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1974-11-13 RGM. r - AGENDA - TOWN BOARD NOVEMBER 13, 1974 Supervisor Csll Meeting to Order 2, Roll Call 3. Reports of Officers - -Supr. Building Insp. Town Justices Bills: General Fund OKWD F1tWD Highway Fund OKSD F1tSD Cap. Imp.&Proj. RFSD 4. Petitions & Communbations a. Public Service Comm. re: Mayim Water Co. & T/W approval of sale & transfer b. Report on canvas of votes on Referendum of 10/18 c. 2 requests from Roundtree Bldrs for: 1. return of subdivision fee (Baxtertown Rd.) 2. Rd. opal. permit . #73-5 &73-12 (Tall Trees) • d. James Spratt re: TOwn Bridge Inspection e. Petition supporting Dennis Truett -drainage easement condition f. George Kazazis re: monthly payment of inspection .• fees - Pondview g. Camo Pollution Control - report on samplings of Wastewater Treatment Plants effluent h. Camo Proposal gra 5. Committee Reports , - 6. Resolutions • a. Budget b. Mappinger Sewer Impr.#11 Unfinished Business 8. New Business. 9. Adjournment 855 The Regular Monthly Meeting of the Town Board of the Town of Wappinger was held at 8:00 P.M. on November 13, 1974, at the Town Hall, Mill Street, Wappingers Falls, New York. Supervisor Diehl called the meeting to order at 8:09 P.M. Present: Louis Diehl, Supervisor Louis Clausen, Councilman Leif Jensen, Councilman Stephen Saland, Councilman Frank Versace, Councilman Elaine Snowden, Town Clerk Others Present: William Horton, Superintendent of Highways Rudolph Lapar, Engineer to the Town Reports for the month of October were received from the Supervisor, Town Justices and Building Inspector. MR. CLAUSEN moved the October reports from the Supervisor, Town Justices and Building Inspector be accepted and placed on file. Seconded by Mr. Saland. Motion Unanimously Carried Bills received for payment were as follows: General Fund $37,627.18 Highway Fund 19,313.53 Capt. Impr. & Proj$415,011.67 OKSD $854.55 OKWD 316.16 MR. CLAUSEN moved the bills be paid, subject to audit. Seconded by Mr. Saland. F1tSD$740.31 F1tWD 406.12 RFSD2,426.69 Motion Unanimously Carried It was so noted for the record that the consent of New York State Public Service Commission was received on October 24, 1974, granting approval of the sale and transfer of the water system presently owned and operated by Mayim Water Company, Inc. to the Town of Wappinger. MR. CLAUSEN moved to accept the New York State Public Service Commissions ORDER granting approval of the sale and transfer of the Mayim Water System to the Town of Wappinger. Seconded by Mr. Saland. Motion Unanimously Carried The following letter was received: November 12, 1974 Town Board Town of Wappinger Town Hall Mill Street Wappingers Falls, New York Gentlemen: On November 7th, 1974, title was closed to Mayim Water Company, Inc. and Mid=.Point Park Sewer Facility. As you are aware, the gross price for the water plant was $90,000.00 and the Town was paid $25,000.00 at the time of taking over the sewer plant. An item arose at the time of the closing wherein the sellers advised me that they had not billed for either sewer service or water service from October 1st until November 7th; they have requested that they be paid a pro -rated share of the billings for that period and that the Town would be billed from October 1st. If this procedure is followed, the amount due would be as follows: Mid -Point Park Filtration Corp. $1,162.52 and Mayim Water Company, Inc. $1,484.90. If this procedure is adopted, the sellers would allow the Town $300.00 for the pumping of some sludge in the tank that built up during that period. If your honorable body wishes to follow the above procedure, I would suggest a short resolution concurring in the proposed procedure in paying the above pro -rated adjustments to the sellers; Very truly yours, Corbally, Gartland & Rappleyea s/ Allan Rappleyea MR. CLAUSEN moved to table action on the request of Mayim Water Company and Mid -Point Filtration Corp. regarding billings as set forth in Mr. Rappleyea's letters. Seconded by Mr. Seland. Motion Unanimously Carried 357 The following report was submitted by the Town Clerk: Oct. 21, 1974 Town Board Town of Wappinger Re: Town of Wappinger Referendum on Proposition for Construction of Storm Drainage on Roads. Gentlemen: The Referendum was duly held on October 18, 1974 on the above captioned subject. The Tally of votes cast showed that ihr the Proposition was defeated. The Tally of Votes cast is as follows: Yes No Blank Total Myers Corners School Dists. *6,7,9,10,17, 18,19,20,21 9 167 0 176 HughsonvilleFire House Dists. #12,13,14,15,16 21 97 0 118 Ketcham High School Dists. *4,5,8,11 13 97 0 110 43 361 0 404 Respectfully, s/ Elaine H. Snowden Town Clerk MR. CLAUSEN moved that the Town Clerks report on the Referendum held October 18, 1974 on the matter of the Proposition for Construction of Storm Drainage on Roads be accepted and placed on file. Seconded by Mr. Jensen. Motion Unanimously Carried The following letter was received: Town _,Board - Wappingers Please return money in escrow for road opening permits #73-5 & #73-12 Camaron St. and Amherst Lane. Total $250. Thank you Sincerely yours, s/ Herman Zelman Mr. Horton confirmed that the work had satisfactorily been g5$ completed and recommended the return of the cash bond held in escrow for road opening permits #73-5 and #73-12 in the amount of $250.00 MR. SALAND moved that the Board concur in Mr. Horton's recom- mendation and grant the cash bond in the amount of $250.00 held in escrow for Roundtree Builders and Developers Corp. be released. Seconded by Mr. Clausen. Motion Unanimously Carried The following request was received: Planning Board Wappingers Falls, N.Y. My subdivision at Baxtertown Rd. was denied. I am therefore requesting my money to be returned which I paid Dec. 19, 1972 the sum of $950.00 for the subdivision fee. Hoping to hear from you soon. Thank you Sincerely yours, s/ Herman Zelrra n MR. CLAUSEN moved to table this request for the return of Roundtree Builders Subdivision fee for more research and investi- gation. Seconded by Mr. Saland. Motion Unanimously Carried Supervisor Diehl directed the following letter be received and placed on file: October 23, 1974 Mrs. Elaine H. Snowden Town Clerk Town of Wappinger Mill Street Wappingers Falls, New York Re: Town Bridge Inspection Dear Elaine: The Bridge inspection resolution requires no direct town financial commitment. A team of State Department of Trans- portation engineers would inspect all bridges within the State regardless of who has jurisdiction for maintenance or has 1 ihr ownership. My request for action at this time is to support the New York State Department of Transportation's request to have money allocated within the State budget to set up the inspection teams and to operate an inspection program. Of primary importance in the program is the establishing of one review organization for all bridge inspections through- out the State thus assuring a consistent level of ratings for each political subdivision within the State. Please thank the Board for their concern and the time spent in considering this resolution. Very truly yours, s/ James Spratt, P.E. Commissioner Two petitions were received in connection with Dennis Truett drainage problem at 23 Alpert Drive. The first supported the request for continued construction of the Town's drainage easement and contained 7 signatures. The second stated the unsafe conditions and constant threat to the safety of children waiting at the school bus stop, mustbe remedied, and it contained 18 signatures. Mr. Diehl directed these petitions be received and placed on file. The following letter was received: October 30, 1974 Town Board of Wappinger Falls Mill Street Wappinger Falls, New York Re: Inspection Fees Pondview, T/W Gentlemen: As per your resolution dated September 17, 1974, my clients are required to pay inspection fees for the sewer lines, water lines and storm drainage lines in the sum of $17,357.63 prior to the Planning Board Chairman signing the plat. Due to the high rate of interest and the fact that the builders will be getting off to a late start, my clients would sincerely appreciate your considering a delayed monthly payment of the inspection fees. As a suggestion we feel that $1,000-$2,000 per month commencing January 1975 would be appropriate. Very truly yours, s/ George Kazazis 359 Mr. Versace put a motion on the floor to deny this request, saconded by Mr. Clausen but this motion was later withdrawn by both Mr. Versace and Mr. Clausen based on discussion following the introduction. Mr. Jensen had asked Mr. Lapar if it had been done previously and if it had had an impact onthe work schedule. Mr. Lapar indicated that it did not hurt anything and could see no reason for not accepting monthly payments. The matter was tabled pending the opinion of the Attorney to the Town, both on Mr. Kazazis' request and Roundtree Builders request for the return of the subdivision fee. Reports were received from Camo Pollution Control Inc. regard- ing bacteriological examination of the Town Wastewater Treat- ment Plant effluents (Rockingham and Fleetwood). Supervisor Diehl directed these reports be received and placed on file. A Proposal Agreement for Operation/Maintenance of Royal Ridge Water Pump Station and Royal Ridge Homes Wastewater Treatment Plant was received from Camo Pollution Control Inc. Mr. Saland indicated that he had questions on several paragraphs of this agreement, and would like to confer with either Mr. Rappleyea and/or one of the principals of Camo (he referred to Paragraph 11 of the Water Agreement and Paragraphs 8,9, and 11 of the Wastewater Agreement). Supervisor Diehl directed both proposed agreements be tabled until the next regular meeting. Rudolph Lapar submitted Change Order #2 for the Wappinger Sewer Improvement #1 -Contract #1A -Expansion of Oakwood Knolls Sewage Treatment Plant, for approval by the Board. He indicated it would result in an overall savings of $3,199.00. Supervisor Diehl directed Mr. Lapar's request be received and tabled until the next Town Board meeting. 361 Under Committee Reports, Mr. Jensen made a brief report regard- ing Tri -Municipal. He noted that the Committee had met twice sofar this month on the site proposed for the Treatment Plant for Tri -Municipal with the County Board of Representatives. There has been no resolution of the site as yet, but it is hoped the present proposed site will remain. Mr. Clausen volunteered his and Mr. Versace's services to act as a committee for the Board on the selection of a comptroller. It is their understanding that there is budgeted moneys for this position next year, that there has been at least one inter- ested person, and they would like the opportunity to interview prospective comptrollers for the Town and report back to the Board. Mr. Diehl suggested that they submit names .te be interviewed, and to alleviate numerous meetings, the Board sit as a Body to interview and screen applicants. Mr. Clausen mentioned that Mr. Rappleyea is still proceeding with the renting of the building across the street (portion of the Sweet Orr Building) for Justice Court. A Public Hearing having been duly held on the Town of Wappinger Budget for 1975 on Wednesday, November 6, 1974, with affidavits of posting and publication having been offered for the record at the time of hearing, and all interested persons. having been heard, the matter was placed before the Board for their consideration. The following Resolution was offered by COUNCILMAN CLAUSEN who moved its adoption: WHEREAS, this Town Board has met at the time and place specified in the notice of hearing on the preliminary budget and heard all persons desiring to be heard thereon; now, there- fore, be it RESOLVED that the preliminary budget be amended by making the following changes therein: That the appropriation for Account #A1110.1 be increased from $18,260.00 to $20,790.00. 8s That the appropriation for Account #A1110.2 in the amount of $1,200.00 be rejected. That the appropriation for Account #A1110.4 be increased from $3,800.00 to $4,180.00 and be it FURTHER RESOLVED, that such preliminary budget as herein- before amended, be and hereby is adopted as the annual budget of the Town of Wappinger for the fiscal year beginning on the 1st day of January 1975, 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 assessment rolls for benefit improvements adopted pursuant to Section 202a, Subdivision 2 of the Town Law and deliver one copy thereof to the Supervisor of the Town of Wappinger and be presented by him to the Board of County Representatives of this County. Seconded by Mr. Jensen. Roll Call Vote: Councilman Clausen Aye Councilman Jensen Aye Councilman Saland Aye Councilman Versace Aye Supervisor Diehl Aye The following Resolution was offered by COUNCILMAN CLAUSEN who moved its adoption: WHEREAS, there has been prepared and filed, at the direction of this Board, an Assessment Roll for the Fleetwood Manor Water District, listing the names of all property owners within the boundaries of said district, describing said proper- ties, and setting forth the amount of money to be levied against each property for the year 1975; and WHEREAS, said Assessment Roll provides for the assignment of one (1) benefit unit per_residential property, one-half (2) unit per apartment unit and one (1) unit per five (5) acre parcel or portion thereof; and WHEREAS, the sum per unit needed to raise the budget appropriation for the year 1975 is $31.52, NOW, THEREFORE, BE IT RESOLVED, that the 1975 Assessment Roll for the Fleetwood Manor Water District providing for an assessment of $31.52 per benefit unit levied against each and every parcel within the district be and the same hereby is approved; and be it further 363. RESOLVED, that said roll, as approved, be filed in the office of the Clerk of the Town and that a certified copy of same be transmitted to the Commissioner of Finance of the County of Dutchess for levy with the 1975 town taxes. Seconded by. Mr. Saland. Roll Call Vote: 5 Ayes 0 Nays The following resolution was offered by COUNCILMAN CLAUSEN who moved its adoption: WHEREAS, there has been prepared and filed, at the direction of this Board, an Assessment Roll for the Fleetwood Manor Sewer District, listing the names of all property owners within the boundaries of said district, describing said properties, and setting forth= the amount of money to be levied against each property for the year 1975; and WHEREAS, said Assessment Roll provides for the assignment' of one (1) benefit unit per residential property, one-half (1) unit per apartment unit and one (1) unit per five (5) acre parcel or portion thereof; and WHEREAS, the sum per unit needed to raise the budget appro- priation for the year 1975 is $50.00, NOW, THEREFORE, BE IT RESOLVED, that the 1975 Assessment Roll for the Fleetwood Manor Sewer District providing for an assessment of $50.00 per benefit unit levied against each and every parcel within the district be and the same hereby is approved; and be it further RESOLVED, that said roll, as approved, be filed in the office of the Clerk of the Town and that a certified copy of same be transmitted to the Commissioner of Finance of the County of Dutchess for levy with the 1975 town taxes. Seconded by Mr. Saland. Roll Call Vote: 5 Ayes 0 Nays The following Resolution was offered by COUNCILMAN CLAUSEN who moved its adoption: WHEREAS, there has been prepared and filed, at the direction of thi& Board, an Assessment Roll for the Oakwood Knolls Water District, listing the names of all property owners within the boundaries of said district, describing said properties, and setting forth the amount of money to be levied against each property for the year 1975; and WHEREAS, said Assessment Roll provides for the assignment of one (1) benefit unit per residential property, one-half (2) unit per apartment unit and one (1) unit per five (5) acre parcel or portion thereof; and S 6-4 ,. WHEREAS, the sum per unit needed to raise the budget appro- priation for the year 1975 is $32.67 NOW, THEREFORE, BE IT RESOLVED, that the 1975 Assessment Roll for the Oakwood Knolls Water District providing for an assessment of $32.67 per benefit unit levied against each and every parcel within the district be and the same hereby is approved; and be it further RESOLVED, that said roll, as approved, be filed in the office of the Clerk of the Town and that a certified copy of same be transmitted to the Commissioner of Finance of the County of Dutchess for levy with the 1975 town taxes. Seconded by Mr. Saland. Roll Call Vote: 5 Ayes 0 Nays The following Resolution was offered by COUNCILMAN CLAUSEN who movedits adoption: WHEREAS, there has been prepared and filed, at the direction of this Board, an Assessment Roll for the Oakwood Knolls Sewer District, listing the names of all property owners within the boundaries of said district, describing said properties, and setting forth the amount of money to be levied against each property for the year 1975; and WHEREAS, said Assessment Roll provides for the assignment of one (1) benefit unit per residential property, one-half (z) unit per apartment unit and one (1) unit per five (5) acre parcel or portion thereof; and WHEREAS, the sum per unit needed to raise the budget appro- priation for the year 1975 is $49.00, NOW, THEREFORE, BE IT RESOLVED, that the 1975 Assessment Roll for the Oakwood Knolls Sewer District providing for an assessment of $49.00 per benefit unit levied against each and every parcel within the district be and the same herebyis approved; and be it further RESOLVED, that said roll, as approved, be filed in the office of the Clerk of the Town and that a certified copy of same be transmitted to the Commissioner of Finance of the County of Dutchess for levy with the 1975 town taxes. Seconded by Mr. Saland Roll Call Vote: 5 Ayes 0 Nays The following Order was moved by COUNCILMAN JENSEN, seconded by Councilman Clausen, and unanimously adopted: WHEREAS, a map, plan, and report have been prepared in such manner and in such detail as had heretofore been determined by the Town Board of the Town of Wappinger, relating to the 365 establishment of a proposed Sewer Improvement Area to be known as the Town of Wappinger Sewer Improvement Area No. II, in the Town of Wappinger, Dutchess County, New York, pursuant to Article 12c of the Town Law, and WHEREAS, said map, plan, and report have been duly filed in the Clerk's Office of the Town of Wappinger for public inspec- tion, and WHEREAS, said map, plan, and report were prepared by Hayward and Pakan and Rudolph E. Lapar, competent engineers, duly licensed by the State of New York, showing the boundaries of the proposed Improvement Area and a general plan for the sewer system, and WHEREAS, the improvements proposed as set forth in said plan and report, consist of sewer lines, treatment plant facilities, pumping stations and associated facilities located in the Town of Wappinger, and adjoining Towns and being part of Tri -Municipal Sewer Improvement Poject, and WHEREAS, the improvement will provide for the area of the Town of Wappinger more particularly described in Appendix "A", attached hereto, and WHEREAS, the maximum amount proposed to be expended for said improvement is $27,613,063.00 and the proposed method of financing to be employed consists of the issuance of serial bonds of said Town pursuant to the Local Finance Law, to mature in annual installments over a period not exceeding forty years, payable in the first instance by assessments levied upon the several lots or parcels of land within the benefited area hereinbefore described in just proportion to the amount of benefit which the improvements shall confer upon such lots or parcels; and WHEREAS, it is now desired to call a public hearing pursuant to Section 209Q, Subdivision 3, of the Town Law; NOW, THEREFORE, IT IS HEREBY ORDERED, by the Town Board of the Town of Wappinger, Dutchess County, New York, as follows: Section 1. A meeting of the Town Board of the Town of Wappinger, Dutchess County, New York, shall be held in the Town Hall, Mill Street, Wappingers Falls, New York on the 27th day of November, 1974, at 8:00 P.M., Eastern Standard Time, to hold a public hearing on the aforesaid proposed improvements and the plan, report, and map prepared and filed in connection therewith, at which all persons interested in the subject thereof may be heard concerning the same, and to take such action thereof as is required or authorized by law. Section 2. The Town Clerk if hereby authorized and directed to give notice of such public hearing by publishing a copy of this Order once in the official newspaper, and by posting a copy hereof upon the bulletin board of her office, such publica- tion and posting to be made not less than ten (10) nor more than twenty (20) days before the date set herein for said public hearing. • Section 3. This Order Shall take effect immediately. Upon a vote, the said order was adopted. Louis Clausen, Councilman Voting Aye Leif Jensen, Councilman Voting Aye Stephen Saland,Councilman Voting Aye Frank Versace, Councilman Voting Aye Louis Diehl, Supervisor Voting Aye APPENDIX "A" ALL that certain piece, plot or parcel of land situate, lying and being in the Town of Wappinger, County of Dutchess and State of New York, more particularly bounded and described as follows: BEGINNING at a point in the center of the Hudson River, said point being the intersection of the Town of Wappinger, Town of Fishkill Town Line and the Orange County - Dutchess County Line. Thence, northerly along the center line of the Hudson River 17,400± feet to a point, which point is in the center of Wappinger Creek where it meets the Hudson River, said point also in the intersection of the Town. of Poughkeepsie, Town of Wappinger Town Line; thence northeasterly along the center line of Wappinger Creek 8,300± feet to a point, said point being on the southwest boundary of the Village of Wappingers Falls; thence southeasterly and northerly around the boundary line of the Village of Wappingers Falls and the Town of Wappinger 19,600± feet to a point; said point being on the northerly boundary line of the Village of Wappingers Falls, said point also being the center line of Wappinger Creek; thence along the center line of Wappinger Creek 21,100± feet to a point, said point being at the westerly most intersection of the Town of LaGrange, Town of Wappinger Town Line; thence easterly along the LaGrange-Wappinger Town Line 17,000± feet to a point in the center of Sprout Creek, said point also being the point where the Towns of LaGrange, Wappinger and East Fishkill meet; thence southerly along the center line of Sprout Creek, which line is also the boundary between the Town of East Fishkill and the Town of Wappinger 38,700± feet to a point, said point being the point where the Towns of East Fishkill, Wappinger and Fishkill meet; thence westerly along the Town of Wappinger, Town of Fishkill, Town Line 39,100± feet to the point or plan of beginning. EXCEPTING the following: ALL that tract or parcel of land in the Town of Wappinger, County of Dutchess and State of New York: BEGINNING at a point in the most easterly corner rof Lot 8B, as shown on a map of "Dutchess Park, Section 4B", dated February 9, 1972, revised March 7, 1972, prepared by Burgess & Behr, P. C., Carmel, N. Y., and filed in the office of the County Clerk of Dutchess County on March 24, 1972; running thence from said POINT OF BEGINNING and along the northerly line of said Lot 8B of "Dutchess Park, Section 4B", along the Town Line, 367 (reputed) dividing the Town of Wappinger on the north and the' Town of Fishkill on the south, and running along the northerly bounds of "Dutchess Park, Section 4B", along the northerly bounds of Brinkerhoff Watch Hill, Sections 3 and 4, and along other lands of the Grantor, North 85° 57' 56" West 2743.73 feet to a point in the line of lands now or formerly of Carlson; thence along lands now or formerly of Carlson, the following courses and distances: North 34° 31' 50" East 192.90 feet North 56° 02' 20" East 97.57 feet North 60° 26' 40" East 123.98 feet North 55° 27' 20" East 185.16 feet South 25° 19' 30" East 82.36 feet South 78° 22' 30" East 97.01 feet South 75° 53' 00" East 126.73 feet South 79° 20' 30" East 358.71 feet South 88° 55' 50" East 25.29 feet North 48° 14' 30" East 362.64 feet North 61° 36' 40" East 442.05 feet and North 63° 18' 20" East 139.66 feet 'to lands now or formerly of Perry; thence along lands now.or. formerly of Perry and lands now or formerly of Rosenfeld, North 77° 21' 10" East 284.03 feet and North 76° 04' 30" East 60.68 feet to a point; thence through other lands of the Grantor, the following courses and distances: South 48° 09' 00" East 573.97 feet South 30° 56' 57" East 163.80 feet South 19` 57' 30" East 125.00 feet South 46° 31' 22" East 55.90 feet South 19° 57' 30" East 242.47 feet South 64° 29' 00" West 136.83 feet and South 72° 57' 00" West 20.06 feet to the POINT OF BEGINNING. CONTAINING 33.468 Acres. Mr. Clausen commented that he was just reminded this hearing was scheduled for Thanksgiving Eve, would this make a difference to anyone. All agreed it would nota MR. CLAUSEN moved to schedule an executive meeting solely for the purpose of discussion of the Wappinger Sewer Improvement No. II (Tri -Municipal) on Monday,,. November 25th at 7:30 P.M. Town Hall. Seconded by Mr. Jensen. Motion Unanimously Carried The following resolution was introduced by COUNCILMAN JENSEN who moved its adoption: WHEREAS, the Town Board of the Town of Wappinger has had prepared an assessment roll on behalf of the WAPPINGER SEWER IMPROVEMENT #1, now, therefore, 86S BE IT RESOLVED that the Town Board shall meet on the 27th day of November, 1974 at the Town Hall, Mill Street, Wappingers Falls, to hear any complaints concerning the said assessment roll, and BE IT FURTHER RESOLVED that the Town Clerk is hereby authorized and directed to publish the notice of time and place of said meeting in the official newspaper in the Town of Wappinger at least ten (10) days, but not more than twenty (20) days from such hearing, and she is further authorized and directed to put a copy of such notice on the official sign board of the Town. Seconded by Mr. Saland Roll Call Vote: Councilman Clausen Aye Councilman Jensen Aye Councilman Saland Aye Councilman Versace Aye Supervisor Diehl Aye The following resolution was introduced by COUNCILMAN CLAUSEN who moved its adoption: WHEREAS, the Town Board of the Town of Wappinger has had prepared an assessment roll on behalf of the CENTRAL WAPPINGER WATER IMPROVEMENT AREA, now, therefore, BE IT RESOLVED that the Town Board shall meet on the 27th day of November, 1974, at the Town Hall, Mill Street, Wappingers Falls, to hear any complaints concerning the said assessment roll, and BE IT FURTHER RESOLVED that the Town Clerk is hereby authorized and directed to publish the notice of time and place of said meeting in the official newspaper in the Town of Wappinger at least ten (10) ,days, but not more than twenty (20) days from such hearing, and she is further authorized and directed to put a copy of such notice on the official sign board of the Town. Seconded by Mr. Versace. Roll Call Vote: Councilman Clausen Aye Councilman Jensen Aye Councilman Saland Aye Councilman Versace Aye Supervisor Diehl Aye The following resolution was introduced by COUNCILMAN SALAND who moved its adoption: RESOLVE: That all delinquent water and sewer bills in arrears as of December 1, 1974 in Oakwood Knolls Water District, Oakwood Knolls Sewer District, Fleetwood Manor Water District, Fleetwood Manor Sewer District and Rockingham Sewer District 369 in the Town of Wappinger be forwarded to the County to be placed on the Tax Rolls of 1975. A list of all delinquent charges will be forwarded to the County on December 1, 1974. Seconded by Mr. Clausen. Roll Call Vote: 5 Ayes 0 Nays The following resolution was introduced by COUNCILMAN SALAND who moved its adoption: WHEREAS, the Town of Wappinger previously had indicated some intention to purchase the facilities of L&A FILTRATION CORP., now, therefore, BE IT RESOLVED that the Supervisor is hereby authroized and directed to execute the attached contract between L&A FILTRATION CORP. and the TOWN OF WAPPINGER acting on behalf of the WILDWOOD SEWER DISTRICT. Seconded by Mr. Clausen. Roll Call Vote: 5 Ayes 0 Nays There being no unfinished business, Supervisor Diehl, having been informed that Mr. Schoeman, Attorney for Mr. Longhitano wished to be recognized under new business, commented that there were quite a few present regarding the cut-off of Build- ing permits and Certificates of Occupancy in the Ye Olde Apple Orchard Area. Before opening the meeting to the floor, Mr. Diehl indicated he would request each person to speak for no more than three minutes. The Board will listen to the state- ments, but it is unlikely there will be any answers tonight from this Board. Mr. Schoeman was thereupon recognized by the Chair. Mr. Schoeman stated his client's problem that he was on the verge of bankruptcy because these permits are not being issued - Certificates of Occupancy as to houses already completed, and is not in the position now, that without Building Permits, to start on foundation work and winter is approaching. Seven or eight contracts are already signed, houses to be delivered. He was before the Board not to argue, but to find some solution on a temporary basis, at least to give his client some breathing 70' room to move forward. He pointed out that his client is power- less to act against Mr. Gerzof and the general developer, they are not in privy as to these lines, we're simply builders, we don't have any control over these sewer and water lines at all, it's not within our power to do anything about it, that's up to Mr. Gerzof and Mr. Dangler. There is no relationship be- tween the non -issuance of a building permit to buildings already built or ready to be occupied and simply need a Certificate of Occupancy, or as to lots that we want to build upon where the lines are already clearly laid out and clearly understood to be known lines, and we find absolutely no logic in denying permits as to those houses. He offered a proposal for resolving this, and this is, you issue the Building Permits, let us at least get the foundations in, let us get the houses up and, if this problem isn't resolved, you can pull back the C.O's and keep us from actually selling the house. If that isn't alright, then we're proposing that you permit us at least to get the Certificates of Occupancy for the houses that are already com- pleted. He further understands that easements have been obtained which permit the Town or anyone that has to go looking for those lines. With these easements, and with the general grant given in each deed, which authorized and permits entry on to private property for the purpose of putting in or checking lines that problem is resolved, you have legal authority right now, in the easements and in the deeds which are already drawn and signed away. He understands from Mr. Lapar that there are only three lots in question - #73, 74, 75 - easements are cleared up and we understand there is $110,000 held in escrow by the Town, and he concluded by saying that his client is willing to put up money of how own as a guarantee that this problem is resolved, and they really feel that the Board's action should be that of issuing these permits, let them go ahead. 31t`?`1 Mr. Clausen picked up a statement made by Mr. Schoeman, that being that the Town has the easements. Mr. Schoeman's response was we have the easements. Mr. Clausen: who has the easements? Mr. Schoeman: Mr. Dangler has the easements. Mr. Clausen stated that we're addressing the Board to resolve a problem, the Board needs the easements, everyone else concerned may have them, as far as we know this evening you haven't presented them to use, we do not have the easements, that seems to be the big problem. As soon as you can get them to us, I think that would help the matter greatly. Mr. Schoeman stated "The ease- ments will be on your desk, sir, tomorrow morning". Mr. Reno Longhitano, Vice President of Longhitano & Sons said he would like to obtain C.O's for the houses he has completed and what reason, if any, why we can't obtain the C.O's. Mr. Diehl answered that the reason was that they were not correct, not certified, have not been verified, and we have given instructions as to what the Town Board wants from Mr. Dangler. Nothing has come into this Town Board, we were wil- ling to meet with him immediately, at any time, to receive the information we need, the certification of it. It could be resolved, as far as this Board is concerend, and mild like to be resolved, in a matter of yesterday, but we want the job done not just hearsay. Mr. Longhitano asked if the only problem was the easements for the lines. Mr. Diehl responded, certified to the correct position of them, and Mr. Dangler is well aware of it. Mr. Longhitano said he also understood it had something to do with an "errors and omissions" from Mr. Barger's office. Mr. Diehl said either that or a true certification from a certi- fied engineer whomever it shall be. Mr. Gerard Hankin, representing Dutchess Development Associates, J (Mr. Silberstein Principal) who are presently constructing homes (in Ye Olde Apple Orchard) and believes some of these homeowners are present here tonite. It was his understanding, and he was present when the matter was discussed with Mr. Dangler, that the problem at the time would be cleared up if and when Mr. Dangler obtained certain easements. His client has houses ready for occupancy, and concurs in what Mr. Schoeman has already stated to the Board. Their clients are being put into an untenable situation in that we cannot rectify Mr. Dangler's mistakes, if, in fact they are mistakes. By withholding C.O's or Building Permits, it does not help to get the pipes back in the right easements. We do not owe Mr. Gerzof any money, so we cannot bring any pressure upon him, we have, no privity with him at this point in time. He was under the misconception when the Board had their meeting last week that the Town was purchas- ing these lines, and that was why it was imperative that these things be correct prior to these people being issued C.O's or Building Permits. Now he understands that these lines are not being purchased by the Town, but being purchased by Hill Top Water Corp., which, in turn, is being purchased by the Town, the the underlying concern apparently is that the Town will end up owning these lines. Mr. Lapar and Mr. Diehl verified this statement. It was still unclear to him what the Town was gain- ing by not allowing these few homeowners occupancy since there were already 60 or 70 homeowners living there already, what difference it would make to move in the additional 10 or 12 people, how it would rectify the problem by withholding C.O's, how was it helping to move the pipes back into the easements. Mr. Versace spoke up and reminded Mr. Hankin that he had been present when the Board discussed the problem with Mr. Dangler, 71i that he was quite aware of the Board's concern at that time - and at that time three requests were made, and if these three requests were met, the Board was ready to act tonight, as far as he and the Board knows, none of the requests have been met. Mr. Hankin then asked when could he anticipate a decision. Mr. Diehl answered, when Mr. Dangler performs according to the instructions of that executive meeting of a week ago. When Dangler performs, the Board will act. Mr. Spencer, a prospective homeowner, spoke basically stating that he hadn't done anything wrong, why punish him (Lot 176). Mr. Saland, for the edification of those present, reiterated the three conditions. The first was that the Board was concerned about certification of certain easements. There had been a map presented to the Board by the Engineer for the Developer indicating the easements were in a certain location. Subsequent- ly, a second map was submitted where the easements were indicated in another location. Mr. Hankin, at that time, stated that in all likelihood, the difference between the two maps was prob- ably a matter of a mistake and had to be remedied by the second map. The second map also contained a disclaimer, which was not particularly satisfactory to the Board referring to alleged or reputed locations. The Board hashed this out for an hour or more, and in conclusion, it was agreed that the Board would approach this from three sides. First, we would get certifica- tion by the Engineer for the Developer. The Developer who certified there was certainly conversations between Mr. Hankin and the Board concerning the engineer and as to whether or not the second certification was, in fact, correct and as to whether or not there could be affirmative assurance to the Town in a form of, literally, some type of insurance. The Board concluded g74 that it was agreed or stated that the second correct and certified, then the Town wanted the insurance that the engineer could provide through whatever insurance he covered. Failing that, failing the insurance, and failing the certification, the Board then gave Mr. Dangler a choice of picking three engineers whom could certify to the Town Board where these easements or where these lines were. These were the conditions, Mr. Dangler said he would be willing, in the event he could not get the certification and the insurance, to arrange to have one of the three engineers whom would be mutually satisfactory to perform this certification, and apparently to date that hasn't been done. Mr. Hankin hesitated only in one area that could be a misconception, that being the certification in conjunction with an errors and omissions policy together with the certification. He and Mr. Saland mutually recalled this to be so if the Engineer was Barger, and Mr. Saland indicated Mr. Dangler would attempt to get it, but failing this there were still the three mutually agreed upon engineers he could contact to perform this certifi- cation. Mr. Diehl indicated that to date there was nothing before the Board. Mr. Herb Elman asked the Board if they agreed to this, what would prevent Schoonmaker (developing on Spook Hill Road) from asking to hook in. Mr. Williams, a prospective owner in Ye Olde Apple Orchard asked what difference connecting his one property would make, (Lot #177) . Victor Jennelli, identifying himself as a contractor employed by Mr. Dangler, was confused, due to his understanding that Mr. Dangler and Mr. Gerzof had posted a performance bond with the Town guaranteeing completion of the work. He feels Mr. Dangler should have had a grace period of maybe 30 or 60 days to correct problems rather than having been cut off abruptly. He believes Mr. Dangler would have then corrected the problem, he thinks it unfair of the Town Board that they didn't give Mr. Dangler fair notice, and give these poor people at least a fighting chance to get into their houses. He's been helping Mr. Dangler by getting easements signed, and a lot of people are confused and won't do anything. He also commented on a statement made by Mr. Diehl regarding the proper placement of the pipes from the beginning, he was the digger of a number of those pipes, and a number of times there were lines or stakes telling where to dig , when you dig to these stakes which are set out by a sur- veyor or by somebody and you dig within those lines they are supposed to be right, and if they are wrong, I am not at fault, and neither is Mr. Dangler. Mr. Julius Silverstein, of Dutchess Development Association, noted the requirements were all put on Mr. Dangler and we are being penalized and we would like if there were some requirements that we could abide by, we are subject to Mr. Dangler doing some- thing, and he doesn't know if Mr. Dangler will take seven more years to get this accomplished. We are powerless to act to correct the situation. Mr. Schoeman stated they would like to resolve it, is there anything we (the Builders) can do so we don't have to rely on Mr. Dangler. Vincent Boyle commented the Board should use some other method than the method used, which jeopardizes those employes who are innocently caught in the conflict. If the Board can do this this week, what other situations will arise next week that will prevent others from making a living. Mr. Schoeman made one last statement putting the Board on notice unless the Board resolves this within one week, legal action, an Article 78 proceeding, will be taken against the Board, and against each individual member individually. 3 7 6 MR. SALAND moved the meeting be adjourned, seconded by Mr. Jensen and unanimously carried. The meeting adjourned at 9:23 P.M. Reg. Mtg. 11/13/74 CULco_W&A6wc . -- Elaine H. Snowden Town Clerk 1. TOWN BUDGET For 1975 Town of in County of WAPPINGER DUTCHESS Villages Within or Partly Within Town Village of Village of TqAPPTIJC.RPq PAT.T.c CERTIFICATION OF TOWN CLERK 1, f1 c\ •,, r1r4 ►ISen Town Clerk, certify that the following is a true and correct copy of the 197,- budget of the Town of n t r\ Q o_r- as adopted by the Town Board on the t3 day of Mtn) : 197`1 D.r d A. C. 1258 (Rev. 4/74) Sign.d D Lt 0 U a,2.,en. Town Clerk CODE SUMMARY OF TOWN BUDGET LESS LESS ESTIMATED UNEXPENDED AMOUNT TO BE FUND APPROPRIATIONS REVENUES BALANCE RAISED BY TAX A GENERAL $ 571,730.00 $ 194,286.00 $ 150.000.00 $ 227,444.00 B GENERAL OUTSIDE VILLAGE HIGH WAY : DR REPAIRS AND IMPROVEMENTS DB BRIDGES DM %MACHINERY DS %SNOW AND MISC. DE IMPROVEMENT PROGRAM CF FEDERAL REVENUE SHARING L PUBLIC LIBRARY SUB -TOTALS 372,115.00 209,338.00 80,000.00 82,777.00 349,675.00 5,207.25 16,000.00 328,467.75 4,000.00 .00 .00 4.000.00 66,345.51 .00 7,000.00 59.345.51 61,625.00 600.00 15,000.00 46,025.00 162,900.00 112,900.00 50,000.00 .00 1,588,390.51 522,331.25 318,000.00 748,059.26 S SPECIAL DISTRICTS : (LIST EACH SEPARATELY) Forwarded From Page 1-A 361,228.00 91,825.00 .00 269,403.00 (18,212.90 Fishkill) (Fishkill 18,212.90) Chelsea Fire District 16,959.10 50.00 .00 16,909.10 Hughsonville Fire Distr. 55,434.24 100.00 .00 55,334.24 New Hackensack Fire " 120,326.00 1,389.60 1,000.00 117,936.40 Cameli Light District 280.00 .00 .00 280.00 Hughsonville Light Distr. 8,430.00 .00 .00 8,430.00 Chelsea Light District 3,462.00 .00 .00 3,462.00 Rockingham Sewer District 73,470.00 70,000.00 3,470.00 .00 Oakwood Knolls Water " 10,682.00 7,742.00 .00 2,940.00 Oakwood Knolls Sewer " 16,180.00 16,180.00 .00 .00 Fleetwood Water District 14,380.00 9,400.00 .00 4,980.00 TOTALS $ 2,269,221.85 $ 719,017.85 $ 322,470.00 $1,227,734.00 %% ILtown 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 Miscellaneous Taxes. / / Village is exempt from Snow and Miscellaneous Taxes but not Machinery Taxes 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 197_ 197_ 197_ 197 197_ TOWN BOARD PERSONAL SERVICES A1010.1 EQUIPMENT A1010.2 CONTRACTUAL EXP. A10.10.4 TOTAL A1010.0 JUSTICES PERSONAL SERVICES A1110.1 EQUIPMENT A1110.2 CONTRACTUAL EXP. A1110.4 TOTAL A-1110.0 TRAFFIC VIOLATIONS BUREAU PERSONAL SERVICES A1130.1 EQUIPMENT A1130.2 CONTRACTUAL EXP. A1130.4 TOTAL A1130:0 SUPERVISOR PERSONAL SERVICES A1220.1 EQUIPMENT A1220.2 CONTRACTUAL EXP. A1220.4 TOTAL A1220.0 DIRECTOR OF FINANCE PERSONAL SERVICES A1310.1 EQUIPMENT A1310.2 CONTRACTUAL EXP. A1310.4 TOTAL A1310.0 COMPTROLLER PERSONAL SERVICES A1315.1 EQUIPMENT A1315.2 CONTRACTUAL EXP. A1315.4 TOTAL A1315.0 INDEPENDENT AUDITING AND ACCOUNTING CONTRACTUAL EXP. A1320.4 TAX COLLECTION PERSONAL SERVICES A1330.1 EQUIPMENT - A1330.2 CONTRACTUAL EXP. A1330.4 TOTAL A1330.0 BUDGET PERSONAL SERVICES A1340.1 EQUIPMENT A1340.2 CONTRACTUAL EXP. A1340.4 TOTAL A1340.0 2 CODE SUMMARY OF TOWN BUDGET LESS LESS ESTIMATED UNEXPENDED AMOUNT TO BE FUND APPROPRIATIONS REVENUES BALANCE RAISED BY TAX A GENERAL B GENERAL OUTSIDE VILLAGE HIGHWAY : DR REPAIRS AND IMPROVEMENTS DB BRIDGES DM MACHJNERY DS 'cSNOW AND MISC. DE IMPROVEMENT PROGRAM CF FEDERAL REVENUE SHARING L PUBLIC LIBRARY LS SPECIAL DISTRICTS : (LIST EACH SEPARATELY) Fleetwood Sewer District 32,425.00 24,525.00 .00 7,900.00 Wapp.Sewer Impr. #1 li 149,622.00 31,800.00 .00 117,822.00 Central Wapp. Water It 179,181.00 35,500.00 .00 143,681.00 SUB -TOTALS TO PAGE 1 " I[town contains a village check one of the following: / / Village is not exempt from Machinery and Snow and Miscellaneous Taxes. 77 Village is exempt from Machinery and Snow and Miscellaneous Taxes. L/ Village is exempt from Machinery Taxes but not Snow and MiscellaneousTaxe.s. // Village is exempt from Snow and Miscellaneous Taxes but not Machinery Taxes 361,228.00 $ 91,825.00 $ .00 269,403.00 1-A ACCOUNTS GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 197_ 197_ 197_ 197_ 197_ TOWN BOARD PERSONAL SERVICES A1010.1 EQUIPMENT A1010.2 CONTRACTUAL EXP. A1010.4 TOTAL A1010.0 JUSTICES PERSONAL SERVICES A1110.1 EQUIPMENT A1110.2 CONTRACTUAL EXP. A1110.4 TOTAL A1110.0 TRAFFIC VIOLATIONS BUREAU PERSONAL SERVICES A1130.1 EQUIPMENT A1130.2 CONTRACTUAL EXP. A1130.4 TOTAL A1130.0 SUPERVISOR PERSONAL SERVICES A1220.1 EQUIPMENT A1220.2 CONTRACTUAL EXP. A1220.4 TOTAL A1220.0 DIRECTOR OF FINANCE PERSONAL SERVICES A1310.1 EQUIPMENT A1310.2 CONTRACTUAL EXP. A1310.4 TOTAL A1310.0 COMPTROLLER PERSONAL SERVICES A1315.1 EQUIPMENT A1315.2 CONTRACTUAL EXP. A1315.4 TOTAL A1315.0 INDEPENDENT AUDITING AND ACCOUNTING CONTRACTUAL EXP. A1320.4 TAX COLLECTION PERSONAL SERVICES A1330.1 EQUIPMENT A1330.2 CONTRACTUAL_ EXP. A1330.4 TOTAL A1330.0 BUDGET PERSONAL SERVICES A1340.1 EQUIPMENT A1340.2 CONTRACTUAL EXP. A1340.4 TOTAL A1340.0 2 CODE FUND A GENERAL B GENERAL OUTS IDE VI LLAGE H I GHWAY : DR REPAIRS - AND IMPROVEMENTS DB _ BRIDGES- DM .4MA-CH I NERY DS SNOW AND MISC. SUMMARY OF TOWN BUDGET LESS LESS ESTIMATED UNEXPENDED AMOUNT TO BE APPROPRIATIONS REVENUES BALANCE RAISED BY TAX $ 777,816.00 $ 194,286.00 $ 250,000.00 $ 333,530.00 DE IMPROVEMENT PROGRAM CF FEDERAL REVENUE SHARING L PUBLIC LIBRARY SUB -TOTAL 'S SPECIAL DISTRICTS : (LIST EACH SEPARATELY) 362,045.00 209,338.00 80,000.00 72,707.00 345,510.00 5,207.25 16,000.00 324,302.75 4,000.00 .00 .00 4,000.00 66,262.51 .00 7.000.00 59,262.51 60,950.00 600.00 15,000.00 45,350.00 162,900.00 1,779,483.51 112,900.00 50.000.00 522,331.25 Forward From Page 1-A 236,200.00 117,425.00 (18,212.90 Fishkill) Chelsea Fire District 16,959.10 Wapp. 50.00 418,000.00 839,152.26 .00 118,775.00 (Fishkill 18,212.90) .00 16,909.10 Hughsonville Fire Distr. 55,434.24 100.00 .00 55,334.24 New Hackensack Fire " 120,326.00 1,389.60 1,000.00 117,936.40 Cameli Light District 280.00 .00 .00 280.00 Hughsonville Light " 8,430.00 .00 .00 8,430.00 Chelsea Light District 3,462.00 .00 .00 3,462.00 Rockingham Sewer Distr. 73,470.00 70,000.00 3,470.00 .00 Oakwood Knolls Water " 10,682.00 - 7,742.00 .00 2,940.00 Oakwood Knolls Sewer " 20,590.00 16,180.00 .00 4,410.00 Fleetwood Water Distr. 14,380.00 9,400.00 .00 4,980.00 TOTALS $ 2,339,696.85 i 744,617.85 $ 422,470.00 $1,172,609.00 ILtown 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. L/ Village is exempt from Machinery Taxes but not Snow and MiscellaneousTaxes. // Village is exempt from Snow and Miscellaneous Taxes but not Machinery Taxes 1 .' ACCOUNTS CODE TOWN BOARD PERSONAL SERVICES A101O EQUIPMENT A101O CONTRACTUAL EXP. A101O ' TOTAL AlDlO GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1973 19721 . 1 12,000.00 13,000.00 . 2 '4 .0 12,130.00 23,900.00 130.00 900.00 JUSTICES PERSONAL SERVICES A1110.1 EQUIPMENT A1I10.2 CONTRACTUAL EXP. A1I10.4 I"928.08 3v8I0.00 TOTAL A1110.0 1)8,135.00 20,410.00 16,207.00 16,600.00 TRAFFlCVIOLATIONS BUREAU PERSONAL SERVICES A1130.1 EQUIPMENT AI130.2 CONTRACTUAL EXP. A1I30.4 TOTAL A1130.0 SUPERVISOR PERSONAL SERVICES A1320 EQUIPMENT A1220 CONTRACTUAL EXP, A1220 TOTAL A1220 ,l I7^044.00 .2 97.00 .4 1,326.00 DIRECTOR OF FINANCE PERSONAL SERVICES A1310.1 EQUIPMENT A1310.2 CONTRACTUAL EXP, A1310.4 TOTAL A13I0.0 COMPTROLLER PERSONAL SERVICES A1315,1 EQUIPMENT A1315'2 CONTRACTUAL EXP. A1315.4 TOTAL A1315-0 INDEPENDENT AUDITING AND ACCOUNTING CONTRACTUAL EXP. A1320.4 2~800.00 TAX COLLECTION PERSONAL SERVICES A1330.1 9,294.00 EQUIPMENT A1330.2 277.00 CONTRACTUAL EXP, A1330,4 406-0n TOTAL A1330,0 9"977.00 462.00 BUDGET PERSONAL SERVICES A1340.1 EQUIPMENT AI340.2 CONTRACTUAL EXP. AI340,4 TOTAL A1940.0 462°00 27,000.00 .00 1,000.00 10.100.00 .00 545'D0 r .^ ^w BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 197L 1971 1975_ 13,000.00 900.00 14'300.00 14.300.00 900.00 900.00 15,200.00 IS.2OO O0 /JO_OO--- ~ 21,860.00 1,200.00 3,800.00 26.BG0.00\ 31,650.00 5,060.00 1,900.00 38v8lO'on 15,000.00 500.00 15,500.00 3.000.00 11.700.00 250.00 2,275.00 600.00 1,000.00 1,600.00 18,260.00 1,200.00 3,800.00 23,260.00 29,700.00 .00 1.100.00 30,800.00 20,790.00 .00 4,180.00 24,970.00 29,700.00 .00 1,100.00 30,800.00 15,000.00 15,000.00 500.80 500.00 15,500.00 I5,500.00 3,000.00 3,000.00 11,1I0.00 I1,I10~00 .00 .00 600.00 600.00 0 11,710.00 11,710.00 600.00 1.000.00 1,600.00 600.00 600.00 .00 500.00 500.00 1,100.00 1vI00.00 ACCOUNTS PURCHASING PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP, TOTAL ASSESSORS PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP, TOTAL MVIEW8OARD CONTACTUAL EXP. TOWN CLERK PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. 110A 1 TOTAL TTORNEY PERSONAL SERVICES AI420.1 EQUIPMENT A142O.2 CONTRACTUAL EXP. A1420.4 TOTAL A1420.0 GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT CODE A1345.1 Al345.3 Al345.4 Al345.0 Al355.1 Al355.% Al355.4 4l355.O A1355.45 A1370.4 A1410.1 Al4IU,2 Al4lU.4 Al4lO.O PERSONNEL PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL Al43O.l A1430.2 Al43U.4 Al430.0 ENGINEER PERSONAL SERVICES A1440.1 EQUIPMENT AI440.2 CONTRACTUAL EXP. AI440.4 TOTAL AI440~0 ELECTIONS PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL BOARD OF ETHICS PERSONAL SERVICES EQUIPMENT ` CONTgACTUAL EXP. TOTAL A1450.1 Al4SO.2 A145U.4 AI45O.0 /\l47O.l Al47O.2 Al470.4 A1470.0 BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197.3 1974 19,235.00 28,050.00 5,772.00 25,007.00 1,500.00 29,550.00 24,372.00 26.550.00 BUDGET OFFICERS TENTATIVE BUDGET 1974 31,000.00 200.00 <l^500.0O 32,700.00 '2'ooV,UV 31,465.00 25.655.00 28,95D.00 _34,o65.0 4,500.00 4.500.00 4,000.00 4,000.00 9,000.00 9.000.00 4,000.00 4,000.00 8"815.03 14'500.00 7,597.00 8.400-pn 31.00 100.08 100.00 100.00 9.000.00 g.000^O0 4,000.00 4.000.00 18,000.00 1,500.00 100.00 I9^6OO'On IOO.OQ 100.00 PRE- LlMINARY BUDGET 3O.R55.00 200.00 1,500.00 32,555.00 1v4ou.uu 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 ADOPTED 30,855.00 200.00 1,500.00 32,555.00 1^zuu.ou 39,245.00 .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 19.600.00 100.00 100.00 100.00 100.80 I 11,1 I 11111111111 II 0111111111111111,11111 ACCOUNTS CODE GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT BUDGET BUDGET THIS YEAR OFFICERS PRE - AS TENTATIVE LIMINARY AMENDED BUDGET BUDGET 1974 1975 197 5 BOIIDINGS, LAND & GZ%EE A1820.3 PERSONAL SERVICES A. EQUIPMENT Al CONTRACTUAL EXP. Al TOTAL A1628.0 ACTUAL LAST YEAR 197,2 .00 30,000.00 60,000.00 .00 k,000.00 60,uuu.uu BUILDINGS PERSONAL SERVICES /\1620,I __2.O0O^00 EQUIPMENT A1520,2 2,715.00 CONTRACTUAL EXP. A1620,4 26"277.00 TOTAL /\1620.0 30«992.00 WILDING IMPROVEMENTS PERSONAL SERVICES A1820.I EQUIPMENT A1620.2 CONTRACTUAL EXP. A16140.44 TOTAL A1620,44 CENTRAL COMMUNICATIONS SYSTEM PERSONAL SERVICES A1650.1 EQUIPMENT A1650.2 CONTRACTUAL EXP. A1650.4 TOTAL A1650.O CENTRAL STOREROOM PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL CENTRAL PRINTING AND MAILING PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL 2"808.00 6,500.00 5.¢0¢~00 5"000.00 1I5,000.00 120.000.00 1n9v400'00 13I°600'00 ADOPTED 1975 .00 .00 .UOrl .00 6,500.00 5,000.00 50,000.00 61,500.00 6,500.00 5,000.00 50,000.00 61,500.00 1,200.00 6v000^00 6~00.00 6"000.00 1.200.00 6,000.00 6,000.00 6.000.00 c,716 -0Q 5.500.00 7,008.00 Al660.l Al66O,2 A1660.4 2^513^08 4.000'00 4v50O'O0 A1660'0 2,5I3.00 4v000.00 4v500.00 Al678,l /\l870.2 /\l670,4 /\l670.0 CENTRAL DATA PROCESSING PERSONAL SERVICES A1680.1 EQUIPMENT - A1580.2 CONTRACTUAL EXP. AI680.4 TOTAL A2680.0 3.500.00 3.50O~OV 5,000.00 5,000.00 1,000.00 zvnMn no SPECIAL ITEMS misc. IS. UNALLOCATED lNS. A1910.4 5°165. 7"000.00 `i1UNICI PAL Acqm DUES A1920.4 400.0 400.00 SURETY BUNzGA1910,4eI 4G4.0} 2,00¢.00 CONTIGENT ACCOum|' A1990.4 20,000.00 Assoc. of Tovmoy,Edzc. &1920.5 3v987.0) 4^500.00 TOTAL 10v03I.00 33,900-00 7,000.00 7.000.00 7,000.00 7.000.00 4,500.00 4,500.00 4'500.00 4 5ilala,_ 5,000.00 6,000.00 6,000.00 5,000.00 6.000.00 6.000.00 1.000.00 1.0100,0Q 7,000.00 400.00 2,000.00 20,000.00 5,000.00 TOTAL GENERAL GOVT. SUPPORT A1999.0 189,528.00 391,655.00 I464,560.00 4 580.00 500.00 500.00 500.00 7,000.00 7,000.00 400.00 400.00 2.000~08 2'000.00 I0.000.00 I0,000.00 nnUj>0 5.000.00 24.400.00 24.400.00 308,770.00 310,480.00 ACCOUNTS GENERAL FUND APPROPRIATIONS BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 197.3 1971 - ATTENDANCE OFFICER PERSONAL SERVICES A2950.1 EQUIPMENT A2950.2 CONTRACTUAL EXP. A2950.4 TOTAL A2950.0 PUBLIC SAFETY ADMINISTRATION PERSONAL SERVICES A3010,1 EQUIPMENT A3010.2 CONTRACTUAL EXP. A3010.4 TOTAL -' ` A3010.0 POLICE AND CONSTABLE PERSONAL SERVICES A3120.1 EQUIPMENT A3120.2 CONTRACTUAL EXP. A3120.4 TOTAL A�l2O.0 �-�._ ..~-_-'- L ERSONAL SERVICES A3150.1 EQUIPMENT` A31 0.2 CONTRACTUAL EXP. A3150.4 TOTAL A3150.0 TRAFFIC CONTROL PERSONAL SERVICES A3310.1 EQUIPMENT A331O.2 673,00 CONTRACTUAL EXP. A3310.4 8I2.00 TOTAL A3310.0 Iv485'0O_ DN STREET PARKING PERSONAL SERVICES A3320,1 EQUIPMENT A332O.2 CONTRACTUAL EXP. A3330,4 TOTAL A3320.0 FIRE FIGHTING PERSONAL SERVICES A3410.1 EQUIPMENT A3410.2 CONTRACTUAL EXP. A3410.4 TOTAL A34l0,O EDUCATION PUBLIC SAFETY 80.00 80.00 490.00 400.00 2,500.00 'S^SOD'OO CONTROL OF ANIMALS - DOG WARDEN PERSONAL SERVICES A3510.I 6,406.00 6°500.00 EQUIPMENT A3510.2 CONTRACTUAL EXP. A35I0,4 TOTAL A3510,0 EXAMINING BOARDS PERSONAL SERVICES A3510.I EQUIPMENT A3610.2 CONTRACTUAL EXP. A3610.4 TOTAL A3610.0 BUDGET OFFICERS TENTATIVE BUDGET 1975 500.00 500.00 PRE- LIMINARY BUDGET ADOPTED 1975 197a 500.00 500.00 500.00 500.00 2"500.00 .00 .00 n�9Oo'Oo 2,000^00 2"000.00 5,000 no 2,000.00 2.000.00 6,500.00 6,50}.0] 5,500.00 ~~~ 11«q3c_no 2°mnn on 1.24.00.0'0o I2.500.00 12,500.00 5 _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 TOTAL PUBLIC SAFETY +0OARD OF HEALTH PERSONAL SERVICES EQUIPMENT CONTRAcTU4L EXP. - TOTAL *REGISTRAR OF VITAL STATISTICS PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL GENERAL FUND APPROPRIATIONS A362U,l A36%O.2 A352U.4 A3620.O A364O.l A564O,2 AJ64O,4 A364U.O A365O.l A565O.2 A365O.4 A3050.O ACTUAL LAST YEAR 1973 BUDGET THIS YEAR AS AMENDED 1974 BUDGET OFFICERS TENTATIVE BUDGET 1975 � / PUBLIC SAFETY `CONTD.,\ A3999.0 13~500.00 1n,7nn nn HEALTH A4OlO.l A40IU.2 A4O10.4 A4UlO.O A4O2U.l A4O2O.2 A4O3U.4 A4O2O.O LABORATORY PERSONAL SERVICES A4025.1 EQUIPMENT A4025.2 CONTRACTUAL EXP. A4025.4 TOTAL /\4025.0 AIR POLLUTION PERSONAL SERVICES A4060,1 EQUIPMENT - A4060.2 CONTR/KTUAL EXP. A4000.4-„.: TOTAL A4060,0 *Town with Village - See explanation (1) town - area outside **Town with Village - See explanation (2) town - area outside 6 nnlL.nn nOo'nn PRE- LIMINARY BUDGET ADOPTED lg1975 300.00 300.00 300.00 300.00 17,800.00 15,300.00 15.300.00 on last page for charges to of villages. on last page for charges to of villages. ACCOUNTS GENERAL FUND APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 197,3 1978 197.5 197.. HEALTH (CONTD.) INSECT CONTROL PERSONAL SERVICES A4068.1 EQUIPMENT A4068.2 CONTRACTUAL EXP. A4068.4 TOTAL A4068.0 NARCOTIC GUIDANCE COUNCIL PERSONAL SERVICES A4210.1 EQUIPMENT A4210.2 CONTRACTUAL EXP. A4210.4 1,000.00 TOTAL A4210.0 1,000.00 NARCOTICS CONTROL PERSONAL SERVICES A4220.1 EQUIPMENT A4220.2 CONTRACTUAL EXP. A4220.4 TOTAL A4220.0 JOINT HOSPITAL ILO£..ONTRACTUAL EXP. A4525.4 AMBULANCE PERSONAL SERVICES A4540.1 EQUIPMENT A4540.2 CONTRACTUAL EXP. A4540.4 TOTAL 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 36,841.00 40,347.75 36.841.00 40.347.75 .4 . 0 A4999.0 3..841.00 41„347.75 TRANSPORTATION A5010.1 A5010.2 A5010.4 A5010.0 A5132.1 A5132.2 A51-32.4 A5132.0 18,882.00 20,700.00 150.00 3,000.00 23,850.00 2,900.00 21,782.00 59.10 5,000.00 RQ_10 5,000_00 7 1,000.00 500.00 1,000.00 500.00 51,353.00 51.353.00 52,353.Q0 22,450.00 600.00 3,000.00 26.050.00 45,000.00 45,000.00 45.500.00 22,770.00 600.00 3,000.00 26,370.00 4.00Q,,00 4,000.00 x,000.00 4,000.00 ADOPTED 1975 500.00 500.00 45,000.00 45,000.00 45,500.00 22,770.00 600.00 3,000.00 26.370.00 4,000.00 4,000.00 GENERAL FUND APPROPRIATIONS ACCOUNTS CODE STREET LIGHTING CONTRACTUAL EXP. A5182.4 AIRPORT PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL JOINT AIRPORT CONTRACTUAL EXP. A5610.1 A5610.2 A5610.4 A5610 .0 A5615.4 OFF STREET PARKING PERSONAL SERVICES A5650.1 EQUIPMENT A5650.1 CONTRACTUAL EXP. A5650.4 TOTAL A5650.0 PERSONAL SERVICES EQUIPMENT CONTRACTUAL -EXP. TOTAL .1 .2 .4 .0 BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197. 197A BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975. 19 1971 TRANSPORTATION (CONTD.) 9,791.00 10,600.00 TOTAL TRANS- PORTATION .A5999.0 31,632.1C 39,450.00 SOCIAL SERVICES - ADMINISTRATION PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL 10,600.00 .00 .00 40,650.00 30,370.00 30,370.00 ECONOMIC ASSISTANCE AND OPPORTUNITY A6010.1 A6010.2 A6010.4 A6010.0 SOCIAL SERVICES - HOME RELIEF CONTRACTUAL EXP. A6140.4 SOCIAL SERVICES - BURIALS CONTRACTUAL EXP. A6148.4 ECONOMIC OPPOR- TUNITY PPOR- TUNITY PROJECTS PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. EMPLOYEE •BENEFITS TOTAL A6326.1 A6326.2 A6326.4 A6326.8 A6326.0 8 ACCOUNTS BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 1971 197_4 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1971 1975 ECONOf1 IC ASSISTANCE AND OPPORTUNITY (CONTD-) PRIVATE EOA AGENCY IA6330.4 I EMERGENCY EMPLOYMENT PROGRAM PERSONAL SERVICES A6380.1 EQUIPMENT A6380.2 CONTRACTUAL EXP. A6380.4 TOTAL A6380.0 PUBLICITY PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL VETERANS SERVICES PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL A6410.1 A6410.2 A6410.4 .00 A6410.0 .00 A6510.1 A6510.2 A6510.,4 A6510.0 350.00 350.00 11104 TOTAL ECONOMIC ASSISTANCE % AND OPPORTUNITY A6999.0 350.00 CULTURE - RECREATION 300.00 300.00 450.00 450.00 750.00 RECREATION ADMINISTRATION PERSONAL SERVICES A7020.1 EQUIPMENT A7020.2 CONTRACTUAL EXP. A7020.4 TOTAL A7020.0 * PARKS PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL * 514.00 4.00 518.00 A7110.1 6,077.00 A7110.2 6,046.00 A7110.4 27,058.00 A7110.0 39.181.00 PLAYGROUNDS AND RECREATION CENTERS PERSONAL SERVICES A7140.1 EQUIPMENT - A7140.-2 CONTRACTUAL EXP. A7140.4 9,641.00 TOTAL A7140.0 9,641.00 JOINT REC1 PROJECT A7145.4 3EACH AND POOL PERSONAL SERVICES A7180.1 EQUIPMENT A7180.2 CONTRACTUAL EXP. A7180.4 TOTAL A7180.0 MARINA AND DOCKS PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL A7230.1 A7230.2 A7230.4 A7230.0 800.00 100.00 900.00 8,000.00 6,390.00 28,285.00 42.675.00 28,040.00 28,040.00 300.00 300.00 300.20 300.00 450.00 45n_nn 750.00 800.00 100.00 900.00 12,000.00 5,800.00 62,973.00 J0,$73.00 450.00 45000 750.00 800.00 .00 100.00 900.00 8,800.00 5,800.00 35.400.00 50.000.00 31,355.00 31,355.00 31,355.00 31.355.00 *Town with Village - See explation(2)on last page for charges to town - area outside of viZZages. 9 ADOPTED 197s. 300.00 300.00 450.00 450.00 750.00 800.00 .00 100.00 900.00 8,800.00 5,800.00 35.400.00 50.000.00 31.355.00 31,355.00 ACCOUNTS CODE 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 197,3 197L CULTURE 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 A7450.1 A7450.2 A7450.4 A7450.0 HISTORIAN PERSONAL SERVICES A7510.1 EQUIPMENT -A7510.2 CONTRACTUAL EXP. A7510.4. TOTAL A7510.0 HISTORICAL PROPERTY PERSONAL SERVICES A7520.1 EQUIPMENT A7520.2 CONTRACTUAL EXP. A7520.4 TOTAL A7520.0 CELEBRATIONS PERSONAL SERVICES A7550.1 EQUIPMENT A7550.2 CONTRACTUAL EXP. A7550.4 TOTAL A7550.0 - RECREATION 200.00 200.00 104.00 200.00 304.00 400,00 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975 1975. 197_5 (CONTD.) �o0.On 200.00 4nn_on 248.00 4.800.00 248.00 4.800.00 19.600.00 9.600.00 *Town with Village -,.See explanation (1) on last page town - area outside of villages. 10 200.00 200.00 400.00 9,000.00 9,000.00 200.00 200.00 400.00 9.000.00 9,000.00 for charges to ACCOUNTS GENERAL FUND APPROPRIATIONS BUDGET ACTUAL, THIS YEAR LAST AS YEAR AMENDED CODE 1973. 1974. BUDGET OFFICERS PRE TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975. 197.5 1975. CULTURE - RECREATION (CONTD.) 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 EQUIPMENT CONTRACTUAL EXP. TOTAL PLANNING PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL ;FEASIBILITY STUDIES, PERSONAL SERVICES CENSUS SURVEY CONTRACTUAL EXP. TOTAL ** A7620.1 A7620.2 A7620.4 A7620.0 A7999.0 49,892.00! 76,815.00 HOME AND CQMMUNITY SERVICES A8010.1 A8010.2 A8010.4 A8010.0 1400 nn 1,000.00 1,000.00 1 000_nn 1,000.00 1,000.00 124,028.00 92,655.00 92,655.00 A8020.1 A8020.2 A8020.4 A8020.0 MAPS, AN) SURVEYS A8030.1 A8030.4`. A8030.4 - 100.00 = 3,000.00 A8030.0 109.00 3,00Q.00 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 A816-0.0 :OMMUNITY BEAUTIFICATION PERSONAL SERVICES A8510.1 EQUIPMENT A8510.2 7,000.00 3,000.00 10,000.00 CONTRACTUAL EXP. A85-10.4 891.00 2,500.00 2,500.00 TOTAL A8510.0 891 _ML 2,500.00 2,.500.On NOISE ABATEMENT PERSONAL SERVICES A8520.1 EQUIPMENT A8520.2 CONTRACTUAL EXP. A8520.4 TOTAL A8520.0 7,000.00 3,000.00 10.000.00 7,000.00 3,000.00 10,000.00 1.500.00 1,500.00 1,500.00 1,500.00 -*Town with Village - See explanation (1)on last page for charges to town - area outside of villages. **Town with Village - See explanation (2)on last page for charges to town - area outside of villages. 11 -ACCOUNTS - CODE GENERAL FUND APPROPRIATIONS BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197,3 1978 HOME AND COMMUNITY DRAINAGE PERSONAL SERVICES A8540.1 EQUIPMENT - A8540.2 CONTRACTUAt EXP.- A8540.4 TOTAL A8540.0 SHADE TREES PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL CEMETERIES PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL A8560.1 A8560.2 A8560.4 A8560.0 A8810.1 A8810.2 A8810.4 A8810.0 AGENCY-PREV. OF CRUELTY TO CHILDREN CONTRACTUAL EXP. A8820.4 PLANNED PARENT- HOOD ASSOCIATION CONTRACTUAL EXP. A8822.4 TOTAL_HOME AND COMMUNITY -SERVICES A8999.0 EMPLOYEE BENEFITS STATE RETIREMENT A9010.8 FIRE AND POLICE RETIREMENT A9015.8 SOCIAL SECURITY A9030.8 I ORKMENS COMP. A9040.8 LIFE INSURANCE A9045.8 UNEMPLOYMENT INS. A9`0.50 .8 DISABILITY INS. A9055.8 HOSPITAL AND MEDICAL I NSURAN CE A 90 60 . 8 TOTAL EMPLOYEE BENEF-ITS A9199.0 T 991.00 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 197,5 1975. SERVICES 800.00 800.00 6,300.00 UNDISTRIBUTEDI 10,125.00 15,000.00 6,851.00 2,653.00 8,000.00 3,500.00 461.00 1,000.00 3,007.00 15.000.0Q 23,097.00 42,500.00 12 (CONTD.) 800.00 800.00 800.00 800.00 ADOPTED 197- 800_00 800.00 13,300.00 12,300.00 12,300.00 20,000.00 20,000.00 10,000.00 10,000.00 3,500.00 3,500.00 1.000.00 1,000.00 10,000.on 44,500.00 10.000.00 44,500.00 20,000.00 10,000.00 3.500.00 1,000.00 10.000.00 44,500.00 ACCOUNTS GENERAL FUND APPROPRIATIONS BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 1973 1974 INTERFUND TRANSFERS TRANSFER TO HIGHWAY FUND A9540.9 TRANSFER TO CAPITAL FUND A9550.9 TRANSFER TO CAPITAL RES'.FUND A9560..9 TRANSFER TO REPAIR RES. FUND A9562.9 TRANSFER TO GENERAL RES.FUND A9572.9 TOTAL INTERFUND" TRANSFERS A9699.0 I; DEBT SERVICE PRINCIPAL ERIAL BONDS A9710.6 TATUTORY BONDS A9720.6 30ND ANTICIPATION NOTES A9730.6 :APITAL NOTES A9740.6 BUDGET" NOTES. A9750.6 TAX ANTICIPATION NOTES A9760.6 2EVENUE ANTICI- PATION NOTES A9770.6 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1975 1975 UNDISTRI3UTED (CONTD.) 5,000.00 8,200.00 15,200.00 10,000.00 TOTAL PRINCIPAL A9899.6 20,200.00 18,200.00 DEBT SERVICE INTEREST SERIAL BONDS A9710.7 650.00 805.00 STATUTORY BONDS A9720.7 30ND ANTICIPATION NOTES A9730.7 _2,R(47 nn ZAPITAL NOTES A9740.7 BUDGET NOTES A9750.7 TAX ANTICIPATION NOTES A9760.7 2EVENUE ANTICI- PATION NOTES A9770.7 TOTAL INTEREST A9899.7 2,342.00 1,990.00 1,185.00 IV! TOTAL GENERAL FUND APPROPRIATION (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 8,200.00 8,200.00 10,000.00 10,000.00 18,200.00 485.00 1,190.00 1,675.00 18,200.00 ADOPTED 197,5 8,200.00 10,000.00 18.200.00 485.00 485.00 1,190.00 1,190.00 1,675.00 1,675.00 A9900.0 368,373.10 63/,207;75 777,816.00 570,020.00 571,730.00 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 FEES (NOT INTEREST ON TAXES) A1232 CLERK FEES A1255 * POLICE FEES A1520 * SAFETY INSPECTION 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 STREET PARKING FEES A 1740 AIRPORT FEES 8 RENTALS A 1770 AIRPORT COMMISSIONS AND CONCESSIONS A1774 AIRPORT SALES OF SUPPLIES A1776 REPAYMENTS OF HOME RELIEF A1840 REPAYMENTS OF BURIALS A1848 PARK 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 CHARGES A2060 SKATING RINK FEES A2065 HUSEUM ADMISSIONS A2090 * ZONING FEES A2110 * PLANNING BOARD FEES A2115 GENERAL FUND ESTIMATED REVENUES CODE BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1978 1974. LOCAL SOURCES BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975. 1974 1975 7,296.0( 6,700.00 8,000.00 00 265,00 1,020.00 1,655.00 1,725,00 _2,387.00 14,651.00 10,000.00 *Town with Villages - See explanation (3) on these revenues to town 14 15,000.00 8,000.00 8,000.00 1,020.00 1,020.00 1,725.00 1,725.00 15,000.00 15,000.00 last page for crediting - area outside villages. GENERAL FUND ESTIMATED REVENUES ACCOUNTS CODE DEPARTMENTAL INCOI;E GARBAGE REMOVAL AND DISPOSAL CHARGES A2130 SALE OF CEMETERY LOTS 42190 CHARGES FOR CEMETARY SERVICES A2192 TAX AND ASSESSMENT SERVICES FOR OTHER GOVERNMENTS42210 NARCOTICS CONTROL SERVICES FOR OTHER GOVERNMENTS42290 USE OF MONEY AND PROPERTY INTEREST AND ;EARNINGS A2401 ENTAL OF REAL PROPERTY A2410 2ENTAL OF REAL PROPERTY, OTHER GOVERNMENTS A2412 RENTAL OF EQUIPMENT, OTHER GOVERNMENT A2416 :OMMISSIONS IA2450 LICENSES AND PERMITS BUSINESS AND OCCUPATIONAL LIC. A2501 NIMAK LICENSES A2540 DOG LICENSE FUND APPORTIONMENT_ A2544 DERMITS A2590 FINES AND FORFEITURES FINES AND FORFEITED BAIL A2610 FORFEITURE OF DEPOSITS A2620 3ALES OF PROPERTY AND COMPENSATION FOR LOSS 3ALES OF SCRAP AND EXCESS MATERIALS A2650 MINOR SALES, OTHER A2655 ;ALES OF REAL PROPERTY 42660 ;ALES OFEQUIPMENT A2665 :NSURANCE RECOVERIES 42680 BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 19-73 1974 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975 1975 1975 LOCAL SOURCES (CONTD.) 7,472.00 8,000.00 60.Q0 3,197.00 3.000.00. 200.00 14,508.00 16.000.00 15 14,000.00 3.000.00 200.00 19.600.00 14,000.00 14,000.00 3.000.Q0 3.000.00 wn,nn 200.00 19,600.00 19,600.00 GENERAL FUND ESTIMATED REVENUES ACCOUNTS CODE MISCELLANEOUS REFUNDS OF PRIOR YEARS EXPENSES A2701 GIFTS AND DONAT IONS A2705 ENDOWMENT AND TRUST FUND INCOME A2755 DINER UNCLASSIFIED REVENUES (SPE C I FY) MISCELLANEOUS A2770 A2770 INTERFUND REVENUES FROM CAPITAL FUND A2850 OTHER A28_ TRANSFER FOR DEBT SERVICE: PREMIUM ON SECURITIES ISSUED, - CAPITAL FUND ACCRUED INTEREST ON SECURITIES ISSUED, CAPITAL FUND A2952 JNUSED CAPITAL FUND AUTHORIZA- TIONS FINANCED BY OBL I GAT I ONS A2954 EARNINGS ON INVEST- MENTS, CAPITAL FUND A2956 TOTAL ESTIMATED REVENUES FROM LOCAL SOURCES A2950 PER. CAPITA MORTGAGE TAX LOSS OF RAILROAD TAX REVENUE A3007 LOSS OF PUBLIC UTILITY VALUATIONS A3017 !AVIGAT ION LAW ENFORCEMENT A3315 NARCOTICS GUIDANCE COUNCIL A3484 SOCIAL SERVICES A3660 PROGRAMS FOR AGING A3803 YOUTH PROGRAMS A3820 A3001^ A3005' TOTAL ESTIMATED REVENUES FROM STATE AID BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197 3 197_4 BUDGET QFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1975. LOCAL SOURCES (CONTD,) 3,612.00 100.00 53,183.00 45,920.00 r FF AA nn 1,15,651.0 TAJI5,"6 II.00 105,912.00 70,000.00 257.00 250.00 500.00 63,045.00 125,791.00 5,000.00 450.00 500.00 63,045.00 125,791.00 5,000.00 450.00 ADOPTED 1971 500.00 63,045.00 125,791.00 5,000.00 450.00 A3999 ?21,820.00 185,900.00 131,241.00 131,241.00 131,241.00 16 ACCOUNTS GENERAL FUND ESTIMATED REVENUES BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 197,6 197 4 197_5 1975_ 197.5 PUBLIC SAFETY CIVIL DEFENSE A4305 EMERGENCY EMPLOY- MENT PROGRAM- A4780 EE PROGRAM - POVERTY POCKET A4782 TOTAL ESTIMATED FEDERAL -AID A4999 TOTAL ESTIMATED REVENUES -GENERAL FUND (TRANSFER TO PAGE 1) ESTIMATED GENERAL FUND UNEXPENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO ,PAGE 1) FEDERAL AID A5000 275,003.00 231,820.00 1.94.1 860(2 194,286.00 194,286.00 ESTIMATED UNEXPENDED BALANCE 278.047.19 iRc.cnn nn 250.000.00 150,000.00 150,000.00 17 Fire Liab. GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE CSHOW HERE GENERAL FUND APPROPRIATIONS TO BE PROVIDED FOR BY TAXES _ LEVIED ON THE AREA OUTSIDE VILLAGE) BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 197,E 1974 197.E 1975. ACCOUNTS SPECIAL ITEMS UNALLOCATED INS. CONTINGENT ACCT. ATTORNEY ENGINEER TOTALS POLICE PERSONAL SERVICES33120.1 EQUIPMENT 33120.2 CONTRACTUAL EXP. '33120.4 TOTAL 33120.0 B1910.4 81990.4 B1420.4 B1440.4 GENERAL GCVERNMENT SJPPORT BUILDING INSPECTOR PERSONAL SERVICES33620.1 EQUIPMENT 33620.2 CONTRACTUAL EXP. 83620.4+ TOTAL B3620.0 ZONING BOARD OF APPE, ILS PERSONAL SERVI CES 38 0 1 1. 1 EQUIPMENT ., 38011.2 CONTRACTUAL EXP. 3801 .4 TOTAL B3011.0 STREET LIGHTING PERSONAL SERVICES` 85182. 1 EQJ I PMENT B5182.2 CONTRACTUAL EXP. B5182.4 TOTAL B5182.0 5,679.00 4,472.38 4.499.00 6.000.00 20,650.38 13,250.00 173,0n 618.35 7,000.00 8,000.00 20,000.00 25,000.00 7,500.00 8,000_00 6.000.00 6.nnn nn 40,500.00 22,750.00 14,041_35 pp"ADVERTIS=NG B6410,4 P[iONN L&SERVICESB EQUIPMENT B CONTRACTUAL EXP. 86410.4 TOTAL 8-8410.0, PARKS PERSONAL SERVICESB7110.1 EQUIPMENT B7110.2 CONTRACTUAL EXP. 37110.4 TOTAL B7110.0 PLAYGROUNDS AND RECREATION CENTE1S PERSONAL SERVICESB7140.1 EQUIPMENT B7140.2 CONTRACTUAL EXP. 87140.4 TOTAL B7140.0, 2,200.00 38.00 2,238.00 971.00 971 nn 1,q9c nn 94,67c_n0 2,700.00 825.00 3,525.00 1,500.00 1,500 nn 47,0(10 On 27,1511 00 700-00 1,diz.OU 7Q 77R rin 3,300.00 850.00 4.150.00 1,500.00 1,500.00 CULTURE - RECREATION 779.00 ?79.00 5nn nn 500.00 18 500.00 500.00 ADOPTED 1975 8,000.00 8,000.00 20,000.00 20,000.00 8.000.00 8,000.00 b,uuu.uu b,uuu.uu_ 42,000.00 42,000.00 24,210.00 24,210.00 200.00 200.00 1,275.00 1.275,0Q_ 25,685.00 25,685.00 3,800.00 3,800.00 750.00 750.00 4,550.00 4,550.00 12,600.00 12,.600.00 12.600.00 12,6nn_nn 1,500.00 1.,500.00 1.500.00 ],,500.00 500.00 500.00 500.00 504.00 GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE ACCOUNTS CODE YOUTH PROGRAMS PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197,3 197,g BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1975. 1975 CULTURE - RECREATION (CONTD.) B7310.1 B7310.2 B7310.4 87310.0 LIBRARY CONTRACTUAL EXP. B7410.4 CETZBgTIONS B7510 PERSONAL SERVICES B7510.1 EQUIPMENT B7510.2 CONTRACTUAL EXP. B7510.4 TOTAL BI5 10 .0 13,078.0 300.0 6,770.0 20,148.0 15,000.0 300.0C 300.00 13,700.00 500.00 3,650.00 17.850.00 18,000.00 300.001 300.00 HOME AND COMMUNITY ZONING' PERSONAL SERVICES B8010.1 11,741.0C EQUIPMENT B8010.2 CONTRACTUAL EXP. B8010.4 TOTAL - B8010.0 12.397.0 15,200.00 500.00 3,500.00 19.200.00 19,000.001 1 15.200.00 50Q,01 3,500.00 19.200.00 19,000.00 300.00 300.00 300.00 300.00 SERVICES 15,250.00 .,nn nn PLANNING PERSONAL SERVICES B8020.1 EQUIPMENT B8020.2 CONTRACTUAL EXP. B8020.4 TOTAL B8020.0 REFUSE AND GARBAGE PERSONAL SERVICES B8160.1 EQUIPMENT B8160.2 CONTRACTUAL EXP. B8160.4 TOTAL B8160.0 EMPLOYEE BENEFITS STATE RETIREMENT FIRE AND POLICE RETIREMENT SOCIAL SECURITY WORKMENS COMP. LIFE INSURANCE UNEMPLOYMENT INS. DISABILITY INS. HOSPITAL AND MEDICAL INSURANCE TOTAL EMPLOYEE BENEFITS - B9010.8 2,200.0 76 0 17,690.00 2,700.00 13,100.00 12,500.00 100.00 100.00 2.855.001 2.855.00 16,055.001 15.455.00 3,300.00 4,000.00 n 250.00 7,375.00 11,625.00 7.600.00 2,000_00 UNDISTRIBUTED 7,955.00 15,000.00 89015.8 89030.8 12,308.00 13,000.00 B90 40 . 8 5,551,00 6,000.00 89045.8 B9050.8 B 90 55. 8 734.00 1,500.0 B9060.8 11.459.00 1S,nnn on B9199.(1 38,007.00 50,500.00 19 ADOPTED 197, 15,200.00 500.00 3.500.00 1-94.211a.-0.0- 19,000.00 9,, .00.00 19,000.00 300.00 300.00 12,500.00 100.00 2,855.00 15,455.00 4,000.00 250.00 7.375.00 11.625.00 f--- - 2,200.00 2,200.00 2,200.00 ')_.190.00 2.200.00 2.200.00 x0,000.00 15,000.00 7,000.00 11500.Q0 '=OOP nn 20,000.00 15,000.00 7,000.00 1.500.00 15,000.00 544500.00 58,500.00 20,000.00 15,000.00 7.000.00 1,500.00 15.000.00 58,500.00 ACCOUNTS GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 197a. 19 74 INTERFUND TRANSFERS TRANSFER TO HI-GHWAY FUND B9540.9 TRANSFER TO - CAPITAL FUND B9550.91 TRANSFER TO -CAPITAL-RES. FUND -B9560.9 TRANSFER TO REPAIR RES. FUND B9562.9 TRANSFER TO ASSURITY FUND B9975.9 TOTAL, INTERFUND TRANSFERS - B9799.0 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1975 1975 UNDISTRIBUTED (CONTD,) DEBT SERVICE PRINCIPAL SERIAL BONDS 139710.6 30,869.00 30,400.00 45,270.00 STATUTORY BONDS 69720.6 BOND ANTICIPATION NOTES- B9730.6 - CAPITAL NOTES -89740.6. 12,500.00 12,5Uu.uu BUDGET NOTES 69750.6 TAX ANTICIPATION NOTES B9760.6 REVENUE ANTICI- PATION_ NOTES 89770 ._6 TOTAL PRINCIPAL B9899.6 30,869.00 42,900.00 57,770.00 DEBT SERVICE INTEREST SERIAL_ BONDS - B9710.7 54,034.00 52.450.00 STATUTORY BONDS 89720.7 BOND ANTICIPATION NOTES B9730.7 20,903.00 CAPITAL NOTES B9740.7 1,688.00 BUDGET NOTES 69750.7 TAX ANTICIPATION NOTES B9760.7 REVENUE ANTICI- PATION NOTES- B9770.7 TOTAL INTEREST B9899.7 TlY1rAeGiikW9RE FUN) B9995.5 TOWN OUTSIDE VILLAGE - APPROPRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 54.065.50 't,041_no lUU.UU 75.141.00 72.280.00 1,500.00 1,500.00 45,270.00 ADOPTED 1975 1,500.00 1,500.00 45,270.00 17,500.00 17,500.00 62,770.00 62,770.00 72,280.00 72,280.00 15,040.00 20,890.00 20.890.00 1,000.00 1,460.00 1,460.00 88,320.00 94,630.00 94.630.00 88.8:88 94,7Y8:88 944.5°77111°- B9900.0 7 B9900.0 212,832.23 304,806.00 362,045.00 372,115.00 372,115.00 20 iro GENERAL FUND ESTIMATED REVENUES - TOWN OUTSIDE VILLAGE ACCOUNTS CODE NON -PROPERTY TAX _ D'ISTRIBUTION BY COUNTY B112-0 HEALTH 1FEESCTOR B16� 1 ZONING FEES 82110 PLANNING BOARD FEE'. B2115 INTEREST ANDEARNINGS B2401 OTHER (SPECIFY) CATV B2770 TOTAL ESTIMATED REVENUES FROM LOCAL SOURCES MORTGAGE TAX PER CAPITA YOUTH PROGRAMS TOTAL ESTIMATED REVENUES FROM STATE AID TOTAL ESTI MATE C REVENUES -GENERAL FUND - TOWN OUTSIDE VILLAGES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 85000 160,132.00 153,050.00 209,338.00 209,338.00 209,338.00 BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197, 1974 LOCAL SOURCES 28.139.00 14,456.00 18.423.00 500.00 20,000.00 15,000.00 9,000.-00 500.00 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1971 197L ADOPTED 1975_ 12,000.00 12.000.00 12,000.00 12,000.00 18,000.00 500.00 12.000.00 18.000.00 500.00 12,000.00 18,000.00 500.00 61,518.00 34,500.00 42,500.00 42,500.00 42,500.00 STATE AID B3005 20,000.00 60,000.00 60,000.00 60,000.00 83001 94,732.0 94,750.00 103,038.00 103,038.00 103,038.00 B3820 3,882.00 3,800.00 3,800.00 3,800.00 3,800.00 B3999 98,614.00 118,550.00 166,838.00 166,838.00 166,838.00 ESTIMATED UNEX- PENDED BALANCE - GENERAL FUND - TOWN OUTSIDE VILLAGES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) ESTIMATED UNEXPENDED BALANCE 150,637.72 126,500.00 80,000.00 80,000.00 80,000.00 21 ACCOUNTS HIGHWAY FUND APPROPRIATIONS REPAIRS AND IMPROVEMENTS (ITEM 1) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 1973 1974 GENERAL REPAIRS 122,000.00 130,090.00 PERSONAL SERVICES)R5110.1• CONTRACTUAL EXP. )R5110 . 4.120, 500.00 130,000.00 TOTAL )R5110.0242.500.00 260.000.00 IMPROVEMENTS PERSONAL SERVICES)R5112.1 5,000.00 CONTRACTUAL EXP. )R5112.4 30,000.00 TOTAL )R5112.0 35,000.00 EMPLOYEE -BENEFITS STATE RETIREMENT )R9010.8 SOCIAL SECURITY DR9030.E WORKMENS COMP. DR9040.E LIFE INSURANCE DR9045.f UNEMPLOYMENT INS.DR9050.E DISABILITY INS. DR9055.E HOSPITAL AND MEDICAL INS. )R9060.8 TOTAL EMPLOYEE BENEFITS )R91.99.0 INTERFUND TRANSFERS TRANSFER TO HIGHWAY FUND IDR9540.E 5,500.00 30,500.00 36,000.00 UNDISTRIBUTED 22 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975 197.5 1975. 139,000.00 162,500.00 301.500.00 5,885.00 38,125.00 44,010.00 143,000.00 162,500.00 305.500.00 6,050.00 38,125.00 44,175.00 143,000.00 162,500.00 305,500.00 6,050.00 38,125.00 44,175.00 ACCOUNTS HIGHWAY FUND APPROPRIATIONS (CONTD.) REPA_I RS AND IMPROVEMENTS (ITEM 1) BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE. 1973 1974 1975 1975 197 5 DEBT SERVICE PRINCIPAL SERIALBONDS )R9710.6 STATUTORY BONDS )R9720.6 BOND ANTICIPATION NOTES )R9730.6 CAPITAL NOTES )R9740.6 BUDGET NOTES )R9750.6 TAX ANTICIPATION NOTES )R9760.6 REVENUE ANTICI- PATION NOTES )R9770.6 TOTAL PRINCIPAL )R9899.6 DEBT SERVICE INTEREST SERIAL BONDS )R9710.7 STATUTORY BONDS )R9720.7 BOND ANTICIPATION NOTES )R9730.7 CAPITAL NOTES )R9740.7 BUDGET NOTES )R9750.7 TAX ANTICIPATION NOTES )R9760.7 REVENUE ANTICI- PATION NOTES )R9770.7 TOTAL INTEREST )R9899.7 TOTAL APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) UNDISTRIBUTED )R9900 .0 277,500.00 296,000.00 345,510.00 349,675.00 349,675.00 23 ACCOUNTS CODE HIGHWAY FUND APPROPRIATIONS BRIDGES (ITEM 2) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1973 1974 BRIDGES MAINTENANCE OF BRIDGES PERSONAL SERVICES)B5120.1 1,000.00 1,000.00 CONTRACTUAL EXP. )B5120.4 3,000.00 3,000.00 TOTAL )B5120.0 4,000.00 4,000.00 CONSTRUCTION OF NEW BRIDGES CAPITAL OUTLAY )B5122.3 EMPLOYEE BENEFITS STATE RETIREMENT )B9010.8 SOCIAL SECURITY )B9030.8 WORKMENS COMP. )B9040.8 LIFE INSURANCE )B9045. UNEMPLOYMENT I NS .) 690 50 . DISABILITY INS. )B9055.8 HOSPITAL AND MEDICAL INS. )69060.8 TOTAL EMPLOYEE BENEFITS )B9199.0 INTERFUND TRANSFERS TRANSFER TO HIGHWAY FUND 1)69540.9! UNDISTRIBUTED 24 BUDGET OFFICERS TENTATIVE BUDGET 19 75 PRE- LIMINARY BUDGET 1975 ADOPTED 1975 1,000.00 1,000.00 1,000.00 3,000.00 3,000.001 3,000.00 4,000.00 4,000.00! 4,000.00 HIGHWAY FUND APPROPRIATIONS (CONTD.) BRIDGES (ITEM 2) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197a 1974 ACCOUNTS CODE DEBT SERVICE PRINCIPAL - SERIAL. BONDS )09710.6,_ STATUTORY BONDS )13972.0.6_ BOND ANTICIPATION _ NOTES )B9730.6 CAPITAL NOTES )B9740.6 BUDGET NOTES )139750.6 TAX ANTICIPATION NOTES )B9760.6 REVENUE ANTICI- PATION NOTES )B9770.6 TOTAL PRINCIPAL )B9899.6 DEBT SERVICE INTEREST 1 SERIAL BONDS )B9710.7 STATUTORY BONDS )B9720.7 BOND ANTICIPATION NOTES )B9730.7 CAPITAL NOTES )B9740.7 BUDGET NOTES )B9750.7 TAX ANTICIPATION NOTES )89760.7 REVENUE ANTICI- PATION NOTES )B9770.7 TOTAL INTEREST )B9899.7 TOTAL APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) ?89900.0 4,000.00 4,000.00 25 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1972, 1975 1975 4,000.00 4,000.00 4,000.00 ACCOUNTS MACHINERY PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL HIGHWAY FUND APPROPRIATIONS MACHINERY (ITEM 3) BUDGET ACTUAL TH I S YEAR LAST AS YEAR AMENDED CODE 1973 1974 DM5130.] 2,500.00 DM 513 0. 15,000.00 DM5130. 20,000.00 a DM5130.0 37,500.001 GARAGE (RENTAL) CONTRACTUAL EXP. DM5132.4 EMPLOYEE BENEFITS STATE RETIREMENT DM9010.1 SOC IAL SECLI RITY DM90 30.8; WORKMENS COMP . DM90 40 .8) LIFE INSURANCE DM9045.f UNEMPLOYMENT INS. DM9050.8 DISABILITY INS. DM9055.8 •IOSPITAL AND MEDICAL INS . DM90 60 .E TOTAL EMPLOYEE BENEFITS DM9199.( INTERFUND TRANSFERS TRANSFER TO HIGHWAY FUND IDM95LfO.c. 2,750.00 12,000.001 20,000.001 34,750.00 UNDISTRIBUTED 26 BUDGET OFFICERS PRE— TENTATIVE LIMINARY BUDGET BUDGET 1975 1975 2,942.00 3,025.00 15,000.001 15.000.00 25,000.00 25.00Q,p0 42.942.00 41 Q25.00 ADOPTED 1975 3,025.00 15,000.00 25.000.00 43.025.00 ACCOUNTS (CONTD.) HIGHWAY FUND APPROPRIATIONS MACHINERY (ITEM 3) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 1973 1974 UNDISTRIBUTED DEBT SERVICE PRINCIPAL , ' SERlALf3ONDS0Mg7lO.Y.1v692"4O STATUTORY BONDS DM9720..E BOND ANTICIPATION NOTES DM9730. CAPITAL NOTES- DM9740. BUDGET NOTES DM975O� TAX ANTICIPATION ' NOTES OM9760. REVENUE ANTICI- PATION NOTES DM9770. 7,900.00 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1,000.00 1975 1975 1975 2,693.40 12,693.40 12,693.40 100.00 8,000.00 8,000.00 8,000.00 TOTAL PRINCIPAL DM9899.n593.40 19vI00.00 20.693.40 20.693.40 20x693.40 DEBT SERVICE INTEREST SERIAL BONDS DM9710.232.84 2m475.00 2,119~7I 2,119.71 2,119.71 STATUTORY BONDS DM9720.7 BOND ANTICIPATION NOTES DM9730.7 721.68 76I.00 507.40 507.40 507.40 CAPITAL NOTES DM9740,7 BUDGET NOTES DM9750.7 TAX ANTICIPATION NOTES DM9760,7 REVENUE ANTICI- PATION NOTES DM9770.7 TOTAL INTEREST 0M9899.; 954.52 3,238.00 2.627.II 2.627.11 2.827'I1_ TOTAL APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 0M9900.948,047.92 57v086.00 27 66'262.51 66,345.51 66,345.51 ACCOUNTS HIGHWAY FUND APPROPRIATIONS SNOW AND MISCELLANEOUS (ITEM 4) BUDGET BUDGET ACTUAL THIS YEAR OFFICERS LAST AS TENTATIVE YEAR AMENDED BUDGET CODE 197 3 1974 197 5 MISCELLANEQUS (BR SH AND WEEDS) PERSONAL SERVICES DS5140J1 7,500.00 CONTRACTUAL EXP. DS5140.4 2,500.00 TOTAL Os5140.0 10,000.00 SNOW REMOVAL (TOWN HIGHWAYS) PERSONAL SERVICES DS5142.] CONTRACTUAL EXP. DS5I42.4 TOTAL DS5142. SERVICES FOR OTHER GOVERNMENTS PERSONAL SERVICES DS5148.3 CONTRACTUAL EXP. DS5148.4 TOTAL OS5148.0 EMPLOYEE BENEFITS 3TATE RETIREMENT 30CiAL SECURITY WORKMENS COMP. LIFE INSURANCE UNEMPLOYMENT INS. DISABILITY INS. 10SPITAL AND MEDICAL INS. TOTAL EMPLOYEE BENEFITS DS9010.E DS9050.& .6 DS9045.E DS9050.E DS9055.8 DS9B60.8 OS9199.4 INTERFUND TRANSFERS TRANSFER TO HIGHWAY FUND DS95404 13,500.00 23,000.00 36,500.00 PRE- LIMINARY BUDGET 1975 7,500.00 8,025.00 8,250.00 3,500.00 4,375.00 4,375.00 11,000.00 12,400.00 12,625.00 15,000.00 26,000.00 41,000.00 UNDISTRIBUTED 28 16,050.00 16,500.00 32,500.00 32,500.00 48,550.00 49,000.00 ADOPTED 1975 8,250.00 4,375.00 12,625.00 16,500.00 32,500.00 49,000.00 ACCOUNTS HIGHWAY FUND APPROPRIATIONS (CONTD,) SNOW AND MISCELLANEOUS (ITEM 4) BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 1973 1974 1975 1975 1975 DEBT SERVICE PRINCIPAL SERIAL BONDS 359710.6 STATUTORY BONDS 759720.6 BOND ANTICIPATION NOTES 359730 .6. CAPITAL NOTES 359740.6 BUDGET NOTES 359750.6 TAX ANTICIPATION NOTES 359760.6 REVENUE ANTICI- PATION NOTES 3S9770.6 TOTAL PRINCIPAL 359899.6 lio,DEBT SERVICE INTEREST SERIAL BONDS DS9710.7 STATUTORY BONDS DS9720.7 BOND ANTICIPATION NOTES DS 9 7 30 .7 CAPITAL NOTES DS9740.7 BUDGET NOTES DS9750.7 TAX ANTICIPATION NOTES DS9760.7 REVENUE ANTICI- PATION NOTES 3S9770.7 TOTAL INTEREST 359899.7 TOTAL APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) UNDISTRIBUTED 3S9900.0 46,500.00 52,000.00 60,950.00 61,625.00 61,625.00 29 HIGHWAY FUND APPROPRIATIONS IMPROVEMENT PROGRAM ACCOUNTS CODE MPROVEMENT PROGRAM (PROJECT NO. ) PERSONAL SERVICES DE5150.1 CONTRACTUAL EXP. DE5150.4 PRINCIPAL ON NOTES DE5150.6 INTEREST ON NOTES DE5150./ EMPLOYEE BENEFITS DE5150.8 TRANSFER TO HIGHWAY FUND DE5150.9 TOTAL PROJECT NO. MPROVEMENT 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. MPROVEMENT 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) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1973 1974 30 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975 1975 1975 HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE REPAIRS AND IMPROVEMENTS (ITEM 1) BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 1973 197 4 197 5 1975 1975 ACCOUNTS LOCAL SOURCES NON -PROPERTY TAX DISTRIBUTION BY COUNTY INTEREST AND EARNINGS TRANSFER FROM GENERAL FUND - TOWN OUTSIDE VILLAGE TRANSFER FROM HIGHWAY FUND MISCELLANEOUS (SPECIFY) STATE AID MILEAGE AND VALUATION AID TOTAL ESTIMATED REVENUES(TRANSFER TOTAL "ADOPTED" TO PAGE 1) TOTAL ESTIMATED UNEXPENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) DR1120 DR240 1 DR2812 DR2840 DR DR3507 5,171.25 5,171.25 5,207.25 5,207.25 5,207.25 5,171.25 5,171.25 5,207.25 5,207.25 5,207.25 6,000.00 8,400.00 16,000.00 31 16,000.00 16,000.00 HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE ACCOUNTS 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) BRIDGES (ITEM 2) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 197,2 197.`1. DB1120 DB2401 DB2810 DB2840 DB .00 .00 .00 .00 32 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975 1975 1975 .00 .00 .00 .00 .00 .00 HIGHWAY FUNDS — ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE MACHINERY (ITEM 3) ACCOUNTS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE— LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 1973 1974 1975 1975 1975 LOCAL SOURCES NON—PROPERTY TAX DISTRIBUTION BY COUNTY DM1120 INTEREST AND EARNINGS DM2401 RENTAL OF EQUIP— MENT, OTHER GOVERNMENTS DM2416 TRANSFER FROM GENERAL FUND DM2810 TRANSFER FROM GENERAL FUND — TOWN OUTSIDE VILLAGE DM2812 dtp," TRANSFER FROM HIGHWAY FUND DM2840 MISCELLANEOUS (SPECIFY) DM STATE AID TOTAL ESTIMATED REVENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) .00 .00 .00 TOTAL ESTIMATED UNEXPENDED BALANCE (TRANSFEF TOTAL "ADOPTED" TO PAGE 1) .00 .00 10,000.00 3,000.00 7,000.00 7,000.00 33 7,000.00 HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE SNOW AND MISCELLANEOUS (ITEM 4) ACCOUNTS CODE LOCAL SOURCES NON -PROPERTY TAX DISTRIBUTION BY COUNTY DS1120 SERVICES FOR OTHER GOVTS. DS2300 INTEREST AND EARNINGS DS2401 TRANSFER FROM GENERAL FUND DS2810 TRANSFER FROM GENERAL FUND TOWN OUTSIDE VILLAGE DS2812 TRANSFER FROM HIGHWAY FUND DS2840 MISCELLANEOUS (SPECIFY) DS STATE AID TOTAL ESTIMATED REVENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) TOTAL ESTIMATED UNEXPENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1973 1974 100.00 500.00 100.00 500.00 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 197 1975 197 5 600.00 600.00 .00 7,500.00 15,000.00 34 600.00 600.00 600.00 600.00 15,000.00 15,000.00 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 CODE 197_ 197_ 197_ 197_ 197_ ACCOUNTS LOCAL SOURCES NON -PROPERTY TAX DISTRIBUTION BY COUNTY DE1I20 INTEREST AND EARNINGS DE2401 TRANSFER FROM GENERAL FUND TOWN OUTSIDE VILLAGE DE2812 TRANSFER FROM HIGHWAY FUND DE2840 MISCELLANEOUS {SPECIFY} D STATE AID HIGHWAY IMPROVE- MENT PROGRAM DE3521 . TOTAL ESTIMATED REVENUES HIGHWAY IMPROVE- MENT PR0GRAM (TRANSFER TOTAL "ADOPTED" TO PAGE 1) TOTAL ESTlMATEC UNEXPENDED BALANCE -HIGHWAY IMPROVEMENT PROGRAM CTRANMFEB TOTAL "ADOPTED" TO PAGE 1) 35 FEDERAL REVENUE SHARING FUND APPROPRIATIONS ACCOUNTS CODE ENVIRONMENTAL PROTECCION PERSONAL SERVICES CF EQUIPMENT CF CONTRACTUAL EXP. C.F TOTAL CF RECREATION PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL PUBLIC SAFETY PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL CF CF CF CF CF CF CF CF . 1 . 2 .4 . 0 BUDGET ACTUAL TH I S YEAR LAST AS YEAR AMENDED 1973 1974 10,000.00 10,000.00 . 1 . 2 5.000.00 .4 17,955.00 20.000.00 .0 17,955.00 25,000.00 . 1 .2 .4 . 0 PERSONAL SERVICES CF .1 EQUIPMENT CF .2 CONTRACTUAL EXP. CF .4 TOTAL CF .0 LIBRARY CF GENERAL GOVERNMENT CF SOC. SERV.FOR AGED CF 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 5,000.00 5.000.00 5,000.00 59,883.00 5,000.00 4,000.00 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1975 1975 10,000.00 10.000.00 5.000.00 20,00Q.00 25,000.00 10.000.00 10,000.00 5,000.00 20,000.00 25.000.00 ADOPTED 1975 10.000.00 10.000.00 5,000.00 20,000.00 25,000.00 5,000.00 5,000.00 5.000,00 5.000.00 5.000.00 5.000.00 5,000.00 5,000.00 5,000.00 108,900.00 108,900.00 108,900.00 5,000.00 5,000.00 5,000.00 4,000.00 4,000.00 4,000.00 17,955.00 113,883.00 162,900.00 162,900.00 162,900.00 .. REVENUES AND CF240 1 9,469.76 CF4001 126,015.00 135,484.76 TRANSFER TO PAGE 1 164,494.76 ESTIMATED 4,000.00 82,413.00 86,413.00 UNEXPENDED BALANCE 3,008.00 3,008.00 3,008.00 109,892.00 109,892.00 109,892.00 112,900.00 112,900.00 112,900.00 ;; 27,470.00 50,000.00 50,000.00 50,000.00 ,c 36 ACCOUNTS CODE LIBRARY OPERATIONS PERSONAL SERVICES L7410.1 EQUIPMENT L7410.2 CONTRACTUAL EXP. L7410.4 TOTAL L74LG.0 EMPLOYEE BENEFITS STATE RETIREMENT SOCIAL SECURITY COMPENSATION INS. LIFE INSURANCE UNEMPLOYMENT INS. DISABILITY INS. 1OSPITAL 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_ 3.97 ESTIMATED REVENUES AND 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 ;''TRANSFER TO PAGE 1 ESTIMATED 37 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 197 197 197_ UNEXPENDED BALANCE ACCOUNTS CAMELI BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 197 3 197 4 LIGHTING DISTRICT STREET LIGHTING SL -1 - CONTRACTUAL EXP. 5182.4 TOTAL INT. ON C/D TOTAL ESTIMATED LIGHTIN( DISTRICT UNEXPENDED BALANCE LIGHTING DISTRICT STREET LIGHTING SL -2 - CONTRACTUAL EXP. 5182.4 TOTAL TOTAL ESTIMATED LIGHTING DISTRICT UNEXPENDED BALANCE APPR)PRIATIONS LIGHTING DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975 1975 1975 246.50 271.60 246.50 271.60 ESTIMATED REVENUES 2.10 .00 2.10 .00 UNEXPENDED BALANCE APPROPRIATIONS ESTIMATED REVENUES UNEXPENDED BALANCE ':TRANSFER TOTAL "ADOPTED TO PAGE 1 38 280.00 280.00 280.00 280.00 280.00 280.00 g .00 .00 .00 _.00 LIGHTING DISTRICT .00 .00 g .4111.••• tot ACCOUNTS HUGHSONVILIE BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 1973 1974 LIGHTING DISTRICT STREET LIGHTING SL -1 - CONTRACTUAL EXP, 5182.4 TOTAL INT. ON C/D TOTAL ESTIMATED LIGHTHW DISTRICT UNEXPENDED BALANCE LIGHTING DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975 1975_ 1975 APPROPRIATIONS 5,001.00 8,070.40 8,430.00 5.001.00 8.070.40 8.430.00 CHELSEA LIGHTING DISTRICT STREET LIGHTING SL -2 - CONTRACTUAL EXP. 5182.4 TOTAL INT. ON C/D TOTAL ESTIMATED LIGHTING DISTRICT UNEXPENDED BALANCE ESTIMATED REVENU 54.00 54.00 .00 .00 UNEXPENDED BALANCE. APPR)PRIATIONS .00 .00 8,430.00 LIGHTING DISTRICT 8,430.00 8.430.00 :1 .00 .00 3,334.00 3,359.00 3,462.00 3,462.00 3,462.00 3.334.00 j 3,359.00 I 3,462.00 3,462.00 3,462.00 c ESTIMATED REVENUES 7.00 .00 7.00 .00 UNEXPENDED BALANCE ITRANSFER TOTAL "ADOPTED TO PAGE 1 38 .00 I .00 .00 .00 I .00 ACCOUNTS WATER DISTRICT APPROPRIATIONS CENTRAL WAPPINGER WATER DISTRICT BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 197a 197g. ADMINISTRATION PERSONAL SERvICES5W8310.1 EQUIPMENT 5W8310.2 CONTRACTUAL EXP. 5W8310.4 TOTAL 3W8310.0 SOURCE OF SUPPLY, POWER AND PUMPING PERSONAL SERVICESsW8320.1 EQUIPMENT 3W8320.7 CONTRACTUAL EXP. 5148320.4 77n,17c_nw TOTAL 3W8320.024 PURIFICATION PERSONAL SERVICES3W8330.1 EQUIPMENT 3W8330.2 CONTRACTUAL EXP. 3W8330.4 TOTAL 3W8330.0 TRANSMISSION AND DISTRIBUTION PERSONAL sERVICEs3W8340.1 EQUIPMENT 3W8340.2 CONTRACTUAL EXP. 3W8340.4 TOTAL 3448340.0 EMPLOYEE BENEFITS STATE RETIREMENT ;W9010.8 SOCIAL SECURITY SW9030.8 COMPENSATION INs.SW9040.8 LIFE INSURANCE 949045.8 UNEMPLOYMENT INS.SW9050.8 DISABILITY INS. SW9055.8 HOSPITAL AND MEDICAL INS.. 949060.8 TOTAL 3W9199.0 UNDISTRIBUTED 39-A BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 19TS 197.5 500.00 100,00 40040 1.100.00 18,000.00 9,0nn_on 8,onn_on 26,000.00 3,000.00 3.000.00 1,800.00 1.100.00 100.00 1,400.00 4.400.00 500.00 100.00 500.00 1.100.00 18,000.00 2.000.00 6.000.00 26.000.00 3.000.00 3.00040 1,800.00 1,100.00 100.00 ADOPTED 1975 500.00 100.00 500.00 1.100.00 1R.nno.no 9,nnn_nn 6.000.00 26,000.00 3.000.00 3.000.00 1,800.00 1,100.00 100.00 1,400.00 1,400.00 WATER DISTRICT APPROPRIATIONS (CONTD,) ACCOUNTS CODE DEBT SERVICE PRINCIPAL SERIAL BONDS 3W9710.E STATUTORY BONDS 3W9720.E BOND ANTICIPATION NOTES 5W9730.E CAPITAL NOTES 5W9740.E ;W9750 . E, BUDGET NOTES REVENUE ANTICI- PATION NOTES TOTAL PRINCIPAL ;W9770.6 ;W9899.E DEBT SERVICE INTEREST SERIAL BONDS ;w9710.7 tOSTATUTORY BONDS ;W9720.7 'BOND ANTICIPATION NOTES SW 97 30 .7 CAPITAL NOTES = 949740.7 BUDGET NOTES 949750.7 REVENUE ANTICI- PATION NOTES 949770.7 TOTAL INTEREST SW9899.7 TOTAL WATER DISTRICT APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) CENTRAL WAPPIN,t BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197,3 197h UNDISTRIBUTED WATER DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975 1975. 1975, 11,000.00 11,000.00 11,000.00 35,500.00 35,500.00 11,000.00 46.500.00 46.500.00 22,881.00 22,881.00 22,881.00 14,940.00 36,600.00 14,940.00 59,481.00 75,300.00 75,300.00 98.181.00 98.181.00 SW9900.0 270,375.0) 14,940.00 104,981.00 179,181.00 179,181.00 40 -A ACCOUNTS CODE WATER DISTRICT ESTIMATED REVENUES METERED SALES SW2140 UNMETERED SALES SW2142 WATER CONNECTION CHARGES SW2144 INTEREST AND PENALTIES ON WATER RENTS SW2148 INTEREST AND EARNINGS ON DEPOSITS AND INVESTMENTS SALES OF SCRAP AND EXCESS MATERIALS MINOR SALES, OTHER INSURANCE RECOV- ERIES OTHER COMPEN- SATION FOR LOSS OTHER (SPECIFY) BAN TOTAL WATER DISTRICT - ESTIMATED REV- ENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) ESTIMATED WATER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) SW2401 SW2650 SW2655 SW2680 SW2690 SW CENTRAL WAPPINGER BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED. 1971 1974 8,252.00 14,940.00 300,000.0C WATER DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 197_5 194. 34,500.00 34,500.00 1,000.00 1,000.00 308,252.00 14,940.00 35,500.00 35,500.00 UNEXPENDEL BALANCE .00 .00 41-A .00 .00 ADOPTED 1975 34,500.00 1', 0001. bb 35,500.00 .00 WATER DISTRICT APPROPRIATIONS ACCOUNTS CODE ADMINISTRATION PERSONAL SERVICES3W8310.1 EQUIPMENT 5W8310.2' CONTRACTUAL EXP. SW8310.4 TOTAL 3W8310.0 SOURCE OF SUPPLY, POWER AND PUMPING PERSONAL SERVICES:5W8320.1 EQUIPMENT j3W8320.2 CONTRACTUAL EXP. 31W8320.4 TOTAL 3148320..0 PURIFICATION PERSONAL SERVICES:iW8330.1 EQUIPMENT HiW8330.2 CONTRACTUAL EXP. :iW8330.4 24a nn 600.00 TOTAL 3W8330 .0 94c1 _ on 600.00 TRANSMISSION AND DISTRIBUTION • 7PERSONAL SERVICESW8340 . 1 • EQUIPMENT iW8340.2 CONTRACTUAL EXP. ;W8340.4 TOTAL :A48340.0 FT.TWOOD MANOR BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197.3 197g. 270.00 650.00 135.00 300.00 405.00 950.,0 890.00 2,900.00 3,628.00 1,800.00 4,518 00 4,700_(( EMPLOYEE BENEFITS STATE RETIREMENT ;W9010.8 SOCIAL SECURITY SW9030.8 COMPENSATION INS. SW90 40 . 8 LIFE INSURANCE S19045.8 UNEMPLOYMENT INS. 5W90 50 .8 DISABILITY INS. SW9055.8 HOSPITAL AND MEDICAL INS. 59060.8 TOTAL 3W9199.0 WATER DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 197.5 197 1971 300.00 300.00 .00 150.00 150.00 45(_00 450.00 4,000.00 3,500.00 7,500.00 UNDISTRIBUTED 120.00 100.00 30.00 250.00. 39 -B 300.00 .00 150.00 450.00 4,000.00 4,000.00 .00 .00 3.50Q,,00 3,500.00 7,500.00 7,500.00 1,000.00 1,000.00 1,000.00 1,00n_0n 1,000.00 1.000.00 150.00 150.00 100.00 100.00 200.00 150.00 100.00 200.00 200.00 450.00 450.00 450.00 WATER DISTRICT APPROPRIATIONS (CONTD.) FLEETWOOD MANOR WATER DISTRICT ACCOUNTS CODE DEBT SERVICE PRINCIPAL SERIAL BONDS 3W9710.E STATUTORY BONDS ;W9720.E BOND ANTICIPATION NOTES 5W9730.& CAPITAL NOTES 3W9740.E BUDGET NOTES 3149750.6 REVENUE ANTICI- PATION NOTES ;W9770.9 TOTAL PRINCIPAL NW9899.€ DEBT SERVICE INTEREST SERIAL BONDS ;W9710.7 STATUTORY BONDS ;W9720.7 GOND ANTICIPATION NOTES SW 97 30 .7 CAPITAL NOTES SW9740.7 BUDGET NOTES SW9750.7 REVENUE ANTICI- PATION NOTES SW9770.7 TOTAL INTEREST SW9899.7 TOTAL WATER DISTRICT APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1973 1974 UNDISTRIBUTED 1,800.00 1,800.00 1,800.00 1,800.00 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975 1975 1975 2,000.00 2,000.00 2,000.00 2.000,00 2,000.00 2,000.00 3,165.00 3,075.00 2,980.00 2,980.00 2,980.00 3,165.00 3,075.00 2,980.00 2,980.00 2,980.00 SW9900.0 10,137.00 11,375.00 14,380.00 14,380.00 14,380.00 40-B WATER DISTRICT ESTIMAATED REVENUES PTFP.TTRIOT) MATT(11? WATER DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED,. BUDGET BUDGET ADOPTED ACCOUNTS CODE 1973 197,. 197a 1975, 197 METERED SALES SW2140 4,537.00 6,200.00 9,400.00 9,400.00 9,400.00 UNMETERED SALES SW2142 WATER CONNECTION CHARGES S W2144 INTEREST AND PENALTIES ON WATER RENTS SW2148 INTEREST AND EARNINGS ON DEPOSITS AND INVESTMENTS SW2401 SALES OF SCRAP AND EXCESS MATERIALS SW2650 MINOR SALES, OTHER SW2655 ItINSURANCE RECOV- 4 ERIES SW2680 'OTHER COMPEN- SATION FOR LOSS SW2690 OTHER (SPECIFY) SW TOTAL WATER DISTRICT - ESTIMATED REV- ENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) ESTIMATED WATER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 4,537.00 6,200.00 9,400.00 9,400.00 9,400.00 UNEXPENDED BALANCE .00 .00 .00 .00 .00 41-8 WATER DISTRICT APPROPRIATIONS ACCOUNTS CODE ADMINISTRATION PERSONAL SERVICESSW8310.1 EQUIPMENT 5W8310.2 CONTRACTUAL EXP. 5W8310.4 TOTAL 5W8310.0 SOURCE OF SUPPLY, POWER AND PUMPING PERSONAL SERVICESSW8320.1 EQUIPMENT 3W8320.2 CONTRACTUAL EXP. SW8320.4 TOTAL -5W8320.0 PURIFICATION PERSONAL SERVICES5W8330.1 OAKWOOD KNOLLS BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197,3 197A WATER DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 19 1971 197 5 55.00 300.00 200.00 200.00 40.00 200.00 100.00 95.00 500.00 300.00 1,795.00 1,795.00 862,001 250.00 2,500.00 2.750.00 1,400.00 EQUIPMENT 3W8330.2 1 CONTRACTUAL EXP. 3148330.4 203.001 400.00 TOTAL 3W8330 .0_„1_,065.00 1 1,800.00 TRANSMISSION AND 0 DISTRIBUTION PERSONAL SERVICES3W8340.1 EQUIPMENT iW8340.2 CONTRACTUAL EXP. 3W8340.4 TOTAL 3148340.0 EMPLOYEE BENEFITS STATE RETIREMENT ;W9010.8 SOCIAL SECURITY SW9030.8 COMPENSATION INS.SW9040.8 LIFE INSURANCE 549045.8 UNEMPLOYMENT INS. SW90 50 .8 DISABILITY INS. SW9055.8 HOSPITAL AND MEDICAL INS. 549060.8 TOTAL SW9199.0 300.00 2,700.00 3,000.00 12,000.00 400.00 2,400.00 250_00 _ 882.00 1 682.00 2'0.0n 882 nn 682_00 UNDISTRIBUTED 140.00 100.00 40.00 2$Q 0n 3 9-c 140.00 100.00 40.00 280.00 100.00 300.00 200.00 100.00 300.00 300.00 300.00 2.700.00 2.700.00 3.000.00 3.000.00 2,000.00 2,000.00 400.00 400.00 2,400.00 2,400.00 682,00 682.00 140.00 100.00 682.00 682.00 140.00 100.00 40.00 40.00 2R0 nn 280.00 WATER DISTRICT APPROPRIATIONS (CONTD.) ACCOUNTS CODE DEBT SERVICE PRINCIPAL - SERIAL BONDS SW9710.E STATUTORY BONDS 3W9720.E BOND ANTICIPATION NOTES SW9730.6 CAPITAL NOTES SW9740. BUDGET NOTES 3W9750. REVENUE ANTICI- PATION NOTES 3W9770. TOTAL PRINCIPAL 3W9899. DEBT SERVICE INTEREST SERIAL BONDS 3W9710.7 STATUTORY BDNDS 3%9720.7 BOND ANTICIPATION NOTES SW 97 30 .7 CAPITAL NOTES SW9740.7 BUDGET NOTES SW9750 -7 REVENUE ANTICI- PATION NOTES SW9770.7 TOTAL INTEREST SW9899.7 TOTAL MATER DISTR-ICT APPRO-- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) OAKWOOD KNOLls ACTUAL LAST YEAR 197.a BUDGET THIS YEAR AS AMENDED 1974. UNDISTRIBUTED 974- UNDISTRIBUTED 800.00 2,000.00 38,400.00 WATER DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975 197& 1975 1,200.00 1,200.00 1 . 000.00 ,,.,p�, 1nn 1.000.00 39,200.001 3,000.00 2.200.00 12,200.00 1,380.00 448.001 1,828.00 3,180.40 56.00 3,236.40 1,200.00 1,000.00 2,200.00 1,740.00 1,740.00 1,740.00 1 80.00 I 80.00 1,820.00 1 1.820.00 1 80.00 1,820.00 SW9900.0 44,233.00 12,448.40 10,682.00 10,682.00 10,682.00 40-C WATER DISTRICT ESTIMATED REVENUES ACCOUNTS CODE METERED SALES SW2140 UNMETERED SALES SW2142 WATER CONNECTION CHARGES. . SW21 44 INTEREST AND PENALTIES ON WATER RENTS SW2148 INTEREST AND EARNINGS ON DEPOSITS AND -T INVESTMENTS SW2401 SALES OF SCRAP AND EXCESS MATERIALS MINOR SALES, OTHER INSURANCE RECOV- ERIES NW OTHER COMPEN- SATION FOR- LOSS OTHER (SPECIFY) TOTAL WATER DISTRICT - ESTIMATED REV- ENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) ESTIMATED WATER DrsTkIcr UNEi PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAG 1) SW2650 SW2655 SW2680 SW2690 S W OAKWOOD KNOLLS BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197.2 197, 2,938.00 2,938.00 7,268.00 WATER DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 197_5 1975. 197_5 7,742.00 7,742.00 7,742.00 7,268.00 7,742.00 7,742.00 7,742.00 UNEXPENDEL BALANCE .00 , .00 41-C .00 .00 .00 . ACCOUNTS HUGHSONVILLE FIRE PROTECTION DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 197.4 1974 1975 1975 1975 APPROPRIATIONS FIRE PROTECTION DISTRICT PAYMENTS ON FIRE CONTRACTS SF -1 - CONTRACTUAL EXP. 3410.4 49,698.54 52,246.66 55,434.24 55,434.24 55,434.24 TOTAL RENTALS TOTAL ESTIMATED FIRE PROTECTION DIST. UNEXPENDED BALANCE FIRE PROTECTION DISTRICT PAYMENTS ON FIRE CONTRACTS SF -2 - CONTRACTUAL EXP. 3410.4 49,698 54 59,746_66 5511:14.94 55,434.24 55,434.24 ESTIMATED REVENUES 100.00 100.00 100.00 100.00 100.00 100.00 UNEXPENDED BALANCE 100.00 100.00 g .00 .00 .00 CHULEMA FIRE PROTECTION DISTRICT APPROPRIATIONS 30,700.55 30,600.00 35,222.00 35,222.00 35,222.00 TOTAL 30,700.55 30.600.00 35,222.00 35,222.00 35,222.00 g ESTIMATED REVENUES Rentals cnonl 50.00 50.00 50.00 TOTAL 50.00 50.00 50.00 50.00 g UNEXPENDED BALANCE ESTIMATED FIRE PROTECTION DIST. UNEXPENDED BALANCE r4TRANSFER TOTAL "ADOPTED" TO PAGE 1 42 .00 .00 .00 NFWLHACKENcnrW ACCOUNTS CODE FIRE PROTECTION DISTRICT PAYMENTS ON FIRE CONTRACTS SF -1 - CONTRACTUAL EXP. 3410.4 TOTAL INT. ON DEPOSITS & RENTALS TOTAL STIMATED FIRE PROTECTION DIST. UNEXPENDED BALANCE FIRE PROTECTION DISTRICT PAYMENTS ON FIRE CONTRACTS SF -2 - CONTRACTUAL EXP. 3410.4 TOTAL TOTAL ESTIMATED FIRE PROTECTION DIST. UNEXPENDED BALANCE BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197.3 1974 APPROPRIATIONS 99,877.10 113,412_n0 99,877.10 113,412.nn FIRE PROTECTION DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1971 1975. 19Z ESTIMATED REVENUES 120,326.0('120,326.00 120,326.00 19n 19A nr 120.326.00 120,326.00 ;, U NEXPE4DED BALANCE APPROPRIATIONS ESTIMATED REVENUES UNEXPENDED BALANCE :TRANSFER TOTAL "ADOPTED" TO PAGE 1 42-A 1,389.60 1,389.60 1,389.60 1.389.60 1,389.60 1,389.60 ;: 1,000.00 1,000.00 1,000.00 ;. FIRE PROTECTION DISTRICT ACCOUNTS WATER DISTRICT ESTIMATED REVENUES WATER DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 197_ 197_ 197_ 197_ 197_ METERED SALES SW2140 UNMETERED SALES SW2142 WATER CONNECTION CHARGES -SW2144 INTEREST AND PENALTIES ON WATER RENTS SW2148 INTEREST AND EARNINGS ON DEPOSITS AND INVESTMENTS SW2401 SALES OF SCRAP AND EXCESS MATERIALS SW2650 MINOR SALES, OTHER SW2655 INSURANCE RECOV- ERIES SW2680 OTHER COMPEN- SATION -F0 LOSS- SW2690 OTHER (SPECIFY) SW____ TOTAL WATER DISTRICT - ESTIMATED REV- ENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) ESTIMATED WATER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) UNEXPENDEL BALANCE 41 ACCOUNTS SEWED: DISTRICT APPROPRIATIONS WAPPINGER SEWER IMPROVEMENT #1 BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 1973 1971 SPECIAL ITEMS TAXES ON SEWER DISTRICT PRCPERTI CONTRACTUAL EXP. SS1950.4 ADMINISTRATION PERSONAL SERVICES SS8110..1 EQUIPMENT 5S8110.2 CONTRACTUAL EXP. SS 8110 .4 2.636.28 TOTAL SS 81 10 .0 2,636.28 SEWAGE COLLECTING SYSTEM PERSONAL SERVICES 5S 8120 .1 EQUIPMENT SS8120.2 CONTRACTUAL EXP. SS 8120 .4 346,016.97 TOTAL 55 8120.0 346.016.97 SEWAGE TREATMENT AND DISPOSAL PERSONAL SERVICES 3S 8130 .1 EQUIPMENT 5S8130.2 CONTRACTUAL EXP. 5S8130.4 TOTAL 5S8130 .0 EMPLOYEE BENEFITS STATE RETIREMENT SS9010.8 SOCIAL SECURITY 359030.8 COMPENSATION INS . 35 90 40 .8 LIFE INSURANCE 359045.8 UNEMPLOYMENT INS , 3S 90 50 .8 DISABILITY INS. 5S9055 .8 HOSPITAL AND MEDICAL INS. 359060.8 TOTAL 359199.0, SEWER DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1975 1975 500.00 500.00 100.00 100.00 1 500.00 400.00 1 _00 1 1,100.00 1,000.00 UNDISTRIBUTED 43-A 26,000.00 12,000.00 3,000.00 1,000.00 6,000.00 5,000.00 1 35,000.00 118,000.00 1 8,000.00 I 1,000.00 1 3,000.00 1 12,000.00 3,400.00 2,000.00 200.00 4,000.00 1,000.00 3,000.00 8.000.00 1.60(1 00 1,000.00 100.00 2,500.00 1,200.00 8,100.00 3.900.00 ADOPTED 1975 500.00 100.00 400.00 1.000.00 12,000.00 1,000.00 5,000.00 18.000.00 4,000.00 1,000.00 3,000.00 8,000.00 1,600.00 1.000.00 100.00 1,200.00 3,900.00 SEWER FUND APPROPRIATIONS WAPPINGER SEWER 'IMPROVEMENT #1 ACCOUNTS CODE DEBT SERVICE PRINCIPAL SERIAL BONDS 3S9710.6 STATUTORY BONDS 5S9720.6 BOND ANTICIPATION NOTES 359730.6 CAPITAL NOTES 359740.6 BUDGET NOTES 359750.6 REVENUE ANTICI- PATION NOTES 359770.6 TOTAL ;59899.6 DEBT SERVICE INTEREST 'SERIAL BONDS 3S9710.7 STATUTORY WINDS 359720.7 BOND ANTICIPATION NOTES 359730.7 CAPITAL NOTES ;59740.7 BUDGET NOTES 359750.7 REVENUE ANTICI- PATION NOTES 359770.7 TOTAL 359899.7 TOTAL SEWER DIST. APPROPRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1973 197 4 (CONTD,) SEWER DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975 1975 1975 UNDISTRIBUTED - 16,335.00 1,395.0Q 16.335.00 14,000.00 15,800.00 15,800.00 25,000.00 25,000.00 14,000.00 40,800.00 40,800.00 28,594.00 31,222.00 31,222.00 46,700.00 46.700.00 28.594.00 77.922.00 77,922.00 350,048.25 16,335.00 98,794.00 149,622.00 149,622.00 44-A SEWER DISTRICT ESTIMATED REVENUES WAPPINGER SEWER IMPROVEMENT #1 SEWER D T S TR I CT • BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ACCOUNTS CODE 1973 1974 1975 1975 SEWER RENTS SS2120 SEWER CHARGES 552122 INTEREST AND PENALTIES ON SEWER RENTS SS2128 INTEREST AND EARNINGS ON DEPOSITS AND INVESTMENTS SS2401 SALES OF SCRAP AND EXCESS MATERIALS 552650 MINOR SALES, OTHER SS2655 INSURANCE RECOV- ERIES SS2680 OTHER COMPEN- SATION FOR LOSS SS2690 STATE AID FOR OPERATION AND MAINTENANCE OF SEWAGE DISPOSAL PLANT SS3901 OTHER (SPECIFY) B.A.N. SS :350,000.00 ADOPTED 197 56,200.00 30,800.00 30,800.00 3,838.00 16,335.00 1,200.00 1,000.00 TOTAL SEWER DIST. ESTIMATED REVENUESCTRANS FER TOTAL "ADOPTED"' TO PAGE 1) ESTIMATED SEWER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 1,000.00 353,838.00 16,335.00 57,400.00 31,800.00 31,800.00 UNEXPEJDED BALANCE .00 .00 45-A .00 .00 .00 SEWED'. DISTRICT APPROPRIATIONS OAKWOOD KNOLLS ACCOUNTS CODE SPECIAL ITEMS TAXES ON SEWER DISTRICT PROPERTY CONTRACTUAL EXP. 551950.4 ADMINISTRATION PERSONAL SERV ICES SS 8110.1 EQUIPMENT 5S8110.2 CONTRACTUAL EXP. SS8110.4 TOTAL SS 81 10 .0 SEWAGE COLLECTING SYSTEM PERSONAL SERVICES 56 8120. 1 EQUIPMENT 558120.2 CONTRACTUAL EXP. 558120.4 TOTAL 558120.0 SEWAGE TREATMENT AND DISPOSAL PERSONAL SERVICES 358130.1 EQUIPMENT 5S8130.2 CONTRACTUAL EXP. 358130.4 TOTAL 5S8130.0 EMPLOYEE BENEFITS STATE RETIREMENT SS9010.8 SOCIAL SECURITY 359030.8 COMPENSATION INS. 359040.8 LIFE INSURANCE 359045.8 UNEMPLOYMENT INS . 35 90 50 . 8 DISABILITY INS . 5S9055.8 HOSPITAL AND MEDICAL INS. 359060.8 TOTAL 359199.0 BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197 3 197 4 66.00 19.00 85.00 250.00 150.00 400.00 5,211.00 8,400.00 1 6,126.001 4,000.00 11,337.00112,400.00 UNDISTRIBUTED 300.00 300.00 30.00 630.00 43 -B SEWER DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1975 197.5 250.00 250.00 150.00 150.00 400.00 4nn no 8,000.00 1,000.00 1 5,000.00 114,000.00 800.00 480.00 500.00 1,780.00 8,000.00 1 1,000.00 5,000.00 14,000.00 800.00 480.00 ADOPTED 19 7„. 250:00 150.00 400.00 8,000.00 1,000.00 5,000.00 14,000.00 800.00 480.00 500.00 500.00 1,780.0Q_ 1,780.0Q ACCOUNTS SEWER FUND APPROPRIATIONS OAKWOOD KNOLLS BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED CODE 1973 1974 DEBT SERVICE PRINCIPAL SERIAL BONDS 359710.6 STATUTORY BONDS 5S9720.6 BOND ANTICIPATION NOTES 359730.6 53,900.00 CAPITAL NOTES 359740.6 BUDGET NOTES 359750.6 REVENUE ANTICI- PATION NOTES 359770.6 TOTAL ;S9899.6 55,100.00 3.0o.nn UNDISTRIBUTED 1,200.00 3,000.00 DEBT SERVICE INTEREST ERIAL BONDS 359710.7 1TATUTORY BONDS 359720.7 ND ANTICIPATION NOTES >S9730 .7 CAPITAL NOTES ;S9740.7 BUDGET NOTES 3S9750.7 REVENUE ANTICI- PATION NOTES 359770.7 TOTAL 359899.7 TOTAL SEWER DIST. APPROPRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 4,770.40 4,770.40 (CONTD.) SEWER DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975 1975 1975 1,800.00 .00 1,800.00 .00 2,610.00 .00 2,610.00 .00 .00 .00 .00 .00 66,522.00 21,200.40 20,590.00 16,180.00 16,180.00 44 -B SEWER DISTRICT ESTIMATED REVENUES ACCOUNTS CODE SEWER RENTS SEWER CHARGES 552122 INTEREST AND PENALTIES ON SEWER RENTS SS2128 INTEREST AND EARNINGS ON DEPOSITS AND INVESTMENTS SS2401 SALES OF SCRAP AND EXCESS MATERIALS 552650 MINOR SALES, OTHER 55.2655 INSURANCE RECOV - _ ERIES SS2680. THER COMPEN- SATION FOR LOSS SS2690 TATE AID FOR OPERATION AND MAINTENANCE OF SEWAGE DISPOSAL PLANT SS3901 OTHER (SPECIFY) SEWER BOND.ACCT. SS 2999 TOTAL SEWER DIST. ESTIMATED REVENUESCERANS FER TOTAL "ADOPTED"" TO PAGE 1) OAKWOOD KNOLLS BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1973 1974 SS 2120 8,811.00 10,130.00 ESTIMATED SEWER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 54.25 3,300.00 3,270.00 .2,135.25 13,430.00 SEWER DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET 1975 1971 13,180.00 13,180.00 3,000.00 3,000.00 ADOPTED 1971 13,180.00 3,000.00 16,180.00 16,180.00 16,180.00 UNEXPEJDED BALANCE 1,150.00 45-B .00 .00 .00 SEWED: DISTRICT APPROPRIATIONS FTPFTWOOD MANOR BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED ACCOUNTS CODE 197,3 197,E SPECIAL ITEMS TAXES ON SEWER DISTRICT PRCPERTI CONTRACTUAL EXP. 551950.4 ADMINISTRATION PERSONAL SERVICES SS8110..1 EQUIPMENT 3S8110.2 CONTRACTUAL EXP. SS8110.4 TOTAL 5S8110.0 SEWAGE. COLLECTING SYSTEM PERSONAL SERVICES SS8120.1 EQUIPMENT 358120.2 CONTRACTUAL EXP. 558120.4 TOTAL 3S8120.0 225.00 650.00 64.00 20n nn 289.0Q._ RSn 00 EWAGE TREATMENT AND DISPOSAL PERSONAL SERVICES 358130.1 5,614.00 EQUIPMENT 3S8130.2 31.00 CONTRACTUAL EXP. 35 8130.4 7.790.00 TOTAL 3S8130.0 .13,438.00 EMPLOYEE BENEFITS STATE RETIREMENT 559010.8 SOCIAL SECURITY 35 90 30 .8 COMPENSATION INS. 35 90 40.8 LIFE INSURANCE 359045.8 UNEMPLOYMENT INS. 3S90 50.8 DISABILITY INS. 359055.8 HOSPITAL AND MEDICAL INS. 35 90 60.8 TOTAL 3S9199.0 8,500.00 500.00 4,500.00 13,500.00 UNDISTRIBUTED 275,00 325.0n SEWER DISTRICT BUDGET OFFICERS .PRE - TENTATIVE LIMINARY BUDGET BUDGET 197s. 19 7.s- 300.00 .5 300.00 200.00 500.Q0 9,000.00 1,000.00 8,000.00 18,000.00 900.00 500.00 300.00 2110 no 500.00 9,000.00 1,000.00 8,000.00 18,000.00 900.00 500.00 ADOPTED 19 7s 300.00 200.00 500,.00 9,000.00 1,000.00 8,000.00 18,000.00 900.00 500.00 5QiQ0 60Q,Q0 600.00 600.00 650.00 2,000.00 2,000.00 2.000.00 43-c SEWER FUND APPROPRIATIONS (CONTD,) ACCOUNTS CODE DEBT SERVICE PRINCIPAL SERIAL BONDS 3S9710.6 STATUTORY BONDS 5S9720.6 BOND ANTICIPATION NOTES 559730.6 CAPITAL NOTES 359740.6 BUDGET NOTES 3S9750.6 REVENUE ANTICI- PATION NOTES 359770.6 TOTAL 3S9899.6 CONTINGENCY SS1995..0 DEBT SERVICE INTEREST SERIAL BONDS 359710.7 TATUTORY BONDS 359720.7 BOND ANTICIPATION NOTES 359730.7 CAPITAL NOTES 3S9740.7 BUDGET NOTES 359750.7 REVENUE ANTICI- PATION NOTES 359770.7 TOTAL 359899.7 TOTAL SEWER DIST. APPROPRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) FTRFTWnnn MANnR ACTUAL LAS T YEAR 197.3 BUDGET THIS YEAR AS AMENDED 1971. UNDISTRIBUTED 2,800.00 2,800.00 2,800.001 4,990.00 3,500.00 x300.00 350.00 4.850_00 400.00 4.990.00 5,250.00 21,517.00 26,900.00 44 -c SEWER DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 197L 1975_ 1971 3,200.00 3,200.00 3,200.00 3,500.00 6,700.00 3,500.00 3,500.00 6,700.00 6,700.00 4,700.00 4,700.00 4,700.00 525.00 F.77c nn 525.00 5,225.00 32,425.00 32,425.00 525.00 5,225.00 32,425.00 ACCOUNTS SEWER DISTRICT ESTIMATED REVENUES FT,P TWOOD MANOR SEWER DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 197,3 194. 1975 197.5 SEWER RENTS SS2120 SEWER CHARGES SS2122 INTEREST AND PENALTIES ON SEWER RENTS SS2128 INTEREST AND EARNINGS ON DEPOSITS AND INVESTMENTS SS2401 SALES OF SCRAP AND EXCESS MATERIALS SS2650 MINOR SALES, OTHER SS2655 INSURANCE RECOV- ERIES 1T SS2680 OTHER COMPEN- SATION FOR LOSS SS2690 STATE AID FOR OPERATION AND MAINTENANCE OF SEWAGE DISPOSAL PLANT SS3901 OTHER (SPECIFY) SS1030 SPEC. ASSESS, SEWER *3G ) ACCT TOTAL SEWER DIST. ESTIMATED REVENUESCIRANS FER TOTAL "ADOPTED" TO PAGE 1) ESTIMATED SEWER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) ADOPTED 1975_ 10,138.00 15,600.00 17,525.00 17,525.00 17,525.00 3,300.00 7,000.00 7,000.00 8,300.00 18,438.00 18,900.00 24,525.00 24,525.00 UNEXPE4DED BALANCE .00 .00 45-c .00 .00 7,000.00 24,525.00 .00 ACCOUNTS SEWER DISTRICT APPROPRIATIONS ROCKINGHAM FARMS SEWER DISTRICT • BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET CODE 1973 1974 1975 1975 SPECIAL ITEMS TAXES ON SEWER DISTRICT PROPERTY CONTRACTUAL EXP. 551950.4 ADMINISTRATION PERSONAL SERVICESSS8110.1 EQUIPMENT SS8110.2 CONTRACTUAL EXP. S38110.4 TOTAL SS8110.0 SEWAGE COLLECTING SYSTEM PERSONAL SERVICESSS8120.1 EQUIPMENT 358120.2 CONTRACTUAL EXP. 558120.4 TOTAL 3S8120.0 SEWAGE TREATMENT AND DISPOSAL PERSONAL SERVICES3S8130.1 EQUIPMENT 358130.2 CONTRACTUAL EXP. 3S8130.4 TOTAL 358130.0 EMPLOYEE BENEFITS STATE RETIREMENT SS9010.8 SOCIAL SECURITY 3S9030.8 COMPENSATION INS. S9040.8 LIFE INSURANCE 3S9045.8 UNEMPLOYMENT INS. 5S9050.8 DISABILITY INS. 3S9055.8 HOSPITAL AND MEDICAL INS. 559060.8 TOTAL ;59199.0 f ADOPTED 1975 329.00 1,500.00 1,000.00 1,000.00 1,000.00 159.00 500.00 500.00 500.00 500.00 488.00 2,000.00 1,500.00 1.50Mo 1,500.00 24,221.00 13.00 42,489.00 66.723.00 33,900.00 1,500.00 10,000.00 45.400.00 UNDISTRIBUTED 700.00 1,000.00 1,300.00 3.000.00 Li 3 -D 28,000.00 1,500.00 17,000.00 46.500.00 2,800.00 1,600.00 2,000.00 6.400.00 28,000.00 1,500.00 17.000.00 46.50Mo 28,000.00 1,500.00 17,000.00 46,500.00 2,800.00 2,800.00 1,600.00 1,600.00 2,000.00 6.400.00 2,000.00 6.400.00 SEWER FUND APPROPRIATIONS (CONTD.) ROCKINGHAM FARMS ACCOUNTS CODE DEBT SERVICE PRINCIPAL SERIAL BONDS 3S9710.6 STATUTORY BONDS 359720.6 BOND ANTICIPATION NOTES 3S9736.6 CAPITAL NOTES 359740.6 BUDGET -NOTES 359750.6 REVENUE ANTIC PATION NOTES TOTAL 359770.6 3S9899.6 DEBT SERVICE INTEREST SERIAL BONDS 359710.7 STATUTORY BONDS 3S9720.7 BOND ANTICIPATION NOTES- 3S9730.7 CAPITAL NOTES -3S9740.7 BUDGET NOTES 359750.7 REVENUE ANTICI- PATION NOTES 359770.7 TOTAL 359899.7 TOTAL SEWER DIST. APPROPRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 1973 1974 UNDISTRIBUTED 1,000.00 SEWER DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 1975 1975 1975 6,000.00 6,000.00 6,000.00 11.000.00 11.000.00 11,000.00 11,000.00 12.000.00 17.000.00 17,000.00 17.000.00 1,300.00 1,300.00 2.600.00 420.00 420.00 420.00 1,650.00 1.650.0 2.070.00 2,070.00 1,650.00 2,070.00 67,211.00 65,000.00 73,470.00 73,470.00 73,470.00 1+4-D ACCOUNTS SEWER DISTRICT ESTIMATED REVENUES ROCKINGI! FARMS SEWER DTSTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 1973 197j 1975 1975 1975 SEWER RENTS SS 2120 28,986.00 46,300.00 46,300.00 46,300.00 46,300.00 SEWER CHARGES SS2122 INTEREST AND PENALTIES ON SEWER RENTS SS2128 INTEREST AND EARNINGS ON DEPOSITS AND INVESTMENTS S S 2401 802.47 700.00 700.00 700.00 700.00 SALES OF SCRAP AND EXCESS MATERIALS SS2650 MINOR SALES, OTHER SS2655 INSURANCE RECOV- ERIES SS 2680. OTHER COMPEN- SATION FOR LOSS SS2690 STATE AID FOR OPERATION AND MAINTENANCE OF SEWAGE DISPOSAL PLANT SS3901 10,000.00 17,000.00 17,000.00 17,000.00 OTHER (SPECIFY) CAPITAL ACCT. SS 2850 6,000.00 6,000.00 6,000.00 6,000.00 TOTAL SEWER DIST. R.A.N. 22,000.00 ESTIMATED REVENUESCTRANS FER TOTAL "ADOPTED" TO PAGE 1) 51,788.47 63,000.00 70,000.00 70,000.00 70,000.00 I ESTIMATED SEWER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) UNEXPE4DED BALANCE 2,000.00 3,470.00 3,470.00 3,470.00 45-D DRAINAGE DISTRICT APPROPRIATIONS DRAINAGE DISTRICT ACCOUNTS CODE DRAINAGE PERSONAL SERVI CES 5D8540 . 1 EQUIPMENT SD8540.2 CONTRACTUAL EXP. SO8540.4 TOTAL SO8540.0 EMPLOYEE BENEFITS STATE RETIREMENT 509010.8: SOCIAL SECURITY 3D9030.8: COMPENSATION INS.3D9040.8: LIFE INSURANCE SO9045.E UNEMPLOYMENT INS.3D9050.Ei DISABILITY INS. SO9055.6 HOSPITAL SND MEDICAL INS. SD90 60 . 8a TOTAL SD9199.0 DEBT SERVICE PRINCIPAL SERIAL BONDS SO9710.6 STATUTORY BONDS SD9720.6. BOND ANTICIPATION NOTES SO9730.6 CAPITAL NOTES 9109740.6 BUDGET NOTES SD9750.6 REVENUE ANTICI— PATION NOTES SD9770.6 TOTAL PRINCIPAL 3D9899.6 DEBT SERVICE INTEREST SERIAL BONDS SD9710.7- STATUTORY BONDS SD9720.7 BOND ANTICIPATION NOTES SO9730.7 CAPITAL NOTES 3D9740.7 BUDGET NOTES 3D 97 50 .7 REVENUE ANTICI— PATION NOTES 3D9770.7 TOTAL INTEREST 309899.7 TOTAL DRAINAGE DISTRICT APPRO— PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197_ 197_ UNDISTRIBUTED 46 BUDGET OFFICERS PRE— TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 197_ 197_ 197_ ACCOUNTS TOTAL DRAINAGE DISTRICT ESTI- MATED REVENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) ESTIMATED DRAIN- AGE DISTRICT UNEXPENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) DRAINAGE DISTRICT ESTIMATED REVENUES DRAINAGE DISTRICT 7 BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 197_ 197_ 197_ 197_ 197_ SD SD UNEXPENDED BALANCE II a III iiiimiiouioi III ACCOUNTS REFUSE AND GARBAGE DISTRICT APPROPRIATIONS REFUSE AND GARBAGE DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRL - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 19T_ 197_ 197_ 197_ 197_ REFUSE AND GARBAGE PERSONAL SERVICES SR8160 . 1 EQUIPMENT 3/8160.2 CONTRACTUAL EXP. 5R8160.4 TOTAL 3118160.0 EMPLOYEE BENEFITS STATE RETIREMENT SR9010.8 SOCIAL SECURITY 389030.8 COMPENSATION INS.SR9040.8 LIFE INSURANCE SR9045.8 UNEMPLOYMENT INS.3R9050.8 DISABILITY INS. 5R9055.8 HOSPITAL AND MEDICAL INS. 3129060.8 TOTAL 3R 91 99 .0 DEBT SERVICE PRINCIPAL SERIAL BONDS 5R9710.6 STATUTORY BONDS 3129720.6 BOND ANTICIPATION NOTES 3R9730.6 CAPITAL NOTES 3129740.6 BUDGET NOTES 3R9750.6 REVENUE ANTICI- PATION NOTES 329770.6 TOTAL PRINCIPAL 389899.6 DEBT SERVICE INTEREST SERIAL BONDS 3R9710 . 7 STATUTORY BONDS 5R9720.7 BOND ANTICIPATION NOTES 3R9730.7 CAPITAL NOTES 312 9740 . 7 BUDGET NOTES 3R9750.7 REVENUE ANTICI- PATION NOTES 3R9770.7 TOTAL INTEREST 3R9899.7 TOTAL REFUSE AND GARBAGE DISTRICT APPROPRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 48 1 ACCOUNTS REFUSE AND GARBAGE DISTRICT ESTIMATED REVENUES REFUSE AND GARBAGE DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 197_ 197_ 197_ 197_ 197_ REFUSE AND GARBAGE REMOVAL AND DIS- POSAL CHARGES SD2130 902130 TOTAL REFUSE AND GARBAGE DISTRICT ESTIMATED REVENUES (TRANSFER TOTAL "ADOPTED"TO PAGE 1) ESTIMATED REFUSE AND GARBAGE DIST. UNEXPENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) UNEXPENDED BALANCE 49 ACCOUNTS PARK DISTRICT APPROPRIATIONS PARK DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 197 197_ 197_ 197_ 197_ PARKS PERSONAL SERVlCESSP7110.1 EQUIPMENT SP7l10.2 CONTRACTUAL EXP. SP71I0.4 TOTAL 3P71I0.8 PLAYGROUNDS AND RECREATION CENTERS PERSONAL GERVICESSP7I40.1 EQUIPMENT SP7140.2 CONTRACTUAL EXP. SP7140.4 TOTAL SP7140.O BEACH AND POOL PERSONAL SERVICESSP718O.1 EQUIPMENT 3P7180.3 CONTRACTUAL EXP. SP7180.4 TOTAL 5P7180.0 MARINA AND DOCKS PERSONAL SERVICE5SP7230.1 EQUIPMENT 5P7230.2 CONTRACTUAL EXP. 5P7230,4 TOTAL SP7230.0 GOLF PERSONAL SERVICESSP725O.1 EQUIPMENT SP7250.2 CONTRACTUAL EXP. GP7250.4 TOTAL SP7258.0 SKI FACILITY PERSONAL SERVICESSP7260.1 EQUIPMENT 3P7260.2 CONTRACTUAL EXP. SP7260.4 TOTAL 5P7260.0 50 PARK DISTRICT APPROPRIATIONS (CONTD,) ACCOUNTS CODE EMPLOYEE BENEFITS STATE RETIREMENT SP9010.8 SOCIAL SECURITY 5P9030.8 COMPENSATION INS.;P9040.8, LIFE INSURANCE :3P9045.8t UNEMPLOYMENT INS. >P9050.8, DISABILITY INS. 5P9055.8 HOSPITAL AND MEDICAL INS. SP9060.8 TOTAL 3P9199.0 DEBT SERVICE PRINCIPAL. SERIAL BONDS SP9710.6, L: STATUTORY BONDS 'SP9720 .6 BOND ANTICIPATION NOTES 5P9730.6 CAPITAL NOTES :3P9740.6 BUDGET NOTES 9'9750.6 REVENUE ANTICI- PATION NOTES SP9770.6 TOTAL PRINCIPAL '3P9899.6 DEBT SERVICE INTEREST SERIAL BONDS 199710.7 STATUTORY BONDS 3P9720.7 BOND ANTICIPATION NOTES 5P9730.7 CAPITAL NOTES 3P9.740.7 BUDGET NOTES 3'9750.7 REVENUE ANTICI- PATION NTICI- PATION NOTES 3P9770.7 TOTAL INTEREST 3P9899.7 TOTAL PARK DIST. APPROPRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197_ 197_ UNDISTRIBUTED 51 PARK DISTRICT BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 197_ 197 197_ PARK DISTRICT ESTIMATED REVENUES PARK DISTRICT ACCOUNTS CODE PARK AND RECRE- ATION CHARGES SP2001 RECREATION CONCESSIONS SP2012 BEACH AND POOL FEES SP2025 STADIUM FEES AND CHARGES SP2030 AUDITORIUM CHARGES SP2035 MARINA AND DOCKS SP2040 GOLF FEES SP2050 SKI FACILITY CHARGES SP2060 SKATING RINK FEES SP2065 MUSEUM ADMISSIONS SP2090. INTEREST AND EARNINGS ON DEPOSITS AND INVESTMENTS SP2401 SALES OF SCRAP AND EXCESS MATERIALS SP2650 MINOR SALES, OTHER SP2655 INSURANCE RECOVERIES SP2680 OTHER COMPEN- SATION FOR LOSS SP2690 OTHER (SPECIFY) SP TOTAL PARK DIST. ESTIMATED REVENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) ESTIMATED PARK DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197_ 197_ BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 197_ 197 197_ UNEXPEVDED BALANCE 52 PUBLIC PARKING DISTRICT APPROPRIATIONS , PUBLIC PARKING DISTRICT ACCOUNTS CODE OFF STREET PARKING PERSONAL SERVICESST5650.1 EQUIPMENT ST5650.2 CONTRACTUAL EXP. ST5650.4 TOTAL ST5650.0 EMPLOYEE BENEFITS STATE RETIREMENT ST9010.8 SOCIAL SECURITv ST9030.8 COMPENSATION INS.3T9040.8 LIFE INSURANCE 3T9045.8 UNEMPLOYMENT INS.ST9050.8 DISABILITY INS. HOSPITAL AND MEDICAL INS. TOTAL 5T9055.8 3T9060.8 ST9199.0 DEBT SERVICE PRINCIPAL SERIAL BONDS ST9710.6 STATUTORY BONDS ST9720.6 BOND ANTICIPATION NOTES ST9730.6 CAPITAL NOTES 3T9740.6 BUDGET NOTES ST9750.6 REVENUE ANTICI- PATION NOTES 3T9770.6 TOTAL PRINCIPAL ST9899.6 DEBT SERVICE INTEREST SERIAL BONDS ST9710.7 STATUTORY BONDS 3T9720.7 BOND ANTICIPATION NOTES 3T9730.7 CAPITAL NOTES ST9740.7 BUDGET NOTES 3T9750.7 REVENUE ANTICI- PATION NOTES ST9770.7 TOTAL INTEREST 5T9899.7 TOTAL PUBLIC PARKING DISTRICT APPROPRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197_ 197_ 53 BUDGET OFFICERS PRE - TENTATIVE LIMINARY BUDGET BUDGET ADOPTED 197_ 197 197_ ACCOUNTS PUBLIC PARKING DISTRICT ESTIMATED REVENUES PUBLIC PARKING DISTRICT BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 197 197 197_. 197_ 197_ PARKING LOTS AND GARAGES ST1720 ST1720 TOTAL PU BL I C PARKING DISTRICT ESTIMATED' REVENUES (TRANSFER TOTAL "ADOPTEDft TO PAGE 1) ESTIMATED PUBLIC PARKING DISTRICT UNEXPENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) UNEXPENDED BALANCE 54 ty;p ACCOUNTS CODE PERSONAL SERVICE5S .1 EQUIPMENT SM .2 CONTRACTUAL EXP. ]M____. TOTAL SM .^ EMPLOYEE BENEFITS STATE RETIREMENT SM9O1O. SOCIAL SECURITY SM9030. COMPENSATION lN5.GM9040. LIFE INSURANCE SM9O45. UNEMPLOYMENT lNS.SM9050. DISABILITY INS. SM9055. HOSPITAL AND MEDICAL INS. TOTAL SM9Ub0.: SM9l99,d DEBT SERVICE PRINCIPAL SERIAL BONDS SM97I0. STATUTORY BONDS SM9720. BOND ANTICIPATION NOTES 3M9730. CAPITAL NOTES 5M9740. BUDGET NOTES SM9750. REVENUE ANTICI- PATION NOTES TOTAL PRINCIPAL DEBT SERVICE INTEREST SERIAL BONDS STATUTORY BONDS BOND ANTICI- PATION NOTES CAPITAL NOTES BUDGET NOTES REVENUE ANTICI- PATION NOTES TOTAL INTEREST TOTAL APPRO- PRIATIONS CTRANSFER tOTAL "ADOPTED" TO PAGE 1) SM977O.� SM9899.E SM97lO.7 SM97%O.7 SM973V.7 SM974O.7 SM975O.) SM977O.7 5M9899.7 APPROPRIATIONS BUDGET ACTUAL THIS YEAR LAST AS YEAR AMENDED 197 197 55 DISTRICT BUDGET OFFICERS PRE~ TENTATIVE L3M%MARY BUDGET BUDGET ADOPTED 197 197 197_ -. ACCOUNTS TOTAL ESTIMATED REVENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) ESTIMATED UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) DISTRICT ESTIMATED REVENUES BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE - LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 197_ 197_ 197_ 197 197_ SM SM UNEXPEADED BALANCE 56 SCHEDULE OF SALARIES OF ELECTED TOWN OFFICERS (ARTICLE 8 OF THE TOWN LAW) OFFICER SALARY Pre - $Tentative liminary Adopted Louis D. Diehl, Supervisor Elaine Snowden, Town Clerk William Bulger, Town Justice Vincent Francese, Town Justice Louis C. Clausen, Councilman Leif Jensen, Councilman Stephen Saland, Councilman Frank Versace, Councilman 57 14,500.00 13,750.00 13,750.00 12,000.00 11,000.00 11,000.00 5,500.00 5,280.00 5,280.00 5,500.00 5,280.00 5,280.00 3,250.00 3,250.00 3,250.00 3,250.00 3,250.00 3,250.00 3,250.00 3,250.00 3,250.00 3,250.00 3,250.00 3,250.00 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: (3) 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. 58 GENERAL FUND To WARRANT LOUIS D. DIEHL , Supervisor Town of WAPPINGEB, , County of DUTc LESS , New York. The following claims, having been presented to the Town Board of the Town of WAPPINGER , and duly audited and allowed at a meeting thereof held on the 13th day of NOVEMBER , 19 74 , in the amounts hereinafter respectively specified, and a certificate thereof having been duly filed in my office as Town Clerk, you are hereby authorized and directed to pay to each of the following claimants the amount allowed upon his claim as hereinafter stated: CLAIM No. NAME OF CLAIMANT (AMOUNT FUND OR ALLOWED ACCOUNT Sloper•Wilien Community 974 Ambulance Service, Inc. 1.362.32 A4540.4 975 George Wells 302.61 A3510.1 976 George Wells 241.66 A1620.1 977 T. C. Amburgey 10.00 A1110.4 978 Custom Cleaning Contr. 125.00 A1620.4 979 Vincent Paino 20.00 A1620.4 980 Harvey Miller 200.00 A1620.4 981 Harold Flanagan 30.00 A7140L4- Village of Wapp. Falls 982 Dept. of Water Supply 26.59 A1620.4 983 H. D. Webster 27.50 A1110.4 984 Highland Hospital 17.00 A1110.4 985 Phillip L. Garrison 189.00 A1450.2 986 Sylvia J. Anderson 18.60 B8010.4 987 Sylvia J. Anderson 106.60 41920.5 988 Elaine H. Snowden 16.74 A1410.4 989 Norma O'Rourke 390.50 A1330.1 990 Norma O'Rourke 19.63 A1450.1 991 Louis Berinato :.,500.00 A1450.1 992 Joseph V. DeAngelo 750.00 A1450.1 993 Fred Snowden, Jr. 1.,500.00 A1450.1 994 James A. Snowden 750.00 A1450.1 995 V & V Elec. Corp. 42.80_ A5132.4 996 V & V Elec. Corp. 163.80 A5132.4 OTHER INFORMATION In Witness Whereof, I have hereunto set my hand and the Seal of the Town of WAPPINGER this 14th day of NOVEMBER , 19 74 Town Clerk [SEAL] GENERAL FUND WARRANT To LCCIS D. DIEHL , Supervisor Town of WAPPINGER , County of DUTCHESS , New York. The following claims, having been presented to the Town Board of the Town of WAPPINGER , and duly audited and allowed at a meeting thereof held on the 13th day of NOVEMBER , 19 74 , in the amounts hereinafter respectively specified, and a certificate thereof having been duly filed in my office as Town Clerk, ydu are hereby authorized and directed to pay to each of the following claimants the amount allowed upon his claim as hereinafter stated: CLAIM No. NAME OF CLAIMANT 1AMOUNT FUND OR ALLOWED ACCOUNT OTHER INFORMATION 997 Nicholas Johnson 25..00 A1920,5 998 James V. Porter 25.00 A1920,5 999 Carol R, Waddle 108.60 A1920.5 1000 James Mills, Jr. 136.74 A1920.5 1001 Charles A. Cortellino 115.06 A1920.5 1002 Robert A. Steinhaua 137.60 A1920.5 1003 James T. Guarino 274.16 A3510,1 A1420.4 375.00 1004 Allan Rappleyea 666.66 B1420.4 291.66 1005 Boyle Electric Comoanv 80.00 A1620.4 1006 Dr. Daniel J. Hannigan 1,102.00 A3510.4 1007 Pauline Egan 45.17 A1450.1 1008 vera Hamilton 52.97 A1450.1 1009 Vera Hamilton 22.50 A1450.1 1010 Elizabeth Hammond 22.50 A1450.1 1011 Elizabeth Hammond 117.45 A1450.1 1012 Barbara A. Jensen 22.50 A1450.1 1013 Barbara A. Jensen 116.21 A1450.1 1014 Norma Clark 100.15 A1450.1 1015 Norma Clark 22.50 A1450.1 1016 Geraldine M. DeAngelo 22.50 A1450.1 1017 Geraldine M. DeAngelo 44.97 A1450.1 1018 Nora T. Flgnn 22.50 A1450.1 1019 Nora T. Flynn I 52.73 A1450.1 In Witness Whereof, I have hereunto set my hand and the Seal of the Town of this 14th day of NOVEMBER , 19 74 [SEAL] WAPPINGER Town Clerk GENERAL FUND WARRANT To LOUIS D. DIEHL , Supervisor Town of WAPPINGER , County of DUTCHESS , New York. The following claims, having been presented to the Town Board of the Town of WAPPINGER ., and duly audited and allowed at a meeting thereof held on the 13thily of NOVEMBER , 19 74, in the amounts hereinafter respectively specified, and a certificate thereof having been duly filed in my office as Town Clerk, you are hereby authorized and directed to pay to each of the following claimants the amount allowed upon his claim as hereinafter stated: CLAIM No. NAME OF CLAIMANT 1020 Helen Hilderbtand 1021 Helen Hilderbrand 1022 Joan H. Nutt 1023 Joan H. Nutt 1024 Hattie Hannigan 1025 Hattie Hannigan 1026 Carol Reilly 1027 Carol Reilly 1028 Pauline M. Brannen 1029 Pauline M. Brennen 1030 Eleanor Parascandola 1031 Marie T. Migliore 1032 Janet Versece 1033 Carole Powers 1034 Dorothy B. Landolfi 1035 June A. Horton 1036 Barbara R. Cowan 1037 Judith Lewis 1038 Virginia L. Reeler 1039 Ruth A. Steinhaus 1040 Mary Ellen ODonnell 1041 Dorothy J. Fugardi 1042 Stella A. Dlhosh 1AMOUNT FUND OR ALLOWED ACCOUNT 22.5 A1450.1 43.2 A1450.1 22.50 A1450.1 58.13 A1450.1 22.50 A1450.1 50.7 A1450.1 22.50 A1450.1 55.3' A1450.1 44.2 A1450.1 22.5(U A1450.1 128.2 A1450.1 38.2 A1450.1 118.1 A1450.1 116.6 A1450.1 43.9 A1450.1 51.6 A1450.1 45.4 A1450.1 45.21 A1450.1 44.9 45.9 43.8 45.5 I 44.7 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 OTHER INFORMATION In Witness Whereof, I have hereunto set my hand and the Seal of the Town of NOVEMB this 14th day of ER , 19 74 [SEAL] WAPPINGER Town Clerk GENERAL FUND WARRANT To LOUIS D. DIEHL , Supervisor Town of WAPPINGER , County of DVTs ESS , New York. The following claims, having been presented to the Town Board of the Town of , and duly audited and allowed at a meeting thereof held on the WAPPINGER 13th day of NOIR , 1g4 , in the amounts hereinafter respectively specified, and a certificate thereof having been duly filed in my office as Town Clerk, you are hereby authorized and directed to pay to each of the following claimants the amount allowed upon his claim as hereinafter stated: CLAIM No. NAME OF CLAIMANT (AMOUNT FUND OR ALLOWED ACCOUNT OTHER INFORMATION 1043 Judith M. Dugan 38.25 A1450.1 1044 Patricia Ryder 38.25 A1450.1 1045 Jacqueline Fritz 38.25 A1450.1 1046 Paul 0. Franzoni 51.61 A1450.1 1047 Dagny M. Andersen 44.97 A1450.1 1048 Catherine Loop 38.25 A1450.1 1049 Cheryle B. Snethen 38.25 A1450.1 1050 Ann E. Buckley 45.45 A1450.1 1051 Ruth Speedling 47.01 A1450.1 1051 Winifred Cooke 44.49 A1450.1 1053 Mrs. Daniel G. Coughlin 116.45 A1450.1 1054 Joseph De Nagy 5.84 A1450.1 1055 Marion C. Bostwick 43.25 A1450.1 1056 Rose Limardo 6.80 A1450.1 1057 Bernice Mills 7.40 A1450.1 1058 Charles Grosenbeck 51.17 A1450.1 1059 Albertina Wardell 44.25 A1450.1 1060 Sandra M. Mc Cluskey 43.25 A1450.1 1061 Mary Price 95.58 A1450.1 1062 Eileen Farrell 128.21 A1450.1 1063 Maud Ifill 45.21 A1450.1 1064 Linda Harden 45.57 A1450.1 1065 Alba Delgrosso 38.25 A1450.1 In Witness Whereof, I have hereunto set my hand and the Seal of the Town of this 14th day of NOVEMBER , 19 74 [SEAL] WAPPINGER Town Clerk GENERAL FUND To LOUIS D. DIEHL Town of WAPPINGER WAPPINGER WARRANT , Supervisor , County of DUTCHESS , New York. The following claims, having been presented to the Town Board of the Town of , and duly audited and allowed at a meeting thereof held on the 13th day of .11Q3D2WEE 19.2_4_, in the amounts hereinafter respectively specified, and a certificate thereof having been duly filed in my office as Town Clerk, piu are hereby authorized and directed to pay to each of the following claimants the amount allowed upon his claim as hereinafter stated: CLAIM No. NAME OF CLAIMANT 1066 Betty L. Holt _107 Angela Rubeo 1068 Grace Camoin 1069 Marion P. Taber 1070 Lorraine Clausen 1071 Roberta Collier 1072 Lois English 1073 Laura Petrone 1074 Jennie Guarino 1075 Janet Presti 1076 Marion H. Siudzineki 1077 Marie E. Greco 1078 Mildred Corbin 1079 Sallie R. Poster 1080 Beatrice M. Roe 1081 George C. Dick 1082 Catherine Leary 1083 Eileen Weit 1084 Jean M. Sanfilippo 1085 Elizabeth Phillips 1086 Gladys E. Foleter 1087 Tenna Jensen AMOUNT FUND OR ALLOWED ACCOUNT 45.4! A1450.1 52.37 6E6.72 23.62 A1450.1 A1450.1 A1450.1 44.73 A1450.1 69.24 A1450.1 70.32 70.44 38.25 47.61 46.65 43.97 43.491 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 44.7 A1450.1 28.4 A1450.1 44.61 A1450.1 69.24 A1450.1 50.1 A1450.1 44.2 A1450.1 87.7 A1450.1 94.9 A1450.1 125.0 A1450.1 OTHER INFORMATION 1088 Mary A. Sidote 44.2 A1450.1 In Witness Whereof, I have hereunto set my hand and the Seal of the Town of this 14th day of MOVEMBER , 19 74 [SEAL] WAPPINGER Town Clerk GENERAL FUND To WARRANT LOUIS D. Dam. Town of WAPPINGER WAPPINGER , Supervisor , County of IRJTt HESS , New York. The following claims, having been presented to the Town Board of the Town of , and duly audited and allowed at a meeting thereof held on the , 19.74.., in the amounts hereinafter respectively specified, and having been duly filed in my office as Town Clerk, you are hereby authorized to each of the following claimants the amount allowed upon his claim as 13th day of NOVEMBER a certificate thereof and directed to pay hereinafter stated: CLAIM No. NAME OF CLAIMANT 1089 Margaret Fredericks 1090 Joan Marie O'Riley 1091 Alma Berinato 1092 Albin. Medio 1093 June M. Scalzo 1094 Sylvia G. Gorin 1095 Charlotte J. English 1096 Mary F. Conte 1097 Judith Brickner 1098 Therese Greco 1099 Ann Peragino 1100 Terry Rifkin 1101 Jean Schmidt 1102 Beatrice Helmeyer 1103 Adelaide Corbin 1104 June H. Schnorr 1105 Elaine M. McKinney New Hackensack Reformed 1106 Church Christian Educe. 1107 Mt. Hope Grange 'k1 1108 W. T. Garner Engine Co. Rughaonville Fire 1109 District 1110 Chelsea Fire District New Hackensack Fire 1111 District AMOUNT FUND OR ALLOWED ACCOUNT 44.25 50.85 44.25 43.73 43.73 43.73 43.37 51.65 38.25 54.29 43.37 45.65 48.57 46.17 53.57 44.97 45.65 160.00 100.00 50.00 150.00 100.00 100.00 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 A1450.1 A1620.4 A1620.4 A1620.4 A1620.4 A1620.4 A1620,4 OTHER INFORMATION In Witness Whereof, I have hereunto set my hand and the Seal of the Town of this 14th day of NOVEMBER , 19 74 [SEAL] WAPPINGER Town Clerk GENERAL FUND To WARRANT LOUIS D. DIEHL , Supervisor Town of WAPPINGER , County of DUTCHESS , New York. The following claims, having been presented to the Town Board of the Town of , and duly audited and allowed at a meeting thereof held on the WAPPINGER 13thday of NOVEM R , 19 74 , in the amounts hereinafter respectively specified, and a certificate thereof having been duly filed in my office as Town Clerk, you are hereby authorized and directed to pay to each of the following claimants the amount allowed upon his claim as hereinafter stated: CLAIM No. NAME OF CLAIMANT Association of Towns of 1112 the State of New York (AMOUNT FUND OR ALLOWED ACCOUNT 400.00 A1920.4 OTHER INFORMATION 1113 Joseph E. Landolfi,k Jr. 131.24 A1920.5 /3s'54 - /a.00 ft///O'/ ea 0.00 1114 West Publishing Company 156.00 A1110.4 - 8 6 •ori A1620.4 250.67 1115 Central Hudson 266.87 A3310.4 16.20 1116 Rudolph B. Lapar, P.B. 80.00 A1410.4 A1440.4 333.32 1117 Rudolph E. Leper, P.B. 833.32 B1440.4 500.00 1118 Rudolph E. Leper, P.E. 1,000.00 Sub-divisiox Inspection Fee Account 1119 Dave Alexander, Inc. Pi,200.00 1120 Dave Alexander, Inc. 1,347.67 A7140.4 1121 Goldlief Reproductions 26.00 87310.4 General Code Publishers A1220.4 15.00 1122 Corp. 30.00 A1010.4 15.00 1123 Pendell Press 1124 Pendell Press 15.00 A1660.4 34.75 A1450.4 1125 Pendell Press 68.50 A1355.4 R 2 Environmental Ford Foundation Grant 1126 Consultants, 1 283.00 A8510.4 1127 The Evening News 15,00 A1410.4 1128 Inc Comb's 74.40 A1330.4 1129 Clifford Thorpe Printing 18.00 83620.4 1130 Burroughs Corp. 38.40 A1220.4 A9060.8 501.44 1131 Hartford Life Insurance ,351.47 89060.8 850.03 1132 George Schlathaus 40.20 A7110.4 stection Machine Service 1133 Co., Inc. 37.63 A1450.2 232.18 50.82 1134 Heads -Up Rental 32.94 A1450.2 In Witness Whereof, I have hereunto set my hand and the Seal of the Town of WAPPINGER this 14th day of NOV1±R , 19._14. [SEAL] Town Clerk GENERAL FUND WARRANT To LOUIS D. DIEHL , Supervisor Town of WAPPINGER , County of .U5 , New York. The following claims, having been presented to the Town Board of the Town of WAPPINGER , and duly audited and allowed at a meeting thereof held on the 13th day of NOVEMBER , 19 74 , in the amounts hereinafter respectively specified, and a certificate thereof having been duly filed in my office as Town Clerk, you are hereby authorized and directed to pay to each of the following claimants the amount allowed upon his claim as hereinafter stated: CLAIM NAME OF CLAIMANT J AMOUNT FUND OR No. ALLOWED ACCOUNT 1135 Heads -Up Truck Rental 29.74 A1450.2 1136 Roberts Boice Paper Co. 12.68 A1620.4 New York Communications 1137 Company, Inc. 533.00 A1650.4 1138 Beacon Window Cleaning Co. 5.20 A1620.4 1139 Vince's Oil Service 524.04 A1620.4 1140 Poughkeepsie Journal 12.06 A1410.4 1141 Xerox Corp. 373.14 A1620.4 Eggleston Office 1142 Equipment Co., Inc. 116.40 A1660.4 Wappingers Sand & Gravel 1143 Corp. 240.00 A7110.4 1144 Ralph Vinall 697.50 A7110.4 I71_, .o 1145 Kathy Brown-56-rO0, A7110.1 1146 H. B. Machines Inc. 2.53 A1660.4 1147 Lawyers Co-operative 17.10 88010.4 1148 Hodges Badge Company 70.88 A7140.4 1149 Gould Publications 4.00 A1110.4 1150 Gould Publications 4.00 A1110.4 1151 Rudy Angelo, Inc. 208.75 A3310.4 1152 Great Bear Siring Cb. 41.00 A1620.4 1153 Pitney Bares 34.50 A1620.4 1154 Williamson Law Book XCo. 10.68 A1110.4 1155 Williamson Law Book LCo. 10.68 A1110.4 1156 Pray's Nursery Inc. L,773.60 A7110.4 Ijuticcness county ( apter 1157 American Red Cross 235.00 87310.4 OTHER INFORMATION In Witness Whereof, I have hereunto set my hand and the Seal of the Town of WAPPINGER this_..14t_. day of NOVEMBER 19 74 Town Clerk [SEAL] GENERAL FUND WARRANT To Toggl&..A,..,U 11, , Supervisor Town of WAPPINGER , County of vuj , New York. The following claims, having been presented to the Town Board of the Town of WAPPINGER , and duly audited and allowed at a meeting thereof held on the 13th day of NOVEMBER , 19 .74 , in the amounts hereinafter respectively specified, and a certificate thereof having been duly filed in my office as Town Clerk, you are hereby authorized and directed to pay to each of the following claimants the amount allowed upon his claim as hereinafter stated: CLAIM No. NAME OF CLAIMANT IAMOUNT FUND OR ALLOWED ACCOUNT 1158 Urey Hardware Company 3.50 A7110.4 1159 A-1 Fence Company, Inc. 975.00 A7110.2 1160 Robert Baisley 200.00 A7110.4 1161 Robert Baisley 175.00 A7110.4 Guardian Safety 1162 Equipment Company 61.12 A7140.4 Guardian Safety 1163 Equipment Company 16.41 A7140.4 1164 William J. Fredribkson 175.50 A7110.4 1165 Hugh J. Maurer_ 39.72 A7110.4 North County Ford 1166 Tractor, Inc. 88.45 A7110.4 L & J Refrigeration & 1167 Air Conditioning 75.00 A1620.4 1168 Michael Moshier 37.00 A7140.4 OTHER INFORMATION 1169 Walt Meier 12.00 A7140.4 1170 Williams Press, Inc. 37.75 A1110.4 1171 Dennis Geisler 37.00 A7140.4 1172 Jerry Joyce 49.00 A7140.4 1173 Robert Farley 49.00 A7140.4 1174 Joe Morrill III 25.00 A7140.4 1175 Dick Gorton 25.00 A7140.4 1176 Joseph Pantaleo 36.00 A7140.4 1177 Richard Emond 36.00 A7140.4 1178 Montfort Bros. Inc. 32.30 A7110.4 1179 John Buckley 27.00 A7110.1 1180 John Buckley 47.25 A8510.4 In Witness Whereof, I have hereunto set my hand and the Seal of the Town of this 14th day of NOVEMBER , 19 24 [SEAL] WAPPINGER Town Clerk GENERAL FUND WARRANT To LOUIS D. DIEHL , Supervisor Town of WAPPINGER , County of ""' •`''"�``'s , New York. The following claims, having been presented to the Town Board of the Town of , and duly audited and allowed at a meeting thereof held on the , 19 74 , in the amounts hereinafter respectively specified, and WAPPINGER 13th day of a certificate thereof and directed to pay hereinafter stated: NOVEMBER CLAIM No. having been duly filed in my office as Town Clerk, you are hereby authorized to each of the following claimants the amount allowed upon his claim as NAME OF CLAIMANT 1181 New York Telephone 1182 Pauline Egan IAMOUNT FUND OR ALLOWED ACCOUNT 602.60 A1620.4 108.62, A1220.1 -rye 3 r OTHER INFORMATION In Witness Whereof, I have hereunto set my hand and the Seal of the Town of WAPPINGER this 14th day of NOVEMBER, 19 74 [SEAL] Town Clerk SPECIAL DISTRICTS WARRANT To LOUIS D. DIEHL , Supervisor Town of WAPPINGER ,County of DUTCHE88 New York. The following claims, having been presented to the Town Board of the Town of WAPPINGER , and duly audited and allowed at a meeting thereof held on the 13th day of NOVEMBER , 1974 , in the amounts hereinafter respectively specified, and a certificate thereof having been duly filed in my office as Town Clerk, ydu are hereby authorized and directed to pay to each of the following claimants the amount allowed upon his claim as hereinafter stated: CLAIM No. NAME OF CLAIMANT 266 R. H. Linae, Inc. (AMOUNT FUND OR ALLOWED ACCOUNT 11.97 SW2-8320.4 267 Central Hudson Gas & Elec 192.85 268 Central Hudson Gas & Bloc 282.96 269 Environment/One Corp. 270 Axton -Cross Company 271 Environment/One Corp. 272 Central Hudson Gas & Elec 273 Urey Hardware Company 274 Axton -Cross Company 275 R. H. Linge, Inc. 276 ;8 & S Supply Co. 277 W & S. Supply Co. 278 The B. F. Goodrich Co. 279 Poughkeepsie Journal SW2-8320.4 SS1-8130.4 74.00 SS1-8130.4 167.36 SS1-8130.4 63.00 SS1-8130.4 211.88 SS2-8130.4 S83-8130.4 289.49 SW2-8320.4 SS1-8130.4 182.50 SS3-8130.4 6.19 SS3-8130.4 26.22 SS3-8130.4 14.37 SS3-8130.4 SW1-8320.4 117.10 SS1-8130.4 SS3-8130.4 OTHER INFORMATION 216.70 SS2-8130.4 11.20 10.99 SW1-8320.4 9.80 40.80 23.42 SW2-8320.4 23.42 23.42 SS2-8130.4 23.42 23.42 SS1-8110.4 3.01 6.03 SW1-8310.4 3.02 280 ventral Hudson Gas & Elec 179.92 281 :antral Hudson Gas & Elec 282 B & R Auto Supply Inc. 283 Poughkeepsie, Journal 284 3nvironaent/One Corp. 285 3nvironment/One Corp. 286 3nvironment/One Corp. In Witness Whereof, I have hereunto this 14th day of NOVEMBER [SEAL] 62.64 43.90 5.70 SW1-8320.4 ORCHARD HONES, WATER DISTRICT SS3-8130.4 SS2-8110.4 2.85 SW2-8310.4 2.85 20.00 SS2-8130.4 84.00 SS2-8130.4 95.00 SS2-8130.4 set my hand and the Seal of the Town of WAPPINGER • , 19 74 Town Clerk SPECIAL DISTRICTS WARRANT To LOUIS D. DIEHL , Supervisor Town of WAPPINGER , County of Dom$ , New York. The following claims, having been presented to the Town Board of the Town of WAPPINGBR , and duly audited and allowed at a meeting thereof held on the 13thday of NOVEMBER , 1974 , in the amounts hereinafter respectively specified, and a certificate thereof having been duly filed in my office as Town Clerk, you are hereby authorized and directed to pay to each of the following claimants the amount allowed upon his claim as hereinafter stated: CLAIM No. NAME OF CLAIMANT 287 Axton -Cross Company (AMOUNT FUND OR ALLOWED ACCOUNT 288 Central Hudson Gas & Elec D'Arcangelo, Clark, Cina, 289 Prata & Lynch D'Ancangelo, Clark, Cina, 290 Prata & Lynch 291 South Ave. Exxon 292 (Interstate Plumbing Supply Co., Inc. 293 ILafko Associates, Inc. 294 ILafko Associates, Inc. 295 'Environment/One Corp. 296 J Environent/0ne Corp. 297 Central Hudson Gas & Elec 101.21 OTHER INFORMATION SW2-8320.4 9.60 24.00 852-8130.4 14.40 694.19 553-8130.4 24.00 883-8130.4 20.00 SS3-8130.4 8.50 SS3-8130.4 6.45 883-8130.4 224.00 883-8130.4 392.00 583-8130.4 84.00 SS3-8130.4 10.00 853-8130.4 298 Camo Pollution SS3-8130.4 SW1-8320.4 934.52 SS1-8130.4 883-8130.4 Gen Fund Vou, # 1182 Pauline Egan 83.83 i -W J7'3.7' 100.00 200.00 286.40 SW2-8310.1 41.94 SS2-8110.1 41.94 In Witness Whereof, I have hereunto set my hand and the Seal of the Town of thi 4th day of NOVEMBER [SEAL] , 19..14. SW2-8320.4 112.50 SS2-8130.4 235.62 WAPPINGER Town Clerk CAPITAL FUND WARRANT To LOUIS D. DIEHL , Supervisor Town of WAPPINGER , County of DUTCHESS , New York. The following claims, having been presented to the Town Board of the Town of WAPPINGER , and duly audited and allowed at a meeting thereof held on the 13th day of NOVEMBER a certificate thereof having been and directed to pay to each of hereinafter stated: , 19 74, in the amounts hereinafter respectively specified, and duly filed in my office as Town Clerk, ycsu are hereby authorized the following claimants the amount allowed upon his claim as CLAIM NAME OF CLAIMANT No. AMOUNT FUND OR ALLOWED ACCOUNT OTHER INFORMATION H-64 Hall & Company, Inc. :2,733.3' WAPPINGER SEWER IMPR. #1 BOND ACCT IC & A Excavating H-65 Contractors, Inc. 4,716.5 WAPPINGER SEWER II4PR. #1 BOND ACCT. H-66 Rebena Construction Co. :3.298.7 WAPPINGER SE4'ER IMPR. #1 BOND ACCT. H-67 Lombardi & Son, Inc. 1,466.5 WAPPINGER SEWER IMPR. #1 BOND ACCT. H-68 Rudolph E. Lapar, P.E. 4,629.4' WAPPINGER SEWER IMPR. #1 BOND ACCT. K & A Excavating H-69 Contractors, Inc. 3,267.7 CENTRAL WAPP GER WATER IMPR. BOND ACCT. H-701 Lombardi & Son, Inc. 15,622.9 CENTRAL WAPP R WATER IMPR. BOND ACCT. H-711 Rebena Construction Co. H-721 Rudolph E. Lapar, P.E. 7,299.0( CENTRAL WAPP) GER WATER BOND ACCT. 3,116.0 H431 Video Pipe Grouting,Inc►. 561.3 Hayward & Pakan Associate's H-74 & Rudolph E. Lapar,P.E. 48,300.0 Lf/5> o (/. (. CENTRAL WAPP]$GER WATER IMPR. BOND ACCT. DRAINAGE CONSTT. PROGRAM TRI MUNICIPAI SEWER IMPR. AREA (G9995.4) 1n Witness Whereof, I have hereunto set my hand and the Seal of the Town of WAPPINGER this 14th day of November , 19 74 [SEAL} VA au Town Clerk To Louis D. Diehl WARRANT , Supervisor HIGHWAY Town of Vappiagpr , County of !IOW's:as , New York. The following claims, having been presented to the Town Board of the Town of Wappinger , and duly audited and allowed at a meeting thereof held on the 1.3th clay of November , 19/4.., in the amounts hereinafter respectively specified, and a certificate thereof having been duly filed in my office as Town Clerk, you are hereby authorized and directed to pay to each of the following claimants the amount allowed upon his claim as hereinafter stated: CLAIM No. NAME OF CLAIMANT (AMOUNT FUND OR ALLOWED ACCOUNT OTHER INFORMATION 267 Agway Petroleum 1235.20 OR 5110.4 268 John W. Vorndran 126.00 $$ 269 Guardian Safety Equip. 24.47 270 Guardian Safety Equip. 29.75 271 Guardian Safety Equip. 3.77 272 R.W. Lingo, Ins. 79.54 273 Spoor-Lasher,Inc. 16,946.07 " 274 Clove Excavators. Inc. 2826.80 " 275 Montfort Bros.. Inc. 218.83 276 Theisen Equip. Co. 24.90 OR 5110.4 - $14.15: OM 5130.4 - $10.75 277 Montfort Bros., Inc. 318.12 111 5120.4 278 Acme Tank & Truck 1210.00 OM 1130.2 279 Acme Tank i Truck 115.00 ON 5130.2-353.13; OM 5130.4- S61.8L 280 Walter Smith Welding 38.43 OM 5130.4 281 W,0. Penn Machinery 40.39 282 Sennett Enterprises 244.10 283 Bennett Enterprises 20.66 284 B & K Auto Supply 462478 285 Hudson River Sales 213.42 286 B.F. Goodrich Co. 204.84 287 Urey Hardware 5.72 288 Automotive Brake 473 289 Donohue Tree Service 225.00 pS 040.4 In Witness Whereof, I have hereunto set my hand and the Seal of the Town of Wappinaer this 13th day of 1974 , 19 [SEAL] Town Clerk . WARRANT HIGHWAY -2- To I144tis 0i Diehl , Supervisor Town of Wappinger Wappialler , County of Detehess , New York. The following claims, having been presented to the Town Board of the Town of and duly audited and allowed at a meeting thereof held on the .1.30..day of Neyllp!A!r , 19.I4.., in the amounts hereinafter respectively specified, and a certificate thereof having been duly filed .in my office as Town Clerk, you are hereby authorized and directed to pay to each of the following claimants the amount allowed upon his claim as hereinafter stated: CLAIM NAME OF CLAIMANT AMOUNT FUND OR No. ALLOWED ACCOUNT 290 Rowe -Rutledge 37.10 RS 5140.4 ,391 Artco Eou i oment Co 37.41 14 292 Reardon -Or ggs 165.40 14 293 Ralph C. Herman, jp . 316.96 05.514224 294 N.S.S. Supply 95.64 OM 5130.4 la e ' 19i 3/3,53 OTHER INFORMATION In Witness Whereof, I have hereunto set my hand and the Seal of the Town of Wappinger this 13th day of Moveisber , (SEAL Town Clerk