Supplier ROYAL PAPERS, INC. in FY 2025
Expenditures made to the ROYAL PAPERS, INC. (108334) supplier for the 2025 fiscal year
Total
Total Expended
$431,002.40
Total amount expended in FY 2025.
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All expenditures made to the ROYAL PAPERS, INC. (108334) supplier for the 2025 fiscal year.
Browse Expenditures
Totals by Cost Center
Cost Center | Title | Total Expended |
---|---|---|
903000 | Facilities Management Division | $175,498.31 |
633012 | Corrections Phone Commissions | $85,678.07 |
611000 | Fire Department | $41,152.24 |
516000 | Refuse Division | $17,654.16 |
320000 | Juvenile Court | $16,586.66 |
800001 | Homeless Services | $15,559.02 |
213000 | Recreation Division | $15,033.29 |
910000 | Equipment Services Division | $12,623.71 |
225000 | Soulard Market | $11,442.93 |
800006 | Social Work and Mental Health | $11,017.86 |
514000 | Street Division | $7,134.06 |
220000 | Parks Division | $4,313.48 |
214000 | Forestry Division | $2,925.72 |
620004 | Special Demolition Fund | $2,793.09 |
650000 | Police Department | $2,517.87 |
210003 | Forest Park Maintenance | $2,298.69 |
510003 | Director of Streets Lateral Sewer Program | $2,191.91 |
220013 | Barnes and City Trust Fund | $2,186.52 |
335000 | Medical Examiner | $1,225.06 |
162000 | Municipal Garage | $711.30 |
210009 | Recreation Centers Programs | $545.60 |
620000 | Building Division | -$87.15 |
Totals by Account
Code | Title | Total Expended |
---|---|---|
520500 | Office Supplies | $1,930.87 |
521500 | Health and Safety Supplies | $137,579.00 |
522000 | Facility and Grounds Supplies | $234,186.55 |
522002 | Central Facility Supplies | $5,564.64 |
522500 | Fleet Materials and Supplies | $7,022.21 |
542000 | Facility and Grounds Equipment | $31,991.23 |
552000 | Facility and Grounds Capital Asset | $11,278.00 |
561500 | Health and Safety Services | $1,059.30 |
562000 | Facility and Grounds Services | $390.60 |
Totals by Fund
Fund | Title | Total Expended |
---|---|---|
1000 | General Fund | $308,731.64 |
1110 | Use Tax | $15,559.02 |
1111 | Budgeted Special Fund | $90,769.85 |
1117 | Sewer Lateral Repair Program | $2,191.91 |
1118 | Recreation | $2,732.12 |
1121 | Public Safety Sales Tax II Fund | $11,017.86 |
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