In Kherson, the financial work plan of the municipal enterprise “City Road Management” of the Kherson City Council for 2026 was approved. The total volume of expenditures for the enterprise’s activities amounts to over 26 million hryvnias.
The corresponding order was published on the official website of the Kherson City Council.
According to the document, the largest portion of funds will go to the wages of the enterprise’s employees — 15,23 million UAH, a further 3,35 million UAH is planned for payroll charges.
The estimate also provides for expenses for the maintenance and servicing of equipment. In particular, 3,45 million UAH is planned to be allocated for the purchase of fuel and lubricants, 25 thousand UAH — for vehicle repairs, 99 thousand UAH for the purchase of spare parts and materials for vehicles, 180 thousand UAH — for tires, 99 thousand UAH — for vehicle insurance, and another 45 thousand UAH — for technical inspection and testing of automobiles.
Separately, the work plan includes funds for materials for road maintenance. Thus, 600 thousand UAH is allocated for the purchase of crushed stone, gravel, and sand, 300 thousand UAH for a cold bitumen-mineral mixture, 1,15 million UAH for bitumen emulsion, 170 thousand UAH for road salt, and another 300 thousand UAH for sand for spreading on roads.
In addition, the document mentions expenses for waste disposal and waste management (650 thousand UAH), payment for electricity (240 thousand UAH), water supply and sewage (12 thousand UAH), as well as the purchase of household goods, work clothing, gloves, cement, and chemical products.

