Facilities Management Division Cost Center in FY 2026

Expenditures by cost center Facilities Management Division (903000) in the 2026 fiscal year

Totals

Budget
$15,412,183
Total budget for FY 2026.
Total Expended
$13,148,351
85% expended of total budget
Total amount expended in FY 2026.

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All expenditures made by cost center Facilities Management Division (903000) in the 2026 fiscal year.

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Totals by Account

Expenditures by account for cost center Facilities Management Division (903000) in FY 2026
Account Title Budget Expended % Expended
510100 Salaries Regular Employees $2,340,084 $1,860,099 79%
510900 Overtime Regular Employees $100,000 $77,607 78%
512000 FICA $186,666 $144,866 78%
513800 Employee Retirement Plan $406,005 $311,275 77%
513810 Employee Retirement System Debt Contr $46,802 $35,798 76%
514500 Workers Compensation Settlements $139,000 $122,994 88%
514700 Workers Compensation Admin $29,251 $22,135 76%
515000 Medical Insurance $371,670 $245,059 66%
515030 Life Insurance $9,126 $7,065 77%
515060 Long Term Disability $3,276 $1,406 43%
520000 Computer Supplies $14,000 $8,502 61%
520500 Office Supplies $15,000 $2,466 16%
521000 Communication Supplies $1,000 $0 0%
521500 Health and Safety Supplies $9,000 $3,065 34%
522000 Facility and Grounds Supplies $425,000 $225,599 53%
522002 Central Facility Supplies $30,000 $0 0%
530500 Office Rental and Leases $5,000 $1,725 35%
532000 Facility and Grounds Rental and Leases $5,000 $0 0%
540000 Computer Equipment $3,000 $1,576 53%
542000 Facility and Grounds Equipment $50,000 $3,869 8%
542002 Central Facilities Equipment $15,000 $0 0%
552000 Facility and Grounds Capital Asset $15,000 $20,989 140%
560500 Office Services $1,000 $2,155 216%
561000 Communication Services $10,000 $7,977 80%
561500 Health and Safety Services $50,000 $10,021 20%
562000 Facility and Grounds Services $1,550,000 $1,274,161 82%
562002 Central Facilities Services $70,000 $48,497 69%
563000 Education and Training Services $4,000 $0 0%
565500 Transportation $23,100 $17,440 75%
565701 Electric $3,752,500 $3,396,049 91%
565702 Natural Gas $968,000 $753,851 78%
565703 Steam $2,298,906 $2,235,239 97%
565704 Sewer $2,107,704 $2,103,169 100%
565801 Internal Services Gas $32,215 $4,231 13%
566000 Professional Services $75,000 $53,988 72%
575502 Principal DNR Loan Payment $219,368 $108,935 50%
575702 Interest DNR Loan Payment $21,213 $11,355 54%
700002 27th Pay Reserve $10,296 $10,296 100%

Totals by Supplier

Expenditures by supplier for cost center Facilities Management Division (903000) in FY 2026
Number Name Expended
$2,831,946
100022 A-1 SIGN CO $130
100093 ACME GLASS CORPORATION $4,965
100312 AMAZON BUSINESS $67
100320 AMEREN MISSOURI $3,348,336
100432 ANIXTER, INC. $1,288
100576 AT&T $7,433
100581 AT&T MOBILITY $544
100671 BADE ROOFING CO., INC. $2,232
114321 BATTERIES PLUS LLC $1,429
101196 BOYER FIRE PROTECTION $20,651
101237 BRAUER SUPPLY CO. $9,811
101669 CEE KAY SUPPLY, INC. $223
100552 CENTERSTREAM STL, LLC $2,235,239
101689 CENTRAL DISTRICT ALARM, INC. $996
113102 CENTRAL MECHANICAL INSULATION $7,558
113806 CITY OF ST. LOUIS PARKING DIVISION $17,440
102029 COMMERCIAL ELECTRIC MOTOR SERVICE, INC. $902
102093 CONSOLIDATED TRUCK & CASTER CO $447
102239 CRESCENT PARTS & EQUIPMENT CO., INC. $4,482
102291 CUMMINS INC $41,018
102463 DEEP KLEEN & MAINTENANCE LLC $399,024
102487 DELL TECHNOLOGIES $8,946
102985 EMPIRE FENCE & CUSTOM IRON WORKS $1,370
102991 EMSL ANALYTICAL, INC. $1,034
103002 ENGINEERED FIRE PROTECTION, INC. $2,494
115454 ESTABLISHED MERCH $641
103390 FOUNDATION BUILDING MATERIALS $9,415
111893 FRONT PAGE MASTER TENANT, LLC $75,006
103653 GFI DIGITAL $2,155
103664 GIBBS TECHNOLOGY LEASING $1,725
103811 GRAINGER, INC. $48,432
103986 H&G/SCHULTZ DOOR $698
104053 HAMPTON SHOE LLC $1,230
104298 HESTER-BRADLEY COMPANY $1,693
104440 HOME DEPOT CREDIT SERVICES $13,264
104679 INDEPENDENT HARDWARE $24,547
104731 INTEGRATED FACILITY SERVICES $377,535
105389 KOCH AIR LLC $17,017
105575 LARSON JUHL $49
106347 MERLIN STELZER SALES CO., INC. $77
106367 METRO ELECTRIC SUPPLY $2,825
106378 METROPOLITAN ST. LOUIS SEWER DISTRICT $2,122,140
106430 MIDWEST ELEVATOR CO. INC. $91,087
106526 MISSOURI DEPARTMENT OF NATURAL RESOURCES-ENERGY %ENERGY LOAN PROGRAM CLERK $120,290
106527 MISSOURI DIVISION OF FIRE SAFETY $325
112976 MONMOUTH SOLUTIONS INC $20,989
113993 NATIONAL SALES COMPANY (NSC) $1,024
107158 OFFICE ESSENTIALS $2,022
107267 OVERHEAD DOOR CO OF ST LOUIS BI-STATE LOADING DOCK SPEC $42,668
107308 PAINT SUPPLY CO. $860
107755 PROCON FIRE & SAFETY LLC $556
107760 PROFESSIONAL ENVIRONMENTAL ENGINEERS, INC. $53,960
108012 RED WING BUSINESS ADVANTAGE $500
108184 RJP ELECTRIC $72,323
108326 ROTTLER PEST & LAWN SOLUTIONS $26,570
108334 ROYAL PAPERS, INC. $67,994
108796 SHI INTERNATIONAL CORP $1,187
108834 SID BOEDEKER SAFETY SHOE SERVICE, INC. $1,335
111337 SPIRE, INC. $719,632
109148 ST LOUIS MAT & LINEN COMPANY $7,068
109200 ST. LOUIS BOILER SUPPLY CO. $268
109328 STARBEAM LIGHTING SOLUTIONS $8,986
109519 SUPERIOR ELEVATOR INSPECTIONS, LLC $6,635
109620 TAYCON-TMI, LLC $38,750
103284 THE FLAG LOFT $5,824
109802 THE SHERWIN WILLIAMS CO. $12,289
109989 TORRISI PLUMBING SERVICES $184,867
110104 TRUSTEES OF CENTRAL INDUSTRIAL DISTRICT $5,708
105444 UKG KRONOS INC $2,078
110233 UNITED REFRIGERATION, INC. $438
110434 VOSS LIGHTING $2,775
110551 WAREHOUSE OF FIXTURES $467
110885 WINDOW REPAIR SYSTEMS, INC. $427

Totals by Fund

Expenditures by fund for cost center Facilities Management Division (903000) in FY 2026
Fund Title Budget Expended % Expended
1000 General Fund $15,412,183 $13,148,351 85%

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