HomeMy WebLinkAboutGrant Related - BOCC (011)A19 VOUCHER FORM
Voucher #8
:
. Ur tint N.ee Ment
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. . . . . . . . . . . .. ...... . . TRANSI: SUB GL
QUN :NUM B
ACC -IS J T ,.MASTER IND 13 ID. C1 622C0320 NZ
R VMRRA TJOTAL--� D P. eOF.-ACCOUNTIN YMENT: N
DATE S Jennifer Lewis, Program Manager AC'CO.UNTI*N.G'APPROVAL-:F.OR;'PA-Y'..-M..EW: DATE
"VIMS H ING^ M N TATE..........
DEPARTMENT OF COMIMIERCE
ENNUMBER:- 'C�
.. .. ........ .. ..
ACT NUMBER
... . . . ....
A19
VOUCHER DISTRIBUTION
1030�r
107
20-6221 C-1 1 1
. . . ....... .
DOR CLAIMANT
-VE AN .... ...
DEPARTMENT OF COMMERCE
ATTN: CDBG-CV
Submit this form to claim payment for materials, merchandise or services.
PO BOX 42525
Vendor's Certificate: I hereby certify under perjury that the items and totals listed herein are
OLYMPIA, WA 98504-2525
proper charges for materials, merchandise or services furnished to the State of Washington,
and that all goods furnished and/or services rendered have been provided without
VENDOR' p,
discrimination because of age, sex, marital status, race, creed, color, national origin,
handicap, religion or Vietnam era or disabled veterans status.
GRANT COUNTY
PO BOX 37
BY!; ....... . .. .
EPHRATA, WA 98823-0037
(SIGN IN BLUE INK)
anny E Stone, .. .. .. ..... BOCC Chair
REPORTING :PERIOD
May -22
�J-iTE)
P.0
ORIGINAC�l
PRIOR . NT
T ':�A UNT'
Mb;
.. .... .... IN I NG
..... 'NC .... ......
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9*0�:
8::024
PS""Sb*;s'i."s"t5W'6 .....-Aymen: s,. 6utfli
0 t 01C
1'. ff.... 0, 8.0
$
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3
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t" ...'o -'se !A-'S'**s1`
.5 th . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 4 :6 . ... ......
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:
. Ur tint N.ee Ment
..... ..... ... . . .. . ... .. .... . . 007- .. .. ....... .. . ..... . t32: 5� A e 5 .......... -0 ........ ...... .... e. . . ... .. . 5 7 .7. .. . ...... . ....;.1.5.0.891.49:..... . ...... .... .. . . ...... .:e.:' .:.� 9 J . . ....... . 929
. . . . . . . . . . . .. ...... . . TRANSI: SUB GL
QUN :NUM B
ACC -IS J T ,.MASTER IND 13 ID. C1 622C0320 NZ
R VMRRA TJOTAL--� D P. eOF.-ACCOUNTIN YMENT: N
DATE S Jennifer Lewis, Program Manager AC'CO.UNTI*N.G'APPROVAL-:F.OR;'PA-Y'..-M..EW: DATE
030-62-50
030-62/030-62-50
030-62-50
030-62-50
030-62-50
030-62 / 030-62-50
030-62-50
Utilities?
Housing
Housing
DESCRIPTION
OIC of Washington
CDBG CV1 Expense Tracking Summary - 500
Grant Period: 10/01/2020 -12/31/2023
20-6221 C-111
BILLING PERIOD: MAY 2022
YTD EXPENSED YTD BILLED I BUDGET BALANCE
ACCOUNT BUDGET I (as of 05131/22) (as of 04/30/22) DIFFERENCE (as of 05/31/22)
PUBLLC SERVICES.ADMIN;(03:0 62 030 62-50
TOTAL. PUBLIC SERVICE ADMIN BUDET , 4'
$96,367.84
ADMINISTRATION - INDIRECT 009)
$8,722.36
$81722.36
$0.00
$8,722.36)
Salary
5311
$12,888.35
$121217.65
$670.70
$123888.35
FICA, OIC Exp
5351
$970.49
$921.97
$48.52
$970.49)
LAND 1, OIC Share
5352
$74.86
$71.57
$3.29
$74.86
State UCI,OIC Exp
5353
$266.58
$257.06
$9.52($266.58)
$42,074.45)
PFML
5355
$57.20
$53.18
$4.02
$57.20
Disability, OIC Exp
5360
$130.69
$122.23
$8.46
$130.69)
Medical Insurance, OIG Exp
5361
$965.83
$804.28
$161.55
$96583
Life Insurance, OIC Exp
5362
$52.12
$48.77
$3.35
$52.12
Pension, OIC Exp
5363
$964.77
$917.82
$46.95
$964.77
Accrued PTO Exp
5364
$815.04
$765.91
$49.13
($815.04)
Mileage/Perdiem:-In state
5500
$479.74
$479.74
$0.00
$479.74
Depreciation Exp Bldg
5601
$17.49
$17.49
$0.00
$17.49
Depreciation Exp Equip
5602
$12.63
$12.63
$0.00
{$12.63
Space
5611
$96.66
$96.66
$0.00
$96.66)
Utilities
5630
$13.81
$13.81
$0.00
$13.81
Build Re air/Maint.
5640
$21.02
$21.02
$0.00
$21.02
Consumables
5700
$783.30
$783.30
$0.00
$783.30
Reproduction Supplies
5712
$86.26
$86.26
$0.00
$66.26}
Equipment -added
5800
$738.98
$738.98
$0.00
$738.98
Insurance
5910
$64.46
$64.46
$0.00
$64.46)
Liability Insurance
5912
$7.67
$7.67
$0.00
$7.67
Communication (Telephone/Cell & ISP
5960
$819.42
$802.09
$17.33
$819.42
Postage
5970
$0.00
$0.00
::..S BTOTAL..: _..:....... _.:.:.....:..:......................
:......:.::: 9.6 =36.7::84
...... _.......
,.:: 29.04
$ ._ 9.73
28 0,26.91..
$ ..,_.2 .._.. _ .
1 0.2.82_
$.. ,
67 31.8. 11....
S:UBSISTENCE::PUB.LIS:ERVIC.ES ::PAYMENTS .. -
030 62 030-62=50
TOTAL' PS'HOUSING COUNSELING BUDGET . $110,7'1:5.59.
TOTAL: SU,BSISTENCE.PS PAYMENTSBUDGET > $15;0,000.00
$1105715.59
$150,000.00
Client Mortgage Payment 5618
$131753.77
$13,753.77
$0.00
$13,753.77)
Housing Asst/Rent 5619
$91246.10
$91246.10
$0.00
{$93246.10
Services 5959
$7,392.13
$71392.13
$0.00
$71392.13)
Client Mortgage Payment 5618
$7,573.46
$71573.46
$0.00
{$7,573.46
Housin Asst/Rent 5619
$42,074.45
$42,074.45
$0.00
$42,074.45)
:SUBTOTAL :... $150,00:'o..,t..
$.$0,039.91
$80,0.39 .91_
$0:-' 00
::.
$69,960.09.;:'
05X.^<H4USIN..G INFORMATION AND REFERRAL:SERVLCES:.: 030.64, 030.64..50
TOTAL' PS'HOUSING COUNSELING BUDGET . $110,7'1:5.59.
$1105715.59
Salary 5311
$21799.75
$1,637.05
$1,162.70
{$2?799.75
FICA, OIC Exp 5351
$214.11
$125.20
$88.91
$214.11
LAND I, OIC Share 5352
$14.73
$9.01
$5.72
$14,73
State UCI,OIC Exp 5353
$42.87
$26.36
$16.51
$42.87)
PFML 5355
$16.92
$9.86
$7.06
($16.92
Disability, OIC Exp 5360
$22.16
$7.51
$14.65
$22.16
MedicalInsurance, OIC Exp 5361
$2.88
$1.84
$1.04
($2.88
I:\DATANONSHARED\ACCOUNTING\Accounting_Eliza\Grants_Contracts\Grants_Contracts 2022_2023\500_CDBG COVID 19 fund (EB)\2- Billings\2022\CDBG (500)_Expense Tracking - Revised 6-2422
6/27/2022
0 1:3 0 19 =4 w Z4 61 =11:1-1 6411 r!
DESCRIPTION
ACCOUNTI
YTD EXPENSED
BUDGET (as of 05131122)
YTD BILLED
(as of 04/30/22)
DIFFERENCE
BUDGET BALANCE
(as of 05/31122)
ADMINISTRATION - INDIRECT (009)
Life Insurance, OIC Exp
5362
$8.83
$3.01
$5.82
{$8.83
$286.30
Pension, OIC Exp
5363
$197.36
$115.06
$82.30
($197..,36)
$229.47
Accrued PTO Exp
5364
$129.31
$43.83
$85.48
($129.31)
$0.00
Credit Re orts
5411
$348.00
$348.00
$0.00
($348.00
Mileage/Perdiem:-In state
5500
$646.55
$554.55
$92.00
$946.55
Depreciation Exp Equip
5602
$1.72
$1.72
$0.00
($1.12)
Consumables
5700
$93.42
$93.42
$0.00
($93.42)
Reproduction Supplies
5712
$45.98
$45.98
$0.00
_($46.98)
($255697.02
Equipment -added
5800
$2,568.42
$21568.42
$0.00
($2,698.42
030-64 030-64-50
Insurance
5910
$9.01
$9.01
$0.00
($9.011
Advertising
5945
$51680.00
$51680.00
$0.00
($63680.00)
Staff Training
5949
$200.00
$200.00
$0.00
($200.00)
Training Materials 5730
Communication (Telephone/Cell & ISP
5960
$420.12
$420.12
$0.00
($420.12)
$0.00
Postage
5970
$152.35
$151.59
$0-76
($162.36]
110 1715.69
':::$:12-0 4
5 :C 5
.1
11p A
0 1:3 0 19 =4 w Z4 61 =11:1-1 6411 r!
FA M
1:\DATANONSHARED\ACCOUNTING\Accounting_Eliza\Grants-Contracts\Grants-Contracts 20222023\500CDBG COVID 19 fund (EB)\2- Billings\2022\CDBG (500)_Expense Tracking - Revised 6-24-22
6/27/2022
70T.T... BUDGET $151,034.57
$1513034.67
ADMINISTRATION - INDIRECT (009)
$2,471.72
$2,471.72
$0.00
($2,471.72'
Mileage/Perdiem:-In state 5500
$286.30
$286.30
$0.00
($286.30;
Consumables 5700
$229.47
$229.47
$0.00
($229.47'
Equipment -added 5800
$21088.62
$2,088.62
$0.00
($27088.62'
.....................oM
. ... ....
TPTAMqRp'llf., X $60, 0.
$50,000.00
Client Mortgage Payment 5618
$0.00
Housing Asst/Rent 5619
$0.00
Services 5959
$251697.02
$25,697.02
0.00
$rr
($255697.02
0 12 "00 1.1", 4z, `-7,
M dt.-H 't c 111, A51 Mom ml
. . ........................ 50..� 0.
jg�44
......... ... ... .
N ... ........ ----- ......
.... .. ...
. ..... ...
0 BUDGET . .. . . .1 R,. `TRAINING GO -00
."T....Q.T.-Al" I '.Q R..A-'!N..,.N
$12,000.00
Consultant Contract Services 5400
$0.00
$0.00
$0.00
$0.00
Training Materials 5730
$0.00
$0.00
$0.00
$0.00
Client Training 5965
$0.00
$0.00
$0.00
$0.00
FA M
1:\DATANONSHARED\ACCOUNTING\Accounting_Eliza\Grants-Contracts\Grants-Contracts 20222023\500CDBG COVID 19 fund (EB)\2- Billings\2022\CDBG (500)_Expense Tracking - Revised 6-24-22
6/27/2022
CDBG Public Services Expenditure Report
STATE OF WASHINGTON
COMMUNITY DEVELOPMENT BLOCK GRANT - CV GRANTS
DEPT OF COMMERCE
HOUSING & SUBSISTENCE
ATTN: CDBG PROGRAM
PO BOX 42525
CERTIFICATION: I certify that the information on this form is a
OLYMPIA, WA 98504-2525
true and accurate report of the cash status and that all reported
expenditures are pro prly chargeable to the referenced grant.
,p
SUBRECIPIENT:
CDBG CONTRACT NO: Signature:.
OIC OF WASHINGTON
20-622IC-111
815 FRUITVALE BLVD
REPORT MONTH: Printed Name: DEREJE MEKURIA
YAKIMA WA 98902
May -22
REPORT NUMBER: Title: CFO
20
Date: 6/10/2022
TOTAL AMOUNT REQUESTED THIS PERIOD:
$2,585.77
1. Name of Service Program: HOUSING CDBG CV
CDBG amount requested for these program activities this period: $1,562.95
Description of service program and how low- and moderate -income (LMI) persons were served this period: Assistance was advertised by radio, print and social media to targeted areas and
qualifying households throughout the service area.
2. Name of Service Program: SUBSISTENCE CDBG CV
CDBG amount requested for these program activities this period: $1,022,82'
Description of service program how low- and moderate -income (LMI) persons were served this period: Assistance was advertised by radio, print and social media to targeted areas and qualifying
households throughout the service area.
3. Name of Service Program: ADMINISTRATION HOUSING/SUBSISTENCE $0.00
Description of service program how low- and moderate -income (LMI) persons were served this period: General administration expenses associated with managing Housing and Subsistence activities'
oversight and assessments. Indirect admin.
CDBG Public Services Expenditure Report
STATE OF WASHINGTON
COMMUNITY DEVELOPMENT BLOCK GRANT - CV GRANTS
DEPT OF COMMERCE
MICRO -ENTERPRISE
ATTN: CDBG PROGRAM
PO BOX 42525
CERTIFICATION: I certify that the information on this form is a
OLYMPIA, WA 98504-2525
true and accurate report of the cash status and that all reported
expenditures are properly chargeable to the referenced grant.
SUBRECIPIENT:
J
CDBG CONTRACT NO: Signature:
OTC OF WASHINGTON
20-6221 C-11 I
815 FRUITVALE BLVD
REPORT MONTH: Printed Name: DEREJE MEKURIA
YAKIMA WA 98902
May -22
REPORT NUMBER: Title: CFO
20
Date; 6/10/2022
TOTAL AMOUNT REQUESTED THIS PERIOD:
$0.00
1. Name of Service Program: MICRO -ENTERPRISE
J[CDBG amount requested for these program activities this period: $0.00
Description of service program and how low- and moderate
-income (LMI) persons were served this period: Assistace was advertised to Micro -Businesses by radio, print, social media and face-to-
face and assisted to financially qualifying businesses within the service areas.
2. Name of Service Program: ADMINISTRATION MICRO -ENTERPRISE CDBG amount requested for these program activities this period: $0.00
Description of service program how low- and moderate -income (LMI) persons were served this period: General administration expenses associated with managing Micro -Enterprise activities
oversight and assesments. Indirect Admin.
Contract # 20-6221 C-11
Submitted to GC by: OIC OF WASHINGTON
Request For Reimbursement 18
March 2022
Grant County's Subrecipient Checklist:
State Auditor's Office Audit Procedures for Testing Activities Allowed
And Not Allowed, As Published In 2007
Questions to ask before submitting a payment request
Was the expenditure or cost:
X Made for an allowable activity under the grant guidelines?
X Authorized (or not prohibited) under state or local laws or regulations?
X Approved by the federal awarding agency, if required?
N/A Allowable per Circular A-87 (June 2004 version), Attachment B, items 1-43?
For payroll transactions:
X Does the employee's time and effort documentation meet the requirements of
Circular A-122?
X Allocable to the program? (i.e., was the dollar amount charged to the program
relative to the benefits received by the program? Is the federal grantor being
charged its fair share of the cost?)
X Based on actual costs, not budgeted or projected amounts?
X Applied uniformly to federal and non-federal activities (i.e., is the federal
government being charged the same amount as if non-federal funds were being
used to pay the cost)?
X Given consistent accounting treatment within and between accounting periods?
(Consistency in accounting requires that costs incurred for the same purpose, in
like circumstances, be treated as either direct costs only or indirect costs only
with respect to final cost objectives).
X Calculated in conformity with generally accepted accounting principles, or
another comprehensive basis of accounting, when required under the applicable
cost principles?
X Not included as a cost (or used to meet cost sharing requirements) of other
federally -supported activities of the current or a prior period?
X Net of all applicable credits? (e.g... volume or cash discounts, insurance
recoveries, refunds, rebates, trade-ins, adjustments for checks not cashed, and
scrap sales).
N/A Not included as both a direct billing and as a component of indirect costs?
N/A Properly classified (e.g., some costs may be incorrectly claimed as a direct cost
instead of being incorporated as part of the indirect cost rate).
X Supported by appropriate documentation? (e.g., approved purchase orders,
receiving reports, :vendor invoices, canceled checks, and time and attendance
records.) Documentation may be in an electronic form.
X Correctly charged to the proper account code and
rant period?
g
C:\Users\Eliza Baysinger\Accounting_Eliza\Funding\500 CDBG COtTID 19 fund\.Billing\2022\Subrecipient Checklist. docPage 1
General Ledger System
OIC OF WASHINGTON
For User: Eliza Baysinger
RW Expenditure report for:
500 - 500 CDBG CV I
Page: Page 1 of 1
Date: 6/10/2022
Report year: 10/1/2020
thru 12/31/2023
Period
ending: May 2022
Time: 9:25:21 AM -
---------------Monthly--------------
-------- -------- To Date ---------- — --
Account
Budget
Expenditures
Pct
Budget
Expenditures
Pct
Annual budget Unexpended
62SB 62 Subsistence
$3,060.00
$1,022.82
33.43%
$61,200.84
$50,719.37
82.87%
$119,884.84 $69,165.47
63MC 63 Microenterprise
$4,781.00
$0.00
0.00%
$95,620.02
$28,301.41
29.60%
$187,011.02 $158,709.61
64HS 64 Housing
$4,603.00
$1,562.95
33.96%
$92,060.74
$63,262.40
68.72%
$180,117.74 $116,855.34
Admn Administration
$2,130.00
$0.00
0.00%
$42,600.40
$11,194.08
26.28%
$83,103.40 $71,909.32
Report Totals
$14,574.00
$2,585.77
17.74%
$291,482.00
$153,477.26
52.65%
$570,117.00 $416,639.74
General Ledger System
OIC opWASHINGTON
For User: Eliza eovsinoe
��E�u������-oo��1��1�1�(���am�
Report year: 10/1x2020 thm 12/31x2023 period ending: May 2022
Page:Page oor e
Date: 6/10/2022
Time: 9:00:50 AM
----
Account
Budget
Expenditures
Pct
Budget
Expenditures
Pct
Annualbudget
Unexpended
' mmn INSURANCE
w10.00
$0.00
0.00%
$200o0
$64.34
32.17%
$400.00
$335.66
5912 LIABILITY INSURANCE
m15.00
muoo
0.00%
$300z0
n0.00
0.00e
$600.00
$600z0
5945 ADVERTISING
$64.00
$0.00
0.00%
�,280.00
$0.00
0.00%
$2,500.00
��00.00
5949 STAFF TRAINING
$47.00
$0.00
0.00%
$940.78
$0.00
0.00%
m1.864.78
$1,864.78
5959 SERVICES
$512.00
$0.00
0.00%
$10,240.00
m7,392.13
72.19%
$20,000.00
$12,607.87
5960 COMMUNICATION
$48.00
$17.33
36.10%
$960.00
$819.42
85.36%
$1.900.00
$1,080.58
5970 Poon`os
$7.00
$0.00
0.00%
$140.00
wono
0.00%
m300.00
w300o0
---------
Total for sub program -- >
m2.999'00
--------'
$1,022.82
---' --------
34.11%
$59,980.84
--------
$50,562.58
---
m^umy
--------- -------'
m117.38*.e+
$66.822.26
Sub program: mo SUBSISTENCE MAINTENANCE
5601 DEPRECIATION EXP BLDG.
n11.00
$0.00
0.00%
m220.00
m17.4e
7.95%
$461'00
n*3.51
5602 DEPRECIATION EXP Eou/p
w0.00
$0.00
0.00%
w0.00
$0.02
0.00%
mo.00
wo.ow
em,, ap^os
n17.00
$0.00
0.00%
m340.00
m96.6e
28.43m
$667.00
wom.o+
5630 urmnEa
m15.00
$0.00
0.00%
m300.00
w13.81
4.60%
$586.00
w572.19
owo BUILD. REPAIR/M^/Nr.
n15.00
$0.00
0.00%
m300.00
m21.02
7.01%
m613.00
m5e1.e8
5e10 /weuRAmos
$0.00
$0.00
0.00%
$0.00
m0.12
0.00%
$24.00
*uo.ae
5912 LIABILITY INSURANCE
$3.00
wuoo
0.00%
$60.00
m7.67
12.78%
w'w»'oo
n141.33
---------
Total for sub program oo----- >
me`.00
---------'
$0.00
----
0.00%
-------`
w1.220.00
----`----
m156.79
----
12.85e
--------
n2.500.00
--------
m2.343.21
Total for program wo--^
n3.060'00
.m1.022.82
om^m%
n61.200.8"
$50,719.37
82'87%
m,,o.ou^.w^
w69.165.47
Program: so M/onoewTRPno
e31' a^LAR/ro.Wxoso EXPENSE
w1.569.00
$0.00
0.00%
m31.3e0.02
$0.00
0.00%
$61,196.02
m61.196.02
535" F/o^.o/cexp
m`,o.00
$0.00
0.00%
$2,240.00
$0.00
0.00%
$4.386.00
m+.00e.no
5352 LAND /.o/cSHARE
m14.00
$0.00
0.00%
$280.00
$0.00
0.00%
m581.00
m581.00
5353 STATE ucvso/.o/cEXP
$38.00
$0.00
0.00%
$760.00
$0.00
0.00%
w1.499o0
w1,4ee.00
5355 PAID FAMILY MEDICAL LEAVE
$7.00
$0.00
0.00%
w140.00
$0.00
0.00%
m295'00
w295'00
5360 DISABILITY OIC EXPENSE
$25.00
$0.00
0.00%
$500.00
$0.00
0.00m
$986.00
n98e.00
5361 MEDICAL /waunxwCs.o/oEXP
m+or.00
$0.00
0.00%
$9, 940,00
$0.00
0.00%
m19.401.00
w1e.401.00
5362 LIFE /woun^wos.o/oEXP
$10.00
$0.00
0.00%
m200.00
$0.00
0.00%
m392.00
$392.00
5363 pEwa/ow.o/csxp
m136.00
$0.00
0.00%
n2.720.00
$0.00
u.om*
w*.335'00
w5.335.00
General Ledger System
OIC OF WASHINGTON
For User: Eliza Baysinger
Fund Expenditure report for: 500 - CDBG-CV1 10/1/20-12/31/23 (Fund status: Active)
Report year: 10/1/2020 thru 12/31/2023 Period ending: May 2022
Page: Page 4 of 5
Date: 6/10/2022
Time: 9:00:52 AM
--------------Monthly--------------
-----------------To Date ---------------
Account
Budget
Expenditures
Pct
Budget
Expenditures
Pct
Annual budget
Unexpended
5351
FICA,OIC EXP
$118.00
$88.91
75.35%
$2,360.00
$214.11
9.07%
$4,608.00
$4,393.89
5352
LAND I,OIC SHARE
$15.00
$5.72
38.13%
$300.00
$14.73
4.91%
$611.00
$596.27
5353
STATE UCI(ES),OIC EXP
$40.00
$16.51
41.28%
$800.00
$42.87
5.36%
$1,575.00
$1,532.13
5355
PAID FAMILY MEDICAL LEAVE
$7.00
$7.06
100.86%
$140.00
$16.92
12.09%
$310.00
$293.08
5360
DISABILITY OIC EXPENSE
$26.00
$14.65
56.35%
$520.00
$22.16
4.26%
$1,036.00
$1,013.84
5361
MEDICAL INSURANCE,OIC EXP
$522.00
$1.04
0.20%
$10,440.00
$2.88
0.03%
$20,384.00
$20,381.12
5362
LIFE INSURANCE,OIC EXP
$10.00
$5.82
58.20%
$200.00
$8.83
4.42%
$412.00
$403.17
5363
PENSION,OIC EXP
$143.00
$82.30
57.55%
$2,860.00
$197.36
6.90%
$5,605.00
$5,407.64
5364
ACCRUED PTO EXP
$181.00
$85.48
47.23%
$3,620.00
$129.31
3.57%
$7,082.00
$6,952.69
5402
AUDIT COSTS
$7.00
$0.00
0.00%
$140.00
$0.00
0.00%
$300.00
$300.00
5411
CREDIT REPORTS
$0.00
$0.00
0.00%
$0.00
$348.00
0.00%
$0.00
($348.00)
5500
TRAVEL
$51.00
$92.00
180.39%
$1,020.00
$646.55
63.39%
$2,000.00
$1,353.45
5602
DEPRECIATION EXP EQUIP
$0.00
$0.00
0.00%
$0.00
$1.72
0.00%
$0.00
($1.72)
5618
CLIENT MORTGAGE PYMENT
$153.00
$0.00
0.00%
$3,060.00
$7,573.46
247.50%
$6,000.00
($1,573.46)
5619
HOUSING ASST/RENT
$1,128.00
$0.00
0.00%
$22,560.00
$42,074.45
186.50%
$44,000.00
$11925.55
5700
CONSUMABLES
$89.00
$0.00
0.00%
$1,780.00
$93.42
5.25%,406.58
$3,500.00
$3
5712
REPRODUCTION SUPPLIES
$64.00
$0.00
0.00%
$1,280.00
$45.98
3.59%
$2,500.00
$2,454.02
5800
EQUIPMENT
$102.00
$0.00
0.00%
$2,040.00
$2,568.42
125.90%
$4,000.00
$1,431.58
5910
INSURANCE
$10.00
$0.00
0.00%
$200.00
$9.01
4.51%
$400.00
$390.99
5912
LIABILITY INSURANCE
$15.00
$0.00
0.00%
$300.00
$0.00
0.00%
$600.00
$600.00
5945
ADVERTISING
$89.00
$0.00
0.00%
$1,780.00
$5,680.00
319.10%
$3,500.00
($2,180.00)
5949
STAFF TRAINING
$51.00
$0.00
0.00%
$1,020.00
$200.00
19.61%
$2,000.00
$1,800.00
5960
COMMUNICATION
$48.00
$0.00
0.00%
$960.00
$420.12
43.76%
$1,900.00
$1,479.88
5970
POSTAGE
$12.00
$0.76
6.33%
$240.00
$152.35
63.48%
$500.00
$347.65
Total for.sub, program ----->
$4,529.00
$1,562.95
34.51%
$90,580.74
$63,262.40
69.84%
$177,117.74
$113,855.34
Sub program:
50 HOUSING MAINT
5601
DEPRECIATION EXP BLDG.
$14.00
$0.00
0.00%
$280.00
$0.00
0.00%
$553.00
$553.00
5611
SPACE
$20.00
$0.00
0.00%
$400.00
$0.00
0.00%
$800.00
$800.00
5630
UTILITIES
$18.00
$0.00
0.00%
$360.00
$0.00
0.00%
$703.00
$703.00