Auditor General Budget Schedules

City of Chandler — Special (2026-06-11)

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City of Chandler, Arizona 
Summary Schedule of Estimated Revenues and Expenditures/Expenses 
Fiscal Year 2026-27
Fiscal 
Year
S
c 
h
FUNDS
General 
Fund
Special 
Revenue 
Funds
Debt Service 
Funds
Capital 
Projects 
Funds
Enterprise 
Funds Available
Internal Service 
Funds
Total All 
Funds
2026
Adopted/Adjusted Budgeted 
Expenditures/Expenses*
E
1
 417,267,360  103,579,508  
45,682,584  666,197,476  
342,785,052  
53,363,895  1,628,875,875 
2026
Actual Expenditures/Expenses**
E
2
 343,954,074  
53,868,204  
44,401,019  111,086,349  
176,301,699  
55,239,822  784,851,167 
2027
Beginning Fund Balance/(Deficit) or 
Net Position/ (Deficit) at July 1***
3
 225,667,698  
22,919,587  
-  715,539,264  
107,400,550  
4,495,364  1,076,022,463 
2027
Primary Property Tax Levy
B
4
 
8,720,312 
 
8,720,312 
2027
Secondary Property Tax Levy
B
5
 
36,864,222 
 
36,864,222 
2027
Estimated Revenues Other than 
Property Taxes
C
6
 367,949,559  
84,312,311  
788,212  
49,566,703  
202,161,401  
42,671,300  747,449,486 
2027
Other Financing Sources
D
7
 
-  
-  
-  
-  
-  
-  
- 
2027
Other Financing (Uses)
D
8
 
-  
-  
-  
-  
-  
-  
- 
2027
Interfund Transfers In
D
9
 
9,940,782  
431,000  
6,539,100  172,021,617  
41,681,447  
15,965,091  246,579,037 
2027
Interfund Transfers (Out)
D
10
 204,024,745  
1,516,578  
-  
23,674,390  
17,339,314  
24,010  246,579,037 
2027
Line 11: Reduction for Fund Balance 
Reserved for Future Budget Year 
Expenditures
11
Maintained for Future Debt 
Retirement
 
- 
Maintained for Future Capital Projects
 
- 
Maintained for Future Financial 
Stability
 
- 
2027
Total Financial Resources Available
12
 408,253,606  106,146,320  
44,191,534  913,453,194  
333,904,084  
63,107,745  1,869,056,483 
2027
Budgeted Expenditures/Expenses
E
13
 408,253,606  106,146,320  
44,191,534  913,453,194  
333,904,084  
63,107,745  1,869,056,483 
EXPENDITURE LIMITATION COMPARISON
2026
2027
1. Budgeted expenditures/expenses  
1,628,875,875  
1,869,056,483 
2. Add/subtract: estimated net reconciling items
3. Budgeted expenditures/expenses adjusted for 
reconciling items
 
1,628,875,875  
1,869,056,483 
4. Less: estimated exclusions
5. Amount subject to the expenditure limitation  
1,628,875,875  
1,869,056,483 
6. EEC expenditure limitation  
1,628,875,875  
1,869,056,483 
*Includes expenditure/expense adjustments approved in the current year from Schedule E.
**Includes actual amounts as of the date the proposed budget was prepared, adjusted for estimated activity for the remainder of the fiscal year.
***Amounts on this line represent fund balance/(deficit) or net position/(deficit) amounts except for nonspendable amounts (e.g., pre-paids and inventories) or 
amounts legally or contractually required to be maintained intact (e.g., principal of a permanent fund).
SCHEDULE A
Schedules and Terms
City of Chandler
2026-27 Adopted Budget
1
Table of Contents

City of Chandler, Arizona
Summary of Tax Levy and Tax Rate Information
Fiscal Year 2026-27
2025-26
Fiscal Year
2026-27
Fiscal Year
1. Maximum allowable primary property tax levy. A.R.S. 
§42-17051(A).
$ 
24,348,435 
$ 
25,157,971 
2. Amount received from primary property taxation in the 
current year in excess of the sum of that year's maximum 
allowable primary property tax levy. A.R.S. §42-17102(A)(18).
$ 
- 
3. Property tax levy amounts
A. Primary property taxes 
$ 
8,645,198 
$ 
8,720,312 
Property tax judgment
 
- 
 
- 
B. Secondary property taxes 
 
35,475,710 
 
36,864,222 
Property tax judgment
 
- 
 
- 
C. Total property tax levy amounts(1)
$ 
44,120,908 
$ 
45,584,534 
4. Property taxes collected*
A. Primary property taxes
(1) Current year's levy
$ 
8,645,198 
(2) Prior years’ levies(2)
 
50,000 
(3) Total primary property taxes
$ 
8,695,198 
B. Secondary property taxes
(1) Current year's levy
$ 
35,475,710 
(2) Prior years’ levies(2)
 
241,242 
(3) Total secondary property taxes
$ 
35,716,952 
C. Total property taxes collected
$ 
44,412,150 
5. Property tax rates
A. City/Town tax rate
(1) Primary property tax rate 
 
0.2118 
 
0.2059 
Property tax judgment
 
- 
 
- 
(2) Secondary property tax rate 
 
0.87 
 
0.87 
Property tax judgment
 
- 
 
- 
(3) Total city/town tax rate
 
1.0818 
 
1.0759 
B. Special assessment district tax rates
Secondary property tax rates - As of the date the proposed budget was prepared, the city/town 
was not operating any special assessment districts for which secondary property taxes are levied. 
For information pertaining to special assessment districts and their tax rates, please contact the 
city.
(1) The estimated Salt River Project voluntary contributions in lieu of taxes has been moved to Schedule C under the General Fund in the amount of  $89,979 in 
2025-26, $89,979 in 2026-27 for primary property tax and under the Debt Service Funds in the amount of $368,212 in 2025-26, and $368,212 in 2026-27  for the 
secondary property tax.  
(2) Amount budgeted for Prior Year Primary and Secondary Levies for 2025-26 $291,242 and 2026-27 $250,000 are presented under Schedule C, Prior Year 
Property Tax Collections.  Estimated revenue collected for prior year levies is presented above under Section 4, lines A (2) & B (2) 
*Includes actual property taxes collected as of the date the proposed budget was prepared plus estimated property tax collections for the remainder of the fiscal 
SCHEDULE B
Schedules and Terms
City of Chandler
2026-27 Adopted Budget
2
Table of Contents

City of Chandler, Arizona
Summary by Fund Type of Revenues Other Than Property Taxes
Fiscal Year 2026-27
General Fund
Local Taxes
Franchise Fees
$ 
3,190,000 $ 
3,281,500 $ 
3,081,500 
Property Taxes (prior year's levies)
 
50,000  
50,000  
50,000 
Transaction Privilege License Taxes/Fees
 
203,758,400  
195,968,100  
199,986,387 
Licenses and Permits
Building Division Permits
 
7,655,000  
8,995,000  
7,995,000 
Miscellaneous Licenses
 
1,579,106  
1,528,000  
1,589,845 
Intergovernmental
State
Smart and Safe Shared Revenue
 
1,032,994  
1,280,000  
1,280,000 
State Shared Sales Taxes
 
43,186,000  
45,500,000  
45,345,000 
Urban Revenue Sharing
 
55,747,000  
54,900,000  
58,500,000 
County
Auto Lieu Taxes
 
15,160,000  
14,800,000  
14,905,000 
Charges for Services
Engineering Fees
 
5,310,804  
4,170,209  
6,612,439 
Library Revenues
 
346,800  
349,400  
352,600 
Parks and Recreation Fees
 
4,431,008  
3,842,183  
4,109,710 
Planning Fees
 
216,850  
191,850  
191,850 
Public Safety Miscellaneous Revenue
 
7,496,459  
7,163,400  
6,324,000 
Fines and Forfeits
Court Fines
 
3,651,000  
3,855,675  
3,604,400 
Library Fines
 
30,400  
29,000  
30,200 
Miscellaneous Violation Fines
 
220,360  
148,600  
175,360 
Interest on Investments
Interest on Investments
 
8,900,000  
11,599,500  
9,445,000 
Contributions
Voluntary Contributions
 
89,979  
89,979  
89,979 
Miscellaneous
Leases
 
200,000  
867,000  
867,000 
Other Receipts
 
2,673,009  
2,982,764  
2,886,989 
Property Rentals
 
67,400  
152,300  
157,300 
Sale of Fixed Assets
 
370,000  
425,000  
370,000 
Total General Fund
$ 
365,362,569 $ 
362,169,460 $ 
367,949,559 
Special Revenue Funds
Forfeiture Fund
Police Forfeiture Reimbursement
$ 
1,500,000 $ 
395,000 $ 
2,100,000 
Total Forfeiture Fund
$ 
1,500,000 $ 
395,000 $ 
2,100,000 
Proposition 400 Fund
Regional Transportation Sales Taxes
$ 
- $ 
- $ 
1,382,000 
Interest on Investments
 
-  
-  
- 
Total Proposition 400 Fund
$ 
- $ 
- $ 
1,382,000 
Highway User Revenue Fund
Highway Users Taxes
$ 
22,434,000 $ 
21,302,000 $ 
22,600,000 
Interest on Investments
 
1,448,000  
1,841,800  
1,528,000 
Other Receipts
 
-  
-  
- 
Total Highway User Revenue Fund
$ 
23,882,000 $ 
23,143,800 $ 
24,128,000 
Local Transportation Assistance Fund
HB2565 RPTA Grant Funds
$ 
699,600 $ 
699,600 $ 
699,600 
Bus Shelter Revenue
 
160,000  
189,600  
160,000 
Interest on Investments
 
196,000  
244,600  
203,000 
Other Receipts
 
-  
319,600  
- 
Total Local Transportation Assistance Fund
$ 
1,055,600 $ 
1,453,400 $ 
1,062,600 
Grant Funds
Grants-In-Aid
$ 
12,171,400 $ 
4,233,050 $ 
10,972,805 
Community Development Block Grant
 
3,995,567  
3,886,027  
3,541,794 
Housing Urban Development
 
40,026,077  
28,837,617  
36,919,223 
Public Housing Authority
 
4,406,089  
3,978,981  
3,563,589 
Interest on Investments
 
359,000  
438,200  
375,000 
Total Grant Funds
$ 
60,958,133 $ 
41,373,875 $ 
55,372,411 
*Includes actual revenues recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared plus estimated revenues for the 
remainder of the fiscal year.
SCHEDULE C (1 OF 2)
Source of Revenues
Estimated Revenues 
2025-26
Actual
Revenues*
2025-26
Estimated
Revenues
2026-27
Schedules and Terms
City of Chandler
2026-27 Adopted Budget
3
Table of Contents

City of Chandler, Arizona
Summary by Fund Type of Revenues Other Than Property Taxes
Fiscal Year 2026-27
Source of Revenues
Estimated Revenues 
2025-26
Actual
Revenues*
2025-26
Estimated
Revenues
2026-27
Special Revenue Funds - continued
Expendable Trust Funds
Library Trust
$ 
100,300 $ 
100,300 $ 
142,300 
Museum Trust
 
500  
21,000  
1,300 
Parks and Recreation Trust
 
177,100  
92,400  
103,700 
Interest on Investments
 
22,000  
25,400  
20,000 
Total Expendable Trust Funds
$ 
299,900 $ 
239,100 $ 
267,300 
Total Special Revenue Funds
$ 
87,695,633 $ 
66,605,175 $ 
84,312,311 
Debt Service Funds
Property Taxes (prior year's levies)
$ 
241,242 $ 
241,242 $ 
200,000 
Voluntary Contributions
 
368,212  
368,212  
368,212 
Interest on Investments
 
141,000  
249,600  
220,000 
Total Debt Service Funds
$ 
750,454 $ 
859,054 $ 
788,212 
Capital Projects Funds
System Development Fees
Arterial Streets
$ 
2,500,000 $ 
2,000,000 $ 
2,000,000 
Library
 
-  
-  
- 
Parks
 
1,080,000  
975,000  
975,000 
Public Building
 
100,000  
100,000  
100,000 
Public Safety - Fire
 
275,000  
275,000  
275,000 
Public Safety - Police
 
200,000  
150,000  
150,000 
Wastewater
 
3,880,200  
4,180,150  
3,780,150 
Water
 
3,250,000  
2,550,000  
2,550,000 
Capital Grants
 
17,898,774  
18,934,500  
28,737,340 
Capital Replacement
 
508,968  
-  
519,872 
Interest on Investments
 
8,931,400  
9,132,300  
6,440,900 
Municipal Arts Contributions
 
508,620  
-  
508,620 
Sale of Fixed Assets
 
300,000  
-  
300,000 
Vehicle Replacement
 
3,162,065  
-  
3,229,821 
Total Capital Project Funds
$ 
42,595,027 $ 
38,296,950 $ 
49,566,703 
Enterprise Funds
Airport Services
$ 
1,217,988 $ 
1,215,696 $ 
1,217,988 
Reclaimed Water Services
 
1,966,374  
2,110,400  
2,518,200 
Solid Waste Services
 
20,033,133  
19,537,200  
20,644,200 
Wastewater Services
 
75,582,930  
74,412,407  
98,925,576 
Water Services
 
64,353,453  
64,744,554  
72,406,437 
Interest on Investments
 
6,598,000  
4,279,200  
3,849,000 
Total Enterprise Funds
$ 
169,751,878 $ 
166,299,457 $ 
202,161,401 
Internal Service Funds
Self-Insurance Premiums
$ 
37,219,600 $ 
35,429,000 $ 
38,951,300 
Other Receipts
 
1,200,000  
1,231,100  
1,205,000 
Interest on Investments
 
2,846,000  
2,717,500  
2,515,000 
Total Internal Service Funds
$ 
41,265,600 $ 
39,377,600 $ 
42,671,300 
Total All Funds
$ 
707,421,161 $ 
673,607,696 $ 
747,449,486 
*Includes actual revenues recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared plus estimated revenues for the 
remainder of the fiscal year.
SCHEDULE C (2 OF 2)
Schedules and Terms
City of Chandler
2026-27 Adopted Budget
4
Table of Contents

City of Chandler, Arizona
Summary by Fund Type of Other Financing Sources/<Uses> and Interfund Transfers
Fiscal Year 2026-27
Other Financing
2026-27
Interfund Transfers
2026-27
Fund
Sources
<Uses>
In
<Out>
General Fund
General Fund
$ 
- $ 
- $ 
9,940,782 $ 
204,024,745 
Total General Fund $ 
- $ 
- $ 
9,940,782 $ 
204,024,745 
Special Revenue Funds
Proposition 400
$ 
- $ 
- $ 
- $ 
1,382,000 
Highway User Revenue
 
-  
-  
-  
132,842 
Local Transportation Assistance
 
-  
-  
-  
1,736 
Housing
 
-  
-  
431,000  
- 
Total Special Revenue Funds $ 
- $ 
- $ 
431,000 $ 
1,516,578 
Debt Service Funds
General Obligation Debt Service
$ 
- $ 
- $ 
6,539,100 $ 
- 
Total Debt Service Funds $ 
- $ 
- $ 
6,539,100 $ 
- 
Capital Projects Funds
General Government Capital Projects
$ 
- $ 
- $ 
165,215,302 $ 
- 
Arterial Street Impact Fees
 
-  
-  
-  
5,850,000 
Computer Replacement
 
-  
-  
4,924,315  
- 
Park Impact Fees
 
-  
-  
-  
689,100 
Public Building Impact Fees
 
-  
-  
-  
100,000 
Public Safety Impact Fees - Fire
 
-  
-  
-  
275,000 
Public Safety Impact Fees - Police
 
-  
-  
-  
125,000 
Reclaimed Water System Development Fees
 
-  
-  
-  
500,000 
Street Bonds
 
-  
-  
1,382,000  
- 
Wastewater System Development Fees
 
-  
-  
500,000  
6,000,000 
Water System Development Fees
 
-  
-  
-  
10,135,290 
Total Capital Projects Funds $ 
- $ 
- $ 
172,021,617 $ 
23,674,390 
Enterprise Funds
Airport Operating
$ 
- $ 
- $ 
12,335,719 $ 
117,324 
Reclaimed Water Operating
 
-  
-  
4,991,762  
1,838,062 
Solid Waste Operating
 
-  
-  
-  
1,484,916 
Wastewater Operating
 
-  
-  
6,300,000  
7,030,405 
Water Operating
 
-  
-  
11,524,090  
5,992,124 
Ambulance Services
 
-  
-  
6,529,876  
98,216 
Total Enterprise Funds $ 
- $ 
- $ 
41,681,447 $ 
17,339,314 
Internal Service Funds
Self-Insurance Funds
$ 
- $ 
- $ 
15,965,091 $ 
24,010 
Total Internal Service Funds $ 
- $ 
- $ 
15,965,091 $ 
24,010 
Total All Funds $ 
- $ 
- $ 
246,579,037 $ 
246,579,037 
SCHEDULE D
Schedules and Terms
City of Chandler
2026-27 Adopted Budget
5
Table of Contents

City of Chandler, Arizona
Summary by Department of Expenditures/Expenses Within Each Fund Type
Fiscal Year 2026-27
General Fund
City Clerk
$ 
1,820,422 $ 
24,365 $ 
1,769,400 $ 
1,986,093 
City Magistrate
 
5,766,537  
287,692  
5,799,622  
6,199,678 
City Manager
 
23,424,239  
730,856  
23,233,967  
26,139,574 
Communications and Public Affairs
 
4,041,629  
486,922  
4,429,702  
4,313,122 
Community Services
 
41,260,816  
1,444,204  
42,485,609  
43,199,595 
Cultural Development
 
6,126,552  
400,751  
6,443,184  
6,854,299 
Development Services
 
14,989,060  
1,981,475  
15,030,045  
15,115,782 
Information Technology
 
28,091,564  
5,694,779  
31,881,199  
28,626,462 
Law
 
4,983,964  
134,290  
5,103,910  
5,090,101 
Management Services
 
7,808,712  
260,635  
7,977,878  
8,774,538 
Mayor and Council
 
1,403,336  
51,468  
1,419,657  
1,443,994 
Neighborhood Resources
 
9,618,384  
1,557,036  
11,098,002  
10,235,069 
Non-Departmental
 
48,217,963  
(15,959,207)  
23,026,784  
23,507,945 
Public Safety - Fire
 
44,625,913  
3,383,646  
49,578,084  
46,809,742 
Public Safety - Police
 
97,245,804  
7,537,148  
106,812,113  
100,688,039 
Public Works & Utilities
 
6,392,740  
1,412,031  
7,864,918  
6,673,823 
Contingency/Reserves
 
71,449,725  
(44,990,169)  
-  
72,595,750 
Total General Fund
$ 
417,267,360 $ 
(35,562,078) $ 
343,954,074 $ 
408,253,606 
Special Revenue Funds
Police Forfeiture Fund
Public Safety - Police
$ 
1,500,000 $ 
19,888 $ 
915,000 $ 
2,100,000 
Contingency/Reserves
 
44,000  
(19,888)  
-  
99,000 
Highway Users Revenue Fund
Development Services
 
1,021,609  
87,006  
1,071,999  
1,062,818 
Public Works & Utilities
 
36,224,060  
(4,215,936)  
13,613,523  
37,803,263 
Non-Departmental
 
174,120  
(139,820)  
-  
246,573 
Contingency/Reserves
 
491,000  
4,270,779  
-  
542,000 
Local Transportation Assistance Fund
City Manager
 
1,909,265  
16,367  
597,131  
2,471,047 
Public Works & Utilities
 
-  
-  
-  
- 
Non-Departmental
 
-  
-  
-  
- 
Contingency/Reserves
 
84,000  
(16,367)  
-  
72,000 
Grants In Aid Fund
City Magistrate
 
-  
-  
-  
- 
City Manager
 
-  
1,745,547  
1,255,547  
- 
Community Services
 
-  
1,239,214  
291,502  
- 
Cultural Development
 
-  
-  
-  
- 
Development Services
 
-  
-  
-  
- 
Information Technology
 
-  
782,604  
782,604  
- 
Law
 
-  
13,600  
13,600  
- 
Management Services
 
-  
-  
-  
- 
Mayor & Council
 
-  
-  
-  
- 
Neighborhood Resources
 
-  
956,433  
956,433  
- 
Public Safety - Fire
 
-  
134,758  
96,969  
- 
Public Safety - Police
 
-  
2,128,508  
1,148,981  
- 
Public Works & Utilities
 
102,601  
1,399,767  
1,416,906  
- 
Non-Departmental
 
1,839  
(1,839)  
-  
2,680 
Contingency/Reserves
 
12,066,960  
(9,522,110)  
-  
14,263,436 
Community Development Block Grant Fund
Neighborhood Resources
 
3,400,567  
416,060  
2,697,931  
3,550,191 
Contingency/Reserves
 
595,000  
(416,060)  
-  
571,000 
Housing and Urban Development Fund
Neighborhood Resources
 
43,648,477  
(647,716)  
28,710,474  
35,089,672 
Non-Departmental
 
68,986  
(66,433)  
-  
132,475 
Contingency/Reserves
 
1,805,824  
1,838,654  
-  
7,626,805 
Expendable Trust Funds
Community Services
 
325,588  
44,637  
244,721  
458,136 
Cultural Development
 
55,053  
28  
54,883  
55,081 
Non-Departmental
 
143  
(143)  
-  
143 
Contingency/Reserves
 
60,416  
(9,000)  
-  
- 
Total Special Revenue Funds
$ 
103,579,508 $ 
38,538 $ 
53,868,204 $ 
106,146,320 
* Includes actual revenues recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared plus estimated revenues for the 
remainder of the fiscal year.
SCHEDULE E (1 OF 2)
Fund/Department
Adopted Budgeted
Expenditures/Expenses
2025-26
Expenditure/Expense
Adjustments
Approved
2025-26
Actual
Expenditures/Expenses
2025-26
Budgeted
Expenditures/Expenses
2026-27
Schedules and Terms
City of Chandler
2026-27 Adopted Budget
6
Table of Contents

City of Chandler, Arizona
Summary by Department of Expenditures/Expenses Within Each Fund Type
Fiscal Year 2026-27
Fund/Department
Adopted Budgeted
Expenditures/Expenses
2025-26
Expenditure/Expense
Adjustments
Approved
2025-26
Actual
Expenditures/Expenses
2025-26
Budgeted
Expenditures/Expenses
2026-27
Debt Service Funds
General Obligation Debt Service
$ 
45,341,038 $ 
- $ 
44,401,019 $ 
42,693,386 
Contingency/Reserves
 
341,546  
-  
-  
1,498,148 
Total Debt Service Funds
$ 
45,682,584 $ 
- $ 
44,401,019 $ 
44,191,534 
Capital Projects Funds
City Manager
$ 
52,081,155 $ 
(2,892,569) $ 
9,393,777 $ 
55,452,244 
Communications and Public Affairs
 
-  
-  
-  
- 
Community Services
 
89,635,625  
(15,116,659)  
7,382,071  
127,729,995 
Cultural Development
 
22,019,767  
7,143,584  
2,243,013  
34,361,388 
Development Services
 
19,525,738  
(382,721)  
2,089,447  
21,560,770 
Information Technology
 
25,221,492  
(2,589,474)  
1,849,034  
22,384,441 
Law
 
-  
-  
-  
- 
Management Services
 
-  
-  
-  
- 
Neighborhood Resources
 
42,400  
-  
31,888  
- 
Public Safety - Fire
 
6,289,613  
19,100  
1,834,306  
13,414,652 
Public Safety - Police
 
16,797,406  
(631,858)  
4,350,116  
74,864,674 
Public Works & Utilities
 
401,838,987  
(38,909,587)  
64,176,732  
528,712,723 
Non-Departmental
 
23,532,791  
19,305,722  
17,735,965  
29,921,225 
Contingency/Reserves
 
9,212,502  
50,235,960  
-  
5,051,082 
Total Capital Projects Funds
$ 
666,197,476 $ 
16,181,498 $ 
111,086,349 $ 
913,453,194 
Enterprise Funds
City Manager
$ 
17,118,263 $ 
(437,556) $ 
6,032,915 $ 
13,332,879 
Communications and Public Affairs
 
60,000  
-  
-  
- 
Information Technology
 
5,962,784  
(514,891)  
927,644  
4,417,484 
Public Works & Utilities
 
252,189,947  
(26,851,695)  
125,069,583  
236,580,870 
Non-Departmental
 
3,212,294  
(1,302,638)  
1,547,838  
2,701,733 
Contingency/Reserves
 
20,394,363  
35,426,310  
-  
21,064,333 
Debt Service
 
41,943,401  
-  
40,465,290  
47,230,929 
Total Enterprise Funds
$ 
342,785,052 $ 
7,937,048 $ 
176,301,699 $ 
333,904,084 
Internal Service Funds
Self-Insurance
City Manager
$ 
2,137,148 $ 
128,952 $ 
2,018,098 $ 
1,266,756 
Law
 
9,280,696  
4,234,807  
12,686,601  
10,098,277 
Management Services
 
1,354,808  
1,066,228  
1,824,623  
1,438,814 
Non-Departmental
 
36,418,463  
(54,481)  
38,710,500  
44,884,704 
Contingency/Reserves
 
4,172,780  
6,029,488  
-  
5,419,194 
Total Internal Service Funds
$ 
53,363,895 $ 
11,404,994 $ 
55,239,822 $ 
63,107,745 
Total All Funds
$ 
1,628,875,875 $ 
- $ 
784,851,167 $ 
1,869,056,483 
* Includes actual revenues recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared plus estimated revenues for the 
remainder of the fiscal year.
SCHEDULE E (2 OF 2)
Schedules and Terms
City of Chandler
2026-27 Adopted Budget
7
Table of Contents

City of Chandler, Arizona
Summary by Department of Expenditures/Expenses
Fiscal Year2026-27
Department/Fund
Adopted Budgeted
Expenditures/Expenses
2025-26
Expenditure/Expense
Adjustments
Approved
2025-26
Actual
Expenditures/
Expenses*
2025-26
Budgeted
Expenditures/Expenses
2026-27
City Clerk
General Fund
$ 
1,820,422 $ 
24,365 $ 
1,769,400 $ 
1,986,093 
Department Total
$ 
1,820,422 $ 
24,365 $ 
1,769,400 $ 
1,986,093 
City Magistrate
General Fund
$ 
5,766,537 $ 
287,692 $ 
5,799,622 $ 
6,199,678 
Special Revenue Fund - Grant
 
-  
-  
-  
- 
Department Total
$ 
5,766,537 $ 
287,692 $ 
5,799,622 $ 
6,199,678 
City Manager
General Fund
$ 
23,424,239 $ 
730,856 $ 
23,233,967 $ 
26,139,574 
Special Revenue Fund - LTAF
 
1,909,265  
16,367  
597,131  
2,471,047 
Special Revenue Fund - Grants
 
-  
1,745,547  
1,255,547  
- 
Capital Projects Fund - Gen Gov't Capital Project
 
17,160,527  
(1,374,367)  
3,327,941  
17,181,219 
Capital Projects Fund - Gen Gov't Capital Project
 
-  
-  
-  
- 
Capital Projects Fund - Fleet
 
-  
-  
-  
82,260 
Capital Projects Fund - Grants
 
26,409,954  
(962,735)  
4,700,804  
27,072,590 
Capital Projects Fund - Bonds
 
8,510,674  
(555,467)  
1,365,032  
11,116,175 
Enterprise Fund - Water
 
100,000  
(24,441)  
51,107  
24,452 
Enterprise Fund - Airport
 
17,018,263  
(413,115)  
5,981,808  
13,308,427 
Internal Service Fund - Self Insurance
 
2,137,148  
128,952  
2,018,098  
1,266,756 
Department Total
$ 
96,670,070 $ 
(708,403) $ 
42,531,435 $ 
98,662,500 
Communications and Public Affairs
General Fund
$ 
4,041,629 $ 
486,922 $ 
4,429,702 $ 
4,313,122 
Capital Projects Fund - Equipment
 
-  
-  
-  
- 
Capital Projects Fund - Equipment
 
-  
-  
-  
- 
Capital Projects Fund - Equipment
 
60,000  
-  
-  
- 
Department Total
$ 
4,101,629 $ 
486,922 $ 
4,429,702 $ 
4,313,122 
Community Services
General Fund
$ 
41,260,816 $ 
1,444,204 $ 
42,485,609 $ 
43,199,595 
Special Revenue Fund - Grants
 
-  
1,239,214  
291,502  
- 
Special Revenue Fund - Trust
 
325,588  
44,637  
244,721  
458,136 
Capital Projects Fund - Gen Gov't Capital Project
 
19,032,119  
(4,888,055)  
1,730,881  
16,372,183 
Capital Projects Fund - Fleet
 
-  
-  
-  
158,100 
Capital Projects Fund - Grants
 
500,000  
36,001  
500,000  
786,001 
Capital Projects Fund - Bonds
 
39,810,859  
(959,906)  
5,115,575  
75,718,082 
Capital Projects Fund - Impact Fees
 
30,292,647  
(9,304,699)  
35,615  
34,695,629 
Department Total
$ 
131,222,029 $ 
(12,388,604) $ 
50,403,903 $ 
171,387,726 
Cultural Development
General Fund
$ 
6,126,552 $ 
400,751 $ 
6,443,184 $ 
6,854,299 
Special Revenue Fund - Grants
 
-  
-  
-  
- 
Special Revenue Fund - Grants
 
-  
-  
-  
- 
Special Revenue Fund - Trust
 
55,053  
28  
54,883  
55,081 
Capital Projects Fund - Gen Gov't Capital Project
 
6,599,692  
(2,559,197)  
1,164,692  
5,833,849 
Capital Projects Fund - Grants
 
435,155  
-  
120,828  
443,327 
Capital Projects Fund - Municipal Art
 
390,000  
326  
390,000  
390,000 
Capital Projects Fund - Bonds
 
14,594,920  
9,702,455  
567,493  
27,694,212 
Department Total
$ 
28,201,372 $ 
7,544,363 $ 
8,741,080 $ 
41,270,768 
Development Services
General Fund
$ 
14,989,060 $ 
1,981,475 $ 
15,030,045 $ 
15,115,782 
Special Revenue Fund - HURF
 
1,021,609  
87,006  
1,071,999  
1,062,818 
Special Revenue Fund - Grants
 
-  
-  
-  
- 
Capital Projects Fund - Gen Gov't Capital Project
 
10,146,364  
1,188,262  
1,347,283  
14,490,343 
Capital Projects Fund - Fleet
 
65,100  
-  
-  
69,300 
Capital Projects Fund - Grants
 
1,932,919  
(1,465,791)  
363,123  
104,005 
Capital Projects Fund - Bonds
 
1,151,355  
(48,307)  
337,260  
765,788 
Department Total
$ 
35,536,407 $ 
1,685,760 $ 
18,191,491 $ 
37,739,370 
* Includes actual revenues recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared plus estimated revenues for the 
remainder of the fiscal year.
SCHEDULE F (1 OF 3)
Schedules and Terms
City of Chandler
2026-27 Adopted Budget
8
Table of Contents

City of Chandler, Arizona
Summary by Department of Expenditures/Expenses
Fiscal Year 2026-27
Department/Fund
Adopted Budgeted
Expenditures/Expenses
2025-26
Expenditure/Expense
Adjustments
Approved
2025-26
Actual
Expenditures/
Expenses*
2025-26
Budgeted
Expenditures/Expenses
2026-27
Information Technology
General Fund
$ 
28,091,564 $ 
5,694,779 $ 
31,881,199 $ 
28,626,462 
Special Revenue Fund - Grants
 
-  
782,604  
782,604  
- 
Capital Projects Fund - Gen Gov't Capital Project
 
25,221,492  
(2,589,474)  
1,849,034  
22,384,441 
Capital Projects Fund - Fleet
 
-  
-  
-  
- 
Enterprise Fund - Water
 
2,127,263  
(205,490)  
317,363  
1,687,360 
Enterprise Fund - Wastewater
 
2,070,030  
(169,545)  
350,545  
1,604,365 
Enterprise Fund - Solid Waste
 
1,750,135  
(139,856)  
259,736  
1,110,403 
Enterprise Fund – Airport
 
15,356  
-  
-  
15,356 
Department Total
$ 
59,275,840 $ 
3,373,018 $ 
35,440,481 $ 
55,428,387 
Law
General Fund
$ 
4,983,964 $ 
134,290 $ 
5,103,910 $ 
5,090,101 
Special Revenue Fund - Grants
 
-  
13,600  
13,600  
- 
Special Revenue Fund - Grants
 
-  
-  
-  
- 
Internal Service Fund - Self Insurance
 
9,280,696  
4,234,807  
12,686,601  
10,098,277 
Department Total
$ 
14,264,660 $ 
4,382,697 $ 
17,804,111 $ 
15,188,378 
Management Services
General Fund
$ 
7,808,712 $ 
260,635 $ 
7,977,878 $ 
8,774,538 
Special Revenue Fund - Grants
 
-  
-  
-  
- 
Capital Projects Fund - Fleet
 
-  
-  
-  
- 
Internal Service Fund - Self Insurance
 
122,094  
2,289  
120,110  
124,733 
Internal Service Fund - Uninsured Liability
 
1,232,714  
1,063,939  
1,704,513  
1,314,081 
Department Total
$ 
9,163,520 $ 
1,326,863 $ 
9,802,501 $ 
10,213,352 
Mayor and Council
General Fund
$ 
1,403,336 $ 
51,468 $ 
1,419,657 $ 
1,443,994 
Special Revenue Fund - Grants
 
-  
-  
-  
- 
Department Total
$ 
1,403,336 $ 
51,468 $ 
1,419,657 $ 
1,443,994 
Neighborhood Resources
General Fund
$ 
9,618,384 $ 
1,557,036 $ 
11,098,002 $ 
10,235,069 
Special Revenue Fund - Grants
 
47,075,457  
740,764  
32,396,726  
38,616,351 
Capital Projects Fund - Grants
 
-  
-  
-  
- 
Department Total
$ 
56,693,841 $ 
2,297,800 $ 
43,494,728 $ 
48,851,420 
Non-Departmental - Includes Contingencies
General Fund
$ 
119,667,688 $ 
(60,949,376) $ 
23,026,784 $ 
96,103,695 
Special Revenue Fund - Police Forfeiture
 
44,000  
(19,888)  
-  
99,000 
Special Revenue Fund - HURF
 
665,120  
4,130,959  
-  
788,573 
Special Revenue Fund - LTAF
 
84,000  
(16,367)  
-  
72,000 
Special Revenue Fund - Grants
 
14,554,596  
(8,183,775)  
-  
22,619,908 
Special Revenue Fund - Trust
 
60,559  
(9,143)  
-  
143 
Debt Service - General Obligation
 
341,546  
-  
-  
1,498,148 
Capital Projects Fund - Gen Gov't Capital Project
 
16,099,293  
34,971,027  
11,094,849  
24,880,197 
Capital Projects Fund - Equip/Tech/Fleet
 
14,144,898  
(1,297,167)  
6,638,616  
9,145,928 
Capital Projects Fund - Grants
 
-  
4,814,681  
-  
- 
Capital Projects Fund - Municipal Art
 
146,620  
(326)  
-  
141,620 
Capital Projects Fund - Bonds
 
1,091,385  
29,725,470  
2,500  
275,100 
Capital Projects Fund - Impact/System Dev Fees
 
1,263,097  
1,402,944  
-  
529,462 
Enterprise Fund - Water
 
9,690,044  
7,040,948  
197,450  
9,040,872 
Enterprise Fund - Reclaimed Water
 
558,005  
(97,175)  
250  
1,613,928 
Enterprise Fund - Wastewater
 
10,606,026  
26,329,512  
166,700  
8,933,893 
Enterprise Fund - Solid Waste
 
1,239,739  
1,334,598  
95,600  
3,608,969 
Enterprise Fund - Airport
 
104,565  
3,810  
-  
112,600 
Internal Service Fund - Self Insurance
 
39,252,818  
6,728,185  
38,710,500  
49,548,470 
Internal Service Fund - Uninsured Liability
 
1,338,425  
(828,125)  
-  
755,428 
Department Total
$ 
232,360,702 $ 
44,592,771 $ 
81,021,087 $ 
230,223,738 
* Includes actual revenues recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared plus estimated revenues for the 
remainder of the fiscal year.
SCHEDULE F (2 OF 3)
Schedules and Terms
City of Chandler
2026-27 Adopted Budget
9
Table of Contents

City of Chandler, Arizona
Summary by Department of Expenditures/Expenses
Fiscal Year 2026-27
Department/Fund
Adopted Budgeted
Expenditures/Expenses
2025-26
Expenditure/Expense
Adjustments
Approved
2025-26
Actual
Expenditures/
Expenses*
2025-26
Budgeted
Expenditures/Expenses
2026-27
Public Safety - Fire
General Fund
$ 
44,625,913 $ 
3,383,646 $ 
49,578,084 $ 
46,809,742 
Capital Projects Fund - Fleet
 
154,700  
132,054  
23,999  
- 
Special Revenue Fund - Grants
 
-  
134,758  
96,969  
- 
Capital Projects Fund - Grants
 
-  
-  
-  
- 
Capital Projects Fund - Gen Gov't Capital Project
 
6,134,913  
(112,954)  
1,810,307  
9,899,617 
Enterprise Fund - Ambulance Services
 
1,904,000  
1,617,518  
2,258,429  
8,575,856 
Department Total
$ 
52,819,526 $ 
5,155,022 $ 
53,767,788 $ 
68,800,250 
Public Safety - Police
General Fund
$ 
97,245,804 $ 
7,537,148 $ 
106,812,113 $ 
100,688,039 
Special Revenue Fund - Police Forfeiture
 
1,500,000  
19,888  
915,000  
2,100,000 
Special Revenue Fund - Grants
 
-  
2,128,508  
1,148,981  
- 
Capital Projects Fund - Gen Gov't Capital Project
 
4,266,709  
(1,238,540)  
968,149  
16,092,912 
Capital Projects Fund - Equipment/Fleet
 
4,061,800  
694,465  
1,755,905  
2,641,710 
Capital Projects Fund - Bonds
 
8,468,897  
(87,783)  
1,626,062  
56,130,052 
Department Total
$ 
115,543,210 $ 
9,053,686 $ 
113,226,210 $ 
177,652,713 
Public Works & Utilities
General Fund
$ 
6,392,740 $ 
1,412,031 $ 
7,864,918 $ 
6,673,823 
Special Revenue Fund - HURF
 
36,224,060  
(4,215,936)  
13,613,523  
37,803,263 
Special Revenue Fund - LTAF
 
-  
-  
-  
- 
Special Revenue Fund - Grants
 
102,601  
1,399,767  
1,416,906  
- 
Capital Projects Fund - Gen Gov't Capital Project
 
48,030,250  
(2,494,375)  
15,600,632  
38,080,541 
Capital Projects Fund - Fleet
 
538,300  
188,926  
188,924  
588,180 
Capital Projects Fund - Grants
 
30,867,788  
184,525  
5,864,993  
30,018,888 
Capital Projects Fund - Bonds
 
281,799,694  
(35,455,046)  
41,106,905  
434,330,679 
Capital Projects Fund - Impact/System Dev Fees
 
40,602,955  
(1,408,564)  
1,415,278  
25,694,435 
Enterprise Fund - Water
 
89,947,553  
(6,033,423)  
55,575,777  
81,481,235 
Enterprise Fund - Reclaimed Water
 
3,404,775  
97,175  
4,010,775  
4,170,595 
Enterprise Fund - Wastewater
 
136,850,917  
(19,645,758)  
45,646,141  
129,254,228 
Enterprise Fund - Solid Waste
 
21,986,702  
(1,194,742)  
19,836,890  
21,674,812 
Department Total
$ 
696,748,335 $ 
(67,165,420) $ 
212,141,662 $ 
809,770,679 
Debt Service
Debt Service - General Obligation
$ 
45,341,038 $ 
- $ 
44,401,019 $ 
42,693,386 
Enterprise Fund - Water
 
20,366,027  
-  
19,276,979  
19,654,256 
Enterprise Fund - Wastewater
 
21,577,374  
-  
21,188,311  
27,576,673 
Department Total
$ 
87,284,439 $ 
- $ 
84,866,309 $ 
89,924,315 
Total All Departments
$ 
1,628,875,875 $ 
- $ 
784,851,167 $ 
1,869,056,483 
* Includes actual revenues recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared plus estimated revenues for the 
remainder of the fiscal year.
SCHEDULE F (3 OF 3)
Schedules and Terms
City of Chandler
2026-27 Adopted Budget
10
Table of Contents

City of Chandler, Arizona
Full-Time Employees and Personnel Compensation
Fiscal Year 2026-27
Fund
Full-Time 
Equivalent 
(FTE)
2027
Employee 
Salaries and 
Hourly Costs
2027
Retirement 
Costs
2027
Healthcare 
Costs
2027
Other 
Benefit 
Costs
2027
Total 
Estimated
Personnel 
Compensation
2027
General Fund
1,487.590 $ 181,834,148 $ 21,427,015 $ 24,808,648 $ 18,077,150 $ 
246,146,961 
Special Revenue Funds
Highway Users Revenue
51.000 $ 
4,284,150 $ 
529,242 $ 
789,948 $ 
396,240 $ 
5,999,580 
Local Transportation Assistance
0.000  
51,281  
2,051  
2,565  
3,959  
59,856 
Grants
-  
2,680  
-  
-  
-  
2,680 
HOME Program
0.570  
127,534  
15,103  
19,436  
10,064  
172,137 
Community Development Block Grant
4.500  
423,060  
51,278  
80,565  
40,418  
595,321 
PHA Family Sites
6.350  
443,754  
54,258  
83,423  
42,543  
623,978 
PHA Elderly & Scattered Sites
3.830  
312,293  
36,902  
56,382  
29,629  
435,206 
PHA Management
5.350  
602,390  
73,484  
95,507  
54,468  
825,849 
PHA Family Self Sufficiency
3.000  
250,521  
30,338  
68,384  
23,961  
373,204 
PHA Section 8
4.600  
360,693  
44,739  
76,207  
35,299  
516,938 
PHA Capital Fund Program
0.000  
24,510  
958  
1,198  
1,959  
28,625 
Proceeds Reimbursement Projects
1.460  
175,956  
19,332  
28,498  
13,402  
237,188 
Museum Trust
0.000  
1,228  
48  
60  
93  
1,429 
Parks and Recreation Trust
0.000  
35,298  
1,407  
1,760  
3,286  
41,751 
Total Special Revenue Funds
80.660 $ 
7,095,348 $ 
859,140 $ 
1,303,933 $ 
655,321 $ 
9,913,742 
Capital Projects Funds
In-House Capital
18.800 $ 
2,878,307 $ 
308,802 $ 
301,771 $ 
215,990 $ 
3,704,870 
Total Capital Projects Funds
18.800 $ 
2,878,307 $ 
308,802 $ 
301,771 $ 
215,990 $ 
3,704,870 
Enterprise Funds
Water Operating
101.810 $ 10,303,115 $ 
1,250,260 $ 
1,771,159 $ 
947,367 $ 
14,271,901 
Reclaimed Water Operating
7.290  
592,478  
73,374  
88,477  
56,158  
810,487 
Wastewater Operating
60.700  
6,307,047  
761,878  
954,411  
585,077  
8,608,413 
WW Industrial Process Treatment
18.000  
1,763,270  
215,430  
282,562  
171,123  
2,432,385 
Solid Waste Operating
22.000  
1,726,029  
210,202  
418,202  
148,510  
2,502,943 
Ambulance Services
0.000  
2,494,283  
217,894  
559,918  
244,322  
3,516,417 
Airport Operating
7.000  
816,629  
102,596  
66,572  
83,312  
1,069,109 
Total Enterprise Funds
216.800 $ 24,002,851 $ 
2,831,634 $ 
4,141,301 $ 
2,235,869 $ 
33,211,655 
Internal Service Funds
Workers' Compensation Self Insurance
4.500 $ 
493,039 $ 
59,274 $ 
93,087 $ 
40,075 $ 
685,475 
Insured Liability Self Insurance
5.000  
639,769  
81,060  
102,715  
52,498  
876,042 
Uninsured Liability Self Insurance
5.000  
550,094  
69,555  
78,673  
47,361  
745,683 
Short Term Disability Self Insurance
0.400  
48,411  
5,156  
5,047  
231,488  
290,102 
Medical Self Insurance
3.250  
430,103  
48,338  
37,583  
308,886  
824,910 
Total Internal Service Funds
18.150 $ 
2,161,416 $ 
263,383 $ 
317,105 $ 
680,308 $ 
3,422,212 
Total All Funds
1,822.000 $ 217,972,070 $ 25,689,974 $ 30,872,758 $ 21,864,638 $ 
296,399,440 
SCHEDULE G
Schedules and Terms
City of Chandler
2026-27 Adopted Budget
11
Table of Contents