CAPITAL OUTLAY | $76,298,461.82 |
|
DEBT SERVICE | $56,429.54 |
|
EMPLOYEE BENEFIT | $45,798,174.36 |
|
GRANTS AND BENEFITS | $2,171,358,938.70 |
|
MISCELLANEOUS | $388,734,297.48 |
|
OTHER EQUIPMENT PURCHASES | $5,513,074.36 |
|
PERSONNEL COSTS | $98,076,595.06 |
|
RENTALS AND LEASES | $12,438,625.68 |
|
REPAIR AND MAINTENANCE | $7,627,754.54 |
|
SERVICES | $119,426,433.04 |
|
SUPPLIES, MAT'L, AND OPERATING | $45,255,727.34 |
|
TRANSPORTATION EQUIP OPERATION | $4,412,061.98 |
|
TRANSPORTATION EQUIPMENT PURCH | $8,480,396.05 |
|
TRAVEL, IN-STATE | $3,225,022.09 |
|
TRAVEL, OUT-OF-STATE | $633,187.58 |
|
UTILITIES AND COMMUNICATION | $8,703,492.33 |
|