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2008/09 BUDGET BOOK CONTENTS
List of Service Areas 2

The Revenue Programme:

2008/09 Income & Expenditure Account 5
2008/09 Budget Summary – General Fund 6
2008/09 Housing Revenue Account – Income & Expenditure Account 7

Revenue Budget Detail:

Chief Executive’s Office 9
Corporate Director – Resources 29
Corporate Director – Community Services 50
Housing Revenue Account 161

The Capital Programme Summary & Financing 200

Calendar 2008/09 203

Movements in Council Tax - 2008/09 204

Tamworth Borough Council

General Fund Budget Summary

Chief Executive’s Office

Revenue Budget Summary

Chief Executives Office

Chief Executive

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GC0101Chief Executive

Expenditure

Employees

00101Salaries142,1504,300(470) 145,980

Transport Related Expenses

25010Car Allowances2,360002,360

25020Casual Travelling Expenses35000350

Supplies And Services

30101Equipment Furniture & Materials39000390

31510Printing & Stationery External10000100

31520Publications65000650

33040Telephones760200780

34010Subsistence700070

34040Conference Expenses1,500001,500

34511Subscriptions - Corporate340100350

35010Public Liability Insurance3,6601003,670

35083Promotion International Links3,090003,090

Charges Within Fund

62108Solicitor to the Council550(550)00

62140Reprographics60(60)00

64010Corp Dir - Corporate Services15,410(1,140)014,270

64050Corp Dir - Housing & Property Services5,5102,78008,290

______

TotalExpenditure176,9505,370(470)181,850

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Charges Within Fund

85125Recharge - Other General Fund(176,950)(4,900)0(181,850)

______

TotalIncome(176,950)(4,900)0(181,850)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0470(470)0

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Assistant Chief Executive

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GL0203Health & Safety

Expenditure

Employees

00101Salaries32,050(32,050)00

Transport Related Expenses

25010Car Allowances1,200(1,200)00

Supplies And Services

30263Health & Safety Training06,00006,000

30399Employee Counselling11,680(4,680)07,000

32002Lichfield D C Joint Provision017,370017,370

34511Subscriptions - Corporate08000800

35010Public Liability Insurance830(830)00

35049Health And Safety19,450(8,240)011,210

Charges Within Fund

62140Reprographics20(20)00

64010Corp Dir - Corporate Services13,830290014,120

64050Corp Dir - Housing & Property Services2,34023002,570

______

TotalExpenditure81,400(22,330)059,070

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82470Housing Revenue Account(13,090)(570)0(13,660)

Charges Within Fund

85120Recharge Within Directorate(20,750)2,1900(18,560)

85125Recharge - Other General Fund(47,560)20,7100(26,850)

______

TotalIncome(81,400)22,3300(59,070)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0000

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Head of Organisational Development

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GH0209Service Transformation

Expenditure

Employees

00101Salaries133,8304,350(12,940)125,240

Supplies And Services

30199Other Supplies And Services1,000001,000

33180Service Transformation44,5100044,510

35010Public Liability Insurance03,45003,450

Charges Within Fund

64010Corp Dir - Corporate Services4,67030,650035,320

______

TotalExpenditure184,01038,450(12,940)209,520

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82470Housing Revenue Account(43,470)(2,570)0(46,040)

Charges Within Fund

85120Recharge Within Directorate(52,170)(15,970)0(68,140)

85125Recharge - Other General Fund(88,370)(6,970)0(95,340)

______

TotalIncome(184,010)(25,510)0(209,520)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure012,940(12,940)0

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Head of Organisational Development

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GL0201Human Resources

Expenditure

Employees

00101Salaries137,09016,9103,350157,350

02121Recruitment Expenses10,6700010,670

02160Long Service Awards2,170002,170

Premises Related Expenses

18010Contents Insurance2010030

Transport Related Expenses

25010Car Allowances1,540001,540

25020Casual Travelling Expenses300030

Supplies And Services

30101Equipment Furniture & Materials1,630001,630

30190Job Evaluation Scheme1,610001,610

30195Trade Union Facilities900090

30196Trade Union Duties2,440002,440

30422Single Status - 37 Hour Week12000120

30423Job Evaluation Software1,1103001,140

30483Prov Of Occup Health Services24,430610025,040

31510Printing & Stationery External49000490

31520Publications88000880

34511Subscriptions - Corporate9,57024009,810

34512Subscriptions - Management10000100

35010Public Liability Insurance3,6101003,620

Charges Within Fund

62108Solicitor to the Council8,10010,140018,240

62140Reprographics6202000820

64010Corp Dir - Corporate Services44,640(4,370)040,270

64050Corp Dir - Housing & Property Services8,8201,320010,140

______

TotalExpenditure259,78025,1003,350288,230

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82470Housing Revenue Account(54,880)19,290(230)(35,820)

Charges Within Fund

85120Recharge Within Directorate(77,890)(8,660)0(86,550)

85125Recharge - Other General Fund(127,010)(38,850)0(165,860)

______

TotalIncome(259,780)(28,220)(230)(288,230)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0(3,120)3,1200

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Head of Organisational Development

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GL0202Training & Development

Expenditure

Employees

00101Salaries32,0501,790(110)33,730

Transport Related Expenses

25020Casual Travelling Expenses47000470

Supplies And Services

30204Management Development25,3600025,360

30211Professional Development Corporate Services2,850002,850

30212Professional Development HPS2,850002,850

30213Professional Development C & E2,850002,850

30214E-Induction009,3009,300

302155 Steps Project Mgt Training0010,00010,000

30231Post Entry Training8,450008,450

30232Refreshments & Materials4,090004,090

30234Corporate Training25,3700025,370

30239NVQ Training4,750004,750

30259Workforce Development8,550008,550

34512Subscriptions - Management01400140

35010Public Liability Insurance820100830

Charges Within Fund

62140Reprographics160(130)030

64010Corp Dir - Corporate Services15,2806,150021,430

64050Corp Dir - Housing & Property Services13,1701,350014,520

______

TotalExpenditure147,0709,31019,190175,570

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82470Housing Revenue Account(28,660)5,3200(23,340)

Charges Within Fund

85120Recharge Within Directorate(34,820)(25,660)0(60,480)

85125Recharge - Other General Fund(83,590)(8,160)0(91,750)

______

TotalIncome(147,070)(28,500)0(175,570)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0(19,190)19,1900

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Head of Performance & Corporate Relations

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GH0203PR & Consultation

Expenditure

Employees

00101Salaries126,0204,960(420)130,560

Transport Related Expenses

25020Casual Travelling Expenses800080

Supplies And Services

30101Equipment Furniture & Materials002,0002,000

30178Photo Library001,0001,000

30199Other Supplies And Services2,760002,760

30457External Communications27,480030,00057,480

30459Corporate Consultation20,6300020,630

35010Public Liability Insurance2,88038003,260

35019Internal Communications3,480003,480

35020Advertising27,120(15,000)012,120

35021Public Relations1,030001,030

35022Promotion & Marketing12,24016,000028,240

35039Recycling Promotion8,840008,840

Charges Within Fund

62108Solicitor to the Council3,950(3,950)00

62140Reprographics20(20)00

64010Corp Dir - Corporate Services53,150(5,540)047,610

64050Corp Dir - Housing & Property Services4,67048005,150

______

TotalExpenditure294,350(2,690)32,580324,240

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82470Housing Revenue Account(39,890)(5,570)0(45,460)

Charges Within Fund

85120Recharge Within Directorate(90,150)(18,420)0(108,570)

85125Recharge - Other General Fund(164,310)(5,900)0(170,210)

______

TotalIncome(294,350)(29,890)0(324,240)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0(32,580)32,5800

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Head of Performance & Corporate Relations

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GL0204Policy & Review

Expenditure

Employees

00101Salaries75,440(2,080)(230)73,130

Transport Related Expenses

25020Casual Travelling Expenses11000110

Supplies And Services

30101Equipment Furniture & Materials1,000001,000

30153Software Support Licences4,2001108,75013,060

30475Best Value Performance Plan5,450005,450

31510Printing & Stationery External18000180

31520Publications11000110

31530Photocopying900090

33030Postages800080

34010Subsistence100010

34511Subscriptions - Corporate140(140)00

35010Public Liability Insurance1,9203001,950

35158Comprehensive Area Assessments0010,00010,000

Charges Within Fund

64010Corp Dir - Corporate Services36,7704,180040,950

64050Corp Dir - Housing & Property Services2,72039003,110

______

TotalExpenditure128,2202,49018,520149,230

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82470Housing Revenue Account(30,680)12,2500(18,430)

Charges Within Fund

85120Recharge Within Directorate(46,980)12,4200(34,560)

85125Recharge - Other General Fund(50,560)(45,680)0(96,240)

______

TotalIncome(128,220)(21,010)0(149,230)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0(18,520)18,5200

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Customer Services Manager

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GH0207Customer Services

Expenditure

Employees

00101Salaries259,86015,400(880)274,380

00110Salaries - Overtime3,3008003,380

Supplies And Services

30101Equipment Furniture & Materials5,390005,390

33045Line Rental Main Switchboard65,4901,640067,130

35010Public Liability Insurance7,000(310)06,690

Charges Within Fund

62140Reprographics86020001,060

64010Corp Dir - Corporate Services140,1504,2900144,440

64050Corp Dir - Housing & Property Services20,4702,090022,560

______

TotalExpenditure502,52023,390(880)525,030

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82310Contrib from Staffs C C .0(12,770)0(12,770)

82470Housing Revenue Account(104,280)(10,380)0(114,660)

Customer And Client Receipts

83140Telephone Recharges(7,920)00(7,920)

83142Room Hire(15,360)(770)0(16,130)

Charges Within Fund

85120Recharge Within Directorate(231,010)(34,440)0(265,450)

85125Recharge - Other General Fund(143,950)35,8500(108,100)

______

TotalIncome(502,520)(22,510)0(525,030)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0880(880)0

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Customer Services Manager

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GT0502Shopmobility

Expenditure

Employees

00101Salaries22,4303,220(80)25,570

Premises Related Expenses

18010Contents Insurance200100210

Supplies And Services

30168Repair & Maintenance Equipment3,6109003,700

35010Public Liability Insurance580(10)0570

35064Shopmobility Scheme3,3308003,410

Charges Within Fund

62140Reprographics30(30)00

64010Corp Dir - Corporate Services5,6207,010012,630

Financing Costs

74010Provision for Depreciation1,100001,100

______

TotalExpenditure36,90010,370(80)47,190

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Customer And Client Receipts

83226Fees & Charges(5,290)(260)0(5,550)

______

TotalIncome(5,290)(260)0(5,550)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure31,61010,110(80)41,640

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Customer Services Manager

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GY0701Tourist Information Service

Expenditure

Employees

00101Salaries65,7707,760(240)73,290

01101Wages4,36011004,470

Premises Related Expenses

10018Fire & Security Arrangement1,4504001,490

11010Electricity1,1803001,210

11020Gas590100600

12010Rents16,550410016,960

13010Rates6,37021006,580

14010Water Charges Metered440100450

14030Sewerage & Environment Charge600060

16001Cleaning & Domestic Supplies340100350

18010Contents Insurance340100350

Transport Related Expenses

25020Casual Travelling Expenses29000290

Supplies And Services

30101Equipment Furniture & Materials85000850

31010Protective Clothing59000590

31530Photocopying25000250

33030Postages500050

33040Telephones2,2006002,260

35010Public Liability Insurance1,6504001,690

Charges For Services

45040Cash Security1,20070001,900

Charges Within Fund

62108Solicitor to the Council05,81005,810

62140Reprographics140100150

64010Corp Dir - Corporate Services38,30019,430057,730

64050Corp Dir - Housing & Property Services2,18018002,360

Financing Costs

74010Provision for Depreciation7,330007,330

______

TotalExpenditure152,48034,830(240)187,070

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Customer And Client Receipts

83156Photocopy Charges(430)00(430)

83309Rent Income Markets(1,320)(70)0(1,390)

______

TotalIncome(1,750)(70)0(1,820)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure150,73034,760(240)185,250

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Customer Services Manager

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GY0702Shop Trading Account

Expenditure

Supplies And Services

30160Purchace Stock Retail4,44011004,550

Charges For Services

45050Bank Charges1,93012002,050

______

TotalExpenditure6,37023006,600

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Customer And Client Receipts

83150Sale of Photographs(5,370)(130)0(5,500)

83151Sale of Publications(3,960)(100)0(4,060)

83154Ticket Sales(5,180)(130)0(5,310)

83155Bed Bookings(440)(10)0(450)

83298Credit Card Booking Fees(1,350)(30)0(1,380)

______

TotalIncome(16,300)(400)0(16,700)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure(9,930)(170)0(10,100)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Customer Services Manager

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GY0703TIC Third Party Ticket Sales

Expenditure

Supplies And Services

38001Private Hire Ticket Sales45,610(45,610)00

38002Split Profit Event Ticket Sale22,80047,320070,120

______

TotalExpenditure68,4101,710070,120

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Customer And Client Receipts

83801Private Hire Ticket Sales(45,610)45,61000

83802Split Profit Event Income(22,800)(47,320)0(70,120)

______

TotalIncome(68,410)(1,710)0(70,120)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0000

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Solicitor and Monitoring Officer

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GC0601Solicitor to the Council

Expenditure

Employees

00101Salaries139,490(8,630)(33,210)97,650

Transport Related Expenses

25010Car Allowances1,650001,650

Supplies And Services

30101Equipment Furniture & Materials2,400(480)01,920

31510Printing & Stationery External13000130

31520Publications15,3900015,390

32040Legal Fees6,700006,700

34040Conference Expenses33000330

34511Subscriptions - Corporate970(620)0350

34513Subscriptions - Named Officers1,0701,16002,230

35010Public Liability Insurance3,530(300)03,230

Charges Within Fund

62140Reprographics60(60)00

64010Corp Dir - Corporate Services32,500(2,290)030,210

64050Corp Dir - Housing & Property Services6,80081007,610

______

TotalExpenditure211,020(10,410)(33,210)167,400

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82470Housing Revenue Account(2,310)(16,730)(6,100)(25,140)

Customer And Client Receipts

83226Fees & Charges00(15,000)(15,000)

Charges Within Fund

85120Recharge Within Directorate(39,480)(4,590)0(44,070)

85125Recharge - Other General Fund(169,230)86,0400(83,190)

______

TotalIncome(211,020)64,720(21,100)(167,400)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure054,310(54,310)0

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Solicitor and Monitoring Officer

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GL0301Democratic Services

Expenditure

Employees

00101Salaries138,6602,520(450)140,730

00110Salaries - Overtime2,0005002,050

Premises Related Expenses

18010Contents Insurance27000270

Transport Related Expenses

25010Car Allowances2,000002,000

25020Casual Travelling Expenses900090

Supplies And Services

30101Equipment Furniture & Materials2,900002,900

31510Printing & Stationery External1,590001,590

31520Publications1,050001,050

31530Photocopying2,230002,230

33030Postages87000870

34010Subsistence500050

35010Public Liability Insurance3,5206003,580

Charges Within Fund

62108Solicitor to the Council3,9506,050010,000

62140Reprographics7,210(4,910)02,300

64010Corp Dir - Corporate Services115,910(25,790)090,120

64050Corp Dir - Housing & Property Services13,030(1,340)011,690

______

TotalExpenditure295,330(23,360)(450)271,520

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure295,330(23,360)(450)271,520

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Solicitor and Monitoring Officer

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GL0302Member Services

Expenditure

Transport Related Expenses

25020Casual Travelling Expenses01,00001,000

Supplies And Services

31510Printing & Stationery External1,02030001,320

33036Distribution Service70000700

33040Telephones200020

34010Subsistence3,000003,000

34040Conference Expenses75000750

34065Members Attenendance Allowance228,14013,0800241,220

34068Members Training Courses16,160(1,000)015,160

34511Subscriptions - Corporate300(300)00

Charges Within Fund

62108Solicitor to the Council3,950(940)03,010

64010Corp Dir - Corporate Services156,870(9,460)0147,410

64050Corp Dir - Housing & Property Services67,0903,430070,520

______

TotalExpenditure478,0006,1100484,110

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure478,0006,1100484,110

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Solicitor and Monitoring Officer

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GL0303Electoral Process

Expenditure

Premises Related Expenses

12010Rents19,920(9,750)010,170

13010Rates1,6105001,660

Supplies And Services

30101Equipment Furniture & Materials65000650

30153Software Support Licences4,00010004,100

30424Public Participation4,430(3,000)01,430

31510Printing & Stationery External11,5700011,570

33030Postages6,660006,660

33170Miscellaneous1,110001,110

Charges For Services

42130Election Staff51,030(8,970)1,19043,250

42131Canvassers Fees11,840(4,830)07,010

Charges Within Fund

62108Solicitor to the Council3,950(3,950)00

62140Reprographics260(190)070

64010Corp Dir - Corporate Services7,7408,890016,630

______

TotalExpenditure124,770(21,650)1,190104,310

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Customer And Client Receipts

83130Sale of Registers(1,500)00(1,500)

______

TotalIncome(1,500)00(1,500)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure123,270(21,650)1,190102,810

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Solicitor and Monitoring Officer

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GL0601Mayoralty

Expenditure

Employees

00101Salaries31,9502,630(110)34,470

00110Salaries - Overtime5,15013005,280

Transport Related Expenses

21004Mayoral Vehicle7,29018007,470

22006Vehicle Insurance6302700900

Supplies And Services

30101Equipment Furniture & Materials002,0002,000

30386Tamworth Youth Council1,000001,000

31010Protective Clothing46000460

33040Telephones540100550

34061Mayor's Allowance7,76019007,950

34062Deputy Mayor's Allowance1,5504001,590

35010Public Liability Insurance82000820

35046Misc Mayoral Purchases72000720

35060Civic Functions4,650004,650

35066Senior Citizens' Parties3,320003,320

Charges Within Fund

62108Solicitor to the Council4,270(4,270)00

62140Reprographics30(30)00

64010Corp Dir - Corporate Services16,9901,240018,230

64050Corp Dir - Housing & Property Services2,00020002,200

Financing Costs

74010Provision for Depreciation05,81005,810

______

TotalExpenditure89,1306,4001,89097,420

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure89,1306,4001,89097,420

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Solicitor and Monitoring Officer

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GR0701Conveyancing & Right To Buy

Expenditure

Employees

00101Salaries9,6403,870(40)13,470

Transport Related Expenses

25020Casual Travelling Expenses500050

Supplies And Services

30101Equipment Furniture & Materials24000240

31510Printing & Stationery External19000190

32020Valuers Fees26,230(11,230)015,000

34511Subscriptions - Corporate600060

35010Public Liability Insurance440(190)0250

Charges For Services

41030Charge from HRA5,12097006,090

Charges Within Fund

62108Solicitor to the Council6,9302,08009,010

62140Reprographics060060

64010Corp Dir - Corporate Services8,620(1,320)07,300

64050Corp Dir - Housing & Property Services4,890(1,280)03,610

______

TotalExpenditure62,410(7,040)(40)55,330

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82470Housing Revenue Account0(52,890)0(52,890)

82475Legal Fees - S.O.C.H.(60,090)60,09000

Customer And Client Receipts

83226Fees & Charges(2,320)(120)0(2,440)

______

TotalIncome(62,410)7,0800(55,330)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure040(40)0

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Chief Executives Office

Solicitor and Monitoring Officer

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GR0702Land Charges

Expenditure

Employees

00101Salaries30,240(1,070)(90)29,080

Supplies And Services

30101Equipment Furniture & Materials32000320

31510Printing & Stationery External26000260

35010Public Liability Insurance3,470(40)03,430

35041Registration of Land20,0000020,000

35059CentralLand Charges42,2101,060043,270

Charges For Services

41030Charge from HRA4,2701,67005,940

Charges Within Fund

62108Solicitor to the Council580(180)0400

62140Reprographics30800110

64010Corp Dir - Corporate Services9,5003,170012,670

64050Corp Dir - Housing & Property Services4,890(1,280)03,610

______

TotalExpenditure115,7703,410(90)119,090

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Customer And Client Receipts

83285CentralLand Charges(184,870)00(184,870)

______

TotalIncome(184,870)00(184,870)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure(69,100)3,410(90)(65,780)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

Revenue Budget Summary


Corporate Director - Resources

Head of I.C.T.

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GH0201 I.C.T.

Expenditure

Employees

00101Salaries471,990(51,220)(24,350)396,420

00110Salaries - Overtime3,4409003,530

Transport Related Expenses

25010Car Allowances1,570(1,570)00

25020Casual Travelling Expenses1,090001,090

Supplies And Services

30150Ordnance Survey Sheets7,90020008,100

30199Other Supplies And Services4,160(350)03,810

30318Staffs Connects Contribution00109,500109,500

31516IT Consumables15,0000015,000

32054External Support20,0000(10,000)10,000

33001Communications25,0000025,000

33133Other Hardware Maintenance113,120(17,670)095,450

33134Internet, Access & Security36,340(4,220)032,120

33136Licences/ Maintenance/ Improvement288,57026,180(12,000)302,750

33140Application Software25,360(4,490)020,870

33150Training8,310008,310

33160Data Protection7,23018007,410

33170Miscellaneous20,920(7,240)013,680

33191Members Laptops23,870600024,470

33210Disaster Recovery31,630790032,420

34511Subscriptions - Corporate02,30002,300

34512Subscriptions - Management03600360

35010Public Liability Insurance21,050(5,540)015,510

Charges Within Fund

62108Solicitor to the Council4,6102,40007,010

62140Reprographics73071001,440

64010Corp Dir - Corporate Services112,120(25,550)086,570

64050Corp Dir - Housing & Property Services41,8904,250046,140

Financing Costs

74010Provision for Depreciation465,010(208,750)0256,260

______

TotalExpenditure1,750,910(288,540)63,1501,525,520

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

Head of I.C.T.

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GH0201 I.C.T.

Income

Other Grants Etc.

82470Housing Revenue Account(332,750)36,3000(296,450)

Customer And Client Receipts

83226Fees & Charges(1,220)00(1,220)

Charges Within Fund

85120Recharge Within Directorate(761,990)116,1800(645,810)

85125Recharge - Other General Fund(654,950)72,9100(582,040)

______

TotalIncome(1,750,910)225,3900(1,525,520)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0(63,150)63,1500

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

Head of I.C.T.

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GH0205Reprographics

Expenditure

Supplies And Services

30101Equipment Furniture & Materials11,6100011,610

31510Printing & Stationery External14,3300014,330

______

TotalExpenditure25,9400025,940

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82470Housing Revenue Account(5,070)1500(4,920)

Charges Within Fund

85120Recharge Within Directorate(11,100)3,1700(7,930)

85125Recharge - Other General Fund(9,770)(3,320)0(13,090)

______

TotalIncome(25,940)00(25,940)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0000

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

Head of Internal Audit Services

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GN0201Internal Audit

Expenditure

Employees

00101Salaries111,360(8,860)(330)102,170

Transport Related Expenses

25010Car Allowances5,500005,500

25020Casual Travelling Expenses15000150

Supplies And Services

30101Equipment Furniture & Materials49000490

31510Printing & Stationery External10000100

31520Publications19000190

31530Photocopying30000300

32054External Support26,140(200)025,940

34010Subsistence800080

34511Subscriptions - Corporate03600360

34513Subscriptions - Named Officers04900490

35010Public Liability Insurance2,87026003,130

Charges Within Fund

62108Solicitor to the Council3,950(3,950)00

62140Reprographics190(180)010

64010Corp Dir - Corporate Services22,7702,800025,570

64050Corp Dir - Housing & Property Services7,080(840)06,240

______

TotalExpenditure181,170(10,120)(330)170,720

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82470Housing Revenue Account(17,670)(2,020)0(19,690)

Charges Within Fund

85120Recharge Within Directorate(100,180)300(100,150)

85125Recharge - Other General Fund(63,320)12,4400(50,880)

______

TotalIncome(181,170)10,4500(170,720)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0330(330)0

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

Head of Benefits

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GT0101Benefits

Expenditure

Supplies And Services

35005Provision for Bad Debts61,44011,010072,450

Transfer Payments

55020Rent Allowances5,185,320290,48005,475,800

55021Non-HRA Rent Rebates184,830124,8000309,630

55070Council Tenant Rent Rebates8,681,27015,35008,696,620

57020Contrib to Council Tax Benefit4,237,040260,11004,497,150

______

TotalExpenditure18,349,900701,750019,051,650

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82601Overpayment PT-Fraud(187,770)36,4600(151,310)

82611Overpayment CT-Fraud(154,300)(74,220)0(228,520)

Government Grants

81031Council Tenant Grant(8,580,430)29,7400(8,550,690)

81032Council Tax Benefit Grant(4,253,370)(261,430)0(4,514,800)

81040Private Tenant Grant(5,115,750)(319,790)0(5,435,540)

81050Non-HRA Rent Rebate Grant(71,010)(87,220)0(158,230)

______

TotalIncome(18,362,630)(676,460)0(19,039,090)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure(12,730)25,290012,560

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

Head of Benefits

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GT0201Benefits Administration

Expenditure

Employees

00101Salaries613,88046,340(2,110)658,110

00110Salaries - Overtime14,110350014,460

Premises Related Expenses

18010Contents Insurance200020

Transport Related Expenses

25010Car Allowances8,2001,34009,540

25020Casual Travelling Expenses32000320

Supplies And Services

30101Equipment Furniture & Materials8,410008,410

30199Other Supplies And Services19,4600019,460

30200Staff Training2,000002,000

31510Printing & Stationery External5,910005,910

31520Publications10000100

31530Photocopying1,000001,000

32040Legal Fees11,7600011,760

32070CRB Personnel Checks400040

33030Postages13,6400013,640

33040Telephones85000850

34511Subscriptions - Corporate3,5809003,670

35010Public Liability Insurance15,590380015,970

35020Advertising3,070003,070

Charges For Services

45050Bank Charges820(170)0650

Charges Within Fund

62140Reprographics900(790)0110

64010Corp Dir - Corporate Services363,880(24,950)0338,930

64050Corp Dir - Housing & Property Services30,6105,270035,880

______

TotalExpenditure1,118,15027,860(2,110)1,143,900

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Government Grants

81055Admin. Grant(529,510)(1,290)0(530,800)

______

TotalIncome(529,510)(1,290)0(530,800)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure588,64026,570(2,110)613,100

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

A.D. Corporate Finance

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GC0401Corporate Core

Expenditure

Supplies And Services

34511Subscriptions - Corporate18,7600018,760

Charges For Services

41030Charge from HRA062,640(18,390)44,250

Charges Within Fund

62030Chief Executive Support176,9504,9000181,850

62108Solicitor to the Council102,540(89,170)013,370

64010Corp Dir - Corporate Services222,53077,5800300,110

64030Corp Dir - Community & Environment102,290(5,320)096,970

64050Corp Dir - Housing & Property Services21,890(3,760)018,130

______

TotalExpenditure644,96046,870(18,390)673,440

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure644,96046,870(18,390)673,440

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

A.D. Corporate Finance

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GC0501Corporate Finance

Expenditure

Employees

02110Superannuation Allowances65,220(1,130)064,090

02114Actuarial Strain Payments80,7300080,730

Premises Related Expenses

18010Contents Insurance2,08022002,300

Supplies And Services

303172012 Olympics Contribution005,0005,000

30421Job Evaluation Contingency400,000(66,070)0333,930

32054External Support1,6204001,660

34061Mayor's Allowance2,7807002,850

35006Specific Contingency230,00020,00095,780345,780

35010Public Liability Insurance15,780(6,680)09,100

35047Entertain Distinguish Visitors2,440002,440

35087Town Centre Strategy Contingen0010,00010,000

35108Best Value & CPA Contingency10,000(10,000)00

35146Civil Contingencies/Emergency20,480510020,990

35147Leisure Futures Contingency105,660(46,680)(58,980)0

35148Waste Management & Performance Grp5,000(5,000)5,0005,000

35200Vacancy Allowance79,0009,000088,000

35201Je Conditions Contingency85,0000085,000

35202Castle Shortfall During Works20,000(20,000)00

35203Energy Costs70,0000(35,000)35,000

35207Communications Contingency0020,00020,000

Charges For Services

45020Audit Fee64,9505,05015,00085,000

45021Best Value Inspection Fee12,740(3,450)09,290

Transfer Payments

57050Discretion Rate Relief - NNDR18,5903,410022,000

Charges Within Fund

64010Corp Dir - Corporate Services11,3003,090014,390

______

TotalExpenditure1,303,370(117,620)56,8001,242,550

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

A.D. Corporate Finance

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GC0501Corporate Finance

Income

Other Grants Etc.

82494Bad Debt Provision(10,000)10,00000

82495Reduction in Bowls Club Guarantee(16,500)00(16,500)

Charges Within Fund

85090Provision for Depreciation Charged(1,646,720)170,3900(1,476,330)

______

TotalIncome(1,673,220)180,3900(1,492,830)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure(369,850)62,77056,800(250,280)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

A.D. Corporate Finance

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GC0503Treasury Management

Expenditure

Supplies And Services

35032External Interest Payable1,614,240(1,540)01,612,700

35033Interest Payable To HRA112,340(6,580)0105,760

35034Interest Payable To Reserve46,2409,540055,780

Charges Within Fund

64010Corp Dir - Corporate Services13,2305,460018,690

Financing Costs

71510Minimum Revenue Provision155,240(127,360)027,880

77070Debt Management Expenses3,4204,60008,020

______

TotalExpenditure1,944,710(115,880)01,828,830

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82470Housing Revenue Account(1,503,440)(34,660)0(1,538,100)

Interest

84020Misc Interest & Dividends(964,220)(99,480)(40,000)(1,103,700)

______

TotalIncome(2,467,660)(134,140)(40,000)(2,641,800)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure(522,950)(250,020)(40,000)(812,970)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

A.D. Corporate Finance

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GG0201Accountancy

Expenditure

Employees

00101Salaries464,64026,950(1,570)490,020

00110Salaries - Overtime7,50019007,690

Transport Related Expenses

25010Car Allowances4,9508005,030

25020Casual Travelling Expenses42000420

Supplies And Services

30101Equipment Furniture & Materials33000330

30103Microfilming4,750(940)03,810

30241Accountancy Training3,120003,120

31510Printing & Stationery External16000160

31520Publications1,720001,720

32015Risk Management & Gershon Review5,24013005,370

34010Subsistence28000280

34511Subscriptions - Corporate2,2606002,320

34512Subscriptions - Management02100210

34513Subscriptions - Named Officers07600760

35010Public Liability Insurance11,96030011,990

Charges For Services

45050Bank Charges8,410(1,260)07,150

Charges Within Fund

62108Solicitor to the Council2,200(2,200)00

62140Reprographics1706000770

64010Corp Dir - Corporate Services144,600(47,050)097,550

64050Corp Dir - Housing & Property Services22,9605,240028,200

______

TotalExpenditure685,670(17,200)(1,570)666,900

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82430TBC Capital Works(9,420)(4,680)0(14,100)

82470Housing Revenue Account(82,610)9,7000(72,910)

82490Recharge - Loans Fund(5,790)2600(5,530)

Charges Within Fund

85120Recharge Within Directorate(240,560)21,8300(218,730)

85125Recharge - Other General Fund(347,290)(8,340)0(355,630)

______

TotalIncome(685,670)18,7700(666,900)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure01,570(1,570)0

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

A.D. Financial Operations

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GG0203Payroll

Expenditure

Employees

00101Salaries53,4403,670(180)56,930

00110Salaries - Overtime2,0605002,110

Supplies And Services

30103Microfilming2,000(960)01,040

30199Other Supplies And Services1,450001,450

34511Subscriptions - Corporate08700870

34512Subscriptions - Management01100110

35010Public Liability Insurance1,440(70)01,370

Charges For Services

45050Bank Charges310(10)0300

Charges Within Fund

62140Reprographics120300150

64010Corp Dir - Corporate Services48,330(9,690)038,640

64050Corp Dir - Housing & Property Services3,60057004,170

______

TotalExpenditure112,750(5,430)(180)107,140

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82470Housing Revenue Account(26,040)(3,570)0(29,610)

Charges Within Fund

85120Recharge Within Directorate(30,720)(1,810)0(32,530)

85125Recharge - Other General Fund(55,990)10,9900(45,000)

______

TotalIncome(112,750)5,6100(107,140)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0180(180)0

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

A.D. Financial Operations

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GL0801Procurement

Expenditure

Employees

00101Salaries92,960410(66,190)27,180

Transport Related Expenses

25010Car Allowances1,700001,700

25020Casual Travelling Expenses500050

Supplies And Services

30199Other Supplies And Services1,980001,980

31510Printing & Stationery External1,380(650)0730

32054External Support0020,00020,000

33145E-Procurement12,2500012,250

34511Subscriptions - Corporate06700670

35010Public Liability Insurance2,430(20)02,410

Charges Within Fund

62140Reprographics30(30)00

64010Corp Dir - Corporate Services25,4701,920027,390

64050Corp Dir - Housing & Property Services6,49066007,150

______

TotalExpenditure144,7402,960(46,190)101,510

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82470Housing Revenue Account(36,650)(1,500)16,650(21,500)

Charges Within Fund

85120Recharge Within Directorate(39,330)10,7000(28,630)

85125Recharge - Other General Fund(68,760)17,3800(51,380)

______

TotalIncome(144,740)26,58016,650(101,510)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure029,540(29,540)0

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

Head of Revenues

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GG0301Council Tax

Expenditure

Employees

00101Salaries210,28031,210(770)240,720

00110Salaries - Overtime2,2706002,330

Transport Related Expenses

25010Car Allowances5,55022005,770

25020Casual Travelling Expenses200020

Supplies And Services

30199Other Supplies And Services21,590(3,020)018,570

30231Post Entry Training1,080001,080

32005Bailiffs Fees3,780003,780

32040Legal Fees11,1300011,130

34511Subscriptions - Corporate02,72002,720

34512Subscriptions - Management03800380

35010Public Liability Insurance5,440(10)05,430

Charges For Services

41022Recharge from Housing Admin16,5400016,540

45050Bank Charges4,24044004,680

Charges Within Fund

62140Reprographics3405800920

64010Corp Dir - Corporate Services244,150(3,130)0241,020

64050Corp Dir - Housing & Property Services30,51010,270040,780

______

TotalExpenditure556,92039,720(770)595,870

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82310Contrib from Staffs C C .(1,950)(50)0(2,000)

82570Court Costs(114,260)(10,580)(18,000)(142,840)

______

TotalIncome(116,210)(10,630)(18,000)(144,840)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure440,71029,090(18,770)451,030

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

Head of Revenues

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GG0302NNDR

Expenditure

Employees

00101Salaries82,280(24,800)(180)57,300

00110Salaries - Overtime1,4404001,480

Transport Related Expenses

25010Car Allowances1,850(180)01,670

Supplies And Services

30199Other Supplies And Services1,150(300)0850

30231Post Entry Training1,080001,080

32005Bailiffs Fees2,190002,190

32040Legal Fees1,670001,670

34511Subscriptions - Corporate03100310

35010Public Liability Insurance2,140(10)02,130

Charges For Services

45050Bank Charges250600310

Charges Within Fund

62140Reprographics40600100

64010Corp Dir - Corporate Services56,020(17,500)038,520

64050Corp Dir - Housing & Property Services9,8601,870011,730

______

TotalExpenditure159,970(40,450)(180)119,340

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82570Court Costs(7,320)00(7,320)

Government Grants

81060Government Grants(97,850)1,6400(96,210)

______

TotalIncome(105,170)1,6400(103,530)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure54,800(38,810)(180)15,810

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

Head of Revenues

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GG0303Sundry Income

Expenditure

Employees

00101Salaries45,60010,140(180)55,560

00110Salaries - Overtime410100420

Transport Related Expenses

25010Car Allowances06500650

Supplies And Services

30199Other Supplies And Services1,780(300)01,480

30231Post Entry Training43000430

32005Bailiffs Fees4,920004,920

32040Legal Fees2,200002,200

34511Subscriptions - Corporate03100310

35005Provision for Bad Debts1,030001,030

35010Public Liability Insurance1,180(10)01,170

Charges Within Fund

64010Corp Dir - Corporate Services24,90012,530037,430

64050Corp Dir - Housing & Property Services9,7901,840011,630

______

TotalExpenditure92,24025,170(180)117,230

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82470Housing Revenue Account(28,320)13,1700(15,150)

Charges Within Fund

85120Recharge Within Directorate(13,190)(4,540)0(17,730)

85125Recharge - Other General Fund(50,730)(33,620)0(84,350)

______

TotalIncome(92,240)(24,990)0(117,230)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0180(180)0

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

Head of Revenues

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GG0304Cash Collection

Expenditure

Employees

00101Salaries45,5305,690(160)51,060

00110Salaries - Overtime3,3008003,380

Transport Related Expenses

25010Car Allowances01000100

Supplies And Services

30183Payment Kiosks9,54024009,780

30199Other Supplies And Services26000260

30231Post Entry Training900090

35010Public Liability Insurance1,740(570)01,170

Charges For Services

45040Cash Security5,490(310)05,180

45050Bank Charges10,330(940)09,390

Charges Within Fund

64010Corp Dir - Corporate Services49,120(10,040)039,080

64050Corp Dir - Housing & Property Services7,0201,00008,020

______

TotalExpenditure132,420(4,750)(160)127,510

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82470Housing Revenue Account(51,470)2800(51,190)

Charges Within Fund

85120Recharge Within Directorate(76,010)9,3700(66,640)

85125Recharge - Other General Fund(4,940)(4,740)0(9,680)

______

TotalIncome(132,420)4,9100(127,510)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0160(160)0

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

Head of Revenues

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GG0305Housing Act Advances

Expenditure

Supplies And Services

33146HAA - Software Licence610200630

35010Public Liability Insurance970(970)00

Charges Within Fund

64010Corp Dir - Corporate Services1,980(410)01,570

______

TotalExpenditure3,560(1,360)02,200

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Interest

84020Misc Interest & Dividends(800)1000(700)

______

TotalIncome(800)1000(700)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure2,760(1,260)01,500

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Corporate Director - Resources

Head of Revenues

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GG0306Concessionary Fares

Expenditure

Employees

00101Salaries027,060(90)26,970

Transport Related Expenses

25010Car Allowances02100210

Supplies And Services

30479Evaluation Of Bus Operators8,030(7,000)01,030

31510Printing & Stationery External5903,00003,590

Transfer Payments

57030Bus Passes-Payments To Operators688,540123,2800811,820

Charges Within Fund

64010Corp Dir - Corporate Services28,54020,350048,890

______

TotalExpenditure725,700166,900(90)892,510

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Government Grants

81030Government Grants00(320,000)(320,000)

______

TotalIncome00(320,000)(320,000)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure725,700166,900(320,090)572,510

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

C.D. Community Services

Revenue Budget Summary


C.D. Community Services

Revenue Budget Summary


C.D. Community Services

C.D. Community Services

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GX0101Admin/Management Support

Expenditure

Employees

00101Salaries155,2505,250(510)159,990

Transport Related Expenses

25010Car Allowances3,86010003,960

25020Casual Travelling Expenses900090

Supplies And Services

30101Equipment Furniture & Materials92083001,750

30200Staff Training01,50001,500

31510Printing & Stationery External66050001,160

31520Publications300100310

33040Telephones1402100350

34010Subsistence905000590

34040Conference Expenses1,27080002,070

34512Subscriptions - Management760200780

35005Provision for Bad Debts1,200001,200

35010Public Liability Insurance3,9406004,000

Charges Within Fund

62140Reprographics302200250

64010Corp Dir - Corporate Services31,510(6,070)025,440

64050Corp Dir - Housing & Property Services11,4602,570014,030

______

TotalExpenditure211,4806,500(510)217,470

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Charges Within Fund

85120Recharge Within Directorate(153,640)(12,750)0(166,390)

85125Recharge - Other General Fund(57,840)6,7600(51,080)

______

TotalIncome(211,480)(5,990)0(217,470)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0510(510)0

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

C.D. Community Services

C.D. Community Services

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GY1801Health Agenda

Expenditure

Supplies And Services

30456Health Promo/ Imps Joint Funding018,550018,550

Charges Within Fund

64010Corp Dir - Corporate Services1,960(1,960)00

64030Corp Dir - Community & Environment74,330(50,910)023,420

______

TotalExpenditure76,290(34,320)041,970

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure76,290(34,320)041,970

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

C.D. Community Services

D.D. Operational Services

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GP0101Asset Management

Expenditure

Employees

00101Salaries63,9808,2703,61075,860

Premises Related Expenses

11050Energy Performance Certificate0012,00012,000

Transport Related Expenses

25010Car Allowances01,60001,600

25020Casual Travelling Expenses34000340

Supplies And Services

30101Equipment Furniture & Materials3,450003,450

31510Printing & Stationery External1,170001,170

31520Publications39000390

33136Licences/ Maintenance/ Improvement3,920003,920

33170Miscellaneous33000330

35010Public Liability Insurance2,300(640)01,660

Charges Within Fund

62140Reprographics70(70)00

64010Corp Dir - Corporate Services90,140(71,710)018,430

64050Corp Dir - Housing & Property Services4,20078004,980

______

TotalExpenditure170,290(61,770)15,610124,130

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Other Grants Etc.

82430TBC Capital Works(17,040)6,2600(10,780)

82470Housing Revenue Account(5,110)1,8700(3,240)

Charges Within Fund

85120Recharge Within Directorate(131,100)33,6500(97,450)

85125Recharge - Other General Fund(17,040)4,3800(12,660)

______

TotalIncome(170,290)46,1600(124,130)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0(15,610)15,6100

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

C.D. Community Services

D.D. Operational Services

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GP0205Corporate Property Management

Expenditure

Premises Related Expenses

19010ContribBuilding Repairs Fund110,070(110,070)00

Charges For Services

41030Charge from HRA82,910(82,910)00

Charges Within Fund

64010Corp Dir - Corporate Services14,080(14,080)00

64050Corp Dir - Housing & Property Services8,510(8,510)00

Financing Costs

74010Provision for Depreciation79,190(79,190)00

______

TotalExpenditure294,760(294,760)00

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure294,760(294,760)00

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

C.D. Community Services

D.D. Operational Services

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GP0206Commercial Property Management

Expenditure

Employees

00101Salaries13,7303,200(50)16,880

Premises Related Expenses

11010Electricity300100310

13010Rates2,47020,560(10,000)13,030

18010Contents Insurance10,880(1,260)09,620

19010ContribBuilding Repairs Fund37,39038,540075,930

Transport Related Expenses

25010Car Allowances780200800

Supplies And Services

35005Provision for Bad Debts5,580005,580

35010Public Liability Insurance410(50)0360

36070Inward Investment0025,00025,000

Charges For Services

41030Charge from HRA10,07032,340(4,690)37,720

Charges Within Fund

64010Corp Dir - Corporate Services27,87023,360051,230

64050Corp Dir - Housing & Property Services3,3601,71005,070

Financing Costs

74010Provision for Depreciation228,53079,1900307,720

______

TotalExpenditure341,370197,62010,260549,250

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Customer And Client Receipts

83310Rents(1,603,940)(7,720)(85,000)(1,696,660)

______

TotalIncome(1,603,940)(7,720)(85,000)(1,696,660)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure(1,262,570)189,900(74,740)(1,147,410)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

C.D. Community Services

D.D. Operational Services

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GP0207Industrial Properties

Expenditure

Employees

00101Salaries14,6502,280(50)16,880

Premises Related Expenses

10007Maintenanc Unlet Factory Units16,340410016,750

10009Maintenance of Business Centre3,6709003,760

11010Electricity2,9707003,040

13010Rates061,500(5,000)56,500

14010Water Charges Metered280100290

18010Contents Insurance15,660(9,200)06,460

19010ContribBuilding Repairs Fund19,50038,090(20,000)37,590

Transport Related Expenses

25010Car Allowances780200800

Supplies And Services

35005Provision for Bad Debts14,8200014,820

35010Public Liability Insurance410(30)0380

36070Inward Investment0025,00025,000

Charges For Services

41030Charge from HRA10,07032,340(4,690)37,720

Charges Within Fund

64010Corp Dir - Corporate Services17,29013,200030,490

64050Corp Dir - Housing & Property Services9,7701,850011,620

Financing Costs

74010Provision for Depreciation294,95000294,950

______

TotalExpenditure421,160140,630(4,740)557,050

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Income

Customer And Client Receipts

83310Rents(731,880)00(731,880)

______

TotalIncome(731,880)00(731,880)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure(310,720)140,630(4,740)(174,830)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

C.D. Community Services

D.D. Operational Services

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GP0301Marmion House

Expenditure

Employees

00101Salaries122,8103,410(410)125,810

00110Salaries - Overtime2,8307002,900

Premises Related Expenses

10018Fire & Security Arrangement17,080(12,150)04,930

10025Maintenance & Security012,880012,880

10074Riverside Car Park Expenses8,30021008,510

11010Electricity32,58081020,00053,390

11020Gas4,2901102,0006,400

13010Rates91,6902,970094,660

14010Water Charges Metered1,9805002,030

14030Sewerage & Environment Charge7,32018007,500

15010Fixtures & Fittings9,03023009,260

15050Vending Machines4,81012004,930

16001Cleaning & Domestic Supplies12,510310012,820

18010Contents Insurance9,990(2,600)07,390

19010ContribBuilding Repairs Fund27,70038,300066,000

Transport Related Expenses

25020Casual Travelling Expenses23000230

Supplies And Services

30101Equipment Furniture & Materials5,610005,610

30107Equipmentt & Time Clocks Employees2,570002,570

31010Protective Clothing46000460

33035Franking Machine Charges71,2400071,240

33037Response Service1,730001,730

35010Public Liability Insurance3,1404003,180

Charges For Services

41010Commercial Refuse Recharge4,30011004,410

41030Charge from HRA6,84014,940021,780

Charges Within Fund

64010Corp Dir - Corporate Services45,720(9,350)036,370

64050Corp Dir - Housing & Property Services01,27001,270

Financing Costs

74010Provision for Depreciation145,53000145,530

______

TotalExpenditure640,29051,91021,590713,790

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

C.D. Community Services

D.D. Operational Services

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GP0301Marmion House

Income

Other Grants Etc.

82470Housing Revenue Account(73,990)(7,780)0(81,770)

Customer And Client Receipts

83139Vending Machines(340)(20)0(360)

83226Fees & Charges(350)(20)0(370)

83310Rents(56,650)(330)0(56,980)

83315Contribution-Common Services(50,130)(3,510)0(53,640)

Charges Within Fund

85120Recharge Within Directorate(19,540)(1,850)0(21,390)

85125Recharge - Other General Fund(439,290)(59,990)0(499,280)

______

TotalIncome(640,290)(73,500)0(713,790)

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure0(21,590)21,5900

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

C.D. Community Services

D.D. Operational Services

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GP0302Town Hall

Expenditure

Employees

00101Salaries720400760

Premises Related Expenses

10018Fire & Security Arrangement2,3206002,380

11010Electricity700200720

11020Gas1,3403001,370

13010Rates4,35035004,700

14010Water Charges Metered13000130

14030Sewerage & Environment Charge15000150

16001Cleaning & Domestic Supplies290100300

18010Contents Insurance86014001,000

19010ContribBuilding Repairs Fund16,040400016,440

Supplies And Services

30101Equipment Furniture & Materials800080

35010Public Liability Insurance100010

Charges Within Fund

64010Corp Dir - Corporate Services1,14041001,550

Financing Costs

74010Provision for Depreciation93000930

______

TotalExpenditure29,0601,460030,520

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

Net Expenditure29,0601,460030,520

¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯

C.D. Community Services

D.D. Operational Services

Base Technical Policy Total

Budget AdjustmentsChangesBudget

2007/082008/09

££££

GP0304Caretaking & Cleaning - Arts Venues

Expenditure

Premises Related Expenses

16020Contract Cleaning15,360(15,360)00

Supplies And Services

35010Public Liability Insurance110(110)00

Charges Within Fund

64010Corp Dir - Corporate Services20(20)00