CAPITAL OUTLAY | $100,553,791.73 |
|
DEBT SERVICE | $39,295,668.72 |
|
EMPLOYEE BENEFIT | $32,958,753.74 |
|
GRANTS AND BENEFITS | $2,259,452,388.56 |
|
MISCELLANEOUS | $500,073,021.93 |
|
OTHER EQUIPMENT PURCHASES | $2,717,265.05 |
|
PERSONNEL COSTS | $91,524,986.85 |
|
RENTALS AND LEASES | $12,842,621.12 |
|
REPAIR AND MAINTENANCE | $3,812,919.82 |
|
SERVICES | $99,680,033.37 |
|
SUPPLIES, MAT'L, AND OPERATING | $48,814,774.76 |
|
TRANSPORTATION EQUIP OPERATION | $3,666,894.26 |
|
TRANSPORTATION EQUIPMENT PURCH | $6,646,813.72 |
|
TRAVEL, IN-STATE | $2,617,572.28 |
|
TRAVEL, OUT-OF-STATE | $529,754.64 |
|
UTILITIES AND COMMUNICATION | $6,842,208.97 |
|