Loading...
1975-11-14 SPM367 A Special Meeting of the Town Board of the Town of Wappinger was held on November 14, 1975 at 4:00 P.M. at the Town Hall, Mill Street, Wappingers Falls, New York. Supervisor Diehl called the meeting to order at 4:17 P.M. Present: Louis Diehl, Supervisor Louis Clausen, Councilman Leif Jensen, Councilman Frank Versace, Councilman Elaine H. Snarden, Town Clerk Absent: Stephen Saland, Councilman (absent at roll call- arrived at 4:30 P.M.) Others Present: Nicholas Johnson (Councilman elect) William Egan, Confidential Secr. to the Supervisor Supervisor Diehl indicated that this meeting had been called at the November 10, 1975 Regular Monthly Meeting for the purpose of considering the adoption of the 1976 Town Budget, and any other business that may properly come before the Board. Matthew Ryan had prepared a statement for the Board, showing the condition of the various sewer and water districts to give the Board an idea if the present rates are held where, financially the Town would be at the end of 1976. Mr. Ryan explained the chart for the various districts and improvements. The only problem he can foresee at this time is Wappinger Sewer Improvement Area ##1. If the present rate is continued the.Wappinger Sewer Improvement Area will run into a deficit of about $3,000.00, it was his recommendation that the rate be increased to $25.00 per quarter from the present $20.00 per quarter. MR. DIEHL moved the -rates for Wappinger Sewer Improvement Area 01 be increased from $20.00 per quarter to $25.00 per quarter effective January 1, 1976, contingent upon advice from the Attorney to the Town as to whether a public hearing would, or would not, be required to increase the rates. 8 Seconded by Mr. Clausen. Roll Call Vote: 4 Ayes 0 Nays Mr. Johnson made some inquiries as to the Town's receipt of State aid for O&M for the Sewer and Water Districts. (Mr. Saland arrived). Mr. Clausen , going back to the General Town Budget showed concern for sufficient funds for the General Street Lighting. He recom- mended that an additional $3,000.00 be placed in Account B5182.4 for the General Town Street Lighting. Supervisor Diehl brought up for discussion the possibility of closing all the Town offices both the day after Thanksgiving and the day after Christmas (both holidays falling on Thursday) . MR. CLAUSEN moved that all the Town of Wappinger Town Offices be closed both the day after Thanksgiving and the day after Christmas. Seconded by Mr. Jensen. Motion Unanimously Carried There was a lengthy discussion on the care and use of the two Town cars that were being considered for the Supervisor and Assessor. There were several schools of thought on policies that should be established regarding Town vehicles. Several variations for guide- lines and restrictions wereoffered. Mr. Versace was opposed to the purchase of two Town vehicles for this year. MR. CLAUSEN moved that if the Town purchasesvehicles for any department head and/or officials that it be understood that it is a Town operated vehicle for the use of any Town official and that proper maintenance of the vehicle be followed, and the responsib- ility of these vehicles be under the jurisdiction of the Town Highway Superintendent. Seconded by Mr. Diehl Roll Call Vote: 4 Ayes Mr. Versace --Nay L L MR. CLAUSEN moved that $3,000.00 additional funds be placed in Account #B5182.4. Seconded by Mr. Diehl Seconded by Mr. Diehl Roll Call Vote: 4 Ayes Mr. Versace --Nay The following Resolution was offered by SUPERVISOR DIEHL who moved its adoption: WHEREAS, the Town Board of the Town of Wappinger 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 the appropriation for Account #5182.4 in the estimate of expenditures for part Town to be increased from $15,000.00 to $18,000.00; AND BE IT FURTHER RESOLVED, that such Preliminary Budget as hereinbefore amended, be and hereby is adopted as the Annual Budget for the Town of Wappinger for the fiscal year beginning on the 1st day of January 1976, 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 further prepare and certify, in duplicate, copies of said Annual Budget, as adopted by this Town Board, together with the assessment rolls for benefit improvements, if any, adopted pursu- ant to Section 202a of the Town Law and deliver one copy thereof tb the Supervisor of this Town to be presented by him to the County Board of Representatives of this County. Seconded by: Mr. Saland Roll Call Vote: Councilman Clausen Aye Councilman Jensen Aye Councilman Saland Aye Councilman Versace Nay Supervisor Diehl Aye Resolution Duly Adopted MR. SALAND moved that the meeting be adjourned, seconded by Mr. Clausen and unanimously carried. The Meeting adjourned at 4:56 P.M. Spl. Mtg. 11/14/75 Elaine H. Snowden Town Clerk 3 69 Town of in County of UDGET For 197_ WAPPINGER DUTCHESS Villages Within or Partly Within Town Village of Village of WAPPINGERS FALLS CERTIFICATION OF TOWN CLERK 1-10I 1? v , Town Clerk, certify that the following is a true and correct copy of the 197,62 budget of the Town of ,—LA4 as adopted by the Town Board on the lit da y �u�.ly , 19 Signed( O,4 iAD `1 e DL .41 DJ Town Clerk Doted prA.,P.4.14_, e4-' a.9L(41K A. C. 1258 (Rev. 4/74) CODE FUND GENERAL GENERAL OUTS IDE VI LLAGE HIGHWAY : DR REPAIRS AND IMPROVEMENTS DB BRIDGES SUMMARY OF TOWN BUDGET APPROPRIATIONS $ 550,346.00 DM %MACH I NERY DS :SNOW AND MISC. DE IMPROVEMENT PROGRAM C D COMMUNITY DEVELOPMENT CF FEDERAL REVENUE SHARING L PUBLIC LIBRARY SUB -TOTALS S SPECIAL DISTRICTS : (LIST EACH SEPARATELY) Forwarded From Paae 1 - A Chelsea Fire District Hughsonville Fire District New Hackensack Fire Distr. Cameli Light District Hughsonville Light Distr. Chelsea Light District Rockingham Sewer District Oakwood Knolls Water Distr. Fleetwood Water District Fleetwood Sewer District TOTALS 35 9,129.00 383,137.00 4,000.00 54,610.00 67,227.00 163,900.00 1,582,349.00 LESS LESS ESTIMATED UNEXPENDED AMOUNT TO BE REVENUES BALANCE RAISED BY TAX $ 192.511.00 $ 85,000.00 $ 272,835.00 216.938.00 ?5,000.00 117,191.00 11,532.00 9.000.00 .00 150.00 .00 5.000.00 .00 11,000.00 118,900.00 45,000.00 362,605.00 3,850.00 49,610.00 56,227.00 .00 539.881.00 180,150.00 862,318.00 654.792.00 165,830.00 31,373.00 457,589.00 (18,411.67 Fishkill) (Fishkill 18,411.67) 17,338.33 100.00 .00 17,238.33 64,632.23 129,786.00 379.33 11,529.04 4,687.07 81,800.00 15.028.83 13.084.00 27,840.00 $ 2,603,245.83 $ 650.00 5,298.41 .00 .00 .00 76,800.00 9,480.00 8,232.78 20,130.54 826.402.73 .00 1,500.00 .00 .00 .00 5,000.00 .00 1,372.00 4,000.00 223,395.00 63,982.23 122,987.59 379.33 11,529.04 4,687.07 .00 5.548.83 3.479.22 3.709.46 $ 1,553.448.10 � If town contains a village check one of the following: / / Village is not exempt from Machinery and Snow and Miscellaneous Taxes. / / Village is exempt from Machinery and Snow and Miscellaneous Taxes. / / Village is exempt from Machinery Taxes but not Snow and MiscellaneousTaxes. / / Village is exempt from Snow and Miscellaneous Taxes but not Machinery Taxes 1 SUMMARY OF TOWN BUDGET L. ;S LESS ESTIMATED UNEXPENDED AMOUNT TO BE CODE FUND APPROPRIATIONS REVENUES BALANCE RAISED BY TAX A GENERAL $ $ $ $ B GENERAL OUTSIDE VILLAGE HIGHWAY : DR REPAIRS AND IMPROVEMENTS DB BRIDGES DM MACHINERY • DS -SNOW AND MISC. DE IMPROVEMENT PROGRAM CD COMMUNITY DEVELOPMENT CF FEDERAL REVENUE SHARING L PUBLIC LIBRARY S SPECIAL DISTRICTS : (LIST EACH SEPARATELY) Wappinger Sewer Impr.#1 Distr. Central Wapp. Water District Mid -Point Park Sewer Distr. Tall Tree Water District Wildwood Sewer District 275,257.00 281,443.00 22,940.00 18,110.00 57,042.00 24.500.00 60,000.00 22,940.00 11,348.00 47,042.00 4,017.00 10,594.00 .00 6,762.00 10,000.00 .00 .00 .00 SUB ---TOTALS $ 654,792.00 $ 165,830.00 $ 31,373.00 $ 457,589.00 If town contains a village check one of the following: / / Village is not exempt from Machinery and Snow and Miscellaneous T - s . /7 Village is exempt from Machinery and Snow and Miscellaneous Taxes . /_j Village is exempt from Machinery Taxes but not Snow and Miscellanea .cax, /T/ Village is exempt from Snow and Miscellaneous Taxes hut not Machinery Ta: 1-A ACCOUNTS CODE TOWN BOARD PERSONAL SERVICES EQUIPMENT CL NTRACTUAL EXP. TOTAL JUSTICES PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL (TRAFFIC VIOLATIONS BUREAU PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL SUPERVISOR PERSONAL SERVICES IWO-QUI PMENT DNTRACTUAL EXP. TOTAL GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT A1010.1 A101:3.2 A1310.4 A1010 .0 A1110.1 A1110.2 A1110.4 A1110.0 A'1130.1 A1130.2 A1130.4 A1130:0 A1220.1 A1220.2 A1220.4 A1220 .0 DIRECTOR OF FINANCE PERSONAL SERVICES •A1310 . 1 EQUIPMENT A1310.2 JCONTRACTUAL EXP. A1310.4 TOTAL A1310.0 COMPTROLLER PERSONAL SERVICES. A1315.1 EQUIPMENT A1315.2 CONTRACTUAL EXP. A1315.4 TOTAL A1315.0 BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED - 1974 1975 13,000. 00 841.89 11. R41 RQ 16, 600. 00 4, 601. 12 21, 201.12 26, 254. 38 844. 70 27. 099. 08 14, 300. 00 900. 00 15, 200. 00 20, 790.00 . 00 4, 180. 00 24, 970. 00 29, 700.00 . 00 1, 100. 00 30, 800. 00 15, 000.00 500. 00 15, 500.00 • INDEPENDENT AUDITING AND ACCOUNTING CONTRACTUAL EXP. A1320.4 _2,900.0Q 3,000.00 fAX COLLECTION PE'SONAL SERVICES =.1330.1 10, 083.99 11, 110.00 EQUIPMENT ENT A1330 . 2 .00 ,C`JTPACTUAL EXP. A1330.4 267.18 600.00 TOTAL A1330.0 10. 351. 17 11, 710.00 BUDGET �,ERSONAL SERVICES (WO QUI PMENT :}NTRACTUAL EXP. 1 TOTAL A1340.1 A1340.2 A1340.4 Al 340 .0 . 193.19 600.00 . 00 500. 00 193.19 1, 100. 00 2 BUDGET OFFICERS TENTATIVE BUDGET PRE- LIMINARY BUDGET 1976 1976_ 14,300.00 900.00 15,200.00 22,614.00 1,200.00 3,800.00 27,614.00 26,560.00 4,500.00 1,100.00 32,160.00 30,685.00 1,000.00 750.00 32,435.00 3,000.00- 13,350.00 1,000.00 600.00 14,950.00 600.00 500.00 1,100.00 15,000.00 900.00 15,900.00 22,239.00 1,200.00 3,800.00 77.739.00 22,400.00 4,500.00 1,100.00 28,000.00 28,245.00 1,000.00 750.00 29,995.00 3,000.00 12,320.00 1,000.00 600.00 13,920.00 .00 .00 .00 ADOPTED 19 7, 6 15.000.00 900.00_ 3.5,900.00. 22,239.00 1,200.90 3,800,00 27,239.00 22,400.00 4..rnn nn 1.100.00 28.000.00 28,245.00 1,000.00 750.00 29.995.00 3.000.00 12,320.00 1.000.00 600.00 13.920.00 .00 .00 .00 ACCOUNTS CODE 'PURCHASING PERSONAL SERVICES (EQUIPMENT CONTRACTUAL EXP. TOTAL ASSESSORS PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL Review Board CONTRACTUAL EXP. TOWN CLERK PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT A1345.1 A1345.2 A1345.4 A1345.0 BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1974 1975 A1355.1 26.770.42 A1355.2 A1355.4 2019.00 A1355.0 29,089.42 A1355.45 A1370.4 A1410.1 26,034.81 A1410.2 A1410.4 2,056.65 A1410.0 28.091.46 ATTORNEY PERSONAL SERVICES A1420.1 EQUIPMENT A1420.2 CONTRACTUAL EXP. A1420.4 TOTAL A1420.0 8,578.39 PERSONNEL PERSONAL SERVICES A1430.1 EQUIPMENT A1430.2 CONTRACTUAL EXP. A1430.4 TOTAL A1430.0 ENGINEER PERSONAL SERVICES A1440.1 EQUIPMENT A1440.2 CONTRACTUAL EXP. A1440.4 3,999.00 TOTAL A1440.0 3.999.00 ELECTIONS PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL BOARD OF ETHICS PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL A11+50.1 14, 372.30 A1450.2 8.138.42 A1450.4 36.57 A1450.0:22,547.29 A1470.1 A1470.2 A1470.4 A1470.0 30, 855. 00 200. 00 1.500.00 32.555.00 1, 200. 00 29, 245.00 .00 2, 600.00 31. 845.00 9, 000.00 9. 000.00 4, 000. 00 4. 000. 00 18, 000.00 1. 500.00 100.00 19. 600.00 3 100.00 100. 00 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1976 1976 33,800.00 4,500.00 2,500.00 40,800.00 1,200.00 33,011.00 875.00 2,500.00 36,386.00 9,000.00 9,000.00 4,000.00 4,000.00 18,000.00 1,500.00 100.00 19,600.00 32,792.00 4,500.00 2,500.00 39,792.00 1,200.00 31,740.00 875.00 2,500.00 35,115.00 9.000.00 9,000.00 4,000.00 4,000.00 18,000.00 1,500.00 100.00 19,600.00 100.00 100.00 ADOPTE 1976 3?.792.nn 4.500.On 2,500.00 39,792.00, 1,200.00 31,740.00 875.00 2,500.00 35,115.00 9.nnn_,0 9.000.0 4,000.00 4,000.00. 18,000.00 1,500.00 100.00 19,600.00 100. 100. ACCOUNTS CODE GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT BUDGET OFFICERS TENTATIVE BUDGET 1976 Bui!dings, Land & Sites A1620. 3 PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL BUILDINGS PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL A Al Al A1620.0 A1620.1 A1620.2 A1620.4 A1620.0 33,232.50 BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1974 1975 2,416.68 1,292.35 Building Improvements PERSONAL SERVICES A1620.1 EQUIPMENT A1620.2 CONTRACTUAL EXP. A1620.41 TOTAL A1620.4. CENTRAL COMMUNICATIONS SYSTEM ill, RSONAL SERVICES A1650.1 UIPMENT A1650.2 JNTRACTUAL EXP. A1650.4 TOTAL A1650.0 1 !CENTRAL STOREROOM PERSONAL SERVICES A1660.1 EQUIPMENT A1660.2 ONTRACTUAL_ EXP. A1660.4 TOTAL A1660.0 :ENTRAL PRINTING ,.I AND MAILING PERSONAL SERVICES (EQUIPMENT .CONTRACTUAL EXP. TOTAL A1670.1 A1670.2 A1670 .4 A1670 .0 CENTRAL DATA PROCESSING PERSONAL SERVICES A1680.1 EQUIPMENT A1680.2 CONTRACTUAL EXP. A1680.4 TOTAL A1680.0 6,460.00 6,460.00 3,993.35 3,993.35 4,500.00 4,500.00 SPECIAL ITEMS JNALLOCATED INS . A1910 . 4 5,966.10 'JNICIPALASSN. DUES A1920.4 400,00 Surety Bonds A 19-x- 0 . 4-1 ONTIGENT ACCOUNT A1990.4 SOC. OF Towns & Edc. A1920.5 TOTAL TOTAL GENERAL GOVT. SUPPORT A1999.0 5,363.69 .00 • 00 6, 500.00_ 4.,000.00 5, 000. 00 2,500.00 50, 000.00 40,000.00 61.500.00 46,500.00 6. 000. 00 A, nnn nn 7. 000. 00 7. 000. 00 4, 500. 00 4. 500. 00 6, 000. 00 6.. 000. 00 500.00 500.00 7, 000. 00 400. 00 G, 000. 00 10, 000. 00 5, 000. 00 2.4, 400.00 310,480.00 331,345.00 8,000.00 8,000.00 4,500.00 4,500.00 8,000.00 8.000.00 500.00 500.00 7,000.00 400.00 2.000.00 10.000.00 5,000.00 24.400.00 4 PRE- LIMINARY BUDGET 1976 4,000.00 2,500.00 40,000.00 46,500.00 ADOPTED 1976 4,000.00 2,500.00 40,000.00 46.500.00 1.000.00 I 1,000.00 1,000.00 1.000.00 8,000.00 8,000.00 4,500.00 4,500.00 8,000.00 8,000.00 500.00 500 nn 7,000.00 400.00 2,000.00 2,500.00 5,000.00 16,900.00 ;312,261.00 8,000.00 8,000.00 4,500.00 4,500.00 8,000.00 8,000.00 500.00 500.00 7,000.00 400.00 2,000.00 2,500.00 5,000.00 16,900.00 I 312,261.00 ACCOUNTS GENERAL FUND APPROPRIATIONS BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 1974 1975 PUBLIC SAFETY PUBLIC SAFETY ADMINISTRATION PERSONAL SERVICES A3010.1 EQUIPMENT A3010.2 CONTRACTUAL EXP. A3010.4 TOTAL A3010.0 POLICE AND CONSTAELE PERSONAL SERVICES A3120.1 EQUIPMENT A3120.2 CONTRACTUAL EXP. A3120.4 162.35 500.00 TOTAL A3120.0 1A2 1; 500.00 JAIL PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL TRAFFIC CONTROL PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL ON STREET PARKING PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL :IRE FIGHTING PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL A3150.1 A3150.2 A3150.4 A3150.0 A3310.1 A3310.2 A3310.4 A3310.0 A3320.1 A3320.2 A3320.4 A3320.0 A3410.1 A3410.2 A3410.4 A3410.0 CONTROL OF ANIMALS - DOG WARDEN PERSONAL SERVICES A3510.1 6. EQUIPMENT A3510.2 CONTRACTUAL EXP. A3510.4 6, TOTAL A3510.0 12. EXAMINING BOARDS PERSONAL SERVICES A3610.1 EQUIPMENT A3610.2 CONTRACTUAL EXP. A3610.4 TOTAL A3610.0 17.20 .00 943. 9n 2, 000. 00 9Al_ 1n 2,000.00 159. 41� 648. 20 807. 64 6, 500. 00 . 00 6, 000. 00 12, 500. 00 5 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 197 6 1976 500.00 500.00 3,000.00 3,000.00 6,c00.00 6, 100.00 12,'i30.00 500.00 500.00 ADOPTE 1976 500.00 500.00 3,500.00 3,500.00 3,500.00 3.500.00 6,500.00 6,000.00 12,500.00 6.500.00 6,000.00 12,500.00 GENERAL FUND APPROPRIATIONS ACCOUNTS CODE SAFETY INSPECTION PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL CIVIL DEFENSE PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL DEMOLITION OF UNSAFE BUILDINGS PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL SCHOOL ATTENDANCE OFFICER I,PERSONAL SERVICES (EQUIPMENT tptDNTRACTUAL EXP. TOTAL A3620.1 A3620.1 A3620.4 A3620.0 A3640.1 A3640.2 A3640.4 A3640.0 A3650.1 A3650.2 A3650.4 A3650.0 A3660.1 A3660.2 A3660.4 A3660.0 TAL PUBLIC SAFETY A3999.0 WARD OF HEALTH PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL ;REGISTRAR OF _; VITAL STATISTICS ;PERSONAL SERVICES I-QUIPMENT !CONTRACTUAL EXP. .I TOTAL LABORATORY ;PERSONAL SERVICES EQUIPMENT ;CONTRACTUAL EXP. TOTAL AIR POLLUTION PERSONAL SERVICES EQUIPMENT ONTRACTUAL EXP. TOTAL A4010 A4010 A4010 A4010 • • • 1 2 4 0 A4020.1 A4020.2 A4020.4 A4020.0 A4025.1 A4025.2 A4025.4 A4025.0 A4060.1 A4060.2 A4060.4 A4060.0 BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1974 1975 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1976 1976 1976 PUBLIC SAFETY (CONTD.) 300. 00 300. 00 200.00 200.00 i S lnn_ nn 16,200.00 HEALTH llage - See explanation (1) town - area outside w r '-i7Z:age - See explanation (2) town - area outside 6 on of on o f last page villages. last page villages. 200.00 200.00 200.00 200.00 16,700.00 16,700.00 for charges to for charges to ACCOUNTS INSECT CONTROL PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL NARCOTIC GUIDANCE COUNCIL PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL NARCOTICS CONTROL PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL JOINT HOSPITAL :ONTRACTUAL EXP. AMBULANCE PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL GENERAL FUND APPROPRIATIONS CODE A4068.1 A4068.2 A4068.4 A4068.0 A4210.1 A4210.2 A4210.4 A4210.0 A4220.1 A4220.2 A4220.4 A4220.0 A4525.4 A4540.1 A4540.2 A4540.4 A4540.0 MEDICAL HEALTH CENTER AND/OR PHYSICIAN' PERSONAL SERVICES A4560.1 EQUIPMENT A4560.2 CONTRACTUAL EXP. A4560.4 TOTAL A4560.0 PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL TOTAL HEALTH SUPT, OF HIGHWAYS PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL GARAGE PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL . 1 . 2 . 4 .0 A4999.0 BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED_ 1974 1975 HEALTH (CONTD.) 40, 347. 75 40, 347. 75 500. 00 500. 00 45. 000.00 45. 000.00 40, 347. 75 45, 500.00 TRANSPORTATION A5010.1 20, 700.00 A5010.2 A5010.4 358.00 A5010.0 21.058.00 A513.1 A5132.2 A5132.4 A5132.0 5, 611. 28 5.611. 28 22, 770.00 600 . 00 3, 000. 00 "'6, 370.00 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1976 1976 500.00 500.00 500.00 500.00 ADOPTE 1976 500.00 !nn.nn 50,000.00 50,000.00 50,000.00iji 50,000.00 50,000.00 50.000.00 50,500.00 23,585.00 325.00 3,000.00 26,910.00 50, 500.00 n . 5M . f0 23,585.00 23,585.00 325.00 325.00 ?,,000.00 13.000.00 ,10.00 26,910.00 1:666:05-----4,000.0- -4,000.0- 4,000.00 4,000.0' 4,000.00 4,000.00 4,000.00 4,000.0 7 GENERAL FUND APPROPRIATIONS ACCOUNTS CODE STREET LIGHTING CONTRACTUAL EXP. A5182.4 AIRPORT PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL A56l0.l A56lD.2 A50l0.4 A56lO.0 JOINT AIRPORT CONTRACTUAL EXP. A5615.4 OFF STREET PARKING PERSONAL SERVICES A5650.1 EQUIPMENT A5650.1 CONTRACTUAL EXP, A5650.4 TOTAL A5650.0 PERSONAL SERVICES c0UIPMENT 1100 NTRACTUAL EXP. TOTAL . l . 2 .4 .0 ACTUAL LAST YEAR 1974 BUDGET THIS YEAR AS AMENDED l97_5 TRANSPORTATION BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 197_6 1971, 197L / (CONTD.) 9,162_ 31 '00 TOTAL TRANS- PORTATION A5999.0 35;831 5q 38,370.00 ^OO 30,910.00 30,910.00 30.910.00 ECONOMIC ASSISTANCE AND OPPORTUNITY 30Cl/\L SERVICES - ADMINISTRATION PERSONAL SERVICES A6010.1 EQUIPMENT A60l0.2 CONTRACTUAL EXP. A6010.4 TOTAL A6010.0 SOCIAL SERVICES - HOME RELIEF CONTRACTUAL EXP. 46140.4 SOCIAL SERVICES - BURIALS CONTRACTUAL EXP. A6l48,4 8 ACCOUNTS GENERAL FUND APPROPRIATIONS BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 1974 1975 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1976 1976 ECONOMIC ASSISTANCE AND OPPOPTUNITY (CONTD.) / | � CETA - �ADMINISTRATION (TITLE 2/ PERSONAL SERVICES A6210,1 EQUIPMENT A6210.2 CONTRACTUAL EXP. /\6210.4 TOTAL A6210,0 | /\ CETA - ADMINISTRATION kTTTLE 6/ PERSONAL SERVICES A6216.1 EQUIPMENT A6216.2 CONTRACTUAL EXP. A6216.4 TOTAL A6216.0 CETA - TRAINING PROGRAMS :TITLE 2) PERSONAL SERVICES A6230.1 CONTRACTUAL EXP. A6230.4 TOTAL A6230.0 ��CETA- WORK EXPERIENCE PROGRAMS( `TITLE 2) PERSONAL SERVICES A624O.I CONTRACTUAL EXP. A0240.4 TOTAL A6240.0 CETA - WORK EXPERIENCE PROGRAMS PERSONAL SERVICES A5246,1 CONTRACTUAL EXP. A6246,4 TOTAL A6246.0 / CCETA- PUBLIC EMPLOYMENT PROGRAMS`T{TLE 2) PERSONAL SERVICES A6250.1 CONTRACTUAL EXP. A6250.4 TOTAL A6250.0 CETA - PUBLIC EMPLOYMENT PROGRAMS (TITLE 6) PERSONAL SERVICES A6256,1" CONTRACTUAL EXP. A6256.4 TOTAL A6256.0 / \ `TTLE 5/ PUBLICITY PERSONAL SERVICES /\6410.1 EQUIPMENT /\6410.2 CONTRACTUAL EXP. A6410.4 300.00 TOTAL A6410.0 300.00 VETERANS SERVICES PERSONAL SERVICES A6510,1 EQUIPMENT A5510,2 CONTRACTUAL EXP. A6510^4 350,00 450,00 TOTAL A6510.0 350.00 450.00 TOTAL ECONOMIC ASSISTANCE AND OPPORTUNITY /A6999.0 350.00 750.00 9 � ADOPTED�a 1976 300.00 300.00 300.00 300.00 300.00 300.00 450.00 450.00 750.00 450.00 450.00 750.00 45U.OU 450.00 ACCOUNTS GENERAL FUND APPROPRIATIONS BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 1974 1975 RECREATION ADMINISTRATION i?ERSONAL SERVICES A7020.1 EQUIPMENT A7020.2 CONTRACTUAL EXP. A7020.4 14.00 702.53 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1976 197 6 CULTURE - RECREATION 688.53 TOTAL A7020.0 'PARKS iPERSONAL SERVICES EQUI PMENT CONTRACTUAL EXP. TOTAL A7110.1 6.494.00 A7110.2 3,966.60 A711 0 . 4 29, 503.46 A7110 . 0 39. 964. 06 CETA - SUMMER RECREATION PROGRAM PERSONAL SERVICES A7130.1 EQUIPMENT A71330.2 CONTRACTUAL EXP. A7130.4 TOTAL A7133.0 PLAYGROUNDS AND RECREATION CENTERS PERSONAL SERVICES A7140.1. EQUIPMENT A7140.2 14,043.5E CONTRACTUAL EXP. A7140.4 25, 543.02 TOTAL A7140.0 39,586.57 JOINT REC, PROJECT A7145.4 BEACH AND POOL PERSONAL SERVICES A7180.1 EQUIPMENT A7180.2 CONTRACTUAL EXP. A7180.4 TOTAL A7180.0 MARINA AND DOCKS PERSONAL SERVICES A7230.1 ,EQUIPMENT A7230.2 CONTRACTUAL EXP. A7230.4 TOTAL A7230.0 800.00 .00 100.00 900. 00 8, 800. 00 5. 800. 00 35, 400. 00 50, 000. 00 31, 355.00 31.355. 00 1,000.00 .00 100.00 1,100.00 14,000.00 3,000.00 25,750.00 42,750.00 26,805.00 26,805.00 800.00 .00 100.00 900.00 14,000.00 3,000.00 25,750.00 42,750.00 26,805.00 26,805.00 ADOPTED 1976 800.00 .00 100.00 900.00 14,000.00 3,000.00 25,750.00 42,750.00 26,805.00 26.805.00 t_� :Zane - 2ee exr,Zanation (2) on last page for charges to town - area outside of villages. 9-A ACCOUNTS CODs= GOLF PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL SKI FACILITY PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL GENERAL FUND APPROPRIATIONS BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1974 1975 CULTURE - RECREATION A7250.1 A7250 .2 A7250.4 A7250.0 A7260.1 A7260.2 A7260 .4 A7260 .0 BAND CONCERTS CONTRACTUAL EXP. A7270.4 * YOUTH PROGRAM PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL A7310.1 A7310.2 A7310.4 A7310 .0 JOINT YOUTH PROJECT CONTRACTUAL EXP. A7320.4 * LIBRARY CONTRACTUAL EXP. A7410.4 MUSEUM PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL HISTORIAN PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL A7450.1 A7450.2 A7450.4 A7450 .0 A7510.1 A7510.2 A7510.4 A7510.0 HISTORICAL PROPERTY PERSONAL SERVICES A7520.1 EQUIPMENT A7520.2 CONTRACTUAL EXP. A7520.4 TOTAL A7520.0 CELEBRATIONS PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL A7550.1 A7550.2 A7550 .4 A7550.0 200. 00 199. 35 )99. 35 305.46 vnn_ a6 200. 00 200. 00 400. 00 9, 000. 00 9, 000. 00 BUDGET OFFICERS TENTATIVE BUDGET 1976 (CONTD.) 250.00 200.00 450.00 3,000.00 3,000.00 PRE- LIMINARY BUDGET ADOPTE 1976 1976 *Town with Village - See explanation (1) on Zast page for town - area outside of villages. 10 250.00 200.00 450.00 3,000.00 3,000.00 250.00 200.00 450.00 3..000 3.000 charges to GENERAL FUND APPROPRIATIONS ACCOUNTS CODE BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1974 1975 CUL -URE - RE PROGRAMS FOR AGING PERSONAL SERVICES A7610.1 EQUIPMENT A7610.2 CONTRACTUAL EXP. A7610.4 TOTAL A7610.0 ADULT RECREATION PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL TOTAL CULTURE - RECREATION * ZONING PERSONAL SERVICES A8010.1 EQUIPMENT A8010.2 CONTRACTUAL EXP. A8010.4 TOTAL A8010.0 * PLANNING PERSONAL SERVICES A8020.1 EQUIPMENT A8020.2 CONTRACTUAL EXP. A8020.4 TOTAL A8020.0 A7620.1 A7620.2 A7620.4 A7620.0 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1976 197.6 REATION (CONTD.) 1, 000. 00 1, 000. 00 A7999.0 55, 565.29 92, 655.00 1,500.00 1,500.00 75,605.00 HOME AND COMMUNITY SERVICES Feasibility Studies, Maps, aid PERSONAL SERVICES A8030.1 Census Survey A8030.4 CONTRACTUAL EXP. A8030.4 TOTAL A8030.0 ENVIRONMENTAL CONTROL PERSONAL SERVICES A8090.1 EQUIPMENT A8090.2 CONTRACTUAL EXP. A8090.4 TOTAL A8090.0 ** REFUSE AND GARBAGE PERSONAL SERVICES A8160.1 EQUIPMENT A8160.2 CONTRACTUAL EXP. A8160.4 TOTAL A8160.0 2OMMUNITY BEAUTIFICATION PERSONAL SERVICES A8510.1 EQUIPMENT A8510.2 CONTRACTUAL EXP. A8510.4 TOTAL A8510.0 VOISE ABATEMENT PERSONAL SERVICES A8520.1 EQUIPMENT A8520.2 CONTRACTUAL EXP. A8520.4 TOTAL A8520.0 Surveys 512.49 512.49 7, 000.00 3,000.00 1U, UUU. UU 1,500. 00 1,500. 00 3,000.00 3,000.00 1,500.00 1,500.00 ADOPTED 1976 1,500.00 1,500.00 75,405.00 75.405.00 3,000.00 3,000.00 3,000.00 3,000.00 1,000.00 1,000.00 1,000.00 1,000.00 1,000.00 1.000.00 *Town with Village - See explanation (1)on lot page for charges to town - area outside of villages. **Town with Village - See explanation (2)on Zast page for charges to town - area outside of villages. 11 ACCOUNTS CODE GENERAL FUND APPROPRIATIONS BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197A- 1975 HOME AND COMMUNITY DRAINAGE PERSONAL SERVICES A8540.1 EQUIPMENT A8540.2 CONTRACTUAL EXP. A8540.4 TOTAL A8540.0 SHADE TREES PERSONAL SERVICES A8560.1 EQUIPMENT A8560.2 CONTRACTUAL EXP. A8560.4 TOTAL A8560.0 CEMETERIES PERSONAL SERVICES A8810.1 EQUIPMENT A8810.2 CONTRACTUAL EXP. A8810.4 TOTAL A8810.0 AGENCY-PREV, OF CRUELTY TO CHILDREN CONTRACTUAL EXP. A8820.4 TOTAL HOME AND COMMUNITY SERVICES A8999.0 459.01 459.01 7 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTE 1976. 197j 197 SERVICES (CONTD,) 800. 00 800. 00 971.50 12.300.00 UNDISTRIBUTED EMPLOYEE BENEFITS STATE RETIREMENT A9010,811,744.00 FIRE AND POLICE RETIREMENT A9015.8 SOCIAL SECURITY A9030.8 8.000.00 1AORKMENS COMP. A9040.8 3.118.62 LIFE INSURANCE A9045.8 UNEMPLOYMENT INS. A9050.8 DISABILITY INS. A9055.8 HOSPITAL AND MEDICAL INSURANCE A 90 60 . 8 TOTAL EMPLOYEE BENEFITS A9199.029.471,50 20, 000.00 10., 000. 00 3. 500. 00 714.79 1,000.00 in nnn_nn 44, 500. 00 5,894.09 12 700.00 700.00 4,700.00 20,000.00 10,000.00 3,500.00 1,000.00 9,000.00 43,500.00 700.00 700.00 700.00 700.00 U 4,700.00 a7nn nn 20,000.00 20,000.00 10,000.00 10,000.00 3,500.00 3,500.00 1,000.00 9,000.00 43,500.00 1,000.00 9,000.00 43,500.00 ACCOUNTS GENERAL FUND APPROPRIATIONS ACTUAL LAST YEAR CODE 1974 INTERFUND TRANSFEPS TRANSFER TO HIGHWAY FUND A9540.9 TRANSFER TO CAPITAL FUND TRANSFER TO CAPITAL RES.FUND A9560.9 TRANSFER TO REPAIR RES. FUND A9562.9 TRANSFER TO GENERAL RES.FUND A9572.9 BUDGET THIS YEAR AS AMENDED 1975 BUDGET OFFICERS TENTATIVE BUDGET 19 76 UNDISTRIBUTED (CONTD.) A9550.9 100, 000. 06)100. 000.00 'building fund) TOTAL INTERFUND TRANSFERS A9699.0 DEBT SERVICE PRINCIPAL SERIAL BONDS STATUTORY BONDS 'OND ANTICIPATION 'OTES ,PITAL NOTES JDGET NOTES TAX ANTICIPATION NOTES REVENUE ANTICI- PATION NOTES TOTAL PRINCIPAL DEBT SERVICE INTEREST SERIAL BONDS -STATUTORY BONDS BOND ANTICIPATION NOTES CAPITAL NOTES BUDGET NOTES TAX ANTICIPATION NOTES REVENUE ANTICI- PATION NOTES TOTAL INTEREST A9710.6 8,669.00 A9720.6 A9730.6 10, 000.00 A9740.6 A9750.6 A9760.6 A9770.6 A9899.6 18, 669.00 A9710.7 A9720.7 $55.89 A9730.7 1,181.71 A9740.7 A9750.7 A9760.7 A9770.7 A9899.7 TOTAL GENERAL FUND APPROPRIATION 1<TRANSFER TOTAL 'ADOPTED" TO 'AGE 1) 2, 037.60 8. 200.00 PRE- LIMINARY BUDGET 197_6 ADOPTED 197_6 5,000.00 5,000.00 5,000.00 10,000.00 10,000.00 10,000.00 10,000.00 18. 200. 00 485. 00 1.190.00 1, 675. 00 15,000.00 15,000.00 15.000.00 170.00 170.00 170.00 450.00 450.00 620.00 450.00 620.00 620.00 A9900.0 453, 184. 681 571, 730.00 569,130.00 550,346.00 550,346.00 13 ACCOUNTS 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 PROPERTY TAXES A1090 * NON -PROPERTY TAX DISTRIBUTION BY COUNTY A1120 DEPARTMENTAL INCOME TAX COLLECTION FEESI (NOT INTEREST ON TAXES)A1232 CLERK FEES .A1255 * POLICE FEES A1520 PUBLIC POUND C HARGES- DOG WARDEN FEES A1550 * SAFETY INSP. FEES A1560 CHARGES FOR DEMO- LITION OF UNSAFE BUILDINGS A1570 * HEALTH FEES A1601 HOSPITAL INCOME A1635 AMBULANCE CHARGES A1640 PARKING LOTS AND GARAGES A1720 ON 55EE7 PARKING F EE S A 1740 AIRPORT FEES & RENTALS A 17 70 AIRPORT COMMISSIONS AND CONCESSIONS A1774 AIRPORT SALES OF SUPPLIES A1776 REPAYMENTS OF HOME RELIEF A1840 REPAYMENTS OF BURIALS A1848 ?ARK AND RECRE- ATION CHARGES A2001 RECREATION CONCESSIONS A2012 BEACH OR POOL FEES A2025 AUDITORIUM CHARGES A2035 MARINA AND DOCKS A2040 GOLF FEES A2050 SKI FACILITY CHAFES A2060 SKATING RINK FEES A2065 MUSEUM CHARGES A2090 • ZONING FEES A2110 * PLANNING BOARD FEES A2115 GENERAL FUND ESTIMATED REVENUES CODE BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTE 197 4 1975 1976 1976 1976 LOCAL SOURCES 6,621.65 750.00 3.090.20 8,000.00 10,000.00 10,000.00 10,0Q0 .00 1, 020. 00 1.725. 00 1,800.00 2,060.00 14, 703.50 15, 000. 00 15,000.00 1,800.00 1,800.00 2,060.00 2,060.00 15,000.00 15,000.00 *Town with Villages - See explanation (3) on last page for crediting these revenues to town - area outside villages. 14 GENERAL FUND ESTIMATED ACCOUNTS CODE DEPARTMENTAL INCOtE GARBAGE REMOVAL AND DISPOSAL CHARGES A2130 SALE OF CEMETERY t LOTS A2190 CHARGES FOR CEMETARY SERVICES A2192 '.TAX AND ASSESSMENT SERVICES FOR OTHER GOVERNMENTSA2210 'JARCOTICS CONTROL SERVICES FOR OTHER GOVERNMENTS2290 USE OF MONEY AND PROPERTY INTEREST AND EARNINGS A2401 `?ENTAL OF REAL DROPERTY A2410 1TAL OF REAL 'OPERTY, OTHER VERNMENTS A2412 ?ENTAL OF EQUIPMENT, OTHER GOVERNMENTSA2416 ':OMMI SS IONS A2450 LICENSES AND PERMITS BUSINESS AND OCCUPATIONAL LIC. A2501 6INGO LICENSE A2540 DOG LICENSE FUND -APPORTIONiMENT A2544 PERMITS A2590 e.''INES AND FORFEITURES +SINES AND FORFEITED BAIL A2610 +=ORFEITURE OF DEPOSITS A2620 SALES OF PROP;=RT;' n. D COMPENSATION FOR LOSS :,ALES OF SCRAP AND EXCESS MAT LkIALS A2650 ElIN0k SALES, OTHER A2655 ri-"_ES OF REAL .:;F'<<: I Y A2660 I=S OF EQUI PMENT A2665 :` �UR�,NCE ' S A262,0 ACTUAL LAST YEAR 197 -4 BUDGET THIS YEAR AS AMENDED 1975 REVENUES BUDGET OFFICERS PRE— TENTATIVE LIMINARY' BUDGET BUDGET ADOPTTD 1976 1976 1976 LOCAL SOURCES (CONTD.) 15, 191. 24, 14, 000. 00 3,718.98 3,000.00 00 200,00 15, 896.00 19, 600.00 8,000.00 8f000.00 8,000.00 3,000.00 3,000.00 ; 3,000.00 200.00 200.00 I 200.00 19,660.00 19,660.00 19,660.00 15 GENERAL FUND ESTIMATED REVENUES ACCOUNTS CODE MI SCELLANEOUS REFUNDS OF PRIOR YEARS EXPENSES A2701 GIFTS AND DONATIONS A2705 ENDOWMENT AND TRUST FIND INCOME A2755 CE TA - GRANT FROM PRIME SPONSOR A2766 CETA - GRANT FROM PRIME SPONSOR (TITLE 6) A2768 OTHER UNCLASS I FI ED REVENUES (SPECIFY) A2770 A2770 I NTERFUND REVENUE:' FROM CAPITAL FUND A2850 OTHER A28 TRANSFER FOR DEBT SERVICE PREMI UM ON SECURITIES ISSUED CAPITAL FUND A2950 ACCRUED INTEREST ON SECURITIES ISSUED, CAPITAL FUND A2952 UNUSED CAPITAL FUND AUTHORIZA- TIONS FINANCED BY OBLIGATIONS A2.954 EARNINGS ON INVESTMENTS, CAPITAL FUND A2956 TOTAL ESTIMATED REVENUES FROM LOCAL SOURCES A2999 ACTUAL LAS T YEAR 1974 BUDGET THIS YEAR AS AMENDED 1975 BUDGET OFFICERS PRE - TENTATIVE LIMI NARY. BUDGET BUDGET . ADOPTE 197 197.6.197.6, LOCAL SOURCES (CONTD,) 1.914.56 500. 00 63, 045.00 16 2,000.00 5,000.00 2,000.00 2,000.00 5,000.00 5,000.00 66,720.00 66,720.00 66,720.00 ACCOUNTS oIr GENERAL FUND ESTIMATED REVENUES CODE PER CAPITA A3001 MORTGAGE TAX A3005 LOSS OF RAILROAD, TAX REVENUE , A3007 LOSS OF PUBLIC UTILITY VALUATIONS A3017 NAVIGATION LAW ENFORCEMENT A3315 SNOWMOBILE LAW ENFORCEMENT A3317 INSECT CONTROL A3468 NARCOTICS GUIDANCE COUNCIL A3484 SOCIAL SERVICES A3660 PROGRAMS FOR AGING A3803 YOUTH PROGRAMS A3820 TOTAL ESTIMATED REVENUES FROM STATE AID iBLI C SAFETY CIVIL DEFENSE PUBLIC EMPLOYMENT PROGRAM EE PROGRAM — POVERTY POCKET EMERGENCY DISASTER ASSISTANCE TOTAL ESTIMATED FEDERAL AID TOTAL ESTIMATED REVENUES—GENERAL FUND (TRANSFER TO PAGE 1) ESTIMATED GENERAL FUND UNEXPENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) ACTUAL LAST YEAR 197^4 BUDGET THIS YEAR AS AMENDED_ 19 75 STATE AID 125. 791.00 125. 791.00 37 548, 55 5, 000.00 465.91 450.00 BUDGET OFFICERS PRE— TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 197.6 1971, 197.6 125,791.00 .00 .00 125,791.00 00 .00 125,791.00 .00 .00 A3999 163, 805, 46 131. 241. 00 125,791.00 19q,iai nn 125,791.00 FEDERAL AID A4305 A4780 A4782 A4960 A4999 A5000 225.696.57 194, 286. 00 192,511.00 ESTIMATED UNEXPENDED BALANCE 193. 228. 23 150, 000. 00 17 85,000.00 192,511.01 192,511.00 85,000.001 85,000.00 GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE (SHOW HERE GENERAL FUND APPROPRIATIONS TO BE PROVIDED FOR BY LEVIED ON THE AREA OUTSIDE VILLAGE) BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 1974 197 5 197 6 1976 ACCOUNTS SPECIAL ITEMS UNALLOCATED INS. CONTINGENT ACCT. Attorney Engineer Totals GENERAL GOVERNMENT SJPPORT 81910.4 6,493.90 B1990.4 B1420.4 7,500.00 B1440.4 -i, (uu. uu POLICE PERSONAL SERVICESB3120.1 EQUIPMENT B3120.2 CONTRACTUAL EXP. .B3120.4 TOTAL B3120.0 Building Inspector PERSONAL stRVICESB3620.1 EQUIPMENT B3620.2 CONTRACTUAL EXP. B3620.4 TOTAL B3620.0 Zoning Board of Ap)eals_ PERSONAL SERV1CLsB8P,11.1 EQUIPMENT 3011.2 CONTRACTUAL EXP. 38011.4 TOTAL B0311.0 ' street .Lighting 16, 165.49 1,845.50 18.011_?..A 2, 700.00 21.70 2,721.70 PERSONAL SERVICES 3 r, I R ,2. 1 EQJ I PMENT B5182.2 CONTRACTUAL EXP. B518 2.4 TOTAL B618 2.0 Prinfl„ Q. Advertising B64 .0.4 PERSONA SEvvr ES'B EQUIPMENT B CONTRACTUAL EXP. B6410.4 1,207.98 TOTAL [36410.0 1.207.98 PARKS PERSONAL SERVICESB7110.1 EQUIPMENT B7110.2 CONTRACTUAL EXP. B7110.4 TOTAL B7110.0 PLAYGROUNDS AND RECREATION CENTERS PERSONAL SERVICESB7140.1 EQUIPMENT 87140.2 CONTRACTUAL EXP. B7140.4 TOTAL B7140.0' 8, 000. 00 20, 000.00 8, 000. 00 6, 000. 00 4Z, 000. 00 24, 210.00 GOO. 00 1, G (5. 00 G5, 6285. UU HEALTH 3, 800. 00 750. 00 4, 550. 00 12, 600.00 12, 600.00 1,500.00 1. 500.00 8,000.00 20,000.00 8,000.00 6,000.00 42,000.00 28,710.00 200.00 1,450.00 30,360.00 3,550.00 .00 800.00 4,350.00 15,000.00 15,000.00 CULTURE - RECREATION b25G. G5 682.25 500. 00 _500..._00 18 1,500.00 1,500.00 500.0U bUU.UU 8,000.00 15.000.00 8,000.00 6,000.00 37,000.00 19,174.00 200.00 6,450000 25,824.00 TAXES ADOPTE 1976 f_nnn nn 15,000.00 8.000 nn 6,000.00 37,000.00 19.174.00 200.00 6.450.00 25.8 4 3,465.00 3,465.0 .00 .0 1,300.00 1,300.00 4,765.00 4,765.00 15,000.00 1.8.00aJX1__, 15,000.00 184000_00 _1 1,500.00 1.500.0n 1,500.00 1_inn nn 500.00 500.00 5nn_0O _J .5fln' nn -. ACCOUNTS GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED - CODE 1974 - 1975 BUDGLT OFFICERS PRE - TENTATIVE L IM I NARY BUDGET BUDGET ADOPTED 1976 1976 197_ CULTURE - RECREATION (coi'JTD,) YOUTH PROGRAMS PERSCAL S ERV CES 37310 .1 14,471.64 15, no. oa 15,200.00 EQUIP: -:ENT 87310.2_ 1,080.29 CONTRACTUAL EXP 87310 .Lf 2, 359. 59 TOTAL. 87310.017.911,52 ',LIBRARY CONTRACTUAL EXP 571110-1 18, 000. 00 Celebrations PERSONAL S ERV I CES B7 =1.o 1 EQU PENT 87 510 2 'CONTRACTUAL- EXP. 87 510 TOTAL 87 510 ZONING PFRCNAL SERV I CES F7"IPY=NT- NTRACTUAL EXP. TOTAL B 80 10 88010 .2 34. 31 B80 10 ,t÷ 1, 240. 35 880 10 .0 .14 300. 00 .0 300.00 500. 00! 500.00 15,200.00 15,200.00 500.00) 500.00 3,500. 001 4,300.00 19, 200. 00 20,000.00 4,300.001 4,300.00 20,000.00 L 20,000.00 19,000.00 22,500.00 22,000.00 300.00 300.00 2.2.000.00 300.00 300.00 300.00 300.00 HOME AND COMMUNITY SERVICES 13,229.00 12, 500.001 14,750.00 PLANN 'NG PERSONAL SERVICES 88020 88020.2 CONTR2,CTUAL EXP. IOTA L. 2, 700. 00 MO 20 . 1-r 4. 467. 00 88020.0 7.167.00 REFUSE AND GARBAGE PERSAL S ERVI CES B8160 88160 88160 EQUiPENT CONTaACTUAL EXP . TOTAL .1 .2 .4 100.00 2, 855. 00 15, 455. OQ 100.00 2,350.00 7,200.00 13,145.00 13,145.00 100.00 100.00 2,350.00 2,350.00 15,595.00 15,595.00 4,000.00 4,250.00 250. 00 3,715.00 3,715.00 7, 375. 00 9,935.00 5,935.00 5J35.00 11,625.001 14,185.00 9,650.00 9,650.00 942.00 2,-200. 00 3,000.00 3,000.00 3,O0O.oj t18160.0 942. 00 2, 200. 00 Er.PLOYEE BENEFITS STATE T1 REfrIENT 290 10 F T.'„E i -'0L CE T i E.:2 20 13 c';;::' i' C0'. 1_1 FE i i1 . U L TY INT. 20055 A;;';) 3,000.00 3,000.00 3,000.00 UNDISTIFUTED 20, 000. 00 000.00 15, 000. 00 I 15,006:00 `,--f -60-..66[.-7C-000:091- 1;066.'66 (1. _ 20 000.00 20,000.00 2000.0Q 7O0 .00 23.100,o() - -- 500.00 _1,56o.op___ F 10,779.36 15, 000. 00 13,000.00 13,000.00 13_,000.00_ 1 9 41, 382._04 .3s,_500_00_, 56,500.00 56,500.00 56,500.00 GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE ACCOUNTS INTERFUND TRANSFERS TRANSFER TO H IGHWAY FUND TRANSFER TO CAPITAL FUND TRANSFER TO CAPITAL RES. FUND .TRANSFER TO REPAIR RES. FUND Transfer To Assurity Fund TOTAL INTERFUND TRANS FERS:-:__. DEBT SERVICE + PRINCIPAL SERIAL BONDS STATUTORY BONDS B9720.6: BUDGET ACTUAL THIS YEAR LAST -AS .YEAR AMENDED CODE 1974 1975 B951-0.9 89550.9 BUDGET OFFICERS TENTATIVE BUDGET 1976 UNDISTRIBUTED (CONTD . ) B9560 .9; B9562.91 -- 137775791 B'Ts.-9 89799.0 - PRE - L IM I NARY - BUDGET 197 6 ADOPTF 1976 1, 500. 00 1, 500. 00 B9710 .6 30, 400. 0045, 270. 00 BOND ANTICIPATION, NOTES CAPITAL NOTES BUDGET NOTES TAX ANTICIPATION NOTES REVENUE ANTICI- PATION NTICI- PATION NOTES TOTAL PRINCIPAL DEBT SERVICE INTEREST SERIAL BONDS STATUTORY BOND: BOND ANTI I C I PAT I ON NOTES CAP I _7 AL NOTES 'i'J S E T NOTES 1AX ANT ICIPAT ION NOTES RE\'c:f'iUE !'.NT I C I t PA T I C'': NOTES B9730.6t 12.500 89740.6r - B9750.6 B9760.6. B1770.6 ' i B9399. 6r 42.900.,d--62777-0. 00 .00 .00 .00 .00 45,270.00 45,270.00 .00Y .00 45,270.00 0( 17, 500.00 B9710 . 7 63, 325. 0 B'3 7 2 0 . 7r- 10,000.00 10,000.00 I 10,000.00 280. 00 55 27_0 00---_ 55,270.00 55 70.00 70,000_00 70,000.00 70,000.00 B.27 30 .7 20,_902_ 5C� 20, 890.00 19-,125.00 19,12_5.00 19 125;00_ lr 687. 5� 1, 460.00 _- O6 .00 .004- b .7 ; C9760. 8:9170 .1 TOTAL I N (ERE sT EE.; 9 7x85, 195.00 -. 630.00 89,125.00 Serial Coupons 999.5 k - --- - - -- IOTA! C::I: _,'.;til l!'i , -- I00-. 00- -- "-T00-:00 - TCIU S I Ui_ \' I L ,AGF 94, 730. 00 89,225.00 APi•kO;'P.I AT IONS ( FER TOTAL ", . D 0 i- {IJ) r r TO E> t I) 1125_00 13j ,_125.00 160.06 89,225.00 89,225.00 1-007.0.0 (1,3 r10 t .ii273,.338._4 37 , 115. 00_. 37 .,890.00 356,129.00 20 GENERAL FUND ESTIMATED REVENUES - TOWN OUTSIDE VILLAGE ACCOUNTS CODE NON -PROPERTY TAX DISTRIBUTION BY COUNTY Building Inspector 81120 B1560 HEALTH FEES B1601 ZONING FEES 82110 PLANNING BOARD FEES 82115 INTEREST ANDEARNINGS 82401 OTHER (SPECIFY) CATV 82770 TOTAL ESTIMATED REVENUES FROM LOCAL SOURCES Mortgage Tax PER CAPITA YOUTH PROGRAMS REVENUES FROM STATE AID OTAL ESTI NATE C REVENUES -GENERAL FUND - TOWN OUTSIDE VILLAGES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) ESTIMATED UNEX— PENDED BALANCE - GENERAL FUND - TOWN OUTSIDE VILLAGES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) B2954 ACTUAL, LAS T YEAR 19 7,4 BUDGET BUDGET THIS YEAR OFFICERS PRE - AS TENTATIVE LIMINARY AMENDED BUDGET BUDGET 197„5 1976 1976 LOCAL SOURCES 15,663.25 351.50 13,176.25 24,401.45 2,525.00 12, 000. 00 12, 000. 00 18, 000.00 500. 00 14,000.00 14,000.00 9,000.00 2,500.00 10,000.00 47 ;no_ on 49,500.00 STATE AID 14,000.00 14.000.00 9,000.00 2..5QQ_00 10,000.00 49,510n nn B3005 63,261.22 60,000.00 55,000.00 55,000.00 B3001 103,038.00 103, 038.00 103,038.00 '103.038.00 83820 3,812.00 3.800.00 9.400.00 9,400.00 ADOPTED 1976 14:0nn (10- 14.000.00 9,000.00 2,500.00 10,000.00 49 . !TUU . UU _ 55,000.00 1.03,038.00 9,400.00 B3999 L70,111.62 is3R. 00 167,438.00 167,438.00 167,438.00 B5000 226,129.07 20At 338. 00 216,938.00 216,938.00 216,938.00 ESTIMATED UNEXPENDED BALANCE 126,828.20 80.000. 00 21 25,000.00 25,000.00 25,000.00 ACCOUNTS HIGHWAY FUND APPROPRIATIONS REPAIRS AND IMPROVEMENTS (ITEM .1) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 1974 1975 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1976 1976 ADOPTE 197 6 GENERAL REPAIRS 114,539.49 143 PERSONAL SERVICESDR5110 . 1 143,000.00 155,870.00 155,870.00 155,870.00 CONTRACTUAL EXP. )R5110.'+141'476-25. 162, 500.00 178,750.00 178,750.00 178,750.00 TOTAL )R5110.0256,015.74 305,500.00 334,620.00 334,620.00 334.620.00 IMPROVEMENTS PERSONAL SERVICES )R5 1 12 . 1 5,218.39 CONTRACTUAL EXP . )R51 12 . 4 30,781.61 TOTAL )R5 1 1 2 .0 36,000.00 EMPLOYEE BENEFITS STATE RETIREMENT )R9010.8 SOCIAL SECURITY DR9030.E WORKMENS COMP. DR9040.E LIFE INSURANCE DR9045.E UNEMPLOYMENT INS.DR9050.E DISABILITY INS. DR9055.E HOSPITAL AND MEDICAL INS. 9R90 60 . E4 TOTAL EMPLOYEE BENEFITS )R9199.0 INTERFUND TRANSFERS TRANSFER TO HIGHWAY FUND IDR950.E 6. 050.00 38. 125.00 44. 175.00 UNDISTRIBUTED 22 6,579.00 6,579.00 41,938.00 41,938.00 48,517.00 48,517.00 6.579.00 41.938.00 . 48.517.00 ' ACCOUNTS HIGHWAY FUND APPROPRIATIONS (CONTD.) REPAIRS AND IMPROVEMENTS (ITEM 1) BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED COD 1974 1975 1976 1976 1976 UNDISTRIBUTED DEBT SERVICE PRINCIPAL SERIAL BONDS )R9710.6 STATUTORY BONDS )R9720.61 BOND ANTICIPATION • NOTES )R9730.6 CAPITAL NOTES )R9740.61 BUDGET NOTES )R9750.61 TAX ANTICIPATION NOTES ')R9760.6 :REVENUE ANTICI- 1 PATION NOTES )R9770.61 TOTAL PRINCIPAL )R9899.0 1 DEBT SERVICE INTEREST SERIAL BONDS DR9710.7 STATUTORY BONDS )R9720.7 )ND ANTICIPATION DOTES :)R9730.7 PITAL NOTES ')R9740.7 BUDGET NOTES )R9750.7 TAX ANTICIPATION NOTES )R9760. REVENUE ANTICI- PATION NOTES )R9770.7 TOTAL INTEREST )R9899.7 TOTAL APPRO- PRIATIONS • (TRANSFER TOTAL "ADOPTED" TO • PAGE 1) )R9900 .0292,015.74 349, 675.00 383,137.00 383,137.00 383,137.00 23 AcCOUNTs BRIDGES CODE HIGHWAY FUND APPROPRIATIONS BRIDGES (ITEM 2) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197.1. 1975 PERSONAL SERVlCES285120.1 CONTRACTUAL EXP, i)B512O.4 TOTAL JB5120.0 EMPLOYEE BENEFITS STATE RETIREMENT )89010.8 SOCIAL SECURITY )B9030.8 WORKMENS COMP. )8984O,8 LIFE INSURANCE }@9045,8 UNEMPLOYMENT lNS,}89050,8 DISABILITY INS. )B9055.8 HOSPITAL AND MEDICAL INS. }89060.8 TOTAL EMPLOYEE BENEFITS }89199.0 INTERFUND TRANSFERS TRANSFER TO HIGHWAY FUND ]89540.9 1,000.00 2,967.98 3,967.98 l,0OU.0O 3, 000. 00 4, 000. 00 UNDISTRIBUTED 24 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1g76l976 1r000.08 1,000.00 3°000.00 3.000.00 4o000.O0 4,000.00 ADOPTE 1976 1,000.00 ACCOUNTS 10, HIGHWAY FUND APPROPRIATIONS (CONTD,) BRIDGES (ITEM 2) BUDGET THIS YEAR AS AMENDED 19 75 CODE DEBT SERVICE PRINCIPAL SERIAL BONDS )B9710.6 STATUTORY BONDS )B9720.6 BOND ANTICIPATION NOTES )B9730.6 CAPITAL NOTES )B9740.6 BUDGET NOTES )B 97 5U . 6 TAX ANTICIPATION NOTES )B9760.6 REVENUE ANTICI- PATION NOTES )B9770.6 TOTAL PRINCIPAL )B9899.6 DEBT SERVICE INTEREST SERIAL BONDS )B9710.7 STATUTORY BONDS )B9720.7 BOND ANTICIPATION L\DOTES )B9730.7 PITAL NOTES )89740.7 DGET NOTES )B9750.7 TAX ANTICIPATION NOTES )B9760.7 REVENUE ANTICI- PATION NOTES )B9770.7 TOTAL INTEREST )B9899.7 TOTAL APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) pB9900 .0 ACTUAL LAST YEAR 1974 3,967.98 4. 000. 00 25 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET _ ADOPTED 197L 1976_ 197 6 4,000.00 4.000.00 4,000.00 ACCOUNTS , f J HIGHWAY FUND APPROPRIATIONS MACHINERY (ITEM 3) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 19 7 4 19 7 5 MACHINERY PERSONAL SERVICES DM5130.] 2,750.00 3, 025.00 EQUIPMENT DM5130.. 12,000.00 .15.000.00 CONTRACTUAL EXP . DM5130.4 16,737.91 25, 000.00 TOTAL DM5130.0 31,487.91 43. 025, 0,0 EMPLOYEE BENEFITS STATE RETIREMENT SOCIAL SECURITY WORKMENS COMP. LIFE INSURANCE UNEMPLOYMENT INS. DISABILITY INS. 10SPITAL AND MED I CAL INS . TOTAL EMPLOYEE BENEFITS DM90 10.8 DM90 30.8 DM90 40 .8 DM9045.8 DM90 50.8 DM90 55.8 DM90 60 .8 DM9199 .0 INTERFUND TRANSFERS TRANSFER TO HIGHWAY FUND IDM95L+0.� UNDISTRIBUTED 26 BUDGET OFFICERS TENTATIVE BUDGET 1976 3,386.00 8,500.00 27,500.00 39,386.00 PRE- LIMINARY BUDGET 1976 3,386.00 8,500.00 27,500.00 39,386.00 ADOPTE 197 6 3,386.00 8,500.00 27,500.00 39.386.nn HIGHWAY ACCOUNTS CODE DEBT SERVICE PRINCIPAL SERIAL BONDS DM9710.f STATUTORY BONDS DM9720.1 BOND ANTICIPATION NOTES DM9730.E CAPITAL NOTES DM9740,[ BUDGET NOTES DM9750.E TAX ANTICIPATION NOTES DM9760.E REVENUE ANTICI- PATION NOTES DM9770.E TOTAL PRINCIPAL FUND APPROPRIATIONS (CONTD.) MACHINERY (ITEM BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1974 1975 UNDISTRIBUTED 1Iv008.00 12,643.40 9,793.00 DM9899.E20v793.40 / DEBT SERVICE INTEREST SERIAL BONDS DM97I0.7 LTATUT@PY BONDS DM9720.7 OND ANTlClPATlDN NOTES QM973O.7 CAPITAL NOTES DM9740.7 BUDGET NOTES DM9750.7 TAX ANTICIPATION NOTES DM9760.,. REVENUE ANTICI- PATION NOTES DM977O.;4 TOTAL INTEREST TOTAL APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 2,475.00 917.48 DMgDg9.7 3,392.48 3) BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUPGET 197 6 197 6 ADOPTED 1976 11,000.00 11,000.00 11.000.00 8,00O.00 2"531.00 ) 20'693'401 13.531'00 2,llq.?l 507.40 1,485.00 208.00 2,627.11l,G93'O8 ' 2,531.00 2.53I'00, 1,485.00 208.00 13,531.00 1,485.00 208'OO I,693'0O ]'693,0O . DMg9UO .� 55,673.79 ��,34�.�l 54,610.00 54,6D].00 54,610,00 � .. . 27 ACCOUNTS HIGHWAY FUND APPROPRIATIONS SNOW AND MISCELLANEOUS (ITEM 4) BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTE CODE 1974 1975 1976 197_b 197.6 MISCELLANEOUS (BRLSH AND WEEDS) PERSONAL SERVICES DS5140.1 CONTRACTUAL EXP. DS5140.4 TOTAL DS 5140 .0 5,462.59 2,668.12 8,130.71 SNOW REMOVAL (TOWN HIGHWAYS) PERSONAL SERVICES DS 5142.1 8,549.14 CONTRACTUAL EXP. DS 5142 .4 25,480.28 TOTAL DS 5 142 . C 34,029.42 SERVICES FOR OTHER GOVERNMENTS PERSONAL SERVICES DS5148. CONTRACTUAL EXP. DS5148. TOTAL DS5148. EMPLOYEE BENEFITS STATE RETIREMENT 50C IAL SECURITY WORKMENS COMP. LIFE INSURANCE UNEMPLOYMENT INS. DISABILITY INS. -IOSPITAL AND MEDICAL INS. TOTAL EMPLOYEE BENEFITS DS9010.€ DS9030 .8 D59040 .F DS9045.E DS 90 50 .f DS9055.8 DS9060.8! DS9199.01 INTERFUND TRANSFERS TRANSFER TO HIGHWAY FUND DS 9540 .� 8, 250. 00 4. 375. 00 12, 625.00 16, 500. 00 32. 50n_ on 49. 000.00 UNDISTRIBUTED 28 8,630.00 4,812.00 13,442.00 18,035.00 35,750.00 53,785.00 8,630.00 8.630.00 4,812.00 4.812.00 13,442.00 13.A42.0n 18,035.00 18,035.00 35,750.00 35,750.00 53,785.00 53,785.00 ACCOUNTS HIGHWAY FUND`APPROPRIATIONS (CONTD.) SNOW AND MISCELLANEOUS (ITEM 4) CODE DEBT SERVICE PRINCIPAL SERIAL BONDS OS9710.6 STATUTORY BONDS )S9720.6 BOND ANTICIPATION NOTES I)S9730.6 CAPITAL NOTES DS9740.6 BUDGET NOTES OS 97 50 . 6 TAX ANTICIPATION NOTES )s9760.6 REVENUE ANTICI- PATION NOTES OS9770.6 TOTAL PRINCIPAL )S9899.6 DEBT SERVICE INTEREST SERIAL BONDS DS9710.7 STATUTORY BONDS DS9720.7 'OND ANTICIPATION IL0NOTES DS 97 30 . 7 APITAL NOTES DS9740.7 BUDGET NOTES DS9750.7 TAX ANTICIPATION NOTES ')S9760.7 REVENUE ANTICI- PATION NOTES )S9770.7 TOTAL INTEREST )S9899.? TOTAL APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1974 1975 UNDISTRIBUTED BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1976 1976 1976 DS 9900 .0 42,160.13 61. 625. 00 67,227.00 67.227.00 67.727.00 29 HIGHWAY FUND APPROPRIATIONS ACCOUNTS CODE IMPROVEMENT PROGRAM (PROJECT N0, ) PERSONAL SERVICES DE5150J CONTRACTUAL EXP. DE5150.4 PRINCIPAL ON NOTES DE 5150.6 INTEREST ON NOTES DE5150.7 EMPLOYEE BENEFITS DE5150.8 TRANSFER TO HIGHWAY FUND DE5150.9 TOTAL PROJECT NO. IMPROVEMENT. PROGRAM (PROJECT NO. PERSONAL SERVICES DE5151.1 CONTRACTUAL EXP. DE5151.4. PRINCIPAL ON NOTES DE5151.6 INTEREST ON NOTES DE5151.7 EMPLOYEE BENEFITS DE5151.8 TRANSFER TO HIGHWAY FUND DE5151.9 TOTAL PROJECT NO. IMPROVEMENT PROGRAM (PROJECT NO. ) PERSONAL SERVICES DE5152.1 CONTRACTUAL EXP. DE5152.4 PRINCIPAL ON NOTES DE5152.6 INTEREST ON NOTES DE5152.7 EMPLOYEE BENEFITS DE5152.8 TRANSFER TO HIGHWAY FUND DE5152. TOTAL PROJECT NO. TOTAL APPROPRI- ATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) IMPROVEMENT PROGRAM BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197_ 197_ 30 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTE 197_ 197 197_ HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE REPAIRS AND IMPROVEMENTS (ITEM 1) ACCOUNTS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LlMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 1974 1975 1976 1976 1976 LOCAL SOURCES NON -PROPERTY TAX DISTRIBUTION BY COUNTY DR1120 INTEREST AND EARNINGS DR2401 I3'501.58 TRANSFER FROM GENERAL FUND - TOWN OUTSIDE VILLAGE DR2812 TRANSFER FROM HIGHWAY FUND DR2840 MISCELLANEOUS (SPECIFY) Gas Purchase by DR2799_ 875.68 other Depts. & Misc. LTE AID LEAGE AND VALUATION AID TOTAL ESTIMATED REVENUE5(TRAMSFER TOTAL "ADOPTED" TO PAGE 1) TOTAL ESTIMATED UNEXPENDED ^ . BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) DR3507 5,171.25 19,548.51 S'20T.25 5,ZO7 Z5 6,000.00 1,000.00 6,000.00 6,000,00 UO .00 5*532'00 5,532.08 5,532'00 12,532'00 11,532.00 11,582.00 27.798.85 16,000.00 9'000.U09,U00.00 g^O��.�� ' . 31 HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE BRIDGES (ITEM 2) ACCOUNTS CODE LOCAL SOURCES NON -PROPERTY TAX DISTRIBUTION BY COUNTY INTEREST AND EARNINGS TRANSFER FROM GENERAL FUND TRANSFER FROM HIGHWAY FUND MISCELLANEOUS (SPECIFY) STATE AID TOTAL ESTIMATED REVENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) TOTAL ESTIMATED UNEXPENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) DB1120 DB2401 DB2810 DB2840 DB BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED A974 197 5 . 00 161.40 .00 32 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTE 197 6 1976 197 6 .00 .00 150.00 150.00 150.00 :HIGHWAY FUNDS — ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE MACHINERY (ITEM 3) BUDGET BUDGET ^ ACTUAL THIS YEAQOFFICERS PRE- , LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ` ACCOUNTS CODE 1974 1975 l976 1976 1976 LOCAL SOURCES NON -PROPERTY TAX DISTRIBUTION � BY COUNTY DM1120 INTEREST AND . EARNINGS Dy12401 ' RENTAL OF EQUIP- MENT, OTHER GOVERNMENTS DM2416 TRANSFER FROM GENERAL FUND DM2810 TRANSFER FROM GENERAL FUND - TOWN OUTSIDE VILLAGE 0M2812 TRANSFER FROM HIGHWAY FUND UM284O MISCELLANEOUS FY] '5PECl~ surance DM5130 526.81 STATE AID TOTAL ESTIMATED REVENUES(TRANSFER TOTAL "ADOPTED" TO PAGE 1) , TOTAL ESTIMATED UNEXPENDED EALANCE (TRANSFEP TOTAL "ADOPTED" TO PAGE 1) 526.81 9,429.47 .00 .00 7,000.00 33 .00 ,000 .00 5,000.00 .00 HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE SNOW AND MISCELLANEOUS (ITEM 4) BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPT CODE 1974 1975 1976 197 6 1.97 ACCOUNTS LOCAL SOURCES NON -PROPERTY TAX DISTRIBUTION BY COUNTY DS1120 SERVICES FOR OTHER GOVTS .• DS2300 729.86 600. 00 INTEREST AND EARNINGS DS 240 1 TRANSFER FROM C-ENERAL FUND DS2810 TRANSFER FROM GENERAL FUND - TOWN OUTSIDE VILLAGE DS2812 TRANSFER FROM HIGHWAY FUND DS2840 MISCELLANEOUS (SPECIFY) Sale of Sand to DS 5142 292.50 Village STATE AID TOTAL ESTIMATED REVENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) TOTAL ESTIMATED UNEXPENDED. BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 1,022.36 600.00 25,598.44 15, 000. 00 311 .00 .00 .00 11,000.00 11,000.00 11,000,0/__ HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE HIGHWAY IMPROVEMENT PROGRAM BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 1974 1975 1976 197.Q. 197„ LOCAL SOURCES NON -PROPERTY TAX DISTRIBUTION BY COUNTY DE1120 INTEREST AND EARNINGS DE2401 TRANSFER FROM GENERAL FUND - TOWN OUTSIDE VILLAGE DE2812 TRANSFER FROM HIGHWAY FUND DE2840 MISCELLANEOUS (SPECIFY) DE UAT.E AID HIGHWAY IMPROVE- MENT PROGRAM DE3521 TOTAL ESTIMATED REVENUES - HIGHWAY. IMPROVE- MENT PROGRAM (TRANSFER TOTAL "ADOPTED" TO PAGE 1) TOTAL ESTIMATEC UNEXPENDED BALANCE- HIGHWAY IMPROVEMENT PROGRAM (TRANSFER TOTAL "ADOPTED" TO PAGE 1) .00 35 .00 .00 .00 .00 FEDERAL REVENUE SHARING FUND APPROPRIATIONS ACCOUNTS cODE tion PERSONAL SERVICES CF EQUIPMENT CF CONTRACTUAL EXP. CF TOTAL CF Re.,rention PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL Public Safety PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP, TOTAL CF CF CF CF CF CF .2 CF .4 CF .0 BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197,4 I97 j CF .1 CF .2 CF .4 CF .0 Library CF General GnvernrnrxcF Scn' Spry. Q�~ For A �F Financial Adm. CF CF CF CF CF CF CF CF CF TOTAL APPROPRIATIONS ESTIMATED INTEREST AND EARNINGS FEDERAL REVENUE SHARING TOTAL ESTIMATED REVENUES ESTIMATED UNEXPENDED BALANCE 7,045.01 l0,08O,0D| (O,OMO On 5, 000. 00 20,000.00 25'8O0.00 5,000.00 5.0OO.00| 5, 000. 00 08,900.,00 5^0O8.MO 4,000.00 I53,445.00| ^ ' l6�.gO0 O0{ i BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 197_6 1976 2,000.00 154,900.00 5,000.00 2,000.00 2,000.00 I54,900.00 l54.900,00 5,080.00 5,000'00 ADOPTE 197 6 2,000.001 2.000.00 163,900,08/163,900.00 REVENUES AND ESTIMATED UNEXPENDED BALANCE I8/146-64 3. 008. 0[ 8,027,00 CF240l CF4O0I :TRANSFER TO PAGE 1 1I0,2I3.00 109,892. 00 128,359.64.112.900. UD ` 8,027.00 I10,873'00 110,873.00 I18,900'0011I8,900.00 163.90D'MD 8,027.00 110,873.00 118.900. 139,409.4C c0,000.00 45,000.00 45,000.00 45,000.00 36 ACCOUNTS .11110 CODE LIBRARY OPERATIONS PERSONAL SERVICES L7410.1 EQUIPMENT L7410.2 CONTRACTUAL EXP. L7410.4 TOTAL L7410.0 EMPLOYEE BENEFITS ',STATE RETIREMENT SOCIAL SECURITY COMPENSATION INS. LIFE INSURANCE JNEMPLOYMENT INS. DISABILITY INS. HOSPITAL AND MEDICAL INS. TOTAL TOTAL APPROPRIATIONS L9010.8 L9030.8 L9040.8 L9045.8 L9050.8 L9055.8 L9060.8 L9199.0 PUBLIC LIBRARY FUND APPROPRIATIONS BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197_ 197_ BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 197_ 197_ 197_ ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE LOCAL SOURCES LIBRARY CHARGES L2082 INTEREST EARNINGS L2401 GIF TS AND DONATIO NS L2705 ENDOWMENT AND TRUST FUND INCOME L2755 LIBRARY SYSTEM GRANT L2760 DTHER (SPECIFY) L STATE AND FEDERAL AID STATE AID L3840 FEDERAL AID L4840 TOTAL ESTIMATED REVENUES ESTIMATED UNEXPENDED BALANCE "RANSFER TO 'AGE 1 37 ACCOUNTS Hughsonville BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 1974 1975 LIGHTING DISTRICT STREET LIGHTING SL -1 - CONTRACTUAL EXP. 5182.4 TOTAL INT. ON C/D TR Pax Safety TOTAL ESTIMATED LIGHTING DISTRICT UNEXPENDED BALANCE SL2401 CHELSEA LIGHTING DISTRICT STREET LIGHTING SL -2 - CONTRACTUAL EXP. 5182.4 TOTAL INT. ON C/D TOTAL ESTIMATED LIGHTING DISTRICT UNEXPENDED BALANCE SL2401 APPROPRIATIONS 8,177.16 8,430.00 LIGHTING DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTE 1976 1976 1976 11,529.04 8,177.16 8,430.00 11.529_04 ESTIMATED REVENUES .00 .00 89.95 .00 6,560.35 .00 UNEXPENDED BALANCE .00 APPRJPRIATIONS 3,358.20 3,462.00 3,358.20 ' 3,462.00 ESTIMATED REVENUES .00 .00 .00 .00 UNEXPENDED BALANCE 14.56 :TRANSFER TOTAL "ADOPTED TO PAGE 1 38-A .00 .00 .00 .00 11,529.04 11,529.04 11.529.04 11,529.04 :, .00 .00 .00 .00 LIGHTING DISTRICT .00 .00 .00 U 4,687.07 4,687.00 4,687.00 4,687.07 4,687.00 4,687.00 .00 .00 .00 .00 .00 .00 .00 .00 ,. .00 ., Le ACCOUNTS WATER DISTRICT APPROPRIATIONS (CONTD.) FLEETWOOD MANOR WATER DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE— LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 1974 1975 197. 197E 197E UNDISTRIBUTED DEBT SERVICE PRINCIPAL_ 2, 000.00 SERIAL BONDS 3W9710.6 1,800.00 2.000.00 2,000.00 2,000.00 STATUTORY BONDS 3W9720.6 BOND ANTICIPATION NOTES 3W9730.6 CAPITAL NOTES SW9740.6 BUDGET NOTES 3W9750.6 450.00 950.00 ` 950.00 REVENUE ANTICI— PATION NOTES 3W9770.6 TOTAL PRINCIPAL 3W9899.6 1,800.00 2,000.00 2,450.00 2;.950.00 2,950.00 DEBT SERVICE INTEREST SERIAL BONDS ;W9710.7 STATUTORY BONDS 3W9720.7 BOND ANTICIPATION NOTES SW9730 7 \P I TAL NOTES SW9740.7 imi)DGET NOTES SW9750.7 VENUE ANTICI— PATION NOTES Srd9770.7 TOTAL INTEREST SW9899 7 3,075.00 2,980.00 2,880.00 2,880.00 2,880.00 46.07 3,121.07 2,980.00 2,880.00 2,880.00 2,880.00 TOTAL WATER DISTRICT APPRO— PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) SW9900.0 13,695 72 1.• :1 II 1:, 11 13,084.00 1'1,nR4 nQ 40 WATER DISTRICT ESTIMATED REVENUES FLEETWOOD MANOR WATER DISTRICT ACCOUNTS METERED SALES UNMETERED SALES WATER CONNECTION CHARGES INTEREST AND PENALTIES ON WATER RENTS INTEREST AND EARNINGS' SALES OF SCRAP AND EXCESS MATERIALS MINOR SALES, OTHER INSURANCE RECOV- ERIES OTHER COMPEN- SATION' FOR LOSS OTHER (SPECIFY) UDGET BUDGET ACTUAL THlS YEAR OFFICERS PRE - LAST AS TENTATIVE LlMlHARY YEAR AMENDED BUDGET. BUDGET ADOPTE CODE 19 197a 197.c„ 197E 197E SW2l4O SW2l42 SW2l44 SW2l48 SH2401 74.90 'SK26}0 SW2655 SH268O SN26q0 SH TOTAL WATER DISTRICT - ESTIMATED REV- ENUES (TRANSFER TOTAL "ADOPTED" TO PAGE l) Real Property Taxes 8WI001 4-948'00 4,980.00 I0,308.1I I4^380.00 UNEXPENDED BALANCE 28.78 ° 5,360.11 9,400.00 8,204.00 8,204.00 11,232 711 ESTIMATED MATER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOl/\L "ADOPTED" TO PAGE l) -.00 1,372'80 ,372.00 1 372.00 ° ACCOUNTS CAMELI • BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 1974 1975 LIGHTING DISTRICT STREET LIGHTING SL -1 - CONTRACTUAL EXP. 5182.4 TOTAL Int. on C/D TOTAL ESTIMATED LIGHTING• DISTRICT UNEXPENDED BALANCE LIGHTING DISTRICT STREET LIGHTING SL -2 - CONTRACTUAL EXP. 5182.4 TOTAL TOTAL ESTIMATED LIGHTING DISTRICT UNEXPENDED BALANCE APPR )PR I AT I ONS 271.56 10.00 281.56 280. 00 L80. 00 LIGHTING DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1976 197 6 1976 ESTIMATED REVENUES .00 . 00 .00 . 00 UNEXPENDED BALANCE 17.96 APPRJPRIATIONS ESTIMATED REVENUES UNEXPENDED BALANCE TRANSFER TOTAL "ADOPTED TO PAGE 1 38 379.33 379.33 379.33 379.33 .00 .00 .00 _ .00 .00 .00 LIGHTING DISTRICT 379.33 379.33 .. . 00 . 00 .00 .. ACCOUNTS f ADMINISTRATION PERSONAL SERVICESSW8310.1 (EQUIPMENT SW8310.21 CONTRACTUAL EXP. SW8310.41 TOTAL SW8310.0 SOURCE OF SUPPLY, POWER AND PUMPING PERSONAL SERVICESSW8320.1 EQUIPMENT SW8320.2 CONTRACTUAL EXP. SW8320.4,3,974.98 TOTAL 3W8320.0I 8,092.12 PURIFICATION PERSONAL SERVICES5W8330.1 EQUIPMENT 3W8330.2 CONTRACTUAL EXP. SW8330.41 308.62 1,000.00 TOTAL SW8330.01 308.62 1,000.00 WATER DISTRICT APPROPRIATIONS WATER DISTRICT PT TFTw(1()D MAunp BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 1974 1975 368.66 300.00 . 00 5.25 150.00 373.91 450.00 4,117.14 4,000.00 . 00 3,500.00 7,500.00 TRANSMISSION AND DISTRIBUTION PERSONAL SERVI CES SW8340 . 1 EQUIPMENT 51,18340 .2 CONTRACTUAL EXP. SW8340.4 TOTAL 5W8340.0 a UNDISTRIBUTED EMPLOYEE BENEFITS STATE RETIREMENT ;149010.8 150.00 SOCIAL SECURITY SW9030.8 100.00 COMPENSATION INS.SW9040.81 LIFE INSURANCE SJ9045.81 UNEMPLOYMENT INS. SW90 50.81 DISABILITY INS. SW90 55 . 8i HOSPITAL AND MEDICAL INS. 949060.8 200.00 TOTAL 05149199.0! 4L,n_nn 39 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDC -:T BUDGET ADOPT 19 1976 1976 700.00 200.00 900.00 470.00 100.00 c7n.nn 470.00 100.00 570.00 3,000.00 3,500.00 3,500.00 3,000.00 3;500.00 3,500.00 700.00 700.00 200.00 700.00 2,200.00 844.00 260.00 2,200.00 400.00 3.04.4.00 2,860.00 50.00 40.00 20.00 110.00 33.00 20.00 32.00 2.00 37.00 124.00 200.00 ` 200.00 2,200.00 260.00 400. 2,860. 33.00 20.00 32.00 2.00 37.00 124.00 WATER DISTRICT APPROPRIATIONS OAKWOOD KNOLLS WATER DISTRICT 1 1 A 0AQCOUNTS CODE ADMINISTRATION PERSONAL SERVICESSW8310.1 EQUIPMENT 5W8-310.2 CONTRACTUAL EXP. SW8310.(, TOTAL SW8310.0 .SOURCE OF SUPPLY, POWER AND PUMPING PERSONAL SERVICESSW8320.1 .EQUIPMENT 3148320.2. CONTRACTUAL EXP. SW8320.Li TOTAL SW8320.0 PURIFICATION PERSONAL SERVICESSW8330.1 EQUIPMENT 3W8330.2 CONTRACTUAL EXP. SW8330.4 TOTAL 3W8330.0 TRANSMISSION AND DISTRIBUTION• PERSONAL SERVICES5W8340.1 EC)UI PMENT ITRACTUAL EXP. TOTAL Contractual Contingency W83q0.2 SW8340.11 3W8340.0 ;14 1990.4 EMPLOYEE BENEFITS STATE RETIREMENT ')W9010.8__ SOCIAL SECURITY 5W9030.8 COMPENSATION INS.SW9040.8 LIFE INSURANCE S49010.8 UNEMPLOYMENT INS.SW9050.8 . DISABILITY INS. c)W9055.8 HOSPITAL AND MEDICAL INS. 949060.8 TOTAL -;‘19199-0_ BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1974 1975 61.79 200.00 3.02 64.81 100.00 300.00 300.00 BUDGET OFFICERS TENTATIVE BUDGET - 197_6. 700.00 PRE- LIMINARY BUDGET 197.6. 200.00 4DOPTED 197L 200.00 200.00 100.00 100.00 2,277.07 2,700.00 2,277.07 3,000.00 2,469.73 226.46 2,696.19 100.00 100.00 2,000.00 400.00 2,400.00 900.00 300.00 300.00 500.00 100.00 100.00 3,500.00 2,400.00 2,400.00 4 000.00 2,500.00 2,500.00 800.00 800.00 600.00 682.00 2,000.00 682.00 2.600.00 UNDISTRIBUTED 140.00 100.00--- 200_0 v0. -on 1,425.00 300.00 2,000.00 3,125.00 1,611.00 2000Q. 200.0D 1,425.00 300.00 2,000.00 3,725.00 1,611.00 20.00 20.00 40.00 12.00 ,12.00 19.00 19.00 40.00 20_00 22.00 28-0.00 110_00 _74-00 39 1.00 22.00 74.00 ACCOUNTS WATER DISTRICT APPROPRIATIONS (CONTD.) OAKtWJ00D KNOLLS WATER DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE— LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPT COD: 1974 1975 197.6 1976 197 UNDISTRIBUTED DEBT SERVICE PRINCIPAL SERIAL BONDS 3W9710.6 1,200.00 1,200.00 1,200.00_ 1,200.00 1,200.00 STATUTORY BONDS :SW9720.6 BOND ANTICIPATION NOTES SW9730.6 CAPITAL NOTES 5W9740.6 BUDGET NOTES 5W9750.6 2,668_83 2,668.83 2,668.83 REVENUE ANTICI— PATION NOTES ;W9770.6 1,o00.o0 1,000.00 1,000.00 1,000.00 TOTAL PRINCIPAL_ ;W9899.6_2,20(3.00 2,200.00 4,868.83 4,868.83 4,868.83 DEBT SERVICE INTEREST SERIAL BONDS 1W9710 .7 1,84607 1,740.00 1,680.00 1,680.00 1,680.00 - STATUTORY FONDS i W9720 . 7 BOND ANTICIPATION NOTES SW97 30 .7 CAPITAL NOTES SW97 40 . 7 BUDGET NOTES SW97 50 .7 REVENUE ANTICI— PATION NOTES Sw9770.7 55.84 80.00 70.00 70.00 70. TOTAL INTEREST SW9 8 99.7 j ,mj nn 1,820.00 TOTAL WATER DISTRICT APPRO— PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 1.750.00 1 ,350.00 1,750.00 SW9900 .0 81341.89 1(4E82 no _is .n9. .81 15,028.83 15,028.83 40 WATER DISTRICT ESTIMATED REVENUES OAKoOOD1.201,LS WATER DISTRICT 10000,AGCOUNTS METERED SALES UNMETERED SALES VATER CONNECTION CHARGES INTEREST AND ` PENALTIES ON WATER 'RENTS SH2l4O SW2l42 SK3l44 SW2l48 BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED 1974 1975 1976 197E 197 INTEREST AND EARNINGS ' SW2401 13l. SALES OF SCRAP AND EXCESS • : MATERIALS 15H2650 MINOR SALES, --- OTHER . SW2655 INSURANCE RECOV- ERIES S\{2680 OTHER COMPEN- SATION FOR LOSS SU2690 �-qEB (SPECIFY) SH ���'/\L WATER '6TRlCT - ESTIMATED REV- ENUES (TRANSFER TOTAL "ADOPTED" ,% , TO PAGE ll 4��2I-73 7"742^00 9480J][\�� R0,O0 g,0.UO Real Property Taxes STolUOl --S�Zl�>-4O -2,940.0U- 9,702.13 9,7O2.I3 l0,682'00 UNEXPENDED BALANCE ^ F,'_ST)KATED WATER DISTRICT UNEX- PENDED BALANCE .(TR/\NSFER TOTAL "ADOPTED" TO PACE 1) OO '0O_-_ ` .00 0 WATER DISTRICT APPROPRIATIONS TALL =ES VJAlER WATER DISTRICT ACCOUNTS - COD 'ADMINISTRATION PERSONAL SERVICESSW8310 EQUIPMENT Sb;3310 CONTRACTUAL EXP. SW8310 . TOTAL SW8310 SOURCE'OF SUPPLY, POWER AND PUMPING PERSONAL_ SERVICESS;t332O EQUIPMENT CONTRACTUAL EXP. TOTAL' PURIFICATION PERSONAL SERVICESSW8330 EQUIPMENT SW8330 CONTRACTUAL EXP. SW8330 TOTAL W8330 S 83 i0 SW33.20 3W8320 ACTUAL LAST YEAR 3.974 .1 - 'E BUDGET THIS YEAR AS Ai -;`.DED 1915 - TRANSMISSION AND DISTRIBUTION PERSONAL SERVICES SW2 ! 0 . 1 EQUIP►MENT ,Ur:3': 0. ?1 CONTRACTUAL EXP. ;W8340 TOTAL W8340.0 EMPLOYEE BENEFITS STATE RETIREMENT 6'49010.8 SOCIAL SECURITY S'W9030. 40.00 13.00 COMPENSATION TNS . S;90 40 . e 18.00 LIFE INSURANCE S49045.4 UNEMPLOYMENT INS . S'..9O 50 . I;1_ DISABILITY INS. ,-,I J 8 HOSPITAL AND MEDICAL INS. :'rt_)0 0 _ 20.00 24.00 24.00_ TOTAL , >�:•- _i 1 Y:, . c -- ___ _ -- - .00 11.0_ pp _ 8_0_00 80.00 _.. - BUDGE T OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1976 1976 700,00 _ 200.00 100.00 80.00 200.00 .00 04 380.00 4DC)PTEt' 197.6 200.0 80.00 100.00_ 380.00 2,400.00 2,400.00. 2,400.00 2,400.00 500.00 3,500.00 1.000.00 1,000.00 .00 a,000 00 14_000,0D_ 1,000.00 • 2,15D-00 2,750.00 1,000.00 500.60_ . 500.00_ 300.000. 1,000.00 1,000.00_ .0Q 4,000.00 4,250.00 - 4,250.E UNDISTRIBUTED 50.00 23.00 23.00 13.00 - 18.00 2.00 2.00 39 WATER DISTRICT APPROPRIATIONS ACuNip,) TALL TREES WATER WATER DISTRICT 10/ • ACCOUNTS DEBT SERVICE PRINCIPAL SERIAL BONDS STATUTORY BONDS EONO ANTICIPATION NOTES CAPITAL NOTES BUDGET NOTES REVENUE ANTICI- PATION NOTES. TOTAL PRINCIPAL SW9710.6 W9720 .6 3W9730 .6 3W97+0.6 SW9750_6 3W9770 .6 3W9899 .6 DEBT SERVICE INTEREST SERIAL BONDS iW9710.7 STATUTORY DONDS iW9/20.7 BOND ANTICIPATION SW9/30./ SW9711-0-7 S,/75() .7 NOTES rAPITAL NOrES ;DGET NOTES 'VENUE ANTICI- 1--)ATION NOTES TOTAL INTEREST TOTAL WATER DISTRICT APPRO-- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAE.: 1) • BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE— LA51- AS TENTATIVE LIMINARY YEAR ANENDED BUDGET. BUDGET ADOPTED 197 1975_ 1976 19/6 S'49770 , SW 9 8 9 .7 s.!9 (J00 . 0 _ UNDISTRIBUTED 5,000.00 6,000.00 6,000.00 .00 5,000.00 6,000.00 6,000.00_ 4,000.00 .00 I 4Z,100,0( * 4,000,00 .00 14:4110.0o 18,110.00 MD_ I fl ACCOUNTS WATER DISTRICT ESTIMATED REVENUES TALL TREES ‘; Arr'ER WATER DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 1974 1075 197:6 1916. METERED SALES SW9I40 UNMETERED SALES SW2142 A1. -ER CONNECTION CHARGES SW2144 INTFREST AND - PENALTIES ON WATER RENTS SW2148 INT7:=ST AND EARNINGS-- SW2401 • SALES OF SCRAP AND EXCESS - MATERIALS 5W2650 MINOR SALES, OTHER .SW2655 INSURANCE RECOV- ERIES SW2680 OTHER'COMPEN- SATTON FOR LOSS SW2600 OTHER (SPECIFY) -TOT,:,L WATER DISTRICT - ESTIMATED REV- ENUES (TRANSFER TOTAL "ADOPTED" TO PAGE.1) ESTIATEDWATER DISTRICT UNEX- PEDED BALANCE (TRASFER TOTAL "AD.DPTED" TO 1)C-- 1) ADOPTE 1916 .00 11,248.00 11248 11,248.00 100.00 100.00 i�o.00 ..Q. 11,348.00 UNEXPENDED BALANCE 6,762.00 348.00 11,348.00 6,762.00 6 762.00 � � 01 ACCOUNTS WATER DISTRICT APPROPRIATIONS Central Wap'oger WATER DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 1974 1975 . 1976 19 7 6 ADMINISTRATION PERSONAL SERVlCES5W8510,� EQUIPMENT SW8310.� CONTRACTUAL EXP. SW8310.41 TOTAL 5W8310.0 � SOURCE OF SUPPLY, POWER AND PUMPING PERSONAL SERVICESSW8320.1 EQUIPMENT 5H8320.2 CONTRACTUAL EXP. SN8320.4 TOTAL SN8320,0 PURIFICATION PERSONAL SERVlCES3N8350.1 EQUIPMENT 3N8330.2 CONTRACTUAL EXP, SW8330.41 TOTAL W8330.0/ TRANSMISSION AND DISTRIBUTION PERSONAL S[RV]CESSW8340.1 F0UlPMENT 3H8340.2 L EXP. iH8J40.4 NTRACTUAL TOTAL SW8340.0 EMPLOYEE BENEFITS STATE RETIREMENT ;W9010,8 SOCIAL SECURITY 8W9030.8 COMPENSATION lN5.SN9O4O.O LIFE INSURANCE 949045.8 UNEMPLOYMENT lN5.849050,84 , DISABILITY INS. 5W90!,5,8; 'HOSPITAL AND MEDICAL INS. 949060.8 ^ TOTAL 0SW9199.0 500. 00 100. 00 50O~80 1, 100. 00 l8.00O.00 2, 000. 00 6,000.00 36,0O0-00 3,0D0^OO 3, 000. 00 UNDISTRIBUTED [ l,8O0.00 l,lO0.00 100. 00 4,800.00 5'400~00 500 .00 ~ S0O'OO 2,500.00 14.50D~{D 7,000.00 7,400.00 4°000.001 1,000.00 8,000,001I5,000.00 I2,000.00 16,000.00 1,000.00 5,000.00 6,000.00 4UOPTED 1976 5,400.00 500.00 1.500.00 7,400.00 1,000.00 15.000.00 16^000,00 364.00 364.00 2.780.{}0 2.700'00 3,064.00 3,064.00 2g'38O.00 4,000.00 I,000.00 30,000.00 2'000.00 34,000.00 32,300.00 400.00 300.00 50.00 29,300.00 1.000.00 2,000.00 32,300.00 360.00 360.00 200.00 200'00 I05.00 109'00 21.00 21.00 l.40O.0O// 250-00 550.00 550,00 4,400_00 1,000-00 1,236.00 1'236,00 39 WATER DISTRICT APPROPRIATIONS (CONTD.) Central Wappin ;er WATER DISTRICT ACCOUNTS CODE Contractual SW8340.4 DEBT SERVICE PRINCIPAL SERIAL BONDS .5W9710.6 STATUTORY BONDS 3 4197 20 .6 BOND ANTICIPATION NOTES 3W9730.6 CAPITAL NOTES 3W9740.6 BUDGET NOTES :34!9750.6 REVENUE ANTICI- PATION NOTES 3W9770.6 TOTAL PRINCIPAL ;W9899.6 DEBT SERVICE INTEREST SERIAL BONDS ;W9710.7 STATUTORY BONDS ;W9720.7 BOND ANTICIPATION NOTES SW9730.7 CAPITAL NOTES SW9740.7 BUDGET NOTES SW9750.7 REVENUE ANTICI- PATION NOTES SW9770.7 TOTAL INTEREST S49899.7 TOTAL WATER DISTRICT APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1974 1975 UNDISTRIBUTED 1,266,570.10 11, non. nn 350,000.0C 35, 500.00 350,000.00 46, 500. 00 11,600.00 22, 881.00 15,540.00 27,140.0C 75, 300.00 98. 181.00 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPT 197 6 1976 1976 11,000.00 11,000.00 11,000.00 50,000.00 50,000.00 50,000.00 61,000.00 61,000.00 61,000.00 22,243.00 22,243.00 22,243.00 138,200.00 138,200.00 138,200.00 160,443.00 160,443.00 160,443.00 3, 643,710.1C SW9900.01 179, 181.00 281,443.00 2R1,443.0C.281,443.00 40 ACCOUNTS METERED SALES UNMETERED SALES WATER CONNECTION CHARGES INTEREST AND PENALTIES ON WATER RENTS INTEREST AND EARN I NGS nn�es. SALES OF -SCRAP AND EXCESS MATERIALS MINOR SALES, OTHER INSURANCE RECOV- ERIES OTHER COMPEN- SATION FOR LOSS "HER (SPECIFY) Refund BAN SERIAL - TOTAL 'ESTIMATED WATER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) WATER DISTRICT ESTIMATED REVENUES Central Wappinger WATER DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET. BUDGET CODE 1974= .1975 1976 1976 SW2140 SW2142 SW2144 SW2148 SW2401 12,108.91. SW2650 SW2655 SW2680 5W2690 S W2701 2,500.00 2.050,021.50 400,000.00 34,500.00 59,000.00 1.000-910 2,464,630.41 35, 500. 00 143, 681.00 UNEXPENDED BALANCE 179, 181.00 41 1,000.00 ADOPTED 1976 59,000.00 59,000.00 1,000.0o 1,000.00 60,000.00 60,000.00 60.000.00 .00 10,594.00 10,594.00 10,594.00 New Hackensack ACCOUNTS FIRE PROTECTION DISTRICT BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE '1974 19;5 APPROPRIATIONS FIRE PROTECTION DISTRICT PAYMENTS ON FIRE CONTRACTS SF -I - CONTRACTUAL EXP. 3410.4 113. 412. Of TOTAL Int. on Deposits & ltentals TOTAL ESTIMATED FIRE PROTECTION DIST. UNEXPENDED BALANCE FIRE PROTECTION DISTRICT PAYMENTS ON FIRE CONTRACTS SF -2 - CONTRACTUAL EXP. 3410.4 TOTAL TOTAL ESTIVATED FIRE PROTECTION DIST. UNEXPENDED BALANCE BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTE 1976- 1976 197 6 120,326.0( 129,786.00 129,786.00 113.412. OC 120. 326. 0(, 129,786.00 129,786.00 ESTIMATED REVENUES son_ nn 100.0C Ann_ nn 1,389.60 1,600.00 3,698.41 1,389.60 5,298.41 UNEXPENDED BALANCE 72O. Of 1,000.00 1,,500.00 APPROPRIATIONS ESTIMATED REVENUES 1,600.00 3,698.41 5,298.41 1,500.00 129,786.00 129,786.00 1,600.00 3,698.41 5,298.41 FIRE PROTECTION DISTRICT. UNEXPENDED BALANCE ::TRAN'i3FER TOTAL "ADOPTED" TO PAGE 1 112 1 HUGHSONVILLE ACCOUNTS CODE FIRE PROTECTION DISTRICT PAYMENTS ON FIRE CONTRACTS 5F -1 - CONTRACTUAL EXP. 3410.4 TOTAL RENTALS SALES OF EQUIPMENT TOTAL ESTIMATED FIRE PROTECTION DIST. UNEXPENDED BALANCE CHELSEA FIRE PROTECTION DISTRICT PAYMENTS ON FIRE CONTRACTS SF -2 - CONTRACTUAL EXP. 3410.4 TOTAL A40 FIRE PROTECTION OUTSIDE DIST. RENTALS A52 TOTAL 'ESTIMATED FIRE PROTECTION DIST. NEXPENDED Li 3ALANCE BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1974 1975 APPROPRIATIONS 52,246.66 55,434.24 52,246.66 55,434.24 FIRE PROTECTION DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1976 1976 1976 64,632.23 64,632.23 64,632.23 64,632.23 64,632.23 64,632.23 ;: ESTIMATED REVENUES 100.00 100.00 100.00 100.00 UNEXPENDED BALANCE .00 APPROPRIATIONS 30,600.00 35,222.00 30,600.00 .S,42L.UU ESTIMATED REVENUES 50.00 50.00 50.00 50.00 UNEXPENDED BALANCE ::TRANSFER TOTAL "ADOPTED" TO PAGE 1 422-X .00 150.00 500.00 650.00 Qo 150.00 500.00 650.00 .00 150.00 500.00 650.00 :: .00 FIRE PROTECTION DISTRICT 35,850.00 35,850.00 35,850.00 35,850.00 35,850.00 35.850.00 100.00 100.00 100.00 100.00 .00 .00 100.00 100.00 .00 ,. SEWED DISTRICT APPROPRIATIONS FLEETWOOD iii 0R SEIJFR DISTRICT ACCOUNTS CODL= iSPECIAL ITEMS -AXES ON SEVER DISTRICT PRCPERTI ICONTRACTUAL EXP . SS 19 50 ACTUAL LAST YEAR 1974 tl kDM I N I STRAT ION • PERSONAL S ERV I CES SS 81 10 . 1 I EQUIPMENT SS8110.21 CONTRACTUAL EXP. SS 8110 TOTAL 3S8110.0 SEWAGE COLLECTING SYSTEM 1 1 PERSONAL SERVICES SS8120.1:! EQU I PMENT SS 8120 . 2 :ON T RAC T UAL EXP . SS 8120 . t+ TOTAL SS8120.0 SEWAGE TREATMENT AND DISPOSAL PERSONAL SERVICES SS8130.1 EQU I P,MENT 3S8130.2 :0,N T ;:ACTUAL EXP. $S 81 30 . t} TOTAL 3S 81 30 . 0 392.61 47.19 439.80 __9,032.00 8,519.59 BUDGET Tit I S Y EAR AS ((AMENDED I 1975 17,551.59 300.00 200.00 500.00 BUDGET OFFICERS PR E - TENTATIVE LIMI NARY BUDGET BUDGET ADOPT 197.6 197_6 1976 700.00 200.00 900.00 470.00 100.00 570.00 55u:uu 200.00 b,000.UO 3,800.00 6,550_,QQ__ 4,000.00 9_7000.00 1 0oo.00 8,000.00 18,000.00 470.00 100:66- 570.00 00:6570.00 200.00 3,800.00 4,000.00 _ 6,800.00 6,800. 500.00 400.00 400. 7,500.00 3,200.00 _ 3,200. 81000.00 10,400.00 10,400. UNDISTRIBUTED EMPLOYEE BENEFITS STATE RETIREMENT SS90 ] 0 .8 SOCIAL SECURITY ;590 30.8 jCOMP ENS ATION INS . SS9040 . 8 ILIFE INSURANCE ;59010.8 1UNEPL.OYMENT INS . 59050.8 DIS.. I LITY INS . :69055 .8 'H OSPITAL AND MED I CAL INS . SS 90 GO . 8 600.00 .20.00 34.00 TOTAL SS 91 9 9 . (; 2,000_00 , S1o.. Q0 __ 90.1a 90.00 900.00 500.00 50.00 29.00 40.00 17.00 29.00 17.00 8.00 8.00 2.00 2.00 34.00' ti 3 SE'1E DISTRrCT APPRCWH i 1UNJ MIDPOINT PARK SEWER D 1 S TR I CT EC I AL I TENS 7AXE3 ON S EWER 1 DISTRICT PRC.PE RT) i 1 CONTRACTUAL EXP . SS 1950 BUDr.;!ET ACTUAL TH I S YEAR . LAST AS YEAR ANDD CODE 1974 1 1,; 7 5 N I STRATION • PE.P,S0V,L S ERV I CES 55 8110 . 1 EQUIPMENT 5S8110 .2 CONTRACTUAL EXP. SS 8110 .1i TOTAL 5S8110 .0 SEWAGE COLLECTING SYSTEM PERSONAL SERVICESS58120.1! EQUIPMENT iS8120.2 0NTRACTUAL EXP. S38120.4 TOTAL 3S8I20 _0 BUDGET OFF I CEP,S PRE - TENTATIVE LINT t\J?,RY BUDGET BUDGET 1976 1976 ADOPTED 19 76 500.00 500.00 100.1/4 100,00 100.00 400.00 300.00 306100F Qft 1 500.00 900.00 900.00 2,820.00 1,000.00 1,000.0o 6,500.00 3,600.00 3,600.00 9,320.00 4,600.00 4,600.00 i SEWAGE TR EATC.ENT AND DISPOSAL PERSONAL SERVICES ,58130 . I 8,000.00 8,000.00 U i PP1ENT 58130,23 3;000.0-0 1,000.00 1,000766- NTRACTUAL EXP . l'; P 1 30 . LI- 9,000.00 8,300.00 8,300.0U - TOTAL )S8130 .0 .00 12,000.00 17,300.00 17,300.00 EMPLOYEE BENEFITS STATE RETIREMENT 359010.8 _ SOCIAL SECURITY 359030.8 COMPENSATION INS. ;59040.8 LIFE INSURANCE ,S904%.8__ UNEPLOYMENT INS.359050.8 j)ISAILITY INS. 3S90',5 .8 liOSPITA! AND t.IEDICAL 1%S. TOTAL U D 1 STR IBUTED 100.00 50.00 17.00 50.00 80.00 28.0028.00 17.00 2.00 2.00 :oro .8 43.00 S9199 .0 .00 140.00 SEWER FUND APPROPRIATIONS (CONTD.) MID -POINT PAP,I, SEwER DISTRICT ACCOUNTS DEBT SERVICE PRINCIPAL SERIAL BONDS 539710.6. STATUTORY BONDS s59720.6 BOND ANTICIPATION NOTES s59730.6 CAPITAL NOTES 359740.6_ BUDGET NOTES 559750.6 REVENUE ANTICI- PATION NOTES .3s5770.6 TOTAL . DEBT SERVICE INTEREST SERIAL BONDS .S59710.7 ACTUAL LAST YEAR 1974 BUDGET THIS YEAR AS 1975 UNDISTRIBUTED BUDGET OFFICERS PRE - TENTATIVE LIMINARY E3UDGET, E3UDGET 1973 197j5 A D °PTE. r' 1976 STATUTORY BONDS S9:'2 .7 BOND ANTICIPATION NOTES )59730.7 CAPITAL NOTES IS9740.7 'BUDGET NOTES SS9150.7 _ REVENUE ANTICI- PATION NOTES ;59/70.7_ TOTAL TOTAL SEWER DIST. APPROPRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) n ___2_2_,.940.-.00___22÷9.40..00 22,940,00 ACCOUNTS SEWER RENTS SEWER CHARGES INTEREST AND PENALTIES ON SEWER RENTS INTEREST AND EARNINGS SALES OF SCRAP AND EXCESS MATERIALS MINOR SALES, OTHER INSURANCE RECOV- ERIES OTHER COMPEN- SATION FOR LOSS STATE AID FOR 114C?ERATION AND ' ''.INTENANCE OF WAGE DISPOSAL PLANT OTHER (SPECIFY) SEWER DISTRICT ESTIMATED REVENUES MID -POINT PARK SEWER DISTRICT COD SS2120 SS2122 SS2128 SS2401 SS2650 SS2655 55 2680. ss2690 553901 SS TOTAL SEWER DIST' ESTIMATED REVENUESCMANSFER TOTAL "ADOPTED" TO PAGE 1) ESTIMATED SEWER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) BUDGET ACTUAL THIS YEAR. LAST AS YEAR AMENDED 1974 19 -AL BUDGET OFFICERS PRE— TENTATIVE LIMINARY BUDGET- BUDGET ADOPTED 197.L 1976 197L 22,940,0Q 22,840.00_ 22,840 00 100.00 100.00 * 100.00 22,940.00 22,940.00 22,940.00 UNEXPEOED BALANCE Li 5 ACCOUNTS SEWED: DISTRICT APPROPRIATIONS Rockingham Farms SEWER DISTRICT BUDGET ACTUAL THIS YEAR LAST j AS YEAR 1 AMENDED CODE 197_4 1 197_5 SPECIAL ITEMS TAXES ON SEWER DISTRICT PRCPERTI 1 CONTRACTUAL EXP. SS1950.41 ADMINISTRATION • PERSONAL SERVICES SS 8110 .1 361.80 `EQUIPMENT . 5S8110 .21 CONTRACTUAL EXP. SS8110.Li- n cn TOTAL • SS 81 10 .01 SEWAGE COLLECTING SYSTEM 1 PERSONAL. SERVICES SS 812.0.1 ! EQUIPMENT S 812.0. 2 : ;ONTRACTUAL. EXP . 8120 . 4 TOTAL SS 8120.0 1, 000. 00 500. 00 412.. 30 1,5_00 -01) SEWAGE TREATMENT (AND DISPOSAL PERSONAL SERVICES 3S8130.1 2565.36 EQUIPMENT -358130.2 •-:ONTRACTUAL_ EXP . ;S8130 .4 28, 592. 15 TOTAL 3S8130 .0 54157 28, 000. 00 1, 500. 00 17 000. QO . 17 46, 500.00 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTF 197.6. 197_6 197•). 4,000.00 500.00 1,500.00 6,000.00 950.00 300.00 850.00 2,100.00 3,675.00 _ 2,300.00 27,000.00 1.2,660.00 30,675 06 14,300.00 UNDISTRIBUTED EMPLOYEE BENEFITS S TATE RETIREMENT SS 90 10 8 SOCIAL SECURITY SS9030 8 752.17 COMPENSATION INS ._3S9040 8 LIFE INSURANCE 359045 8 UNE. ;PLOYMENT INS . 35 90 50 8 !DISABILITY INS . 3S9055 8 HOSPITAL AND MEDICAL INS TOTAL 2,800.00 1, 600. 00 950.00 300.00 850.00 2,100.00 2,300.00 12,000.00 14,300.00 26,300.00 26300. 3,000.00 3,000.00 3,000. 25,000.00 19L600.00 19,600._ 23,000.00 48,900.00 48 900.00 400.00 134.00 134.00 300.00 65.00 65.00 50.00 30.00 30.00 6.00 3S 9(; 60.8 _ 2, 000. 00 250.00 359199 .0 752_17 6,400.00 2J002(.00 140.00 375.00 6.00 140.00' 375.00 43 ACCOUNTS - � l SEWER FUND APPROPRIATIONS ^CONTD,/ Rockingham Farms SEWER DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATlVE LIMINARY' • YEAR� AMENDED_ BUDGET BUDGET ADOPTED con l97 4- l975 197 6 1976 19 76 UNDISTRIBUTED DEBT SERVICE PRINCIPAL SERI/\L BONDS SS97lD.6 STATUT0RY BONDS SS972D.6 BOND ANTICIPATION ' NOTES SS9730.6 590. 00 6,000.00 I CAPITAL NOTES S59740.6 BUDGET NOTES 3S9750.6 REVENUE ANTICI- - -- PATION NOTES 359770 .6 11`008.00_ I5,000~00 15v000.00 }5^008,0} TOTAL ;5g899.6 ��0_00 17,000.00 15,000-00 15,000.00 ��^OO[},'0�- DEBT SERVICE INTEREST SERIAL BONDS 359710 .7 STATUTORY BONDS 3S 9720.7 BOND ANTICIPATION - NOTES ;S9730.7 !\PlTAL NOTES 359740.7 ']DGET NOTES 359750 .7__i REVENUE/\NTlCI- PAT ION NOTES 359770.7 l ��X 5f.TOT&L 359899 7 ' TOTAL SEWER DIST. APPROPRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 420. 00 1, 650. 00 2, 070. 00 57, 140. 56 73, 470. 00 44 1,125.00 1,125.00 1,125.00 1.125.00 1,125.00 81,800.00 81x800.00 81,880.00 ACCOUNTS SEWER RENTS SEWER CHARGES INTEREST AND PENALTIES ON SEWER RENTS SEWER DISTRICT ESTIMATED REVENUES ROCKINGFIAM FARMS SEWER DISTRICT BUDGET BUDGET ACTUAL. THIS YEAR OFFICERS PRE - LAST AS TENTATIVE L I M I NARY YEAR AMENDED BUDGET . BUDGET ADOPT CODS 1974 1975 197a 19 76.. 197 SS2120 SS2122 SS 2128 46,230.63 46,300.00 66,800.00,_._. _.,66,,80.0.00 66,800.00 INTEREST AND EARNINGS S S 2 40 1 404.36 700.00 .00 .00 SALES OF SCRAP AND EXCESS MATERIALS SS2650 MINOR SALES, OTHER SS2655 INSURANCE RECOV- ERIES SS2680. OTHER COMPEN- SATION OMPEN-SATION FOR LOSS SS2690 STATE AID FOR OPERATION AND t1A!NTENANCE OF SEWAGE DISPOSAL PLANT S S 3 90 1 35,113..35 17, 000.00 10, 000.00 10, 000.00 .10,000. OTHER (SPECIFY) CAPITAL ACCT. SS2850 6,000.00 .00 TOTAL SEWER DIST.> ESTIMATED REVENUESCIRANS FER TOTAL "ADOPTED" TO PAGE 1) 81,748.34 70,000.00 76,800.00 76,800.00 76,80D.00 .00 ESTIMATED SEWER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO ^.,,- 1) UNEXPENDED BALANCE 2=1,754 2:4- 3,470_00 5,000.00 5,000.00 5 000.00 Li 5 SEWE"r; DISTRICT APPROPRIATIONS WILDW0OD SEWiFR D I S TR 1 CT CODE SPECIAL ITEMS ' AXES ON SEWER DISTRICT PRC'?ERT`r ICONTRACTUAL EXP . SS 1950 ACTUA LAST YEAR 197 el aD; INISTRATION i PERSONAL SERVICES SS 8110 .1 EQUIP ^ENT 5588110 .2:; CON T RACTUAL EXP . SS 8110 . t:: TOTAL SS 81 10 SEWAGE COLLECTING SYSTEM PERSONAL S ERVI CES SS 81 20 1 EQUIPMENT S 81 20 . 2 :ONTRACTUAL EXP . 8.120 . t� TOTAL 558120.0 SEWAGE TREATMENT tin DISPOSAL .SONAL SERVICE_ S ;s$130. (Pi•:E,NT 7{'• iii i () . 2 l P,ACTUAI.. EXP . -;S%'.1.30 . t� TOTAL SS 8130 .0 EI,IPLOYEE BENEFITS S TATE RET I REMENT 5590 10 . F; SOCIAL S E CUR i TY ;S 90'30 . 'COMPENSATION INS. ;S0n0.8 IE_IFE INSURANCE -)S(105.8 �UN LOYMEN-i INS . ;S 90 50 . 8 '69055.8 'DI;,A,iLITY INS. ; IOS P I Tf,E_ AND 1'',ED% I CAL I N$ TOTAL (1 e-;9199.0 BUDGE_r BUDGET THIS YEAR OFF/ CERS PEE- AS TENTATIVE L I MI MARY AtENDED BUDGET BUDGET 1 197 5 197E 1976 ADOPTED 1976 2,100.00_ 900.00 900,0,0_ 200.00 200.00 200,.Q0 500.00 500.00 500.00_ 2 80„010 1,600.00 1.600.00 004 oo.00 1,000.00 1,000.00 5,500.0o 3,300.00 I_ 3,300.00 6,000 .Q 4,300.00 4,300.00 10,800.00 .00 UND I STR I BUTED 1,662.00 `OIl 12,000.00 4,700.00 13,662_00_ 16,500.00 10,800.00 1,000.00 4,700.00 (16,500.00 _ 100.00 95.00 95.00 51.00 31.00 31.00 80.00 51.00 --._... 6.0.0 40.00 99.00 .00 220.00 282.00 6.00 282.00 AC COUNTS SEWER FUND APPROPR!ATIONS lCuNiu,) WILDWOOD - SEWER DISTRICT BUDGET ACTUAL THIS YEAR LAST AS YEAR AENDED CQD 197 '975 DEBT SERVICE PRiNCIPAL SERIAL BONDS 'iS9710.6 STATUTORY BONDS :SS9720.6._____ BOND ANTICIPATION NOTES .7359730.6 CAPITAL NOTES59740.6 BUDGET NOTES _7359750,6 REVENUE ANTICr- PATION NOTES :.;59770.6 TOTAL . ;S.9899.6 BUDGET OFFJCERs PRE - TENTATIVE LIMINARy BUDGET BUDGET 1976. 1976 UNDISTRIBUTED ADOPTED 1976 • DEBT SERVICE INTEREST SERIAL BONDS 3S9710.7_ STATUTORY EONDS :)72.7 BOND ANTICIPATION NOTES .S9/31.1.7 CAPITAL NOTES ;s97q0.7, BUDGET NOTES '69750.7__ REVENUE ANTICI- PATION NOTES ',59770.7 TOTAL ;S9899.7___ ,• TOTAL SEWER DIST. • APPROPRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 10,000.00 30000.00 10,000.00 24,360.00 24,360.00 24,360.00 .00 57,042.00 42 00 57.,.042_00 - ILACCOUNTS SEWER RENTS SEWER CHARGES INTEREST AND PENALTIES ON SEWER. RENTS . SS2128 SEWER DISTRICT ESTIMATED REVENUES WIIDWOOD DTSTRICT rupsET ACTUAL THIS YEAR LAST AS YEAR A;;T:Nf.)ED COW; 1974 1975 SS2120 SS2122 INTEREST AND EARNINGS. SS2401 SALES OF SCRAP AND EXCESS MATERIALS SS2650 MINOR SALES, OTHER SS2655 INSURANCE RECOV— ERIES S.52680, OTHER COMPEN— SATION FOR LOSS SS2690 STATE AID FOR ERATION AND 1NTENANCE OF ,;AGE DISPOSAL PLANT SS3901 OTHER (SPECIFY) SS TOTAL SEWER DIST:', ESTIMATED REVENUES(TRANS FER TOTAL "ADOPTED" TO PAGE 1) ESTIATED SEWE DISTRICT UNEX— PEDED BALANCL (TiFER TOTAL /[.TED" TO 1WE 1) E'UDGET OFFICERS PRE— TENTATIVE LIMINARY BUDGET. BUDGET 197 6 1976_ ADOPTED 197p 46,842.00 _4_6,1342_00_4EJ4EL, 200.00 200.00 -200.00 . 42442 no 47,049.no 47,042.00 UNFXPEDED BALANCE 10QOOOEcL 10,000.00 10 000.00 SEWEi-: DISTRICT APPROPRIATIONS t9APPINGER SEWER. IMPROVEMENT #3 ACCOUNTS SEWER DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPT CODE 1974 197.5 1976 197f, 1976 SPECIAL ITEMS `AXES ON S EWE:- DISTRICT PRCI='ERT1 1 CONTRACTUAL EXP . SS 19 50 . :kD,•? I N I STRAT I ON PERSONAL SERVICES SS8110 .1 EQUIPMENT SS8110.21 CONTRACTUAL EXP . SS 8110 .'� TOTAL SS 81 10 .0'a SEWAGE COLLECTING SYSTEM i# PERSONAL SERVI CES SS 8120.1 EQUIPMENT 3S 8120 . 2l ;ONTRACTUAL EXP . 4; 81 20 .1 TOTAL ;S8120,11 � .001 1,000.00 200.00 300.00 .00 1,500.00 400.00 100.00 200.00 /60.00 400.00 100.00 " 200.00 700.00 2,280.00 500.00 500.00 5,500.00 6,400.00 6,400.00 .001 ort 7,780.00 6,900.00 6.900.00 SEWAGE TREATMENT (AFD DISPOSAL PERSONAL SERV I CES :;S 8130 . 1 EQU I ?;'_P:T ;S 81 30.21 :0 TR ACTUAL EXP . :iS 8130 . 41 TOTAL SS8130.0' .00 .00 UNDISTRIBUTED EMPLOYEE BENEFITS STATE RET IREMEN i SS 90 10 . SOCIAL SECURITY ;S90>0.8f COXPE NSArION INS. �S904E0 . LIFE INSURANCE3S 9 0 4 5. 6: UNE:.'PLOYMENT I NS . ;S 90 50 . c;l A DISSi LITY INS . 5S005 5.�;! MEDICAL INS. SS 9060 fJ1- - TOTAL 359199 T 2,000.60 5,000.00 7,000.00 4,200.00 4,200.0 600.00 600 4,000.00 4,000 8,800.00 8,800. 100.00 32.00 80.00 20.00 9.00 32.00 20.00 9.00 2.00 2.00 40.00 _37.00 _ 37.00. _22Q --DO 100.00 100.00 SEWER FUND APPROPRIATIONS (CONTD,) WAPPINGER SEWER IMPROVEMENT #1 LACCOUNTS CONTRACTUAL DEBT SERVICE PRINCIPAL CODE SEWER DISTRICT BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1974 1975 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1976 1976 1976 UNDISTRIBUTED SS8130.4 1,460,208.65 SERIAL BONDS SS9710.6 STATUTORY BONDS 559720.6 BOND ANTICIPATION NOTES • 5S 97 30.6 400,000.00 CAPITAL NOTES 559740.6 BUDGET NOTES SS9750.6 REVENUE ANTICI- PATION NTICI - PATIOiN NOTES 359. 70.6 TOTAL .;59899.6 DEBT SERVICE INTEREST SERIAL BONDS -Z971'2.7 14,500.0(+ STATUTORY FONDS :,5 �•:' . 7 BOND ANTICIPATION OTES )S9730.7 19 840.00 46,700.00 P I TAL NOTES iS+7' `l . 7 15,800.00 25,000.00 40 800.00 31,222.00 DGET NOTES 359750.7 REVENUE ANTICI- PATION NTICI-PATION NOTES Z9770./TOTAL x.59399.7 15,800.00 15,800.00. 15,800.00 70,000.00 70,000.00 70,000.00 8,000.00 8,000.00 •8,000.00 93,800.00 93,800.00 ,93,800.00 30,302.00 30,302.00 30,302.00_ 134,655.00 134,655.00 134,655.00 34,340.0( 77,922.00 164,957.00 164 S7. 0 J,64,957.00 TOTAL SEWER DIST. APPROPRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 1.,$4_.548.65 149,622.00 275,257.00 _275,257.00 275,257.00 ACCOUNTS SEWER RENTS SEWER CHARGES INTEREST AND PENALTIES ON SEWER RENTS SEWER DISTRICT ESTIMATED REVENUES WAPPINGER SEWER IMPROVEMENT D. SEWER DISTRICT EUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE— LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET - BUDGET ADOPTE COM:. 1974 1975 1976. 1976 1976 SS2120 SS2122 SS2128 INTEREST AND EARNINGS SS2401 9,919.35 SALES OF SCRAP AND EXCESS MATERIALS SS2650 MINOR SALES, OTHER SS2655 INSURANCE RECOV— ERIES • SS2680• OTHER COMPEN— SATION FOR LOSS SS2590 STATE AID FOR OPERATION AND MAINTENANCE OF 'SEWAGE DISPOSAL PLANT SERIAL, SS5000 boo,UUU.UU BAN • 555000 1.500,019.50 TOTAL SEWER DIST: ESTIMATED REVE NUESCERANSFER TOTAL "ADOPTED;' TO PAGE 1) 2,009,938_85 31,800.00 24,500.00 24,500.00 24,500.00 3s1,.800-00 24L000.00 24,000.00 1,000.00 500.00 24.000.00 500.00 500.00 ESTIMATED SEWER DISTRICT UNEX— PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 116.822E13-0- 149,622.00 UNEXPE'Q `:D BALANCE � t - 'r � ,.Q0 4 Qi 0Q__ 4,017.00 4,017.00 ACCOUNTS SEWER FUND APPROPRIATIONS (CONTD.) FLEETWOOD NZ\.NOR SEWER DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 1974 1975 1976 197.L.197 UNDISTRIBUTED DEBT SERVICE PRINCIPAL SERIAL BONDS 5S9710 .6 2,800.00 3.711 3 200.00 3,200.00 3,200.00 STATUTORY BONDS .3S9720.6 BOND ANTICIPATION .. NOTES . SS9730.6 CAPITAL NOTES 359740.6 . BUDGET NOTES 35 97 50.6 550:00 1,050.00 1,050.00 REVENUE.ANTICI- PATION NOTES ;59770.63,500.00 3,500 _00 3,500.00 3,500.00 TOTAL ;S)899.6 2,800.00 6,700.007,250.00 7,750.00 7.750.00 DEBT SERVICE INTEREST SERIAL BONDS 35971: .7 STATUTORY BONDS S972.77 BOND ANTICIPATION NOTES ;S9730.7 .PITAL NOTES 3S97t10.7 DGET NOTES VENUE ANTI C I - PATION NOTES TOTAL TOTAL S EWER DIST .' APPROPR I AT I ONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) x59750.7 5,051.53 359770.7 390.91 359899.7 5,442.44 26,233.83 4,700.00 4,540.00 4,540.00 4,540.00 525.00 5,225.00 32,425.00 490.00 ,n30 no 490.00 490.00 5,030.00, 5,030.00 27,840.00 27,840.00 27,840.00 ACCOUNTS SEWER RENTS SEWER CHARGES SS2122 INTEREST AND PENALTIES ON SEWER RENTS SS2128 SEWER DISTRICT ESTIMATED REVENUES FLEETWOODLi-I-INOR SES DISTRICT 1 BUDGET BUDGET ACTUAL MIS YEAR OFFICERS PRE - LAST AS TENTATIVE IIMINARY YEAR AMENDED BUDGET BUDGE1 COD1974_ 1975 197.s, 19 7_6 ADOPT 197 SS2120 13,040.00_ 13,040.00 _13,040.00 INTEREST AND EARNINGS SS2q01 271.40 SALES OF SCRAP AND EXCESS MATERIALS 552650 MINOR SALES, OTHER 552655 INSURANCE RECOV- ERIES SS2.680. OTHER COMPEN- SATION FOR LOSS 5S2690 STATE AID FOR OPERATION AND MAINTENANCE OF SEWAGE DISPOSAL 60.00 60.00 90.54 " PLANT SS 390 I 6,426,97' 7,000.00 7,000.00 7,000.00 7,000 OTHER (SPECIFY) Spec. Assess, Sewer D g, Acct. TOTAL SEWER DIST,' ESTIMATED REVENUES(TRANSFER TOTAL "ADOPTED" TO PAGE 1) ESTIMATED SE14R DISTRICT UNEX- PEDED bALANCE (TRANSFER TOTAL "ADOPTED" TO PAGf: 1) 18,070.89 24,32'i 00 211,1_ .00 20,100.00 20,130.54 7,900.00 32,425.00 UNEXPErDED BALANCE 533. 45 4,000.00 Qpq. oo 4,000.00 SCHEDULE OF SALARIES OF ELECTED TOWN OFFICERS (ARTICLE 8 OF THE TOWN LAW) OFFICER Louis D. Diehl, Supervisor Elaine Snowden, Town Clerk William Bulger, Town Justice Vincent Francese, Town Justice Louis Clausen, Councilman Stephen Saland, Councilman Frank Versace, Councilman Leif Jensen, Councilman William Horton, Highway Superintendent 57 SALARY Tentative $ Prelim. Adopted $14,440.00 $14,400.00 $14,400.00 12,100.00 11,550.00 11,550.00 5,540.00 5,540.00 5,540.00 5,540.00 5,540.00 5,540.00 3,575.00 3,750.00 3,750.00 3,575.00 3,750.00 3,750.00 3,575.00 3,750.00 3,750.00 3,575.00 3,750.00 3,750.00 15,500.00 15,500.00 15,500.00 TOWN WITH VILLAGE EXPLANATIONS (1) Taxes for these services must be levied on the area of the town outside villages: Building Inspection (Section 138, Town Law) Board of Health (Section 60, Town Law and Section 304 Public -Health Law) - Registrar of Vital Statistics, except when combined districts coincide with a consolidated health district (Section 2124, Public Health Law) Library (certain contract payments)(Section 256, Education Law) Zoning and Planning (Section 261, Town Law) (2)' Taxes for these services must be levied on the area of the town outside villages under the circumstances set forth below: Police Department (Section 150, Town Law) Town of Fallsburg, and towns in Suffolk County containing villages which maintain police departments with two or more full-time policemen. Department established after January 1, 1960: Town contains a village which maintains a police department of four or more policemen on an annual full-time basis. Department established prior to January 1, 1960: Amounts in accordance with an agreement made between the town and a village within the town which maintains a full-time police department of four or more policemen. Joint Police Department (General Municipal Law, Section 121-a) Recreation (Article 13, General Municipal Law) Amounts for parks, playgrounds and recreation centers established under the provisions of Article 13 of the General Municipal Law. Refuse and Garbage (Section 120-v, General Municipal Law) The share of the cost to be paid by the town in accordance with an agreement between the town and one or more villages for joint refuse and garbage collection and disposal, unless otherwise provided. Revenues estimated to be received from any of the functions or activities for which taxes are levied in the town outside the village must be applied to the estimate of expenditures for such function or activity (Town Law, Section 112(1)). Non -property tax distributed by a county must be credited to the town area outside of village if the village receives a cash distribution of non -property taxes from the county. (3) 58