View original fileBudget Summary City of Bradenton - Fiscal Year 2025-2026 
THE PROPOSED OPERATING BUDGET EXPENDITURES OF THE CITY OF BRADENTON ARE 11% MORE THAN LAST YEAR'S TOTAL OPERATING EXPENDITURES. 
SPECIAL DEBT CAPITAL INTERNAL TOTAL GENERAL CRA REVENUE SERVICE PROJECT ENTERPRISE SERVICE  
ESTIMATED REVENUES OPERATIONS FUND FUNDS FUNDS FUNDS FUNDS FUNDS FUNDS 
TAXES: Millage per $1000 
Ad Valorem Taxes 5.7101            3 5,902,877            3 5,902,877 
Other Taxes            1 0,584,571            1 0,584,571 
Permits, Fees and Assessments            2 6,756,046               4,219,830          2 2,196,216                340,000 
Intergovernmental Revenues            2 9,820,304            1 0,949,288         4,938,137        10,082,879             3,850,000 
Charges for Services            6 5,531,029               2,182,292          4 8,228,336               1 5,120,401 
Local & State Grants               1,151,891                651,887             500,004 
Federal Grants                  447,763                447,763 
Fines and Forfeitures                  989,649                  891,500                  98,149 
Interest Earnings               2,415,000                  936,581                120,300             529,598                769,329                       59,192 
Rents & Royalties                  881,133                  874,633                    6,500 
Miscellaneous Revenue            3 1,131,333                  824,861       14,601,448                  32,060             400,000        15,000,000                272,964 
TOTAL SOURCES $       205,611,596 $         67,366,433 $    19,539,585 $       23,448,226 $          900,004 $     25,612,477 $       53,565,278 $            15,179,593 
Operating Transfers In            1 5,192,188               4,322,607         4,570,779                        -          2,611,428             188,573             2,070,454                  1,428,347 
Cash Balance Brought Forward               8,671,412               1,784,989                971,557             978,237             4,725,195                     211,434 
TOTAL REVENUES, TRANSFERS & BALANCES $       229,475,196 $         73,474,029 $    24,110,364 $       24,419,783 $       3,511,432 $     26,779,287 $       60,360,927 $            16,819,374 
EXPENDITURES 
Legislative               1,916,145               1,916,145 
General Government               9,471,109               9,471,109 
Maintenance Operations               4,543,217               4,543,217 
Law Enforcement & Dispatching            2 7,563,135            2 7,563,135 
Fire Control & Prevention            1 4,714,715            1 4,281,511                433,204 
Planning & Building Services               4,194,251               1,657,878             2,536,373 
Transportation               3,309,828               3,309,828 
Culture & Recreation               3,044,519               2,873,526                170,993 
Community Redevelopment            2 1,782,566       21,782,566 
Physical Environment            2 0,059,940          2 0,059,940 
Community Development                  447,763                447,763 
Local Housing Assistance                  436,887                436,887 
Debt Service               5,667,208            443,447          3,511,432             1,712,329 
Capital Improvement Fund            3 0,612,217        22,612,217             8,000,000 
Water and Sewer Fund Operations            2 8,226,999          2 8,226,999 
Stormwater Fund Operations               3,530,756             3,530,756 
Sanitation Fund Operations            1 1,753,402          1 1,753,402 
Parking Fund Operations                  655,947                655,947 
Golf Course Operations               2,581,741             2,581,741 
Insurance-Health, Dental & Life Fund            1 2,142,928               1 2,142,928 
Workers' Compensation Fund               1,395,194                  1,395,194 
Property Insurance Fund               2,649,257                  2,649,257 
TOTAL EXPENDITURES $       210,699,724 $         65,616,349 $    22,226,013 $       24,085,160 $       3,511,432 $     22,612,217 $       56,461,174 $            16,187,379 
Interfund Transfers Out            1 1,212,085               7,857,680         1,884,351             1,470,054 
Contingencies               7,563,387                          -                334,623          4,167,070             2,429,699                     631,995 
TOTAL APPROPRIATED EXPENDITURES, TRANSFERS, RESERVES &  BALANCES $       229,475,196 $         73,474,029 $    24,110,364 $       24,419,783 $       3,511,432 $     26,779,287 $       60,360,927 $            16,819,374 
The tentative, adopted, and/or final budgets are on file in the office of the above referenced taxing authority as a public record.