RONHO OF POMONA PA Town of Pomona Park Agenda Town Council Budget Workshop/Special Meeting Mayor. Joe Svingala Mayor Pro-Tem Councilwoman Evans Councilwoman Linkswiler Councilwoman Mead Councilwoman Kuleski Town Hall 1775 HWY17S Pomona Park,F FI 32181 www. pomonapark.com UTIFUL LAKE Friday, July 19, 2024 Town! Staff Andrea Almeida, Town Clerk Jennifer Paul, Finance Officer Don Hoimes, Town Attorney 2:00F PM Chambers Public Participation: shalll be in accordance with Section 286. 0114 Florida Statutes. Other matters of concern may be discussed as determined by Town Council, Ify youv wish to obtain more information regarding the Town Council's agenda, please contact the Town Clerk's Ina accordance with the Americans with Disabilities Act and Section 266.26, Florida Statutes, persons needinga a reasonable accommodation to participate in any oft these proceedings or meeting should contact the Town Clerk Itisp proper meeting etiquette tos silence alle electronic devices, including cell phones while Council isi ins session. Any person who decides to appeal any decision oft the Town Council with respect to any matter considered att this meeting will need a record oft the proceedings, and for such purpose, may need tol hire a court reporter to ensure that a verbatim record of the proceedings is made, which record includes the testimony and evidence upon which Comment Cards are available before any meeting in the Clerk's Office or prior to any meeting at the Clerk's Table. Public Participation shall be held in accordance with Section 286.0114 Florida Statutes. And pursuant to the (1)Each speaker shall at the podium, provide their name and may speak for upi to! 5 minutes. (2)The Publici may provide comments tot the Council relative to matters not on the agenda at the times indicated int this Agenda. Following any comments from the public, there may be discussion by the Council. (3) When addressing the Council on specific, enumerated. Agenda items, speakers shall:direct all comments to Office at: 386-649-4902. at366-649-4902, atl least 48 hours prior tot the meeting. the appeal is tot be! based. Please return completed cardst tot the Clerk. PUBLIC PARTICIPATION Council's Meeting Policies and Procedures: the Mayor; make their comments concise and to the point; not speak more than once on the same: subject; obey the orders of the Mayor or the Council; and Council rules, shalll be considered disorderly. within the remaining designated time limit. not, by speech or otherwise, delay ori interrupt the proceedings or the peace of the Council; not make anyi irrelevant, impertinent or slanderous comments while addressing the Council; which pursuant to 4) Any person who becomes disorderly or whoi fails to confine his or her comments to the identified subject or business, shall be cautioned by the Mayor and thereafter must conclude his or her remarks ont the subject Anys speaker failing to comply, as cautioned, shall be barred from making any additional comments during the Members of the public may make comments during the public comment portion of the meeting. Please be advised that public comment will only be permitted during the public comment portions of the agenda at the meeting and mayl be removed, asr necessary, for the remainder of the meeting. timesi indicated by the Chair during the meeting. Town of Pomona Park Created on 01/03/24 PLEDGE OF ALLEGIANCE TO THE FLAG CALL TO ORDER AND WELCOME VISITORS 2nd Budget Workshop of Fiscal Year 2024/2025 Finance Officer- Jennifer Paul/Town Clerk Andrea Almeida, CMC Review of 1-5 Cent PUBLIC PARTICIPATION ADJOURNMENT Remainder of Public Comments is limited to FIVE (5) minutes each. Special Meeting July 19, 2024 Millage Rate Vote for 24/25 PUBLIC PARTICIPATION -ADJOURNMENT Remainder of Public Comments is limited to FIVE (5) minutes each. Town of Pomona Park Created on 01/03/24 2 Town of Pomona Park Tentative Budget GENERAL FUND UnRestricted Revenues FY 2024-2025 General Proposed FY 268,843.00 1,000.00 40,000.00 5,000.00 1,000.00 1,200.00 35,000.00 1,000.00 40,000.00 2,000.00 27,000.00 500.00 600.00 40,000.00 32,938.40 1,600.00 250.00 200.00 10,000.00 3,500.00 600.00 1,000.00 492,854.15 Ledger Item Description 311.101 Ad Valorem Taxes (5.0493) 311.201 Ad Valorem Taxes (Delinquent) 314.101 Electric Utility Tax 314.301 Water Utility Tax 314.401 Gas Utility Tax 314.801 Propane Utility Tax 315.001 Communications Services Tax 322.100 Building Permits 323.100 Electric Franchise Fee 323.400 Gas Franchise Fee 335.001 State Revenue Sharing Sales Tax 335.140 Mobile Home License Tax 335.150 Alcoholic Beverage License Tax 335.180 Local Government 1/2 Cent Sales Tax 344.900 Transportation (DOT) 347.200 Parks & Recreation Memorial Park Brick Sales 349.000 Other Charges for Services (Copies, faxes, notary, etc) $ 351.101 Police Fines & Forfeitures 361.100 Interest Income 362.000 Rent & Royalties (Community Center) 366.000 Donations 382.300 Estimated Fund Balance Carry Forward FY23/24 $ 255,023.00 $ $ 1,000.00 $ $ 30,000.00 $ $ 5,000.00 $ $ 600.00 $ $ 500.00 $ $ 27,000.00 $ $ 900.00 $ $ 35,000.00 $ $ 5,200.00 $ $ 27,000.00 $ $ 500.00 $ $ 700.00 $ $ 40,000.00 $ $ 31,624.44 $ $ $ $ $ $ $ Received To Date 24/25 Budget 246,464.61 2,240.25 33,684.21 3,738.64 922.38 1,004.84 27,434.34 2,250.00 38,426.57 2,238.60 25,134.79 444.50 594.32 31,817.20 19,748.40 516.22 250.10 206.42 2,408.97 3,200.00 1.10 6,165.12 $ $ 200.00 $ 75.00 $ $ 600.00 $ 5,000.00 $ $ $ 465,922.44 $ 369.900 Other Miscellaneous Revenue(Fire Hydrant Claim $5792) $ TOTAL UnRestricted Revenue 448,891.58 $ 1,006,085.55 Restricted Revenues General Proposed FY Ledger Item Description 312.411 Local Option Gas Tax (County 6 cents) 312.420 New Local Option Gas Tax 312.602 One Cent Sales Tax- Discretionary Sales Tax 382.400 Estimated Fund Balance Carry Forward FY23/24 $ 23,000.00 $ $ 20,000.00 $ $ 84,000.00 $ $ 600,000.00 $ $ 400,000.00 $ $ $ 1,127,000.00 $ Received To Date 24/25 Budget 19,999.08 $ 23,000.00 13,686.83 $ 18,000.00 66,944.65 $ 81,000.00 453,414.80 $ 331.505 CDBG 334.000 FRDAP $ 400,000.00 $487,361.02 $ TOTAL Restricted Revenue 554,045.36 $ 1,009,361.02 549,522.14 $ 1,615,446.57 TOTAL RESTRICTED & UNRESTRICTED REVENUES EXCLUDING GRANT FUNDS $ 592,922.44 $ TOTAL RESTRICTED & UNRESTRICTED REVENUES $ 1,592,922.44 $ 1,002,936.94 $ 2,015,446.57 Page 1of6 Town of Pomona Park Tentative Budget GENERAL FUND FY 2024-2025 Legislative/Council Expenditures General Ledger Item Description 511.120 Salaries 511.200 Medicare 511.210 Social Security 511.230 Life & Health insurance 511.240 Workers' Compensation 511.250 Unemployment Compensation 511.310 Professional Services 511.320 Accounting & Auditing 511.340 Other Services 511.400 Travel and Per Diem 511.410 Communication Services 511.420 Freight & Postage Services 511.430 Utility Services 511.450 Insurance 511.460 Repair & Maintenance Services 511.470 Printing & Binding 511.480 Promotional, Activites 511.490 Other Current Charges/Obigations 511.510 Office Supplies 511.520 Operating Supplies 511.540 Memberships, Subscriptions and Dues 511.550 Training New Council Training 511.820 Aids to Private Organizations ($5000-ARK) FY2 23/24 including $ 22,000.00 $ $ 300.00 $ $ 2,175.00 $ $ 6,000.00 $ $ $ $ 12,100.00 $ $ 21,500.00 $ $ 500.00 $ $ 500.00 $ $ 1,500.00 $ $ 500.00 $ $ 1,200.00 $ $ 7,000.00 $ $ 500.00 $ $ $ $ 3,338.17 $ $ $ $ 300.00 $ $ 500.00 $ $ 3,925.00 $ $ 1,000.00 $ $ $ 84,838.17 $ Proposed FY Budget Transfers Expended To Date 24/25 Budget 14,000.00 $ 29,000.00 163.70 $ 1,592.20 $ 2,000.00 760.06 $ 3,000.00 2,152.00 $ 250.00 $ 7,407.41 $ 7,200.00 21,286.00 $ 31,600.00 430.81 $ 500.00 $ 750.00 787.68 $ 1,200.00 $ 500.00 741.33 $ 1,200.00 1,354.50 $ 14,700.00 482.68 $ 500.00 728.83 $ 200.00 2,411.53 $ 5,000.00 84.70 $ 106.48 $ 300.00 27.96 $ 200.00 4,299.63 $ 3,000.00 450.80 $ 1,000.00 $ 5,000.00 59,518.30 $ 107,150.00 300.00 $ $ $ TOTAL Legislative/Council Expenditures Page 2of6 Town of Pomona Park Tentative Budget GENERAL FUND FY 2024-2025 Financial & Administrative Expenditures General FY2 23/24 including $ 779.76 $ $ 99,380.00 $ $ $ $ $ $ 8,360.00 $ $ $ $ 18,740.00 $ $ 779.34 $ $ 225.00 $ $ 592.90 $ $ 130.92 $ $ $ $ 100.00 $ $ 5,000.00 $ $ 2,440.00 $ $ 600.00 $ $ 1,300.00 $ $ 6,991.90 $ $ 1,930.88 $ $ 1,935.00 $ $ 3,500.00 $ $ 1,000.00 $ $ 1,600.00 $ $ 3,438.20 $ $ 8,134.00 $ $ 6,000.00 $ $ 1,668.00 $ $ 173,846.14 $ Proposed FY Ledger Item Description 513.100 Personnel Services - Other 513.120 Salaries & Wages w/Retirement 513.190 Federal Withholding 513.200 Medicare 513.210 Social Security 513.220 Retirement Contributions 513.230 Life & Health Insurance 513.240 Worker's Compensation 513.250 Unemployment Compensation 513.260 Other Post Employment Benefits 513.300 Operating Expense Other 513.340 Other Services 513.400 Travel & Per Diem 513.410 Communication Services 513.420 Freight & Postage Services 513.430 Utility Services 513.450 Insurance 513.460 Repair & Maintenance Services 513.470 Printing & Binding 513.490 Legal Notices/Bank Service Charge 513.492 Advertising 513.510 Office Supplies 513.520 Operating Supplies Budget Transfers Expended To Date 24/25 Budget 485.84 $ 75,731.89 $ 100,000.00 3,247.42 $ 13,509.98 $ 15,000.00 3,037.05 $ 5,200.00 9,146.84 $ 18,000.00 1,372.66 $ 314.39 $ 592.90 $ 130.92 $ 43.75 $ 3,031.74 $ 6,000.00 1,386.73 $ 2,400.00 288.64 $ 838.54 $ 1,300.00 4,690.10 $ 14,700.00 1,950.08 $ 1,020.14 $ 56.65 $ 1,500.00 506.24 $ 1,000.00 1,507.40 $ 1,200.00 479.59 $ 1,500.00 8,423.63 $ 2,000.00 3,495.53 $ 8,000.00 820.17 $ 2,500.00 135,622.98 $ 192,900.00 $ 1,000.00 300.00 $ 10,000.00 513.310 Professional Services (CyDer-Security), -Required- 300.00 500.00 500.00 513.540 Memberships, Subscriptions and Dues (ClerkBooks) 513.550 Training Addition of Finance School 513.641 Imaging Capital Outlay (Copier Lease) TOTAL Financial & Administrative Expenditures Page 3 of6 Town of Pomona Park Tentative Budget GENERAL FUND Legal Council Expenditures FY2024-2025 General FY23/24 including $ 22,000.00 $ $ 6,991.90 $ $ 28,991.90 $ Proposed FY Ledger Item Description 514.310 Professional Services 514.450 Insurance Budget Transfers Expended To Date 24/25 Budget 4,250.00 $ 22,000.00 4,354.50 $ 8,604.50 $ 22,000.00 TOTAL Legal Council Expenditures Comprehensive Planning Expenditures General FY23/24 including $ 27,000.00 $ $ 6,991.90 $ $ 1,500.00 $ $ 35,491.90 $ Proposed FY Ledger Item Description 515.310 Professional Services 515.450 Insurance 515.480 Legal Notices Budget Transfers Expended To Date 24/25 Budget 200.00 $ 4,354.50 $ 1,470.00 $ 6,024.50 $ TOTAL Comprehensive Planning Expenditures Law Enforcement Expenditures General FY23/24 including $ 10,000.00 $ $ 6,991.90 $ $ 16,991.90 $ Proposed FY Ledger Item Description 521.340 Other Services Patrols 521.450 Insurance Budget Transfers Expended To Date 24/25 Budget 2,966.40 $ 10,000.00 4,354.50 $ 7,320.90 $ 10,000.00 TOTAL Law Enforcement Expenditures Fire Control Expenditures General FY23/24 including $ $ $ $ $ $ Proposed FY Ledger Item Description 522.230 Life & Health Insurance 522.430 Utility Services 522.450 Insurance 522.520 Operating Supplies Budget Transfers Expended To Date 24/25 Budget 509.85 $ 500.00 $ 6,991.90 $ 5,795.00 $ $ 13,796.75 $ 509.85 $ 254.39 $ 4,354.50 $ 4,795.00 $ 12,000.00 9,913.74 $ 12,500.00 500.00 522.460 Repair & Maintenance Services (Hydrants) TOTAL Fire Control Expenditures Page 4 of6 Town of Pomona Park Tentative Budget GENERAL FUND FY 2024-2025 Code Enforcement Expenditures General FY23/24 including $ $ $ 509.85 $ $ $ $ $ $ 30,000.00 $ $ 250.00 $ $ 60.00 $ $ 6,991.90 $ $ 675.00 $ $ 38,486.75 $ Proposed FY $ 15,000.00 509.85 $ $ $ 250.00 $ 30,000.00 10.64 $ 41.31 $ 4,354.50 $ 14,700.00 591.25 $ 5,757.55 $ 60,650.00 Ledger Item Description 529.131 Salaries & Wages w/Retirement 529.231 Life & Health Insurance 529.241 Workers' Compensation 529.251 Unemployment Compensation 529.421 Postage 529.431 Utilities 529.451 Insurance Budget Transfers Expended To Date 24/25 Budget 529.341 Other Public Safety, Code Enforcement Abatement 250.00 700.00 529.491 Other Public Safety (Tax Certificates) TOTAL Code Enforcement Expenditures Public Works Expenditures General FY23/24including $ 40,785.00 $ $ 123,465.00 $ $ 2,000.00 $ $ 1,400.00 $ $ 10,332.00 $ $ $ $ 26,745.00 $ $ 27.97 $ $ 8,400.00 $ $ 4,672.00 $ $ 1,500.00 $ $ 30,400.00 $ $ 14,128.90 $ $ 21,000.00 $ $ 4,500.00 $ $ 1,000.00 $ $ 5,222.03 $ $ 200.00 $ $ 5,200.00 $ $ 309,777.90 $ Proposed FY Ledger Item Description 541.130 Salaries & Wages w/Retirement 541.130 Salaries & Wages wlo Retirement 541.140 Overtime 541.200 Medicare 541.210 Social Security 541.220 Retirement Contributions 541.230 Life & Health Insurance 541.300 Operating Expenditures/Expenses - Other 541.310 Contractrural Services Weed Spraying, AC maint. 541.340 Other Services (CSX Main) 541.410 Communication Services 541.430 Utility Services 541.450 Insurance Budget Transfers Expended To Date 24/25 Budget 29,104.00 $ 37,000.00 94,593.00 $ 127,000.00 $ 2,000.00 1,580.07 $ 2,800.00 6,797.25 $ 6,000.00 1,164.20 $ 2,000.00 18,233.53 $ 35,000.00 27.97 $ 4,837.67 $ 4,500.00 1,650.00 $ 6,400.00 1,469.60 $ 1,960.00 20,956.98 $ 31,500.00 8,709.00 $ 14,700.00 12,402.54 $ 20,000.00 2,995.41 $ 5,000.00 480.75 $ 2,000.00 516.81 $ 6,000.00 3,143.78 $ 541.460 Repair, Maintenance & Parts Expenses 541.522 Motor Fuels & Lubricants Expenses 541.523 Uniform & Safety Expenses 541.530 Road & Pervious Surface Materials & Supplies 541.540 Subscriptions, Memberships & Dues 541.640 Machinery & Equipment - Capital Outlay 400.00 541.630 Improvements Other Than Buildings Capital Outlay (Bins $ 14,000.00 $ 541.650 Construction in Progress - Capital Outlay Memorial Park $ 25,000.00 $ $ $ 15,835.59 $ 10,000.00 208,662.56 $ 304,260.00 TOTAL Road & Streets Faciities Expenditures Page 5 of6 Town of Pomona Park Tentative Budget GENERAL FUND Special Events Expenditures FY2024-2025 General FY23/24 including $ $ $ $ $ $ Proposed FY Ledger Item Description 574.341 Other Contractural Services 574.451 Insurance 574.481 Promotional. Activities 574.521 Operating Supplies 574.431 Utility Services Budget Transfers Expended To Date 24/25 Budget 1,272.82 $ 7,191.90 $ 6,000.00 $ 650.00 $ 60.00 $ 13,901.90 $ 556.20 $ 4,354.50 $ 4,811.43 $ 6,500.00 154.82 $ 41.29 $ 9,362.04 $ 6,500.00 TOTAL Special Events Expenditures Community Center Expenditures General FY23/24 including $ 3,500.00 $ $ 3,695.99 $ $ 7,920.00 $ $ 4,000.00 $ $ 1,000.00 $ $ 219.16 $ $ 30,000.00 $ 56,835.90 $ $ 107,171.05 $ FY23/24 including $ 465,922.44 $ $ 823,294.36 $ Proposed FY Ledger Item Description 575.341 Other Contractual Services Cleaning 575.431 Utility Services 575.451 Insurance 575.461 Repairs & Maintenance Services 575.521 Operating Supplies 575.491 Other Services 575.641 Machinery & Equipment- AC's 575.651 Construction in Progess Bathrooms/Floors) Budget Transfers Expended To Date 24/25 Budget 2,450.00 $ 3,500.00 2,704.21 $ 4,000.00 4,354.50 $ 14,700.00 4,198.11 $ 4,000.00 37.23 $ 1,000.00 219.16 $ $ 18,361.70 $ 32,324.91 $ 27,200.00 TOTAL Community Center Expenditures Proposed FY Budget Transfers Current FY to Date 24/25 Budget GENERAL FUND TOTAL REVENUES GENERAL FUND TOTAL EXPENDITURES 448,891.58 $ 1,006,085.55 483,111.98 $ 743,160.00 Page 6of6 3 - . S Town of Pomona Park Tentative Budget Beautification Fund Revenue FY2024-2025 General Ledger Item Description 347.400 Special Events 349.104 Other, Food Sales 361.100 Interest 366.000 Contriputions/Donations 369.900 Other Misc Revenue 382.500 Estimated Fund Balance Carry Forward FY23/ including $ 10.00 $ $ 3,000.00 $ $ $ Proposed FY 5.74 $ 10.00 $ 10,023.75 budget transfers Received To Date 24/25 Budget $ 8,590.00 $ 6,314.56 $ 10,490.00 $ 5,400.00 $ 4,757.00 $ 5,900.00 $ 400.00 $ 1,782.72 $ 5,000.00 $ 17,400.00 $ 12,860.02 $ 31,423.75 TOTALI Revenue legislative/Counci Expenditures General Ledger Item Description 511.480 Promotional Activities 511.520 Operating Supplies FY23/ including $ 750.00 $ $ 500.00 $ $ 1,250.00 $ FY23/ including budget transfers ExpendedTo Date 24/25 Budget $ 1,650.00 $ 1,330.00 $ $ 1,650.00 $ 1,330.00 $ Proposed FY $ $ $ ProposedF FY budgettransfers Expended To Date 24/25 Budget TOTAL Legislative/Council Expenditures Road & Streets Expenditures General Ledger Item Description 541.630 Infastructure TOTAL Road & Streets Expenditures Parks & Recreation Expenditures General Ledger Item Description 572.460 Repair & Maintenance Services 572.520 Operating Supplies -Other 572.521 Other Operating Supplies FY23/ including $ $ $ Proposed FY budget transfers Expended ToDate 24/25 Budget $ 5,100.00 $ 1,044.90 $ $ 5,100.00 $ 1,179.53 $ $ 22.39 $ $ 112.24 $ $ 572.650 Construction in Progess Capital Outlay- A St Green Space TOTAL Parks & Recreation Expenditures Special Events Expenditures General Ledger Item Description 574.341 Other Contractual Services 574.481 Promotional Activities 574.521 Operating Supplies FY23/ including budget transfers Expended To Date 24/25 Budget $ 500.00 $ 216.62 S $ 5,075.00 $ 3,886.33 $ 15,975.00 $ 6,550.00 $ 5,259.24 $ 15,750.00 $ 12,125.00 $ 9,362.19 $ 31,725.00 Proposed FY 572.650 Construction in Progress Capital Outlay- A St Green Space $ $ TOTAL Parks &F Recreation Expenditures Community Center Expenditures General Ledger Item Description 575.521 Operating Suppplies FY2 23/ including $ 3,600.00 $ $ 3,600.00 $ Proposed FY $ budget transfers Expended To Date 24/25 Budget $ 17,400.00 12,860.02_ 31,423.75 $ 23,725.00 11,871.72_ 31,725.00 TOTAL Road & Streets Expenditures BEAUTIFICATION FUND TOTAL REVENUES BEAUTIFICATIONI FUND TOTAL EXPENDITURES Town of Pomona Park Tentative Budget FY2024-2025 Better Place Fund Restricted Revenue General Proposed FY Ledger Item Description 361.100 Interest FY23/24 Received To Date 24/25 Budget 312.602 One Cent Sales Tax- Discretionary Sales Tax $ 84,000.00 $ 62,056.85 $ 81,000.00 $ 100.00 $ $ $ $ 84,100.00 $ 34.43 $ 62,091.28 $ 481,121.58 382.600 Estimated Fund Balance Carry Forward 400,121.58 TOTAL Revenue Expenditures General Proposed FY $ 6,000.00 $ 10,000.00 $ 137,000.00 4,449.00 $ 5,000.00 $ 34,500.00 $ 30,000.00 $ 4,449.00 $ 222,500.00 4,449.00 $ 222,500.00 Ledger Item Description 511.640 Machinery & Equipment 513.630 Improvements Other Than Buildings 541.630 Improvements Other Than Buildings 541.640 Machinery & Equipment 575.630 Improvements Other Than Buildings 575.640 Machinery & Equipment- AC's FY23/24 Expended To Date 24/25 Budget $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ TOTAL Expenditures BETTER PLACE FUND TOTAL REVENUES $ 84,100.00 $ 62,091.28 $ 481,121.58 BETTER PLACE FUND TOTAL EXPENDITURES) $ Town of Pomona Park Tentative Budget FY2024-2025 CDBG Fund Restricted Revenue General Ledger Item Description 331.505 CDBG Proposed FY FY23/24 Received To Date 24/25 Budget $ 600,000.00 $ 452,414.80 $ 600,000.00 $ 452,414.80 $ TOTAL Revenue Expenditures General Ledger Item Description 554.835 CDBG Proposed FY FY23/24 Expended To Date 24/25 Budget $ 600,000.00 $ 452,414.80 $ $ 600,000.00 $ 452,414.80 $ $ 600,000.00 $ 452,414.80 $ $ 600,000.00 $ 452,414.80 $ TOTAL Expenditures CDBG FUND TOTAL REVENUES CDBG FUND TOTAL EXPENDITURES Town of Pomona Park Tentative Budget FY2024-2025 FRDAP Fund Restricted Revenue General Ledger Item Description 334.701 FRDAP Proposed FY $400,000.00 $ 400,000.00 FY23/24 $ 400,000.00 $ $ 400,000.00 $ Received To Date 24/25 Budget TOTAL Revenue Expenditures General Proposed FY $ 400,000.00 Ledger Item Description FRDAP FY23/24 $ 400,000.00 $ $ 400,000.00 $ Expended To Date 24/25 Budget TOTAL Expenditures 400,000.00 $400,000.00 $4 400,000.00 FRDAP FUND TOTAL REVENUES $ 400,000.00 $ FRDAP FUND TOTAL EXPENDITURES $ 400,000.00 $ 6 6) 6 6 6 $