TOAV Chart of Accounts 2018

Type Account Number Title
B 1001-1010-0000 Cash - General Treasury
B 1001-1030-0000 Cash - LAIF
B 1001-1040-0000 Cash - Petty Cash
B 1001-1070-0000 Investments
B 1001-1090-0000 LAIF Market Value
B 1001-1110-0000 Accounts Receivable
B 1001-1130-0000 Employee Purchase Plan
B 1001-1140-0000 Insurance Damage Receivable
B 1001-1160-0000 Interest Receivable
B 1001-1210-0000 Due from Other Gov Agencies
B 1001-1230-0000 Due from VVTA
B 1001-1260-0000 Due from TAV RDA
B 1001-1270-0000 Due from PA#2
B 1001-1280-0000 Due From Other Funds
B 1001-1285-0000 Due From AVCE
B 1001-1290-0000 Advances to Other Funds
B 1001-1510-0000 Cash with Fiscal Agent
B 1001-1901-0000 Other Assets
B 1001-1902-0000 Prepaid Cal-Card
B 1001-1904-0000 Prepaid Expenses
B 1001-1905-0000 Prepaid Insurance
B 1001-1910-0000 Prepaid Loan Processing Fees
B 1001-1960-0000 Prepaid PERS
B 1001-2020-0000 Accounts Payable
B 1001-2022-0000 Accounts Payable - WEDA
B 1001-2080-0000 Salaries Payable
B 1001-2090-0000 Vouchers Payable
B 1001-2093-0000 Due to Charities
B 1001-2110-0000 Federal Tax Payable
B 1001-2120-0000 FICA Payable
B 1001-2130-0000 Medicare Payable
B 1001-2140-0000 SDI Payable
B 1001-2150-0000 State Tax Payable
B 1001-2210-0000 125 Plan Adm Fee Payable
B 1001-2220-0000 125 Plan Payable
B 1001-2225-0000 401a Payroll Deduction Payable
B 1001-2230-0000 AFLAC
B 1001-2240-0000 College Savings
B 1001-2245-0000 Council Health Reso 02-34
B 1001-2250-0000 Def Comp Payable
B 1001-2260-0000 Employee Benefits Payable
B 1001-2270-0000 Insurance Payable
B 1001-2280-0000 Misc Payroll Deduction Payable
B 1001-2285-0000 PARS Payable
B 1001-2290-0000 PERS Payable
B 1001-2295-0000 RHS Payable
B 1001-2440-0000 Retentions Withheld
B 1001-2450-0000 Sales Tax Payable
B 1001-2510-0000 Accrued Liabilities
B 1001-2655-0000 AVFPD DIF Fee
B 1001-2663-0000 Due to DSA- CASp (SB1186)
B 1001-2665-0000 Due to HD Partnership
B 1001-2670-0000 Escheat Checks
B 1001-2710-0000 Deferred Revenue
B 1001-2730-0000 Security Deposits
B 1001-2910-0000 Employee Event $$
B 1001-2930-0000 Debris Recycling Deposits
B 1001-2940-0000 Trust Deposits
B 1001-3010-0000 Revenue Control
B 1001-3020-0000 Expenditure Control
B 1001-3040-0000 Encumbrance Control
B 1001-3050-0000 Estimated Revenues
B 1001-3060-0000 Appropriations
B 1001-3070-0000 Budgetary Fund Balance
B 1001-3600-0000 Fund Balance - Unreserved, Undesignated
B 1001-3610-0000 Fund Balance - Reserved for PEG Channel
B 1001-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 1001-3998-0000 Change in Fund Balance
B 2010-1010-0000 Cash - General Treasury
B 2010-1110-0000 Accounts Receivable
B 2010-1210-0000 Due from Other Gov Agencies
B 2010-2020-0000 Accounts Payable
B 2010-2080-0000 Salaries Payable
B 2010-2110-0000 Federal Tax Payable
B 2010-2120-0000 FICA Payable
B 2010-2130-0000 Medicare Payable
B 2010-2440-0000 Retentions Withheld
B 2010-2510-0000 Accrued Liabilities
B 2010-2630-0000 Due to Other Funds
B 2010-2710-0000 Deferred Revenue
B 2010-3010-0000 Revenue Control
B 2010-3020-0000 Expenditure Control
B 2010-3040-0000 Encumbrance Control
B 2010-3050-0000 Estimated Revenues
B 2010-3060-0000 Appropriations
B 2010-3070-0000 Budgetary Fund Balance
B 2010-3600-0000 Fund Balance - Unreserved, Undesignated
B 2010-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2010-3998-0000 Change in Fund Balance
B 2011-1010-0000 Cash - General Treasury
B 2011-1110-0000 Accounts Receivable
B 2011-1210-0000 Due from Other Gov Agencies
B 2011-2020-0000 Accounts Payable
B 2011-2080-0000 Salaries Payable
B 2011-2110-0000 Federal Tax Payable
B 2011-2120-0000 FICA Payable
B 2011-2130-0000 Medicare Payable
B 2011-2440-0000 Retentions Withheld
B 2011-2510-0000 Accrued Liabilities
B 2011-2630-0000 Due to Other Funds
B 2011-2710-0000 Deferred Revenue
B 2011-3010-0000 Revenue Control
B 2011-3020-0000 Expenditure Control
B 2011-3040-0000 Encumbrance Control
B 2011-3050-0000 Estimated Revenues
B 2011-3060-0000 Appropriations
B 2011-3070-0000 Budgetary Fund Balance
B 2011-3600-0000 Fund Balance - Unreserved, Undesignated
B 2011-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2011-3998-0000 Change in Fund Balance
B 2013-1010-0000 Cash - General Treasury
B 2013-1110-0000 Accounts Receivable
B 2013-1160-0000 Interest Receivable
B 2013-1210-0000 Due from Other Gov Agencies
B 2013-2020-0000 Accounts Payable
B 2013-2440-0000 Retentions Withheld
B 2013-2560-0000 Interest Payable
B 2013-2710-0000 Deferred Revenue
B 2013-3010-0000 Revenue Control
B 2013-3020-0000 Expenditure Control
B 2013-3040-0000 Encumbrance Control
B 2013-3050-0000 Estimated Revenues
B 2013-3060-0000 Appropriations
B 2013-3070-0000 Budgetary Fund Balance
B 2013-3600-0000 Fund Balance - Unreserved, Undesignated
B 2013-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2015-1010-0000 Cash - General Treasury
B 2015-1030-0000 Cash - LAIF
B 2015-1110-0000 Accounts Receivable
B 2015-1160-0000 Interest Receivable
B 2015-1210-0000 Due from Other Gov Agencies
B 2015-2020-0000 Accounts Payable
B 2015-2440-0000 Retentions Withheld
B 2015-2510-0000 Accrued Liabilities
B 2015-2560-0000 Interest Payable
B 2015-2630-0000 Due to Other Funds
B 2015-2710-0000 Deferred Revenue
B 2015-3010-0000 Revenue Control
B 2015-3020-0000 Expenditure Control
B 2015-3040-0000 Encumbrance Control
B 2015-3050-0000 Estimated Revenues
B 2015-3060-0000 Appropriations
B 2015-3070-0000 Budgetary Fund Balance
B 2015-3600-0000 Fund Balance - Unreserved, Undesignated
B 2015-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2015-3998-0000 Change in Fund Balance
B 2021-1010-0000 Cash - General Treasury
B 2021-1110-0000 Accounts Receivable
B 2021-1160-0000 Interest Receivable
B 2021-1210-0000 Due from Other Gov Agencies
B 2021-2020-0000 Accounts Payable
B 2021-2440-0000 Retentions Withheld
B 2021-2510-0000 Accrued Liabilities
B 2021-2710-0000 Deferred Revenue
B 2021-3010-0000 Revenue Control
B 2021-3020-0000 Expenditure Control
B 2021-3040-0000 Encumbrance Control
B 2021-3050-0000 Estimated Revenues
B 2021-3060-0000 Appropriations
B 2021-3070-0000 Budgetary Fund Balance
B 2021-3600-0000 Fund Balance - Unreserved, Undesignated
B 2021-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2021-3998-0000 Change in Fund Balance
B 2025-1010-0000 Cash - General Treasury
B 2025-1030-0000 Cash - LAIF
B 2025-1110-0000 Accounts Receivable
B 2025-1160-0000 Interest Receivable
B 2025-1210-0000 Due from Other Gov Agencies
B 2025-2020-0000 Accounts Payable
B 2025-2090-0000 Vouchers Payable
B 2025-2440-0000 Retentions Withheld
B 2025-2510-0000 Accrued Liabilities
B 2025-3010-0000 Revenue Control
B 2025-3020-0000 Expenditure Control
B 2025-3040-0000 Encumbrance Control
B 2025-3050-0000 Estimated Revenues
B 2025-3060-0000 Appropriations
B 2025-3070-0000 Budgetary Fund Balance
B 2025-3500-0000 Fund Balance - Reserved
B 2025-3600-0000 Fund Balance - Unreserved, Undesignated
B 2025-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2025-3998-0000 Change in Fund Balance
B 2026-1010-0000 Cash - General Treasury
B 2026-2020-0000 Accounts Payable
B 2026-3010-0000 Revenue Control
B 2026-3020-0000 Expenditure Control
B 2026-3050-0000 Estimated Revenues
B 2026-3060-0000 Appropriations
B 2026-3070-0000 Budgetary Fund Balance
B 2026-3600-0000 Fund Balance - Unreserved, Undesignated
B 2026-3998-0000 Change in Fund Balance
B 2030-1010-0000 Cash - General Treasury
B 2030-1030-0000 Cash - LAIF
B 2030-1110-0000 Accounts Receivable
B 2030-1160-0000 Interest Receivable
B 2030-1210-0000 Due from Other Gov Agencies
B 2030-2020-0000 Accounts Payable
B 2030-2440-0000 Retentions Withheld
B 2030-3010-0000 Revenue Control
B 2030-3020-0000 Expenditure Control
B 2030-3040-0000 Encumbrance Control
B 2030-3050-0000 Estimated Revenues
B 2030-3060-0000 Appropriations
B 2030-3070-0000 Budgetary Fund Balance
B 2030-3500-0000 Fund Balance - Reserved
B 2030-3600-0000 Fund Balance - Unreserved, Undesignated
B 2030-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2030-3998-0000 Change in Fund Balance
B 2031-1010-0000 Cash - General Treasury
B 2031-2020-0000 Accounts Payable
B 2031-3010-0000 Revenue Control
B 2031-3020-0000 Expenditure Control
B 2031-3050-0000 Estimated Revenues
B 2031-3060-0000 Appropriations
B 2031-3070-0000 Budgetary Fund Balance
B 2031-3600-0000 Fund Balance - Unreserved, Undesignated
B 2031-3998-0000 Change in Fund Balance
B 2035-1010-0000 Cash - General Treasury
B 2035-1160-0000 Interest Receivable
B 2035-1210-0000 Due from Other Gov Agencies
B 2035-2020-0000 Accounts Payable
B 2035-2440-0000 Retentions Withheld
B 2035-2510-0000 Accrued Liabilities
B 2035-3010-0000 Revenue Control
B 2035-3020-0000 Expenditure Control
B 2035-3040-0000 Encumbrance Control
B 2035-3050-0000 Estimated Revenues
B 2035-3060-0000 Appropriations
B 2035-3070-0000 Budgetary Fund Balance
B 2035-3600-0000 Fund Balance - Unreserved, Undesignated
B 2035-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2035-3998-0000 Change in Fund Balance
B 2038-1010-0000 Cash - General Treasury
B 2038-2020-0000 Accounts Payable
B 2038-3010-0000 Revenue Control
B 2038-3020-0000 Expenditure Control
B 2038-3050-0000 Estimated Revenues
B 2038-3060-0000 Appropriations
B 2038-3070-0000 Budgetary Fund Balance
B 2038-3600-0000 Fund Balance - Unreserved, Undesignated
B 2040-1010-0000 Cash - General Treasury
B 2040-1030-0000 Cash - LAIF
B 2040-1110-0000 Accounts Receivable
B 2040-1160-0000 Interest Receivable
B 2040-1210-0000 Due from Other Gov Agencies
B 2040-2020-0000 Accounts Payable
B 2040-2710-0000 Deferred Revenue
B 2040-3010-0000 Revenue Control
B 2040-3020-0000 Expenditure Control
B 2040-3040-0000 Encumbrance Control
B 2040-3050-0000 Estimated Revenues
B 2040-3060-0000 Appropriations
B 2040-3070-0000 Budgetary Fund Balance
B 2040-3600-0000 Fund Balance - Unreserved, Undesignated
B 2040-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2040-3998-0000 Change in Fund Balance
B 2046-1010-0000 Cash - General Treasury
B 2046-1160-0000 Interest Receivable
B 2046-1210-0000 Due from Other Gov Agencies
B 2046-2020-0000 Accounts Payable
B 2046-2440-0000 Retentions Withheld
B 2046-2560-0000 Interest Payable
B 2046-2630-0000 Due to Other Funds
B 2046-2668-0000 Due to Other Governments
B 2046-3010-0000 Revenue Control
B 2046-3020-0000 Expenditure Control
B 2046-3040-0000 Encumbrance Control
B 2046-3050-0000 Estimated Revenues
B 2046-3060-0000 Appropriations
B 2046-3070-0000 Budgetary Fund Balance
B 2046-3600-0000 Fund Balance - Unreserved, Undesignated
B 2046-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2046-3998-0000 Change in Fund Balance
B 2110-1010-0000 Cash - General Treasury
B 2110-1110-0000 Accounts Receivable
B 2110-1160-0000 Interest Receivable
B 2110-1210-0000 Due from Other Gov Agencies
B 2110-1360-0000 Loans Receivable
B 2110-2020-0000 Accounts Payable
B 2110-2710-0000 Deferred Revenue
B 2110-3010-0000 Revenue Control
B 2110-3020-0000 Expenditure Control
B 2110-3040-0000 Encumbrance Control
B 2110-3050-0000 Estimated Revenues
B 2110-3060-0000 Appropriations
B 2110-3070-0000 Budgetary Fund Balance
B 2110-3600-0000 Fund Balance - Unreserved, Undesignated
B 2110-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2110-3998-0000 Change in Fund Balance
B 2120-1010-0000 Cash - General Treasury
B 2120-1030-0000 Cash - LAIF
B 2120-1110-0000 Accounts Receivable
B 2120-1210-0000 Due from Other Gov Agencies
B 2120-1280-0000 Due From Other Funds
B 2120-2020-0000 Accounts Payable
B 2120-2080-0000 Salaries Payable
B 2120-2130-0000 Medicare Payable
B 2120-2440-0000 Retentions Withheld
B 2120-2510-0000 Accrued Liabilities
B 2120-2630-0000 Due to Other Funds
B 2120-2710-0000 Deferred Revenue
B 2120-3010-0000 Revenue Control
B 2120-3020-0000 Expenditure Control
B 2120-3040-0000 Encumbrance Control
B 2120-3050-0000 Estimated Revenues
B 2120-3060-0000 Appropriations
B 2120-3070-0000 Budgetary Fund Balance
B 2120-3600-0000 Fund Balance - Unreserved, Undesignated
B 2120-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2120-3998-0000 Change in Fund Balance
B 2125-1010-0000 Cash - General Treasury
B 2125-1210-0000 Due from Other Gov Agencies
B 2125-2020-0000 Accounts Payable
B 2125-2080-0000 Salaries Payable
B 2125-2440-0000 Retentions Withheld
B 2125-2630-0000 Due to Other Funds
B 2125-3010-0000 Revenue Control
B 2125-3020-0000 Expenditure Control
B 2125-3040-0000 Encumbrance Control
B 2125-3050-0000 Estimated Revenues
B 2125-3060-0000 Appropriations
B 2125-3070-0000 Budgetary Fund Balance
B 2125-3600-0000 Fund Balance - Unreserved, Undesignated
B 2125-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2130-1010-0000 Cash - General Treasury
B 2130-1110-5000 Allowance for Doubtful Debts
B 2130-1160-0000 Interest Receivable
B 2130-1210-0000 Due from Other Gov Agencies
B 2130-1360-0000 Loans Receivable
B 2130-2020-0000 Accounts Payable
B 2130-2080-0000 Salaries Payable
B 2130-2630-0000 Due to Other Funds
B 2130-2710-0000 Deferred Revenue
B 2130-3010-0000 Revenue Control
B 2130-3020-0000 Expenditure Control
B 2130-3040-0000 Encumbrance Control
B 2130-3050-0000 Estimated Revenues
B 2130-3060-0000 Appropriations
B 2130-3070-0000 Budgetary Fund Balance
B 2130-3600-0000 Fund Balance - Unreserved, Undesignated
B 2130-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2131-1010-0000 Cash - General Treasury
B 2131-1210-0000 Due from Other Gov Agencies
B 2131-2020-0000 Accounts Payable
B 2131-2080-0000 Salaries Payable
B 2131-2630-0000 Due to Other Funds
B 2131-2710-0000 Deferred Revenue
B 2131-3010-0000 Revenue Control
B 2131-3020-0000 Expenditure Control
B 2131-3040-0000 Encumbrance Control
B 2131-3050-0000 Estimated Revenues
B 2131-3060-0000 Appropriations
B 2131-3070-0000 Budgetary Fund Balance
B 2131-3600-0000 Fund Balance - Unreserved, Undesignated
B 2131-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2210-1010-0000 Cash - General Treasury
B 2210-1160-0000 Interest Receivable
B 2210-1210-0000 Due from Other Gov Agencies
B 2210-1360-0000 Loans Receivable
B 2210-2020-0000 Accounts Payable
B 2210-2510-0000 Accrued Liabilities
B 2210-2710-0000 Deferred Revenue
B 2210-3010-0000 Revenue Control
B 2210-3020-0000 Expenditure Control
B 2210-3040-0000 Encumbrance Control
B 2210-3600-0000 Fund Balance - Unreserved, Undesignated
B 2210-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2210-3998-0000 Change in Fund Balance
B 2220-1010-0000 Cash - General Treasury
B 2220-1030-0000 Cash - LAIF
B 2220-1110-0000 Accounts Receivable
B 2220-1160-0000 Interest Receivable
B 2220-1210-0000 Due from Other Gov Agencies
B 2220-1280-0000 Due From Other Funds
B 2220-1360-0000 Loans Receivable
B 2220-2020-0000 Accounts Payable
B 2220-2080-0000 Salaries Payable
B 2220-2130-0000 Medicare Payable
B 2220-2510-0000 Accrued Liabilities
B 2220-2710-0000 Deferred Revenue
B 2220-3010-0000 Revenue Control
B 2220-3020-0000 Expenditure Control
B 2220-3040-0000 Encumbrance Control
B 2220-3600-0000 Fund Balance - Unreserved, Undesignated
B 2220-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2220-3998-0000 Change in Fund Balance
B 2230-1010-0000 Cash - General Treasury
B 2230-1210-0000 Due from Other Gov Agencies
B 2230-1360-0000 Loans Receivable
B 2230-2710-0000 Deferred Revenue
B 2230-3010-0000 Revenue Control
B 2230-3020-0000 Expenditure Control
B 2230-3040-0000 Encumbrance Control
B 2230-3600-0000 Fund Balance - Unreserved, Undesignated
B 2230-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2230-3998-0000 Change in Fund Balance
B 2240-1010-0000 Cash - General Treasury
B 2240-1110-0000 Accounts Receivable
B 2240-1160-0000 Interest Receivable
B 2240-1210-0000 Due from Other Gov Agencies
B 2240-2020-0000 Accounts Payable
B 2240-2080-0000 Salaries Payable
B 2240-2130-0000 Medicare Payable
B 2240-2510-0000 Accrued Liabilities
B 2240-2710-0000 Deferred Revenue
B 2240-3010-0000 Revenue Control
B 2240-3020-0000 Expenditure Control
B 2240-3040-0000 Encumbrance Control
B 2240-3600-0000 Fund Balance - Unreserved, Undesignated
B 2240-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2240-3998-0000 Change in Fund Balance
B 2310-1010-0000 Cash - General Treasury
B 2310-1160-0000 Interest Receivable
B 2310-1210-0000 Due from Other Gov Agencies
B 2310-1360-0000 Loans Receivable
B 2310-2710-0000 Deferred Revenue
B 2310-3010-0000 Revenue Control
B 2310-3020-0000 Expenditure Control
B 2310-3040-0000 Encumbrance Control
B 2310-3600-0000 Fund Balance - Unreserved, Undesignated
B 2310-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2310-3998-0000 Change in Fund Balance
B 2320-1010-0000 Cash - General Treasury
B 2320-1110-0000 Accounts Receivable
B 2320-1210-0000 Due from Other Gov Agencies
B 2320-1360-0000 Loans Receivable
B 2320-2020-0000 Accounts Payable
B 2320-2080-0000 Salaries Payable
B 2320-2130-0000 Medicare Payable
B 2320-2510-0000 Accrued Liabilities
B 2320-2630-0000 Due to Other Funds
B 2320-2710-0000 Deferred Revenue
B 2320-3010-0000 Revenue Control
B 2320-3020-0000 Expenditure Control
B 2320-3040-0000 Encumbrance Control
B 2320-3050-0000 Estimated Revenues
B 2320-3060-0000 Appropriations
B 2320-3070-0000 Budgetary Fund Balance
B 2320-3600-0000 Fund Balance - Unreserved, Undesignated
B 2320-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2320-3998-0000 Change in Fund Balance
B 2330-1010-0000 Cash - General Treasury
B 2330-1210-0000 Due from Other Gov Agencies
B 2330-2020-0000 Accounts Payable
B 2330-2510-0000 Accrued Liabilities
B 2330-2710-0000 Deferred Revenue
B 2330-3010-0000 Revenue Control
B 2330-3020-0000 Expenditure Control
B 2330-3040-0000 Encumbrance Control
B 2330-3050-0000 Estimated Revenues
B 2330-3060-0000 Appropriations
B 2330-3070-0000 Budgetary Fund Balance
B 2330-3600-0000 Fund Balance - Unreserved, Undesignated
B 2330-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2330-3998-0000 Change in Fund Balance
B 2340-1010-0000 Cash - General Treasury
B 2340-1210-0000 Due from Other Gov Agencies
B 2340-2020-0000 Accounts Payable
B 2340-2710-0000 Deferred Revenue
B 2340-3010-0000 Revenue Control
B 2340-3020-0000 Expenditure Control
B 2340-3040-0000 Encumbrance Control
B 2340-3050-0000 Estimated Revenues
B 2340-3060-0000 Appropriations
B 2340-3070-0000 Budgetary Fund Balance
B 2340-3600-0000 Fund Balance - Unreserved, Undesignated
B 2340-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2340-3998-0000 Change in Fund Balance
B 2410-1010-0000 Cash - General Treasury
B 2410-1160-0000 Interest Receivable
B 2410-1210-0000 Due from Other Gov Agencies
B 2410-1360-0000 Loans Receivable
B 2410-2020-0000 Accounts Payable
B 2410-2510-0000 Accrued Liabilities
B 2410-2630-0000 Due to Other Funds
B 2410-2710-0000 Deferred Revenue
B 2410-3010-0000 Revenue Control
B 2410-3020-0000 Expenditure Control
B 2410-3040-0000 Encumbrance Control
B 2410-3050-0000 Estimated Revenues
B 2410-3060-0000 Appropriations
B 2410-3070-0000 Budgetary Fund Balance
B 2410-3600-0000 Fund Balance - Unreserved, Undesignated
B 2410-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2410-3998-0000 Change in Fund Balance
B 2411-1010-0000 Cash - General Treasury
B 2411-1160-0000 Interest Receivable
B 2411-1210-0000 Due from Other Gov Agencies
B 2411-1360-0000 Loans Receivable
B 2411-2710-0000 Deferred Revenue
B 2411-3010-0000 Revenue Control
B 2411-3600-0000 Fund Balance - Unreserved, Undesignated
B 2420-1010-0000 Cash - General Treasury
B 2420-1360-0000 Loans Receivable
B 2420-2710-0000 Deferred Revenue
B 2420-3010-0000 Revenue Control
B 2420-3020-0000 Expenditure Control
B 2420-3040-0000 Encumbrance Control
B 2420-3600-0000 Fund Balance - Unreserved, Undesignated
B 2420-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2420-3998-0000 Change in Fund Balance
B 2510-1010-0000 Cash - General Treasury
B 2510-1030-0000 Cash - LAIF
B 2510-1040-0000 Cash - Petty Cash
B 2510-1110-0000 Accounts Receivable
B 2510-1110-6100 Accounts Receivable
B 2510-1130-0000 Employee Purchase Plan
B 2510-1160-0000 Interest Receivable
B 2510-1210-0000 Due from Other Gov Agencies
B 2510-1270-0000 Due from PA#2
B 2510-1280-0000 Due From Other Funds
B 2510-1630-0000 Land
B 2510-1720-0000 Furniture & Equipment
B 2510-1730-0000 Machinery & Equipment
B 2510-1740-0000 Trucks & Autos
B 2510-1770-0000 Structures & Improvements
B 2510-1904-0000 Prepaid Expenses
B 2510-2020-0000 Accounts Payable
B 2510-2021-0000 E-Trak Customer Payable
B 2510-2080-0000 Salaries Payable
B 2510-2110-0000 Federal Tax Payable
B 2510-2120-0000 FICA Payable
B 2510-2130-0000 Medicare Payable
B 2510-2140-0000 SDI Payable
B 2510-2150-0000 State Tax Payable
B 2510-2210-0000 125 Plan Adm Fee Payable
B 2510-2220-0000 125 Plan Payable
B 2510-2250-0000 Def Comp Payable
B 2510-2260-0000 Employee Benefits Payable
B 2510-2270-0000 Insurance Payable
B 2510-2280-0000 Misc Payroll Deduction Payable
B 2510-2290-0000 PERS Payable
B 2510-2440-0000 Retentions Withheld
B 2510-2450-0000 Sales Tax Payable
B 2510-2510-0000 Accrued Liabilities
B 2510-2560-0000 Interest Payable
B 2510-2630-0000 Due to Other Funds
B 2510-2710-0000 Deferred Revenue
B 2510-2940-0000 Trust Deposits
B 2510-3010-0000 Revenue Control
B 2510-3020-0000 Expenditure Control
B 2510-3040-0000 Encumbrance Control
B 2510-3050-0000 Estimated Revenues
B 2510-3060-0000 Appropriations
B 2510-3070-0000 Budgetary Fund Balance
B 2510-3500-0000 Fund Balance - Reserved
B 2510-3600-0000 Fund Balance - Unreserved, Undesignated
B 2510-3650-0000 Fund Balance - Resv for Encumb - Undesig
B 2510-3998-0000 Change in Fund Balance
B 2520-1010-0000 Cash - General Treasury
B 2520-1110-0000 Accounts Receivable
B 2520-1160-0000 Interest Receivable
B 2520-1210-0000 Due from Other Gov Agencies
B 2520-2020-0000 Accounts Payable
B 2520-2440-0000 Retentions Withheld
B 2520-2510-0000 Accrued Liabilities
B 2520-3010-0000 Revenue Control
B 2520-3020-0000 Expenditure Control
B 2520-3040-0000 Encumbrance Control
B 2520-3050-0000 Estimated Revenues
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E 1001-4310-7140-0000 Retirement Health Savings (RHS)
E 1001-4310-7150-0000 Medicare
E 1001-4310-7160-0000 PERS
E 1001-4310-7170-0000 Direct Housing Loan Costs
E 1001-4310-7205-0000 Advertising - Marketing
E 1001-4310-7229-0000 Education & Training
E 1001-4310-7241-0000 Meetings & Conferences
E 1001-4310-7247-0000 Membership & Dues
E 1001-4310-7253-0000 Mileage Exp/Allowance
E 1001-4310-7259-0000 Miscellaneous Costs
E 1001-4310-7265-0000 Office Supplies/Exp
E 1001-4310-7271-0000 Postage
E 1001-4310-7277-0000 Printing
E 1001-4310-7289-0000 Subscriptions
E 1001-4310-7330-0000 Hardware/Software Supplies/Exp
E 1001-4310-7515-0000 Marketing
E 1001-4310-7584-0000 Sponsorships
E 1001-4310-7640-0000 Tradeshows
E 1001-4310-8940-0000 Contract Services
E 1001-4410-7205-0000 Advertising - Marketing
E 1001-4410-7229-0000 Education & Training
E 1001-4410-7241-0000 Meetings & Conferences
E 1001-4410-7265-0000 Office Supplies/Exp
E 1001-4410-7277-0000 Printing
E 1001-4410-7330-0000 Hardware/Software Supplies/Exp
E 1001-4410-7345-0000 Prior Period Adjustment
E 1001-4410-7970-0000 Small Tools
E 1001-4410-8940-0000 Contract Services
E 1001-4410-8964-0000 Engineering Cont - General
E 1001-4410-8964-0005 Engineering Cont - Chk Final Maps
E 1001-4410-8964-0010 Engineering Cont - Chk Grading Plans
E 1001-4410-8964-0015 Engineering Cont - Chk Improvement Plans
E 1001-4410-8964-0020 Engineering Cont - Drainage
E 1001-4410-8964-0025 Engineering Cont - Grant Writing
E 1001-4410-8964-0040 Engineering Cont - Permit Inspection
E 1001-4410-8964-0045 Engineering Cont - Permit Issuance
E 1001-4410-8964-0070 Engineering Cont - Review Spec Studies
E 1001-4410-8964-0080 Engineering Cont - Tract Inspection
E 1001-4410-8964-9999 Engineering Cont - Allocation
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E 1001-4510-7030-0000 Overtime
E 1001-4510-7110-0000 Cafeteria and other Benefits
E 1001-4510-7120-0000 Deferred Comp
E 1001-4510-7150-0000 Medicare
E 1001-4510-7160-0000 PERS
E 1001-4510-7205-0000 Advertising - Marketing
E 1001-4510-7229-0000 Education & Training
E 1001-4510-7241-0000 Meetings & Conferences
E 1001-4510-7247-0000 Membership & Dues
E 1001-4510-7253-0000 Mileage Exp/Allowance
E 1001-4510-7259-0000 Miscellaneous Costs
E 1001-4510-7265-0000 Office Supplies/Exp
E 1001-4510-7277-0000 Printing
E 1001-4510-7289-0000 Subscriptions
E 1001-4510-7330-0000 Hardware/Software Supplies/Exp
E 1001-4510-7345-0000 Prior Period Adjustment
E 1001-4510-7350-0000 Public Information
E 1001-4510-7370-0000 Special Dept Supplies/Exp
E 1001-4510-7385-0000 Volunteer Program
E 1001-4510-8940-0000 Contract Services
E 1001-4510-9052-0000 Gasoline, Diesel, Oil
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E 1001-4510-9120-0000 Capital Equipment
E 1001-4510-9140-0000 Vehicle & Equip Replacement
E 1001-4510-9291-0000 Bus Shelters
E 1001-4510-9300-0000 Capital Projects
E 1001-4510-9363-0000 Dry Wells for Civic Center Par
E 1001-4510-9372-0000 Entry Statements
E 1001-4510-9516-0000 Parking Lot Expansion (east)
E 1001-4510-9610-0000 Operating Transfer
E 1001-4510-9610-2520 Transfer - 2520
E 1001-4510-9610-4910 Transfer - 4910
E 1001-4610-7010-0000 Salaries Regular
E 1001-4610-7020-0000 Wages Part-Time
E 1001-4610-7030-0000 Overtime
E 1001-4610-7110-0000 Cafeteria and other Benefits
E 1001-4610-7120-0000 Deferred Comp
E 1001-4610-7140-0000 Retirement Health Savings (RHS)
E 1001-4610-7150-0000 Medicare
E 1001-4610-7160-0000 PERS
E 1001-4610-7165-0000 Auto Allowance
E 1001-4610-7170-0000 Direct Housing Loan Costs
E 1001-4610-7205-0000 Advertising - Marketing
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E 1001-4610-7241-0000 Meetings & Conferences
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E 1001-4610-7253-0000 Mileage Exp/Allowance
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E 1001-4610-7265-0000 Office Supplies/Exp
E 1001-4610-7277-0000 Printing
E 1001-4610-7289-0000 Subscriptions
E 1001-4610-7330-0000 Hardware/Software Supplies/Exp
E 1001-4610-7345-0000 Prior Period Adjustment
E 1001-4610-7350-0000 Public Information
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E 1001-4610-8968-0000 Filing Fees
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E 1001-4610-9120-0000 Capital Equipment
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E 1001-5210-9026-0000 Equipment Maintenance
E 2010-4210-9610-2910 Transfer - 2910
E 2010-5010-7010-0000 Salaries Regular
E 2010-5010-7010-4951 Salaries Regular
E 2010-5010-7020-0000 Wages Part-Time
E 2010-5010-7020-4951 Wages Part-Time
E 2010-5010-7030-0000 Overtime
E 2010-5010-7030-4951 Overtime
E 2010-5010-7110-0000 Cafeteria and other Benefits
E 2010-5010-7110-4951 Cafeteria Plan
E 2010-5010-7120-0000 Deferred Comp
E 2010-5010-7140-0000 Retirement Health Savings (RHS)
E 2010-5010-7150-0000 Medicare
E 2010-5010-7150-4951 Medicare
E 2010-5010-7160-0000 PERS
E 2010-5010-7160-4951 PERS
E 2010-5010-7180-0000 Uniform Expenses
E 2010-5010-7205-0000 Advertising - Marketing
E 2010-5010-7223-0000 Disposal Services
E 2010-5010-7229-0000 Education & Training
E 2010-5010-7241-0000 Meetings & Conferences
E 2010-5010-7247-0000 Membership & Dues
E 2010-5010-7253-0000 Mileage Exp/Allowance
E 2010-5010-7259-0000 Miscellaneous Costs
E 2010-5010-7265-0000 Office Supplies/Exp
E 2010-5010-7277-0000 Printing
E 2010-5010-7295-0109 Utilities: Phones, Internet, Cell Phone
E 2010-5010-7295-0847 Utilities: Electricity Usage
E 2010-5010-7295-0848 Utilities: Natural Gas Usage
E 2010-5010-7295-0849 Utilities: Water Usage
E 2010-5010-7335-0000 NPDES Compliance
E 2010-5010-7335-0030 NPDES Compliance - CAA
E 2010-5010-7335-4951 NPDES Compliance
E 2010-5010-7336-4951 NPDES Compliance - CAA
E 2010-5010-7345-0000 Prior Period Adjustment
E 2010-5010-7360-0000 Safety & Security
E 2010-5010-7655-0000 Building Maintenance
E 2010-5010-7755-0000 Grounds Maintenance
E 2010-5010-7907-0000 Curbs and Sidewalks
E 2010-5010-7914-0000 Drainage Maint. & Repairs
E 2010-5010-7928-0000 Paving and Sealing
E 2010-5010-7928-0010 Paving and Sealing - Engineering
E 2010-5010-7935-0000 Right-of-Way Maintenance
E 2010-5010-7956-0000 Signal & Lighting Maint
E 2010-5010-7956-0010 Signal & Lighting Maint - Engineering
E 2010-5010-7956-0020 Signal & Lighting Maint. - Damages
E 2010-5010-7963-0000 Signing
E 2010-5010-7963-0010 Signing - Engineering
E 2010-5010-7970-0000 Small Tools
E 2010-5010-7975-0000 Street Accident Repairs
E 2010-5010-7977-0000 Street Repairs
E 2010-5010-7984-0000 Street Striping
E 2010-5010-7984-0010 Street Striping - Engineering
E 2010-5010-7991-0000 Street Sweeping
E 2010-5010-7995-4951 Transit Services
E 2010-5010-8916-0000 Audit
E 2010-5010-8940-0000 Contract Services
E 2010-5010-8964-0000 Engineering Cont - General
E 2010-5010-8964-0020 Engineering Cont - Drainage
E 2010-5010-8964-0075 Engineering Cont - Traffic
E 2010-5010-9013-0000 Communications Equip
E 2010-5010-9026-0000 Equipment Maintenance
E 2010-5010-9052-0000 Gasoline, Diesel, Oil
E 2010-5010-9065-0000 Leased Equipment
E 2010-5010-9078-0000 Safety Equipment
E 2010-5010-9091-0000 Vehicle Maintenance
E 2010-5010-9120-0000 Capital Equipment
E 2010-5010-9140-0000 Vehicle & Equip Replacement
E 2010-5010-9219-0000 AV Road North Phase 2B
E 2010-5010-9284-0000 Bear Valley Rd/Mohawk Signal
E 2010-5010-9300-0000 Capital Projects
E 2010-5010-9327-0000 Corwin Rd
E 2010-5010-9405-0000 Hwy 15@East Frontage Rd
E 2010-5010-9417-0000 Infrastructure Capital Project
E 2010-5010-9440-0000 Kiowa (VanDusen & Tussing)
E 2010-5010-9458-0000 Muni Rd Guard Rail
E 2010-5010-9480-0000 Navajo/Powhatten Signal
E 2010-5010-9498-0000 Over excavating (reconstruct)
E 2010-5010-9525-0000 Paving-PMS Priorities
E 2010-5010-9565-0000 Symeron Rd Sidewalk
E 2010-5010-9610-0000 Operating Transfer
E 2010-5010-9610-2015 Transfer - 2015
E 2010-5010-9610-2910 Transfer - 2910
E 2010-5010-9610-4910 Transfer - 4910
E 2010-5010-9610-5010 Transfer - 5010
E 2010-5010-9860-0000 Interest
E 2010-5010-9999-1001 Transfer Out - 1001
E 2010-5010-9999-5010 Transfer Out - 5010
E 2011-4210-9610-2910 Transfer - 2910
E 2011-5010-7010-0000 Salaries Regular
E 2011-5010-7010-4951 Salaries Regular
E 2011-5010-7020-0000 Wages Part-Time
E 2011-5010-7020-4951 Wages Part-Time
E 2011-5010-7030-0000 Overtime
E 2011-5010-7030-4951 Overtime
E 2011-5010-7110-0000 Cafeteria and other Benefits
E 2011-5010-7110-4951 Cafeteria Plan
E 2011-5010-7120-0000 Deferred Comp
E 2011-5010-7140-0000 Retirement Health Savings (RHS)
E 2011-5010-7150-0000 Medicare
E 2011-5010-7150-4951 Medicare
E 2011-5010-7160-0000 PERS
E 2011-5010-7160-4951 PERS
E 2011-5010-7180-0000 Uniform Expenses
E 2011-5010-7205-0000 Advertising - Marketing
E 2011-5010-7223-0000 Disposal Services
E 2011-5010-7229-0000 Education & Training
E 2011-5010-7241-0000 Meetings & Conferences
E 2011-5010-7247-0000 Membership & Dues
E 2011-5010-7253-0000 Mileage Exp/Allowance
E 2011-5010-7259-0000 Miscellaneous Costs
E 2011-5010-7265-0000 Office Supplies/Exp
E 2011-5010-7277-0000 Printing
E 2011-5010-7295-0109 Utilities: Phones, Internet, Cell Phone
E 2011-5010-7295-0847 Utilities: Electricity Usage
E 2011-5010-7295-0848 Utilities: Natural Gas Usage
E 2011-5010-7295-0849 Utilities: Water Usage
E 2011-5010-7335-0000 NPDES Compliance
E 2011-5010-7335-0030 NPDES Compliance - CAA
E 2011-5010-7335-4951 NPDES Compliance
E 2011-5010-7336-4951 NPDES Compliance - CAA
E 2011-5010-7345-0000 Prior Period Adjustment
E 2011-5010-7360-0000 Safety & Security
E 2011-5010-7655-0000 Building Maintenance
E 2011-5010-7755-0000 Grounds Maintenance
E 2011-5010-7907-0000 Curbs and Sidewalks
E 2011-5010-7914-0000 Drainage Maint. & Repairs
E 2011-5010-7928-0000 Paving and Sealing
E 2011-5010-7928-0010 Paving and Sealing - Engineering
E 2011-5010-7935-0000 Right-of-Way Maintenance
E 2011-5010-7956-0000 Signal & Lighting Maint
E 2011-5010-7956-0010 Signal & Lighting Maint - Engineering
E 2011-5010-7956-0020 Signal & Lighting Maint. - Damages
E 2011-5010-7963-0000 Signing
E 2011-5010-7963-0010 Signing - Engineering
E 2011-5010-7970-0000 Small Tools
E 2011-5010-7975-0000 Street Accident Repairs
E 2011-5010-7977-0000 Street Repairs
E 2011-5010-7984-0000 Street Striping
E 2011-5010-7984-0010 Street Striping - Engineering
E 2011-5010-7991-0000 Street Sweeping
E 2011-5010-7995-4951 Transit Services
E 2011-5010-8916-0000 Audit
E 2011-5010-8940-0000 Contract Services
E 2011-5010-8964-0000 Engineering Cont - General
E 2011-5010-8964-0020 Engineering Cont - Drainage
E 2011-5010-8964-0075 Engineering Cont - Traffic
E 2011-5010-9013-0000 Communications Equip
E 2011-5010-9026-0000 Equipment Maintenance
E 2011-5010-9052-0000 Gasoline, Diesel, Oil
E 2011-5010-9065-0000 Leased Equipment
E 2011-5010-9078-0000 Safety Equipment
E 2011-5010-9091-0000 Vehicle Maintenance
E 2011-5010-9120-0000 Capital Equipment
E 2011-5010-9140-0000 Vehicle & Equip Replacement
E 2011-5010-9219-0000 AV Road North Phase 2B
E 2011-5010-9284-0000 Bear Valley Rd/Mohawk Signal
E 2011-5010-9300-0000 Capital Projects
E 2011-5010-9327-0000 Corwin Rd
E 2011-5010-9405-0000 Hwy 15@East Frontage Rd
E 2011-5010-9417-0000 Infrastructure Capital Project
E 2011-5010-9440-0000 Kiowa (VanDusen & Tussing)
E 2011-5010-9458-0000 Muni Rd Guard Rail
E 2011-5010-9480-0000 Navajo/Powhatten Signal
E 2011-5010-9498-0000 Over excavating (reconstruct)
E 2011-5010-9525-0000 Paving-PMS Priorities
E 2011-5010-9565-0000 Symeron Rd Sidewalk
E 2011-5010-9610-0000 Operating Transfer
E 2011-5010-9610-2015 Transfer - 2015
E 2011-5010-9610-2910 Transfer - 2910
E 2011-5010-9610-4910 Transfer - 4910
E 2011-5010-9610-5010 Transfer - 5010
E 2011-5010-9860-0000 Interest
E 2011-5010-9999-1001 Transfer Out - 1001
E 2011-5010-9999-5010 Transfer Out - 5010
E 2013-5210-9271-0000 Bear Valley Bike Path, Phase I
E 2013-5210-9860-0000 Interest
E 2015-0000-9500-0000 Apple Valley Village Accessibility
E 2015-0000-9501-0000 Bear Valley Road Bust Stop Improvement
E 2015-5210-7229-0000 Education & Training
E 2015-5210-7241-0000 Meetings & Conferences
E 2015-5210-7253-0000 Mileage Exp/Allowance
E 2015-5210-7259-0000 Miscellaneous Costs
E 2015-5210-7345-0000 Prior Period Adjustment
E 2015-5210-7350-0000 Public Information
E 2015-5210-7928-0000 Paving and Sealing
E 2015-5210-8912-0000 Administration
E 2015-5210-8940-0000 Contract Services
E 2015-5210-9026-0000 Equipment Maintenance
E 2015-5210-9120-0000 Capital Equipment
E 2015-5210-9292-4951 Bus Stop Imp, Bear Valley/Central
E 2015-5210-9300-0000 Capital Projects
E 2015-5210-9526-4951 Powhatan Road Street Imp
E 2015-5210-9610-0000 Operating Transfer
E 2015-5210-9610-2010 Transfer - 2010
E 2015-5210-9610-2020 Transfer - 2020
E 2015-5210-9610-2035 Transfer - 2035
E 2015-5210-9610-2040 Transfer - 2040
E 2015-5210-9860-0000 Interest
E 2015-5210-9999-2010 Transfer Out - 2010
E 2015-5210-9999-2021 Transfer Out - 2021
E 2020-5210-9327-0000 Corwin Rd
E 2020-5210-9575-0000 Waalew (Corwin to Navajo)
E 2021-5210-8940-0000 Contract Services
E 2021-5210-9248-0000 AV Road Rehab - BV to Town Center
E 2021-5210-9253-0000 AV Rd at Tuscola Signal
E 2021-5210-9260-0000 AV Safe Routes to School Master Plan
E 2021-5210-9265-0000 AV Safe Route to School South
E 2021-5210-9271-0000 Bear Valley Bike Path, Phase I
E 2021-5210-9282-0000 Bear Valley Bridge Widening
E 2021-5210-9292-4951 Bus Stop Imp, Bear Valley/Central
E 2021-5210-9307-0000 Central Road Resurface
E 2021-5210-9336-5000 Dale Evans Pkwy@ Waalew Rd. Realignment
E 2021-5210-9337-0000 Dale Evans Resurface
E 2021-5210-9350-0000 Deep Creek Road - BV to Tussing Ranch
E 2021-5210-9390-0000 High Desert Corridor
E 2021-5210-9410-0000 Hwy 18 West End Widening
E 2021-5210-9415-5000 Hwy 18 Median (Navajo/Central)
E 2021-5210-9421-0000 John Glen Roadway Imp
E 2021-5210-9422-0000 Johnson Road Paving
E 2021-5210-9423-0000 Joshua Road Resurfacing
E 2021-5210-9424-0000 Kasota Rd Widening (SR 18 to 400' North)
E 2021-5210-9440-0000 Kiowa (VanDusen & Tussing)
E 2021-5210-9442-0000 Kiowa Rd (Bear Valley & Tussing)
E 2021-5210-9447-0000 Mojave Riverwalk Project
E 2021-5210-9460-0000 Nakash Rd Rehabilitation
E 2021-5210-9471-0000 Navajo Rd
E 2021-5210-9525-0000 Paving-PMS Priorities
E 2021-5210-9536-0000 Ramona Road Widening
E 2021-5210-9538-0000 Rancherias Road Resurface
E 2021-5210-9546-0000 SanBag Congestion Mgmt Plan Contribution
E 2021-5210-9560-0000 Tao Road
E 2021-5210-9563-0000 SR25 Rancho Verde Elem.School
E 2021-5210-9564-0000 Standing Rock@ Hwy 18
E 2021-5210-9572-0000 Town Wide Class II Bikeway Upgrade
E 2021-5210-9573-0000 Transit Bus Shelters
E 2021-5210-9588-0000 Yucca Loma Bridge
E 2021-5210-9589-0000 Yucca Loma Elementary School
E 2021-5210-9590-0000 Yucca Loma Road Undergrounding
E 2021-5210-9593-0000 AV Village SR 18 Corridor
E 2021-5210-9595-0000 Yucca Loma Road Widening (YLB to AV Rd)
E 2021-5210-9595-5000 Yucca Loma Road Widening (AV Rd - Rincon)
E 2021-5210-9597-0000 AV Town Center Signal
E 2021-5210-9599-0000 Bear Valley Rd. Commercial Corridor
E 2021-5210-9999-4410 Transfer Out - 4410
E 2021-5210-9999-4910 Transfer out - 4910
E 2021-5410-9999-2013 Transfer Out - 2013
E 2025-5210-9210-0000 AV Road 2BI
E 2025-5210-9228-0000 AV Road Ph.1B
E 2025-5210-9415-0000 Hwy 18 (AV Rd to Corwin)
E 2030-4210-9573-0000 Transit Bus Shelters
E 2035-5210-9327-0000 Corwin Rd
E 2035-5210-9471-0000 Navajo Rd
E 2040-5410-7345-0000 Prior Period Adjustment
E 2040-5410-8940-0000 Contract Services
E 2040-5410-8940-4951 Contract Services
E 2040-5410-9120-0000 Capital Equipment
E 2040-5410-9300-0000 Capital Projects
E 2040-5410-9610-2015 Transfer - 2015
E 2110-4210-7450-0000 Closed Housing Loans
E 2110-4210-7451-0000 New Housing Loans
E 2110-4210-7562-0000 Res Rehab Loan 11/12
E 2110-4210-7580-0000 Program Income Activity
E 2110-4210-9610-2120 Transfer - 2120
E 2110-4210-9610-4910 Transfer - 4910
E 2110-4210-9999-2120 Transfer Out - 2120
E 2120-4210-7010-0000 Salaries Regular
E 2120-4210-7010-1701 Housing Test
E 2120-4210-7020-0000 Wages Part-Time
E 2120-4210-7025-0000 Part-Time Sick Leave
E 2120-4210-7110-0000 Cafeteria and other Benefits
E 2120-4210-7120-0000 Deferred Comp
E 2120-4210-7140-0000 Retirement Health Savings (RHS)
E 2120-4210-7150-0000 Medicare
E 2120-4210-7160-0000 PERS
E 2120-4210-7165-0000 Auto Allowance
E 2120-4210-7170-0000 Direct Housing Loan Costs
E 2120-4210-7205-0000 Advertising - Marketing
E 2120-4210-7229-0000 Education & Training
E 2120-4210-7241-0000 Meetings & Conferences
E 2120-4210-7247-0000 Membership & Dues
E 2120-4210-7253-0000 Mileage Exp/Allowance
E 2120-4210-7259-0000 Miscellaneous Costs
E 2120-4210-7265-0000 Office Supplies/Exp
E 2120-4210-7271-0000 Postage
E 2120-4210-7277-0000 Printing
E 2120-4210-7289-0000 Subscriptions
E 2120-4210-7350-0000 Public Information
E 2120-4210-7430-0020 CDBG AV Bus Stop Accessibility
E 2120-4210-7430-0050 CDBG AV Christian Centers
E 2120-4210-7430-0060 CDBG Golf Course Accessibility
E 2120-4210-7430-0075 CDBG AV Police Activities League
E 2120-4210-7430-0100 CDBG Asst. League
E 2120-4210-7430-0200 CDBG Catholic Charities
E 2120-4210-7430-0250 CDBG Church of Whosoever
E 2120-4210-7430-0300 CDBG County Library
E 2120-4210-7430-0350 CDBG 03/04 Civic Center Park
E 2120-4210-7430-0360 CDBG Civic Center Park Aquatic Center
E 2120-4210-7430-0375 CDBG Corwin Park Shade Structure
E 2120-4210-7430-0400 CDBG Dakota Paving Project
E 2120-4210-7430-0500 CDBG Fair Housing
E 2120-4210-7430-0525 CDBG Family Assistance League
E 2120-4210-7430-0550 CDBG Feed My Sheep Ministries
E 2120-4210-7430-0600 CDBG HD Domestic Violence
E 2120-4210-7430-0700 CDBG HD Homeless Services
E 2120-4210-7430-0701 Lutheran Social Services of So Cal
E 2120-4210-7430-0702 Orenda Foundation
E 2120-4210-7430-0703 Thunderbird Park Restroom Project
E 2120-4210-7430-0704 James Woody Park Gym Floor & Roof Repair
E 2120-4210-7430-0705 W Com Svc Council Repairs
E 2120-4210-7430-0706 Small Business Enrepreneur
E 2120-4210-7430-0707 BLight & Slum Elimination
E 2120-4210-7430-0800 CDBG High Desert Resource Network
E 2120-4210-7430-0801 WC Foundation
E 2120-4210-7430-0802 James Woody Park Security Cameras
E 2120-4210-7430-0803 James Woody Park Paving Project
E 2120-4210-7430-0805 Mendel Park Restroom
E 2120-4210-7430-0806 SFR Home Disposition
E 2120-4210-7430-0807 Cedar House Life Change Center
E 2120-4210-7430-0808 Orenda Foundation
E 2120-4210-7430-0950 CDBG James Woody
E 2120-4210-7430-0951 CDBG James Woody Kitchen Imp
E 2120-4210-7430-0952 CDBG James Woody Dugouts
E 2120-4210-7430-0953 CDBG James Woody Picnic Structure
E 2120-4210-7430-0955 CDBG James Woody Security
E 2120-4210-7430-0960 James Woody Sidewalk & Accissability
E 2120-4210-7430-1000 CDBG Landlord/Tenant Mediation
E 2120-4210-7430-1050 CDBG Manufactured Home Repair Program
E 2120-4210-7430-1051 13/14 Evans, Jamie/Trevor
E 2120-4210-7430-1052 13/14 Grote, Donne
E 2120-4210-7430-1053 13/14 Mariscal, Donna
E 2120-4210-7430-1054 13/14 Erxleben, Jinit
E 2120-4210-7430-1055 13/14 Mach, Virginia/Lorence
E 2120-4210-7430-1056 13/14 Mestaz, Margaret
E 2120-4210-7430-1057 13/14 Boggs, Steven/Linda
E 2120-4210-7430-1058 14/15 Doll, Sharon
E 2120-4210-7430-1059 14/15 Llamas, Cecilia
E 2120-4210-7430-1060 14/15 Tucky, Linda Marie
E 2120-4210-7430-1061 14/15 Wall, Marcia
E 2120-4210-7430-1062 15/16 Mcconahy, Debra
E 2120-4210-7430-1063 15/16 Lohman, Margaret
E 2120-4210-7430-1064 15/16 Hunt, Thomas
E 2120-4210-7430-1065 15/16 McKenzie, Jeannette
E 2120-4210-7430-1066 15/16 Dehoritv, MaryAnn
E 2120-4210-7430-1067 Didi & Richard Gift
E 2120-4210-7430-1068 15/16 Nethawav, Patty
E 2120-4210-7430-1069 15/16 Rubio, Friederike
E 2120-4210-7430-1070 15/16 Morris, Richard
E 2120-4210-7430-1071 15/16 Gregorio & Lucia Valenzuela
E 2120-4210-7430-1072 15/16 Pizarro, Rodrigo & Kathleen
E 2120-4210-7430-1073 15/16 Empson, Sharon
E 2120-4210-7430-1074 15/16 Jones, Diane
E 2120-4210-7430-1075 15/16 Etter, Rose
E 2120-4210-7430-1076 16/17 Rottman-Allen, Carolyn
E 2120-4210-7430-1100 CDBG Meals on Wheels
E 2120-4210-7430-1150 CDBG Mendel Park Shade Structure
E 2120-4210-7430-1160 CDBG Mendel Basketball Ct & Exercise Eg
E 2120-4210-7430-1175 CDBG Microenterprise Business Asst. Prog
E 2120-4210-7430-1200 CDBG Mojave Deaf Services
E 2120-4210-7430-1250 CDBG Moses House Ministries
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E 2120-4210-7430-1450 CDBG St John of God Health Center
E 2120-4210-7430-1475 CDBG Thunderbrid Park Shade Structure
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E 2120-4210-7430-1500 CDBG WDomestic Violence
E 2120-4210-7430-1600 CDBG Hwy 18 Median (Navajo to Central)
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E 2120-4210-7563-001 0 12/13 Swanson, Alice A
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E 2320-4210-7568-0000 RRLP 2017-18
E 2320-4210-7568-0005 17/18 Calvin Earline/POAJohnson, Dwayne
E 2320-4210-7568-0008 17 /18 Liberty, George
E 2320-4210-7568-0009 17/18 Cota, June
E 2320-4210-7568-0010 17 /18 Sheridan Paul
E 2320-4210-7645-0000 Victorville CHDO Project 13/14
E 2320-4210-8912-0000 Administration
E 2320-4210-8916-0000 Audit
E 2320-4210-8940-0000 Contract Services
E 2320-4210-8994-0000 Unfunded Loan Costs
E 2320-4210-9610-2220 Transfer - 2220
E 2320-4210-9610-2710 Transfer - 2710
E 2320-4210-9610-2720 Transfer - 2720
E 2320-4210-9610-4020 Transfer - 4020
E 2330-4210-7405-0000 Acquisition, Rehab, and Resale
E 2330-4210-7440-0004 CHDO 04/05
E 2330-4210-7441-0005 CHDO 05/06
E 2330-4210-7442-0015 CHDO 06/07
E 2330-4210-7444-0011 CHDO 10/11
E 2330-4210-7444-0012 CHDO 11/12
E 2330-4210-7444-0013 CHDO 12/13
E 2330-4210-7444-0014 CHDO 13/14
E 2330-4210-7444-0015 CHDO 14/15
E 2330-4210-7444-0016 CHDO 15/16
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E 2330-4210-7481-0013 HOME Administration 07/08
E 2330-4210-7481-0050 HOME Administration 08/09
E 2330-4210-7481-0051 HOME Administration 09/10
E 2330-4210-7481-0052 HOME Administration 10/11
E 2330-4210-7481-0053 HOME Administration 11/12
E 2330-4210-7481-0054 HOME Administration 12/13
E 2330-4210-7481-0055 HOME Administration 13/14
E 2330-4210-7481-0056 HOME Administration 14/15
E 2330-4210-7481-0057 HOME Administration 15/16
E 2330-4210-7481-0058 HOME Administration 16-17
E 2330-4210-7481-0059 HOME Administration 17-18
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E 2330-4210-7501-0002 MAP 05/06
E 2330-4210-7502-0003 MAP 06/07
E 2330-4210-7503-0014 MAP 07/08
E 2330-4210-7504-0000 MAP 08/09
E 2330-4210-7504-0010 MAP 09/10
E 2330-4210-7504-0012 MAP 11/12
E 2330-4210-7504-0013 MAP 12/13
E 2330-4210-7504-0014 MAP 13/14
E 2330-4210-7524-5000 Owner Occupied Rehab 08/09
E 2330-4210-7525-0000 Owner Occupied Rehab
E 2330-4210-7526-0000 Owner Occupied Rehab 12/13
E 2330-4210-7527-0000 OOR 13/14
E 2330-4210-7595-0008 Sr. Repair 04/05
E 2330-4210-7596-0009 Sr. Repair 05/06
E 2330-4210-7597-0010 Sr. Repair 06/07
E 2330-4210-7598-0011 Sr. Repair 07/08
E 2330-4210-7598-0015 Sr. Repair 08/09
E 2330-4210-7598-0020 Sr. Repair 09/10
E 2330-4210-7598-0022 Sr. Repair 11/12
E 2330-4210-7598-0023 Sr. Repair 12/13
E 2330-4210-7598-0024 Sr. Repair 13/14
E 2330-4210-7598-0025 Sr. Repair 14/15
E 2330-4210-7598-0026 Sr. Repair 15/16
E 2330-4210-7598-0027 Senior Repair Program 16-17
E 2330-4210-7598-0028 Senior Repair Program 17-18
E 2330-4210-7645-0000 Victorville CHDO Project 13/14
E 2330-4210-7645-0001 Victorville CHDO Nat Core 16-17
E 2330-4210-8912-0000 Administration
E 2330-4210-8940-0000 Contract Services
E 2340-4210-7410-0000 ADDI 2004
E 2340-4210-7410-0001 ADDI 2004 Jeffrey Lum
E 2340-4210-7411-0000 ADDI 2008-09
E 2340-4210-7412-0000 ADDI 2009-10
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E 2410-4210-7465-0001 11/12 Davis, Alisha
E 2410-4210-7465-0002 11/12 Jackson, Tiet Thi
E 2410-4210-7465-0003 11/12 Gonzales, Leticia
E 2410-4210-7465-0004 11/12 Berro, Maria
E 2410-4210-7465-0005 11 /12 Taylor, Mariah
E 2410-4210-7465-0006 11/12 Sender Jr., John D
E 2410-4210-7465-0007 11/12 Barkdull, Joshua
E 2410-4210-7465-0008 11/12 Distefano, Michelle
E 2410-4210-7465-0009 11/12 Harring, Courtney
E 2410-4210-7465-0010 11/12 Ciarrocchi, Roger
E 2410-4210-7465-0011 11/12 Jackson, Tiet
E 2410-4210-7465-0012 11/12 Cheesman, Kathleen
E 2410-4210-7465-0013 12/13 Abarca, Fred Jr
E 2410-4210-7465-0014 12/13 Veles, Olegario/Rocio
E 2410-4210-7465-0015 12/13 Estrada, Jaime
E 2410-4210-7465-0016 12/13 Barkdul, Justin K.
E 2410-4210-7465-0017 12/13 Mullins, Ellen
E 2410-4210-7465-0018 12/13 Ferrell, Patricia
E 2410-4210-7465-0019 12/13 Harper, Christopher & Alicia
E 2410-4210-7465-0020 12/13 Koontz, Johnathan
E 2410-4210-7465-0021 12/13 Pierce, Hersel
E 2410-4210-7465-0022 12/13 Bower.Robert & Harvey.Tracy
E 2410-4210-7465-0023 12/13 Caberto, Cuahutemoc and Araceli
E 2410-4210-7465-0024 12/13 Ortega, Angelina
E 2410-4210-7466-0000 DAP 12/13
E 2410-4210-7466-0001 13/14 Makhamre, Salloum/Basma
E 2410-4210-7466-0002 13/14 Flores, Nicholas
E 2410-4210-7466-0003 13/14 St. John, Tiffany
E 2410-4210-7466-0004 13/14 Carbajal, Flor Robles
E 2410-4210-7466-0005 13/14 Villa, Candi
E 2410-4210-7466-0006 13/14 Rios, Alfredo
E 2410-4210-7466-0007 13/14 Carlson, Gwendolyn
E 2410-4210-7466-0008 13/14 Andre, Stephanie
E 2410-4210-7466-0009 13/14 Caldera, Roberta
E 2410-4210-7466-0010 13/14 Stiles, Kenneth/Carley
E 2410-4210-7466-0011 13/14 Mortimore, Stevie
E 2410-4210-7466-0012 13/14 Epley, Renee
E 2410-4210-7466-0013 13/14 Esparza, Stephan/Jennifer
E 2410-4210-7466-0014 13/14 Clark, Marcos/Melinda
E 2410-4210-7466-0015 13/14 Viernes, Elvin
E 2410-4210-7466-0016 13/14 Woodmansee, Dolores
E 2410-4210-7466-0017 13/14 Pulido, Efrain
E 2410-4210-7466-0018 13/14 Stringfellow, Tonya/Konorza
E 2410-4210-7466-0019 13/14 Gonzalez, Omar
E 2410-4210-7466-0020 13/14 Baltazar, Jesus
E 2410-4210-7466-0021 13/14 Bryant, Charles
E 2410-4210-7466-0022 13/14 Mailloux, Erma
E 2410-4210-7466-0023 13/14 Tostado, Juan Carlos
E 2410-4210-7467-0000 DAP 14/15
E 2410-4210-7467-0001 14/15 Pereda, Allan C.
E 2410-4210-7467-0002 14/15 Pedersen, Nicholas
E 2410-4210-7467-0003 14/15 Jimenez, Susana
E 2410-4210-7467-0004 14/15 Gomez, Ada
E 2410-4210-7467-0005 14/15 VanHorn, Crystal
E 2410-4210-7467-0006 14/15 Guerrero, Salvador
E 2410-4210-7467-0007 14/15 Wilson, Shane & Munoz, Emily
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E 2410-4210-7467-0009 14/15 Allen, Brian
E 2410-4210-7467-0010 14/15 Gutierrez, Michael/Malisa
E 2410-4210-7467-0011 14/15 Wilson, Shane & Munoz, Emily
E 2410-4210-7467-0012 14/15 Laquna, Rosemary
E 2410-4210-7467-0013 14/15 Barkdull, Kyle
E 2410-4210-7467-0014 14/15 Esqueda, Enrique/Margarita
E 2410-4210-7467-0015 14/15 Montanez, Jose/Gabriela
E 2410-4210-7467-0016 14/15 Guerrero, Salvador
E 2410-4210-7467-0017 14/15 Fabila, Nancy
E 2410-4210-7467-0018 14/15 Seney, William Bradley
E 2410-4210-7467-0019 14/15 Pena, Ralph
E 2410-4210-7467-0020 14/15 Lueck, Trevor & Joie
E 2410-4210-7467-0021 14/15 Pulido, Mario Zamora
E 2410-4210-7467-0022 14/15 Rodriquez, Salvador
E 2410-4210-7467-0023 14/15 Montesinos, Antonio/Kimberly
E 2410-4210-7467-0024 14/15 Zuniga, Leopoldo
E 2410-4210-7467-0025 14/15 Herrera, Rindy
E 2410-4210-7467-0026 14/15 Baez, Andrew
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E 2410-4210-7562-0010 11 /12 Morris, James Thomas
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E 2410-4210-7563-0020 12/13 Mendez, Leonora
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E 2510-6230-7755-1080 *** Title Not Found ***
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E 2510-6290-7655-0000 Building Maintenance
E 2510-6290-7751-0000 Budget Use Only
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E 2510-6290-7760-2000 Playground Eg Repair & Maintenance
E 2510-6290-7780-0000 Sprinkler Supplies
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E 2510-6310-7120-0000 Deferred Comp
E 2510-6310-7140-0000 Retirement Health Savings (RHS)
E 2510-6310-7150-0000 Medicare
E 2510-6310-7160-0000 PERS
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E 2510-6310-7223-0000 Disposal Services
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E 2510-6310-7295-0847 Utilities: Electricity Usage
E 2510-6310-7295-0848 Utilities: Natural Gas Usage
E 2510-6310-7295-0849 Utilities: Water Usage
E 2510-6310-7367-0000 Signing
E 2510-6310-7383-0000 Vandalism Repairs
E 2510-6310-7680-0000 Equipment Rental
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E 2510-6310-7760-2000 Playground Eg Repair & Maintenance
E 2510-6310-7780-0000 Sprinkler Supplies
E 2510-6310-9039-0000 Equipment Rental
E 2510-6310-9120-0000 Capital Equipment
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E 2510-6330-7140-0000 Retirement Health Savings (RHS)
E 2510-6330-7140-1000 Health/Other Benefits-Retirees
E 2510-6330-7150-0000 Medicare
E 2510-6330-7160-0000 PERS
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E 2510-6330-7295-0847 Utilities: Electricity Usage
E 2510-6330-7295-0848 Utilities: Natural Gas Usage
E 2510-6330-7295-0849 Utilities: Water Usage
E 2510-6330-7345-0000 Prior Period Adjustment
E 2510-6330-7367-0000 Signing
E 2510-6330-7383-0000 Vandalism Repairs
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E 2510-6330-7760-2000 Playground Eg Repair & Maintenance
E 2510-6330-7780-0000 Sprinkler Supplies
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E 2510-6350-7150-0000 Medicare
E 2510-6350-7160-0000 PERS
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E 2510-6350-7295-0848 Utilities: Natural Gas Usage
E 2510-6350-7295-0849 Utilities: Water Usage
E 2510-6350-7367-0000 Signing
E 2510-6350-7383-0000 Vandalism Repairs
E 2510-6350-7751-0000 Budget Use Only
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E 2510-6370-7295-0847 Utilities: Electricity Usage
E 2510-6370-7295-0848 Utilities: Natural Gas Usage
E 2510-6370-7295-0849 Utilities: Water Usage
E 2510-6370-7367-0000 Signing
E 2510-6370-7383-0000 Vandalism Repairs
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E 2510-6380-7295-0848 Utilities: Natural Gas Usage
E 2510-6380-7295-0849 Utilities: Water Usage
E 2510-6380-7367-0000 Signing
E 2510-6380-7383-0000 Vandalism Repairs
E 2510-6380-7751-0000 Budget Use Only
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E 2510-6380-7760-2000 Playground Eg Repair & Maintenance
E 2510-6380-7780-0000 Sprinkler Supplies
E 2510-6380-9039-0000 Equipment Rental
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E 2510-6390-7010-1000 Salary/Benefit Allocation
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E 2510-6390-7120-0000 Deferred Comp
E 2510-6390-7140-0000 Retirement Health Savings (RHS)
E 2510-6390-7150-0000 Medicare
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E 2510-6390-7295-0848 Utilities: Natural Gas Usage
E 2510-6390-7295-0849 Utilities: Water Usage
E 2510-6390-7367-0000 Signing
E 2510-6390-7383-0000 Vandalism Repairs
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E 2510-6390-7760-2000 Playground Eg Repair & Maintenance
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R 2510-6880-5710-0000 l.ights
R 2510-6880-5720-0000 Parking Fee
R 2510-6880-5810-0000 Rents - User Groups
R 2510-6900-4170-0000 Other Revenue Sources
R 2510-6910-4170-0000 Other Revenue Sources
R 2510-6940-5805-0000 User Group Disposal Fees
R 2510-6940-5810-0000 Rents - User Groups
R 2510-6970-5668-0000 Sponsorship Revenue - Recreation Events
R 2510-6970-5852-0000 3 on 3 Soccer Tournament
R 2510-6970-5855-0000 Adventures in PW Sports
R 2510-6970-5860-0000 Basketball Tournament
R 2510-6970-5862-0000 Coed Volleyball
R 2510-6970-5863-0000 Cooking - Kitchen Smarts
R 2510-6970-5865-0000 Father Son Basketball Tourney
R 2510-6970-5868-0000 Flag Football
R 2510-6970-5870-0000 Pee Wee/Hot Shots Basketball
R 2510-6970-5872-0000 Peewee Soccer
R 2510-6970-5874-0000 Summer Peewee/Hotshots Basketball
R 2510-6970-5875-0000 Summer Youth Basketball
R 2510-6970-5885-0000 T-Ball
R 2510-6970-5890-0000 Youth Basketball
R 2510-6970-5895-0000 Youth Track Meet
R 2510-6970-5999-0000 Old Parks Accounts
R 2520-0000-4170-0000 Other Revenue Sources
R 2520-0000-4255-0000 Interest Earnings
R 2520-0000-6166-0000 Quimby Fees
R 2520-5210-6166-0000 Quimby Fees
R 2610-0000-4255-0000 Interest Earnings
R 2610-0000-6927-0000 Police Grants
R 2610-2514-6927-0000 Police Grants
R 2610-2516-6927-0000 Police Grants
R 2610-2517-6927-0000 Police Grants
R 2610-2518-6927-0000 Police Grants
R 2610-2519-6927-0000 Police Grants
R 2610-2519-6999-2620 Transfer In - 2620
R 2610-2520-6927-0000 Police Grants
R 2610-2522-6925-0000 OTS Sobriety Check Point
R 2610-2522-6927-0000 Police Grants
R 2620-0000-4255-0000 Interest Earnings
R 2620-0000-6806-0000 Asset Seizure
R 2630-0000-4255-0000 Interest Earnings
R 2630-0000-6806-0000 Asset Seizure
R 2710-0000-4015-0000 County Admin
R 2710-0000-4062-0000 Project Area #1
R 2710-0000-4065-0000 Increment PA#2
R 2710-0000-4131-0000 Pass Thru - PA#1
R 2710-0000-4170-0000 Other Revenue Sources
R 2710-0000-4255-0000 Interest Earnings
R 2720-0000-4065-0000 Increment PA#2
R 2720-0000-4170-0000 Other Revenue Sources
R 2720-0000-4181-0000 Refunds, Reimb, Rebates
R 2720-0000-4255-0000 Interest Earnings
R 2725-0000-4131-0000 Pass Thru - PA#1
R 2725-0000-4255-0000 Interest Earnings
R 2730-0000-4065-0000 Increment PA#2
R 2730-0000-4181-0000 Refunds, Reimb, Rebates
R 2730-0000-4255-0000 Interest Earnings
R 2810-0000-4020-0000 Property Tax
R 2810-0000-4181-0000 Refunds, Reimb, Rebates
R 2810-0000-4255-0000 Interest Earnings
R 2810-0000-5255-0000 Day Camp
R 2910-0000-4181-0000 Refunds, Reimb, Rebates
R 2910-2511-6920-0000 Federal-Admin $$
R 2910-2511-6921-0000 Federal-FEMA
R 2910-2511-6933-0000 State of CA-Ad min$
R 2910-2511-6934-0000 State of CA-OES
R 2910-2515-6920-0000 Federal-Admin $$
R 2910-2515-6921-0000 Federal-FEMA
R 2910-2515-6933-0000 State of CA-Ad min$
R 2910-2515-6934-0000 State of CA-OES
R 2910-2517-6921-0000 Federal-FEMA
R 2910-2517-6933-0000 State of CA-Ad min$
R 2910-2517-6934-0000 State of CA-OES
R 2910-2523-4170-0000 Other Revenue Sources
R 3010-0000-4015-0000 County Admin
R 3010-0000-4062-0000 Project Area #1
R 3010-0000-4079-0000 Tax Inc/Account no Longer used
R 3010-0000-4131-0000 Pass Thru - PA#1
R 3010-0000-4131-5000 PA#1 Budgetary Savings
R 3010-0000-4170-0000 Other Revenue Sources
R 3010-0000-4255-0000 Interest Earnings
R 3010-0000-6823-0000 04/05 Allocation
R 3020-0000-4015-0000 County Admin
R 3020-0000-4065-0000 Increment PA#2
R 3020-0000-4170-0000 Other Revenue Sources
R 3020-0000-4255-0000 Interest Earnings
R 4010-0000-4020-0000 Property Tax
R 4010-0000-4062-0000 Project Area #1
R 4010-0000-4170-0000 Other Revenue Sources
R 4010-0000-4181-0000 Refunds, Reimb, Rebates
R 4010-0000-4255-0000 Interest Earnings
R 4010-0000-6999-3010 Transfer In - 3010
R 4020-0000-4020-0000 Property Tax
R 4020-0000-4070-0000 WEDA Loan Reimbursement
R 4020-0000-4181-0000 Refunds, Reimb, Rebates
R 4020-0000-4183-0000 Gain/Loss on Disposal of Fixed Asset
R 4020-0000-4255-0000 Interest Earnings
R 4020-0000-6816-0000 Grants
R 4020-0000-6821-0000 02/03 Allocation
R 4020-0000-6880-0000 Program Income
R 4020-0000-6999-3020 Transfer In - 3020
R 4050-0000-4255-0000 Interest Earnings
R 4050-0000-6157-0000 OPA TIF Contribution
R 4105-0000-4255-0000 Interest Earnings
R 4105-1500-6999-1001 Transfer In - 1001
R 4106-0000-4190-0000 Debt Service - Principle Rec
R 4106-0000-4255-0000 Interest Earnings
R 4106-1500-6999-1001 Transfer In - 1001
R 4108-0000-4126-0000 Bond Proceeds
R 4108-0000-4170-0000 Other Revenue Sources
R 4108-0000-4255-0000 Interest Earnings
R 4108-1500-6999-1001 Transfer In - 1001
R 4110-0000-4181-0000 Refunds, Reimb, Rebates
R 4110-0000-4255-0000 Interest Earnings
R 4410-0000-4170-0000 Other Revenue Sources
R 4410-0000-4174-0000 Prior Period Adj
R 4410-0000-4181-0000 Refunds, Reimb, Rebates
R 4410-0000-4184-0000 Shorts/Over
R 4410-0000-4255-0000 Interest Earnings
R 4410-0000-5580-0000 Short/Over - Recreation
R 4410-0000-6102-0000 Animal Control Facilities
R 4410-0000-6126-0000 General Gov't Facilities
R 4410-0000-6140-0000 Law Enforcement Facilities
R 4410-0000-6164-0000 Public Meeting Facilities
R 4410-0000-6184-0000 Transportation Impact Fee
R 4410-0000-6816-0000 Grants
R 4410-0000-6916-0000 DOT Yucca Loma Grant
R 4410-0000-6999-2021 Transfer in - 2021
R 4410-0000-6999-2730 Transfer In - 2730
R 4410-0000-6999-3020 Transfer In - 3020
R 4710-0000-4174-0000 Prior Period Adj
R 4710-0000-4255-0000 Interest Earnings
R 4710-0000-6102-0000 Animal Control Facilities
R 4720-0000-4174-0000 Prior Period Adj
R 4720-0000-4255-0000 Interest Earnings
R 4720-0000-6140-0000 Law Enforcement Facilities
R 4730-0000-4170-0000 Other Revenue Sources
R 4730-0000-4174-0000 Prior Period Adj
R 4730-0000-4255-0000 Interest Earnings
R 4730-0000-6126-0000 General Gov't Facilities
R 4740-0000-4174-0000 Prior Period Adj
R 4740-0000-4255-0000 Interest Earnings
R 4740-0000-6164-0000 Public Meeting Facilities
R 4750-0000-4174-0000 Prior Period Adj
R 4750-0000-4255-0000 Interest Earnings
R 4750-0000-6106-0000 Aquatic Facilities
R 4760-0000-4255-0000 Interest Earnings
R 4760-0000-6670-0000 Storm Drainage Facilities
R 4770-0000-4255-0000 Interest Earnings
R 4770-0000-6600-0000 Sanitary Sewer Collection Syst
R 4910-0000-4170-0000 Other Revenue Sources
R 4910-0000-6156-0000 Miscellaneous Revenue-Planning
R 4910-0000-6816-0000 Grants
R 4910-0000-6905-0000 04-06 Traffic Safety Program
R 4910-0000-6909-0000 2004 Wal-Mart Child Christmas
R 4910-0000-6911-0000 Civic Center Park
R 4910-0000-6912-0000 Commercial Recycl Incentive
R 4910-0000-6914-0000 Dale Evans Median
R 4910-0000-6924-0000 Land/Water Conservation Grant
R 4910-0000-6925-0000 OTS Sobriety Check Point
R 4910-0000-6926-0000 Parks Roberti Z'berg
R 4910-0000-6931-0000 Seat Belt Compliance
R 4910-0000-6932-0000 Signal Interrupters
R 4910-0000-6934-5000 State Transportation Program Grant
R 4910-0000-6999-1001 Transfer In - 1001
R 4910-2521-6816-0000 Grants
R 4910-4350-6919-5000 Energy Efficiency & Conserv. Block Grant
R 4910-4350-6930-5000 Renewable Solar Energy
R 4910-4801-4181-0000 Refunds, Reimb, Rebates
R 4910-4801-6906-0000 Cycle 3 Safe Routes to School
R 4910-4802-6907-0000 05/06 Waste Tire Amnesty
R 4910-4803-6908-0000 DOC Recycling
R 4910-4803-6908-0003 12/13 DOC Recycling
R 4910-4803-6908-0004 13/14 DOC Recycling
R 4910-4803-6908-0005 14/15 DOC Recycling
R 4910-4803-6908-0006 16/17 DOC
R 4910-4804-6907-0001 Waste Tire Cleanup
R 4910-4804-6907-0005 12/14 Waste Tire Cleanup
R 4910-4804-6907-0007 14/16 Waste Tire Cleanup
R 4910-4805-6909-0000 2004 Wal-Mart Child Christmas
R 4910-4806-4170-0000 Other Revenue Sources
R 4910-4806-4181-0000 Refunds, Reimb, Rebates
R 4910-4806-6908-0002 08/09 DOC Recycling
R 4910-4806-6911-0000 Civic Center Park
R 4910-4806-6913-0000 Cvc Ctr-Dept Cnsrvtn,Div Recy
R 4910-4806-6917-0000 EDI 06/07 Civic Center Constru
R 4910-4806-6918-0000 EDI Grant-03/04
R 4910-4806-6919-0000 EDI Grant-04/05
R 4910-4806-6919-0001 EDI Grant 05/06
R 4910-4806-6924-0000 Land/Water Conservation Grant
R 4910-4806-6926-0000 Parks Roberti Z'berg
R 4910-4806-6928-0000 Prop 12 Grant-Civ Ctr Park
R 4910-4806-6930-0000 Prop 40 Grant-Civ Ctr Park
R 4910-4807-6914-0000 Dale Evans Median
R 4910-4808-6907-0001 06/07 Waste Tire Amnesty
R 4910-4808-6922-5000 Horsemen's Center
R 4910-4809-6932-0000 Signal Interrupters
R 4910-4810-6816-0000 Grants
R 4910-4810-6908-0001 07/08 DOC Recycling
R 4910-4810-6909-5000 California Beverage Container Grant
R 4910-4810-6910-0000 07/08 DOC Recycling
R 4910-4810-6921-5000 Happy MRF Day
R 4910-4810-6922-0000 Healthy Cities-Harvest to Home
R 4910-4810-6922-2500 Healthy Cities Sponsorship
R 4910-4810-6934-2500 State Funded Safe Routes to School
R 4910-4810-6934-5000 State Transportation Program Grant
R 4910-4810-6999-2021 Transfer in - 2021
R 4910-4810-6999-4410 Transfer In - 4410
R 4910-4811-6907-0002 07/08 Waste Tire Amnesty
R 4910-4812-6936-0000 05/06 RACG AV Road Project
R 4910-4815-4181-0000 Refunds, Reimb, Rebates
R 4910-4815-6916-0000 DOT Yucca Loma Grant
R 4910-4816-6907-0003 Waste Tire Amnesty
R 4910-4816-6907-0004 11/12 Waste Tire Amnesty
R 4910-4816-6907-0006 13/14 Waste Tire Amnesty Grant
R 4910-4816-6907-0008 15/16 Waste Tire Amnesty
R 4910-4817-6922-2500 Healthy Cities Sponsorship
R 4910-4818-6936-0000 Wells Fargo Home Mortgage
R 4910-4819-6835-0000 Bicycle Grant
R 4910-4819-6999-2021 Transfer in - 2021
R 4910-4820-6816-0000 Grants
R 4910-4822-6816-0000 Grants
R 4910-4823-6816-0000 Grants
R 4910-4824-6816-0000 Grants
R 4910-4827-6816-0000 Grants
R 4910-4828-6816-0000 Grants
R 4910-4829-6816-0000 Grants
R 4910-4921-6816-0000 Grants
R 5010-0000-4020-0000 Property Tax
R 5010-0000-4170-0000 Other Revenue Sources
R 5010-0000-4174-0000 Prior Period Adj
R 5010-0000-4181-0000 Refunds, Reimb, Rebates
R 5010-0000-4183-0000 Gain/Loss on Disposal of Fixed Asset
R 5010-0000-4255-0000 Interest Earnings
R 5010-0000-5570-0000 Misc Recreation Revenue
R 5010-0000-5810-0000 Rents - User Groups
R 5010-0000-6124-0000 Feasibility Studies
R 5010-0000-6146-0000 Lot Splits
R 5010-0000-6510-0000 Administrative Fees
R 5010-0000-6520-0000 District Buy-in Fee
R 5010-0000-6530-0000 Inspection Fees
R 5010-0000-6540-0000 Local Sewer Connection Charges
R 5010-0000-6600-0000 Sanitary Sewer Collection Svst
R 5010-0000-6630-0000 Sewer Replace Revenue
R 5010-0000-6650-0000 Sewer Use Fees
R 5010-0000-6670-0000 Storm Drainage Facilities
R 5010-0000-6680-0000 WWRA Connection Fees
R 5010-0000-6690-0000 Water Use Fees (Sales)
R 5010-0000-6699-2010 Transfer In - 2010
R 5010-0000-6699-2510 Transfer in -2510
R 5010-0000-6921-0000 Federal-FEMA
R 5010-0000-6999-1001 Transfer In - 1001
R 5020-0000-4190-0000 Debt Service - Principle Rec
R 5020-0000-4255-0000 Interest Earnings
R 5030-0000-4174-0000 Prior Period Adj
R 5030-0000-4190-0000 Debt Service - Principle Rec
R 5030-0000-4255-0000 Interest Earnings
R 5030-0000-6520-0000 District Buy-in Fee
R 5040-0000-4165-0000 Miscellaneous Penalties, Fines
R 5040-0000-4184-0000 Shorts/Over
R 5040-0000-4190-0000 Debt Service - Principle Rec
R 5040-0000-4255-0000 Interest Earnings
R 5040-0000-5580-0000 Short/Over - Recreation
R 5040-0000-6156-0000 Miscellaneous Revenue-Planning
R 5040-0000-6510-0000 Administrative Fees
R 5050-0000-4190-0000 Debt Service - Principle Rec
R 5050-0000-4255-0000 Interest Earnings
R 5050-0000-4355-0000 Fines
R 5050-0000-6510-0000 Administrative Fees
R 5510-0000-4020-0000 Property Tax
R 5510-0000-4165-0000 Miscellaneous Penalties, Fines
R 5510-0000-4170-0000 Other Revenue Sources
R 5510-0000-4170-4951 Other Revenue Sources
R 5510-0000-4174-0000 Prior Period Adj
R 5510-0000-4179-0000 Recycling Revenue
R 5510-0000-4179-4951 Recycling Revenue
R 5510-0000-4181-0000 Refunds, Reimb, Rebates
R 5510-0000-4184-0000 Shorts/Over
R 5510-0000-4255-0000 Interest Earnings
R 5510-0000-4355-0000 Fines
R 5510-0000-4530-0000 Shorts/Overs - AC
R 5510-0000-5580-0000 Short/Over - Recreation
R 5510-0000-6154-0000 Miscellaneous Revenue-Engineering
R 5510-0000-6156-0000 Miscellaneous Revenue-Planning
R 5510-0000-6510-0000 Administrative Fees
R 5510-0000-6710-0000 Landfill Fees
R 5510-0000-6720-0000 MRF Operations
R 5510-0000-6730-0000 New Waste Disp Agrmnt-Art 19
R 5510-0000-6750-0000 State Recycling Fee
R 5510-0000-6770-0000 Trash Collection Fees
R 5510-0000-6780-0000 Trash Liens
R 5510-0000-6816-0000 Grants
R 5510-0000-6924-4951 Oil Payment Program Block Grant
R 5510-0000-6924-7000 Oil Payment Program Block Grant
R 5510-0000-6935-0000 Used Oil Grant
R 5510-4460-4181-0000 Refunds, Reimb, Rebates
R 5710-0000-4170-0000 Other Revenue Sources
R 5710-0000-4181-0000 Refunds, Reimb, Rebates
R 5710-0000-4183-5000 Gain/Loss on Purchase of Fixed Asset
R 5710-0000-4184-0000 Shorts/Over
R 5710-0000-4255-0000 Interest Earnings
R 5710-0000-5700-0000 Rentals
R 5710-0000-6420-0000 Green Fees
R 5710-0000-6450-0000 Pro Shop Merchandise Sales
R 5710-0000-6470-0000 Food & Beverage Sales
R 5710-0000-6480-0000 Golf Course Events
R 5710-0000-6485-0000 SGM Food and Beverage 2%
R 5710-0000-6490-0000 Other Golf Course Revenue
R 5710-0000-6690-0000 Water Use Fees (Sales)
R 5710-0000-6999-1001 Transfer In - 1001
R 5810-0000-4165-0000 Miscellaneous Penalties, Fines
R 5810-0000-4170-0000 Other Revenue Sources
R 5810-0000-4174-0000 Prior Period Adj
R 5810-0000-4181-0000 Refunds, Reimb, Rebates
R 5810-0000-4184-0000 Shorts/Over
R 5810-0000-4255-0000 Interest Earnings
R 5810-0000-4355-0000 Fines
R 5810-0000-4380-0000 AVCE Energy Generation Revenue
R 5810-0000-4381-0000 AVCE Smart Choice Revenue
R 5810-0000-4382-0000 CRR Revenues
R 5810-0000-4530-0000 Shorts/Overs - AC
R 5810-0000-5580-0000 Short/Over - Recreation
R 5810-0000-6510-0000 Administrative Fees
R 5810-0000-6816-0000 Grants
R 5810-4460-4181-0000 Refunds, Reimb, Rebates
R 8010-0000-4255-0000 Interest Earnings
R 8010-0000-6166-0000 Quimby Fees
R 8110-0000-4138-0000 PBID Assessment Revenue
R 8110-0000-4255-0000 Interest Earnings
R 8110-0000-6827-0000 08/09 Allocation
R 8120-0000-4181-0000 Refunds, Reimb, Rebates
R 8120-0000-4255-0000 Interest Earnings
R 8120-0000-6816-0000 Grants
R 8210-0000-4055-0000 Sales and Use Tax
R 8210-0000-4162-0000 Misc Copies & Reproductions
R 8210-0000-4181-0000 Refunds, Reimb, Rebates
R 8210-0000-4255-0000 Interest Earnings
R 8210-0000-6802-0000 Air Pollution AB2766
R 8210-0000-6804-0000 Article 8 L TF
R 8210-0000-6816-0000 Grants
R 8210-0000-6992-0000 Bus Fares/Passes
R 8210-0000-6998-0000 Shopping Bag Campaign - WTA
R 8310-0000-4190-0000 Debt Service - Principle Rec
R 8310-0000-4255-0000 Interest Earnings
R 8310-0000-4355-0000 Fines
R 8310-0000-6510-0000 Administrative Fees
R 8410-0000-4020-0000 Property Tax
R 8410-0000-4170-0000 Other Revenue Sources
R 8410-0000-4181-0000 Refunds, Reimb, Rebates
R 8410-0000-4255-0000 Interest Earnings
R 8410-0000-6997-0000 Member Contributions
R 8411-0000-4020-0000 Property Tax
R 8411-0000-4131-0000 Pass Thru - PA#1
R 8411-0000-4181-0000 Refunds, Reimb, Rebates
R 8411-0000-4255-0000 Interest Earnings
R 8510-0000-4181-0000 Refunds, Reimb, Rebates
R 8510-0000-4255-0000 Interest Earnings
R 8510-0000-6816-0000 Grants
R 8510-8020-4255-0000 Interest Earnings
R 8510-8020-6816-0000 Grants
R 8510-8020-6924-0000 Land/Water Conservation Grant
R 8510-8020-6924-5000 Other Revenue
R 8510-8020-6997-0000 Member Contributions
R 8511-8020-4170-0000 Other Revenue Sources
R 8511-8020-4181-0000 Refunds, Reimb, Rebates
R 8511-8020-4255-0000 Interest Earnings
R 8511-8020-6924-0000 Land/Water Conservation Grant
R 8511-8020-6924-5000 Other Revenue
R 8511-8020-6997-0000 Member Contributions
R 8512-8025-6997-0000 Member Contributions
R 8513-0000-4255-0000 Interest Earnings
R 8513-8020-7259-0000 *** Title Not Found ***
R 8513-8025-6910-0000 Charges for Services
R 8513-8025-6930-7000 Sale of Recycled Material
R 8513-8025-6997-0000 Member Contributions
R 8610-0000-4150-0000 Donations - Undesignated
R 8610-0000-4255-0000 Interest Earnings
R 8610-8080-4148-0000 Donations
R 8610-8085-4148-0000 Donations
R 8610-8090-4148-0000 Donations
R 8610-8100-4148-0000 Donations
R 8610-8105-4148-0000 Donations
R 8610-8110-4148-0000 Donations
R 8610-8115-4148-0000 Donations
R 8610-8120-4148-0000 Donations
R 8610-8125-4148-0000 Donations
R 8610-8130-4148-0000 Donations
R 8610-8140-4148-0000 Donations
R 8610-8150-4148-0000 Donations
R 8610-8160-4148-0000 Donations
R 8610-8170-4148-0000 Donations
R 8610-8195-4148-0000 Donations
R 8610-8203-4148-0000 Donations
R 8610-8205-4148-0000 Donations
R 8610-8210-4148-0000 Donations
R 8610-8212-4148-0000 Donations
R 8610-8216-4148-0000 Donations
R 8610-8218-4148-0000 Donations
R 8610-8219-4148-0000 Donations
R 8610-8220-4148-0000 Donations
R 8610-8221-4148-0000 Donations
R 8610-8223-4148-0000 Donations
R 8610-8250-4148-0000 Donations
R 8610-8250-6999-4910 Transfer In - 4910
R 8610-8260-4148-0000 Donations
R 8610-8263-4148-0000 Donations
R 8610-8264-4148-0000 Donations
R 8610-8265-4148-0000 Donations
R 8610-8267-4148-0000 Donations
R 8610-8270-4148-0000 Donations
R 8610-8271-4148-0000 Donations
R 8610-8272-4181-0000 Sports Fields
R 8610-8275-4148-0000 Donations
R 8610-8280-4148-0000 Donations
R 8610-8310-4148-0000 Donations
R 8610-8315-4148-0000 Donations
R 8610-8317-4148-0000 Donations
R 8610-8320-4148-0000 Donations
R 8610-8323-4148-0000 Donations
R 8610-8325-4148-0000 Donations
R 8610-8330-4148-0000 Donations
R 8610-8335-4148-0000 Donations
R 8610-8340-4148-0000 Donations
R 8610-8346-4148-0000 Donations
R 8610-8350-4148-0000 Donations
R 8610-8353-4148-0000 Donations
R 8610-8353-6999-8610 Transfer In - 8610
R 8610-8355-4148-0000 Donations
R 8610-8360-4148-0000 Donations
R 8610-8370-4148-0000 Donations
R 8610-8380-4148-0000 Donations
R 8610-8390-4148-0000 Donations
R 8610-8400-4148-0000 Donations
R 8610-8410-4148-0000 Donations
R 8610-8411-4148-0000 Donations
R 8610-8420-4148-0000 Donations
R 8610-8625-4148-0000 Donations
Type Account Number Title

Type legend

  • B = Balance Sheet Accounts
  • R = Revenue Accounts
  • E = Expense accounts

For concerned citizens in Apple Valley, California.