Employee Retirement System Debt Contr Account in FY 2026

Expenditures under account Employee Retirement System Debt Contr (513810) for the 2026 fiscal year

Totals

Budget
$3,768,911.20
Total budget for FY 2026.
Total Expended
$3,310,430
88% expended of total programmed funds
Total amount expended in FY 2026.

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All expenditures made under account Employee Retirement System Debt Contr (513810) for the 2026 fiscal year.

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Totals by Cost Center

Expenditures by cost center under account Employee Retirement System Debt Contr (513810) in FY 2026
Cost Center Title Budget Expended % Expended
650000 Police Department $382,580 $369,950 97%
320000 Juvenile Court $278,957 $255,249 92%
611000 Fire Department $190,985 $197,310 103%
633000 City Justice Center $159,494 $156,526 98%
315000 Sheriff $159,252 $147,010 92%
312000 Circuit Attorney $130,426 $138,870 106%
620000 Building Division $122,266 $109,229 89%
516000 Refuse Division $124,533 $101,475 81%
311000 Circuit Court $102,854 $96,215 94%
220000 Parks Division $102,075 $93,247 91%
514000 Street Division $101,720 $86,974 86%
160000 Comptroller $99,111 $83,338 84%
214000 Forestry Division $88,485 $82,263 93%
127000 Information Technology Services Agency $76,241 $73,768 97%
110000 Board of Aldermen $71,964 $68,409 95%
139000 City Counselor $75,265 $65,619 87%
123000 Department of Personnel $60,630 $60,573 100%
511000 Traffic and Lighting Division $84,416 $55,517 66%
180000 Assessor Operating Account $60,925 $54,461 89%
900000 President Board of Public Services $36,272 $53,680 148%
910000 Equipment Services Division $52,176 $52,922 101%
903000 Facilities Management Division $46,802 $41,548 89%
333000 Recorder of Deeds $42,063 $41,419 98%
622000 Neighborhood Stabilization $37,285 $34,728 93%
620001 Housing Conservation $35,837 $30,586 85%
120000 Mayors Office $39,218 $30,463 78%
715000 Community Sanitation and Vector Control $29,957 $27,721 93%
316000 City Courts $31,911 $25,345 79%
800000 Director of Human Services $24,638 $24,194 98%
700001 Director of Health and Hospitals Use Tax $25,672 $23,649 92%
334000 Elections and Registration $27,215 $23,323 86%
620004 Special Demolition Fund $31,267 $22,673 73%
220013 Barnes and City Trust Fund $25,689 $22,250 87%
510000 Director of Streets $26,330 $21,070 80%
335000 Medical Examiner $21,170 $20,300 96%
312003 Circuit Attorney Child Support Unit $22,766 $18,881 83%
513000 Towing Division $20,474 $18,609 91%
620003 Lead Remediation Fund $27,794 $17,225 62%
650002 Police Park Rangers $24,024 $16,831 70%
711000 Communicable Disease Control $24,112 $16,730 69%
514001 Street Division Debris Removal $16,473 $16,029 97%
401000 Communications Division $14,984 $15,380 103%
610000 Director of Public Safety $16,123 $15,249 95%
213000 Recreation Division $18,136 $15,135 83%
160013 TIF Administration $18,574 $15,090 81%
312008 Circuit Attorney Public Safety Tax $44,391 $15,074 34%
650001 Police City Marshals $16,829 $14,937 89%
635000 Civilian Oversight Board $14,603 $14,278 98%
800001 Homeless Services $18,067 $13,587 75%
170000 Supply Division $13,695 $12,602 92%
340000 Treasurer $12,982 $12,112 93%
719000 Family Community and School Health $17,041 $11,693 69%
121000 SLATE Workforce Development $19,647 $11,031 56%
312007 Enhanced Criminal Prosecution $9,187 $10,224 111%
141000 Planning and Urban Design Agency $10,241 $10,150 99%
210000 Director of Parks Recreation and Forestry $11,742 $9,840 84%
714000 Rabies Control $12,209 $9,267 76%
516002 Refuse Division Use Tax $11,905 $9,142 77%
700002 Health Care Trust $17,168 $8,877 52%
141001 Planning and Urban Design Economic Dev Tax $12,539 $8,292 66%
123002 Personnel Benefits Administration $11,203 $8,155 73%
139009 City Counselor Affirmative Litigation $8,769 $8,004 91%
616000 Excise Division $8,242 $7,968 97%
213011 Recreation Programming $9,485 $7,939 84%
126000 Civil Rights Enforcement Agency $6,754 $7,910 117%
160001 St Louis Gateway Transportation Center Operations $11,522 $7,618 66%
137000 Budget Division $9,029 $7,429 82%
143000 Affordable Housing Commission $8,811 $6,572 75%
171000 Printing Services $8,148 $6,033 74%
318001 Public Administrator Special Funds $5,912 $5,912 100%
139004 Problem Properties and Nuisance Crime Prosecution $5,129 $5,369 105%
625000 City Emergency Management Agency $8,365 $4,985 60%
139002 City Counselor Problem Properties $6,711 $4,846 72%
162000 Municipal Garage $5,392 $4,092 76%
510003 Director of Streets Lateral Sewer Program $5,876 $3,997 68%
320001 Juvenile Children Service Fund $4,775 $3,752 79%
340001 Treasurer Office Financial Empowerment $6,052 $3,334 55%
800006 Social Work and Mental Health $3,153 $3,078 98%
124000 Register $3,381 $3,069 91%
214003 Forest Park Forestry Maintenance $4,623 $3,039 66%
210009 Recreation Centers Programs $4,378 $2,884 66%
914000 Office of Special Events $2,843 $2,865 101%
318000 Public Administrator $2,479 $2,479 100%
163000 Records Retention $2,484 $2,466 99%
225000 Soulard Market $2,506 $2,431 97%
312002 Circuit Attorney Deliquent Tax $2,116 $2,085 99%
142000 CDA Neighborhood Revitalization $1,353 $1,468 109%
610001 Crime Prevention Programs $1,445 $1,439 100%
930000 Soldiers Memorial $2,133 $1,426 67%
401001 Technology Deployment $1,373 $1,369 100%
516003 Metro Trash Service Fund $2,137 $1,137 53%
514003 Street Division Lateral Sewer Program $4,478 $804 18%
620005 Vacant Building Initiative Fund $1,835 $573 31%
210011 BJH Neighborhood Park Capital $708 $538 76%
800005 DHS Economic Dev Tax $828 $63 8%
139001 City Counselor Police Unit $18,013 $0 0%
120001 Mayors Office Resiliency Officer $1,246 $0 0%
514002 Street Excavation Restoration Program $1,664 $0 0%

Totals by Supplier

Expenditures by supplier under account Employee Retirement System Debt Contr (513810) in FY 2026
Number Name Total Expended
$3,310,429.56

Totals by Fund

Expenditures by fund under account Employee Retirement System Debt Contr (513810) in FY 2026
Fund Title Budget Expended % Expended
1000 General Fund $3,043,631 $2,827,007 93%
1002 Communications $16,356 $16,749 102%
1110 Use Tax $250,203 $200,688 80%
1111 Budgeted Special Fund $165,224 $115,161 70%
1115 Assessor $60,925 $54,461 89%
1116 Public Safety GBL $14,315 $15,593 109%
1117 Sewer Lateral Repair Program $10,354 $4,802 46%
1118 Recreation $30,775 $25,673 83%
1119 Public Safety Sales Tax Fund $1,445 $1,439 100%
1120 Economic Devolopment Sales Tax $34,366 $20,854 61%
1121 Public Safety Sales Tax II Fund $58,943 $28,005 48%
2105 Police Internal Services $82,374 $0 0%

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