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2020 BudgetVILLAGE OF OAK BROOK, ILLINOIS Table of Contents Fiscal Year 2020 BUDGET MESSAGE ............................................................................................................................................................. 10 INTRODUCTION Village Mission, Vision, and Value Statements .................................................................................................................. 24 Government Profile & Location ......................................................................................................................................... 25 Strategic Plan ...................................................................................................................................................................... 28 Organizational Chart .......................................................................................................................................................... 30 Personnel Organization Chart ............................................................................................................................................ 31 Financial Organization Chart .............................................................................................................................................. 32 BUDGET OVERVIEW Budget Process and Schedule ............................................................................................................................................ 33 Budget Organization and Structure ................................................................................................................................... 35 Basis of Accounting and Basis of Budgeting ....................................................................................................................... 38 Fund Structure .................................................................................................................................................................... 39 Fund Descriptions ............................................................................................................................................................... 42 Relationship Between Budgeting Units .............................................................................................................................. 44 BUDGET SUMMARIES Cash and Investments Analysis .......................................................................................................................................... 46 Cash and Investments Summary ........................................................................................................................................ 47 Cash and Investments History of Major Funds .................................................................................................................. 48 Revenues, Expenditures, and Changes in Fund Balance/Net Position .............................................................................. 49 lnterfund Transfers and Reimbursements ......................................................................................................................... 50 Major Revenue Sources, Assumptions and Trends ............................................................................................................ 51 Revenue Summary Graph by Fund ..................................................................................................................................... 58 Revenues by Major Type Graph ......................................................................................................................................... 59 Expenditures Summary Graph by Fund ............................................................................................................................. 60 Expenditures by Major Type Graph ................................................................................................................................... 61 Summary of Revenues by Fund and Type .......................................................................................................................... 62 Summary of Expenditures by Fund and Type .................................................................................................................... 73 Revenues and Expenditure Comparison Summary ............................................................................................................ 84 Five-Year Financial Plan ...................................................................................................................................................... 85 Five-Year Financial Plan -General Fund Reserve Analysis ................................................................................................ 87 Five-Year Financial Plan -Fund Summaries ....................................................................................................................... 89 CAPITAL AND DEBT Capital Overview ................................................................................................................................................................ 100 Budgeted Capital Requests ................................................................................................................................................ 102 Description of Major Capital Projects ................................................................................................................................ 113 Debt Overview .................................................................................................................................................................... 119 PERSONNEL AND STAFFING Personnel Schedule -By Program /Department ................................................................................................................ 120 Personnel Schedule -By Position ...................................................................................................................................... 122 Personnel Assumptions ...................................................................................................................................................... 126