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TERRITORY OF THE VIRGIN ISLANDS FY 2026 OPERATING BUDGET May 29, 2026 The Honorable Miton Potter Senate President Thirty-Sixth Legislature of the Virgin Islands Capitol Building P. O. Box 1690 St. Thomas, VI 00804 RE: Proposed Executive Budget for Fiscal Year 2027 for the Government of the Virgin Islands Dear Senate President Potter: Today, I submit to the 36th Legislature of the Virgin Islands the proposed Executive Budget for the Government of the Virgin Islands for Fiscal Year 2027. This year's budget, themed "Investing Today for the Communities of Tomorrow: Infrastructure, Recreation and Housing," reflects our commitment to building a stronger future while addressing the immediate needs of our residents. It represents a deliberate effort to invest in the infrastructure, amenities, and opportunities necessary to support sustainable growth and improve the quality of life throughout the Territory. …
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TERRITORY OF THE VIRGIN ISLANDS FY 2026 OPERATING BUDGET May 29, 2026 The Honorable Miton Potter Senate President Thirty-Sixth Legislature of the Virgin Islands Capitol Building P. O. Box 1690 St. Thomas, VI 00804 RE: Proposed Executive Budget for Fiscal Year 2027 for the Government of the Virgin Islands Dear Senate President Potter: Today, I submit to the 36th Legislature of the Virgin Islands the proposed Executive Budget for the Government of the Virgin Islands for Fiscal Year 2027. This year's budget, themed "Investing Today for the Communities of Tomorrow: Infrastructure, Recreation and Housing," reflects our commitment to building a stronger future while addressing the immediate needs of our residents. It represents a deliberate effort to invest in the infrastructure, amenities, and opportunities necessary to support sustainable growth and improve the quality of life throughout the Territory. As we submit the final Executive Budget of the Bryan-Roach Administration, we are proud of our record of presenting budgets grounded in responsible fiscal management, accurate revenue forecasting, and strategic investments. Throughout our administration, we have focused on improving government efficiency, strengthening public services, and reducing long-standing obligations of the Government of the Virgin Islands. These efforts have allowed us to maintain fiscal stability while continuing to make meaningful investments in our people and communities. The proposed Fiscal Year 2027 General Fund budget totals $958,200,000. This budget reflects our belief that strategic investments today will generate long-term economic growth, create equitable opportunities, and enhance the overall well-being of Virgin Islands residents. More than a financial plan, it serves as a roadmap that prioritizes people, progress, and sustainability while positioning the Territory for continued success. In developing this budget, we have taken a cautious and disciplined approach in light of the uncertainties facing the national economy and the changing political landscape within the federal government. As the Territory prepares for a transition to a new local administration, it remains essential that we preserve financial stability while continuing to invest in critical priorities. Accordingly, we are proposing a modest increase in General Fund appropriations, bringing the budget to $958,200,000 for Fiscal Year 2027. This funding level allows us to continue making investments that will strengthen our communities and support future generations. Our revenue projections anticipate growth in several major revenue categories, including personal income taxes, gross receipts taxes, excise taxes, property taxes, and corporate income taxes. These projections are supported by continued recovery and mitigation projects, ongoing housing development, and the sustained strength of the Territory's tourism industry. Together, these economic drivers provide a solid foundation for the revenue forecast underlying this budget. The Bryan-Roach Administration has made significant progress in modernizing public infrastructure, improving government efficiency through technology, and increasing public-sector wages. The Fiscal Year 2027 budget continues these efforts while maintaining our focus on responsible stewardship of public resources and strategic investments that will benefit Virgin Islanders for years to come. Sincerely, Albert Bryan, Jr. Governor MESSAGE FROM THE GOVERNOR ALBERT BRYAN JR. GOVERNOR May 27, 2026 The Honorable Albert Bryan, Jr. Governor of the U.S. Virgin Islands Office of the Governor 5047 (21-22) Kongens Gade St. Thomas, V.I. 00802 Dear Governor Bryan, As we present the Fiscal Year 2027 Budget, we do so with clarity of purpose and a deep commitment to building stronger, more resilient communities. This year’s theme — “Investing Today for the Communities of Tomorrow – Infrastructure, Recreation and Housing”— reflects our determination to lay a solid foundation for future generations while addressing the immediate needs of our residents. Our approach is grounded in the belief that strategic investments today will drive long-term economic growth, enhance quality of life, and create equitable opportunities for all. This budget is not simply a financial plan; it is a roadmap that prioritizes people, progress, and sustainability. Strengthening Infrastructure for Resilience and Growth Infrastructure remains the backbone of a thriving economy and a secure society. In FY 2027, we are making targeted investments to modernize and maintain critical systems, including roads, drainage networks, public facilities, and utilities. These investments aim to: Improve reliability and safety across transportation and public works systems Enhance climate resilience in the face of increasing environmental challenges Support economic development by enabling efficient movement of goods and services We recognize that well-maintained infrastructure is essential not only for daily life but also for attracting investment and fostering innovation. Expanding Recreational Opportunities for Healthier Communities Recreation is a vital component of community well-being. Our FY 2027 budget allocates significant resources toward upgrading parks, sports facilities, and public spaces, ensuring they are accessible, safe, and inclusive. Our priorities include: Revitalizing community parks and waterfront areas Expanding youth sports and wellness programs Creating multi-use recreational spaces that encourage civic engagement By investing in recreation, we are promoting healthier lifestyles, strengthening community connections, and enhancing the overall livability of our neighborhoods. Advancing Housing to Meet Today's Needs and Tomorrow's Demand MESSAGE FROM THE DIRECTOR JULIO RHYMER, SR. OMB DIRECTOR Access to safe, affordable housing remains one of our most pressing challenges. In FY 2027, we are taking decisive steps to address housing availability, affordability, and sustainability. Key initiatives include: Supporting the development of affordable and workforce housing Encouraging public-private partnerships to accelerate housing projects Implementing policies that promote smart growth and responsible land use Housing is more than shelter—it is the cornerstone of stable families and strong communities. Our investments aim to ensure that every resident has access to a place they can call home. Fiscal Responsibility and Strategic Investment While advancing these priorities, we remain committed to prudent fiscal management. The FY 2027 budget reflects a balanced approach that maximizes available resources, leverages external funding opportunities, and ensures accountability in every dollar spent. We continue to: Strengthen financial stewardship and transparency Align spending with measurable outcomes Invest in initiatives that deliver long-term value Introduction Included in the proposed General Fund fiscal year 2027 budget of $958,200,000 there are efforts to the livelihood of the people of the Virgin Islands through investments in recreation, housing and infrastructure. Local Revenues Using weekly cash flow analysis and projections, the Office of Management and Budget consistently forecast quarterly and annual revenues and expenditures from all sources, with a particular focus on the General Fund. These forecasts inform our overall financial planning, guiding revisions to our forecasts and the five-year plan as needed. The five major local revenue categories show varied growth compared to the fiscal year 2026, with a year-end estimate of $846,081,260.00 for all revenues, before obligated transfers in and out. The forecast for fiscal year 2027 takes a cautious approach due to domestic and global environments that could adversely impact the U.S. Virgin Islands economy. The current FY2027 Budget takes into consideration the numerous capital projects underway in fiscal year 2026. Personal Income Tax (PIT) Individual Income Tax (PIT) collections indicate a projected increase of 2% from the fiscal year 2026 projection of $421.79 million to $427.95 million for fiscal year 2027. This cautious projection is deemed prudent due to the global conflict, as well as potential political developments that could significantly impact the U.S. Territory of the Virgin Islands. However, the construction in Capital Projects slated for Mitigation and Disaster Projects in a projected amount of $71.7 million versus $21.9 M for 2026 could realize potential collections increase amount to $499.66 million, or approximately 12.6%. Corporate Income Tax (CIT) Corporate Income Tax (CIT) collections indicate that from the fiscal year 2026 projection of $72.32 million to $72.45 million for fiscal year 2027. This cautious projection is deemed prudent due to the global economic climate, as well as potential political developments that could significantly impact the U.S. Territory of the Virgin Islands. Real Property Tax (RPT) Real Property Tax (RPT) collections indicate a projected increase of 2% from the fiscal year 2026 projection of $55.01 million to $56.23 million for fiscal year 2027. This optimistic projection is supported by the steady growth in real property values and the continued strength in demand. The economy's positive performance in this sector is expected to contribute to higher anticipated collections in property tax. Gross Receipts Tax (GRT) Gross Receipts Tax (GRT) collections indicate a projected increase of 6.3% from the fiscal year 2026 projection of $230.42 million to $244.97 million for fiscal year 2027. This upward trend is attributed to the anticipated capital project bundles and construction activities slated for fiscal year 2027, which are expected to contribute positively to the revenue collections. To include Gross Receipts Tax collected from Mitigation and Disaster Recovery projects estimated at $29.7 million compared $9.1 million for FY 2026, the potential collections increase will be $274.7 million, or 14.7%. Excise Tax (ET) Excise Tax (ET) collections indicate a projected increase of 14.2% from the fiscal year 2026 projection of $37.67 million to $43.01 million for fiscal year 2027. This sustainable growth trajectory is attributed to the tourism sector and planned capital construction industry activities slated for fiscal year 2027. These factors are expected to contribute positively to the revenue collections. To include Excise Tax collected in an amount of $7.1 million from Mitigation and Disaster Recovery projects could realize the potential total collections increase of $50.11 million, or 25.45%. Other notable revenue increases can be found in various areas including the Hotel Tax/Non-Hotel slight increases in the preliminary actuals from fiscal year 2026 $64.44 million to revenue projections of $68.62 million, or approximately 6%, in fiscal year 2027. While Hotel and Non-Hotel Taxes are not part of the General Fund, this growth shows stability for the Tourism Revolving Fund. These funds are being tracked, along with other local funds, to provide an overall total revenue projection that aligns with proposed appropriations. Overall, the General Fund Revenue projections of $848,813,915 for fiscal year 2026 have increased to a projected $958,200,000 for fiscal year 2027. Additionally, while the General Fund is projected to collect net revenue, the gross Revenue collections are projected at $1,036,709,750. It is also important to note that spending on one-time grants such as the American Rescue Plan Act (ARPA) and COVID- 19 grants decreases the budget availability presented, but these temporary grants have not led to major adjustments in long-term predictions. Budget Overview – All Funds The proposed Fiscal 2027 budget from the Government of the Virgin Islands includes expenditures totaling $1,624,437.844.52. This amount includes appropriated and non-appropriated funds as follows: General Fund: $ 958,200,000 Other Appropriated Funds $ 93,386,689 Non-Appropriated Funds $ 43,599,476 Federal Funds: $ 543,282,273 Total Budget: $ 1,638,468,438 Federal Grants The total federal grants funding projected to be available to the territory for fiscal year 2027 has decreased slightly to $20,587,648,241.71 This amount is expected to continue to decline due to increased disaster funding spending in the territory. In addition to disaster funding, $543,282,273 of the projected total represents nondisaster related federal funds available to the Government of the Virgin Islands. This amount includes $20,587,648,241.77 from the Department of Interior’s Office of Insular Affairs. This continued support provides resources towards disaster recovery/mitigation and overall improvement in the territory. Conclusion The FY 2027 Budget represents a forward-thinking vision rooted in collaboration, innovation, and responsibility. By investing in infrastructure, recreation, and housing, we are not only addressing today’s challenges but also preparing for the opportunities of tomorrow. Together, we are building communities that are resilient, vibrant, and inclusive—places where families thrive, businesses grow, and future generations can succeed. In closing, this budget reflects our shared commitment to progress and our responsibility to invest wisely. The decisions we make today will shape the communities of tomorrow, and we move forward with confidence, purpose, and optimism. On behalf of the Office of the Management and Budget, we thank you for the confidence in producing your Administration’s Final Proposed Executive Budget. Respectfully, Julio Rhymer, Sr. Director Office of Management and Budget F I S C A L Y E A R 2 0 2 7 P R O P O S E D E X E C U T I V E B U D G E T INTRODUCTION Message from the Governor Message from the OMB Director The Governor’s Cabinet 1 OVERVIEW Governmental Structure 3 The Legislative Branch 4 The Executive Branch 5 The Judicial Branch 6 BUDGET PROCESS OVERVIEW Annual Budget Process 9 SCHEDULE OF LONG-TERM DEBT 13 FUND BALANCES 17 FINANCIAL SUMMARY Forecast of Anticipated Revenues 37 Top Five Revenues 40 General Fund by Department 43 General Fund by Budget Category 44 Summary of Appropriation 46 Three-Year Expenditure Report (2024-2026) 49 Federal Grants Summary 58 CAPITAL PROJECTS Projects by District 69 LEGISLATION Draft General Fund Bill Draft Various Bills AUTHORIZED PERSONNEL LISTING All Departments Totals All New and Vacant Totals 74 80 87 88 TABLE CONTENTS OF F I S C A L Y E A R 2 0 2 7 P R O P O S E D E X E C U T I V E B U D G E T BUDGET BY COMPONENTS General Government Department of Justice Office of the Governor Office of Management and Budget Division of Personnel Office of Collective Bargaining VI Territorial Emergency Management Agency Bureau of Information Technology Virgin Islands Energy Office Office of the Adjutant General Office of Veterans Affairs Office of the Lieutenant Governor Bureau of Internal Revenue Bureau of Motor Vehicles Department of Labor Department of Licensing & Consumer Affairs Department of Finance Department of Property & Procurement Department of Agriculture Public Safety Bureau of Corrections Virgin Islands Fire and Emergency Medical Services Virgin Islands Police Department Law Enforcement Planning Commission Department of Planning & Natural Resources 91 112 125 140 151 155 172 183 191 200 205 221 232 242 273 393 313 334 355 368 380 409 417 Education Virgin Islands Department of Education Bureau of School Construction & Maintenance Health and Human Services Department of Health Department of Human Services Transportation, Facilities, & Communications Department of Public Works Culture and Recreation Department of Sports, Parks, and Recreation Department of Tourism MISCELLANEOUS ENTITIES DEMOGRAPHICS GLOSSARY ACRONYMS & ABBREVIATIONS 466 534 542 614 683 720 732 739 772 784 TABLE OF CONTENTS GOVERNOR ALBERT BYRAN JR. LT. GOVERNOR TREGENZA A. ROACH GOVERNOR'S CABINET GORDON RHEA, Esq. Attorney General, Department of Justice MG KODJO KNOX-LIMBACKER Adjutant General, Virgin Islands National Guard JOSS SPRINGETTE, Esq. Chief Negotiator, Office of Collective Bargaining THE GOVERNOR'S CABINET FY27 OPERATING BUDGET DIRECTORS JULIO RHYMER SR. Director, Office of Management and Budget CINDY RICHARDSON Director, Division of Personnel WYNNIE TESTAMARK Director, Bureau of Corrections DARYL JASCHEN Director, VI Territorial Emergency Management Agency ANTONIO STEVENS Director, VI Fire and Emergency Medical Services RUPERT ROSS Director, Bureau of Information Technology KYLE FLEMING Director, Virgin Islands Energy Office PATRICK FARRELL Director, Office of Veterans Affairs JOEL LEE Director, Bureau of Internal Revenue BARBARA MCINTOSH Director, Bureau of Motor Vehicles MOLETO SMITH JR. Director, Law Enforcement Planning Commission RAYMOND WILLIAMS Executive Director, Virgin Islands Lottery COMMISSIONERS KEVIN McCURDY Commissioner, Department of Finance DIONNE WELLS-HEDRINGTON Commissioner, Department of Education MARIO BROOKS Commissioner, Virgin Islands Police Department LISA ALEJANDRO Commissioner, Department of Property & Procurement DEREK GABRIEL Commissioner, Department of Public Works JUSTA ENCARNACION Commissioner, Department of Health AVERIL GEORGE Commissioner, Department of Human Services JEAN-PIERRE ORIOL Commissioner, Department of Planning & Natural Resources VINCENT ROBERTS Commissioner Nominee, Department of Sports, Parks, & Recreation LOUIS PETERSEN JR., PH.D. Commissioner, Department of Agriculture JENNIFER MATARANGAS - KING Commissioner, Department of Tourism GARY MOLLOY Commissioner, Department of Labor H. NATHALIE HODGE Commissioner, Depar tment of Licensing & Consumer Affairs FY 2027 PROPOSED EXECUTIVE BUDGET 1 FY 2027 PROPOSED EXECUTIVE BUDGET 2 The U.S. Virgin Islands is an organized, unincorporated Territory of the United States and a part of the United Nations list of Non-Self- Governing Territories. The Organic Act of 1936 and the Revised Organic Act of 1954 created the contemporary political system. A unicameral legislature was organized to unify the Territory after the Revised Organic Act of 1954. In 1968, the Elective Governor’s Act provided for the Territory’s voters to select their chief executives. In 1970, Dr. Melvin H. Evans became the first elected governor. In 1968, the position of Delegate to Congress for the Virgin Islands was approved, and in 1970 Ron de Lugo became the Virgin Islands’ first Delegate to Congress. In 1982 the Judicial Branch was given more power to gradually create its own territorial court system. The Organic Act of 1936 allowed for the creation of the Government of the Virgin Islands that was tasked with providing services and creating employment for the Territory’s citizens. The Revised Organic Act of 1954 passed by the U.S. Congress and administered by the Office of Insular Affairs and the U.S. Department of Interior, established the present three branches of government: Legislative, Judicial and Executive. GOVERNMENTAL STRUCTURE FY27 OPERATING BUDGET FY 2027 PROPOSED EXECUTIVE BUDGET 3 LEGISLATIVE BRANCH The Legislative Branch is a 15-member unicameral body. Seven (7) Senators are elected from each island district of St. Thomas/St. John and St. Croix. The fifteenth (15th) senator, designated as “at-large,” must be a resident of St. John. Senators are elected for two- year terms. FY 2027 PROPOSED EXECUTIVE BUDGET 4 THE EXECUTIVE BRANCH The Executive Branch is headed by the Governor and Lieutenant Governor who are elected by popular vote and serve for a period of four (4) years, with a mandated limit of two (2) consecutive terms. The Governor is responsible for the administration of government. He may grant pardons, reprieves, and forfeitures against local laws as well as veto legislation. He retains the powers afforded to Governors throughout the fifty (50) states of the United States. FY 2027 PROPOSED EXECUTIVE BUDGET 5 THE JUDICIAL BRANCH The Judicial Branch is comprised of a Federal District Court (District Court) of the Virgin Islands, a Supreme Court and a Superior Court. Judges for the District Court are appointed for a period of 10 years. The District Court of the Virgin Islands is technically a local court, created by Congress, and is not an Article Three Court under the U.S. Constitution. The Superior Court is a court of general jurisdiction over most civil, criminal, and family cases. The newly established Magistrate Division of the Superior Court has jurisdiction over small claims, landlord/tenant issues, traffic, probate, and petty criminal matters, and other powers as prescribed by law. The newly established Supreme Court of the Virgin Islands is responsible for appeals from the Superior Court filed on or after January 29, 2007. Appeals filed prior to that date are heard by the Appellate Division of the District Court. Judges of the District Court of the Virgin Islands are appointed by the President of the United States and confirmed by the U.S. Senate, while justices of the Supreme Court of the Virgin Islands and judges of the Superior Court are appointed by the Governor of the Virgin Islands and confirmed by the Virgin Islands Legislature. FY 2027 PROPOSED EXECUTIVE BUDGET 6 FY 2027 PROPOSED EXECUTIVE BUDGET 7 ABOUT THE OPERATING BUDGET The Executive Budget document presents an in-depth insight into the financial status of the United States Virgin Islands. The budget book reflects the intention of the Administration to provide readers with a comprehensive and transparent view into the use of resources that provide services to the residents of the territory. With a focus on financial information, budget policy, capital planning, performance management, and strategic forecasting, the budget book conveys the necessary information to gain a level of understanding of the Territory’s funding capabilities and its spending priorities. Total Amount (FY2027) $1,638,468,440.00 FY27 OPERATING BUDGET CAPITAL PROJECTS: CAPITAL PROJECTS: $70,216,612.00 (4.29%) $70,216,612.00 (4.29%) CAPITAL PROJECTS: $70,216,612.00 (4.29%) INDIRECT COST: INDIRECT COST: $6,876,502.00 (0.42%) $6,876,502.00 (0.42%) INDIRECT COST: $6,876,502.00 (0.42%) MISCELLANEOUS: MISCELLANEOUS: $222,345,105.00 (13.57%) $222,345,105.00 (13.57%) MISCELLANEOUS: $222,345,105.00 (13.57%) OTHER SERVICES: OTHER SERVICES: $666,704,083.00 (40.69%) $666,704,083.00 (40.69%) OTHER SERVICES: $666,704,083.00 (40.69%) PERSONNEL SERVICES: PERSONNEL SERVICES: $596,434,452.00 (36.40%) $596,434,452.00 (36.40%) PERSONNEL SERVICES: $596,434,452.00 (36.40%) SUPPLIES: SUPPLIES: $43,106,795.00 (2.63%) $43,106,795.00 (2.63%) SUPPLIES: $43,106,795.00 (2.63%) UTILITY SERVICES: UTILITY SERVICES: $29,916,866.00 (1.83%) $29,916,866.00 (1.83%) UTILITY SERVICES: $29,916,866.00 (1.83%) CAPITAL PROJECTS FRINGE BENEFITS INDIRECT COST MISCELLANEOUS OTHER SERVICES PERSONNEL SERVICES SUPPLIES UTILITY SERVICES OPERATING BUDGET FY 2027 PROPOSED EXECUTIVE BUDGET 8 ANNUAL BUDGET PROCESS The annual budget preparation process and statutory role of the Office of Management and Budget (OMB) are certified by Title 2, Chapter 2 and Title 3, Chapter 1, Section 4. The Executive Branch is responsible for developing, formulating, and compiling a comprehensive, balanced budget proposal, which is modified by the Legislature and enacted into law. The Governor is required by law, pursuant to Title 2, Chapter 2, Section 24, to seek and coordinate requests from all the departments and agencies of the government; to develop a complete spending plan of proposed expenditures, listing revenues available to support them; and to create a prospective, balanced budget. This budget, along with the necessary appropriation bills and enabling legislation, is mandated by law to be submitted to the Legislature on or before May 30 each year. The Governor is also required to execute the adopted budget through administrative actions during the fiscal year. The annual budget is prepared on a Generally Accepted Accounting Principal (GAAP) basis, except for encumbrances, which are reported as expenditures for budget reporting purposes, by the Virgin Islands Office of Management and Budget (hereinafter “OMB”) working in conjunction with other Governmental offices and agencies. Encumbrances that are not yet released in the next year are just carried forward to the next year but do not affect the budget appropriation for the next year. The Government of the Virgin Islands’ fiscal year begins October 1 and ends September 30; however, the actual “budget cycle,” representing the time between early budget preparation and final disbursements, extends over the entire year, commencing in the first quarter of the current fiscal year. The budget process consists of six major activities: BUDGET FORMULATION December – January: The budget formulation process begins with the development of the revenue projections. The Director of the Office of Management and Budget (hereinafter “OMB”), in conjunction with the OMB revenue team meet periodically to analyze past economic trends and monitor revenue flow to begin developing revenue projections for the upcoming fiscal year. During the month of December, the Director and staff of OMB, begin the development of the budget ceilings for all departments and agencies based on projected revenues for the upcoming fiscal year. January: The Director of OMB issues budget guidance to all departments and agencies with the projected ceiling levels as dictated by projected revenues. During this time, OMB conducts budget orientation sessions in both the St. Thomas/St. John and St. Croix districts with the commissioners, directors, fiscal personnel, and program directors and provide the necessary guidance in the th Budget Formulation 1. Agency Budget Preparation 2. OMB Budget Review/Recommendation 3. The Governor’s Proposal 4. Legislature’s Action 5. Budget Execution 6. FY 2027 PROPOSED EXECUTIVE BUDGET 9 budget formulation or explains all budget guidelines. Analysts assigned to each department and agency answer inquiries about the guidelines. The analysts work with the departments and agencies on a one-to-one basis to address particular budgetary concerns. Additionally, site visits are conducted if necessary, during this period to familiarize the analysts with the departments and agencies’ operational plans. AGENCY BUDGET PREPARATION February: The departments and agencies develop their spending plans in agreement with the expenditure ceilings and guidelines in the Budget Call along with training and hands-on budget orientation sessions. OMB BUDGET REVIEW/RECOMMENDATION March – April: The departments and agencies submit their proposed budgets for the upcoming fiscal year to OMB. The Director, along with the OMB staff, analyzes the individual budgets and prepares recommendations for the departments and agencies; updates the departments and agencies’ narratives; drafts the necessary appropriation bills and enabling legislation; and develops budget schedules, summaries, and revenue statements. The OMB Director and staff then presents the head of each department and agency with a copy of OMB’s recommendation (justification letter, management letter, and personnel listing) for their Department and Agency to review and discuss with OMB’s staff at scheduled internal budget hearings, if necessary. In the event of changes made during the internal budget hearings, the analysts revise a department or agency’s budget along with the budget schedules, summaries, and revenue statements. If necessary, analysts make changes and update the budget and supporting documents for presentation to the Governor after finalization of revenue projections at the Spring Revenue Estimating Conference. THE GOVERNOR'S PROPOSAL May: Pursuant to Title 2, Chapter 2, Section 24, subsection (b) and Chapter 12, Section 251 Virgin Islands Code, a balanced budget for the Government of the Virgin Islands is submitted to the Legislature by May 30th or as otherwise authorized. In consultation with the Governor, the recommended budget for the Executive Branch is finalized and submitted to the Legislature. The Governor’s submission includes his message to the Legislature, along with the OMB Director’s budget message to the Governor. The proposed Executive Budget includes government funds subject to appropriations pursuant to law from the General Fund, Internal Revenue Matching Fund, Government Insurance Fund, and others. It also includes non-appropriated government funds, which are funds that generate revenues from fees, services, and other sources; and funds used by the revenue-generating departments and agencies (i.e. Data Processing Fund and Fire Service Emergency Fund). LEGISLATURE'S ACTION June – September: During this time, the Legislature reviews and deliberates on the proposed Executive Budget, supporting appropriation bills, enabling legislation, schedules, and summaries as submitted by the Governor. The Post-Audit Division of the Legislature analyzes the budgetary information and prepares reports for the Committee of Budget, Appropriation and Finance to conduct individual department and agency budget hearings. During the hearings, commissioners, directors, and their key financial personnel take the opportunity to testify on their recommended budgets. At the conclusion of all hearings, the Committee on Budget, Appropriations and Finance acts on the Governor’s proposed Executive Budget and forwards its recommendations to the Committee on Rules and Judiciary, and finally to the entire Legislative body for consideration at a legislative session. During the legislative process, the Legislature may add, change, or delete any item in the budget proposed by the Governor. The proposed Executive Budget and accompanying legislative bills must be approved by the Legislature and signed into law by the Governor on or before September 30th. If the budget is not approved before the commencement of the new fiscal year, pursuant to the 1954 Revised Organic Act, Section 9(e), the appropriations of the preceding fiscal year, as they may be deemed applicable, are automatically re-appropriated until the approval of a new budget. Once approved, this becomes the Adopted Budget as amended by the Legislature. ADOPTED BUDGET EXECUTION September: Upon approval of the Adopted Budget, the Governor has another opportunity to veto the budget partially or in its entirety and return it to the Legislature with his objections. This is known as a gubernatorial veto. A gubernatorial veto can be overridden by a two-thirds majority of all members of the Legislature and thereby become law. The Governor could also allow the budget to become law without his signature. FY 2027 PROPOSED EXECUTIVE BUDGET 10 October – September: Once the budget is enacted, fiscal control of expenditures is exercised by the Governor through the Director of OMB. If the fiscal resources available to the Government in any fiscal year are insufficient to cover the appropriations approved for that year, the Governor, through the Director of OMB, may take administrative measures (such as reducing or withholding budget allotments) to align expenditures with available resources. FY 2027 PROPOSED EXECUTIVE BUDGET 11 FY 2027 PROPOSED EXECUTIVE BUDGET 12 The Virgin Islands Public Finance Authority, on behalf of the Government of the United States Virgin Islands, through authorization from the Legislature of the United States Virgin Islands, has secured funding for the following working capital and long-term projects. Outlined below is a brief description of each bond issuance reflected in the Schedule of Principal and Interest due on Long Term Debt for Fiscal Year 2027. SCHEDULE OF PRINCIPAL LONG-TERM DEBT SCHEDULE OF PRINCIPAL AND INTEREST DUE ON LONG-TERM DEBT ISSUE AND SOURCE OF PAYMENT OUTSTANDING BALANCES PRINCIPAL INTEREST TOTAL - P&I AS OF 4/30/2026 GROSS RECEIPTS TAX BONDS 2006 SERIES A GROSS RECEIPTS BONDS 82,555,000 $ 19,530,000 $ 3,476,188 $ $ 23,006,188 2012A SERIES WORKING CAPITAL LOAN NOTE 94,955,000 $ 8,735,000 $ 4,529,375 $ $ 13,264,375 2012B SERIES BROADBAND 5,805,000 $ 2,825,000 $ 230,606 $ 3,055,606 $ 2012C SERIES GROSS RECEIPTS BONDS (Capital Projects) 17,900,000 $ 500,000 $ 882,500 $ 1,382,500 $ 2014A SERIES (Working Capital) 28,460,000 $ 2,565,000 $ 1,358,875 $ 3,923,875 $ 2014C SERIES (Capital Projects & Refunding) 180,780,000 $ 6,920,000 $ 8,807,025 $ 15,727,025 $ 2014D SERIES (Broadband) 3,235,000 $ 325,000 $ 185,241 $ 510,241 $ TOTAL GRT BONDS - GENERAL FUND (GENERAL OBLIGATION) 413,690,000 $ 41,400,000 $ 19,469,810 $ $ 60,869,810 FEDERAL HIGHWAY GRANT ANTICIPATION REVENUE (GARVEE) VI INFRASTRUCTURE AND TRANSPORTATION CORPORATION 2025 SERIES GARVEE BONDS 141,350,000 $ 4,860,000 $ 6,836,000 $ $ 11,696,000 TOTAL FEDERAL HIGHWAY GRANT ANTICIPATION REVENUE (GARVEE) 141,350,000 $ 4,860,000 $ 6,836,000 $ $ 11,696,000 INTERNAL REVENUE MATCHING FUND MATCHING FUND SPECIAL PURPOSE SECURITIZATION CORPORATION 2022A SERIES MFSPSC BONDS 912,840,000 $ 54,710,000 $ 44,274,250 $ $ 98,984,250 TOTAL INERNAL REVENUE MATCHING FUND 912,840,000 $ 54,710,000 $ 44,274,250 $ $ 98,984,250 GRAND TOTALS - OUTSTANDING, PRINCIPAL AND INTEREST 1,467,880,000 $ $ 100,970,000 70,580,060 $ $ 171,550,060 FISCAL YEAR 2027 PROJECTED DEBT SERVICE FY 2027 PROPOSED EXECUTIVE BUDGET 13 GENERAL OBLIGATION DEBT (GROSS RECEIPT TAXES) Proceeds from the Series 2006A Gross Receipts Taxes - Revenue Bonds were used to refund a portion of the Authority Revenue Bonds, Series 1999A Bonds, pay the cost of a termination fee in connection with an outstanding swap option agreement, fund certain necessary public sector capital development projects of the Government of the Virgin Islands, fund the Debt Service Reserve Account in an amount necessary to meet the Debt Service Reserve Requirement, pay the premium in connection with the Series 2006 Bond Insurance Policy, fund a net payments reserve account for a new swap agreement, and pay the costs of issuing the Series 2006 Bond. Repayment of this bond series is funded by the General Fund from Gross Receipts Taxes. The bonds were issued in October 2006 at a value of $219,490,000. As of April 30, 2026, the expected outstanding principal balance is $82,555,000. Proceeds from the Series 2012A Gross Receipts Taxes – Revenue Bonds were used to refund the outstanding Series 1999 Bonds, refund the Series 2010A Notes, pay the costs and expenses of issuing and delivering the Series 2012A Bonds, and fund the Debt Service Reserve Account in the amount necessary to meet the Debt Service Reserve Requirement related to the Series 2012A Bonds. Repayment of this bond series is funded by the General Fund from Gross Receipts Taxes. The bonds were issued in November 2012 at a value of $197,065,000. As of April 30, 2026, the expected outstanding principal balance is $94,955,000. Proceeds from the Series 2012B Gross Receipts Taxes - Revenue Bonds were used to refinance the Series 2011A Note, which initially financed the Broadband Project, pay the costs and expenses of issuing and delivering the Series 2012B Bonds, and fund the Debt Service Reserve Account in an amount necessary to meet the Debt Service Reserve Requirement related to the Series 2012B Bonds. The bonds were issued in November 2012 at a value of $31,740,000. As of April 30, 2026, the expected outstanding principal balance is $5,805,000. Proceeds from the Series 2012C Gross Receipts Taxes – Revenue Bonds were used to finance all or a portion of the costs of certain capital projects, fund capitalized interest on a portion of the Series 2012C Bonds and pay the costs and expenses of issuing and delivering the Series 2012C Bonds. The bonds were issued in December 2012 at a value of $35,115,000. As of April 30, 2026, the expected outstanding principal balance is $17,900,000. Proceeds of the Series 2014A Gross Receipts Taxes – Revenue Bonds were used to finance the Government’s operating expenses, fund the amount necessary to meet the Debt Service Reserve Requirement for the bonds, and pay certain costs of issuing the bonds. The bonds were issued on September 5, 2014, in the principal amount of $49,640,000. As of April 30, 2026, the expected outstanding principal balance is $28,460,000. Proceeds of the Series 2014C Gross Receipts Taxes - Revenue Bonds were used to refund the Authority’s outstanding Revenue Bonds (Virgin Islands Gross Receipts Taxes Loan Note), Series 2003A, finance all or a portion of the costs of certain capital projects, including the Paul E. Joseph Stadium Project and certain projects at Governor Juan F. Luis Hospital & Medical Center and Schneider Regional Medical Center, and pay the costs of issuance related to the Series 2014C Bonds. The bonds were issued on November 14, 2014, in the principal amount of $247,050,000. As of April 30, 2026, the expected outstanding principal balance is $180,780,000. Proceeds of the Series 2014D Gross Receipts Taxes - Revenue Bonds were used to finance certain costs associated with the Broadband Expansion Program, fund the amount necessary to meet the Debt Service Reserve Requirement upon issuance of the Series 2014D Bonds, and pay the costs of issuance related to the Series 2014D Bonds. The bonds were issued on December 3, 2014, in the principal amount of $5,765,000. As of April 30, 2026, the expected outstanding principal balance is $3,235,000. FEDERAL HIGHWAY GRANT ANTICIPATION REVENUE DEBT (GARVEE) Virgin Islands Transportation & Infrastructure Corporation The Virgin Islands Transportation & Infrastructure Corporation is a special purpose, independent and autonomous public corporation, and governmental instrumentality of the United States Virgin Islands, and wholly owned subsidiary of the Authority in accordance with Act 8949 and organized as a not-for-profit corporation in accordance with Title 3, Chapter 3, Section 49 et. Seq of the Virgin Islands Code. Proceeds from the Series 2025 Grant Anticipation Revenue Bonds (Federal Highway Grant Anticipation Revenue Loan Note were used by the Corporation to (i) finance all or a portion of the costs of the approved projects as outlined in Ac 8949, (ii) refund the Virgin Islands Public Finance Authority Grant Anticipation Revenue Bonds (Federal Highway Grant Anticipation Revenue Loan Note), Series 2015, (iii) fund the amount necessary to meet the Debt Service Reserve Requirement for the Bonds, and (iv) to pay the costs of issuance of the Bonds. The repayment of this bond series is funded by the Federal Highway Grant Revenues. The Bonds were issued on June 5, 2025, at a value of $150,155,000. April 30, 2026, outstanding principal balance was $141,350,000. FY 2027 PROPOSED EXECUTIVE BUDGET 14 INTERNAL REVENUE MATCHING FUND RECEIPTS DEBT (IRMF) Matching Fund Special Purpose Securitization Corporation The Matching Fund Special Purpose Securitization Corporation is a special purpose, independent and autonomous public corporation, and governmental instrumentality of the United States Virgin Islands, incorporated under the provisions of the Virgin Islands Act No. 8540, effective February 8, 2022, adding Chapter 24 to Title 29 of the Virgin Islands Code. Proceeds from the Series 2022A and 2022B Matching Fund Special Purpose Securitization Corporation Bonds were used by the Corporation, together with other available funds, to (i) purchase and obtain from the Government of the U.S. Virgin Islands (the “Government”) during the Transfer Period all of its right, title and interest in and to the Matching Fund Receipts to be received from the United States Department of Treasury and the Related Rights, (ii) pay Capitalized Interest on a portion of the Series 2022 Bonds, and (iii) pay certain costs of issuance of the Series 2022 Bonds. The bonds were issued on April 1, 2022, in the principal amounts of $930,315,000 (Series 2022A) and $22,510,000 (Taxable Series 2022B). April 30, 2026, outstanding principal balance was $912,840,000. FY 2027 PROPOSED EXECUTIVE BUDGET 15 FY 2027 PROPOSED EXECUTIVE BUDGET 16 ADULT EDUCATION FUND The Adult Education Fund was created pursuant to Title 17, Chapter 21, Section 243, Virgin Islands Code (VIC). All tuition fees paid by students attending evening classes shall be deposited in the Adult Education Fund. Monies shall be disbursed by the Commissioner of Finance exclusively for the use of the adult education program, established and authorized by the Commissioner of Education. FUND - 6026 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $55,106.30 $5,298.30 $5,298.30 REVENUES $0.00 $0.00 $0.00 EXPENSES ($49,808.00) ($0.00) ($0.00) ENDING BALANCE $5,298.30 $5,298.30 $5,298.30 BUDGETED BALANCES - UNOBLIGATED ($0.00) PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS ($0.00) ENCUMBRANCES ($0.00) AVAILABLE FOR BUDGET $5,298.30 AGRICULTURE REVOLVING FUND The Agriculture Revolving Fund was created pursuant to Title 33, Chapter 111, Section 3018, VIC. The fund shall consist of all revenues derived from the sale of agricultural products, livestock feeds, fruit trees, ornamentals, animals, water, and the rental of agricultural equipment, and all revenue from the rental or lease of government owned lands for farming. All monies pertaining to the fund shall be disbursed by the Commissioner of Finance exclusively for the expenditure of the Department of Agriculture for the purchase of the seeds, fertilizers, insecticides, fungicides, other agricultural and farm equipment, and the production and encouragement of temporary agricultural workers for planting and reaping. FUND - 6024 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $934,375.65 $3,102,297.60 $3,231,483.07 REVENUES $2,380,953.70 $300,975.07 $180,500.71 EXPENSES ($213,031.75) ($171,789.60) ($140,267.24) ADJUSTMENTS $0.00 $0.00 $0.00 ENDING BALANCE $3,102,297.60 $3,231,483.07 $3,271,716.54 BUDGETED BALANCES - UNOBLIGATED ($775,577.33) PAYMENTS IN PROCESS ($25,362.29) REQUISITIONS IN PROCESS ($20,857.79) ENCUMBRANCES ($55,523.44) AVAILABLE FOR BUDGET $2,394,395.69 ANIMAL FUND The Animal Fund shall be comprised of all license fees and fines collected under the provisions of this chapter, and all such funds, donations, gifts, devises, bequests and all other kinds of contributions of real or personal property, from persons, corporations, partnerships, trust funds, charitable or other eleemosynary organizations, domestic or otherwise, as may be made to the said Fund from time to time as well as any contributions to the said Fund as may be appropriated by the Legislature. All moneys in the Animal Fund are hereby specifically appropriated to the Department of Agriculture FUND - 2056/2057 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $59,153.70 $59,698.70 $62,718.70 REVENUES $545.00 $3020.00 $1,660.00 EXPENSES $0.00 $0.00 $0.00 ENDING BALANCE $59,698.70 $62,718.70 $64,378.70 BUDGETED BALANCES - UNOBLIGATED $0.00 PAYMENTS IN PROCESS ($0.00) REQUISITIONS IN PROCESS ($0.00) ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET $64,378.70 FUND BALANCES AS OF 3/31/2026 FY 2027 PROPOSED EXECUTIVE BUDGET 17 ANTI-LITTER AND BEAUTIFICATION FUND The Anti-litter and Beautification Fund was created pursuant to Title 33, Chapter 11, Section 3079, VIC. It consists of advance disposal fees required to be credited to the fund, and other amounts appropriated thereto from time to time by the Legislature. No money in the fund shall be available for expenditure except as appropriated annually by the Legislature and disbursed by the Commissioner of Finance for the following purposes: establishment of recycling programs and redemption centers; reimbursement of redemption centers, established under Title 19, Section 1557a, for sums paid in exchange for materials turned in for recycling, in an amount to be determined by the Anti- litter and Beautification Commission; roadside cleanup and beautification; removal and disposal of abandoned vehicles; increased enforcement of anti-litter laws; anti-litter educational campaigns; administration and expenses in an amount not to exceed thirteen percent of the deposits to the fund in any fiscal year; and such other purposes or activities of the Anti-litter and Beautification Commissions as are consistent with the purposes of Title 19, Chapter 56, VIC. Act No. 6638 transferred the administration of the fund to the direction of the Waste Management Authority. FUND - 2042/2043 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $18,023,438.43 $22,530,446.18 $26,521,420.72 REVENUES $10,812,183.25 $10,150,865.75 $2,169,538.34 EXPENSES ($6,305,175.50) ($6,159,891.21) ($2,476,325.13) ADJUSTMENTS $0.00 $0.00 ENDING BALANCE $22,530,446.18 $26,521,420.72 $26,214,633.93 BUDGETED BALANCES - UNOBLIGATED ($7,734,418.80) PAYMENTS IN PROCESS ($1,242,460.00) REQUISITIONS IN PROCESS ($49,567.80) ENCUMBRANCES $(86,960.00) AVAILABLE FOR BUDGET $17,101,227.33 ATHLETIC FUND All monies collected by the Department of Education, as fees, rentals, gifts or otherwise under the provisions of Chapter 1 of Title 32, relating to parks and recreation generally, shall be covered into the Treasury of the Virgin Islands in a special revolving fund to be designated the Athletic Fund. FUND - 2184 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $587,742.90 $710,393.20 $834,103.20 REVENUES $129,495.00 $125,290.00 $32,630.00 EXPENSES ($6,844.70) ($1,580.00) ($0.00) ENDING BALANCE $710,393.20 $834,103.20 $866,733.20 BUDGETED BALANCES - UNOBLIGATED ($5,000.00) PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES ($2,693.80) AVAILABLE FOR BUDGET $859,039.40 BUREAU OF MOTOR VEHICLES FUND The Bureau of Motor Vehicles Fund was created pursuant to Act No. 6761, Section 232. The fund shall consist of all monies received as fees collected by the Bureau of Motor Vehicles under the provisions of Title 20, Chapter 39, VIC, and any sums appropriated by the Legislature. Upon the certification of the Director of the Bureau of the Motor Vehicles, the Commissioner of Finance shall disburse the greater of ten percent of the fund, or one million dollars, for the purchasing of supplies, equipment, and personnel services, along with the operating expenses of the Bureau of Motor Vehicles. FUND - 2094 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $335,435.72 $289,147.28 $342,057.86 REVENUES $1,000,000.00 $1,000,000.00 $1,000,000.00 EXPENSES ($978,609.20) ($947,089.42) ($407,704.69) ADJUSTMENTS ($67,679.24) ($0.00) ENDING BALANCE $289,147.28 $342,057.86 934,353.17 BUDGETED BALANCES - UNOBLIGATED ($520,876.75) PAYMENTS IN PROCESS ($71,418.56) REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET $342,057.86 FY 2027 PROPOSED EXECUTIVE BUDGET 18 BUSINESS AND COMMERCIAL PROPERTIES REVOLVING FUND The Business and Commercial Properties Revolving Fund was created pursuant to Title 31, Chapter 21, Section 202, VIC, as a separate and distinct fund within the Treasury of the Virgin Islands. Its source of revenue is rentals and other income derived from the properties managed by the Department of Property and Procurement. There is appropriated annually from the Business and Commercial Properties Revolving Fund, funds that are necessary for the management of properties, services, materials, and other costs connected with such properties. FUND - 6028 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE ($1,761,051.41) ($1,614,233.81) ($303,935.17) REVENUES $3,682,667.89 $4,677,056.24 $1,850,744.01 EXPENSES ($3,318,543.80) ($3,366,757.60) ($1,545,863.65) ADJUSTMENTSS ($217,306.49) ($0.00) ($0.00) ENDING BALANCE ($1,614,233.81) ($303,935.17) $945.19 BUDGETED BALANCES - UNOBLIGATED ($0.00) PAYMENTS IN PROCESS ($315,133.05) REQUISITIONS IN PROCESS ($5,277.00) ENCUMBRANCES ($3,085.60) AVAILABLE FOR BUDGET ($322,550.46) CASINO CONTROL REVENUE FUND The Casino Control Revenue Fund was created and established in the Department of Finance pursuant to Title 32 section 515 and 516(a) (1) VIC. Monies in this fund shall be appropriated exclusively for the following purposes: 15% to hospitals and health; 18% to education; 20% to the Department of Sports, Parks and Recreation; 10% to the Department of Agriculture; 5% to tourism and casino promotion; 8% to the Union Arbitration Award and Government Employees Increment Fund; 1% to the VI Bureau of Internal Revenue; 5% to the University of the Virgin Islands; 10% to the Casino Control Commission; 5% to Public Safety; 1% for Gambling Addiction and Education Programs; and 2% for the reconstruction and rehabilitation of two historic district towns in St. Croix. FUND - 2092 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $0.00 $0.00 $0.00 REVENUES $2,220,098.56 $2,392,727.56 $1,106,704.38 EXPENSES ($1,654,918.68) ($1,727,212.39) ($504,224.77) ADJUSTMENTSS ($565,179.88) ($665,515.17) $0.00 ENDING BALANCE $0.00 $0.00 $602,479.61 BUDGETED BALANCES - UNOBLIGATED $0.00 PAYMENTS IN PROCESS $(602,479.61) REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET $0.00 CENTRAL MOTOR POOL FUND The Central Motor Pool Fund was created pursuant to Title 33, Chapter 111, Section 3064, VIC, for the acquisition, identification, operation, maintenance, storage, supervision, control, and regulation of all the territorial government-owned motor vehicles. It consists of all sums appropriated by the Legislature and from the proceeds of all sales of government owned motor vehicles. The Fund shall be disbursed by the Commissioner of Finance at the direction of the Commissioner of Property and Procurement. FUND - 6052 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $649,145.12 $477,974.24 $348,774.56 REVENUES $551,907.88 $484,164.41 $205,513.88 EXPENSES ($729,853.76) ($613,364.09) ($185,696.39) ADJUSTMENT 6,775.00 ($0.00) ($0.00) ENDING BALANCE $477,974.24 $348,774.56 $368,592.05 BUDGETED BALANCES - UNOBLIGATED ($132,799.18) PAYMENTS IN PROCESS ($22,394.25) REQUISITIONS IN PROCESS ($18,973.15) ENCUMBRANCES ($4,795.24) AVAILABLE FOR BUDGET $189,630.23 FY 2027 PROPOSED EXECUTIVE BUDGET 19 CENTRAL WAREHOUSING AND INVENTORY FUND The Central Warehousing and Inventory Fund was created pursuant to Title 3, Chapter 13, Section 220, VIC. The Director of the Office of Management and Budget is authorized to transfer to the Department of Property and Procurement, in whole or in part, the amount appropriated for materials, equipment or supplies in any fiscal year for any department or agency of the executive branch or any board or commission. The transfer shall be for the purpose of procurement of materials, supplies, equipment, parts, and other operating tools for all departments, agencies, boards, and commissions of the Government of the Virgin Islands. The purpose of the fund shall be to facilitate prompt payment of bulk purchases where such prompt payment will result in a discount of the purchase price. The Commissioner of Property and Procurement shall ensure a steady supply of materials, supplies, equipment, parts, and other operating tools of each department, agency, board, and commission within each fiscal year. FUND - 6046 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $1,724,991.30 $1,757,936.95 $1,889,606.79 REVENUES $810,174.34 $1,054,620.82 $377,878.84 EXPENSES ($777,228.69) ($922,950.98) ($259,702.35) ENDING BALANCE $1,757,936.95 $1,889,606.79 $2,007,783.28 BUDGETED BALANCES - UNOBLIGATED ($580,344.05) PAYMENTS IN PROCESS ($50,179.58) REQUISITIONS IN PROCESS ($0.00) ENCUMBRANCES ($229,244.41) AVAILABLE FOR BUDGET $1,148,015.24 CONSUMER PROTECTION FUND The Consumer Protection Fund was created pursuant to Title 33 Chapter 111, Section 3062, VIC, to protect the public from fraud, confusion, deception, misrepresentation, and other fraudulent practices within the marketplace. It consists of all sums appropriated by the Legislature and all fines and penalties imposed by courts and the Commissioner of Licensing and Consumer Affairs for violations of the Consumer Protection Laws of Title 12A, VIC. Monies shall be disbursed by the Commissioner of Finance, upon the authorization of the Commissioner of the Department of Licensing and Consumer Affairs. FUND - 6062 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $1,337,749.68 $1,446,012.72 $1,621,096.91 REVENUES $606,842.30 $640,363.23 $357,462.64 EXPENSES ($500,011.26) ($465,279.04) ($176,248.61) ADJUSTMENT $1,432.00 $0.00 $0.00 ENDING BALANCE $1,446,012.72 $1,621,096.91 $1,802,310.94 BUDGETED BALANCES - UNOBLIGATED ($660,760.06) PAYMENTS IN PROCESS ($159,426.66) REQUISITIONS IN PROCESS ($15,053.30) ENCUMBRANCES ($151,395.43) AVAILABLE FOR BUDGET $815,675.49 COMMISSION OF INSURANCE ADMINISTRATION FUND Pursuant to Title 22, Chapter 25, Section 603, the Commission of Insurance Administration Fund is a special fund established to administer the Division of Insurance in the Virgin Islands. It is funded by a 5% tax on quarterly gross receipts premiums for all types of insurance, excluding annuities, in the Virgin Islands or related to risks in the Virgin Islands. This tax excludes return premiums and reinsurance premiums from authorized insurance companies. Half of these taxes form a special fund, not exceeding $3,000,000 annually. This fund supports the operations and activities of the Division of Insurance, ensuring regulatory oversight and compliance within the insurance industry in the territory. FUND - 2110/2111 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $9,333,123.95 $9,959,790.46 $10,341,597.56 REVENUES $3,000,000.00 $3,000,000.00 $3,000,000.00 EXPENSES ($161,726.49) ($2,618,192.90) ($1,155,170.96) ADJUSTMENT ($2,211,607.00) ($0.00) ($0.00) ENDING BALANCE $9,959,790.46 $10,341,597.56 $12,186,426.60 BUDGETED BALANCES - UNOBLIGATED ($1,934,307.89) PAYMENTS IN PROCESS ($250,512.15) REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET $10,001,606.56 FY 2027 PROPOSED EXECUTIVE BUDGET 20 CORPORATE DIVISION REVOLVING FUND The Corporation Division Revolving Fund was created pursuant to Title 33, Chapter 111, Section 3085, VIC. The fund shall consist of ten percent of the total monies collected by the Division of Corporation of the Office of the Lieutenant Governor, including ten percent of all fines, penalties, and such sums appropriated by the Legislature, all of which shall remain available until expended. Monies shall be disbursed from the fund by the Commissioner of Finance, upon the authorization and direction of the Lieutenant Governor, for the purpose of purchasing and maintaining microfilm and data processing equipment, and the purchase of related supplies and equipment, for staffing and other necessary equipment and services. FUND - 2076 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $3,153,169.02 $3,673,460.64 $4,139,607.62 REVENUES $784,358.00 $887,990.00 $0.00 EXPENSES ($264,066.38) ($421,843.02) ($405,438.00) ENDING BALANCE $3,673,460.64 $4,139,607.62 $3,734,169.62 BUDGETED BALANCES - UNOBLIGATED ($93,534.33) PAYMENTS IN PROCESS ($210,739.93) REQUISITIONS IN PROCESS ($0.00) ENCUMBRANCES ($311,551.63) AVAILABLE FOR BUDGET $3,118,343.73 CRIME PREVENTION/PROSECUTION FUND The Crime Prevention/Prosecution Fund was created pursuant to Title 33, Chapter 111, Section 3051, VIC, for the purpose of discharging the Department of Justice’s responsibility for criminal law enforcement and prosecution, and for extradition of fugitives to and from other jurisdictions. It consists of sums appropriated by the Legislature, all fines imposed by courts for violations of Title 14, VIC, sums collected from forfeited bail, proceeds from public sale of confiscated property, sale of donated properties, and grants and contributions specifically for the purposes of this Fund. Monies shall be disbursed by the Commissioner of Finance upon the authorization of the Attorney General. FUND - 2172/2173 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $1,097,079.40 $870,349.60 $466,621.95 REVENUES $30,485.00 $45,328.00 $26,040.00 EXPENSES ($257,214.80) ($449,055.65) ($350,750.00) ENDING BALANCE $870,349.60 $466,621.95 $141,911.95 BUDGETED BALANCES - UNOBLIGATED ($0.00) PAYMENTS IN PROCESS $(106,210.20) REQUISITIONS IN PROCESS ($426,500.00) ENCUMBRANCES ($735,799.29) AVAILABLE FOR BUDGET $(1,126,597.54) CRISIS INTERVENTION FUND The Crisis Intervention Fund was created pursuant to Title 33, Chapter 111, Section 3091, VIC. It consists of monies appropriated and deposited into the Crisis Intervention Fund each year from the Caribbean Basin Initiative Fund and the Internal Revenue Matching Fund, as authorized by law, and other sums appropriated by the Legislature. Monies shall be disbursed from the fund by the Commissioner of Finance, upon the authorization of the Commissioner of the Department of Human Services, for the purpose of funding programs relating to family and youth crisis intervention services and disbursement of grants to authorized youth organizations as provided by law. However, no more than twenty percent of the monies disbursed from the Crisis Intervention Fund shall be used for personnel services. FUND - 2116/2117 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $2,396,791.08 $2,396,791.08 $2,396,791.08 REVENUES $0.00 $0.00 $0.00 EXPENSES ($0.00) ($0.00) $0.00 ENDING BALANCE $2,396,791.08 $2,396,791.08 $2,396,791.08 BUDGETED BALANCES - UNOBLIGATED ($335,093.43) PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES ($0.00) AVAILABLE FOR BUDGET $2,061,697.65 FY 2027 PROPOSED EXECUTIVE BUDGET 21 DATA PROCESSING REVOLVING FUND The Data Processing Revolving Fund was created pursuant to Title 33, Chapter 111, Section 3016, VIC. It consists of all monies paid or otherwise made available to the Government of the Virgin Islands for the development of data processing systems, or in payment for data processing services provided to agencies and departments or instrumentalities. The Fund shall be disbursed by the Commissioner of Finance exclusively for the expenditure of the Department of Finance for any supplies and equipment, contractual services, and other necessary services as may be incidental thereto, for the operation and maintenance of data processing services within the Department of Finance. FUND - 6050 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE ($85,508.52) ($84,477.47) ($82,305.07) REVENUES $16,872.60 $100.00 $2,072.40 EXPENSES ($15,841.55) ($0.00) ($0.00) ENDING BALANCE ($84,477.47) ($84,305.07) ($82,305.07) BUDGETED BALANCES - UNOBLIGATED $0.00 PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET ($82,305.07) DISTRICT PUBLIC ROAD FUND The District Public Road Fund consists of four separate accounts: St. Croix Public Road Account; St. Thomas Public Road Account; St. John Public Road Account; and the Water Island Public Road Account. Two percent (2%) of all property taxes collected for each island shall be deposited into the respective island's Public Road Account. The Commissioner of Finance shall make distribution of property tax collections into each island's Public Road Account within 30 days from the end of each quarter. In addition to the two percent (2%) of all property taxes collected for each island before October 1, of each year, two percent (2%) of all delinquent property taxes, including interest, paid after October 1 of each fiscal year, shall be deposited into the respective island's Public Road Account. The Commissioner of Finance shall make available, out of the funds in each island's Public Road Account, disbursements for expenditures under the direct control of the Engineering Division of the Department of Public Works exclusively for the repair of the respective island's local public roads, including drainage, maintenance, pavement and beautification. The Commissioner of Finance shall maintain and provide for the administration of each island's Public Road Account. FUND - 3034 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $3,172,680.80 $3,663,826.40 $4,506,617.88 REVENUES $1,210,770.18 $1,086,944.72 $0.00 EXPENSES ($654,424.97) ($244,153.24) ($122,994.81) ADJUSTMENTS $(65,199.61) $0.00 $0.00 ENDING BALANCE $3,663,826.40 $4,506,617.88 $4,383,623.07 BUDGETED BALANCES - UNOBLIGATED ($2,058,975.64) PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES ($7,505.90) AVAILABLE FOR BUDGET $2,317,141.53 EMERGENCY SERVICES FUND The Emergency Services Fund was created pursuant to Title 33, Chapter 111, Section 3099, VIC, and amended by Act No. 6333, Section 29. It consists of all the proceeds from the emergency surcharges added to any telephone, electrical, sewage, or other utility bill or tax schedule; grants, donations, and gifts specifically for the use set forth of this fund; and all sums appropriated by the Legislature. Monies in the Emergency Services Fund shall be expended by the Commissioner of Health, the Director of VITEMA, or the Director of Fire and Emergency Medical Services for the purchase of equipment, professional services, or supplies necessary to provide, maintain, and improve the emergency medical services, fire services, or 911 emergency services and equipment. FUND - 2152 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $3,150,933.31 $4,492,877.38 $3,569,440.92 REVENUES $3,307,029.48 $1,563,731.90 $729,582.30 EXPENSES ($1,849,704.34) ($2,649,170.02) ($880,063.62) ADJUSTMENTS ($115,381.07) $162,001.66 ($0.00) ENDING BALANCE $4,492,877.38 $3,569,440.92 $3,418,959.60 BUDGETED BALANCES - UNOBLIGATED ($1,532,889.65) PAYMENTS IN PROCESS ($199,131.02) REQUISITIONS IN PROCESS ($72,820.53) ENCUMBRANCES ($1,151,187.40) AVAILABLE FOR BUDGET $462,931.00 FY 2027 PROPOSED EXECUTIVE BUDGET 22 FINANCIAL SERVICES FUND The Financial Services Fund was created pursuant to Act No. 6727, Section 15. The fund shall consist of all monies collected by the Division of Banking and Insurance of the Office of the Lieutenant Governor pursuant to Title 9, VIC, and such sums as appropriated by the Legislature, all of which remain available until expended. Monies shall be disbursed from the fund by the Commissioner of Finance, upon authorization and direction of the Lieutenant Governor, for the purpose of providing staffing and services, purchasing and maintenance of equipment, and for such other utilization as may be determined by the Banking Board of the Virgin Islands. FUND - 2102/2103 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $11,817,012.66 $13,230,169.93 $15,162,064.88 REVENUES $6,377,494.24 $6,594,979.72 $5,703,820.00 EXPENSES ($4,890,438.83) ($4,663,084.77) ($1,704,487.76) ADJUSTMENT ($73,898.14) ($0.00) ($0.00) ENDING BALANCE $13,230,169.93 $15,162,064.88 $19,161,397.12 BUDGETED BALANCES - UNOBLIGATED ($11,923,985.94) PAYMENTS IN PROCESS ($352,004.23) REQUISITIONS IN PROCESS ($11,547.18) ENCUMBRANCES ($318,579.76) AVAILABLE FOR BUDGET $6,555,280.01 FIRE SERVICE EMERGENCY FUND The Fire Service Emergency Fund was created pursuant to Title 33, Chapter 111, Section 3032, VIC. The fund shall consist of all sums appropriated thereto from time to time by the Legislature, all monies collected from inspections of buildings and premises, and all fees and charges collected for fines and charges for permits, certified copies of reports, and other services provided by the Virgin Islands Fire and Emergency Medical Services. The monies in the fund shall be disbursed by the Commissioner of Finance, upon authorization by the Director of the Virgin Islands Fire and Emergency Medical Services, for payments of extraordinary expenses incurred in fighting fires and other emergencies involving the Virgin Islands Fire and Emergency Medical Services. The fund may also be utilized for the hiring of fire inspectors and for purchasing firefighting equipment and supplies. FUND - 2158 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $418,182.57 $790,509.49 $768,983.70 REVENUES $817,299.00 $747,295.75 $344,076.00 EXPENSES ($444,972.08) ($768,821.54) ($430,433.56) ENDING BALANCE $790,509.49 $768,983.70 $682,626.14 BUDGETED BALANCES - UNOBLIGATED ($21,384.60) PAYMENTS IN PROCESS ($56,306.44) REQUISITIONS IN PROCESS ($946.40) ENCUMBRANCES ($28,256.09) AVAILABLE FOR BUDGET $575,732.61 FISH AND GAME FUND The Fish and Game Fund was created pursuant to Title 12, Chapter 1, Section 81, VIC. It consists of all the proceeds from all hunting and firearms licenses, excise taxes on firearms, parts and ammunition, and all fines imposed by the courts for violations of the fish, game, or conservation laws. The Commissioner of Finance is directed to maintain and disburse funds upon the request of the Commissioner of Planning and Natural Resources, only for the purpose of wildlife restoration projects and in administering and enforcing fish, game, and conservation laws. FUND - 2006/2007 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $575,643.78 $679,240.48 $1,217,514.57 REVENUES $340,865.39 $737,169.71 $91,258.00 EXPENSES ($237,268.69) ($198,895.62) ($136,875.86) ENDING BALANCE $679,240.48 $1,217,514.57 $1,171,896.71 BUDGETED BALANCES - UNOBLIGATED ($906,387.12) PAYMENTS IN PROCESS ($66,941.32) REQUISITIONS IN PROCESS ($0.00) ENCUMBRANCES ($79,946.78) AVAILABLE FOR BUDGET $118,621.49 FY 2027 PROPOSED EXECUTIVE BUDGET 23 GIS DATA ACCESS FUND The GIS Data Access Fund was created pursuant to Title 1, Chapter 5, Section 91, VIC. This non-appropriated fund supports expenditures related to the development and maintenance of the Virgin Islands GIS framework. FUND - 6051 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $193,780.78 $189,030.78 $200,230.78 REVENUES $250.00 $11,200.00 $10,000.00 EXPENSES ($5,000.00) ($0.00) $0.00 ADJUSTMENTS $0.00 $0.00 $0.00 ENDING BALANCE $189,030.78 $200,230.78 $210,230.78 BUDGETED BALANCES - UNOBLIGATED $(25,000.00) PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET $185,230.78 HEALTH PRO DEV/ENHANCE FUND The Health Pro Dev/Enhance Fund is a non-appropriated fund utilized by the VI Department of Heath. The Fund is primarly funded by community grants and is used to facilitate community outreach and other community health projects. FUND - 6017 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $3,466,367.95 $3,843,368.46 $3,988,219.12 REVENUES $896,264.57 $537,639.79 $113,206.07 EXPENSES ($516,328.86) ($392,789.13) ($86,240.03) ADJUSTMENT ($2,935.20) ($0.00) ($0.00) ENDING BALANCE $3,843,368.46 $3,988,219.12 $4,015,185.16 BUDGETED BALANCES - UNOBLIGATED ($1,703,243.26) PAYMENTS IN PROCESS ($33,909.94) REQUISITIONS IN PROCESS ($6,888.00) ENCUMBRANCES ($135,187.48) AVAILABLE FOR BUDGET $2,135,956.48 HEALTH REVOLVING FUND (NEW) The Health Revolving Fund was created pursuant to Title 33, Chapter 111, Section 3017, VIC. It consists of all revenues derived from the Department of Health, medical fees which are authorized to be charged for dental and medical services, all payments by the Department of Human Services under its contract with the Department of Health covering medical care for the aged, and all sums reimbursable to the Department of Health of the Virgin Islands from Federal Grants-in-Aid Programs, for costs of services rendered to all eligible patients receiving outpatient services from the Department. The Governor, upon the recommendation of the Director of the Office of Management and Budget, and with the approval of the Legislature or the Finance Committee of the Legislature, if the Legislature is not in session, is hereby authorized to make transfers from the Health Revolving Fund to the General Fund. FUND - 6078/6079 (NEW) ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $7,637,123.18 $4,961,056.68 $5,311,015.38 REVENUES $1,188,254.68 $1,861,286.37 $735,615.44 EXPENSES ($4,211,930.82) ($1,511,327.67) ($581,631.22) ADJUSTMENTSS $347,609.64 ($0.00) $0.00 ENDING BALANCE $4,961,056.68 $5,311,015.38 $5,464,999.60 BUDGETED BALANCES - UNOBLIGATED ($624,508.58) PAYMENTS IN PROCESS ($225,113.87) REQUISITIONS IN PROCESS ($144,438.65) ENCUMBRANCES ($204,790.57) AVAILABLE FOR BUDGET $4,266,147.93 FUND BALANCES - PART II AS OF 3/31/2026 FY 2027 PROPOSED EXECUTIVE BUDGET 24 HOME FOR THE AGED REVOLVING FUND The Home for the Aged Revolving Fund was created pursuant to Title 34, Chapter 1, Section 18, VIC. The fund shall consist of all sums appropriated thereto from time to time by the Legislature, payments and contributions received from the residents of the homes or their relatives responsible by law for the residents’ support for the actual cost of maintaining residents at the homes, and any gifts or bequests. Monies shall be disbursed from the fund by the Commissioner of Finance, upon authorization from the Commissioner of Human Services, for the purposes of maintaining and operating the homes and may be utilized to purchase equipment. All monies in the fund shall remain available until expended. FUND - 6064/6065 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $491,869.41 $656,306.88 $710,983.59 REVENUES $243,662.23 $82,110.34 $14,278.00 EXPENSES ($90,015.33) ($27,433.63) ($1,179.52) ADJUSTMENTS $10,709.57 ENDING BALANCE $656,306.88 $710,983.59 $724,082.07 BUDGETED BALANCES - UNOBLIGATED ($6,912.16) PAYMENTS IN PROCESS ($0.00) REQUISITIONS IN PROCESS ($0.00) ENCUMBRANCES ($0.00) AVAILABLE FOR BUDGET $717,169.91 HORSE RACING IMPROVEMENT FUND The Horse Racing Improvement Fund was created pursuant to Title 33, Chapter 111, Section 3044 and is consisting of such monies as may be appropriated thereto, from time to time, all receipts collected from horse racing not otherwise specifically directed to be deposited in another fund, except the General Fund, and five percent (5%) of all revenues from gate receipts, concessions and parking fees. The five percent (5%) of gate receipts, concessions and parking fees shall be due and payable to the Commissioner of Finance for deposit into the Fund at the time the gross receipts tax on performances is paid pursuant to section 47 of this title. Monies deposited in the Horse Racing Improvement Fund may be spent on improvements to and maintenance of horse racing within the Virgin Islands, and for operations of the Racing Commissions. FUND - 2010 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $303,777.75 $674,847.77 $(149,307.23) REVENUES $525,861.02 $270,845.00 $1,438,401.90 EXPENSES ($154,791.00) ($1,095,000.00) $(91,910.50) ENDING BALANCE $674,847.77 $(149,307.23) $1,197,184.17 BUDGETED BALANCES - UNOBLIGATED $(28,298.50) PAYMENTS IN PROCESS REQUISITIONS IN PROCESS ENCUMBRANCES AVAILABLE FOR BUDGET $1,168,885.67 INDIRECT COST FUND The Indirect Cost Fund was created pursuant to Title 33, Chapter 111, Section 3025, VIC. It consists of all eligible grants-in-aid payment of the allowable indirect cost of such grants. The Indirect Cost Fund shall be utilized for the purposes of improving federal grants administration and management in the Territory and increasing the Virgin Islands’ participation in Federal grant- inaid programs, including but not limited to, grant, budget, and accounting assistance, grant proposal development, grant management training, special studies, and acquisition of equipment intended for the improvement of central administration, accounting, or reporting of Federal grant programs, and other purposes. FUND - 2096/2097/2098 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $1,790,249.34 $3,822,545.71 $2,111,282.46 REVENUES $9,742,091.59 $4,152,378.70 $2,648,857.54 EXPENSES ($7,492,597.33) ($5,858,026.95) ($1,728,684.78) ADJUSTMENT ($217,197.89) ($5,615.00) ENDING BALANCE $3,822,545.71 $2,111,282.46 $3,031,455.22 BUDGETED BALANCES - UNOBLIGATED ($2,632,847.76) PAYMENTS IN PROCESS ($1,438,982.26) REQUISITIONS IN PROCESS ($69,006.77) ENCUMBRANCES ($1,623,362.92) AVAILABLE FOR BUDGET ($2,732,744.49) FY 2027 PROPOSED EXECUTIVE BUDGET 25 INTEREST REVENUE FUND The Interest Revenue Fund was created pursuant to Title 33, Chapter 111, Section 3026a, VIC, to provide the accounting mechanism for the collection and disbursement of unrestricted funds as they relate to interest earned. All revenues of the Government of the Virgin Islands derived from interest earned on deposits of governmental funds, except interest earned on funds which the government holds or administers as custodian or trustee, or any interest revenues which by law are paid into other special funds of the Treasury, are deposited into this fund. Therefore, no funds are available for expenditure except as provided by the Legislature, that appropriates amounts as a contribution to the General Fund. FUND - 2046/2047 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $788,488.05 $899,499.17 $1,037,550.57 REVENUES $72,843.52 $138,036.85 $88,177.61 EXPENSES $0.00 $0.00 $0.00 ADJUSTMENTS $38,167.60 $14.55 $0.00 ENDING BALANCE $899,499.17 $1,037,550.57 $1,125,728.18 BUDGETED BALANCES - UNOBLIGATED $0.00 PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET $1,125,728.18 JUNIOR RESERVE OFFICER TRAINING (JROTC) FUND The JROTC Fund was established as a distinct fund within the Treasury of the Virgin Islands pursuant to Title 33, Chapter 111, Section 3078, VIC. The fund shall consist of all sums appropriated by the Legislature, all gifts, requests, or contributions made to the fund and all federal money returned to the local government as reimbursement of salaries for JROTC instructors. Monies shall be disbursed by the Commissioner of Finance, upon the certification of the Commissioner of Education, for JROTC activities including the cost of travel for cadets, purchase of equipment, supplies, and other related expenditures. FUND - 2046/2047 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $1,242,347.80 $1,369,846.92 $1,616,365.81 REVENUES $385,260.39 $433,550.99 $84,090.01 EXPENSES $(257,761.27) $(187,032.10) ($82,252.92) ADJUSTMENTS 0.00 0.00 $0.00 ENDING BALANCE $1,369,846.92 $1,616,365.81 $1,618,202.90 BUDGETED BALANCES - UNOBLIGATED ($1,019,557.44) PAYMENTS IN PROCESS ($11,128.94) REQUISITIONS IN PROCESS ($29,930.00) ENCUMBRANCES ($42,165.77) AVAILABLE FOR BUDGET $515,420.75 LEGAL PUBLICATIONS FUND Pursuant to Title 3, Chapter 3, Subsection 34, the Legal Publications Revolving Fund was created and constitutes of all monies received by the Office of Legal Publications in payment for publications from any purchaser including the Government of the United States Virgin Islands, its agencies, departments or instrumentalities, together with any and all other donations, gifts, grants or otherwise received by the Office of Legal Publications, as well as so much of the annual appropriations for operation of the Office of the Lieutenant Governor as the Lieutenant Governor may transfer to the Legal Publications Revolving Fund. All monies deposited into the Legal Publications Revolving Fund shall be disbursed by the Commissioner of Finance exclusively for the expenditure by the Lieutenant Governor, for any and all supplies and equipment, contractual services and such other necessary services as may be incidental thereto for the operation and maintenance of the Office of Legal Publications. The Lieutenant Governor or his designee shall be Certifying Officer for such disbursements. FUND - 6040 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $945,772.36 $927,924.35 $939,316.20 REVENUES $49,282.00 $41,020.00 $24,223.00 EXPENSES ($67,130.01) ($29,628.15) ($11,716.53) ADJUSTMENTS ENDING BALANCE $927,924.35 $939,316.20 $951,822.67 BUDGETED BALANCES - UNOBLIGATED ($860,759.24) PAYMENTS IN PROCESS ($0.00) REQUISITIONS IN PROCESS ENCUMBRANCES ($67,145.36) AVAILABLE FOR BUDGET $23,918.07 FY 2027 PROPOSED EXECUTIVE BUDGET 26 LIBRARIES AND MUSEUMS REVOLVING FUND The Libraries, Archives and Museums Revolving Fund was created as a separate fund within the Treasury of the Virgin Islands, pursuant to VIC Title 22, Chapter 111, Section 3059 and is composed of fines collected by the Office of Libraries and Archives of the Department of Planning and Natural Resources (“Office”) on overdue books or other material taken on loan; reimbursement to the Office for lost or damaged library or museum materials; charges by the Office for microfilming and photoduplicating services performed for members of the general public or governmental agencies; public or private monetary grants, gifts, donations, bequests or devises to the libraries, museums and archeological services within the Office's jurisdiction; proceeds from sales at commercial outlet operated at and by such libraries and museums; a portion of the proceeds, to be agreed upon by the Director of the Office and the gift shop operators, from sales at private gift shops operated on the premises of such libraries and museums; and all sums appropriated thereto, from time to time, by the Legislature of the Virgin Islands. FUND - 6042 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $157,127.71 $184,617.21 $285,097.32 REVENUES $112,328.00 $148,526.58 $69,196.01 EXPENSES ($84,838.50) ($48,046.47) ($15,136.18) ADJUSTMENTS $0.00 $0.00 $0.00 ENDING BALANCE $184,617.21 $285,097.32 $339,157.15 BUDGETED BALANCES - UNOBLIGATED ($174,164.70) PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES ($3,070.77) AVAILABLE FOR BUDGET $164,992.45 NATURAL RESOURCES RECLAMATION FUND Pursuant to VI Code, Title 12, Chapter 21, the Commissioner of Finance is directed to maintain and provide for the administration of the Natural Resources Reclamation fund as a separate and distinct fund in the Treasury, and to authorize disbursements therefrom, upon the certification of the Commissioner, to meet expenses incurred in the administration and enforcement of the provisions of the chapter and in the discharge of the Commission's duties thereunder. The Fund shall consist of permit and other fees and fines paid pursuant to the provisions of the chapter, and such other funds as may from time to time be appropriated thereto by the Legislature. However, if the balance in the Natural Resources Reclamation Fund equals $275,000, all monies which would otherwise be covered into such Fund shall be deposited in the General Fund. FUND - 2054/2055 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $9,852,411.09 $9,654,939.11 $9,875,549.95 REVENUES $3,383,324.72 $3,113,007.86 $1,349,687.26 EXPENSES ($3,456,402.55) ($2,892,397.02) ($1,082,285.69) ADJUSTMENTS ($124,394.15) ($0.00) $0.00 ENDING BALANCE $9,654,939.11 $9,875,549.95 $10,142,951.52 BUDGETED BALANCES - UNOBLIGATED ($8,192,263.59) PAYMENTS IN PROCESS ($295,508.89) REQUISITIONS IN PROCESS ($43,135.95) ENCUMBRANCES ($282,089.90) AVAILABLE FOR BUDGET $1,329,953.19 NURSE LICENSURE REVOLVING FUND VI Code Title 27, Chapter 1, Subchapter IV, Subsection 97, prescribes the establishment of the Board of Nurse Licensure Revolving Fund in which shall be deposited all monies received in the form of fees by the Board of Nurse Licensure. Monies shall be disbursed from the Nurse Licensure Revolving Fund by the Commissioner of Finance, upon the certification of the Chairman of the Board of Nurse Licensure, to pay the administrative expenses of the Board. FUND - 6054 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $475,692.18 $509,988.26 $459,983.22 REVENUES $163,462.00 $179,708.00 $77,972.00 EXPENSES ($125,651.84) ($229,713.04) ($94,584.80) ADJUSTMENTS ($3,514.08) ($0.00) $0.00 ENDING BALANCE $509,988.26 $459,983.22 $443,370.42 BUDGETED BALANCES - UNOBLIGATED ($154,615.73) PAYMENTS IN PROCESS ($12,599.09) REQUISITIONS IN PROCESS ($11,649.23) ENCUMBRANCES ($20,238.35) AVAILABLE FOR BUDGET $244,268.02 FY 2027 PROPOSED EXECUTIVE BUDGET 27 PEACE OFFICER STANDARDS AND TRAINING FUND Pursuant to VI Code, Title 33, subsection 3051c, the Peace Office Training Fund was established as a separate and distinct fund within the Treasury of the Government of the Virgin Islands. The Fund consists of all sums appropriated thereto from time to time by the Legislature, all monies received by the Government pursuant to title 5, section 3504, of the code and two dollars of the fees collected under title 20, section 433, subsection (a) of the code, and all gifts, contributions and bequests of all monies made thereto. Monies deposited in the Fund shall be disbursed by the Commissioner of Finance, upon warrant of the Peace Officer Standards and Training Council, exclusively for the following purposes: (1) Training of peace officers within the territory in a prescribed curriculum approved by the Council; (2) salaries, costs and expenses relating to such training as provided in Item (1); and (3) such capital expenditures as the Council may provide for the acquisition, construction and/or improvement of a training academy. FUND - 2284 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $595,068.76 $506,071.54 $652,912.43 REVENUES $353,910.33 $590,704.22 $523,364.55 EXPENSES ($419,704.22) ($443,863.33) ($168,343.53) ADJUSTMENTS ($23,203.33) ($0.00) $0.00 ENDING BALANCE $506,071.54 $652,912.43 $1,007,933.45 BUDGETED BALANCES - UNOBLIGATED ($338,814.83) PAYMENTS IN PROCESS ($0.00) REQUISITIONS IN PROCESS ($0.00) ENCUMBRANCES ($3,826.08) AVAILABLE FOR BUDGET $665,292.54 PERSONALIZED LICENSE PLATE FUND The Personalized License Plate Fund was created pursuant to Title 33, Chapter 111, Section 3065, VIC. Monies collected from the sale of license plates shall be deposited into the Fund and shall be appropriated. The Commissioner of Finance shall disburse fifty percent of the Fund upon the certification of the Director of the Bureau of Motor Vehicles and the remaining fifty percent shall be deposited into the General Fund. FUND - 2120 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $971,590.41 $1,480,338.01 $1,826,308.07 REVENUES $2,361,052.59 $1,837,180.00 $897,738.27 EXPENSES ($1,844,904.77) ($1,491,209.94) ($558,791.31) ADJUSTMENT ($7,400.22) ($0.00) ENDING BALANCE $1,480,338.01 $1,826,308.07 $2,165,255.03 BUDGETED BALANCES - UNOBLIGATED ($1,228,285.30) PAYMENTS IN PROCESS ($68,156.79) REQUISITIONS IN PROCESS ($18,251.46) ENCUMBRANCES ($39,644.17) AVAILABLE FOR BUDGET $810,917.31 PHARMACEUTICAL ASSISTANCE TO THE AGED FUND The Pharmaceutical Assistance to the Aged Special Fund was created pursuant to Title 33, Chapter 111, Section 3073, VIC. The fund shall consist of all sums appropriated thereto from time to time by the Legislature and fifteen percent of the total revenues collected by the Virgin Islands Lottery pursuant to Act No. 6645. The funds shall be used to provide financial assistance to certain individuals, (60) years of age and over, for their acquisition of prescription drugs, including refills of prescription drugs. FUND - 2146 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $6,273,961.17 $8,371,233.11 $16,032,580.11 REVENUES $3,128,897.77 $8,073,043.02 $1,704,698.01 EXPENSES ($1,149,501.28) ($411,696.02) ($1,080,522.72) ADJUSTMENT $117,875.45 ENDING BALANCE $8,371,233.11 $16,032,580.11 $16,656,755.40 BUDGETED BALANCES - UNOBLIGATED ($910,282.01) PAYMENTS IN PROCESS ($712,860.97) REQUISITIONS IN PROCESS ($1,273.00) ENCUMBRANCES ($1,741,558.40) AVAILABLE FOR BUDGET $13,290,781.02 PROPERTY & PROCUREMENT PRINT JOB FUND The Property & Procurement Print Job Fund was created pursuant to Title 3, Chapter 13, Section 218, VIC and Title 31, Chapter 21 Seciton 203, VIC. The fund is used for printing production of the three branches of Government as well as servicing businesses and the private sector which is done by the Government Printing Office and managed by the Department of Property and Procurement. FUND - 6016 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $928,869.75 $1,246,815.44 $1,432,130.94 REVENUES $823,070.81 $819,041.51 $467,200.84 EXPENSES ($505,125.12) ($633,726.01) ($103,382.64) ENDING BALANCE $1,246,815.44 $1,432,130.94 $1,795,949.14 BUDGETED BALANCES - UNOBLIGATED ($232,322.52) PAYMENTS IN PROCESS ($56,092.89) REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES ($13,225.14) AVAILABLE FOR BUDGET $1,494,308.59 FY 2027 PROPOSED EXECUTIVE BUDGET 28 PUBLIC PARKING LOT FUND There is established a special fund in the Treasury of the Virgin Islands designated as the Public Parking Lot Fund consisting of four separate accounts: St. Croix Public Parking Lot Fund; St. Thomas Public Parking Lot Fund; St. John Public Parking Lot Fund; and Water Island Public Parking Lot Fund. All fees collected for the use of public parking lots on each island shall be deposited in the respective island's Public Parking Lot Fund. The Commissioner of Finance shall make available, out of the funds in each island's Public Parking Lot Fund, disbursements to the Department of Public Works, for upgrades and repairs to the respective island's public parking lot. The Commissioner of Finance shall maintain and provide for the administration of each island's fund, and no funds therein shall be available for expenditure, except as provided in this section. FUND - 3040 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $1,973,083.66 $2,062,738.51 $891,405.39 REVENUES $180,520.00 $69,099.00 $87,959.72 EXPENSES ($90,865.15) ($1,240,432.12) ($714,644.31) ADJUSTMENTS $0.00 $0.00 $0.00 ENDING BALANCE $2,062,738.51 $891,405.39 $264,720.80 BUDGETED BALANCES - UNOBLIGATED ($83,481.75) PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES ($86,250.73) AVAILABLE FOR BUDGET $94,988.32 PUBLIC SERVICES COMMISSION REVOLVING FUND The Public Services Commission Revolving Fund was established in the Treasury of the Virgin Islands as a special revolving fund pursuant to Title 33, Chapter 111, Section 3077, VIC. All monies therein shall be used exclusively to pay the necessary and proper expenses of the Public Services Commission. The Fund shall consist of all sums appropriated thereto by the Legislature and all fees which are derived from annual assessments of utilities up to the ceiling amount established in Title 30, Section 25a, subsection (b), VIC, which fees shall be deposited into the Fund. All monies contained in the Fund shall constitute the annual budget of the Commission. FUND - 6032 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $2,214,748.71 $739,202.40 $1,327,610.40 REVENUES $486,879.71 $2,803,930.52 $467,441.23 EXPENSES ($1,878,556.70) ($2,215,522.52) ($854,053.26) ADJUSTMENT ($83,869.32) ($0.00) ENDING BALANCE $739,202.40 $1,327,610.40 $940,998.37 BUDGETED BALANCES - UNOBLIGATED ($0.00) PAYMENTS IN PROCESS ($219,676.05) REQUISITIONS IN PROCESS ($997.62) ENCUMBRANCES ($24,103.44) AVAILABLE FOR BUDGET $696,221.26 REAL ESTATE APPRAISERS BOARD FUND The Real Estate Appraisers Fund shall consist of all proceeds from Title 27, Chapter 16, VIC; and all sums appropriated thereto, from time to time, by the Legislature of the Virgin Islands. The Commissioner of Finance shall disburse monies from the fund upon authorization of the Board of Real Estate Appraisers specifically for examinations and all related expenses of the Board. FUND - 2012 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $153,957.36 $153,789.67 $161,569.67 REVENUES $10,855.00 $8,930.00 $12,280.00 EXPENSES ($11,022.69) ($1,150.00) ($8,253.00) ENDING BALANCE $153,789.67 $161,569.67 $165,596.67 BUDGETED BALANCES - UNOBLIGATED ($23,662.00) PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET $141,934.67 RECIPROCAL INSURANCE FUND Title 27, Chapter 1, Subsection IX established as a separate and distinct fund in the Treasury of the Virgin Islands the Reciprocal Insurance Revolving Fund. The Fund shall consist of amounts appropriated by the Legislature and annual assessments in the sum of $1,000 from each physician licensed to practice medicine in the Territory. The Commissioner of Finance shall also assess and collect from every health care provider, other than a health care provider who pays a fee under section (c) of the section, a sum as determined by the Board of Directors of a reciprocal insurance company entitled to receive money from the Fund. A physician who is a full-time employee of the Department of Health and not in private practice shall be exempt from these assessments. FUND - 6066/6067 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $633,617.59 $1,179,695.55 $755,705.21 REVENUES $973,785.93 $645,266.50 $16,777.65 EXPENSES ($426,446.91) ($1,069,256.84) ($386,764.89) ADJUSTMENT ($1,261.06) ($0.00) ENDING BALANCE $1,179,695.55 $755,705.21 $385,717.97 BUDGETED BALANCES - UNOBLIGATED ($0.0) PAYMENTS IN PROCESS ($8,994.00) REQUISITIONS IN PROCESS ($0.00) ENCUMBRANCES ($0.00) AVAILABLE FOR BUDGET $376,723.97 FY 2027 PROPOSED EXECUTIVE BUDGET 29 RECORDER OF DEEDS REVOLVING FUND The monies in the Fund shall remain available until expended; except that, whenever the balance of the Recorder of Deeds Fund equals or exceeds $200,000, the Commissioner of Finance shall deposit any amounts over $200,000 into the General Fund. The Commissioner of Finance shall disburse all monies pertaining to the Fund, upon the authorization of the Lieutenant Governor for data warehousing, providing public access via the internet, the purchase and maintenance of software, hardware, and licensing agreements, the hiring and training of personnel and for the procurement of such other supplies, equipment, and professional services as the Lieutenant Governor determines to be necessary for maintaining and improving the Recorder of Deeds Office. The Commissioner of the Department of Finance shall maintain a record of all monies deposited into and disbursed from the Office of the Recorder of Deeds Fund and shall submit an annual report on the financial status of the Fund to the Governor and the Legislature. FUND - 6104 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $675,849.95 $798,007.65 $856,190.58 REVENUES $200,000.00 $200,000.00 $0.00 EXPENSES ($77,842.30) ($141,817.07) ($56,138.94) ADJUSTMENTS ($0.00) ($0.00) $0.00 ENDING BALANCE $798,007.65 $856,190.58 $800,051.64 BUDGETED BALANCES - UNOBLIGATED ($122,196.06) PAYMENTS IN PROCESS ($0.00) REQUISITIONS IN PROCESS ($0.00) ENCUMBRANCES ($12,99.00) AVAILABLE FOR BUDGET $664,856.58 SEWER WASTEWATER FUND The Sewer Wastewater Fund was created pursuant to Title 33, Chapter 111, Section 3076, VIC. It consists of all sums received under the user charge system established by Titles 19 and 33, VIC, all sums appropriated thereto from time to time by the Legislature, and all sums received from departments and agencies of the United States Government for the maintenance and operation of the public sewer wastewater system. Monies deposited in the Fund shall be appropriated annually and disbursed by the Commissioner of Finance, at the direction of the Virgin Islands Waste Management Authority, for the operation, parts, supplies, maintenance, related expenses, control, and regulation of the public sewer wastewater system. FUND - 2075 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $2,511,431.94 $2,645,927.02 $1,000,000.02 REVENUES $1,134,495.08 $0.00 $0.00 EXPENSES ($1,000,000.00) ($1,645,927.00) ($1,000,000.00) ENDING BALANCE $2,645,927.02 $1,000,000.02 $0.02 BUDGETED BALANCES - UNOBLIGATED ($0.00) PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET $0.02 ST. JOHN CAPITAL IMPROVEMENT FUND The St. John Capital Improvement Fund was created as a separate and distinct fund in the Treasury of the Virgin Islands pursuant to Title 33, Chapter 111, Section 3057, VIC. All monies deposited in such fund shall be appropriated by law exclusively for capital improvement projects, road maintenance, solid waste collection and disposal, and the maintenance and operation of the sewage system on the island of St. John. The source of revenue for this fund is all payments made by the Government of the United States to the Government of the Virgin Islands in any fiscal year as payment in lieu of taxes on property owned by the Government of the United States. Further, in each fiscal year, one million five hundred thousand dollars ($1,500,000) of the amount collected by the Government of the Virgin Islands as taxes on real property shall be deposited into this fund. FUND - 3018/3019 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $7,697,376.30 $9,146,003.80 $10,646,003.80 REVENUES $198,627.50 $1,500,000.00 $0.00 EXPENSES ($250,000.00) ($0.00) ($0.00) ADJUSTMENTS $1,500,000.00 $0.00 $0.00 ENDING BALANCE $9,146,003.80 $10,646,003.80 $10,646,003.80 BUDGETED BALANCES - UNOBLIGATED ($2,807,895.58) PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET $7,838,108.22 FY 2027 PROPOSED EXECUTIVE BUDGET 30 TAX ASSESSOR'S REVOLVING FUND The Tax Assessor’s Revolving Fund was created pursuant to Title 33, Chapter 87, Section 2456, VIC. The Fund shall consist of one percent of the real property taxes collected annually by amount not to exceed five hundred thousand dollars ($500,000) per annum, and such sums appropriated by the Legislature, all of which shall remain available until expended. Monies shall be disbursed by the Commissioner of Finance, upon the authorization of the Lieutenant Governor, for purchasing and maintaining data processing equipment, staffing and training of personnel, and the purchase and procurement of supplies, equipment, and professional services determined by the Lieutenant Governor for maintaining and improving the Office of the Tax Assessor. FUND - 2082 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $1,157,668.87 $1,121,404.49 $1,154,939.88 REVENUES $500,000.00 $500,000.00 $0.00 EXPENSES ($536,264.38) ($466,464.61) ($100,301.62) ENDING BALANCE $1,121,404.49 $1,154,939.88 $1,054,638.26 BUDGETED BALANCES - UNOBLIGATED ($399,218.17) PAYMENTS IN PROCESS ($0.00) REQUISITIONS IN PROCESS ($0.00) ENCUMBRANCES ($9,290.86) AVAILABLE FOR BUDGET $646,129.23 TAXI LICENSE FUND The Taxi License Fund was created pursuant to Title 33, Chapter 111, Section 3067, VIC. It consists of all monies required to be covered into the fund in accordance with Title 20, Section 435, VIC. No money in the Fund shall be available for expenditure except as appropriated from the Fund for the operation of the Virgin Islands Taxicab Division of the Department of Licensing and Consumer Affairs, or for other purposes as specified by law. FUND - 2114 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE ($290,410.94) ($140,845.49) $26,923.02 REVENUES $497,745.86 $419,367.00 $56,214.01 EXPENSES ($328,239.03) ($251,598.49) ($64,489.97) ADJUSTMENT ($19,941.38) ($0.00) ($0.00) ENDING BALANCE ($140,845.49) $26,923.02 $18,647.06 BUDGETED BALANCES - UNOBLIGATED $0.00 PAYMENTS IN PROCESS ($15,394.94) REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES ($0.00) AVAILABLE FOR BUDGET $3,252.12 TERRITORIAL PARK FUND Title 32, Chapter 2A, Subsection 31 established the Territorial Park Trust Fund. Investment earnings credited to the assets of the Fund shall become part of the Fund. All monies shall remain in the Fund until expended. Money shall be disbursed from the Fund by the Commissioner of Finance, upon the authorization of the Board. As the Government acquires land pursuant to the chapter, the Chairperson of the Board shall direct the Commissioner of Finance to set aside an amount from the Fund not to exceed twenty percent of the value of the land acquired, or the land affected, if less than a fee interest was acquired, to be placed in a special stewardship account in the Fund. The special stewardship account shall be a non-lapsing account, and income derived from investment of the account shall be credited to the account. The special stewardship account shall be used solely for the management of land acquired under this chapter, as directed by the Board. FUND - 6006 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $875,541.99 $611,060.35 $848,016.87 REVENUES $307,207.10 $305,328.08 $156,579.50 EXPENSES ($571,688.74) ($68,371.56) ($68,993.49) ENDING BALANCE $611,060.35 $848,016.87 $935,602.88 BUDGETED BALANCES - UNOBLIGATED ($315,329.60) PAYMENTS IN PROCESS ($34924.00) REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES ($151,887.32) AVAILABLE FOR BUDGET $433,461.96 FUND BALANCES - PART III AS OF 3/31/2026 FY 2027 PROPOSED EXECUTIVE BUDGET 31 TERRITORIAL SCHOLARSHIP FUND The Territorial Scholarship Fund was created pursuant to Title 17, Chapter 15, Section 171, VIC. It consists of all funds, donations, gifts, devises, bequests, and all other kinds of contributions of real or personal property from persons, corporations, partnerships, trust funds, charitable, or other organizations, domestic, national or foreign, as may be made to the said fund from time to time and any other sums covered into the fund pursuant to law, as well as any contributions to the said fund as may be appropriated by the Legislature. The Fund shall also consist of an annual appropriation of a sum of not less than fifteen thousand dollars ($15,000) from the budget of the Government. The Commissioner of Finance shall be the trustee of the Fund and shall make such scholarship grants and loans out of the Fund as may be authorized by the Virgin Islands Board of Education. FUND - 8010/8011 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $491,006.55 $1,315,209.83 $2,281,291.91 REVENUES $824,008.23 $983,582.08 $478,617.86 EXPENSES $45.05 ($17,500.00) $0.00 ADJUSTMENT 150.00 $0.00 $0.00 ENDING BALANCE $1,315,209.83 $2,281,291.91 $2,759,909.77 BUDGETED BALANCES - UNOBLIGATED $0.00 PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET $2,749,909.77 TOURISM ADVERTISING REVOLVING FUND The Tourism Advertising Revolving Fund was created pursuant to Title 33, Chapter 111, Section 3072, VIC. Monies deposited in the Fund shall be disbursed by the Commissioner of Finance, upon warrant of the Commissioner of Tourism, exclusively for utilization by the Department of Tourism for advertising of the Territory as a tourist destination and for industrial promotion, provided however, not less than five percent of the annual receipts shall be expended for destination promotion of the District of St. Croix and the District of St. Thomas/St. John. There are three sources of funding as follows: monthly telephonic long-distance surtax of two and one-half percent on the total charges of all telecommunication long-distance calls originating from or terminating in the Virgin Islands, tax collected and remitted to the Government by hotels or innkeepers for each guest at the rate of ten percent of the gross room rate or rental and one half of any bank or foreign bank, other than local banks, financial transaction fees for ATM usage. FUND - 6068/6069 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $102,406,645.43 $111,375,650.37 $115,650,204.35 REVENUES $47,841,310.97 $50,100,008.82 $24,317,844.32 EXPENSES ($35,510,206.54) ($45,821,419.69) ($19,325,027.94) ADJUSTMENTS ($3,362,099.49) ($4,035.15) $0.00 ENDING BALANCE $111,375,650.37 $115,650,204.35 $120,643,020.73 BUDGETED BALANCES - UNOBLIGATED ($20,534,558.59) PAYMENTS IN PROCESS ($3,668,356.22) REQUISITIONS IN PROCESS ($45,353.07) ENCUMBRANCE S ($8,924,013.93) AVAILABLE FOR BUDGET $87,470,738.92 TRAINING REVOLVING FUND The Training Revolving Fund is made up primarily of proceeds related to training fees collected by the Division of Personnel who then utlilizes the funding to facilitate various training initiaves for the Cental Government and other entities in the territory. FUND - 6044 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $98,283.80 $294,637.84 $262,387.27 REVENUES $298,938.06 $89,621.00 $5,231.25 EXPENSES ($102,584.02) ($121,871.57) ($3,600.00) ADJUSTMENTS $0.00 $0.00 $0.00 ENDING BALANCE $294,637.84 $262,387.27 $264,018.52 BUDGETED BALANCES - UNOBLIGATED $0.00 PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET $264,018.52 FY 2027 PROPOSED EXECUTIVE BUDGET 32 TRANSPORTATION TRUST FUND The Transportation Trust Fund was created pursuant to Title 33, Chapter 111, Section 3003(a), VIC. It consists of taxes collected pursuant to Title 33, Sections 91 (a) and 91 (b), VIC, all fines imposed by the courts for violation of traffic laws, all highway users’ taxes collected in the Virgin Islands on automobiles and trucks under the provisions of Title 33, Chapter 4, VIC, and all driver’s license fees and motor vehicle registration fees collected in the Virgin Islands under the provisions of Title 20, Chapter 39, VIC. Monies in the Transportation Trust Fund shall be distributed as required to make all payments of principal premium, if any, and interest on the bonds of the Virgin Islands Public Finance Authority payable from the Transportation Trust Fund, in the amounts required by any resolution, indenture, or bond declaration entered into with respect to such bonds, in an amount equal to the lesser of such surplus or the amount of driver’s license fees and motor vehicle registration fees collected in the Virgin Islands under the provisions of Title 20, Chapter 39, VIC, and deposited into the Transportation Trust Fund pursuant to Section 3003a, subsection (b), paragraph (4), to the General Fund; and the remaining amount of such surplus, if any, into the Road Fund. FUND - 8008/8009 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $14,159,226.04 $20,175,682.09 $21,102,636.88 REVENUES $12,141,888.89 $12,006,108.74 $6,683,696.37 EXPENSES ($6,126,536.94) ($11,079,153.95) ($58,034.05) ADJUSTMENTS $1,104.00 $0.00 $0.00 ENDING BALANCE $20,175,682.09 $21,102,636.88 $27,728,299.20 BUDGETED BALANCES - UNOBLIGATED ($1,000,000.00) PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET $26,728,299.20 UNEMPLOYMENT INSURANCE PENALTY FUND Pursuant to Title 24, Chapter 12 of the VIC, the Penalty and Interest fund was established. This fund consists of all interest and penalties collected under the provisions of the chapter after the date the Secretary of Labor of the United States approves the Virgin Islands Unemployment Insurance Act under section 3304(a) of the United States Internal Revenue Code of 1954, of all moneys which pursuant to the provisions of section 311(e)(2) of this chapter are transferred to this fund from the Unemployment Insurance Administration Fund, and of all moneys otherwise due to this fund pursuant to the provisions of section 311(e)(2) of the chapter. FUND - 2022 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $5,418,666.59 $5,332,043.33 $2,765,409.13 REVENUES $319,719.90 $133,752.61 $31,714.66 EXPENSES ($515,907.53) ($949,631.18) ($80,976.71) ADJUSTMENT $109,564.37 ($1,750,755.63) $0.00 ENDING BALANCE $5,332,043.33 $2,765,409.13 $2,716,147.08 BUDGETED BALANCES - UNOBLIGATED $0.00 PAYMENTS IN PROCESS ($287,030.10) REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES ($986,433.44) AVAILABLE FOR BUDGET $1,442,683.54 VENDORS PLAZA REVOLVING FUND The Vendors Plaza Revolving Fund was established to protect and preserve the fragile infrastructure of the Vendors Plaza and promote the orderly transaction of vending type businesses in the central business district and other vending locations. The Fund shall consist of all sums appropriated thereto from time to time by the Legislature, maintenance and administration fees collected from occupants of vendors plaza, and all fines and administrative penalties imposed by the courts and the Commissioner of Licensing and Consumer Affairs for violations of the provisions of Title 27, Virgin Islands Code, pertaining to vendors, and any other laws or duly promulgated rules and regulations, as may be applicable. FUND - 6031 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $112,057.63 $34,020.91 $29,544.55 REVENUES $0.00 $0.00 $195.00 EXPENSES ($78,036.72) ($4,476.36) $0.00 ENDING BALANCE $34,020.91 $29,544.55 $29,739.55 BUDGETED BALANCES - UNOBLIGATED ($31,130.72) PAYMENTS IN PROCESS ($0,00) REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES ($0.00) AVAILABLE FOR BUDGET ($1,391.17) FY 2027 PROPOSED EXECUTIVE BUDGET 33 VETERINARY MEDICINE FUND The Veterinary Medicine Fund was established for administration and enforcement of the provisions of Veterinary Medicine practice in the territory. FUND - 6012 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $142,286.45 $152,292.73 $168584.73 REVENUES $9,260.00 $16,292.00 $7,829.86 EXPENSES $746.28 $0.00 $0.00 ENDING BALANCE $152,292.73 $168,584.73 $176,414.59 BUDGETED BALANCES - UNOBLIGATED $0.00 PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES ($746.28) AVAILABLE FOR BUDGET $175,668.31 VIRGIN ISLANDS AIR PROTECTION FUND The Virgin Islands Air Protection Fund is established to be used by the Department of Planning & Natural Resources as a revolving fund for carrying out the purposes of the US Virgin Islands Code, Title 12 - Conservation, Chapter 9, Air Pollution Control pertaining to the Part 70 permit program. To this fund shall be credited all permit fees, penalties and other fees and charges related to this chapter pertaining to the Part 70 permit program, including administrative expenses. Moneys in the Virgin Islands Air Protection Fund shall be disbursed for the following purposes and no others: (1) Administrative expenses, personnel expenses and equipment costs of the Department related to the enforcement of this chapter pertaining to the Part 70 permit program; (2) All reasonable (direct and indirect) costs required to implement and support the Part 70 permit program requirements of this chapter, including section 203(b) of the title. FUND - 2072/2073 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $610,425.36 $549,721.37 $473,940.93 REVENUES $119,013.00 $346.00 $0.00 EXPENSES ($179,716.99) ($72,313.12) ($27,682.81) ADJUSTMENT $0.00 ($3,813.32) $0.00 ENDING BALANCE $549,721.37 $473,940.93 $446,258.12 BUDGETED BALANCES - UNOBLIGATED ($249,975.75) PAYMENTS IN PROCESS ($0.00) REQUISITIONS IN PROCESS ($0.00) ENCUMBRANCES ($75.00) AVAILABLE FOR BUDGET $196,207.37 VITAL STATISTICS CORP FUND The Vital Statistics Corp Fund was created pursuant to Title 19, Part IV, VIC. The fund facilitates the operations of the Vital Statistics Division of the Department of Health, which includes the securing and processing of vital community data and other information. FUND - 2084 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $769,367.34 $615,324.58 $444,152.29 REVENUES $0.00 $0.00 $0.00 EXPENSES ($139,708.70) ($171,172.29) ($77,327.57) ADJUSTMENT ($14,334.06) $0.00 $0.00 ENDING BALANCE $615,324.58 $444,152.29 $366,824.72 BUDGETED BALANCES - UNOBLIGATED $0.00 PAYMENTS IN PROCESS ($14,209.09) REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET $352,615.63 VI BOARD OF PUBLIC ACCOUNTANCY FUND The Virgin Islands Board of Public Accountancy Fund was established to collect fees and other monies received by the Board. No part of this special fund may revert to the General Fund of the Government of the Virgin Islands. All expenses incurred must be paid from this special fund. The Board shall file an annual report of its activities with the Governor of the Virgin Islands, and such report must include a statement of all receipts and disbursements. FUND - 2002 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $260,094.57 $228,590.68 $240,460.05 REVENUES $5,475.00 $13,180.00 $5,890.00 EXPENSES ($36,978.89) ($1,310.63) ($15,209.34) ENDING BALANCE $228,590.68 $240,460.05 $231,140.71 BUDGETED BALANCES - UNOBLIGATED ($80,665.66) PAYMENTS IN PROCESS ($0.00) REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET $150,475.05 FY 2027 PROPOSED EXECUTIVE BUDGET 34 VI COASTAL PROTECTION FUND The Virgin Islands Coastal Protection Fund is established to be used by the Department of Planning and Natural Resources as a revolving fund for carrying out the purposes listed in Title 12, Chapter 17 of the VIC. The Fund shall be limited to the sum of one million ($1,000,000) dollars. To this fund shall be credited all license fees for each registrant license of the terminal facilities in the territory and shall pay therefore an annual license fee, the amount of which is to be determined by the Department, penalties and other fees and charges related to the chapter, including administrative expenses, and costs of removal of discharges of pollution. Monies in the fund not needed currently to meet the obligations of the Department in the exercise of its responsibilities under the chapter shall be deposited with the Commissioner of Finance to the credit of the fund and may be invested in such manner as is provided for by statute. Interest received on such investment shall be credited to the Virgin Islands Coastal Protection Fund. Whenever the balance in the fund has reached the limit provided under this section, and as long as it remains so, license fees shall be proportionately reduced to cover only administrative expenses. FUND - 6014 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $1,078,632.58 $1,163,485.65 $1,222,617.24 REVENUES $134,194.50 $89,819.10 $90,812.30 EXPENSES ($49,341.43) ($30,687.51) ($59,794.66) ENDING BALANCE $1,163.485.65 $1,222,617.24 $1,253,634.88 BUDGETED BALANCES - UNOBLIGATED ($1,061,126.27) PAYMENTS IN PROCESS ($16,626.01) REQUISITIONS IN PROCESS ($401.13) ENCUMBRANCES ($22,383.86) AVAILABLE FOR BUDGET $153,097.61 VI EDUCATION INITIATIVE FUND Monies in the Fund shall be dispersed by the Commissioner of Finance into an Imprest Fund Checking Account for each public school in the Virgin Islands pursuant to the following formula: Each public school shall be awarded a base amount of $50,000. Each public school shall receive an additional sum of $15 per student for every student enrolled over an enrollment of 500. In the event that one school district receives a larger sum than the other, the district receiving the smaller sum shall be awarded an additional sum, so that each district receives an equivalent sum. The additional sum received by the district shall be divided proportionately to the number of students in each school. Any sum remaining in the Imprest Fund Checking Account at the end of fiscal year shall be returned to the Virgin Islands Education Initiative Fund for redistribution in the next fiscal year. FUND - 2185/2188 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $12,823,682.58 $7,727,119.76 $9,670,586.04 REVENUES $5,664,696.46 $5,284,816.49 $2,616,624.28 EXPENSES ($10,699,463.16) ($3,341,350.21) ($2,672,720.05) ADJUSTMENT SS ($61,796.12) $0.00 $0.00 ENDING BALANCE $7,727,119.76 $9,670,586.04 $9,614,490.27 BUDGETED BALANCES - UNOBLIGATED ($1,308,718.08) PAYMENTS IN PROCESS ($515,893.01) REQUISITIONS IN PROCESS ($168,156.32) ENCUMBRAN CES ($153,644.80) AVAILABLE FOR BUDGET $7,468,078.06 VI INSURANCE GUARANTY FUND Monies contained in the Fund shall be used exclusively for transfer, as required, from amounts then on deposit, to (1) the Hurricane Hugo Insurance Claims Fund pursuant to Title 33, chapter 111, Section 3061a of this code for the purposes of the Virgin Islands Hurricane Hugo Insurance Claims Fund Program in accordance with the provisions of the chapter; (2) the Virgin Islands Insurance Guaranty Association, established pursuant to Title 22, Chapter 10 of this code, for the purpose of payment by the Association of the obligations of insolvent insurers in accordance with the provisions of Title 22, Chapter 10; (3) the Commissioner of Insurance for payment of Hurricane Marilyn claims as authorized by law; and (4) the General Fund, up to the amount of franchise taxes deposited during such fiscal year into the Fund pursuant to Title 33, Chapter 111, Section 3061a(b) of this code, upon the certification therefore of the Commissioner of Finance. FUND - 2108/2109 ACTUAL FY 2024 ACTUAL FY 2025 BUDGETED FY 2026 BEGINNING BALANCE $55,940,436.56 $70,477,083.95 $72,352,058.97 REVENUES $25,352,367.61 $24,874,975.02 $11,194,174.15 EXPENSES ($11,000,000.00) ($23,000,000.00) ($23,000,000.00) ADJUSTMENTS $184,279.78 $0.00 $0.00 ENDING BALANCE $70,477,083.95 $72,352,058.57 $60,546,233.12 BUDGETED BALANCES - UNOBLIGATED $0.00 PAYMENTS IN PROCESS $0.00 REQUISITIONS IN PROCESS $0.00 ENCUMBRANCES $0.00 AVAILABLE FOR BUDGET $60,546,233.12 FY 2027 PROPOSED EXECUTIVE BUDGET 35 FY 2027 PROPOSED EXECUTIVE BUDGET 36 GENERAL FUND REVENUE DETAIL REVENUE SUMMARY BY CATEGORY FY 2025 ACTUALS FY 2026 REVISED PROJECTION FY 2027 PROJECTION INCOME TAXES INDIVIDUAL INCOME $ 469,931,046 $ 421,786,957 $ 427,950,000 CORPORATE INCOME $ 69,222,668 $ 72,323,338 $ 72,445,259 REFUNDS $ (37,672,455) $ (40,033,680) $ (35,000,000) TOTAL INCOMES TAXES $ 501,481,259 $ 454,076,615 $ 465,395,259 OTHER TAXES REAL PROPERTY $ 52,076,909 $ 55,017,252 $ 56,228,616 TRADE & EXCISE $ 36,780,434 $ 37,668,195 $ 43,007,645 GROSS RECEIPTS $ 217,676,753 $ 230,418,781 $ 244,972,653 CORPORATE FRANCHISE $ 6,641,353 $ 6,056,788 $ 8,610,771 STAMP TAX $ 16,850,768 $ 15,384,817 $ 17,454,351 TIMESHARE TAX ENVIRONMENTAL INFRASTRUCTURE FEE $ 5,450,593 $ 5,353,149 $ 4,792,277 TOTAL OTHER TAXES $ 335,476,810 $ 349,898,983 $ 375,066,313 OTHER REVENUES LICENSES $ 4,548,416 $ 4,518,459 $ 5,705,207 FEES & PERMITS $ 9,005,944 $ 6,716,157 $ 8,864,599 FINES, FOREITURES, PENALTIES $ 2,936,134 $ 2,078,496 $ 3,427,399 INTEREST EARINGS $ 324,380 $ 854 COURT COSTS, FEES, & CHARGES $ 977,273 $ 1,116,806 $ 1,438,247 MISCELLANEOUS REVENUES $ 431,699 U.S. CUSTOMS $ 1,600,138 $ 3,147,642 $ 3,226,333 CONSESSIONS FEE (LIME TREE-TERMINAL) $ 20,927,753 $ 20,998,736 $ 20,456,146 FRANCHISE FEES $ 481,275 $ 97,259 $ 359,564 OPERATING BUDGET REVENUES FY27 OPERATING BUDGET FY 2027 PROPOSED EXECUTIVE BUDGET 37 MISCELLANEOUS SERVICE CHARGE $ 1,824,066 $ 2,559,784 $ 2,825,127 ARPA 2021 INTEREST REVENUE $ 1,786,146 $ 871,469 $ - TOTAL OTHER REVENUES $ 44,843,224 $ 42,105,662 $ 46,302,621 TOTAL REVENUE BEFORE TRANSFERS IN/OUT $ 881,801,293 $ 846,081,260 $ 886,764,193 TRANSFERS IN CARIBBEAN BASIN INITIATIVE $ 6,000,000 $ 6,000,000 $ 6,000,000 V.I. LOTTERY $ 200,000 $ 950,000 $ 1,100,000 INSURANCE GUARANTY $ 20,000,000 $ 20,000,000 $ 10,000,000 TRANSPORTATION TRUST FUND $ 10,000,000 $ 5,000,000 $ 5,000,000 RECORDER OF DEEDS REVOLVING FUND $ 200,000 COMMUNITY FACILITIES TRUST FUND $ 1,195,667 HEALTH REVOLVING FUND $ 1,400,000 $ 1,400,000 TOTAL TRANSFERS IN $ 37,395,667 $ 33,550,000 $ 23,500,000 TRANSFERS OUT STREETLIGHT - WATER AUTHORITY-POWER AUTHORITY $ (1,100,345) $ (1,124,572) EDUCATION INTIATIVE & SCHOOL MAINTENANCE FUND (VEHICLE SURCHARGE 75%) $ (1,918,573) ANTI-LITTER & BEAUTIFICATION $ (10,002,766) $ (5,000,000) $ (5,000,000) DISTRICT PUBLIC ROAD FUND $ (1,100,345) $ (1,124,572) TAX ASSESSOR REVOLVING FUND $ (500,000) $ (500,000) $ (500,000) MODERATE INCOME HOUSING FUND* $ (250,000) $ (250,000) $ (250,000) SEWAGE FUND $ (1,100,345) $ (1,124,572) COPORATE DIVISION REVOLVING FUND $ (887,990) $ (605,679) $ (861,077) RECORDER OF DEEDS REVOLVING FUND $ (200,000) $ (200,000) $ (200,000) STAMP TAX - HFA (PROPERTY TAX) $ (4,615,445) $ (5,236,305) ENVIRONMENTAL INFRASTRUCTURE FEE - TARF $ (817,589) $ (802,972) $ (718,842) ST. THOMAS CAPITAL IMPROVEMENT FUND $ (1,500,000) ST. CROIX CAPITAL IMPROVEMENT FUND $ (1,500,000) ST. JOHN CAPITAL IMPROVEMENT FUND $ (1,500,000) $ (1,500,000) MISCELLANEOUS TRANSFERS OUT $ (5,000,000) DEBT SERVICE $ (61,774,410) $ (60,869,810) TOTAL TRANSFERS OUT $ (19,158,345) $ (81,968,114) $ (78,509,751) REVENUE OTHER SOURCES ARPA $ 815,001 EARNED INCOME TAX CREDIT (ARPA 2021) $ 630,421 $ 16,013,472 $ 14,000,000 VEHICLE SURCHARGE $ 1,086,726 $ 1,083,452 $ 978,461 TOTAL REVENUE OTHER SOURCES $ 1,717,147 $ 17,911,925 $ 14,978,461 REVENUE: MITIGATION & RECOVERY WITHHOLDING $ 21,915,246 $ 71,713,051 GROSS RECEIPTS $ 9,131,353 $ 29,713,771 EXCISE TAX $ 2,191,525 $ 7,131,305 WMA Contribution* $ 2,462,047 $ 2,908,969 TOTAL MITIGATION RECOVERY $ 33,238,123 $ 111,467,097 TOTAL GROSS REVENUES $ 901,755,762 $ 930,781,309 $ 1,036,709,750 TOTAL GENERAL FUND REVENUES $ 882,597,417 $ 848,813,195 $ 958,200,000 OCCUPANCY RELATED TAXES FY 2027 PROPOSED EXECUTIVE BUDGET 38 HOTEL/NON ROOM TAX $ 50,100,008 $ 64,437,708 $ 68,619,165 AGRICULTURE REVOLVING FUND $ (1,000,000) $ (500,000) $ (1,000,000) TOURISM ADVERTISING REVOLVING FUND $ 49,100,008 $ 63,937,708 $ 67,619,165 FY 2027 PROPOSED EXECUTIVE BUDGET 39 TOP FIVE REVENUES FY 2027 PROPOSED EXECUTIVE BUDGET 40 FY 2027 PROPOSED EXECUTIVE BUDGET 41 FY 2027 PROPOSED EXECUTIVE BUDGET 42 FY 2027 GENERAL FUND EXPENDITURES U.S. VIRGIN ISLANDS FINANCIAL SUMMARY FY2027 OPERATING BUDGET FY 2027 PROPOSED EXECUTIVE BUDGET 43 FY 2027 GENERAL FUND BUDGET BY CATEGORY FY 2027 PROPOSED EXECUTIVE BUDGET 44 FY 2027 PROPOSED EXECUTIVE BUDGET 45 FY 2027 SUMMARY OF APPROPRIATION DEPARTMENTS/AGENCIES GENERAL FUND CARIBBEAN BASIN INITIATIVE FUND TOURISM REVOLVING INDIRECT COST FUND TRANSPORTATION TRUST FUND OTHER FUNDS TOTALS Virgin Islands Legislature $ 24,298,631 $ - $ - $ - $ - $ - $ 24,298,631 Department of Justice $ 18,786,274 $ - $ - $ - $ - $ - $ 18,786,274 Judicial Council $ 130,620 $ - $ - $ - $ - $ - $ 130,620 Judicial Branch of the Virgin Islands $ 40,258,400 $ - $ - $ - $ - $ - $ 40,258,400 Bureau of Corrections $ 36,476,665 $ - $ - $ - $ - $ - $ 36,476,665 Office of The Governor $ 14,076,600 $ - $ 300,000 $ - $ - $ - $ 14,376,600 Office of Management & Budget $ 7,186,308 $ - $ - $ 2,226,596 $ - $ - $ 9,412,904 Division of Personnel $ 66,263,857 $ - $ - $ 590,000 $ - $ - $ 66,853,857 Office of Collective Bargaining $ 1,574,728 $ - $ - $ - $ - $ - $ 1,574,728 Bureau of School Construction and Maintenance $ 5,986,415 $ - $ - $ - $ - $ - $ 5,986,415 Virgin Islands Territorial Emergency Management Agency $ 5,911,126 $ - $ - $ - $ - $ - $ 5,911,126 Virgin Islands Fire & Emergency Medical Services $ 34,318,681 $ - $ - $ - $ - $ - $ 34,318,681 Public Defender's Office $ 6,132,220 $ - $ - $ - $ - $ - $ 6,132,220 Bureau of Information Technology $ 14,329,386 $ - $ - $ - $ - $ - $ 14,329,386 Virgin Islands Energy Office $ 1,554,499 $ - $ - $ - $ - $ - $ 1,554,499 Office of The Adjutant General $ 3,503,999 $ - $ - $ - $ - $ - $ 3,503,999 Office of Veteran Affairs $ 1,219,369 $ - $ - $ - $ - $ - $ 1,219,369 Office of Lt. Governor $ 7,661,158 $ - $ - $ - $ - $ - $ 7,661,158 Virgin Islands Election System $ 2,500,000 $ - $ - $ - $ - $ - $ 2,500,000 Board of Elections $ 250,000 $ - $ - $ - $ - $ - $ 250,000 Board of Education $ 2,137,697 $ - $ - $ - $ - $ - $ 2,137,697 Internal Revenue Bureau $ 14,410,949 $ - $ - $ - $ - $ - $ 14,410,949 Virgin Islands Inspector General $ 2,898,392 $ - $ - $ - $ - $ - $ 2,898,392 Bureau of Motor Vehicles $ 3,831,128 $ - $ - $ - $ 986,253 $ 4,817,381 Department of Labor $ 12,823,544 $ - $ - $ - $ - $ - $ 12,823,544 Licensing & Consumer Affairs $ 7,726,930 $ - $ 200,000 $ - $ - $ 2,645,129 $ 10,572,059 Department of Finance $ 13,649,762 $ 6,000,000 $ - $ 108,500 $ - $ 10,950,000 $ 30,708,262 Virgin Islands Department of Education $ 186,691,691 $ - $ 500,000 $ - $ - $ 1,500,000 $ 188,691,691 Career & Technical Education Board $ 689,681 $ - $ - $ - $ - $ - $ 689,681 Virgin Islands Taxicab Commission $ - $ - $ 149,852 $ - $ - $ 404,785 $ 554,637 Virgin Islands Police Department $ 71,081,017 $ - $ 3,000,000 $ - $ - $ - $ 74,081,017 Law Enforcement Planning Commission $ 834,744 $ - $ - $ - $ - $ - $ 834,744 Department of Property & Procurement $ 14,632,378 $ - $ - $ 185,000 $ - $ 4,240,574 $ 19,057,952 Department of Public Works $ 24,303,120 $ - $ 1,000,000 $ - $ 5,000,000 $ 1,300,000 $ 31,603,120 Virgin Islands Waste Management Authority $ 32,500,000 $ - $ 500,000 $ - $ - $ 5,000,000 $ 38,000,000 Virgin Islands Department of Health $ 31,790,725 $ - $ - $ - $ - $ 1,500,000 $ 33,290,725 Schneider Regional Medical Center $ 32,500,000 $ - $ - $ - $ - $ - $ 32,500,000 Juan F. Luis Hospital $ 31,000,000 $ - $ - $ - $ - $ - $ 31,000,000 Department of Human Services $ 72,587,075 $ - $ - $ - $ - $ - $ 72,587,075 Department of Planning and Natural Resources $ 9,481,928 $ - $ - $ - $ - $ - $ 9,481,928 Department of Agriculture $ 5,330,880 $ - $ 500,000 $ - $ - $ - $ 5,830,880 Department of Sports Parks & Recreation $ 10,029,992 $ - $ 500,000 $ - $ - $ - $ 10,529,992 University of The Virgin Islands $ 34,977,962 $ - $ - $ - $ - $ - $ 34,977,962 Department of Tourism $ - $ - $ 39,000,000 $ - $ - $ - $ 39,000,000 Scholarships $ 1,555,566 $ - $ - $ - $ - $ - $ 1,555,566 Public Employees Relations Board $ 1,686,910 $ - $ - $ - $ - $ - $ 1,686,910 Labor Management Committee $ 285,000 $ - $ - $ - $ - $ - $ 285,000 Other Contributions $ - $ - $ - $ - $ 5,000,000 $ - $ 5,000,000 Miscellaneous $ 46,343,993 $ - $ 100,000 $ - $ - $ - $ 46,443,993 GRAND TOTALS $ 958,200,000 $ 6,000,000 $ 45,749,852 $ 3,110,096 $ 10,986,253 $ 27,540,488 $ 1,051,586,689 U.S. VIRGIN ISLANDS FINANCIAL SUMMARY FY2027 OPERATING BUDGET FY 2027 PROPOSED EXECUTIVE BUDGET 46 OTHER FUNDS DEPARTMENT/AGENCY AMOUNT Bureau of Motor Vehicles (Transportation Trust Fund) $ 986,253 DLCA (Public Services Commission) $ 2,395,129 Taxicab Commission (Taxi Revolving Fund) $ 404,785 Property & Procurement (Business/Commercial) $ 4,240,574 Public Works (Anti-Litter) $ 1,300,000 VI Waste Management Authority (Anti-Litter) $ 5,000,000 VI Waste Management Authority (Sewer Wastewater) $ - Health (Health Revolving Fund) $ 1,500,000 VIFEMS (Health Revolving Fund) $ - Public Works (Transportation Fund) $ 5,000,000 Other (Contribution from the Genral Fund to Transportation Trust Fund) $ 5,000,000 Department of Finance (VI Lottery Fund) $ 950,000 Department of Finance (Insurance Guaranty Fund) $ 10,000,000 Public Works (Contribution to the Public Road Fund) $ - Public Works (STJ Capital Improvement) $ - VI Wastemangement (STJ Capital Improvement) $ - Department of Tourism - Division of Festival Revolving $ - VI Department of Education - Education Initiative Fund $ 1,500,000 Canibus Fund - $ 250,000 OTHER FUNDS TOTALS $ 38,526,741 FY 2027 PROPOSED EXECUTIVE BUDGET 47 FY 2027 PROPOSED EXECUTIVE BUDGET 48 FY 2024-2026 EXPENDITURE REPORT FISCAL YEAR 2025 FISCAL YEAR 2026 FISCAL YEAR 2027 ACTUAL APPROVED REVISED RECOMMENDED PROJECTED DEPARTMENT/AGENCY FUNDING SOURCE APPROPRIATED NON-APPROPRIATED APPROPRIATED NON-APPROPRIATED APPROPRIATED NON-APPROPRIATED LEGISLATURE General Fund $ 24,766,081 $ 25,300,000 $ 24,298,631 Sub-total $ 24,766,081 $ 25,300,000 - $ 24,298,631 Department Grand Total $24,766,081 $25,300,000 $ 24,298,631 JUDICIAL COUNCIL General Fund $ 135,743 $ 630,620 $ 130,620 Sub-total $ 135,743 $ 630,620 $ - $ 130,620 Department Grand Total $135,743 $630,620 $130,620 JUDICIAL COURT OF THE VIRGIN ISLANDS General Fund $ 29,337,030 $ 40,258,400 $ 40,258,400 Federal Funds $ 108,922 Sub-total $ 29,337,030 $ 108,922 $ 40,258,400 $ 40,258,400 Department Grand Total $29,337,030 $40,258,400 $40,258,400 PUBLIC DEFENDER'S OFFICE General Fund $ 6,132,220 $ 6,132,220 $ 6,132,220 Sub-total $ 6,132,220 $ 6,132,220 $ 6,132,220 Department Grand Total $6,132,220 $6,132,220 $6,132,220 VIRGIN ISLAND ELECTION SYSTEMS General Fund $ 2,598,221 $ 2,500,000 $ 2,500,000 Federal Funds $ 11,350 Sub-total $ 2,598,221 $ 11,350 $ 2,500,000 $ 2,500,000 Department Grand Total $2,598,221 $2,500,000 $2,500,000 BOARD OF ELECTIONS General Fund $ 253,281 $ 250,000 $ 250,000 Sub-total $253,281 $250,000 $250,000 Department Grand Total $253,281 $250,000 $250,000 BOARD OF EDUCATION General Fund $ 1,868,520 $ 2,137,697 $ 2,137,697 Sub-total $ 1,868,520 $ 2,137,697 $ 2,137,697 Department Grand Total $1,868,520 $2,137,697 $2,137,697 OFFICE OF THE INSPECTOR GENERAL General Fund $ 2,543,101 $ 2,899,565 $ 2,898,392 Sub-total $ 2,543,101 $ 2,899,565 $ 2,898,392 Department Grand Total $2,543,101 $2,899,565 $2,898,392 CAREER & TECHNICAL EDUATION BOARD General Fund $ 624,817 $ 686,281 $ 689,681 Sub-total $ 624,817 $ 686,281 $ 689,681 Department Grand Total $624,817 $686,281 $689,681 U.S. VIRGIN ISLANDS THREE-YEAR EXPENDITURE REPORT FY2027 OPERATING BUDGET FY 2027 PROPOSED EXECUTIVE BUDGET 49 VIRGIN ISLANDS WASTE MANAGEMENT AUTHORITY General Fund $ 32,260,536 $ 32,500,000 $ 32,500,000 Tourism Advertising Revolving $ 1,000,000 $ 500,000 $ 500,000 Anti-Litter Beautification Fund $ 5,000,000 $ 5,000,000 $ 5,000,000 St. John Capital Improvement Fund $ - Sewer Fund $ - $ - $ - Federal Funds $ 350,000 Sub-Total $ 38,260,536 $ - $ 38,000,000 $ - $ 38,000,000 $ 350,000 Department Grand Total $38,260,536 $38,000,000 $38,350,000 SCHNEIDER REGIONAL MEDICAL CENTER General Fund $ 32,589,063 $ 32,750,000 $ 32,500,000 Federal Funds $ 500,000 $ 984,690 Sub-total $ 32,589,063 $ 32,750,000 $ 500,000 $ 32,500,000 $ 984,690 Department Grand Total $32,589,063 $32,750,000 $32,500,000 GOVERNOR JUAN F. LUIS HOSPITAL General Fund $ 30,747,645 $ 29,963,367 $ 31,000,000 Sub-Total $ 30,747,645 $ 29,963,367 $ 31,000,000 Department Grand Total $30,747,645 $29,963,367 $31,000,000 UNIVERSITY OF THE VIRGIN ISLANDS General Fund $ 32,077,310 $ 34,977,962 $ 34,977,962 Internal Revenue Matching Fund $ - $ - $ - Sub-Total $ 32,077,310 $ 34,977,962 $ 34,977,962 Department Grand Total $32,077,310 $34,977,962 $34,977,962 DEPARTMENT OF JUSTICE General Fund $ 15,457,054 $ 18,513,757 $ 18,786,274 Indirect Cost Fund $ 446,863 Paternity & Child Support $ 1,419 Crime Prevention Persecution $ 449,056 $ 859,454 Medicaid Fraud Control Unit $ 87,255 Single Payer Utility Fund $ 163,693 $ 294,200 Federal Funds $ 5,109,093 $ 4,411,185 $ 7,283,536 Sub-total $ 15,903,917 $ 5,723,261 $ 18,513,757 $ 5,652,094 $ 18,786,274 $ 7,283,536 Department Grand Total $21,627,178 $24,165,851 $26,069,810 BUREAU OF CORRECTIONS General Fund $ 38,403,812 $ 36,014,494 $ 36,476,665 Single Payer Utility Fund $ 568,293 $ 559,208 Federal Funds $ 422,843 $ 400,000 $ 1,673,830 Sub-total $ 38,403,812 $ 991,136 $ 36,014,494 $ 959,208 $ 36,476,665 $ 1,673,830 Department Grand Total $39,394,948 $36,973,702 $38,150,495 OFFICE OF THE GOVERNOR General Fund $ 10,928,991 $ 13,573,494 $ 14,076,600 Tourism Revolving $ 85,622 $ 300,000 $ 300,000 Private Donation $ 44,200 Single Payer Utility Fund $ 552,370 $ 514,000 Centennial Special Fund $ 50,989 Asset Recovery Fund $ 839,666 Federal Funds $ 227,131 $ 416,156 Sub-Total $ 11,014,613 $ 874,690 $ 13,873,494 $ 1,353,666 $ 14,376,600 $ 416,156 Department Grand Total $11,889,303 $15,227,160 $14,792,756 OFFICE OF MANAGEMENT & BUDGET General Fund $ 4,470,052 $ 14,705,960 $ 7,186,308 Indirect Cost Fund $ 1,525,807 $ 2,007,851 $ 2,226,596 Southern Trust Company Settlement $ 23,223,861 $ 1,168,375 Federal Funds $ 7,494,723 $ - $ 27,346,445 Single Payer Utility Fund $ 62,006 $ 100,000 Federal Subgrantee for Central Government Sub-total $ 29,219,720 $ 7,556,729 $ 17,882,186 $ 100,000 $ 9,412,904 $ 27,346,445 Department Grand Total $36,776,449 $17,982,186 $36,759,349 OFFICE OF COLLECTIVE BARGAINING General Fund $ 890,831 $ 1,250,473 $ 1,574,728 Single Payer Utility Fund $ 12,918 Sub-Total $ 890,831 $ 1,250,473 $ 12,918 $ 1,574,728 Department Grand Total $890,831 $1,263,391 $1,574,728 FY 2027 PROPOSED EXECUTIVE BUDGET 50 DIVISION OF PERSONNEL General Fund $ 62,429,035 $ 66,263,857 $ 66,263,857 Indirect Cost Fund $ 535,881 $ 561,000 $ 590,000 Single Payer Utility Fund $ 10,265 Section 12 Bond Proceeds $ 20,000 Health Insurance Fund $ 193,204,311 $ 113,771,670 Training Revolving $ 121,872 $ - $ 45,000 Sub-Total $ 62,964,916 $ 193,356,448 $ 66,824,857 $ 113,771,670 $ 66,853,857 $ 45,000 Department Grand Total $256,321,364 $180,596,527 $66,898,857 VIRGIN ISLANDS TERRITORIAL EMERGENCY MANAGEMENT AGENCY General Fund $ 4,583,261 $ 5,583,396 $ 5,911,126 Indirect Cost Fund $ 34,466 $ 188,577 Emergency Service Special Fund $ 826,957 $ 1,881,958 $ - Single Payer Utility Fund $ - $ 274,656 $ 392,489 Asset Recovery Fund $ 25,078 Federal Funds $ 2,106,951 $ 1,297,704 $ 4,439,786 Sub-total $ 4,617,727 $ 3,233,642 $ 5,771,973 $ 3,572,151 $ 5,911,126 $ 4,439,786 Department Grand Total $7,851,369 $9,344,124 $10,350,912 VIRGIN ISLANDS FIRE & EMERGENCY MEDICAL SERVICES General Fund $ 35,592,106 $ 36,222,186 $ 34,318,681 Tourism Revolving $ - Health Revolving Fund $ - Fire & Emergency Medical Services Fund $ - Emergency Service Special Fund $ - $ 733,163 $ - $ 438,472 $ - Fire Services Emergency $ 768,822 $ 500,000 $ - Single Payer Utility Fund $ 407,255 $ 470,475 Private Donation $ 14,894 Asset Recovery Fund $ 13,548 Federal Funds $ 176,357 $ 1,038,000 $ 1,454,994 Sub-total $ 35,592,106 $ 2,114,039 $ 36,222,186 $ 2,446,947 $ 34,318,681 $ 1,454,994 Department Grand Total $37,706,145 $38,669,133 $35,773,675 BUREAU OF INFORMATION TECHNOLOGY General Fund $ 11,269,731 $ 16,067,877 $ 14,329,386 Single Payer Utility Fund $ 198,566 $ 250,000 Information & Technology Revol $ 222,705 $ 400,000 Federal Funds $ 783,000 Sub-Total $ 11,269,731 $ 421,271 $ 16,067,877 $ 650,000 $ 14,329,386 $ 783,000 Department Grand Total $11,691,002 $16,717,877 $15,112,386 VIRGIN ISLANDS ENERGY OFFICE General Fund $ 1,462,318 $ 1,541,181 $ 1,554,499 Federal Funds $ 3,745,473 $ 10,560,867 $ 58,291,448 Sun Power Loan Program Fund $ 209,331 Single Payer Utility Fund $ 25,434 $ 14,000 Sub-total $ 1,462,318 $ 3,980,238 $ 1,541,181 $ 10,574,867 $ 1,554,499 $ 58,291,448 Department Grand Total $5,442,556 $12,116,048 $59,845,947 OFFICE OF THE ADJUTANT GENERAL General Fund $ 2,523,497 $ 3,033,939 $ 3,503,999 Single Payer Utility Fund $ 736,755 $ 322,023 Federal Funds $ 2,150,649 $ 3,800,066 $ 5,220,448 Sub-total $ 2,523,497 $ 2,887,404 $ 3,033,939 $ 4,122,089 $ 3,503,999 $ 5,220,448 Department Grand Total $5,410,901 $7,156,028 $8,724,447 OFFICE OF VETERAN'S AFFAIRS General Fund $ 966,859 $ 1,304,369 $ 1,219,369 Single Payer Utility Fund $ 13,563 $ 15,000 Sub-total $ 966,859 $ 13,563 $ 1,304,369 $ 15,000 $ 1,219,369 $ - Department Grand Total $980,422 $1,319,369 $1,219,369 FY 2027 PROPOSED EXECUTIVE BUDGET 51 OFFICE OF LIEUTENANT GOVERNOR General Fund $ 6,479,286 $ 7,869,643 $ 7,661,158 General Fund Non-lapsing Comm. Insurance Administration Fund $ 2,618,193 $ 3,339,991 $ 3,428,309 Corporation Div. Revolving Fund $ 421,843 $ 1,876,246 $ 2,544,699 Financial Services Fund $ 4,663,085 $ 1,617,404 $ 8,397,378 Tax Assesor's Revolving Fund $ 466,465 $ 1,113,155 $ 479,597 Gis Data Access Fund $ 25,000 $ 31,501 Recorder of Deeds Revolving Fund $ 141,817 $ 760,261 $ 200,000 Special Deposits Fund $ 1,100,315 VI Insurance Guaranty Non-lapsing $ 3,000,000 $ 500,000 Special Real Propery Tax Asset Recovery Fund $ 288,292 Sub-total $ 6,479,286 $ 11,311,403 $ 7,869,643 $ 10,620,664 $ 7,661,158 $ 15,081,484 Department Grand Total $17,790,689 $18,490,307 $22,742,642 LAW ENFORCEMENT PLANNING COMMISSION General Fund $ 588,880 $ 829,319 $ 834,744 Southern Trust Company Settlement $ 125,802 Single Payer Utility Fund $ 7,286 Federal Funds $ 2,770,343 $ 1,617,046 $ 6,818,239 Sub-Total $ 714,682 $ 2,770,343 $ 829,319 $ 1,624,332 $ 834,744 $ 6,818,239 Department Grand Total $3,485,025 $2,453,651 $7,652,983 BUREAU OF INTERNAL REVENUE General Fund $ 13,160,997 $ 14,013,448 $ 14,410,949 VI Education Initiative $ 441,241 $ 361,255 Hotel Development Economic Recovery Trust $ 7,233,961 WAPA Generate & Infrastructure $ 3,099,815 Single Payer Utility Fund $ 326,561 $ 385,753 Federal Funds $ 492,740 Sub-Total $ 13,602,238 $ 11,153,077 $ 14,374,703 $ 385,753 $ 14,410,949 $ - Department Grand Total $24,755,315 $14,760,456 $14,410,949 BUREAU OF MOTOR VEHICLES General Fund $ 3,374,631 $ 3,618,944 $ 3,831,128 Bureau of Motor Vehicle Fund $ 947,089 $ 1,000,000 $ 986,253 Personalized License Plate Fund $ 1,491,210 $ 1,890,589 $ 2,241,073 Tansportation Trust Fund $ 1,000,000 $ 1,000,000 Single Payer Utility Fund Motorcycle Safety Safety Fund Centennial Special Fund $ 65,997 Asset Recovery Fund $ 7,616 Sub-Total $ 4,321,720 $ 2,564,823 $ 4,618,944 $ 2,890,589 $ 4,817,381 $ 2,241,073 Department Grand Total $6,886,543 $7,509,533 $7,058,454 DEPARTMENT OF LABOR General Fund $ 9,444,898 $ 13,410,180 $ 12,823,544 Indirect Cost $ 405,801 $ 136,620 Government Insurance Fund $ (3,940) $ - Unemployment Insurance Penalty/Interest $ 2,710,216 Federal Funds $ 7,449,395 $ 7,182,033 $ 9,148,923 Employment Security $ 157 At Risk Disadvantage Youth $ 17,997 Youth Transition Employment Non-Lapsing $ 406,296 $ 460,539 Hotel Development Trust Fund $ 60,000 Single Payer Utility Fund $ 192,717 $ 240,831 Sub-Total $ 9,846,759 $ 10,836,778 $ 13,546,800 $ 7,883,403 $ 12,823,544 $ 9,148,923 Department Grand Total $20,683,537 $21,430,203 $21,972,467 VIRGIN ISLANDS LABOR MANAGEMENT COMMITTEE General Fund $ 200,000 $ 200,000 $ 285,000 Sub-Total $ 200,000 $ - $ 200,000 $ - $ 285,000 $ - Department Grand Total $200,000 $200,000 $285,000 FY 2027 PROPOSED EXECUTIVE BUDGET 52 PUBLIC EMPLOYEE RELATIONS BOARD General Fund $ 1,439,067 $ 1,686,910 $ 1,686,910 Sub-Total $ 1,439,067 $ - $ 1,686,910 $ - $ 1,686,910 $ - Department Grand Total $1,439,067 $1,686,910 $1,686,910 DEPARTMENT OF LICENSING & CONSUMER AFFAIRS General Fund $ 5,211,142 $ 7,306,042 $ 7,726,930 Cannabis Fund $ 250,000 Tourism Revolving $ 641,481 $ 200,000 $ 200,000 VI Board of Public Accuntancy $ 1,311 $ 95,875 $ 95,875 Real Estate Appraisers $ 1,150 $ 31,915 $ 31,915 Consumer Protection $ 465,279 $ 1,106,000 $ 698,000 Single Payer Utility Fund $ 109,368 $ 97,000 Vendor's Plaza Revolving Fund $ 4,476 $ - $ - $ - Asset Recovery Fund Sub-Total $ 5,852,623 $ 581,584 $ 7,506,042 $ 1,330,790 $ 8,176,930 $ 825,790 Department Grand Total $6,434,207 $8,836,832 $9,002,720 PUBLIC SERVICES COMMISSION Public Service Commission Revolving $ 2,215,523 $ 2,284,803 $ 2,395,129 Sub-Total $ 2,215,523 $ - $ 2,284,803 $ - $ 2,395,129 $ - Department Grand Total $2,215,523 $2,284,803 $2,395,129 TAXICAB COMMISSION Taxi License Fund $ 404,785 Tourism Revolving $ 149,852 Sub-total $ - $ - $ - $ - $ 554,637 $ - Department Grand Total $0 $0 $554,637 DEPARTMENT OF FINANCE General Fund $ 15,274,048 $ 12,059,602 $ 13,649,762 Government Insurance Fund $ 5,048 Indirect Cost Fund $ 92,975 $ 108,500 $ 108,500 Data Processing Southern Trust Company Settlement $ 24,000,000 $ 2,000,000 Casino Control Revolving Fund $ 2,392,728 $ 1,106,704 Budget Stabilization Fund Community Facilities Trust $ 1,195,667 PFA Debt Service Fund $ 71,518,815 Elected Governor Retirement Fund $ 632,849 Judges Pension Fund $ 240,221 FICA Taxes Withheld $ 63,219,147 $ 31,756,733 Other Deposits Pending Single Payer Utility Fund $ 259,071 $ 300,000 Lonesome Dove Petroleum Co. Federal Funds $ 236,856 Asset Recovery Fund Caribbean Basin Initiative Fund $ 6,000,000 $ - $ 6,000,000 Transportation Trust Fund $ 10,079,154 $ 5,000,000 VI Lottery Fund $ 950,000 V.I. Insurance Guaranty Fund $ 20,000,000 $ 20,000,000 $ 10,000,000 Emergency Rental Assistance $ 5,512,188 Sub-total $ 75,451,225 $ 145,207,542 $ 34,168,102 $ 33,163,437 $ 35,708,262 $ - Department Grand Total $220,658,767 $67,331,539 $35,708,262 FY 2027 PROPOSED EXECUTIVE BUDGET 53 VIRGIN ISLANDS DEPARTMENT OF EDUCATION General Fund $ 168,727,481 $ 174,303,557 $ 186,691,691 Tourism Advertising Revolving Fund $ 572,693 $ 500,000 $ 500,000 Indirect Cost $ 1,676,275 $ 1,985,800 JR Reserve Officer Training Corp $ 187,032 $ - $ 1,110,911 Education Initiative $ 2,900,109 $ 4,274,971 $ 500,000 Education Maintenance Fund $ - $ - Private Donation $ 154,555 $ 652,138 DOE ARPA Local Fund $ 9,570,384 $ 12,745,018 Adult Education Textbook Reimburse $ 338,559 $ 454,257 $ - Single Payer Utility $ 9,844,261 $ 7,500,000 Asset Recovery $ 63,355 $ 10,000,000 Federal Subgrantee for Central Government $ 1,865,020 Federal Funds $ 22,192,884 $ 10,101,661 $ 28,884,823 Sub-total $ 173,876,558 $ 44,216,050 $ 181,064,328 $ 42,563,985 $ 187,691,691 $ 28,884,823 Department Grand Total $218,092,608 $223,628,313 $216,576,514 BUREAU OF SCHOOL CONSTRUCTION & MAINTENANCE General Fund $ 4,241,307 $ 5,969,615 $ 5,986,415 Southern Trust Company Settlement $ 4,572,734 $ - $ 2,500,000 Education Maintenance Fund $ 7,823,759 $ 5,500,000 $ 1,000,000 Sub-total $ 8,814,041 $ 7,823,759 $ 8,469,615 $ 5,500,000 $ 6,986,415 $ - Department Grand Total $16,637,800 $13,969,615 $6,986,415 DEPARTMENT OF HEALTH General Fund $ 26,742,638 $ 29,890,679 $ 31,790,725 Indirect Cost Fund $ 1,030,693 $ 941,096 Health Revolving Fund $ 1,511,328 $ 1,500,000 $ 1,500,000 Southern Trust Company Settlement $ 298,737 Emergency Service Special Fund $ 1,089,050 $ 624,714 $ 356,134 Health Pro Dev/Enhancement $ 392,789 Vital Statistic Corp $ 171,172 $ 182,051 Nurse License Revolving Fund $ 229,713 $ 277,572 $ - Medical Examiners Fund $ - $ - Single Payer Utility Fund $ 808,348 $ 63,000 $ - Federal Funds $ 25,231,930 $ 12,857,157 $ 27,563,462 Sub-total $ 29,583,396 $ 27,923,002 $ 32,331,775 $ 13,822,443 $ 33,290,725 $ 28,101,647 Department Grand Total $57,506,398 $46,154,218 $61,392,372 DEPARTMENT OF HUMAN SERVICES General Fund $ 53,966,593 $ 65,715,433 $ 72,587,075 Indirect Cost $ 878 Social Services Title XX $ - Southern Trust Company Settlement $ 6,722 $ 1,800,000 Senior Citizen Center Fund $ - $ 224,129 $ 450,000 $ - Pharmacy Assisted to Aged Fund $ 411,696 $ 2,929,818 $ - Crisis Intervention $ - Single Payer Utility Fund $ 2,862,236 Home for the Aged Revolving Fund $ 27,434 $ 6,480 $ - Federal Funds $ 145,966,877 $ 198,455,563 $ 128,389,653 Sub-total $ 53,974,193 $ 149,492,372 $ 67,515,433 $ 201,841,861 $ 72,587,075 $ 128,389,653 Department Grand Total $203,466,565 $269,357,294 $200,976,728 FY 2027 PROPOSED EXECUTIVE BUDGET 54 DEPARTMENT OF PLANNING & NATURAL RESOURCES General Fund $ 5,831,983 $ 6,497,514 $ 9,481,928 Indirect Cost Fund $ (3,695) Southern Trust Company Settlement $ 450,000 Natural Resources Reclamation $ 2,892,397 $ 9,521,013 $ 9,256,886 VI Coastal Protection Fund $ 30,688 $ 1,127,224 $ 1,041,719 Air Pollution Fund $ 39,038 $ 440,486 $ 425,775 Fish and Games Fund $ 198,896 $ 1,136,794 $ 1,251,692 Archaeological Preservation $ 8,800 $ 1,584,015 Casino Rev/Recon/Hab $ 25,000 $ 430,866 $ 410,866 Libraries Museums Revolving $ 76,121 $ 333,882 $ 382,209 Pesticide Control Program $ 454,995 Single Payer Utility Fund $ 807,419 $ 602,000 Asset Recovery $ 23,670 $ 1,618,995 Legal Publication $ 29,628 $ 871,466 $ 948,011 Federal Funds $ 43,286,120 $ 13,416,612 $ 189,233,923 Sub-Total $ 6,278,288 $ 47,417,777 $ 6,497,514 $ 31,538,348 $ 9,481,928 $ 202,951,081 Department Grand Total $53,696,065 $38,035,862 $212,433,009 DEPARTMENT OF AGRICULTURE General Fund $ 4,551,342 $ 5,254,512 $ 5,330,880 Tourism Advertising Revolving Fund $ - $ 500,000 $ 500,000 $ - St. Croix Capital Improvement Fund $ 1,000,000 Tourism Advertising Revolving Fund - NL $ 50,529 Agriculture Revolving Fund $ 171,790 $ 1,000,000 Veterinary Medicine Fund Single Payer Utility Fund $ 245,956 $ 160,000 Federal Funds $ 726,459 $ 4,006,638 $ 11,179,068 Sub-Total $ 4,601,871 $ 1,144,205 $ 6,754,512 $ 5,166,638 $ 5,830,880 $ 11,179,068 Department Grand Total $5,746,076 $11,921,150 $17,009,948 DEPARTMENT OF SPORTS, PARKS, & RECREATION General Fund $ 7,609,917 $ 9,216,353 $ 10,029,992 Tourism Advertising Revolving Fund $ 500,000 Federal Funds $ 878,899 $ 158,000 Sub-total $ 7,609,917 $ 878,899 $ 9,216,353 $ 158,000 $ 10,529,992 $ - Department Grand Total $8,488,816 $9,374,353 $10,529,992 HOUSING, PARKS, & RECREATION General Fund $ 46,467 $ 9,000 $ - Athletic Fund $ 1,580 Territorial Park Fund $ 68,372 Magens Bay Authority $ 1,112,686 Sub-total $ 46,467 $ 1,182,638 $ 9,000 $ - $ - $ - Department Grand Total $1,229,105 $9,000 $0 DEPARTMENT OF TOURISM General Fund $ 90,348 $ - Tourism Advertising Revolving Fund $ 36,348,768 $ - $ 39,035,000 $ - $ 39,000,000 Tourism Advertising Revolving Fund-NL $ 3,220,110 $ - $ - Division of Festival Revolving Fund $ - Carnival & Festival Comm Federal Funds $ 1,763,008 Sub-Total $ 39,659,226 $ - $ 39,035,000 $ 1,763,008 $ 39,000,000 $ - FY 2027 PROPOSED EXECUTIVE BUDGET 55 Department Grand Total $39,659,226 $40,798,008 $39,000,000 DEPARTMENT OF PUBLIC WORKS General Fund $ 25,457,897 $ 26,339,150 $ 24,303,120 St. Croix Capital Improvement Fund $ 3,059,547 Public Transport Fund $ 4,974,134 $ 5,546,112 $ 5,000,000 $ 5,264,304 Public Roads Fund $ 244,153 $ 2,181,970 Public Cemetery Revolving Fund $ 236,039 $ - District Street Lightining Fund $ 1,500,000 Tourism Advertising Revolving Fund $ 1,015,519 $ 1,000,000 $ 1,000,000 Anti-Litter & Beautification Fund $ 1,159,891 $ 1,300,000 Public Parking Lot Fund $ 1,240,432 $ 134,200 $ - PWD Federal Contributions $ 220,827 $ 10,000 PWD Federal Contributions NON $ 644,332 $ 2,537,710 Asset Recovery $ 364 Single Payer Utility Fund $ 861,872 $ 828,000 St. John Capital Improvement Fund Federal Funds $ 6,692,210 $ 4,385,049 $ 27,268,046 Sub-Total $ 30,692,854 $ 16,393,536 $ 27,559,977 $ 15,623,041 $ 31,603,120 $ 32,532,350 Department Grand Total $47,086,390 $43,183,018 $64,135,470 BOARD OF NURSE LICENSURE General Fund $ - $ 856,373 $ 875,515 Sub-total $ - $ - $ 856,373 $ - $ 875,515 $ - Department Grand Total $0 $856,373 $875,515 MISCELLANEOUS General Fund $ 212,789,121 $ 56,605,180 $ 45,468,478 Scholarships $ 2,038,350 $ 1,555,566 Tourism Advertising Revolving Fund $ 100,000 $ 100,000 Sub-total $ 214,827,471 $ 56,605,180 $ 47,024,044 Department Grand Total $214,827,471 $56,605,180 $47,024,044 DEPARTMENT OF PROPERTY & PROCUREMENT General Fund $ 10,697,509 $ 14,173,324 $ 14,632,378 Business & Commerical Property Revolving Fund $ 3,366,758 $ 4,078,210 $ 4,240,574 Indirect Cost Fund $ 117,701 $ 185,000 $ 185,000 Prop & Procure Print Job Fund $ 633,726 $ 387,000 $ 700,000 Central Warehouse Revolving Fund $ 922,951 $ 820,400 $ 900,000 Central Motor Pool Revolving Fund $ 613,364 $ 368,255 $ 700,000 Gasoline Coupon Program $ 3,000,000 Single Payer Utility Fund $ 460,261 $ 450,000 Private Donation $ 12,610 $1 Sub-total $ 14,181,968 $ 2,642,912 $ 18,436,534 $ 2,025,655 $ 19,057,952 $ 5,300,000 Department Grand Total $16,824,880 $20,462,189 $24,357,952 VIRGIN ISLANDS POLICE DEPARTMENT General Fund $ 71,385,276 $ 71,826,037 $ 71,081,017 Tourism Advertising Revolving Fund $ 1,469,474 $ 789,000 $ 3,000,000 Tourism Advertising Revolving Fund - NL $ 378,697 Southern Trust Company Settlement $ 125,000 Peace Officer Training Fund $ 443,863 $ 507,452 $ 586,482 General Fund Non Lapsing $ 4,077 VI law Enforcement - Asset Forfeit $ 10,031 USDHS Asset Forfeiture Fund $ (60) Single Payer Utility Fund $ 1,699,743 $ 1,801,186 Asset Recovery $ 171,585 Federal Funds $ 2,637,863 $ 1,969,753 $ 6,151,803 Sub-total $ 73,237,524 $ 4,963,025 $ 72,740,037 $ 4,278,391 $ 74,081,017 $ 6,738,285 Department Grand Total $78,200,549 $77,018,428 $80,819,302 APPROPRIATED FUNDS Total General Fund $ 1,041,761,956 $ 946,742,294 $ 958,200,000 Total Other Appropriated Fund - - $ 93,386,689 Total Appropriated Funds $1,041,761,956 $946,742,294 $1,051,586,689 NON-APPROPRIATED FUNDS Total Federal Funds $ 280,116,068 $ 278,320,342 $ 543,282,273 Total Other Non- Appropriated $ 427,412,986 $ 249,143,516 $ 43,599,476 Total Non-Appropriated Funds $707,529,054 $527,463,858 $586,881,749 TOTAL APPROPRIATED & NON-APPROPRIATED FUNDS $1,749,291,010 $1,474,206,152 $1,638,468,438 FY 2027 PROPOSED EXECUTIVE BUDGET 56 FY 2027 PROPOSED EXECUTIVE BUDGET 57 U.S. VIRGIN ISLANDS FEDERAL GRANTS SUMMARY FEDERAL GRANTS TOTAL AVAILABLE Budgeted FY27 Total Non-Disaster/Pandemic Federal Funds $ 541,547,583.00 Central Government Department of Interior Grants (Included in Budgeted FY27 Total) $ 18,506,560.75 Non-Central Department of Interior Grants $ 1,734,690.00 Total Department of Interior Grants $ 20,241,250.75 Sub-Total $ 543,282,273.00 ARPA Remaining Budget Available $ 16,430,745.00 Disaster Recovery Grants $ 19,999,418,126.90 University of the Virgin Islands $ 28,517,096.87 TOTAL $ 20,587,648,241.77 FY 2027 FEDERAL FUNDS BY BUDGET CATEGORY DEPARTMENTS PERSONNEL FRINGE BENEFITS SUPPLIES OTHER SERVICES UTILITIES INDIRECT COST CAPITAL OUTLAYS GRAND TOTAL Department of Justice $ 3,043,705.00 $ 1,500,183.00 $ 158,990.00 $ 2,494,856.00 $ 85,802.00 $ 7,283,536.00 Bureau of Corrections $ 741,638.00 $ 332,192.00 $ 600,000.00 $ 1,673,830.00 Office of The Governor $ 416,156.00 $ 416,156.00 Office of Management and Budget $ 390,000.00 $ 91,546.00 $ 26,751,267.00 $ 113,632.00 $ 27,346,445.00 Virgin Islands Territorial Emergency Management Agency $ 872,712.00 $ 425,724.00 $ 113,958.00 $ 2,847,536.00 $ 82,356.00 $ 97,500.00 $ 4,439,786.00 Bureau of Information Technology $ 578,000.00 $ 205,000.00 $ 783,000.00 Virgin Islands Fire & Emergency Medical Services $ 157,288.00 $ 1,297,706.00 $ 1,454,994.00 Virgin Islands Energy Office $ 776,182.00 $ 352,115.00 $ 1,022,100.00 $ 56,141,051.00 $ 58,291,448.00 Office of The Adjutant General $ 1,390,807.00 $ 941,615.00 $ 730,515.00 $ 767,388.00 $ 678,116.00 $ 712,007.00 $ 5,220,448.00 Department of Labor $ 2,696,771.00 $ 1,514,356.00 $ 453,303.00 $ 3,679,927.00 $ 804,566.00 $ 9,148,923.00 Department of Education $ 8,733,686.00 $ 2,832,302.00 $ 2,726,554.00 $ 12,782,751.00 $ 1,809,530.00 $ 28,884,823.00 Virgin Islands Police Department $ 1,706,813.00 $ 781,263.00 $ 409,309.00 $ 2,201,308.00 $ 526,172.00 $ 526,938.00 $ 6,151,803.00 Law Enforcement Planning Commission $ 146,035.00 $ 6,672,204.00 $ 6,818,239.00 Department of Public Works $ 1,125,097.00 $ 589,524.00 $ 1,617,736.00 $ 2,388,761.00 $ 203,239.00 $ 21,343,689.00 $ 27,268,046.00 Department of Health $ 11,405,692.00 $ 5,675,375.00 $ 1,874,727.00 $ 6,588,002.00 $ 65,000.00 $ 1,584,509.00 $ 370,157.00 $ 27,563,462.00 Department of Human Services $ 17,641,965.00 $ 10,117,522.00 $ 1,936,844.00 $ 97,391,601.00 $ 1,301,721.00 $ 128,389,653.00 Department of Planning & Natural Resources $ 7,084,966.00 $ 3,608,671.00 $ 2,017,864.00 $ 146,795,876.00 $ 29,500.00 $ 1,752,498.00 $ 27,944,548.00 $ 189,233,923.00 Department of Agriculture $ 350,624.00 $ 295,484.00 $ 643,357.00 $ 3,903,603.00 $ 5,986,000.00 $ 11,179,068.00 GRAND TOTAL $ 57,219,020.00 $ 28,725,680.00 $15,328,218.00 $ 372,359,479.00 $ 858,418.00 $ 6,876,502.00 $ 60,180,266.00 $ 541,547,583.00 U.S. VIRGIN ISLANDS FEDERAL GRANTS SUMMARY FY2027 OPERATING BUDGET - AS OF 4/30/2026 FY 2027 PROPOSED EXECUTIVE BUDGET 58 FY27 GRANTS LISTING ORG 110 DEPARTMENT OF JUSTIC (DOJ) CFDA NO TYPE OF ASSISTANCE GRANTER AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 93.563 Formula US HHS Child Support Services 66%/34% $ 6,386,570.00 $ 2,566,916.00 10/01/26-09/30/27 93.597 Project US HHS State Access & Visitation Programs 100% $ 100,000.00 10/01/26-09/30/27 93.775 Formula US HHS State Medicaid Fraud Control Units 100% $ 500,000.00 10/01/26-09/30/27 16.742 Grant US DOJ Paul Coverdell Forensic Sciences Improvement Grant Program 100% $ 296,966.00 10/01/26-09/30/27 TOTAL ORG 110 DEPARTMENT OF JUSTICE (DOJ) $ 7,283,536.00 $ 2,566,916.00 ORG 150 BUREAU OF CORRECTIONS CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 16.606 Project US DOJ State Criminal Alien Assistance Program 100% $ 1,273,830.00 12/05/18-09/30/27 15.875 Grant US DOI Economic, Social, and Political Development of the Territories 100% $ 400,000.00 12/23/25-09/30/29 TOTAL ORG 150 BUREAU OF CORRECTIONS $ 1,673,830.00 ORG 200 OFFICE OF THE GOVERNOR (OOG) CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 15.875 Grant US DOI Economic, Social, and Political Development of the Territories 100% $ 416,156.00 08/20/25-09/30/29 TOTAL ORG 200 OFFICE OF THE GOVERNOR $ 416,156.00 ORG 210 OFFICE OF MANAGEMENT AND BUDGET CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 11.035 Formula US DOC Broadband Equity, Access, and Deployment Program 100% $ 26,696,445.00 06/15/23-06/30/32 15.875 Grant US DOI Economic, Social, and Political Development of the Territories 100% $ 650,000.00 08/20/25-09/30/29 TOTAL ORG 210 OFFICE OF MANAGEMENT AND BUDGET $ 27,346,445.00 ORG 230 VI TERRITORIAL EMERGENCY MANAGEMENT AGENCY CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 11.467 Project US DOC Meteorological & Hydrologic Modernization Dev. 100% $ 325,293.00 09/01/26-08/31/27 97.008 Formula US DHS /FEMA Non-Profit Security Program 100% $ 1,872,510.00 09/01/25-08/31/28 97.042 Formula US DHS /FEMA Emergency Management Performance Grants 100% $ 845,675.00 10/01/24-09/30/27 97.067 Formula US DHS /FEMA Homeland Security Grant Program 100% $ 1,088,888.00 09/01/25-08/31/28 97.082 Agreement US DHS /FEMA Earthquake State Assistance 100% $ 51,090.00 09/01/26-03/31/27 97.137 Formula US DHS /FEMA State and Local Cybersecurity Grant Program 100% $ 256,330.00 09/01/25-08/09/29 TOTAL ORG 230 VI TERRITORIAL EMERGENCY MANAGEMENT AGENCY $ 4,439,786.00 FY 2027 PROPOSED EXECUTIVE BUDGET 59 ORG 240 VIRGIN ISLANDS FIRE AND EMERGENCY MEDICAL SERVICES CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 10.698 Project US DOA State & Private Forestry Cooperative Fire Assistance 100% $ 141,000.00 09/22/25-09/30/27 15.875 Project US DOI OIA Economic Social and Political Development of the Territories 100% $ 1,313,994.00 05/01/23-09/30/29 TOTAL 240 VIRGIN ISLANDS FIRE AND EMERGENCY MEDICAL SERVICES $ 1,454,994.00 ORG 260 BUREAU OF INFORMATION TECHNOLOGY CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 15.875 Project US DOI OIA Economic Social and Political Development of the Territories 100% $ 783,000.00 05/01/23-09/30/28 TOTAL 260 BUREAU OF INFORMATION TECHNOLOGY $ 783,000.00 ORG 270 VIRGIN ISLANDS ENERGY OFFICE CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 66.046 Projects Grants (Discretionary) US EPA Climate Pollution Reduction Grant 100% $ 500,000.00 08/01/23-07/31/27 81.041 Formula US DOE State Energy Program 100% $ 53,021,935.00 04/01/23-06/30/29 81.042 Formula US DOE Weatherization Assistance for Low-Income Persons 100% $ 1,459,054.00 07/01/22-06/30/27 81.128 Project US DOE Energy Efficiency and Conservation Block Grant Program 100% $ 181,780.00 04/01/22-09/30/27 81.254 Cooperative Agreement/Project/Formula US DOE Grid Infrastructure Deployment and Resilience 100% $ 3,128,679.00 09/05/23-04/30/28 TOTAL 270 VIRGIN ISLANDS ENERGY OFFICE $ 58,291,448.00 ORG 280 OFFICE OF THE ADJUTANT GENERAL CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 12.401 Coop. Agree. US DOD National Guard Military Operations and Maintenance (O&M) Projects 100% $ 5,220,448.00 10/01/26-09/30/27 TOTAL 280 OFFICE OF THE ADJUTANT GENERAL $ 5,220,448.00 ORG 370 DEPARTMENT OF LABOR CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 17.002 Salaries and Expenses US DOL Labor Force Statistics 100% $ 397,361.00 10/01/26-09/30/27 17.005 Salaries and Expenses US DOL Compensation and Working Conditions 50%/50% $ 46,420.00 10/01/26-09/30/27 17.207 Project/Formula US DOL Employment Service/Wagner- Peyser Funded Activities 100% $ 1,498,958.00 07/01/25-12/30/27 17.225 Direct Payments Unrestricted/Formula US DOL Unemployment Insurance 100% $ 4,347,098.00 01/01/24-03/31/28 17.290 Formula US DOL WIOA Adult, Dislocated Worker and Youth Outlying Areas Consolidated Grants 100% $ 2,429,031.00 04/01/24-06/30/27 17.503 Formula US DOL Occupational Safety & Health State Program 76%/24% $ 283,751.00 $ 89,605.57 10/01/26-09/30/27 17.273 Grant US DOL Temporary Labor Certification for Foreign Workers 100% $ 5,000.00 10/01/24-09/30/27 17.801 Formula US DOL Jobs for Veterans State Grants 100% $ 141,304.00 10/01/25-12/31/27 TOTAL 370 DEPARTMENT OF LABOR $ 9,148,923.00 $ 89,605.57 FY 2027 PROPOSED EXECUTIVE BUDGET 60 ORG 400 DEPARTMENT OF EDUCATION CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 10.555 Formula US FNS/DOA National School Lunch Program 100% $ 2,470,433.00 10/01/26-09/30/27 10.558 Formula US FNS/DOA Child and Adult Care Food Program 100% $ 967,562.00 10/01/26-09/30/27 17.285 Grant US DOL Registered Apprenticeship 100% $ 75,000.00 10/01/26-09/30/27 10.560 Formula US FNS/DOA State Administrative Expenses for Child Nutrition 100% $ 531,279.00 10/01/25-09/30/27 10.568 Formula US FNS/DOA Emergency Food Assistance Program (Admin. Costs) 100% $ 58,266.00 10/01/26-09/30/27 10.582 Project US FNS/DOA Fresh Fruit and Vegetable Program 100% $ 36,122.00 10/01/26-09/30/27 84.002A Formula US ED Adult Education - Basic Grants to States 100% $ 550,964.00 10/01/26-09/30/27 84.027A Formula US ED Special Education Grants to States 100% $ 7,641,379.00 10/01/26-09/30/27 84.403A Formula US ED Consolidated Grant to the Outlying Areas 100% $ 16,382,198.00 10/01/26-09/30/27 84.215K Project Grant US ED Innovative Approaches to Literacy 100% $ 171,620.00 04/08/21-03/28/26 TOTAL 400 DEPARTMENT OF EDUCATION $ 28,884,823.00 ORG 500 VIRGIN ISLANDS POLICE DEPARTMENT CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 15.875 Project Grants/Direct Payments for Specified Use US OIA Economic, Social, and Political Development of the Territories 100% $ 1,158,732.00 10/01/22-09/30/27 20.218 Formula US DOT Motor Carrier Safety Assistance 100% $ 849,967.00 10/01/26-09/30/27 20.600 Formula US DOT State & Community Highway Safety 100% $ 2,887,714.00 10/01/26-09/30/27 20.616 Formula US DOT Public Safety Partnership And Community Policing Grants 100% $ 1,255,390.00 10/01/26-09/30/27 TOTAL 500 VIRGIN ISLANDS POLICE DEPARTMENT $ 6,151,803.00 ORG 520 LAW ENFORCEMENT PLANNING COMMISSION CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 16.540 Formula US DOJ Juvenile Justice and Delinquency Prevention 100% $ 193,043.00 10/01/23-09/30/28 16.575 Formula US DOJ Crime Victim Assistance 100% $ 2,524,078.00 10/01/23-09/30/28 16.588 Formula US DOJ Violence Against Women Formula Grants 100% $ 1,284,287.00 10/01/24-09/30/28 16.593 Formula US DOJ Residential Substance Abuse Treatment for State Prisoners 100% $ 297,028.00 10/01/23-09/30/28 16.609 Project US DOJ Project Safe Neighborhoods 100% $ 51,886.00 10/01/24-09/30/28 16.738 Formula US DOJ Edward Byrne Memorial Justice Assistance Grant Program 100% $ 2,426,746.00 10/01/23-09/30/28 16.816 Project US DOJ John R. Justice Prosecutors and Defenders Incentive Act 100% $ 41,171.00 10/01/25-09/30/27 TOTAL 520 LAW ENFORCEMENT PLANNING COMMISSION $ 6,818,239.00 ORG 610 DEPARTMENT OF PUBLIC WORKS CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 15.875 Project Grant US OIA Economic, Social, and Political Development of the Territories 100% $ 4,355,638.00 06/03/19-09/30/30 20.205 Salaries and Expenses US DOT Highway Planning and Construction 100% $ 6,244,863.00 05/23/13-Until Expended 20.505 Formula US DOT Metropolitan Transportation Planning and State and Non- Metropolitan Planning and Research 100% $ 374,550.00 8/01/12-Until Expended 20.507 Formula US DOT Federal Transit Formula Grants 100% $ 13,464,642.00 09/14/12-Until Expended 20.526 Formula/Project US DOT Bus and Bus Facilities Formula, Competitive, and Low or No Emissions Programs 100% $ 2,122,445.00 08/20//19-03/30/27 20.527 Project US DOT Public Transportation Emergency Relief Program 100% $ 705,908.00 05/14/20-03/30/28 TOTAL 610 DEPARTMENT OF PUBLIC WORKS $ 27,268,046.00 FY 2027 PROPOSED EXECUTIVE BUDGET 61 ORG 700 DEPARTMENT OF HEALTH CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 64.057 Coop. Agree. DVA Suicide Mortality Review Cooperative Agreements 100% $ 303,560.00 10/01/25-09/30/27 10.557 Formula/Project/Coop. Agree. US FNS - DOA WIC Special Supplemental Nutrition Program for Women, Infants, and Children 100% $ 2,956,249.00 10/01/26-09/30/27 84.181 Formula US ED Special Education-Grants for Infants and Families 100% $ 1,431,969.00 10/01/26-09/30/27 93.069 Coop. Agree. US HHS Public Health Emergency Preparedness 100% $ 475,896.00 07/01/26-06/30/27 93.079 Coop. Agree. US HHS Cooperative Agreements to Promote Adolescent Health through School-Based Surveillance and Risk Behavior Reduction 100% $ 49,387.00 08/01/26-07/31/27 93.110 Project/Coop. Agree. US HHS Special Projects of Regional and National Significance 100% $ 842,632.00 12/01/26-11/30/27 93.116 Coop. Agree. US HHS Project Grants and Cooperative Agreements for Tuberculosis Control Programs 100% $ 188,188.00 01/01/27-12/31/27 93.127 Project/Coop. Agree. US HHS Emergency Medical Services for Children 100% $ 178,965.00 04/01/26-03/31/27 93.130 Coop. Agree. US HHS Cooperative Agreements to States/Territories for The Coordination and Development of Primary Care Offices 100% $ 153,295.00 04/01/27-03/31/28 93.136 Coop. Agree. US HHS Injury Prevention and Control Research and State and Community Based Programs 100% $ 40,000.00 02/01/27-04/30/28 93.150 Formula US HHS Projects for Assistance in Transition from Homelessness 100% $ 50,000.00 09/01/26-08/31/28 93.165 Grant US HHS Grants to States for Loan Repayment 100% $ 1,342,074.00 04/01/26-03/31/27 93.217 Project US HHS Family Planning Services 100% $ 932,318.00 04/01/26-03/31/27 93.243 Grant US HHS Substance Abuse and Mental Health Services Projects of Regional and National Significance 100% $ 204,767.00 09/30/26-09/29/27 93.251 Project/Coop. Agree. US HHS Early Hearing Detection and Intervention 100% $ 322,610.00 04/01/26-06/30/27 93.268 Coop. Agree. US HHS Immunization Cooperative Agreements 100% $ 1,285,727.00 07/01/23-06/30/30 93.323 Coop. Agree. US HHS Epidemiology & Laboratory Capacity for Infectious Diseases (ELC) 100% $ 3,104,144.00 08/01/26-07/31/27 93.336 Coop. Agree. US HHS Behavioral Risk Factor Surveillance System 100% $ 359,188.00 08/01/26-07/31/27 93.354 Coop. Agree. US HHS Public Health Emergency Response: Cooperative Agreement for Emergency Response: Public Health Crisis Response 100% $ 1,099,730.00 01/17/26-01/17/27 93.377 Coop. Agree. US HHS Prevention and Control of Chronic Disease and Associated Risk Factors in the U.S. Affiliated Pacific Islands, U.S. Virgin Islands, and P. R. 100% $ 407,349.00 06/28/26-06/27/27 93.788 Formula US HHS Opioid STR 100% $ 350,870.00 09/30/26-12/29/27 93.870 Formula/Coop. Agree. US HHS Maternal, Infant and Early Childhood Home Visiting Grant 100% $ 1,771,418.00 09/30/26-09/29/27 93.889 Formula/Coop. Agree. US HHS National Bioterrorism Hospital Preparedness Program 100% $ 315,616.00 07/01/26-06/30/27 93.898 Coop Agree. US HHS Cancer Prevention and Control Programs for State, Territorial and Tribal Organizations 100% $ 780,305.00 07/01/26-06/30/27 93.917 Project US HHS HIV Care Formula Grants 100% $ 1,267,313.00 04/01/26-03/31/27 93.940 Coop. Agree. US HHS HIV Prevention Activities Health Department Based 100% $ 834,662.00 04/01/26-03/31/27 93.958 Formula/Project US HHS Block Grants for Community Mental Health Services 100% $ 407,291.00 10/01/25-09/30/27 93.959 Formula US HHS Block Grants for Prevention and Treatment of Substance Abuse 100% $ 818,148.00 10/01/25-09/30/27 93.967 Coop. Agree. US HHS Centers for Disease Control and Prevention Collaboration with Academia to Strengthen Public Health 100% $ 2,529,301.00 12/01/22-11/30/27 93.977 Coop. Agree. US HHS Sexually Transmitted Diseases (STD) Prevention and Control Grants 100% $ 623,539.00 10/01/26-09/30/27 93.991 Project US HHS Preventive Health and Health Services Block Grant 100% $ 306,140.00 10/01/25-09/30/27 93.994 Formula US HHS Maternal and Child Health Services Block Grant 100% $ 1,830,811.00 10/01/25-09/30/27 TOTAL 700 DEPARTMENT OF HEALTH $ 27,563,462.00 FY 2027 PROPOSED EXECUTIVE BUDGET 62 ORG 720 DEPARTMENT OF HUMAN SERVICES CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 10.561 Formula US FNS-DOA State Administrative Matching Grants for The Supplemental Nutrition Assistance Program 50/50% $ 4,566,050.00 $ 4,118,149.00 10/01/26-09/30/27 15.875 Project Grants US DOI OIA Economic, Social, and Political Development of the Territories 100% $ 1,078,976.00 06/10/25-06/10/30 16.017 Grant US DOJ Sexual Assault Services Formula Program 100% $ 258,718.00 08/01/26-07/31/27 16.576 Formula US DOJ Crime Victim Compensation 100% $ 144,000.00 10/01/23-09/30/27 17.235 Formula US DOL Senior Community Service Employment Program 80/20% $ 908,648.00 $ 85,945.00 07/01/26-06/30/27 84.126 Formula US ED Rehabilitation Services Vocational Rehabilitation Grants to States 78.7%/21.3% $ 2,545,443.00 $ 272,926.00 10/01/26-09/30/27 93.092 Project/Formula US HHS Affordable Care Act (ACA) Personal Responsibility Education Program 100% $ 276,522.00 10/01/26-09/30/29 93.369 Formula US HHS ACL Independent Living State Grants 100% $ 31,359.00 10/01/26-09/30/27 93.556 Formula/Coop. Agree. US HHS MaryLee Allen Promoting Safe and Stable Families Program 100% $ 559,636.00 10/01/266-09/30/28 93.558 Formula US HHS Temporary Assistance for Needy Families 100% $ 2,174,484.00 10/01/26-09/30/27 93.560 Formula US HHS Payments to Territories - Adults 100% $ 1,040,000.00 10/01/26-09/30/27 93.575 Project/Formula US HHS Child Care and Development Block Grant 100% $ 7,493,099.00 10/01/22-09/30/27 93.596 Project/Formula US HHS Child Care Mandatory and Matching Funds of the Child Care and Development Fund 100% $ 682,756.00 10/01/25-09/30/27 93.599 Formula US HHS Chafee Education and Training Vouchers Program (ETV) 80%/20% $ 2,988.00 10/01/24-09/30/27 93.600 Project US HHS Head Start 80%/20% $ 9,430,632.00 $ 5,927,271.00 07/01/26-06/30/27 93.645 Grant US HHS Stephanie Tubbs Jones Child Welfare Services Program 100% $ 188,890.00 10/01/25-09/30/27 93.667 Formula US HHS Social Services Block Grant 100% $ 7,659,250.00 10/01/26-09/30/28 93.669 Grant US HHS Child Abuse and Neglect State Grants 100% $ 82,581.00 93.674 Formula US HHS John H. Chafee Foster Care Program for Successful Transition to Adulthood 100% $ 511,067.00 10/01/26-09/30/28 93.698 Grant US HHS Elder Justice Act – Adult Protective Services 100% $ 13,656.00 04/01/26-03/31/28 93.767 Formula US HHS Children's Health Insurance Program 83%/17% $ 12,041,667.00 $ 425,000.00 10/01/25-09/30/27 93.770 Insurance US HHS Medicare Prescription Drug Coverage 83/17% $ 789,187.00 $ 161,641.00 10/01/26-09/30/27 93.778 Formula US HHS Grants to States for Medicaid (MMIS) 75/25% $ 15,177,714.00 $ 1,849,037.00 10/01/26-09/30/27 93.778 Formula US HHS Grants to States for Medicaid (E&E) 75/25% $ 4,181,360.00 $ - 10/01/26-09/30/27 93.778 Formula US HHS Grants to States for Medicaid (ADMIN) 50/50% $ 1,950,675.00 $ 1,528,798.00 10/01/26-09/30/27 93.778 Formula US HHS Grants to States for Medicaid (CLAIMS) 50/50% $ 54,600,295.00 $ 9,193,136.00 10/01/26-09/30/27 TOTAL 720 DEPARTMENT OF HUMAN SERVICES $ 128,389,653.00 $ 23,561,903.00 FY 2027 PROPOSED EXECUTIVE BUDGET 63 ORG 800 DEPARTMENT OF PLANNING & NATURAL RESOURCES CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 11.419 Coop. Agree US DOC Coastal Zone Management Administration Awards 100% $ 1,570,944.00 10/01/26-/03/31/28 11.469 Grant US DOC Congressionally Identified Awards and Projects 100% $ 963,000.00 10/01/25-09/30/28 11.472 Coop. Agree US DOC Cooperative Research Program 100% $ 21,061.00 06/01/25-12/31/26 11.473 Coop. Agree US DOC Office for Coastal Management 100% $ 39,993,017.00 10/01/26-09/30/27 11.478 Coop. Agree. US DOC Center for Sponsored Coastal Ocean Research Coastal Ocean Program 100% $ 679,062.00 09/01/23-08/31/28 11.463 Grant US DOC Habitat Conservation 100% $ 713,103.00 11.482 Coop. Agree US DOC Coral Reef Conservation Program 100% $ 1,356,482.00 10/01/26-09/30/27 11.999 Coop. Agree US DOC Marine Debris Program 100% $ 2,696,568.00 11/01/25-10/31/28 15.605 Formula US DOI Sport Fish Restoration Program 100% $ 1,803,768.00 10/01/25-09/30/27 15.611 Formula US DOI Wildlife Restoration and Basic Hunter Education 100% $ 1,635,002.00 10/01/25-09/30/27 15.622 Project US DOI Sportfishing and Boating Safety Act 100% $ 238,006.00 06/23/25-07/01/27 15.634 Formula/Project/Direct US DOI State Wildlife Grants 100% $ 16,609.00 07/01/24-09/30/27 15.669 Project US DOI Cooperative Landscape Conservation 100% $ 1,025,839.00 06/27/23-09/30/28 15.875 Grant US DOI Economic, Social, & Political Development of The Territories 100% $ 5,171,869.00 06/07/22-09/30/27 15.904 Grant US DOI Historic Preservation Fund Grants-In-Aid 100% $ 691,298.00 10/01/24-09/30/27 15.916 Project US DOI Outdoor Recreation Acquisition, Development and Planning 100% $ 1,003,811.00 03/26/24-03/31/29 15.966 Grant US DOI Historic Preservation Fund Grants-in-Aid for Competitive Grants 100% $ 750,000.00 08/22/25-04/30/29 45.025 Project US NEA Promotion of the Arts Partnership Agreements 100% $ 375,150.00 10/01/26-09/30/27 45.310 Formula US NEA Grants to States 100% $ 138,706.00 10/01/25-09/30/27 66.418 Project US EPA Construction Grants for Wastewater Treatment Works 100% $ 6,011,474.00 10/01/21-09/30/28 66.442 Grant US EPA Water Infrastructure Improvements for the Nation Small and Underserved Communities Emerging Contaminants Grant Program 100% $ 8,391,634.00 10/01/25-09/30/32 66.448 US EPA Drinking Water System Infrastructure Resilience and Sustainability Program – SDWA 1459A(l) 100% $ 391,618.00 09/01/25-08/31/27 66.454 Project US EPA Water Quality Management Planning 100% $ 164,203.00 10/01/24-09/30/27 66.468 Formula US EPA Drinking Water State Revolving Fund 100% $ 6,063,281.00 10/01/18-09/30/28 66.600 Formula US EPA Environmental Protection Consolidated Grants for the Insular Areas - Program Support 100% $ 100,670,053.00 10/01/23-09/30/30 66.605 Formula US EPA Performance Partnership Grants 84/16% $ 2,606,181.00 $ 466,550.00 10/01/23-09/30/28 66.801 Formula US EPA Hazardous Waste Management State Program Support 100% $ 1,925,483.00 10/01/19-09/30/26 66.817 Coop. Agree US EPA State and Tribal Response Program Grants 100% $ 281,030.00 10/01/26-09/30/27 66.920 Coop. Agree US EPA Solid Waste Infrastructure for Recycling Infrastructure Grants 100% $ 673,002.00 10/01/23-09/30/27 97.012 Formula US DHS Boating Safety Financial Assistance 100% $ 1,212,669.00 10/01/25-09/30/27 TOTAL 800 DEPARTMENT OF PLANNING & NATURAL RESOURCES $ 189,233,923.00 $ 466,550.00 ORG 830 DEPARTMENT OF AGRICULTURE CFDA NO TYPE OF ASSISTANCE GRANTOR AGENCY GRANT DESCRIPTION MATCH RATIO FEDERAL/ LOCAL % TOTAL AWARD LOCAL MATCH AND/OR MOE FUNDS GRANT PERIOD 10.025 Project/Coop. Agree. US DOA Plant and Animal Disease, Pest Control and Animal Care 100% 70,433. $ 05/08/26-03/31/27 10.170 Formula US DOA Specialty Crop Block Grant Program- Farm Bill 100% $ $ 246,902. 09/30/25-09/29/28 10.664 Grant/ Coop Agree US DOA Cooperative Forestry Assistance 100% $ $ 110,500. 01/31/25-09/30/27 10.675 Project US FS-DOA Urban & Community Forestry Program 100% $ $ 749,500. 09/09/25-12/31/29 10.676 Project US FS-DOA Forestry Legacy Program 100% $ 75,000. 07/25/24-08/31/29 10.678 Project US FS-DOA Forestry Stewardship Program 100% $ $ 376,871. 08/31/25-05/31/29 10.731 Grant/ Coop Agree US FS-DOA Inflation Reduction Act Landscape Scale Restoration 100% $ $ 3,500,000. 09/17/24-08/31/29 10.734 Project US FS-DOA Inflation Reduction Act- Forest Legacy Program 100% 5,910,000. $ $ 09/11/24-08/31/29 10.902 Advisory Services and Counseling/Coop. Agree. US DOA Soil and Water Conservation 100% $ $ 139,862. 09/01/25-08/31/27 TOTAL 830 DEPARTMENT OF AGRICULTURE $ 11,179,068.00 GRAND TOTAL ALL DEPARTMENTS/AGENCIES $ 541,547,583.00 $ 26,684,974.57 FY 2027 PROPOSED EXECUTIVE BUDGET 64 FY26 OFFICE OF INSULAR AFFAIRS (DOI-OIA) GRANTS Office of Insular Affairs (DOI-OIA) Maintenance Assistance Program (MAP) Grants GRANT NO. PROJECT DESCRIPTION/PURPOSE AWARD DATE CLOSING DATE AWARD AMOUNT AWARD BALANCE SUBGRANTEE D26AP00066 Specialty Equipment Purchases (2) Garbage Trucks 11/6/2025 9/30/2029 $ 350,000.00 $ 350,000.00 VIWMA D23AP00204 Purchase of a Quick Attack/Pumper for the St. Croix District 7/17/2023 9/30/2027 $ 185,891.00 $185,891.00* VIFEMS D26AP00067 Purchase, EMS Equipment and Mechanical/Maintenance Equipment 11/6/2025 9/30/2029 $ 287,000.00 $ 287,000.00 VIFEMS D24AP00283 Battery Backup System Upgrade for Government Data Centers and Telecom Sites 7/2/2024 9/30/2028 $ 483,000.00 $ 483,000.00 BIT TOTAL $ 1,305,891.00 $ 1,120,000.00 Office of Insular Affairs (DOI-OIA) Technical Assistance Program (TAP) Grants GRANT NO. PROJECT DESCRIPTION/PURPOSE AWARD DATE CLOSING DATE AWARD AMOUNT AWARD BALANCE SUBGRANTEE D23AP00102 To Facilitate Programming for Commemorating 175 Years of Emancipation in the Virgin islands 5/1/2023 9/30/2027 $ 200,000.00 $ 200,000.00 OOG D26AP000143 Bureau of Corrections Re-Entry Program Phase 2 12/23/2025 9/30/2029 $ 400,000.00 $ 400,000.00 BOC D25AP00416 Single Audit TAP Funding-USVI 8/20/2025 9/30/2029 $ 250,000.00 $ 250,000.00 OMB D26AP00063 Consolidation Strategy for SRMC and JFL 11/6/2025 9/30/2029 $ 400,000.00 $ 400,000.00 OMB D26AP00078 To Purchase Self-Contained Breathing Apparatus 11/6/2025 9/30/2029 $ 400,000.00 $ 400,000.00 VIFEMS D23AP00101 National Historic Register Boundaries UPDATE for the Catherineberg-Jockumsdahl-HermanFarm District; Island of St. John (NRIS #78000270: CRIS #VIIS-19) Based on NPS CLI 2022 5/1/2023 9/30/2027 $ 60,000.00 $ 60,000.00 DPNR D23AP00103 Acquisition and Implementation of Business Process Improvement Technology Solutions 5/1/2023 9/30/2027 $ 300,000.00 $ 300,000.00 BIT D23AP00113 Climate Planning and Adaptation for the US Virgin Islands 5/11/2023 9/30/2028 $ 3,000,000.00 $ 2,250,000.00 DPNR D23AP00125 The Virgin Islands Fire Service - Emergency Response Vehicles - Rescue trucks and Emergency Quick Response vehicles 5/1/2023 9/30/2027 $ 655,423.00 $ 441,043.00 VIFEMS D24AP00035 Restoration of Degraded Ecosystems with Native Inventory 11/21/2023 9/30/2028 $ 582,836.00 $ 269,093.45 DPNR D24AP00034 Early Detection and Rapid Response for Decision-Makers 1/1/2024 9/30/2028 $ 387,849.00 $ 349,971.02 DPNR D25AP00145 Comprehensive Biosecurity Training: Addressing Invasive Species 12/11/2024 9/30/2029 $ 50,000.00 $ 50,000.00 DPNR D25AP00146 Biosecurity and Community Invasive Species Programs 12/11/2024 9/30/2029 $ 406,673.00 $ 406,673.00 DPNR D25AP00177 USVI Biosecurity Trainings Proposal 2025-2026 1/15/2025 9/30/2029 $ 75,000.00 $ 75,000.00 DPNR TOTAL $ 7,167,781.00 $ 5,851,780.47 Office of Insular Affairs (DOI-OIA) Capital Improvement Project (CIP) Grants GRANT NO. PROJECT DESCRIPTION/PURPOSE AWARD DATE CLOSING DATE AWARD AMOUNT AWARD BALANCE SUBGRANTEE D25AP00228 DHS Knud Hansen Mold Remediation Project 6/10/2025 6/30/2030 $ 414,100.00 $ 414,100.00 DHS D25AP00229 DHS New Meals on Wheels Project 6/10/2025 6/10/2030 $ 350,000.00 $ 350,000.00 DHS D25AP00231 FY2025 Capital Improvement Project (CIP) Program (DHS IT Infrastructure Project) 6/10/2025 6/10/2030 $ 184,876.00 $ 184,876.00 DHS D25AP00230 DHS Queen Louise Home for the Aged Repair Project 6/10/2025 6/10/2030 $ 130,000.00 $ 130,000.00 DHS D25AP00232 St. John Restroom Renovations Project 6/10/2025 6/10/2030 $ 500,000.00 $ 500,000.00 DPW D21AP10006 Centerline Road, Route 10 Cruz Bay and Coral Bay Road Rehabilitation Project, St. John 10/1/2020 9/30/2026 $ 1,842,023.00 $ 987,903.00 DPW D19AP00119 Cruz Bay and Coral Bay Road Rehabilitation Project 6/3/2019 9/30/2026 $ 544,485.00 $ 544,485.00 DPW D19AP00118 Charlotte Amalie Road Rehabilitation Project 6/3/2019 9/30/2026 $ 323,250.00 $ 323,250.00 DPW D22AP00073 Estate Thomas Road Improvement Project 8/1/2022 9/27/2027 $ 2,000,000.00 $ 2,000,000.00 DPW D23AP00116 VIPD construction of the real time crime center (RTCC) 10/1/2022 9/30/2027 $ 2,000,000.00 $ 1,158,731.16 VIPD D23AP00274 DPNR, for the continuation of rehabilitation of libraries on St. John, St. Thomas, and St. Croix 9/1/2023 8/31/2028 $ 2,689,038.01 $ 175,278.87 DPNR D24AP00114 Renovation of the former military barracks building in Sub Base 10/1/2023 9/30/2028 $ 900,000.00 $ 900,000.00 DPNR D24AP00115 Subdivide of the back area of our current WTJX building 10/1/2023 9/30/2028 $ 400,000. $ 400,000. WTJX D24AP00116 Surgical and Procedural Suites Improvements 10/1/2023 9/30/2028 500,000. $ $ 500,000. SRMC D25AP00227 Purchase of Waste Sterillizers 6/10/2025 6/10/2030 484,690. $ $ 484,690. SRMC D24AP00117 Establish Core Health Information Exchange Infrastructure 10/1/2023 9/30/2028 216,156. $ 216,156. $ OHIT Projected Capital Improvement Funding for FY 2026 10/1/2024 9/30/2029 $ $ 2,000,000. 2,000,000. $ $ GVI Projected Capital Improvement Funding for FY 2027 10/1/2025 9/30/2030 $ $ 2,000,000. $ $ 2,000,000. GVI TOTAL $ 17,478,618.26 $ 13,269,470.28 GRAND TOTAL DEPARTMENT OF INTERIOR GRANTS $ 25,952,290.26 $ 20,241,250.75 Non-Central Agencies Department of Interior Grants totalling $1,734,690.00 AMERICAN RESCUE PLAN ACT FUNDS (ARPA) - AS OF 03/31/2025 OMB American Rescue Plan Act Funds - As of 03/31/2026 EXPENDITURE CATEGORY BUDGET AMOUNT APPROVED AMOUNT EXPENDED AMOUNT REMAINING AMOUNT PUBLIC HEALTH $ 55,534,387.00 $ 46,805,618.00 $ 41,907,065.00 $ 4,898,553.00 NEGATIVE ECONOMIC IMPACTS $ 106,578,717.00 $ 69,604,238.00 $ 69,346,371.00 $ 257,867.00 PUBLIC HEALTH-NEGATIVE ECONOMIC IMPACT: PUBLIC SECTOR CAPACITY $ 25,770,835.00 $ 16,470,719.00 $ 15,277,235.00 $ 1,193,484.00 PREMIUM PAY $ 31,896,600.00 $ 32,431,786.00 $ 32,432,786.00 $ (1,000.00) INFRASTRUCTURE $ 52,727,500.00 $ 19,335,000.00 $ 16,095,076.00 $ 3,239,924.00 REVENUE REPLACEMENT $ 261,645,378.00 $ 355,337,209.00 $ 349,620,151.00 $ 5,717,058.00 ADMINISTRATIVE $ 13,023,467.00 $ 7,192,312.00 $ 6,067,453.00 $ 1,124,859.00 GRAND TOTAL $ 547,176,884.00 $ 547,176,882.00 $ 530,746,137.00 $ 16,430,745.00 FY 2027 PROPOSED EXECUTIVE BUDGET 65 UNIVERSITY OF THE VIRGIN ISLANDS FEDERAL GOVERNMENT GRANTS GRANTOR AGENCY/DEPARTMENT AWARD / PROJECT NAME AWARD AMOUNT DEPARTMENT ADMINITERED BY PURPOSE US DEPT OF AGRICULTURE AES-MCINTIRE/STENNIS $ 24,440.00 RESEARCH & PUBLIC SERVICE RESEARCH AES-HATCH REGULAR FUNDS $ 1,109,272.00 RESEARCH & PUBLIC SERVICE RESEARCH AES-HATCH MULTI-STATE RESEARCH FUNDS $ 175,395.00 RESEARCH & PUBLIC SERVICE RESEARCH CES- SMITH LEVER $ 2,360,308.00 RESEARCH & PUBLIC SERVICE COMMUNITY SERVICES CES- SMITH LEVER $ 2,262,500.00 RESEARCH & PUBLIC SERVICE COMMUNITY SERVICES CES-EFNEP $ 102,991.00 RESEARCH & PUBLIC SERVICE COMMUNITY SERVICES CES-EFNEP $ 103,591.00 RESEARCH & PUBLIC SERVICE COMMUNITY SERVICES RENEWABLE RESOURCES EXTENSION ACT PROGRAM 2026 $ 13,500.00 RESEARCH & PUBLIC SERVICE COMMUNITY SERVICES ESTABLISHING AN EDUCATIONAL PIPELINE TO STRENGTHEN THE MPP $ 38,000.00 RESEARCH & PUBLIC SERVICE RESEARCH ESTABLISHING DOMESTIC VANILLA CULTIVATION IN SOUTHERN FLORIDA $ 22,926.00 RESEARCH & PUBLIC SERVICE RESEARCH PASSIONFRUIT: LAYING THE GROUNDWORK FOR AN EMERGING SPECIALTY FRUIT CROP IN FLORIDA $ 10,000.00 RESEARCH & PUBLIC SERVICE RESEARCH REMODELING AND EQUIPPING POST HARVEST FACILITY FOR TEACHING AND STUDENT RESEARCH TRAINING $ 199,448.00 RESEARCH & PUBLIC SERVICE RESEARCH DEVELOPING A WATER-STORAGE ASSESSMENT TOOL FOR SMALL AGRICULTURAL $ 156,506.02 RESEARCH & PUBLIC SERVICE RESEARCH US GEOLOGICAL SURVEY WRRI PROGRAMS $ 146,840.00 RESEARCH & PUBLIC SERVICE RESEARCH US SMALL BUSINESS ADMIN. SMALL BUSINESS DEVELOPMENT CENTER $ 777,777.00 UVI SBDC OFFICE COMMUNITY SERVICES US HEALTH & HUMAN SERVICES UNIVERSITY CENTER FOR EXCELLANCE IN DEVELOPMENTAL DISABILITIES $ 620,675.00 SCHOOL OF EDUCATION COMMUNITY SERVICES UVI MENTAL HEALTH TRAINING AWARENESS PROGRAM $ 213,192.85 RESEARCH & PUBLIC SERVICE COMMUNITY SERVICES FY2025 (ATSG) ACT STATE GRANTS FOR ASSISTIVE TECHNOLOGY $ 126,654.00 RESEARCH & PUBLIC SERVICE COMMUNITY SERVICES FY2026 (ATSG) ACT STATE GRANTS FOR ASSISTIVE TECHNOLOGY $ 126,677.00 RESEARCH & PUBLIC SERVICE COMMUNITY SERVICES US DEPT OF EDUCATION TITLE II-VI TECHNOLOGY RELATED ASSISTANCE FOR INDIVIDUALS WITH DISABILITIES $ 126,717.00 EDUCATION DIVISION FINANCIAL AID TITLE III-HBCU $ 4,668,061.00 TITLE III ACADEMIC SUPPORT TITLE IV - CWS $ 85,594.00 FINANCIAL AID FINANCIAL AID TITLE IV - SEOG $ 61,908.00 FINANCIAL AID FINANCIAL AID TITLE IV - PELL $ 3,513,925.00 FINANCIAL AID FINANCIAL AID PERSONNEL DEVELOPMENT TO IMPROVE SERVICES AND RESULTS FOR CHILDREN WITH DISABILITIES - EARLY CHILDHOOD PERSONNEL EQUITY CENTER $ 67,234.00 EDUCATION DIVISION COMMUNITY SERVICES NATIONAL SCIENCE FOUNDATION RIDGE TO REEF PROCESSES AND INTERDEPENDENT DRIVERS OF SMALL ISLAND RESILIENCE $ 2,988,796.00 SCIENCE & MATHEMATICS RESEARCH NSF INCLUDES: SUPPORTING EMERGING AQUATIC SCIENTISTS (SEAS) ISLAND ALLIANCE $ 899,761.00 CMES RESEARCH COLLABORATIVE REARCH: IMPLEMENTATION GRANT $ 1,091,285.00 CMES RESEARCH COLLABORATIVE REARCH: IMPLEMENTATION GRANT $ 458,408.00 CMES RESEARCH DICATE: DATA SCIENCE EQUITY-DRIVEN INQUIRY TO CREATE ACCESSIBLE $ 91,187.00 CSM RESEARCH PATHWAYS TO ASTRONOMY CAREERS $ 99,588.00 CSM RESEARCH STATE TOURISM: AMERICAN RESCUE PLAN ACT STATE TRAVEL, TOURISM $ 63,445.00 CSM RESEARCH LARGE-SCALE CoPe: REDUCING CLIMATE RISKS WITH EQUITABLE NATURE-BASED SOLUTIONS: ENGAGING COMMUNITIES ON REEF-LINED COASTS $ 458,408.00 CMES RESEARCH NATIONAL AERONAUTICS AND SPACE ADMIN. NASA EPCOR IN THE VIRGIN ISLANDS OF THE USA $ 400,000.00 SCIENCE & MATHEMATICS CURRICULUM DEVELOPMT APPLICATION OF UAV AND SATELLITE BASED OPTICAL SENSORS $ 129,502.00 CMES RESEARCH COLLABORATIVE RESEARACH: IMPLEMENTATION C- COAST: CHANGING THE CULTURE OF OUR OCCUPATIONS TO ACHIEVE SYSTEMIC $ 91,246.00 CMES RESEARCH BROADENING PARTICIPATION RESEARCH CENTER: CENTER FOR THE ADVANCEMENT OF STEM LEADERSHIP $ 592,613.00 PROVOST OFFICE RESEARCH THE NASA-UVI PRE COLLEGE ENGINEERING SUMMER INSTITUTE $ 85,000.00 CSM RESEARCH CLIMATE CHANGE AND THE EFECTS OF GOLDEN TIDES ON CARIBBEAN COASTAL SUSTAINABILITY - MULTISCALE PREDICATION FOR AN EMERGING BIOCOMPLEX PROBLEM $ 280,660.00 CMES RESEARCH US DEPARTMENT OF LABOR CONSULATION PROGRAM FY 2025 21(d) $ 380,100.00 PERSONAL & COMMUNITY DEVELOPMENT COMMUNITY SERVICES US DEPARTMENT OF DEFENSE VI PROCUREMENT TECHNICAL ASSISTANCE CENTER (APEX) $ 314,426.00 SCHOOL OF BUSINESS COMMUNITY SERVICES US DEPT OF THE INTERIOR MOVING TOWARDS SUSTAINABLE TRANSPORTATION $ 491,705.00 GREEN TECHNOLOGY RESEARCH US ENVIRONMENTAL PROTECTION AGENCY SUPPORTING EMERGING AQUATICS $ 100,000.00 CMES RESEARCH TERRA AY AY ENVIRONMENTAL ACTION GROUP $ 17,876.00 CSM RESEARCH US DEPT OF COMMERCE UNDERSTANDING & PREVENTING LAND-BASED SOURCES OF POLLUTION $ 5,000.00 CENTER FOR MARINE & ENVIRONMENTAL STUDIES RESEARCH CARIBBEAN CLIMATE ADAPTATION $ 158,934.00 GREEN TECHNOLOGY RESEARCH PASSIVE ACOUSTIC MONITORING FOR MARINE MAMMAL STOCK ASSESSMENTS USING GLIDERS IN THE CARIBBEAN: FILLING A NMFS OPERATIONAL GAP $ 247,751.00 CMES RESEARCH IMPROVING ENGAGEMENT METHODS FOR COASTAL RESILIENCE $ 44,517.00 RESEARCH & PUBLIC SERVICES RESEARCH UVI TECHNOLOGY INNOVATIONS: EXPANDING NETWORK CAPACITY AND RESILIENCE TO FOSTER CREATIVITY, ENHANCE CYBER SECURITY, AND IMPROVE ACCESS TO RESOURCES FOR LEARNING NTIA $ 1,111,552.00 INFORMATION SERVICES & INSTITUTIONAL ASSESSMENT COMMUNITY SERVICES DEPARTMENT OF DEFENSE PARALLEL COMPUTING AT THE UNIVERSITY OF THE VIRGIN ISLANDS $ 151,455. INFORMATION TECHNOLOGY SERVICES RESEARCH VI PROCUREMENT TECHNICAL ASSISTANCE PROGRAM $ 400,000. SCHOOL OF BUSINESS COMMUNITY SERVICES INSTITUTE OF MUSEUM AND LIBRARY USVI LIBRARY/COMMUNITY COLLABORATION: TRAINING & TECHNOLOGY INNOVATIONS $ 249,750. INFORMATION SERVICES & INSTITUTIONAL ASSESSMENT COMMUNITY SERVICES TOTAL FEDERAL GRANTS $ 28,517,096.87 FY 2027 PROPOSED EXECUTIVE BUDGET 66 OFFICE OF DISASTER RECOVERY ALLOCATED OBLIGATED EXPENDED REMAINING ALL FUNDING SOURCES $ 25,683,415,044.49 $ 24,530,024,669.59 $ 4,530,606,542.32 $ 19,999,418,126.90 FEMA $ 23,435,778,005.00 $ 22,284,370,073.00 $ 3,746,261,947.00 $ 18,538,108,126.00 Public Assistance $ 22,051,293,357.00 $ 22,051,293,357.00 $ 3,673,035,281.00 $ 18,378,258,076.00 Irma (4335) $ 66,622,040.00 $ 66,622,040.00 $ 28,069,403.00 $ 38,552,637.00 Maria (4340) $ 21,984,671,317.00 $ 21,984,671,317.00 $ 3,644,965,878.00 $ 18,339,705,439.00 HMGP $ 1,384,484,648.00 $ 233,076,716.00 $ 73,226,666.00 $ 159,850,050.00 Irma (4335) $ 36,246,882.00 $ 32,273,577.00 $ 8,825,016.00 $ 23,448,561.00 Maria (4340) $ 1,348,237,766.00 $ 200,803,139.00 $ 64,401,650.00 $ 136,401,489.00 HUD $ 1,917,330,884.00 $ 1,917,330,884.00 $ 556,045,613.83 $ 1,361,285,270.17 CDBG-DR Infrastructure $ 476,073,203.83 $ 476,073,203.83 $ 158,827,957.95 $ 317,245,245.88 Housing $ 483,132,493.62 $ 483,132,493.62 $ 141,569,787.59 $ 341,562,706.03 Economic Revitalization $ 27,129,892.55 $ 27,129,892.55 $ 12,152,069.12 $ 14,977,823.43 Administration $ 53,774,494.00 $ 53,774,494.00 $ 47,333,367.14 $ 6,441,126.86 Planning $ 18,000,000.00 $ 18,000,000.00 $ 8,288,125.74 $ 9,711,874.26 Public Services & Public Facilities $ 17,379,800.00 $ 17,379,800.00 $ 1,145,168.12 $ 16,234,631.88 CDBG-DR - Mitigation $ 774,188,000.00 $ 774,188,000.00 $ 185,772,967.19 $ 588,415,032.81 CDBG-DR - Electrical $ 67,653,000.00 $ 67,653,000.00 $ 956,170.98 $ 66,696,829.02 DOT $ 79,299,437.00 $ 77,316,994.10 $ 71,746,410.68 $ 5,570,583.42 Federal Highway - Emergency Relief $ 79,299,437.00 $ 77,316,994.10 $ 71,746,410.68 $ 5,570,583.42 OTHER FUNDS $ 251,006,718.49 $ 251,006,718.49 $ 156,552,570.81 $ 94,454,147.68 Other Funds $ 251,006,718.49 $ 251,006,718.49 $ 156,552,570.81 $ 94,454,147.68 FEDERAL AGENCY ALLOCATED OBLIGATED EXPENDED REMAINING Department of Housing and Urban Development $ 1,917,330,884.00 $ 1,917,330,884.00 $ 556,045,613.83 $ 1,361,285,270.17 Department of Transportation $ 79,299,436.98 $ 77,316,994.10 $ 71,746,410.68 $ 5,570,583.42 Federal Emergency Management -Hazard Mitigation Program Grant - DR 4335 $ 36,246,882.00 $ 32,273,576.92 $ 8,825,015.85 $ 23,448,561.07 Federal Emergency Management -Hazard Mitigation Program Grant - DR 4340 $ 1,348,237,765.60 $ 200,803,139.17 $ 64,401,650.32 $ 136,401,488.85 Federal Emergency Management -Public Assistance - DR 4335 $ 66,622,039.61 $ 66,622,039.61 $ 28,069,403.34 $ 38,552,636.27 Federal Emergency Management -Public Assistance - DR 4340 $ 21,984,671,316.99 $ 21,984,671,316.99 $ 3,644,965,877.55 $ 18,339,705,439.44 Other Funds $ 251,006,718.49 $ 251,006,718.49 $ 156,552,570.81 $ 94,454,147.68 Grand Total $ 25,683,415,043.67 $ 24,530,024,669.28 $ 4,530,606,542.38 $ 19,999,418,126.90 FY 2027 PROPOSED EXECUTIVE BUDGET 67 FY 2027 PROPOSED EXECUTIVE BUDGET 68 TERRITORY WIDE Island Name Project Name Funding Source Budgeted Amount Expenditures to Date Remaining Balance Territory Wide BIT IT SECURITY UPGRADES 00260004-M1162 $200,000 $0 $200,000 Territory Wide BIT NETWORK UPGRADES 00260004-M1162 $150,000 $0 $150,000 Territory Wide Envision Tomorrow CDBG-DR $195,046,728 $67,000,000 $0 Territory Wide Street Addressing Initiative CDBG-DR $5,300,000 $1,624,395 $3,675,605 Territory Wide Commercial Hardening Projects CDBG-MIT $13,199,935 $0 $13,199,935 Territory Wide Small Business Mitigation Projects CDBG-MIT $3,509,814 $0 $3,509,814 Territory Wide Resilient Multifamily Housing CDBG-MIT $59,238,506 $0 $59,238,506 Territory Wide Single Family Resilient Construction CDBG-MIT $2,500,000 $0 $2,500,000 Territory Wide Homeless Housing Initiative CDBG-MIT $20,475,368 $0 $20,475,368 Territory Wide BIT DATA CENTER MAINTENANCE MANAGEMENT SOLUTION DOI-OIA MAP $175,000 $175,000 $0 Territory Wide BIT NETWORK REDESIGN OF GWAN & LMR PUBLIC SAFETY SYSTEMS DOI-OIA TAP $350,000 $306,513 $43,487 Territory Wide BIT BATTERY BACKUP SYSTEM UPGRADES/REPAIRS DOI-OIA TAP $483,000 $0 $483,000 Territory Wide BUSINESS PROCESS IMPROVEMENT TECHNOLOGY SOLUTIONS DOI-OIA TAP $300,000 $0 $300,000 Territory Wide VIEO Energy Vulnerability EPSEI $10,000,000 $0 $10,000,000 Territory Wide Distribution Automated Devices EPSEI $1,500,000 $0 $1,500,000 Territory Wide Transfer Replacement EPSEI $3,000,000 $0 $3,000,000 Territory Wide BIT NETWORK REDESIGN OF GWAN & LMR PUBLIC SAFETY SYSTEMS FEMA HSGP $618,900 $125,000 $493,900 Territory Wide BIT NETWORK REDESIGN OF GWAN & LMR PUBLIC SAFETY SYSTEMS FEMA RECOVERY FUNDS $9,231,100 $475,712 $8,755,388 Territory Wide BIT NETWORK REDESIGN OF GWAN & LMR PUBLIC SAFETY SYSTEMS FEMA RECOVERY FUNDS $161,555,007 $0 $161,555,007 Territory Wide NEXT GENERATION E-911 SYSTEM UPGRADE GRT DSR EXCESS FUNDS $400,000 $350,000 $50,000 Territory Wide MANAGEMENT SERVICES - 911 SYSTEM VIPFA PROJECT FUND $400,000 $335,990 $64,010 $487,633,358 $70,392,609 $289,194,020 CAPITAL PROJECTS FY2027 OPERATING BUDGET FY 2027 PROPOSED EXECUTIVE BUDGET 69 ST. THOMAS / ST. JOHN PROJECTS Island Name Project Name Funding Source Budgeted Amount Expenditures to Date Remaining Balance St. Thomas/St. John Veterans Drive Road Extension CDBG-MIT $124,400,000 $0 $124,400,000 St. Thomas/St. John Botany Bay, Perseverance Bay and Red Hook Bay Watersheds (Combined) Project FEMA $911,928 $461,134 $450,794 St. Thomas/St. John Great Cruz Bay Watershed Project FEMA $4,877,881 $1,155,754 $3,722,127 St. Thomas/St. John Fish Bay Watershed FEMA $457,675 $330,848 $126,827 St. Thomas/St. John Coral Bay & Maho Bay Watershed Project FEMA $1,357,766 $342,005 $1,015,761 St. Thomas/St. John Frenchman's Bay Watershed FEMA $1,805,691 $1,200,306 $605,385 St. Thomas/St. John Jersey Bay and Smith Bay Watershed (Combined) - Project 1 FEMA $11,199,111 $323,321 $10,875,790 St. Thomas/St. John Mandahl Bay Watershed - Project 1 FEMA $3,539,993 $27,729 $3,512,264 St. Thomas/St. John Cyril E. King Watershed and Fortuna Bay Watershed (Combined) - Project 1 FEMA $947,845 $10,501 $937,344 St. Thomas/St. John Dorothea Bay Watershed (Combined) - Project 1 FEMA $461,789 $16,665 $445,124 St. Thomas/St. John DPW Maintenance Building FEMA $1,916,448 $242,855 $1,673,593 St. Thomas/St. John St. Thomas Bay Watershed (Combined) Project 1 FEMA $5,357,360 $192,652 $5,164,707 St. Thomas Composite Poles PA $138,464,363 $95,973,509 $42,490,854 St. Thomas Charlotte Amalie HS PA $334,063,974 $39,272,318 $294,791,657 St. Thomas Advanced Metering Infrastucture System PA $27,261,567 $0 $27,261,567 St. John Julius Sprauve ES PA $1,322,600 $413,394 $909,207 St. Thomas Ivanna Eudora Kean HS PA $9,389,579 $4,268,424 $5,121,155 St. Thomas Lockhart ES PA $7,778,742 $5,624,660 $2,154,082 St. John Feeder 9E PA $24,750,000 $0 $24,750,000 St. Thomas E Benjamin Oliver ES PA $5,238,505 $2,904,993 $2,333,512 St. Thomas Randolph Harley Power Generation Units PA $16,351,530 $4,737,737 $11,613,793 St. Thomas Yvonne Milliner Bowsky ES PA $6,223,715 $4,013,228 $2,210,487 St. Thomas Knud Hansen Building and Equipment PA $1,245,583 $186,837 $1,058,746 St. Thomas Bertha C. Boschulte School PA $120,621,895 $14,283,909 $106,337,986 FY 2027 PROPOSED EXECUTIVE BUDGET 70 St. Thomas Feeder 9A Phase 1 PA $12,885,000 $0 $12,885,000 St. Thomas Queen Louise Home for the Aged Replacement PA $965,555 $144,833 $820,722 St. John Myrah Keating Smith Community Health Center PA $990,500 $24,856 $965,644 St. Thomas Knud Hansen Tower Replacement PA $471,165 $70,675 $400,490 St. Thomas George P Scott (Lima Company) PA $465,295 $27,454 $437,841 St. Thomas Jane Tuitt ES PA $5,203,400 $2,326,201 $2,877,199 St. John Cruz Bay Fire Station PA $465,295 $35,348 $429,947 St. Thomas Ulla Muller ES PA $478,228 $362,976 $115,252 St. Thomas Estate Fortuna (Tango Company) PA $232,905 $40,274 $192,631 St. John Morris DeCastro Clinic Replacement PA $938,300 $48,101 $890,199 St. Thomas Lionel "Smut" Richards Ballpark PA $728,909 $0 $728,909 St. John Maintenance Building PA $0 $0 $0 St. Thomas OMH/Clinic Temp Build Out PA $77,257 $11,589 $65,668 St. Thomas Roy Lester Schneider Hospital PA $0 $0 $0 $873,847,348 $179,075,085 $694,772,263 Island Name Project Name Funding Source Budgeted Amount Expenditures to Date Remaining Balance FY 2027 PROPOSED EXECUTIVE BUDGET 71 ST. CROIX DISTRICT Island Name Project Name Funding Source Budgeted Amount Expenditures to Date Remaining Balance St. Croix Concordia Convenience Center CDBG-DR $1,425,452 $0 $1,425,452 St. Croix Mon BiJou Convenience Center CDBG-DR $1,215,562 $0 $1,215,562 St. Croix Cotton Valley Convenience Center CDBG-DR $1,037,922 $0 $1,037,922 St. Croix Frederiksted Office Building FEMA $794,595 $26,803 $767,793 St. Croix Kingshill Cemetery Chapel, Building FEMA $875,775 $0 $875,775 St. Croix Estate Mt Pleasant (Project 1) FEMA $3,122,501 $0 $3,122,501 St. Croix Temporary Facility at Anna's Hope Compound on St. Croix FEMA $289,629 $0 $289,629 St. Croix St. Croix Public Works Compound - Anna's Hope FEMA $10,170,028 $297,308 $9,872,721 St. Croix VITRAN Operations & Maintenance Facility - STX FTA $6,700,000 $5,672,308 $1,027,692 St. Croix Veterans Multi-Vault Crypt (STX) LOCAL $300,000 $0 $300,000 St. Croix Composite Poles PA $190,251,565 $136,675,525 $53,576,040 St. Croix Charles Harwood Medical Center Demolition and Replacement PA $289,295,871 $13,284,112 $276,011,759 St. Croix Temporary Facility at Anna's Hope Compound PA $4,700,672 $0 $4,700,672 St. Croix Replacement of GJFL Building PA $3,425,017 $513,753 $2,911,264 St. Croix Richmond Power Generation Units PA $6,849,913 $0 $6,849,913 St. Croix Central High School PA $319,308,431 $23,988,087 $295,320,344 St. Croix Educational Complex HS PA $357,894 $83,435 $274,459 St. Croix Alfredo Andrews ES PA $9,907,283 $1,486,092 $8,421,191 St. Croix Estate Profit Community Center PA $4,196,898 $0 $4,196,898 St. Croix Renceliar I Gibbs (Company A) PA $232,905 $49,500 $183,405 St. Croix Economic Development Authority Flemming House PA $1,090,380 $0 $1,090,380 St. Croix Herbert Grigg Home for The Aged Campus PA $775,835 $40,345 $735,490 St. Croix Claude O Markoe ES PA $9,811,045 $1,471,657 $8,339,389 St. Croix Pearl B Larsen ES PA $10,235,186 $1,535,278 $8,699,908 St. Croix Alexander Henderson ES PA $1,177,055 $1,256,297 -$79,242 $877,547,414 $186,380,498 $691,166,916 FY 2027 PROPOSED EXECUTIVE BUDGET 72 FY 2027 PROPOSED EXECUTIVE BUDGET 73 Bill No. 36- Thirty-Seventh Legislature of the Virgin Islands of the United States Regular Session 2027 An Act appropriating money for the operation of the Government of the Virgin Islands during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed by the Govenor Be it enacted by the Legislature of the Virgin Islands: Section 1. The sums listed herein, or so much thereof as shall be sufficient to accomplish the purposes specified are set forth and are appropriated and authorized to be paid from any funds in the General Fund of the Treasury of the Virgin Islands, which shall be available for Fiscal Year October 1, 2026 to September 30, 2027. FY 2027 PROPOSED 110 DEPARTMENT OF JUSTICE PERSONNEL SERVICES $10,812,304 FRINGE BENEFITS $4,445,418 SUPPLIES $291,101 OTHER SERVICES AND CHARGES $2,413,251 UTILITIES $294,200 M1143 CONTRIBUTION TO LEGAL DEFENSE FUND $40,000 M1366 JUDGEMENTS-LESS $6,000 $70,000 M8022 WITNESS PROTECTION PROGRAM $70,000 MIS06 JUDGEMENTS-LESS $25,000 $100,000 MIS07 JUDGEMENTS-EXCESS $25,000 $250,000 TOTAL 110 DEPARTMENT OF JUSTICE $18,786,274 150 BUREAU OF CORRECTION PERSONNEL SERVICES $14,840,125 FRINGE BENEFITS $7,071,426 SUPPLIES $1,935,592 OTHER SERVICES AND CHARGES $12,579,522 CAPITAL OUTLAY $50,000 TOTAL 150 BUREAU OF CORRECTIONS $36,476,665 200 OFFICE OF THE GOVERNOR OPERATING EXPENSES $12,641,600 M22A1 MISC HEALTH INFORMATION EXCHANGE $250,000 M1006 OOG EXP FOR ANNUAL ACTIVITES $150,000 M1111 OOG TRANSITIONAL ACTIVITIES $300,000 M1113 EMANCIPATION DAY ACTIVITIES $15,000 M1913 PR/VI FRIENDSHIP DAY STX $100,000 M1914 PR/VI FRIENDSHIP DAY STT $20,000 M7029 GOVT ACCESS CHANNEL $150,000 M8004 BVI/VI FRIENDSHIP DAY $75,000 M2214 OFFICE OF GUN VIOLENCE $225,000 M2228 VIRTUAL INFORMATION SYSTEM $150,000 TOTAL 200 OFFICE OF THE GOVERNOR $14,076,600 210 OFFICE OF MANAGEMENT & BUDGET PERSONNEL SERVICES $3,398,177 FRINGE BENEFITS $1,568,030 SUPPLIES $603,401 OTHER SERVICES AND CHARGES $1,516,700 UTILITIES $100,000 TOTAL 210 OFFICE OF MANAGEMENT AND BUDGET $7,186,308 220 DIVISION OF PERSONNEL PERSONNEL SERVICES $3,635,884 FRINGE BENEFITS $1,785,758 U.S. VIRGIN ISLANDS FY 2027 PROPOSED LEGISLATION FY 2027 DRAFT GENERAL FUND BILL FY 2027 PROPOSED EXECUTIVE BUDGET 74 SUPPLIES $106,471 OTHER SERVICES AND CHARGES $797,941 CAPITAL OUTLAY $50,000 M0081 HEALTH INSURANCE RETIREES $38,210,672 M1106 DOP GVI EMPLOYEE RECOGNITION $101,253 M1434 DOP CERTIFIED PUBLIC MANAGER $90,000 M1608 DOP HEALTH INSURANCE CONSULTANTS $315,000 M9017 CONTR HEALTH INS. BOARD $275,000 M21A8 DOP HEALTH INSURANCE INCREASE $19,935,999 M2109 GVI FELLOWS PROGRAM $959,879 TOTAL 220 DIVISION OF PERSONNEL $66,263,857 221 OFFICE OF COLLECTIVE BARGAINING PERSONNEL SERVICES $867,215 FRINGE BENEFITS $371,168 SUPPLIES $40,000 OTHER SERVICES AND CHARGES $163,345 UTILITIES $13,000 CAPITAL OUTLAYS $120,000 TOTAL 221 OFFICE OF COLLECTIVE BARGAINING $1,574,728 222 BUREAU OF SCHOOL CONSTRUCTION AND MAINTENANCE PERSONNEL SERVICES $4,051,202 FRINGE BENEFITS $1,935,213 TOTAL 222 BUREAU OF SCHOOL CONSTRUCTION AND MAINTENANCE $5,986,415 230 VITEMA PERSONNEL SERVICES $3,282,464 FRINGE BENEFITS $1,647,143 SUPPLIES $73,056 OTHER SERVICES AND CHARGES $365,206 UTILITIES $293,257 M2010 VITEMA GENERATOR AGREEMENT $75,000 M0011 DISASTER CONTINGENCY. $175,000 TOTAL 230 VITEMA $5,911,126 240 VI FIRE & EMERGENCY MEDICAL SERVICES PERSONNEL SERVICES $23,702,591 FRINGE BENEFITS $9,825,698 OTHER SERVICES AND CHARGES $183,459 UTILITIES $471,475 TOTAL 240 VI FIRE SERVICES $34,183,223 260 BUREAU OF INFORMATION TECHNOLOGY PERSONNEL SERVICES $2,242,462 FRINGE BENEFITS $1,058,963 SUPPLIES $139,500 OTHER SERVICES AND CHARGES $1,584,272 CAPITAL OUTLAYS $150,000 UTILITIES $250,000 M1162 BIT MAINT. IT INFRASTRUCTURE $2,803,525 M2012 BIT MICROSFT AGREEMENT & SUPPORT $4,516,332 M3103 BIT LICENSE FEES GOVT WIDE NETWORK $1,584,332 TOTAL 260 BUREAU OF INFORMATION TECHNOLOGY $14,329,386 270 VIRGIN ISLANDS ENERGY OFFICE PERSONNEL SERVICES $871,059 FRINGE BENEFITS $381,725 SUPPLIES $24,436 OTHER SERVICES AND CHARGES $263,279 UTILITIES $14,000 TOTAL 270 VIRGIN ISLANDS ENERGY OFFICE $1,554,499 280 OFFICE OF THE ADJUTANT GENERAL PERSONNEL SERVICES $1,338,855 FRINGE BENEFITS $674,505 SUPPLIES $143,447 OTHER SERVICES AND CHARGES $501,786 UTILITIES $310,000 CAPITAL OUTLAYS $90,736 M1917 ABOUT FACE & FORWARD MARCH PROGRAM $94,670 M2121 NATIONAL GUARD PENSION FUND $150,000 M2613 TERRITORIAL ACTIVE DUTY $200,000 TOTAL 280 OFFICE OF THE ADJUTANT GENERAL $3,503,999 290 OFFICE OF VETERANS AFFAIRS PERSONNEL SERVICES $339,629 FRINGE BENEFITS $186,188 SUPPLIES $52,000 OTHER SERVICES AND CHARGES $176,552 UTILITIES $15,000 M1281 VET MEDICAL & BURIAL EXP $450,000 TOTAL 290 OFFICE OF VETERANS AFFAIRS $1,219,369 300 OFFICE OF THE LIEUTENANT GOVERNOR PERSONNEL SERVICES $4,931,832 FRINGE BENEFITS $2,729,326 TOTAL 300 OFFICE OF THE LIEUTENANT GOVERNOR $7,661,158 340 BUREAU OF INTERNAL REVENUE PERSONNEL SERVICES $7,484,955 FRINGE BENEFITS $4,197,574 FY 2027 PROPOSED EXECUTIVE BUDGET 75 SUPPLIES $309,000 OTHER SERVICES AND CHARGES $2,025,819 UTILITIES $393,601 TOTAL 340 BUREAU OF INTERNAL REVENUE $14,410,949 360 BUREAU OF MOTOR VEHICLES PERSONNEL SERVICES $2,402,425 FRINGE BENEFITS $1,428,703 TOTAL 360 BUREAU OF MOTOR VEHICLES $3,831,128 370 DEPARTMENT OF LABOR PERSONNEL SERVICES $3,697,137 FRINGE BENEFITS $1,786,554 SUPPLIES $401,500 OTHER SERVICES AND CHARGES $1,676,806 UTILITIES $265,828 M2454 DOL OPERATING EXPENSE FOR DOF, OCCUPATIONAL SAFETY $2,077,799 M2511 SUMMER YOUTH EMPLOYMENT PERSONNEL & FRINGE $2,017,920 M1467 UNEMPLOYMENT INSURANCE CONTRBUTION $900,000 TOTAL 370 DEPARTMENT OF LABOR $12,823,544 380 DEPARTMENT OF LICENSING AND CONSUMER AFFAIRS PERSONNEL SERVICES $3,182,460 FRINGE BENEFITS $1,590,528 SUPPLIES $167,000 OTHER SERVICES AND CHARGES $1,223,730 UTILITIES $112,000 M1803 OFFICE OF CANNABIS $1,160,218 M2225 ALCOHOLIC BEVERAGE CONTROL OFFICE $290,994 TOTAL 380 DEPARTMENT OF LICENSING AND CONSUMER AFFAIRS $7,726,930 390 DEPARTMENT OF FINANCE PERSONNEL SERVICES $3,727,411 FRINGE BENEFITS $1,712,355 SUPPLIES $324,110 OTHER SERVICES AND CHARGES $1,095,894 UTILITIES $108,000 CAPITAL OUTLAYS $85,000 M0401 DEPT FINANCE AUDIT SERVICES $600,000 M1002 DOF - ERP SYSTEM SOFTWARE $350,000 M1003 DOF - GASB 45 $575,000 M1004 DOF- ANNUAL MAINTENANCE (IDC) $8,000 M1107 DOF - INTEREST & PENALTIES $25,000 M1108 DOF - DATA ARCHIVING, WAREHOUSE/OTHSRV $40,000 M1300 DOF TIME ATTENDANCE SOFTWARE/HARDWARE $150,000 M1338 TELECHECK LOSS PREVENTION $150,000 M2003 DOF UPGRADES, TRAINING & MAINTENANCE $820,000 M2101 PENSION FUND $45,000 M2102 ELECTED GOV'S RETIRE FUND $785,000 M2103 JUDGES PENSION FUND $223,992 M8008 DOF - AUDIT SERVICES $2,600,000 MIS08 DEPT. FINANCE CLAIM FUNDS $100,000 MIS09 BONDING GOV'T EMPLOYEES $125,000 TOTAL 390 DEPARTMENT OF FINANCE $13,649,762 400 VIRGIN ISLANDS DEPARTMENT OF EDUCATION PERSONNEL SERVICES $109,374,557 FRINGE BENEFITS $60,408,720 SUPPLIES $1,302,754 OTHER SERVICES AND CHARGES $7,861,964 UTILITIES $7,500,000 CAPITAL OUTLAYS $243,696 TOTAL 400 DEPARTMENT OF EDUCATION $186,691,691 500 VI POLICE DEPARTMENT PERSONNEL SERVICES $37,716,462 FRINGE BENEFITS $15,939,314 SUPPLIES $2,879,111 OTHER SERVICES AND CHARGES $9,799,164 UTILITIES $1,801,186 CAPITAL OUTLAYS $252,000 M0561 POLICE ATHLETIC LEAGUE STT $65,000 M1151 BOVONI WEED & SEED $57,000 M1282 EXCESSIVE FORCE CONSENT DECREE $1,864,280 M1604 CRIME STOPPER $100,000 M3062 POLICE ATHLETIC LEAGUE STX $65,000 M2614 CADET LEADERSHIP & DEVELOPMENT PROGRAM STT/STJ $66,500 M2615 CADET LEADERSHIP & DEVELOPMENT PROGRAM STX $65,000 M7046 GROVE PLACE WEED & SEED PROGRAM $61,000 M2525 CONTRIBUTION TO PEACE OFFICER TRAINING FUND $350,000 TOTAL 500 VI POLICE DEPARTMENT $71,081,017 520 LAW ENFORCEMENT PLANNING COMMISSION PERSONNEL SERVICES $523,367 FRINGE BENEFITS $207,450 SUPPLIES $2,400 OTHER SERVICES AND CHARGES $89,527 UTILITIES $12,000 TOTAL 520 LAW ENFORCEMENT PLANNING COMMISSION $834,744 600 DEPARTMENT OF PROPERTY AND PROCUREMENT PERSONNEL SERVICES $3,055,521 FY 2027 PROPOSED EXECUTIVE BUDGET 76 FRINGE BENEFITS $1,416,651 SUPPLIES $251,743 OTHER SERVICES AND CHARGES $1,466,163 UTILITIES $450,000 CAPITAL OUTLAYS $575,000 M0004 RENEWAL INSURANCE PREMIUM $7,257,300 M5041 PROPERTY & PROCUREMENT APPRAISALS $160,000 TOTAL 600 DEPARTMENT OF PROPERTY AND PROCUREMENT $14,632,378 610 DEPARTMENT OF PUBLIC WORKS PERSONNEL SERVICES $7,723,312 FRINGE BENEFITS $4,268,745 SUPPLIES $780,000 OTHER SERVICES AND CHARGES $5,260,748 UTILITIES $828,000 CAPITAL OUTLAYS $250,000 M8108 INTER ISLAND SUBSIDY $200,000 M2533 CONTRIBUTION TO PUBLIC TRANSPORTATION FUND $4,992,315 TOTAL 610 DEPARTMENT OF PUBLIC WORKS $24,303,120 700 DEPARTMENT OF HEALTH PERSONNEL SERVICES $12,307,050 FRINGE BENEFITS $5,792,623 SUPPLIES $463,978 OTHER SERVICES AND CHARGES $11,418,971 UTILITIES $63,000 M1064 HIV MEDICATION $171,900 M1309 HIV RYAN WHITE TITLE IV PROGRAM $186,225 M1924 DOH VI CENTRAL CANCER REGISTRY $44,886 M1925 DOH VITAL RECORDS INFORMATION MGMT SYSTEM $304,098 M1927 DOH SICKLE CELL $95,501 M5035 VI PERINATAL INC. $558,240 M22E7 BEHAVIORAL HEALTH MOBILE STAFF $66,253 M2467 DOH - CHRONIC KIDNEY DISEASE,STROKE, AND DIABETES REGISTRY $55,000 M1926 DOH-ROY L. SCHNEIDER-WAPA $263,000 TOTAL 700 DEPARTMENT OF HEALTH $31,790,725 720 DEPARTMENT OF HUMAN SERVICES PERSONNEL SERVICES $20,288,690 FRINGE BENEFITS $10,864,398 SUPPLIES $839,800 OTHER SERVICES AND CHARGES $37,201,789 UTILITIES $2,750,000 CAPITAL OUTLAYS $97,398 M2029 CENTENNIAL LIVING TREASURES $45,000 M7027 ENERGY CRISIS $500,000 TOTAL 720 DEPARTMENT OF HUMAN SERVICES $72,587,075 800 DEPARTMENT OF PLANNING & NATURAL RESOURCES PERSONNEL SERVICES $4,591,196 FRINGE BENEFITS $2,654,896 SUPPLIES $201,500 OTHER SERVICES AND CHARGES $597,883 UTILITIES $630,001 M21C6 HISTORIC PRESERVATION STT $100,814 M21C7 HISTORIC PRESERVATION STX $93,814 M0005 VI COUNCIL OF THE ARTS $411,824 M1336 TUTU WELL LITIGATION SITE $200,000 TOTAL 800 DEPARTMENT OF PLANNING & NATURAL RESOURCES $9,481,928 830 DEPARTMENT OF AGRICULTURE PERSONNEL SERVICES $3,014,234 FRINGE BENEFITS $1,687,390 SUPPLIES $107,000 OTHER SERVICES AND CHARGES $109,871 UTILITIES $160,000 MM032 INDUSTRIAL HEMP COMMISSION $252,385 TOTAL 830 DEPARTMENT OF AGRICULTURE $5,330,880 840 DEPARTMENT OF SPORTS, PARKS & RECREATION PERSONNEL SERVICES $5,381,514 FRINGE BENEFITS $3,292,379 SUPPLIES $158,053 OTHER SERVICES AND CHARGES $283,046 UTILITIES $805,000 M1623 DSPR - YOUTH PROGRAM STT $35,000 M1624 DSPR - YOUTH PROGRAM STX $35,000 M5017 DSPR - AMATEUR BOXING PROGRAM $25,000 M6040 DSPR - LA LECHE LEAGUE $15,000 TOTAL 840 DEPARTMENTS OF SPORTS, PARKS & RECREATION $10,029,992 990 MISCELLANEOUS MIS10 OOG - OFFICE OF GOVERNOR-LEGAL SERVICES $1,000,000.00 M2439 OMB - COMMITTEE DOMINICANO $6,750.00 M22F6 OMB - COMMUNITY ACTION NOW $7,200.00 M2440 OMB - DOMINICAN ACTION COMMITTEE $5,400.00 M2441 OMB - FATHERS IN THE COMMUNITY $9,000.00 M21A5 OMB - GRANT PROJECT MATCH $300,000.00 M2421 OMB - CITY OF REFUGE WORSHIP CENTER $9,000.00 M2442 OMB - HELPING CHILDREN WORK $7,200.00 M2423 OMB - ASCENCION LIVITY, INC $10,800.00 M2443 OMB - ISLAND GREEN LIVING $135,000.00 FY 2027 PROPOSED EXECUTIVE BUDGET 77 M2444 OMB - MANGO TREE RIDERS $4,500.00 M1909 OMB - WAGE ADJUSTMENT $5,000,000.00 M9080 OMB - TERRITORIAL BOARD VI HOSPITAL AND HEALTH FACILITY $300,000.00 M6153 OMB - THIRD PARTY FIDUCIARY $825,000.00 M22F3 OMB - UNITED JAZZ FOUNDATION (YOUTH ENSEMBLE) $31,500.00 M22G3 OMB - SEAT INNOVATION & ENTREPRENEURSHIP CENTER $18,000.00 M2322 OMB - ST. THOMAS VI MARINE ADVISORY SVC YOUTH OCEAN $45,000.00 M2324 OMB - ST. CROIX VI MARINE ADVISORY SVC YOUTH OCEAN $45,000.00 M22F8 OMB - SOCIETY 340 $18,000.00 M2445 OMB - VI CRAWL $4,725.00 MIS23 VITEMA - ST.THOMAS RESCUE $157,500.00 M22E5 VITEMA - ST. CROIX RESCUE $157,500.00 M3061 VITEMA - STJ RESCUE $58,500.00 M5034 VITEMA - WATER ISLAND RESCUE $13,500.00 M2407 VITEMA - EMERGENCY SHELTER $90,000.00 MM025 DOF-CONTR. BUDGET STABILIZATION FUND $5,000,000.00 M7150 DOF - CASINO CONTROL COMMISSION $1,723,800.00 M1930 DOE - STEM SUMMER PROJECT - STX $45,000.00 M2414 DOE - ELEVATEWI, INC $9,000.00 M6092 DOE - TSWAME AFTERSCHOOL PROGRAM - CANCRYN $9,000.00 M2413 DOE - FARM EDUCATION FOR ALL $7,200.00 M2416 DOE - USVI CHANGE MAKERS FOUNDATION $9,000.00 M2506 DOE - STAR TIME TECHNOLOGIES $18,000.00 M2406 DOH - STT STROKE SUPPORT GROUP INC $7,500.00 M7097 DHS -THE VILLAGE PARTNERS IN RECOVERY $562,500.00 M5023 DHS - CATHOLIC CHARITIES #6693 $90,000.00 M1204 DHS - MY BROTHER'S WORKSHOP STT $37,500.00 M1500 DHS - MY BROTHER'S WORKSHOP STX $37,500.00 M1208 DHS - MEN'S COALITION COUNSELING $18,750.00 M22E3 DHS - ALIGN COMMUNITY MENTORSHIP PROGRAM $30,000.00 M8010 DHS - CENTER FOR INDEPENDENT LIVING $75,000.00 M2030 DHS - VI RESOURCE CENTER FOR THE DISABLED INC. $37,500.00 M0024 DHS - BETHLEHEM HOUSE 5855-STT $75,000.00 M0025 DHS - BETHLEHEM HOUSE 5855-STX $75,000.00 M2512 DHS - BETHEL METHODIST YOUTH OUTREACH $3,750.00 M2028 DHS - YOUTH ARISE, INC $3,750.00 M21C1 DHS - EAGLE NEST $30,000.00 M6259 DSPR - COMMITTEE BETTERMENT CARENAGE $5,000.00 M1908 DHS - AMERICAN CANCER SOCIETY $75,000.00 M22E2 DHS - VICTIM UNITED $28,125.00 M1030 DHS - MY BROTHERS TABLE $37,500.00 M7039 DHS - LUTHERAN SOCIAL SERVICES $37,500.00 M2319 DHS - CRISIS INTERVENTION FUND $1,000,000.00 M0032 DHS - WOMEN'S RESOURCE CENTER $112,500.00 M0035 DHS - STX WOMEN'S COALITION '91 $112,500.00 M1313 DHS - STJ COMMUNITY FOUNDATION (DIAL-A-RIDE) $45,000.00 M2428 DHS - ST CLAIR INSTITUTE $18,750.00 M2424 DHS - HEARTS IN SERVICE TRANSITIONAL HOUSING $75,000.00 M2448 DOT - TSK FOLK LIFE FESTIVAL $9,000.00 M2447 DOT - TASTE OF ST. CROIX $31,500.00 M22E4 DOT - OUR TOWN OF FREDERIKSTED $67,500.00 M8154 DPNR - GENTLEMEN OF JONES $9,000.00 M2409 DPNR - THE CHILDRENS MUSEUM OF ST CROIX $22,500.00 M2408 DPNR - THE VIRGIN ISLANDS CHILDREN'S MUSEUM $22,500.00 M2463 DPNR - FRENCHTOWN HERITAGE MUSEUM $9,000.00 M3056 DOA - HUMANE SOCIETY STT $131,250.00 M1306 DOA - STX ANIMAL WELFARE CENTER $87,500.00 M2403 DOA - STJ ANIMAL CARE CENTER SPAY/NEUTER PROGRAM $15,000.00 M2364 DOA - R.E.A.L. CATS SPAY/NEUTER PROGRAM $37,500.00 M2362 DOA - STT HUMANE SOCIETY SPAY/NEUTER PROGRAM $16,875.00 M1305 DOA - STJ ANIMAL CARE CENTER $25,000.00 M2361 DOA - STX ANIMAL WELFARE CENTER SPAY/NEUTER PROGRAM $37,500.00 M1709 DSPR - BOY SCOUTS OF THE VI STX $12,500.00 M7128 DSPR - BOYS & GIRLS CLUB VI $75,000.00 M1370 DSPR - S.P.A.R.K.S $12,500.00 M7014 DSPR - STT/STJ SWIMMING ASSOCIATION $20,625.00 M1371 DSPR - TRACK & FIELD FEDERATION $50,000.00 M1905 DSPR - POSITIVE GUIDANCE $12,500.00 M2450 DSPR - AUDI HENNEMAN LEGACY INTER-NEIGHBORHOOD BASKETBALL LEAGUE $7,500.00 M1225 DSPR - AMERICAN LEGION POST 90 $5,000.00 M1229 DSPR - AMERICAN LEGION POST 102 $5,000.00 M2335 DSPR - AMERICAN LEGION POST 131-VIGO SEWER $5,000.00 M1227 DSPR - AMERICAN LEGION POST 85 $5,000.00 M1708 DSPR - STX JUNIOR BOWLERS $3,750.00 M1226 DSPR - AMERICAN LEGION POST 133 $5,000.00 M9220 DSPR - STX SWIMMING ASSOCIATION $25,000.00 M1907 DSPR - CHOICES BASKETBALL, INC $12,500.00 M2452 DSPR - MASSEY SOCCER ACADEMY $5,000.00 M3005 DSPR - STT ZERO TOLERANCE BASKETBALL $10,000.00 M2009 DSPR - ALLIANCE YOUTH GROUP $10,000.00 M1377 DSPR - VI BOWLING FEDERATION $7,500.00 M2373 DSPR - RAW BASKETBALL $2,813.00 M22G2 DSPR - CALYPSO INC. $4,500.00 M2337 DSPR - MARINE VOCATIONAL PROGRAM INC $5,000.00 M2451 DSPR - EMERALD GEMS $2,813.00 M9067 DSPR - EDDIE ORTIZ ANNUAL THREE KINGS TRADITION, INC $10,000.00 M6134 DSPR - ELROD HENDRICKS LITTLE LEAGUE WEST $28,750.00 M22E8 DSPR - BOYS AND GIRLS CLUB $75,000.00 M2336 DSPR - TRIPLE H RANCH INC $3,750.00 M2459 DSPR - STT/STJ YOUTH SCHOLASTIC CHESS CLUB $5,000.00 M2466 DSPR - USVI CHESS ASSOCIATION STX $3,500.00 M3012 DSPR - USVI BASKETBALL FEDERATION $50,000.00 FY 2027 PROPOSED EXECUTIVE BUDGET 78 M7016 DSPR - PAN DRAGONS $5,000.00 M2345 DSPR - ENTRE EL PUEBLO $4,500.00 M4012 DSPR - V.I. OLYMPIC COMMITTEE $450,000.00 M7019 DSPR - ELMO PLASKETT LEAGUE EAST $28,750.00 M2464 DSPR - VI BASEBALL FEDERATION $22,500.00 M1903 DSPR - V.I. VOLLEYBALL FEDERATION $22,500.00 M2334 PUBLIC FINANCE AUTHORITY $4,200,000.00 MI670 VI HOUSING FINANCE AUTHORITY $2,000,000.00 MIS15 VI PUBLIC BROADCASTING SYSTEM $4,931,902.00 MIS18 BOARD OF NURSE LICENSURE $875,515.00 M3054 FREDERIKSTED HEALTH INC $3,000,000.00 M3053 EAST END HEALTH CLINIC $2,700,000.00 M2021 DHS - MISSION OUTREACH $20,000.00 M2507 DOE - STEM SUMMER PROJECT STT $45,000.00 M2508 DOE - ST PATRICK SCHOOL STEEL ORCHESTRA $4,500.00 M2513 DOJ - VI JUSTICE INITIATIVE $80,000.00 M2514 DPNR - VI ENVIRONMENTAL ASSOCIATION $36,000.00 M2515 DSPR - VI SOFTBALL FEDERATION INC $18,750.00 M2516 DSPR - REVIVE BASEBALL IN INNER CITIES $50,000.00 M2520 DSPR - HELENITES SPORTS CLUB $7,500.00 M2581 DPNR - CARIBBEAN MUSEUM CENTER OF THE ARTS $15,750.00 M2118 V.I. ECONOMIC DEVELOPMENT AUTHORITY $6,613,000 M22A3 - OFFICE OF DISASTER RECOVERY $2,500,000 TOTAL 990 MISCELLANEOUS $46,343,993 TOTAL GENERAL FUND - LAPSING 744,263,463 GENERAL FUND -NL M1244 TERRITORIAL SCHOLARSHIP $1,192,416 M1240 MORRIS F. DECASTRO SCHOLARSHIP $90,000 M1247 EARLY ADMISSION SCHOLARSHIP $30,000 M1243 KENNETH HARRIGAN SCHOLARSHIP $28,000 M1214 VALEDICTORIAN SCHOLARSHIP $25,500 M1215 SALUTATORIAN SCHOLARSHIP $17,000 M1242 CAROLINE ADAMS SCHOLARSHIP $16,000 M1213 LEW MUCKLE SCHOLARSHIP $12,000 M1246 TERRENCE TODMAN SCHOLARSHIP $10,000 M1236 HILDA BASTIAN SCHOLARSHIP $10,000 M1245 RUTH E. THOMAS SCHOLARSHIP $10,000 M1224 AMADEO FRANCIS SCHOLARSHIP $10,000 M2206 STENOGRAPHER SCHOLARSHIP $10,000 M1223 EVADNEY PETERSEN SCHOLARSHIP $10,000 M1212 EDWARD W. BLYDEN SCHOLARSHIP $10,000 M1390 TREVOR NICHOLAS FRIDAY SCHOLARSHIP $10,000 M1235 WIM HODGE SCHOLARSHIP $10,000 M1218 D. HAMILTON JACKSON SCHOLARSHIP $8,000 M1248 MUSIC STT SCHOLARSHIP $8,000 M1249 MUSIC STX SCHOLARSHIP $8,000 M1222 CLAUDEO. MARKOE SCHOLARSHIP $8,000 M1221 RICHARD CALLWOOD SCHOLARSHIP $6,250 M1241 WILBURN SMITH SCHOLARSHIP $4,000 M1216 EXCEPTIONAL CHILDREN SCHOLARSHIP $4,000 M1237 MURIEL NEWTON SCHOLARSHIP $3,000 M1217 ANN SCHRADER SCHOLARSHIP $2,400 M1239 VI NATIONAL GUARD SCHOLARSHIP $2,000 M1238 GENE CERGE SCHOLARSHIP $1,000 TOTAL GENERAL FUND-NL $1,555,566 TOTAL GENERAL FUND LAPSING/NON LAPSING $792,163,022 FY 2027 PROPOSED EXECUTIVE BUDGET 79 DRAFT VARIOUS BILLS Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of the United States Regular Session 2026 To appropriate monies for the operation of the Judicial Branch of the Virgin Islands, the Judicial Council and the Office of the Territorial Public Defender during the Fiscal Years October 1, 2026 to September 30, 2027. Section 1. There is appropriated from the General Fund the sum of $46,521,240 to the following entities for operating expenses for the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Judicial Council $130,620 Supreme Court $40,258,400 Office of the Territorial Public Defender $6,132,220 TOTAL $46,521,240 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of the United States Regular Session 2026 To appropriate monies for the operation of the Legislature of the Virgin Islands during the Fiscal Year October 1, 2026 to September 30, 2027. Section 1. There is appropriated from the General Fund the sum of $24,298,631 to the Legislature of the Virgin Islands for operating expenses for the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Legislature of the Virgin Islands $24,068,631 Mandate Observance/Events $200,000 Comm. Uniform State Laws $30,000 TOTAL $24,298,631 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of the United States Regular Session 2026 To appropriate monies for the operation of the Government of the Virgin Islands during the Fiscal Year October 1, 2026 to September 30, 2027. Section 1. There is appropriated from the General Fund $2,500,000 to VI Election System for operating expenses and any other related costs during the Fiscal Year October 1, 2026 to September 30, 2027. Section 2. There is appropriated from the General Fund $250,000 to the Virgin Islands Board of Elections for operating and any other related costs during Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 VI Election System $2,500,000 Board of Elections $250,000 TOTAL $2,750,000 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of the United States Regular Session 2026 To appropriate $2,137,697 from the General Fund for the operation of the Virgin Islands Board of Education during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Board of Education $2,137,697 TOTAL $2,137,697 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of the United States Regular Session 2026 To appropriate the sum of $689,681 from the General Fund for the operation of the Virgin Islands Career and Technical Education Board during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Career and Tech. Educational Board $689,681 TOTAL $689,681 FY 2027 PROPOSED EXECUTIVE BUDGET 80 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of the United States Regular Session 2026 To appropriate $32,500,000 from the General Fund for the operation of the Virgin Islands Waste Managment Authority during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 VI Waste Management $30,000,000 Utilities $2,500,000 TOTAL $32,500,000 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of the United Sates Regular Session 2026 To appropriate $2,898,392 from the General Fund for the operation of the Virgin Islands Office of the Inspector General during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 VI Inspector General $2,898,392 TOTAL $2,898,392 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 To appropriate the sum of $63,500,000 from the General Fund for the operation of the Schneider Regional Medical Center and the Governor Juan F. Luis Hospital and Medical Center during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Schneider Regional Medical Center $29,000,000 Utilities $3,500,000 Juan F. Luis Hospital $27,500,000 Utilities $3,500,000 TOTAL $63,500,000 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 To appropriate from the General Fund of the Virgin Islands $1,686,910 to the Public Employees Relations Board and $285,000 to the Labor Management Committee for operating expenses during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Public Employees Relations Board $1,686,910 Labor Management Committee $285,000 TOTAL $1,971,910 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 There is appropriated from the Business and Commercial Property Revolving Fund $4,240,574 to the Department of Property and Procurement for the administration of business and commercial properties during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Department of Property and Procurement $4,240,574 TOTAL $4,240,574 FY 2027 PROPOSED EXECUTIVE BUDGET 81 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 There is appropriated from the Tourism Advertising Revolving Fund, the sum of $6,749,852 to the following departments for festival clean-up activities, economic studies, interscholastic competitions, agricultural expenses, sports and tourism promotions during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Virgin Islands Waste Management Authority $500,000 Office of the Governor $300,000 Department of Education $500,000 Virgin Islands Police Department $3,000,000 Virgin Islands Public Broadcasting $100,000 Department of Public Works $1,000,000 Department of Agriculture $500,000 Department of Sports, Parks and Recreation $500,000 Virign Islands Taxicab Commision $149,852 Department of Licensing and Consumer Affairs (Office of Cannabis) $200,000 TOTAL $6,749,852 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 There is appropriated from the Tourism Advertising Revolving Fund the sum of $39,000,000 to the Department of Tourism for operating expenses, which shall be available for Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Personnel Services $2,655,819 Fringe Benefits $1,223,710 Supplies $322,000 Other Services And Charges $34,653,471 Utilities $145,000 TOTAL $39,000,000 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 There is appropriated the sum of $3,110,096 from the Indirect Cost Fund to the following departments during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Office of Management and Budget $2,226,596 Division of Personnel $590,000 Department of Finance $108,500 Department of Property and Procurement $185,000 TOTAL $3,110,096 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 Notwithstanding Title 33, Virgin Islands Code, Section 200a(e), there is appropriated the sum of $10,986,253 from the Transportation Trust Fund to the Bureau of Motor Vehicles Fund for the operating expenses of the Bureau of Motor Vehicles, to the Department of Public Works and to the General Fund during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Bureau of Motor Vehicles $986,253 Contribution to the General Fund $5,000,000 Department of Public Works $5,000,000 TOTAL $10,986,253 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 There is appropriated $2,395,129 from the Public Services Commission Revolving Fund to the Public Services Commission for operating expenses during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Public Services Commission $2,395,129 TOTAL $2,395,129 FY 2027 PROPOSED EXECUTIVE BUDGET 82 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 There is appropriated $404,785 from the Taxi License Fund to the V.I. Taxicab Commission for operating expenses during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 V.I. Taxicab Commission $404,785 TOTAL $404,785 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 There is appropriated the sum of $2,900,000 from the Health Revolving Fund to the Department of Health and a contribution to the general fund for operating expenses during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Department of Health $1,500,000 Contribution to General Fund $1,400,000 TOTAL $2,900,000 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 The following sum, or so much of it as may necessary for operating expenses, is appropriated from the funds available or deposited in the General Fund of the Treasury of the Government of The Virgin Islands to the Virgin Islands Fire and Emergency Medical Services Fund for the fiscasl year October 1, 2026, through September 30, 2027 Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 V.I Fire Emergency Medical Services Fund $1,400,000 TOTAL $1,400,000 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 There is appropriated $950,000 from the V.I. Lottery to the General Fund during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Contribution to the General Fund $950,000 TOTAL $950,000 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 There is appropriated $6,000,000 from the Caribbean Basin Initiative Fund to the General Fund during the Fiscal Year October 1, 2026 to September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Contribution to the General Fund $6,000,000 TOTAL $6,000,000 FY 2027 PROPOSED EXECUTIVE BUDGET 83 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 There is appropriated $10,000,000 from the Virgin Islands Insurance Guaranty Fund in the Fiscal Year October 1, 2026 to September 30, 2027, as a contribution to the General Fund. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Virgin Islands Insurance Guaranty Fund $10,000,000 TOTAL $10,000,000 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 There is appropriated the sum of $6,300,000 from the Anti-Litter and Beautification Fund to the Virgin Islands Waste Management Authority and to the Virgin Islands Department of Public Works for operating expenses during the fiscal year October 1, 2026, through September 30, 2027. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Virgin Islands Waste Management Authority $5,000,000 Department of Public Works $1,000,000 Abandoned Vehicles - STX $75,000 Abandoned Vehicles - STT $75,000 Abandoned Vehicles - STJ $75,000 Mitchell Motel Quarterly Cleanup-STT $75,000 TOTAL $6,300,000 Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of United States Regular Session 2026 There is appropriated a sum of $1,500,000 from the Education Initiative Fund in the fiscal October 1, 2026 through September 30, 2027, to the School Construction Maintenance Fund and to the Virgin Islands Department of Education, Division of Curriculum and Instrucution, for final editing and proofing of customized Virgin Islands History texbooks, printing hardcover editions of the customized Virgin Islands History textbooks, and for the completion of kindergaten through eighth grade Social Studies curriculum. Proposed By: The Governor Be it enacted by the Legislature of the Virgin Islands: FY2027 Virgin Islands History Book Grades 3-8 $75,000 Virgin Islands History Book Grades K-8 $375,000 Social Studies Curriculum Development Initiative K-8 $50,000 School Construction Maintenance Fund $1,000,000 TOTAL $1,500,000 FY 2027 PROPOSED EXECUTIVE BUDGET 84 DRAFT VARIOUS BILLS Bill No. 36- Thirty-Sixth Legislature of the Virgin Islands of the united states regular session 2026 to appropriate monies for salaries and expenses of the University of the Virgin Islands for the Fiscal Year October 1, 2026 through September 30, 2027 and for other purposes. Proposed by: The Governor Be it enacted by the legislature of the virgin islands: FY2027 Section 1. The sum of $29,550,958 or as much as may be necessary, is hereby appropriated out of any available funds in the treasury of the virgin islands, to be transferred to the University of the Virgin Islands Fund for Expenditure by the University of the Virgin Islands, for the purposes named in this section in accordance with Title 17, Chapter 33 and 35, Virgin Islands Code. (A) For Salaries, including pay for regular and temporary employees; salary increases; employer's FICA and Retirement contributions; overtime compensation of hourly rated employees; books, magazines, teaching materials and audio-visual supplies; equipment and supplies for offices, classrooms, laboratories, library, student and faculty lodgings; recreational and common rooms; vehicles and their maintenance of the University campus and its buldings and other appurtenances; contracted outside services, such as legal, architectural, auditing and priniting servies; and payment of any other legitimate expense of the University, including principal and interest of bonds and notes. (B) For incidental expenses including travel expense and per diem of the University faculty, administrative and other employees, and members of advisory councils, boards and overseers; family travel and moving expenses from other points of the Virgin Islands for new staff members; and for the expenses of such conferences and workshops as may be approved by the Board of Trustees. Section 2. In order to supplement the sums appropriated by this Act, the Board of Trustees is hereby authorized to levy such fees for tuition, housing, food services, and the use of university owned buildings as may be reasonable and proper, devoting such fee income soley to the purposes specified in subsection (a) and (b) of Section 1 of the Act. The Board of Trustees shall continue to make every effort to secure gifts, grants, and loans to the University of the Virgin Islands Fund from private individuals, foundations, and federal governement agencies and to utilize such gifts, grants and loan for the purpose specified by the donor or lender. $29,550,958 Section 3. Appropriated from the General Fund of the Treasury of the Virgin Islands for the Fiscal year ending September 30, 2027, $1,800,000 to the University of the Virgin Islands for the payment of debt services cost of the University of the Virgin Islands. $1,800,000 Section 4. Appropriated from the General Fund of the Treasury of the Virgin Islands for the fiscal year ending September 30, 2027, $300,000 to the University of the Virgin Islands to provide matching grants for the Small Business Development Center pursuant to Tiltle 17, Virgin Islands Code, Chapter 33, section 474. $300,000 Section 5. Appropriated from the General Fund of the Treasury of the Virgin Islands for the fiscal year ending September 30, 2027, $100,000 to the University of the Virgin Islands for senior citzens tuition pursuant, Title 17, Chapter 33, section 475, Virgin Islands Code. $100,000 Section 6. Appropriated from the General Fund of the Treasury of the Virgin Islands for the fiscal year ending September 30, 2027, $100,000 to the Center for Excellence in Leadership and Learning (CELL) program for use of Vocational Education Programs. $100,000 Section 7. Appropriated from the General Fund of the Treasury of the Virgin Islands for the fiscal year ending September 30, 2027, $355,901 to the University of the Virgin Islands to be used exclusively for the University Bound program, formerly referred to as the Upward Bound Program. $355,901 Section 8. Appropriated from the General Fund of the Treasury of the Virgin Islands for the fiscal year ending September 30, 2027, $100,000 to the University of the Virgin Islands for the John Brewers Beach maintenance and security. $100,000 Section 9. Appropriated from the General Fund of the Treausry of the Virgin Islands for the fiscal year ending September 30, 2027, $400,000 to the University of the Virgin Islands for the Bachelor of Science in Nursing - St. Croix Campus. $400,000 Section 10. Appropriated from the General Fund of the Treasury of the Virgin Islands for the fiscal year ending September 30, 2027, $110,000 to the University of the Virgin Islands for Labor Force Scholarship. $110,000 Section 11. Appropriated from the General Fund of the Treasury of the Virgin Islands for the fiscal year ending September 30, 2027, $250,000 to the University of the Virgin Islands for the EPSCoR. $250,000 Section 12. Appropriated from the General Fund of the treasury of the Virgin Islands for fiscal year ending September 30, 2027, $85,000 for the office of Self-Determination and constitutional development. $85,000 Section 13. Appropriated from the General Fund of the treasury of the Virgin Islands for the fiscal year ending September 30, 2027, $175,000 for UVI simulation center maintenance and supplies. $175,000 Section 14. Appropriated from the General Fund of the treasury of the Virgin Islands for the fiscal year ending September 30, 2027, $286,103 for UVI CELL to provide training to the instructors of the Emergency Medical Services Education Program and for UVI Medical School Simulation Center to provide hands on training and continuing education credits towards a General Education degree in a related field. $286,103 Section 15. Appropriated from the General Fund of the treasury of the Virgin Islands for the fiscal year ending September 30, 2027, $500,000 for the UVI Medical Reserve Fund. $500,000 Section 16. Appropriated from the General Fund of the Treasury of the Virgin Islands for the fiscal year ending September 30, 2027, $100,000 to the University of the Virgin Islands for Valedictorian and Salutatorian Scholarships, pursuant to Title 17, Chapter 33, section 476, Virgins Islands Code. $100,000 Section 17. Appropriated from the General Fund of the Treasury of the Virgin Islands for the fiscal year ending September 30, 2027, $450,000 to the University of the Virgin Islands for the Hospitality and Tourism program. $450,000 U.S. VIRGIN ISLANDS FY 2027 PROPOSED LEGISLATION (CON'T) Section 18. Appropriated from the General Fund of the Treasury of the Virgin Islands for the fiscal year ending September 30, 2027, $115,000 to the University of the Virgin Islands for the Summer Bridge Program. $115,000 Section 19. Appropriated from the General Fund of the Treasury of the Virgin Islands for the fiscal year ending September 30, 2027, $200,000 to the University of the Virgin Islands for the CELL Surveyor Program. $200,000 TOTAL $34,977,962 FY 2027 PROPOSED EXECUTIVE BUDGET 85 FY 2027 PROPOSED EXECUTIVE BUDGET 86 TOTAL AUTHORIZED PERSONNEL FOR ALL DEPARTMENTS Departments Description FY2027 Allocated FTE Count INTERNAL REVENUE BUREAU 134 VIRGIN ISLANDS ELECTION SYSTEM 13 BUREAU OF INFORMATION TECHNOLOGY 41 DEPARTMENT OF JUSTICE 168 OFFICE OF VETERAN AFFAIRS 7 DEPARTMENT OF PUBLIC WORKS 236 DEPARTMENT OF PROPERTY & PROCUREMENT 87.5 DEPARTMENT OF SPORTS PARKS & RECREATION 134 OFFICE OF THE GOVERNOR 93 VIRGIN ISLANDS INSPECTOR GENERAL 23 DIVISION OF PERSONNEL 67 OFFICE OF THE LIEUTENANT GOVERNOR 163 DEPARTMENT OF HUMAN SERVICES 726.25 DEPARTMENT OF EDUCATION 2,079 MISCELLANEOUS 8 CAREER & TECHNICAL EDUCATION BOARD 4.5 LAW ENFORCEMENT PLANNING COMMISSION 8 DEPARTMENT OF TOURISM 37 BUREAU OF CORRECTIONS 218 VIRGIN ISLANDS TERRITORIAL EMERGENCY MANAGEMENT AGENCY 77.667 DISASTER RECOVERY 76.303 BUREAU OF MOTOR VEHICLES 63 DEPARTMENT OF LABOR 140 DEPARTMENT OF AGRICULTURE 70 DEPARTMENT OF HEALTH 390.37 OFFICE OF MANAGEMENT & BUDGET 54.75 DEPARTMENT OF LICENSING & CONSUMER AFFAIRS 81 BOARD OF EDUCATION 18 BUREAU OF SCHOOL CONSTRUCTION 70 VIRGIN ISLANDS FIRE AND EMERGENCY MEDICAL SERVICES 313 VIRGIN ISLANDS TAXICAB COMMISSION 7 DEPARTMENT OF PLANNING AND NATURAL RESOURCES 269 OFFICE OF THE ADJUTANT GENERAL 48 OFFICE OF COLLECTIVE BARGAINING 12 VIRGIN ISLANDS POLICE DEPARTMENT 553 VIRGIN ISLANDS ENERGY OFFICE 23 DEPARTMENT OF FINANCE 56.78 ALLOCATED FTE COUNT 6,570.12 AUTHORIZED PERSONNEL FY2027 OPERATING BUDGET FY 2027 PROPOSED EXECUTIVE BUDGET 87 TOTAL NEW AND VACANT PERSONNEL FOR DEPARTMENTS Departments Description FY2027 Allocated FTE Count INTERNAL REVENUE BUREAU 26 BUREAU OF INFORMATION TECHNOLOGY 10 DEPARTMENT OF JUSTICE 20 OFFICE OF VETERAN AFFAIRS 2 DEPARTMENT OF PUBLIC WORKS 21 DEPARTMENT OF PROPERTY & PROCUREMENT 7.5 DEPARTMENT OF SPORTS PARKS & RECREATION 8 OFFICE OF THE GOVERNOR 7 VIRGIN ISLANDS INSPECTOR GENERAL 4 DIVISION OF PERSONNEL 13 OFFICE OF THE LIEUTENANT GOVERNOR 37 DEPARTMENT OF HUMAN SERVICES 131.25 DEPARTMENT OF EDUCATION 21 CAREER & TECHNICAL EDUCATION BOARD 0.5 LAW ENFORCEMENT PLANNING COMMISSION 2 BUREAU OF CORRECTIONS 61 VIRGIN ISLANDS TERRITORIAL EMERGENCY MANAGEMENT AGENCY 22.778 DISASTER RECOVERY 37.972 BUREAU OF MOTOR VEHICLES 6 DEPARTMENT OF LABOR 2 DEPARTMENT OF AGRICULTURE 12 DEPARTMENT OF HEALTH 79.62 OFFICE OF MANAGEMENT & BUDGET 12.75 DEPARTMENT OF LICENSING & CONSUMER AFFAIRS 16 BOARD OF EDUCATION 5 BUREAU OF SCHOOL CONSTRUCTION 6 VIRGIN ISLANDS FIRE AND EMERGENCY MEDICAL SERVICES 12 VIRGIN ISLANDS TAXICAB COMMISSION 4 DEPARTMENT OF PLANNING AND NATURAL RESOURCES 121 OFFICE OF THE ADJUTANT GENERAL 8 OFFICE OF COLLECTIVE BARGAINING 5 VIRGIN ISLANDS POLICE DEPARTMENT 72 VIRGIN ISLANDS ENERGY OFFICE 1 DEPARTMENT OF FINANCE 9 ALLOCATED FTE COUNT 803.37 FY 2027 PROPOSED EXECUTIVE BUDGET 88 FY 2027 PROPOSED EXECUTIVE BUDGET 89 General Government Department of Justice Office of the Governor Office of Management and Budget Division of Personnel Office of Collective Bargaining Virgin Islands Territorial Emergency Management Agency Bureau of Information Technology Virgin Islands Energy Office Office of the Adjutant General Office of Veterans Affairs Office of the Lieutenant Governor Bureau of Internal Revenue Bureau of Motor Vehicles Department of Labor Department of Licensing and Consumer Affairs Department of Finance Department of Property and Procurement Department of Agriculture FY 2027 PROPOSED EXECUTIVE BUDGET 90 MISSION STATEMENT The mission of the Department of Justice is to administer the law with fairness, integrity, and impartiality and perform our legal mandates and service to the public with excellence. BUDGET SUMMARY Total Amount (FY2027) $26,069,811.00 FY27 BUDGETED RESOURCES GENERAL FUND: GENERAL FUND: $18,786,275.00 (72.06%) $18,786,275.00 (72.06%) GENERAL FUND: $18,786,275.00 (72.06%) FEDERAL GRANTS ALL EXCEPT DOE: FEDERAL GRANTS ALL EXCEPT DOE: $7,283,536.00 (27.94%) $7,283,536.00 (27.94%) FEDERAL GRANTS ALL EXCEPT DOE: $7,283,536.00 (27.94%) GENERAL FUND FEDERAL GRANTS ALL EXCEPT DOE FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $15,457,054 $18,513,759 $18,786,275 2098 - INDIRECT COST $446,863 – – APPROPRIATED TOTAL $15,903,916 $18,513,759 $18,786,275 FEDERAL 3100 - FEDERAL GRANTS ALL EXCEPT DOE $5,109,093 $4,411,184 $7,283,536 FEDERAL TOTAL $5,109,093 $4,411,184 $7,283,536 NON APPROPRIATED 2172 - CRIME PREVENTION-PERSECUTION $449,056 $859,454 – 6020 - PATERNITY & CHILD SUPPORT $1,419 – – 0105 - SINGLE PAYER UTILITY FUND $163,693 $294,200 – 6200 - MEDICAID FRAUD CONTROL UNIT FD – $87,255 – NON APPROPRIATED TOTAL $614,168 $1,240,909 – EXPENSES TOTAL $21,627,178 $24,165,852 $26,069,811 DEPARTMENT OF JUSTICE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 91 Total Amount (FY2027) $18,786,275.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $10,812,304.00 (57.55%) $10,812,304.00 (57.55%) PERSONNEL SERVICES: $10,812,304.00 (57.55%) FRINGE BENEFITS: FRINGE BENEFITS: $4,445,418.00 (23.66%) $4,445,418.00 (23.66%) FRINGE BENEFITS: $4,445,418.00 (23.66%) OTHER SERVICES: OTHER SERVICES: $2,943,252.00 (15.67%) $2,943,252.00 (15.67%) OTHER SERVICES: $2,943,252.00 (15.67%) UTILITY SERVICES: UTILITY SERVICES: $294,200.00 (1.57%) $294,200.00 (1.57%) UTILITY SERVICES: $294,200.00 (1.57%) SUPPLIES: SUPPLIES: $291,101.00 (1.55%) $291,101.00 (1.55%) SUPPLIES: $291,101.00 (1.55%) PERSONNEL SERVICES FRINGE BENEFITS OTHER SERVICES UTILITY SERVICES SUPPLIES RECOMMENDED EXPENDITURES OTHER EXPENSES MISCELLANEOUS GENERAL FUND Projects M1143 - CONTRIBUTION TO LEGAL DEFENSE FUND $20,684 $40,000 $40,000 M1366 - JUDGEMENTS-LESS $6,000 $68,783 $70,000 $70,000 M8022 - WITNESS PROTECTION PROGRAM $31,873 $70,000 $70,000 MIS06 - JUDGEMENTS-LESS $25,000 $23,500 $100,000 $100,000 MIS07 - JUDGEMENTS-EXCESS $25,000 $0 $250,000 $250,000 PROJECTS TOTAL $144,840 $530,000 $530,000 OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND CREDIT CARD EXPENSES $26,616 – – MEMBERSHIP DUES $26,455 – – STIPENDS $20,192 – – REPAIRS & MAINTENANCE $39,745 $22,717 $41,877 AUTOMOTIVE REPAIR & MAINTENANCE $5,199 $6,020 $6,020 RENTAL OF LAND/BUILDINGS $1,565,254 $1,433,436 $1,441,452 RENTAL MACHINES/EQUIPMENT $124,223 $120,324 $126,444 PROFESSIONAL SERVICES $483,080 $1,255,130 $207,317 SECURITY SERVICES $153,851 $114,446 $157,065 TRAINING $14,620 $31,100 $31,100 COMMUNICATION $145,039 $163,482 $165,589 ADVERTISING & PROMOTION $896 $5,408 $2,408 PRINTING AND BINDING $449 $2,340 $2,340 TRANSPORTATION - NOT TRAVEL $88,489 $75,640 $75,940 IN & OUT PATIENT SERVICES $760 $1,870 $1,870 TRAVEL $70,747 $43,230 $43,230 TRAVEL / CASH ADVANCE $13,714 $6,120 $6,120 PURCHASE BULK AIRLINE $25,000 $32,040 $32,040 JUDGEMENTS INDEMNITIES $92,283 $250,000 $250,000 OTHER SERVICES NOC $1,369 $342,500 $350,400 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 92 BANK CHARGES $1,346 $2,040 $2,040 0100 - GENERAL FUND TOTAL $2,899,326 $3,907,843 $2,943,252 2098 - INDIRECT COST REPAIRS & MAINTENANCE $50,591 – – PROFESSIONAL SERVICES $206,147 – – PRINTING AND BINDING $1,990 – – TRANSPORTATION - NOT TRAVEL $12,121 – – PURCHASE BULK AIRLINE $2,500 – – 2098 - INDIRECT COST TOTAL $273,348 – – 3100 - FEDERAL GRANTS ALL EXCEPT DOE MEMBERSHIP DUES $350 $0 $0 REPAIRS & MAINTENANCE $7,364 $0 $19,800 AUTOMOTIVE REPAIR & MAINTENANCE $1,094 $0 $1,980 RENTAL OF LAND/BUILDINGS $135,299 $0 $0 RENTAL MACHINES/EQUIPMENT $12,001 $0 $33,000 PROFESSIONAL SERVICES $893,051 $0 $2,101,532 SECURITY SERVICES $68,860 $0 $86,012 TRAINING $14,130 $0 $9,900 COMMUNICATION $33,118 $0 $71,412 ADVERTISING & PROMOTION $250 $0 $792 PRINTING AND BINDING $18,673 $0 $660 TRANSPORTATION - NOT TRAVEL $1,575 $0 $660 IN & OUT PATIENT SERVICES $2,090 $0 $3,630 TRAVEL $12,832 $0 $6,270 TRAVEL / CASH ADVANCE $26,782 $0 $11,880 PURCHASE BULK AIRLINE $17,530 $0 $3,960 OTHER SERVICES NOC -$3,815 $825,892 $139,408 BANK CHARGES $36 $0 $3,960 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $1,241,218 $825,892 $2,494,856 2172 - CRIME PREVENTION-PERSECUTION PROFESSIONAL SERVICES $385,129 – – OTHER SERVICES NOC $51,000 $802,196 – 2172 - CRIME PREVENTION-PERSECUTION TOTAL $436,129 $802,196 – 6200 - MEDICAID FRAUD CONTROL UNIT FD OTHER SERVICES NOC – $57,255 – 6200 - MEDICAID FRAUD CONTROL UNIT FD TOTAL – $57,255 – OTHER SERVICES TOTAL $4,850,022 $5,593,185 $5,438,108 EXPENSES TOTAL $4,850,022 $5,593,185 $5,438,108 LEASES GENERAL FUND Itemization Description FY2027 Amount ORANGE GROVE $60,216 GERS RENT & UTILITIES $845,069 PRIME STORAGE STT $25,133 PRIME STORAGE STX $12,156 EJP, LLC -STX RENT $294,000 BOB LYNCH $5,100 ST. THOMAS PROPERTIES $110,018 CREQUE MORGUE $89,760 AMOUNT $1,441,451 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 93 PROFESSIONAL SERVICES GENERAL FUND Itemization Description FY2027 Amount REAL TECH EXTERMINATING $1,200 STENOGRAPHERS/MEDIATIONS/DEPOSITIONS $40,000 MEDICAL EXAMINER/ AUTOPSY SERVICES $104,645 OCEAN PEST CONTROL $1,080 SHUMAKER CONSULTING, INC $35,134 MLC HOLDINGS, LLC DBA IMPORT SUPPLY, INC $734 OLIVER EXTERMINATING SERVICES $4,524 NMS LABORATORY $20,000 AMOUNT $207,317 PROFESSIONAL SERVICES FEDERAL GRANTS ALL EXCEPT DOE Itemization Description FY2027 Amount CREQUE FUNERAL HOME MORGUE $296,966 MLC HOLDINGS, LLC dba IMPORT SUPPLY $714 NORTHWOODS CONSULTING INC $17,824 RANGER AMERICAN OF THE VI $40,188 OLIVER EXTERMINATING SERVICES OF ST. CROIX $612 ENTERPRISE SOLUTION $284,165 PROTECH SOLUTIONS INC $1,417,324 OLIVER EXTERMINATING SERVICES OF ST. THOMAS $612 SHUMAKER CONSULTING, LLC $43,127 AMOUNT $2,101,532 GRANT SUMMARY Projects FEDERAL F1157 - PAUL COVERDELL FORENSIC SCIENCES IMPROVEMENT GRANT PROGRAM – $296,966 $296,966 F1141 - CHILD SUPPORT SERVICES RESEARCH $162,264 $0 – F1144 - STATE MEDICAID FRAUD CONTROL UNITS $55,203 $0 – F1145 - CHILD SUPPORT SERVICES $4,432,085 $0 – F1147 - CHILD SUPPORT ENFORCEMENT $99,465 $0 – F1148 - STATE MEDICAID FRAUD CONTROL UNITS $359,658 $0 – F1151 - GRANTS TO STATES FOR ACCESS AND VIS – $100,000 $100,000 FEDERAL TOTAL $5,108,675 $396,966 $396,966 HEALTH AND HUMAN SERVICES F1150 - CHILD SUPPORT SERVICES $418 $3,639,218 $6,386,570 F1149 - STATE AND MEDICAID FRAUD CONTROL UNIT – $375,000 $500,000 HEALTH AND HUMAN SERVICES TOTAL $418 $4,014,218 $6,886,570 PROJECTS TOTAL $5,109,093 $4,411,184 $7,283,536 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 94 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ACCESS & VISITATION COORDINATOR 2 ADMINISTRATIVE HEARING OFFICER 2 ADMINISTRATIVE SPECIALIST 8 ANALYST/AUDITOR MFCU 1 ASSISTANT ATTORNEY GENERAL 34 ASSISTANT ATTORNEY GENERAL - DIRECTOR MFCU 1 ASSISTANT ATTORNEY GENERAL - LABOR 1 ASSISTANT DIRECTOR OF INVESTIGATION 1 ASSISTANT DIRECTOR PSCD 1 ATTORNEY GENERAL 1 CENTRAL REGISTRY ADMINISTRATOR 1 CHIEF CIVIL DIVISION 1 CHIEF CRIMINAL DIVISION 2 CHIEF DEPUTY ATTORNEY GENERAL 1 CHIEF FINANCIAL OFFICER 1 CUSTODIAL WORKER 1 DEPUTY ATTORNEY GENERAL 1 DIRECTOR OF GAMING ENFORCEMENT 1 DIRECTOR OF INVESTIGATION 1 DIRECTOR OF MIS PCSD 1 DIRECTOR PATERNITY & CHILD SUPPORT 1 DIRECTOR WHITE COLLAR /PUBLIC CORRUPTION UNIT 1 EXECUTIVE ASSISTANT 2 FEDERAL GRANTS COORDINATING SPECIALIST 2 FISCAL ASSISTANT 1 FORENSIC TECHNICIAN 2 GAMING INVESTIGATOR 1 GAMING RESEARCH SPECIALIST 1 HUMAN RESOURCES AND LABOR RELATIONS MANAGER 1 HUMAN RESOURCES COORDINATOR 1 HUMAN RESOURCES DIRECTOR 1 INVESTIGATOR MEDICAID FRAUD CONTROL UNIT 1 FY 2027 PROPOSED EXECUTIVE BUDGET 95 Position Name FY2027 LAN/WAN TECHNICIAN 1 LAN/WAN TECHNICIAN STT 1 LITIGATION SPECIALIST I 7 LITIGATION SPECIALIST II 3 LITIGATION SPECIALIST III 4 LITIGATION SPECIALIST SUPERVISOR 1 MEDIA RELATIONS DIRECTOR 1 MEDICAL EXAMINER OPERATIONS MANAGER 1 MEDICAL EXAMINER ST CROIX 1 MEDICAL EXAMINER ST THOMAS 1 MEDICOLEGAL DEATH INVESTIGATOR 4 MESSENGER/MAILROOM CLERK 1 MIS MANAGER 1 MIS SYSTEM DIRECTOR 1 OPERATIONS MANAGER 3 PATERNITY AND CHILD SUPPORT DIVISION (PCSD) ACCESS & VISITATION ADMINISTRATOR 1 PATERNITY AND CHILD SUPPORT DIVISION (PCSD) CASE ADMINISTRATOR I 7 PATERNITY AND CHILD SUPPORT DIVISION (PCSD) CASE ADMINISTRATOR II 4 PATERNITY AND CHILD SUPPORT DIVISION (PCSD) CLIENT FACILITATOR 7 PAYROLL OPERATIONS MANAGER 1 PBX OPERATOR/RECEPTIONIST 1 PROCESS DISTRIBUTION SPECIALIST 1 PROGRAM ASSISTANT MEDICAID FRAUD CONTROL UNIT 1 PROGRAM MANAGEMENT ASSISTANT 1 PROGRAM SPECIALIST 1 RECEPTIONIST 2 RECEPTIONIST STT 1 SENIOR ATTENDANT 3 SEXUAL REGISTRY COORDINATOR 1 SOLICITOR GENERAL 1 SPECIAL AGENT 10 SPECIAL ASSISTANT 2 SR FINANCIAL CONTROL OFFICER 1 SYSTEM ANALYST MANAGER 1 SYSTEM ANALYST STX 1 TERRITORIAL DISBURSEMENT COLLECTION ASSISTANT 3 TERRITORIAL DISBURSEMENT MANAGER 1 TERRITORIAL DISBURSEMENT UNIT ASSISTANT MANAGER 1 TERRITORIAL SEX OFFENDER REGISTRY INVESTIGATOR 1 TERRITORIAL SEX OFFENDER REGISTRY MANAGER 1 TERRITORIAL SUPPORT STAFF SUPERVISOR 1 VICTIMS ADVOCATES 2 VICTIMS SERVICE COORDINATOR 1 ALLOCATED FTE COUNT 168 FY 2027 PROPOSED EXECUTIVE BUDGET 96 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count ACCESS & VISITATION COORDINATOR 1 ADMINISTRATIVE SPECIALIST 1 ASSISTANT ATTORNEY GENERAL 2 CHIEF CRIMINAL DIVISION 1 CUSTODIAL WORKER 1 DEPUTY ATTORNEY GENERAL 1 FISCAL ASSISTANT 1 FORENSIC TECHNICIAN 1 LAN/WAN TECHNICIAN 1 LAN/WAN TECHNICIAN STT 1 LITIGATION SPECIALIST I 1 LITIGATION SPECIALIST II 1 MEDICAL EXAMINER ST CROIX 1 MEDICAL EXAMINER ST THOMAS 1 PATERNITY AND CHILD SUPPORT DIVISION (PCSD) CLIENT FACILITATOR 1 RECEPTIONIST 1 RECEPTIONIST STT 1 SPECIAL AGENT 1 SYSTEM ANALYST STX 1 ALLOCATED FTE COUNT 20 ACTIVITY CENTERS 11000 - ATTORNEY GENERAL OFFICE 11001 - NON-OPERATIONAL MISC 11010 - DEPUTY ATTORNEY GENERAL 11020 - INVESTIGATION SERVICES 11100 - BUDGET AND ACCOUNTING 11200 - MEDICAL EXAMINER 11300 - LEGAL SERVICES 11310 - WHITE COLOR CRIME 11320 - PATERNITY CHILD SUPPORT 11400 - SOLICITOR GENERAL OFFICE 11500 - INSTITUTIONAL 11600 - GAMING ENFORCEMENT FY 2027 PROPOSED EXECUTIVE BUDGET 97 ACTIVITY 11000 ATTORNEY GENERAL OFFICE FUNCTIONAL STATEMENT The Attorney General's Office oversees criminal prosecution and civil litigation representation for the Government of the U.S. Virgin Islands, manages the Division of Paternity and Child Support, and offers legal advice to commissioners, agencies, and instrumentalities. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $797,234 $566,265 $566,811 FRINGE BENEFITS $288,431 $191,002 $202,991 OTHER SERVICES $450 – – 0100 - GENERAL FUND TOTAL $1,086,115 $757,267 $769,802 2098 - INDIRECT COST SUPPLIES $156,135 – – OTHER SERVICES $273,348 – – UTILITY SERVICES $17,380 – – 2098 - INDIRECT COST TOTAL $446,863 – – 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $244,128 $231,750 $309,000 FRINGE BENEFITS $91,786 $107,918 $133,209 SUPPLIES $27,290 $0 $0 OTHER SERVICES $51,657 $308,541 $354,757 INDIRECT COSTS – $23,757 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $414,861 $671,966 $796,966 2172 - CRIME PREVENTION-PERSECUTION SUPPLIES $12,926 $57,259 – OTHER SERVICES $436,129 $802,196 – 2172 - CRIME PREVENTION-PERSECUTION TOTAL $449,056 $859,454 – 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $163,693 $294,200 – 0105 - SINGLE PAYER UTILITY FUND TOTAL $163,693 $294,200 – EXPENSES TOTAL $2,560,587 $2,582,887 $1,566,768 DEPARTMENT OF JUSTICE - ATTORNEY GENERAL OFFICE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 98 GRANTS Expenses F1157 - PAUL COVERDELL FORENSIC SCIENCES IMPROVEMENT GRANT PROGRAM – $296,966 $296,966 F1144 - STATE MEDICAID FRAUD CONTROL UNITS $55,203 $0 – F1148 - STATE MEDICAID FRAUD CONTROL UNITS $359,658 $0 – F1149 - STATE AND MEDICAID FRAUD CONTROL UNIT – $375,000 $500,000 EXPENSES TOTAL $414,861 $671,966 $796,966 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ANALYST/AUDITOR MFCU 1 ASSISTANT ATTORNEY GENERAL 1 ASSISTANT ATTORNEY GENERAL - DIRECTOR MFCU 1 ASSISTANT ATTORNEY GENERAL - LABOR 1 ATTORNEY GENERAL 1 EXECUTIVE ASSISTANT 1 INVESTIGATOR MEDICAID FRAUD CONTROL UNIT 1 MEDIA RELATIONS DIRECTOR 1 PROGRAM ASSISTANT MEDICAID FRAUD CONTROL UNIT 1 ALLOCATED FTE COUNT 9 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 99 ACTIVITY 11001 NON-OPERATIONAL MISC FUND SUMMARY Expenses 0100 - GENERAL FUND OTHER SERVICES $144,840 $530,000 $530,000 0100 - GENERAL FUND TOTAL $144,840 $530,000 $530,000 EXPENSES TOTAL $144,840 $530,000 $530,000 EXPENDITURES MISCELLANEOUS GENERAL FUND Projects M1143 - CONTRIBUTION TO LEGAL DEFENSE FUND $20,684 $40,000 $40,000 M1366 - JUDGEMENTS-LESS $6,000 $68,783 $70,000 $70,000 M8022 - WITNESS PROTECTION PROGRAM $31,873 $70,000 $70,000 MIS06 - JUDGEMENTS-LESS $25,000 $23,500 $100,000 $100,000 MIS07 - JUDGEMENTS-EXCESS $25,000 $0 $250,000 $250,000 PROJECTS TOTAL $144,840 $530,000 $530,000 DEPARTMENT OF JUSTICE - NON-OPERATIONAL MISC FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 100 ACTIVITY 11010 DEPUTY ATTORNEY GENERAL FUNCTIONAL STATEMENT The Deputy Attorney General supervises all divisions except the Office of the Attorney General. This activity center also formulates and implements policies of the Attorney General. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $516,411 $857,364 $849,210 FRINGE BENEFITS $187,683 $382,930 $405,417 0100 - GENERAL FUND TOTAL $704,095 $1,240,293 $1,254,627 EXPENSES TOTAL $704,095 $1,240,293 $1,254,627 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT ATTORNEY GENERAL 1 CHIEF DEPUTY ATTORNEY GENERAL 1 CUSTODIAL WORKER 1 MIS MANAGER 1 MIS SYSTEM DIRECTOR 1 OPERATIONS MANAGER 1 PROGRAM MANAGEMENT ASSISTANT 1 RECEPTIONIST 1 SEXUAL REGISTRY COORDINATOR 1 TERRITORIAL SEX OFFENDER REGISTRY INVESTIGATOR 1 TERRITORIAL SEX OFFENDER REGISTRY MANAGER 1 ALLOCATED FTE COUNT 11 DEPARTMENT OF JUSTICE - DEPUTY ATTORNEY GENERAL FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 101 ACTIVITY 11020 INVESTIGATION SERVICES FUNCTIONAL STATEMENT The Investigation Services Unit conducts civil and criminal investigations, covering tort claims, civil litigation, pre-employment background checks, government employee misconduct, white-collar crimes, fugitive tracking and extradition, witness protection, undercover operations, electronic surveillance, and subpoena service for the Attorney General. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $451,656 $455,100 $455,100 FRINGE BENEFITS $206,413 $222,275 $238,159 0100 - GENERAL FUND TOTAL $658,069 $677,375 $693,259 6200 - MEDICAID FRAUD CONTROL UNIT FD – $87,255 – EXPENSES TOTAL $658,069 $764,630 $693,259 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT DIRECTOR OF INVESTIGATION 1 DIRECTOR OF INVESTIGATION 1 SPECIAL AGENT 4 ALLOCATED FTE COUNT 6 DEPARTMENT OF JUSTICE - INVESTIGATION SERVICES FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 102 ACTIVITY 11100 BUDGET AND ACCOUNTING FUNCTIONAL STATEMENT The Budget and Accounting unit administers the Department of Justice's budget, manages payroll and procurement, and coordinates staff training and travel. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $705,583 $667,444 $658,800 FRINGE BENEFITS $360,121 $319,913 $352,973 SUPPLIES $200,684 $217,370 $219,501 OTHER SERVICES $1,989,420 $2,274,851 $2,075,121 UTILITY SERVICES – $0 $250,000 0100 - GENERAL FUND TOTAL $3,255,808 $3,479,578 $3,556,395 EXPENSES TOTAL $3,255,808 $3,479,578 $3,556,395 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count CHIEF FINANCIAL OFFICER 1 FEDERAL GRANTS COORDINATING SPECIALIST 1 HUMAN RESOURCES AND LABOR RELATIONS MANAGER 1 HUMAN RESOURCES DIRECTOR 1 OPERATIONS MANAGER 1 PAYROLL OPERATIONS MANAGER 1 PBX OPERATOR/RECEPTIONIST 1 SENIOR ATTENDANT 1 SR FINANCIAL CONTROL OFFICER 1 TERRITORIAL SUPPORT STAFF SUPERVISOR 1 ALLOCATED FTE COUNT 10 DEPARTMENT OF JUSTICE - BUDGET AND ACCOUNTING FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 103 ACTIVITY 11200 MEDICAL EXAMINER FUNCTIONAL STATEMENT The Medical Examiner's Office provides a scientific investigative system for the U.S. Virgin Islands on deaths that occurred suddenly without cause or from unnatural circumstances. The primary purpose of the department is to determine a true cause and manner of death by conducting medicolegal death investigations, autopsies, toxicology & specimen analysis on all unnatural & unusual deaths, such as but not limited to homicides, suicides, accidents, sudden unexpected deaths that occurred in a suspicious manner or caused by an unrecognizable disease. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $265,224 $300,000 $785,000 FRINGE BENEFITS $146,918 $165,316 $295,685 0100 - GENERAL FUND TOTAL $412,142 $465,316 $1,080,685 EXPENSES TOTAL $412,142 $465,316 $1,080,685 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count FORENSIC TECHNICIAN 2 MEDICAL EXAMINER OPERATIONS MANAGER 1 MEDICAL EXAMINER ST CROIX 1 MEDICAL EXAMINER ST THOMAS 1 MEDICOLEGAL DEATH INVESTIGATOR 4 ALLOCATED FTE COUNT 9 DEPARTMENT OF JUSTICE - MEDICAL EXAMINER FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 104 ACTIVITY 11300 LEGAL SERVICES FUNCTIONAL STATEMENT The Civil Division vigorously represents the Government of the Virgin Islands in legal matters spanning local and federal courts Territory- wide, handling cases ranging from torts to tax challenges. It also serves as legal counsel for the executive branch and its agencies, while overseeing engagements with outside counsel and responding to legal requests on behalf of the government. Conversely, the Criminal Division focuses on prosecuting local criminal matters, ensuring fair proceedings, enhancing community safety, and providing support to victims of violent crime through victim-witness advocates and collaboration with law enforcement agencies. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $3,842,953 $4,938,179 $4,898,602 FRINGE BENEFITS $1,253,949 $1,481,082 $1,731,607 0100 - GENERAL FUND TOTAL $5,096,903 $6,419,261 $6,630,209 EXPENSES TOTAL $5,096,903 $6,419,261 $6,630,209 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE SPECIALIST 3 ASSISTANT ATTORNEY GENERAL 25 CHIEF CIVIL DIVISION 1 CHIEF CRIMINAL DIVISION 2 DEPUTY ATTORNEY GENERAL 1 LITIGATION SPECIALIST I 6 LITIGATION SPECIALIST II 1 LITIGATION SPECIALIST III 3 LITIGATION SPECIALIST SUPERVISOR 1 SPECIAL ASSISTANT 2 VICTIMS ADVOCATES 2 VICTIMS SERVICE COORDINATOR 1 ALLOCATED FTE COUNT 48 DEPTARTMENT OF JUSTICE - LEGAL SERVICES FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 105 ACTIVITY 11310 WHITE COLLAR CRIME FUNCTIONAL STATEMENT The White-Collar Crime Unit investigates embezzlement, consumer fraud, insurance fraud, money laundering, bribery, misappropriation of public funds, worthless checks, and other complex litigation. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $458,354 $547,991 $535,339 FRINGE BENEFITS $180,762 $213,132 $226,135 0100 - GENERAL FUND TOTAL $639,116 $761,123 $761,474 EXPENSES TOTAL $639,116 $761,123 $761,474 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE SPECIALIST 1 ASSISTANT ATTORNEY GENERAL 1 DIRECTOR WHITE COLLAR /PUBLIC CORRUPTION UNIT 1 HUMAN RESOURCES COORDINATOR 1 SPECIAL AGENT 2 ALLOCATED FTE COUNT 6 DEPARTMENT OF JUSTICE - WHITE COLLAR CRIME FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 106 ACTIVITY 11320 - PATERNITY CHILD SUPPORT FUNCTIONAL STATEMENT The Paternity and Child Support Division establishes paternity for out-of-wedlock births through DNA testing or voluntary acknowledgment, establishes and enforces child support orders for interstate, tribal, and international agencies, enforces child support obligations as provided by local and federal law, processes collection and disbursement of child support payments locally, nationally and internationally, administers the Access and Visitation grant program to provide mediation services, parenting plans, parenting workshops, and visitation orders. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $1,187,853 $1,423,725 $1,408,787 FRINGE BENEFITS $592,636 $656,159 $704,198 SUPPLIES $55,868 $84,975 $71,600 OTHER SERVICES $764,616 $1,102,992 $338,131 UTILITY SERVICES – $0 $44,200 0100 - GENERAL FUND TOTAL $2,600,973 $3,267,852 $2,566,916 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $2,272,575 $2,060,145 $2,734,705 FRINGE BENEFITS $1,030,769 $996,722 $1,366,974 SUPPLIES $79,827 $125,000 $158,990 OTHER SERVICES $1,189,561 $517,351 $2,140,099 UTILITY SERVICES $121,500 $40,000 $85,802 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $4,694,232 $3,739,218 $6,486,570 6020 - PATERNITY & CHILD SUPPORT FRINGE BENEFITS $1,419 – – 6020 - PATERNITY & CHILD SUPPORT TOTAL $1,419 – – EXPENSES TOTAL $7,296,624 $7,007,070 $9,053,486 DEPARTMENT OF JUSTICE - PATERNITY CHILD SUPPORT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 107 GRANTS Expenses F1141 - CHILD SUPPORT SERVICES RESEARCH $162,264 $0 – F1145 - CHILD SUPPORT SERVICES $4,432,085 $0 – F1147 - CHILD SUPPORT ENFORCEMENT $99,465 $0 – F1151 - GRANTS TO STATES FOR ACCESS AND VIS – $100,000 $100,000 F1150 - CHILD SUPPORT SERVICES $418 $3,639,218 $6,386,570 EXPENSES TOTAL $4,694,232 $3,739,218 $6,486,570 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ACCESS & VISITATION COORDINATOR 2 ADMINISTRATIVE HEARING OFFICER 2 ADMINISTRATIVE SPECIALIST 4 ASSISTANT ATTORNEY GENERAL 5 ASSISTANT DIRECTOR PSCD 1 CENTRAL REGISTRY ADMINISTRATOR 1 DIRECTOR OF MIS PCSD 1 DIRECTOR PATERNITY & CHILD SUPPORT 1 EXECUTIVE ASSISTANT 1 FEDERAL GRANTS COORDINATING SPECIALIST 1 FISCAL ASSISTANT 1 LAN/WAN TECHNICIAN 1 LAN/WAN TECHNICIAN STT 1 LITIGATION SPECIALIST I 1 LITIGATION SPECIALIST II 1 OPERATIONS MANAGER 1 PATERNITY AND CHILD SUPPORT DIVISION (PCSD) ACCESS & VISITATION ADMINISTRATOR 1 PATERNITY AND CHILD SUPPORT DIVISION (PCSD) CASE ADMINISTRATOR I 7 PATERNITY AND CHILD SUPPORT DIVISION (PCSD) CASE ADMINISTRATOR II 4 PATERNITY AND CHILD SUPPORT DIVISION (PCSD) CLIENT FACILITATOR 7 PROCESS DISTRIBUTION SPECIALIST 1 PROGRAM SPECIALIST 1 RECEPTIONIST 1 RECEPTIONIST STT 1 SENIOR ATTENDANT 2 SPECIAL AGENT 4 SYSTEM ANALYST MANAGER 1 SYSTEM ANALYST STX 1 TERRITORIAL DISBURSEMENT COLLECTION ASSISTANT 3 TERRITORIAL DISBURSEMENT MANAGER 1 TERRITORIAL DISBURSEMENT UNIT ASSISTANT MANAGER 1 ALLOCATED FTE COUNT 61 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 108 ACTIVITY 11400 - SOLICITOR GENERAL OFFICE FUNCTIONAL STATEMENT The Solicitor General's Office provides legal representation for appeals, administrative matters, and writs of review. It also reviews government documents, offers opinions, enforces ethics laws, and provides administrative support to boards and commissions. The office also counsels executive branch entities and reviews contracts, including construction contracts, for legal sufficiency. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $355,259 $420,041 $390,655 FRINGE BENEFITS $152,385 $154,255 $171,771 0100 - GENERAL FUND TOTAL $507,644 $574,296 $562,426 EXPENSES TOTAL $507,644 $574,296 $562,426 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT ATTORNEY GENERAL 1 LITIGATION SPECIALIST II 1 LITIGATION SPECIALIST III 1 MESSENGER/MAILROOM CLERK 1 SOLICITOR GENERAL 1 ALLOCATED FTE COUNT 5 DEPTARTMENT OF JUSTICE - SOLICITOR GENERAL OFFICE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 109 ACTIVITY 11500 - INSTITUTIONAL FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES -$1,667 – – FRINGE BENEFITS -$128 – – 0100 - GENERAL FUND TOTAL -$1,795 – – EXPENSES TOTAL -$1,795 $0 – DEPARTMENT OF JUSTICE - INSTITUTIONAL FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 110 ACTIVITY 11600 - GAMING ENFORCEMENT FUNCTIONAL STATEMENT The Gaming Enforcement Division serves as the investigatory and enforcement body of the Virgin Islands Casino Control Commission, ensuring the integrity of the gaming industry by enforcing casino laws and regulations to protect the public interest. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $253,652 $239,250 $264,000 FRINGE BENEFITS $99,492 $102,147 $116,482 0100 - GENERAL FUND TOTAL $353,144 $341,397 $380,482 EXPENSES TOTAL $353,144 $341,397 $380,482 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count DIRECTOR OF GAMING ENFORCEMENT 1 GAMING INVESTIGATOR 1 GAMING RESEARCH SPECIALIST 1 ALLOCATED FTE COUNT 3 DEPARTMENT OF JUSTICE - GAMING ENFORCEMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 111 MISSION STATEMENT The Office of the Governor is committed to a mission of a sound, stable, financial, and economic environment that will enhance the welfare of all the people of the U.S. Virgin Islands. BUDGET SUMMARY Total Amount (FY2027) $14,792,756.00 FY27 BUDGETED RESOURCES GENERAL FUND: GENERAL FUND: $14,076,600.00 (95.16%) $14,076,600.00 (95.16%) GENERAL FUND: $14,076,600.00 (95.16%) FEDERAL GRANTS ALL EXCEPT DOE: FEDERAL GRANTS ALL EXCEPT DOE: $416,156.00 (2.81%) $416,156.00 (2.81%) FEDERAL GRANTS ALL EXCEPT DOE: $416,156.00 (2.81%) TOURISM ADVERTISING REVOLVING: TOURISM ADVERTISING REVOLVING: $300,000.00 (2.03%) $300,000.00 (2.03%) TOURISM ADVERTISING REVOLVING: $300,000.00 (2.03%) GENERAL FUND FEDERAL GRANTS ALL EXCEPT DOE TOURISM ADVERTISING REVOLVING FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $10,928,991 $13,573,494 $14,076,600 6068 - TOURISM ADVERTISING REVOLVING – $300,000 $300,000 6069 - TOURISM ADVERTISING REVOLVING $85,622 $0 – APPROPRIATED TOTAL $11,014,613 $13,873,494 $14,376,600 FEDERAL 3100 - FEDERAL GRANTS ALL EXCEPT DOE $227,131 $0 $416,156 FEDERAL TOTAL $227,131 $0 $416,156 NON APPROPRIATED 8030 - PRIVATE DONATION $44,200 – – 0105 - SINGLE PAYER UTILITY FUND $552,370 $514,000 – 6063 - CENTENNIAL SPECIAL FUND $50,989 – – 8001 - ASSET RECOVERY FUND – $839,666 – NON APPROPRIATED TOTAL $647,560 $1,353,666 – EXPENSES TOTAL $11,889,303 $15,227,160 $14,792,756 OFFICE OF THE GOVERNOR FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 112 Total Amount (FY2027) $14,076,600.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $6,675,050.00 (47.42%) $6,675,050.00 (47.42%) PERSONNEL SERVICES: $6,675,050.00 (47.42%) OTHER SERVICES: OTHER SERVICES: $3,230,098.00 (22.95%) $3,230,098.00 (22.95%) OTHER SERVICES: $3,230,098.00 (22.95%) FRINGE BENEFITS: FRINGE BENEFITS: $2,901,352.00 (20.61%) $2,901,352.00 (20.61%) FRINGE BENEFITS: $2,901,352.00 (20.61%) UTILITY SERVICES: UTILITY SERVICES: $534,000.00 (3.79%) $534,000.00 (3.79%) UTILITY SERVICES: $534,000.00 (3.79%) SUPPLIES: SUPPLIES: $441,100.00 (3.13%) $441,100.00 (3.13%) SUPPLIES: $441,100.00 (3.13%) CAPITAL PROJECTS: CAPITAL PROJECTS: $295,000.00 (2.10%) $295,000.00 (2.10%) CAPITAL PROJECTS: $295,000.00 (2.10%) PERSONNEL SERVICES OTHER SERVICES FRINGE BENEFITS UTILITY SERVICES SUPPLIES CAPITAL PROJECTS RECOMMENDED EXPENDITURES OTHER EXPENSES MISCELLANEOUS GENERAL FUND Projects M22A1 - HEALTH INFORMATION TECHNOLOGY EXCHANGE $125,507 $400,000 $250,000 M1006 - OOG - EXPENSES FOR ANNUAL ACTIVITIES $135,784 $150,000 $150,000 M1111 - OOG-TRANSITIONAL ACTIVITIES – – $300,000 M1113 - OOG-EMANCIPATION DAY ACTIVITIES $9,882 $15,000 $15,000 M1913 - PR/VI FRIENDSHIP DAY - STX $50,000 $100,000 $100,000 M1914 - PR/VI FRIENDSHIP DAY - STT $15,000 $20,000 $20,000 M7029 - GOVERNMENT ACCESS CHANNEL $58,029 $150,000 $150,000 M8004 - BVI FRIENDSHIP DAY ACTIVITIES $25,430 $75,000 $75,000 M2214 - OFFICE OF GUN VIOLENCE $104,715 $225,000 $225,000 M2228 - VIRTUAL INFORMATION SYSTEM – $150,000 $150,000 M2502 - FORMER GOVERNOR'S PORTRAITS $14,435 – – PROJECTS TOTAL $538,783 $1,285,000 $1,435,000 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 113 OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND CREDIT CARD EXPENSES $391,080 – – MEMBERSHIP DUES $51,783 – – REPAIRS & MAINTENANCE $176,605 $118,000 $118,000 AUTOMOTIVE REPAIR & MAINTENANCE $45,049 $22,000 $22,000 RENTAL OF LAND/BUILDINGS $197,895 $151,700 $157,978 RENTAL MACHINES/EQUIPMENT $171,545 $80,000 $80,000 PROFESSIONAL SERVICES $313,426 $545,000 $345,000 SECURITY SERVICES $560 $15,000 $15,000 TRAINING $2,000 $35,000 $29,000 COMMUNICATION $294,459 $308,500 $308,500 ADVERTISING & PROMOTION $236,830 $75,000 $75,000 PRINTING AND BINDING $1,115 $10,120 $10,120 TRANSPORTATION - NOT TRAVEL $13,854 $22,000 $22,000 TRAVEL $267,022 $203,200 $203,200 TRAVEL / CASH ADVANCE $141,548 $50,800 $70,800 PURCHASE BULK AIRLINE $221,670 $80,500 $80,500 GRANTS/IND GOVT AGENCIES $65,000 $285,000 $585,000 OTHER SERVICES NOC $19,503 $1,450,139 $1,105,500 BANK CHARGES $40,438 $2,500 $2,500 0100 - GENERAL FUND TOTAL $2,651,384 $3,454,459 $3,230,098 6068 - TOURISM ADVERTISING REVOLVING OTHER SERVICES NOC – $300,000 $300,000 6068 - TOURISM ADVERTISING REVOLVING TOTAL – $300,000 $300,000 6069 - TOURISM ADVERTISING REVOLVING $85,622 $0 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE REPAIRS & MAINTENANCE $9,875 $0 – PRINTING AND BINDING $115 $0 – TRANSPORTATION - NOT TRAVEL $105 $0 – TRAVEL $2,409 $0 – OTHER SERVICES NOC $2,240 $0 $416,156 SUBSIDIES $211,625 $0 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $226,369 $0 $416,156 6063 - CENTENNIAL SPECIAL FUND $39,639 – – OTHER SERVICES TOTAL $3,003,013 $3,754,459 $3,946,254 EXPENSES TOTAL $3,003,013 $3,754,459 $3,946,254 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 PROFESSIONAL SERVICES GENERAL FUND Itemization Description FY2027 Amount BAKER LAW P.C. $165,000 SYGMAPCS $60,000 OOG COMMUNICATION OFFICE $60,000 DR. ZENIA KOTVAL $60,000 AMOUNT $345,000 LEASES GENERAL FUND Itemization Description FY2027 Amount MEBAR REALTY HOLDING $76,978 ZEFO'S ENTERPRISES, LLC $81,000 AMOUNT $157,978 FY 2027 PROPOSED EXECUTIVE BUDGET 114 GRANTS SUMMARY Projects FEDERAL F2709 - STATE ENERGY PROGRAM $227,131 $0 – F2110 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – – $200,000 F2113 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – – $216,156 FEDERAL TOTAL $227,131 $0 $416,156 EDUCATION V2103 - GOVERNORS EDUCATION STABILIZATION FUND -$1,500 $0 – EDUCATION TOTAL -$1,500 $0 – PROJECTS TOTAL $225,631 $0 $416,156 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ADA COORDINATOR 1 ADMINISTRATIVE COORDINATOR 8 ADMINISTRATOR STJ 1 ADMINISTRATOR STT 1 ADMINISTRATOR STX 1 ADMINISTRATOR WATER ISLAND (NEW) 1 ASSISTANT DIRECTOR GOVERNMENT ACCESS CHANNEL 1 ASSOCIATE LEGAL COUNSEL 1 BROADCAST PLANNING AND PRODUCTION MANAGER 2 BROADCAST TECHNICIAN 1 CHIEF OF STAFF 1 CHIEF POLICY ADVISOR 1 COMMUNICATIONS OPERATOR 3 COMMUNICATIONS SPECIALIST 1 COMMUNITY ENGAGEMENT COORDINATOR 2 COMMUNITY LIAISON 3 DATA ANALYST 1 DEPUTY CHIEF OF STAFF 1 DEPUTY DIRECTOR OF COMMUNICATIONS 1 DEPUTY LEGAL COUNSEL 1 DIRECTOR BUREAU ECONOMIC RESEARCH 1 DIRECTOR BUSINESS AND ADMINISTRATION 1 DIRECTOR GOVERNMENT ACCESS CHANNEL 1 DIRECTOR HEALTH INFORMATION TECHNOLOGY 1 DIRECTOR OF COMMUNICATIONS 1 ECONOMIC RESEARCH SPECIALIST 1 EXECUTIVE ASSISTANT 2 EXECUTIVE ASSISTANT TO THE GOVERNOR 2 EXECUTIVE CHAUFFEUR 2 EXECUTIVE DIRECTOR 1 EXECUTIVE DIRECTOR, VIVIS 1 EXECUTIVE HOUSEKEEPER 5 EXECUTIVE PHOTOGRAPHER 1 EXECUTIVE SECURITY OFFICER 1 EXECUTIVE UNIFORM SECURITY OFFICER 2 FY 2027 PROPOSED EXECUTIVE BUDGET 115 FINANCIAL CONTROL OFFICER 4 GOVERNOR 1 GOVERNOR'S CHIEF LEGAL COUNSEL 1 HOLIDAY PAY 1 HOUSEKEEPER/ATTENDANT 4 LAW CLERK OFFICE OF THE GOVERNOR 1 LEAD MAINTENANCE TECHNICIAN 2 LEAD MAINTENANCE WORKER 1 MAINTENANCE TECHNICIAN 4 NIGHT DIFFERENTIAL 1 OHIT SYSTEMS & OPERATIONS PROGRAM MANAGER 1 OVERTIME 1 POLICY ADVISOR 4 PROTOCOL OFFICER 1 SENIOR PROJECT ANALYST 1 SPECIAL ASSISTANT 2 SPECIAL ASSISTANT TO THE GOVERNOR 1 SPECIAL PROJECTS COORDINATOR 2 SURVIVOR ENGAGEMENT SPECIALIST 2 VIOLENCE INTERRUPTER 2 ALLOCATED FTE COUNT 93 VACANT AND NEW POSITIONS Position Name FY2027 Count ADMINISTRATOR STT 1 CHIEF POLICY ADVISOR 1 COMMUNITY LIAISON 2 LEAD MAINTENANCE WORKER 1 PROTOCOL OFFICER 1 SPECIAL ASSISTANT TO THE GOVERNOR 1 COUNT 7 ACTIVTY CENTERS 20000 - OFFICE OF THE GOVERNOR 20001 - NON-OPERATIONAL MISC 20030 - BUREAU OF ECONOMIC RESEARCH 20040 - GUN VIOLENCE PREVENTION 20500 - STATE ENERGY PROGRAM 20HIT - INFORMATION TECHNOLOGY EXCHANGE FY 2027 PROPOSED EXECUTIVE BUDGET 116 ACTIVITY 20000 OFFICE OF THE GOVERNOR FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $4,561,974 $5,862,042 $5,738,050 FRINGE BENEFITS $1,946,590 $2,400,315 $2,445,571 SUPPLIES $542,493 $392,500 $397,500 OTHER SERVICES $2,140,016 $2,005,339 $1,636,978 UTILITY SERVICES – $0 $495,000 CAPITAL PROJECTS $103,350 $321,000 $295,000 0100 - GENERAL FUND TOTAL $9,294,423 $10,981,196 $11,008,099 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $552,370 $514,000 – 0105 - SINGLE PAYER UTILITY FUND TOTAL $552,370 $514,000 – 6063 - CENTENNIAL SPECIAL FUND SUPPLIES $11,350 – – OTHER SERVICES $39,639 – – 6063 - CENTENNIAL SPECIAL FUND TOTAL $50,989 – – 8001 - ASSET RECOVERY FUND CAPITAL PROJECTS – $839,666 – 8001 - ASSET RECOVERY FUND TOTAL – $839,666 – EXPENSES TOTAL $9,897,782 $12,334,862 $11,008,099 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADA COORDINATOR 1 ADMINISTRATIVE COORDINATOR 6 ADMINISTRATOR STJ 1 ADMINISTRATOR STT 1 ADMINISTRATOR STX 1 ADMINISTRATOR WATER ISLAND (NEW) 1 ASSISTANT DIRECTOR GOVERNMENT ACCESS CHANNEL 1 ASSOCIATE LEGAL COUNSEL 1 BROADCAST PLANNING AND PRODUCTION MANAGER 2 BROADCAST TECHNICIAN 1 CHIEF OF STAFF 1 CHIEF POLICY ADVISOR 1 COMMUNICATIONS OPERATOR 3 COMMUNICATIONS SPECIALIST 1 COMMUNITY LIAISON 3 OFFICE OF THE GOVERNOR - OFFICE OF THE GOVERNOR FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 117 Position Name FY2027 DEPUTY CHIEF OF STAFF 1 DEPUTY DIRECTOR OF COMMUNICATIONS 1 DEPUTY LEGAL COUNSEL 1 DIRECTOR BUSINESS AND ADMINISTRATION 1 DIRECTOR GOVERNMENT ACCESS CHANNEL 1 DIRECTOR HEALTH INFORMATION TECHNOLOGY 1 DIRECTOR OF COMMUNICATIONS 1 EXECUTIVE ASSISTANT 2 EXECUTIVE ASSISTANT TO THE GOVERNOR 2 EXECUTIVE CHAUFFEUR 2 EXECUTIVE HOUSEKEEPER 5 EXECUTIVE PHOTOGRAPHER 1 EXECUTIVE SECURITY OFFICER 1 EXECUTIVE UNIFORM SECURITY OFFICER 2 FINANCIAL CONTROL OFFICER 4 GOVERNOR 1 GOVERNOR'S CHIEF LEGAL COUNSEL 1 HOUSEKEEPER/ATTENDANT 4 LAW CLERK OFFICE OF THE GOVERNOR 1 LEAD MAINTENANCE TECHNICIAN 2 LEAD MAINTENANCE WORKER 1 MAINTENANCE TECHNICIAN 4 OHIT SYSTEMS & OPERATIONS PROGRAM MANAGER 1 POLICY ADVISOR 4 PROTOCOL OFFICER 1 SPECIAL ASSISTANT 2 SPECIAL ASSISTANT TO THE GOVERNOR 1 SPECIAL PROJECTS COORDINATOR 2 ALLOCATED FTE COUNT 76 FY 2027 PROPOSED EXECUTIVE BUDGET 118 ACTIVITY 20001 NON-OPERATIONAL MISC FUND SUMMARY Expenses 0100 - GENERAL FUND SUPPLIES $155,375 – – OTHER SERVICES $383,408 $1,285,000 $1,435,000 0100 - GENERAL FUND TOTAL $538,783 $1,285,000 $1,435,000 EXPENSES TOTAL $538,783 $1,285,000 $1,435,000 EXPENDITURES MISCELLANEOUS GENERAL FUND Projects M22A1 - HEALTH INFORMATION TECHNOLOGY EXCHANGE $125,507 $400,000 $250,000 M1006 - OOG - EXPENSES FOR ANNUAL ACTIVITIES $135,784 $150,000 $150,000 M1111 - OOG-TRANSITIONAL ACTIVITIES OTHER SERVICES – – $300,000 M1111 - OOG-TRANSITIONAL ACTIVITIES TOTAL – – $300,000 M1113 - OOG-EMANCIPATION DAY ACTIVITIES OTHER SERVICES $9,882 $15,000 $15,000 M1113 - OOG-EMANCIPATION DAY ACTIVITIES TOTAL $9,882 $15,000 $15,000 M1913 - PR/VI FRIENDSHIP DAY - STX OTHER SERVICES $50,000 $100,000 $100,000 M1913 - PR/VI FRIENDSHIP DAY - STX TOTAL $50,000 $100,000 $100,000 M1914 - PR/VI FRIENDSHIP DAY - STT OTHER SERVICES $15,000 $20,000 $20,000 M1914 - PR/VI FRIENDSHIP DAY - STT TOTAL $15,000 $20,000 $20,000 M7029 - GOVERNMENT ACCESS CHANNEL $58,029 $150,000 $150,000 M8004 - BVI FRIENDSHIP DAY ACTIVITIES SUPPLIES $2,800 – – OTHER SERVICES $22,630 $75,000 $75,000 M8004 - BVI FRIENDSHIP DAY ACTIVITIES TOTAL $25,430 $75,000 $75,000 M2214 - OFFICE OF GUN VIOLENCE SUPPLIES $16,345 – – OTHER SERVICES $88,371 $225,000 $225,000 M2214 - OFFICE OF GUN VIOLENCE TOTAL $104,715 $225,000 $225,000 M2228 - VIRTUAL INFORMATION SYSTEM OTHER SERVICES – $150,000 $150,000 OFFICE OF THE GOVERNOR - NON-OPERATIONAL MISC FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 119 M2228 - VIRTUAL INFORMATION SYSTEM TOTAL – $150,000 $150,000 M2502 - FORMER GOVERNOR'S PORTRAITS $14,435 – – PROJECTS TOTAL $538,783 $1,285,000 $1,435,000 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 120 ACTIVITY 20030 - BUREAU OF ECONOMIC RESEARCH FUNCTIONAL STATEMENT The Bureau of Economic Research provides timely information on the state of the economy in support of both public and private sector decision making. FUNDS SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $257,790 $303,500 $460,000 FRINGE BENEFITS $132,582 $152,872 $216,648 SUPPLIES $35,517 $43,600 $43,600 OTHER SERVICES $127,959 $164,120 $158,120 UTILITY SERVICES – $0 $39,000 0100 - GENERAL FUND TOTAL $553,849 $664,092 $917,368 6068 - TOURISM ADVERTISING REVOLVING – $300,000 $300,000 6069 - TOURISM ADVERTISING REVOLVING $85,622 – – 3100 - FEDERAL GRANTS ALL EXCEPT DOE OTHER SERVICES -$1,500 $0 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL -$1,500 $0 – EXPENSES TOTAL $637,971 $964,092 $1,217,368 GRANTS Expenses V2103 - GOVERNORS EDUCATION STABILIZATION FUND -$1,500 $0 – EXPENSES TOTAL -$1,500 $0 – OFFICE OF THE GOVERNOR- BUREAU OF ECONOMIC RESEARCH FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ALL ACTIVITY CENTER POSITIONS Position Name FY2026 Allocated FTE Count ADMINISTRATIVE COORDINATOR 1 DATA ANALYST 1 DIRECTOR BUREAU ECONOMIC RESEARCH 0.5 ECONOMIC RESEARCH SPECIALIST 0.5 SENIOR POLICY ANALYST 0.5 SENIOR PROJECT ANALYST 1 ALLOCATED FTE COUNT 4.5 FY 2027 PROPOSED EXECUTIVE BUDGET 121 ACTIVITY 20040 GUN VIOLENCE PREVENTION FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $375,212 $436,750 $477,000 FRINGE BENEFITS $166,724 $206,456 $239,133 0100 - GENERAL FUND TOTAL $541,936 $643,206 $716,133 EXPENSES TOTAL $541,936 $643,206 $716,133 OFFICE OF THE GOVERNOR - GUN VIOLENCE PREVENTION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 122 ACTIVITY 20500 - STATE ENERGY PROGRAM FUNDS SUMMARY Expenses 3100 - FEDERAL GRANTS ALL EXCEPT DOE FRINGE BENEFITS -$1,238 $0 – SUPPLIES $2,000 $0 – OTHER SERVICES $226,369 $0 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $227,131 $0 – 2000 - EMPLOYMENT SECURITY PERSONNEL SERVICES -$2,613 – – 2000 - EMPLOYMENT SECURITY TOTAL -$2,613 – – EXPENSES TOTAL $224,518 $0 – GRANTS Expenses F2709 - STATE ENERGY PROGRAM $227,131 $0 – EXPENSES TOTAL $227,131 $0 – OFFICE OF THE GOVERNOR- STATE ENERGY PROGRAM FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 123 ACTIVITY 20HIT - INFORMATION TECHNOLOGY EXCHANGE FUNDS SUMMARY Expenses 8030 - PRIVATE DONATION SUPPLIES $44,200 – – 8030 - PRIVATE DONATION TOTAL $44,200 – – EXPENSES TOTAL $44,200 – – OFFICE OF THE GOVERNOR- INFORMATION TECHNOLOGY EXCHANGE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 124 MISSION STATEMENT To provide strategic direction and efficient fiscal management of government resources. BUDGET SUMMARY Data Updated: May 28, 2026, 4:01 PM Total Amount (FY2027) $36,759,349.00 FY27 BUDGETED RESOURCES FEDERAL GRANTS ALL EXCEPT DOE: FEDERAL GRANTS ALL EXCEPT DOE: $27,346,445.00 (74.39%) $27,346,445.00 (74.39%) FEDERAL GRANTS ALL EXCEPT DOE: $27,346,445.00 (74.39%) GENERAL FUND: GENERAL FUND: $7,186,308.00 (19.55%) $7,186,308.00 (19.55%) GENERAL FUND: $7,186,308.00 (19.55%) INDIRECT COST: INDIRECT COST: $2,226,596.00 (6.06%) $2,226,596.00 (6.06%) INDIRECT COST: $2,226,596.00 (6.06%) FEDERAL GRANTS ALL EXCEPT DOE GENERAL FUND INDIRECT COST FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $4,470,052 $14,705,960 $7,186,308 2098 - INDIRECT COST $1,525,807 $2,007,851 $2,226,596 2801 - SOUTHERN TRUST COMPANY SETTLEMENT $23,223,861 $1,168,375 – APPROPRIATED TOTAL $29,219,720 $17,882,186 $9,412,904 FEDERAL 3100 - FEDERAL GRANTS ALL EXCEPT DOE $7,496,223 $0 $27,346,445 FEDERAL TOTAL $7,496,223 $0 $27,346,445 NON APPROPRIATED 0105 - SINGLE PAYER UTILITY FUND $62,006 $100,000 – NON APPROPRIATED TOTAL $62,006 $100,000 – EXPENSES TOTAL $36,777,949 $17,982,186 $36,759,349 OFFICE OF MANAGEMENT & BUDGET FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 125 Data Updated: May 28, 2026, 4:01 PM Total Amount (FY2027) $7,186,308.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $3,398,177.00 (47.29%) $3,398,177.00 (47.29%) PERSONNEL SERVICES: $3,398,177.00 (47.29%) FRINGE BENEFITS: FRINGE BENEFITS: $1,568,030.00 (21.82%) $1,568,030.00 (21.82%) FRINGE BENEFITS: $1,568,030.00 (21.82%) OTHER SERVICES: OTHER SERVICES: $1,516,700.00 (21.11%) $1,516,700.00 (21.11%) OTHER SERVICES: $1,516,700.00 (21.11%) SUPPLIES: SUPPLIES: $603,401.00 (8.40%) $603,401.00 (8.40%) SUPPLIES: $603,401.00 (8.40%) UTILITY SERVICES: UTILITY SERVICES: $100,000.00 (1.39%) $100,000.00 (1.39%) UTILITY SERVICES: $100,000.00 (1.39%) PERSONNEL SERVICES FRINGE BENEFITS OTHER SERVICES SUPPLIES UTILITY SERVICES RECOMMENDED EXPENDITURES OTHER EXPENSES MISCELLANEOUS GENERAL FUND Projects LC210 - OMB LOC FOR JFLH/SRMC $557,681 $2,942,319 – M2601 - MINIMUM SALARY INCREASE/ ACT 8995 – $826,148 – M1280 - FUNDING FOR ADDITIONAL CRITICAL VACANCIES $139,897 – – M1305 - ST JOHN ANIMAL CARE CENTER – $50,000 – M1306 - DOA- STX ANIMAL WELFARE CENTER – $175,000 – M1380 - 8% RESTORATION $16,825 – – M1909 - OMB WAGE ADJUSTMENTS – $4,259,903 – M3056 - HUMANE SOCIETY STT – $175,000 – M2109 - GVI FELLOWS PROGRAM $226,759 – – PROJECTS TOTAL $941,162 $8,428,370 – ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 126 OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND CREDIT CARD EXPENSES – $36,000 $108,000 MEMBERSHIP DUES $20,839 $12,825 $0 REPAIRS & MAINTENANCE $46,649 $90,000 $150,000 AUTOMOTIVE REPAIR & MAINTENANCE $2,640 $5,000 $7,500 RENTAL OF LAND/BUILDINGS $8,000 $42,500 $39,000 RENTAL MACHINES/EQUIPMENT $2,670 $8,500 $7,000 PROFESSIONAL SERVICES $35,364 $868,454 $740,200 SECURITY SERVICES $5,220 – – TRAINING $10,555 $136,000 $129,000 COMMUNICATION $61,817 $60,000 $75,000 ADVERTISING & PROMOTION $440 $10,000 $5,000 PRINTING AND BINDING – $5,000 $5,000 TRANSPORTATION - NOT TRAVEL $4,124 $6,000 $3,000 TRAVEL $46,790 $139,500 $153,000 TRAVEL / CASH ADVANCE $3,375 $8,000 $0 PURCHASE BULK AIRLINE $15,000 $60,000 $60,000 GRANTS/IND GOVT AGENCIES – $400,000 – OTHER SERVICES NOC $568,031 $2,982,319 $35,000 0100 - GENERAL FUND TOTAL $831,513 $4,870,098 $1,516,700 2098 - INDIRECT COST MEMBERSHIP DUES – – $24,000 REPAIRS & MAINTENANCE $13,130 $100,000 $100,000 AUTOMOTIVE REPAIR & MAINTENANCE – $5,500 $5,500 RENTAL OF LAND/BUILDINGS $145,350 $140,000 $10,000 RENTAL MACHINES/EQUIPMENT – $5,000 $5,000 PROFESSIONAL SERVICES $496,151 $523,020 $760,000 TRAINING – $30,000 $30,000 COMMUNICATION – $45,000 $45,000 ADVERTISING & PROMOTION $900 – – TRANSPORTATION - NOT TRAVEL – $5,000 $5,000 TRAVEL – $11,007 $15,000 PURCHASE BULK AIRLINE $5,000 $10,000 $10,000 OTHER SERVICES NOC $4,291 $8,300 – 2098 - INDIRECT COST TOTAL $664,822 $882,827 $1,009,500 2801 - SOUTHERN TRUST COMPANY SETTLEMENT PROFESSIONAL SERVICES $1,192,236 – – GRANTS/IND GOVT AGENCIES – $500,000 – OTHER SERVICES NOC – $200,000 – 2801 - SOUTHERN TRUST COMPANY SETTLEMENT TOTAL $1,192,236 $700,000 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE MEMBERSHIP DUES $298 $0 – PROFESSIONAL SERVICES $26,412 $0 $0 ADVERTISING & PROMOTION $5,523 $0 – TRANSPORTATION - NOT TRAVEL $258 $0 – TRAVEL $3,361 $0 – OTHER SERVICES NOC $23,804 $100,000 $26,754,530 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $59,656 $100,000 $26,754,530 OTHER SERVICES TOTAL $2,748,227 $6,552,925 $29,280,730 EXPENSES TOTAL $2,748,227 $6,552,925 $29,280,730 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 127 PROFESSIONAL SERVICES GENERAL FUND Itemization Description FY2027 Amount THIRD PARTY FIDUCIARY AGENT-MONTH-MONTH $740,200 AMOUNT $740,200 PROFESSIONAL SERVICES INDIRECT COST FUND Itemization Description FY2027 Amount BID SOLICITATION - INDIRECT COST FINANCIAL BREAKDOWN ACCOUNTING SERVICE $20,000 MGT IMPACT SOLUTIONS, LLC - COST ALLOCATION PLAN $400,000 BID SOLICITATION - FY26 SEFA RECONCILIATION ACCOUNTING SERVICES $340,000 AMOUNT $760,000 LEASES GENERAL FUND Itemization Description FY2027 Amount EMPLOYEE WORKSHOPS/RETREATS VENUES $12,000 FISCAL YEAR BUDGET CALL ORIENTATION VENUE $5,000 GRANT MANAGEMENT WORKSHOPS-VENUE RENTAL $10,000 REVENUE ESTIMATING CONFERENCE VENUE (SPRING/FALL) $12,000 AMOUNT $39,000 LEASES INDIRECT COST FUND Itemization Description FY2027 Amount PROCUREMENT PROCEDURE (REV EST CONF; EMPLOYEE WORKSHOPS) $10,000 AMOUNT $10,000 GRANTS SUMMARY Projects FEDERAL V2102 - ECONOMIC, SOCIAL AND POLITICAL DEVELOPMENT OF THE TERRITORIES $87,037 $0 – F2111 - ECONOMIC ADJUSTMENT ASSISTANCE ED22 $26,412 $0 – F2112 - BROADBAND EQUITY, ACCESS, AND DEPLOYMENT PROGRAM $168,846 $0 $26,696,445 V2104 - CORONAVIRUS CAPITAL PROJECTS FUND $7,213,928 $0 – F2115 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – – $400,000 F2116 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – – $250,000 FEDERAL TOTAL $7,496,223 $0 $27,346,445 PROJECTS TOTAL $7,496,223 $0 $27,346,445 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 128 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTANT 1 ADMINISTRATIVE SPECIALIST 2 ASSET MANAGEMENT MANAGER 1 ASSET MANAGEMENT/COMPLIANCE ANALYST 1 ASSOCIATE DIRECTOR ADMINISTRATION 1 ASSOCIATE DIRECTOR BUDGET OPERATIONS-PERFORMANCE MANAGEMENT 1 ASSOCIATE DIRECTOR FEDERAL GRANTS MANAGEMENT UNIT/COMPLIANCE 1 ASSOCIATE DIRECTOR, FINANCIAL PLANNING & ANALYSIS 1 ASSOCIATE DIRECTOR, FINANCIAL RESPONSIBILITY UNIT 1 BROADBAND DIRECTOR 1 BUDGET OPERATIONS ANALYST 6 COMPLIANCE ANALYST 3 CONTRACTUAL RECONCILIATION ANALYST 3.75 DEPUTY DIRECTOR 1 DIRECTOR 1 EXECUTIVE ASSISTANT 1 FINANCE MANAGER 1 FINANCIAL COMPLIANCE MANAGER 1 FINANCIAL DATA ANALYST 1 FISCAL & ECONOMIC ANALYST 1 GRANTS FINANCIAL ANALYST 4 GRANTS MANAGER 1 GRANTS PROCESSING ASSISTANT 2 HUMAN RESOURCES GENERALIST 1 HUMAN RESOURCES MANAGER 1 JUNIOR PERFORMANCE ANALYST 1 NETWORK SYSTEMS SUPPORT SPECIALIST 1 NON-PROFIT MANAGER 1 PBX OPERATOR/RECEPTIONIST 2 PERFORMANCE MANAGER 1 PROCUREMENT ANALYST 2 REVENUE ANALYST 2 REVENUE CONTROL OFFICER 1 SENIOR BUDGET CLERK 1 SENIOR GRANTS ANALYST 1 SENIOR NETWORK SYSTEMS SPECIALIST 1 SENIOR PERFORMANCE ANALYST 1 ALLOCATED FTE COUNT 54.75 FY 2027 PROPOSED EXECUTIVE BUDGET 129 VACANT AND NEW POSITIONS Position Name FY2027 Count ACCOUNTANT 1 ADMINISTRATIVE SPECIALIST 1 ASSET MANAGEMENT/COMPLIANCE ANALYST 1 BUDGET OPERATIONS ANALYST 3 CONTRACTUAL RECONCILIATION ANALYST 4 EXECUTIVE ASSISTANT 1 PERFORMANCE MANAGER 1 REVENUE CONTROL OFFICER 1 COUNT 13 ACTIVITY CENTERS 21000 - BUDGET MANAGEMENT 21011 - PERFORMANCE MANAGEMENT 21012 - COMPLIANCE 21013 - ADMINISTRATION 21014 - FEDERAL GRANTS SPECIALIZED PROCESSING UNIT 21101 - NON-OPERATIONAL MISC 21200 - FEDERAL GRANTS MANAGEMENT 21210 - BUDGET OPERATIONS Powered by OpenGov FY 2027 PROPOSED EXECUTIVE BUDGET 130 ACTIVITY 21000 BUDGET MANAGEMENT FUND SUMMARY Expenses 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $115,950 $0 $390,000 FRINGE BENEFITS $38,552 $0 $88,283 SUPPLIES $90,566 $100,000 $0 OTHER SERVICES $61,156 $100,000 $27,170,686 INDIRECT COSTS – – $113,632 CAPITAL PROJECTS $7,190,000 -$200,000 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $7,496,223 $0 $27,762,601 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $62,006 $100,000 – 0105 - SINGLE PAYER UTILITY FUND TOTAL $62,006 $100,000 – EXPENSES TOTAL $7,558,229 $100,000 $27,762,601 GRANTS Expenses V2102 - ECONOMIC, SOCIAL AND POLITICAL DEVELOPMENT OF THE TERRITORIES $87,037 $0 – F2111 - ECONOMIC ADJUSTMENT ASSISTANCE ED22 $26,412 $0 – F2112 - BROADBAND EQUITY, ACCESS, AND DEPLOYMENT PROGRAM $168,846 $0 $26,696,445 V2104 - CORONAVIRUS CAPITAL PROJECTS FUND $7,213,928 $0 – F2115 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – – $400,000 F2116 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – – $250,000 EXPENSES TOTAL $7,496,223 $0 $27,346,445 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE SPECIALIST 1 BROADBAND DIRECTOR 1 CONTRACTUAL RECONCILIATION ANALYST 3.75 ALLOCATED FTE COUNT 5.75 OFFICE OF MANAGEMENT AND BUDGET - BUDGET MANAGEMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 131 ACTIVITY 21011 PERFORMANCE MANAGEMENT FUNCTIONAL STATEMENT The Performance Management Unit aims to enhance government performance in the Virgin Islands by aligning resource allocation with priority outcomes, as mandated by the Government Performance and Results Act of 1993. It promotes results-oriented budgeting, incentivizes performance and agency goal achievement, fosters accountability and fiscal responsibility, and drives strategic initiative implementation across the GVI. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $98,776 $300,000 $210,000 FRINGE BENEFITS $54,073 $143,376 $93,229 SUPPLIES $9,110 $19,000 $19,800 OTHER SERVICES $410 $8,000 $5,000 0100 - GENERAL FUND TOTAL $162,369 $470,376 $328,029 EXPENSES TOTAL $162,369 $470,376 $328,029 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count JUNIOR PERFORMANCE ANALYST 1 PERFORMANCE MANAGER 1 SENIOR PERFORMANCE ANALYST 1 ALLOCATED FTE COUNT 3 OFFICE OF MANAGEMENT AND BUDGET - PERFORMANCE MANAGEMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 132 ACTIVITY 21012 COMPLIANCE FUNCTIONAL STATEMENT The Compliance Division supports the Office of Management and Budget in supervising the territory’s financial and business policies and in conserving the territory’s rights, interests, and resources. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $277,299 $457,863 $400,863 FRINGE BENEFITS $123,277 $209,777 $201,835 OTHER SERVICES $1,055 $13,500 $21,000 0100 - GENERAL FUND TOTAL $401,631 $681,140 $623,698 EXPENSES TOTAL $401,631 $681,140 $623,698 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSET MANAGEMENT MANAGER 1 ASSET MANAGEMENT/COMPLIANCE ANALYST 1 COMPLIANCE ANALYST 3 FINANCIAL COMPLIANCE MANAGER 1 ALLOCATED FTE COUNT 6 OFFICE OF MANAGEMENT AND BUDGET - COMPLIANCE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 133 ACTIVITY 21013 ADMINISTRATION FUNCTIONAL STATEMENT The Administration Division oversees fiscal and personnel functions, processes financial transactions, and supports internal stakeholders to ensure optimal execution of fiduciary responsibilities within established rules and policies. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $1,305,011 $1,346,347 $1,408,181 FRINGE BENEFITS $544,157 $562,527 $612,211 SUPPLIES $144,370 $362,736 $580,601 OTHER SERVICES $252,091 $1,400,279 $1,419,700 UTILITY SERVICES – $0 $100,000 CAPITAL PROJECTS – $30,000 $0 0100 - GENERAL FUND TOTAL $2,245,628 $3,701,888 $4,120,693 2098 - INDIRECT COST SUPPLIES $487,763 $242,108 $156,107 OTHER SERVICES $664,822 $882,827 $1,009,500 UTILITY SERVICES $93,429 $105,000 $105,000 CAPITAL PROJECTS $279,793 $777,916 $955,989 2098 - INDIRECT COST TOTAL $1,525,807 $2,007,851 $2,226,596 EXPENSES TOTAL $3,771,435 $5,709,739 $6,347,289 OFFICE OF MANAGEMENT AND BUDGET - ADMINISTRATION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 134 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTANT 1 ASSOCIATE DIRECTOR ADMINISTRATION 1 ASSOCIATE DIRECTOR, FINANCIAL PLANNING & ANALYSIS 1 DEPUTY DIRECTOR 1 DIRECTOR 1 EXECUTIVE ASSISTANT 1 FINANCIAL DATA ANALYST 1 FISCAL & ECONOMIC ANALYST 1 HUMAN RESOURCES GENERALIST 1 HUMAN RESOURCES MANAGER 1 NETWORK SYSTEMS SUPPORT SPECIALIST 1 NON-PROFIT MANAGER 1 PBX OPERATOR/RECEPTIONIST 2 REVENUE ANALYST 2 REVENUE CONTROL OFFICER 1 SENIOR BUDGET CLERK 1 SENIOR NETWORK SYSTEMS SPECIALIST 1 ALLOCATED FTE COUNT 19 FY 2027 PROPOSED EXECUTIVE BUDGET 135 ACTIVITY 21014 FEDERAL GRANTS SPECIALIZED PROCESSING UNIT FUNCTIONAL STATEMENT The Federal Grants Specialized Processing Unit acts as a shadow Third-Party Fiduciary, overseeing fiscal management for U.S. Department of Education funds awarded to the Virgin Islands' Departments of Education, Human Services, and Health, collaborating to clear audit findings and mitigate "High Risk" status. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $0 – $434,000 FRINGE BENEFITS $0 – $211,085 0100 - GENERAL FUND TOTAL $0 – $645,085 EXPENSES TOTAL $0 – $645,085 OFFICE OF MANAGEMENT AND BUDGET - FEDERAL GRANTS SPECIALIZED PROCESSING UNIT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 136 ACTIVITY 21101 NON-OPERATIONAL MISC FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $289,709 $3,625,096 – FRINGE BENEFITS $93,772 $1,460,955 – OTHER SERVICES – $400,000 – 0100 - GENERAL FUND TOTAL $383,481 $5,486,051 – EXPENSES TOTAL $383,481 $5,486,051 – EXPENDITURES MISCELLANEOUS EXPENSES BY PROJECT Projects M2601 - MINIMUM SALARY INCREASE/ ACT 8995 – $826,148 – M1280 - FUNDING FOR ADDITIONAL CRITICAL VACANCIES $139,897 – – M1305 - ST JOHN ANIMAL CARE CENTER – $50,000 – M1306 - DOA- STX ANIMAL WELFARE CENTER – $175,000 – M1380 - 8% RESTORATION PERSONNEL SERVICES $16,556 – – FRINGE BENEFITS $269 – – M1380 - 8% RESTORATION TOTAL $16,825 – – M1909 - OMB WAGE ADJUSTMENTS – $4,259,903 – M3056 - HUMANE SOCIETY STT – $175,000 – M2109 - GVI FELLOWS PROGRAM $226,759 – – PROJECTS TOTAL $383,481 $5,486,051 – OFFICE OF MANAGEMENT AND BUDGET - NON-OPERATIONAL MISC FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 137 ACTIVITY 21200 FEDERAL GRANTS MANAGEMENT FUNCTIONAL STATEMENT The Federal Grants Management Unit inputs and updates federal budget awards, oversees grant recipients' adherence to program objectives, aids in grant administration, and enforces the Government-wide Cost Allocation Plan. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $273,142 $386,764 $386,764 FRINGE BENEFITS $112,116 $180,122 $180,122 SUPPLIES – $5,000 $5,000 OTHER SERVICES $7,701 $55,000 $55,000 0100 - GENERAL FUND TOTAL $392,959 $626,886 $626,886 EXPENSES TOTAL $392,959 $626,886 $626,886 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE SPECIALIST 1 ASSOCIATE DIRECTOR FEDERAL GRANTS MANAGEMENT UNIT/COMPLIANCE 1 GRANTS FINANCIAL ANALYST 3 GRANTS MANAGER 1 SENIOR GRANTS ANALYST 1 ALLOCATED FTE COUNT 7 OFFICE OF MANAGEMENT AND BUDGET - FEDERAL GRANTS MANAGEMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2026 FY 2027 PROPOSED EXECUTIVE BUDGET 138 ACTIVITY 21210 BUDGET OPERATIONS FUNCTIONAL STATEMENT The Budget Operations Division develops fiscal policies, formulates the Governor’s Executive Budget, manages legislative appropriations, and performs other financial management functions. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $351,310 – $607,814 $452,857 FRINGE BENEFITS $169,044 – $277,660 $236,174 SUPPLIES -$275 – $65,000 $0 OTHER SERVICES – – $90,000 $40,000 0100 - GENERAL FUND TOTAL $520,079 – $1,040,474 $729,031 EXPENSES TOTAL $520,079 – $1,040,474 $729,031 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSOCIATE DIRECTOR BUDGET OPERATIONS-PERFORMANCE MANAGEMENT 1 BUDGET OPERATIONS ANALYST 6 ALLOCATED FTE COUNT 7 Powered by OpenGov OFFICE OF MANAGEMENT AND BUDGET - BUDGET OPERATIONS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2024 FY2025 FY2025 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 139 MISSION STATEMENT The Division of Personnel collaborates with Departments & Agencies to build a high-quality workforce and position the Government of the Virgin Islands as an employer of choice. We achieve this through recruitment, talent development, training, benefits administration, and technology. BUDGET SUMMARY Total Amount (FY2027) $66,898,857.00 FY27 BUDGETED RESOURCES GENERAL FUND: GENERAL FUND: $66,263,857.00 (99.05%) $66,263,857.00 (99.05%) GENERAL FUND: $66,263,857.00 (99.05%) INDIRECT COST: INDIRECT COST: $590,000.00 (0.88%) $590,000.00 (0.88%) INDIRECT COST: $590,000.00 (0.88%) TRAINING REVOLVING: TRAINING REVOLVING: $45,000.00 (0.07%) $45,000.00 (0.07%) TRAINING REVOLVING: $45,000.00 (0.07%) GENERAL FUND INDIRECT COST TRAINING REVOLVING FUND SUMMARY Expenses APPROPRIATED 0100 - GENERAL FUND $62,429,035 $66,263,857 $66,263,857 2098 - INDIRECT COST $535,881 $561,000 $590,000 APPROPRIATED TOTAL $62,964,916 $66,824,857 $66,853,857 NON APPROPRIATED 6038 - HEALTH INSURANCE FUND $193,204,311 $94,861,013 – 6044 - TRAINING REVOLVING $121,872 – $45,000 0105 - SINGLE PAYER UTILITY FUND $10,265 – – NON APPROPRIATED TOTAL $193,336,447 $94,861,013 $45,000 EXPENSES TOTAL $256,301,363 $161,685,870 $66,898,857 DIVISION OF PERSONNEL FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 140 Total Amount (FY2027) $18,786,275.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $10,812,304.00 (57.55%) $10,812,304.00 (57.55%) PERSONNEL SERVICES: $10,812,304.00 (57.55%) FRINGE BENEFITS: FRINGE BENEFITS: $4,445,418.00 (23.66%) $4,445,418.00 (23.66%) FRINGE BENEFITS: $4,445,418.00 (23.66%) OTHER SERVICES: OTHER SERVICES: $2,943,252.00 (15.67%) $2,943,252.00 (15.67%) OTHER SERVICES: $2,943,252.00 (15.67%) UTILITY SERVICES: UTILITY SERVICES: $294,200.00 (1.57%) $294,200.00 (1.57%) UTILITY SERVICES: $294,200.00 (1.57%) SUPPLIES: SUPPLIES: $291,101.00 (1.55%) $291,101.00 (1.55%) SUPPLIES: $291,101.00 (1.55%) PERSONNEL SERVICES FRINGE BENEFITS OTHER SERVICES UTILITY SERVICES SUPPLIES RECOMMENDED EXPENDITURES OTHER EXPENSES MISCELLANEOUS GENERAL FUND Projects M21A8 - EMPLOYER HEALTH INSURANCE INCREASE $17,800,000 $20,160,387 $19,935,999 M0081 - HEALTH INSURANCE RETIREES $38,210,672 $38,210,672 $38,210,672 M1106 - GVI EMPLOYEES RECOGNITION ACTIVITIES $80,170 $60,000 $101,253 M1434 - CERTIFIED PUBLIC MANAGER PROGAM $75,000 $75,000 $90,000 M1608 - HEALTH INSURANCE CONSULTANTS $551,250 $315,000 $315,000 M9017 - CONTRIBUTION TO HEALTH INSURANCE BOARD $275,000 $275,000 $275,000 M2109 - GVI FELLOWS PROGRAM $609,405 $931,736 $959,879 PROJECTS TOTAL $57,601,497 $60,027,795 $59,887,803 OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND MEMBERSHIP DUES $300 – – REPAIRS & MAINTENANCE $8,989 $50,000 $50,000 AUTOMOTIVE REPAIR & MAINTENANCE $4,255 $500 $627 RENTAL OF LAND/BUILDINGS $22,013 $0 $10,988 RENTAL MACHINES/EQUIPMENT $19,874 $12,500 $12,500 PROFESSIONAL SERVICES $903,474 $1,235,021 $987,225 TRAINING $10,971 $22,500 $27,300 COMMUNICATION $56,242 $52,800 $52,800 ADVERTISING & PROMOTION $10,962 $40,000 $40,600 PRINTING AND BINDING $168 $10,000 $10,000 TRANSPORTATION - NOT TRAVEL $4,119 $7,000 $14,623 TRAVEL $27,657 $11,000 $11,000 TRAVEL / CASH ADVANCE $2,830 – – PURCHASE BULK AIRLINE $50,380 $38,500 $51,000 INSURANCE $56,285,672 $58,646,059 $58,421,671 OTHER SERVICES NOC $38,221 – $2,531 0100 - GENERAL FUND TOTAL $57,446,126 $60,125,880 $59,692,865 2098 - INDIRECT COST RENTAL OF LAND/BUILDINGS $297,488 $295,231 $316,388 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 141 RENTAL MACHINES/EQUIPMENT $800 – – PROFESSIONAL SERVICES $18,931 – – ADVERTISING & PROMOTION $1,740 $20,000 $20,000 TRANSPORTATION - NOT TRAVEL $975 $2,000 $2,112 TRAVEL – $10,000 $10,000 PURCHASE BULK AIRLINE – – $6,000 OTHER SERVICES NOC $7,307 – – 2098 - INDIRECT COST TOTAL $327,241 $327,231 $354,500 3009 - SECTION 12 BOND PROCEEDS $20,000 – – 6038 - HEALTH INSURANCE FUND INSURANCE $193,204,311 $94,861,013 – 6038 - HEALTH INSURANCE FUND TOTAL $193,204,311 $94,861,013 – 6044 - TRAINING REVOLVING REPAIRS & MAINTENANCE $2,203 – – AUTOMOTIVE REPAIR & MAINTENANCE $80 – – RENTAL OF LAND/BUILDINGS $55 – – RENTAL MACHINES/EQUIPMENT $60 – – TRAINING – – $45,000 TRANSPORTATION - NOT TRAVEL $7,508 – – TRAVEL $10,500 – – TRAVEL / CASH ADVANCE $14,159 – – PURCHASE BULK AIRLINE $5,455 – – OTHER SERVICES NOC $200 – – 6044 - TRAINING REVOLVING TOTAL $40,220 – $45,000 OTHER SERVICES TOTAL $251,037,897 $155,314,124 $60,092,365 EXPENSES TOTAL $251,037,897 $155,314,124 $60,092,365 PROFESSIONAL SERVICES GENERAL FUND Itemization Description FY2027 Amount BIDDLE-TESTING $4,584 CRUCIAN POINT, LLC $840 BLUE PRINT INFORMATION MANAGEMENT & SECURITY $4,498 EXTERMINATING $3,300 GVI EMPLOYEE RECOGNITION $11,265 HEALTH INSURANCE CONSULTANTS $315,000 JANITORIAL $18,130 ASK NICELY $6,000 JOTFORM $12,120 CERTIFIED PULIC MANAGER $80,000 TYLER TECHNOLOGIES $90,135 NEOGOV $209,563 COOPERATIVE TESTING $9,422 22VETS TECHNOLOGIES $7,041 ESKILLZ CORP $215,327 AMOUNT $987,225 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 LEASES GENERAL FUND Itemization Description FY2027 Amount MBW EVENTS-MY BROTHER'S WORKSHOP $10,988 AMOUNT $10,988 LEASES INDIRECT COST Itemization Description FY2027 Amount GOVERNMENT EMPLOYEE RETIREMENT SERVICES $249,326 GOLDEN ORANGE CENTER $67,062 AMOUNT $316,388 FY 2027 PROPOSED EXECUTIVE BUDGET 142 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTING OFFICER GROUP HEALTH INSURANCE 1 ADMINISTRATIVE CLIENT SERVICE ASSISTANT 1 ADMINISTRATIVE SUPPORT OFFICER 3 ASSISTANT DIRECTOR PERSONNEL 1 ASSOCIATE CHIEF, GROUP HEALTH INSURANCE & WELLNESS 1 ASSOCIATE TERRITORIAL ADMINISTRATOR RECRUITMENT & CLASSIFICATION 1 BENEFITS ANALYST GROUP HEALTH INSURANCE 2 CHIEF GROUP HEALTH INSURANCE 1 CHIEF OF STRATEGY & ORGANIZATIONAL DEVELOPMENT 1 CHIEF TECHNOLOGY OFFICER 1 CONTRACT & PROCUREMENT COORDINATOR 1 COORDINATOR FINANCIAL SERVICES 1 DEPUTY DIRECTOR 1 DIRECTOR 1 DIVISION OF PERSONNEL (DOP) LEGAL COUNSEL 1 EMPLOYEE RELATIONS SPECIALIST 3 EXECUTIVE ASSISTANT 1 GVI FELLOW 12 HELP DESK SPECIALIST 1 HUMAN RESOURCES ADMINISTRATIVE ASSISTANT 1 HUMAN RESOURCES COORDINATOR 1 HUMAN RESOURCES INFORMATION TECHNOLOGY SYSTEMS & OPERATIONS MANAGER 1 HUMAN RESOURCES INFORMATION TECHNOLOGY TECHNICIAN 2 HUMAN RESOURCES INFORMATION TECHNOLOGY TECHNICIAN MANAGER 1 HUMAN RESOURCES SPECIALIST CENTRAL PERSONNEL OFFICE(CPO) 1 HUMAN RESOURCES SPECIALIST CPO 1 INSURANCE OFFICER 6 JUNIOR NETWORK ADMINISTRATOR 2 LEAD H.R.I.T. TECHNICIAN 1 OFFICE SUPPORT WORKER 2 PERSONNEL RECORDS CLERK CPO 1 PUBLIC INFORMATION OFFICER 1 RECEPTIONIST/COLLECTOR 2 RECRUITMENT AND CLASSIFICATION SPECIALIST CPO 2 RECRUITMENT AND CLASSIFICATION TECHNICIAN 2 SENIOR BENEFITS ANALYST GROUP HEALTH INSURANCE 1 SENIOR RECRUITMENT & CLASSIFICATION SPECIALIST CPO 1 TERRITORIAL ADMINISTRATOR RECRUITMENT & CLASSIFICATION 1 TRAINING COORDINATOR 2 ALLOCATED FTE COUNT 67 FY 2027 PROPOSED EXECUTIVE BUDGET 143 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE CLIENT SERVICE ASSISTANT 1 ASSOCIATE TERRITORIAL ADMINISTRATOR RECRUITMENT & CLASSIFICATION 1 BENEFITS ANALYST GROUP HEALTH INSURANCE 2 CONTRACT & PROCUREMENT COORDINATOR 1 EMPLOYEE RELATIONS SPECIALIST 1 GVI FELLOW 3 INSURANCE OFFICER 1 OFFICE SUPPORT WORKER 1 RECEPTIONIST/COLLECTOR 1 TRAINING COORDINATOR 1 ALLOCATED FTE COUNT 13 ACTIVITY CENTERS 22000 - DIRECTOR'S OFFICE 22001 - NON-OPERATIONAL MISC 22010 - RECRUITMENT AND CLASSIFICATION 22030 - ADMINISTRATION 22040 - TRAINING FY 2027 PROPOSED EXECUTIVE BUDGET 144 ACTIVITY 22000 DIRECTOR'S OFFICE FUNCTIONAL STATEMENT The Director's Office oversees Administration, HR, IT, Group Health Insurance, and Records Management to ensure Division of Personnel mandates are met. It provides fair, consistent, and prompt HR services to the Executive Branch and public sector, facilitating the Division's ongoing progression. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $2,081,034 $2,683,915 $2,873,061 FRINGE BENEFITS $988,357 $1,233,324 $1,376,394 SUPPLIES $72,488 $93,000 $116,471 OTHER SERVICES $474,034 $1,049,821 $804,941 CAPITAL PROJECTS – $70,000 $50,000 0100 - GENERAL FUND TOTAL $3,615,912 $5,130,060 $5,220,867 2098 - INDIRECT COST SUPPLIES $26,508 $13,869 $48,000 OTHER SERVICES $327,241 $327,231 $354,500 UTILITY SERVICES $182,132 $219,900 $187,500 2098 - INDIRECT COST TOTAL $535,881 $561,000 $590,000 6038 - HEALTH INSURANCE FUND OTHER SERVICES $193,204,311 $94,861,013 – 6038 - HEALTH INSURANCE FUND TOTAL $193,204,311 $94,861,013 – 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $10,265 – – 0105 - SINGLE PAYER UTILITY FUND TOTAL $10,265 – – EXPENSES TOTAL $197,366,369 $100,552,073 $5,810,867 DIVISION OF PERSONNEL - DIRECTOR'S OFFICE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 145 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTING OFFICER GROUP HEALTH INSURANCE 1 ADMINISTRATIVE CLIENT SERVICE ASSISTANT 1 ADMINISTRATIVE SUPPORT OFFICER 2 ASSOCIATE CHIEF, GROUP HEALTH INSURANCE & WELLNESS 1 ASSOCIATE TERRITORIAL ADMINISTRATOR RECRUITMENT & CLASSIFICATION 1 BENEFITS ANALYST GROUP HEALTH INSURANCE 2 CHIEF GROUP HEALTH INSURANCE 1 CHIEF TECHNOLOGY OFFICER 1 COORDINATOR FINANCIAL SERVICES 1 DIRECTOR 1 DIVISION OF PERSONNEL (DOP) LEGAL COUNSEL 1 EMPLOYEE RELATIONS SPECIALIST 3 EXECUTIVE ASSISTANT 1 GVI FELLOW 12 HELP DESK SPECIALIST 1 HUMAN RESOURCES COORDINATOR 1 HUMAN RESOURCES INFORMATION TECHNOLOGY SYSTEMS & OPERATIONS MANAGER 1 HUMAN RESOURCES INFORMATION TECHNOLOGY TECHNICIAN 1 HUMAN RESOURCES INFORMATION TECHNOLOGY TECHNICIAN MANAGER 1 INSURANCE OFFICER 4 JUNIOR NETWORK ADMINISTRATOR 1 OFFICE SUPPORT WORKER 1 PERSONNEL RECORDS CLERK CPO 1 PUBLIC INFORMATION OFFICER 1 RECEPTIONIST/COLLECTOR 1 RECRUITMENT AND CLASSIFICATION TECHNICIAN 1 SENIOR BENEFITS ANALYST GROUP HEALTH INSURANCE 1 TRAINING COORDINATOR 1 ALLOCATED FTE COUNT 46 FY 2027 PROPOSED EXECUTIVE BUDGET 146 ACTIVITY 22001 NON-OPERATIONAL MISC FUND SUMMARY Expenses 0100 - GENERAL FUND SUPPLIES $20,000 $20,000 $60,000 OTHER SERVICES $56,972,092 $59,076,059 $58,887,924 0100 - GENERAL FUND TOTAL $56,992,092 $59,096,059 $58,947,924 EXPENSES TOTAL $56,992,092 $59,096,059 $58,947,924 EXPENDITURES MISCELLANEOUS EXPENSES BY PROJECT Projects M21A8 - EMPLOYER HEALTH INSURANCE INCREASE $17,800,000 $20,160,387 $19,935,999 M0081 - HEALTH INSURANCE RETIREES OTHER SERVICES $38,210,672 $38,210,672 $38,210,672 M0081 - HEALTH INSURANCE RETIREES TOTAL $38,210,672 $38,210,672 $38,210,672 M1106 - GVI EMPLOYEES RECOGNITION ACTIVITIES $80,170 $60,000 $101,253 M1434 - CERTIFIED PUBLIC MANAGER PROGAM $75,000 $75,000 $90,000 M1608 - HEALTH INSURANCE CONSULTANTS $551,250 $315,000 $315,000 M9017 - CONTRIBUTION TO HEALTH INSURANCE BOARD $275,000 $275,000 $275,000 M2109 - GVI FELLOWS PROGRAM – – $20,000 PROJECTS TOTAL $56,992,092 $59,096,059 $58,947,924 DIVISION OF PERSONNEL - NON-OPERATIONAL MISC FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 147 ACTIVITY 22010 RECRUITMENT AND CLASSIFICATION FUNCTIONAL STATEMENT The Recruitment and Classification Unit recruits, evaluates, and classifies candidates for government positions. It manages applications, interviews, qualifications, examinations, job evaluations, classification, and position reallocation within the Personnel Merit System. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $257,918 $243,579 $243,579 FRINGE BENEFITS $105,601 $100,386 $106,494 0100 - GENERAL FUND TOTAL $363,519 $343,965 $350,073 EXPENSES TOTAL $363,519 $343,965 $350,073 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count HUMAN RESOURCES SPECIALIST CENTRAL PERSONNEL OFFICE(CPO) 1 RECRUITMENT AND CLASSIFICATION SPECIALIST CPO 1 TERRITORIAL ADMINISTRATOR RECRUITMENT & CLASSIFICATION 1 ALLOCATED FTE COUNT 3 DIVISION OF PERSONNEL - RECRUITMENT AND CLASSIFICATION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 148 ACTIVITY 22030 ADMINISTRATION The Administration Unit is comprised of the Human Resource Information Technology, Group Health Insurance, and Records Management staff. Together, they ensure the division's mandates are conducted with a commitment to customer service excellence, fostering an environment where the GVI is seen as the employer of choice. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $792,640 $953,812 $976,128 FRINGE BENEFITS $377,495 $439,237 $508,268 0100 - GENERAL FUND TOTAL $1,170,135 $1,393,048 $1,484,396 EXPENSES TOTAL $1,170,135 $1,393,048 $1,484,396 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE SUPPORT OFFICER 1 ASSISTANT DIRECTOR PERSONNEL 1 CONTRACT & PROCUREMENT COORDINATOR 1 DEPUTY DIRECTOR 1 HUMAN RESOURCES ADMINISTRATIVE ASSISTANT 1 HUMAN RESOURCES INFORMATION TECHNOLOGY TECHNICIAN 1 HUMAN RESOURCES SPECIALIST CPO 1 INSURANCE OFFICER 2 JUNIOR NETWORK ADMINISTRATOR 1 LEAD H.R.I.T. TECHNICIAN 1 OFFICE SUPPORT WORKER 1 RECEPTIONIST/COLLECTOR 1 RECRUITMENT AND CLASSIFICATION SPECIALIST CPO 1 RECRUITMENT AND CLASSIFICATION TECHNICIAN 1 SENIOR RECRUITMENT & CLASSIFICATION SPECIALIST CPO 1 ALLOCATED FTE COUNT 16 DIVISION OF PERSONNEL - ADMINISTRATION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 149 ACTIVITY 22040 TRAINING FUNCTIONAL STATEMENT The Strategy and Organizational Development (SOD) Unit’s training component offers virtual and in-person training programs aimed at enhancing the knowledge and skills of the Executive Branch workforce. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $792,640 $953,812 $976,128 FRINGE BENEFITS $377,495 $439,237 $508,268 0100 - GENERAL FUND TOTAL $1,170,135 $1,393,048 $1,484,396 EXPENSES TOTAL $1,170,135 $1,393,048 $1,484,396 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count CHIEF OF STRATEGY & ORGANIZATIONAL DEVELOPMENT 1 TRAINING COORDINATOR 1 ALLOCATED FTE COUNT 2 DIVISION OF PERSONNEL - TRAINING FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 150 MISSION STATEMENT To fulfill our legal mandate to fairly engage in the collective bargaining process and enhance the relationship between labor and management. BUDGET SUMMARY Total Amount (FY2027) $1,574,728.00 FY27 BUDGETED RESOURCES GENERAL FUND: GENERAL FUND: $1,574,728.00 (100%) $1,574,728.00 (100%) GENERAL FUND: $1,574,728.00 (100%) GENERAL FUND FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $890,831 $1,250,473 $1,574,728 APPROPRIATED TOTAL $890,831 $1,250,473 $1,574,728 NON APPROPRIATED 0105 - SINGLE PAYER UTILITY FUND – $12,918 – NON APPROPRIATED TOTAL – $12,918 – EXPENSES TOTAL $890,831 $1,263,391 $1,574,728 * $1,405 Carry forward from Department of Personnel OFFICE OF COLLECTIVE BARGAINING FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 151 Total Amount (FY2027) $1,574,728.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $867,215.00 (55.07%) $867,215.00 (55.07%) PERSONNEL SERVICES: $867,215.00 (55.07%) FRINGE BENEFITS: FRINGE BENEFITS: $371,168.00 (23.57%) $371,168.00 (23.57%) FRINGE BENEFITS: $371,168.00 (23.57%) OTHER SERVICES: OTHER SERVICES: $163,345.00 (10.37%) $163,345.00 (10.37%) OTHER SERVICES: $163,345.00 (10.37%) CAPITAL PROJECTS: CAPITAL PROJECTS: $120,000.00 (7.62%) $120,000.00 (7.62%) CAPITAL PROJECTS: $120,000.00 (7.62%) SUPPLIES: SUPPLIES: $40,000.00 (2.54%) $40,000.00 (2.54%) SUPPLIES: $40,000.00 (2.54%) UTILITY SERVICES: UTILITY SERVICES: $13,000.00 (0.83%) $13,000.00 (0.83%) UTILITY SERVICES: $13,000.00 (0.83%) PERSONNEL SERVICES FRINGE BENEFITS OTHER SERVICES CAPITAL PROJECTS SUPPLIES UTILITY SERVICES RECOMMENDED EXPENDITURES OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND CREDIT CARD EXPENSES $27,725 $25,000 $30,000 REPAIRS & MAINTENANCE $39,113 $12,500 $9,000 AUTOMOTIVE REPAIR & MAINTENANCE $89 $10,000 $10,000 RENTAL OF LAND/BUILDINGS $25,161 $31,759 $30,345 PROFESSIONAL SERVICES $7,606 – – SECURITY SERVICES $1,204 $2,000 $2,000 TRAINING – $20,000 $0 COMMUNICATION $17,997 $30,000 $30,000 ADVERTISING & PROMOTION $490 $1,000 $1,000 PRINTING AND BINDING – $1,000 $1,000 TRANSPORTATION - NOT TRAVEL $2,672 $3,000 $5,000 TRAVEL $11,689 $10,500 $20,000 TRAVEL / CASH ADVANCE – $5,000 $0 PURCHASE BULK AIRLINE $5,476 $15,000 $25,000 OTHER SERVICES NOC $3,206 $2,000 $0 0100 - GENERAL FUND TOTAL $142,429 $168,759 $163,345 OTHER SERVICES TOTAL $142,429 $168,759 $163,345 EXPENSES TOTAL $142,429 $168,759 $163,345 LEASES GENERAL FUND Itemization Description FY2027 Amount GOVERNMENT EMPLOYEES' RETIREMENT SYSTEM $10,425 PRIME STORAGE $1,200 CPTC INVESTMENTS, LLC $720 PUBLIC EMPLOYEES RELATIONS BOARD $18,000 AMOUNT $30,345 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 152 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE SECRETARY II 2 ADMINISTRATIVE SERVICES COORDINATOR 1 CHIEF NEGOTIATOR 1 FINANCIAL MANAGEMENT OFFICER 1 FINANCIAL SPECIALIST 1 LABOR RELATIONS SPECIALIST 2 LEGAL COUNSEL 1 PARALEGAL OFFICER 2 SPECIAL ASSISTANT 1 ALLOCATED FTE COUNT 12 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE SECRETARY II 1 FINANCIAL MANAGEMENT OFFICER 1 LEGAL COUNSEL 1 PARALEGAL OFFICER 1 SPECIAL ASSISTANT 1 ALLOCATED FTE COUNT 5 ACTIVITY CENTERS 22100 - COLLECTIVE BARGAINING FY 2027 PROPOSED EXECUTIVE BUDGET 153 ACTIVITY 22100 OFFICE OF COLLECTIVE BARGAINING FUNCTIONAL STATEMENT The Office of Collective Bargaining oversees the negotiation of collective bargaining agreements, conducts labor relation proceedings, represents the Government in civil cases regarding labor matters, assists in formulating labor policies for collective bargaining, and strategizes for effective bargaining on behalf of the Executive Branch. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $508,999 $692,487 $867,215 FRINGE BENEFITS $207,895 $299,645 $371,168 SUPPLIES $31,049 $89,500 $40,000 OTHER SERVICES $142,429 $168,759 $163,345 UTILITY SERVICES $458 $82 $13,000 CAPITAL PROJECTS – – $120,000 0100 - GENERAL FUND TOTAL $890,831 $1,250,473 $1,574,728 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES – $12,918 – 0105 - SINGLE PAYER UTILITY FUND TOTAL – $12,918 – EXPENSES TOTAL $890,831 $1,263,391 $1,574,728 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE SECRETARY II 2 ADMINISTRATIVE SERVICES COORDINATOR 1 CHIEF NEGOTIATOR 1 FINANCIAL MANAGEMENT OFFICER 1 FINANCIAL SPECIALIST 1 LABOR RELATIONS SPECIALIST 2 LEGAL COUNSEL 1 PARALEGAL OFFICER 2 SPECIAL ASSISTANT 1 ALLOCATED FTE COUNT 12 OFFICE OF COLLECTIVE BARGAINING - OFFICE OF COLLECTIVE BARGAINING FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 154 MISSION STATEMENT To save lives and preserve property of the Territory's population. BUDGET SUMMARY Total Amount (FY2027) $10,350,912.00 FY27 BUDGETED RESOURCES GENERAL FUND: GENERAL FUND: $5,911,126.00 (57.11%) $5,911,126.00 (57.11%) GENERAL FUND: $5,911,126.00 (57.11%) FEDERAL GRANTS ALL EXCEPT DOE: FEDERAL GRANTS ALL EXCEPT DOE: $4,439,786.00 (42.89%) $4,439,786.00 (42.89%) FEDERAL GRANTS ALL EXCEPT DOE: $4,439,786.00 (42.89%) GENERAL FUND FEDERAL GRANTS ALL EXCEPT DOE FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $4,583,261 $5,583,396 $5,911,126 2098 - INDIRECT COST $34,466 $188,577 – APPROPRIATED TOTAL $4,617,727 $5,771,973 $5,911,126 FEDERAL 3020 - DISASTER RELIEF FUND $700 $0 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE $2,106,251 $1,297,704 $4,439,786 FEDERAL TOTAL $2,106,951 $1,297,704 $4,439,786 NON APPROPRIATED 2152 - EMERGENCY SERVICES $826,957 $1,881,958 – 0105 - SINGLE PAYER UTILITY FUND $274,656 $392,489 – 8001 - ASSET RECOVERY FUND $25,078 – – NON APPROPRIATED TOTAL $1,126,691 $2,274,447 – VIRGIN ISLANDS TERRITORIAL EMERGENCY MANAGEMENT AGENCY FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 EXPENSES TOTAL $7,851,369 $9,344,124 $10,350,912 FY 2027 PROPOSED EXECUTIVE BUDGET 155 Total Amount (FY2027) $5,911,126.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $3,282,464.00 (55.53%) $3,282,464.00 (55.53%) PERSONNEL SERVICES: $3,282,464.00 (55.53%) FRINGE BENEFITS: FRINGE BENEFITS: $1,647,143.00 (27.87%) $1,647,143.00 (27.87%) FRINGE BENEFITS: $1,647,143.00 (27.87%) OTHER SERVICES: OTHER SERVICES: $605,206.00 (10.24%) $605,206.00 (10.24%) OTHER SERVICES: $605,206.00 (10.24%) UTILITY SERVICES: UTILITY SERVICES: $293,257.00 (4.96%) $293,257.00 (4.96%) UTILITY SERVICES: $293,257.00 (4.96%) SUPPLIES: SUPPLIES: $83,056.00 (1.41%) $83,056.00 (1.41%) SUPPLIES: $83,056.00 (1.41%) PERSONNEL SERVICES FRINGE BENEFITS OTHER SERVICES UTILITY SERVICES SUPPLIES RECOMMENDED EXPENDITURES OTHER EXPENSES MISCELLANEOUS GENERAL FUND Projects M0011 - DISASTER RECOVERY CONTIN – $175,000 $175,000 M2010 - GENERATOR MAIN AGREEMENT $2,810 $75,000 $75,000 M2458 - BOTTLED WATER DISTRIBUTION- WAPA $30,500 – – PROJECTS TOTAL $33,310 $250,000 $250,000 OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND MEMBERSHIP DUES $5,150 – – REPAIRS & MAINTENANCE $52,505 $118,474 $142,636 AUTOMOTIVE REPAIR & MAINTENANCE $935 $8,553 $8,553 RENTAL OF LAND/BUILDINGS $194,024 $194,024 $199,152 RENTAL MACHINES/EQUIPMENT $535 – – PROFESSIONAL SERVICES $24,475 $194,400 $194,400 TRAINING – $2,000 $2,000 ADVERTISING & PROMOTION $902 $3,000 $3,000 TRANSPORTATION - NOT TRAVEL $4,725 $9,840 $9,840 TRAVEL $14,522 $32,000 $32,000 TRAVEL / CASH ADVANCE $917 – – PURCHASE BULK AIRLINE $4,000 $5,000 $5,000 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 156 OTHER SERVICES NOC $5,461 $8,400 $8,625 0100 - GENERAL FUND TOTAL $308,151 $575,691 $605,206 3020 - DISASTER RELIEF FUND GRANTS/IND GOVT AGENCIES $700 $0 – 3020 - DISASTER RELIEF FUND TOTAL $700 $0 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE REPAIRS & MAINTENANCE $1,305 $0 $0 AUTOMOTIVE REPAIR & MAINTENANCE $2,576 $0 – RENTAL OF LAND/BUILDINGS $14,876 $0 $0 RENTAL MACHINES/EQUIPMENT $7,025 $0 $0 TRAINING $63,550 $0 $0 COMMUNICATION $29,971 $0 $0 ADVERTISING & PROMOTION $128,489 $0 $40,890 TRANSPORTATION - NOT TRAVEL $40 $0 $0 TRAVEL $65,376 $0 $0 TRAVEL / CASH ADVANCE $28,809 $0 $0 PURCHASE BULK AIRLINE $25,143 $0 $0 GRANTS/INDEPENDENT GOVERNMENT AGENCIES – $0 $397,057 GRANTS/IND GOVT AGENCIES $242,218 $0 $1,274,366 OTHER SERVICES NOC $19,528 $1,274,916 $1,135,223 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $628,907 $1,274,916 $2,847,536 2152 - EMERGENCY SERVICES REPAIRS & MAINTENANCE $147,590 – – PROFESSIONAL SERVICES $205,009 – – COMMUNICATION $457,284 $940,979 – OTHER SERVICES NOC – $811,277 – 2152 - EMERGENCY SERVICES TOTAL $809,883 $1,752,256 – 8001 - ASSET RECOVERY FUND REPAIRS & MAINTENANCE $14,625 – – 8001 - ASSET RECOVERY FUND TOTAL $14,625 – – OTHER SERVICES TOTAL $1,762,266 $3,602,863 $3,452,742 EXPENSES TOTAL $1,762,266 $3,602,863 $3,452,742 PROFESSIONS SERVICES GENERAL FUND Itemization Description FY2027 Amount DISASTER RECOVERY CONTINGENCY SERVICES $175,000 OMNI SYSTEMS WEBSITE MAINTENANCE CONTRACT $19,400 AMOUNT $194,400 LEASES GENERAL FUND Itemization Description FY2027 Amount OFFICE OF THE TERRITORIAL PUBLIC DEFENDER - 1-B CLIFTON HILL. $23,100 WRP, LLC - 7 & 8 KING CROSS STREET $176,052 AMOUNT $199,152 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 157 GRANT SUMMARY Projects FEDERAL F2328 - HOMELAND SECURITY GRANT PROGRAM $54,781 $0 – F2336 - NON-PROFIT SECURITY PROGRAM $57,603 $0 – F2350 - HOMELAND SECURITY GRANT PROGRAM $177,850 $0 – F2343 - FY 2019 NONPROFIT SECURITY GRANT PROGRAM $67,229 $0 – F2341 - HOMELAND SECURITY GRANT PROGRAM $224,150 $0 $1,688 V2304 - EMERGENCY MANAGEMENT PERFORMANCE GRANTS $2,137 $0 – F2345 - EMERGENCY MANAGEMENT PERFORMANCE GRANTS $259,504 $0 – F2397 - METEOROLOGIC AND HYDROLOGIC MODERNIZATION DEVELOPMENT $81,153 $0 – F2395 - NON-PROFIT SECURITY PROGRAM $122,051 $542,411 – F2348 - HOMELAND SECURITY GRANT PROGRAM $244,180 $0 – F2349 - EARTHQUAKE STATE ASSISTANCE $16,225 $0 – F2398 - EMERGENCY MANAGEMENT PERFORMANCE GRANTS $275,674 $0 – F2338 - EARTHQUAKE STATE ASSISTANCE – – $51,090 F2346 - METEOROLOGIC AND HYDROLOGIC MODERNIZATION DEVELOPMENT $153,987 $0 $325,293 F2351 - EMERGENCY MANAGEMENT PERFORMANCE GRANT $176,834 $0 $845,675 F2353 - NON-PROFIT SECURITY PROGRAM $350 $430,000 $1,023,036 F2354 - HOMELAND SECURITY GRANT PROGRAM $192,544 $0 $1,087,200 F2355 - STATE AND LOCAL CYBERSECURITY GRANT PROGRAM TRIBAL CYBERSECURITY GRANT PROGRAM – – $256,330 F2356 - NON-PROFIT SECURITY PROGRAM – – $849,474 F2360 - METEOROLOGIC & HYDROLOGIC MODERNIZA – $325,293 – FEDERAL TOTAL $2,106,251 $1,297,704 $4,439,786 DISASTER RECOVERY DH340 - HAZARD MITIGATION GRANT PROGRAM (HM $700 $0 – DISASTER RECOVERY TOTAL $700 $0 – PROJECTS TOTAL $2,106,951 $1,297,704 $4,439,786 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 158 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE OFFICER II 3 ASSISTANT DIRECTOR 1 CONTENT & MEDIA WRITER 1 CUSTODIAL WORKER/MESSENGER 2 DEPUTY DIRECTOR ADMINISTRATION & FINANCE 0.889 DEPUTY DIRECTOR GRANTS MANAGEMENT 0.889 DEPUTY DIRECTOR OF HUMAN RESOURCES & LABOR RELATIONS 0.889 DEPUTY DIRECTOR OF LOGISTICS 1 DEPUTY DIRECTOR OF PLANNING & PREPAREDNESS 1 DEPUTY DIRECTOR OPERATIONS 1 DIRECTOR OF VITEMA 1 EMERGENCY CALL CENTER DISTRICT MANAGER 1 EMERGENCY CALL CENTER MANAGER 1 EMERGENCY CALL CENTER OPERATOR 28 EMERGENCY CALL CENTER SQUAD LEADER 7 EMERGENCY MANAGEMENT COMMUNICATIONS SPECIALIST (UPDATED TITLE) 1 EMERGENCY MANAGEMENT OUTREACH COORDINATOR 1 EMERGENCY OPERATIONS CENTER SUPERVISOR 3 EMERGENCY PLAN COORDINATOR 1 FACILITIES MAINTENANCE MANAGER 1 FEDERAL GRANTS & PROGRAMS MONITOR 2 FINANCIAL OFFICER 2 FUSION CENTER MANAGER 1 FUSION CENTRAL INTELLIGENCE ANALYST 2 GENERAL MAINTENANCE WORKER I 2 HUMAN RESOURCES COORDINATOR 1 INFORMATION TECHNOLOGY SPECIALIST 1 MESSENGER/RECEPTIONIST 1 NIGHT DIFFERENTIAL 1 OVERTIME 3 PLANNING & PREPAREDNESS COORDINATOR 1 PUBLIC INFORMATION OFFICER 1 SPECIAL ASSISTANT TO STATE DIRECTOR 1 TRAINING COORDINATOR 1 ALLOCATED FTE COUNT 77.667 FY 2027 PROPOSED EXECUTIVE BUDGET 159 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE OFFICER II 1 DEPUTY DIRECTOR ADMINISTRATION & FINANCE 0.889 DEPUTY DIRECTOR GRANTS MANAGEMENT 0.889 EMERGENCY CALL CENTER OPERATOR 11 EMERGENCY CALL CENTER SQUAD LEADER 2 EMERGENCY MANAGEMENT COMMUNICATIONS SPECIALIST (UPDATED TITLE) 1 EMERGENCY MANAGEMENT OUTREACH COORDINATOR 1 FEDERAL GRANTS & PROGRAMS MONITOR 2 FUSION CENTRAL INTELLIGENCE ANALYST 1 HUMAN RESOURCES COORDINATOR 1 PLANNING & PREPAREDNESS COORDINATOR 1 ALLOCATED FTE COUNT 22.778 ACTIVITY CENTERS 23000 - ADMINISTRATION & FINANCE 23001 - NON-OPERATIONAL MISC 23010 - OPERATIONS 23020 - GRANTS MANAGEMENT OFFICE 23030 - PLANNING & PREPAREDNESS 23040 - LOGISTICS FY 2027 PROPOSED EXECUTIVE BUDGET 160 ACTIVITY 23000 ADMINISTRATION & FINANCE FUNCTIONAL STATEMENT The Administration and Finance Division manages the human and financial resources of the agency to enhance the capabilities of the various divisions’ activities. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $585,368 $688,417 $726,678 FRINGE BENEFITS $261,952 $290,445 $308,941 SUPPLIES $6,927 $15,000 $15,000 OTHER SERVICES $34,544 $52,900 $53,125 0100 - GENERAL FUND TOTAL $888,791 $1,046,762 $1,103,744 2152 - EMERGENCY SERVICES SUPPLIES $17,074 $20,000 – OTHER SERVICES $809,883 $1,752,256 – CAPITAL PROJECTS – $109,702 – 2152 - EMERGENCY SERVICES TOTAL $826,957 $1,881,958 – 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $274,656 $392,489 – 0105 - SINGLE PAYER UTILITY FUND TOTAL $274,656 $392,489 – 8001 - ASSET RECOVERY FUND SUPPLIES $10,453 – – OTHER SERVICES $14,625 – – 8001 - ASSET RECOVERY FUND TOTAL $25,078 – – EXPENSES TOTAL $2,015,482 $3,321,209 $1,103,744 VIRGIN ISLANDS TERRITORIAL EMERGENCY MANAGEMENT AGENCY - ADMINISTRATION & FINANCE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 161 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT DIRECTOR 1 DEPUTY DIRECTOR ADMINISTRATION & FINANCE 0.889 DEPUTY DIRECTOR OF HUMAN RESOURCES & LABOR RELATIONS 0.889 DIRECTOR OF VITEMA 1 FINANCIAL OFFICER 2 HUMAN RESOURCES COORDINATOR 1 MESSENGER/RECEPTIONIST 1 PUBLIC INFORMATION OFFICER 1 SPECIAL ASSISTANT TO STATE DIRECTOR 1 ALLOCATED FTE COUNT 9.778 FY 2027 PROPOSED EXECUTIVE BUDGET 162 ACTIVITY 23001 NON-OPERATIONAL MISCELLANEOUS FUND SUMMARY Expenses 0100 - GENERAL FUND SUPPLIES $30,810 $10,000 $10,000 OTHER SERVICES $2,500 $240,000 $240,000 0100 - GENERAL FUND TOTAL $33,310 $250,000 $250,000 EXPENSES TOTAL $33,310 $250,000 $250,000 EXPENDITURES MISCELLANEOUS EXPENSES BY PROJECT Projects M0011 - DISASTER RECOVERY CONTIN OTHER SERVICES – $175,000 $175,000 M0011 - DISASTER RECOVERY CONTIN TOTAL – $175,000 $175,000 M2010 - GENERATOR MAIN AGREEMENT SUPPLIES $310 $10,000 $10,000 OTHER SERVICES $2,500 $65,000 $65,000 M2010 - GENERATOR MAIN AGREEMENT TOTAL $2,810 $75,000 $75,000 M2458 - BOTTLED WATER DISTRIBUTION- WAPA SUPPLIES $30,500 – – M2458 - BOTTLED WATER DISTRIBUTION- WAPA TOTAL $30,500 – – PROJECTS TOTAL $33,310 $250,000 $250,000 VIRGIN ISLANDS TERRITORIAL EMERGENCY MANAGEMENT AGENCY - NON-OPERATIONAL MISCELLANEOUS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 163 ACTIVITY 23010 OPERATIONS FUNCTIONAL STATEMENT The Operations Division directs emergency response efforts, coordinates resource allocation, disseminates intelligence data for crime surveillance, and maintains communication equipment for various agencies. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $1,780,408 $2,070,320 $1,996,800 FRINGE BENEFITS $777,514 $1,054,650 $1,082,449 SUPPLIES $1,701 $27,000 $27,000 OTHER SERVICES $481 $4,000 $4,000 0100 - GENERAL FUND TOTAL $2,560,104 $3,155,970 $3,110,249 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $327,541 -$19,758 $449,052 FRINGE BENEFITS $153,087 -$7,437 $218,860 SUPPLIES $58,251 $0 $14,000 OTHER SERVICES $140,173 $27,504 $0 CAPITAL PROJECTS $48,443 $0 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $727,496 $309 $681,912 EXPENSES TOTAL $3,287,599 $3,156,279 $3,792,161 VIRGIN ISLANDS TERRITORIAL EMERGENCY MANAGEMENT AGENCY - OPERATIONS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 164 GRANTS Expenses F2350 - HOMELAND SECURITY GRANT PROGRAM $112,241 $0 – F2341 - HOMELAND SECURITY GRANT PROGRAM $77,184 $0 – F2345 - EMERGENCY MANAGEMENT PERFORMANCE GRANTS $41,706 $0 – F2348 - HOMELAND SECURITY GRANT PROGRAM $156,845 $309 – F2398 - EMERGENCY MANAGEMENT PERFORMANCE GRANTS $95,786 $0 – F2351 - EMERGENCY MANAGEMENT PERFORMANCE GRANT $114,012 $0 $338,766 F2354 - HOMELAND SECURITY GRANT PROGRAM $129,722 – $343,146 EXPENSES TOTAL $727,496 $309 $681,912 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE OFFICER II 3 DEPUTY DIRECTOR OPERATIONS 1 EMERGENCY CALL CENTER DISTRICT MANAGER 1 EMERGENCY CALL CENTER MANAGER 1 EMERGENCY CALL CENTER OPERATOR 28 EMERGENCY CALL CENTER SQUAD LEADER 7 EMERGENCY OPERATIONS CENTER SUPERVISOR 3 FUSION CENTER MANAGER 1 FUSION CENTRAL INTELLIGENCE ANALYST 2 ALLOCATED FTE COUNT 47 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 165 ACTIVITY 23020 GRANTS MANAGEMENT OFFICEGRANTS FUNCTIONAL STATEMENT The Grants Management Division reviews grant applications and oversees the allocation of awards to ensure compliance with administrative requirements, OMB cost principles, and grant terms and conditions, ensuring proper utilization of federal funds. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $86,389 $90,500 $91,723 FRINGE BENEFITS $36,927 $39,533 $25,362 0100 - GENERAL FUND TOTAL $123,316 $130,033 $117,085 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $44,579 -$26,871 $80,660 FRINGE BENEFITS $14,375 -$12,847 $35,718 SUPPLIES $13,695 $0 $33,633 OTHER SERVICES $10,395 $0 $341,639 CAPITAL PROJECTS – $0 $97,500 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $83,044 -$39,718 $589,150 EXPENSES TOTAL $206,360 $90,315 $706,235 VIRGIN ISLANDS TERRITORIAL EMERGENCY MANAGEMENT AGENCY - GRANTS MANAGEMENT OFFICE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 166 GRANTS Expenses F2350 - HOMELAND SECURITY GRANT PROGRAM $2,865 $0 – F2341 - HOMELAND SECURITY GRANT PROGRAM – $0 $1,688 F2345 - EMERGENCY MANAGEMENT PERFORMANCE GRANTS $5,000 $0 – F2348 - HOMELAND SECURITY GRANT PROGRAM $14,772 -$39,718 – F2349 - EARTHQUAKE STATE ASSISTANCE $16,225 $0 – F2398 - EMERGENCY MANAGEMENT PERFORMANCE GRANTS $14,772 $0 – F2338 - EARTHQUAKE STATE ASSISTANCE – – $51,090 F2346 - METEOROLOGIC AND HYDROLOGIC MODERNIZATION DEVELOPMENT – – $148,464 F2351 - EMERGENCY MANAGEMENT PERFORMANCE GRANT $14,705 $0 $139,622 F2354 - HOMELAND SECURITY GRANT PROGRAM $14,705 $0 $248,286 EXPENSES TOTAL $83,044 -$39,718 $589,150 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count DEPUTY DIRECTOR GRANTS MANAGEMENT 0.889 FEDERAL GRANTS & PROGRAMS MONITOR 2 ALLOCATED FTE COUNT 2.889 Powered by OpenGov ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 167 ACTIVITY 23030 PLANNING & PREPAREDNESS FUNCTIONAL STATEMENT The Planning & Preparedness Unit readies private, public, and non-governmental organizations in the territory to safeguard lives and property from all hazards through planning, training, exercises, and education. FUNDS SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $88,387 $90,000 $90,000 FRINGE BENEFITS $36,654 $32,130 $33,759 SUPPLIES $3,600 $1,000 $1,000 OTHER SERVICES $4,240 $5,900 $5,900 0100 - GENERAL FUND TOTAL $132,881 $129,030 $130,659 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $169,170 $35,110 $283,000 FRINGE BENEFITS $81,598 $17,582 $151,924 SUPPLIES $142,160 $74,520 $66,325 OTHER SERVICES $460,026 $1,087,412 $2,108,840 INDIRECT COSTS $106,856 $82,356 $82,356 CAPITAL PROJECTS $39,633 $38,463 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $999,443 $1,335,443 $2,692,445 EXPENSES TOTAL $1,132,324 $1,464,473 $2,823,104 VIRGIN ISLANDS TERRITORIAL EMERGENCY MANAGEMENT AGENCY - PLANNING & PREPAREDNESS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 168 GRANTS Expenses F2328 - HOMELAND SECURITY GRANT PROGRAM $54,781 $0 – F2336 - NON-PROFIT SECURITY PROGRAM $57,603 $0 – F2350 - HOMELAND SECURITY GRANT PROGRAM $38,383 $0 – F2343 - FY 2019 NONPROFIT SECURITY GRANT PROGRAM $67,229 $0 – F2341 - HOMELAND SECURITY GRANT PROGRAM $112,075 $0 – V2304 - EMERGENCY MANAGEMENT PERFORMANCE GRANTS $2,137 $0 – F2345 - EMERGENCY MANAGEMENT PERFORMANCE GRANTS $47,755 $0 – F2397 - METEOROLOGIC AND HYDROLOGIC MODERNIZATION DEVELOPMENT $81,153 $0 – F2395 - NON-PROFIT SECURITY PROGRAM $122,051 $542,411 – F2348 - HOMELAND SECURITY GRANT PROGRAM $72,563 $37,739 – F2398 - EMERGENCY MANAGEMENT PERFORMANCE GRANTS $93,142 $0 – F2346 - METEOROLOGIC AND HYDROLOGIC MODERNIZATION DEVELOPMENT $153,987 $0 $176,829 F2351 - EMERGENCY MANAGEMENT PERFORMANCE GRANT $48,117 $0 $288,065 F2353 - NON-PROFIT SECURITY PROGRAM $350 $430,000 $1,023,036 F2354 - HOMELAND SECURITY GRANT PROGRAM $48,118 $0 $98,711 F2355 - STATE AND LOCAL CYBERSECURITY GRANT PROGRAM TRIBAL CYBERSECURITY GRANT PROGRAM – – $256,330 F2356 - NON-PROFIT SECURITY PROGRAM – – $849,474 F2360 - METEOROLOGIC & HYDROLOGIC MODERNIZA – $325,293 – EXPENSES TOTAL $999,443 $1,335,443 $2,692,445 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count CONTENT & MEDIA WRITER 1 DEPUTY DIRECTOR OF PLANNING & PREPAREDNESS 1 EMERGENCY MANAGEMENT OUTREACH COORDINATOR 1 EMERGENCY PLAN COORDINATOR 1 PLANNING & PREPAREDNESS COORDINATOR 1 TRAINING COORDINATOR 1 ALLOCATED FTE COUNT 6 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 169 ACTIVITY 23040 LOGISTICS FUNCTIONAL STATEMENT The Logistics Unit provides crucial information technology and communications services essential for maintaining public safety and emergency response in the territory, supporting inventory management, transportation, supplies, and maintenance of VITEMA vehicles and equipment. FUNDS SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $354,259 $369,897 $377,263 FRINGE BENEFITS $172,888 $198,757 $196,632 SUPPLIES $51,326 $30,056 $30,056 OTHER SERVICES $266,386 $272,891 $302,181 UTILITY SERVICES – $0 $293,257 0100 - GENERAL FUND TOTAL $844,859 $871,601 $1,199,389 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $29,280 $0 $60,000 FRINGE BENEFITS $16,726 $0 $19,222 SUPPLIES $10,294 -$36,090 – OTHER SERVICES $18,312 $160,000 $397,057 CAPITAL PROJECTS $221,656 -$122,240 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $296,268 $1,670 $476,279 EXPENSES TOTAL $1,141,128 $873,271 $1,675,668 VIRGIN ISLANDS TERRITORY EMERGENCY MANAGEMENT AGENCY - LOGISTICS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 170 GRANTS Expenses F2350 - HOMELAND SECURITY GRANT PROGRAM $24,360 – – F2341 - HOMELAND SECURITY GRANT PROGRAM $34,891 $0 – F2345 - EMERGENCY MANAGEMENT PERFORMANCE GRANTS $165,043 $0 – F2348 - HOMELAND SECURITY GRANT PROGRAM – $1,670 – F2398 - EMERGENCY MANAGEMENT PERFORMANCE GRANTS $71,974 $0 – F2351 - EMERGENCY MANAGEMENT PERFORMANCE GRANT – – $79,222 F2354 - HOMELAND SECURITY GRANT PROGRAM – – $397,057 EXPENSES TOTAL $296,268 $1,670 $476,279 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count CUSTODIAL WORKER/MESSENGER 2 DEPUTY DIRECTOR OF LOGISTICS 1 EMERGENCY MANAGEMENT COMMUNICATIONS SPECIALIST (UPDATED TITLE) 1 FACILITIES MAINTENANCE MANAGER 1 GENERAL MAINTENANCE WORKER I 2 INFORMATION TECHNOLOGY SPECIALIST 1 ALLOCATED FTE COUNT 8 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 171 MISSION STATEMENT The Bureau of Information Technology (BIT) develops and implements the Comprehensive Technology Strategy for the Government of the United States Virgin Islands, digitally transforming agencies, delivering innovative solutions to improve services, and coordinating emergency communication and interoperability efforts. BUDGET SUMMARY Vi e Total Amount (FY2027) $15,112,386.00 FY27 BUDGETED RESOURCES GENERAL FUND: GENERAL FUND: $14,329,386.00 (94.82%) $14,329,386.00 (94.82%) GENERAL FUND: $14,329,386.00 (94.82%) FEDERAL GRANTS ALL EXCEPT DOE: FEDERAL GRANTS ALL EXCEPT DOE: $783,000.00 (5.18%) $783,000.00 (5.18%) FEDERAL GRANTS ALL EXCEPT DOE: $783,000.00 (5.18%) GENERAL FUND FEDERAL GRANTS ALL EXCEPT DOE FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $11,269,731 $16,067,877 $14,329,386 APPROPRIATED TOTAL $11,269,731 $16,067,877 $14,329,386 FEDERAL 3100 - FEDERAL GRANTS ALL EXCEPT DOE – $0 $783,000 FEDERAL TOTAL – $0 $783,000 NON APPROPRIATED 6053 - INFORMATION & TECHNOLOGY REVOL $222,705 $400,000 – 0105 - SINGLE PAYER UTILITY FUND $198,566 $250,000 – NON APPROPRIATED TOTAL $421,271 $650,000 – EXPENSES TOTAL $11,691,002 $16,717,877 $15,112,386 BUREAU OF INFORMATION TECHNOLOGY FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 172 Total Amount (FY2027) $14,329,386.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY OTHER SERVICES: OTHER SERVICES: $5,972,129.00 (41.68%) $5,972,129.00 (41.68%) OTHER SERVICES: $5,972,129.00 (41.68%) SUPPLIES: SUPPLIES: $4,655,832.00 (32.49%) $4,655,832.00 (32.49%) SUPPLIES: $4,655,832.00 (32.49%) PERSONNEL SERVICES: PERSONNEL SERVICES: $2,242,462.00 (15.65%) $2,242,462.00 (15.65%) PERSONNEL SERVICES: $2,242,462.00 (15.65%) FRINGE BENEFITS: FRINGE BENEFITS: $1,058,963.00 (7.39%) $1,058,963.00 (7.39%) FRINGE BENEFITS: $1,058,963.00 (7.39%) UTILITY SERVICES: UTILITY SERVICES: $250,000.00 (1.74%) $250,000.00 (1.74%) UTILITY SERVICES: $250,000.00 (1.74%) CAPITAL PROJECTS: CAPITAL PROJECTS: $150,000.00 (1.05%) $150,000.00 (1.05%) CAPITAL PROJECTS: $150,000.00 (1.05%) OTHER SERVICES SUPPLIES PERSONNEL SERVICES FRINGE BENEFITS UTILITY SERVICES CAPITAL PROJECTS RECOMMENDED EXPENDITURES OTHER EXPENSES MISCELLANEOUS GENERAL FUND Projects M1162 - BIT -MAINTENANCE IT INFRASTRUCTURE $3,236,348 $3,111,292 $2,803,525 M2012 - BIT MICROSOFT AGREEMENT & SUPPORT $3,348,435 $7,275,830 $4,516,332 M3103 - BIT-LICENSE FEES GOV WIDE NETWORK $1,176,906 $1,313,028 $1,584,332 PROJECTS TOTAL $7,761,689 $11,700,150 $8,904,189 OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND CREDIT CARD EXPENSES – – $20,000 MEMBERSHIP DUES $4,012 – – REPAIRS & MAINTENANCE $111,752 $15,000 $119,981 AUTOMOTIVE REPAIR & MAINTENANCE $6,484 $3,000 $10,000 RENTAL OF LAND/BUILDINGS $728,302 $617,989 $674,323 RENTAL MACHINES/EQUIPMENT $3,371 $2,000 $0 PROFESSIONAL SERVICES $2,839,471 $4,073,744 $4,603,709 SECURITY SERVICES $1,516 $3,000 $6,116 TRAINING – $30,000 $30,000 COMMUNICATION $176,060 $300,000 $400,000 ADVERTISING & PROMOTION – $3,000 $3,000 TRANSPORTATION - NOT TRAVEL $1,668 $20,000 $18,000 TRAVEL $21,338 $40,000 $60,000 TRAVEL / CASH ADVANCE $5,529 $10,000 – PURCHASE BULK AIRLINE $5,090 $18,000 $12,000 OTHER SERVICES NOC $1,280 – $15,000 0100 - GENERAL FUND TOTAL $3,905,873 $5,135,733 $5,972,129 3100 - FEDERAL GRANTS ALL EXCEPT DOE OTHER SERVICES NOC – $0 $205,000 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL – $0 $205,000 6053 - INFORMATION & TECHNOLOGY REVOL COMMUNICATION $222,705 – – ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 173 OTHER SERVICES NOC – $400,000 – 6053 - INFORMATION & TECHNOLOGY REVOL TOTAL $222,705 $400,000 – OTHER SERVICES TOTAL $4,128,577 $5,535,733 $6,177,129 EXPENSES TOTAL $4,128,577 $5,535,733 $6,177,129 PROFESSIONAL SERVICES GENERAL FUND Itemization Description FY2027 Amount NANTON & WALTER $6,600 CENTURION SECURITY SYSTEMS $3,850 PARSON'S LANDSCAPING & LAWNCARE $21,120 OLIVER EXTERMINATING $990 MYGOV $13,728 ENVISION VI $25,000 INFO-TECH RESEARCH GROUP $352,021 GRINGO'S LANDSCAPING & TRASH REMOVAL $17,160 KA CLEANING SERCICES, LLC $9,052 RED CANARY $1,200,000 MOTOROLA SOLUTIONS $274,776 TROPIKOOL $20,900 BID PROCEDURE (TBD) $103,178 REAL TECH EXTERMINATING, LLC $660 VIRGIN ISLANDS NEXT GENERATION NETWORK (viNGN) $121,680 YUBICO $374,480 ADT SECURITY SERVICES $1,516 BID PROCEDURE $994,223 QUANTUM TECHNOLOGY $186,024 SMARTNET $413,300 INSIGHT PUBLIC SECTOR $418,908 WILSON JANITORIAL $12,324 STORMWIDE $29,250 PLUM LABORATORIES $2,968 AMOUNT $4,603,708 LEASES GENERAL FUND Itemization Description FY2027 Amount ROYALE SYSTEMS $146,400 SHUAMA RENTAL PROPERTIES $144,000 BERRIOS DEVELOPMENT $13,514 REEF BROADCASTING $42,225 SBA TOWERS USVI $193,694 ST. THOMAS PROPERTIES $134,490 AMOUNT $674,323 GRANTS SUMMARY Projects FEDERAL F2600 - ECONOMIC, SOCIAL, & POLITICAL DEVEL – – $300,000 F2605 - ECONOMIC SOCIAL AND POLITICAL DEV – – $483,000 FEDERAL TOTAL – $0 $783,000 PROJECTS TOTAL – $0 $783,000 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 174 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTANT I 1 ACCOUNTS PAYABLE SPECIALIST 1 ADMINISTRATIVE OFFICER I 1 BUSINESS RELATIONSHIP MANAGER 1 CHIEF TECHNOLOGY OFFICER 1 DEPUTY DIRECTOR 1 DIRECTOR 1 FEES & COMPENSATION NOC 5 FINANCE MANAGER 1 HELP DESK SPECIALIST 4 INFORMATION SECURITY OFFICER 1 INFORMATION TECHNOLOGY PROJECT COORDINATOR 2 INFORMATION TECHNOLOGY PROJECT MANAGER 1 INFORMATION TECHNOLOGY SPECIALIST 2 LUMPSUM 1 NETWORK ANALYST 2 NETWORK SECURITY ADMINISTRATOR 1 NETWORK SYSTEMS ADMINISTRATOR 1 OVERTIME 4 RADIO FREQUENCY ADMINISTRATOR 1 RADIO FREQUENCY TECHNICIAN 4 SECURITY ANALYST 2 SERVICE DESK MANAGER 1 WEB TECHNICIAN 1 ALLOCATED FTE COUNT 41 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTANT I 1 CHIEF TECHNOLOGY OFFICER 1 INFORMATION SECURITY OFFICER 1 INFORMATION TECHNOLOGY PROJECT COORDINATOR 1 INFORMATION TECHNOLOGY SPECIALIST 2 NETWORK SECURITY ADMINISTRATOR 1 RADIO FREQUENCY TECHNICIAN 2 SECURITY ANALYST 1 ALLOCATED FTE COUNT 10 ACTIVITY CENTERS 26001 - NON-OPERATIONAL MISC 26100 - OFFICE OF ADMINISTRATION 26200 - OFFICE OF THE CHIEF INFORMATION OFFICER 26300 - PROJECT AND PORTFOLIO MANAGEMENT 26400 - INFRASTRUCTURE AND OPERATIONS 26500 - RISK MANAGEMENT OFFICE FY 2027 PROPOSED EXECUTIVE BUDGET 175 ACTIVITY 26001 NON-OPERATIONAL MISC FUND SUMMARY Expenses 0100 - GENERAL FUND OTHER SERVICES – $4,073,744 $4,387,857 0100 - GENERAL FUND TOTAL – $4,073,744 $4,387,857 EXPENSES TOTAL – $4,073,744 $4,387,857 EXPENDITURES MISCELLANEOUS EXPENSES BY PROJECT Projects M1162 - BIT -MAINTENANCE IT INFRASTRUCTURE OTHER SERVICES – $3,111,292 $2,803,525 M1162 - BIT -MAINTENANCE IT INFRASTRUCTURE TOTAL – $3,111,292 $2,803,525 M3103 - BIT-LICENSE FEES GOV WIDE NETWORK OTHER SERVICES – $962,452 $1,584,332 M3103 - BIT-LICENSE FEES GOV WIDE NETWORK TOTAL – $962,452 $1,584,332 PROJECTS TOTAL – $4,073,744 $4,387,857 BUREAU OF INFORMATION TECHNOLOGY - NON-OPERATIONAL MISC FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 176 ACTIVITY 26100 OFFICE OF ADMINISTRATION FUNCTIONAL STATEMENT The Office of Administration manages financial, procurement, human resources, and administrative services. It oversees budgeting, contract management, recruitment, talent management, and employee engagement for the Bureau. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $142,227 $284,929 $212,557 FRINGE BENEFITS $74,979 $128,076 $106,929 SUPPLIES $4,967,276 $7,730,406 $4,655,832 OTHER SERVICES $3,905,873 $1,061,989 $1,584,272 UTILITY SERVICES – $0 $250,000 CAPITAL PROJECTS – – $150,000 0100 - GENERAL FUND TOTAL $9,090,355 $9,205,400 $6,959,590 3100 - FEDERAL GRANTS ALL EXCEPT DOE SUPPLIES – $0 $578,000 OTHER SERVICES – $0 $205,000 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL – $0 $783,000 6053 - INFORMATION & TECHNOLOGY REVOL OTHER SERVICES $222,705 $400,000 – 6053 - INFORMATION & TECHNOLOGY REVOL TOTAL $222,705 $400,000 – 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $198,566 $250,000 – 0105 - SINGLE PAYER UTILITY FUND TOTAL $198,566 $250,000 – EXPENSES TOTAL $9,511,626 $9,855,400 $7,742,590 BUREAU OF INFORMATION TECHNOLOGY - OFFICE OF ADMINISTRATION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 177 EXPENDITURES MISCELLANEOUS EXPENSES BY PROJECT Projects M1162 - BIT -MAINTENANCE IT INFRASTRUCTURE SUPPLIES $560,921 – – OTHER SERVICES $2,675,427 $0 – M1162 - BIT -MAINTENANCE IT INFRASTRUCTURE TOTAL $3,236,348 $0 – M2012 - BIT MICROSOFT AGREEMENT & SUPPORT SUPPLIES $3,348,435 $7,275,830 $4,516,332 M2012 - BIT MICROSOFT AGREEMENT & SUPPORT TOTAL $3,348,435 $7,275,830 $4,516,332 M3103 - BIT-LICENSE FEES GOV WIDE NETWORK SUPPLIES $988,386 $350,576 – OTHER SERVICES $188,519 – – M3103 - BIT-LICENSE FEES GOV WIDE NETWORK TOTAL $1,176,906 $350,576 – PROJECTS TOTAL $7,761,689 $7,626,406 $4,516,332 GRANTS Expenses F2600 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – – $300,000 F2605 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – – $483,000 EXPENSES TOTAL – $0 $783,000 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTANT I 1 ACCOUNTS PAYABLE SPECIALIST 1 FINANCE MANAGER 1 ALLOCATED FTE COUNT 3 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 178 ACTIVITY 26200 OFFICE OF THE CHIEF INFORMATION OFFICER FUNCTIONAL STATEMENT The Office of the Chief Information Officer strategically enhances IT organizational performance through improved management and governance by collaborating with stakeholders, to identify opportunities to reduce IT costs, share services, and enhance GVI operations. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $268,056 $396,887 $381,977 FRINGE BENEFITS $104,299 $138,519 $145,988 0100 - GENERAL FUND TOTAL $372,355 $535,406 $527,965 EXPENSES TOTAL $372,355 $535,406 $527,965 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE OFFICER I 1 BUSINESS RELATIONSHIP MANAGER 1 DEPUTY DIRECTOR 1 DIRECTOR 1 ALLOCATED FTE COUNT 4 BUREAU OF INFORMATION TECHNOLOGY - OFFICE OF THE CHIEF INFORMATION OFFICER FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 179 ACTIVITY 26300 PROJECT AND PORTFOLIO MANAGEMENT FUNCTIONAL STATEMENT The Project and Portfolio Management Office ensures standardized and effective project lifecycle management practices across the GVI by educating and developing project managers while overseeing high-quality solution development, delivery, and business reporting. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $252,896 $271,600 $270,100 FRINGE BENEFITS $74,920 $92,153 $97,282 0100 - GENERAL FUND TOTAL $327,816 $363,753 $367,382 EXPENSES TOTAL $327,816 $363,753 $367,382 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count INFORMATION TECHNOLOGY PROJECT COORDINATOR 2 INFORMATION TECHNOLOGY PROJECT MANAGER 1 ALLOCATED FTE COUNT 3 BUREAU OF INFORMATION TECHNOLOGY - PROJECT AND PORTFOLIO MANAGEMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 180 ACTIVITY 26400 INFRASTRUCTURE AND OPERATIONS OFFICE FUNCTIONAL STATEMENT The Infrastructure and Operations Office manages physical hardware and software which includes data centers, system security, network switches, hardware installation, patching, asset monitoring, server configuration, deployment, and provisioning for on-premises and virtual environments while enhancing its service delivery. Additionally, the office maintains the land mobile radio network in the territory and provides communication support to emergency first responders. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $863,445 $1,040,727 $1,001,828 FRINGE BENEFITS $452,066 $490,811 $532,278 0100 - GENERAL FUND TOTAL $1,315,511 $1,531,538 $1,534,106 EXPENSES TOTAL $1,315,511 $1,531,538 $1,534,106 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count CHIEF TECHNOLOGY OFFICER 1 HELP DESK SPECIALIST 4 NETWORK ANALYST 2 NETWORK SYSTEMS ADMINISTRATOR 1 RADIO FREQUENCY ADMINISTRATOR 1 RADIO FREQUENCY TECHNICIAN 4 SERVICE DESK MANAGER 1 WEB TECHNICIAN 1 ALLOCATED FTE COUNT 15 BUREAU OF INFORMATION TECHNOLOGY - INFRASTRUCTURE AND OPERATIONS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 181 ACTIVITY 26500 RISK MANAGEMENT OFFICE FUNCTIONAL STATEMENT The Risk Management Office identifies and addresses property, liability, income, and personnel risks. It leads enterprise efforts by remaining up to date with industry standards, best practices, known & zero-day threats, providing information preservation & data integrity, bolstering privacy, developing & directing cybersecurity strategies, and manages security training. The Office develops data standards, governance, digital identity specifications, and mitigates personnel exposure to loss while reducing risk and ensuring continuity of operations. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $110,770 $252,250 $376,000 FRINGE BENEFITS $52,924 $105,786 $176,486 0100 - GENERAL FUND TOTAL $163,694 $358,036 $552,486 EXPENSES TOTAL $163,694 $358,036 $552,486 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count INFORMATION SECURITY OFFICER 1 INFORMATION TECHNOLOGY SPECIALIST 2 NETWORK SECURITY ADMINISTRATOR 1 SECURITY ANALYST 2 ALLOCATED FTE COUNT 6 BUREAU OF INFORMATION TECHNOLOGY - RISK MANAGEMENT OFFICE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 182 MISSION STATEMENT The Virgin Islands Energy Office promotes sustainable energy policies and technology in the region, covering production, distribution, efficiency, and consumption through training, outreach, incentives, and technical support. BUDGET SUMMARY Data Updated: May 29, 2026, 7:44 PM Total Amount (FY2027) $59,845,947.00 FY27 BUDGETED RESOURCES FEDERAL GRANTS ALL EXCEPT DOE: FEDERAL GRANTS ALL EXCEPT DOE: $58,291,448.00 (97.40%) $58,291,448.00 (97.40%) FEDERAL GRANTS ALL EXCEPT DOE: $58,291,448.00 (97.40%) GENERAL FUND: GENERAL FUND: $1,554,499.00 (2.60%) $1,554,499.00 (2.60%) GENERAL FUND: $1,554,499.00 (2.60%) FEDERAL GRANTS ALL EXCEPT DOE GENERAL FUND FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $1,462,318 $1,541,181 $1,554,499 APPROPRIATED TOTAL $1,462,318 $1,541,181 $1,554,499 FEDERAL 3100 - FEDERAL GRANTS ALL EXCEPT DOE $3,745,473 $10,560,867 $58,291,448 FEDERAL TOTAL $3,745,473 $10,560,867 $58,291,448 NON APPROPRIATED 6108 - SUN POWER LOAN PROGRAM FUND $209,331 – – 0105 - SINGLE PAYER UTILITY FUND $25,434 $14,000 – NON APPROPRIATED TOTAL $234,765 $14,000 – VIRGIN ISLANDS ENERGY OFFICE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 EXPENSES TOTAL $5,442,556 $12,116,048 $59,845,947 FY 2027 PROPOSED EXECUTIVE BUDGET 183 Data Updated: May 29, 2026, 7:44 PM Total Amount (FY2027) $1,554,499.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $871,059.00 (56.03%) $871,059.00 (56.03%) PERSONNEL SERVICES: $871,059.00 (56.03%) FRINGE BENEFITS: FRINGE BENEFITS: $381,725.00 (24.56%) $381,725.00 (24.56%) FRINGE BENEFITS: $381,725.00 (24.56%) OTHER SERVICES: OTHER SERVICES: $263,279.00 (16.94%) $263,279.00 (16.94%) OTHER SERVICES: $263,279.00 (16.94%) SUPPLIES: SUPPLIES: $24,436.00 (1.57%) $24,436.00 (1.57%) SUPPLIES: $24,436.00 (1.57%) UTILITY SERVICES: UTILITY SERVICES: $14,000.00 (0.90%) $14,000.00 (0.90%) UTILITY SERVICES: $14,000.00 (0.90%) PERSONNEL SERVICES FRINGE BENEFITS OTHER SERVICES SUPPLIES UTILITY SERVICES RECOMMENDED EXPENDITURES OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND REPAIRS & MAINTENANCE $5,506 $8,000 $22,000 AUTOMOTIVE REPAIR & MAINTENANCE $2,113 $4,000 $4,000 RENTAL OF LAND/BUILDINGS $121,575 $118,095 $147,953 RENTAL MACHINES/EQUIPMENT $8,692 $12,000 $0 PROFESSIONAL SERVICES $72,135 $20,080 $21,926 SECURITY SERVICES $6,554 $3,000 $3,000 TRAINING – $1,500 $1,500 COMMUNICATION $40,738 $51,002 $45,000 ADVERTISING & PROMOTION $6,717 $1,500 $1,500 PRINTING AND BINDING $575 $800 $800 TRANSPORTATION - NOT TRAVEL $578 $600 $600 TRAVEL $8,999 $7,000 $5,000 TRAVEL / CASH ADVANCE $3,681 – – PURCHASE BULK AIRLINE – $7,000 $5,000 OTHER SERVICES NOC $1,627 $5,000 $5,000 0100 - GENERAL FUND TOTAL $279,489 $239,577 $263,279 3100 - FEDERAL GRANTS ALL EXCEPT DOE MEMBERSHIP DUES $8,222 $0 $0 DEBRIS REMOVAL $1,440 – $0 REPAIRS & MAINTENANCE $36,822 $0 $0 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 184 RENTAL OF LAND/BUILDINGS $5,841 $0 $0 RENTAL MACHINES/EQUIPMENT $4,300 $0 $0 COMMUNICATION $9,804 $0 $0 ADVERTISING & PROMOTION $21,716 $0 $0 PRINTING AND BINDING $6,555 $0 $0 TRANSPORTATION - NOT TRAVEL $10,037 $0 $0 TRAVEL $368 $0 $0 TRAVEL / CASH ADVANCE $1,496 $0 $0 GRANTS/INDEPENDENT GOVERNMENT AGENCIES $540,000 – $0 RELIEF TO INDIVIDUALS $147,695 $0 $0 OTHER SERVICES NOC -$885 $7,789,181 $56,141,051 SUBSIDIES $324,870 $0 $0 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $1,118,281 $7,789,181 $56,141,051 6108 - SUN POWER LOAN PROGRAM FUND $209,331 – – OTHER SERVICES TOTAL $1,607,101 $8,028,758 $56,404,330 EXPENSES TOTAL $1,607,101 $8,028,758 $56,404,330 PROFESSIONAL SERVICES GENERAL FUND Itemization Description FY2027 Amount OLIVER EXTERMINATING $10,910 VI CLEANING SERVICE $7,680 XPERTS EXTERMINATING $960 CLASSY CLEANING $2,376 AMOUNT $21,926 LEASES GENERAL FUND Itemization Description FY2027 Amount ST. THOMAS PROPERTIES LLC $8,226 PRIME STORAGE, ST. THOMAS $5,296 PRIME STORAGE, ST. CROIX $53,431 ZEFO ENTERPRISE LLC $81,000 AMOUNT $147,953 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 185 GRANT SUMMARY VIRGIN ISLANDS ENERGY OFFICE Projects FEDERAL F2704 - VI ENERGY DISTRIBUTED GENERATION -$1,310 $0 – F2710 - ECONOMIC, SOCIAL AND POLITICAL DEVELOPMENT OF THE TERRITORIES $193,225 $0 – F2711 - WEATHERIZATION ASSISTANCE FOR LOW-INCOME PERSONS $295,205 $0 – F2712 - ECONOMIC, SOCIAL AND POLITICAL DEVELOPMENT OF THE TERRITORIES $292,135 $0 – F2708 - STATE ENERGY PROGRAM $690,145 $0 $1,196,293 F2713 - WEATHERIZATION ASSISTANCE FOR LOW-INCOME PERSONS $129,861 -$101,726 $1,156,291 F2715 - GRID INFRASTRUCTURE DEPLOYMENT AND RESILIENCE – – $3,128,679 F2716 - ENERGY EFFICIENCY AND CONSERVATION BLOCK GRANT PROGRAM $123,734 $0 $181,780 F2717 - ECONOMIC, SOCIAL AND POLITICAL DEVELOPMENT OF THE TERRITORIES $1,825,474 $0 – F2718 - CLIMATE POLLUTION REDUCTION GRANT – – $500,000 F2719 - STATE ENERGY PROGRAM $5,566 $0 $25,398,387 F2720 - STATE ENERGY PROGRAM $5,165 $0 $25,593,560 F2721 - STATE ENERGY PROGRAM – $0 $576,170 F2723 - STATE ENERGY PROGRAM $135,264 $359,830 $257,525 F2722 - GREENHOUSE GAS REDUCTION $51,009 $0 – F2726 - COMMUNITY DEVEOPMENT BLOCK GRANT DISASTER RECOVERY – $10,000,000 – F2728 - WEATHERIZATION ASSISTANCE FOR LOW INCOME PERSONS – $302,763 $302,763 FEDERAL TOTAL $3,745,473 $10,560,867 $58,291,448 PROJECTS TOTAL $3,745,473 $10,560,867 $58,291,448 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 186 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE COORDINATOR 1 ADMINISTRATIVE OFFICER I 1 AUDIT INSPECTOR 1 CHIEF ENGINEER 1 CONTRACT ADMINISTRATOR 1 DEPUTY DIRECTOR 1 DIRECTOR 1 ENERGY ANALYST II 1 ENERGY EFFICIENCY PROGRAM DIRECTOR 1 ENERGY POLICY ANALYST 1 ENERGY PROJECT MANAGER 1 EXECUTIVE ADMINISTRATIVE ASSISTANT 1 FEDERAL PROGRAMS SUPPORT SPECIALIST 1 FISCAL AND BUDGET MANAGER 1 FISCAL OPERATIONS SPECIALIST 1 GRANTS MANAGER 1 GRANTS PROGRAM COORDINATOR 1 HUMAN RESOURCES AND LABOR RELATIONS MANAGER 1 OVERTIME 1 PROCUREMENT SPECIALIST 1 PROGRAM SPECIALIST 1 PUBLC INFORMATION OFFICER 1 SENIOR ENERGY ENGINEER 1 ALLOCATED FTE COUNT 23 ACTIVITY CENTERS 20500 - VIRGIN ISLANDS ENERGY OFFICE 27500 - VIRGIN ISLANDS ENERGY OFFICE FY 2027 PROPOSED EXECUTIVE BUDGET 187 ACTIVITY 20500 STATE ENERGY PROGRAM FUNCTIONAL STATEMENT The State Energy Program backs various initiatives for Energy Efficiency and Renewable Energy Efficiency. This encompasses programs like the Energy Star Rebate program, Real-time Energy Monitoring, and Weatherization Assistance. It also includes all administrative functions tied to these initiatives. FUND SUMMARY Expenses 3100 - FEDERAL GRANTS ALL EXCEPT DOE FRINGE BENEFITS -$1,238 $0 – SUPPLIES $2,000 $0 – OTHER SERVICES $226,369 $0 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $227,131 $0 – 2000 - EMPLOYMENT SECURITY PERSONNEL SERVICES -$2,613 – – 2000 - EMPLOYMENT SECURITY TOTAL -$2,613 – – EXPENSES TOTAL $224,518 $0 – GRANTS Expenses F2709 - STATE ENERGY PROGRAM $227,131 – – EXPENSES TOTAL $227,131 – – VIRGIN ISLANDS ENERGY OFFICE - STATE ENERGY PROGRAM FY2026 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2025 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 188 ACTIVITY 27500 VIRGIN ISLANDS ENERGY OFFICE FUNCTIONAL STATEMENT The Energy Office oversees the implementation of the U.S. Department of Energy (USDE) and U.S. Department of Interior (USDOI) grant programs, ensuring efficiency and accountability in energy conservation and renewable energy initiatives, while also managing the State Energy Program (SEP) and Weatherization Assistance Program (WAP). FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $795,199 $875,609 $871,059 FRINGE BENEFITS $370,780 $402,695 $381,725 SUPPLIES $16,849 $23,300 $24,436 OTHER SERVICES $279,489 $239,577 $263,279 UTILITY SERVICES – $0 $14,000 0100 - GENERAL FUND TOTAL $1,462,318 $1,541,181 $1,554,499 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $299,048 $1,281,203 $776,182 FRINGE BENEFITS $148,556 $340,609 $352,115 SUPPLIES $89,152 -$77,626 $1,022,100 OTHER SERVICES $1,118,281 $7,789,181 $56,141,051 CAPITAL PROJECTS $2,090,436 $1,227,500 $0 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $3,745,473 $10,560,867 $58,291,448 EXPENSES TOTAL $5,207,791 $12,102,048 $59,845,947 GRANTS Expenses F2704 - VI ENERGY DISTRIBUTED GENERATION -$1,310 $0 – F2710 - ECONOMIC, SOCIAL AND POLITICAL DEVELOPMENT OF THE TERRITORIES $193,225 $0 – F2711 - WEATHERIZATION ASSISTANCE FOR LOW-INCOME PERSONS $295,205 $0 – F2712 - ECONOMIC, SOCIAL AND POLITICAL DEVELOPMENT OF THE TERRITORIES $292,135 $0 – VIRGIN ISLANDS ENERGY OFFICE - VIEO FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 189 F2708 - STATE ENERGY PROGRAM $690,145 $0 $1,196,293 F2713 - WEATHERIZATION ASSISTANCE FOR LOW-INCOME PERSONS $129,861 -$101,726 $1,156,291 F2715 - GRID INFRASTRUCTURE DEPLOYMENT AND RESILIENCE – – $3,128,679 F2716 - ENERGY EFFICIENCY AND CONSERVATION BLOCK GRANT PROGRAM $123,734 $0 $181,780 F2717 - ECONOMIC, SOCIAL AND POLITICAL DEVELOPMENT OF THE TERRITORIES $1,825,474 $0 – F2718 - CLIMATE POLLUTION REDUCTION GRANT – – $500,000 F2719 - STATE ENERGY PROGRAM $5,566 $0 $25,398,387 F2720 - STATE ENERGY PROGRAM $5,165 $0 $25,593,560 F2721 - STATE ENERGY PROGRAM – $0 $576,170 F2723 - STATE ENERGY PROGRAM $135,264 $359,830 $257,525 F2722 - GREENHOUSE GAS REDUCTION $51,009 $0 – F2726 - COMMUNITY DEVEOPMENT BLOCK GRANT DISASTER RECOVERY – $10,000,000 – F2728 - WEATHERIZATION ASSISTANCE FOR LOW INCOME PERSONS – $302,763 $302,763 EXPENSES TOTAL $3,745,473 $10,560,867 $58,291,448 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE COORDINATOR 1 ADMINISTRATIVE OFFICER I 1 AUDIT INSPECTOR 1 CHIEF ENGINEER 1 CONTRACT ADMINISTRATOR 1 DEPUTY DIRECTOR 1 DIRECTOR 1 ENERGY ANALYST II 1 ENERGY EFFICIENCY PROGRAM DIRECTOR 1 ENERGY POLICY ANALYST 1 ENERGY PROJECT MANAGER 1 EXECUTIVE ADMINISTRATIVE ASSISTANT 1 FEDERAL PROGRAMS SUPPORT SPECIALIST 1 FISCAL AND BUDGET MANAGER 1 FISCAL OPERATIONS SPECIALIST 1 GRANTS MANAGER 1 GRANTS PROGRAM COORDINATOR 1 HUMAN RESOURCES AND LABOR RELATIONS MANAGER 1 PROCUREMENT SPECIALIST 1 PROGRAM SPECIALIST 1 PUBLC INFORMATION OFFICER 1 SENIOR ENERGY ENGINEER 1 ALLOCATED FTE COUNT 22 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 190 MISSION STATEMENT The Office of the Adjutant General plans, coordinates, and implements support of territorial responders to natural and man-made disasters, civil disturbances, foreign and domestic threats, and Weapons of Mass Destruction. BUDGET SUMMARY Total Amount (FY2027) $8,724,447.00 FY27 BUDGETED RESOURCES FEDERAL GRANTS ALL EXCEPT DOE: FEDERAL GRANTS ALL EXCEPT DOE: $5,220,448.00 (59.84%) $5,220,448.00 (59.84%) FEDERAL GRANTS ALL EXCEPT DOE: $5,220,448.00 (59.84%) GENERAL FUND: GENERAL FUND: $3,503,999.00 (40.16%) $3,503,999.00 (40.16%) GENERAL FUND: $3,503,999.00 (40.16%) FEDERAL GRANTS ALL EXCEPT DOE GENERAL FUND FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $2,523,497 $3,033,939 $3,503,999 0101 - GENERAL FUND NON-LAPSING -$993 – – APPROPRIATED TOTAL $2,522,504 $3,033,939 $3,503,999 FEDERAL 3100 - FEDERAL GRANTS ALL EXCEPT DOE $2,150,649 $3,800,066 $5,220,448 FEDERAL TOTAL $2,150,649 $3,800,066 $5,220,448 NON APPROPRIATED 0105 - SINGLE PAYER UTILITY FUND $736,755 $322,023 – NON APPROPRIATED TOTAL $736,755 $322,023 – EXPENSES TOTAL $5,409,908 $7,156,028 $8,724,447 OFFICE OF THE ADJUTANT GENERAL FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 191 Total Amount (FY2027) $3,503,999.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $1,338,855.00 (38.21%) $1,338,855.00 (38.21%) PERSONNEL SERVICES: $1,338,855.00 (38.21%) OTHER SERVICES: OTHER SERVICES: $882,338.00 (25.18%) $882,338.00 (25.18%) OTHER SERVICES: $882,338.00 (25.18%) FRINGE BENEFITS: FRINGE BENEFITS: $674,505.00 (19.25%) $674,505.00 (19.25%) FRINGE BENEFITS: $674,505.00 (19.25%) UTILITY SERVICES: UTILITY SERVICES: $310,000.00 (8.85%) $310,000.00 (8.85%) UTILITY SERVICES: $310,000.00 (8.85%) SUPPLIES: SUPPLIES: $187,197.00 (5.34%) $187,197.00 (5.34%) SUPPLIES: $187,197.00 (5.34%) CAPITAL PROJECTS: CAPITAL PROJECTS: $111,104.00 (3.17%) $111,104.00 (3.17%) CAPITAL PROJECTS: $111,104.00 (3.17%) PERSONNEL SERVICES OTHER SERVICES FRINGE BENEFITS UTILITY SERVICES SUPPLIES CAPITAL PROJECTS RECOMMENDED EXPENDITURES OTHER EXPENSES MISCELLANEOUS GENERAL FUND Projects M2613 - TERRITORIAL ACTIVE DUTY – $200,000 $200,000 M1917 - ABOUT FACE & FORWARD MARCH PROGRAM $23,049 $85,920 $94,670 M2121 - NATIONAL GUARD PENSION FUND $138,950 $150,000 $150,000 PROJECTS TOTAL $161,999 $435,920 $444,670 OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND REPAIRS & MAINTENANCE $25,207 $75,000 $75,000 AUTOMOTIVE REPAIR & MAINTENANCE $2,043 $17,312 $17,312 RENTAL OF LAND/BUILDINGS $50,677 $24,000 $24,000 RENTAL MACHINES/EQUIPMENT $7,085 $23,984 $23,984 PROFESSIONAL SERVICES $138,041 $35,000 $200,000 TRAINING $40,025 – – COMMUNICATION $14,424 $56,214 $56,214 ADVERTISING & PROMOTION $7,604 $17,822 $17,822 TRANSPORTATION - NOT TRAVEL $1,815 $20,000 $20,000 TRAVEL $13,812 $48,006 $48,006 TRAVEL / CASH ADVANCE $1,314 – – PURCHASE BULK AIRLINE – $20,000 $20,000 GRANTS/IND GOVT AGENCIES $138,950 $150,000 $150,000 OTHER SERVICES NOC $8,203 $221,000 $230,000 0100 - GENERAL FUND TOTAL $449,200 $708,338 $882,338 3100 - FEDERAL GRANTS ALL EXCEPT DOE REPAIRS & MAINTENANCE $71,593 $0 $0 RENTAL OF LAND/BUILDINGS $73,054 $0 $0 RENTAL MACHINES/EQUIPMENT $1,422 $0 $0 PROFESSIONAL SERVICES $178,484 $0 $0 COMMUNICATION $48,522 $0 $0 TRANSPORTATION - NOT TRAVEL $15 $0 – ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 192 TRAVEL $2,700 $0 $0 TRAVEL / CASH ADVANCE $305 $0 $0 OTHER SERVICES NOC – $764,887 $767,388 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $376,096 $764,887 $767,388 OTHER SERVICES TOTAL $825,295 $1,473,225 $1,649,726 EXPENSES TOTAL $825,295 $1,473,225 $1,649,726 PROFESSIONAL SERVICES GENERAL FUND Itemization Description FY2027 Amount BID PROCEDURE A/C MAINTENANCE & SERVICING STX $45,000 BID PROCEDURE DRINKING WATER (STT/STX) $10,000 BID PROCEDURE TRASH REMOVAL SERVICES $15,000 BID PROCEDURE GENERATOR MAINTENANCE (STT/STX) $55,000 JANITORIAL SERVICES $50,000 BID PROCEDURE LANDSCAPING SERVICES $25,000 AMOUNT $200,000 LEASES GENERAL FUND Itemization Description FY2027 Amount VI PORT AUTHORITY: 48-AC ESTATE GOLDEN GROVE $24,000 AMOUNT $24,000 GRANT SUMMARY Projects FEDERAL F2805 - NATIONAL GUARD MILITARY OPERATIONS AND MAINTENANCE (O&M) PROJECTS -$2,456 – – F2800 - NATIONAL GUARD MILITARY OPERATIONS AND MAINTENANCE (O&M) PROJECTS $664,408 $0 – F2810 - NATIONAL GUARD MILITARY OPERATIONS AND MAINTENANCE (O&M) PROJECTS $1,488,698 $0 – F2811 - NATIONAL GUARD MILITARY OPERATIONS AND MAINTENANCE (O&M) PROJECTS – $3,800,066 $5,220,448 FEDERAL TOTAL $2,150,649 $3,800,066 $5,220,448 PROJECTS TOTAL $2,150,649 $3,800,066 $5,220,448 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ADJUTANT GENERAL 1 BASE SECURITY GUARD 20 CHIEF OF STAFF 1 CHIEF PROGRAM COORDINATOR 1 CONTRACT SPECIALIST 1 DATA TRANSCRIBER 1 DEPUTY PROGRAM ADVISOR- STT 1 DEPUTY PROGRAM ADVISOR-STX 1 DIRECTOR OF MAINTENANCE 1 DIRECTOR OF SECURITY 0.5 DISTANCE LEARNING ADMINISTRATOR 1 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 193 Position Name FY2027 ELECTRONIC SECURITY SYSTEM MANAGER 1 EMPLOYEE RELATIONS COORDINATOR 0.5 ENVIRONMENTAL PROGRAM MANAGER 1 ENVIRONMENTAL TECHNOLOGY SUPPORT SPECIALIST 1 EXECUTIVE ASSISTANT 1 EXECUTIVE COORDINATOR 1 EXECUTIVE DIRECTOR 1 FACILITY SECURITY AGENT 1 PROGRAM ANALYST 2 PROGRAM SPECIALIST 1 PROJECT MANAGER 1 REIMBURSEMENT SPECIALIST 1 RESOURCE SPECIALIST 1 SENIOR PROGRAM ANALYST 1 SUPERVISOR SECURITY GUARD STT 1 TEMP/PART-TIME SALARIES 1 YAFFMP COMMUNITY LIAISON 1 YAFFMP PROGRAM SPECIALIST 1 ALLOCATED FTE COUNT 48 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count BASE SECURITY GUARD 6 DIRECTOR OF SECURITY 0.5 EMPLOYEE RELATIONS COORDINATOR 0.5 EXECUTIVE ASSISTANT 1 ALLOCATED FTE COUNT 8 ACTIVITY CENTERS 28000 - ADMINISTRATIVE SERVICES 28001 - NON-OPERATIONAL MISC 28010 - MAINTENANCE 28020 - SECURITY FY 2027 PROPOSED EXECUTIVE BUDGET 194 ACTIVITY 28000 ADMINISTRATIVE SERVICES FUNCTIONAL STATEMENT The Administrative Services Unit supervises the operations of OTAG through fiscal control, personnel, and administrative management. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $1,304,440 $1,343,855 $1,338,855 FRINGE BENEFITS $573,043 $630,406 $674,505 SUPPLIES $128,446 $20,943 $23,230 OTHER SERVICES $171,166 $165,228 $224,228 UTILITY SERVICES – $0 $310,000 CAPITAL PROJECTS – $40,736 $40,736 0100 - GENERAL FUND TOTAL $2,177,095 $2,201,168 $2,611,554 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $1,137,114 $566,771 $1,390,807 FRINGE BENEFITS $448,053 $344,315 $941,615 SUPPLIES $36,955 $731,470 $730,515 OTHER SERVICES $356,309 $764,887 $764,888 UTILITY SERVICES $38,084 $670,316 $670,316 CAPITAL PROJECTS $104,989 $712,007 $712,007 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $2,121,504 $3,789,766 $5,210,148 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $736,755 $322,023 – 0105 - SINGLE PAYER UTILITY FUND TOTAL $736,755 $322,023 – EXPENSES TOTAL $5,035,354 $6,312,957 $7,821,702 EXPENDITURES MISCELLANEOUS EXPENSES BY PROJECT Projects M1917 - ABOUT FACE & FORWARD MARCH PROGRAM $23,049 – – PROJECTS TOTAL $23,049 – – GRANTS OFFICE OF THE ADJUTANT GENERAL - ADMINISTRATIVE SERVICES FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 195 Expenses F2805 - NATIONAL GUARD MILITARY OPERATIONS AND MAINTENANCE (O&M) PROJECTS -$2,456 – – F2800 - NATIONAL GUARD MILITARY OPERATIONS AND MAINTENANCE (O&M) PROJECTS $663,305 $0 – F2810 - NATIONAL GUARD MILITARY OPERATIONS AND MAINTENANCE (O&M) PROJECTS $1,460,655 $0 – F2811 - NATIONAL GUARD MILITARY OPERATIONS AND MAINTENANCE (O&M) PROJECTS – $3,789,766 $5,210,148 EXPENSES TOTAL $2,121,504 $3,789,766 $5,210,148 ALL ACTIVITY POSITIONS Position Name FY2027 Allocated FTE Count ADJUTANT GENERAL 1 BASE SECURITY GUARD 20 CHIEF OF STAFF 1 CHIEF PROGRAM COORDINATOR 1 CONTRACT SPECIALIST 1 DATA TRANSCRIBER 1 DEPUTY PROGRAM ADVISOR- STT 1 DEPUTY PROGRAM ADVISOR-STX 1 DIRECTOR OF MAINTENANCE 1 DIRECTOR OF SECURITY 0.5 DISTANCE LEARNING ADMINISTRATOR 1 ELECTRONIC SECURITY SYSTEM MANAGER 1 EMPLOYEE RELATIONS COORDINATOR 0.5 ENVIRONMENTAL PROGRAM MANAGER 1 ENVIRONMENTAL TECHNOLOGY SUPPORT SPECIALIST 1 EXECUTIVE ASSISTANT 1 EXECUTIVE COORDINATOR 1 EXECUTIVE DIRECTOR 1 FACILITY SECURITY AGENT 1 PROGRAM ANALYST 2 PROGRAM SPECIALIST 1 PROJECT MANAGER 1 REIMBURSEMENT SPECIALIST 1 RESOURCE SPECIALIST 1 SENIOR PROGRAM ANALYST 1 SUPERVISOR SECURITY GUARD STT 1 TEMP/PART-TIME SALARIES 1 YAFFMP COMMUNITY LIAISON 1 YAFFMP PROGRAM SPECIALIST 1 ALLOCATED FTE COUNT 48 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 196 ACTIVITY 28001 NON-OPERATIONAL MISC FUND SUMMARY Expenses 0100 - GENERAL FUND SUPPLIES – – $43,750 OTHER SERVICES $138,950 $415,552 $380,552 CAPITAL PROJECTS – $20,368 $20,368 0100 - GENERAL FUND TOTAL $138,950 $435,920 $444,670 0101 - GENERAL FUND NON-LAPSING PERSONNEL SERVICES -$923 – – FRINGE BENEFITS -$71 – – 0101 - GENERAL FUND NON-LAPSING TOTAL -$993 – – EXPENSES TOTAL $137,957 $435,920 $444,670 EXPENDITURES MISCELLANEOUS EXPENSES BY PROJECT Projects M2613 - TERRITORIAL ACTIVE DUTY – $200,000 $200,000 M1917 - ABOUT FACE & FORWARD MARCH PROGRAM – $85,920 $94,670 M2121 - NATIONAL GUARD PENSION FUND $138,950 $150,000 $150,000 PROJECTS TOTAL $138,950 $435,920 $444,670 OFFICE OF THE ADJUTANT GENERAL - NON- OPERATIONAL MISC FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 197 ACTIVITY 28010 MAINTENANCE FUNCTIONAL STATEMENT The Maintenance Division provides supplies for building repairs and maintenance, custodial services, ground keeping, and environmental protection services for the Virgin Islands National Guard facilities. FUND SUMMARY Expenses 0100 - GENERAL FUND FRINGE BENEFITS $23,633 – – SUPPLIES $44,734 $110,217 $110,217 OTHER SERVICES $139,085 $127,558 $277,558 CAPITAL PROJECTS – $159,076 $50,000 0100 - GENERAL FUND TOTAL $207,452 $396,851 $437,775 EXPENSES TOTAL $207,452 $396,851 $437,775 OFFICE OF THE ADJUTANT GENERAL - MAINTENANCE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 198 ACTIVITY 28020 SECURITY FUNCTIONAL STATEMENT The Security Division protects all Virgin Islands National Guard personnel, facilities, and property. FUND SUMMARY Expenses 0100 - GENERAL FUND SUPPLIES – – $10,000 0100 - GENERAL FUND TOTAL – – $10,000 3100 - FEDERAL GRANTS ALL EXCEPT DOE SUPPLIES – $2,500 $0 OTHER SERVICES $19,786 $0 $2,500 UTILITY SERVICES $7,424 $7,800 $7,800 CAPITAL PROJECTS $1,935 $0 $0 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $29,145 $10,300 $10,300 EXPENSES TOTAL $29,145 $10,300 $20,300 GRANTS Expenses F2800 - NATIONAL GUARD MILITARY OPERATIONS AND MAINTENANCE (O&M) PROJECTS $1,103 $0 – F2810 - NATIONAL GUARD MILITARY OPERATIONS AND MAINTENANCE (O&M) PROJECTS $28,043 $0 – F2811 - NATIONAL GUARD MILITARY OPERATIONS AND MAINTENANCE (O&M) PROJECTS – $10,300 $10,300 EXPENSES TOTAL $29,145 $10,300 $10,300 OFFICE OF THE ADJUTANT GENERAL - SECURITY FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 199 MISSION STATEMENT The Office of Veterans Affairs advocates for Virgin Islanders who served in the military, ensuring they receive entitled services and benefits to enhance their quality of life. BUDGET SUMMARY Total Amount (FY2027) $1,219,369.00 FY27 BUDGETED RESOURCES GENERAL FUND: GENERAL FUND: $1,219,369.00 (100%) $1,219,369.00 (100%) GENERAL FUND: $1,219,369.00 (100%) GENERAL FUND FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $966,859 $1,304,369 $1,219,369 APPROPRIATED TOTAL $966,859 $1,304,369 $1,219,369 NON APPROPRIATED 0105 - SINGLE PAYER UTILITY FUND $13,563 $15,000 – NON APPROPRIATED TOTAL $13,563 $15,000 – EXPENSES TOTAL $980,421 $1,319,369 $1,219,369 OFFICE OF VETERANS AFFAIRS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 200 Data Updated: May 29, 2026, 7:44 PM Total Amount (FY2027) $1,219,369.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY OTHER SERVICES: OTHER SERVICES: $626,552.00 (51.38%) $626,552.00 (51.38%) OTHER SERVICES: $626,552.00 (51.38%) PERSONNEL SERVICES: PERSONNEL SERVICES: $339,629.00 (27.85%) $339,629.00 (27.85%) PERSONNEL SERVICES: $339,629.00 (27.85%) FRINGE BENEFITS: FRINGE BENEFITS: $186,188.00 (15.27%) $186,188.00 (15.27%) FRINGE BENEFITS: $186,188.00 (15.27%) SUPPLIES: SUPPLIES: $52,000.00 (4.26%) $52,000.00 (4.26%) SUPPLIES: $52,000.00 (4.26%) UTILITY SERVICES: UTILITY SERVICES: $15,000.00 (1.23%) $15,000.00 (1.23%) UTILITY SERVICES: $15,000.00 (1.23%) OTHER SERVICES PERSONNEL SERVICES FRINGE BENEFITS SUPPLIES UTILITY SERVICES RECOMMENDED EXPENDITURES OTHER EXPENSES MISCELLANEOUS GENERAL FUND Projects GE15V - LOTTERY CONTRIBUTIONS - VET AFFAIRS $10,722 $100,000 – M1281 - VET MEDICAL & BURIAL EXP $321,723 $450,000 $450,000 PROJECTS TOTAL $332,445 $550,000 $450,000 OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND REPAIRS & MAINTENANCE $30,787 $27,000 $15,000 AUTOMOTIVE REPAIR & MAINTENANCE $1,302 $5,000 $3,000 RENTAL OF LAND/BUILDINGS $51,961 $50,000 $50,000 RENTAL MACHINES/EQUIPMENT $14,351 $25,000 $19,552 SECURITY SERVICES $225 – – TRAINING $800 $2,022 $1,000 COMMUNICATION $24,797 $20,000 $15,000 ADVERTISING & PROMOTION $8,695 $15,000 $10,000 PRINTING AND BINDING – $5,000 $5,000 TRANSPORTATION - NOT TRAVEL $1,700 $8,000 $3,000 TRAVEL $22,211 $32,000 $20,000 TRAVEL / CASH ADVANCE $4,609 $5,000 $5,000 PURCHASE BULK AIRLINE $23,108 $20,000 $10,000 RELIEF TO INDIVIDUALS $66,777 $225,000 $225,000 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 201 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 OTHER SERVICES NOC $4,157 $25,000 $10,000 DEATH BENEFIT PAYMENTS $241,142 $225,000 $225,000 CONTR TO INDEPENDENT AGE $5,000 $10,000 $10,000 0100 - GENERAL FUND TOTAL $501,623 $699,022 $626,552 OTHER SERVICES TOTAL $501,623 $699,022 $626,552 EXPENSES TOTAL $501,623 $699,022 $626,552 LEASES GENERAL FUND Itemization Description FY2027 Amount ELAINE COMPANY, INC $50,000 AMOUNT $50,000 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE ASSISTANT 1 ADMINISTRATIVE OFFICER II 1 ADMINISTRATIVE OFFICER III 1 DIRECTOR 1 PAY PLAN ADJUSTMENTS 1 PROGRAM ADMINISTRATOR 1 VETERAN PROGRAMS COORDINATOR 1 ALLOCATED FTE COUNT 7 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE ASSISTANT 1 ADMINISTRATIVE OFFICER II 1 ALLOCATED FTE COUNT 2 ACTIVITY CENTERS 29000 - VETERANS AFFAIRS 29001 - NON-OPERATIONAL MISC FY 2027 PROPOSED EXECUTIVE BUDGET 202 The Oce of Veterans Affairs compiles veteran data, facilitates access to bene«ts, assists with claims processing, coordinates with local and federal agencies, and recommends legislation affecting veterans and their families. 0100 - GENERAL FUND PERSONNEL SERVICES $276,857 $340,519 $339,629 FRINGE BENEFITS $136,736 $165,828 $186,188 SUPPLIES $51,642 $99,000 $52,000 OTHER SERVICES $179,900 $249,022 $176,552 UTILITY SERVICES – $0 $15,000 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $13,563 $15,000 – GE15V - LOTTERY CONTRIBUTIONS - VET AFFAIRS SUPPLIES $3,572 $50,000 – OTHER SERVICES $7,150 $50,000 – FY 2027 PROPOSED EXECUTIVE BUDGET 203 0100 - GENERAL FUND OTHER SERVICES $321,723 $450,000 $450,000 M1281 - VET MEDICAL & BURIAL EXP OTHER SERVICES $321,723 $450,000 $450,000 FY 2027 PROPOSED EXECUTIVE BUDGET 204 MISSION STATEMENT The Office of the Lieutenant Governor regulates financial institutions, assesses and collects taxes, and processes documents. BUDGET SUMMARY Total Amount (FY2027) $22,742,642.00 FY27 BUDGETED RESOURCES FINANCIAL SERVICES FUND: FINANCIAL SERVICES FUND: $8,397,378.00 (36.92%) $8,397,378.00 (36.92%) FINANCIAL SERVICES FUND: $8,397,378.00 (36.92%) GENERAL FUND: GENERAL FUND: $7,661,158.00 (33.69%) $7,661,158.00 (33.69%) GENERAL FUND: $7,661,158.00 (33.69%) COMM INSURANCE ADMINISTRATION: COMM INSURANCE ADMINISTRATION: $3,428,309.00 (15.07%) $3,428,309.00 (15.07%) COMM INSURANCE ADMINISTRATION: $3,428,309.00 (15.07%) CORPORATION DIV REV FUND: CORPORATION DIV REV FUND: $2,544,699.00 (11.19%) $2,544,699.00 (11.19%) CORPORATION DIV REV FUND: $2,544,699.00 (11.19%) TAX ASSESSOR'S REVOLVING: TAX ASSESSOR'S REVOLVING: $479,597.00 (2.11%) $479,597.00 (2.11%) TAX ASSESSOR'S REVOLVING: $479,597.00 (2.11%) RECORDER OF DEEDS REVOLVING: RECORDER OF DEEDS REVOLVING: $200,000.00 (0.88%) $200,000.00 (0.88%) RECORDER OF DEEDS REVOLVING: $200,000.00 (0.88%) FINANCIAL SERVICES FUND GENERAL FUND COMM INSURANCE ADMINISTRATION CORPORATION DIV REV FUND TAX ASSESSOR'S REVOLVING RECORDER OF DEEDS REVOLVING GIS DATA ACCESS FUND FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $6,479,286 $7,869,643 $7,661,158 APPROPRIATED TOTAL $6,479,286 $7,869,643 $7,661,158 NON APPROPRIATED 2076 - CORPORATION DIV REV FUND $421,843 $708,359 $2,544,699 2082 - TAX ASSESSOR'S REVOLVING $466,465 $500,000 $479,597 2110 - COMM INSURANCE ADMINISTRATION $2,618,193 $3,339,991 $3,428,309 6051 - GIS DATA ACCESS FUND – $25,000 $31,501 6104 - RECORDER OF DEEDS REVOLVING $141,817 $148,004 $200,000 9004 - SPECIAL DEPOSTS FUND – $1,100,315 – 2103 - FINANCIAL SERVICES FUND $4,663,085 $1,617,404 $8,397,378 2109 - VI INSURANCE GUARANTY NON-LAPS $3,000,000 $500,000 – 8001 - ASSET RECOVERY FUND – $288,292 – NON APPROPRIATED TOTAL $11,311,402 $8,227,365 $15,081,484 Description pending 2083 - TAX ASSESSOR'S RV FD NON-LAPSE – $613,155 – 2081 - CORPORATION DIV FD NONLAPSING – $1,167,887 – 6105 - RECORDER OF DEEDS REVOLVING – $612,257 – DESCRIPTION PENDING TOTAL – $2,393,299 – OFFICE OF THE LIEUTENANT GOVERNOR FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 EXPENSES TOTAL $17,790,688 $18,490,307 $22,742,642 FY 2027 PROPOSED EXECUTIVE BUDGET 205 Total Amount (FY2027) $7,661,158.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $4,931,832.00 (64.37%) $4,931,832.00 (64.37%) PERSONNEL SERVICES: $4,931,832.00 (64.37%) FRINGE BENEFITS: FRINGE BENEFITS: $2,729,326.00 (35.63%) $2,729,326.00 (35.63%) FRINGE BENEFITS: $2,729,326.00 (35.63%) PERSONNEL SERVICES FRINGE BENEFITS RECOMMENDED EXPENDITURES OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND PROFESSIONAL SERVICES $33,313 – – 0100 - GENERAL FUND TOTAL $33,313 – $0 2076 - CORPORATION DIV REV FUND REPAIRS & MAINTENANCE – $3,900 $0 RENTAL OF LAND/BUILDINGS $91,839 $118,923 $1,021,334 PROFESSIONAL SERVICES $327,554 $547,621 $666,680 TRAINING – $4,800 $0 ADVERTISING & PROMOTION – $1,800 $0 PRINTING AND BINDING – $500 $0 TRANSPORTATION - NOT TRAVEL – $1,350 $9,000 TRAVEL – $2,000 $0 OTHER SERVICES NOC – $515 $0 2076 - CORPORATION DIV REV FUND TOTAL $419,393 $681,409 $1,697,014 2082 - TAX ASSESSOR'S REVOLVING MEMBERSHIP DUES $2,280 – – REPAIRS & MAINTENANCE $320 – – AUTOMOTIVE REPAIR & MAINTENANCE $400 $2,000 $0 RENTAL OF LAND/BUILDINGS $80,000 $93,807 $127,947 PROFESSIONAL SERVICES $365,000 $379,567 $336,000 TRAINING – $500 $0 TRANSPORTATION - NOT TRAVEL – – $650 TRAVEL $233 $826 $0 2082 - TAX ASSESSOR'S REVOLVING TOTAL $448,233 $476,700 $464,597 6104 - RECORDER OF DEEDS REVOLVING REPAIRS & MAINTENANCE – $4,800 $0 RENTAL OF LAND/BUILDINGS $80,000 $105,296 $106,328 PROFESSIONAL SERVICES $60,662 – $81,312 TRANSPORTATION - NOT TRAVEL – $9,500 $900 TRAVEL – $608 $0 6104 - RECORDER OF DEEDS REVOLVING TOTAL $140,662 $120,204 $188,540 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 206 2103 - FINANCIAL SERVICES FUND CREDIT CARD EXPENSES $112,506 $0 $150,000 MEMBERSHIP DUES $22,686 $0 $25,000 REPAIRS & MAINTENANCE $151,048 $0 $170,000 AUTOMOTIVE REPAIR & MAINTENANCE $241 $0 $6,500 RENTAL OF LAND/BUILDINGS $1,151,380 $1,101,704 $1,021,334 RENTAL MACHINES/EQUIPMENT $271,249 $0 $275,000 PROFESSIONAL SERVICES $789,418 $0 $732,333 SECURITY SERVICES $225,310 $234,000 $234,000 TRAINING – $0 $22,500 COMMUNICATION $274,701 $0 $295,000 ADVERTISING & PROMOTION $2,115 $0 $110,000 PRINTING AND BINDING $62 $0 $6,000 TRANSPORTATION - NOT TRAVEL $27,732 $0 $30,500 TRAVEL $31,388 $0 $75,000 TRAVEL / CASH ADVANCE $16,994 $7,800 $15,000 PURCHASE BULK AIRLINE $9,858 $0 $30,700 JUDGEMENTS INDEMNITIES $69,000 $0 – OTHER SERVICES NOC $2,123 $0 $90,000 2103 - FINANCIAL SERVICES FUND TOTAL $3,157,810 $1,343,504 $3,288,867 2109 - VI INSURANCE GUARANTY NON-LAPS PROFESSIONAL SERVICES – $500,000 – 2109 - VI INSURANCE GUARANTY NON-LAPS TOTAL – $500,000 – 8001 - ASSET RECOVERY FUND GRANTS/IND GOVT AGENCIES – $288,292 – 8001 - ASSET RECOVERY FUND TOTAL – $288,292 – 2083 - TAX ASSESSOR'S RV FD NON-LAPSE – $283,287 – 2081 - CORPORATION DIV FD NONLAPSING – $954,838 – 6105 - RECORDER OF DEEDS REVOLVING – $487,424 – OTHER SERVICES TOTAL $4,199,411 $5,135,658 $5,639,018 MISCELLANEOUS 0100 - GENERAL FUND REFUNDS $30,340 $100,000 – 0100 - GENERAL FUND TOTAL $30,340 $100,000 – 9004 - SPECIAL DEPOSTS FUND – $1,100,315 – 2109 - VI INSURANCE GUARANTY NON-LAPS TRANSFER OUT SPECIAL/OTHER $3,000,000 $0 – 2109 - VI INSURANCE GUARANTY NON-LAPS TOTAL $3,000,000 $0 – MISCELLANEOUS TOTAL $3,030,340 $1,200,315 – EXPENSES TOTAL $7,229,751 $6,335,973 $5,639,018 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 207 PROFESSIONAL SERVICES RECORDER OF DEEDS REVOLVING Itemization Description FY2027 Amount GOVOS, INC. $81,312 AMOUNT $81,312 LEASES FINANCIAL SERVICE FUND Itemization Description FY2027 Amount ST. THOMAS PROPERTIES, LLC $1,021,334 AMOUNT $1,021,334 LEASES TAX ASSESSOR'S REVOLVING FUND Itemization Description FY2027 Amount VI HOUSING FINANCE AUTHORITY $127,947 AMOUNT $127,947 PROFESSIONAL SERVIECES CORPORATION DIV REV Itemization Description FY2027 Amount FOSTER MOORE US, LLC $666,680 AMOUNT $666,680 PROFESSIONAL SERVICES FINANCIAL SERVICES FUND Itemization Description FY2027 Amount FOSTER MOORE US, LLC $732,333 AMOUNT $732,333 PROFESSIONAL SERVICES TAX ASSESSOR'S REVOLVING Itemization Description FY2027 Amount E-RING SOFTWARE SOLUTION, INC $336,000 AMOUNT $336,000 FY 2027 PROPOSED EXECUTIVE BUDGET 208 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE AIDE 2 ADMINISTRATIVE ASSISTANT 5 ADMINISTRATIVE ASSISTANT SUPERVISOR 3 ADMINISTRATIVE COORDINATOR 3 ADMINISTRATIVE OFFICER I 1 ADMINISTRATIVE OFFICER III 1 APPRAISER SUPERVISOR 1 ASSISTANT APPRAISER 2 ASSISTANT DIRECTOR BANKS & INSURANCE 1 ASSISTANT DIRECTOR CORPORATION & TRADEMARKS 1 ASSISTANT TAX ASSESSOR 1 BANKING & INSURANCE SPECIALIST 1 BANKS & INSURANCE REGULATORY ANALYST 1 BUILDING APPRAISER 5 CADASTRAL TECHNICIAN 4 CASHIER I 1 CASHIER II 3 CHIEF EXAMINER INSURANCE 1 CHIEF INSURANCE LICENSING EXAMINER 1 CHIEF OF OTHER FINANCIALS 1 CHIEF OF SECURITIES REGULATIONS 1 CHIEF OF STAFF 1 CHIEF REVENUE COLLECTOR 2 COMPUTER ESTIMATED EVALUATION SPECIALIST 1 CONSUMER PROTECTION & EDUCATION OFFICER 1 COORDINATOR ADMINISTRATIVE SERVICES 1 CORPORATE EXAMINER 2 CUSTODIAL WORKER 1 DATA ENTRY OPERATOR II 3 DEPUTY TAX ASSESSOR 2 DIRECTOR BANKS & INSURANCE 1 DIRECTOR BUSINESS & FINANCIAL MANAGEMENT 1 DIRECTOR CORPORATION & TRADEMARKS 1 DIRECTOR OF MANAGEMENT INFORMATION SYSTEMS 1 DISTRICT MANAGER, CORPORATIONS & TRADEMARK 1 DISTRICT PASSPORT SERVICES SUPERVISOR 1 DISTRICT RECORDER OF DEEDS 2 EXECUTIVE ASSISTANT SURVEY & DEEDS 1 EXECUTIVE ASSISTANT TO LIEUTENANT GOVERNOR 1 EXECUTIVE SECRETARY 1 FACILITIES ENGINEER 1 FINANCIAL MANAGEMENT SUPERVISOR 1 FINANCIAL SERVICE EXAMINER 11 FRANCHISE TAX AUDITOR 2 GEOSPATIAL INFORMATION SYSTEMS ADMINISTRATOR 1 GEOSPATIAL INFORMATION SYSTEMS ANALYST 1 GOESPATIAL INFORMATION SYSTEMS MAPPING TECHNICIAN 1 HUMAN RESOURCES & FISCAL ADMINISTRATOR 1 INSURANCE LICENSE EXAMINER 4 JUNIOR CORPORATE EXAMINER 2 LEGAL COUNSEL 1 LEGAL COUNSEL FOR THE LT. GOVERNOR 1 LIEUTENANT GOVERNOR 1 MAINTENANCE TECHNICIAN 1 MEDICARE SERVICES TECHNICIAN 3 FY 2027 PROPOSED EXECUTIVE BUDGET 209 Position Name FY2027 OVERTIME 5 PASSPORT EXAMINER 3 REAL PROPERTY RECORD OFFICER 7 REAL PROPERTY TAX APPRAISER I 12 REAL PROPERTY TAX COLLECTOR I 4 SECURITIES REGISTRATION EXAMINER 2 SECURITY AIDE 4 SENIOR FACILITY ENGINEER 2 SPECIAL ADVISOR 1 SPECIAL ASSISTANT 1 SPECIAL ASSISTANT LEGAL 1 SPECIAL ASSISTANT TO BANKS & INSURANCE 1 SPECIAL ASSISTANT TO LT GOVERNOR 2 SPECIAL ASSISTANT TO TAX ASSESSOR 1 SUPERVISOR OF APPRAISERS 1 SUPERVISOR PASSPORT 1 SURVEYOR 1 SYSTEM ANALYST I 2 SYSTEM ANALYST II 2 TAX ASSESSOR 1 TAX COLLECTOR 1 TELLER I 8 TELLER II 1 UNCLAIMED PROPERTY SPECIALIST 1 VI SHIP/MEDICARE COORDINATOR 1 ALLOCATED FTE COUNT 163 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE ASSISTANT 1 ADMINISTRATIVE COORDINATOR 1 APPRAISER SUPERVISOR 1 BANKS & INSURANCE REGULATORY ANALYST 1 CADASTRAL TECHNICIAN 3 CHIEF INSURANCE LICENSING EXAMINER 1 CHIEF OF SECURITIES REGULATIONS 1 CHIEF OF STAFF 1 COMPUTER ESTIMATED EVALUATION SPECIALIST 1 CONSUMER PROTECTION & EDUCATION OFFICER 1 FINANCIAL SERVICE EXAMINER 2 FRANCHISE TAX AUDITOR 2 INSURANCE LICENSE EXAMINER 2 MAINTENANCE TECHNICIAN 1 PASSPORT EXAMINER 1 REAL PROPERTY RECORD OFFICER 1 REAL PROPERTY TAX APPRAISER I 9 SENIOR FACILITY ENGINEER 1 SPECIAL ADVISOR 1 SPECIAL ASSISTANT 1 SUPERVISOR OF APPRAISERS 1 TELLER I 2 TELLER II 1 ALLOCATED FTE COUNT 37 ACTIVITY CENTERS 30000 - ADMINISTRATION 30100 - REAL PROPERTY TAX DIVISION 30120 - OFFICE OF THE TAX COLLECTOR 30200 - RECORDER OF DEEDS 30300 - BANKING, INSURANCE, & FINANCIAL REGULATION 30400 - CORPORATIONS & TRADEMARKS 99300 - MISC LT GOVERNOR FY 2027 PROPOSED EXECUTIVE BUDGET 210 ACTIVITY 30000 ADMINISTRATION FUNCTIONAL STATEMENT The Administration oversees the daily operations of the Office of the Lieutenant Governor. It facilitates the procurement of goods and services, centralizes all personnel activities and financial records, and administers the regulation of the passport and notary process. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $1,442,813 $1,881,786 $1,511,149 FRINGE BENEFITS $673,273 $738,519 $785,547 OTHER SERVICES $33,313 – – 0100 - GENERAL FUND TOTAL $2,149,398 $2,620,305 $2,296,696 6051 - GIS DATA ACCESS FUND SUPPLIES – $25,000 $31,501 6051 - GIS DATA ACCESS FUND TOTAL – $25,000 $31,501 2109 - VI INSURANCE GUARANTY NON-LAPS MISCELLANEOUS $3,000,000 $0 – 2109 - VI INSURANCE GUARANTY NON-LAPS TOTAL $3,000,000 $0 – 8001 - ASSET RECOVERY FUND OTHER SERVICES – $288,292 – 8001 - ASSET RECOVERY FUND TOTAL – $288,292 – EXPENSES TOTAL $5,149,398 $2,933,597 $2,328,197 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE AIDE 1 ADMINISTRATIVE OFFICER I 1 CASHIER I 1 CASHIER II 3 CHIEF REVENUE COLLECTOR 2 CUSTODIAL WORKER 1 DIRECTOR BUSINESS & FINANCIAL MANAGEMENT 1 DISTRICT PASSPORT SERVICES SUPERVISOR 1 EXECUTIVE SECRETARY 1 FACILITIES ENGINEER 1 FINANCIAL MANAGEMENT SUPERVISOR 1 HUMAN RESOURCES & FISCAL ADMINISTRATOR 1 LIEUTENANT GOVERNOR 1 PASSPORT EXAMINER 3 SECURITY AIDE 4 OFFICE OF LIEUTENANT GOVERNOR - ADMINISTRATION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 211 Position Name FY2027 SENIOR FACILITY ENGINEER 1 SPECIAL ASSISTANT TO LT GOVERNOR 1 SUPERVISOR PASSPORT 1 TELLER I 4 ALLOCATED FTE COUNT 30 FY 2027 PROPOSED EXECUTIVE BUDGET 212 ACTIVITY 30100 REAL PROPERTY TAX DIVISION FUNCTIONAL STATEMENT Real Property Tax Assessment assesses all real property, updates tax maps to levels of acceptance for locating real property, maintains an updated tax assessment roll for federally and locally owned property and issues bills. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $1,624,978 $1,971,841 $1,971,841 FRINGE BENEFITS $856,061 $1,032,605 $1,032,605 OTHER SERVICES $1,074,063 – – MISCELLANEOUS $30,340 $100,000 $100,000 0100 - GENERAL FUND TOTAL $3,585,442 $3,104,446 $3,104,446 2082 - TAX ASSESSOR'S REVOLVING SUPPLIES $18,232 $20,300 $20,300 OTHER SERVICES $448,233 $476,700 $476,700 UTILITY SERVICES – $3,000 $3,000 2082 - TAX ASSESSOR'S REVOLVING TOTAL $466,465 $500,000 $500,000 9004 - SPECIAL DEPOSTS FUND – $1,100,315 $1,100,315 2083 - TAX ASSESSOR'S RV FD NON-LAPSE – $613,155 $613,155 EXPENSES TOTAL $4,051,907 $5,317,916 $5,317,916 OFFICE OF LIEUTENANT GOVERNOR - REAL PROPERTY TAX DIVISION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2026 FY 2027 PROPOSED EXECUTIVE BUDGET 213 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE ASSISTANT 1 ADMINISTRATIVE ASSISTANT SUPERVISOR 2 ADMINISTRATIVE OFFICER III 1 APPRAISER SUPERVISOR 1 ASSISTANT APPRAISER 2 ASSISTANT TAX ASSESSOR 1 BUILDING APPRAISER 5 CADASTRAL TECHNICIAN 4 COMPUTER ESTIMATED EVALUATION SPECIALIST 1 COORDINATOR ADMINISTRATIVE SERVICES 1 DATA ENTRY OPERATOR II 3 DEPUTY TAX ASSESSOR 2 EXECUTIVE ASSISTANT SURVEY & DEEDS 1 GEOSPATIAL INFORMATION SYSTEMS ADMINISTRATOR 1 GEOSPATIAL INFORMATION SYSTEMS ANALYST 1 GOESPATIAL INFORMATION SYSTEMS MAPPING TECHNICIAN 1 REAL PROPERTY RECORD OFFICER 3 REAL PROPERTY TAX APPRAISER I 12 SPECIAL ASSISTANT TO TAX ASSESSOR 1 SUPERVISOR OF APPRAISERS 1 SURVEYOR 1 TAX ASSESSOR 1 ALLOCATED FTE COUNT 47 FY 2027 PROPOSED EXECUTIVE BUDGET 214 ACTIVITY 30120 OFFICE OF THE TAX COLLECTOR FUNCTIONAL STATEMENT The Office of the Tax Collector collects all real property taxes for the Territory, issues property tax clearance letters, enforces payments, and updates all records. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES – – $583,640 FRINGE BENEFITS – – $329,575 0100 - GENERAL FUND TOTAL – – $913,215 EXPENSES TOTAL – – $913,215 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE ASSISTANT SUPERVISOR 1 REAL PROPERTY TAX COLLECTOR I 4 TAX COLLECTOR 1 TELLER I 4 TELLER II 1 ALLOCATED FTE COUNT 11 OFFICE OF LIEUTENANT GOVERNOR - OFFICE OF THE TAX COLLECTOR FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 215 ACTIVITY 30200 RECORDER OF DEEDS FUNCTIONAL STATEMENT The Recorder of Deeds manages the recording and filing of various legal documents such as deeds, mortgages, contracts, liens, and releases pertaining to property transfers. Additionally, it supervises the sale of revenue stamps. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $301,348 $307,631 $307,631 FRINGE BENEFITS $170,316 $177,666 $183,907 0100 - GENERAL FUND TOTAL $471,664 $485,297 $491,538 6104 - RECORDER OF DEEDS REVOLVING SUPPLIES $1,155 $22,900 $11,460 OTHER SERVICES $140,662 $120,204 $188,540 UTILITY SERVICES – $4,900 $0 6104 - RECORDER OF DEEDS REVOLVING TOTAL $141,817 $148,004 $200,000 6105 - RECORDER OF DEEDS REVOLVING – $612,257 – EXPENSES TOTAL $613,481 $1,245,558 $691,538 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count DISTRICT RECORDER OF DEEDS 2 REAL PROPERTY RECORD OFFICER 4 ALLOCATED FTE COUNT 6 OFFICE OF LIEUTENANT GOVERNOR - RECORDER OF DEEDS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 216 ACTIVITY 30300 BANKING, INSURANCE, & FINANCIAL REGULATION FUNCTIONAL STATEMENT The Division of Banking, Insurance and Financial Regulation is dedicated to regulating and licensing banking, insurance, financial services, and securities sectors while safeguarding consumer interests. Additionally, the V.I. Ship Program offers vital health insurance counseling and services tailored to Medicare, Medicaid, Medigap, Long Term Care, and other health insurance benefits. FUND SUMMARY Expenses 2110 - COMM INSURANCE ADMINISTRATION PERSONNEL SERVICES $1,768,122 $2,256,149 $2,259,159 FRINGE BENEFITS $850,071 $1,083,842 $1,169,150 2110 - COMM INSURANCE ADMINISTRATION TOTAL $2,618,193 $3,339,991 $3,428,309 2103 - FINANCIAL SERVICES FUND PERSONNEL SERVICES $733,088 $0 $1,069,395 FRINGE BENEFITS $305,405 $0 $484,816 SUPPLIES $181,934 $28,900 $706,300 OTHER SERVICES $3,157,810 $1,343,504 $3,288,867 UTILITY SERVICES $277,387 $245,000 $278,000 CAPITAL PROJECTS $7,460 $0 $2,570,000 2103 - FINANCIAL SERVICES FUND TOTAL $4,663,085 $1,617,404 $8,397,378 2109 - VI INSURANCE GUARANTY NON-LAPS OTHER SERVICES – $500,000 – 2109 - VI INSURANCE GUARANTY NON-LAPS TOTAL – $500,000 – EXPENSES TOTAL $7,281,278 $5,457,395 $11,825,687 OFFICE OF LIEUTENANT GOVERNOR - BANKING, INSURANCE, & FINANCIAL REGULATION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 217 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE AIDE 1 ADMINISTRATIVE ASSISTANT 4 ADMINISTRATIVE COORDINATOR 3 ASSISTANT DIRECTOR BANKS & INSURANCE 1 BANKING & INSURANCE SPECIALIST 1 BANKS & INSURANCE REGULATORY ANALYST 1 CHIEF EXAMINER INSURANCE 1 CHIEF INSURANCE LICENSING EXAMINER 1 CHIEF OF OTHER FINANCIALS 1 CHIEF OF SECURITIES REGULATIONS 1 CHIEF OF STAFF 1 CONSUMER PROTECTION & EDUCATION OFFICER 1 DIRECTOR BANKS & INSURANCE 1 DIRECTOR OF MANAGEMENT INFORMATION SYSTEMS 1 EXECUTIVE ASSISTANT TO LIEUTENANT GOVERNOR 1 FINANCIAL SERVICE EXAMINER 11 INSURANCE LICENSE EXAMINER 4 LEGAL COUNSEL 1 LEGAL COUNSEL FOR THE LT. GOVERNOR 1 MAINTENANCE TECHNICIAN 1 MEDICARE SERVICES TECHNICIAN 3 SECURITIES REGISTRATION EXAMINER 2 SENIOR FACILITY ENGINEER 1 SPECIAL ADVISOR 1 SPECIAL ASSISTANT 1 SPECIAL ASSISTANT LEGAL 1 SPECIAL ASSISTANT TO BANKS & INSURANCE 1 SPECIAL ASSISTANT TO LT GOVERNOR 1 SYSTEM ANALYST I 2 SYSTEM ANALYST II 2 UNCLAIMED PROPERTY SPECIALIST 1 VI SHIP/MEDICARE COORDINATOR 1 ALLOCATED FTE COUNT 55 FY 2027 PROPOSED EXECUTIVE BUDGET 218 ACTIVITY 30400 CORPORATIONS AND TRADEMARKS FUNCTIONAL STATEMENT The Corporation and Trademarks department processes registrations and applications for various business entities, ensuring their status is maintained, while also managing the Territory’s Uniform Commercial Code (UCC) registry. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $359,765 $496,926 $0 FRINGE BENEFITS $180,396 $264,254 $0 0100 - GENERAL FUND TOTAL $540,160 $761,180 $0 2076 - CORPORATION DIV REV FUND PERSONNEL SERVICES – – $487,409 FRINGE BENEFITS – – $280,838 SUPPLIES $2,450 $18,950 $79,438 OTHER SERVICES $419,393 $681,409 $1,697,014 UTILITY SERVICES – $8,000 $0 2076 - CORPORATION DIV REV FUND TOTAL $421,843 $708,359 $2,544,699 2081 - CORPORATION DIV FD NONLAPSING – $1,167,887 – EXPENSES TOTAL $962,003 $2,637,426 $2,544,699 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT DIRECTOR CORPORATION & TRADEMARKS 1 CORPORATE EXAMINER 2 DIRECTOR CORPORATION & TRADEMARKS 1 DISTRICT MANAGER, CORPORATIONS & TRADEMARK 1 FRANCHISE TAX AUDITOR 2 JUNIOR CORPORATE EXAMINER 2 ALLOCATED FTE COUNT 9 OFFICE OF LIEUTENANT GOVERNOR - CORPORATIONS AND TRADEMARKS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 219 ACTIVITY 99300 MISC. LT GOVERNOR FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $533,261 $584,390 – FRINGE BENEFITS $273,424 $314,025 – 0100 - GENERAL FUND TOTAL $806,685 $898,415 – EXPENSES TOTAL $806,685 $898,415 – OFFICE OF THE LIEUTENANT - MISCELLANEOUS LT GOVERNOR FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 220 MISSION STATEMENT To enhance voluntary compliance and ensure quality service through taxpayer education and consistent application of the laws to provide budgetary resources for improving the quality of life for USVI residents. BUDGET SUMMARY Total Amount (FY2027) $14,410,950.00 FY27 BUDGETED RESOURCES GENERAL FUND: GENERAL FUND: $14,410,950.00 (100%) $14,410,950.00 (100%) GENERAL FUND: $14,410,950.00 (100%) GENERAL FUND FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $13,160,997 $14,013,448 $14,410,950 APPROPRIATED TOTAL $13,160,997 $14,013,448 $14,410,950 FEDERAL 3100 - FEDERAL GRANTS ALL EXCEPT DOE $492,740 $0 – FEDERAL TOTAL $492,740 $0 – NON APPROPRIATED 0105 - SINGLE PAYER UTILITY FUND $326,561 $385,753 – NON APPROPRIATED TOTAL $326,561 $385,753 – EXPENSES TOTAL $13,980,298 $14,399,201 $14,410,950 BUREAU OF INTERNAL REVENUE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 221 Data Updated: May 27, 2026, 5:40 PM Total Amount (FY2027) $14,410,950.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $7,484,955.00 (51.94%) $7,484,955.00 (51.94%) PERSONNEL SERVICES: $7,484,955.00 (51.94%) FRINGE BENEFITS: FRINGE BENEFITS: $4,197,574.00 (29.13%) $4,197,574.00 (29.13%) FRINGE BENEFITS: $4,197,574.00 (29.13%) OTHER SERVICES: OTHER SERVICES: $2,025,820.00 (14.06%) $2,025,820.00 (14.06%) OTHER SERVICES: $2,025,820.00 (14.06%) UTILITY SERVICES: UTILITY SERVICES: $393,601.00 (2.73%) $393,601.00 (2.73%) UTILITY SERVICES: $393,601.00 (2.73%) SUPPLIES: SUPPLIES: $309,000.00 (2.14%) $309,000.00 (2.14%) SUPPLIES: $309,000.00 (2.14%) PERSONNEL SERVICES FRINGE BENEFITS OTHER SERVICES UTILITY SERVICES SUPPLIES RECOMMENDED EXPENDITURES OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND CREDIT CARD EXPENSES – – $15,000 REPAIRS & MAINTENANCE $513,336 $461,476 $140,467 AUTOMOTIVE REPAIR & MAINTENANCE $4,505 $6,500 $5,000 RENTAL OF LAND/BUILDINGS $942,072 $947,704 $982,388 RENTAL MACHINES/EQUIPMENT $178,177 $180,000 $197,600 PROFESSIONAL SERVICES $225,467 $299,090 $207,065 SECURITY SERVICES $150,833 $140,000 $150,000 TRAINING $3,097 $15,000 $15,000 COMMUNICATION $435,526 $220,000 $220,000 ADVERTISING & PROMOTION $25,400 $10,000 $15,300 PRINTING AND BINDING – $5,000 $0 TRANSPORTATION - NOT TRAVEL $15,467 $25,000 $20,000 TRAVEL $33,435 $30,000 $20,000 TRAVEL / CASH ADVANCE $16,765 $7,500 $17,000 PURCHASE BULK AIRLINE $6,000 $12,500 $6,000 OTHER SERVICES NOC $4,434 – $15,000 0100 - GENERAL FUND TOTAL $2,554,514 $2,359,770 $2,025,820 3100 - FEDERAL GRANTS ALL EXCEPT DOE PROFESSIONAL SERVICES $401,447 $0 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $401,447 $0 – OTHER SERVICES TOTAL $2,955,961 $2,359,770 $2,025,820 EXPENSES TOTAL $2,955,961 $2,359,770 $2,025,820 PROFESSIONAL SERVICES GENERAL FUND Itemization Description FY2027 Amount WILSON JANITORIAL $23,050 CLIFFORD PARKER $75,000 PROSPERITY CLEANING $24,565 SPOTLESS CLEANERS, LLC $84,450 AMOUNT $207,065 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 222 LEASES GENERAL FUND Itemization Description FY2027 Amount PRIME STORAGE ST. THOMAS $152,720 ST. THOMAS PROPERTIES, LLC $53,762 VI PORT AUTHORITY ST. THOMAS $12,000 FIRST BANK OF PUERTO RICO - EAST END PLAZA $759,054 PRIME STORAGE ST. CROIX $4,852 AMOUNT $982,388 GRANTS SUMMARY Projects CDBG F3404 - ECONOMIC, SOCIAL, & POLITICAL DEVEL $492,740 $0 – CDBG TOTAL $492,740 $0 – PROJECTS TOTAL $492,740 $0 – ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 223 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE SPECIALIST 1 ASSISTANT CHIEF DELINQUENT ACCOUNTS & RETURN BRANCH 1 ASSISTANT CHIEF OF AUDIT 1 ASSISTANT CHIEF OF PROCESSING 1 CHIEF COMPUTER OPERATIONS 1 CHIEF COUNSEL 1 CHIEF FINANCIAL OFFICER 1 CHIEF OF AUDIT 1 CHIEF OF DELINQUENT ACCOUNTS & RETURN BRANCH 1 DATA ENTRY REPAIR OPERATOR 5 DEPUTY DIRECTOR 1 DIRECTOR INTERNAL REVENUE 1 EXCISE TAX OFFICER 2 FACILITY OFFICER 1 FEDERAL DISCLOSURE OFFICER 1 HELP DESK SPECIALIST 4 HUMAN RESOURCES DIRECTOR 1 LOCAL TAX EXAMINER 4 MESSENGER/MAILROOM CLERK 1 NETWORK SYSTEMS MANAGER 1 PBX OPERATOR/RECEPTIONIST 5 REVENUE AGENT 1 REVENUE AGENT TRAINEE 11 REVENUE OFFICER TRAINEE 8 REVENUE REPRESENTATIVE 2 SENIOR APPLICATION DEVELOPER 2 SENIOR EXCISE TAX OFFICER 5 SENIOR REVENUE AGENT 2 SENIOR REVENUE OFFICER 6 SENIOR TAX REGISTRATION CLERK 1 SENIOR TAX REGISTRATION DEPOSIT CLERK 1 SENIOR TAX REGISTRATION TELLER 3 SENIOR TAX TECHNICIAN 1 SENIOR US CLAIMS OFFICER 1 SPECIAL ASSISTANT 3 SPECIAL PROJECTS ADMINISTRATOR 1 SUPERVISOR ASSESSMENT OFFICER 1 SUPERVISOR COLLECTION 2 SUPERVISOR EXCISE TAX 1 SUPERVISOR LOCAL TAX EXAMINER 1 SUPERVISOR TAX CORRECTION EXAMINER 1 SUPERVISOR WITHHOLDING TAX EXAMINER 1 TASK FORCE FINANCIAL ANALYST 2 TAX COMPUTER PROGRAMMER 1 TAX ERROR CORRECTION EXAMINER 5 TAX MANAGEMENT ASSISTANT 3 TAX REGISTRATION & DEPOSIT CLERK 2 TAX REGISTRATION TELLER 14 TAX RETURN CONTROLLER 3 TAX REVENUE CLERK 2 TAX SUPPORT SPECIALIST 1 TAX SYSTEM ANALYST 1 TAX SYSTEM PROGRAM ANALYST 1 TELECOMMUNICATION/DATA ADMINISTRATOR 1 TERRITORIAL REVENUE AUDITOR 1 FY 2027 PROPOSED EXECUTIVE BUDGET 224 Position Name FY2027 US CLAIMS OFFICER 1 WITHHOLDING TAX EXAMINER 4 ALLOCATED FTE COUNT 133 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count EXCISE TAX OFFICER 1 FACILITY OFFICER 1 FEDERAL DISCLOSURE OFFICER 1 LOCAL TAX EXAMINER 1 PBX OPERATOR/RECEPTIONIST 1 REVENUE AGENT TRAINEE 4 REVENUE OFFICER TRAINEE 5 REVENUE REPRESENTATIVE 2 SENIOR EXCISE TAX OFFICER 1 TAX ERROR CORRECTION EXAMINER 3 TAX REGISTRATION TELLER 5 WITHHOLDING TAX EXAMINER 1 ALLOCATED FTE COUNT 26 ACTIVITY CENTERS 34000 - DIRECTOR'S OFFICE 34010 - AUDIT ENFORCEMENT 34020 - PROCESSING BRANCH 34030 - DELINQUENT ACCOUNTS AND RETURNS 34050 - COMPUTER OPERATIONS FY 2027 PROPOSED EXECUTIVE BUDGET 225 ACTIVITY 34000 DIRECTOR'S OFFICE FUNCTIONAL STATEMENT The Director's Office administers and enforces Internal Revenue tax laws and ensures taxpayer compliance in the Virgin Islands. It includes the Office of the Chief Counsel, Criminal Investigation Division, Reviewer/Conferee, and Federal Disclosure Units. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $1,210,401 $1,392,324 $1,392,324 FRINGE BENEFITS $429,142 $504,815 $504,815 SUPPLIES $269,239 $277,000 $277,000 OTHER SERVICES $2,554,514 $2,359,770 $2,359,770 UTILITY SERVICES $9,408 -$3,901 -$3,901 CAPITAL PROJECTS $60,698 – – 0100 - GENERAL FUND TOTAL $4,533,403 $4,530,007 $4,530,007 3100 - FEDERAL GRANTS ALL EXCEPT DOE SUPPLIES $20,561 $99,284 $99,284 OTHER SERVICES $401,447 $0 $0 CAPITAL PROJECTS $70,731 -$99,284 -$99,284 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $492,740 $0 $0 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $326,561 $385,753 $385,753 0105 - SINGLE PAYER UTILITY FUND TOTAL $326,561 $385,753 $385,753 EXPENSES TOTAL $5,352,704 $4,915,760 $4,915,760 GRANTS Expenses F3404 - ECONOMIC, SOCIAL, & POLITICAL DEVEL $492,740 $0 – EXPENSES TOTAL $492,740 $0 – BUREAU OF INTERNAL REVENUE - DIRECTOR'S OFFICE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2026 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 226 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE SPECIALIST 1 CHIEF COUNSEL 1 CHIEF FINANCIAL OFFICER 1 DEPUTY DIRECTOR 1 DIRECTOR INTERNAL REVENUE 1 FACILITY OFFICER 1 FEDERAL DISCLOSURE OFFICER 1 HUMAN RESOURCES DIRECTOR 1 MESSENGER/MAILROOM CLERK 1 SENIOR US CLAIMS OFFICER 1 SPECIAL ASSISTANT 2 TASK FORCE FINANCIAL ANALYST 2 US CLAIMS OFFICER 1 ALLOCATED FTE COUNT 15 FY 2027 PROPOSED EXECUTIVE BUDGET 227 ACTIVITY 34010 AUDIT ENFORCEMENT FUNCTIONAL STATEMENT Audit Enforcement maximizes voluntary compliance through field and office audit examinations, while also aiding in income tax return preparation. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $862,903 $1,030,017 $1,030,017 FRINGE BENEFITS $463,891 $569,038 $640,931 0100 - GENERAL FUND TOTAL $1,326,794 $1,599,055 $1,670,948 EXPENSES TOTAL $1,326,794 $1,599,055 $1,670,948 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT CHIEF OF AUDIT 1 CHIEF OF AUDIT 1 REVENUE AGENT 1 REVENUE AGENT TRAINEE 11 SENIOR REVENUE AGENT 2 SENIOR TAX TECHNICIAN 1 TAX MANAGEMENT ASSISTANT 1 TERRITORIAL REVENUE AUDITOR 1 ALLOCATED FTE COUNT 19 BUREAU OF INTERNAL REVENUE - AUDIT ENFORCEMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 228 ACTIVITY 34020 PROCESSING BRANCH FUNCTIONAL STATEMENT The Processing Branch handles tax return processing, revenue collection and deposit, taxpayer information maintenance, and tax collection services at ports of entry and taxpayer assistance. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $2,854,223 $3,019,758 $2,983,747 FRINGE BENEFITS $1,606,600 $1,817,340 $1,942,241 0100 - GENERAL FUND TOTAL $4,460,823 $4,837,097 $4,925,988 EXPENSES TOTAL $4,460,823 $4,837,097 $4,925,988 BUREAU OF INTERNAL REVENUE - PROCESSING BRANCH FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT CHIEF OF PROCESSING 1 DATA ENTRY REPAIR OPERATOR 5 EXCISE TAX OFFICER 2 LOCAL TAX EXAMINER 4 PBX OPERATOR/RECEPTIONIST 5 SENIOR EXCISE TAX OFFICER 5 SENIOR TAX REGISTRATION CLERK 1 SENIOR TAX REGISTRATION DEPOSIT CLERK 1 SENIOR TAX REGISTRATION TELLER 3 SPECIAL ASSISTANT 1 SPECIAL PROJECTS ADMINISTRATOR 1 SUPERVISOR ASSESSMENT OFFICER 1 SUPERVISOR COLLECTION 2 SUPERVISOR EXCISE TAX 1 SUPERVISOR LOCAL TAX EXAMINER 1 SUPERVISOR TAX CORRECTION EXAMINER 1 SUPERVISOR WITHHOLDING TAX EXAMINER 1 TAX ERROR CORRECTION EXAMINER 5 TAX REGISTRATION & DEPOSIT CLERK 2 TAX REGISTRATION TELLER 14 TAX RETURN CONTROLLER 3 TAX SUPPORT SPECIALIST 1 WITHHOLDING TAX EXAMINER 4 FY 2027 PROPOSED EXECUTIVE BUDGET 229 ACTIVITY 34030 DELINQUENT ACCOUNTS AND RETURNS FUNCTIONAL STATEMENT The Delinquent Accounts and Returns Branch collects delinquent taxes and tax returns using various collection tools and encourages voluntary compliance by assisting taxpayers in meeting their delinquent obligations. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $927,633 $1,151,467 $1,118,764 FRINGE BENEFITS $480,769 $610,774 $664,117 0100 - GENERAL FUND TOTAL $1,408,402 $1,762,240 $1,782,881 EXPENSES TOTAL $1,408,402 $1,762,240 $1,782,881 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT CHIEF DELINQUENT ACCOUNTS & RETURN BRANCH 1 CHIEF OF DELINQUENT ACCOUNTS & RETURN BRANCH 1 REVENUE OFFICER TRAINEE 8 REVENUE REPRESENTATIVE 2 SENIOR REVENUE OFFICER 6 TAX MANAGEMENT ASSISTANT 2 TAX REVENUE CLERK 2 ALLOCATED FTE COUNT 22 BUREAU OF INTERNAL REVENUE - DELINQUENT ACCOUNTS AND RETURNS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 230 ACTIVITY 34050 COMPUTER OPERATIONS FUNCTIONAL STATEMENT The Computer Operations Unit supports the automated tax administration system and data processing support services, including the creation of an Individual and Business Master Tax File, generation of tax bills, refund processing and historical database. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $1,026,679 $891,647 $891,647 FRINGE BENEFITS $404,895 $393,401 $420,292 0100 - GENERAL FUND TOTAL $1,431,575 $1,285,048 $1,311,939 EXPENSES TOTAL $1,431,575 $1,285,048 $1,311,939 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count CHIEF COMPUTER OPERATIONS 1 HELP DESK SPECIALIST 4 NETWORK SYSTEMS MANAGER 1 SENIOR APPLICATION DEVELOPER 2 TAX COMPUTER PROGRAMMER 1 TAX SYSTEM ANALYST 1 TAX SYSTEM PROGRAM ANALYST 1 TELECOMMUNICATION/DATA ADMINISTRATOR 1 ALLOCATED FTE COUNT 12 BUREAU OF INTERNAL REVENUE - COMPUTER OPERATIONS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 231 MISSION STATEMENT To provide exceptional customer service to the motoring public, fostering a safer community in the U.S. Virgin Islands. BUDGET SUMMARY Total Amount (FY2027) $7,058,454.00 FY27 BUDGETED RESOURCES GENERAL FUND: GENERAL FUND: $3,831,128.00 (54.28%) $3,831,128.00 (54.28%) GENERAL FUND: $3,831,128.00 (54.28%) PERSONALIZED LICENSE PLATE: PERSONALIZED LICENSE PLATE: $2,241,073.00 (31.75%) $2,241,073.00 (31.75%) PERSONALIZED LICENSE PLATE: $2,241,073.00 (31.75%) BUREAU OF MOTOR VEHICLES: BUREAU OF MOTOR VEHICLES: $986,253.00 (13.97%) $986,253.00 (13.97%) BUREAU OF MOTOR VEHICLES: $986,253.00 (13.97%) GENERAL FUND PERSONALIZED LICENSE PLATE BUREAU OF MOTOR VEHICLES FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $3,374,631 $3,618,944 $3,831,128 2094 - BUREAU OF MOTOR VEHICLES $947,089 $999,997 $986,253 APPROPRIATED TOTAL $4,321,721 $4,618,941 $4,817,381 NON APPROPRIATED 2120 - PERSONALIZED LICENSE PLATE $1,491,210 $1,890,589 $2,241,073 8009 - TRANSPORTATION TRUST FUND NON- $1,000,000 $1,000,000 – 6063 - CENTENNIAL SPECIAL FUND $65,997 – – 8001 - ASSET RECOVERY FUND $7,616 $0 – NON APPROPRIATED TOTAL $2,564,823 $2,890,589 $2,241,073 EXPENSES TOTAL $6,886,543 $7,509,530 $7,058,454 BUREAU OF MOTOR VEHICLES FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 232 Total Amount (FY2027) $3,831,128.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $2,402,425.00 (62.71%) $2,402,425.00 (62.71%) PERSONNEL SERVICES: $2,402,425.00 (62.71%) FRINGE BENEFITS: FRINGE BENEFITS: $1,428,703.00 (37.29%) $1,428,703.00 (37.29%) FRINGE BENEFITS: $1,428,703.00 (37.29%) PERSONNEL SERVICES FRINGE BENEFITS RECOMMENDED EXPENDITURES OTHER SERVICES Expenses OTHER SERVICES 2120 - PERSONALIZED LICENSE PLATE MEMBERSHIP DUES $3,300 $1,750 $1,950 DEBRIS REMOVAL $2,050 $2,280 $1,800 REPAIRS & MAINTENANCE $42,814 $50,000 $50,000 AUTOMOTIVE REPAIR & MAINTENANCE $479 $5,000 $2,000 RENTAL OF LAND/BUILDINGS $76,928 $169,006 $386,253 RENTAL MACHINES/EQUIPMENT $7,909 $14,940 $7,600 PROFESSIONAL SERVICES $383,828 $328,653 $379,250 SECURITY SERVICES $28,170 $29,460 $29,460 TRAINING $5,905 $6,700 $6,000 COMMUNICATION $44,349 $54,000 $35,000 ADVERTISING & PROMOTION $11,786 $50,000 $6,000 PRINTING AND BINDING $137,151 $150,000 $200,000 TRANSPORTATION - NOT TRAVEL $51,235 $70,000 $80,000 TRAVEL $28,918 $40,000 $20,000 TRAVEL / CASH ADVANCE $3,589 $9,500 $7,000 PURCHASE BULK AIRLINE $20,000 $15,000 $15,000 INSURANCE $74,965 $2,000 $10,000 OTHER SERVICES NOC $1,535 $3,000 $3,000 2120 - PERSONALIZED LICENSE PLATE TOTAL $924,911 $1,001,289 $1,240,313 6063 - CENTENNIAL SPECIAL FUND TRANSPORTATION - NOT TRAVEL $65,675 – – 6063 - CENTENNIAL SPECIAL FUND TOTAL $65,675 – – 8001 - ASSET RECOVERY FUND REPAIRS & MAINTENANCE $2,250 – – 8001 - ASSET RECOVERY FUND TOTAL $2,250 $0 – OTHER SERVICES TOTAL $992,837 $1,001,289 $1,240,313 MISCELLANEOUS 8009 - TRANSPORTATION TRUST FUND NON- TRANSFER OUT SPECIAL/OTHER $1,000,000 $1,000,000 – 8009 - TRANSPORTATION TRUST FUND NON- TOTAL $1,000,000 $1,000,000 – MISCELLANEOUS TOTAL $1,000,000 $1,000,000 – EXPENSES TOTAL $1,992,837 $2,001,289 $1,240,313 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 233 Itemization Description FY2027 Amount OMNI SYSTEMS INC. $361,050 ALTONY FERIDON DBA ALTONY PAINTING & LANDSCAPING $9,000 SF GENERAL MAINTENANCE SERVICES (LANDSCAPING STX) $6,000 DEPARTMENT OF HOMELAND SECURITY US CITIZENSHIP AND IMMIGRATION SRVS $1,800 NAPHSIS - NATIONAL ASSOCIATION OF PUBLIC HEALTH STATISTICS AND INFORMATION SYSTEMS $1,400 AMOUNT $379,250 LEASES - PERSONALIZED LICENSE PLATE FUND Itemization Description FY2027 Amount ZEFO'S ENTERPRISES, LLC (ST. CROIX LOCATION) $280,000 OTHER RENTAL OF SPACE AND PARKING $2,000 TUTU PARK MALL $104,253 AMOUNT $386,253 PROFESSIONAL SERVICES - PERSONALIZED LICENSE PLATE FUND DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTANT I 1 ADMINISTRATIVE ASSISTANT 1 ASSISTANT DIRECTOR BUREAU OF MOTOR VEHICLES 1 AUDITOR II 1 CHIEF FINANCIAL OFFICER 1 COLLECTION AGENT 1 COMPLIANCE AUDITOR 1 CUSTODIAL WORKER 3 CUSTOMER SERVICE REPRESENTATIVE 27 DEPUTY DIRECTOR OF HUMAN RESOURCES/PAYROLL & LABOR RELATIONS 1 DIRECTOR 1 EXECUTIVE ASSISTANT 1 FACILITY OFFICER 1 HUMAN RESOURCES GENERALIST 1 INFORMATION TECHNOLOGY PROJECT MANAGER 1 MOTOR VEHICLE INSPECTOR 5 MOTOR VEHICLE PROGRAM COORDINATOR 1 OFFICE MANAGER 3 PBX OPERATOR/RECEPTIONIST 2 PERSONNEL RELATIONS ADMINISTRATOR 1 RECEPTIONIST/COLLECTOR 5 SUPERVISOR OF COMMERCIAL INSPECTION 1 SYSTEM ANALYST II 2 ALLOCATED FTE COUNT 63 FY 2027 PROPOSED EXECUTIVE BUDGET 234 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count CUSTODIAL WORKER 1 CUSTOMER SERVICE REPRESENTATIVE 3 MOTOR VEHICLE INSPECTOR 1 SYSTEM ANALYST II 1 ALLOCATED FTE COUNT 6 ACTIVITY CENTERS 36000 - OFFICE OF THE DIRECTOR 36010 - ADMINISTRATION 36100 - DRIVER LICENSING AND ID 36110 - REGISTRATION AND INSPECTION 36120 - RECORDS MANAGEMENT AND INFORMATION SYSTEMS FY 2027 PROPOSED EXECUTIVE BUDGET 235 ACTIVITY 36000 OFFICE OF THE DIRECTOR FUNCTIONAL STATEMENT The Office of the Director executes and supports all functions of the Virgin Islands Bureau of Motor Vehicles, through executive management, technology resources, accounting, communications, purchasing support, facilities management, and human resources. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $223,146 $220,000 $220,000 FRINGE BENEFITS $77,931 $74,518 $78,998 0100 - GENERAL FUND TOTAL $301,077 $294,518 $298,998 8009 - TRANSPORTATION TRUST FUND NON- MISCELLANEOUS $1,000,000 $1,000,000 – 8009 - TRANSPORTATION TRUST FUND NON- TOTAL $1,000,000 $1,000,000 – 8001 - ASSET RECOVERY FUND SUPPLIES $5,366 – – OTHER SERVICES $2,250 $0 – 8001 - ASSET RECOVERY FUND TOTAL $7,616 $0 – EXPENSES TOTAL $1,308,693 $1,294,518 $298,998 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT DIRECTOR BUREAU OF MOTOR VEHICLES 1 DIRECTOR 1 ALLOCATED FTE COUNT 2 BUREAU OF MOTOR VEHICLES - OFFICE OF THE DIRECTOR FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 236 ACTIVITY 36010 ADMINISTRATION FUNCTIONAL STATEMENT The Administration section supervises and executes the daily operations of the Driver's License, ID, Registration, and Inspection activities, in consultation with the Office of the Director. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $471,580 $479,133 $508,611 FRINGE BENEFITS $257,306 $255,688 $291,268 0100 - GENERAL FUND TOTAL $728,886 $734,821 $799,879 2094 - BUREAU OF MOTOR VEHICLES PERSONNEL SERVICES $190,056 $201,368 $189,051 FRINGE BENEFITS $145,262 $102,331 $105,825 2094 - BUREAU OF MOTOR VEHICLES TOTAL $335,319 $303,699 $294,876 EXPENSES TOTAL $1,064,204 $1,038,520 $1,094,755 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTANT I 1 ADMINISTRATIVE ASSISTANT 1 CHIEF FINANCIAL OFFICER 1 DEPUTY DIRECTOR OF HUMAN RESOURCES/PAYROLL & LABOR RELATIONS 1 EXECUTIVE ASSISTANT 1 HUMAN RESOURCES GENERALIST 1 OFFICE MANAGER 3 PBX OPERATOR/RECEPTIONIST 2 PERSONNEL RELATIONS ADMINISTRATOR 1 ALLOCATED FTE COUNT 12 BUREAU OF MOTOR VEHICLES - ADMINISTRATION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 237 ACTIVITY 36100 DRIVER LICENSING AND ID FUNCTIONAL STATEMENT The Driver Licensing and Identification section administers written and driving tests and issues Driver Licenses and ID Cards to qualified applicants. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $557,444 $644,878 $604,602 FRINGE BENEFITS $341,234 $384,710 $390,701 0100 - GENERAL FUND TOTAL $898,678 $1,029,588 $995,303 EXPENSES TOTAL $898,678 $1,029,588 $995,303 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count COLLECTION AGENT 1 CUSTOMER SERVICE REPRESENTATIVE 11 RECEPTIONIST/COLLECTOR 3 ALLOCATED FTE COUNT 15 BUREAU OF MOTOR VEHICLES - DRIVER LICENSING AND ID FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 238 ACTIVITY 36110 REGISTRATION AND INSPECTION FUNCTIONAL STATEMENT The Registration and Inspection section validates certificates of title and registration data, and ensures vehicles are roadworthy and insured. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $895,644 $876,457 $893,487 FRINGE BENEFITS $550,347 $528,597 $580,849 0100 - GENERAL FUND TOTAL $1,445,991 $1,405,054 $1,474,336 2094 - BUREAU OF MOTOR VEHICLES PERSONNEL SERVICES $275,706 $287,870 $286,911 FRINGE BENEFITS $186,519 $188,252 $204,244 SUPPLIES – $21,583 $0 2094 - BUREAU OF MOTOR VEHICLES TOTAL $462,225 $497,706 $491,155 2120 - PERSONALIZED LICENSE PLATE PERSONNEL SERVICES $4,119 – – FRINGE BENEFITS $2,272 – – SUPPLIES $437,152 $615,300 $535,760 OTHER SERVICES $924,911 $1,001,289 $1,230,313 UTILITY SERVICES $122,756 $124,000 $125,000 CAPITAL PROJECTS – $150,000 $340,000 2120 - PERSONALIZED LICENSE PLATE TOTAL $1,491,210 $1,890,589 $2,231,073 6063 - CENTENNIAL SPECIAL FUND SUPPLIES $322 – – OTHER SERVICES $65,675 – – 6063 - CENTENNIAL SPECIAL FUND TOTAL $65,997 – – EXPENSES TOTAL $3,465,422 $3,793,349 $4,196,564 BUREAU OF MOTOR VEHICLES - REGISTRATION AND INSPECTION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 239 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count AUDITOR II 1 CUSTODIAL WORKER 3 CUSTOMER SERVICE REPRESENTATIVE 16 FACILITY OFFICER 1 MOTOR VEHICLE INSPECTOR 5 RECEPTIONIST/COLLECTOR 2 SUPERVISOR OF COMMERCIAL INSPECTION 1 ALLOCATED FTE COUNT 29 FY 2027 PROPOSED EXECUTIVE BUDGET 240 ACTIVITY 36120 RECORDS MANAGEMENT AND INFORMATION SYSTEMS FUNCTIONAL STATEMENT The Records Management and Information Systems section secures updated automation and communication technology through system upgrades, training, and coordination with relevant agencies to resolve information technology issues. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES – $104,661 $175,725 FRINGE BENEFITS – $50,302 $86,887 0100 - GENERAL FUND TOTAL – $154,963 $262,612 2094 - BUREAU OF MOTOR VEHICLES PERSONNEL SERVICES $145,387 $147,000 $147,000 FRINGE BENEFITS $4,159 $51,591 $53,222 2094 - BUREAU OF MOTOR VEHICLES TOTAL $149,546 $198,591 $200,222 EXPENSES TOTAL $149,546 $353,554 $462,834 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count COMPLIANCE AUDITOR 1 INFORMATION TECHNOLOGY PROJECT MANAGER 1 MOTOR VEHICLE PROGRAM COORDINATOR 1 SYSTEM ANALYST II 2 ALLOCATED FTE COUNT 5 BUREAU OF MOTOR VEHICLES - RECORDS MANAGEMENT AND INFORMATION SYSTEMS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 241 MISSION STATEMENT To administer a system of effective programs and services designed to develop, protect, and maintain a viable workforce. BUDGET SUMMARY Total Amount (FY2027) $12,823,544.00 FY27 BUDGETED RESOURCES PERSONNEL SERVICES: PERSONNEL SERVICES: $6,868,279.00 (53.56%) $6,868,279.00 (53.56%) PERSONNEL SERVICES: $6,868,279.00 (53.56%) FRINGE BENEFITS: FRINGE BENEFITS: $3,502,131.00 (27.31%) $3,502,131.00 (27.31%) FRINGE BENEFITS: $3,502,131.00 (27.31%) OTHER SERVICES: OTHER SERVICES: $1,729,806.00 (13.49%) $1,729,806.00 (13.49%) OTHER SERVICES: $1,729,806.00 (13.49%) SUPPLIES: SUPPLIES: $457,500.00 (3.57%) $457,500.00 (3.57%) SUPPLIES: $457,500.00 (3.57%) UTILITY SERVICES: UTILITY SERVICES: $265,828.00 (2.07%) $265,828.00 (2.07%) UTILITY SERVICES: $265,828.00 (2.07%) PERSONNEL SERVICES FRINGE BENEFITS OTHER SERVICES SUPPLIES UTILITY SERVICES FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $9,444,898 $13,410,180 $12,823,544 2098 - INDIRECT COST $405,801 $136,620 – 6000 - GOVERNMENT INSURANCE FUND -$3,940 – – APPROPRIATED TOTAL $9,846,759 $13,546,800 $12,823,544 FEDERAL 3100 - FEDERAL GRANTS ALL EXCEPT DOE $7,449,395 $7,182,033 $9,148,923 FEDERAL TOTAL $7,449,395 $7,182,033 $9,148,923 NON APPROPRIATED 2000 - EMPLOYMENT SECURITY $157 – – 2022 - UNEMPLOYMENT INSURANCE PENALTY/INTEREST $2,710,216 – – 2154 - AT RISK DISADVANTAGE YOUTH $17,997 – – 2243 - YOUTH TRANSIT EMPLOYMENT NON-LAPSING $406,296 $460,539 – 6092 - HOTEL DEVELOPMENT TRUST FUND $60,000 – – 0105 - SINGLE PAYER UTILITY FUND $192,717 $240,831 – NON APPROPRIATED TOTAL $3,387,384 $701,370 – DEPARTMENT OF LABOR FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 EXPENSES TOTAL $20,683,538 $21,430,203 $21,972,467 FY 2027 PROPOSED EXECUTIVE BUDGET 242 Total Amount (FY2027) $12,823,544.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $6,868,279.00 (53.56%) $6,868,279.00 (53.56%) PERSONNEL SERVICES: $6,868,279.00 (53.56%) FRINGE BENEFITS: FRINGE BENEFITS: $3,502,131.00 (27.31%) $3,502,131.00 (27.31%) FRINGE BENEFITS: $3,502,131.00 (27.31%) OTHER SERVICES: OTHER SERVICES: $1,729,806.00 (13.49%) $1,729,806.00 (13.49%) OTHER SERVICES: $1,729,806.00 (13.49%) SUPPLIES: SUPPLIES: $457,500.00 (3.57%) $457,500.00 (3.57%) SUPPLIES: $457,500.00 (3.57%) UTILITY SERVICES: UTILITY SERVICES: $265,828.00 (2.07%) $265,828.00 (2.07%) UTILITY SERVICES: $265,828.00 (2.07%) PERSONNEL SERVICES FRINGE BENEFITS OTHER SERVICES SUPPLIES UTILITY SERVICES RECOMMENDED EXPENDITURES OTHER EXPENSES MISCELLANEOUS GENERAL FUND Projects M1467 - UNEMPLOYMENT INSURUANCE CONTRIBUTION FOR GVI – $600,000 $900,000 M1472 - INTEREST PAYMENT UNEMPLOYMENT TRUST FUND $1,746,418 $1,720,000 – M1920 - DOL COMPLIANCE AND REPORTING $403,516 – – M2454 - DOL OPERATING EXPENSES FOR VIPD, OCCUPATIONAL SAFETY $1,703,367 $2,350,444 $2,077,799 M2511 - SUMMER YOUTH EMPLOYMENT $707,685 $1,200,000 $2,017,920 PROJECTS TOTAL $4,560,986 $5,870,444 $4,995,719 OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND MEMBERSHIP DUES $2,100 – – STIPENDS $25,727 – – DEBRIS REMOVAL $3,600 – – REPAIRS & MAINTENANCE $42,728 $50,000 $50,000 AUTOMOTIVE REPAIR & MAINTENANCE $11,001 $15,000 $15,000 RENTAL OF LAND/BUILDINGS $392,612 $288,941 $240,000 RENTAL MACHINES/EQUIPMENT $17,200 $9,600 $15,000 PROFESSIONAL SERVICES $78,428 $953,973 $723,206 SECURITY SERVICES $39,952 $76,740 $48,500 TRAINING $13,110 $182,500 $182,500 COMMUNICATION $66,581 $128,368 $66,000 ADVERTISING & PROMOTION $25,445 $185,000 $176,000 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 243 PRINTING AND BINDING $2,613 $3,000 $3,000 TRANSPORTATION - NOT TRAVEL $4,801 $12,000 $12,000 TRAVEL $63,717 $241,760 $116,400 TRAVEL / CASH ADVANCE $19,519 $3,500 $3,500 PURCHASE BULK AIRLINE $39,690 $61,700 $63,700 OTHER SERVICES NOC $1,760,438 $1,775,000 $15,000 0100 - GENERAL FUND TOTAL $2,609,262 $3,987,082 $1,729,806 2098 - INDIRECT COST RENTAL OF LAND/BUILDINGS $90,488 – – PROFESSIONAL SERVICES $117,364 – – 2098 - INDIRECT COST TOTAL $207,852 – – 6000 - GOVERNMENT INSURANCE FUND PROFESSIONAL SERVICES $2,060 – – SICKNESS & ACCIDENT WORK COMP -$6,000 – – 6000 - GOVERNMENT INSURANCE FUND TOTAL -$3,940 – – 3100 - FEDERAL GRANTS ALL EXCEPT DOE MEMBERSHIP DUES $3,000 – $0 STIPENDS $22,000 – $0 REPAIRS & MAINTENANCE $48,077 $0 $52,150 AUTOMOTIVE REPAIR & MAINTENANCE – $0 $5,000 RENTAL OF LAND/BUILDINGS $233,474 $0 $33,000 RENTAL MACHINES/EQUIPMENT $2,598 $0 $7,875 PROFESSIONAL SERVICES $2,164,358 $0 $3,187,415 SECURITY SERVICES $77,040 $0 $102,425 TRAINING $119,113 $0 $77,500 COMMUNICATION $79,316 $0 $88,318 ADVERTISING & PROMOTION $35,438 $0 $3,000 PRINTING AND BINDING $7,375 $0 $5,350 TRANSPORTATION - NOT TRAVEL $646 $0 $1 TRAVEL $22,735 $0 $87,243 TRAVEL / CASH ADVANCE $31,696 $0 $25,650 PURCHASE BULK AIRLINE $3,000 $0 $5,000 GRANTS/INDEPENDENT GOVERNMENT AGENCIES $1,150 $0 $0 OTHER SERVICES NOC $14,598 $2,502,975 $0 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $2,865,614 $2,502,975 $3,679,927 2022 - UNEMPLOYMENT INSURANCE PENALTY/INTEREST $14,167 – – 2243 - YOUTH TRANSIT EMPLOYMENT NON-LAPSING $86,600 $85,000 – OTHER SERVICES TOTAL $5,779,554 $6,575,057 $5,409,733 EXPENSES TOTAL $5,779,554 $6,575,057 $5,409,733 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 244 LEASES GENERAL FUND Itemization Description FY2027 Amount CASTLE COAKLEY LEASING $240,000 AMOUNT $240,000 PROFESSIONAL SERVICES GENERAL FUND Itemization Description FY2027 Amount OLIVER EXTERMINATION OF STT INC $1,050 REAL TECH EXTERMINATING $330 WILSON JANITORIAL SERVICES $12,250 IMPORT SUPPLY $2,240 VI CLEANING SERVICES ENTERPRISES LLC $27,000 EXQUISITE LAWNCARE AND PRESSURE WASHING $2,400 SRINIVASU VADLAMANI $45,000 WORK BASE LEARNING $632,936 AMOUNT $723,206 LEASES FEDERAL GRANTS ALL EXCEPT DOE Itemization Description FY2027 Amount FRANCIS PROPERTIES, INC. AND CASTLE COAKLEY LEASING $33,000 AMOUNT $33,000 PROFESSIONAL SERVICES FEDERAL GRANTS ALL EXCEPT DOE Itemization Description FY2027 Amount JIPA NETWORK LLC $200,000 OLIVER EXTERMINATING OF ST. THOMAS $1,050 POLICY & RESEARCH, LLC. $254,000 REAL TECH EXTERMINATING $330 ARBOR E&T DBA EQUUS WORKFORCE SOLUTIONS $1,300,000 EXQUISITE LAWN CARE & PRESSURE WASHING LLC $2,400 WILSON JANITORIAL SERVICES $12,250 IMPORT SUPPLY $2,240 VENTIV TECHNOLOGY $266,727 VI CLEANING SERVICES ENTERPRISE LLC $27,000 CENTER FOR EMPLOYMENT SECURITY AND RESEARCH (CESR) $452,677 SRINIVASU VADLAMANI $45,000 EQUICARE $50,000 ACTUARIAL STUDY - VENDOR NOT SELECTED $50,000 GEOSOL SOLUTIONS, INC. $523,742 AMOUNT $3,187,415 FY 2027 PROPOSED EXECUTIVE BUDGET 245 GRANT SUMMARY Projects FEDERAL F37H6 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES $585,162 $0 $57,791 F37I4 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES $286,076 $0 $1,290,093 F37J4 - UNEMPLOYMENT INSURANCE REEMPLOYMENT SERVICES $204,675 $0 $522,128 F37J8 - WIOA FORMULA GRANTS YOUTH/ADULT/DISLOCATED WORKER $293,379 $0 $499,569 F37J9 - WIOA ADULT DISLOCATED WORKER,YOUTH $928,510 $219,028 $1,573,583 F37K6 - OCCUPATIONAL SAFETY & HEALTH ADMINISTRATION $180,230 $0 – F37K7 - UNEMPLOYMENT INSURANCE STATE ADMINISTRATION $1,268,266 $0 $1,335,308 F37K9 - WIOA ADULT, DISLOCATED WORKER AND YOUTH OUTLYING AREAS CONSOLIDATED GRANTS $6,731 – – F37L0 - WIOA ADULT, DISLOCATED WORKER AND YOUTH OUTLYING AREAS CONSOLIDATED GRANTS $42,240 $0 $355,879 F37L2 - WORK OPPORTUNITY TAX CREDIT PROGRAM (WOTC) $0 $19,728 – F37L5 - UNEMPLOYMENT INSURANCE - RESEA – – $521,817 F37L1 - JOBS FOR VERTERANS STATE GRANTS - D $447 – $141,304 F37L3 - EMPLOYMENT SERVICES/WAGNER-PEYSER – $132,542 – F37M2 - EMPLOYMENT SERVICES/WAGNER-PEYSER – $131,536 – F37L4 - EMPLOYMENT SERVICES/WAGNER-PEYSER – $1,192,874 – F37L6 - OCCUPATIONAL SAEFTY & HEALTH STATE – $283,200 $283,751 F37L7 - LABOR FORCE STATISTICS - QUARTERLY – $199,493 $187,824 F37L8 - LABOR FORCE STATISTICS – OES – $80,102 $84,147 F37L9 - LABOR FORCE STATISTICS - CES – $139,583 $125,390 F37M0 - COMPENSATION/WORKING CONDITION-OSHS – $33,019 $46,420 F37M1 - EMPLOYMENT SERVICES/WAGNER-PEYSER – $1,183,821 $72,017 F37M6 - WIOA FORMULA GRANTS YOUTH/ADULT/DI – $278,667 – F37M7 - JOBS FOR VETERANS STATE GRANTS-DVOP – $115,000 – F37M8 - UNEMPLOYMENT INSURANCE ADMINISTRATION – $1,589,328 $1,967,845 F37M3 - WIOA ADULT, DISLOCATED WORKER AND YOUTH OUTLYING AREAS CONSOLIDATED GRANTS – $1,123,138 – F37M5 - WIOA ADULT, DISLOCATED WORKER AND YOUTH OUTLYING AREAS CONSOLIDATED GRANTS – $455,974 – F37M9 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES – – $79,057 F37M4 - TEMPORARY LABOR CERTIFICATION FOR FOREIGN WORKERS – $5,000 $5,000 FEDERAL TOTAL $3,795,716 $7,182,033 $9,148,923 FEDERAL PROGRAMS V3704 - UNEMPLOYMENT INSURANCE $60,377 $0 – F37F8 - JOBS FOR VETERANS STATE GRANTS -$6,620 – – F37F5 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES $35 $0 – F37G8 - WIOA YOUTH ACTIVITIES $78,157 $0 – F37G1 - UNEMPLOYMENT INSURANCE $5,403 $0 – F37H4 - UNEMPLOYMENT INSURANCE $633 $0 – F37G7 - WIOA YOUTH ACTIVITIES $96,786 $0 – ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 246 F37H8 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES $61,222 $0 – F37H7 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES $40,074 $0 – F37G2 - WIOA YOUTH ACTIVITIES $249,928 $0 – F37I1 - UNEMPLOYMENT INSURANCE $266,058 $0 – F37I3 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES $127,773 $0 – F37I5 - LABOR FORCE STATISTICS $1,821 $0 – F37I6 - LABOR FORCE STATISTICS -$80 $0 – F37I7 - LABOR FORCE STATISTICS $2,893 $0 – F37I8 - COMPENSATION AND WORKING CONDITIONS -$1,529 $0 – F37I9 - OCCUPATIONAL SAFETY AND HEALTH STATE PROGRAM $72,590 $0 – F37J0 - UNEMPLOYMENT INSURANCE $373,192 $0 – F37J2 - JOBS FOR VETERANS STATE GRANTS $88,257 $0 – F37H9 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES: ONE STOP $45,176 $0 – F37J6 - WIOA ADULT, DISLOCATED WORKER, AND YOUTH OUTLYING $1,141,599 $0 – F37J3 - WORK OPPORTUNITY TAX CREDIT PROGRAM $132,793 $0 – F37J7 - WIOA ADULT, DISLOCATED WORKER, AND YOUTH OUTLYING $293,418 $0 – F37K2 - QUARTERLY CENSUS OF EMPLOYMENT & WAGES $204,982 $0 – F37K3 - OCCUPATIONAL EMPLOYMENT STATISTICS $80,793 $0 – F37K4 - CURRENT EMPLOYMENT STATISTICS $89,722 $0 – F37K5 - OCCUPATION & SAFETY HEALTH STATISTICS $34,322 $0 – FEDERAL PROGRAMS TOTAL $3,539,773 $0 – CDBG V3707 - COVID-19 PANDEMIC UNEMPLOYMENT INSURANCE GRANT PROGRAM $113,906 $0 – CDBG TOTAL $113,906 $0 – PROJECTS TOTAL $7,449,395 $7,182,033 $9,148,923 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 247 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTING ANALYST 4 ACCOUNTING OPERATIONS MANAGER 1 ADMINISTRATIVE OFFICER I 1 ADMINISTRATIVE SECRETARY II 1 ADMINISTRATIVE SPECIALIST 2.88 ASSISTANT DIRECTOR PAYROLL 1 ASSISTANT DIRECTOR TREASURY 1 BUDGET CONTROL FINANCIAL ANALYST 1 CAPITAL ASSETS COORDINATOR 0.9 CHIEF ACCOUNTS PAYABLE 1 CHIEF OF STAFF 1 COMMISSIONER 1 CONTRACT ASSISTANT 1 DATA PROCESSING ANALYST 1 DEPUTY COMMISSIONER 1 DIRECTOR MANAGEMENT INFORMATION SYSTEM 1 DIRECTOR ACCOUNTING 1 DIRECTOR TREASURY 1 DISBURSEMENT ANALYST 1 EXECUTIVE ASSISTANT COMMISSIONER 2 FINANCIAL PLANNING & ANALYST MANAGER 1 FINANCIAL REPORTING ANALYST 4 HUMAN RESOURCES GENERALIST 1 INFORMATION TECHNOLOGY SPECIALIST 2 LUMP SUM 2 OVERTIME 2 PAYROLL AUDIT ANALYST 4 PAYROLL DIRECTOR 1 RECONCILIATION & AUDIT ANALYST 1 RECONCILIATION & AUDIT MANAGER 1 SENIOR DATA PROCESSING ANALYST 2 SPECIAL ASSISTANT 1 SPECIAL PROJECTS COORDINATOR 2 SPECIAL PROJECTS FACILITIES COORDINATOR 1 SUPERVISOR CENTRAL PAYROLL 2 TECHNICAL SUPPORT SPECIALIST 2 TRAVEL CREDIT CARD COMPLIANCE MANAGER 1 TREASURY ANALYST 1 ALLOCATED FTE COUNT 56.78 FY 2027 PROPOSED EXECUTIVE BUDGET 248 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT DIRECTOR LABOR RELATIONS 1 ASSISTANT DIRECTOR VIDOSH 1 ALLOCATED FTE COUNT 2 ACTIVITY CENTERS 37020 - APPEALS AND HEARINGS 37100 - EMPLOYMENT SERVICE/RESEARCH 37110 - UNEMPLOYMENT INSURANCE 37200 - LABOR RELATIONS 37210 - APPRENTICESHIP TRAINING 37220 - YOUTH EMPLOYMENT 37230 - WORKFORCE DEVELOPMENT BOARD 37250 - WORK FORCE INVESTMENT ACT 37400 - LABOR OSHA 37500 - WORKER'S COMPENSATION 37600 - UNEMPLOYMENT INSURANCE 37700 - ONE STOP - WORKFORCE INFORMATION GRANT 37710 - BUREAU OF LABOR STATISTICS 37800 - BUSINESS AND ADMINISTRATIVE 37801 - NON-OPERATIONAL MISC 37810 - PLANNING, RESEARCH AND MONITORING 37WIO - WORKFORCE INNOVATION OPPORTUNITY ACT - FORMULA GRANT FY 2027 PROPOSED EXECUTIVE BUDGET 249 ACTIVITY 37020 APPEALS & HEARINGS FUNCTIONAL STATEMENT Hearings and Appeals adjudicates labor disputes and benefit appeals filed in the areas of Unemployment Insurance, Employment Discrimination charges, Wage Claim findings, and Wrongful Discharge (WD). FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $150,243 $211,778 $193,375 FRINGE BENEFITS $62,461 $88,180 $87,333 SUPPLIES $70 $6,000 $6,000 OTHER SERVICES $233 $10,360 $10,000 0100 - GENERAL FUND TOTAL $213,008 $316,318 $296,708 EXPENSES TOTAL $213,008 $316,318 $296,708 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE LAW JUDGE 1 ADMINISTRATIVE OFFICER II 1 CHIEF ADMINISTRATIVE LAW JUDGE 1 ALLOCATED FTE COUNT 3 DEPARTMENT OF LABOR - APPEALS & HEARINGS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 250 ACTIVITY 37100 EMPLOYMENT SERVICE/RESEARCH FUNCTIONAL STATEMENT The Wagner-Peyser Employment Service/Research offers comprehensive employment-related services such as job search assistance, referrals, and placement aid for job seekers, re-employment assistance for unemployment insurance claimants, and recruitment services for employers, utilizing three modes: self-service, facilitated self-help, and staff-assisted approaches. FUND SUMMARY Expenses 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $645,312 $1,019,368 $754,181 FRINGE BENEFITS $303,907 $532,252 $408,695 SUPPLIES $293,313 $289,758 $127,210 OTHER SERVICES $511,684 $581,625 $976,905 INDIRECT COSTS $129,336 $242,498 $201,855 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $1,883,552 $2,665,501 $2,468,846 2000 - EMPLOYMENT SECURITY FRINGE BENEFITS $157 – – 2000 - EMPLOYMENT SECURITY TOTAL $157 – – EXPENSES TOTAL $1,883,709 $2,665,501 $2,468,846 GRANTS Expenses F37H6 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES $585,162 $0 $57,791 F37I4 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES $286,076 $0 $1,290,093 F37J4 - UNEMPLOYMENT INSURANCE REEMPLOYMENT SERVICES $204,675 $0 $522,128 F37L2 - WORK OPPORTUNITY TAX CREDIT PROGRAM (WOTC) $0 $19,728 – F37L5 - UNEMPLOYMENT INSURANCE - RESEA – – $521,817 F37L3 - EMPLOYMENT SERVICES/WAGNER-PEYSER – $132,542 – F37M2 - EMPLOYMENT SERVICES/WAGNER-PEYSER – $131,536 – F37L4 - EMPLOYMENT SERVICES/WAGNER-PEYSER – $1,192,874 – F37M1 - EMPLOYMENT SERVICES/WAGNER-PEYSER – $1,183,821 $72,017 F37M4 - TEMPORARY LABOR CERTIFICATION FOR FOREIGN WORKERS – $5,000 $5,000 V3704 - UNEMPLOYMENT INSURANCE $60,377 $0 – F37F5 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES $35 $0 – F37G1 - UNEMPLOYMENT INSURANCE $5,403 $0 – F37H8 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES $61,222 $0 – F37H7 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES $40,074 $0 – DEPARTMENT OF LABOR - EMPLOYMENT SERVICE/RESEARCH FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 251 F37I1 - UNEMPLOYMENT INSURANCE $266,058 $0 – F37I3 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES $127,773 $0 – F37J3 - WORK OPPORTUNITY TAX CREDIT PROGRAM $132,793 $0 – V3707 - COVID-19 PANDEMIC UNEMPLOYMENT INSURANCE GRANT PROGRAM $113,906 $0 – EXPENSES TOTAL $1,883,552 $2,665,501 $2,468,846 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT DIRECTOR WORKFORCE DEVELOPMENT 2 DATABASE ADMINISTRATOR/ANALYST 1 DIRECTOR WORKFORCE DEVELOPMENT SERVICES 1 EMPLOYMENT COUNSELOR 1 EMPLOYMENT SERVICE INTERVIEWER I 1 FINANCIAL ANALYST 1 MANAGER & SYSTEMS PROGRAMMER 1 PROGRAM COORDINATOR 1 UNEMPLOYMENT INSURANCE INTERVIEWER 2 WORKFORCE DEVELOPMENT SPECIALIST 3.5 ALLOCATED FTE COUNT 14.5 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 252 ACTIVITY 37110 EMPLOYMENT INSURANCE FUNCTIONAL STATEMENT Unemployment Insurance is designed to provide benefits to eligible persons who are temporarily unemployed through no fault of their own. In all States, employers pay quarterly contributions to cover their workers against involuntary unemployment. Most employers are required to pay contributions. Benefits are funded by these contributions. The amount of benefits payable is intended to cover non-deferrable expenses such as housing, food, clothing, and necessary transportation. No deductions are made from the worker’s wages to finance Unemployment Insurance Benefits. Eligibility for Unemployment Insurance Benefits is based on wages earned, not on family financial resources. FUND SUMMARY Expenses 3100 - FEDERAL GRANTS ALL EXCEPT DOE SUPPLIES – $5,000 $10,000 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL – $5,000 $10,000 EXPENSES TOTAL – $5,000 $10,000 GRANTS Expenses F37L9 - LABOR FORCE STATISTICS - CES – $5,000 $10,000 EXPENSES TOTAL – $5,000 $10,000 DEPARTMENT OF LABOR - UNEMPLOYMENT INSURANCE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 253 The Labor Relations renders service to the general public in the following areas of compliance: wrongful discharge intake, wage and hour complaints, fair labor standards, discrimination laws, the Equal Employment Opportunity Commission (EEOC), and plant closings.É 0100 - GENERAL FUND PERSONNEL SERVICES $208,161 $198,496 $273,496 FRINGE BENEFITS $95,787 $86,863 $132,329 SUPPLIES $6,309 $10,000 $11,000 OTHER SERVICES $75 $18,000 $18,000 ASSISTANT DIRECTOR LABOR RELATIONS 1 DIRECTOR LABOR RELATIONS 1 LABOR RELATIONS SPECIALIST 2 FY 2027 PROPOSED EXECUTIVE BUDGET 254 The Apprenticeship and Training activity center, as per Chapter 10, Title 24, Virgin Islands Code, is tasked with developing, implementing, certifying, and monitoring apprenticeships and on-the-job training programs throughout the Territory, in collaboration with private sector employers and the VIDOL, focusing on trades and technical fields.É 0100 - GENERAL FUND PERSONNEL SERVICES $155,678 $120,917 $120,917 FRINGE BENEFITS $65,283 $67,572 $53,788 SUPPLIES $3,750 $4,500 $4,500 OTHER SERVICES $10,840 $18,000 $18,000 DIRECTOR YOUTH AND APPRENTICESHIP 1 WORKFORCE DEVELOPMENT SPECIALIST 1 FY 2027 PROPOSED EXECUTIVE BUDGET 255 ACTIVITY 37220 YOUTH EMPLOYMENT FUNCTIONAL STATEMENT Youth employment programs aim to equip young individuals with career readiness skills through assessment, goal identification, life and vocational training, work experience opportunities, and computer literacy enhancement. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $69,582 $113,440 $113,440 FRINGE BENEFITS $52,039 $72,353 $70,450 SUPPLIES $5,403 $4,000 $4,500 OTHER SERVICES $7,657 $13,000 $13,000 0100 - GENERAL FUND TOTAL $134,681 $202,793 $201,390 2243 - YOUTH TRANSIT EMPLOYMENT NON-LAPSING $406,296 – – EXPENSES TOTAL $540,977 $202,793 $201,390 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count EMPLOYMENT SERVICES INTERVIEWER I 1 JOB DEVELOPER 1 YOUTH AND APPRENTICESHIP COORDINATOR 0.5 ALLOCATED FTE COUNT 2.5 DEPARTMENT OF LABOR - YOUTH EMPLOYMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 256 ACTIVITY 37230 WORKFORCE DEVELOPMENT BOARD FUNCTIONAL STATEMENT The State Workforce Development Board convenes stakeholders at various levels to enhance workforce development system capacity, align program outcomes, and promote economic growth, engaging representatives from public workforce sectors to fulfill the purpose of WIOA and advance the State's strategic vision. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $2,904 $7,141 – FRINGE BENEFITS $906 $2,224 – OTHER SERVICES $38,836 $632,936 $632,936 0100 - GENERAL FUND TOTAL $42,646 $642,301 $632,936 EXPENSES TOTAL $42,646 $642,301 $632,936 DEPARTMENT OF LABOR - WORKFORCE DEVELOPMENT BOARD FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 257 The Workforce Investment Act Unit is committed to enhancing the employability and productivity of the Virgin Islands workforce through strategic program development, partnership building, and service delivery.É É 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $98,984 $80,000 $80,000 FRINGE BENEFITS $33,035 $21,475 $21,475 SUPPLIES $29,283 $31,000 $66,480 OTHER SERVICES $69,217 $64,980 $90,000 INDIRECT COSTS $22,301 $25,745 $25,796 CAPITAL PROJECTS – $60,000 $0 F37K6 - OCCUPATIONAL SAFETY & HEALTH ADMINISTRATION $180,230 $0 – F37L6 - OCCUPATIONAL SAEFTY & HEALTH STATE – $283,200 $283,751 F37I9 - OCCUPATIONAL SAFETY AND HEALTH STATE PROGRAM $72,590 $0 – É DIRECTOR OCCUPATIONAL SAFETY HEALTH ADMINISTRATION 1 FY 2027 PROPOSED EXECUTIVE BUDGET 258 ACTIVITY 37400 LABOR OSHA FUNCTIONAL STATEMENT The Labor OSHA Occupational Safety and Health department carries out all required activities mandated by the Occupational Safety and Health Act of 1970 and Title 24 of the Virgin Islands Code, Chapter 2, focusing on occupational safety and health regulations. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $65,219 – $66,949 $42,553 FRINGE BENEFITS $33,268 – $40,532 $24,402 SUPPLIES – – $1,000 $1,000 OTHER SERVICES $57 – $7,000 $7,000 0100 - GENERAL FUND TOTAL $98,544 – $115,481 $74,955 6000 - GOVERNMENT INSURANCE FUND PERSONNEL SERVICES $11,990 – – – FRINGE BENEFITS $6,750 – – – OTHER SERVICES -$1,043 – – – 6000 - GOVERNMENT INSURANCE FUND TOTAL $17,696 – – – EXPENSES TOTAL $116,241 – $115,481 $74,955 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE ASSISTANT 1 ALLOCATED FTE COUNT 1 DEPARTMENT OF LABOR - LABOR OSHA FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2024 FY2025 FY2025 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 259 The Workers' Compensation safeguards workers in cases of work-related injuries and illnesses, offering medical and vocational rehabilitation, disability income, and death benefits.É 6000 - GOVERNMENT INSURANCE FUND OTHER SERVICES $2,060 – – FY 2027 PROPOSED EXECUTIVE BUDGET 260 Unemployment Insurance in the Virgin Islands offers temporary «nancial support to eligible individuals experiencing involuntary unemployment, funded by employers' quarterly contributions, and intended to cover essential expenses like housing, food, clothing, and transportation, with eligibility determined by wages earned rather than family «nancial resources.É 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $850,784 $805,118 $1,104,709 FRINGE BENEFITS $498,926 $520,624 $684,241 SUPPLIES $64,336 $46,893 $104,243 OTHER SERVICES $86,623 $87,116 $1,109,673 INDIRECT COSTS $141,422 $129,577 $300,287 2022 - UNEMPLOYMENT INSURANCE PENALTY/INTEREST $2,710,216 – – F37K7 - UNEMPLOYMENT INSURANCE STATE ADMINISTRATION $1,268,266 $0 $1,335,308 F37M8 - UNEMPLOYMENT INSURANCE ADMINISTRATION – $1,589,328 $1,967,845 F37H4 - UNEMPLOYMENT INSURANCE $633 $0 – F37J0 - UNEMPLOYMENT INSURANCE $373,192 $0 – ADJUDICATOR 1 ADMINISTRATOR 2 CASHIER III 2 CHIEF OF BENEFITS 1 DATA ENTRY OPERATOR I 1 DATA ENTRY OPERATOR II 1 DIRECTOR OF MANAGEMENT INFORMATION SYSTEMS 0.25 FY 2027 PROPOSED EXECUTIVE BUDGET 261 DIRECTOR UNEMPLOYMENT INSURANCE 1 FINANCIAL ANALYST 2 SUPERVISOR DATA ENTRY 1 UNEMPLOYMENT INSURANCE ADJUDICATOR 1 UNEMPLOYMENT INSURANCE INTERVIEWER 6 UNEMPLOYMENT INSURANCE QUALITY CONTROL OFFICER 2 UNEMPLOYMENT INSURANCE REVENUE OFFICER 1 UNEMPLOYMENT INSURANCE TAX AUDITOR 1 FY 2027 PROPOSED EXECUTIVE BUDGET 262 The Workforce Information Grant (WIG) supports the Virgin Islands in delivering comprehensive Labor Market Information (LMI) to aid individuals and organizations in making informed decisions related to employment, education, business investments, and workforce development initiatives. 0100 - GENERAL FUND PERSONNEL SERVICES $6,098 – – FRINGE BENEFITS $207 – – 3100 - FEDERAL GRANTS ALL EXCEPT DOE SUPPLIES $45,176 $0 $71,870 INDIRECT COSTS – $0 $7,187 F37M9 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES – – $79,057 F37H9 - EMPLOYMENT SERVICE/WAGNER-PEYSER FUNDED ACTIVITIES: ONE STOP $45,176 $0 – FY 2027 PROPOSED EXECUTIVE BUDGET 263 The Labor Statistics unit is responsible for the collection, analysis, and publication of statistics on wages, working hours, and labor conditions. It is also responsible for developing and implementing technical systems and procedures to provide comprehensive labor market information. 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $245,816 $219,180 $227,456 FRINGE BENEFITS $126,867 $131,805 $137,454 SUPPLIES – $3,000 $6,500 OTHER SERVICES $6,821 $52,102 $23,200 INDIRECT COSTS $33,421 $41,110 $39,171 F37L7 - LABOR FORCE STATISTICS - QUARTERLY – $199,493 $187,824 F37L8 - LABOR FORCE STATISTICS – OES – $80,102 $84,147 F37L9 - LABOR FORCE STATISTICS - CES – $134,583 $115,390 F37M0 - COMPENSATION/WORKING CONDITION-OSHS – $33,019 $46,420 F37I5 - LABOR FORCE STATISTICS $1,821 $0 – F37I6 - LABOR FORCE STATISTICS -$80 $0 – F37I7 - LABOR FORCE STATISTICS $2,893 $0 – F37I8 - COMPENSATION AND WORKING CONDITIONS -$1,529 $0 – F37K2 - QUARTERLY CENSUS OF EMPLOYMENT & WAGES $204,982 $0 – F37K3 - OCCUPATIONAL EMPLOYMENT STATISTICS $80,793 $0 – F37K4 - CURRENT EMPLOYMENT STATISTICS $89,722 $0 – F37K5 - OCCUPATION & SAFETY HEALTH STATISTICS $34,322 $0 – FY 2027 PROPOSED EXECUTIVE BUDGET 264 ADMINISTRATIVE OFFICER III 0.5 DATA ENTRY OPERATOR III 1 RESEARCH ANALYST II 1 RESEARCH ANALYST SUPERVISOR 1 SENIOR PROGRAM ANALYST 1 FY 2027 PROPOSED EXECUTIVE BUDGET 265 The Business and Administration Unit provides «nancial and human resources support services to all activities.É 0100 - GENERAL FUND PERSONNEL SERVICES $2,027,873 $2,793,053 $2,809,670 FRINGE BENEFITS $909,466 $1,300,817 $1,340,052 SUPPLIES $211,130 $374,302 $372,000 OTHER SERVICES $632,554 $1,012,450 $960,770 UTILITY SERVICES – $0 $265,828 6092 - HOTEL DEVELOPMENT TRUST FUND SUPPLIES $60,000 – – 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $192,717 $240,831 – ACCOUNTANT II 1 ACCOUNTANT III 1 ADMINISTRATIVE OFFICER III 0.5 ASSISTANT COMMISSIONER 1 ASSISTANT COMMISSIONER/LEGAL COUNSEL 1 ASSISTANT DIRECTOR ADMINISTRATION & BUSINESS MANAGEMENT 1 ASSISTANT DIRECTOR OF HUMAN RESOURCES 1 ASSISTANT DIRECTOR UNEMPLOYMENT INSURANCE 1 CHIEF BPC OFFICER 1 CHIEF COMPLIANCE OFFICER 1 CHIEF OF TAX 1 COMMISSIONER 1 CONTRACT ADMINISTRATOR/RESEARCHER 1 CUSTODIAL WORKER/MESSENGER 2 FY 2027 PROPOSED EXECUTIVE BUDGET 266 DIRECTOR BUREAU OF LABOR STASTISTICS 1 DIRECTOR BUSINESS AND ADMINISTRATION 1 DIRECTOR HUMAN RESOURCES 1 DIRECTOR INFORMATION TECHNOLOGY 1 EXECUTIVE ASSISTANT 1 EXECUTIVE SECRETARY 1 FACILITIES MAINTENANCE MANAGER 1 FACILITY MAINTENANCE DIRECTOR 1 FINANCIAL ANALYST 1 FRAUD INVESTIGATOR 2 HUMAN RESOURCES ASSISTANT 1 HUMAN RESOURCES GENERALIST 1 MIS PROJECT MANAGER 1 NETWORK SYSTEMS ADMINISTRATOR 1 OFFICE MANAGER 1 PAYROLL SUPERVISOR 1 PERSONNEL RELATIONS ADMINISTRATOR 1 PROCUREMENT ANALYST 1 PUBLIC INFORMATION OFFICER 1 RECEPTIONIST 2 SENIOR COMPLIANCE OFFICER 1 SPECIAL PROJECTS COORDINATOR 1 SYSTEM ANALYST I 1 UNEMPLOYMENT INSURANCE INTEGRITY PROGRAM COORDINATOR 1 UNEMPLOYMENT INSURANCE QUALITY CONTROL OFFICER 1 UNEMPLOYMENT INSURANCE REVENUE OFFICER 1 UNEMPLOYMENT INSURANCE TAX AUDITOR 1 FY 2027 PROPOSED EXECUTIVE BUDGET 267 0100 - GENERAL FUND PERSONNEL SERVICES $1,165,464 $1,141,290 $1,296,623 FRINGE BENEFITS $617,928 $1,198,418 $1,572,176 SUPPLIES $48,197 $72,500 $56,000 OTHER SERVICES $1,919,067 $2,258,236 $53,000 M1467 - UNEMPLOYMENT INSURUANCE CONTRIBUTION FOR GVI – $600,000 $900,000 M1472 - INTEREST PAYMENT UNEMPLOYMENT TRUST FUND $1,746,418 $1,720,000 – M1920 - DOL COMPLIANCE AND REPORTING PERSONNEL SERVICES $259,775 – – FRINGE BENEFITS $143,741 – – M2454 - DOL OPERATING EXPENSES FOR VIPD, OCCUPATIONAL SAFETY $1,600,722 $2,350,444 $2,077,799 FY 2027 PROPOSED EXECUTIVE BUDGET 268 ADJUDICATOR 2 ADMINISTRATIVE ASSISTANT SUPERVISOR 1 ADMINISTRATIVE OFFICER I 1 ADMINISTRATIVE OFFICER II 1 ASSISTANT DIRECTOR VIDOSH 2 ASSISTANT DIRECTOR WORKERS COMPENSATION 2 CLAIMS ADJUSTER I 2 CLAIMS ADJUSTER II 4 CLAIMS AUDITOR 2 DIRECTOR WORKERS COMPENSATION 1 OCCUPATIONAL SAFETY AND HEALTH COMPLIANCE OFFICER 1 OCCUPATIONAL SAFETY AND HEALTH INDUSTRIAL HYGIENE TECHNICIAN 2 WORKER'S COMPENSATION UNDERWRITNG CLERK 2 WORKER'S COMPENSATION UNDERWRITNG COMPLIANCE OFFICER 2 WORKERS COMPENSATION UNDERWRITING CHIEF 1 FY 2027 PROPOSED EXECUTIVE BUDGET 269 The Planning, Research, and Monitoring (PRM) Unit ensures adherence to federal and local guidelines, safeguards funding, while closely monitoring training programs to ensure clients receive deserved workforce training.É 0100 - GENERAL FUND PERSONNEL SERVICES $65,168 $143,686 $143,686 FRINGE BENEFITS $29,776 $73,314 $78,200 SUPPLIES – $600 $2,500 OTHER SERVICES – $17,100 $17,100 CHIEF PLANNING, RESEARCH, & MONITORING 1 PROGRAM MONITOR 2 FY 2027 PROPOSED EXECUTIVE BUDGET 270 The Workforce Innovation and Opportunity Act (WIOA) replaced the Workforce Investment Act (WIA) of 1998, aiming to enhance coordination among federal workforce development programs and provide comprehensive support services to job seekers, guiding the delivery of services under various programs outlined in WIOA Title I and Title III.É 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $486,566 $291,517 $530,425 FRINGE BENEFITS $190,126 $136,781 $262,491 SUPPLIES $247,824 $11,451 $67,000 OTHER SERVICES $2,191,269 $1,717,152 $1,480,149 INDIRECT COSTS $97,047 $34,906 $230,270 F37J8 - WIOA FORMULA GRANTS YOUTH/ADULT/DISLOCATED WORKER $293,379 $0 $499,569 F37J9 - WIOA ADULT DISLOCATED WORKER,YOUTH $928,510 $219,028 $1,573,583 F37K9 - WIOA ADULT, DISLOCATED WORKER AND YOUTH OUTLYING AREAS CONSOLIDATED GRANTS $6,731 – – F37L0 - WIOA ADULT, DISLOCATED WORKER AND YOUTH OUTLYING AREAS CONSOLIDATED GRANTS $42,240 $0 $355,879 F37L1 - JOBS FOR VERTERANS STATE GRANTS - D $447 – $141,304 F37M6 - WIOA FORMULA GRANTS YOUTH/ADULT/DI – $278,667 – F37M7 - JOBS FOR VETERANS STATE GRANTS-DVOP – $115,000 – F37M3 - WIOA ADULT, DISLOCATED WORKER AND YOUTH OUTLYING AREAS CONSOLIDATED GRANTS – $1,123,138 – F37M5 - WIOA ADULT, DISLOCATED WORKER AND YOUTH OUTLYING AREAS CONSOLIDATED GRANTS – $455,974 – F37F8 - JOBS FOR VETERANS STATE GRANTS -$6,620 – – F37G8 - WIOA YOUTH ACTIVITIES $78,157 $0 – F37G7 - WIOA YOUTH ACTIVITIES $96,786 $0 – FY 2027 PROPOSED EXECUTIVE BUDGET 271 F37G2 - WIOA YOUTH ACTIVITIES $249,928 $0 – F37J2 - JOBS FOR VETERANS STATE GRANTS $88,257 $0 – F37J6 - WIOA ADULT, DISLOCATED WORKER, AND YOUTH OUTLYING $1,141,599 $0 – F37J7 - WIOA ADULT, DISLOCATED WORKER, AND YOUTH OUTLYING $293,418 $0 – ADMINISTRATIVE COORDINATOR 1 ADMINISTRATIVE OFFICER II 1 DIRECTOR OF MANAGEMENT INFORMATION SYSTEMS 0.75 DISABLED VETERANS OUTREACH PROGRAM SPECIALIST 2 EXECUTIVE DIRECTOR 1 WORKFORCE DEVELOPMENT SPECIALIST 3.5 YOUTH AND APPRENTICESHIP COORDINATOR 0.5 FY 2027 PROPOSED EXECUTIVE BUDGET 272 MISSION STATEMENT The Department of Licensing and Consumer Affairs (DLCA) ensures timely business licensing, protects consumers, and enforces licensing laws in the Virgin Islands. BUDGET SUMMARY Total Amount (FY2027) $11,397,849.00 FY27 BUDGETED RESOURCES GENERAL FUND: GENERAL FUND: $7,726,930.00 (67.79%) $7,726,930.00 (67.79%) GENERAL FUND: $7,726,930.00 (67.79%) PUBLIC SERVICE COMMISSION REVOLVING: PUBLIC SERVICE COMMISSION REVOLVING: $2,395,129.00 (21.01%) $2,395,129.00 (21.01%) PUBLIC SERVICE COMMISSION REVOLVING: $2,395,129.00 (21.01%) CONSUMER PROTECTION: CONSUMER PROTECTION: $698,000.00 (6.12%) $698,000.00 (6.12%) CONSUMER PROTECTION: $698,000.00 (6.12%) CANNABIS FUND: CANNABIS FUND: $250,000.00 (2.19%) $250,000.00 (2.19%) CANNABIS FUND: $250,000.00 (2.19%) TOURISM ADVERTISING REVOLVING: TOURISM ADVERTISING REVOLVING: $200,000.00 (1.75%) $200,000.00 (1.75%) TOURISM ADVERTISING REVOLVING: $200,000.00 (1.75%) GENERAL FUND PUBLIC SERVICE COMMISSION REVOLVING CONSUMER PROTECTION CANNABIS FUND TOURISM ADVERTISING REVOLVING VI BOARD OF PUBLIC ACCOUNTANCY REAL ESTATE APPRAISERS FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $5,211,142 $7,306,042 $7,726,930 6032 - PUBLIC SERVICE COMMISSION REVOLVING $2,215,523 $2,284,803 $2,395,129 6068 - TOURISM ADVERTISING REVOLVING – $200,000 $200,000 6116 - CANNABIS FUND – – $250,000 6069 - TOURISM ADVERTISING REVOLVING $641,481 $0 – APPROPRIATED TOTAL $8,068,146 $9,790,845 $10,572,059 NON APPROPRIATED 2002 - VI BOARD OF PUBLIC ACCOUNTANCY $1,311 $95,875 $95,875 2012 - REAL ESTATE APPRAISERS $1,150 $31,915 $31,915 6062 - CONSUMER PROTECTION $465,279 $1,106,000 $698,000 0105 - SINGLE PAYER UTILITY FUND $109,368 $97,000 – 6031 - VENDORS PLAZA REVOLVING FUND $4,476 $0 – DEPARTMENT OF LICENSING & CONSUMER AFFAIRS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 NON APPROPRIATED TOTAL $581,584 $1,330,790 $825,790 EXPENSES TOTAL $8,649,729 $11,121,635 $11,397,849 FY 2027 PROPOSED EXECUTIVE BUDGET 273 Total Amount (FY2027) $7,726,930.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $4,047,107.00 (52.38%) $4,047,107.00 (52.38%) PERSONNEL SERVICES: $4,047,107.00 (52.38%) FRINGE BENEFITS: FRINGE BENEFITS: $1,987,415.00 (25.72%) $1,987,415.00 (25.72%) FRINGE BENEFITS: $1,987,415.00 (25.72%) OTHER SERVICES: OTHER SERVICES: $1,261,930.00 (16.33%) $1,261,930.00 (16.33%) OTHER SERVICES: $1,261,930.00 (16.33%) SUPPLIES: SUPPLIES: $318,478.00 (4.12%) $318,478.00 (4.12%) SUPPLIES: $318,478.00 (4.12%) UTILITY SERVICES: UTILITY SERVICES: $112,000.00 (1.45%) $112,000.00 (1.45%) UTILITY SERVICES: $112,000.00 (1.45%) PERSONNEL SERVICES FRINGE BENEFITS OTHER SERVICES SUPPLIES UTILITY SERVICES RECOMMENDED EXPENDITURES OTHER EXPENSES MISCELLANEOUS GENERAL FUND Projects M2225 - ALCHOLIC BEVERAGE CONTROL OFFICE $213,603 $271,771 $290,994 M1803 - VI OFFICE OF CANNABIS REGULATION $921,919 $1,160,218 $1,160,218 PROJECTS TOTAL $1,135,522 $1,431,989 $1,451,212 OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND CREDIT CARD EXPENSES $12,040 $50,000 $60,000 MEMBERSHIP DUES – $15,000 $15,000 STIPENDS $3,675 – $53,000 REPAIRS & MAINTENANCE $8,345 $15,000 $40,000 AUTOMOTIVE REPAIR & MAINTENANCE $821 $0 $53,000 RENTAL OF LAND/BUILDINGS $58,503 $91,500 $91,500 RENTAL MACHINES/EQUIPMENT $31,050 $15,000 $50,000 PROFESSIONAL SERVICES $22,447 $279,680 $227,360 SECURITY SERVICES – – $1,200 TRAINING $1,460 $11,134 $40,000 COMMUNICATION $112,471 $67,200 $97,870 ADVERTISING & PROMOTION $1,825 $20,000 $8,000 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 274 PRINTING AND BINDING $4,662 – – TRANSPORTATION - NOT TRAVEL $19,308 $5,000 $0 TRAVEL $16,954 $10,000 $50,000 TRAVEL / CASH ADVANCE $26,741 – – PURCHASE BULK AIRLINE $39,000 $15,000 $75,000 OTHER SERVICES NOC $49,811 $375,787 $400,000 0100 - GENERAL FUND TOTAL $409,111 $970,301 $1,261,930 6032 - PUBLIC SERVICE COMMISSION REVOLVING CREDIT CARD EXPENSES $20,807 – – MEMBERSHIP DUES $8,723 – – REPAIRS & MAINTENANCE $20,132 $20,012 $49,912 AUTOMOTIVE REPAIR & MAINTENANCE $999 $6,380 $6,380 RENTAL OF LAND/BUILDINGS $131,748 $128,585 $158,812 RENTAL MACHINES/EQUIPMENT – $500 $0 PROFESSIONAL SERVICES $408,434 $277,675 $129,980 SECURITY SERVICES $1,244 $1,980 $1,380 TRAINING $7,905 $18,725 $18,725 COMMUNICATION $35,494 $38,456 $37,136 ADVERTISING & PROMOTION $390 $10,500 $10,500 TRANSPORTATION - NOT TRAVEL $271 $550 $550 TRAVEL $30,646 $120,187 $122,987 TRAVEL / CASH ADVANCE $35,948 – – PURCHASE BULK AIRLINE $17,000 – – INSURANCE $6,496 $8,500 $8,500 OTHER SERVICES NOC $6,991 $20,500 $36,800 6032 - PUBLIC SERVICE COMMISSION REVOLVING TOTAL $733,229 $652,550 $581,662 6116 - CANNABIS FUND CREDIT CARD EXPENSES – – $40,000 MEMBERSHIP DUES – – $4,000 PROFESSIONAL SERVICES – – $29,583 TRAVEL – – $65,000 OTHER SERVICES NOC – – $21,000 6116 - CANNABIS FUND TOTAL – – $159,583 2002 - VI BOARD OF PUBLIC ACCOUNTANCY MEMBERSHIP DUES – – $4,040 STIPENDS $825 – $4,500 PROFESSIONAL SERVICES – $6,040 $0 TRAINING – $2,000 $2,000 COMMUNICATION – $500 $500 PRINTING AND BINDING – $550 $550 TRAVEL $486 $5,625 $5,625 TRAVEL / CASH ADVANCE – $67,000 $67,000 PURCHASE BULK AIRLINE – $5,160 $5,160 OTHER SERVICES NOC – $6,500 $4,000 2002 - VI BOARD OF PUBLIC ACCOUNTANCY TOTAL $1,311 $93,375 $93,375 2012 - REAL ESTATE APPRAISERS MEMBERSHIP DUES $150 – $850 STIPENDS – – $4,500 PROFESSIONAL SERVICES – $3,610 $2,760 COMMUNICATION – $200 $200 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 275 TRAVEL – $5,625 $5,625 TRAVEL / CASH ADVANCE – $15,000 $15,000 PURCHASE BULK AIRLINE – $2,580 $2,580 OTHER SERVICES NOC $1,000 $4,800 $300 2012 - REAL ESTATE APPRAISERS TOTAL $1,150 $31,815 $31,815 6062 - CONSUMER PROTECTION CREDIT CARD EXPENSES $61,796 $50,000 $60,000 MEMBERSHIP DUES $10,642 $10,000 $6,000 STIPENDS $900 $5,000 $10,000 REPAIRS & MAINTENANCE $3,840 $25,000 $7,200 AUTOMOTIVE REPAIR & MAINTENANCE $4,426 $10,000 $10,000 RENTAL OF LAND/BUILDINGS $3,927 $12,000 $12,628 RENTAL MACHINES/EQUIPMENT $10,803 $5,000 $10,000 PROFESSIONAL SERVICES $170,308 $781,000 $336,000 SECURITY SERVICES $1,045 $1,000 $1,200 TRAINING $6,200 $10,000 $10,000 COMMUNICATION $46,280 $25,000 $25,372 ADVERTISING & PROMOTION – $2,000 $4,600 PRINTING AND BINDING – $5,000 $3,000 TRANSPORTATION - NOT TRAVEL $2,972 $10,000 $6,000 TRAVEL $3,508 $20,000 $15,000 TRAVEL / CASH ADVANCE $7,131 $10,000 $5,000 PURCHASE BULK AIRLINE – $25,000 $50,000 OTHER SERVICES NOC $15,048 $15,500 $57,001 6062 - CONSUMER PROTECTION TOTAL $348,826 $1,021,500 $629,001 OTHER SERVICES TOTAL $1,493,627 $2,769,541 $2,757,366 EXPENSES TOTAL $1,493,627 $2,769,541 $2,757,366 PROFESSIONAL SERVICES GENERAL FUND Itemization Description FY2027 Amount PROSPERITY ENTERPRISES, LLC $28,600 OLIVER EXTERMINATING $1,920 VIRGIN ISLANDS CLEANING SERVICES ENTERPRISE, LLC $30,240 XPERTS EXTERMINATING $2,600 PALM BEACH COUNTY $164,000 AMOUNT $227,360 DLCA - PROFESSIONAL SERVICES FUND 6032 Itemization Description FY2027 Amount CUSTODIAL SERVICES - ST THOMAS $14,400 STENOGRAPHIC SERVICES $32,000 CUSTODIAL SERVICES - ST CROIX $7,980 OUTSIDE COUNSEL $75,000 PEST CONTROL $600 AMOUNT $129,980 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 276 DLCA - PROFESSIONAL SERVICES FUND 6062 Itemization Description FY2027 Amount ALLINFOTECH, LLC. $306,000 PSI $30,000 AMOUNT $336,000 LEASES GENERAL FUND Itemization Description FY2027 Amount P.D.C.M ASSOCIATES $91,500 AMOUNT $91,500 DLCA - LEASES FUND 6032 Itemization Description FY2027 Amount PRIME STORAGE $8,414 ZEFO'S ENTERTPRISE, LLC $54,000 LAB MANAGEMENT, LLC $96,399 AMOUNT $158,812 DLCA - LEASES FUND 6062 Itemization Description FY2027 Amount PRIME STORAGE ST. THOMAS, LLC. STORAGE UNIT NO. E723 $6,608 PRIME STORAGE ST. THOMAS, LLC. TORAGE UNIT NO. E699 $6,019 AMOUNT $12,628 FY 2027 PROPOSED EXECUTIVE BUDGET 277 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNT MAINTENANCE OFFICER 1 ADMINISTRATIVE ASSISTANT 1 ADMINISTRATIVE ASSISTANT I 1 ADMINISTRATIVE OFFICER II 1 ADMINISTRATIVE OFFICER III 1 ALCOHOL COORDINATOR 1 ALCOHOL INSPECTOR 2 ASSISTANT ACCOUNTS MAINTENANCE OFFICER 1 ASSISTANT COMMISSIONER 1 ASSISTANT DIRECTOR ADMIN AND BUSINESS MANAGEMENT 1 ASSISTANT DIRECTOR OF LICENSING 1 ASSISTANT EXECUTIVE DIRECTOR 1 CANNABIS COMPLIANCE AUDITOR 2 CANNABIS ENFORCEMENT AGENT 2 CHIEF COMPLAINT OFFICER 1 CHIEF ENFORCEMENT OFFICER 1 CHIEF WEIGHTS & MEASURES 1 COMMISSIONER 1 CONSUMER COMPLIANCE AND PROTECTION OFFICER 2 CUSTOMER SERVICE REPRESENTATIVE 4 DEPUTY COMMISSIONER 1 DEPUTY DIRECTOR ENFORCEMENT 1 DEPUTY DIRECTOR REGULATION & ADMINISTRATION 1 DIRECTOR ADMINISTRATION AND BUSINESS MANAGEMENT 1 DIRECTOR OF BOARDS & COMMISSIONS 1 DIRECTOR OF CONSUMER AFFAIRS 1 DIRECTOR OF ENFORCEMENT 1 DIRECTOR OF LICENSING 0 DISTRICT COUNSEL 1 ENFORCEMENT OFFICER 6 EXECUTIVE DIRECTOR 1 EXECUTIVE DIRECTOR OFFICE OF CANNABIS REGULATION 1 FEES & COMPENSATION NOC 1 GENERAL COUNSEL 1 HEARING OFFICER 1 HUMAN RESOURCES ADMINISTRATOR 0 HUMAN RESOURCES PERSONNEL & INFORMATION TECHNOLOGY MANAGER 1 INDUSTRY ENGINEER III 1 LEAD CANNABIS ENFORCEMENT AGENT 1 LEGAL COUNSEL 1 LEGAL COUNSEL TO BOARDS AND COMMISSION 1 LEGAL OFFICE ADMINISTRATOR 1 LEGAL SUPPORT SPECIALIST 1 LICENSING OFFICER 9 LICENSING OFFICER TO BOARDS AND COMMISSION 1 FY 2027 PROPOSED EXECUTIVE BUDGET 278 Position Name FY2027 LUMPSUM 1 NETWORK ADMINISTRATOR 1 OFFICE ASSISTANT 1 OPERATIONS COODINATOR 1 PARALEGAL RESEARCHER 1 PUBLIC COMMUNICATIONS COORDINATOR 1 PUBLIC INFORMATION OFFICER 1 SECRETARY OF BOARDS AND COMMISSION 1 SENIOR CONSUMER COMPLIANCE PROTECTION OFFICER 1 SENIOR INSPECTOR WEIGHTS & MEASURES 1 SPECIAL ASSISTANT 1 SPECIAL ASSISTANT TO THE COMMISSIONER 1 SPECIAL INVESTIGATOR TO BOARDS AND COMMISSION 1 ST. JOHN COORDINATOR 1 UTILITY STAFF ASSISTANT 2 WEIGHTS & MEASURES INSPECTOR I 2 ALLOCATED FTE COUNT 81 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE ASSISTANT 1 ASSISTANT DIRECTOR OF LICENSING 1 CHIEF WEIGHTS & MEASURES 1 DIRECTOR OF CONSUMER AFFAIRS 1 DIRECTOR OF LICENSING 0 ENFORCEMENT OFFICER 2 HUMAN RESOURCES ADMINISTRATOR 0 LEGAL COUNSEL TO BOARDS AND COMMISSION 1 LEGAL OFFICE ADMINISTRATOR 1 LICENSING OFFICER 2 NETWORK ADMINISTRATOR 1 OFFICE ASSISTANT 1 OPERATIONS COODINATOR 1 PARALEGAL RESEARCHER 1 PUBLIC INFORMATION OFFICER 1 SPECIAL INVESTIGATOR TO BOARDS AND COMMISSION 1 ALLOCATED FTE COUNT 16 ACTIVITY CENTERS 38000 - BOARDS AND COMMISSIONS 38001 - NON-OPERATIONAL MISC 38002 - ENFORCEMENT 38003 - OFFICE OF CANNABIS REGULATION 38010 - OFFICE OF THE COMMISSIONER 38020 - GENERAL COUNSEL 38100 - LICENSING 38200 - CONSUMER PROTECTION 38400 - ADMINISTRATION AND BUSINESS MANAGEMENT 38500 - CONSUMER AFFAIRS 38510 - WEIGHTS AND MEASURES FY 2027 PROPOSED EXECUTIVE BUDGET 279 ACTIVITY 38000 BOARDS AND COMMISSIONS FUNCTIONAL STATEMENT The Boards and Commissions office provides administrative, budgetary, and clerical assistance to eight (8) professional boards under the jurisdiction of the Department of Licensing and Consumer Affairs. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $521,804 $422,599 $427,599 FRINGE BENEFITS $244,108 $186,033 $197,409 SUPPLIES $104,989 $268,864 – OTHER SERVICES $71,372 $25,000 – 0100 - GENERAL FUND TOTAL $942,273 $902,496 $625,008 6032 - PUBLIC SERVICE COMMISSION REVOLVING PERSONNEL SERVICES $924,807 $1,011,354 $1,109,854 FRINGE BENEFITS $398,196 $418,369 $483,598 SUPPLIES $118,529 $81,030 $93,715 OTHER SERVICES $733,229 $652,550 $581,662 UTILITY SERVICES $40,762 $36,000 $40,800 CAPITAL PROJECTS – $85,500 $85,500 6032 - PUBLIC SERVICE COMMISSION REVOLVING TOTAL $2,215,523 $2,284,803 $2,395,129 2002 - VI BOARD OF PUBLIC ACCOUNTANCY SUPPLIES – $2,500 $2,500 OTHER SERVICES $1,311 $93,375 $93,375 2002 - VI BOARD OF PUBLIC ACCOUNTANCY TOTAL $1,311 $95,875 $95,875 2012 - REAL ESTATE APPRAISERS SUPPLIES – $100 $100 OTHER SERVICES – $3,810 $31,815 2012 - REAL ESTATE APPRAISERS TOTAL – $3,910 $31,915 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $109,368 $97,000 – 0105 - SINGLE PAYER UTILITY FUND TOTAL $109,368 $97,000 – 6031 - VENDORS PLAZA REVOLVING FUND SUPPLIES $346 – – DEPARTMENT OF LICENSING AND CONSUMER AFFAIRS - BOARDS AND COMMISSIONS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 280 CAPITAL PROJECTS $4,130 – – 6031 - VENDORS PLAZA REVOLVING FUND TOTAL $4,476 $0 – EXPENSES TOTAL $3,272,951 $3,384,084 $3,147,927 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNT MAINTENANCE OFFICER 1 ADMINISTRATIVE ASSISTANT I 1 ADMINISTRATIVE OFFICER II 1 ASSISTANT ACCOUNTS MAINTENANCE OFFICER 1 ASSISTANT EXECUTIVE DIRECTOR 1 DIRECTOR OF BOARDS & COMMISSIONS 1 EXECUTIVE DIRECTOR 1 HUMAN RESOURCES PERSONNEL & INFORMATION TECHNOLOGY MANAGER 1 INDUSTRY ENGINEER III 1 LEGAL COUNSEL 1 LEGAL COUNSEL TO BOARDS AND COMMISSION 1 LEGAL SUPPORT SPECIALIST 1 LICENSING OFFICER 1 LICENSING OFFICER TO BOARDS AND COMMISSION 1 PUBLIC COMMUNICATIONS COORDINATOR 1 SECRETARY OF BOARDS AND COMMISSION 1 SPECIAL ASSISTANT 1 SPECIAL INVESTIGATOR TO BOARDS AND COMMISSION 1 UTILITY STAFF ASSISTANT 2 ALLOCATED FTE COUNT 20 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 281 ACTIVITY 38001 NON-OPERATIONAL MISC FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $139,125 $179,647 $189,647 FRINGE BENEFITS $74,478 $92,124 $101,347 0100 - GENERAL FUND TOTAL $213,603 $271,771 $290,994 EXPENSES TOTAL $213,603 $271,771 $290,994 EXPENDITURES MISCELLANEOUS EXPENSES BY PROJECT Projects M2225 - ALCHOLIC BEVERAGE CONTROL OFFICE PERSONNEL SERVICES $139,125 $179,647 $189,647 FRINGE BENEFITS $74,478 $92,124 $101,347 M2225 - ALCHOLIC BEVERAGE CONTROL OFFICE TOTAL $213,603 $271,771 $290,994 PROJECTS TOTAL $213,603 $271,771 $290,994 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ALCOHOL COORDINATOR 1 ALCOHOL INSPECTOR 2 OFFICE ASSISTANT 1 ALLOCATED FTE COUNT 4 DEPARTMENT OF LICENSING & CONSUMER AFFAIRS - NON-OPERATIONAL MISC FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 282 ACTIVITY 38002 ENFORCEMENT FUNCTIONAL STATEMENT The Enforcement Division enforces consumer laws by inspecting all businesses to ensure compliance with the Virgin Islands licensing laws. The Enforcement Officers serve documents on behalf of the Legal Division, Consumer protection, and Boards and Commissions as needed. Enforcement also regularly participates on task force and joint initiatives with Virgin Islands Police Department, Office of the Governor, Department of Health, and private entities to ensure the safety and well-being of the people of the Virgin Islands. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $114,019 $523,382 $405,527 FRINGE BENEFITS $47,828 $257,566 $230,508 0100 - GENERAL FUND TOTAL $161,847 $780,948 $636,035 EXPENSES TOTAL $161,847 $780,948 $636,035 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count CHIEF ENFORCEMENT OFFICER 1 DIRECTOR OF ENFORCEMENT 1 ENFORCEMENT OFFICER 5 ALLOCATED FTE COUNT 7 DEPARTMENT OF LICENSING & CONSUMER AFFAIRS - ENFORCEMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 283 ACTIVITY 38003 OFFICE OF CANNABIS REGULATION FUNCTIONAL STATEMENT To allow and provide for the beneficial use of medical cannabis in a regulated system for alleviating symptoms caused by debilitating medical conditions and their medical treatments. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $61,718 $585,000 $675,000 FRINGE BENEFITS $29,863 $249,154 $295,540 SUPPLIES – – $151,478 OTHER SERVICES – – $38,200 CAPITAL PROJECTS $191,851 – – 0100 - GENERAL FUND TOTAL $283,432 $834,154 $1,160,218 6068 - TOURISM ADVERTISING REVOLVING – – $100,000 6116 - CANNABIS FUND – – $250,000 EXPENSES TOTAL $283,432 $834,154 $1,510,218 EXPENDITURES MISCELLANEOUS EXPENSES BY PROJECT Projects M1803 - VI OFFICE OF CANNABIS REGULATION PERSONNEL SERVICES $61,718 $585,000 $675,000 FRINGE BENEFITS $29,863 $249,154 $295,540 SUPPLIES – – $151,478 OTHER SERVICES – – $38,200 CAPITAL PROJECTS $191,851 – – M1803 - VI OFFICE OF CANNABIS REGULATION TOTAL $283,432 $834,154 $1,160,218 PROJECTS TOTAL $283,432 $834,154 $1,160,218 DEPARTMENT OF LICENSING & CONSUMER AFFAIRS - OFFICE OF CANNABIS REGULATION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 284 ACTIVITY 38010 OFFICE OF THE COMMISSIONER FUNCTIONAL STATEMENT The Office of the Commissioner is responsible for the overall leadership, management, planning, supervision and direction of the department so that it may effectively carry out its statutory mandate. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $548,172 $711,039 $769,706 FRINGE BENEFITS $182,824 $283,872 $326,755 SUPPLIES – – $167,000 OTHER SERVICES – – $1,132,230 0100 - GENERAL FUND TOTAL $730,996 $994,911 $2,395,691 2012 - REAL ESTATE APPRAISERS OTHER SERVICES $1,150 $28,005 – 2012 - REAL ESTATE APPRAISERS TOTAL $1,150 $28,005 – EXPENSES TOTAL $732,146 $1,022,916 $2,395,691 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT COMMISSIONER 1 COMMISSIONER 1 CUSTOMER SERVICE REPRESENTATIVE 2 DEPUTY COMMISSIONER 1 HEARING OFFICER 1 NETWORK ADMINISTRATOR 1 PUBLIC INFORMATION OFFICER 1 SPECIAL ASSISTANT TO THE COMMISSIONER 1 ST. JOHN COORDINATOR 1 ALLOCATED FTE COUNT 10 DEPT OF LICENSING & CONSUMER AFFAIRS - OFFICE OF THE COMMISSIONER FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 285 ACTIVITY 38020 GENERAL COUNSEL FUNCTIONAL STATEMENT The Legal Division, led by the General Counsel, advises the Commissioner, promulgates regulations, prosecutes violations, and represents the Department and consumers in legal matters. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $332,688 $292,993 $290,593 FRINGE BENEFITS $115,730 $112,767 $118,692 0100 - GENERAL FUND TOTAL $448,418 $405,760 $409,285 EXPENSES TOTAL $448,418 $405,760 $409,285 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count DISTRICT COUNSEL 1 GENERAL COUNSEL 1 LEGAL OFFICE ADMINISTRATOR 1 PARALEGAL RESEARCHER 1 ALLOCATED FTE COUNT 4 DEPARTMENT OF LICENSING AND CONSUMER AFFAIRS - GENERAL COUNSEL FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 286 ACTIVITY 38100 LICENSING FUNCTIONAL STATEMENT The Division of Licensing issues business licenses, collects fees, educates the public, and enforces relevant laws, except when such authority is delegated elsewhere by law. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $772,200 $636,979 $508,118 FRINGE BENEFITS $431,086 $321,019 $330,763 0100 - GENERAL FUND TOTAL $1,203,286 $957,998 $838,881 EXPENSES TOTAL $1,203,286 $957,998 $838,881 ALL ACTIVITY CENTER POSITONS Position Name FY2027 Allocated FTE Count ASSISTANT DIRECTOR OF LICENSING 1 CUSTOMER SERVICE REPRESENTATIVE 2 DIRECTOR OF LICENSING 0 LICENSING OFFICER 8 ALLOCATED FTE COUNT 11 DEPARTMENT OF LICENSING & CONSUMER AFFAIRS - LICENSING FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 287 ACTIVITY 38200 CONSUMER PROTECTION FUNCTIONAL STATEMENT The Consumer Protection Unit is responsible for development and implementation of community activities to inform the public, address consumer complaints, and monitor businesses for compliance with consumer protection laws. FUND SUMMARY Expenses 6062 - CONSUMER PROTECTION FRINGE BENEFITS $2,500 $5,000 – SUPPLIES $113,953 $79,500 $64,497 OTHER SERVICES $348,826 $1,021,500 – 6062 - CONSUMER PROTECTION TOTAL $465,279 $1,106,000 $64,497 EXPENSES TOTAL $465,279 $1,106,000 $64,497 DEPARTMENT OF LICENSING & CONSUMER AFFAIRS - CONSUMER PROTECTION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 288 ACTIVITY 38400 ADMINISTRATION AND BUSINESS MANAGEMENT FUNCTIONAL STATEMENT The Administration and Business Management Unit is responsible for all budgetary, accounting, payroll, procurement, and personnel operations of the Department. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $169,366 $225,000 $283,622 FRINGE BENEFITS $64,713 $99,026 $111,027 SUPPLIES $9,025 $37,000 – OTHER SERVICES $337,739 $945,301 $91,500 UTILITY SERVICES – $0 $112,000 CAPITAL PROJECTS $42,200 – – 0100 - GENERAL FUND TOTAL $623,042 $1,306,327 $598,149 EXPENSES TOTAL $623,042 $1,306,327 $598,149 EXPENDITURES MICELLANEOUS EXPENSES BY PROJECT Projects M1803 - VI OFFICE OF CANNABIS REGULATION SUPPLIES $2,901 $5,000 – OTHER SERVICES $66,573 $27,200 – M1803 - VI OFFICE OF CANNABIS REGULATION TOTAL $69,474 $32,200 – PROJECTS TOTAL $69,474 $32,200 – ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE ASSISTANT 1 DEPARTMENT OF LICENSING & CONSUMER AFFAIRS - ADMINISTRATION AND BUSINESS MANAGEMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 289 Position Name FY2027 ADMINISTRATIVE OFFICER III 1 ASSISTANT DIRECTOR ADMIN AND BUSINESS MANAGEMENT 1 DIRECTOR ADMINISTRATION AND BUSINESS MANAGEMENT 1 HUMAN RESOURCES ADMINISTRATOR 0 ALLOCATED FTE COUNT 4 FY 2027 PROPOSED EXECUTIVE BUDGET 290 ACTIVITY 38500 CONSUMER AFFAIRS FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $238,461 $182,043 $184,252 FRINGE BENEFITS $136,658 $116,704 $127,575 0100 - GENERAL FUND TOTAL $375,119 $298,747 $311,827 6062 - CONSUMER PROTECTION FRINGE BENEFITS – – $3,002 SUPPLIES – – $1,500 OTHER SERVICES – – $629,001 6062 - CONSUMER PROTECTION TOTAL – – $633,503 EXPENSES TOTAL $375,119 $298,747 $945,330 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count CHIEF COMPLAINT OFFICER 1 CONSUMER COMPLIANCE AND PROTECTION OFFICER 2 SENIOR CONSUMER COMPLIANCE PROTECTION OFFICER 1 ALLOCATED FTE COUNT 4 DEPARTMENT OF LICENSING AND CONSUMER AFFAIRS - CONSUMER AFFAIRS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 291 ACTIVITY 38510 WEIGHTS AND MEASURES FUNCTIONAL STATEMENT The Weights and Measures Unit establishes standards and ensures accuracy of commercial measuring devices while enforcing laws on food freshness, packaged goods' contents, advertising, and unit pricing. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $149,417 $383,043 $313,043 FRINGE BENEFITS $79,710 $169,887 $147,799 0100 - GENERAL FUND TOTAL $229,127 $552,930 $460,842 EXPENSES TOTAL $229,127 $552,930 $460,842 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count CHIEF WEIGHTS & MEASURES 1 DIRECTOR OF CONSUMER AFFAIRS 1 ENFORCEMENT OFFICER 1 SENIOR INSPECTOR WEIGHTS & MEASURES 1 WEIGHTS & MEASURES INSPECTOR I 2 ALLOCATED FTE COUNT 6 DEPARTMENT OF LICENSING & CONSUMER AFFAIRS - WEIGHTS AND MEASURES FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 292 MISSION STATEMENT To provide efficient government financial services to all stakeholders. BUDGET SUMMARY Total Amount (FY2027) $13,758,262.00 FY27 BUDGETED RESOURCES GENERAL FUND: GENERAL FUND: $13,649,762.00 (99.21%) $13,649,762.00 (99.21%) GENERAL FUND: $13,649,762.00 (99.21%) INDIRECT COST: INDIRECT COST: $108,500.00 (0.79%) $108,500.00 (0.79%) INDIRECT COST: $108,500.00 (0.79%) GENERAL FUND INDIRECT COST FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $15,274,048 $12,059,602 $13,649,762 2098 - INDIRECT COST $92,975 $108,500 $108,500 2108 - VI INSURANCE GUARANTY $20,000,000 $20,000,000 $0 6000 - GOVERNMENT INSURANCE FUND $5,048 – – 8008 - TRANSPORTATION TRUST FUND $10,079,154 – $0 0101 - GENERAL FUND NON-LAPSING – $1,252,715 – 3015 - CARIBBEAN BASIN INITIATIVE $6,000,000 – $0 2801 - SOUTHERN TRUST COMPANY SETTLEMENT $24,000,000 $2,000,000 – APPROPRIATED TOTAL $75,451,225 $35,420,817 $13,758,262 FEDERAL 3100 - FEDERAL GRANTS ALL EXCEPT DOE $236,856 $0 – FEDERAL TOTAL $236,856 $0 – NON APPROPRIATED 2092 - CASINO CONTROL REV FUND $2,392,728 $1,106,704 – 2290 - COMMUNITY FACILITIES TRUST $1,195,667 – – 4000 - PFA DEBT SERVICE FUND $71,518,815 – – 7000 - ELECTED GOV RETIRE FUND $632,849 – – 7004 - JUDGES PENSION FUND $240,221 – – 9002 - FICA TAXES WITHHELD $63,219,147 $31,756,733 – DEPARTMENT OF FINANCE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 293 0105 - SINGLE PAYER UTILITY FUND $259,071 $300,000 – 2011 - EMERGENCY RENTAL ASSISTANCE $5,512,188 $0 – NON APPROPRIATED TOTAL $144,970,685 $33,163,438 – EXPENSES TOTAL $220,658,766 $68,584,254 $13,758,262 Disclaimer: Variances between Department of Finance's Fund Summary and the 3-Year Expenditure Report schedule is because interfund transfers occur at fiscal year-end. Total Amount (FY2027) $13,649,762.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY OTHER SERVICES: OTHER SERVICES: $7,692,886.00 (56.36%) $7,692,886.00 (56.36%) OTHER SERVICES: $7,692,886.00 (56.36%) PERSONNEL SERVICES: PERSONNEL SERVICES: $3,727,411.00 (27.31%) $3,727,411.00 (27.31%) PERSONNEL SERVICES: $3,727,411.00 (27.31%) FRINGE BENEFITS: FRINGE BENEFITS: $1,712,355.00 (12.54%) $1,712,355.00 (12.54%) FRINGE BENEFITS: $1,712,355.00 (12.54%) SUPPLIES: SUPPLIES: $324,110.00 (2.37%) $324,110.00 (2.37%) SUPPLIES: $324,110.00 (2.37%) UTILITY SERVICES: UTILITY SERVICES: $108,000.00 (0.79%) $108,000.00 (0.79%) UTILITY SERVICES: $108,000.00 (0.79%) OTHER SERVICES PERSONNEL SERVICES FRINGE BENEFITS SUPPLIES UTILITY SERVICES CAPITAL PROJECTS OTHER EXPENSES MISCELLANEOUS GENERAL FUND Projects GIF01 - GIF OPERATIONS $54,995 – – M0401 - DEPT FINAN AUDIT SERVICES $618,646 $447,020 $600,000 M1002 - DOF-ERP SYSTEM SOFTWARE $221,871 $350,000 $350,000 M1003 - DOF-GASB 45 $553,289 $325,000 $575,000 M1004 - DOF-ANNUAL MAINTENENANCE ( IDC ) – $8,000 $8,000 M1107 - DOF-INTEREST & PENALTIES – $25,000 $25,000 M1108 - DOF-DATA ARCHIVING,WAREHOUSE/OTHSRV $6,000 $40,000 $40,000 M1300 - DOF TIME ATTENDANCE SOFTWARE/HARDWA $135,808 $150,000 $150,000 M1338 - TELECHECK LOSS PREVENTION – $150,000 $150,000 M1801 - ENVIRON/INFRASTRUC IMPACT FEE $817,589 – – M2000 - DOF HURRICANE RELAT PROC GASB STD $12,980 – – M2003 - DOF UPGRADES,TRAINING & MAINTENANCE $310,904 $820,000 $820,000 M2101 - PENSION FUND $65,000 $45,000 $45,000 M2102 - ELECTED GOV'S RETIRE FUND $503,000 $503,000 $785,000 M2103 - JUDGES PENSION FUND $721,723 $721,000 $223,992 M8008 - DOF - AUDIT SERVICES $2,907,000 $1,200,000 $2,600,000 MIS08 - DEPT. FINANCE-CLAIM FUNDS $100,000 $100,000 $100,000 MIS09 - BONDING GOV'T EMPLOYEES $107,642 $125,000 $125,000 M2550 - CONTR TO PUBLIC SERVICE COMMISSION $2,079,296 – – M2106 - CREDIT CARD COMPLIANCE OFFICER $26,655 – – PROJECTS TOTAL $9,242,398 $5,009,020 $6,596,992 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 294 RECOMMENDED EXPENDITURES OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND CREDIT CARD EXPENSES $73,931 – – DEBRIS REMOVAL $600 – – REPAIRS & MAINTENANCE $77,005 $604,500 $604,500 AUTOMOTIVE REPAIR & MAINTENANCE $3,710 $7,000 $7,000 RENTAL MACHINES/EQUIPMENT $68,188 $5,500 $6,500 PROFESSIONAL SERVICES $4,904,452 $2,665,448 $4,224,949 SECURITY SERVICES $445,635 $270,000 $86,400 TRAINING $10,500 $120,000 $115,670 COMMUNICATION $173,611 $200,000 $210,000 ADVERTISING & PROMOTION $490 $5,000 $5,000 PRINTING AND BINDING $321 – – TRANSPORTATION - NOT TRAVEL $5,293 – $0 TRAVEL $32,518 $62,460 $87,000 TRAVEL / CASH ADVANCE $1,200 $10,000 $12,675 PURCHASE BULK AIRLINE $39,400 $43,814 $48,200 INSURANCE $107,642 $125,000 $125,000 OTHER SERVICES NOC $34,350 $1,032,345 $1,006,000 TRANSFER OUT GENERAL FUND $2,329,296 – – INTRAFUND CONTRIBUTIONS $2,187,312 $1,369,000 $1,153,992 0100 - GENERAL FUND TOTAL $10,495,452 $6,520,067 $7,692,886 2098 - INDIRECT COST REPAIRS & MAINTENANCE $17,760 $15,000 $15,000 PROFESSIONAL SERVICES $5,615 – – TRAINING – $14,500 $10,000 OTHER SERVICES NOC – $79,000 $83,500 2098 - INDIRECT COST TOTAL $23,375 $108,500 $108,500 0101 - GENERAL FUND NON-LAPSING PROFESSIONAL SERVICES – $1,252,715 – 0101 - GENERAL FUND NON-LAPSING TOTAL – $1,252,715 – 2801 - SOUTHERN TRUST COMPANY SETTLEMENT $24,000,000 $2,000,000 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE PROFESSIONAL SERVICES $158,665 $0 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $158,665 $0 – 2092 - CASINO CONTROL REV FUND GRANTS/IND GOVT AGENCIES $635,504 $265,609 – INTRAFUND CONTRIBUTIONS $1,757,223 $841,095 – 2092 - CASINO CONTROL REV FUND TOTAL $2,392,728 $1,106,704 – 2290 - COMMUNITY FACILITIES TRUST OTHER SERVICES NOC $1,195,667 – – 2290 - COMMUNITY FACILITIES TRUST TOTAL $1,195,667 – – 4000 - PFA DEBT SERVICE FUND OTHER SERVICES NOC $5,000,000 – – BANK CHARGES $15 – – PAYMENT OF PRINCIPAL $4,635,349 – – PAYMENT OF INTEREST $19,849 – – PAYMENT OF BOND PRINCIPAL $39,375,000 – – PAYMENT OF BOND INTEREST $22,488,602 – – 4000 - PFA DEBT SERVICE FUND TOTAL $71,518,815 – – 7000 - ELECTED GOV RETIRE FUND ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 295 ANNUITIES $580,429 – – 7000 - ELECTED GOV RETIRE FUND TOTAL $580,429 – – 7004 - JUDGES PENSION FUND ANNUITIES $238,095 – – 7004 - JUDGES PENSION FUND TOTAL $238,095 – – 2011 - EMERGENCY RENTAL ASSISTANCE $5,512,188 $0 – OTHER SERVICES TOTAL $116,115,412 $10,987,986 $7,801,386 MISCELLANEOUS 0100 - GENERAL FUND REFUNDS $39,920 – – 0100 - GENERAL FUND TOTAL $39,920 – – 2108 - VI INSURANCE GUARANTY TRANSFER OUT SPECIAL/OTHER $20,000,000 $20,000,000 $0 2108 - VI INSURANCE GUARANTY TOTAL $20,000,000 $20,000,000 $0 6000 - GOVERNMENT INSURANCE FUND REFUNDS -$364 – – 6000 - GOVERNMENT INSURANCE FUND TOTAL -$364 – – 8008 - TRANSPORTATION TRUST FUND TRANSFER OUT SPECIAL/OTHER $10,079,154 – $0 8008 - TRANSPORTATION TRUST FUND TOTAL $10,079,154 – $0 3015 - CARIBBEAN BASIN INITIATIVE TRANSFER OUT SPECIAL/OTHER $6,000,000 – $0 3015 - CARIBBEAN BASIN INITIATIVE TOTAL $6,000,000 – $0 MISCELLANEOUS TOTAL $36,118,710 $20,000,000 $0 EXPENSES TOTAL $152,234,123 $30,987,986 $7,801,386 PROFESSIONAL SERVICES GENERAL FUND Itemization Description FY2027 Amount STIPENDS $3,000 DATA ARCHIVING, WAREHOUSE & OTHER SERVICES $40,000 AUDIT SERVICES $2,600,000 JUST ELEVATE $49,500 MLC HOLDING $4,290 OLIVER EXTERMINATION $5,400 CLOUD BASE BACKUP SYSTEM $187,970 VIRGIN ISLANDS CLEANING $42,200 XEROX $20,350 TEMPAIRE $8,000 OLIVER WYMAN $45,000 BID PROCEDURE $22,000 ADT $3,739 OMNI SYSTEM $10,500 GASB 45 $575,000 DOF AUDIT ACCOUNTING ASSISTANCE $600,000 ANNUAL MAINTENANCE (IDC) $8,000 AMOUNT $4,224,949 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 296 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTING ANALYST 4 ACCOUNTING OPERATIONS MANAGER 1 ADMINISTRATIVE OFFICER I 1 ADMINISTRATIVE SECRETARY II 1 ADMINISTRATIVE SPECIALIST 2.88 ASSISTANT DIRECTOR PAYROLL 1 ASSISTANT DIRECTOR TREASURY 1 BUDGET CONTROL FINANCIAL ANALYST 1 CAPITAL ASSETS COORDINATOR 0.9 CHIEF ACCOUNTS PAYABLE 1 CHIEF OF STAFF 1 COMMISSIONER 1 CONTRACT ASSISTANT 1 DATA PROCESSING ANALYST 1 DEPUTY COMMISSIONER 1 DIRECTOR MANAGEMENT INFORMATION SYSTEM 1 DIRECTOR ACCOUNTING 1 DIRECTOR TREASURY 1 DISBURSEMENT ANALYST 1 EXECUTIVE ASSISTANT COMMISSIONER 2 FINANCIAL PLANNING & ANALYST MANAGER 1 FINANCIAL REPORTING ANALYST 4 HUMAN RESOURCES GENERALIST 1 INFORMATION TECHNOLOGY SPECIALIST 2 LUMP SUM 2 OVERTIME 2 PAYROLL AUDIT ANALYST 4 PAYROLL DIRECTOR 1 RECONCILIATION & AUDIT ANALYST 1 RECONCILIATION & AUDIT MANAGER 1 SENIOR DATA PROCESSING ANALYST 2 SPECIAL ASSISTANT 1 SPECIAL PROJECTS COORDINATOR 2 SPECIAL PROJECTS FACILITIES COORDINATOR 1 SUPERVISOR CENTRAL PAYROLL 2 TECHNICAL SUPPORT SPECIALIST 2 TRAVEL CREDIT CARD COMPLIANCE MANAGER 1 TREASURY ANALYST 1 ALLOCATED FTE COUNT 56.78 FY 2027 PROPOSED EXECUTIVE BUDGET 297 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTING ANALYST 2 ADMINISTRATIVE SECRETARY II 1 ASSISTANT DIRECTOR PAYROLL 1 FINANCIAL REPORTING ANALYST 2 INFORMATION TECHNOLOGY SPECIALIST 1 SENIOR DATA PROCESSING ANALYST 1 TREASURY ANALYST 1 ALLOCATED FTE COUNT 9 ACTIVITY CENTERS 39000 - OFFICE OF THE COMMISSIONER 39001 - NON-OPERATIONAL MISC 39010 - OFFICE OF TAX APPEALS 39020 - BUSINESS OFFICE 39110 - ACCOUNTS PAYABLE 39120 - GENERAL LEDGER & FINANCIAL REPORTING 39220 - TREASURY DIVISION 39250 - DISBURSEMENT 39400 - MANAGEMENT INFORMATION SYSTEMS 39420 - COMPUTER OPERATIONS 39500 - PAYROLL DIVISION 39990 - EXTERNAL TO DEPT OF FINANCE FY 2027 PROPOSED EXECUTIVE BUDGET 298 ACTIVITY 39000 OFFICE OF THE COMMISSIONER FUNCTIONAL STATEMENT The Office of the Commissioner coordinates day-to-day operations, compiles the annual budget, develops and administers departmental policies, and manages the department's personnel and labor relations activities. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $1,006,428 $1,157,144 $1,210,593 FRINGE BENEFITS $425,081 $425,296 $453,267 SUPPLIES $15,973 $33,600 $34,460 OTHER SERVICES $1,009,320 $140,000 $125,670 CAPITAL PROJECTS $48,896 $110,000 $60,000 0100 - GENERAL FUND TOTAL $2,505,699 $1,866,040 $1,883,990 6000 - GOVERNMENT INSURANCE FUND PERSONNEL SERVICES $3,831 – – FRINGE BENEFITS $1,582 – – MISCELLANEOUS -$364 – – 6000 - GOVERNMENT INSURANCE FUND TOTAL $5,048 – – 2801 - SOUTHERN TRUST COMPANY SETTLEMENT $24,000,000 $2,000,000 – 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $259,071 $300,000 – 0105 - SINGLE PAYER UTILITY FUND TOTAL $259,071 $300,000 – 2011 - EMERGENCY RENTAL ASSISTANCE $5,512,188 $0 – EXPENSES TOTAL $32,282,006 $4,166,040 $1,883,990 DEPARTMENT OF FINANCE - OFFICE OF THE COMMISSIONER FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 299 EXPENDITURES MISCELLANEOUS EXPENSES BY PROJECT Projects M1801 - ENVIRON/INFRASTRUC IMPACT FEE OTHER SERVICES $817,589 – – M1801 - ENVIRON/INFRASTRUC IMPACT FEE TOTAL $817,589 – – M2106 - CREDIT CARD COMPLIANCE OFFICER $26,655 – – PROJECTS TOTAL $844,244 – – ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE SECRETARY II 1 ADMINISTRATIVE SPECIALIST 2 BUDGET CONTROL FINANCIAL ANALYST 1 CHIEF OF STAFF 1 COMMISSIONER 1 CONTRACT ASSISTANT 1 DEPUTY COMMISSIONER 1 EXECUTIVE ASSISTANT COMMISSIONER 2 SPECIAL ASSISTANT 1 SPECIAL PROJECTS FACILITIES COORDINATOR 1 TRAVEL CREDIT CARD COMPLIANCE MANAGER 1 ALLOCATED FTE COUNT 13 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 300 ACTIVITY 39001 NON-OPERATIONAL MISC FUND SUMMARY Expenses 0100 - GENERAL FUND OTHER SERVICES $8,343,159 $5,009,020 $6,596,992 0100 - GENERAL FUND TOTAL $8,343,159 $5,009,020 $6,596,992 0101 - GENERAL FUND NON-LAPSING OTHER SERVICES – $1,252,715 – 0101 - GENERAL FUND NON-LAPSING TOTAL – $1,252,715 – EXPENSES TOTAL $8,343,159 $6,261,735 $6,596,992 EXPENDITURES MISCELLANEOUS EXPENSES BY PROJECT Projects M0401 - DEPT FINAN AUDIT SERVICES OTHER SERVICES $618,646 $447,020 $600,000 M0401 - DEPT FINAN AUDIT SERVICES TOTAL $618,646 $447,020 $600,000 M1002 - DOF-ERP SYSTEM SOFTWARE OTHER SERVICES $221,871 $350,000 $350,000 M1002 - DOF-ERP SYSTEM SOFTWARE TOTAL $221,871 $350,000 $350,000 M1003 - DOF-GASB 45 OTHER SERVICES $553,289 $325,000 $575,000 M1003 - DOF-GASB 45 TOTAL $553,289 $325,000 $575,000 M1004 - DOF-ANNUAL MAINTENENANCE ( IDC ) OTHER SERVICES – $8,000 $8,000 M1004 - DOF-ANNUAL MAINTENENANCE ( IDC ) TOTAL – $8,000 $8,000 M1107 - DOF-INTEREST & PENALTIES OTHER SERVICES – $25,000 $25,000 M1107 - DOF-INTEREST & PENALTIES TOTAL – $25,000 $25,000 M1108 - DOF-DATA ARCHIVING,WAREHOUSE/OTHSRV OTHER SERVICES $6,000 $40,000 $40,000 M1108 - DOF-DATA ARCHIVING,WAREHOUSE/OTHSRV TOTAL $6,000 $40,000 $40,000 M1300 - DOF TIME ATTENDANCE SOFTWARE/HARDWA OTHER SERVICES $135,808 $150,000 $150,000 M1300 - DOF TIME ATTENDANCE SOFTWARE/HARDWA TOTAL $135,808 $150,000 $150,000 M1338 - TELECHECK LOSS PREVENTION OTHER SERVICES – $150,000 $150,000 M1338 - TELECHECK LOSS PREVENTION TOTAL – $150,000 $150,000 DEPARTMENT OF FINANCE - NON-OPERATIONAL MISC FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 301 M2000 - DOF HURRICANE RELAT PROC GASB STD OTHER SERVICES $12,980 – – M2000 - DOF HURRICANE RELAT PROC GASB STD TOTAL $12,980 – – M2003 - DOF UPGRADES,TRAINING & MAINTENANCE OTHER SERVICES $310,904 $820,000 $820,000 M2003 - DOF UPGRADES,TRAINING & MAINTENANCE TOTAL $310,904 $820,000 $820,000 M2101 - PENSION FUND OTHER SERVICES $65,000 $45,000 $45,000 M2101 - PENSION FUND TOTAL $65,000 $45,000 $45,000 M2102 - ELECTED GOV'S RETIRE FUND OTHER SERVICES $503,000 $503,000 $785,000 M2102 - ELECTED GOV'S RETIRE FUND TOTAL $503,000 $503,000 $785,000 M2103 - JUDGES PENSION FUND OTHER SERVICES $721,723 $721,000 $223,992 M2103 - JUDGES PENSION FUND TOTAL $721,723 $721,000 $223,992 M8008 - DOF - AUDIT SERVICES OTHER SERVICES $2,907,000 $1,200,000 $2,600,000 M8008 - DOF - AUDIT SERVICES TOTAL $2,907,000 $1,200,000 $2,600,000 MIS08 - DEPT. FINANCE-CLAIM FUNDS OTHER SERVICES $100,000 $100,000 $100,000 MIS08 - DEPT. FINANCE-CLAIM FUNDS TOTAL $100,000 $100,000 $100,000 MIS09 - BONDING GOV'T EMPLOYEES OTHER SERVICES $107,642 $125,000 $125,000 MIS09 - BONDING GOV'T EMPLOYEES TOTAL $107,642 $125,000 $125,000 M2550 - CONTR TO PUBLIC SERVICE COMMISSION $2,079,296 – – PROJECTS TOTAL $8,343,159 $5,009,020 $6,596,992 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 302 ACTIVITY 39010 OFFICE OF TAX APPEALS FUNCTIONAL STATEMENT The Office of Tax Appeals processes appeals and resolves disputes from the Tax Assessor's Office by conducting Board hearings. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $56,270 $57,000 $57,200 FRINGE BENEFITS $34,223 $34,472 $35,036 SUPPLIES $334 $1,200 $0 OTHER SERVICES $964 – – 0100 - GENERAL FUND TOTAL $91,790 $92,672 $92,236 EXPENSES TOTAL $91,790 $92,672 $92,236 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE SPECIALIST 0.88 ALLOCATED FTE COUNT 0.88 DEPARTMENT OF FINANCE - OFFICE OF TAX APPEALS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 303 ACTIVITY 39020 BUSINESS OFFICE FUNCTIONAL STATEMENT The Business Office compiles the annual budget estimates; monitors appropriated and allotted funds and processes personnel and payment documents. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $75,079 $86,500 $89,710 FRINGE BENEFITS $37,410 $38,608 $41,705 SUPPLIES $88,045 $182,894 $196,500 OTHER SERVICES $719,570 $1,210,547 $799,049 UTILITY SERVICES – $0 $108,000 0100 - GENERAL FUND TOTAL $920,104 $1,518,549 $1,234,964 EXPENSES TOTAL $920,104 $1,518,549 $1,234,964 ALL ACTIVITY CENTER POSITIONS Position Name FY2026 Allocated FTE Count HUMAN RESOURCES GENERALIST 1 ALLOCATED FTE COUNT 1 DEPARTMENT OF FINANCE - BUSINESS OFFICE FY2026 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 304 ACTIVITY 39110 ACCOUNTS PAYABLE FUNCTIONAL STATEMENT The Accounts Payable Unit pre-audits and approves data entry of all vendor payment documents and transactions, files paid documents, and researches vendor inquiries. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $122,075 $97,186 $246,426 FRINGE BENEFITS $71,637 $45,964 $156,583 0100 - GENERAL FUND TOTAL $193,712 $143,150 $403,009 EXPENSES TOTAL $193,712 $143,150 $403,009 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTING ANALYST 4 CHIEF ACCOUNTS PAYABLE 1 ALLOCATED FTE COUNT 5 DEPARTMENT OF FINANCE - ACCOUNTS PAYABLE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 305 ACTIVITY 39120 GENERAL LEDGER & FINANCIAL REPORTING FUNCTIONAL STATEMENT The General Ledger & Financial Reporting Unit manages fund accounts, and financial transactions, establishes petty cash and imprest funds, assists with financial statement preparation, conducts pre-audit functions, and establishes grant codes. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $390,921 $534,808 $486,093 FRINGE BENEFITS $172,087 $267,060 $239,106 SUPPLIES – – $600 OTHER SERVICES – – $11,000 0100 - GENERAL FUND TOTAL $563,007 $801,868 $736,799 2098 - INDIRECT COST OTHER SERVICES $23,375 $108,500 $108,500 CAPITAL PROJECTS $69,600 – – 2098 - INDIRECT COST TOTAL $92,975 $108,500 $108,500 7004 - JUDGES PENSION FUND $240,221 – – EXPENSES TOTAL $896,203 $910,368 $845,299 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTING OPERATIONS MANAGER 1 ADMINISTRATIVE OFFICER I 1 CAPITAL ASSETS COORDINATOR 0.9 DIRECTOR ACCOUNTING 1 FINANCIAL REPORTING ANALYST 4 ALLOCATED FTE COUNT 7.9 DEPARTMENT OF FINANCE - GENERAL LEDGER & FINANCIAL REPORTING FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 306 ACTIVITY 39220 TREASURY DIVISION FUNCTIONAL STATEMENT The Treasury Division implements government cash management policies, monitors activities of all federal grants, oversees daily operations, disburses vendor payment checks, and provides administrative support for all division activities. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $532,299 $575,950 $582,591 FRINGE BENEFITS $226,275 $258,241 $266,527 SUPPLIES – – $65,000 OTHER SERVICES – – $11,000 CAPITAL PROJECTS – – $10,000 0100 - GENERAL FUND TOTAL $758,573 $834,191 $935,118 8008 - TRANSPORTATION TRUST FUND MISCELLANEOUS $79,154 – – 8008 - TRANSPORTATION TRUST FUND TOTAL $79,154 – – 4000 - PFA DEBT SERVICE FUND OTHER SERVICES $71,518,815 – – 4000 - PFA DEBT SERVICE FUND TOTAL $71,518,815 – – 9002 - FICA TAXES WITHHELD FRINGE BENEFITS $63,219,147 $31,756,733 – 9002 - FICA TAXES WITHHELD TOTAL $63,219,147 $31,756,733 – EXPENSES TOTAL $135,575,689 $32,590,924 $935,118 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT DIRECTOR TREASURY 1 DIRECTOR TREASURY 1 DISBURSEMENT ANALYST 1 FINANCIAL PLANNING & ANALYST MANAGER 1 RECONCILIATION & AUDIT ANALYST 1 RECONCILIATION & AUDIT MANAGER 1 SPECIAL PROJECTS COORDINATOR 2 TREASURY ANALYST 1 ALLOCATED FTE COUNT 9 DEPARTMENT OF FINANCE - TREASURY DIVISION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 307 ACTIVITY 39250 DISBURSEMENT FUND SUMMARY Expenses 0100 - GENERAL FUND SUPPLIES $30,000 $55,000 $0 0100 - GENERAL FUND TOTAL $30,000 $55,000 $0 EXPENSES TOTAL $30,000 $55,000 $0 DEPARTMENT OF FINANCE - DISBURSEMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 308 ACTIVITY 39400 MANAGEMENT INFORMATION SYSTEMS FUNCTIONAL STATEMENT The MIS division manages and maintains The Department of Finance's IT resources and provides data processing and technical support services for the GVI's ERP system and the Time and Attendance system. This includes training, project management, and technical support for internal and external customers. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $576,951 $641,380 $581,075 FRINGE BENEFITS $220,069 $252,396 $254,212 OTHER SERVICES $8,253 $138,500 $138,500 CAPITAL PROJECTS – $50,000 $15,000 0100 - GENERAL FUND TOTAL $805,273 $1,082,276 $988,787 3100 - FEDERAL GRANTS ALL EXCEPT DOE SUPPLIES $78,191 $0 – OTHER SERVICES $158,665 $0 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $236,856 $0 – EXPENSES TOTAL $1,042,129 $1,082,276 $988,787 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count DATA PROCESSING ANALYST 1 DIRECTOR MANAGEMENT INFORMATION SYSTEM 1 INFORMATION TECHNOLOGY SPECIALIST 2 SENIOR DATA PROCESSING ANALYST 2 TECHNICAL SUPPORT SPECIALIST 2 ALLOCATED FTE COUNT 8 DEPARTMENT OF FINANCE - MANAGEMENT INFORMATION SYSTEMS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 309 ACTIVITY 39420 COMPUTER OPERATIONS FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $69,969 – – FRINGE BENEFITS $16,586 – – SUPPLIES – $24,500 $26,950 OTHER SERVICES $114,687 $22,000 $0 0100 - GENERAL FUND TOTAL $201,242 $46,500 $26,950 EXPENSES TOTAL $201,242 $46,500 $26,950 DEPARTMENT OF FINANCE - COMPUTER OPERATIONS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 310 ACTIVITY 39500 PAYROLL DIVISION FUNCTIONAL STATEMENT The Payroll Unit administers payroll processing, and tax report preparation, and maintains employee leave records. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $336,741 $402,602 $473,723 FRINGE BENEFITS $171,318 $204,234 $265,919 SUPPLIES – $3,500 $600 OTHER SERVICES – – $10,675 0100 - GENERAL FUND TOTAL $508,059 $610,336 $750,917 EXPENSES TOTAL $508,059 $610,336 $750,917 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT DIRECTOR PAYROLL 1 PAYROLL AUDIT ANALYST 4 PAYROLL DIRECTOR 1 SUPERVISOR CENTRAL PAYROLL 2 ALLOCATED FTE COUNT 8 DEPARTMENT OF FINANCE - PAYROLL DIVISION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 311 ACTIVITY 39990 EXTERNAL TO DEPT OF FINANCE FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $5,059 – – FRINGE BENEFITS $2,796 – – OTHER SERVICES $156,348,414 $23,580,798 $15,813,000 MISCELLANEOUS $39,920 $2,000,000 – 0100 - GENERAL FUND TOTAL $156,396,190 $25,580,798 $15,813,000 2108 - VI INSURANCE GUARANTY MISCELLANEOUS $20,000,000 $20,000,000 $0 2108 - VI INSURANCE GUARANTY TOTAL $20,000,000 $20,000,000 $0 8008 - TRANSPORTATION TRUST FUND MISCELLANEOUS $10,000,000 – – 8008 - TRANSPORTATION TRUST FUND TOTAL $10,000,000 – – 0101 - GENERAL FUND NON-LAPSING PERSONNEL SERVICES $346,383 $121,730 – FRINGE BENEFITS $135,231 $53,082 – SUPPLIES $708,322 – – OTHER SERVICES $26,435,973 $200,000 – CAPITAL PROJECTS $10,353,423 – – 0101 - GENERAL FUND NON-LAPSING TOTAL $37,979,332 $374,812 – 3015 - CARIBBEAN BASIN INITIATIVE MISCELLANEOUS $6,000,000 – – 3015 - CARIBBEAN BASIN INITIATIVE TOTAL $6,000,000 – – 2092 - CASINO CONTROL REV FUND OTHER SERVICES $239,273 $55,335 – 2092 - CASINO CONTROL REV FUND TOTAL $239,273 $55,335 – 6038 - HEALTH INSURANCE FUND OTHER SERVICES $75,289 – – 6038 - HEALTH INSURANCE FUND TOTAL $75,289 – – 7000 - ELECTED GOV RETIRE FUND FRINGE BENEFITS $52,420 – – OTHER SERVICES $580,429 – – 7000 - ELECTED GOV RETIRE FUND TOTAL $632,849 – – EXPENSES TOTAL $231,322,932 $46,010,945 $15,813,000 DEPARTMENT OF FINANCE - EXTERNAL TO DEPT OF FINANCE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 312 MISSION STATEMENT To administer a sustainable procurement system emphasizing stakeholder relationships, technology implementation, process improvements, and public trust, while ensuring efficient, transparent, and fair operations. BUDGET SUMMARY Total Amount (FY2027) $24,357,953.00 FY27 BUDGETED RESOURCES GENERAL FUND: GENERAL FUND: $14,632,379.00 (60.07%) $14,632,379.00 (60.07%) GENERAL FUND: $14,632,379.00 (60.07%) BUSINESS & COMMERCIAL PROPERTY: BUSINESS & COMMERCIAL PROPERTY: $4,240,574.00 (17.41%) $4,240,574.00 (17.41%) BUSINESS & COMMERCIAL PROPERTY: $4,240,574.00 (17.41%) GASOLINE COUPON PROGRAM: GASOLINE COUPON PROGRAM: $3,000,000.00 (12.32%) $3,000,000.00 (12.32%) GASOLINE COUPON PROGRAM: $3,000,000.00 (12.32%) CENTRAL WAREHOUSE: CENTRAL WAREHOUSE: $900,000.00 (3.69%) $900,000.00 (3.69%) CENTRAL WAREHOUSE: $900,000.00 (3.69%) PROPERTY & PROCUREMENT PRINT JOB FUND: PROPERTY & PROCUREMENT PRINT JOB FUND: $700,000.00 (2.87%) $700,000.00 (2.87%) PROPERTY & PROCUREMENT PRINT JOB FUND: $700,000.00 (2.87%) CENTRAL MOTOR POOL: CENTRAL MOTOR POOL: $700,000.00 (2.87%) $700,000.00 (2.87%) CENTRAL MOTOR POOL: $700,000.00 (2.87%) GENERAL FUND BUSINESS & COMMERCIAL PROPERTY GASOLINE COUPON PROGRAM CENTRAL WAREHOUSE PROPERTY & PROCUREMENT PRINT JOB FUND CENTRAL MOTOR POOL INDIRECT COST FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $10,697,509 $14,173,326 $14,632,379 2098 - INDIRECT COST $117,701 $185,000 $185,000 6028 - BUSINESS & COMMERCIAL PROPERTY $3,366,758 $4,078,210 $4,240,574 2801 - SOUTHERN TRUST COMPANY SETTLEMENT $1,800,000 – – APPROPRIATED TOTAL $15,981,967 $18,436,535 $19,057,953 NON APPROPRIATED 6016 - PROPERTY & PROCUREMENT PRINT JOB FUND $633,726 $387,000 $700,000 6046 - CENTRAL WAREHOUSE $922,951 $820,400 $900,000 6052 - CENTRAL MOTOR POOL $613,364 $368,255 $700,000 6056 - GASOLINE COUPON PROGRAM – – $3,000,000 8030 - PRIVATE DONATION $12,610 – – 0105 - SINGLE PAYER UTILITY FUND $460,261 $450,000 – NON APPROPRIATED TOTAL $2,642,912 $2,025,655 $5,300,000 EXPENSES TOTAL $18,624,879 $20,462,190 $24,357,953 DEPARTMENT OF PROPERTY & PROCUREMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 313 Total Amount (FY2027) $14,632,379.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY OTHER SERVICES: OTHER SERVICES: $8,881,651.00 (60.70%) $8,881,651.00 (60.70%) OTHER SERVICES: $8,881,651.00 (60.70%) PERSONNEL SERVICES: PERSONNEL SERVICES: $3,055,521.00 (20.88%) $3,055,521.00 (20.88%) PERSONNEL SERVICES: $3,055,521.00 (20.88%) FRINGE BENEFITS: FRINGE BENEFITS: $1,416,651.00 (9.68%) $1,416,651.00 (9.68%) FRINGE BENEFITS: $1,416,651.00 (9.68%) CAPITAL PROJECTS: CAPITAL PROJECTS: $575,000.00 (3.93%) $575,000.00 (3.93%) CAPITAL PROJECTS: $575,000.00 (3.93%) UTILITY SERVICES: UTILITY SERVICES: $450,000.00 (3.08%) $450,000.00 (3.08%) UTILITY SERVICES: $450,000.00 (3.08%) SUPPLIES: SUPPLIES: $253,556.00 (1.73%) $253,556.00 (1.73%) SUPPLIES: $253,556.00 (1.73%) OTHER SERVICES PERSONNEL SERVICES FRINGE BENEFITS CAPITAL PROJECTS UTILITY SERVICES SUPPLIES RECOMMENDED EXPENDITURES OTHER EXPENSES MISCELLANEOUS GENERAL FUND Projects M0004 - RENEWAL INSURANCE PREMIUM $5,875,738 $7,257,300 $7,257,300 M5041 - PROPERTY & PROCUREMENT APPRAISALS $80,350 $160,000 $160,000 PROJECTS TOTAL $5,956,088 $7,417,300 $7,417,300 OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND MEMBERSHIP DUES $1,155 – $5,000 DEBRIS REMOVAL $8,089 – – REPAIRS & MAINTENANCE $90,785 $150,000 $250,000 AUTOMOTIVE REPAIR & MAINTENANCE $11,137 $5,000 $10,000 RENTAL OF LAND/BUILDINGS $620 – – RENTAL MACHINES/EQUIPMENT $4,811 – $30,000 PROFESSIONAL SERVICES $694,223 $1,405,623 $1,174,351 SECURITY SERVICES $2,150 – – TRAINING $598 $5,000 $20,000 COMMUNICATION $82,002 $50,000 $50,000 ADVERTISING & PROMOTION $9,790 $20,000 $10,000 PRINTING AND BINDING $41,265 – $5,000 TRANSPORTATION - NOT TRAVEL $6,871 $5,000 $10,000 TRAVEL $20,867 $20,000 $30,000 TRAVEL / CASH ADVANCE $3,675 – $10,000 PURCHASE BULK AIRLINE $5,000 $10,000 $20,000 INSURANCE $6,085,738 $7,257,300 $7,257,300 OTHER SERVICES NOC $761 – – 0100 - GENERAL FUND TOTAL $7,069,536 $8,927,923 $8,881,651 2098 - INDIRECT COST MEMBERSHIP DUES $545 – $2,000 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 314 REPAIRS & MAINTENANCE – – $10,000 RENTAL MACHINES/EQUIPMENT $5,908 – $3,000 PROFESSIONAL SERVICES $25,918 – $50,000 TRAINING – – $20,000 COMMUNICATION – – $5,000 ADVERTISING & PROMOTION $4,425 – $5,000 TRANSPORTATION - NOT TRAVEL $1,446 – $3,000 TRAVEL $35,000 – $10,000 TRAVEL / CASH ADVANCE – – $5,000 PURCHASE BULK AIRLINE $5,000 – $10,000 OTHER SERVICES NOC – $185,000 $0 2098 - INDIRECT COST TOTAL $78,242 $185,000 $123,000 6028 - BUSINESS & COMMERCIAL PROPERTY REPAIRS & MAINTENANCE – $300,000 $300,000 AUTOMOTIVE REPAIR & MAINTENANCE – $5,000 $10,000 PROFESSIONAL SERVICES – $50,000 $50,000 SECURITY SERVICES – $20,000 $20,000 TRAINING – – $10,500 COMMUNICATION – – $5,000 TRANSPORTATION - NOT TRAVEL – – $3,000 TRAVEL – $15,000 $10,000 TRAVEL / CASH ADVANCE – – $5,000 PURCHASE BULK AIRLINE – $10,000 $10,000 6028 - BUSINESS & COMMERCIAL PROPERTY TOTAL – $400,000 $423,500 6016 - PROPERTY & PROCUREMENT PRINT JOB FUND REPAIRS & MAINTENANCE $36,298 $10,000 $50,000 RENTAL MACHINES/EQUIPMENT $545,619 $300,000 $500,000 PROFESSIONAL SERVICES – $30,000 $50,000 ADVERTISING & PROMOTION $1,084 – – TRANSPORTATION - NOT TRAVEL – $2,000 $5,000 6016 - PROPERTY & PROCUREMENT PRINT JOB FUND TOTAL $583,001 $342,000 $605,000 6046 - CENTRAL WAREHOUSE REPAIRS & MAINTENANCE $4,310 – $25,000 AUTOMOTIVE REPAIR & MAINTENANCE – – $10,000 PROFESSIONAL SERVICES – – $10,000 SECURITY SERVICES $1,044 $900 $10,000 TRAINING $1,800 – $10,000 TRANSPORTATION - NOT TRAVEL – – $10,000 6046 - CENTRAL WAREHOUSE TOTAL $7,154 $900 $75,000 6052 - CENTRAL MOTOR POOL REPAIRS & MAINTENANCE $22,920 $10,000 $20,000 AUTOMOTIVE REPAIR & MAINTENANCE $14,834 $1,787 $15,000 RENTAL MACHINES/EQUIPMENT – $30,000 – PROFESSIONAL SERVICES $96,338 $5,000 $80,000 SECURITY SERVICES – – $10,000 ADVERTISING & PROMOTION – – $3,000 TRANSPORTATION - NOT TRAVEL $51 $60,000 $5,000 OTHER SERVICES NOC $18,360 – – 6052 - CENTRAL MOTOR POOL TOTAL $152,502 $106,787 $133,000 8030 - PRIVATE DONATION RENTAL OF LAND/BUILDINGS $7,000 – – OTHER SERVICES NOC $5,610 – – 8030 - PRIVATE DONATION TOTAL $12,610 – – OTHER SERVICES TOTAL $7,903,044 $9,962,610 $10,241,151 EXPENSES TOTAL $7,903,044 $9,962,610 $10,241,151 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 315 GPS INSIGHT, LLC $240,000 P&P APPRAISALS $160,000 CRUCIANPOINT $38,100 FLEETSOFT $28,188 SMARTNET, LLC $37,920 MARSHALL & STERLING ST. CROIX, INC $210,000 AMOUNT $1,174,351 PROFESSIONAL SERVICES BUSINESS AND COMMERCIAL PROPERTY Itemization Description FY2027 Amount BID PROCEDURE $50,000 AMOUNT $50,000 PROFESSIONAL SERVICES CENTRAL MOTOR POOL Itemization Description FY2027 Amount BID PROCEDURE $80,000 AMOUNT $80,000 PROFESSIONAL SERVICES GENERAL FUND Itemization Description FY2027 Amount PERISCOPE HOLDINGS, LLC $460,143 FY 2027 PROPOSED EXECUTIVE BUDGET 316 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ASSET & RISK LOSS ACCOUNTANT 1 ASSISTANT COMMISSIONER 2 ASSISTANT PRODUCTION MANAGER 1 AUTO MECHANIC 4 CERTIFIED LEAD AUTOMOBILE MASTER TECHNICIAN 1 CHIEF FINANCIAL OFFICER 1 CHIEF LEGAL COUNSEL 1 CHIEF OF CENTRAL STORES 2 CHIEF OF PROCUREMENT & CONTRACTS 1 CHIEF PROCUREMENT OFFICER 1 COMMISSIONER 1 COMPLIANCE & AUDIT OFFICER 1 COMPUTER PRODUCTION & GRAPHIC DESIGNER 1 CONTRACT ADMINISTRATOR 5 COORDINATOR OF TRANSPORTATION 1 CREATIVE DIRECTOR 1 DEPUTY COMMISSIONER 1 DEPUTY COMMISSIONER OF PROCUREMENT 1 DIRECTOR OF ASSET MANAGEMENT 1 DIRECTOR OF HUMAN RESOURCES 1 DIRECTOR OF MANAGEMENT INFORMATION SYSTEMS 1 DIRECTOR OF TRANSPORTATION 1 DIRECTOR OF VENDOR MANAGEMENT 1 E-PROCUREMENT SYSTEM ADMINISTRATOR 1 EVALUATION SUPERVISOR 5 EXECUTIVE CHAUFFEUR 1 EXECUTIVE SECRETARY 3 FACILITIES MAINTENANCE MANAGER 2 FINANCIAL CONTROL OFFICER 3 FIXED ASSET ANALYST 1 FIXED ASSET MANAGER 2 INFORMATION TECHNOLOGY SPECIALIST 1 LABORER 1 LABORER II 1 LEASING SPECIALIST 3 LEGAL ADVISOR 1 LEGAL ANALYST 0.5 LEGAL POLICY DIRECTOR 1 MOTOR POOL FLEET SUPERVISOR 1 OFFSET TECHNICIAN II 1 PARALEGAL 1 PBX OPERATOR/RECEPTIONIST 2 PERSONAL PROPERTY INVENTORY ASSISTANT 1 PROCUREMENT OFFICER I 1 PROGRAM MANAGER 1 PROPERTY INSPECTOR 4 PROPERTY MANAGER 1 PURCHASE ORDER ANALYST 1 RECEIVING OFFICER 1 RECORDS & PROPERTY MANAGEMENT OFFICER 2 SENIOR CONTRACT ADMINISTRATOR 4 SPECIAL ASSISTANT 6 STOREKEEPER III 1 VENDOR MANAGEMENT ASSISTANT 1 ALLOCATED FTE COUNT 87.5 FY 2027 PROPOSED EXECUTIVE BUDGET 317 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count CHIEF OF PROCUREMENT & CONTRACTS 1 CONTRACT ADMINISTRATOR 1 LEASING SPECIALIST 1 LEGAL ADVISOR 1 LEGAL ANALYST 0.5 PROGRAM MANAGER 1 PURCHASE ORDER ANALYST 1 SPECIAL ASSISTANT 1 ALLOCATED FTE COUNT 7.5 ACTIVITY CENTERS 60000 - COMMISSIONER'S OFFICE 60001 - NON-OPERATIONAL MISC 60003 - LEGAL 60004 - VENDOR MAINTENANCE 60005 - LEASING MANAGEMENT 60010 - FISCAL/PERSONNEL 60100 - ACQUISITION, EVALUATION, & AWARDS 60120 - CONTRACT ADMINISTRATION 60230 - WAREHOUSING & DISTRIBUTION 60300 - ADMINISTRATION 60310 - CENTRAL MOTOR POOL 60320 - CENTRAL MAIL SERVICES 60410 - PRINTING PRODUCTION 60540 - PROPERTY MANAGEMENT FY 2027 PROPOSED EXECUTIVE BUDGET 318 ACTIVITY 60000 COMMISSIONER'S OFFICE FUNCTIONAL STATEMENT The Commissioner's Office supervises all programs and ensures performance according to the department's mandates. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $1,575,870 $850,771 $850,771 FRINGE BENEFITS $596,349 $293,397 $293,397 SUPPLIES $108,729 $110,000 $110,000 OTHER SERVICES $1,113,448 $7,677,300 $7,677,300 0100 - GENERAL FUND TOTAL $3,394,396 $8,931,468 $8,931,468 6028 - BUSINESS & COMMERCIAL PROPERTY PERSONNEL SERVICES $1,019,220 $1,200,698 $1,200,698 FRINGE BENEFITS $452,310 $461,640 $461,640 SUPPLIES – $100,000 $100,000 OTHER SERVICES – $400,000 $400,000 6028 - BUSINESS & COMMERCIAL PROPERTY TOTAL $1,471,530 $2,162,339 $2,162,339 6056 - GASOLINE COUPON PROGRAM SUPPLIES $3,936,766 $4,236,645 $4,236,645 6056 - GASOLINE COUPON PROGRAM TOTAL $3,936,766 $4,236,645 $4,236,645 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $460,261 $450,000 $450,000 0105 - SINGLE PAYER UTILITY FUND TOTAL $460,261 $450,000 $450,000 EXPENSES TOTAL $9,262,953 $15,780,451 $15,780,451 DEPARTMENT OF PROPERTY & PROCUREMENT - COMMISSIONER'S OFFICE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2026 FY 2027 PROPOSED EXECUTIVE BUDGET 319 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSET & RISK LOSS ACCOUNTANT 1 ASSISTANT COMMISSIONER 2 CHIEF FINANCIAL OFFICER 1 CHIEF LEGAL COUNSEL 1 COMMISSIONER 1 COMPLIANCE & AUDIT OFFICER 1 CONTRACT ADMINISTRATOR 3 DIRECTOR OF ASSET MANAGEMENT 1 DIRECTOR OF HUMAN RESOURCES 1 DIRECTOR OF MANAGEMENT INFORMATION SYSTEMS 1 DIRECTOR OF VENDOR MANAGEMENT 1 E-PROCUREMENT SYSTEM ADMINISTRATOR 1 EXECUTIVE CHAUFFEUR 1 EXECUTIVE SECRETARY 2 FIXED ASSET ANALYST 1 FIXED ASSET MANAGER 2 LABORER II 1 LEGAL ADVISOR 1 LEGAL POLICY DIRECTOR 1 MOTOR POOL FLEET SUPERVISOR 1 PBX OPERATOR/RECEPTIONIST 2 PURCHASE ORDER ANALYST 1 SPECIAL ASSISTANT 3 ALLOCATED FTE COUNT 31 FY 2027 PROPOSED EXECUTIVE BUDGET 320 ACTIVITY 60001 NON-OPERATIONAL MISC FUND SUMMARY Expenses 0100 - GENERAL FUND OTHER SERVICES $5,956,088 – $7,257,300 0100 - GENERAL FUND TOTAL $5,956,088 – $7,257,300 8030 - PRIVATE DONATION OTHER SERVICES $12,610 – – 8030 - PRIVATE DONATION TOTAL $12,610 – – EXPENSES TOTAL $5,968,698 – $7,257,300 EXPENDITURES MISCELLANEOUS EXPENSES BY PROJECT Projects M0004 - RENEWAL INSURANCE PREMIUM $5,875,738 – $7,257,300 M5041 - PROPERTY & PROCUREMENT APPRAISALS $80,350 – – PROJECTS TOTAL $5,956,088 – $7,257,300 DEPARTMENT OF PROPERTY & PROCUREMENT - NON-OPERATIONAL MISC FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 321 ACTIVITY 60003 LEGAL FUNCTIONAL STATEMENT The Legal Office offers internal legal services to the department, including contract and lease review for the executive branch, legal counsel for the Commissioner and management team, and preparation of legal documents. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES – $70,675 $20,675 FRINGE BENEFITS – $28,010 $12,014 SUPPLIES – $70,000 $50,000 OTHER SERVICES – $200,000 $0 CAPITAL PROJECTS – $500,000 $300,000 0100 - GENERAL FUND TOTAL – $868,685 $382,689 EXPENSES TOTAL – $868,685 $382,689 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count LEGAL ANALYST 0.5 ALLOCATED FTE COUNT 0.5 DEPARTMENT OF PROPERTY & PROCUREMENT - LEGAL FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 322 ACTIVITY 60004 VENDOR MANAGEMENT FUNCTIONAL STATEMENT The Vendor Management Division handles the collection, management, and creation of vendor records and relationships. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES – $60,000 $60,000 FRINGE BENEFITS – $28,209 $18,770 SUPPLIES – $55,000 $18,556 OTHER SERVICES – $1,045,623 $1,014,351 CAPITAL PROJECTS – $525,000 $0 0100 - GENERAL FUND TOTAL – $1,713,832 $1,111,677 EXPENSES TOTAL – $1,713,832 $1,111,677 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count VENDOR MANAGEMENT ASSISTANT 1 ALLOCATED FTE COUNT 1 DEPARTMENT OF PROPERTY & PROCUREMENT - VENDOR MANAGEMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 323 ACTIVITY 60005 LEASING MANAGEMENT FUNCTIONAL STATEMENT The Leasing Management Unit manages all lease administration and negotiation activities relative to space management, space occupancy, commercial leasing, and concession agreements on behalf of the Government. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES – $100,000 $100,000 FRINGE BENEFITS – $57,384 $61,864 OTHER SERVICES – $5,000 $0 0100 - GENERAL FUND TOTAL – $162,384 $161,864 EXPENSES TOTAL – $162,384 $161,864 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count LEASING SPECIALIST 2 ALLOCATED FTE COUNT 2 DEPARTMENT OF PROPERTY & PROCUREMENT - LEASING MANAGEMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 324 ACTIVITY 60010 FISCAL/PERSONNEL FUNCTIONAL STATEMENT The Division of Fiscal and Personnel Services serves as the guide in finance and personnel management to all activity centers. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $155,951 $130,000 $130,000 FRINGE BENEFITS $46,012 $59,531 $71,209 0100 - GENERAL FUND TOTAL $201,962 $189,531 $201,209 EXPENSES TOTAL $201,962 $189,531 $201,209 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count FINANCIAL CONTROL OFFICER 2 ALLOCATED FTE COUNT 2 DEPARTMENT OF PROPERTY & PROCUREMENT - FISCAL/PERSONNEL FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 325 ACTIVITY 60100 ACQUISITION, EVALUATION, & AWARDS FUNCTIONAL STATEMENT The Acquisition, Evaluation, & Awards Division contracts for the acquisition of materials, supplies, equipment, and services through the most economical methods. FUND SUMMARY ALL ACTIVITY CENTER POSITIONS Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $41,278 – – FRINGE BENEFITS $30,002 – – 0100 - GENERAL FUND TOTAL $71,280 – – EXPENSES TOTAL $71,280 – – DEPARTMENT OF PROPERTY & PROCUREMENT - ACQUISITION, EVALUATION, & AWARDS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 326 ACTIVITY 60120 CONTRACT ADMINISTRATION FUNCTIONAL STATEMENT The Contract Administration Unit oversees the contracting process, from the formation of a properly negotiated and executed contract to project completion. It also resolves all discrepancies, claims and contractual disputes. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $57,970 $825,000 $913,000 FRINGE BENEFITS $34,752 $281,427 $386,217 0100 - GENERAL FUND TOTAL $92,722 $1,106,427 $1,299,217 2098 - INDIRECT COST SUPPLIES $39,459 – $62,000 OTHER SERVICES $78,242 $185,000 $123,000 2098 - INDIRECT COST TOTAL $117,701 $185,000 $185,000 EXPENSES TOTAL $210,423 $1,291,427 $1,484,217 DEPARTMENT OF PROPERTY & PROCUREMENT - CONTRACT ADMINISTRATION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 327 ACTIVITY 60230 WAREHOUSING & DISTRIBUTION FUNCTIONAL STATEMENT The Warehouse and Distribution Unit provides and safeguards supplies, materials, and equipment. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $241,888 $270,748 $293,328 FRINGE BENEFITS $133,938 $153,605 $178,139 0100 - GENERAL FUND TOTAL $375,826 $424,352 $471,467 6046 - CENTRAL WAREHOUSE SUPPLIES $915,797 $819,500 $825,000 OTHER SERVICES $7,154 $900 $75,000 6046 - CENTRAL WAREHOUSE TOTAL $922,951 $820,400 $900,000 EXPENSES TOTAL $1,298,777 $1,244,752 $1,371,467 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count CHIEF OF CENTRAL STORES 2 LABORER 1 PROCUREMENT OFFICER I 1 RECEIVING OFFICER 1 STOREKEEPER III 1 ALLOCATED FTE COUNT 6 DEPARTMENT OF PROPERTY & PROCUREMENT - WAREHOUSING & DISTRIBUTION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 328 ACTIVITY 60300 ADMINISTRATION FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $51,661 – – FRINGE BENEFITS $25,545 – – 0100 - GENERAL FUND TOTAL $77,207 – – EXPENSES TOTAL $77,207 – – DEPARTMENT OF PROPERTY & PROCUREMENT - ADMINISTRATION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 329 ACTIVITY 60310 CENTRAL MOTOR POOL FUNCTIONAL STATEMENT The Central Motor Pool oversees and manages the government fleet which includes the automotive functions of the motor pool; repairing, maintaining, storing, refueling, inspecting, and registering all motor vehicles. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $106,932 $283,790 $297,085 FRINGE BENEFITS $59,472 $130,784 $152,767 0100 - GENERAL FUND TOTAL $166,404 $414,574 $449,852 6052 - CENTRAL MOTOR POOL SUPPLIES $460,862 $261,468 $567,000 OTHER SERVICES $152,502 $106,787 $133,000 6052 - CENTRAL MOTOR POOL TOTAL $613,364 $368,255 $700,000 EXPENSES TOTAL $779,768 $782,829 $1,149,852 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count AUTO MECHANIC 4 COORDINATOR OF TRANSPORTATION 1 DIRECTOR OF TRANSPORTATION 1 ALLOCATED FTE COUNT 6 DEPARTMENT OF PROPERTY & PROCUREMENT - CENTRAL MOTOR POOL FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 330 ACTIVITY 60320 CENTRAL MAIL SERVICES FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $37,195 – – FRINGE BENEFITS $28,607 – – 0100 - GENERAL FUND TOTAL $65,803 – – EXPENSES TOTAL $65,803 – – DEPARTMENT OF PROPERTY & PROCUREMENT - CENTRAL MAIL SERVICES FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 331 ACTIVITY 60410 PRINTING PRODUCTION FUNCTIONAL STATEMENT The Printing Production Office provides central printing, graphic design, and document shredding services. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $202,631 $230,769 $208,884 FRINGE BENEFITS $93,190 $77,583 $95,944 0100 - GENERAL FUND TOTAL $295,821 $308,352 $304,828 6016 - PROPERTY & PROCUREMENT PRINT JOB FUND – – $700,000 EXPENSES TOTAL $295,821 $308,352 $1,004,828 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT PRODUCTION MANAGER 1 INFORMATION TECHNOLOGY SPECIALIST 1 OFFSET TECHNICIAN II 1 SPECIAL ASSISTANT 1 ALLOCATED FTE COUNT 4 DEPARTMENT OF PROPERTY & PROCUREMENT - PRINTING PRODUCTION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 332 ACTIVITY 60540 PROPERTY MANAGEMENT FUNCTIONAL STATEMENT The Property Management Unit manages, from acquisition to disposal, all property owned/leased by the Government of the Virgin Islands, leasing to non-government tenants and administers the Comprehensive Risk Management Program. FUND SUMMARY Expenses 6028 - BUSINESS & COMMERCIAL PROPERTY PERSONNEL SERVICES $1,267,006 $1,284,443 $1,291,190 FRINGE BENEFITS $628,221 $631,428 $680,711 SUPPLIES – – $48,360 OTHER SERVICES – – $68,500 6028 - BUSINESS & COMMERCIAL PROPERTY TOTAL $1,895,228 $1,915,871 $2,088,761 EXPENSES TOTAL $1,895,228 $1,915,871 $2,088,761 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count CERTIFIED LEAD AUTOMOBILE MASTER TECHNICIAN 1 COMPUTER PRODUCTION & GRAPHIC DESIGNER 1 CREATIVE DIRECTOR 1 DEPUTY COMMISSIONER 1 EVALUATION SUPERVISOR 2 EXECUTIVE SECRETARY 1 FACILITIES MAINTENANCE MANAGER 2 FINANCIAL CONTROL OFFICER 1 LEASING SPECIALIST 1 PARALEGAL 1 PERSONAL PROPERTY INVENTORY ASSISTANT 1 PROGRAM MANAGER 1 PROPERTY INSPECTOR 4 PROPERTY MANAGER 1 RECORDS & PROPERTY MANAGEMENT OFFICER 2 SPECIAL ASSISTANT 2 ALLOCATED FTE COUNT 23 DEPARTMENT OF PROPERTY & PROCUREMENT - PROPERTY MANAGEMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 333 MISSION STATEMENT The Virgin Islands Department of Agriculture strives to foster a thriving agriculture industry in the U.S. Virgin Islands, ensuring economic growth while prioritizing consumer and environmental protection. BUDGET SUMMARY Total Amount (FY2027) $17,009,948.00 FY27 BUDGETED RESOURCES FEDERAL GRANTS ALL EXCEPT DOE: FEDERAL GRANTS ALL EXCEPT DOE: $11,179,068.00 (65.72%) $11,179,068.00 (65.72%) FEDERAL GRANTS ALL EXCEPT DOE: $11,179,068.00 (65.72%) GENERAL FUND: GENERAL FUND: $5,330,880.00 (31.34%) $5,330,880.00 (31.34%) GENERAL FUND: $5,330,880.00 (31.34%) TOURISM ADVERTISING REVOLVING: TOURISM ADVERTISING REVOLVING: $500,000.00 (2.94%) $500,000.00 (2.94%) TOURISM ADVERTISING REVOLVING: $500,000.00 (2.94%) FEDERAL GRANTS ALL EXCEPT DOE GENERAL FUND TOURISM ADVERTISING REVOLVING FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $4,551,342 $5,254,512 $5,330,880 6068 - TOURISM ADVERTISING REVOLVING – $500,000 $500,000 3031 - ST CROIX CAPITAL IMPROVEMENT – $1,000,000 – 6069 - TOURISM ADVERTISING REVOLVING $50,529 $0 – APPROPRIATED TOTAL $4,601,871 $6,754,512 $5,830,880 FEDERAL 3100 - FEDERAL GRANTS ALL EXCEPT DOE $726,459 $4,006,638 $11,179,068 FEDERAL TOTAL $726,459 $4,006,638 $11,179,068 NON APPROPRIATED 6024 - AGRICULTURE REVOLVING $171,790 $1,000,000 – 0105 - SINGLE PAYER UTILITY FUND $245,956 $160,000 – DEPARTMENT OF AGRICULTURE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 NON APPROPRIATED TOTAL $417,745 $1,160,000 – EXPENSES TOTAL $5,746,075 $11,921,150 $17,009,948 FY 2027 PROPOSED EXECUTIVE BUDGET 334 Data Updated: May 29, 2026, 7:44 PM Total Amount (FY2027) $5,330,880.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $3,175,234.00 (59.56%) $3,175,234.00 (59.56%) PERSONNEL SERVICES: $3,175,234.00 (59.56%) FRINGE BENEFITS: FRINGE BENEFITS: $1,778,775.00 (33.37%) $1,778,775.00 (33.37%) FRINGE BENEFITS: $1,778,775.00 (33.37%) UTILITY SERVICES: UTILITY SERVICES: $160,000.00 (3.00%) $160,000.00 (3.00%) UTILITY SERVICES: $160,000.00 (3.00%) OTHER SERVICES: OTHER SERVICES: $109,871.00 (2.06%) $109,871.00 (2.06%) OTHER SERVICES: $109,871.00 (2.06%) SUPPLIES: SUPPLIES: $107,000.00 (2.01%) $107,000.00 (2.01%) SUPPLIES: $107,000.00 (2.01%) PERSONNEL SERVICES FRINGE BENEFITS UTILITY SERVICES OTHER SERVICES SUPPLIES RECOMMENDED EXPENDITURES OTHER EXPENSES MISCELLANEOUS GENERAL FUND Projects MM032 - INDUSTRIAL HEMP COMMISSION $59,170 $246,277 $252,385 PROJECTS TOTAL $59,170 $246,277 $252,385 OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND DEBRIS REMOVAL $21,364 – – REPAIRS & MAINTENANCE $88,269 $29,035 $0 AUTOMOTIVE REPAIR & MAINTENANCE $18,383 $12,000 $7,000 RENTAL OF LAND/BUILDINGS $5,250 – – RENTAL MACHINES/EQUIPMENT $6,928 – – PROFESSIONAL SERVICES $26,917 $83,632 $0 SECURITY SERVICES $91,368 $120,000 $10,000 COMMUNICATION $137,015 $25,000 $24,871 ADVERTISING & PROMOTION $2,540 $3,000 $3,000 PRINTING AND BINDING – $1,000 $1,000 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 335 TRANSPORTATION - NOT TRAVEL $24,265 $30,000 $24,000 TRAVEL $26,711 $15,000 $15,000 TRAVEL / CASH ADVANCE $14,011 $10,000 $10,000 PURCHASE BULK AIRLINE $33,858 $15,000 $15,000 OTHER SERVICES NOC $4,740 $176,277 $0 0100 - GENERAL FUND TOTAL $501,618 $519,944 $109,871 6068 - TOURISM ADVERTISING REVOLVING REPAIRS & MAINTENANCE – $250,000 $250,000 6068 - TOURISM ADVERTISING REVOLVING TOTAL – $250,000 $250,000 6069 - TOURISM ADVERTISING REVOLVING $38,293 $0 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE DEBRIS REMOVAL $5,000 $0 $0 PROFESSIONAL SERVICES $68,150 $0 $0 TRAINING $2,500 $0 $0 ADVERTISING & PROMOTION $88,170 $0 $0 PRINTING AND BINDING $3,628 $0 $0 TRANSPORTATION - NOT TRAVEL $14,409 $0 $0 TRAVEL $5,502 $0 $0 TRAVEL / CASH ADVANCE $6,438 $0 $0 GRANTS/INDEPENDENT GOVERNMENT AGENCIES $68,183 $0 $0 GRANTS/IND GOVT AGENCIES $40,000 – $0 OTHER SERVICES NOC $25 $3,060,838 $3,903,603 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $302,005 $3,060,838 $3,903,603 6024 - AGRICULTURE REVOLVING REPAIRS & MAINTENANCE $33,644 – – AUTOMOTIVE REPAIR & MAINTENANCE $140 – – PROFESSIONAL SERVICES $5,415 – – COMMUNICATION $8,956 – – PRINTING AND BINDING $112 – – TRANSPORTATION - NOT TRAVEL $3,274 – – TRAVEL $400 – – TRAVEL / CASH ADVANCE $150 – – OTHER SERVICES NOC $19,057 $400,000 – 6024 - AGRICULTURE REVOLVING TOTAL $71,148 $400,000 – OTHER SERVICES TOTAL $913,064 $4,230,782 $4,263,474 EXPENSES TOTAL $913,064 $4,230,782 $4,263,474 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 336 GRANT SUMMARY Projects FEDERAL F8391 - URBAN AND COMMUNITY FORESTRY PROGRAM $73,977 – – F8382 - URBAN AND COMMUNITY FORESTRY PROGRAM $20,932 $0 – F83C3 - INFLATION REDUCTION ACT LANDSCAPE SCALE RESTORATION – – $500,000 F83C4 - SOIL AND WATER CONSERVATION $2,388 – – F8388 - PLANT & ANIMAL DISEASE PEST CONTROL – $70,374 $70,433 F83C8 - URBAN & COMMUNITY FORESTRY PROGRAM – $49,500 $49,500 F83C0 - URBAN & COMMUNITY FORESTRY PROGRAM – $300,000 $300,000 F83D1 - URBAN & COMMUNITY FORESTRY PROGRAM – $200,000 $200,000 F83D3 - SPECIALTY CROP BLOCK GRANT PROGRAM – $246,902 $246,902 F83D2 - FOREST STEWARDSHIP PROGRAM – – $49,500 F83C7 - INFLATION REDUCTION ACT LANDSCAPE SCALE RESTORATION – $3,000,000 $3,000,000 FEDERAL TOTAL $97,296 $3,866,776 $4,416,335 FEDERAL PROGRAMS F8327 - FOREST STEWARDSHIP PROGRAM -$9,630 $0 – F8328 - URBAN & COMMUNITY FORESTRY PROGRAM $44,137 $0 – F8326 - WATER BANK PROGRAM -$43,393 $0 – F83A4 - SPECIALTY CROP BLOCK GRANT PROGRAM - FARM BILL $18,003 $0 – F8371 - FOREST STEWARDSHIP PROGRAM $30,786 – – F8357 - FOREST STEWARDSHIP PROGRAM $16,526 $0 – F83A5 - SPECIALTY CROP BLOCK GRANT PROGRAM - FARM BILL $115,511 $0 – F8384 - FOREST LEGACY PROGRAM $48,392 – – F83A9 - FOREST STEWARDSHIP PROGRAM 2023 $100,490 $0 – F83B0 - PLANT AND ANIMAL DISEASE, PEST CONTROL, AND ANIMAL CARE $26,818 – – F83B2 - WATER BANK PROGRAM $118,263 $0 – F83B1 - SPECIALTY CROP BLOCK GRANT PROGRAM - FARM BILL $59,735 – – F83B4 - URBAN & COMMUNITY FORESTRY PROGRAM $14,466 – $200,000 F83B6 - FOREST LEGACY PROGRAM $41,529 $0 $75,000 F83B7 - INFLATION REDUCTION ACT - FOREST LE – – $5,910,000 F83B8 - FOREST STEWARDSHIP PROGRAM $26,280 – $225,000 F83C1 - PLANT & ANIMAL DISEASE PEST CONTROL $16,638 $0 – F83B9 - FOREST STEWARDSHIP PROGRAM $1,226 $0 $102,371 F83B5 - SOIL AND WATER CONSERVATION $3,386 $139,862 $139,862 F83C2 - COOPERATIVE FORESTRY ASSISTANCE – – $110,500 FEDERAL PROGRAMS TOTAL $629,162 $139,862 $6,762,733 PROJECTS TOTAL $726,459 $4,006,638 $11,179,068 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 337 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTANT I 1 ADMINISTRATIVE SPECIALIST 1 AGRICULTURAL PROPERTY INSPECTOR 1 AGRICULTURE INDUSTRIAL ENGINEER 1 AGRICULTURE MARKETING DIRECTOR 1 AGRICULTURE VETERINARY DIRECTOR 1 ASSISTANT COMMISSIONER 1 ASSISTANT DIRECTOR FOOD PRODUCTION 1 ASSISTANT PROPERTY MANAGER 1 BUTCHER 4 CHIEF PROCUREMENT OFFICER 1 COLLECTION AGENT 1 COMMISSIONER 1 CUSTODIAL WORKER 1 DEPUTY COMMISSIONER 1 DIRECTOR ABATTOIR 1 DIRECTOR ADMINISTRATION & MANAGEMENT 1 DIRECTOR AGRICULTURE DEVELOPMENT 1 DIRECTOR FOOD PRODUCTION 1 DIRECTOR HEMP PROGRAM 1 DIRECTOR HORTICULTURE & AGRONOMY 1 EXECUTIVE ASSISTANT 1 FINANCIAL MANAGEMENT SUPERVISOR 1 FISCAL OFFICER 1 FOREST STEWARD COORDINATOR 1 FORESTRY TECHNICIAN 1 HEAVY EQUIPMENT MECHANIC 2 HEAVY EQUIPMENT OPERATOR II 6 LABORER 6 LABORER II 2 MAINTENANCE ENGINEER I 1 MAINTENANCE MECHANIC 1 NACD TECHNICAL ASSISTANT COORDINATOR 1 OFFICE MANAGER 1 PROCUREMENT QUALITY CONTROL OFFICER 1 PROGRAM MANAGER 1 SANITATION MANAGER 1 STATE SURVEY COORDINATOR 1 SUPERVISOR AGRICULTURAL DEVELOPMENT 1 TIRE REPAIR SERVICEMAN 1 VETERINARY TECHNICIAN 1 WELDER 1 ALLOCATED FTE COUNT 57 FY 2027 PROPOSED EXECUTIVE BUDGET 338 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count AGRICULTURAL PROPERTY INSPECTOR 1 BUTCHER 1 CHIEF BUTCHER 1 FORESTRY PARTNERSHIP COORDINATOR 1 HEAVY EQUIPMENT MECHANIC 1 LABORER 1 NACD TECHNICAL ASSISTANT COORDINATOR 1 PROGRAM ASSISTANT 1 PUBLIC INFORMATION OFFICER 1 SANITATION MANAGER 1 SUPERVISOR AGRICULTURAL PEST CONTROL 1 URBAN & COMMUNITY FOREST COORDINATOR 1 ALLOCATED FTE COUNT 12 ACTIVITY CENTERS 00000 - FEDERAL PROGRAMS 83000 - ADMINISTRATION 83001 - NON-OPERATIONAL MISC 83010 - LAND, MAINTENANCE, AND DEVELOPMENT 83020 - AGRICULTURE DEVELOPMENT 83060 - CONSERVATION INITIATIVES 83100 - ADMINISTRATION EDA 83200 - LIVESTOCK FARMERS AND ABATTOIR SERVICES 83210 - VETERINARY SERVICES 83300 - MARKETING FY 2027 PROPOSED EXECUTIVE BUDGET 339 ACTIVITY 00000 FEDERAL PROGRAMS FUND SUMMARY Expenses 3100 - FEDERAL GRANTS ALL EXCEPT DOE $193,249 $246,902 $0 EXPENSES TOTAL $193,249 $246,902 $0 GRANTS Expenses F83D3 - SPECIALTY CROP BLOCK GRANT PROGRAM – $246,902 – F83A4 - SPECIALTY CROP BLOCK GRANT PROGRAM - FARM BILL $18,003 $0 – F83A5 - SPECIALTY CROP BLOCK GRANT PROGRAM - FARM BILL $115,511 $0 – F83B1 - SPECIALTY CROP BLOCK GRANT PROGRAM - FARM BILL $59,735 – – EXPENSES TOTAL $193,249 $246,902 – ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count COORDINATOR ADMINISTRATIVE SERVICES 0.7 DISEASE INTERVENTION SPECIALIST I 3 HIV DATA ANALYST 1 HIV PREVENTION COORDINATOR 0.6 HIV SURVEILLANCE PROGRAM ASSISTANT 1 TERRITORIAL DIRECTOR COMMUNICABLE DISEASE 0.42 TERRITORIAL HIV SURVEILLANCE SPECIALIST 0.2 TERRITORIAL LINKAGE TO CARE COORDINATOR 0.5 ALLOCATED FTE COUNT 7.42 DEPARTMENT OF AGRICULTURE - FEDERAL PROGRAMS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 340 ACTIVITY 83000 ADMINISTRATION FUNCTIONAL STATEMENT Administration Office offers comprehensive support services, including fiscal and administrative management, information services, and aiding managers in delivering essential programs and services to the agricultural industry. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $1,280,637 $1,158,269 $1,201,720 FRINGE BENEFITS $594,019 $560,428 $621,362 SUPPLIES $207,206 $148,874 $107,000 OTHER SERVICES $501,618 $519,944 $109,871 UTILITY SERVICES – $0 $160,000 0100 - GENERAL FUND TOTAL $2,583,481 $2,387,515 $2,199,953 6068 - TOURISM ADVERTISING REVOLVING – $500,000 $500,000 3031 - ST CROIX CAPITAL IMPROVEMENT SUPPLIES – $500,000 – CAPITAL PROJECTS – $500,000 – 3031 - ST CROIX CAPITAL IMPROVEMENT TOTAL – $1,000,000 – 6069 - TOURISM ADVERTISING REVOLVING $50,529 $0 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $37,932 $78,964 $77,658 FRINGE BENEFITS $28,709 $51,353 $55,426 SUPPLIES $3,875 $4,972 $2,972 OTHER SERVICES $10,128 $4,572 $3,806 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $80,644 $139,862 $139,862 6024 - AGRICULTURE REVOLVING OTHER SERVICES $71,148 $400,000 – 6024 - AGRICULTURE REVOLVING TOTAL $71,148 $400,000 – 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $245,956 $160,000 – 0105 - SINGLE PAYER UTILITY FUND TOTAL $245,956 $160,000 – EXPENSES TOTAL $3,031,757 $4,587,377 $2,839,815 GRANTS Expenses F83C4 - SOIL AND WATER CONSERVATION $2,388 – – F8326 - WATER BANK PROGRAM -$43,393 $0 – DEPARTMENT OF AGRICULTURE - ADMINISTRATION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 341 F83B2 - WATER BANK PROGRAM $118,263 $0 – F83B5 - SOIL AND WATER CONSERVATION $3,386 $139,862 $139,862 EXPENSES TOTAL $80,644 $139,862 $139,862 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTANT I 1 ADMINISTRATIVE SPECIALIST 1 AGRICULTURE MARKETING DIRECTOR 1 ASSISTANT COMMISSIONER 1 ASSISTANT PROPERTY MANAGER 1 BUTCHER 2 CHIEF PROCUREMENT OFFICER 1 COLLECTION AGENT 1 COMMISSIONER 1 CUSTODIAL WORKER 1 DEPUTY COMMISSIONER 1 DIRECTOR ADMINISTRATION & MANAGEMENT 1 EXECUTIVE ASSISTANT 1 FINANCIAL MANAGEMENT SUPERVISOR 1 FISCAL OFFICER 1 NACD TECHNICAL ASSISTANT COORDINATOR 2 PROGRAM ASSISTANT 1 PROGRAM MANAGER 1 PUBLIC INFORMATION OFFICER 1 ALLOCATED FTE COUNT 21 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 342 ACTIVITY 83001 NON-OPERATIONAL MISC FUNCTIONAL STATEMENT The Industrial Hemp Commission provides direction and programmatic support for the industrial hemp program. Services are provided to the agriculture and horticulture communities through the configuring, installing, monitoring, and maintaining programs, systems, records, networks, and tele- or virtual communications supporting the Hemp Program. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $45,116 $161,000 $161,000 FRINGE BENEFITS $14,066 $85,277 $91,385 0100 - GENERAL FUND TOTAL $59,182 $246,277 $252,385 EXPENSES TOTAL $59,182 $246,277 $252,385 EXPENDITURES MISCELLANEOUS EXPENSES BY PROJECT Projects MM032 - INDUSTRIAL HEMP COMMISSION PERSONNEL SERVICES $45,116 $161,000 $161,000 FRINGE BENEFITS $14,054 $85,277 $91,385 MM032 - INDUSTRIAL HEMP COMMISSION TOTAL $59,170 $246,277 $252,385 PROJECTS TOTAL $59,170 $246,277 $252,385 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count AGRICULTURAL PROPERTY INSPECTOR 2 DIRECTOR HEMP PROGRAM 1 ALLOCATED FTE COUNT 3 DEPARTMENT OF AGRICULTURE - NON- OPERATIONAL MISC FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 343 ACTIVITY 83010 LAND, MAINTENANCE, AND DEVELOPMENT FUNCTIONAL STATEMENT The Land, Maintenance, and Development division focuses on establishing and maintaining robust infrastructure to support effective land management and farming community needs. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $421,433 $618,142 $654,846 FRINGE BENEFITS $238,072 $362,216 $382,670 0100 - GENERAL FUND TOTAL $659,505 $980,358 $1,037,516 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $198,468 $395,726 $272,966 FRINGE BENEFITS $95,371 $236,986 $240,058 SUPPLIES $11,011 $35,237 $502,350 OTHER SERVICES $111,376 $2,951,925 $3,790,930 CAPITAL PROJECTS $19,702 – $5,986,000 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $435,928 $3,619,874 $10,792,304 6024 - AGRICULTURE REVOLVING SUPPLIES $100,641 $600,000 – 6024 - AGRICULTURE REVOLVING TOTAL $100,641 $600,000 – EXPENSES TOTAL $1,196,074 $5,200,232 $11,829,820 GRANTS Expenses F8391 - URBAN AND COMMUNITY FORESTRY PROGRAM $73,977 – – F8382 - URBAN AND COMMUNITY FORESTRY PROGRAM $20,932 $0 – F83C3 - INFLATION REDUCTION ACT LANDSCAPE SCALE RESTORATION – – $500,000 F8388 - PLANT & ANIMAL DISEASE PEST CONTROL – $70,374 $70,433 F83C8 - URBAN & COMMUNITY FORESTRY PROGRAM – $49,500 $49,500 F83C0 - URBAN & COMMUNITY FORESTRY PROGRAM – $300,000 $300,000 F83D1 - URBAN & COMMUNITY FORESTRY PROGRAM – $200,000 $200,000 F83D2 - FOREST STEWARDSHIP PROGRAM – – $49,500 F83C7 - INFLATION REDUCTION ACT LANDSCAPE SCALE RESTORATION – $3,000,000 $3,000,000 F8327 - FOREST STEWARDSHIP PROGRAM -$9,630 $0 – F8328 - URBAN & COMMUNITY FORESTRY PROGRAM $44,137 $0 – F8371 - FOREST STEWARDSHIP PROGRAM $30,786 – – F8357 - FOREST STEWARDSHIP PROGRAM $16,526 $0 – DEPARTMENT OF AGRICULTURE - LAND, MAINTENANCE, AND DEVELOPMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 344 F8384 - FOREST LEGACY PROGRAM $48,392 – – F83A9 - FOREST STEWARDSHIP PROGRAM 2023 $100,490 $0 – F83B0 - PLANT AND ANIMAL DISEASE, PEST CONTROL, AND ANIMAL CARE $26,818 – – F83B4 - URBAN & COMMUNITY FORESTRY PROGRAM $14,466 – $200,000 F83B6 - FOREST LEGACY PROGRAM $41,529 $0 $75,000 F83B7 - INFLATION REDUCTION ACT - FOREST LE – – $5,910,000 F83B8 - FOREST STEWARDSHIP PROGRAM $26,280 – $225,000 F83B9 - FOREST STEWARDSHIP PROGRAM $1,226 $0 $102,371 F83C2 - COOPERATIVE FORESTRY ASSISTANCE – – $110,500 EXPENSES TOTAL $435,928 $3,619,874 $10,792,304 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT DIRECTOR FOOD PRODUCTION 1 DIRECTOR FOOD PRODUCTION 1 FOREST STEWARD COORDINATOR 1 FORESTRY PARTNERSHIP COORDINATOR 1 FORESTRY TECHNICIAN 1 HEAVY EQUIPMENT MECHANIC 3 HEAVY EQUIPMENT OPERATOR II 4 LABORER 2 LABORER II 1 MAINTENANCE MECHANIC 1 STATE SURVEY COORDINATOR 1 TIRE REPAIR SERVICEMAN 1 URBAN & COMMUNITY FOREST COORDINATOR 1 WELDER 1 ALLOCATED FTE COUNT 20 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 345 ACTIVITY 83020 AGRICULTURE DEVELOPMENT FUNCTIONAL STATEMENT The Agriculture Development division provides technical advice, seedlings, seeds, saplings, fruit trees, and other agricultural inputs to the farming communities. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $276,230 $292,682 $342,000 FRINGE BENEFITS $149,025 $176,598 $214,633 0100 - GENERAL FUND TOTAL $425,255 $469,280 $556,633 EXPENSES TOTAL $425,255 $469,280 $556,633 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count DIRECTOR AGRICULTURE DEVELOPMENT 1 DIRECTOR HORTICULTURE & AGRONOMY 1 HEAVY EQUIPMENT OPERATOR II 1 LABORER 3 LABORER II 1 SUPERVISOR AGRICULTURAL DEVELOPMENT 1 ALLOCATED FTE COUNT 8 DEPTMENT OF AGRICULTURE - AGRICULTURE DEVELOPMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 346 ACTIVITY 83060 CONSERVATION INITIATIVES FUNCTIONAL STATEMENT The Conservation Initiatives Division strives to implement sustainable practices, preserve natural resources, and promote biodiversity for long-term agricultural viability and environmental preservation. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $272,901 $327,837 $329,337 FRINGE BENEFITS $126,188 $151,836 $164,560 0100 - GENERAL FUND TOTAL $399,089 $479,673 $493,897 3100 - FEDERAL GRANTS ALL EXCEPT DOE SUPPLIES $12,514 $4,527 $0 OTHER SERVICES $4,124 -$4,527 $0 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $16,638 $0 $0 EXPENSES TOTAL $415,727 $479,673 $493,897 GRANTS Expenses F83C5 - PLANT & ANIMAL DISEASE PEST CONTROL – $6,088 – F83C6 - PLANT & ANIMAL DISEASE PEST CONTROL – $14,504 $0 F83C1 - PLANT & ANIMAL DISEASE PEST CONTROL $16,638 $26,000 $0 EXPENSES TOTAL $16,638 $46,592 $0 ALL ACTIVITY CENTER POSITIONS Position Name FY2026 Allocated FTE Count AGRICULTURE VETERINARY DIRECTOR 1 DEPARTMENT OF AGRICULTURE - CONSERVATION INITIATIVES FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2025 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 347 Position Name FY2026 MAINTENANCE ENGINEER I 1 OFFICE MANAGER 1 SUPERVISOR AGRICULTURAL PEST CONTROL 1 VETERINARY TECHNICIAN 1 ALLOCATED FTE COUNT 5 FY 2027 PROPOSED EXECUTIVE BUDGET 348 ACTIVITY 83100 ADMINISTRATION EDA FUNCTIONAL STATEMENT The Administration EDA focuses on establishing and maintaining robust infrastructure to support effective land management and the needs of the farming community. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES – – $35,000 FRINGE BENEFITS – – $22,311 0100 - GENERAL FUND TOTAL – – $57,311 EXPENSES TOTAL – – $57,311 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count HEAVY EQUIPMENT OPERATOR II 1 ALLOCATED FTE COUNT 1 DEPARTMENT OF AGRICULTURE - ADMINISTRATION EDA FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 349 ACTIVITY 83200 LIVESTOCK FARMERS AND ABATTOIR SERVICE FUNCTIONAL STATEMENT The Livestock Farmers and Abattoir Service unit focuses on expanding local fresh meat availability by ensuring the abattoirs are fully functional and compliant with USDA Food Safety Inspection Service standards. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $284,124 $435,001 $451,331 FRINGE BENEFITS $140,706 $256,408 $281,854 0100 - GENERAL FUND TOTAL $424,831 $691,409 $733,185 EXPENSES TOTAL $424,831 $691,409 $733,185 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count AGRICULTURE INDUSTRIAL ENGINEER 1 BUTCHER 3 CHIEF BUTCHER 1 DIRECTOR ABATTOIR 1 LABORER 2 PROCUREMENT QUALITY CONTROL OFFICER 1 SANITATION MANAGER 2 ALLOCATED FTE COUNT 11 DEPARTMENT OF AGRICULTURE - LIVESTOCK FARMERS AND ABATTOIR SERVICE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 350 ACTIVITY 83210 VETERINARY SERVICES FUNCTIONAL STATEMENT The Veterinary Services unit safeguards the Virgin Islands from animal disease outbreaks by providing animal health care and emergency services to livestock farmers at a minimum cost. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $272,901 $327,837 $329,337 FRINGE BENEFITS $126,188 $151,836 $164,560 0100 - GENERAL FUND TOTAL $399,089 $479,673 $493,897 3100 - FEDERAL GRANTS ALL EXCEPT DOE SUPPLIES $12,514 $4,527 $0 OTHER SERVICES $4,124 -$4,527 $0 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $16,638 $0 $0 EXPENSES TOTAL $415,727 $479,673 $493,897 GRANTS Expenses F83C1 - PLANT & ANIMAL DISEASE PEST CONTROL $16,638 $0 – EXPENSES TOTAL $16,638 $0 – ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count AGRICULTURE VETERINARY DIRECTOR 1 MAINTENANCE ENGINEER I 1 OFFICE MANAGER 1 SUPERVISOR AGRICULTURAL PEST CONTROL 1 VETERINARY TECHNICIAN 1 ALLOCATED FTE COUNT 5 DEPARTMENT OF AGRICULTURE - VETERINARY SERVICES FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 351 ACTIVITY 83300 MARKETING FUNCTIONAL STATEMENT The Marketing division purchases and surveys locally grown produce and increases access to and awareness of locally grown crops by providing education & technical assistance to enhance market competitiveness and economic sustainability for farmers and producers. FUND SUMMARY Expenses 3100 - FEDERAL GRANTS ALL EXCEPT DOE SUPPLIES – $0 $138,035 OTHER SERVICES – – $108,867 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL – $0 $246,902 EXPENSES TOTAL – $0 $246,902 GRANTS Expenses F83D3 - SPECIALTY CROP BLOCK GRANT PROGRAM – – $246,902 EXPENSES TOTAL – – $246,902 DEPARTMENT OF AGRICULTURE - MARKETING FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2025 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 352 FY 2027 PROPOSED EXECUTIVE BUDGET 353 FY 2027 PROPOSED EXECUTIVE BUDGET 354 MISSION STATEMENT The Virgin Islands Bureau of Corrections (BOC) provides proper care and supervision of all offenders under its jurisdiction while assisting, as appropriate, their re-entry into society, along with striving to protect the public and ensuring the safety of the Bureau’s personnel. BUDGET SUMMARY Total Amount (FY2027) $38,150,497.00 FY27 BUDGETED RESOURCES GENERAL FUND: GENERAL FUND: $36,476,667.00 (95.61%) $36,476,667.00 (95.61%) GENERAL FUND: $36,476,667.00 (95.61%) FEDERAL GRANTS ALL EXCEPT DOE: FEDERAL GRANTS ALL EXCEPT DOE: $1,673,830.00 (4.39%) $1,673,830.00 (4.39%) FEDERAL GRANTS ALL EXCEPT DOE: $1,673,830.00 (4.39%) GENERAL FUND FEDERAL GRANTS ALL EXCEPT DOE FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $38,403,812 $36,014,494 $36,476,665 APPROPRIATED TOTAL $38,403,812 $36,014,494 $36,476,665 FEDERAL 3100 - FEDERAL GRANTS ALL EXCEPT DOE $422,843 $400,000 $1,673,830 FEDERAL TOTAL $422,843 $400,000 $1,673,830 NON APPROPRIATED 0105 - SINGLE PAYER UTILITY FUND $568,293 $559,208 – NON APPROPRIATED TOTAL $568,293 $559,208 – EXPENSES TOTAL $39,394,947 $36,973,702 $38,150,495 BUREAU OF CORRECTIONS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 355 Total Amount (FY2027) $36,476,667.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $14,840,127.00 (40.68%) $14,840,127.00 (40.68%) PERSONNEL SERVICES: $14,840,127.00 (40.68%) OTHER SERVICES: OTHER SERVICES: $12,579,522.00 (34.49%) $12,579,522.00 (34.49%) OTHER SERVICES: $12,579,522.00 (34.49%) FRINGE BENEFITS: FRINGE BENEFITS: $7,071,426.00 (19.39%) $7,071,426.00 (19.39%) FRINGE BENEFITS: $7,071,426.00 (19.39%) SUPPLIES: SUPPLIES: $1,935,592.00 (5.31%) $1,935,592.00 (5.31%) SUPPLIES: $1,935,592.00 (5.31%) CAPITAL PROJECTS: CAPITAL PROJECTS: $50,000.00 (0.14%) $50,000.00 (0.14%) CAPITAL PROJECTS: $50,000.00 (0.14%) PERSONNEL SERVICES OTHER SERVICES FRINGE BENEFITS SUPPLIES CAPITAL PROJECTS RECOMMENDED EXPENDITURES OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND CREDIT CARD EXPENSES $75,472 – – MEMBERSHIP DUES $22,587 – – STIPENDS $91,296 – – DEBRIS REMOVAL $3,128 – – REPAIRS & MAINTENANCE $110,364 $235,000 $235,000 AUTOMOTIVE REPAIR & MAINTENANCE $2,521 $15,000 $0 RENTAL OF LAND/BUILDINGS $295,691 $278,268 $288,316 RENTAL MACHINES/EQUIPMENT $166,282 $10,000 $0 PROFESSIONAL SERVICES $12,101,834 $11,775,135 $11,351,206 SECURITY SERVICES $173,042 $50,000 $50,000 TRAINING $48,678 $30,000 $30,000 COMMUNICATION $196,226 $50,000 $50,000 ADVERTISING & PROMOTION $13,514 $5,000 $5,000 PRINTING AND BINDING $4,819 $5,000 $5,000 TRANSPORTATION - NOT TRAVEL $47,297 $50,000 $50,000 IN & OUT PATIENT SERVICES $1,296,338 $350,000 $350,000 TRAVEL $132,845 $125,000 $125,000 TRAVEL / CASH ADVANCE $66,205 $10,000 $10,000 PURCHASE BULK AIRLINE $66,500 $20,000 $20,000 JUDGEMENTS INDEMNITIES $125,000 – – OTHER SERVICES NOC $41,708 $10,000 $10,000 0100 - GENERAL FUND TOTAL $15,081,348 $13,018,403 $12,579,522 3100 - FEDERAL GRANTS ALL EXCEPT DOE PROFESSIONAL SERVICES $320,726 $0 $0 TRAINING $3,875 $0 $0 TRANSPORTATION - NOT TRAVEL $3,388 $0 $0 TRAVEL $15,827 $0 $0 TRAVEL / CASH ADVANCE $18,716 $0 $0 OTHER SERVICES NOC – $173,375 $332,192 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $362,532 $173,375 $332,192 OTHER SERVICES TOTAL $15,443,880 $13,191,778 $12,911,714 EXPENSES TOTAL $15,443,880 $13,191,778 $12,911,714 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 356 PROFESSIONAL SERVICES GENERAL FUND Itemization Description FY2027 Amount DR. KAHLIL JOHNSON $150,000 DR. HOMER VENTERS $150,000 INDELIBLE MANAGEMENT SOLUTIONS, INC $2,000,000 NEIGHBORHOOD PHARMACY $150,000 WEST BAY WHOLESALE, LLC $50,000 FLEMINGS TRANSPORT $45,000 CORE CIVIC $3,927,500 GLENN CORBETT $150,000 AMDAN, INC D/B/A MEDICINE SHOPPE #1956 $50,000 FASTCASE $4,500 MICHAEL K. GATLING $150,000 V.I. REGULATED WASTE MANAGEMENT $10,000 SAPPHIREHEALTH, LLC $17,550 NUCLEOS, INC $150,950 BUTLER SNOW, LLP $1,000,000 UNIVERSITY OF THE VIRGIN ISLANDS $100,000 JAMES AUSTIN $150,000 PROMISING PEOPLE $60,000 CORRECTIONAL MANAGEMENT AND CORRECTIONAL GROUP $125,000 ISLAND THERAPY SOLUTIONS $150,000 KENNETH A. RAY $333,333 8 WEST, LLC $27,380 OCEAN SYSTEMS LABORATORY, INC $18,107 THE MOSS GROUP, INC $122,975 OTIS ELEVATOR COMPANY $8,911 DR. EVADNE SANG $225,000 STARTEL COMMUNICATION $25,000 VIRGINIA DEPARTMENT OF CORRECTIONS $2,000,000 AMOUNT $11,351,206 LEASES GENERAL FUND Itemization Description FY2027 Amount V.I. ECONOMIC DEVELOPMENT AUTHORITY $208,641 WATERFRONT 72 KRONPRINSENS GADE, LLC $79,675 AMOUNT $288,316 FY 2027 PROPOSED EXECUTIVE BUDGET 357 GRANTS SUMMARY Projects FEDERAL F1520 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM – $0 $344,354 F1519 - ECONOMIC, SOCIAL AND POLITICAL DEVELOPMENT OF THE TERRITORIES $175,564 $0 – F1521 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $6,600 $0 $282,833 F1522 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $48,368 $0 $194,035 F1511 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $31,239 $0 – F1512 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $10,500 $0 – F1513 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $14,980 $0 – F1514 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $3,289 $0 – F1515 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $13,101 $0 – F1516 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $119,203 $0 – F1523 - STATE CRIMINAL ALIEN ASSIST PROGRAM – – $268,671 F1531 - STATE CRIMINAL ALIEN ASSIST PROGRAM – – $183,937 F1524 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – $400,000 $400,000 FEDERAL TOTAL $422,843 $400,000 $1,673,830 PROJECTS TOTAL $422,843 $400,000 $1,673,830 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE ASSISTANT 1 ADMINISTRATIVE COORDINATOR 1 ADMINISTRATIVE OFFICER I 1 ADMINISTRATIVE SPECIALIST 1 ASSISTANT DIRECTOR / SUPPORT SERVICES 1 ASSISTANT DIRECTOR BOC OPERATIONS 1 ASSISTANT DIRECTOR OF ADMINISTRATION AND COMPLIANCE SERVICES 1 ASSISTANT TERRITORIAL MAINTENANCE ADMINISTRATOR 1 ASSISTANT WARDEN 2 CASE MANAGEMENT PLANNER 5 CERTIFIED NURSING ASSISTANT 1 CHIEF CORRECTION OFFICER 3 CHIEF INSPECTOR 1 CHIEF STRATEGY OFFICER 1 CONSTRUCTION SUPERINTENDENT 1 COOK II 8 CORRECTION CLASSIFICATION OFFICER 4 CORRECTION CLASSIFICATION SUPERVISOR 1 CORRECTION OFFICER 89 CORRECTION RECRUIT 3 CORRECTION SECURITY ADMINISTRATOR 1 CORRECTION SERGEANT 7.5 CORRECTION TECHNICIAN 8 CORRECTIONAL INSTRUCTOR 1 CORRECTIONAL LICENSED PRACTICAL NURSE 1 DENTAL ASSISTANT 1 DENTAL HYGIENIST 1 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 358 Position Name FY2027 DENTIST 1 DIRECTOR BUREAU OF CORRECTIONS 1 DISASTER RECOVERY SPECIALIST 1 EMERGENCY ROOM PHYSICIAN 1 EQUINE PROGRAM SUPERVISOR 1 EXECUTIVE ASSISTANT TO DIRECTOR 1 FACILITIES MAINTENANCE TECHNICIAN 1 FACILITY MANAGER 1 FINANCIAL SPECIALIST 1 FIRE, LIFE, & SAFETY MANAGER 1 FISCAL AND BUDGET MANAGER 1 FOOD SERVICE ADMINISTRATOR 1 GENERAL MAINTENANCE WORKER I 3 HEAD NURSE 2 HEALTH INFORMATION MANAGEMENT LEAD CLERK 1 HEALTH SERVICE ADMINISTRATOR 1 HUMAN RESOURCE MANAGER 1 HUMAN RESOURCES GENERALIST 0.5 INVESTIGATOR 2 LABOR RELATIONS SPECIALIST 1 LAUNDRY MANAGER 1 LEGAL COUNSEL 1 LICENSED PRACTICAL NURSE 1.5 LIEUTENANT SUPERVISOR 2 MAINTENANCE ENGINEER 0.5 MAINTENANCE TECHNICIAN 1 MEDICAL DIRECTOR 1 MENTAL HEALTH COORDINATOR 2 MENTAL HEALTH COUNSELOR 1 MIS ADMINISTRATOR 1 NIGHT DIFFERENTIAL 2 OVERTIME 1 PARALEGAL 1 PAYROLL AUDIT CLERK III 1 POLICY WRITER 1 PRISON CHAPLAIN 2 PRISON COMPLIANCE COORDINATOR 1 PRISON COMPLIANCE OFFICER 2 PRISON RAPE ELIMINATION ACT (PREA) COORDINATOR 1 PRISON RAPE ELMINATION ACT (PREA) COORDINATOR 1 PRISON WARDEN 2 PROGRAMS & GRANTS MANAGER 0.75 PROJECT COORDINATOR 1 PROPERTY & PROCUREMENT OFFICER 1 PUBLIC INFORMATION OFFICER 0.75 QUALIFIED MENTAL HEALTH PROFESSIONAL 1 QUALITY ASSURANCE MANAGER 1 RECORDS CLERK 1 REGISTERED NURSE 4.5 SOCIAL WORKER/MENTAL HEALTH CORRECTIONAL COUNSELOR 1 SUPERVISOR GENERAL MAINTENANCE 2 SYSTEM ANALYST I 1 SYSTEMS PROGRAMMER 1 TRAINING ADMINISTRATOR 1 TRAINING COORDINATOR 1 TRAINING SPECIALIST 1 TRANSITIONAL CASE MANAGER 1 ALLOCATED FTE COUNT 218 FY 2027 PROPOSED EXECUTIVE BUDGET 359 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT DIRECTOR BOC OPERATIONS 1 ASSISTANT DIRECTOR OF ADMINISTRATION AND COMPLIANCE SERVICES 1 ASSISTANT TERRITORIAL MAINTENANCE ADMINISTRATOR 1 ASSISTANT WARDEN 1 CHIEF CORRECTION OFFICER 1 CHIEF INSPECTOR 1 COOK II 1 CORRECTION OFFICER 17 CORRECTION RECRUIT 3 CORRECTION SERGEANT 3.5 CORRECTION TECHNICIAN 3 CORRECTIONAL INSTRUCTOR 1 FIRE, LIFE, & SAFETY MANAGER 1 GENERAL MAINTENANCE WORKER I 2 HEAD NURSE 1 HUMAN RESOURCES GENERALIST 0.5 INVESTIGATOR 2 LEGAL COUNSEL 1 LICENSED PRACTICAL NURSE 1.5 LIEUTENANT SUPERVISOR 1 MAINTENANCE ENGINEER 0.5 MENTAL HEALTH COORDINATOR 2 MENTAL HEALTH COUNSELOR 1 POLICY WRITER 1 PRISON CHAPLAIN 1 PRISON RAPE ELMINATION ACT (PREA) COORDINATOR 1 PROGRAMS & GRANTS MANAGER 0.75 PROJECT COORDINATOR 1 PUBLIC INFORMATION OFFICER 0.75 REGISTERED NURSE 3.5 SOCIAL WORKER/MENTAL HEALTH CORRECTIONAL COUNSELOR 1 SYSTEMS PROGRAMMER 1 TRAINING COORDINATOR 1 TRANSITIONAL CASE MANAGER 1 ALLOCATED FTE COUNT 61 ACTIVITY CENTERS 15000 - ADMINISTRATION 15200 - INSTITUTIONAL FACILITIES 15210 - HEALTH SERVICE 15220 - PROGRAM & TREATMENT FY 2027 PROPOSED EXECUTIVE BUDGET 360 ACTIVITY 15000 ADMINISTRATION FUNCTIONAL STATEMENT The Administration Unit administers policies, rules, and regulations while acquiring necessary resources to promote efficient operations across various functions such as inmate programs, human resources, training, strategy services, payroll, property, and fiscal management. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $1,190,872 $1,808,580 $1,826,706 FRINGE BENEFITS $591,459 $746,232 $861,374 SUPPLIES $114,033 $466,000 $0 OTHER SERVICES $13,463,274 $12,298,403 $11,874,522 UTILITY SERVICES $10,485 – – CAPITAL PROJECTS $263,539 – – 0100 - GENERAL FUND TOTAL $15,633,661 $15,319,214 $14,562,602 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $568,293 $559,208 – 0105 - SINGLE PAYER UTILITY FUND TOTAL $568,293 $559,208 – EXPENSES TOTAL $16,201,954 $15,878,423 $14,562,602 BUREAU OF CORRECTIONS - ADMINISTRATION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 361 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE ASSISTANT 1 ADMINISTRATIVE OFFICER I 1 ASSISTANT DIRECTOR BOC OPERATIONS 1 ASSISTANT DIRECTOR OF ADMINISTRATION AND COMPLIANCE SERVICES 1 CASE MANAGEMENT PLANNER 1 CHIEF INSPECTOR 1 CHIEF STRATEGY OFFICER 1 CORRECTION CLASSIFICATION OFFICER 1 DIRECTOR BUREAU OF CORRECTIONS 1 DISASTER RECOVERY SPECIALIST 1 EXECUTIVE ASSISTANT TO DIRECTOR 1 FISCAL AND BUDGET MANAGER 1 HUMAN RESOURCE MANAGER 1 HUMAN RESOURCES GENERALIST 0.5 INVESTIGATOR 1 MIS ADMINISTRATOR 1 PAYROLL AUDIT CLERK III 1 POLICY WRITER 1 PRISON COMPLIANCE COORDINATOR 1 PRISON RAPE ELIMINATION ACT (PREA) COORDINATOR 1 PROGRAMS & GRANTS MANAGER 0.75 PROPERTY & PROCUREMENT OFFICER 1 PUBLIC INFORMATION OFFICER 0.75 QUALITY ASSURANCE MANAGER 1 SYSTEM ANALYST I 1 SYSTEMS PROGRAMMER 1 ALLOCATED FTE COUNT 25 FY 2027 PROPOSED EXECUTIVE BUDGET 362 ACTIVITY 15200 INSTITUTIONAL FACILITIES FUNCTIONAL STATEMENT The Institutional Facilities division maintains a controlled, secure, safe, humane, and productive environment for inmates and detainees while fostering rehabilitation and public safety. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $12,374,586 $10,514,121 $10,902,646 FRINGE BENEFITS $4,084,048 $4,837,303 $5,205,401 SUPPLIES $2,067,021 $1,130,000 $1,645,592 OTHER SERVICES $1,301,112 $370,000 $355,000 UTILITY SERVICES $10,838 $40,792 $0 CAPITAL PROJECTS – $50,000 $50,000 0100 - GENERAL FUND TOTAL $19,837,605 $16,942,216 $18,158,639 3100 - FEDERAL GRANTS ALL EXCEPT DOE SUPPLIES $17,711 $51,625 $741,638 OTHER SERVICES $362,532 $173,375 $332,192 CAPITAL PROJECTS $42,600 $175,000 $600,000 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $422,843 $400,000 $1,673,830 EXPENSES TOTAL $20,260,448 $17,342,216 $19,832,469 BUREAU OF CORRECITONS - INSTITUTIONAL FACILITIES FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 363 GRANTS Expenses F1520 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM – $0 $344,354 F1519 - ECONOMIC, SOCIAL AND POLITICAL DEVELOPMENT OF THE TERRITORIES $175,564 $0 – F1521 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $6,600 $0 $282,833 F1522 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $48,368 $0 $194,035 F1511 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $31,239 $0 – F1512 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $10,500 $0 – F1513 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $14,980 $0 – F1514 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $3,289 $0 – F1515 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $13,101 $0 – F1516 - STATE CRIMINAL ALIEN ASSISTANCE PROGRAM $119,203 $0 – F1523 - STATE CRIMINAL ALIEN ASSIST PROGRAM – – $268,671 F1531 - STATE CRIMINAL ALIEN ASSIST PROGRAM – – $183,937 F1524 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – $400,000 $400,000 EXPENSES TOTAL $422,843 $400,000 $1,673,830 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE COORDINATOR 1 ADMINISTRATIVE SPECIALIST 1 ASSISTANT DIRECTOR / SUPPORT SERVICES 1 ASSISTANT TERRITORIAL MAINTENANCE ADMINISTRATOR 1 ASSISTANT WARDEN 2 CHIEF CORRECTION OFFICER 3 CONSTRUCTION SUPERINTENDENT 1 COOK II 8 CORRECTION OFFICER 89 CORRECTION RECRUIT 3 CORRECTION SECURITY ADMINISTRATOR 1 CORRECTION SERGEANT 7.5 CORRECTION TECHNICIAN 8 EQUINE PROGRAM SUPERVISOR 1 FACILITIES MAINTENANCE TECHNICIAN 1 FACILITY MANAGER 1 FINANCIAL SPECIALIST 1 FIRE, LIFE, & SAFETY MANAGER 1 FOOD SERVICE ADMINISTRATOR 1 GENERAL MAINTENANCE WORKER I 3 INVESTIGATOR 1 LABOR RELATIONS SPECIALIST 1 LAUNDRY MANAGER 1 LEGAL COUNSEL 1 LIEUTENANT SUPERVISOR 2 MAINTENANCE ENGINEER 0.5 MAINTENANCE TECHNICIAN 1 FY 2027 PROPOSED EXECUTIVE BUDGET 364 PARALEGAL 1 PRISON CHAPLAIN 2 PRISON COMPLIANCE OFFICER 2 PRISON RAPE ELMINATION ACT (PREA) COORDINATOR 1 PRISON WARDEN 2 SOCIAL WORKER/MENTAL HEALTH CORRECTIONAL COUNSELOR 1 SUPERVISOR GENERAL MAINTENANCE 2 TRAINING ADMINISTRATOR 1 TRAINING COORDINATOR 1 TRAINING SPECIALIST 1 ALLOCATED FTE COUNT 157 FY 2027 PROPOSED EXECUTIVE BUDGET 365 ACTIVITY 15210 HEALTH SERVICE FUNCTIONAL STATEMENT The Health Service unit provides medical, dental, and mental health services to inmates and detainees assigned to the Bureau’s custody. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $1,050,383 $1,614,960 $1,584,304 FRINGE BENEFITS $308,420 $652,285 $692,224 SUPPLIES $472,083 $249,999 $250,000 OTHER SERVICES $316,963 $350,000 $350,000 0100 - GENERAL FUND TOTAL $2,147,848 $2,867,244 $2,876,528 EXPENSES TOTAL $2,147,848 $2,867,244 $2,876,528 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count CASE MANAGEMENT PLANNER 2 CERTIFIED NURSING ASSISTANT 1 CORRECTIONAL LICENSED PRACTICAL NURSE 1 DENTAL ASSISTANT 1 DENTAL HYGIENIST 1 DENTIST 1 EMERGENCY ROOM PHYSICIAN 1 HEAD NURSE 2 HEALTH INFORMATION MANAGEMENT LEAD CLERK 1 HEALTH SERVICE ADMINISTRATOR 1 LICENSED PRACTICAL NURSE 1.5 MEDICAL DIRECTOR 1 MENTAL HEALTH COORDINATOR 2 MENTAL HEALTH COUNSELOR 1 QUALIFIED MENTAL HEALTH PROFESSIONAL 1 REGISTERED NURSE 4.5 ALLOCATED FTE COUNT 23 BUREAU OF CORRECTIONS - HEALTH SERVICE FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 366 ACTIVITY 15220 PROGRAM AND TREATMENT FUNCTIONAL STATEMENT The Program and Treatment Division oversees rehabilitative programs that enhance the successful re-entry into society. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $502,976 $555,049 $526,469 FRINGE BENEFITS $281,721 $290,772 $312,427 SUPPLIES – $40,000 $40,000 0100 - GENERAL FUND TOTAL $784,697 $885,820 $878,896 EXPENSES TOTAL $784,697 $885,820 $878,896 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count CASE MANAGEMENT PLANNER 2 CORRECTION CLASSIFICATION OFFICER 3 CORRECTION CLASSIFICATION SUPERVISOR 1 CORRECTIONAL INSTRUCTOR 1 PROJECT COORDINATOR 1 RECORDS CLERK 1 TRANSITIONAL CASE MANAGER 1 ALLOCATED FTE COUNT 10 BUREAU OF CORRECTIONS - PROGRAM AND TREATMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 367 MISSION STATEMENT The mission of the Virgin Islands Fire Emergency Medical Services (VIFEMS) is to save lives, protect property and the environment while enhancing the quality of life through public education, fire prevention, code enforcement, and response to fires, medical emergencies, hazardous materials incidents, and all other man-made or natural disasters. BUDGET SUMMARY Total Amount (FY2027) $35,773,675.00 FY27 BUDGETED RESOURCES GENERAL FUND: GENERAL FUND: $34,318,681.00 (95.93%) $34,318,681.00 (95.93%) GENERAL FUND: $34,318,681.00 (95.93%) FEDERAL GRANTS ALL EXCEPT DOE: FEDERAL GRANTS ALL EXCEPT DOE: $1,454,994.00 (4.07%) $1,454,994.00 (4.07%) FEDERAL GRANTS ALL EXCEPT DOE: $1,454,994.00 (4.07%) GENERAL FUND FEDERAL GRANTS ALL EXCEPT DOE FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $35,592,106 $36,222,186 $34,318,681 APPROPRIATED TOTAL $35,592,106 $36,222,186 $34,318,681 FEDERAL 3100 - FEDERAL GRANTS ALL EXCEPT DOE $176,357 $1,038,000 $1,454,994 FEDERAL TOTAL $176,357 $1,038,000 $1,454,994 NON APPROPRIATED 2152 - EMERGENCY SERVICES $733,163 $438,472 – 2158 - FIRE SERVICE EMERGENCY $768,822 $500,000 – 8030 - PRIVATE DONATION $14,894 – – 0105 - SINGLE PAYER UTILITY FUND $407,255 $470,475 – 8001 - ASSET RECOVERY FUND $13,548 – – NON APPROPRIATED TOTAL $1,937,683 $1,408,947 – EXPENSES TOTAL $37,706,146 $38,669,133 $35,773,675 VIRGIN ISLANDS FIRE AND EMERGENCY MEDICAL SERVICES FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 368 Total Amount (FY2027) $34,318,681.00 FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $23,702,591.00 (69.07%) $23,702,591.00 (69.07%) PERSONNEL SERVICES: $23,702,591.00 (69.07%) FRINGE BENEFITS: FRINGE BENEFITS: $9,825,698.00 (28.63%) $9,825,698.00 (28.63%) FRINGE BENEFITS: $9,825,698.00 (28.63%) UTILITY SERVICES: UTILITY SERVICES: $471,475.00 (1.37%) $471,475.00 (1.37%) UTILITY SERVICES: $471,475.00 (1.37%) OTHER SERVICES: OTHER SERVICES: $183,459.00 (0.53%) $183,459.00 (0.53%) OTHER SERVICES: $183,459.00 (0.53%) PERSONNEL SERVICES FRINGE BENEFITS UTILITY SERVICES OTHER SERVICES SUPPLIES RECOMMENDED EXPENDITURES OTHER EXPENSES MISCELLANEOUS GENERAL FUND Projects M2434 - VI FIRE & MEDICAL SERVICES $1,021,874 $1,400,000 – MM031 - JUNIOR FIRE FIGHTERS,INC. $18,428 $39,700 – M2217 - FIRE RESPONSE VESSEL $275,871 – – PROJECTS TOTAL $1,316,174 $1,439,700 – OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND CREDIT CARD EXPENSES $11,093 – – REPAIRS & MAINTENANCE $36,863 – – AUTOMOTIVE REPAIR & MAINTENANCE $23,890 $100,000 – RENTAL OF LAND/BUILDINGS $55,000 $182,713 $183,459 RENTAL MACHINES/EQUIPMENT $5,885 – – PROFESSIONAL SERVICES $4,763 $148,000 – SECURITY SERVICES $214 – – TRAINING $353 $111,000 $0 COMMUNICATION $6,000 – – PRINTING AND BINDING – $1,300 $0 TRANSPORTATION - NOT TRAVEL $23,076 $75,000 – TRAVEL $5,206 $9,000 $0 PURCHASE BULK AIRLINE $13,691 – – JUDGEMENTS INDEMNITIES $55,000 – – OTHER SERVICES NOC $35,915 $11,700 $0 0100 - GENERAL FUND TOTAL $276,950 $638,713 $183,459 3100 - FEDERAL GRANTS ALL EXCEPT DOE TRAINING $29,950 $0 $0 OTHER SERVICES NOC – $43,593 $0 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $29,950 $43,593 $0 2152 - EMERGENCY SERVICES MEMBERSHIP DUES $2,000 – – ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 369 DEBRIS REMOVAL $3,008 – – REPAIRS & MAINTENANCE $20,867 $50,000 – AUTOMOTIVE REPAIR & MAINTENANCE $4,076 – – RENTAL OF LAND/BUILDINGS $118,460 – – PROFESSIONAL SERVICES $35,913 – – SECURITY SERVICES $1,068 – – TRAINING $12,236 – – COMMUNICATION $76,410 $60,000 – ADVERTISING & PROMOTION $400 – – TRANSPORTATION - NOT TRAVEL $7,137 $35,000 – TRAVEL $42,905 $3,472 – TRAVEL / CASH ADVANCE $3,478 – – PURCHASE BULK AIRLINE $35,800 $60,000 – INSURANCE $45,572 – – OTHER SERVICES NOC $4,775 – – 2152 - EMERGENCY SERVICES TOTAL $414,106 $208,472 – 2158 - FIRE SERVICE EMERGENCY CREDIT CARD EXPENSES $84,473 – – REPAIRS & MAINTENANCE $17,927 – – AUTOMOTIVE REPAIR & MAINTENANCE $9,401 $10,000 – RENTAL MACHINES/EQUIPMENT $9,965 $10,000 – PROFESSIONAL SERVICES $30,441 $100,000 – SECURITY SERVICES $3,390 $20,000 – TRAINING $44,230 – – COMMUNICATION $89,502 – – ADVERTISING & PROMOTION $490 – – PRINTING AND BINDING $1,863 $10,000 – TRANSPORTATION - NOT TRAVEL $24,569 – – IN & OUT PATIENT SERVICES $1,825 – – TRAVEL $42,080 $50,000 – TRAVEL / CASH ADVANCE $1,455 – – OTHER SERVICES NOC $3,167 – – 2158 - FIRE SERVICE EMERGENCY TOTAL $364,778 $200,000 – OTHER SERVICES TOTAL $1,085,783 $1,090,778 $183,459 EXPENSES TOTAL $1,085,783 $1,090,778 $183,459 LEASES GENERAL FUND Itemization Description FY2027 Amount ROSS ESTATE $9,503 PRIME STORAGE $9,258 BENJAMIN RENTALS $30,000 ALM HOLDINGS $108,000 AXIS DEVELOPMENT GROUP, LLC $26,698 AMOUNT $183,459 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 370 GRANT SUMMARY Projects FEDERAL F2418 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – $0 $441,043 F2419 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – – $185,891 F2425 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – $400,000 $400,000 F2426 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – $287,000 $287,060 FEDERAL TOTAL – $687,000 $1,313,994 PUBLIC SAFETY F2417 - STATE & PRIVATE FORESTRY COOPERATIVE FIRE ASSISTANCE $60,000 $0 – F2424 - STATE & PRIVATE FORESTRY COOPERATIVE FIRE ASSISTANCE – $110,000 – F2432 - STATE & PRIVATE FORESTRY COOPERATIVE FIRE ASSISTANCE – $141,000 $141,000 PUBLIC SAFETY TOTAL $60,000 $251,000 $141,000 FEDERAL PROGRAMS F2421 - ASSISTANCE TO FIREFIGHTER GRANT $29,950 $0 – F2422 - STATE & PRIVATE FORESTRY COOPERATIVE FIRE ASSISTANCE $86,407 $100,000 – FEDERAL PROGRAMS TOTAL $116,357 $100,000 – PROJECTS TOTAL $176,357 $1,038,000 $1,454,994 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ADMIN COORDINATOR 1 ADMINISTRATIVE OFFICER I 2 ADMINISTRATIVE OFFICER II 1 ADVANCED EMERGENCY MEDICAL TECHNICIAN 10 ASSISTANT DIRECTOR OF EMERGENCY MEDICAL SERVICES 1 ASSISTANT DIRECTOR OF FIRE 1 BOATMAN 1 CHIEF FINANCIAL OFFICER 1 COXSWAIN 2 DEPUTY FIRE CHIEF 3 DEPUTY FIRE INSPECTOR I 1 DEPUTY FIRE INSPECTOR II 2 DEPUTY FIRE INSPECTOR III 4 DIRECTOR 1 DIRECTOR OF HUMAN RESOURCES AND PAYROLL 1 EMER MEDICAL SER SUPERVISOR 1 EMER VEHICLE TECH 1 EMERGENCY MEDICAL SERVICES CHIEF 2 EMERGENCY MEDICAL SERVICES COORDINATOR 1 EMERGENCY MEDICAL TECHNICIAN 8 EMERGENCY MEDICAL TECHNICIAN SUPERVISOR 1 EMERGENCY VEHICLE TECHNICIAN 3 EMS TRAINING OFFICER 1 EXECUTIVE ASSISTANT TO DIRECTOR 1 FIRE CAPTAIN 8 FIRE CHIEF 2 FIRE CORPORAL 31 FIRE INSPECTOR 2 FIRE LIEUTENANT 8 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 371 Position Name FY2027 FIRE MARSHALL 2 FIRE SERGEANT 12 FIREFIGHTER 53 FIREFIGHTER/EMERGENCY MEDICAL TECHNICIAN 109 HUMAN RESOURCES GEN 1 MAINTENANCE VEHICLE TECHNICIAN HELPER 1 MAINTENANCE/EMERGENCY TECHNICIAN HELPER 1 MEDICAL DIRECTOR 1 NIGHT DIFFERENTIAL 3 OTHER DIFFERENTIALS 1 OVERTIME - EMERGENCY MEDICAL SERVICES 1 PARAMEDIC 13 PAYROLL AUDIT ANALYST 2 PERSONNEL RELATIONS ADMINISTRATOR 1 PUBLIC INFORMATION OFFICER 1 RECEPTIONIST/COLLECTOR 3 TERR. TRAINING COORD 1 UNIFORM ALLOWANCE 2 ALLOCATED FTE COUNT 310 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count FIRE CAPTAIN 1 FIREFIGHTER/EMERGENCY MEDICAL TECHNICIAN 5 PARAMEDIC 6 ALLOCATED FTE COUNT 12 ACTIVITY CENTERS 24000 - SUPPRESSION UNIT 24001 - NON-OPERATIONAL MISC 24010 - ADMINISTRATIVE UNIT 24020 - ARSON PREVENTION AND INVESTIGATION UNIT 24030 - EMERGENCY MEDICAL SERVICES FY 2027 PROPOSED EXECUTIVE BUDGET 372 ACTIVITY 24000 SUPPRESSION UNIT FUNCTIONAL STATEMENT The Suppression Unit delivers life safety education and responds to fire emergencies, medical incidents, rescues, and hazardous situations, including those managed by the Hazmat Team. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $21,507,926 $20,745,050 $18,316,697 FRINGE BENEFITS $8,184,145 $8,486,769 $8,187,870 OTHER SERVICES – $10,300 – UTILITY SERVICES – $0 $471,475 0100 - GENERAL FUND TOTAL $29,692,071 $29,242,119 $26,976,042 3100 - FEDERAL GRANTS ALL EXCEPT DOE SUPPLIES $146,407 $323,635 $157,288 OTHER SERVICES $29,950 $43,593 $0 CAPITAL PROJECTS $0 $670,772 $1,297,706 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $176,357 $1,038,000 $1,454,994 2152 - EMERGENCY SERVICES SUPPLIES $319,058 $230,000 – OTHER SERVICES $414,106 $208,472 – 2152 - EMERGENCY SERVICES TOTAL $733,163 $438,472 – 2158 - FIRE SERVICE EMERGENCY SUPPLIES $404,044 $300,000 – OTHER SERVICES $364,778 $200,000 – 2158 - FIRE SERVICE EMERGENCY TOTAL $768,822 $500,000 – 8030 - PRIVATE DONATION PERSONNEL SERVICES $12,603 – – FRINGE BENEFITS $2,291 – – 8030 - PRIVATE DONATION TOTAL $14,894 – – 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $407,255 $470,475 – 0105 - SINGLE PAYER UTILITY FUND TOTAL $407,255 $470,475 – 8001 - ASSET RECOVERY FUND CAPITAL PROJECTS $13,548 – – 8001 - ASSET RECOVERY FUND TOTAL $13,548 – – EXPENSES TOTAL $31,806,111 $31,689,066 $28,431,036 VI FIRE AND EMERGENCY MEDICAL SERVICES - SUPPRESSION UNIT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 373 GRANTS Expenses F2418 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – $0 $441,043 F2419 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – – $185,891 F2425 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – $400,000 $400,000 F2426 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES – $287,000 $287,060 F2417 - STATE & PRIVATE FORESTRY COOPERATIVE FIRE ASSISTANCE $60,000 $0 – F2424 - STATE & PRIVATE FORESTRY COOPERATIVE FIRE ASSISTANCE – $110,000 – F2432 - STATE & PRIVATE FORESTRY COOPERATIVE FIRE ASSISTANCE – $141,000 $141,000 F2421 - ASSISTANCE TO FIREFIGHTER GRANT $29,950 $0 – F2422 - STATE & PRIVATE FORESTRY COOPERATIVE FIRE ASSISTANCE $86,407 $100,000 – EXPENSES TOTAL $176,357 $1,038,000 $1,454,994 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMIN COORDINATOR 1 ADMINISTRATIVE OFFICER I 1 ADVANCED EMERGENCY MEDICAL TECHNICIAN 9 ASSISTANT DIRECTOR OF FIRE 1 BOATMAN 1 COXSWAIN 2 DEPUTY FIRE CHIEF 2 DEPUTY FIRE INSPECTOR I 1 DEPUTY FIRE INSPECTOR II 2 DEPUTY FIRE INSPECTOR III 4 DIRECTOR OF HUMAN RESOURCES AND PAYROLL 1 EMER MEDICAL SER SUPERVISOR 1 EMER VEHICLE TECH 1 EMERGENCY MEDICAL SERVICES COORDINATOR 1 EMERGENCY MEDICAL TECHNICIAN 7 EMERGENCY MEDICAL TECHNICIAN SUPERVISOR 1 EMERGENCY VEHICLE TECHNICIAN 1 EMS TRAINING OFFICER 1 EXECUTIVE ASSISTANT TO DIRECTOR 1 FIRE CAPTAIN 7 FIRE CHIEF 1 FIRE CORPORAL 27 FIRE LIEUTENANT 7 FIRE MARSHALL 2 FIRE SERGEANT 11 FIREFIGHTER 48 FIREFIGHTER/EMERGENCY MEDICAL TECHNICIAN 95 MAINTENANCE VEHICLE TECHNICIAN HELPER 1 MEDICAL DIRECTOR 1 PARAMEDIC 12 PERSONNEL RELATIONS ADMINISTRATOR 1 PUBLIC INFORMATION OFFICER 1 RECEPTIONIST/COLLECTOR 3 TERR. TRAINING COORD 1 ALLOCATED FTE COUNT 257 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 374 ACTIVITY 24001 NON-OPERATIONAL MISC FUND SUMMARY Expenses 0100 - GENERAL FUND SUPPLIES $652,025 $742,000 $0 OTHER SERVICES $248,950 $445,700 $0 CAPITAL PROJECTS $415,199 $252,000 – 0100 - GENERAL FUND TOTAL $1,316,174 $1,439,700 $0 EXPENSES TOTAL $1,316,174 $1,439,700 $0 EXPENDITURES MISCELLANEOUS EXPENSES BY PROJECT Projects M2434 - VI FIRE & MEDICAL SERVICES SUPPLIES $641,365 $725,000 – OTHER SERVICES $241,181 $423,000 – CAPITAL PROJECTS $139,328 $252,000 – M2434 - VI FIRE & MEDICAL SERVICES TOTAL $1,021,874 $1,400,000 – MM031 - JUNIOR FIRE FIGHTERS,INC. SUPPLIES $10,660 $17,000 – OTHER SERVICES $7,768 $22,700 – MM031 - JUNIOR FIRE FIGHTERS,INC. TOTAL $18,428 $39,700 – M2217 - FIRE RESPONSE VESSEL CAPITAL PROJECTS $275,871 – – M2217 - FIRE RESPONSE VESSEL TOTAL $275,871 – – PROJECTS TOTAL $1,316,174 $1,439,700 – VIRGIN ISLANDS FIRE AND EMERGENCY MEDICAL SERVICES - NON-OPERATIONAL MISC FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 375 ACTIVITY 24010 ADMINISTRATIVE UNIT FUNCTIONAL STATEMENT The Administrative Unit manages financial and human resources, seeks revenue-enhancing opportunities, and ensures cost- efficiency in departmental operations. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $2,250,137 $2,265,112 $2,239,919 FRINGE BENEFITS $1,001,247 $928,233 $1,095,630 SUPPLIES – – $135,458 OTHER SERVICES $28,000 $182,713 $183,459 0100 - GENERAL FUND TOTAL $3,279,384 $3,376,058 $3,654,466 EXPENSES TOTAL $3,279,384 $3,376,058 $3,654,466 EXPENDITURES MISCELLANEOUS GENERAL FUND Projects – – – – PROJECTS TOTAL – – – VIRGIN ISLANDS FIRE AND EMERGENCY MEDICAL SERVICES - ADMINISTRATIVE UNIT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 376 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE OFFICER I 1 ADMINISTRATIVE OFFICER II 1 ADVANCED EMERGENCY MEDICAL TECHNICIAN 1 ASSISTANT DIRECTOR OF EMERGENCY MEDICAL SERVICES 1 CHIEF FINANCIAL OFFICER 1 DEPUTY FIRE CHIEF 1 DIRECTOR 1 EMERGENCY MEDICAL SERVICES CHIEF 2 EMERGENCY VEHICLE TECHNICIAN 2 FIRE CAPTAIN 1 FIRE CHIEF 1 FIRE CORPORAL 3 FIRE SERGEANT 1 FIREFIGHTER 3 FIREFIGHTER/EMERGENCY MEDICAL TECHNICIAN 9 HUMAN RESOURCES GEN 1 MAINTENANCE/EMERGENCY TECHNICIAN HELPER 1 PAYROLL AUDIT ANALYST 2 ALLOCATED FTE COUNT 33 FY 2027 PROPOSED EXECUTIVE BUDGET 377 ACTIVITY 24020 ARSON PREVENTION AND INVESTIGATION UNIT FUNCTIONAL STATEMENT The Arson Prevention and Investigation Unit investigates fires, conducts safety inspections, analyzes construction documents for code compliance, and provides public education, training, and hazard mitigation. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $877,912 $1,091,474 $3,081,502 FRINGE BENEFITS $425,764 $413,176 $514,845 0100 - GENERAL FUND TOTAL $1,303,676 $1,504,650 $3,596,347 EXPENSES TOTAL $1,303,676 $1,504,650 $3,596,347 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count FIRE CORPORAL 1 FIRE INSPECTOR 2 FIRE LIEUTENANT 1 FIREFIGHTER 2 FIREFIGHTER/EMERGENCY MEDICAL TECHNICIAN 5 PARAMEDIC 1 ALLOCATED FTE COUNT 12 VIRGIN ISLANDS FIRE AND EMERGENCY MEDICAL SERVICES - ARSON PREVENTION AND INVESTIGATION UNIT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 378 ACTIVITY 24030 EMERGENCY MEDICAL SERVICES FUNCTIONAL STATEMENT The Emergency Medical Services Division manages the ambulance system, sets standards for emergency medical treatment and transport, and conducts training for all first responders in both public and private sectors. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES – $541,634 $64,473 FRINGE BENEFITS $800 $118,025 $27,353 0100 - GENERAL FUND TOTAL $800 $659,659 $91,826 EXPENSES TOTAL $800 $659,659 $91,826 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count EMERGENCY MEDICAL TECHNICIAN 1 ALLOCATED FTE COUNT 1 VIRGIN ISLANDS FIRE AND EMERGENCY MEDICAL SERVICES - EMERGENCY MEDICAL SERVICES FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 379 MISSION STATEMENT The Virgin Islands Police Department protects the life and property of all citizens of the Virgin Islands and to ensure a safe and secure environment. BUDGET SUMMARY Total Amount (FY2027) $80,848,220.00 FY27 BUDGETED RESOURCES GENERAL FUND: GENERAL FUND: $71,081,017.00 (87.92%) $71,081,017.00 (87.92%) GENERAL FUND: $71,081,017.00 (87.92%) FEDERAL GRANTS ALL EXCEPT DOE: FEDERAL GRANTS ALL EXCEPT DOE: $6,180,721.00 (7.64%) $6,180,721.00 (7.64%) FEDERAL GRANTS ALL EXCEPT DOE: $6,180,721.00 (7.64%) TOURISM ADVERTISING REVOLVING: TOURISM ADVERTISING REVOLVING: $3,000,000.00 (3.71%) $3,000,000.00 (3.71%) TOURISM ADVERTISING REVOLVING: $3,000,000.00 (3.71%) PEACE OFFICER TRAINING FUND: PEACE OFFICER TRAINING FUND: $586,482.00 (0.73%) $586,482.00 (0.73%) PEACE OFFICER TRAINING FUND: $586,482.00 (0.73%) GENERAL FUND FEDERAL GRANTS ALL EXCEPT DOE TOURISM ADVERTISING REVOLVING PEACE OFFICER TRAINING FUND FUND SUMMARY EXPENSES APPROPRIATED 0100 - GENERAL FUND $71,385,276 $71,826,037 $71,081,017 6068 - TOURISM ADVERTISING REVOLVING $1,469,474 $789,000 $3,000,000 0101 - GENERAL FUND NON-LAPSING $4,077 – – 6069 - TOURISM ADVERTISING REVOLVING $378,697 – – 2801 - SOUTHERN TRUST COMPANY SETTLEMENT – $125,000 – APPROPRIATED TOTAL $73,237,523 $72,740,037 $74,081,017 FEDERAL 3100 - FEDERAL GRANTS ALL EXCEPT DOE $2,637,863 $1,969,753 $6,151,803 FEDERAL TOTAL $2,637,863 $1,969,753 $6,151,803 NON APPROPRIATED 2165 - VI LAW ENFORC- ASSET FORFEIT $10,031 – – 2284 - PEACE OFFICER TRAINING FUND $443,863 $507,452 $586,482 2169 - USDHS ASSET FORFEITURE FUND -$60 – – 0105 - SINGLE PAYER UTILITY FUND $1,699,743 $1,801,186 – 8001 - ASSET RECOVERY FUND $171,585 – – NON APPROPRIATED TOTAL $2,325,162 $2,308,638 $586,482 EXPENSES TOTAL $78,200,548 $77,018,428 $80,819,302 VIRGIN ISLANDS POLICE DEPARTMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 380 Total Amount (FY2027) FY27 RECOMMENDED GENERAL FUND BY CATEGORY PERSONNEL SERVICES: PERSONNEL SERVICES: $37,716,462.00 (53.06%) $37,716,462.00 (53.06%) PERSONNEL SERVICES: $37,716,462.00 (53.06%) FRINGE BENEFITS: FRINGE BENEFITS: $15,939,314.00 (22.42%) $15,939,314.00 (22.42%) FRINGE BENEFITS: $15,939,314.00 (22.42%) OTHER SERVICES: OTHER SERVICES: $11,364,540.00 (15.99%) $11,364,540.00 (15.99%) OTHER SERVICES: $11,364,540.00 (15.99%) SUPPLIES: SUPPLIES: $4,007,515.00 (5.64%) $4,007,515.00 (5.64%) SUPPLIES: $4,007,515.00 (5.64%) UTILITY SERVICES: UTILITY SERVICES: $1,801,186.00 (2.53%) $1,801,186.00 (2.53%) UTILITY SERVICES: $1,801,186.00 (2.53%) CAPITAL PROJECTS: CAPITAL PROJECTS: $252,000.00 (0.35%) $252,000.00 (0.35%) CAPITAL PROJECTS: $252,000.00 (0.35%) PERSONNEL SERVICES FRINGE BENEFITS OTHER SERVICES SUPPLIES UTILITY SERVICES CAPITAL PROJECTS RECOMMENDED EXPENDITURES OTHER EXPENSES MISCELLANEOUS GENERAL FUND Projects M2614 - CADET LEADERSHP/DEVELPMNT PROG STTJ – $65,000 $66,500 M2615 - CADET LEADERSHP/DEVLOPMNT PROG STX – $65,000 $65,000 M0561 - POLICE ATHLETIC LEAGUE STT $41,331 $65,000 $65,000 M1151 - VIPD STT BOVONI WEED & SEED PROGRAM – $65,000 $57,000 M1282 - EXCESSIVE FORCE CONSENT DECREE $1,080,246 $2,005,068 $1,864,280 M1604 - CRIME STOPPERS $200,000 $100,000 $100,000 M3062 - POLICE ATHLETIC LEAGUE STX $49,635 $65,000 $65,000 M7046 - GROVE PLACE WEED AND SEED PROGRAM $5,675 $65,000 $61,000 M2525 - CONTRIBUTION PEACE OFFICER TRAIN FD $250,000 $350,000 $350,000 PROJECTS TOTAL $1,626,887 $2,845,068 $2,693,780 OTHER SERVICES Expenses OTHER SERVICES 0100 - GENERAL FUND CREDIT CARD EXPENSES $32,253 $100,000 $20,000 MEMBERSHIP DUES $98,757 $2,000 $2,000 DEBRIS REMOVAL $945 $8,760 $5,000 REPAIRS & MAINTENANCE $773,952 $409,000 $8,000 AUTOMOTIVE REPAIR & MAINTENANCE $49,474 $101,000 $104,000 RENTAL OF LAND/BUILDINGS $1,295,264 $2,536,042 $2,741,770 RENTAL MACHINES/EQUIPMENT $290,943 $319,611 $304,836 PROFESSIONAL SERVICES $2,952,313 $3,978,679 $6,151,753 SECURITY SERVICES $873 – – TRAINING $36,641 $252,000 $193,000 COMMUNICATION $675,478 $946,410 $381,410 ADVERTISING & PROMOTION $351,394 $270,000 $252,871 PRINTING AND BINDING $51,403 $35,000 $16,500 TRANSPORTATION - NOT TRAVEL $136,354 $108,661 $39,500 IN & OUT PATIENT SERVICES $32,336 $55,000 $0 TRAVEL $278,311 $708,440 $494,400 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 381 TRAVEL / CASH ADVANCE $76,991 $100,000 $104,000 PURCHASE BULK AIRLINE $109,715 $121,000 $63,000 INSURANCE – $2,500 $2,500 GRANTS/IND GOVT AGENCIES $200,000 – $100,000 OTHER SERVICES NOC $50 $292,500 $30,000 TRANSFER OUT GENERAL FUND $250,000 $350,000 $350,000 0100 - GENERAL FUND TOTAL $7,693,445 $10,696,603 $11,364,540 6068 - TOURISM ADVERTISING REVOLVING REPAIRS & MAINTENANCE – $94,000 $94,000 PROFESSIONAL SERVICES $45,000 – – COMMUNICATION – $68,000 $68,000 TRANSPORTATION - NOT TRAVEL $5,355 $20,000 $20,000 TRAVEL – $20,000 $40,000 6068 - TOURISM ADVERTISING REVOLVING TOTAL $50,355 $202,000 $222,000 6069 - TOURISM ADVERTISING REVOLVING $5,500 – – 2801 - SOUTHERN TRUST COMPANY SETTLEMENT – $125,000 – 3100 - FEDERAL GRANTS ALL EXCEPT DOE MEMBERSHIP DUES $11,944 $0 $0 STIPENDS $3,450 $0 $0 AUTOMOTIVE REPAIR & MAINTENANCE $5,463 $0 $0 RENTAL OF LAND/BUILDINGS $5,990 – $0 PROFESSIONAL SERVICES $263,624 $0 $221,850 TRAINING $6,000 $0 $0 ADVERTISING & PROMOTION $181,345 $0 $0 PRINTING AND BINDING $9,925 $0 $0 TRANSPORTATION - NOT TRAVEL $78,910 $0 $0 TRAVEL $63,426 $0 $0 TRAVEL / CASH ADVANCE $75,984 – $0 PURCHASE BULK AIRLINE $8,000 $0 $0 GRANTS/IND GOVT AGENCIES $19,950 – – OTHER SERVICES NOC $28,211 $753,497 $1,979,458 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $762,223 $753,497 $2,201,308 2284 - PEACE OFFICER TRAINING FUND MEMBERSHIP DUES $220 – – DEBRIS REMOVAL – $5,000 – REPAIRS & MAINTENANCE $1,095 $5,000 – AUTOMOTIVE REPAIR & MAINTENANCE $1,221 $10,000 – PROFESSIONAL SERVICES – $10,000 – SECURITY SERVICES $1,025 $11,000 – TRAINING – $55,000 – COMMUNICATION $22,027 $30,000 – TRANSPORTATION - NOT TRAVEL $255 $20,000 – TRAVEL $1,349 $40,000 – TRAVEL / CASH ADVANCE $15,545 $50,000 – PURCHASE BULK AIRLINE $2,738 $25,000 – OTHER SERVICES NOC – $10,000 – 2284 - PEACE OFFICER TRAINING FUND TOTAL $45,476 $271,000 – 2169 - USDHS ASSET FORFEITURE FUND TRAVEL -$60 – – 2169 - USDHS ASSET FORFEITURE FUND TOTAL -$60 – – OTHER SERVICES TOTAL $8,556,939 $12,048,100 $13,787,848 MISCELLANEOUS $10,031 – – EXPENSES TOTAL $8,566,970 $12,048,100 $13,787,848 ACTUALS REVISED BUDGET RECOMMENDED FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 382 PROFESSIONAL SERVICES GENERAL FUND Itemization Description FY2027 Amount AC SERVICE AGREEMENT $76,000 EVERBRIDGE, INC $86,127 TRASH REMOVAL $53,946 LAWNCARE/LANDSCAPING $25,000 AXON ENTERPRISES $622,078 CLEANING - JANITORIAL $98,718 EXTERMINATING $10,640 BRINC DRONES $774,281 BEAUTIFUL DREAMERS $180,000 GENERATOR SERVICE AGREEMENT $38,000 AFTER-SCHOOL SUPPORT $111,600 SMARTNET $1,318,862 OMNI SYSTEM $260,800 JENSEN HUGHES, INC. $821,376 IOWA DEPARTMENT OF TRANSPORTATION $593,890 SHOTSPOTTER DBA SOUND THINKING $973,834 LIVEVIEW TECHNOLOGIES $96,600 BOTTLE WATER SERVICE AGREEMENT $10,000 AMOUNT $6,151,753 PROFESSIONAL SERVICES FEDERAL GRANTS ALL EXCEPT DOE Itemization Description FY2027 Amount IOWA DEPARTMENT OF TRANSPORTATION (IOWADOT) $221,850 AMOUNT $221,850 FY 2027 PROPOSED EXECUTIVE BUDGET 383 LEASES GENERAL FUND Itemization Description FY2027 Amount FOUR WINDS PLAZA (POLICE OPERATIONS) $174,000 GOTTLIEB $78,000 PROPERTY & PROCUREMENT (IMPOUND LOT) $1,200 SHUAMA RENTAL PROPERTIES $234,000 FACILITY RENTAL PAL SUMMER CAMP STX $3,000 VIHA (CRIME PREVENTION & SCHOOL SECURITY) $1 ZEFO ENTERPRISES $840,000 HANNAH'S REST $72,009 SEA GLASS PROPERTIES $91,200 FACILITY RENTAL HR $12,000 FACILITY RENTAL POLICE CADET STX $4,000 BLUE ANCHOR (AL COHENS) $355,400 STRAND SQUARE LLC (BIKE UNIT F'STED) $11,091 RAINBOW PLAZA, INC. (SUPPORT SERVICES) $40,515 GERTRUDE T GUMBS (MOTORPOOL STX) $101,742 VI PORT AUTHORITY $9,600 DAVIS MANAGEMENT, ELECTRIC BLDG (MAINTENANCE STORAGE/EVIDENCE STORAGE) $106,250 RAINBOW PLAZA - MANAGEMENT $372,120 ST. CROIX MARKSMANSHIP $38,500 PROPERTY & PROCUREMENT (WAREHOUSE) $8,400 EAST END PLAZA (EAST END SUBSTATION) $1 FACILITY RENTAL PAL SUMMER CAMP STT/STJ $3,000 HUMANE SOCIETY (K9 FACILITY) $1 JOLLY HILL REALTY CORPORATION $46,920 MICHAEL A. SIMMONDS (C'STED) $26,400 GERS $107,220 FACILITY RENTAL POLICE CADET STT/STJ $4,000 PROPERTY & PROCURMENT (FORENSIC OFFICE BLDG) $1,200 AMOUNT $2,741,770 GRANTS SUMMARY Projects FEDERAL F5059 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPEMENT OF THE TERRITORIES $718,174 – – F50B1 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES $190,846 $0 $1,158,732 F50E9 - STATE & COMMUNITY HIGHWAY SAFETY-OP $11,000 $0 – F50F0 - MOTOR CARRIER SAFETY ASSISTANCE – – $425,402 F50F2 - STATE & COMMUNITY HIGHWAY SAFETY – $174,863 $177,715 F50F1 - STATE & COMMUNITY HIGHWAY SAFETY – $60,561 $60,561 F50F4 - STATE & COMMUNITY HIGHWAY SAFETY – $144,336 $145,965 F50F3 - STATE & COMMUNITY HIGHWAY SAFETY – $255,128 $255,128 FEDERAL TOTAL $920,021 $634,888 $2,223,503 PUBLIC SAFETY F5061 - STATE AND COMMUNITY HIGHWAY SAFETY $7,433 – – F50A1 - STATE AND COMMUNITY HIGHWAY SAFETY $51,425 – – F50B2 - STATE AND COMMUNITY HIGHWAY SAFETY $15,520 $0 – F50B4 - STATE AND COMMUNITY HIGHWAY SAFETY $16,795 $0 – F50B6 - STATE AND COMMUNITY HIGHWAY SAFETY $15,931 $0 – F50B7 - STATE AND COMMUNITY HIGHWAY SAFETY $55,554 $0 – F50B9 - STATE AND COMMUNITY HIGHWAY SAFETY $15,662 – $193,061 F50C0 - STATE AND COMMUNITY HIGHWAY SAFETY $3,125 – – F50C1 - STATE AND COMMUNITY HIGHWAY SAFETY $2,319 $0 – ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 384 F50B5 - STATE AND COMMUNITY HIGHWAY SAFETY $14,907 $0 – F50B3 - STATE AND COMMUNITY HIGHWAY SAFETY $24,993 $0 – F50C3 - STATE AND COMMUNITY HIGHWAY SAFETY $55,697 – $211,953 F50C5 - STATE AND COMMUNITY HIGHWAY SAFETY $10,527 $0 – F50C6 - STATE AND COMMUNITY HIGHWAY SAFETY $1,104 – – F50C7 - STATE AND COMMUNITY HIGHWAY SAFETY $3,135 – – F50C8 - STATE AND COMMUNITY HIGHWAY SAFETY – – $129,440 F50C9 - STATE AND COMMUNITY HIGHWAY SAFETY $1,084 $0 $202,819 F50D2 - PUBLIC SAFETY PARTNERSHIP AND COMMUNITY POLICING GRANTS $331,480 – $1,255,390 F50D3 - STATE AND COMMUNITY HIGHWAY SAFETY $113,295 – – F50D4 - STATE AND COMMUNITY HIGHWAY SAFTEY $159,763 $0 – F50D5 - STATE AND COMMUNITY HIGHWAY SAFETY $52,095 $0 – F50D6 - STATE AND COMMUNITY HIGHWAY SAFETY $155,691 – – F50D8 - MOTOR CARRIER SAFETY ASSISTANCE $121,933 $0 $424,565 F50D7 - STATE AND COMMUNITY HIGHWAY SAFETY – $207,358 $210,506 F50F5 - STATE AND COMMUNITY HIGHWAY SAFETY – $304,457 $300,225 F50F7 - STATE AND COMMUNITY HIGHWAY SAFETY – $76,790 $76,790 F50F6 - STATE AND COMMUNITY HIGHWAY SAFETY – $255,300 $255,300 F50D9 - STATE AND COMMUNITY HIGHWAY SAFETY – $160,862 $144,052 F50F8 - STATE AND COMMUNITY HIGHWAY SAFETY – $28,233 $28,233 F50E0 - STATE AND COMMUNITY HIGHWAY SAFETY – $17,911 $17,911 F50F9 - STATE AND COMMUNITY HIGHWAY SAFETY – $283,954 $284,994 PUBLIC SAFETY TOTAL $1,229,464 $1,334,865 $3,735,239 FEDERAL PROGRAMS F50A3 - FY22 MOTOR CARRIER SAFETY ASSISTANCE $31,368 $0 – F50C4 - MOTOR CARRIER SAFETY ASSIST PROGRAM $218,298 $0 – F50E1 - STATE & COMMUNITY HIGHWAY SAFETY $131,286 $0 – F50E8 - STATE & COMMUNITY HIGHWAY SAFETY $16,657 $0 – F50E5 - STATE & COMMUNITY HIGHWAY SAFETY $496 – $193,061 F50E2 - STATE & COMMUNITY HIGHWAY SAFETY $75,172 $0 – F50E4 - STATE & COMMUNITY HIGHWAY SAFETY $15,100 – – FEDERAL PROGRAMS TOTAL $488,378 $0 $193,061 PROJECTS TOTAL $2,637,863 $1,969,753 $6,151,803 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 385 DEPARTMENT PERSONNEL ALL DEPARTMENT POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTS PAYABLE SPECIALIST 3 ADMINISTRATIVE OFFICER I 1 ADMINISTRATIVE SPECIALIST 5 ALCOHOL SAFETY COORDINATOR 1 ASSISTANT COMMISSIONER 1 ASSISTANT DIRECTOR COMMUNICATIONS 1 ASSISTANT DIRECTOR FACILITIES MANAGEMENT 1 ASSISTANT DIRECTOR HIGHWAY SAFETY 1 ASSISTANT DIRECTOR INFORMATION SYSTEMS 1 ATTORNEY 1 AUTO BODY REPAIR 1 AUXILIARY OFFICER 2 CERTIFIED AUTOMOTIVE TECHNICIAN 4 CHIEF FINANCIAL OFFICER 1 CHIEF OF POLICE 2 CHIEF OF RECORDS MANAGEMENT 2 CHIEF PROCUREMENT OFFICER 1 COMMUNITY SERVICE OFFICER 21 COMPLIANCE OFFICER 1 CONSENT DECREE MANAGER/CONFIDENTIAL ADVISOR 1 COORDINATOR 1 CRIME SCENE SHIFT SUPERVISOR 2 CRIME SCENE TECHNICIAN 13 CRIMINALIST 2 CURRICULUM PROGRAM COORDINATOR 1 CUSTODIAL WORKER 1 DATA ENTRY OPERATOR I 1 DEPUTY CHIEF 3 DEPUTY COMMISSIONER 2 DIGNITARY SECURITY OFFICER 7 DIR FACILITY MGMNT & PROPERTY 1 DIRECTOR COMMUNITY AFFAIRS 1 DIRECTOR EXECUTIVE SECURITY 1 DIRECTOR FEDERAL GRANTS 1 DIRECTOR OF COMMUNICATIONS 1 DIRECTOR OF HIGHWAY SAFETY 1 DIRECTOR OF HUMAN RESOURCES 1 DIRECTOR OF INFORMATION SYSTEMS 1 DIRECTOR OF STRATEGIC PLANNING & RESEARCH 1 DISTRICT SUPERVISOR DIGNITARY SECURITY OFFICER 2 EXECUTIVE ASSISTANT 2 EXECUTIVE DIRECTOR 1 EXECUTIVE SECURITY OFFICER 1 EXECUTIVE UNIFORM SECURITY OFFICER 14 FACILITIES MAINTENANCE MANAGER 1 FACILITIES MAINTENANCE TECHNICIAN 3 FACILITY MAINTENANCE SUPERVISOR 1 FEDERAL GRANTS COORDINATOR 2 FEES & COMPENSATION NOC 2 FIREARM CERT CLERK 1 FISCAL AND BUDGET MANAGER 1 FISCAL OFFICER 1 HOLIDAY PAY 8 HUMAN RESOURCES ADMINISTRATOR 1 HUMAN RESOURCES ASSISTANT 1 FY 2027 PROPOSED EXECUTIVE BUDGET 386 Position Name FY2027 HUMAN RESOURCES COORDINATOR 1 HUMAN RESOURCES GENERALIST 1 INTERNAL AFFAIRS AGENT I 4 INTERNAL AFFAIRS AGENT II 2 INTERNAL AFFAIRS UNIT (IAU) DIRECTOR 1 IT PROJECT COORDINATOR 1 LABOR RELATIONS SPECIALIST 1 LAW ENFORCEMENT LIAISON 1 LEAD DIGNITARY SECURITY OFFICER 3 LEAD EXECUTIVE SECURITY OFFICER 2 LEAD INVESTIGATOR 2 LEGAL OFFICE ADMINISTRATOR 1 MEDIA INFORMATION SPECIALIST 2 MEDIA RELATIONS COORDINATOR 1 MOTOR CARRIER PROGRAM COORDINATOR 1 MOTORPOOL MANAGER 2 NCIC DATA ENTRY OPERATOR 10 NETWORK ADMINISTRATOR 1 NETWORK ANALYST 1 NIGHT DIFFERENTIAL 3 OFFICE MANAGER 1 OVERTIME 3 PAYROLL AUDIT CLERK I 4 PAYROLL AUDIT CLERK III 1 PAYROLL SUPERVISOR 1 POLICE ADMIN ASSISTANT 1 POLICE ADMINISTRATIVE AIDE 13 POLICE ADMINISTRATIVE ASSISTANT 3 POLICE AUXILIARY 45 POLICE CAPTAIN 13 POLICE COMMISSIONER 1 POLICE COMPLIANCE AUDITOR 3 POLICE CRIME ANALYST 3 POLICE EVIDENCE CUSTODIAN 1 POLICE FLEET MANAGER 1 POLICE LIEUTENANT 14 POLICE OFFICER 188 POLICE SERGEANT 40 POST ADMINISTRATOR 1 REAL TIME INFORMATION ANALYST 6 REAL TIME INFORMATION MANAGER 2 RECORDS CLERK III 1 RECORDS SPECIALIST 9 RESEARCH ANALYST 1 SCHOOL CROSSING GUARD 5 SPECIAL PROJECTS COORDINATOR 1 SYSTEM ANALYST I 3 SYSTEM ANALYST II 1 TERRITORIAL PAYROLL DIRECTOR 1 TRAVEL COORDINATOR 1 UNIFORM ALLOWANCE 1 UNIFORM SECURITY SUPERVISOR 2 VICTIMS WITNESS ADVOCATE 2 VIOHS PLANNER/COORDINATOR 1 VIOHS TRAFFIC RECORDS PROJECTS MANAGER 1 WEED & SEED COORDINATOR 1 ALLOCATED FTE COUNT 553 FY 2027 PROPOSED EXECUTIVE BUDGET 387 VACANT AND NEW POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT DIRECTOR HIGHWAY SAFETY 1 COMMUNITY SERVICE OFFICER 2 CRIME SCENE TECHNICIAN 4 CURRICULUM PROGRAM COORDINATOR 1 DIGNITARY SECURITY OFFICER 1 EXECUTIVE UNIFORM SECURITY OFFICER 2 FACILITIES MAINTENANCE TECHNICIAN 1 INTERNAL AFFAIRS AGENT I 2 IT PROJECT COORDINATOR 1 LAW ENFORCEMENT LIAISON 1 LEAD INVESTIGATOR 2 MOTORPOOL MANAGER 1 NCIC DATA ENTRY OPERATOR 1 NETWORK ADMINISTRATOR 1 NETWORK ANALYST 1 PAYROLL AUDIT CLERK I 2 PAYROLL AUDIT CLERK III 1 POLICE ADMINISTRATIVE AIDE 1 POLICE AUXILIARY 24 POLICE COMPLIANCE AUDITOR 1 POLICE OFFICER 9 REAL TIME INFORMATION ANALYST 6 RECORDS SPECIALIST 1 RESEARCH ANALYST 1 SPECIAL PROJECTS COORDINATOR 1 SYSTEM ANALYST I 1 TRAVEL COORDINATOR 1 UNIFORM SECURITY SUPERVISOR 1 ALLOCATED FTE COUNT 72 ACTIVITY CENTERS 50000 - MANAGEMENT 50001 - NON-OPERTAIONAL MISC 50010 - INTERNAL AFFAIRS BUREAU 50090 - PEACE OFFICERS STANDARDS AND TRAINING 50100 - POLICE OPERATIONS STT/STJ 50110 - POLICE OPERATIONS - STX 50120 - SCHOOL SECURITY 50130 - SPECIAL OPERATIONS 50170 - EXECUTIVE SECURITY UNIT 50200 - SUPPORT SERVICE 50210 - COMMUNICATIONS 50220 - MANAGEMENT INFORMATION SYSTEMS 50320 - HIGHWAY SAFETY ADMINISTRATION 50330 - HIGHWAY SAFETY RES/STAT 50400 - TRAINING 50500 - PD MOTOR POOL DIVISION FY 2027 PROPOSED EXECUTIVE BUDGET 388 ACTIVITY 50000 MANAGEMENT FUNCTIONAL STATEMENT The Office of the Police Commissioner oversees departmental administration, secures personnel, equipment, training, funding, and resources for police operations, and fosters partnerships with local, neighboring, and federal agencies. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $3,147,311 $1,432,596 $1,365,000 FRINGE BENEFITS $1,320,323 $561,424 $593,438 SUPPLIES $68,336 $53,000 $53,000 OTHER SERVICES $1,389,610 $2,630,237 $2,429,029 0100 - GENERAL FUND TOTAL $5,925,580 $4,677,257 $4,440,467 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $218,335 – $778,107 FRINGE BENEFITS $113,145 – $477,283 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $331,480 $0 $1,255,390 2165 - VI LAW ENFORC- ASSET FORFEIT MISCELLANEOUS $10,031 – – 2165 - VI LAW ENFORC- ASSET FORFEIT TOTAL $10,031 – – 2169 - USDHS ASSET FORFEITURE FUND OTHER SERVICES -$60 – – 2169 - USDHS ASSET FORFEITURE FUND TOTAL -$60 – – 0105 - SINGLE PAYER UTILITY FUND UTILITY SERVICES $1,699,743 $1,801,186 – 0105 - SINGLE PAYER UTILITY FUND TOTAL $1,699,743 $1,801,186 – 8001 - ASSET RECOVERY FUND $171,585 – – EXPENSES TOTAL $8,138,358 $6,478,443 $5,695,857 VIRGIN ISLANDS POLICE DEPARTMENT - MANAGEMENT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 389 GRANTS Expenses F50D2 - PUBLIC SAFETY PARTNERSHIP AND COMMUNITY POLICING GRANTS $331,480 – $1,255,390 EXPENSES TOTAL $331,480 $0 $1,255,390 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT COMMISSIONER 1 ASSISTANT DIRECTOR COMMUNICATIONS 1 ATTORNEY 1 CHIEF FINANCIAL OFFICER 1 CONSENT DECREE MANAGER/CONFIDENTIAL ADVISOR 1 DEPUTY COMMISSIONER 1 DIRECTOR COMMUNITY AFFAIRS 1 DIRECTOR OF COMMUNICATIONS 1 EXECUTIVE ASSISTANT 2 MEDIA INFORMATION SPECIALIST 2 POLICE COMMISSIONER 1 POLICE OFFICER 19 TRAVEL COORDINATOR 1 VICTIMS WITNESS ADVOCATE 1 WEED & SEED COORDINATOR 1 ALLOCATED FTE COUNT 35 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 390 ACTIVITY 50001 NON-OPERATIONAL MISC FUNCTIONAL STATEMENT This miscellaneous budget augments and supports the operations of the department but are not a part of the VIPD’s operations. These include the Consent Decree, ShotSpotters, Police Athletic League STT/STX, Bovoni Weed & Seed STT, and Grove Place Weed & Seed STX. FUND SUMMARY Expenses 0100 - GENERAL FUND SUPPLIES $106,581 $1,208,252 $1,128,404 OTHER SERVICES $1,520,306 $1,632,816 $1,565,376 CAPITAL PROJECTS – $4,000 $0 0100 - GENERAL FUND TOTAL $1,626,887 $2,845,068 $2,693,780 EXPENSES TOTAL $1,626,887 $2,845,068 $2,693,780 EXPENDITURES MISCELLANEOUS EXPENSES BY PROJECT Projects M2614 - CADET LEADERSHP/DEVELPMNT PROG STTJ – $65,000 $66,500 M2615 - CADET LEADERSHP/DEVLOPMNT PROG STX – $65,000 $65,000 M0561 - POLICE ATHLETIC LEAGUE STT SUPPLIES $12,873 $39,000 $26,500 OTHER SERVICES $28,457 $26,000 $38,500 M0561 - POLICE ATHLETIC LEAGUE STT TOTAL $41,331 $65,000 $65,000 M1151 - VIPD STT BOVONI WEED & SEED PROGRAM SUPPLIES – $48,000 $27,500 OTHER SERVICES – $17,000 $29,500 M1151 - VIPD STT BOVONI WEED & SEED PROGRAM TOTAL – $65,000 $57,000 M1282 - EXCESSIVE FORCE CONSENT DECREE SUPPLIES $58,276 $985,252 $952,904 OTHER SERVICES $1,021,970 $1,019,816 $911,376 M1282 - EXCESSIVE FORCE CONSENT DECREE TOTAL $1,080,246 $2,005,068 $1,864,280 M1604 - CRIME STOPPERS OTHER SERVICES $200,000 $100,000 $100,000 M1604 - CRIME STOPPERS TOTAL $200,000 $100,000 $100,000 M3062 - POLICE ATHLETIC LEAGUE STX SUPPLIES $33,218 $39,000 $27,500 OTHER SERVICES $16,417 $26,000 $37,500 M3062 - POLICE ATHLETIC LEAGUE STX TOTAL $49,635 $65,000 $65,000 VI POLICE DEPARTMENT - NON-OPERATIONAL MISC FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 391 M7046 - GROVE PLACE WEED AND SEED PROGRAM SUPPLIES $2,214 $48,000 $27,500 OTHER SERVICES $3,461 $17,000 $33,500 M7046 - GROVE PLACE WEED AND SEED PROGRAM TOTAL $5,675 $65,000 $61,000 M2525 - CONTRIBUTION PEACE OFFICER TRAIN FD $250,000 $350,000 $350,000 PROJECTS TOTAL $1,626,887 $2,845,068 $2,693,780 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 392 ACTIVITY 50010 INTERNAL AFFAIRS BUREAU FUNCTIONAL STATEMENT The VIPD Internal Affairs Bureau is responsible for investigating and tracking all complaints of misconduct, policy violations, use of force, and other ancillary incidents involving VIPD personnel to ensure accountability, uphold professionalism within the police department, and recommend any needed improvements to department policies. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $120,815 $701,155 $691,073 FRINGE BENEFITS $51,098 $310,744 $345,462 SUPPLIES $2,239 $3,350 $3,350 OTHER SERVICES $28,051 $103,918 $7,500 0100 - GENERAL FUND TOTAL $202,203 $1,119,167 $1,047,385 EXPENSES TOTAL $202,203 $1,119,167 $1,047,385 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE SPECIALIST 1 INTERNAL AFFAIRS AGENT I 4 INTERNAL AFFAIRS AGENT II 2 INTERNAL AFFAIRS UNIT (IAU) DIRECTOR 1 POLICE ADMINISTRATIVE AIDE 3 RESEARCH ANALYST 1 ALLOCATED FTE COUNT 12 VI POLICE DEPARTMENT - INTERNAL AFFAIRS BUREAU FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 393 ACTIVITY 50090 PEACE OFFICER STANDARDS AND TRAINING FUNCTIONAL STATEMENT The Virgin Islands Peace Officer Standards and Training unit's primary function is to train, enforce, and set the professional standards that peace officers in the territory need to provide committed service and protection for the community. FUND SUMMARY Expenses 2284 - PEACE OFFICER TRAINING FUND PERSONNEL SERVICES $264,179 $57,000 $402,500 FRINGE BENEFITS $116,950 $29,452 $183,982 SUPPLIES $17,258 $95,000 – OTHER SERVICES $45,476 $271,000 – CAPITAL PROJECTS – $55,000 – 2284 - PEACE OFFICER TRAINING FUND TOTAL $443,863 $507,452 $586,482 EXPENSES TOTAL $443,863 $507,452 $586,482 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE SPECIALIST 1 CURRICULUM PROGRAM COORDINATOR 1 EXECUTIVE DIRECTOR 1 LEAD INVESTIGATOR 2 POST ADMINISTRATOR 1 ALLOCATED FTE COUNT 6 VI POLICE DEPARTMENT - PEACE OFFICER STANDARDS AND TRAINING FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 394 ACTIVITY 50100 POLICE OPERATIONS STT/STJ FUNCTIONAL STATEMENT The Police Operations division in the St. Thomas/St. John District is tasked with supervising, controlling, and ensuring the effective delivery of police services to the community. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $21,148,953 $17,092,573 $14,769,795 FRINGE BENEFITS $6,582,704 $6,376,818 $6,024,010 SUPPLIES $255,984 $240,500 $25,000 OTHER SERVICES $784,417 $1,555,816 $385,253 UTILITY SERVICES – $0 $967,332 CAPITAL PROJECTS – $200,000 $137,000 0100 - GENERAL FUND TOTAL $28,772,058 $25,465,707 $22,308,390 6068 - TOURISM ADVERTISING REVOLVING $1,091,185 $409,000 $1,500,000 6069 - TOURISM ADVERTISING REVOLVING $373,197 – – EXPENSES TOTAL $30,236,440 $25,874,707 $23,808,390 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ADMINISTRATIVE SPECIALIST 1 CHIEF OF POLICE 1 COMMUNITY SERVICE OFFICER 12 CRIME SCENE TECHNICIAN 7 DEPUTY CHIEF 2 NCIC DATA ENTRY OPERATOR 5 POLICE AUXILIARY 19 POLICE CAPTAIN 7 POLICE LIEUTENANT 10 POLICE OFFICER 92 POLICE SERGEANT 21 RECORDS SPECIALIST 1 SCHOOL CROSSING GUARD 2 VICTIMS WITNESS ADVOCATE 1 ALLOCATED FTE COUNT 181 VI POLICE DEPARTMENT - POLICE OPERATIONS STT/STJ FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 395 ACTIVITY 50110 POLICE OPERATIONS STX FUNCTIONAL STATEMENT The Police Operations Division in the St. Croix District is tasked with supervising, controlling, and ensuring the effective delivery of police services to the community. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $15,914,727 $14,286,462 $12,990,811 FRINGE BENEFITS $4,875,504 $4,990,224 $4,944,520 SUPPLIES $207,459 $245,000 $25,000 OTHER SERVICES $655,518 $1,465,752 $395,310 UTILITY SERVICES – $0 $833,854 CAPITAL PROJECTS – $215,000 $115,000 0100 - GENERAL FUND TOTAL $21,653,207 $21,202,438 $19,304,495 6068 - TOURISM ADVERTISING REVOLVING $378,289 $380,000 $1,500,000 6069 - TOURISM ADVERTISING REVOLVING $5,500 – – EXPENSES TOTAL $22,036,996 $21,582,438 $20,804,495 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count AUXILIARY OFFICER 2 CHIEF OF POLICE 1 COMMUNITY SERVICE OFFICER 9 CRIME SCENE SHIFT SUPERVISOR 2 CRIME SCENE TECHNICIAN 6 CRIMINALIST 2 DEPUTY CHIEF 1 NCIC DATA ENTRY OPERATOR 4 POLICE ADMINISTRATIVE AIDE 1 POLICE AUXILIARY 26 POLICE CAPTAIN 6 POLICE EVIDENCE CUSTODIAN 1 POLICE LIEUTENANT 4 POLICE OFFICER 77 POLICE SERGEANT 19 SCHOOL CROSSING GUARD 3 ALLOCATED FTE COUNT 164 VI POLICE DEPARTMENT - POLICE OPERATIONS STX FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 396 ACTIVITY 50120 SCHOOL SECURITY FUNCTIONAL STATEMENT The School Security Bureau provides a safe school environment, develops a physical security plan to protect against physical threats, reduces criminal incidents, and conducts crime prevention activities for students, faculty, and staff. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $391,578 – – FRINGE BENEFITS $88,985 – – SUPPLIES $10,879 – – 0100 - GENERAL FUND TOTAL $491,442 – – EXPENSES TOTAL $491,442 – – VI POLICE DEPARTMENT - SCHOOL SECURITY FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 397 ACTIVITY 50130 SPECIAL OPERATIONS FUNCTIONAL STATEMENT The Special Operations Bureau is responsible for patrolling, surveillance, and interdiction operations targeting drug and human trafficking, as well as weapons smuggling within the Territory or through its ports as transfer points to the U.S. mainland, in coordination with federal agencies. The Bureau includes bike, canine, and marine units. FUND SUMMARY Expenses 0100 - GENERAL FUND SUPPLIES $28,094 – – OTHER SERVICES $643 – – 0100 - GENERAL FUND TOTAL $28,737 – – EXPENSES TOTAL $28,737 – – VI POLICE DEPARTMENT - SPECIAL OPERATIONS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 398 ACTIVITY 50170 EXECUTIVE SECURITY UNIT FUNCTIONAL STATEMENT The Executive Security Unit’s primary function is to ensure the safety and security of the Governor and accompanying dignitaries during official engagements, public appearances, and private activities. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $109,113 $2,101,500 $2,228,550 FRINGE BENEFITS $50,521 $901,430 $1,071,982 SUPPLIES $100,000 $200,000 $200,000 OTHER SERVICES $19,700 $210,000 $210,000 0100 - GENERAL FUND TOTAL $279,334 $3,412,930 $3,710,532 EXPENSES TOTAL $279,334 $3,412,930 $3,710,532 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count DIGNITARY SECURITY OFFICER 7 DIRECTOR EXECUTIVE SECURITY 1 DISTRICT SUPERVISOR DIGNITARY SECURITY OFFICER 2 EXECUTIVE SECURITY OFFICER 1 EXECUTIVE UNIFORM SECURITY OFFICER 14 LEAD DIGNITARY SECURITY OFFICER 3 LEAD EXECUTIVE SECURITY OFFICER 2 UNIFORM SECURITY SUPERVISOR 2 ALLOCATED FTE COUNT 32 VI POLICE DEPARTMENT - EXECUTIVE SECURITY UNIT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 399 ACTIVITY 50200 SUPPORT SERVICES FUNCTIONAL STATEMENT The department's Support Services unit provides administrative services and logistical support to the overall department operations for personnel, fiscal and property records, and payroll. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $3,794,390 $3,765,579 $4,445,260 FRINGE BENEFITS $1,742,777 $1,885,323 $2,356,152 SUPPLIES $51,663 $108,100 $108,100 OTHER SERVICES $234,472 $300,331 $288,331 0100 - GENERAL FUND TOTAL $5,823,301 $6,059,332 $7,197,843 0101 - GENERAL FUND NON-LAPSING PERSONNEL SERVICES $2,635 – – FRINGE BENEFITS $1,441 – – 0101 - GENERAL FUND NON-LAPSING TOTAL $4,077 – – 3100 - FEDERAL GRANTS ALL EXCEPT DOE PERSONNEL SERVICES $463,999 $504,797 $928,706 FRINGE BENEFITS $186,452 $264,776 $303,980 SUPPLIES $211,487 $55,209 $409,309 OTHER SERVICES $762,223 $753,497 $2,185,733 INDIRECT COSTS $112,727 $271,474 $523,836 CAPITAL PROJECTS $569,495 $120,000 $366,938 3100 - FEDERAL GRANTS ALL EXCEPT DOE TOTAL $2,306,383 $1,969,753 $4,718,502 EXPENSES TOTAL $8,133,761 $8,029,085 $11,916,345 GRANTS Expenses F5059 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPEMENT OF THE TERRITORIES $718,174 – – F50B1 - ECONOMIC, SOCIAL, AND POLITICAL DEVELOPMENT OF THE TERRITORIES $190,846 $0 $1,158,732 F50E9 - STATE & COMMUNITY HIGHWAY SAFETY-OP $11,000 $0 – F50F0 - MOTOR CARRIER SAFETY ASSISTANCE – – $454,320 F50F2 - STATE & COMMUNITY HIGHWAY SAFETY – $174,863 $177,715 F50F1 - STATE & COMMUNITY HIGHWAY SAFETY – $60,561 $60,561 F50F4 - STATE & COMMUNITY HIGHWAY SAFETY – $144,336 $145,965 F50F3 - STATE & COMMUNITY HIGHWAY SAFETY – $255,128 $255,128 F5061 - STATE AND COMMUNITY HIGHWAY SAFETY $7,433 – – VIRGIN ISLANDS POLICE DEPARTMENT - SUPPORT SERVICES FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 400 F50A1 - STATE AND COMMUNITY HIGHWAY SAFETY $51,425 – – F50B2 - STATE AND COMMUNITY HIGHWAY SAFETY $15,520 $0 – F50B4 - STATE AND COMMUNITY HIGHWAY SAFETY $16,795 $0 – F50B6 - STATE AND COMMUNITY HIGHWAY SAFETY $15,931 $0 – F50B7 - STATE AND COMMUNITY HIGHWAY SAFETY $55,554 $0 – F50B9 - STATE AND COMMUNITY HIGHWAY SAFETY $15,662 – $193,061 F50C0 - STATE AND COMMUNITY HIGHWAY SAFETY $3,125 – – F50C1 - STATE AND COMMUNITY HIGHWAY SAFETY $2,319 $0 – F50B5 - STATE AND COMMUNITY HIGHWAY SAFETY $14,907 $0 – F50B3 - STATE AND COMMUNITY HIGHWAY SAFETY $24,993 $0 – F50C3 - STATE AND COMMUNITY HIGHWAY SAFETY $55,697 – $211,953 F50C5 - STATE AND COMMUNITY HIGHWAY SAFETY $10,527 $0 – F50C6 - STATE AND COMMUNITY HIGHWAY SAFETY $1,104 – – F50C7 - STATE AND COMMUNITY HIGHWAY SAFETY $3,135 – – F50C8 - STATE AND COMMUNITY HIGHWAY SAFETY – – $129,440 F50C9 - STATE AND COMMUNITY HIGHWAY SAFETY $1,084 $0 $202,819 F50D3 - STATE AND COMMUNITY HIGHWAY SAFETY $113,295 – – F50D4 - STATE AND COMMUNITY HIGHWAY SAFTEY $159,763 $0 – F50D5 - STATE AND COMMUNITY HIGHWAY SAFETY $52,095 $0 – F50D6 - STATE AND COMMUNITY HIGHWAY SAFETY $155,691 – – F50D8 - MOTOR CARRIER SAFETY ASSISTANCE $121,933 $0 $264,565 F50D7 - STATE AND COMMUNITY HIGHWAY SAFETY – $207,358 $210,506 F50F5 - STATE AND COMMUNITY HIGHWAY SAFETY – $304,457 $300,225 F50F7 - STATE AND COMMUNITY HIGHWAY SAFETY – $76,790 $76,790 F50F6 - STATE AND COMMUNITY HIGHWAY SAFETY – $255,300 $255,300 F50D9 - STATE AND COMMUNITY HIGHWAY SAFETY – $160,862 $144,052 F50F8 - STATE AND COMMUNITY HIGHWAY SAFETY – $28,233 $28,233 F50E0 - STATE AND COMMUNITY HIGHWAY SAFETY – $17,911 – F50F9 - STATE AND COMMUNITY HIGHWAY SAFETY – $283,954 $284,994 F50A3 - FY22 MOTOR CARRIER SAFETY ASSISTANCE $31,368 $0 – F50C4 - MOTOR CARRIER SAFETY ASSIST PROGRAM $218,298 $0 – F50E1 - STATE & COMMUNITY HIGHWAY SAFETY $131,286 $0 – F50E8 - STATE & COMMUNITY HIGHWAY SAFETY $16,657 $0 – F50E5 - STATE & COMMUNITY HIGHWAY SAFETY $496 – $193,061 F50E2 - STATE & COMMUNITY HIGHWAY SAFETY $75,172 $0 – F50E4 - STATE & COMMUNITY HIGHWAY SAFETY $15,100 – – EXPENSES TOTAL $2,306,383 $1,969,753 $4,747,420 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ACCOUNTS PAYABLE SPECIALIST 3 ADMINISTRATIVE OFFICER I 1 ADMINISTRATIVE SPECIALIST 2 ALCOHOL SAFETY COORDINATOR 1 ASSISTANT DIRECTOR FACILITIES MANAGEMENT 1 ASSISTANT DIRECTOR HIGHWAY SAFETY 1 CHIEF OF RECORDS MANAGEMENT 2 CHIEF PROCUREMENT OFFICER 1 COMPLIANCE OFFICER 1 COORDINATOR 1 CUSTODIAL WORKER 1 DATA ENTRY OPERATOR I 1 DEPUTY COMMISSIONER 1 DIR FACILITY MGMNT & PROPERTY 1 DIRECTOR FEDERAL GRANTS 1 DIRECTOR OF HUMAN RESOURCES 1 DIRECTOR OF STRATEGIC PLANNING & RESEARCH 1 FACILITIES MAINTENANCE MANAGER 1 FACILITIES MAINTENANCE TECHNICIAN 3 ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 401 Position Name FY2027 FACILITY MAINTENANCE SUPERVISOR 1 FEDERAL GRANTS COORDINATOR 2 FIREARM CERT CLERK 1 FISCAL AND BUDGET MANAGER 1 FISCAL OFFICER 1 HUMAN RESOURCES ADMINISTRATOR 1 HUMAN RESOURCES ASSISTANT 1 HUMAN RESOURCES COORDINATOR 1 HUMAN RESOURCES GENERALIST 1 LABOR RELATIONS SPECIALIST 1 LAW ENFORCEMENT LIAISON 1 LEGAL OFFICE ADMINISTRATOR 1 MEDIA RELATIONS COORDINATOR 1 MOTOR CARRIER PROGRAM COORDINATOR 1 NCIC DATA ENTRY OPERATOR 1 OFFICE MANAGER 1 PAYROLL AUDIT CLERK I 4 PAYROLL AUDIT CLERK III 1 PAYROLL SUPERVISOR 1 POLICE ADMIN ASSISTANT 1 POLICE ADMINISTRATIVE AIDE 9 POLICE ADMINISTRATIVE ASSISTANT 2 POLICE COMPLIANCE AUDITOR 3 POLICE CRIME ANALYST 3 REAL TIME INFORMATION ANALYST 6 REAL TIME INFORMATION MANAGER 2 RECORDS SPECIALIST 8 SPECIAL PROJECTS COORDINATOR 1 TERRITORIAL PAYROLL DIRECTOR 1 VIOHS PLANNER/COORDINATOR 1 VIOHS TRAFFIC RECORDS PROJECTS MANAGER 1 ALLOCATED FTE COUNT 86 FY 2027 PROPOSED EXECUTIVE BUDGET 402 ACTIVITY 50210 COMMUNICATIONS FUNCTIONAL STATEMENT The Communications Department operates the equipment required to facilitate communication with headquarters, zones, officers, and units. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $62,597 – – FRINGE BENEFITS $35,892 – – SUPPLIES $10,750 $118,600 $118,600 OTHER SERVICES $44,851 $297,410 $1,135,272 0100 - GENERAL FUND TOTAL $154,091 $416,010 $1,253,872 EXPENSES TOTAL $154,091 $416,010 $1,253,872 VI POLICE DEPARTMENT - COMMUNICATIONS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 403 ACTIVITY 50220 MANAGEMENT INFORMATION SYSTEMS FUNCTIONAL STATEMENT The Management Information Systems Bureau provides various information technology services to assist in police operations. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $259,117 $389,085 $622,841 FRINGE BENEFITS $123,249 $176,938 $307,847 SUPPLIES $389,214 $836,873 $525,561 OTHER SERVICES $2,713,792 $1,556,961 $4,147,836 CAPITAL PROJECTS – $25,000 $0 0100 - GENERAL FUND TOTAL $3,485,371 $2,984,857 $5,604,085 EXPENSES TOTAL $3,485,371 $2,984,857 $5,604,085 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count ASSISTANT DIRECTOR INFORMATION SYSTEMS 1 DIRECTOR OF INFORMATION SYSTEMS 1 IT PROJECT COORDINATOR 1 NETWORK ADMINISTRATOR 1 NETWORK ANALYST 1 RECORDS CLERK III 1 SYSTEM ANALYST I 3 SYSTEM ANALYST II 1 ALLOCATED FTE COUNT 10 VI POLICE DEPARTMENT - MANAGEMENT INFORMATION SYSTEMS FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 404 ACTIVITY 50320 HIGHWAY SAFETY ADMINISTRATION FUNCTIONAL STATEMENT The Highway Safety Administration administers the Highway Safety Program for compliance with federal requirements necessary to qualify for Federal Highway Safety funds. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $87,776 $87,550 $87,550 FRINGE BENEFITS $31,466 $31,942 $33,571 SUPPLIES $12,336 $20,500 $18,000 OTHER SERVICES $48,937 $174,620 $129,891 0100 - GENERAL FUND TOTAL $180,516 $314,612 $269,012 EXPENSES TOTAL $180,516 $314,612 $269,012 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count DIRECTOR OF HIGHWAY SAFETY 1 ALLOCATED FTE COUNT 1 VI POLICE DEPARTMENT - HIGHWAY SAFETY ADMINISTRATION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 405 ACTIVITY 50330 HIGHWAY SAFETY RES/STAT FUNCTIONAL STATEMENT Highway Safety Res/Stat reduces fatalities, injuries, and economic losses resulting from motor vehicle crashes through the administration of the Virgin Islands Highway Safety Plan. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $125,235 – – FRINGE BENEFITS $53,341 – – 0100 - GENERAL FUND TOTAL $178,575 – – EXPENSES TOTAL $178,575 – – VI POLICE DEPARTMENT - HIGHWAY SAFETY RES/STAT FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 406 ACTIVITY 50400 TRAINING FUNCTIONAL STATEMENT The Training Unit designs and delivers programs using modern methods to enhance the efficiency and productivity of sworn and civilian personnel, and aids in training personnel from other enforcement agencies. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES – $79,227 $78,027 FRINGE BENEFITS – $22,388 $22,296 SUPPLIES $239,852 $481,000 $481,000 OTHER SERVICES $177,417 $554,000 $456,000 0100 - GENERAL FUND TOTAL $417,269 $1,136,615 $1,037,323 2801 - SOUTHERN TRUST COMPANY SETTLEMENT – $125,000 – EXPENSES TOTAL $417,269 $1,261,615 $1,037,323 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count POLICE ADMINISTRATIVE ASSISTANT 1 ALLOCATED FTE COUNT 1 VI POLICE DEPARTMENT - TRAINING FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 407 ACTIVITY 50500 PD MOTOR POOL DIVISION FUNCTIONAL STATEMENT The VIPD Motor Pool maintains and stores all vehicles. FUND SUMMARY Expenses 0100 - GENERAL FUND PERSONNEL SERVICES $431,832 $453,386 $437,555 FRINGE BENEFITS $208,146 $202,415 $240,036 SUPPLIES $1,450,993 $1,321,500 $1,321,500 OTHER SERVICES $75,733 $214,742 $214,742 0100 - GENERAL FUND TOTAL $2,166,705 $2,192,043 $2,213,833 EXPENSES TOTAL $2,166,705 $2,192,043 $2,213,833 ALL ACTIVITY CENTER POSITIONS Position Name FY2027 Allocated FTE Count AUTO BODY REPAIR 1 CERTIFIED AUTOMOTIVE TECHNICIAN 4 MOTORPOOL MANAGER 2 POLICE FLEET MANAGER 1 ALLOCATED FTE COUNT 8 VI POLICE DEPARTMENT - MOTOR POOL DIVISION FY2027 OPERATING BUDGET ACTUALS REVISED BUDGET RECOMMENDATION FY2025 FY2026 FY2027 FY 2027 PROPOSED EXECUTIVE BUDGET 408