CITY OF LAWRENCE
GENERAL FUND PROJECTION
Revenues 2004 2005 2006 2007 2008
Property Taxes $11,890,949 $12,517,532 $12,850,000 $13,170,607 $13,960,843
Franchise Fees $3,684,941            3,754,184            3,900,000            4,500,000            4,860,000
Sales Taxes $20,640,305          21,318,108          22,200,000          23,050,000          23,972,000
State Transfers $716,688 710,932 680,000 692,000 715,000
Licenses & Permits $1,121,828 1,082,191 1,100,000 1,080,000 1,112,400
Fines $2,321,690 2,637,320 2,600,000 2,750,000 2,832,500  
User Fees $402,637 683,000 650,000 698,184 719,130
Interest $369,078 1,087,618 1,400,000 1,000,000 1,000,000  
Other $3,259,492            3,369,533            3,470,619            4,273,766            4,401,979
Transfers 1,195,000 1,595,525 1,628,662 3,025,600 3,176,880
TOTAL REVENUES $45,602,608 $48,755,943 $50,479,281 $54,240,157 $56,750,732
Expenditures 2004 2005 2006 2007 2008
City Commission 63,720                  68,674      
City Manager 297,670               309,803      
Public Information 80,116                  77,141      
Planning 721,791               863,892      
Human Relations 298,141               247,031      
City Clerk 134,600               152,370      
Personnel 344,684               449,767        
Risk Management 1,042,755            1,074,744        
Finance 306,470               320,599      
Overhead 2,385,557            2,465,094      
Transfers 6,396,011            7,629,766      
Information Systems 800,430               884,680      
Legal 559,054               628,170      
Court 576,728               607,577      
Police 10,057,898          11,503,849        
Fire 9,495,572          10,670,263      
Health 834,673               847,499      
Streets 1,549,079            1,963,040      
Engineering 643,688               704,205      
Traffic 558,172               550,794      
Airport 78,762                  72,300      
Building 702,319               711,309      
Street Lights 492,262               497,148      
Levee 101,051               116,903      
Parks & Rec Facilities 2,551,677            2,950,122      
Building Inspection 785,761 839,247      
Other Operating 0 0        
TOTAL EXPENDITURES 40,844,267          47,205,987          53,549,322          55,217,473          57,978,347  
   
Revenue over Expenditures 4,758,341 1,549,956 (3,070,041) (977,316) (1,227,615)  
Beginning Balance  $        8,164,583 12,922,924 14,472,880 11,402,839 10,425,523
End Balance 12,922,924 14,472,880 11,402,839 10,425,523 9,197,908
Assumptions -Option C 18.88% 15.86%
Revenues: no mill levy increase and 6% growth in A.V.in 2007, electrical franchise fee increase to 5% of revenue 
4% increase in sales tax, 3% growth in ambulance reimbursement, and 5% increase in other franchise fees
Expenditures:  97% of budget in 2006 and 2007, 5% annual operating increase in 2008 
Includes adjustments to 2006 revenues (additional $109,216 projected revenue); decreased funding for street maintenance
by $720,000