2026 YTD vs 2025 FY Detailed Revenue vs Expense by Category

Type Category 2026 Actual 2026 Budget 2026 Variance 2025 Actual 2025 Budget 2025 Variance
Revenue Capital Outlay $ 21,862,577 $ 136,046,336 $ (114,183,759)
Charges For Services $ 193,374,587 $ 212,918,976 $ (19,544,389)
Contributions $ 13,664,195 $ 11,106,949 $ 2,557,246
Employee Allowances $ 65,281 $ 765,857 $ (700,576)
Fines & Forfeits $ 3,599,613 $ 3,932,796 $ (333,183)
Grant/Loan Recipients $ 1,182,721 $ 4,660,123 $ (3,477,402)
Intergovernmental Revenues $ 43,632,446 $ 45,097,092 $ (1,464,646)
Intragovernmental Sales $ 29,623,236 $ 30,547,864 $ (924,628)
Investment Income $ 105,015,384 $ 55,720,213 $ 49,295,171
Licenses, Permits & Registrations $ 13,419,800 $ 10,382,651 $ 3,037,149
Materials & Supplies $ 2,980,408 $ 13,808,369 $ (10,827,961)
Miscellaneous Revenue $ 23,045,587 $ 20,544,452 $ 2,501,135
Operating Transfers In $ 41,298,464 $ 39,354,344 $ 1,944,120
Other Charges $ 51,524,939 $ 395,428,610 $ (343,903,671)
Other Services $ 20,667,208 $ 136,197,215 $ (115,530,007)
Pass Throughs $ 20,390,663 $ 84,653,129 $ (64,262,466)
Payroll Fringes $ 17,965,785 $ 51,497,398 $ (33,531,613)
Personnel Services $ 27,225,725 $ 99,809,590 $ (72,583,865)
Prior Year Surplus $ 47,817,630 $ (47,817,630)
Sale of Bonds $ 21,054,234 $ 79,006,748 $ (57,952,514)
Taxes $ 149,021,667 $ 153,827,297 $ (4,805,630)
Vehicle Operating Costs $ 578,113 $ 2,343,724 $ (1,765,611)
Revenue Total $ 164,443,420 $ 925,210,351 $ (760,766,931) $ 636,749,213 $ 710,257,012 $ (73,507,799)
Expense Capital Outlay $ (72,315,212) $ (90,400,922) $ 18,085,710
Charges For Services $ (68,653,832) $ (227,079,824) $ 158,425,992
Contributions $ (1,601,744) $ (17,905,611) $ 16,303,867
Employee Allowances $ (786,871) $ (781,054) $ (5,817)
Fines & Forfeits $ (893,493) $ (3,836,462) $ 2,942,969
Grant/Loan Recipients $ (2,721,144) $ (5,446,462) $ 2,725,318
Intergovernmental Revenues $ (3,392,123) $ (81,531,603) $ 78,139,480
Intragovernmental Sales $ (10,436,230) $ (34,664,050) $ 24,227,820
Investment Income $ (42,991,530) $ (63,301,155) $ 20,309,625
Licenses, Permits & Registrations $ (3,767,314) $ (11,173,025) $ 7,405,711
Materials & Supplies $ (10,681,882) $ (12,254,427) $ 1,572,545
Miscellaneous Revenue $ (5,021,483) $ (6,560,353) $ 1,538,870
Operating Transfers In $ (5,136,363) $ (60,424,371) $ 55,288,008
Other Charges $ (171,498,022) $ (198,175,921) $ 26,677,899
Other Services $ (96,307,729) $ (118,961,380) $ 22,653,651
Pass Throughs $ (55,762,987) $ (63,588,779) $ 7,825,792
Payroll Fringes $ (44,967,971) $ (46,654,519) $ 1,686,548
Personnel Services $ (86,585,860) $ (93,499,358) $ 6,913,498
Prior Year Surplus $ (58,032,589) $ 58,032,589
Sale of Bonds $ (84,256,000) $ 84,256,000
Taxes $ (150,688,272) $ (163,499,822) $ 12,811,550
Vehicle Operating Costs $ (1,993,380) $ (2,296,580) $ 303,200
Expense Total $ (292,582,384) $ (812,264,865) $ 519,682,481 $ (543,621,058) $ (632,059,402) $ 88,438,344
Grand Total $ (128,138,964) $ 112,945,486 $ (241,084,450) $ 93,128,155 $ 78,197,610 $ 14,930,545

About this Report:

The 2026 YTD vs 25FY Revenue vs Expense by Category report provides a comparison of Inflows and outflow by Category for Actual and Budget. Variance between actual vs budget vs prior full year.

NOTE: Figures are derived from A2 Openbook data and represent the aggregate of transactions for the YTD 2026 Fiscal year available on Nov 5 data download to Full year fiscal 2025. Grand totals are presented before citywide accounting eliminations. Eliminations are a common accounting practice applied when inter-departmental transfers occur.

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