CAPITAL OUTLAY | $88,852,260.44 |
|
DEBT SERVICE | $100,105,227.98 |
|
EMPLOYEE BENEFIT | $43,019,365.00 |
|
GRANTS AND BENEFITS | $939,401,086.57 |
|
MISCELLANEOUS | $97,056,295.29 |
|
OTHER EQUIPMENT PURCHASES | $3,580,042.77 |
|
PERSONNEL COSTS | $102,081,214.12 |
|
RENTALS AND LEASES | $7,814,755.15 |
|
REPAIR AND MAINTENANCE | $9,498,424.83 |
|
SERVICES | $103,355,507.59 |
|
SUPPLIES, MAT'L, AND OPERATING | $73,436,537.60 |
|
TRANSPORTATION EQUIP OPERATION | $3,397,564.33 |
|
TRANSPORTATION EQUIPMENT PURCH | $9,220,461.57 |
|
TRAVEL, IN-STATE | $2,003,634.88 |
|
TRAVEL, OUT-OF-STATE | $454,620.52 |
|
UTILITIES AND COMMUNICATION | $8,939,956.85 |
|