,200
511155 HEALTH CLAIMS 0 0 240,000 523,900
511165 DENTAL CLAMIS 0 0 19,300 82,700
TOTAL PERSONNEL 0 0 371 ,318 825,300
TOTAL EXPENSE 0 0 371 ,318 825,300
TOTAL ACTIVITY REVENUE 0 0 407,193 790,005
TOTAL ACTIVITY EXPENSE 0 0 371 ,318 825,300
NET ACTIVITY SURPLUS/DEFICIT 0 0 35,875 35,295-
TOTAL CENTER REVENUE 0 0 407,193 790,005
TOTAL CENTER EXPENSE 0 0 371 ,318 825,300
NET CENTER SURPLUS/DEFICIT 0 0 35,875 35,295-
TOTAL FUND REVENUE 0 0 407,193 790,005
TOTAL FUND EXPENSE 0 0 371 ,318 825,300
NET FUND SURPLUS/DEFICIT 0 0 35,875 35,295-
� Police Pension Fund
1
1
1
1
1
1
1
1
1
1
1
VILLAGE OF OAK: BROOK; PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 44
FUND : 10 - POLICE PENSION
CENTER : 00 - GENERAL
ACTIVITY : 00 - ADMINISTRATION
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
N11MR R DF4 RTPTTON 199?/9'7 1993 199'7 1994 C O M M E N T S
REVENUE
410500 EMPLOYEE CONTRIBUTIONS 149,700 101 ,367 108,000 160,000
410600 VILLAGE CONTRIBUTIONS 282,773 163,314 147,000 257,400
TOTAL INTERGOVERNMENTAL 432,473 264,681 255,000 417,400
440000 INTEREST 769,310 520,000 522,280 780,000
TOTAL MISC. INCOME 769,310 520,000 522,280 780,000
TOTAL REVENUE 1 ,201 ,783 784,681 _777,280 1 ,197,400
EXPENSE
511042 PHYSICAL EXAMINATIONS 330 1 ,000 0 1 ,000
TOTAL PERSONNEL 330 1 ,000 0 1 ,000
520000 PRINTING/PUBLICATION 0 350 0 250
520500 MISCELLANEOUS 1 ,168 2,000 500 2,000
TOTAL MATERIALS & SUPPLIES 1 ,168 2,350 500 2,250
530465 LICENSES a FEES 25 25 25 25
530480 AUDITING 1 ,155 1 ,260 1 ,260 1 ,260
530680 PENSION BENEFIT EXPENSE 193,250 150,000 198,525 291 ,528
530685 PE14SION REFUNDS 4,102 14,500 0 14,500
530700 OTHER SERVICES 11 ,127 4,200 8,600 57,350
TOTAL OPERATION 4 CONTRACTUAL 209,659 169,985 208,410 364,663
TOTAL EXPENSE 211 ,157 173,335 208,910 367,913
TOTAL ACTIVITY REVENUE 1 ,201 ,763 784,681 777,280 1 ,197,400
TOTAL ACTIVITY EXPENSE 211 ,157 173,335 208,910 367,913
NET ACTIVITY SURPLUS/DEFICIT 990,626 511 ,346 568,370 829,487
TOTAL CENTER REVENUE 1,201 ,783 784,681 777,280 1,197,400 ,
TOTAL CENTER EXPENSE 211 ,157 173,335 208,910 367,913`
NET CENTER SURPLUS/DEFICIT 990,626 611 ,346 568,370 829,487
VILLAGE OF OAF; BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 45
FUND : 10 - POLICE PENSION
CENTER : 00 - GENERAL
ACTIVITY - NOT ON FILE
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DFR .RTPTLON 1992/93 1993 1993 1994 COMMENTS
TOTAL FUND REVENUE 1 ,201 ,783 784,581 777,280 1 ,197,400
TOTAL FUND EXPENSE 211 ,157 173,335 208,910 357,913
NET FUND SURPLUS/DEFICIT 990,626 511 ,345 568,370 829,487
i
� Firefighters Pension Fund
1
1
1
1
1
1
1
i
1
1
1
1
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 46
FUND : 11 - FIREFIGHTERS PENSION
CENTER : 00 - GENERAL
ACTIVITY : 00 - ADMINISTRATION
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DFSCRIPTION 1992193 1993 1991 1994 C O M M E N T S
REVENUE
410500 EMPLOYEE CONTRIBUTIONS 123,020 80,966 82,200 127,000
410600 VILLAGE CONTRIBUTIONS 253,496 206,096 196,800 323,433
TOTAL INTERGOVERNMENTAL 376,516 287,062 279,000 450,433
440000 INTEREST 868,846 530,000 475,000 720,000
TOTAL MISC. INCOME 868,846 530,000 475,000 720,000
TOTAL REVENUE 1 ,245,362 817,062 754,000 1 ,170,433
EXPENSE
511042 PHYSICAL EXAMINATIONS 1 ,188 1 ,000 1 ,000 1 ,500
TOTAL PERSONNEL 1 ,188 1 ,000 1 ,000 1 ,500
520500 MISCELLANEOUS 4,523 2,500 250 2,500
TOTAL MATERIALS 74 SUPPLIES 4,523 2,500 250 2,500
530480 AUDITING 1 ,155 1 ,260 1 ,260 1 ,260
530680 PENSION BENEFIT EXPENSE 197,354 160,000 165,600 303,000 r
530685 PENSION REFUNDS 0 5,000 0 5,000
530700 OTHER SERVICES 36,926 26,000 31 ,000 43,000
TOTAL OPERATION 4 CONTRACTUAL 235,435 192,260 197,860 352,260
590000 NEW EQUIPMENT 2,713 0 O 0
TOTAL CAPITAL 2,713 0 0 0
TOTAL EXPENSE 243,859 195,760 199,110 351_.,260
TOTAL ACTIVITY REVENUE 1 ,245,362 817,062 754,000 1 ,170,433
TOTAL ACTIVITY EXPENSE 243,859 195,760 199,110 356,260
NET ACTIVITY SURPLUS/DEFICIT 1 ,001 ,503 621 ,302 554,890 814,173
VILLAGE OF OAF; BR00K PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 47
FUND• : 11 - FIREFIGHTERS PENSION
CENTER : 00 - GENERAL
ACTIVITY : 00 - ADMI14ISTRATION
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER D 4 RTPTiON 1997/9'7 1993 199q 1994 C O M M E_N 1'_5_
TOTAL CENTER REVENUE 1 ,245,362 817,062 754,000 1,170,433
TOTAL CENTER EXPENSE 243,859 195,760 199,110 355,260
NET CENTER SURPLUS/DEFICIT 1 ,001 ,503 621 ,302 554,890 814,173
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 48
FUND : 11 — FIREFIGHTERS PENSION
CENTER : 00 - GENERAL
ACTIVITY - NOT ON FILE
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMRER DESCRIPTION 1992/93 1993, 1993 1994 C O M M E N 1 S
TOTAL FUND REVENUE 1 ,245,362 817,062 754,000 1 ,170,433
TOTAL FUND EXPENSE 243,859 195,760 199,110 356,260
NET FUND SURPLUS/DEFICIT 1 ,001 ,503 621 ,302 554,890 814,173
� Debt Service Fund
1
1
1
1
1
1
1
1
� I
1
1
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 49
FUND : 12 - DEBT SERVICE
CENTER : 00 - GENERAL
ACTIVITY : 00 - ADMINISTRATION
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER R DFSf R I PT I nN 199?/9q 1993 1993 1994 c n M M E N--T
$FVE�lUE �
410350 REAL ESTATE TAX 840,312 848,710 828,571 629,970
410400 REPLACEMENT TAX 122,813 117,440 68,351 137,000
TOTAL INTERGOVERNMENTAL 963,125 966,150 896,922 766,970
440000 INTEREST 15,272 11 ,000 13,000 13,000
TOTAL MISC. INCOME 15,272 11 ,000 13,000 13,000
TOTAL REVENUE 978,397 977,150 909,922 779,970
EXPENSE
530660 BOND COLLECTION FEE 775 950 720 630
TOTAL OPERATION 4 CONTRACTUAL 775 950 720 630
582500 S.C. BONDS 850,000 900,000 900,000 900,000
582600 G.O. BOND INTEREST 108,600 88,200 88,200 44,100
TOTAL MISCELLANEOUS 958,600 988,200 988,200 944,100
TOTAL EXPENSE 959,375 989,150 988,920 944,730
TOTAL ACTIVITY REVENUE 978,397 977,150 909,922 779,970
TOTAL ACTIVITY EXPENSE 959,375 989,150 988,920 944,730
NET ACTIVITY SURPLUS/DEFICIT 19,022 12,000- 78,998- 164,760-
TOTAL CENTER REVENUE 978,397 977,150 909,922 779,970
TOTAL CENTER EXPENSE 959,375 989,150 988,920 944,730
NET CENTER SURPLUS/DEFICIT 19,022 12,000- 78,998- 164,760-
TOTAL FUI40 REVENUE 978,397 977,150 909,922 779,970
TOTAL FUND EXPENSE 959,375 989,150 988,920 944,730
NET FUND SURPLUS/DEFICIT 19,022 12,000- 78,998- 164,760-
� Sports Core Fund
1
1
1
1
1
1
1
1
1
1
1
1
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 50
FUND : 14 - SPORTS CORE
CENTER : 00 - GENERAL
ACTIVITY : 00 - ADMINISTRATION
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
IIMRra DESCRIPTION 1992/93 1993 1993 1994 C M M E N T S
REVENUE
440000 INTEREST 5,215 3,000 4,850 7,200
440110 LATE PAYMENT PENALTY 3,526 2,500 1 ,700 2,500
440120 FIREWORKS TRANSFER 34,800 21 ,000 3,934 O
440122 RENTAL INCOME 11,188 6,400 0 12,000
440126 • PHOTO ID CARD FEE 1 ,923 1 ,000 900 1 ,000
440200 MISCELLANEOUS 5,227 2,000 0 1 ,000
TOTAL MISC. INCOME 61 ,879 35,900 11 ,384 23,700
455400 POLO CLUB RENTAL 49,589 53,000 53,000 25,000
455500 OPEN FIELD RENTAL 2,954 1 ,000 20,000 6,000
455510 OPEN FIELD CATERING PROCEEDS 0 0 6,400 1 ,000
TOTAL FEES 52,543 54,000 79,400 32,000
461605 SPORTS CORE MEMBERSHIP 1 ,620 0 0 0
TOTAL MEMBERSHIPS 1 ,620 0 0 0
TOTAL REVENUE 116,042 89,900 90,784 55,700
FXV
510000 SALARIES FULL-TIME 144,739 107,500 63,400 130,000
510010 SALARIES PART-TIME 33.,427 33,000 26,330 30,500
511010 PENSION I .M.R.F. 11 ,402 9,360 8,900 9,000
511035 F.I .C.A. 14,021 9,100 9,700 11 ,400
511040 HEALTH INSURANCE 9,985 7,797 6,494 10,767
511050 TRAVEL EXPENSE 229 200 200 200
511060 TRAINING 268 800 0 800
511090 UNEMPLOYMENT COMPENSATION 39,562 30,000 7,000 30,000
TOTAL PERSONNEL 253,632 197,757 122,024 222,667
520000 PRINTING/PUBLICATION 4,573 3,000 7,000 7,000
520010 POSTAGE 1 ,809 1 ,000 3,600 6,000
520040 SUBSCRIPTIONS 320 0 0 150
520080 TOOLS 8 HARDWARE 29 0 0 0
520100 CLEANING/SUPPLIES 361 350 10 350
520110 GENERAL OFFICE SUPPLIES 5,264 3,000 2,500 3,600
520112 LIGHT BULBS 62 0 0 50
520160 PAPER PRODUCTS 233 100 0 100
520270 PHOTOGRAPHY SUPPLIES 2,203 2,500 1 ,701 2,500
VILLAGE OF OAK BROOK: PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 51
FUND 14 - SPORTS CORE
CENTER 00 - GErJERAL
ACTIVITY 00 - ADMINISTRATION
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBEP D S RIPTInN 1992/Qq 1993 19911 1994 r. n M M F N T S
520300 O.B. DAY ,4 4TH OF JULY 35,580 25,000 6,6.21 5,000
520,100 VISA/MASTER SERVICE CHARGES 8,708 8,000 10,000 12,000
520500 MISCELLANEOUS 1 ,115 1 ,000 1 ,000 1 ,000
TOTAL MATERIALS 4 SUPPLIES 6.1 ,25B 43,950 32,432 37,750
530000 LIABILITY INSURANCE 4,793 4,340 5,773 10,406
530020 TELEPHONE 4,189 2,400 2,300 3,900
530040 NATURAL GAS 0 0 0 4,000
530060 ELECTRIC 5,512 4,6.00 4,300 4,500
530080 LAUNDRY & CLEANING 2,..^•_52 1 ,450 1 ,450 2,500
530160 MAINTENANCE ROADS 8 PATHS 518 1 ,500 6.25 1 ,500
530200 MAINTENANCE OFFICE EQUIPMENT 505 750 0 500
530220 MAINTENANCE PLUMBING 157 100 0 100
530240 MAINTENANCE ELECTRICAL 109 100 O 100
53026.0 MAINTENANCE CARPENTRY 278 100 500 500
530370 MAINTENANCE PLANTS 1 ,549 O O 0
530390 ALARM SYSTEMS 885 1 ,000 550 850
530455 LICENSES g FEES 1 ,585 2,750 1 ,740 2,000
530475 PROFESSIONAL SERVICES 17,558 0 0 0
530480 AUDITING 3,300 3,500 3,600 3,600
530500 PEST CONTROL 0 200 300 450
530510 GARBAGE DISPOSAL 0 550 0 0
530520 LANDSCAPING 21 ,151 23,000 20,000 20,000
530700 OTHER SERVICES 0 33,245 11 ,950 39,000
530760 UNCOLLECTIBLE ACCOUNTS 6.,494 2,000 2,500 2,500
TOTAL OPERATION .4 CONTRACTUAL 71 ,845 81 ,585 55,588 95,505
TOTAL EXPENSE 386,736 323,292 210,144 355,923
'TOTAL ACTIVITY REVENUE 116•,042 89,900 90,784 55,700
TOTAL ACTIVITY EXPENSE 385,736 323,292 210,144 355,923
NET ACTIVITY SURPLUS/DEFICIT 270,693- 233,392- 119,350- 301 ,223-
TOTAL CENTER REVENUE 115,042 89,900 90,784 55,700
TOTAL CENTER EXPENSE 385,735 32.3,292 210,144 356,923
NET CENTER SURPLUS/DEFICIT 270,593- 233,392- 119,350- 301 ,223-
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 52
FUND : 14 - SPORTS CORE
CENTER : 51 - BUILDINGS .1 GROUNDS
ACTIVITY : 00 - ADMINISTRATION
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER D SCRIPTTON 1997/9' 1993 1993 1994 C O M M F N T S
REVENIJE
TOTAL REVENUE 0 0 0 0
EXPENSE
510010 SALARIES PART-TIME 0 0 0 0
TOTAL PERSONNEL 0 0 0 0
530060 ELECTRIC 0 0 0 0
530510 GARBAGE DISPOSAL O O 0 0
TOTAL OPERATION A CONTRACTUAL 0 0 0 0
TOTAL EXPENSE 0 0 0 0
TOTAL ACTIVITY REVENUE 0 0 O 0
TOTAL ACTIVITY EXPENSE 0 0 0 0
NET ACTIVITY SURPLUS/DEFICIT 0 O 0 0
TOTAL CENTER REVENUE 0 0 O 0
TOTAL CENTER EXPENSE 0 0 0 0
NET CENTER SURPLUS/DEFICIT 0 0 0 0
VILLAGE OF OAK BROOf: PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 53
FUND : 14 - SPORTS CORE
CENTER : 52 - GOLF
ACTIVITY : 50 - GOLF MEMBERSHIPS 4 OPERATIONS
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTIOPd 1992/93 1993 199' 1994 r n M M F N T G
REVENUE
440090 W.G.A./L.P.G.A. 3,000 0 0 0
440100 OVER/SHORT CASH 215- 500- 554- 500-
TOTAL MISC. INCOME 2,:85 500- 654- 500-
455000 GOLF GREEN FEES PION RESIDENT 556,973 491 ,000 429,000 566,500
455100 GOLF GREEN FEES RESIDENT 1:6,870 65,000 55,500 68,225
455250 GOLF SURC14ARGE (RESTRICTED) O 0 0 177,292
455260 GOLF SUFRC14ARGE (RESTRICTED) 0 0 0 0
455600 EQUIPMENT RENTAL 3,941 3,600 3,250 4,000
455913 NR 18 HOLE WEEKEND 0 0 0 O
455925 RES UNLIMITED 18 HOLE 0 O O 0
455926 RES UNLIMITED 9 HOLE 0 0 0 O
TOTAL FEES 627,784 559,600 487,750 816,017
465100 GOLF UNLIMITED RESIDENT 64,302 69,300 84,737 94,400
465300 GOLF JUNIOR RESIDENT 630 675 1 ,125 1 ,125
465400 GOLF SENIOR RESIDENT 9,685 11 ,250 10,494 10,125
465450 GOLF UNLIMITED NODI RESIDENT 44,105 45,100 58,115 61 ,275
465600 GOLF UNLIMITED CORP RESIDENT 29,350 31 ,500 31 ,125 33,600
465900 GOLF DUAL MEMBERSHIP 0 600- 0 0
465910 GOLF DISCOUNT 2,705- 0 1 ,910 1 ,900
TOTAL MEMBERSHIPS 145,367 157,225 187,506 202,425
490000 PRO SHOP SALES 139,314 150,000 123,000 160,000
491000 PRO SHOP SERVICES 2,379 1 ,800 1 ,500 2,000
491010 NON-TAXABLE SALES 8- 0 0 0
TOTAL MERCHANDISE SALES 141 ,686 151 ,800 124,500 162,000
TOTAL REVENUE 917,620 868,125 799,102 1 ,179,942
EXPENSE
510100 PRO SHOP COMMISSIONS 5,934 7,500 5,234 4,000
510168 PRO SHOP MANAGER 0 0 0 0
510170 PROFESSIONAL 26,792 18,000 15,050 28,565
510180 ASSISTANT PROFESSIONALS 29,805 28,000 30,850 33,760
510190 STARTERS 9,496 10,000 9,450 15,000
510200 CASHIERS 27,821 21 ,600 27,050 32,208
510210 RANGERS 15,792 15,500 12,200 17,000
VILLAGE OF OAF: BROOFc: PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 54
FUND : 14 - SPORTS CORE
CENTER : 52 - GOLF
ACTIVITY : 50 - GOLF MEMBERSHIPS & OPERATIONS
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DEGC IPTION 1997/93 199q 1993 1994 C_ 0 M M_E_N T S
511010 PENSION I .M.R.F. 2,994 2,100 1 ,550 4,203
511035 F.I .C.A. 8,219 7,700 7,550 10,100
511040 HEALTH INSURANCE 5,773 4,657 3,234 2,6+60
511050 TRAVEL EXPENSE 0 500 0 500
511060 TRAINING 0 400 0 400
511070 DUES & MEMBERSHIPS 1 ,033 1 ,200 1 ,000 1 ,200
511080 UNIFORMS/CLOTHING ALLOWANCE 0 2,400 0 2,400
511100 EMPLOYEE MEALS 3,340 4,000 3,350 3,800
TOTAL PERSONNEL 135,998 123,557 116,618 155,795
520000 PRINTING/PUBLICATION 4,075 5,000 1 ,400 5,000
520010 POSTAGE 400 2,000 0 1 ,050
520080 TOOLS & HARDWARE 0 150 500 500
520112 LIGHT BULBS 884 0 0 0
520120 SUPPLIES 1 ,544 3,000 1 ,000 1 ,500
520160 PAPER PRODUCTS 477 800 800 950
520290 ELECTRICAL SUPPLIES 201 400 400 400
520295 REPAIR/SUPPLIES 1 ,539 0 650 900
520320 COST OF SALES 125,755 120,000 75,000 128,000
520321 COST OF SALES - HANDICAP 0 0 4,032 4,032
520332 INVENTORY VARIANCE 7,042- 0 27,500 0
520500 MISCELLANEOUS 0 500 200 0
TOTAL MATERIALS 4 SUPPLIES 127,834 131 ,850 112,482 142,332
530000 LIABILITY INSURANCE 8,034 13,120 12,010 10,406
530020 'TELEPHONE 3,696 2,600 2,450 3,500
530040 NATURAL GAS 1 ,772 400 200 600
530060 ELECTRIC 18,750 12,000 20,250 22,000
530080 LAUNDRY 4 CLEANING 5,639 8,000 4,200 5,588
530220 MAINTENANCE PLUMBING 120 750 750 750
530240 MAINTENANCE ELECTRICAL 3,882 1 ,000 500 1 ,000
530260 MAINTENANCE CARPENTRY 1 ,149 1 ,500 1 ,500 1 ,500
530370 MAINTENANCE PLANTS 571 400 385 450
530390 ALARM SYSTEMS 1 ,536 960 1 ,200 1 ,600
530510 GARBAGE DISPOSAL 2,6.01 2,000 2,6.50 3,000
TOTAL OPERATIO14 & CONTRACTUAL 47,749 42,730 46,095 50,494
TOTAL EXPENSE 312,582 298,137 275,195 348,622
VILLAGE OF OAK: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 55
FUND : 14 - SPORTS CORE
CENTER : 52 - GOLF
ACTIVITY : 50 - GOLF MEMBERSHIPS 4 OPERATIONS
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER OFSCRIPTION 1992/93 1993 1993 1994 C O M MF N T S
TOTAL ACTIVITY REVENUE 917,620 868,125 799,102 1 ,179,942
TOTAL ACTIVITY EXPENSE 312,582 298,137 275,195 348,622
NET ACTIVITY SURPLUS/DEFICIT 605,038 569,988 523,907 831 ,320
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 56
FUND : 14 - SPORTS CORE
CENTER : 52 - GOLF
ACTIVITY : 51 - DRIVING RANGE/OPEN FIELDS
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 199?/93 ___ 1993 1991 1994 C O M M E_N T S
REVENUE
455150 GOLF LESSONS 52,558 49,000 27,000 30,000
455200 DRIVING RANGE FEES 78,740 74,500 56,500 85,000
455300 BUTLER RANGE RENTAL 13,218 14,000 14,000 15,000
455400 POLO CLUB RENTAL 4,132 0 0 0
455500 OPEN FIELD RENTAL 2,440 0 0 0
TOTAL FEES 151 ,088 137,500 97,500 130,000
TOTAL REVENUE 151 ,088 137,500 97,500 130,000
FXP NS -
510010 SALARIES PART-TIME 7,176 9,200 7,150 16,000
510090 LESSON COMMISSIONS 50,438 44,100 29,771 27,000
510099 DRIVING RANGE COMMISSIONS 0 3,725 3,062 4,250
511010 PENSION I .M.R.F. 991 1 ,000 1 ,000 1 ,200
511035 F.I .C.A. 1 ,942 3,200 2,000 3,200
TOTAL PERSONNEL 60,547 61 ,225 42,983 51 ,650
520120 SUPPLIES 1 ,849 2,000 548 3,000
520170 GOLF BALLS 5,374 6,600 4,761 8,000
520500 MISCELLANEOUS O 100 0 0
TOTAL MATERIALS 4 SUPPLIES 7,223 9,500 5,309 11 ,000
530280 MAINTENANCE OTHER EQUIPMENT 2,311 2,300 1 ,291 2,300
530475 PROFESSIONAL SERVICES 8,000 6,858 0 0
530520 LANDSCAPING 809 1 ,000 1 ,000 2,000
TOTAL OPERATION ,4 CONTRACTUAL 11 ,120 10,158 2,291 4,300
TOTAL EXPENSE 70,BB9 80,OB3 50,583 66,950
TOTAL ACTIVITY REVENUE 151 ,088 137,500 97,500 130,000
TOTAL ACTIVITY EXPENSE 78,889 80,883 50,583 66,950
NET ACTIVITY SURPLUS/DEFICIT 72,19B 56,617 46,917 63,050
VILLAGE OF OAK BROOK PROPOSED BUDGET SU11MARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 57
FUND : 14 - SPORTS CORE
CENTER : 52 - GOLF
ACTIVITY : 52 - GOLF CARTS
ACCOUNT ACTUAL BUDGET ESTIMAFED PROPOSED
NUMBER DESCRIPTIOPd 1992/93 1993 1993 1994 C O M M E N T S _
REVENUE
455700 POWER CART RENTAL 186,259 179,000 179,000 194,500
455800 HAND CART RENTAL 11 ,737 9,500 9,000 11 ,500
TOTAL FEES 198,006 188,500 188,000 .206,000
TOTAL REVENUE 190,006 188,500 188,000 206,000
EXPENSE
510010 SALARIES PART-TIME 13,316 12,300 15,050 17,633
511035 F.I .C.A. 954 980 1 ,151 1 ,348
TOTAL PERSONNEL 14,270 13,280 16,201 18,981
520120 SUPPLIES 0 0 0 500
TOTAL MATERIALS 4 SUPPLIES 0 0 0 500
530060 ELECTRIC 12,124 8,500 4,500 6,750
530280 MAINTENANCE OTHER EQUIPMENT 325 3,750 4,700 4,700
530380 RENTALS 34,775 32,025 32,025 38,100
TOTAL OPERATION g CONTRACTUAL 47,224 44,275 41 ,225 49,550
TOTAL EXPENSE 61 ,494 57,555 57,426 69,031
TOTAL ACTIVITY REVENUE 198,006 188,500 188,000 206,000
TOTAL ACTIVITY EXPENSE 61 ,494 57,555 57,426 69,031
NET ACTIVITY SURPLUS/DEFICIT 136,511 130,945 130,574 136,969
VILLAGE OF OAK. BROOD•; PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 58
FUND : 14 - SPORTS .CORE
CENTER : 52 - GOLF
ACTIVITY : 53 - GOLF COURSE MAINTENANCE
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER D SCRIPTION 1992/92 1993 1993 1994 C O M M F N T S___
REVENUE
TOTAL REVENUE 0 0 0 0
EXPENSE
510000 SALARIES FULL-TIME 26,583 21 ,655 16,282 27,261
510050 POOL MANAGER 40,958 27,567 22,104 45,557
510060 ASST MGR/SWIM COACH 0 21 ,221 0 0
510220 MECHANIC 32,627 23,714 25,108 42,206
510230 LABORERS 86,422 82,600 76,001 99,098
511010 PENSION .I .M.R.F. 10,367 8,813 7,305 10,825
511035 F.I .C.A. 14,148 7,184 13,202 16,610
511040 HEALTH INSURANCE 12,307 14,907 8,591 19,450
511060 TRAINING 1 ,852 100 280 3,000
511100 EMPLOYEE MEALS 900 1 ,200 800 800
TOTAL PERSONNEL 226,163 208,961 169,673 264,807
520020 GAS k OIL 6,646 7,950 4,825 6,500
520040 SUBSCRIPTIONS 184 440 220 375
520080 TOOLS 4 HARDWARE 757 1 ,750 946 2,000
520120 SUPPLIES 541 420 693 500
520190 COURSE SUPPLIES 3,130 3,300 1 ,903 3,465
520200 PESTICIDES 23,651 15,750 11 ,477 15,000
520210 FERTILIZER 23,144 19,000 12,799 20,000
520220 TOP DRESSING 3,759 15,000 14,816 13,000
520230 SAND O 1 ,500 1 ,200 1 ,500
520240 SEED SOD & TOP SOIL 3,452 4,200 14,700 10,000
520250 FLOWERS 482 1 ,000 542 1 ,000
520260 TREES & SHRUBS 7,20(_. 10,000 8,916 10,000
520500 MISCELLANEOUS 2,250 1 ,000 1 ,403 1 ,000
TOTAL MATERIALS 4 SUPPLIES 75,202 81 ,310 74,440 84,340
530020 TELEPHONE 1 ,701 E.00 895 1 ,080
530040 NATURAL GAS 1 ,315 250 479 500
530120 MAINTENANCE IRRIGATION 2,721 3,300 4,120 3,500
530140 MAINTENANCE DRAINAGE 161 1 ,000 1 ,182 1 ,000
530160 MAINTENANCE ROADS 4 PATHS 0 1 ,000 695 1 ,000
530180 MAINTENANCE GOLF COURSE 670 1 ,000 1 ,030 1 ,000
530280 MAINTENANCE OTHER EQUIPMENT 19,264 9,880 13,500 18,000
530340 MAINTENANCE MOBILE RADIOS 134 225 87 15E.
530380 RENTALS 1 ,457 8,000 5,393 8,000
530390 ALARM SYSTEMS 540 400 270 540
530465 LICENSES & FEES 150 105 95 4B0
530510 GARBAGE DISPOSAL 1 ,255 950 724 1 ,300
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 59
FUND : 14 - SPORTS CORE
CENTER : 52 - GOLF
ACTIVITY : 53 - GOLF COURSE MAINTENANCE
ACCOUNT ACTUAL BUDGET ESTIMATED, PROPOSED
NUMBER DEGCRIPTIDN 1992/93 199'1199g 1994 f O M M E N T S__
TOTAL OPERATION & CONTRACTUAL 29,450 26,720 29,471 36,556
580900 INTEREST EXPENSE 20,349 12,234 11,589 20,400
TOTAL MISCELLANEOUS 20,349 12,234 11 ,589 20,400
TOTAL EXPENSE 351 ,164 329,225 285,173 406,103
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 351 ,164 329,225 285,173 406,103
NET ACTIVITY SURPLUS/DEFICIT 351 ,164- 329,225- 285,173- 406,103-
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 60
FUND : 14 - SPORTS CORE
CENTER : 52 - GOLF
ACTIVITY : 54 - GOLF COURSE LOUNGE
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER nEBCRTPTION 1992/93 1993 199q 1994 C O M M_E N T S
R V N 1
470000 FOOD SALES 48,573 46,000 50,000 52,000
470100 CANDY/CIGARETTES 6,821 5,800 7,000 6,600
TOTAL FOOD SALES 55,394 51,800 57,000 58,600
480000 BEVERAGE/LIQUOR SALES 79,735 74,000 67,000 72,000
TOTAL BEVERAGE SALES 79,735 74,000 67,000 72,000
TOTAL REVENUE 135,129 125,800 124,000 130,600
EXPENSE
510010 SALARIES PART-TIME 28,382 22,500 25,500 28,140
511035 F.I .C.A. 2,025 1 ,950 1 ,950 2,152
TOTAL PERSONNEL 30,407 24,450 27,450 30,292
520100 CLEANING/SUPPLIES 134 200 200 200
520120 SUPPLIES 0 100 100 300
520160 PAPER PRODUCTS 6,936 7,350 3,500 4,000
520340 FOOD COST 31 ,706 31 ,500 24,050 26,000
520342 CANDY/CIGARETTE COST 4,628 3,500 3,750 3,300
520350 BEVERAGE/LIQUOR COST 12,506 10,500 19,250 22,650
520500 MISCELLANEOUS 273 500 200 0
TOTAL MATERIALS 4 SUPPLIES 56,183 53,650 51 ,050 56,450
530280 MAINTENANCE OTHER EQUIPMENT 0 250 0 250
TOTAL OPERATION & CONTRACTUAL 0 250 0 250
TOTAL EXPENSE 86,590 78,350 78,500 86,992
TOTAL ACTIVITY REVENUE 135,129 125,800 124,000 130,600
TOTAL ACTIVITY EXPENSE 86,590 78,350 78,500 86,992
NET ACTIVITY SURPLUS/DEFICIT 48,539 47,450 45,500 43,608
VILLAGE OF OAF; BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 61
FUND : 14 - SPORTS CORE
CENTER : 52 - GOLF
ACTIVITY : 54 - .GOLF COURSE LOUNGE
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER oFSf RIPTION 1992/91 199q 19973 1994 r D M M F N T S _
TOTAL CENTER REVENUE 1 ,401 ,842 1 ,319,925 1 ,208,602 1 ,646,542
TOTAL CENTER EXPENSE 890,720 844,150 745,877, 977,698
NET CENTER SURPLUS/DEFICIT 511 ,123 475,775 461 ,725 668,844
w� r� ri s w w� ■w �■ w w r r w ■w w �■ iw �r rw
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 62
FUND : 14 - SPORTS CORE
CENTER : 53 - BATH I TENNIS
ACTIVITY : 60 - BV MEMBERSHIPS 4 ADMIN.
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER nFGCRIPTInN 1992/92 199'l 1993 1994 C n M M F N T 5
REVENUE
451000LOCKER RENTAL 360 120 150 2,500
TOTAL FEES 360 120 150 2,500
461000 BAT FAMILY RESIDENT 122,800 157,800 100,000 103,340
461005 BIT FAMILY RESIDENT-AUGUST 1 ,410 1 ,410 0 0
461100 BIT INDIVIDUAL RESIDENT 5,625 5,625 7,700 12,530
461200 BIT FAMILY NON RESIDENT 104,975 129,000 109,000 85,510
461205 BIT FAMILY PION-RESIDENT-AUG 985 985 0 0
461300 BIT INDIVIDUAL NON RESIDENT 28,825 28,825 21 ,425 22,700
451400 BIT JUNIOR RESIDENT 8,700 8,700 6,700 3,050
461402 SIT JUNIOR NOP! RESIDENT 1 ,260 1 ,260 840 0
461410 BIT SENIOR RESIDENT 3,900 3,900 5,000 4,800
461420 BIT SENIOR NON RESIDENT 2,100 2,100 4,300 3,780
461430 BIT INTERMEDIATE 1 ,200 1 ,200 0 0
461432 BIT DISCOUNT 258- 18 1 ,390- 1 ,400-
461434 BIT GIFT CERTIFICATE 0 0 0 0
TOTAL MEMBERSHIPS 281 ,523 340,823 253,575 234,310
TOTAL REVENUE 281 ,883 340,943 253,725 236,810
EXPENSE
510010 SALARIES PART-TIME 33,721 55,000 25,526 42,480
511035 F.I .C.A. 1 ,731 2,670 1 ,800 3,250
511100 EMPLOYEE MEALS 5,875 4,000 0 0
TOTAL PERSONNEL 41 ,329 61 ,670 27,326 45,730
520000 PRINTING/PUBLICATION 3,269 4,000 2,000 4,100
520010 POSTAGE 545 5,000 0 3,750
520080 TOOLS I HARDWARE 2 100 150 0
520100 CLEANING/SUPPLIES 0 300 0 0
520112 LIGHT BULBS 413 400 400 500
520114 LUMBER 0 100 0 0
520160 PAPER PRODUCTS 279 6,00 O 0
520260 TREES I SHRUBS O 1 ,000 1 ,000 1 ,000
520280 PLUMBING SUPPLIES 470 300 912 500
520290 ELECTRICAL SUPPLIES 308 200 200 300
520500 MISCELLANEOUS 1 ,128 1 ,000 1 ,000 1 ,000
VILLAGE OF OAK: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: . 63
FUND : 14 - SPORTS CORE
CENTER : 53 - BATH & TENNIS
ACTIVITY : 60 - B&T MEMBERSHIPS 4 ADMIN.
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/93 1993 1993 1994 r- O M M F N T R
TOTAL MATERIALS 4 SUPPLIES 6,414 13,000 5,662 11 ,150
530000 LIABILITY INSURANCE 4,833 10,300 9,467 20,383
530040 NATURAL GAS 16,6.26 10,000 10,000 12,000
530080 LAUNDRY 4 CLEANING 8,331 9,000 12,700 15,600
530220 MAINTENANCE PLUMBING 4,085 2,000 2,000 2,000
530240 MAINTE14ANCE ELECTRICAL 292 1 ,000 1 ,000 1 ,500
53026.0 MAINTENANCE CARPENTRY 7,724 2,000 1 ,500 2,000
53031-0 MAINTENANCE PLANTS 0 2,000 1 ,918 2,878
530390 ALARM SYSTEMS 1 ,935 2,000 2,000 2,020
530500 PEST CONTROL 310 750 0 0
530510 GARBAGE DISPOSAL 1 ,342 2,750 1 ,250 2,450
530520 LANDSCAPING 2,032 2,000 3,000 3,000
TOTAL OPERATION & CONTRACTUAL 47,509 43,800 44,835 63,831
580000 O/H ALLOCATION ADMINISTRATION 0 0 0 0
580200 O/H ALLOCATION TO POOL O 0 0 0
580300 O/H ALLOCATION TO TENNIS O 0 0 0
580400 O/H ALLOCATION TO FOOD & BEV. O 0 0 0
TOTAL MISCELLANEOUS O 0 0 0
TOTAL EXPENSE 95,252 118,470 77,823 120,711
'TOTAL ACTIVITY REVENUE 281 ,883 340,943 253,725 236,810
TOTAL ACTIVITY EXPENSE 95,252 118,470 77,823 120,711
NET ACTIVITY SURPLUS/DEFICIT 186,631 222,473 175,902 116,099
VILLAGE OF OAF: BROOK" PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 64
FUND 14 - SPORTS CORE
CENTER 53 - BATH A TENNIS
ACTIVITY s 61 - B&T SWIM
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DFSCRIPTION 1992/93 199' 1993 1994
REVENUE
451100 SWIM GUEST FEES 5,807 10,000 7,341 7,500
451200 SWIM LESSONS 3,173 5,500 2,450 6,000
451300 SWIM TEAM FEES 4,368 5,000 0 0
TOTAL FEES 13,348 20,500 9,791 13,500
TOTAL REVENUE 13,348 20,500 9,791 13,500
E X P.N
510050 POOL MANAGER 8,200 8,200 8,200 9,000
510060 ASST MGR/SWIM COACH 0 5,800 4,800 5,400
510078 SWIM COACH 3,386 0 0 0
510080 LIFEGUARDS 37,669 37,500 41 ,000 41 ,160
510090 LESSON COMMISSIONS 2,033 4,950 2,800 4,800
511035 F.I .C.A. 3,646 4,383 3,800 4,617
511080 UNIFORMS/CLOTHING ALLOWANCE 1 ,606 2,600 3,020 400
511110 TENNIS SUPPLIES & AWARDS 1 ,615 2,100 1 ,100 2,000
TOTAL PERSONNEL 58,155 65,533 64,720 67,377
520060 CHEMICALS 4,653 5,600 3,600 4,000
520110 GENERAL OFFICE SUPPLIES 35 100 110 0
520120 SUPPLIES 1 ,101 1 ,000 1 ,350 1 ,000
520500 MISCELLANEOUS 1 ,782 1 ,000 2,000 0
TOTAL MATERIALS & SUPPLIES 7,572 7,700 7,060 5,000
530020 TELEPHONE 531 800 250 375
530280 MAINTENANCE OTHER EQUIPMENT 3,829 2,500 3,000 3,000
530430 TRANSPORTATION 662 1 ,000 353 1 ,000
530440 PRE-OPENING EXPENSE 5,080 5,000 9,000 6,000
530530 FIRST AID 120 300 175 175
TOTAL OPERATION A CONTRACTUAL 10,230 9,600 12,778 10,550
580700 O/H ALLOCATION 0 0 0 0
'TOTAL MISCELLANEOUS 0 0 0 0
VILLAGE OF OAF, BROOK, PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 65
FUND 14 - SPORTS CORE
CENTER 53 - BATH 4 TENNIS
ACTIVITY 61 - BAT SWIM
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER nFsfRIPTiON 19q^/93 1993 1993 1994 C O M M E N T S
TOTAL EXPENSE 75,956 82,833 84,558 82,927
TOTAL ACTIVITY REVENUE 13,348 20,500 9,791 13,500
TOTAL ACTIVITY EXPENSE 75,956 82,833 84,558 82,927
NET ACTIVITY SURPLUS/DEFICIT 62,609- 62,333- 74,767- 69,427-
VILLAGE OF OAF: BROOF: PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 66
FUND : 14 - SPORTS CORE
CENTER : 53 - BATH S. TENNIS
ACTIVITY : 62 - B,&T TENNIS
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/9'1 1993 1993 1994 C O M M F N T G
RFVFNUF.
451400 TENNIS GUEST FEES 1 ,949 3,000 2,334 2,550
451500 OUTDOOR TENNIS LESSONS 44,101 40,000 68,400 40,000
451600 TENNIS TEAM FEES 8,262 5,000 184 0
451610 INDOOR TENNIS LESSONS 0 25,000 4,500 72,640
451615 WINTER LESSON COURT TIME 0 11 ,088 16,200 53,338
451620 COURT TIME - MEMBER 0 9,639 6,350 13,652
451625 COURT TIME - RESIDENT 0 15,08 1 ,905 4,100
451630 COURT TIME - NON-RESIDENT 0 11 ,974 4,450 9,550
451635 TENNIS SURCHARGE 0 10,000 2,473 2,500
TOTAL FEES 54,312 130,783 106,796 198,330
480000 BEVERAGE/LIQUOR SALES 0 0 O 6,500
TOTAL BEVERAGE SALES 0 0 0 6,500
490000 PRO SHOP SALES 18,002 0 1 ,000 1 ,500
TOTAL MERCHANDISE SALES 18,002 0 1 ,000 1 ,500
TOTAL REVENUE 72,314 130,783 107,796 206,330
EXPENSE
510010 SALARIES PART-TIME 16,159 17,000 17,000 10,000
510012 SALARIES - PART-TIME WINTER O 9,720 6,552 14,000
510090 LESSON COMMISSIONS 53,498 61 ,450 54,720 86,112
510100 PRO SHOP COMMISSIONS 388 0 0 0
510170 PROFESSIONAL 16,251 14,425 10,016 8,000
510180 ASSISTANT PROFESSIONALS 5,415 5,000 4,200 5,000
511010 PENSION I .M.R.F. 0 4,626 0 0
511035 F.I .C.A. 7,356 7,850 7,000 7,000
511110 TENNIS SUPPLIES 4 AWARDS 0 0 0 7,400
TOTAL PERSONNEL 99,067 120,071 99,488 . 137,512
520095 REFRESHMENTS 180 750 1 ,200 0
520100 CLEANING/SUPPLIES 0 540 500 1 ,000
520110 GENERAL OFFICE SUPPLIES 38 1 ,000 830 1 ,000
5201.20 SUPPLIES 59- 875 3,110 1 ,000
520130 NETS $ SCRE=ENING 747 2,000 0 2,000
520320 COST OF SALES 15,006 0 761 1 ,100
520350 BEVERAGE/LIQUOR COST 0 0 0 2,000
m = = = = = = = m = m = m m = = i
VILLAGE OF OAF•; BROOF PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 67
FUND : 14 - SPORTS CORE
CENTER : 53 - BATH & TENNIS
ACTIVITY : 52 - B4T TENNIS
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/9•' 1993 1993 1994 C O M M E N T S
520500 MISCELLANEOUS . 165 200 36.9- 500
TOTAL MATERIALS 4 SUPPLIES 16•,078 5,36n 6•,032 a,Fs00
530020 TELEPHONE 870 900 2,272 1 ,500
530040 NATURAL GAS 0 4,000 4,000 9,000
530050 ELECTRIC 0 2,520 4,000 9,000
530440 PRE-OPENING EXPENSE 4,279 2,500 0 5,000
530525 DISMANTLE / ERECT EXPENSE 0 1 ,300 0 2,E•00
,TOTAL OPERATION .4 CONTRACTUAL 5,149 11 ,220 10,272 27,100
580900 INTEREST EXPENSE 7,305 9,192 9,192 9,192
TOTAL MISCELLANEOUS 7,305 9,192 9,192 9,192
TOTAL EXPENSE 127,599 145,848 124,984 182,404
TOTAL ACTIVITY REVENUE 72,314 130,783 107,795 206,330
TOTAL ACTIVITY EXPENSE 127,599 145,848 124,984 182,404
NET ACTIVITY SURPLUS/DEFICIT 55,285- 15,06_•5- 17,188- 23,926
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 68
FUND : 14 - SPORTS CORE
CENTER : 53 - BATH 4 TE14NIS
ACTIVITY : 63 - BIT FOOD & BEVERAGE
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/91 19911 1992 1994 r n M M E N T S
REVEnAIE
440200 MISCELLANEOUS 3,406 4,000 4,500 3,500
TOTAL MISC. INCOME 3,406 4,000 4,500 3,500
461500 SIT SOCIAL 6,938 10,000 4,735 11 ,880
466300 DUES ALLOCATION 0 0 0 0
TOTAL MEMBERSHIPS 6,938 10,000 4,735 11,880
470000 FOOD SALES 51 ,16 50,000 50,000 400,875
470050 FOOD SALES - POLO 60,497 15,000 2,286 2,500
470500 SERVICE CHARGE 32,064 20,400 15,200 0
471000 SPECIAL EVENTS 156,961 120,000 120,000 225,000
472000 MEMBER EVENTS 4,453 2,000 4,300 16,000
473000 O.B. DAY ,4 4TH OF JULY 3,547 500 491 4,000
474000 BOO HUT 17,929 18,000 13,550 15,000
TOTAL FOOD SALES 326,577 225,900 205,827 663,375
480000 BEVERAGE/LIQUOR SALES 23,561 16,500 20,000 25,000
480050 BEVERAGE/LIQUOR SALES - POLO 21 ,851 19,000 10,000 1 ,500
480500 SERVICE CHARGE/LIQUOR 9,094 9,000 3,611 0
481000 SPECIAL EVENTS 57,612 50,000 50,000 70,000
482000 MEMBER EVENTS 1 ,075 500 0 0
483000 O.B. DAY $ 4TH OF JULY 1,466 0 0 1 ,600
484000 BBO HUT 5,058 5,000 5,100 5,000
TOTAL BEVERAGE SALES 120,519 102,000 88,711 103,100
TOTAL REVENUE 457,441 341 ,900 303,773 781 ,855
FXP r�E
510010 SALARIES PART-TIME 4,457 6,000 3,607 0
510011 SALARIES PART-TIME POLO 6,983 3,800 1 ,000 0
510062 MANAGER 0 0 0 36,000
510064 CHEF 27,485 20,784 17,770 36,000
510066 SERVICE/CLUB F00D 8,803 9,000 10,000 40,150
510068 SERVICE/SPECIAL EVENTS 22,927 20,000 34,250 88,500
510070 BARTENDERS 15,074 14,000 20,000 20,560
510130 SALARIES 660 STAFF 13,425 12,000 11 ,081 13,860
510140 HOST i HOSTESSESS 28,237 22,000 15,200 10,400
510160 SALARIES KITCHEN 45,78 21 ,300 60,000 78,000
i m m m m m m m m mm m m m m m m mm
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 69
FUND : 14 - SPORTS CORE
CENTER : 53 - BATH & TENNIS
ACTIVITY : 63 - B&T FOOD & BEVERAGE
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DFSCRiPTiON 1992/93 1993 1993 1994 C O M M E N T S _
511010 PENSION I .M.R.F. 3,690 3,400 1 ,000 2,200
511035 F.I.C.A. 11 ,654 9,259 17,100 22,000
511040 HEALTH INSURANCE 4,867 ' 4,657 3,234 6,483
511050 TRAVEL EXPENSE 80 100 0 100
511060 TRAINING 298 700 0 1 ,000
511070 DUES & MEMBERSHIPS 150 300 0 300
511080 UNIFORMS/CLOTHING ALLOWANCE 2,579 2,000 1 ,000 2,000
TOTAL PERSONNEL 195,991 149,300 195,242 357,553
520000 PRINTING/PUBLICATION 2,618 5,500 3,000 1,500
520100 CLEANING/SUPPLIES 2,4 .4 3,000 2,500 3,000
520110 GENERAL OFFICE SUPPLIES 797 1 ,050 500 1,000
520140 KITCHEN UTENSILS 1,561 1 ,500 750 1 ,000
520150 CHINA, GLASSWARE & SILVERWARE 2,855 4,000 3,000 4,500
520160 PAPER PRODUCTS 3,997 4,000 3,000 4,000
520250 FLOWERS 3,305 2,000 2,500 3,000
520280 PLUMBING SUPPLIES 282 400 0 0
520340 FOOD COST 121 ,719 115,000 115,000 298,519
520350 BEVERAGE/LIQUOR COST 29,241 25,500 25,500 20,600
520500 MISCELLANEOUS 1 ,741 1 ,000 0 0
TOTAL MATERIALS .4. SUPPLIES 170,579 162,950 155,750 337,119
530020 TELEPHONE 5,135 4,000 4,000 5,400
530080 LAUNDRY & CLEANING 397 500 0 O
530082 LINEN 11 ,950 10,000 13,000 12,000
530200 MAINTENANCE OFFICE EQUIPMENT 105 O O 0
530280 MAINTENANCE OTHER EQUIPMENT 2,710 2,000 3,600 2,500
530380 RENTALS 4,983 6,000 7,000 9,000
530390 ALARM SYSTEMS 153 250 500 1 ,000
530400 TENT RENTALS 225 1 ,880 2,000 3,500
530460 RECEPTION/ENTERTAINMENT 2,521 2,000 3,000 4,800
530462 ADVERTISING 1 ,086. 2,500 300 2,750
530500 PEST CONTROL 434 0 450 750
TOTAL OPERATION .4 CONTRACTUAL 29,698 29,130 33,850 41 ,700
580700 0/H ALLOCATION 0 0 0 0
TOTAL MISCELLANEOUS 0 0 0 O
TOTAL EXPENSE 396,268 341 ,380 384,842 736,372
i
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 70
FUND : 14 - SPORTS CORE
CENTER : 53 - BATH S TENNIS
ACTIVITY : 63 - B4T FOOD & BEVERAGE
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DFRrRTPTTON 1992/9' 1993 1991 1994 C O M M E N T S__
TOTAL ACTIVITY REVENUE 457,441 341 ,900 303,773 . 781 ,855
TOTAL ACTIVITY EXPENSE 396,268 . 341 ,380 384,842 736,372
NET ACTIVITY SURPLUS/DEFICIT 61 ,172 520 81 ,069- 45,483
TOTAL CENTER REVENUE 824,985 834,126 675,085 1,238,495
TOTAL CENTER EXPENSE 695,075 688,531 672,207 1 ,122,414
NET CENTER SURPLUS/DEFICIT 129,909 145,595 2,878 116,081
w!� r = = = = = = m = = = = = = = m m
VILLAGE OF OAK; BROO : PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 71
FUND : 14 - SPORTS CORE
CENTER : 55 - CAPITAL
ACTIVITY : 64 - SPORTS CORE
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER D G RIPTION 1992/93 1993 1993 1994 C n M M E N T S__
REVENUE
TOTAL REVENUE O 0 0 0
EXPENSE
582700 DEPRECIATION EXPENSE 236,192 0 0 0
TOTAL MISCELLANEOUS 236,192 0 0 0
590000 NEW EQUIPMENT 23,025 352,489 208,000 274,330
590200 NEW STRUCTURES 2,818- 200,000 0 0
590300 STRUCTURAL IMPROVEMENTS 0 0 O 177,292
TOTAL CAPITAL 20,208 552,489 208,000 451 ,622
II
TOTAL EXPENSE 256,400 552,489 206,000 451 ,622
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 256•,400 552,489 208,000 451 ,622
NET ACTIVITY SURPLUS/DEFICIT 56,400- 552,489- 208,000- 451 ,622-
TOTAL CENTER REVENUE 0 0 0 0
-, - 2 208,000 451 ,622
TUTAL CENTER EXPENSE :.5t•,400 55�,489
NET CENTER SURPLUS/DEFICIT 256,400- 552,489- 208,000- 451 ,622-
TOTAL FUND REVENUE 2,342,86.9 2,243,1751 1 ,974,471 2,940,737
TOTAL FUND EXPENSE 2,28,930 2,408,462 1 ,837,228 2,908,657
NET FUND SURPLUS/DEFICIT 113,939 16.4,511- 137,243 32,080
' OAK BROOK SPORTS CORE
1994 Capital Outlays
' Bath&Tennis Clubhouse Required Postponed
Pool Lighting(Security) 7,500
Pool Tiles-Diving Well 8,000
Diving Well Painting 7,500
Entrance Lighting 7,000
Landscaping Lighting 1,000
' Electrical Work-Kitchen 1,000
Ice Machines(2) 8,000
Ladies Room Panels,Vanity,etc. 10,000
' Patio Doors 3,000
Light Fixture Replacement 10,000
Carpeting for loft 2,000
Table tops for dining room 5,000
' Kitchen Oven and Range 25,000
Kitchen Ceiling Replacement 5,000
Upper Window Replacement 15,000
Entrance Walk Repair 10,000
' Subtotal-B&T 75,500 49,500
Administration Building
' Roof replacement-Asphalt Shingles 10,000
Entrance Door 4,200
Painting&Power Washing 5,000
Basement Doors 1,000
Personal Computer-Rita Labedz 1,500✓
' Subtotal-Administration 21,700 0
Golf Clubhouse
' Painting and gutters 5,000
Electrical Work-Field#2 10,000
Tile Floor 1,200
' Interior Painting and Staining 2,000
Reseal Parking Lot 6,500
Computer System 40,000
Bathroom Remodeling 6,000
' Pro-Shop Fixtures and Counters 8,000
Water coolers 2,000
Cedar Bag Racks 1,500
' Ball Washing Machines(2) 1,600
Driving Range Installations 1,800
Rental Clubs 2,000
Rental Pull Carts 1,000
' Subtotal-Golf Clubhouse 38,600 50,000
Tennis
Tennis Dome Principal Payment 22,530 V1
' Golf Maintenance
Principal on Loan payment 66,000
' Walk-Behind Greens Mowers 21,000
Spray Tank System 22,000
Core Cultivators 7,000
Hot Water Power Washer 3,000
' Cart Path Construction 15,000
Chemical Rinseate Pad 5,000
Lake Repairs(#4)" 177,292
Subtotal-Golf Maintenance 293,292 23,000
' GRAND TOTAL 451,622 122,500
' "Funds to be transferred from Golf Surcharge
� Capital Equipment
� Replacement Fund
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VILLAGE OF OAF': BROOK. PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 72
FUND : 15 - GEN'L CAP. EQUIP REPLACEMENT
CENTER : 00 - GENERAL
ACTIVITY : 00 - ADMINISTRATION
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DCRfRIPTION 1992/43 1993 1993 1994 C 0 M M r N T S
REVENUE
440000 INTEREST 85 0 11 ,200 22,500
440300 TRANSFERS IN 500,000 250,000 250,000 398,750
TOTAL MISC. INCOME 500,085 250,000 261 ,200 421 ,250
TOTAL REVENUE 500,085 250,000 261 ,200 421 ,250
EXPENSE
TOTAL EXPENSE 0 0 0 0
TOTAL ACTIVITY REVENUE 500,085 250,000 261 ,200 421 ,250
TOTAL ACTIVITY EXPENSE 0 0 O 0
NET ACTIVITY SURPLUS/DEFICIT 500,085 250,000 261 ,200 421 ,250
TOTAL CENTER REVENUE 500,085 250,000 261 ,200 421 ,250
TOTAL CENTER EXPENSE - 0 0 0 0
NET CENTER SURPLUS/DEFICIT 500,085 250,000 261 ,200 421 ,250
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 73
FUND : 15 - GEN'L CAP. EQUIP REPLACEMENT
CENTER : 14 - POLICE DEPARTMENT
ACTIVITY : 14 - FIELD SERVICES
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 199''/9'1 1993 1991 1994 C O M M E N T S
REVENUE
TOTAL REVENUE 0 0 0 0
EXPENSE
590100 EQUIPMENT REPLACEMENT 0 O 0 51 ,400
TOTAL CAPITAL. 0 0 0 51 ,400
TOTAL EXPENSE __0 0 0 51 ,400
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 0 0 0 51 ,400
NET ACTIVITY SURPLUS/DEFICIT 0 0 0 51 ,400-
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 73
FUND : 15 - GEN'L CAP. EQUIP REPLACEMENT
CENTER : 14 - POLICE DEPARTMENT
ACTIVITY : 14 - FIELD SERVICES
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 19912/93 1993 1991 1994 C O_M M F N T S
REVENUE
TOTAL REVENUE 0 0 0 0
EXPENSE
590100 EQUIPMENT REPLACEMENT 0 0 0 51 ,400
TOTAL CAPITAL. 0 0 0 51 ,400
TOTAL EXPENSE 0 0 0 51 ,400
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 0 0 0 51 ,400
NET ACTIVITY SURPLUS/DEFICIT 0 0 0 51 ,400-
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 74
FUND : 15 - GEN'L CAP. EQUIP REPLACEMENT
CENTER : 14 - POLICE DEPARTMENT
ACTIVITY : 16 - SUPPORT SERVICES
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBFP DFRCRTPTTCIN 1997/9'7 199'7 19917 1994 r- QM M_ F �i T S_
REVENUE
TOTAL REVENUE 0 0 0 O
EXPENSE
590100 EQUIPMENT REPLACEMENT 0 0 0 18,000
TOTAL CAPITAL 0 O 0 18,000
TOTAL EXPENSE 0 0 0 18,000
TOTAL ACTIVITY REVENUE 0 O 0 0
TOTAL ACTIVITY EXPENSE 0 0 0 18,000
NET ACTIVITY SURPLUS/DEFICIT 0 0 0 18,000-
TOTAL CENTER REVENUE 0 0 0 0
TOTAL CENTER EXPENSE O 0 0 6.9,400
NET CENTER SURPLUS/DEFICIT 0 0 0 59,400-
VILLAGE OF OAK BROOK: PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 75
FUND : 15 - GEW L CAP. EQUIP REPLACEMENT
CENTER : 1E - FIRE DEPARTMENT
ACTIVITY : 18 - FIRE SERVICES
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESCRIPTION 1992/93 1993 1993 1994 C O M M E N T 9-
REVENUE
TOTAL REVENUE 0 0 0 0
EXPENSE
590100 EQUIPMENT REPLACEMENT 0 O 0 35,000
TOTAL CAPITAL 0 0 0 35,000
TOTAL EXPENSE 0 O 0 35,000
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 0 0 0 35,000
NET ACTIVITY SURPLUS/DEFICIT 0 0 0 35,000-
TOTAL CENTER REVENUE 0 O 0 0
TOTAL CENTER EXPENSE 0 0 0 35,000
NET CENTER SURPLUS/DEFICIT 0 O 0 35,000-
VILLAGE OF OAK: BROOK; PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 75
FUND : 15 — GEN'L CAP. EQUIP REPLACEMENT
CENTER : 18 — PUBLIC WORKS
ACTIVITY : 24 — BUILDINGS 4 GROUNDS
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NuMBER _F)pcz 'RTPTION 1992/91 1991I 19973 1994 C O M M E N T S
REVENUE
TOTAL REVENUE 0 0 0 0
EXPENSE
590100 EQUIPMENT REPLACEMENT 0 0 O 28,000
TOTAL CAPITAL 0 0 0 28,000
TOTAL EXPENSE O 0 O 28,000
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 0 0 0 28,000
NET ACTIVITY SURPLUS/DEFICIT 0 0 0 28,000—
VILLAGE OF OAK BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: ii
FUND : 15 - GEN'L CAP. EQUIP REPLACEMENT
CENTER : 18 - PUBLIC WORKS
ACTIVITY : 26 - STREETS
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER nFgCRIPTInN 1997/93 199'1 199'1 1994 -r--n M M F N T S
R V Nll
TOTAL REVENUE 0 0 0 0
EXPENSE
590100
XPEN590100 EQUIPMENT REPLACEMENT 0 0 0 92,000
TOTAL CAPITAL 0 O 0 92,000
TOTAL EXPENSE 0 0 0 92,000
TOTAL ACTIVITY REVENUE 0 0 0 0
TOTAL ACTIVITY EXPENSE 0 0 0 92,000
NET ACTIVITY SURPLUS/DEFICIT 0 0 0 92,000-
TOTAL CENTER REVENUE 0 0 0 0
TOTAL CENTER EXPENSE 0 0 0 120,000
NET CENTER SURPLUS/DEFICIT 0 0 0 120,000-
TOTAL FUND REVENUE 500,085 250,000 261 ,200 421 ,250
TOTAL FUND EXPENSE 0 0 0 224,400
NET FUND SURPLUS/DEFICIT 500,085 250,000 261 ,200 196,850
� Infrastructure Fund
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VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 78
FUND : 16 - INFRASTRUCTURE FUND
CENTER : 00 - GENERAL
ACTIVITY : 00 - ADMINISTRATION
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DESf:RTPTTnN 1992/93 1993 199q 1994 C O M M E N T
REVENUE
440000 INTEREST 85 0 22,325 52,500
440220 GRANTS 0 0 O 724,000
440300 TRANSFERS IN 1 ,000,000 750,000 750,000 1 ,196,250
TOTAL MISC. INCOME 1 ,000,085 750,000 772,325 1 ,972,750
TOTAL REVENUE 1 ,000,085 750,000 772,325 1 ,972,750
EXPENSE
TOTAL EXPENSE 0 0 0 0
TOTAL ACTIVITY REVENUE 1 ,000,085 750,000 772,325 1 ,972,750
TOTAL ACTIVITY EXPENSE 0 0 0 0
NET ACTIVITY SURPLUS/DEFICIT 1 ,000,085 750,000 772,325 1 ,972,750
TOTAL CENTER REVENUE 1 ,000,085 750,000 772,325 1 ,972,750
TOTAL CENTER EXPENSE 0 0 0 0
NET CENTER SURPLUS/DEFICIT 1 ,000,085 750,000 772,325 1 ,972,750
VILLAGE OF OAF: BROOK PROPOSED BUDGET SUMMARY FOR BUDGET YEAR 1994 DATE: 12-14-93 PAGE: 79
FUND : 16 - INFRASTRUCTURE FUND
CENTER : 18 - PUBLIC WORKS
ACTIVITY : 30 - CAPITAL IMPROVEMENTS
ACCOUNT ACTUAL BUDGET ESTIMATED PROPOSED
NUMBER DFS RTPTTnN 1992/9'T 1993 . 1993 1994 c O M M E N T S
REVFNUF
TOTAL REVENUE 0 0 0 0
EXPENSE
520000 PRINTING/PUBLICATION 0 0 0 600
TOTAL MATERIALS & SUPPLIES 0 0 0 600
530475 PROFESSIONAL SERVICES 0 0 0 15,000
530490 ENGINEERING 0 0 0 492,000
TOTAL OPERATION & CONTRACTUAL 0 0 0 507,000
590400 BIKE TRAIL 4 MISC. IMPROVEMENT 0 0 0 175,000
590405 PAVING IMPROVEMENTS 0 0 0 1*482;-db0
590420 DRAINAGE IMPROVEMENTS 0 0 0 889,000
TOTAL CAPITAL 0 0 0 2,546,000
TOTAL EXPENSE • 0 0 0 3,053,600
TOTAL ACTIVITY REVENUE 0 0 0 0
'TOTAL ACTIVITY EXPENSE 0 0 0 3,053,600
NET ACTIVITY SURPLUS/DEFICIT 0 0 0 3,053,600-
'TOTAL CENTER REVENUE 0 0 0 0
TOTAL CENTER EXPENSE 0 0 0 3,053,600
NET CENTER SURPLUS/DEFICIT 0 0 0 3,053,600-
. TOTAL FUND REVENUE 1 ,000,085 750,000 772,325 1 ,972,750
TOTAL FUND EXPENSE 0 0 0 3,053,600
NET FUND SURPLUS/DEFICIT 1 ,000,085 750,000 772,325 1 ,080,850-
� Supplementary Information
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Village of Oak Brook
Corporate Fund Revenues
Income Tax,PPRT, R&B
Village of Oak Brook $47$,266
Sales Tax
Corporate Fund Revenues /$7
,300,000
Utility Tax
$1,655,000
"z;
License, Fees& Permit
Sales Tax $794,618
$9,800,000 Other
Income Tax,PPRT, R&B $552,757
$637,375
1993 Estimated
Utility Tax_ Village of Oak Brook
$1,595,000 Corporate Fund Revenues
Income Tax, PPRT,R&B
$446,967
License, Fees&Permit
$750,845
Other
$895,629 _Sales Tax
Utility Tax $6,250,000
$1,900,344
1994 Budget
License, Fees& Permit
$777,980
Other
$440,045
1993 Budget
Village of Oak Brook
Corporate Fund Expenditures
Salaries
$3,79 Materials and Supplies
$178,959
Operating Transfers
$1,000,000
Village of Oak Brook
Other Capital
Corporate Fund Expenditures $399,9os
Infrastructure
Salaries $164'678
Health Insurance
$6,170,360 Materials and Supplies $416,422 Operation&Contr.
$312,732 Other Personnel $1,180,041
- $689,585
Operating Transfers
$1,595,000 1993 Estimated
,Other Capital Village of Oak Brook
$962,828
Corporate Fund Expenditures
Health Insurance Infrastructure
$655,968 -> $373,000 Salaries
Other Personnel Operation&Contr. $4,088,114 Materials and Supplies
$1,165,103 $2,239,480 $215,228
rating
1994 Proposed Ope$1,000,OOOfers
_Other Capital
$519,471
Health Insurance ...... ......................... Infrastructure
.........................................
.........................................
.........................................
$518,543 $376,000
i _.;
Other Personnel
$762,611 Operation&Contr.
$2,243,075
1993 Budget