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1984-11-19 RGMAGE NDA TOWN BOARD TOWN OF WAPPINGER BIMONTHLY MEETING NOVEMBER 19, 1984 1. SUPERVISOR CALL MEETING TO ORDER 2. ROLL CALL PLEDGE ALLEGIANCE TO FLAG 3. ACCEPT MINUTES Nov. 5, 1984 reg. 4. REPORTS OF OFFICERS: Town Justices Hydrant iSjettap 5. PETITIONS & COMMUNICATIONS a. N.Y.S. Commission on Cablevision re: applications for determination of CATV rates b. Bernard Roe, Deputy Sec't Treas, New Hackensack Fire Dist. requests permission to use 2 voting machines for Dec. llth c. Mr. T. Russell & Ms. L. Skjellerup re: Montclair Townhouse- Washer/Dryer problems d. P. Farnsworth, Zng. Adm., suggestion for sale price of Zoning maps. e. Memo of intent from Ms. Crosby, Compt. f. 2 Article 78's served on Town - DWS & WVC on Sewer Benefit Assessments `3-.3vhn KrQQ c ec:¢.i x.e i'cW teki1si,,k) 'Dn.°,!AA 1r+�v‘ce_ h• vI 11 rte.. �t,pirT %�� VjA a,ruie�, reC.a� c Luc)( (,1A.(' (esAei ✓ 6. COMMITTEE REPORTS 7. RESOLUTIONS a. Adoption of the 1985 Town Budget b. Authorization to levy CWWIA repairjexpenditure on Tax Bill yLLazti„ 8. UNFINISHED BUSINESS a. Report from Attorney on Bond/Letter of Credit for Shelburne Subdivision Sect. I road b. Report from Engineer re: Hearing Notice - U.S. Corp of Eng permit for Tri -Municipal. 9. NEW BUSINESS 10. ADJOURNMENT The Regular Bimonthly Meeting of the Town Board of the Town of Wappinger was held on November 19th, 1984 at the Town Hall, Mill Street, Wappingers Falls, New York. Supervisor Versace opened the Meeting at 8:17 P.M. Present: Frank Versace, Supervisor Renata Ballard, Councilwoman Joseph Incoronato, Councilman Gerard McCluskey, Councilman Irene Paino, Councilwoman Elaine H. Snowden, Town Clerk Others Present: Bernard Kessler, Attorney Ronald Evangelista, Engineer Kenneth Croshier, Highway Superintendent The Meeting started with the Pledge of Allegiance to the Flag. The Minutes of the Regular Bimonthly Meeting of November 5, 1984 having previously been forwarded to all Board Members, were now placed before them for their consideration. MRS. PAINO moved that the Minutes of November 5th, 1984, be and they are hereby approved, as submitted by the Town Clerk. Seconded by Mrs. Ballard Motion Unanimously Carried Reports for the month of October were received from the Town Justices, Receiver of Taxes, Hydrant Report and Building Inspector for October and November. MRS. PAINO moved to accept these reports and place them on file. Seconded by Mrs. Ballard Motion Unanimously Carried A communication was received from the New York State Commission on Cablevision regarding applications of U.S. Cablevision Corpor- ation and the Town of Wappinger for determination of cable rates. It appears that the State, at this time, has not yet approved the latest cable franchise agreement. They have offered several avenues of relief regarding the requested rate increase by U. S. Cablevision. The Attorney briefly discussed the situation with the Board and recommended that they respond to the Commission with regard to the procedure they wish to pursue. MR. VERSACE moved to authorize the Attorney to respond -to the communication from New York State Commission on Cablevision dated November 1, 1984 regarding the application for determina- tion of rates. Seconded by Mr. McCluskey Motion Unanimously Carried Bernard Roe, Deputy Secretary/Treasurer of the New Hackensack Fire District wrote to the Board requesting the use of two of the Town's voting machines for their election on December 11, 1984, for the office of District Commissioner. MR. MCCLUSKEY moved to grant permission to the New Hackensack Fire District to use two Town voting machines for their election on December 11, 1984. Seconded by Mrs. Ballard Motion Unanimously Carried Two tenants at Montclair Town House wrote to the Town Board regarding the lack of a washer/dryer in their apartment. They were seeking consideration by the Board to intervene in this matter. Mr. Versace explained that this complaint was between the manage- ment of Montclair and the tenants; the Town could not intervene in a private matter. MR. VERSACE moved to receive this communication, place it on file and reply to Mr. Russell and Ms. Skjellerup that the Town has no jurisdiction in a matter between tenant and management. Seconded by Mrs. Paino Motion Unanimously Carried A memo was received from Mrs. Farnsworth, Zoning Administrator, recommending that the Town Board set a price of $5.00 each on the small zoning maps with current lot lines and zoning districts. Mrs. Farnsworth had previously been authorized to have these maps printed by the Dutchess County Department of Planning. MR. VERSACE moved to set a price of $5.00 per map as recommended by the Zoning Administrator. Seconded by Mrs. Paino Motion Unanimously Carried 3 A Memo of Intent was received from Mrs. Crosby, indicating that she intends to submit her resignation as Comptroller on December 1st, 1984, effective December 31st, 1984. By notifying the Board at an early date, of her intent to resign, it would give them sufficient time to appoint another Comptroller to fill out the remainder of her term which will expire December 31st, 1985. MR. VERSACE moved to accept Mrs. Crosby's Memo of Intent to resign with regret. Seconded by Mr. Incoronato Motion Unanimously Carried It was Mr. Versace's intent to recommend the appointment of Ann Garrison (present bookkeeper) as Comptroller for the Town at the Reorganizational Meeting of 1985. Since he had been previously informed of Mrs. Crosby's intent to resign, he had interviewed a bookkeeper to replace Mrs. Garrison and recommended that she commence her duties on December 1st, 1984 in order to familiarize herself with the duties of this position. MR. VERSACE moved to appoint Joyce Benedetto as Bookkeeper, commencing December 1st, 1984 at an annual salary of $12,000, to be prorated for one month. Seconded by Mrs. Paino Motion Unanimously Carried Two Article 78's were served on the Town Clerk by DWS New York Holding, Inc. and WVC Realty Corp. on sewer benefit assessments. MR. MCCLUSKEY moved to refer these Article 78's to the Attorney to the Town to defend on behalf of the Town of Wappinger. Seconded by Mrs. Paino Motion Unanimously Carried Mr. John Kelly, 9 Peel Lane wrote to the Board expressing his concerns on snow removal in his development during the coming winter season. This road is actually an extension of Peel Lane and has not, at this time, been accepted as a Town Road. Mr. Otto Klassen, builder of this subdivision has been plowing the road for the last two years but because of the late hour that he clears the road, it has been very inconvenient for Mr. Kelly to leave the area at an early hour. Mrs. Ballard reported that she had contacted Mr. Klassen and he assured her he would make every effort to remove the snow at an earlier time. MRS. BALLARD moved that a letter be directed to Mr. Kelly informing him that Mr. Klassen will take prompt action to clear the extension of Peel Lane of snow this winter season. Seconded by Mrs. Paino. Motion Unanimously Carried A report was received from the Engineer explaining his reasons for rejection of the plot plan for Lot 2 on Myers Corners Road submitted by Clinton Lucas. MR. VERSACE moved to receive this correspondence and place it on file. Seconded by Mrs. Paino Motion Unanimously Carried Notice of a Public Hearing was received from the Town of East Fishkill regarding amendments to their Zoning Ordinance. MR. VERSACE moved to receive this Notice of Public Hearing and place it on file. Seconded by Mrs. Ballard Motion Unanimously Carried Committee Reports ---- Mrs. Ballard, Election Committee, reported that the new Polling Places designated by the Town this year worked out very well on Election Day. There were no problems aside from a_few residents who did not remember the changes, but on the whole, both the residents and the Election Inspectors were satisfied with the new locations. MRS. BALLARD moved to request the Town Clerk to send letters to these Polling Places thanking them for the use of their facilities. Seconded by Mr. Incoronato Motion Unanimously Carried Due to the large number of voters in Ward 4, District 3, Mrs. Ballard recommended that this district be split up and intended to contact the Board of Elections after the first of the year. Mr. Nicholas Johnson was recognized by the Chair and recommended that this change be forwarded to the Board of Elections prior to January 5th, 1984, since it was his belief that this date was the deadline to make the recommended changes. Mrs. Paino, Landfill Committee, thanked Mr. Croshier and the Highway Department for a job well done on the recent Fall Pickup. Her next report related to a proposed local law relating to the designation of certain residences within the Town as a "Safe House". She briefly explained the term "safe house" which pertained to the designation of certain residences in the Town as a refuge for children who are not in the vicinity of their own home and feel they are in danger. Copies of the proposed law had been distributed to the Town Board, the Town Clerk, the Attorney and the news media for their review. After the Attorney and the Town Board have had the opportunity to review this law, a work session would be set up for further discussion. On a related matter, Mrs. Paino reported that she had received a petition from concerned residents of the Town for increased patrols on the Town roads. MRS. PAINO moved to request the Town Clerk to forward letters to the Dutchess County Sheriff, with a copy to the Dutchess County Executive and the New York State Police respectfully requesting their departments to put additional patrols on the Town roads and the surrounding areas, due to concerns of the Town Board on increased incidents of crime and express their thanks for the continuing valuable services of these agencies to the residents of the Town. Seconded by Mr.. Incoronato Motion Unanimously Carried Complaints had been received in the Supervisor's office concerning the problems of motorists making left hand turns on to Route 9 from Old Hopewell Road in both easterly and westerly directions. MR. VERSACE moved to request the New York State Department of Transportation to install additional signals on the traffic light at Route 9 and Old Hopewell Road to enable left turns on to Route 9 from both the easterly and westerly sides of Old Hopewell Road. Seconded by Mrs. Paino Motion Unanimously Carried Mr. Hirkala was recognized by the Chair and expressed concern on the condition of the shoulders on the westerly side of Old Hopewell Road at the intersection of Route 9. It also appeared that the same situation existed at the intersection of Route 9 and Middlebush Road. MR. VERSACE moved to direct a letter to the Dutchess County Department of Public Works requesting that they repair the shoulders on the westerly side of Old Hopewell Road at the intersection of Route 9 (traffic heading in southerly direction) and the westerly side of Middlebush Road at the intersection of Route 9, since this condition is hindering the movement of the southerly stacking lane. Seconded by Mrs. Ballard Motion Unanimously Carried Mr. Incoronato referred to recent decisions made by the Zoning Board of Appeals allowing multiple commercial uses on New Hackensack Road and also Route 9, which, in his opinion were illegal inter- pretations of Section 422 of the Zoning Ordinance. He expressed concern that although this section clearly defines that only a single principle use is allowed for commercial parcels and lists the permitted ones, the Zoning Board permitted the multiple uses in these instances. The Town Board is aware that the Zoning Ordinance needs an overhauling, however, the present laws should be adhered to by all agencies of the Town. The Attorney concurred with Mr. Incoronato's interpretation of Section 422 of the Zoning Ordinance. MR. INCORONATO moved to notify the Zoning Board of Appeals that the Town Board and the Attorney to the Town takes the official position that their recent decisions allowing multiple commercial uses on these two parcels have been illegal interpretations of Section 422 of the Zoning Ordinance. Seconded by Mrs. Paino Motion Unanimously Carried A Public Hearing having been held by the Town Board on the 1985 Preliminary Budget and Federal Revenue Sharing Budget on October 29th, 1984, the matter was now placed before them for their consideration. Prefacing the adoption of the budget, Mr. Versace announced that the amount to be raised by taxes will be reduced due to an increase in the estimated mortgage tax from Dutchess County. The following resolution was offered by SUPERVISOR VERSACE who moved its adoption: WHEREAS, this Town Board has met at the time and place specified in the notice of Public Hearing on the Preliminary Budget and heard all persons desiring to be heard thereon; NOW, THEREFORE, BE IT RESOLVED, that this Town Board does hereby adopt such Preliminary Budget as compiled, as the Annual Budget of this Town for the fiscal year beginning on the 1st day of January 1985, and that such Budget as so adopted be entered in detail in the minutes of the proceedings of this Town Board, and be it FURTHER RESOLVED, that the Town Clerk of the Town of Wappinger shall prepare and certify, in duplicate, copies of said Annual Budget, as adopted by this Town Board, together with the Federal Revenue Sharing Funds Budget, and deliver two copies thereof to the Supervisor of the Town of Wappinger to be presented by him to the County Board of Legislators of Dutchess County. Seconded by: Councilwoman Ballard Roll Call Vote: 4 Ayes Mrs. Paino---Nay Mrs. Paino's objection was based on two concerns ---one, some of the employees were not receiving even a cost of living raise, and secondly she questioned the number of line items on the Federal Revenue Sharing Funds. It was her understanding that these funds would not be received after October 1986 and if this proves to be true, our future tax rate will be drastically affected. The following resolution was offered by SUPERVISOR VERSACE who moved its adoption: RESOLVED, the sum of $1,510.40 be and is authorized to be levied on the Town of Wappinger property Grid #19-6357-01-082881 assessed to John H. Ricci, All Angels Hill Road, Wappingers Falls, New York, 12590, collection February, 1985, - such sum being the amount of expenditures incurred by CWWIA for repair of lines and reimbursable to the Town. Seconded by: Councilman Incoronato Roll Call Vote: 5 Ayes 0 Nays (Note: This damage was as a result of Mr. Ricci's request to become a tenant to the district. His contractor filled the sewer lines with stone). The following resolution was offered by COUNCILWOMAN PAINO who moved its adoption: RESOLVED, the sum of $47.36 be and is hereby approved for payment to Mr. & Mrs. P. Vigna, 9 Pippin Lane, Wappingers Falls, Grid #19-6258-04-551125, such sum being a refund of charges incurred due to a sewer line back-up where the Town was at fault, and to be paid from account SS#3-Rockingham Farms Sewer Operation & Maintenance. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays The following resolution was offered by COUNCILWOMAN PAINO who moved its adoption: RESOLVED, the sum of $548.38 be and is hereby approved for refund of retainage fee, of Upper Hunter Creek Stream Cleaning, to Wilson Excavators, from Capital Fund, Hunters Creek. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays The following proposed Local Law was introduced by SUPERVISOR VERSACE: A Local Law Amending Local Law No. 7 of 1981 and Local Law No. 8 of 1980 Relating to the Imposition and Charge for Water Rates for the Consumption and Use of Water for the Fleetwood Water District. BE IT ENACTED, by the Town Board of the Town of Wappinger, Dutchess County, New York, as follows: Section 1. Section 2 of Local Law No. 7 of the year 1981 is to be amended as set forth hereinbelow. Section 2. The owner shall be obligated to pay the minimum charge of $37.00 each quarter, regardless of the consumption of water for said quarter, provided said owner is connected to the system at any time during the quarter, said rate to commence with the second district fiscal quarter of the year 1985. Section 3. This local law shall take effect upon adoption and as provided by the Municipal Home Rule Law. The following resolution was offered by SUPERVISOR VERSACE who moved its adoption: WHEREAS, there has been duly presented and introduced at a meeting of this Town Board on the 19th day of November, 1984, a proposed Local Law Relating to the Imposition and Charge for Water Rates for the Consumption and Use of Water for the Fleetwood Water District and, WHEREAS, the provisions of the Municipal Home Rule Law requires that no local law shall be passed by the Legislative Body of the Town until a Public Hearing thereon has been held before such body, NOW, THEREFORE BE IT RESOLVED, 1. That a Public Hearing shall be held on the said proposed Local Law by the Town Board of the Town of Wappinger on the 6th day of December 1984 at 7:00 P.M. on such day at the Town Hall, Mill Street, Wappingers Falls, New York. 2. That at least five (5) days notice of such hearing shall be given by the Town Clerk of the Town of Wappinger by due posting thereof upon the bulletin board maintained by said Town Clerk in the Town Hall and by publishing such notice at least once in the official newspaper of the Town of Wappinger. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays The following proposed Local Law was introduced by SUPERVISOR VERSACE: A Local Law of the Year 1984 Amending Local Law No. 1 of 1981 with Respect to Minimum Charges for Consumption of Water for Fleetwood Sewer District. BE IT ENACTED, by the Town Board of the Town of Wappinger, Dutchess County, New York, as follows: Section 1. Effective the second district fiscal quarter of the year 1985, the following rates shall be charged: the owner shall be obligated to pay the minimum charge of $47.00 per quarter, regardless of the consumption of water for said quarter, provided said owner is connected to the system at any time during the quarter. Section 2. All other provisions of Local Law No. 1 of the year 1981 are hereby ratified, with the exception of Section 1 subdivision B which this local law hereby amends and which refers to the minimum charges for consumption of water. Section 3. This local law shall take effect upon adoption and as provided by Municipal Home Rule Law. The following resolution was offered by SUPERVISOR VERSACE who moved its adoption: WHEREAS, there has been duly presented and introduced at a meeting of this Town Board on the 19th day of November, 1984 a proposed Local Law with Respect to Minimum Charges for Consumption of Water for Fleetwood Sewer District, and WHEREAS, the provisions of the Municipal Home Rule Law requires that no local law shall be passed by the Legislative Body of the Town until a Public Hearing thereon has been held before such body, NOW, THEREFORE, BE IT RESOLVED, 1. That a Public Hearing shall be held on the said proposed Local Law by the Town Board of the Town of Wappinger on the 6th day of December, 1984 at 7:15 P.M. on such day at the Town Hall, Mill Street, Wappingers Falls, New York. 2. That at least five (5) days notice of such hearing shall be given by the Town Clerk of the Town of Wappinger by the due posting thereof upon the bulletin board maintained by said Town Clerk in the Town Hall and by publishing such notice at least once in the official newspaper of the Town of Wappinger. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays The following proposed Local Law was introduced by SUPERVISOR VERSACE: A Local Law Amending Local Law No. 7 of 1980 with Respect to the Imposition and Charge for Water Rates for the Consumption and Use of Water for the Oakwood Water District. BE IT ENACTED, by the Town Board of the Town of Wappinger, Dutchess County, New York, as follows: Section 1. Effective the second district fiscal quarter of the year 1985, the following rates shall be charged: the owner shall be obligated to pay the minimum charge of $55.00 per quarter, regardless of the consumption of water for said quarter, provided said owner is connected to the system at any time during the quarter. Section 2. All other provisions of Local Law No. 7 of the year 1980 are hereby ratified, with the exception of Section 1 subdivision B which this local law hereby amends and which refers to the minimum charges for consumption of water. Section 3. This local law shall take effect upon adoption and as provided by the Municipal Home Rule Law. The following resolution was offered by SUPERVISOR VERSACE who moved its adoption: WHEREAS, there has been duly presented and introduced at a meeting of this Town Board on the 19th day of November, 1984 a proposed Local Law with Respect to the Imposition and Charge for Water Rates for the Consumption and Use of Water for the Oakwood Water District, and WHEREAS, the provisions of the Municipal Home Rule Law- requires that no locallawshall be passed by the Legislative Body of the Town until a Public Hearing thereon has been held before such body, NOW, THEREFORE BE IT RESOLVED, 1. That a Public Hearing shall be held on the said proposed Local Law by the Town Board of the Town of Wappinger on the 6th day of December, 1984 at 7:30 P.M. on such day at the Town Hall, Mill Street, Wappingers Falls, New York. 2. That at least five (5) days notice of such hearing shall be given by the Town Clerk of the Town of Wappinger by the due posting thereof upon the bulletin board maintained by said Town Clerk in the Town Hall and by publishing such notice at least once in the official newspaper of the Town of Wappinger. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays The following proposed Local Law was introduced by SUPERVISOR VERSACE: A Local Law of the Year 1984 Establishing Water Rates for Central Wappinger Water Improvement Area. BE IT ENACTED, by the Town Board of the Town of Wappinger, Dutchess County, New York, as follows: Section 1. Any and all prior local laws establishing water rates for the Central Wappinger Water Improvement Area with respect to residential uses is hereby repealed only with respect to water rates and the prior laws are otherwise confirmed. Section 2. The following water rates are hereby established for the Central Wappinger Water Improvement Area: A: Residential (1) Now all metered - $15.00 per quarter for all users up to and including 2,500 cubic feet of water. (2) In the event uses exceed 2,500 cubic feet, the charge shall be .50per 100 cubic feet. Section 2. This local law shall take effect upon adoption and as provided by the Municipal Home Rule Law. The following resolution was offered by SUPERVISOR VERSACE who moved its adoption: WHEREAS, there has been duly presented and introduced at a meeting of this Town Board on the 19th day of November 1984, a proposed Local Law Establishing Water Rates for Central Wappinger Water Improvement Area, and WHEREAS, the provisions of the Municipal Home Rule Law requires that no local law shall be passed by the Legislative Body of the Town until a Public Hearing thereon has been held before such body, NOW, THEREFORE BE IT RESOLVED, 1. That a Public Hearing shall be held on the said proposed Local Law by the Town Board of the Town of Wappinger on the 6th day of December, 1984 at 7:45 P.M. on such day at the Town Hall, Mill Street, Wappingers Falls, New York. 2. That at least five (5) days notice of such hearing shall be given by the Town Clerk of the Town of Wappinger by the due posting thereof upon the bulletin board maintained by said Town Clerk in the Town Hall and by publishing such notice at least once in the official newspaper of the Town of Wappinger. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays The following proposed Local Law was introduced by SUPERVISOR VERSACE: A Local Law of the Year 1984 Amending Local Law No. 5 of the Year 1975 which Increases Commercial Rates for Central Wappinger Water Improvement Area. BE IT ENACTED, by the Town Board of the Town of Wappinger, Dutchess County, New York, as follows: Section 1. Effective the second district fiscal quarter of the year 1985, the following commercial water rates are hereby established for the Central Wappinger Water Improvement Area: .604/100 cubic feet .45/100 cubic feet .404/100 cubic feet 0-750,000 gallons 750,001 to 2,250,000 gallons 2,250,001 up gallons Section 2. There shall be a minimum charge, however, of $600.00 per quarter for any user falling within the above mentioned usages. Section 3. This local law shall take effect upon adoption and as provided in the Municipal Home Rule Law. The following resolution was offered by SUPERVISOR VERSACE who moved its adoption: WHEREAS, there has been duly presented and introduced at a meeting of this Town Board on the 19th day of November, 1984, a proposed Local Law Which Increases Commercial Rates for Central Wappinger Water Improvement Area, and WHEREAS, the provisions of the Municipal Home Rule Law requires that no local law shall be passed by the Legislative Body of the Town until a Public Hearing thereon has been held before such body, NOW, THEREFORE BE IT RESOLVED, 1. That a Public Hearing shall be held on the said proposed Local Law by the Town Board of the Town of Wappinger on the 6th day of December, 1984 at 7:45 P.M. on such day at the Town Hall, Mill Street, Wappingers Falls, New York. 2. That at least five (5) days notice of such hearing shall be given by the Town Clerk of the Town of Wappinger by the due posting thereof upon the bulletin board maintained by said Town Clerk in the Town Hall and by publishing such notice at least once in the official newspaper of the Town of Wappinger. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays The following proposed Local Law was introduced by SUPERVISOR VERSACE: A Local Law of the Year 1984 Amending Local Law No. 9 of the Year 1980 and Local Law No. 1 of the Year 1982 Relating to the Imposition and Charge for Water Rates for the Consumption and Use of Water for the Tall Trees Water District. BE IT ENACTED, by the Town Board of the Town of Wappinger, Dutchess County, New York, as follows: Section 1. Local Law No. 1 of the year 1982 is amended by deleting subdivision C and D of Section 1 thereof, and by deleting Section 2 thereof. Section 2. Section 1, subdivision C shall now read as follows: effective the second district fiscal quarter of the year 1985, the following rates shall be charged for the consumption of water for those fee owners connected to the system: the sum of $49.00 for each quarter. Section 3. This local law shall take effectupon adoption and as provided by the Municipal Home Rule Law. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays The following resolution was offered by SUPERVISOR VERSACE who moved its adoption: WHEREAS, there has been duly presented and introduced at a meeting of this Town Board on the 19th day of November, 1984, a proposed Local Law Relating to the Imposition and Charge for Water Rates for the Consumption and use of Water for the Tall Trees Water District, and WHEREAS, the provisions of the Municipal Home Rule Law requires that no local law shall be passed by the Legislative Body of the Town until a Public Hearing thereon has been held before such body, NOW, THEREFORE BE IT RESOLVED, 1. That a Public Hearing shall be held on the said proposed Local Law by the Town Board of the Town of Wappinger on the 6th day of December, 1984 at 8:00 P.M. on such day at the Town Hall, Mill Street, Wappingers Falls, New York. 2. That at least five (5) days notice of such hearing shall be given by the Town Clerk of the Town of Wappinger by the due posting thereof upon the bulletin board maintained by said Town Clerk in the Town Hall and by publishing such notice at least once in the official newspaper of the Town of Wappinger. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays T he following proposed Local Law was introduced by SUPERVISOR VERSACE: A Local Law of the Year 1984 Amending All Prior Local Laws with Respect to the Minimum Charges for the Consumption of Water in the Ardmore Water District. BE IT ENACTED, by the Town Board of the Town of Wappinger, Dutchess County, New York, as follows: Section 1. Effective the second district fiscal quarter of the year 1985, the owner shall be obligated to pay the minimum charge of $21.50 each quarter up to and including 2,500 cubic feet of water. In the event the consumption of water exceeds 2,500 cubic feet, the charge shall be .50 for each 100 cubic feet of water consumption. Section 2. Subdivision B of Section 1 concerning the minimum charges of any prior law is hereby repealed and is to be in conformity with the aforementioned. All other provisions of prior laws concerning water charges shall remain in full force and effect. Section 3. This local law. shall take effect upon adoption and as provided in the Municipal Home Rule Law. The following resolution was offered by SUPERVISOR VERSACE who moved its adoption: WHEREAS, there has been duly presented and introduced at a meeting of this Town Board on the 19th day of November, 1984, a proposed Local Law with Respect to the Minimum Charges for the Consumption of Water in the Ardmore Water District, and WHEREAS, the provisions of the Municipal Home Rule Law requires that no local law shall be passed by the Legislative Body of the Town until a Public Hearing thereon has been held before such body, NOW, THEREFORE BE IT RESOLVED, 1. That a Public Hearing shall be held on the said proposed Local Law by the Town Board of the Town of Wappinger on the 6th day of December, 1984 at 8:15 P.M. on such day at the Town Hall, Mill Street, Wappingers Falls, New York. 2. That at least five (5) days notice of such hearing shall be given by the Town Clerk of the Town of Wappinger by the due posting thereof upon the bulletin board maintained by said Town Clerk in the Town Hall and by publishing such notice at least once in the official newspaper of the Town of Wappinger. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays The following proposed Local Law was introduced by SUPERVISOR VERSACE: A Local Law of the Year 1984 Providing Within the Ardmore Water District. BE IT ENACTED by the Town Board of Dutchess County, New York, as follows: for Credits the Town of to Customers Wappinger, Section 1. Each unit billed within the Ardmore Water District shall receive for each billing quarter during 1985 a credit of $21.50, such rate being the minimum rate in effect commencing the second fiscal district quarter for the year 1985. Second 2. This Local Law shall become effective immediately upon adoption and as provided by the Municipal Home Rule Law. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays The following resolution was offered by SUPERVISOR VERSACE who moved its adoption: WHEREAS, there has been duly presented and introduced at a meeting of this Town Board on the 19th day of November, 1984, a proposed Local Law Providing for Credits to Customers Within the Ardmore Water District, and WHEREAS, the provisions of the Municipal Home Rule Law requires that no local law shall be passed by the Legislative Body of theTown until a Public Hearing thereon has been held before such body, NOW, THEREFORE BE IT RESOLVED, 1. That a Public Hearing shall betheld on the said proposed Local Law by the Town Board of the Town of Wappinger on the 6th day of December, 1984, at 8:15 P.M. on such day at the Town Hall, Mill Street, Wappingers Falls, New York. 2. That at least five (5) days notice of such hearing shall be given by the Town Clerk of the Town of Wappinger by the due posting thereof upon the bulletin board maintained by said Town Clerk in the Town Hall and by publishing such notice at least once in the official newspaper of the Town of Wappinger. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays The following proposed Local Law was introduced by SUPERVISOR VERSACE: A Local Law of the Year 1984 Repealing Any and All Local Laws Relating to the Alleged Water Rate Charges for the Consumption of Water for the. Rockingham Sewer District, Now to be Known as a Local Law Relating to the Charge and Collection of Sewer Rates for the Rockingham Farms Sewer District. BE IT ENACTED, by the Town Board of the Town of Wappinger, Dutchess County, New York, as follows: Section 1. Any prior local laws relating to the charge of water rates for the consumption and use of water for the Rockingham Sewer District is hereby repealed, only with respect to water rates and the prior laws are otherwise confirmed. Section 2. Effective the second district fiscal quarter of the year 1985, the following rates shall be charged for sewer service for those connected to the Rockingham Farms sewer district: A. Residential (1) For each residential unit connected to the system the sum of $160.00 annually and payable on a quarterly basis. Section 3. This local law shall take effect upon adoption and as provided in the Municipal Home Rule Law. The following resolution was offered by ffUPERVISOR VERSACE who moved its adoption: WHEREAS, there has been duly presented and introduced at a meeting of this Town Board on the 19th day of November,A1984, a proposed Local Law Relating to the Charge and Collection of Sewer Rates for the Rockingham Farms Sewer District, and WHEREAS, the provisions of the Municipal Home Rule Law requires that no local law shall be passed by the Legislative Body of the Town until a Public Hearing thereon has been held before such body, NOW, THEREFORE BE IT RESOLVED, 1. That a Public Hearing shall be held on the said proposed Local Law by the Town Board of the Town of Wappinger on the 6th day of December, 1984 at 8:30 P.M. on such day at the Town Hall, Mill Street, Wappingers Falls, New York. 2. That at least five (5) days notice of such hearing shall be given by the Town Clerk of the Town of Wappinger by the due posting thereof upon the bulletin board maintained by said Town Clerk in the Town Hall and by publishing such notice at least once in the official newspaper of the Town of Wappinger. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays The following proposed Local Law was introduced by SUPERVISOR VERSACE: A Local Law of the Year 1984 Amending All Prior Local Laws Relating to the Imposition Charge and Collection of Water Rates for the Consumption and Use of Water for the Mid -Point Park Sewer District. BE IT ENACTED, by the Town Board of the Town of Wappinger, Dutchess County, New York, as follows: Section 1. Effective the second district fiscal quarter of the year 1985, the fee owner of property connected to the system shall be obligated to pay the minimum charge of $62.00 each quarter, regardless of the consumption of water during said period of time, provided the said fee owner is connected to the system at any time during the said quarter. Section 2. This local law shall take effect upon adoption and as provided by Municipal Home Rule Law. The following resolution was offered by SUPERVISOR VERSACE who moved its adoption: WHEREAS, there has been duly presented and introduced at a meeting of this Town Board on the 19th day of November, 1984, a proposed Local Law Relating to the Imposition Charge and Collection of Water Rates for the Consumption and Use of Water for the Mid -Point Park Sewer District and, WHEREAS, the provisions of the Municipal Home Rule Law requires that no local law shall be passed by the Legislative Body of the Town until a Public Hearing thereon has been held before such body, NOW, THEREFORE BE IT RESOLVED, 1. That a Public Hearingshall be held on the said proposed Local Law by the Town Board of the Town of Wappinger on the 6th day of December, 1984, at 8:45 P.M. on such day at the Town Hall, Mill Street, Wappingers Falls, New York. 2. That at least five (5) days notice of such hearing shall be given by the Town Clerk of the Town of Wappinger by the due posting thereof upon the bulletin board maintained by said Town Clerk in the Town Hall and by publishing such notice at least once in the official newspaper of the Town of Wappinger. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays The following proposed Local Law was introduced by SUPERVISOR VERSACE: A Local Law of the Year 1984 For Repealing Local Law No. 1 of the Year 1983 and to Provide for the Establishment of Sewer Rates for the Wildwood Sewer District. BE IT ENACTED, by the Town Board of Dutchess County, New York, as follows: Section 1. Local Law No. 1 of the repealed. Section 2. rates shall be located within the Town of Wappinger, year 1983 is hereby Effective January 1, 1985, the following charged for sewer service to those customers the Wildwood Sewer District. A: Residential (1) Residential unit connected to the system: $148.00 annually and payable on a quarterly basis. Section 3. This local law shall take effect upon adoption and as provided by Municipal Home Rule Law. The following resolution was offered by SUPERVISOR VERSACE who moved its adoption: WHEREAS, there has been duly presented and introduced at a meeting of this Town Board on the 19th day of November, 1984, a proposed Local Law for Repealing Local Law No. 1 of the Year 1983 and to Provide for the Establishment of Sewer Rates for the Wildwood Sewer District and, WHEREAS, the provisions of the Municipal Home Rule Law requires that no local law shall be passed by the Legislative Body of the Town until a Public Hearing thereon has been held before such body, NOW, THEREFORE BE IT RESOLVED, 1. That a Public Hearing shall be held on the said proposed Local Law by the Town Board of the Town of Wappinger on the 6th day of December, 1984 at 9:00 P.M. on such day at the Town Hall, Mill Street, Wappingers Falls, New York. 2. That at least five (5) days notice of such hearing shall be given by the Town Clerk of the Town of Wappinger by the due posting thereof upon the bulletin board maintained by said Town Clerk in the Town Hall and by publishing such notice at least once in the official newspaper of the Town of Wappinger. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays The following proposed Local Law was introduced by SUPERVISOR VERSACE: A Local Law of Year 1984 Amending Local Law No. 4 of the. Year 1975 Establishing the Rates for Wappinger Sewer Improvement #1 BE IT ENACTED, by the Town Board of the Town of Wappinger, Dutchess County, New York, as follows: Section 1. Effective the second fiscal district quarter of the year 1985, the following rates shall be charged for sewer service to those lines that are connected to the Wappinger Sewer Improvement #1 facilities: A: Residential (1) For each residential unit connected to the system $76.00 annually payable on a quarterly basis. B: Commercial, Industrial, Institutional (1) For each benefit unit assigned to said premises: $76.00 annually payable on a quarterly basis. Section 2. This local law shall take effect upon adoption and as provided in the Municipal Home Rule Law. The following resolution was offered by SUPERVISOR VERSACE who moved its adoption: WHEREAS, there has been duly presented and introduced at a meeting of this Town Board on the 19th day of November, 1984, a proposed Local Law Amending Local Law No. 4 of the Year 1975 Establishing the Rates for Wappinger Sewer Improvement #1, and WHEREAS, the provisions of the Municipal Home Rule'Law requires that no local law shall be passed by the Legislative Body of the Town until a Public Hearing thereon has been held before such body, NOW, THEREFORE BE IT RESOLVED, 1. That a Public Hearing shall be held on the said proposed Local Law by the Town Board of the Town of Wappinger on the 6th day of December, 1984, at 9:15 P.M. on such day at the Town Hall, Mill'Street, Wappingers Falls, New York. 2. That at least five (5) days notice of such hearing shall be given by the Town Clerk of the Town of Wappinger by the due posting thereof upon the bulletin board maintained by said Town Clerk in the Town Hall and by publishing such notice at least once in the official newspaper of the Town of Wappinger. Seconded by: Councilwoman Ballard Roll Call Vote: 5 Ayes 0 Nays The following resolution was offered by COUNCILMAN INCORONATO who moved its adoption: WHEREAS, the Engineer to the Town makes recommendations for the posting of maintenance bonds and performance bonds of various developers in the Town of Wappinger, and WHEREAS, the Town Board has been requesting letters of credit to be posted by the various developers instead of performance and maintenance bonds, NOW, THEREFORE, BE IT RESOLVED, that in the future, letters of credit shall be required in the place of all maintenance and performance bonds, and all documents, papers and bids shall be conformed to show that letters of credit shall be utilized in the future in all such matters, which said letters of credit shall be approved in amount by the Engineer to the Town,and as to form and content by the Attorney to the Town. Seconded by: Councilwoman Paino Roll Call Vote: 5 Ayes 0 Nays At the last meeting Mr. Molloy of Granite Homes had submitted maintenance and performance bonds for the Shelburne Hills Subdivision, Section I. The Attorney had recommended that the Town request Letters of Credit rather than bonds since these monies would be available to the Town if the developer defaulted on his obligations. The matter was referred to the Attorney to request the, submission of a Letter of Credit from Granite Holmes. It appeared that Mx. Molloy was unable to provide the maximum amount required by the bank for the issuance of a Letter of Credit and since he could not submit this document to the Board he requested that they accept the bonds previously presented. The Attorney recognized the fact that it was a small project, the work was being completed and in this isolated case, it was his opinion that the Board should accept the bonds submitted by Mr. Molloy. MR. VERSACE moved to accept the bonds presented by Granite Homes, Inc. for the Shelburne Hills Subdivision, Section I, upon the recommendation of the Attorney. Seconded by Mrs. Paino Motion Unanimously Carried A Public Notice from the U. S. Army Corps of Engineers regarding the application from the Tri -Municipal Commission for a permit to construct a Sewage Treatment Facility had been received by the Town Board at the last meeting and referred to the Engineer for his review. Mr. Evangelista submitted his report to the Board and explained that his review was not a complete one since there had not been sufficient time to thoroughly investigate the items that might be of concern to the Board. The construction involved activity on three waterways ---the Hudson River, the Wappinger Lake and the Wappinger Creek. He pointed out that their concerns should be directed to the projects planned on the Wappinger Lake and the Wappinger Creek relating to environmental impact on the Town. It was his recommendation that the Town notify the U. S. Army Corps of Engineers that they desire to pursue these possible impacts further by requesting more information and an extension of the comment period. The deadline date for the receipt of all comments is November 23, 1984. MRS. PAINO moved to authorize Mr. Evangelista to respond to the U. S. Army Corps of Engineers regarding the Tri -Municipal Commission application and express the Town's concern on items outlined in his report. Seconded by Mrs. Ballard Motion Unanimously Carried At the last meeting the Board voted to direct the Building Department to discontinue the issuance of C.O's in the Carmel Heights Subdivision due to complaints of sewerage overflow on Sherwood Heights. Although the problem seemed to be under control, Kenneth Brown, a resident of Sherwood Heights was concerned that it might be repeated and appealed to the Board tohalt all building in that subdivision until the problem was resolved. Mr. Versace reported that the problem has been corrected and Mr. Segal has retained the services of Camo Pollution Control to inspect the pumping station on a weekly basis in order to avoid further occurrences of this nature. MR. VERSACE moved to direct the Building Department to reissue C.O's for the Carmel Heights Subdivision due to the resolution of the sewerage overflow by Mr. Segal. Seconded by Mrs. Ballard Motion Unanimously Carried The Town Clerk received a deed from Dr. and Mrs. Johnston to the Town of Wappinger which was a requirement by the Planning Board for subdivision approval. The Engineer reported that he had reviewed this deed and found it to be in order. The Attorney had also reviewed this deed and stated that it was in profer form and had also enclosed a Real Property Transfer Gains Tax Affidavit . MR. VERSACE moved to accept the deed upon the recommendation of the Attorney and the Engineer to the Town. Seconded by Mrs. Ballard Motion Unanimously Carried Mr. Andriello, Nancyaleen Drive, was recognized by the Chair and referred to work being done on the recreation area presently being developed on Spook Hill Road. Both he and his neighbor, Mr. O'Hara questioned the Board if it was a Town Policy to hold a public hearing so the area residents could be made aware of the activities planned in that vicinity. At this time they were seeking further information on the programs planned for that area which could add to the concerns they already had. Mr. Evangelista described the intended uses of the recreation area as outlined on the map and plan submitted by the developer and offered to address their further comments and questions at the conclusion of the meeting.' There was no other business to come before the Board. MR. INCORONATO moved to adjourn the meeting, seconded by Mr. McCluskey and unanimously carried. The Meeting adjourned at 9:35 P.M Reg. Mtg. 11/19/84 aibbUL Elaine H. Snowden Town Clerk AC 1258 (Rev, 19801 1983 TOWN BUDGET For 198= Town of in County of WAPPINGER DUTCHES S Villages Within or Partly Within Town Village of Village of WAPPINGERS FALLS CERTIFICATION OF TOWN CLERK 1, ("-.1t10 tit S)(1/1(. o {l , Town Clerk, certify that the following is a true and correct copy of the 1985- budget of the Town of ^ P r as adopted by the Town Board on the � T day of , %Q t14.JAA , 19 kci Doted ON a°, iqx4 Signed Town Clerk Ta. and S. NEWS DISPLAY ADVERTISING CLASSIFIED ADVERTISING 914 297-3723 84 EAST MAIN STREET—WAPPINGERS FALLS, NY 12590 AFFIDAVIT OF PUBLICATION State of New York, County of Dutchess, Town of Wappinger. Gisela Schmitz of the Town of Wappinger, Dutchess County, New York, being duly sworn, says that he is, and at the severall times hereinafter was,, the ....$QQk lPOpex of the W. & S.D. NEWS, a newspaper printed and published every Wednesday in the year in the Town of Wappinger, Dutchess County, New York, and that the annexed NOTICE was duly published in the said newspaper for OIIe weeks successively . OUCS, . in each week, commencing on the .210. day of?JPY . 19.8k . and on the following dates thereafter, namely on .and ending on the ... . day of... Noyamlaer 19.8k . both days inclusive. Subscribed and sworn to before me this . ?list day of.. NOY.. 19.84 Notary Public My commission expires ALBERT M. OSTEN NOTARY PUCLILe, STATE OF NEW YORK QJALIF1ER IN DOTr:HESS COtnny #14-8240760 COMMISSION EXPIRES MARCH 30, 19.'4 COD Z" ' FUND A GENERAL B GENERAL OUTSIDE VILLAGE DA HIGHWAY-TOWNWIDE DB • HIGHWAY -OUTSIDE VILLAGE CLL COMMUNITY DEVELOPMENT CF FEDERAL REVENUE SHARING L PUBLIC LIBRARY FUND ✓ DEBT SERVICE FUND S SPECIAL DISTRICTS (LIST EACH SEPARATELY) Hughsonville Fire District New Hackensack Fire District Chelsea Fire District Hughsonville Lighting District Che] -,a Lighting District Cam Lighting District Oakwood Water District Fleetwood Water District Tall Trees Water District CWW Water District Ardmore Water District Watch Hill Water District Mid Point Park Sewer District Fleetwood Sewer District Rockingham Sewer District Wildwood Sewer District Sewer Improvement #1 District Watch Hill Sewer District * SUB -TOTAL * S.R.F. Stop DWI S.R.F. Dog Control Schl -taus Memorial TOTAL SUMMARY OF TOWN BUDGET APPROPRIATIONS AND PROVISIONS FOR OTHER USES $ 861,671.00 435,909.00 1,129,883.00 320,400.00 136,885.00 253,183.00 36,744.00 19,008.00 7,841.00 775.00 20,075.00 35,895.00 26,269.00 538,069.00 55,291.00 24,300.00 64,276.00 62,674.00 155,516.00 120,875.00 634,680.00 6,951.00 4,947,170.00 4,186.00 15,450.00 3,000.00 54,969,806.00 LESS ESTIMATED REVENUES $ 424,762.00 272,306.00 86,196.00 148,004.00 800.00 7,700.00 -0- 650.00 400.00 100.00 17,735.00 31,410.00 21,435.00 185,675.00 3,000.00 21,300.00 48,324.00 50,774.00 155,516.00 60,228.00 160,740.00 -0- 1,697,055.00 4,250.00 13,750.00 6,200.00 81,721,255.00 LESS UNEXPENDED BALANCE AMOUNT TO BE RAISED BY TAXES $ 275,000.00 $ 161,909.00 -0- 150,000.00 172,396.00 - 0- 10,000.00 -0- 2,500.00 - 0- 50.00 - 0- - 0- - 0- 55,000.00 28,286.00 3,000.00 14,000.00 5,000.00 - 0- 33,000.00 100,000.00 - 0- 163,603.00 893,687.00 -0- 136,085.00 235,483.00 36,744.00 15,858.00 7,441.00 625.00 2,340.00 4,485.00 4,834.00 297,394.00 24,005.00 -0- 1,952.00 6,900.00 - 0- 27,647.00 373,940.00 6,951.00 848,232.00 2,401,883.00 - 0- -0- 5,000.00 - 0- - 0- -0- $ 853,232.00 $2,401,883.00 ACCOUNTS GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 1983 19 84 1985 19 85 1985 TOWN BOARD Personal Services A1010.1 Equipment A1010.2 Contractual Exp. A1010.4 TOTAL JUSTICES Personal Services A1110.1 Equipment A1110.2 Contractual Exp. A1110.4 TOTAL TRAFFIC VIOLATIONS BUREAU Personal Services :quipment Contractual Exp. TOTAL A1130.1 A1130.2 A1130.4 SUPERVISOR Personal Services A1220.1 Equipment A1220.2 Contractual Exp. A1220.4 TOTAL DIRECTOR OF FINANCE Personal Services A1310.1 Equipment A1310.2 Contractual Exp. A1310.4 TOTAL COMPTROLLER Personal Services A1315.1 51,146.00 53,280.00 67,000.00 62,800.00 62,800.00 Equipment A1315.2 -0- 900.00 -0- -0- -0- Contractual Exp. A1315.4 864.00 1,500.00 2,500.00 2,500.00 2,500.00 TOTAL 52,010.00 55,680.00 69,500.00 65,300.00 65,300.00 20,000.00 20,000.00 20,000.00 20,000.00 20,000.00 471.00 500.00 500.00 -0- -0- 20,471.00 20,500.00 20,500.00 20,000.00 20,000.00 35,500.00 37,647.00 44,235.00 40,335.00 40.335.00 870.00 -0- -0- -0- -0- 12,306.00 14,200.00 9,545.00 14,200.00 14,200.00 48,676.00 51,847.00 53,780.00 54,535.00 54,535.00 33,220.00 1,541.00 34,761.00 22,101.00 1,850.00 23,951.00 22,575.00 1,000.00 23,575.00 23,100.00 1,000.00 24,100.00 23,100.00 1,000.00 24,100.00 1 INDEPENDENT AUDITING AND ACCOUNTING 'ontractual Exp. A1320.4 15,675.00 7,875.00 AR COLLECTION ersonal Services A1330.1 uipment A1330.2 'ntractual Exp. A1330.4 TOTAL 9,500.00 9,500.00 20,037.00 17,830.00 20,800.00 20,800.00 20,8 00 1,076.00 21,113.00 3,525.00 21.355.0n 2 4,050.00 9a,a50.00 4,300.00 25,100.00 4,300.00 25,100.00 7 1{ !; ACCOUNTS . GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 19 83 19 84 19 85 19 85 1985 BUDGET Personal Services A1340.1 Equipment A1340.2 contractual Exp. A1340.4 TOTAL • PURCHASING Personal Services A1345.1 Equipment A1345.2 Contractual Exp. A1345.4 TOTAL ASSESSORS Personal Services A1355.1 48,060.00 46,350.00 62,500.00 58,900.00 58,900.00 Equipment A1355.2 -0- 500.00 -0- -0- _0_ Contractual Exp. A1355.4 9,801.00 7,000.0 10,000.00 11,800.00 11,800.00 TOTAL 57,861.00 53.850.00 /2,500.00 iu,/uu.uu 70,700.00 ILeeWmen t Bd. OFA 13 55.45 1,250.00 1,750.00 1,750.00 1,750.00 1,750.00 COUPON FEES A1380.4 543.00 1,300.00 TOWN CLERIC Personal Services A1410.1 47,855.00 52,472.00 58,500.00 51,893.00 51,893.00 Equipment A1410.2 172.00 -0- -0.- 20-- -0- Contractual 0 _0_Contractual Exp. A1410.4 824.00 1,000.00 1,000.00 1,000.0u _ 1,000.00 TOTAL 48,851.00 53,472.00 59,500.00 52,89i.uU 5, Ral no i ATTORNEY Personal Services A1420.1 Equipment A1420.2 Contractual Exp. A1420.4 TOTAL PERSONNEL Personal Services A1430.1 Equipment A1430.2 Contractual Exp. A1430.4 TOTAL ENGINEER P onal Services E pment C ractual Exp. TOTAL 14,035.00 14,035.00 A1440.1 A1440.2 , A1444.4 8,922.00 8,922.00 3 10,000.00 10,000.00 5,000.00 5,000.00 5,000.00 5,000.00 5,000.00 5,000.00 5,000.00 5,000.00 5,000.00 5,000.00 5,000.00 aLnno.o0 5,000.00 S nnn_nn GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 83 1984 1985 19 85 1985 ELECTIONS i, Personal Services A1450.1 10,868.00 16,000.00 18,000.00 16,000.00 16,000.00 `'quipment A1450.2 Contractual Exp. A1450.4 2,350.00 1,000.00 2,500.00 2,500.00 2,500.00 TOTAL 13,218.00 17,000.00 20,500.00 18,500.00 18,500.00 BOARD OF ETHICS P,.rsonal Services A1470.1 E:;uipment A1470.2 Contractual Exp. A1470.4 TOTAL PUBLIC WORKS ADMINISTRATION N•rsonal Services Ecuic:iert ncractual Exp. TOTAL BUILDINGS Personal Services A1620.1 Equipment A1620.2 :antractual Exp. A1620.- 58,487.00 TOTAL 58,487.00 7.NTRAL GARAGE 'ersonal Services .quipment Contractual Exp. TOTAL A1640.1 .116u0..: A1640... ':.NTRAL COMMUNICATIONS 'TSTEN '.�rsonal Services A1650.1 quipment A1650.. antractual Exp. A1650.4 TOTAL ENTRAL STOREROOM trsonal Services ti ipment xntractual Exp. TOTAL A1660.1 A1660.2 A1660.4 19,391.00 19,391.00 47,800.00 47,800.00 22,000.00 22,000.00 57,045.00 57,045.00 63,000.00 63,000.00 63,000.00 63,000.00 10,092.00 4,500.00 4,500.00 5,000.157 5, .00 10,092.00 4,500.00 4,500.0Q;; 5,000.00 5, .00 4 1 7 - - i' ACCOUNTS GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED; CODE 1983 19 84 1985 1985 1985 CENTRAL PRINTING AND MAILING Paersonal Services A1670.1 Equipment-- - A1670.2 Contractual Exp. A1670.4 '' TOTAL 9,619.00 9,649.00 CENTRAL DATA PROCESSING Personal Services A1680.1 Equipment A1680.2 Contractual Exp. A1680.4 14,097.00 SPECIAL ITEMS Unallocated Ins. A1910.4 Municipal Assoc. Dues A1920.4i' J14;ments and .ims A1950.4 ingent A1990.4 Assoc. of Towns A1990.5 TOTAL TOTAL GENERAL GOV'T. SUPPORT 11,000.00 11,000.00 12,250.00 12,250.00 13,500.00 5,000.00 12,250.00 12,250.00 12,250.00 12,250.00 5,000.00 5,000.00 12,518.00 45,000.00 47,000.00 47,000.00 47,000.00 800.00 800.00 800.00 800.00 800.00 -0- -0- -0- -0- -0- 25,000.00 75,000.00 75,000.00 75,000.00 7,846.00 8,975.00 -0- -0- -0- 21,164.00 /9,1/5.00 122,800.00 122,800.00 122,800.00 470,266.00 502,155.00 567,550.00 560,428.00 560,428.00 ACCOUNTS GENERAL FUND APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTAT':VE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 19m 19AA 1925. 19 85 i UBLIC SAFETY ADMINISTRATION Personal Services A3010.1 Equipment A3010.2 Contractual Exp. A3010.4 TOTAL POLICE AND CONSTABLE ** Personal Services A3120.1 Etuipment 13120.2 Contractual Exo. 13120.4 TOTAL MALL Personal :iervices fq,u Lpment Contractual Exp. TOTAL 13150.1 13150.: 13150.4 PUBLIC SAFETY ADOPTED 19 85 'AtFFIC CONTROL Personal Services A3310.1 -0- -0- z.quipment A3310.2 -0- -0- Contractual Exp. 13310.4 2,478.00 5,500.00 5,500.00 7,500.00 i,uu.uu TOTAL 2.478.00 5,500.00 5,500.00 7,500.00 7,500.00 ON STREET PARKING Personal Services Ec; ipment Contractual Exp. TOTAL A3320.1 13320.2 13320.4 tLRE FIGHTING Personal Services A3410.1 Equipment A3410.2 Contractual Exp. A3410.4 TOTAL CONTROL OF DOGS Personal Services A3510.1 Eq*ipment A3510.2 CoKtractual Exp. A3510.4 TOTAL Town with village - See explanation (2) on last page for changes to town -area outside of village. 6 ACCOUNTS CONTROL OF OTHER ;ANIMALS Personal Services Equipment -*Contractual Exp. TOTAL EXAMINING BOARDS Personal Services Equipment Contractual Exp. TOTAL SAFETY INSPECTION Personal Services Lipment tractual Exp. TOTI.L CIVIL DEFENSE • Personal Services Equipment Contractual Exp. TOTAL DEMOLITION OF UNSAFE BUILDINGS Personal Services Equipment Contractual Exp. TOTAL SCHOOL ATTENDANCE OFFICER Personal Services Equipment Contractual Exp. TOTAL GENERAL FUND APPROPRIATIONS ACTUAL LAST YEAR CODE 19.83• A3520.1 A3520.2 A3520.4 A3610.1 A3610.2 A3610.4 ** A3620.1 A3620.2 A3620.4 ''AL PUBLIC SAFETY J A3640.1 A3640.2 A3640.4 A3650.1 A3650.2 A3650.4 A3660.1 A3660.2 A3660.4 BUDGET THIS YEAR AS AMENDED 19• BUDGET OFFICERS TENTATIVE BUDGET 19,5 PUBLIC SAFETY (CONTD.) 708.00 708.00 3,186.00 800.00 800.00 6,300.00 800.00 800.00 PRE- LIMINARY BUDGET ADOPTED: 19.15 1985' 800.00 800.00 6,300.00 8,300.00 • own with Village - See explanation (2) on last page for charges to villages. 7 800.00 —800.88—, 8,300.00 town - area outside of ACCOUNTS GENERAL FUND APPROPRIATIONS BUDGET BUDGET ti ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 19 19 19_ 19 19__, BOARD OF HEALTH * Personal Services A4016.1 Equipment A4C10.2 Contractual Exp. A401G.4 TOTAL REGISTRAR OF VITAL STATISTICS Personal Services A4020.I Equipment A4020.2 Contractual Exp. A4020.4 TOTAL LABORATORY Personal Services A4025.: Equipment :4025.2 Contractual Exp. x4025. TOTAL PUBLIC IIEALTH, OTHER Personal Services A4050.1 lrquipment A4050.2 Contractual Exp. x4050.4 TOTAL HEALTH e Town with Village - See explanation (1) on last page for charges to town - area outside of villages. i 8 ACCOUNTS GENERAL TQHD APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE— LAST AS TENTATIVE - LIMINARY YEAR AMENDED • . BUDGET BUDGET ADOPTED CODE 1983 1984 1985 19 85 1985 NARCOTIC GUIDANCE COUNCIL Personal Services A4210.1 Equipment A4210.2 Contractual Exp. A4210.4 TOTAL NARCOTICS CONTROL Personal Services A4220.1 Equipment A4220.2 Contractual Exp. A4220.4 TOTAL JOINT HOSPITAL Contractual Exp. A4525.4 ,ANCE Pe nal Services A4540.1 Equipment A4540.2 Contractual Exp. A4540.4 38,000.00 TOTAL 38,000.00 MEDICAL HEALTH CENTER AND/CR PHYSICIAN Personal Services A4560.1 Equipment A4560.2 Contractual Exp. A4560.4 TOTAL PERSONAL SERVICES .1 EQUIPMENT .2 CONTRACTUAL EXP. .4 TOTAL TOTAL HEALTH • HEALTH (CONTD.) 50,000.00 50,000.00 38,000.00 50,000.00 9 ACCOUNTS GENERAL FUND APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 1983 1984 1985 1985 SUPT. OF HIGHWAYS Personal Services A5010.1 Equipment A5010.2 Contractual Exp. A5010.4 . TOTAL TRANSPORTATION PTEI 1985 39,121.00 41,070.00 43,669.00 42,270.00 42,270.00 3n.00 2,000.00 2,000.00 2,000.00 2,000.00 39,473.00 ' 43,070.00 45,669.00 44,2/0.00 44,270.00 GARAGE Personal Services A5132.1 Equipment A5132.2 Contractual Exp. A5132.4 20,712.00 25,000.00 25,000.00 23,000.00 23,000.00 TOTAL 20,712.00 25,000.00 25,000.00 23,000.00 23.000.00 STREET LIGHTING Contact _.ii Ex.c. .15182.-. SIDEWALKS Contractual Exp. A5410.4 TOTAL JOINT AIRPORT Contractual Exp. TOTAL A5615.4 OFF STREET PARKING Personal Services A56',1.1 Equipment Contractual Exp. A5650.4 TOTAL RERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL .4 TOTAL TRANSPORATION 60,185.00 10 68,070.00 70,669.00 67,270.00 67,270.00 ACCOUNTS GENERAL FUND APPROPRIATIONS BUDGET BUDGET ACTUAL THIS '(EAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED ' BUDGET BUDGET ADOPTEI CODE 1983 1984 19 85 19 85 1985 SOCIAL SERVICES - ADMINISTRATION Personal Services A6010.1 Equipment A6010.2 Contractual Exp. A6010.4 TOTAL SOCIAL SERVICES - HOME RELIEF Contractual Exp. SOCIAL SERVICES - BURIALS Contractual Exp. A6140.4 A6148.4 L'LICITY sonal Services A6410.1 pment A6410.2 Contractual Exp. A6410.4 TOTAL INDUSTRIAL DEVELOPMENT AGENCY Contractual Exp. A6460.4 VETERANS SERVICES * Personal Services A6510. i Equipment A6510.2 Contractual Exp. A6510.4 TOTAL PROGRAMS FOR AGING Personal Services A6772.1 Equipment A6772.2 Contractual Exp. A6772.4 TOTAL ECONOMIC ASSISTANCE AND OPPORTUNITY 300.00 300.00 COMMUNITY ACTION PROGRAM Personal Services .1 Eauipment .2 ontractual ServiceS4 2,000.00 TOTAL • 2,000.00 2,300.00 TOTAL ECONOMIC ASSISTANCE AND OPPORTUNITY 350.00 350.00 350.00 350.00 2,000.00 2,000.00 2,350.00 350.00 350.00 350.00 350.00 350.00 350.00 350.00 *Town with Village - See explanation (1) on last page for charges to town - area outside of village. 11 ACCOUNTS RECREATION ADMINISTRATION Personal Services Equipment Contractual Exp. TOTAL PARKS * Personal Services Equipment Contractual Exp. TOTAL GENERAL FUND APPROPRIATIONS ACTUAL LAST YEAR CODE 1983, A7020.1 A7020.2 A7020.4 A7110.1 A7110.2 A7110.4 PLAYGROUNDS AND RECREATION CENT:RS Personal Services A7140.1 6ouJ.pment A7140.2 Contractual ExD. A7140.-. TOTAL JOINT REC. PROJECT A7145.4 SPECIAL RECREATIONAL FACILITIES Personal Services A7150.1 Equipment A7150.2 Contractual Exp. A7150.4 TOTAL !AND CONCERTS 'ontract. 1 Exp. YOUTH PRORAM * Personal Services Equipment Contractual Exp. TOTAL A7270.4 A7310.1 A7310.2 A7310.4 BUDGET THIS YEAR AS AMENDED 198 CULTURE - RECREATION 1,700.00 �0- 80.00 1,780.00 21,418.00 12,549.00 34,020.00 67,987.00 7, 897.00 10,938.00 18,835.00 5,000.00 BUDGET OFFICERS TENTATIVE BUDGET 19 85 1,765.00 2,100.00 -0- -0- 150.00 150.00 1,915.00 2,250.00 20,972.00 38,010.00 11,400.00 8,700.00 46, 035.00 4/,/50.00 78,407.00 94,460.00 10,350.00 17,600.00 27,950.00 7,300.00 8,400.00 17,050.00 25,450.00 -0- PRE- LIMINARY BUDGET 19 85 1,765.00 -0- 150.00 1,915.00 23,010.00 5,900.00 43, /SU. UU 72,660.00 8,400.00 15,850.00 24,250.00 -0- r- kil ADOPTED 1985 1,765.00 -0- 150.00 1,915.00 23,010.00 5,900.00 43,750.00 72,660.00 0 15, '" .00 24,250.00 -0- * Town with village - See explanation (2) on last page for charges to town - area outside 0."" villages. 12 ACCOUNTS GENERAL FUND APPROPRIATIONS ACTUAL LAST YEAR CODE 19 .13 _JOINT YOUTH PROJECT Contractual Exp. A7320.4 "LIBRARY * Contractual Exp. A7410.4 MUSEUM Personal Services Equipment Contractual Exp. TOTAL HISTORIAN Li.somal Services Lipment tractual Exp. TOTAL A7450.1 A7450.2 A7450.4 A7510.1 A7510.2 A7510.4 HISTORICAL PROPERTY Personal Services A7520.1 Equipment A7520.2 Contractual Exp. A7520.4 TOTAL CELEBRATIONS -Personal Services Equipment Contractual Exp. TOTAL ADULT RECREATION Personal Services Equipment Contractual Exp. . TOTAL TOTAL CULTURE - (be!CREATION A7550.1 A7550.2 A7550.4 7' /& & ti A7620.1 A7620.2 A7620.4 BUDGET THIS YEAR AS AMENDED 19_14 BUDGET OFFICERS TENTATIVE BUDGET 19_,5 CULTURE - RECREATION (CONTD.) 250.00 323.00 573.00 4,291.00 4,291.00 6,676.00 1,000.00 1,000.00 250.00 325.00 575.00 4,800.00 4,800.00 8,433.00 1,000.00 1,000.00 106,142.00 130,380.00 Town with village - See explanation villages. (1) on last page 13 250.00 325.00 575.00 5,000.00 5,000.00 1,000.00 1,000.00 PRE- LIMINARY BUDGET 19_x,5 250.00 325.00 575.00 5,000.00 5,000.00 1,5 00.00 1,5 00.00 ADOPTED 19 250.00 325.00 575.00 5,000.00 5,000.00 1,500.00 1,500.00 128,735.00 105,9 00.00 105.900.00 for charges to town - area outside of ACCOUNTS GENERAL FUND APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 1983 1984 1985 1985 ZONING * Personal Services A8010.1 Equipment A8010.2 Contractual Exp. A8010.4 TOTAL PLANNING * Personal Services A8020.1 Equipment A8020.2 Contractual Exp. A8020.4 TOTAL HUMAN RIGHTS Personal :services Eaui;.ment Contractual Exp. TOTAL A80u0.. A8040.2 A8040.4 ENVIRCMENT1L CONTROL Personal Services A8090.1 Equipment A8090.2 Contractual Exp. A8090.+ TOTAL 4EFUSE AND GARBAGE Personal Services Equipment Contractual Exp. TOTAL A8160.1 A8160.2 AS160.-, COMMUNITY BEAUTIFICATION Personal Services A8510.1 Equipment A8510.2 Contractual Exp. A8510.4 TOTAL ROME AND COMMUNITY SERVICES 188.00 8,880.00 9,068.00 800.00 6,450.00 7,250.00 1,200.00 6,450.00 7,650.00 -0- 500.00 500.00 -0- 500.00 500.00 1,200.00 5,000.00 6,200.00 500.00 500.00 ADOPTED 1985 1,200.00 5,000.00 6,200.00 500.00 500.00 * Town with Village - See explanation (1) on last page for charges to town - area outsid f villages. ** Town with Village - See explanation (2) on last page for charges to town - area outsid village. 14 ACCOUNTS NOISE ABATEMENT Personal Services Equipment Contractual Exp. TOTAL DRAINAGE Personal Services Equipment Contractual Exp. TOTAL SHADE TREES Personal Services Equipment C^ntractual Exp. LETOTAL TERIES Personal Services Equipment Contractual Exp. TOTAL CODE A8520.1 A8520.2 A8520.4 A8540.1 A8540.2 A8540.4 A8560.1 A8560.2 A8560.4 A8810.1 A8810.2 A8810.4 AGENCY - PREV. OF CRUELTY TO CHILDREN Contractual Exp. A8820.4 TOTAL HOME AND COMMUNITY SERVICES EMPLOYEE BENEPITS State Retirement Fire and Police Retirement Social Security Worker's Comp. =Ee Insurance mployment Ias. ability Ins. Hospital and Medical Insurance TOTAL A9010.8 A9015.8 A9030.8 A9040.8 A9045.8 A9050.8 A9055.8 A9060.8 GENERAL FUND APPROPRIATIONS ACTUAL LAST YEAR 1983 BUDGET TRIS YEAR AS AMENDED 1984 BUDGET OFFICERS TENTATIVE BUDGET 1985 HOME AND COMMUNITY SERVICES (CONTD.) 16.00 16.00 9,084.00 38,650.00 22,034.00 2,800.00 1,628.00 1,042.00 28,072.00 94,226.00 200.00 200.00 200.00 200.00 PRE- LIMINARY BUDGET ADOPTED 1985 1985, 200.00 200.00 200.00 200.00 7,950.00 8,350.00 6,900.00 6,900.00 UNDISTRIBUTED 38,650.00 32,623.00 32,623.00 32,623.00 24,610.00 5,600.00 3,000.00 7,050.00 2.000.00 43,750.00 124,660.00 15 30,000.00 27,000.00 27,000.00 5,000.00 1,500.00 1,000.00 1.100.00 42,000.00 113,223.00 5,000.00 5.000.00 1,800.00 1,800.00 1,000.00 1,000.00 1.100.00 1,100.00 44,000.00 44,000.00 112,523.00 112,523.00 ACCOUNTS GENERAL FUND APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE— LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 1983 19 84 1985 19 85 DEBT SERVICE PRINCIPAL Serial. Bonds A9710.6 tatutory Bonds A9720.6 oud Anticipation A9730.6 Capital Notes A9740.6 !budget Notes A9750.6 ix Anticipation. A9760.6 &venue Antici. A9770.6 Debt Payments to Public Authorities A9780.6 Installment Purchase A9785.6 TOTAL "1TEREST Serial Bonds A9710.7 Statutory Bonds A9720.7 Bond Anticipation A9730.7 Capital Notes A9740.7 Budget Notes A9750.7 Tax Anticipation. A9760.7 Revenue Antici. A9770.7 Debt Payments to Public Authorities A9780.7 Installment Purchase A9785.7 TOTAL IBTERFUND TRANSFERS TRANSFER TO: Other Funds A9901.9 Capital Project Fund A9950.9 Contributions to Other Funds A9961.9 TOTAL TOTAL APPROPRIATIONS tPDGETARY PROVISIONS POR OTHER USES A962 TOTAL APPROPRIATIONS MD OTHER USES UNDISTRIBUTED (CONTD.) 783,389.00 891,865.00 895,177.00 783,389.00 891,865.00 16 895,177.00 861, 671.00 861,671.00 ADOPTED 1985 861,671.00 861,671.00 ACCOUNTS GENERAL FUND ESTIMATED REVENUES BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED. CODE 19„13 19j4 19A5 19 85 1985 OTHER TAX ITEMS Real Property Taxes .Prior Years A1020 Federal Payments in Lieu of Taxes A1080 Other Payments in Lieu of Taxes A1081 Interest and Penalties on Real Prop. Taxes A1090 32,576.00 30,000.00 29,000.00 29,000.00 29,000.00 Non Property Tax Distribution by County A1120 DEPARTMENTAL INCOME Tax Collection Fees (Not Interest on Taxes)A1232 -0- 1,760.00 -0- -0- -0- Clerk Fees A1255 3,497.00 2,325.00 2,450.00 2,450.:04 2,450.00 Police Fees * A1520 Public Pound Charges - Control Fees A1550 ty Insp. Fees * A1560 Cl�iges for Demolition of Unsafe Buildings A1570 Health Fees * A1601 Ambulance Charges A1640 Parking Lots and Garages A1720 On Street Parking Fees A17.40 Repayments of Home Relief A1840 Repayments of Burials A1848 Park and Recreation Charges A2001 Recreation Concessions A2012 Special Recreational Facility Charges A2025 Museum Charges A2090 Zoning Fees * A2110 Planning Board Fees * A2115 * Town with Villages - See explanation (3) on last page for crediting these revenues to town - ar, outside villages. 17 ACCOUNTS GENERAL FUND ESTIMATED REVENUES BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE— LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE F9 83 19 84 1985 19 85 DEPARTMENTAL INCOME Garbage Removal and Disposal Charges A2130 Sale of Cemetery Lots A2190 Charges for Cemetery Services A2192 Tax and Assessment Services for Other Governments A2210 Narcotics Control Services for Other Governments A2290 USE OF MONEY AND PROPERTY Interest and Earnings A2401 Rental of Real Property A2410 Rental of Real Proaerty, Other Governments A2412 Rental of Equipment, Other Governments A2416 Commissions A2450 LICENSES AND PERMITS Bus. & Occup. Lic. A2501 Games of Chance Lic. A2530 Bingo License A2540 Dog Licenses A2544 Permits, Other A2590 36,358.00 12,000.00 FINES AND FORFEITURES Fines and Forfeited Bail A2610 21,381.00 Fines & Pen. Dog Cases A2611 Forfeiture of Deposits A2620 GALES OF PROPERTY AND COMPENSATION FOR LOSS les of Scrap and ..xcess Materilas A2650 :nor Sales, Other A2655 . .les of Real Property A2660 .les of Equipment A2665 surance Recoveries A2680 18 20,000.00 20,000.00 38,000.00 40,000.00 40,000.00 TED 1985 20,000.00 4 40,000.00 ACCOUNTS GENERAL FUND ESTIMATED REVENUES BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 1983 19 84 MISCELLANEOUS Refunds of Prior Years Expenditures A2701 Lifts and Donations A2705 Endowment and Trust Fund Income A2755 Other Unclassified ,Revenues (Specify) Misc. A2770 A2770 INTERFUAD REVENUES Interiund Revenues A2801 STATE AID Per (:aorta A3001 Mortgage 'fax 4300,5 Loss oV. Plrblhc Utility '1ivat:ons A3017 .igatlon Law torcetaent A3315 nowmoolie 1...w Enforcement .3317 Insect Control A34oa Narcot.cs Cuiaance Council A3484 Social Services A3660 Procrams for Aging A3772 Youth :rogrnms A3320 Cons. ,ldv. Counc .1 A3089 FEDERAL .SID Civil ..cense A4305 Public ti.orks .Emvioyment Antirecession A4750 Programs for :Aging A4772 Emergency Disaster Assistance A4960 INTERFCND TRANSFER Interiund Transfers BUDGET OFFICERS PRE— TENTATIVE LIMINARY Adopted BUDGET BUDGET 19 85 198, 1935 9,255.00 0 2,400.00 168,553.00 121,)14.ut 0 168,561.00 . u,JUu.uu 168,500.00 LUU,'L;OQ.'i 500.00 ]UU.UU , 2,400.00 2,400.00 168,500.00 168,500.00 160,000.00 ib0,uuu.v' 7uu.uu 500.UU 0 •1,813.00 1,912.00 1,912.00 1,912.00 A5031 150,406.00 29,400.00 543;940.00 534,359.00 424,762.00 424,762.00 424,762.00 TI'L ESTIMATED REVENUES LO Unexpended Balance ' Transier to Page 1 • ESTIMATED UNEXPENDED BALANCE 571,684.00 324,859.00 245,000.00 245,000.00 • 275,000.00 ACCOUNTS Attorney Engineer SPECIAL. ITEMS Unallocated Ins. Contingent Acct. GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE CODE B1420. 4 B14'0.4 81910.4 E199f).4 Coupon Fees B1380.4 ViJNDALISM 2ATrCL eronal Services Equtpr..Nnt Concrdcruat 1014L BUZZ 3rw /etion4A 3ervtces a tpotent" Contracrwq& Fxp. 'TOTAL E3120.1 '3120.2 33120.4. 8362o.1 83620.2. 09620.4. f LRE FREv'rwirlioN swtElia rersorai Fir•. i_cs Centrzct.ia♦ ..:. 83410.1 63410.1 83410.4 ee 4uxrtUUQy PoL10E: ferson.zl :;ervIccs 6364.1 fquiDment 13645,z CoAtractua i Exp. 0364514 TOTAL STREET LIGHTING Personal ::r_rvices 135182.I f(uipment B5182.2 Contractual Exp. 85182.4 TOTAL PRINTING & ADV. Personal Services 136410.1 B6410.2 C..ntractual Exp. B6410.4 TOTAL ACT':AL LAST YEAR 19,,3 BUDGET THIS YEAR AS AMENDED 1984 GENERAL GOVERNMENT 20,469.00 10,500.00 11,195.00 10,000.00 30,043.00 0 61,707..00 BUDGET )FFICERS TENTATIVE BUDGET 19 85 SUPPORT 16,000.00 15,000.00 0 5,000.00 30,000.00 iU,000.O0. 50,500.00 66,000.00 1,000.00 PUBLIC r.AFFTT 15,478.00 15,500.00 0 600.00 2,580.00 6,000.00 18,058.90 22,1J9.00 44,883.00 172.00 2,h93.00 671.00 _..1)6.90 ;76.00 2,153.00 0 0 500.00 500.00 29,953.00 350.,-J) 1,470.00 31,773.00 5,850.00 1,...50.20 100..0 500.00 500.00 17 5q -.n0 21.160.00 17.593_00 ____21,2,n0.00 1,216.00 1,216.00 Qo 2,000.00 2,000.00 29,363.90 .25.J0 29,688.00 17,000.00 0 1,260.00 18,.260.70 IRE- LIyINARY BUDGET 1985 16,000.00 15,000.00 5,000.00 33,500.00 69,500.00 1,000.00 29,357.00 -0- ADO P' 19 85 16,008.00 15,000.UU 5,000.00 33,Duu.uv 69,500.00 1,000:170- 325.00 325.00 29,682.00 29,682.00 17,000.00 -0- 1,260.00 18,260.00 775.00 //b.UU 775.00 775.00 2,000.00 2.000. Q0 2,000.00 2,000.00 17,000.00 -0- 1,260.00 18,26Q.00 • //7.UU 775.00 2,000.00 2,000.00 GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE ACCOUNTS CODE PARKS 'Personal Equipment Contractual Exp. TOTAL Services 87110.1 87110.2 B7110.4 PLAYGROUNDS AND RECREATIONAL CENTERS Personai Services B7140.1 Eauipment B7140.2. Contractual Exp. 37140.4 TOTAL YOUTH PROGRAMS IW-Sonat Services clement 'tractual Exp. TOTAL CELEBRPTION' LIBRARY Contractual Exp. ZONING Personal Services Equipment Contractual • TOTAL 37310.1 87310.2. B7310.4 B7550.4 B7410.. BOARD OF APPEALS B8010.;1 B8010.2. Exp. B8010.4 ZONING Personal Services Eauipment Contractual Exp. TOTAL PLANNING P sonal Services ipment ractual Exp. TOTAL 88015.1 B8015.2 B8015.4 B8020.1 B8020.2 88020.4 ACTUAL LAST YEAR 19_83 -0- -0- 19,055.00 1,338.00 7,704.00 28,097.00 809.00 BUDGET THIS YEAR AS AMENDED 19 84 CULTURE - RECREATION 500.00 500.00 22,055.00 2,000.00 10,500.00 34,555.00 1,200.00 BUDGET OFFICERS TENTATIVE BUDGET 1985 -0- -0- 26,676.00 2,000.00 10,500.00 39,176.00 1,350.00 HOME .t COMMUNITY SERVICES 6,559.00 -0- 1,017.00 7,576.00 combined with building 6,637.00 -0- 3.039.00 9,676.00 21 7,683.00 7,225.00 -0- -0- 1,217.00 2,100.00 8,900.00 9,325.00 20,278.00 28,621.00 420.00 600.00 1,520.00 350.00 22,218.00 29,571.00 10,240.00 5,500.00 4,206.00 19,946.00 7,225.00 500.uo 4,130.00 11,855.00 PRE- LIMINARY BUDGGT ADOPTt 19 8 198 85 4 - 0- -u- - 0- -0- 24,715.00 2,000.00 10,500.00 37,215.00 1,350.00 7,225.00 -U- 2,100.00 9,.i25. U0 25,119.00 600.00 450.00 26,169.00 7,225.00 • 3.630.00 11,aoo.vu 24,715.00 2,000.00 10,500.00 37,215.00 1,350.00 7,225.00 -0- 2,100.00 9,325.00 25,119.00 600.00 450.00 26,169.00 7,225.00 5uu.00 3,630.00 11,355.00 ACCOUNTS GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE BUDGET BUDGET ACTUAL TRIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 19 83 1984 1985 1985 ROME AND COMMUNITY SERVICES (CONTD.) WFUSE AND GARBAGE Personal Services 88160.1 Auipment 88160.2 Cintractual Exp. B8160.4 15,240.00 16,000.00 .TOTAL 15,240.00 16,000.00 UNDISTRIBUTED AD5 1PPT8ED EMPLOYEE BENEFITS State Retirement B9010.8 5,248.00 5,248.00 7,266.00 7,266.00 7,266.00 'fire and Police Retirement 59015.8 Soc.ai Security, 89030.$ 6,916.00 7,422.00 12,676.00 9,200.00 Worker's Como. 89041).8 1,900.00 3,000.00 3,000.00 3,000.00 L f a Insurance 89045.9 289.00 1,000.00 1,000.00 :_-750.00 Uhiolovment Ins. 39050.0 -0- 1,000.00 1,000.00 1,000.00 biSaoility :ns. 39055.8 572.00 400.00 400.00 400.00 Soital and N±dical Insurance 39060.9 5.489.00 10.375.00 8,120.00 10,500.00 TOTAL 20.414.00 28,445.00 33,462.00 32,116.00 DEBT SERVICE .PRINCIPAL 'Serial Bonds 89710.6 Sbtutory Bonds B9720.6 Pond Anticipation B9730.b Cpttal Notes B9740.6 DAtet Notes B9750.b 14)C Anticipation. 89760.6 !venue Antici. B9770.6 t Payments to Q u is Authorities 89780.6 I ft Ea t lment Q`) Rchaae 89785.6 TOTAL 22 9,200.00 3,000.00 10,500.00 32,116.00 GENERAL FUND APPROPRIATIONS 'F . OUTSIDE VILLAGE ACCOUNTS CODE INTEREST Serial Bonds 89710.7 Statutory Bonds B9720.7 Bond Anticipation B9730.7 Capital Notes 89740.1 Budget Notes 89750.7 Tax Anticipation. 89760.7 Revenue Antici. B9770.7 Debt Payments to Public Authorities B9780.7 Installment Purchase B9785.7 TOTAL INTERFUND TRANSFERS TP "SFER 70: er Funas ital Project Funa Contributions to Other Funds TOTAL TOTAL APPROPRIATIONS 89901.) 89950.9 B9961.9 BUDGETARY PROVISIONS FOR OTI:ER ;:SES B962 TOTAL APPROPRIATIONS AND OTHER USES * Transfer to Page 1 • ACTUAL LAST YEAR 19 83 BUDGET THIS YEAR AS AMENDED 1984 BUDGET OFFICERS TENTATIVE BUDGET 1985 UNDISTRIBUTED (CONTD.) 332,021.00 0 332,021.00 563,008.00 563,008.00 PRE— LIMINARY BUDGET 1435 ADOPTE 198`` • 182,110.00 260,743.00 197,162.00 197,162.00 2,000.00 184,110.00 23 451,007.00 451,007.00 260,743.00 197,162.00- 19/,1b4.uu 503,205.00 435,909.00 435,909.00 503,205.00 435,909:00 435,909.00f: ACCOUNTS Fire Insp. Fees Soil Erosion Refuse & Garbage Sepcial Permits Zoning .Bd. of Ap Building Permits Fire Permits Zoning Fees Planniig Board Interest ana Earnings Ins. Recoveries CATV Franchise Misc. ST.::2 AID fer C.;ptza rro;;r.tms for A21r.z YouL= Programs {yprtgage Tax 3Ldq.& Fire Code .Interfund Trans. P. GENERAL FUND ESTIMATED.REVENUES - OUTSIDE VILLAGE CODE B1560 82111 B2130 B2113 B2112 B2590 B3410 82110 Fees B2115 82401 B2680 81170 B2770 B3001 33772 982.0 B3005 83389 85031 TOTAL ESTIMATED REVENUE L» EXPENDED BALANCE transfer to Page 1 ACTUAL LAST YEAR 19_13 BUDGET THIS YEAR AS AMENDED 19 84 BUDGET OFFICERS TENTATIVE BUDGET 1985 ESTIMATED REVENUES AND UNEXPENDED BALANCE 0 3,499.00 0 3.299 00 1.645.00 combft i i 1,855.00 78,234.QQ 30.000.00 J10.00 350.00 317.00 300.00 6,789.00 6,000.00 22,496.00 10,000.00 0 1,346.00 21,166.00 13,000.00 1,635.00 0 138,066.00 16, 406. 00 46,535.'0 11,`,48.,0 123,965. 00 474,865.00 262,084.00 24 118, 072.00 18, 000. 00 0 0 21,641.M 242,209.00 201,144.00 4,500_00 8,400.00 4,500.00 l ,F,JS no 540.00 3n nnn n0 500.00 150.00 5,504.00 7,000.00 0 13,000.00 0 138, 072. 00 13,000.00 14,500.00 25,995.00 272,306.00 - 0 - PRE- LIMINARY BUDGET 19 85 4,500.00 8,400.00 4,500.00 1,b45.00 540.00 30,000.00 500.00 150.00 5,504.00 ADOPTE 198 4,500.00 8,400.00 4.500.00 ai:88 30,000.00 500.00 150.00 5,504.00 7,000.00 7,000.00 -u- -0- 13,000.00 13,000.00 -0- -0- 138,072.00 138,072.0C 18,000.00 -0- 14,500.00 25,995.00 14,500.00 25,995. UL 272,306.00 272,306.0C -0- -0- - 4 -• 4,, • " • • • # • . • • rti C77-1\1 11/ JS b NI /K ACCOUNTS HIGHWAY APPROPRIATIONS - OUTSIDE VILLAGE ACTUAL LAST YEAR CODE 1983 GENERAL REPAIRS Personal Services DB5110.1 260,349.00 Contractual Exp. DB5110.4 252,438.00 TOTAL 512,837.00 IMPROVEMENTS under CHIPS Program. Personal Ser. contractual Exp. MACHINERY Personal Services Equipment Contractual Exp. TOTAL 5112.1 5112.4 Total MISCELLANEOUS (BRUSH & ++'E E D S ) ferconai Services Conft8,ctual Exp. Pd TAI. SNOW REMOVAL 'TOWN OIGHWAY S ) Por9onai ervicBS Contractual Exp. TOTAL FIRIDGES Qe,rsonai Services Contractual Exn. TOTAL EMPLOYEE BENEFITS State Retirement Social Security Worker's Comp. Life Insurance Unpmplovment Ins. bisability Lr.s. Hospital and Medical Ins. • TOTAL DB5130.1 DB5130.2 DB5130.4 L 3� 40.1 3 5140.4 10,641.00 47,366.01 - 59,007.10 19,716.00 1) 38,929.{;0 6.413.00 3,470.00 9,883.00 DB5142.1 17,115.00 DB5142.4 31,089.00 49,804.00 - 5120.1 1,000.00 5120.4 2.16.00 1,816.00 DB9010.3 DB9030.3 DB9040.8 DB9045.3 DB9050.3 DB9055.3 DB9060.8 ,3,,975.00 11.145.00 11,776.00 776.00 0 511.00 23,840.00 98,029.00 BUDGET THIS YEAR AS VENDED 19 84 290,027.00 382,979.00 673, 006.00 0 0 21,r347.-10 15 ,000. 00 43,566..0 7 6,734.00 5,900.00 12,634.00 36,264.00 19,368.00 65,632.00 BUDGET OFFICERS TENTATIVE BUDGET 19_85 304,528.00 402,979.00 nn 22,625.00 36, 64.00 60,')84.00 119,73.'_)0 740713:00 6,900.00 13,971.00 38.077.00 69,368.00 101,445.00 39,975.00 43469.00 24, 195.00 26, .062.0 12,090.00 12,1.00.00 2.625.00 2-000.00 836.00 500.00 1,714.00 1,000.00 30.00 3.00 36,000.00 111,438.00 121,131.00 .26 PRE- LIMINARY BUDGET 1985 PTE 1985 300,528.00 300,528.00 402,979.00 402,979.00 703,507.00 703,507.00 - 47,000.00 47,000.00 22,624.00 9, .364. UU 60,984.00 92,972.00 47,000.00 4/,000.00 22,624.00 9,.364.UU 60,984.00 92,972.00 7,071.00 7,071.00 5,900.00 5,900.00 12,971.00 12 38,077.00 38,077.00 69,368.00 69,368.00 107,445.00 107,445.00 43,469.00 26,062.00 12,100.00 2,000.00 500.00 1,000.00 32,000.00 117,131.00 43,469.00 26,062.00 12,100.00 2,000.00 500.00 1,000.00 32,000.00 117,131.00 ACCOUNTS HIGUVAY APPROPRIATIONS - OUTSIDE VILLAGE BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET A:)OPTEI CODE 19 83 1984 19 85 19 85 1985 DEBT SERVICE PRINCIPAL Serial Bonds DB9710.6 Statutory Bonds DB9720.6 Bond Anticipation DB9730.6 Capital Notes DB9740.6 Budget Notes DB9750.6 Tax Anticipation DB9760.6 Revenue Antici. DB9770.6 Debt Payments to Public Authorities DB9780.6 TOTAL 0 17,000.00 0 34,463.00 36,148.00 36,148.00 36,148.00 51,463.00 36,148.00 36,148.00 310,14a.uu INTEREST Serial Bonds DB9710.7 Statutory Bonds DB9720.7 935.00 0 Bond Anticipation DB9730.7 14,095.00 12,709.00 12,709.00 12,709.00 Capital Notes DB9740.7 get Notes DB9750.7 Anticipation DB9760.7 .nue Antic:. DB9770.7 Debt Payments to Public Authorities DB9780.7 TOTAL 0 15,030.00 12,709.00 12,709.00 12,709.00 INTERFUND TRANSFRRR TRANSFER TO:_ Other funds 9990;0 Fund DB9950.9 TOTAL INTERFUND TRANSFERS BUDGETARY PROVISIONS 'FOR OTHER USES DB962 TOTAL APPROPRIATIONS AND OTHER USES *Transfer to Page 1 • 38,960.00 38,960.00 829,981.00 1,029,310.00 1,118,884.00 1,129,883.00 1,129,883.00 ACCOUNTS HIGHWAY REVENUES - OUTSIDE VILLAGE BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 19 83 1984 1985 19 85 LOCAL SOURCES Non Property Tax Distribution by County DB1120 Services for Other Govt's. DB2300 Interest and Earnings DB2401 36,402.00 Rental of Equipment Other Govt's. DB2416 Interfund Revenues DB2801 Reimbursement Rec. & Spring• Clean-up . STATE AID Consolidated ::igrway DB3501 FEDERAL AID-SPEC:?T DB45 DB4 DB45 Interfund Transfers DB5031 TOTAL UNEXPENDED BALANCE *Transrer to Page 1 14,000.00 47,366.00 47,200.00 83,768.00 5,530.00 30,000.00 166.00 3,500.00 61,200.0 39 ,196.00 173,084.00 40,000.00 ADOPTS 19 8 5,530.00 5,530.00 30,000.00 30,000.00 166.00 166.00 3,500.00 3,500.00 47,000.00 47,000.00 86,196,00 86 ,196.00 125,066.06 150,000,00 150,000.00 ACCOUNTS VANDALISM PATROL Personal Services Equipment Contractual Exo. Emptuver Benefits TOTAL Personal Services Ecuiomer.t Contractual Exp. Employee Benefits TOTAL Assoc. of Towns Refuse & Garbage Street Lighting L Join ec. Project Dial-a-ris3P !Ambulance !Library Sr. Citizens Arts & Sr. Citizens Trips Community Action Lontingency `Road Striping !Highway Gar. Doors TOTAL FEDERAL REVENUE SHARING FUND ACTUAL LAST YEAR CODE 1922 CF 3120. 1 CF3120.2 CF 3120, 4 CF .8 CF .1 CF CF CF . 4.41 .4 C71990.5 C78160.4 'i 5182.4 CF cp. 7145.4 CF 7610.4 C' 4540.4 -Cr 7410.4 .7310.4 Cp-7310.4 c 6989.4 CT 1990.4 Cc 5110.4 Cr 5132.4 (F CF CF rranster to Other Funds Highway Trucks CF9901.9 Capital Proj.(town CF9990.9 TLar. fers CF9990.9 Contr. to other functF 99619 trontr. to uwt CF9961.9 PROPRIATlONS n er to Page 1 25,000.00 -0- - 0- -U'- - 0- b,115.00 APPROPRLITIONS BUDGET THIS YEAR AS AMENDED 1911. 27,000.00 3,496.00 1,500.00 -0- 76,164.00 -0- BUDGET OFFICERS TENTATIVE BUDGET 1985 16,000.00 6 , 24,600.00 15,000.00 20,000.00 22,000.00 PRE- LIMINARY BUDGET 1985 16,000.00 ~:606.00 8,iT96.04 24,600.00 15,000.00 LU,ODU.UU 22,000.00 57,000.00 57,000.00 9,300.00 10,000.00 40,000.00 29,000.00 1,500.00 1,500.00 z,uuu.uu -0- -0- 16,000.00 9,300.00 9,200.00 40,000.00 19,UUU.GU 1,500.00 1,500.00 2,800.00 -0- -0- 16,000.00 31,115.00 108,160.00 109,300.00 109,300.00 20,672.00 1.00 11,000.00 62,788.00 -0- -0- -0- 125,000.00 125,000.00 29,400.00 -0- -0- 4,000.00 4,000.00 .)uU.uu 500.00 137,560.00 320,400.00 320,400.00 29 ADOPTS'', Y=". 19 16,000.0Q 600.00' 8,000.0Q;"t' 24,600.00 ;, 15 , 000.Oa.. 20,000.00; 22,000.0G 57,000.00' 9,300.00: 9,200.00 40,000.00 29,000.00 1,500.00 1,500.00 2,800.00 -Q- -0- 16,000.00 109,300.00 -0- 125,000.00' -0- 4,000.00 00.00 320,400.00 41.•;:— • ' 'FEDERAL REVENUE SHARING FUND ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE t• BUDGET•• BUDGET .4 1 ACTUAL - THIS YEAR OFFICERS PRE— TENTATIVE LIMINARY : . LAST - . AS Ar BUDGET BUDGET YEAR AMENDED 704 ACCOUNTS 1 CODE 19u 194 19 85— 1985 19] ' 8 85 Ifterest and EarnLngs CF240I 4,106.00 1,500.00 6,000.00 6,000.00 6,000.00 Federal, RevenUe' Sharing CF400I 136,060.00 136.060.00 142,004.00 142,004.00 142,004.00 TOTAL 140,166.00 137,560.00 148,004.00 148,Uu4.uu 148,uu4.uu urlEXPENDED EALAVCE ":::nstor PaL:c : 30 172,396.00 172.396.00 172,396.00 ••• ACCOUNTS LIGHTING DISTRICT Stteet Lighting Contractual Exp. Hughsonville LIGHTING DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 1 9_8,3 1984 19 85 19 85 1985 SL - 1 5182.4 19,R22.00 TOTAL 19,822.00 TOTAL APPROPRIATIONS 17,600.00 19,008.00 19,008.00 19,008.00 11,600.00 19,U08.UU 19,008.00 19,008.00 ESTIMATED REVENUES AND UNEXPENDED BALANCE Interest 2401 352.00 13,242.00 650.00 650.00 352.00 13,242.00 650.00 b5U.UU -0- -0- 2,500.00 2,500.00 UNEXPENDED BALANCE LIGHTING DISTRICT 'treet Lighting Contractual Exp. TOTAL TOTAL SL - 5182.4 Interest 2401 UNEXPENDED BALANCE *TrIhre 'fer to Page 1 Chelsea APPROPRIATIONS 7,260.00 7,260.00 LIGHTING DISTRICT 7,841.00 7,841.00 ESTIMATED REVENUES AND UNEXPENDED BALANCE --r 7,841.00 /,841.00 650.00 650.00 2,500.00 7,841.00 7,841.00 ?; 5,429.00 400.00 400.00 400.00 5,429.00 400.00 400.00 400.00 -0- -0- -0- -0- * 31 ACCOUNTS LIGHTING DISTRICT Street Lighting Contractual Exp. Cameli LIGHTING DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 1983 19 84 19 85 19 85 SL - 1 5182.4 APPROPRIATIONS 715.00 775.00 775.00 TOTAL 715.00 Interest 2401 TOTAL UNEXPENDED SALA CE LIGHTING DISTRICT 'street Lighting SL - Contractual Exp. 5182.4 TOTAL TOTAL UNEXPENDED BALANCE *Transfer to Page 1 775.00 775.00 ESTIMATED REVENUES AND UNEXPENDED BALANCE 417.00 100.00 100.00 417.00 100.00 1UU.uu -0- 50.00 50.00 LIGHTING DISTRICT APPROPRIATIONS ESTIMATED REVENUES AND UNEXPENDED BALANCE ` 32 PTED 1985 775.00 //S.UU 100.00 1UU.UU 50.00 cy._4441E.T APPROPRIATIONS Budget Budget Actual This Year Officers Pre - Last as .Tentative liminary Year Amended Budget Budget Adopted ACCOUNTS CODE 1983 1984 Transfer __. 9901.9 182.00 Personal C 1110.1 303.00 Services Equipment C 1110.2 Contractual C 1110.4 1,327.00 TOTAL APPROPRIATIONS 1,,812.00. ft Cl, .J '.... TS CODE 1985 3.408.00 //8.00 4,186.00 1985 3,408.00 778.00 1985 M 3,408.00 /I .UU 4,186.00 4,186.00 ''..ourSTOP DWI ESTIMATED REVENUES This Year Officers PrP- L(3st Year Tentat,?e Liminary 7'2ar Amenaed Rud.et Budget Adopts . ACCOUNTS CODE L91/19A5 19qT, 1915 19_05 State Aid C 3315 2,684.00 3,450.00 3,750.00 3,750.00 3,750.00 Int. & Earnings 65.00 32.00 0 -0- -0-- C 2401 ,,.TAtqrfund Trans. 9901.9 500.00 500.00 S0U.U0 w -J."' :'EVENUES 2.749.00 3,481.00 4,250.00 4,250.00 4,250.00 .UNEXPENDED BALANCE 7:`:EXPENDED BALANCE_ 33 *roar Actual Last Year ACCOUNTS CODE 1983 ' 11'4% 0•001. 2QQ=GQKTRaig=6.- APPROPRIATIONS Budget This Year as Amended 1984 Personal__ C 2510.1 3,444.00 7,025.00:: Services Equipment C 2510.7 100.00 Contractual C 2510.4 9,111.00. 8,325.00 TOTAL APPP.OPRIATIONS _149c9. ACCOUNTS CODE ACCOUNTS CODE Dog Licenses C 2544 Int. & Earnings C 2401 Vioiati:ms C 2611 Fines & Forfeit- ures C l0 TOTAL REvENcEs UNEXPENDED BALANCE 15,450.00 DOG CONTROL ;.;a1 Last Yar 19 n, 12,595.00 1,113.00 1,958.00 1,072.00 Buddet This Year Year as Amended 19 PA 13,500.00 150.00 1,600.00 200.00 16,738.00 15,450.00 Budget Officers Pre - Tentative liminary Budget Budget: Adopted 1985 1985 1985 7,025.00 7,025.00 7,025.00 100.00 8,325.00 100.00 100.00 8,325.00 8,325.00 15,450.00 15,450.00 15,450.00 ESTIMATED REVENUES Bud.7.,t Officers Tentstive Budaet UNEXPENDED BALANCE 1P Qg 12,500.00 1,250.00 13,750.00 5,000.00 - liminary Ado ted 1 12,500.00 12,500.00 1,250.00 13,750.00 1,250.00 13,750.00 5,000.00 5,000.00 ACCOUNTS CODE Buildings C 1620.4 SCHLATHAUS MEMORIAL Actual Last Year 1981 2,134.00 TOTAL APPR.OPRIZTIONS 2,134.00 ("CCOU7'.:T.7; AC - CODE Rents C 2410 Interest EarninsC 2401 'Donation:3 "de-"-* '.7.T7=T:ES (.7NENPENDED 3ALANCL" budgeted for 1984 s is actual to date. Budget This Year as Amended 1984 3,317.00 3,317.00 e-rrr /IF.Mnrn—.L. Actual Last Ye4r 1910 4,200.00 788.00 4/988.00 euale£ This Year Year as Amended 19 APPROPRIATIONS Budget Officers Tentative Budget 1985 3,000.00 3,000.00 Pre- liminary Budget Adopted .1985 1985 3,000.00 3,000.00 3,000.00 ESTI:IATED REVENU:S, ao4dclet OfrficerS Pre- rentatlye DUd7r)t "er. 1. 9•5 4,200.00 2,000.00 6,200.00 j::ENPENDED 2AL:,NCE 36 01.5 4,200.00 2,000.00 6,200.00 3,000.00 Aelopte8 19 4,200.00 2,000.00 6,200.00 ACCOUNTS ADMINISTRATION .Personal Services Equipment Contractual Exp. ' TOTAL 41 lOakwood WATER DISTRICT APPROPRIATIONS BUDGET BUDGET 'ACTUAL TRIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY -{' TEAR AMENDED ' BUDGET BUDGET ADOPTE CODE 19 83 19 84 19 S5 19 85 19 S SW8310.1 335.00 335.00 335.00 SW8310.2 SW8310.4 506.00 502.00 290.00 290.00 290.00 506.00 cO2.00 625_00 625.00 625.00 SpURCE OF SUPPLY, POWER AND PUMPING Personal Services SW8320.1 Equipment SW8320.2 200.00 300.00 300.00 300.00 Contractual Exp. SW8320.4 13,345.00 14,088.00 21,700.00 10,900.00 10,90U.Uu TOTAL 13,345.00 14,288.00 22,000.00 11,200.00 11,200.00 PURIFICATION Personal Services SW8330.1 2auioment 3W8330.2 Contractual Exo. SW8330.4 TOTAL LON SMISSION AND DISTRIBUTION , Personal Services SW8340.I Equipment SW8340.2 500.00 500.00 Contractual Exo. SW8340.4 698.00 1,000.00 3,160.00 TOTAL 698.00 1,500.00 3,660.00 29.00 275.00 29.00 275.00 250.00 250.00 EMPLOYEE BENEFITS .State Retirement SW9010.8 Social Security SW9030.8 Compensation Ins. SW9040.9 'Life Insurance SW9045.8 Unemployment Ins. SW9050.8 Disability Ins. SW9055.8 Hospital and Medical Insurance SW9060.8 TOTAL UNDISTRIBUTED 36 250.00 250.00 -0- 2,160.00 2,1bU.UU 250.00 250.00 -0- 2,16#.UU 2,160.00 TER DISTRICT APPRO* 4` ear+ i w vr� %Sn`t:.. ACCOUNTS ACTUAL. .: ; a'zi `a LAST +, < YEAR CODE 19 83 DEBT SERVICE PRINCIPAL Serial Bonds SW9710.6 Statutory Bonds SW9720.6 Bond Anticipation SW9730.6 ('apital Notes SW9740.6 'udret Notes SW97S0.6 .venue Antici. SW9770.6 .)ebt Payments to Public Authorities SW9780.6 TOTAL INTEREST Strr.al %upas :statutory ?'unos gond Antic:.pation Capital Notes 3uuYet :rotes Rev. -nue Antici. Deot ?avrent3 to Public Authorities TOTAL Misc.Deficit Bal _NTERFU?D TRANSFERS T?ANSFER TO: Other Funds Caoital Project Fund TOTAL SW9710.7 CW9720. 7 SW9 7.10. ; SW97�0.7 SW9 7 ;0 . SW97 70. 7 SW9780.7 8389.0 SW9 901. ? SW9950.) BUDGETARY PROVISIONS FOR OTHER USES SW962 BUDGET .THIS YEAR AS ..v AMENDED 1984 BUDGET OFFICERS TENTATIVE BUDGET 1985 UNDISTRIBUTED (CONTD.) 1,200.00 1,200.00 1,260.00 1,260.00 =OTAL APPROPRIATIONS AND OTHER USES 17,038.00 * Transfer to Page 1 • 37 1,200.00 1,200.00 1,200.00 1,200.00 1,200.00 1,140.00 1,200.00 1,140.00 18,965.00 28,875.00 -PRE— LIMINARY BUDGET 1985 , .. PTEE 19 85 1,200.00 1,200.00 1,200.00 1..ulJ•uu 1,140.00 1,140.00 1,140.00 1,140.00 3.500.00 16,575.00 20,075.00 Oakwood WATER DISTRICT ESTIMATED REVENUES BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 1983 ` 19 84 1985 19 85 1985 Metered Sales SW2140.6 Onmetered Sales SW2142.6 10,428.00 11,376.00 "26,135.00 17,335.00 17,335.00 Water Connection .Charges SW2144.6 Interest and Penalties on Water Rents SW2148.6 267.00 200.00 100.00 100.00 100.00 Interest and 300.00 Earnings SW2401.7 426.00 200.00 300.00 Sales of Scrap and Excess Materials SW2650.7 Minor Sales, Other SW2655.7 Insurance Recoveries 5W2680.7 ' r Compensation Loss SW2690.7 Specify SW TOTAL UNEXPENDED BALANCE * Transfer. to Page 1 11,121.00 11,776.00 26,535.00 UNEXPENDED BALANCE 17,735.00 17,735.00 4,789.00 0 ( 3,500.0c -0- ! acs ATE T 014 41' 3? 1 -AN K ° Fleetwood WATER DISTRICT APPROPRIATIONS ACCOUNTS ADMINISTRATION Personal Services Equipment Contractual Exp. TOTAL BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADCPTEU CODE 19 83 1984 19 85 19 85 1985 SW8310.1 SW8310.2 SW8310.4 SpURCE OF SUPPLY, POWER AND PUMPING Personal Services SW8320.1 318.00 519.00 837.00 Z 1,073.00 1,073.00 Equipment SW8320.2 275.00 Contractual Exp. SW8320.4 12,191.00 12,688.00 TOTAL 12,191.00 12,963.00 PURIFICATION Personal Services SW8320.1 cuipment SW8390.2 Contractual Exp. SW8330.4 TOTAL 1106 SMISSION AND DISTRIBUTION Personal Services SW8340.: Equipment SW8340.2 Contractual Exp. SW8340.4 TOTAL EMPLOYEE BENEFITS State Retirement Social Security Compensation Ins. Life Insurance Unemployment Ins. Disability Ins. Hospital and Medical Insurance TOTAL SW9010.3 SW9030.3 SW9040.8 SW9045.3 SW9050.3 SW9055.3 SW9060.8 172.00 172.u0 713.00 713.00 50.00 150.o0 200.00 500.00 1,900.00 2,400.00 UNDISTRIBUTED 906.00 694.00 1,600.00 400.00 27,100.00 27,500.00 175.00 325.00 500.00 750.00 3,910.00 4,660.00 906.00 906.00 694.00 b94.UU 1,600.00 1,600.00 400.00 400.00 14,450.00 14,450.00 14,850.00 14,850.00 175.00 325.00 500.00 175.00 325.00 500.00 750.00 750.00 2,910.00 2,910.00 3,660.00 3,660.00 ACCOUNTS Fleetwood WATER DISTRICT APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST IS TENTATIVE LIMINARY YEAR AMEFDED BUDGET BUDGET CODE 19833 15'84 19 S5 1985 UNDISTRIBUTED (CONTD.) OPTEI 1985 DEBT SERVICE PRINCIPAL Serial Bonds SW9710.6 2,600.00 2,600.00 2,600.00 2,600.00 2,600.00 Statutory Bonds SW9720.6 'fond Anticipation SW9730.'6 capital Notes SW9740.6 ::udget Notes SW9750.6 :venue Antici. SW9770.6 Debt Payments to Public Authorities SW9780.6 TOTAL 2,600.00 2,600.00 2,600.00 INTLREST S,.r_aL :ands SW9710.7 2,145.00 2,015.00 1,885.00 Statutory Conus Sw9720.7 and Anticipation SW97:r..7 Capital Notes 3W97A0.7 Zudcet Notes SW9750.1 Revenue Antoci. Sw9770./ Debt Payments to Public Authorities SW9780.; TOTAL 2,145.00 2,015.00 1,885.00 1,885.00 1,885.00 2,600.00 2,buU.uu 1,885.00 1,885.00 Misc. Deficit Balance 8389.0 INTF.RFUND TRANSFERS TRANSFER TO: Other Funas SW9901.2 Capital Project Funa SW9950.9 TOTAL 2 ODGL•TyRY PROVISIONS FOR OTlER USES SW962 TOTAL APPROPRIATIONS AND OTHER USES * Transfer to Page 1 18,658.00 21,251.00 38,745.00 4/ la.800.00 25,095.00 35,895.00 ACCOUNTS Metered Sales Unmetered Sales Water Connection Charges Interest and Penalties on Water Rents Fleetwood ,WATER DISTRICT ESTIMATED REVENUES BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 1983 1984 19,5 19-15 1915 SW2140.6 14,431.00 16,286.00 33,760.00 32,910.00 32,910.00 SW2142.6 SW2144.6 SW2148.6 535.00 250.00 300.00 300.00 300.00 Interest and Earnings SW2401.7 Sales et Scrap and Excess Materials SW2650.; Minor Sales, Other SW2655.; surancp ecoverles 5W2620.- Ot'•'r 4_:omoensat_on Loss SW2690.; v�W TOTAL♦ V . UNEXPENDED BALANCE * Transfer to Page 1 36.00 100.00 200.00 15,002.00 16,636.00 UNEXPENDED BALANCE 34,260..)0 -0- 0 200.00 200.00 31,410.00 lo.800.od 31,410.00 -0- ACCOUNTS ADMINISTRATION _Personal Services Equipment Contractual Exp. ' ' TOTAL Tall Trees WATER DISTRICT APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTEt CODE 1983 1984 191a 190 19a1 SW8310.1 SW8310.2 SW8310.4 545.00 545.00 502.00 502.00 361.00 389.00 750.00 361.00 361.00 389.00 389.00 750.00 750.00 SpURCE OF SUPPLY, POWER AND PUMPING Personal Services SW8320.1 Equipment SW8320.2 500.00 500.00 500.00 Contractual Exp. SW8320.4 10,197.00 11,771.00 16,000.00 14,000.00 14,000.00 TOTAL 10,197.00 11,771.00 16,500.00 14,500.00 14,500.00 PURIFICATION Personal :services :Qui=ent Contractuat :.YD. TOTAL CWR330.1 SW8330.2 SW8330.4 300.00 100.00 400.00 ?00. !?0 F,. 75.00 6,575.00 k9SMISSION AND DISTRIBUTION Personal Services SW8340.: Equipment SW8340.2 260.00 Contractual Exp. SW8340.4 1,231.00 1,400.00 3,910.00 TOTAL 1,231.00 1,660.00 3,910.00 EMPLOYEE BENEFITS State Retirement Social security Compensation Ins. Lire insurance Unemployment Ins. Disability Ins. Hospital and Medical Insurance TOTAL SW9010.8 SW9030.8 SW9040.8 SW9045.5 SW9050.8 SW9055.8 SW9060.8 UNDISTRIBUTED 300.00 275.00 575.00 300.00 275.00 575.00 610.00 61U.UU 610.00 610.00 ACCOUNTS Tali Trees WATER DISTRICT APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LI LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOP"E1 CODE 1983 1984 1935 19 85 1985 UNDISTRIBUTED (CONTD.) DEBT SERVICE PRINCIPAL Serial Bonds SW9710.6 2,450.00 2,450.00 2,450.00 Statutory Bonds SW9720.6 fond Anticipation SW9730.6 Cupital Notes SW9740.6 Budget Notes SW9750.6 Revenue Antici. SW9770.6 Debt Payments to Public Authorities SW9780.6 TOTAL 2,450.00 2,450.01 2,450.00 INT:REST Serai onas 51x5710.7 2,682.00 2,533.08 2,384100 Statutory ;:oras SW9720.7 Sono .:nt_c.pat:un 5W9730.7 %a;,:tai Notes 5W9740.7 Eu wet Notes SW9750.7 Zev� nue Ant:_:. SW9770. 7 :Fat : ayneP.ts to Puulic Author .t:.es SW97'0. 7 TOTAL 2,682.00 2,533.00 2,384.00 INTERFUND TRANSFERS TRANSFER T0: Other Funas Cdottal :'ro ject tuna TOTAL T49001.? 4,338.00 519950.9 ttDGETARY PROVISIONS FOR OTHER USES SW962 TOTAL APPROPRIATIONS AND OTHER USES * Transfer to Page 1 1.00 4,339.00 21.444.00 2,450.00 2,450.00 2,450.00 2,45U.UU 2,384.00 2,384.00 2,384.00 2,384.00 5,000.00 5,000.00 5,000.00 5,000.00 5,000.-0 5,000..70 5,000.00 5,000.00 24.336.00 37.569.00 26,269.00 26,269.00 1-{5 ACCOUNTS Tall Trees WATER DISTRICT ESTIMATED REVENUES BUDGET BUDGET ACTUAL TRIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 1983 1984 19 85 19 85 i985 Metered Sales SW2140.6 Unmetered Sales SW2142.6 14,096.00 13,996.00 27,235.00 15,935.00 15,935=.00 Water Connection Charges SW2144.6 75.00 Interest and Penalties on Water Rents SW2148.6 322.00 237.00 100.00 100.00 100.00 Interest and Earnings SW2401.7 Sales of Scrap and Excess Materials SW2650.7 Minor Sales, Other SW265 5.7 insurance Recoveries SW2680.7 0tb'r Compensation Loss SW2690.7 . Soecif Surcharae SW 2150 TOTAL UNEXPENDED BALANCE * Transfer to Page 1 125.00 5,240.00 100.00 400.00 5,000.00 5,000.00 19,858.00 19,333.00 UNEXPENDED BALANCE -0- 32,735.00 -0- 400.00 400.00 5,000.00 21,435.00 -0- 5,000.00 21,435.00 - 0- /il/ /146 77-v 7rn 7-164/,, IZy ir-Ji/94/k ACCOUNTS ADMINISTRATION .Personal Services Equipment Contractual Exp. ' TOTAL SpURCE OF SUPPLY, POWER AND PUMPING Personal Services Equipment Contractual Exp. TOTAL PURIFICATION Personal 5ervlces Equipment Cuntrsctuai Ext. TOTAL T SMIESION AND DISTRIBUTION Personal Services Equipment Contractual Exp. TOTAL EMPLOYEE BENEFITS state Retirement Social Security Compensation Ins. Life Insurance Unemployment Ins._ Disability Ins. Hospital and Medical Insurance TOTAL Central Wappinger ACTUAL LAST YEAR CODE 19 83 SW8310.1 SW8310.2 SW8310.4 SW8320.1 SW8320.2 SW8320.4 CW8330.1 S 8330.2. SW8330.4 SW82=.0.1 SW8340.2 SW8340.4 SW9010.3 SW9030.8 SW9040.8 SW9045.5 SW9050.3 SW9055.3 SW9060.3 31,256.00 31,256.00 WATER DISTRICT APPROPRIATIONS BUDGET THIS YEAR AS AMENDED 1910 17,234.00 17,234.00 10,000.00 125,688.00 97,707.00 1r,n 175,00A8 00 107.707_0G 181,15.00 BUDGET OFFICERS TENTATIVE BUDGET 911,5 13,700.00 13,800.00 27,500.00 16,700.00 615.00 615. )0 21,666.00 21,066.00 500.00 4,044. , 4,`44. ;0) 4,000.J0 66,000.00 70,000.00 UNDISTRIBUTED yd 750.)0 06,000.)0 86,750.00 7,500.00 47,800.00 55,300.00 PRE— LIMINARY BUDGET 19131 ADOPTED 19g� 13,700.00 13,700.00 1.3, 800.00 ls, ouu. uu 27,500.00 27,500.00 16,100.00 16,700.00 164,425.00 164,425.00 181,125.00 181,125.00 750.00 /50.00 1,000.00 1,000.00 1,750.00 1,750.00 7,500.00 22,800.00 30,300.00 1,500.00 22,800.00 30,300.00 ACCOUNTS Central WaDpinatr WATER DISTRICT APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET A OPTED CODE 19 83 1984 1985 19 85 DEBT SERVICE PRINCIPAL Serial Bonds SW9710.6 statutory Bonds SW9720.6 bond Anticipation SW9730.6 Gaoital Notes SW9760.6 Budget Notes SW9750.6 (.evenue Antici. SW9770.6 Debt Payments to Public Authorities SW9780.6 TOTAL :NT:REST St!r.j. zonas St,:tutcry Zonas n')7 bona .%nt:.cipati.on SWQ730.: Capital Notes SW9760.7 buauet rotes SW97::0.: Revenue Antic_. SW9770.: boot 2.3vmer.t:, to Public Authorities SW9780.7 TOTAL 131,044.00 Contingency SW1990.4 jTERFrND TRANSFERS 1P, NSFP.8 TO: Other Funas SW9901.? Capital Project Fund SW9950.) 2.00 TOTAL UNDISTRIBUTED (CONTD.) 110,000.00 110,000.00 110,000.00 40 ,400.00 4,'J40.00 110,000.� 0 10,400.00 1b4,54O.0U 131,044. 00 125 ,081 r, G 119 ,138.00 BUDGETARY PROVISIONS FOR.OTIIEP. USES SW962 'DOTAL APPROPRIATIONS AND OTHER USES Transfer to Page 1 420,271.00 14, 140.30 t3, 716.O® 1985 110,000.00 110,000.00 54,540.00 54,b4U.UU 164,540.00 1b4,7'*u.uu 119,138.00 119,138.00 13,716.00 139,221.00 132,654.60 132, 854.00 1i2,234. U0 10,000.00 -0- -0- -0- 499,106.00 648,069.00 538,069.00 538,069.0C ACCOUNTS Metered Sales Unmetered Sales Water Connection Charges Interest and Penalties on Water Rents Interest and Earnings Sales of scrap And Excess Materials Minor :.:aies. asuranc0 it ecovpr:es ,r ':cmoensat:on Loss .CPC:1y Inc. on Prep 0 ')ther Re Misc. Interfund Trans. Total Revenues UNEXPENDED 3ALANCE Central Wappinger (:ODE SW2140.6 SW2142.6 SW2144.6 SW2148.6 SW2401.7 SW26 50 . ; CW2655.; :W2GcG.: SW2690.; 2410. SW2770.0 SW9901.9 * Transfer to Page 1 ACTUAL LAST YEAR 19 83 159,805.00 3,025.00 19,384.00 12,373.00 720.00 6,500.00 202,307.00 WATER DISTRICT ESTIMATED REVENUES BUDGET THIS YEAR AS AMENDED 19 84 196,000.00 2,000.00 2,000.00 200,000.00 4,911'2.00 5v BUDGET OFFICERS TENTATIVE BUDGET 19 85 294,525.00 1,750.00 4,500.00 14,900.00 315,675.00 35_nnn nn PRE- LIMINARY BUDGET 19 85 ADOPTEI. 19 85 159,425.00 159,425.00 1,750.00 1,750.00 4,500.00 20,000.00 185,675.00 55,000.00 4,500.00 20,000.00 185,675.00 55,000.0u '1145 eq N "FENT/ 9 /-cy t.1 ACCOUNTS ADMINISTRATION Personal Services Equipment Contractual Exp. TOTAL Ardmore WATER DISTRICT APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED; CODE 1983 19 84 19 85 1985 1985 ' SW8310.1 SW8310.2 SW8310.4 SPURCE OF SUPPLY, POWER AND PUMPING Personal Services SW8320.1 250.00 250.00 125.00 125.00 275.00 150.00 425.00 Equipment SW8320.2 1,600.00 2,600.00 Contractual Exp. SW8320.4 5,429.00 3,905.00 6,761.00 TOTAL 5,429.00 5,505.00 9,361.00 PURIFICATION Personal Services SW8330.1 raulament SW8330.2 Contractual rXD. SW8330.4 TOTAL JIWA SMISSION AND DISTRIBUTION Personal Services SW8340.I Eouicment SW8340.2 Contractual Exp. SW8340.4 TOTAL EMPLOYEE BENEFITS State Retirement Social Security Compensation Ins. Life Insurance Unemployment Ins. Disaoility Ins. Hospital and Medical Insurance TOTAL SW9010.8 SW9030.8 SW9040.8 SW9045.8 SW9050.8 SW9055.8 SW9060.8 • 255.00 255.00 1,000.00 1,000.00 UNDISTRIBUTED sa 750.00 ibU.00 275.00 274.00 150.00 425.00 15U.UU 425.00 2,600.00 2,600.00 6,761.00 6,761.00 9,361.00 9,ibt. UU 750.00 750.00 /�U.UU /50.00 ACCOUNTS Ardmore WATER DISTRICT APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET PTE; CODE 19J3 19j,g 19.a,5, 195 19,E UNDISTRIBUTED (CONTD.) DEBT SERVICE PRINCIPAL Serial Bonds SW9710.6 12,100.00 12,100.00 Statutory Bonds SW9720.6 Bond Anticipation SW9730.6 Capital Notes SW9740.6 Budget Notes SW9750.6 .3evenue Antici. SW9770.6 Debt Payments to Public Authorities SW9780.6 TOTAL 12,100.00 12,100.00 12,100.00 12,100.00 INTEREST Serial :ones SWU710.: i0 2tatut..ry Bona cinticisation SW9730.7 Caul:a1 Notes SW97O. 7 3un:'et rotes SW4770.: Rev.gnue Antic:. SW97'i.: Dept ?avment3 'c Public Autnoritles SW97?0.7 TOTAL u Contingency SW1990.4 INTERFUND TRANSFERS TRANSFER TO: Other Funas SW9901.) Caoltal Project Funu SW9950.) TOTAL TUDCETARY PROVISIONS FOR OTHER USES SW962 TOTAL APPROPRIATIONS AND OTHER USES * Transfer to Page 1 31,314.;0 12,042. 00 11,906.00 12,100.00 12,10,0.00 12,100.00 12,100.00 11,905.00 11,905.00 1�,u42. 00 11.,905.00 11,905.00 11,905.00 1,000.00 750.00 14,000.00 14 .9o0. 00 750.00 750.00 20,000.00 20,000.00 20,000.00 20,00Q.00 32,372.00 50,191.',00 55,291.00 55,291.00 5-3 ACCOUNTS Metered Sales Unmetered Sales Water Connection Charges Interest and Penalties on Water Rents Interest and Earnings Sales of Scrap and Excess Materials SW2650.; Minor Sales, Other SW2655.: :n.surance ,,Recoveries fth'r 1-4mpi'.nsat.On Loss Specify CODE SW2140.6 SW2I42.6 SW2144.6 SW2148.6 SW2401.7 TOTAL UNEXrE';DED BALANCE * Transfer to Page 1 :W2660. SW2690.: SW Ardmore WATER DISTRICT ESTIMATED REVEAUES • BUDGET BUDGET ACTUAL TRIS YEAR OFFICERS PRE— LAST AS TENTATIVE LIMINARY YEAR AMENDED 3UDGET BUDGET ADOPTED 19_11 1910 19 85 19 85 19 85 19,997.00 3,500.00 0 -0- 0 -0- 150.00 z 50.00 10.00 0 3,975.00 900.00 24,172.00 4,410.00 UNEXPENDED BALANCE 3,220.00 .Py -0- 3:000.00 3,000.00 3,000.00 3,000.00 23,136.00 28,286.00 -0- 3,000.00 3,000.00 28,286.00 -#1r1/ -S 6?)6. ,,L-N-rEiVrioN/94y ACCOUNTS ADMINISTRATION .Personal Services Equipment Contractual Exp. • TOTAL Watch Hill WATER DISTRICT APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE— LAST AS TENTATIVE: LIMIUARY YEAR AMENDED BUDGET BUDGET ADOPTEI CODE 19 83 19 84 19 85 1985 19 8”. SW8310.1 SW8310.2 SW8310.4 832.00 702.00 832.00 702.00 SAURCE OF SUPPLY, POWER AND PUMPING Personal Services SW8320.I Equipment SW8320.2 Contractual Exp. SW8320.4 14,006.00 16,154.00 TOTAL 14,006.00 16,154.00 PURIFICATION ?ersonal ::er•n_ces auiament Cuntractual Ext. TOTAL ZW8330.1 W8330. tie SMISSION AND DISTRIBUTION Personal Services SW8340.I Equipment SW8340.2 Contractual Exp. SW8340.4 TOTAL EMPLOYE EENEFIT3 State aetirement SW9010.8 Social Security SW9030.8 Compensation Ins. SW9040.8 Lite Insurance SW9045.5 Unemployment Ins. SW9050.8 Disaoility Ins. SW9055.3 Hospital and Medical Insurance SW9060.8 TOTAL 511.00 511.00 1,500.00 1,500.00 UNDISTRIBUTED 870.00 630.00 1,500.00 27,050.00 27,050.00 3,000.00 3,000.00 870.00 870.00 630.00 bsU. UU 1,500.00 1,500.00 19,800.00 19,bUU.UU 19,800.00 19,800.00 2,000.00 2,000.00 2,000.UU 2,000.00 ACCOUNTS Watch Hill WATER DISTRICT APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE— LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET PTE; CODE 19 8319 84 19 85 19,5 19 i5 UNDISTRIBUTED (CONTD.) DEBT SERVICE PRINCIPAL Serial Bonds SW9710.6 Statutory Bonds SW9720.6 !!olid Anticipation SW9730.6 Capital Notes SW9740.6 Sudget Notes SW9750.6 ?evenue Antic:.. SW9770.6 Jebt Payments to Public Authorities SW9780.6 TOTAL I'IT:::IEST :: _ria: -,t>r:as .;;;077. Sona ';w9 .n. 'aci;.ai Notes -:49740.' 3ua;:et ::otos SW97' . =evPnue 2obt ?.vrlent:; 7ub1L;: .tut:oriLies SW9720. - TOTAL f ELF ,'cntinaency SW1990.4 1,300.00 1,000.00 1,000.00 :NTERFUND TRANSFERS TRANSFER TO: Other Funcs W9901 . , Cacita1 .r i“ct Funis gW9950., TOTAL ;UDGETARY PROVISIONS FOR OTHER USES SW962 TOTAL APPROPRIATIONS AND OTHER USES Transfer to Page 1 15,349.00 19,356.00 31,550.00 57 24,300.00 24,300.00 ACCOUNTS Metered Sales Unmetered Sales Water Connection Charges Interest and Watgh Hill WATER DISTRICT ESTIMATED REVENUES BUDGET BUDGET ACT -JAL THIS YEAR OFFICERS PRE- LA1iT AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 19 83 1984 1985 19 85 19 85 SW2140.6 22,989.00 19,106.00 30,600.00 20,350.00 20,350.00 SW2142.6 SW2144.6 Penalties on Water Rents SW2148.6 595.00 250.00 250.00 250.00 250.00 Interest and Earnings SW2401.7 Sales of Scrap and Excess Materials SW2650.7 Minor Sales, Other SW2655.7 insurance Recoveries SW2660.7 0 `,r Compensation Loss SW2690.7 0r, Specify Misc. SW2770 TOTAL UNEXPENDED BALANCE * Transfer to Page 1 • 202.00 0 700.00 700.00 700.00 575.00 24,361.00 19,356.00 UNEXPENDED BALANCE 31,550.00 21,300.00 21,300.00 _0- —0— 3,000.00 3,000.00 ' �d N(5 - ( -1(s 1. (--N iioN H-LiL L 1 ., / i< \ k P-1 1\1fr--. ACCOUNTS Mid -Point SEWER DISTRICT APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 19, 19 84 19 85 19 85 1985 SPECIAL ITEMS FAXES ON SEWER DISTRICT PROPERTY Contractual Exp. SS1950.4 ADMINISTRATION Personal Services Equipment Contractual Exp. TOTAL SS8110.1 SS8110.2 SS8110.4 t 1,230.00 1,230.00 1,004.00 1,004.00 SEWAGE COLLECTING SYSTEM PPrsorai ::er:ices SS3120.1 Eouicment SS8120.2 Contractual ixo. SS8120.4 249.00 800.00 TOTAL 249.00 800.00 E TREATMENT AND DISPOSAL Personal Services SS8130.1 Equipment SS8130.2 500.00 500.00 500.00 Contractual Exp. SS8130.4 47,228.00 47,998.00 101,510.00 55,574.00 55,574.00 TOTAL 47,228.00 47,998.00 102,010.00 56,074.00 56,074.00 660.00 540.00 1,200.00 300.00 9,250.00 9,550.00 1 660.00 660.00 540.00 04v.uu 1,200.00 1,200.00 300.00 4,250.00 4,550.00 300.00 4,250.00 4,550.00 EMPLOYEE BENEFITS State Retirement SS9010.3 Social Security SS9030.8 Cgmpensation Ins. SS9040.3 Life Insurance SS9045.8 Unemployment Ins. SS9050.8 Disability Ins. SS9055.8 Hospital and Medical Insurance SS9060.8 TOTAL UNDISTRIBUTED 40 ACCOUNTS Mid -Point SEWER DISTRICT APPROPRIATIONS BUDGET BUDGET ACTUAL. THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 1983 198419 85 19 85 DEBT SERVICE PRINCIPAL erial Bonds SS9710.6 1,000.00 'tatutory Bonds SS9720.6.. and Anticipation SS9730.6 apltal Notes SS9740.6 tudget Notes SS9750.6 :evenue Antici. SS9770.6 Debt Payments to Public Authorities SS9780.6 TOTAL 1,000.00 INTEREST eriaL .:onus C'97'O.: 1,074.00 :tatutcry .`.oras :S?'20.: and AnticLpat:on X597'0.; aortal Notes SS9740.: uc:,et Notes SS97Y).: evenue ..nt_c_. SS9' ';.: Pot ?avnents 'o ?uulic Authorities SS9780.: TOTAL L,074.00 .ontirgency SS1990.4 "NTERFUND "_TRANSFERS "3ANSFER TO: Other Fur.cs :.S9901. C.+altal : ro •Act una SS9050.; TOTAL 'DGETARY PROVISIONS 'OR °TIHEP USES SS962 -DTAL APPROPRIATIONS AND OTIiER USES ' Transfer to Page 1 UNDISTRIBUTED 1,000.00 ADOPTE 1985 1,000.00 1,000.00 110oa.00 1,000.00 1,000.00 1,000.00 1,000.00 1,013.00 :wiz 00 1_013.00 .3,000.00 50,781.00 54,815.00 6/ 95'2..00 .Soo . 00 952.00 952.00 952.00 952.00 500.00 500.00 115,212.00 64,276.00 64,276.00 Mid -Point SEWER DISTRICT ESTIMATED REVENUES BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTE! ACCOUNTS CODE 1983 1%4 198.1 1918_5. 19 85 Sewer Rents SS2120 49,432.00 51,602.00 95,360.00 40,424.00 40,424.00 -Sewer Charges SS2122 525.00 0 0 -0- -0- Interest and Penalties on Sewer • Rents SS2128 738.00 900.00 400.00 400.00 400.00 Z Interest and 1,500.00 1,500.00 Earnings SS2401 1,730.00 300.00 1,500.00 Sales of Scrap and Excess Materials SS2650 Minor Sales, Other SS2655 Insurance Recoveries SS2580 Other Compensation For Loss SS2590 State Aid for fneration and Illell intenance of age Disposal ant SS3901 7,943.00 0 6,000.00 6,000.00 6,000.00 Other, Specify SS TOTAL UNEXPENDED BALANCE * Transfer to Page 1 • 60,368.00 52,802.00 UNEXPENDED BALANCE -0- 103,260.00 48,324.00 48,324.00 10,000.00 14,000.00 14,000.00 ••• *• • ZZ • • ACCOUNTS SPECIAL ITEMS TAXES ON SEWER DISTRICT PROPERTY C9ntractual Exp. ripltwood SEWER DISTRICT APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIIINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 19 83 1984 19 85 19 85 19 85 SS1950.4 ADMINISTRATION Personal Services SS8110.1 561.00 Equipment SS8110.2 Contractual Exp. SS8110.4 1,013.00 1,073.00 389.00 TOTAL 1,013.00 1,073.00 950.00 SEWAGE COLLECTING SYSTEM Personal Services SS8120.1 Equipment SS8120.2 Contractual Exp. SS8120... 'OTAL SE TREATMENT AND DISPOSAL Personal Services Equipment Contractual Exp. TOTAL SS8130.1 SS8130.2 SS8130.4 EMPLOYEE 3ENEFITS State Retirement SS9010.8 Social Security SS9030.8 Compensation Ins. SS9040.3 Life Insurance SS9045.3 Unemployment Ins. SS9050.8 Disability Ins. SS9055.8 Hospital and Medical Insurance SS9060.8 TOTAL d7. ,i0 87.00 49.32.00 49,232.00 200.00 1,600.00 1,800.00 750.00 49,649.00 _ 50,399.00 UNDISTRIBUTED Gy 300.00 9,000...)0 9,300.00 500.00 166.050.00 166,550.00 561.00 561.00 389.00 389.00 950.00 950.00 300.00 4,000.00 4,300.00 JUU.UU 4,000.00 4,300.00 500.00 500.00 49,524.00 49,524.00 50,024.00 5U,U24.UU ACCOUNTS Fleetwood SEWER DISTRICT APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS LAST AS TENTATIVE YEAR AMENDED BUDGET CODE 19 83 19 84 19 85 DEBT SERVICE PRINCIPAL aerial Bonds SS9710.6 4,000.00 statutory Bonds SS9720.6 :pnd Anticipation SS9730.6 :apital Notes SS9740.6 ludget Notes SS9750.6 .evenue Antici. SS9770.6 Debt Payments to Public Authorities SS9780.6 TOTAL 4,000.00 INTEREST Serial Bonds SS9710.7 3,300.00 Statutory 2onds SS9720.7 :ond Anticipation SS9730.7 Capital Notes SS9740.7 Suaget Notes SS9750.7 Revenue Antici. SS9770.7 Debt Payments to Public Authorities SS9780.7 TOTAL 3,300.00 Contingency SS 1990.4 INTERFUND TRANSFERS TRANSFER T0: Other Funds 5S9901.9 Capital Project Fund SS9950.9 L.00 TOTAL 1j00 ^DGETARY PROVISIONS 7OR OTHER USES SS962 '3TAL APPROPRIATIONS AND OTHER USES 57,633.00 * Transfer to Page 1 UNDISTRIBUTED 4,000.00 PRE- LIMINARY BUDGET 19 85 4,000.00 4,000.00 4,000.00 4,000.00 2,100.00 2.,900.00 3,100.30 4900.00 ADOPTE 1985 4,00b.00 4,000.00 4,Uuo.Uu 2,900.00 2,900.00 2,900.00 500.00 2,900.00 500.00 60,372.00 183,700.00 62,674.00 62,674.00 4:6 ACCOUNTS Fleetwood SEWER DISTRICT ESTIMATED REVENUES BUDGET EUDGET ACTUAL THIS YEAR OFFICERS PRE— LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTEI CODE 19 83 19 84 1985 19 85 1985 Sewer Rents SS2120 31,564.00 34,535.00 .Sewer Charges SS21f2 Interest and Penalties un Sewer 'Rents SS2128 965.00 800.00 Interest and Earnings SS2401 5,659.00 500.00 Sales of Scrap and ExcesR Materials SS2650 Minor Sales, Other SS2655 Insurance Recoveries SS2580 Other Compensation . ;r :.uss S52€c0 :;tace :.Ld ..;r Orprat ion .inu lor Lr.tenar.ce of wage Disposal int c5:.:01 4,'392.00 7,000.00 Other, Epeci 'r 5S • TOTAL 43,180.00 35,835.00 171,800.00 UNEXPENDED BALANC:: UNEX1'1'NDED EAL.\NCE 17,437.00 5,000.00 , 162,900.00 800.00 1,100.00 * Transfer to Page 1 • 44. 41,874.00 41,874.00 800.00 800.00 1,100.00 1,100.00 7,000.00 50,774.00 5,000.00 M 7,000.00 50,774.00 5,000.00 ifs • t ACCOUNTS SPECIAL ITEMS TAXES ON SEWER DISTRICT PROPERTY Contractual Exp. Rockingham SEWER DISTRICT APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 19 83 19 84 1935 19 85 1985 SS1950.4 ADMINISTRATION Personal Services SS8110.1 Equipment SS8110.2 Contractual Exp. SS8110.4 TOTAL SEWAGE COLLECTING SYSTEM Personal 2ervices SS3120.1 Equipment SS8120.2 Contractual exp. SS8120.. TOTAL z 1,564.00 4,251.00 5,815.00 3,725.00 3,725.00 5,560.00 5,560.00 7,335.00 7,335.00 4,000.00 2,300.00 6,300.00 2,300.00 20,500.00 23,300.00 SGE TREATMENT AND DISPOSAL Personal Services SS8130.1 Equipment SS8130.2 500.00 Contractual Exp. SS8130.4 129,530.00 123.765.00 188,560.00 TOTAL 129,530.00 123,765.00 189,060.00 EMPLOYEE 3ENEFITS State Retirement SS9010.8 Social Security SS9030.8 Compensation Ins. SS9040.8 Life Insurance SS9045.3 Unemployment Ins. SS9050.3 Disability Ins. SS9055.S Hospital and Medical Insurance SS9060.8 TOTAL UNDISTRIBUTED 4ts 4,000.00 4,000.00 2,300.00 2,300.00 6,300.00 6,300.00 2,800.00 2,800.00 13,000.00 13,000.00 15,800.00 15,800.00 500.00 500.00 124,916.00 124,916.00 125-416.0Q 125,416.00 ACCOUNTS Rockingham SEWER DISTRICT APPROPRIATIONS r� BUDGET BUDGET ACTUAL THIS YEAR OFFICER: PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 19_113 19gq 195 19 j DEBT SERVICE PRINCIPAL Serial Bonds SS9710.6 Statutory Bonds SS9720.6 Bpnd Anticipation SS9730.6 Capital Notes SS9740.6 Budget Notes SS9750.6 Revenue Antici. SS9770.6 Debt Payments to Public Authorities SS9780.6 TOTAL INTEREST Serial 3onds SS97:0.: Statutory Zonas 7.597=J.; Bond :.nticipat:on SS9720.: Capital Notes 5S97.0.7 Budget Notes SS97`.0. Revenue Antici. SS9770.,' Debt ?lyraents to Public Authorities SS9780.7 TOTAL Contingency SS1990.4 2NTERFUND TRANSFERS TRANSFER TO: Other Funds SS9901.? Capital Prcject FlInd SS9950.; TOTAL Misc. Deficit Balance BUDGETARY PROVISIONS FOR OTHER USES SS962 TOTAL APPROPRIATIONS AND OTIIER USES 139,070.00 * Transfer to Page 1 • UNDISTRIBUTED .1, U400.UU ADOPTE 19 8! l,uuu.uu 1,00u.uo 7,000.00 136,660.00 219,660.00 148,516.00 155,516.00 ID� ACCOUNTS Sewer Rents .Sewer Charges Interest and Penalties on Sewer Rents Rockingham SEWER DISTRICT ESTIMATED REVENUES BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTEr CODE 19 83 19 84 19 85 19 85 19 85 SS2120 SS2122 SS2128 Interest and Earnings SS2401 Sales of Scrap and Excess Materials SS2650 Minor Sales, Other SS2655 Insurance Recoveries • SS2580 Other Compensation 7cr :.obs SS2Y“) State .'•.14 for nneration anu limintenance of ',age Dlsnosai ant CS2?) 1 Other, Spec:_. Federal Revenue 554001 TOTAL UNEXPENDED 31L:NCE * Transfer to Page 1 100,189.00 118,224.00 198,710.00 650.00 0 1,723.00 590.00 27,666.00 18,490.00 149,308.00 1,500.00 750.00 134,566.00 134,566.00' 750.00 750.00 1,200.00 1,200.00 1,200.00 1,200.00 19,000.00 19,000.00 19,000.00 120,924.00 219,660.00 155,516.00 155,516.00 CNETPENDED BAL;NC:: 15,736.00 0 ( 7,000.00) -0- 70 • kLANK 1 ACCOUNTS SPECIAL ITEMS T4XES ON SEWER DISTRICT PROPERTY Contractual Exp. Wildwood SEWER DISTRICT APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 1983 19 84 1985 19 85 SS1950.4 ADMINISTRATION Personal Services SS8110.1 Equipment SS8110.2 Contractual Exp. SS8110.4 1,492.00 1,506.00 TOTAL 1,492.00 1,506.00 SEWAGE COLLECTING SYSTEM Personas Services Equipment Contractual ::xp. (1T• r J♦L1L SS1_0.. SSb12S._ SSo1.2 SE' TREATMENT AND DISPOSAL Personal Services SS8130.1 Equipment SS8130.2 Contractual Exp. SS8130.4 TOTAL EMPLOYEE BENEFITS State Retirement SS9010.8 Social Security SS9030.8 Compensation Ins. SS9040.8 Life Insurance SS9045.3 Unemployment Ins. SS9050.3 Disability Ins. SS9055.8 Hospital and Medical Insurance SS9060.8 TOTAL 4,394-00 4,394.00 60, 283. 00 60,283.00 200.00 7,100.00 7,300.00 650.00 61,140.00 61,790.00 UNDISTRIBUTED 7.1 990.00 610.00 1,600.00 500) .OXID 10,000.00 10,500.00 1,250.00 82,350.00 83,600.00 ADOPTED 19 85 990.00 990.00 610.00 610.00 1,600.00 1,600.00 10,000.00 10,000.00 10,500.00 10,500.00 1,250.00 1,250.00 78,878.00 78,878.00 $0,128.00 80,128.00 ACCOUNTS DEBT SERVICE PRINCI^il. Serial Bonds Statutory Bonds Bond Anticipation Capital Notes Budget Notes Revenue Antici. Debt Payments to Public .'Authorities TOTAL CODE SS9710.6 059720.6 SS9730.b SS97A0.6 SS97`,0.6 S39770.6 SS9790.6 :11 TE:? ES :' St.;t:..cr•. r., 3-,n(1 :.nt_c_::!at_;n " ��p>tai .'ot9s 'Ot . ay .ent5 Puolic Aut: cri..es TOTAL Continggencv SS 1990. 4 : NTERFUND 77.ANSFERS -.,ANSFER 70: :thrr ur s CJc i �.t . r0'pct ", (l0_0 . ;TAL t 1:G::T-\RY : ROVIS IONS FOR OTHER 7:SES SS96.: ;')T1,.L APPROPRIATIONS AND OTHER USES * Transfer to Page 1 Wildwood ACTUAL LAST YEAR 19 83 13,)00.00 43ruug.LN SEWER DISTRICT APPROPRIATIONS BUDGET THIS YEAR AS AMENDED 19 84 UNDISTRIBUTED BUDGET OFFICERS TENTATIVE BUDGET 19 85 13,000.00 13,000.00 13,Q00.0(3 133,00)/.00= 16,044,00 , 34f , 0Q 141,6417%.0S 1-,())14.60 15.345: 00 95,213.00 . 4 ,64,7..00) 1,000.00 98,942.00 124,347.00 13 PRE- LIMINARY BUDGET 1985 ADOPT: 198`- 13,000.00 13,000.00 13,000.00 13,000.UU 14,647.00 14,647.00 3/„E 14,64/.UU 14,647.00 1,000.00 1,000.00 4 120,875.00 120,875.00 w. ACCOUNTS Sewer Rents •Sewer Charges :Interest and Penalties on Sewer Rents Wildwood SEWER DISTRICT ESTI.`MATED REVENUES BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE— LAST AS TENTATIVE LIMINARY YEAR A?LENDED BUDGET BUDGET ADOPT E.: CODE 1983 194 19_15 19.A5 1; SS2120 SS2122 SS2123 Interest and ,Earnings SS2401 Sales of Scrap and Excess Materials SS2550 Minor Sales, Other SS2655 Insurance Recoveries SS2650 Otter Compensation ser Loss '•') tate aiu _Jr ''noration ana Leintenance of age Disposal "tier, Specify SS TOTAL CNEXPENDED CAL1NC: * Transfer to Page 1 • 0 51,504.00 339.00 400.00 10,106.00 3,300.00 7,413.00 17,958.00 55,204.00 UNEXPENDED BALANCE 15,392.00 ?y 39,200.00 0 3,500.00 47,728.00 47,728.00 3,500.00 3,500.00 9,000.00 9,000.00 9,000.00 51,700.00 60,228.00 60,228.00 45,000.00 33,000.00 33,000.00 w le?q,E-- -1E-4 77,06 t ACCOUNTS SPECIAL ITEMS TAXES ON SEWER DISTRICT PROPERTY Contractual Exp. Sewer Improvement #1 SEWER DISTRICT APPROPRIATIONS J BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 1983 1934 1935 19 85 19 85 SS1950.4 ADMINISTRATION Personal Services SS8110.1 Equipment SS8110.2 Contractual Exp. SS8110.4 4,536.00 TOTAL 4,536.00 SEWAGE COLLECTING SYSTEM Personal Services SS31:0.: Equipment SS8120.. Contractual Exp. SS8120.•. Tf '.L 6,371.00 6,371.00 5EWA(REATMENT AND DISPOSAL Personal Services SS8130.1 Equipment SS8130.2 :.ontractual Exp. SS8130.4 140,134.00 TOTAL 140,134.00 :MPLOYEE BENEFITS itate Retirement SS9010.8 1ocial Security SS9030.8 :ompensation Ins. SS9040.8 .ife'Insurance SS9045.3 )nemplovment Ins. SS9050.8 Usability Ins. SS9055.8 [ospital and, Medical Insurance SS9060.8 TOTAL • 4,015.00 4,015.00 1,700.00 14.600.00 16,300.00 1,100.00 139,248.00 140,348.00 UNDISTRIBUTED 7' 3,000.00 3,000.00 6,000.00 3,350.00 47,000.00 $0, 350.00 4,500.00 209,5/0.00 214,070.00 3,000.00 3,000.00 6,000.00 3,350.00 47,000.00 50,350.00 4,7UU.UU 198,890.00 203,390.00 3,000.00 3,000.00 6,000.00 4/,000.UU 50,350.00 4,500.00 198,890.00 203,390.00 ACCOUNTS Sewer Improvement #1 SEWER DISTRICT APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 19 83 19 84 1985 19 85 DEBT SERVICE PRINC1:AL r.rial Bonds SS9710.'. statutory Bonds SS9720.-) and Anticipation SS9720.c :apical Notes SS97/0.6 'udget Notes SS97`,0.6 cvenue Antici. SS9770.6 2ebt rayl ents to Public Authorities `:S97r0.`; TOTAL -.7TS2 c r ... :.,r.,:s '�t...... .. ;r. l: 125,650.00 UNDISTRIBUTED 125,650.00 125,650.00 62,858.00 89,E324.:i0 ADOPT 19 • 125,650.00 125,650.01 89,824.00 81,824.0( 125,650.00 188,508.00 2115 ,41774.•00 215, 474.00 215,4/4.0( - 146,842.00 139,963_00) 133,0644.01 D1tai No.''i Puolic .ut .cr.t.es Continaenc•/ SS 1990.4 '•iT`'RFU D 7^2ANSFFRS "..ANSFER 70: ;thNr. . unds �.iolt.I . .., ,•ct rCTAL —DGZ7ARY 7PCVIS IONS 'Oa 0TI:ER ::3ES SS962 'OTAL ,1PPROPRIATICNS AND OTHER USES * Transfer to Page 1 146,842.00 1.00 1.00 30,800.00 170,763.00 133,084.00 133,084.0( 26,6:10).00 25, 382.00 152,694.00 1,000.00 158,466.00 158,466.0( 1,000.00 1,000.0( 423,534.00 519,934.00 646,57@•00 634,680.00 '7j 34,680.0( ACCOUNTS Sewer Rents ;ewer Charges Interest and `Penalties on Sewer 'Rents Sewer Improvement #1 SEWER DISTRICT ESTIMATED REVENUES BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE— LAST AS "ENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 19 83 1984 1985 19 85 1985: SS2120 SS2122 SS2123 Interest and Earnings SS2401 Sales of Scrap and Excess Materials SS2550 Minor Sales, Other SS2555 Insurance Recoveries SS25r0 Other Compensation Fcr :..ass .t,ite Atu Lor Operation ana .i t enar.ce of rake DisrosaL nL .:52'•" 1 Other, 5pec:'v Misc. SS 2770 TOTAL UNEXPENDED !AL?:CE • *Transfer to ?age 1 176,063.00 2,100.00 1,471.00 12,192.00 20,490.00 912.00 213,228.00 157,163.00 196,420.00 125,740.00 125,740.00 1,000.00 1,000.00 1,000.00 1,000.00 2,500.00 15,000.00 15,000.00 15,000.00 19,000.00 160,663.00 231,420.00 UNEXPENDED BALANCE 0- 40,000.00 78' 19,000.00 19,000.00 160,740.00 160,740.00, 100,000.00 100,000.00 4/5 /oNnit F il• t* 4 T' f `.i / P SCHEDULE OF SALARIES OF ELECTED ' TOWN OFFICERS (Article 8 of the Town Law) 1984 (aansended � #R1985 1985 1985 OIL R Budget entative Preliminary Adopted Supervisor 12,000.,00 12,000.00 12,000.00 12,000.00 Councilpersons (4) 20,000.00 20,000.00 20,000.00 20,000.00 r Tcwvn Clerk 22,000.00 24,200.00 22,600.00 22,600.00 Town Justice (2) 14,830.00 16,320.00 14,830.00 14,830.00 Supt. of Highway 27,300.00 29,211.00 27,900.00 27,900.00 Sco