Friday, September 6, 2024 04:19 PM GMT-05:00 1/2 Omaha General Fund
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The City of Omaha's FY25 General Fund budget (October 2024 – September 2025) projects total income of $401,872.00, primarily from property tax ($229,772.00), monthly sales tax ($128,000.00), and franchise fees ($20,000.00). Total budgeted expenses are $383,508.00, with major allocations including employee salaries ($96,758.00), health and insurance costs ($51,000.00), police department operations ($51,500.00), utilities ($44,600.00), and economic development ($42,500.00), resulting in a projected net operating income of $18,364.00.
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This document is the independent auditor's report and statutory financial statements for Mutual of Omaha Insurance Company for the years ended December 31, 2022 and 2021. The auditors issued an unmodified opinion confirming that the financial statements fairly present the company's admitted assets, liabilities, surplus, operations, and cash flows in accordance with Nebraska Department of Insurance accounting practices, while noting an adverse opinion regarding compliance with generally accepted accounting principles in the United States. The filing includes statements of assets and liabilities, operations, changes in surplus, cash flows, and supplemental schedules with investment information.
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