Loading...
1976 Final Budget " . .1 .. , . {: TOWN BUDGET For 197 ~ >t Town of in County of WAPPINGER ;i DUTCHESS Villages Within or Partly Within Town Village of WAPPINGERS FALLS Village of L CERTIFICATION OF TOWN CLERK I, &..\.~e ~ 'Sn{fuk~ . Town Clerk, certify '_ ,~. and correct capYa::;::t~;7: t~:d~:w:f ~::r:ao:nt:: ~dayof ~tfot,. , 19~. SI9.0dg<1"HO ~ ~><:9,~. . T own Clerk i Doted Nffi,<2.U.....,l,Qef" ;:J,lL it{ /.~ /" ~- L ~. .~ A. C. 1258 (Rev. 4/74) /_~ "- .: ~- ~. SUMMARY OF TO\A1N BUDGET LESS LESS ESTIMATED UNEXPENDED AMOUNT TO BE CODE FUND APPROPRIATIONS REVENUES BALANCE RA IS ED BY TAX l GENERAL $ 550 ..346.00 $ 192 .511. 00 $ 85,000.00 $ 272~835.00 GENERAL OUTSIDE VILLAGE 359, l?g 00 216,938.00 25,000.00 -117,191.00 HIGHWAY . . DR REPA I RS AND IMPROVEMENTS 383.137.00 11.532.00 9.000.00 362~605.00 DB BRIDGES 4,000.00 .00 150.00 3~850.00 DM ~~MACH I NERY 54.610.00 .00 5.000.00 49,610.00 DS ~:SNOW AND MISC. 67,227.00 .00. 11 ,000.00 56~227.00 DE I MPROVEf'v1.ENT PROGRAM CD COt-1MUNITY DEVELOPMENT CF FEDERAL REVENUE SrARING 163,900.00 118,900.00 45~000.00 .00 L PUBLIC LIBRARY SUB-TOTALS 1,582,349.00 539 .881. 00 180,150.0n R6?,11R no S SPECIAL DISTRICTS . . (LIST EACH SEPARATELY) U Forwarded From Page 1 - A 654.792.00 165~830.00 31.373.00 457,5Rg.OO (18,411.67 Fishkill) (Fishkill 18,411.67) i 1Chelsea Fire District 17,:nR 11 100.00 .00 17 .?1R :n Hughsonville Fire District 64.632.23 650.00 .00 63.982.23 New Hackensack Fi re Di s t r. 129.786.00 5,298.41 1~500.00 122.987.59 Cameli Light District 379.33 .00 .00 379.33 Hughsonville Li ght Distr. 11.529.04 .00 .00 11.529.04 ",",--.- Chelsea Li ght District 4.687.07 .00 .00 4,687.07 Rockingham Sewer District 81.800.00 76.800.00 5,000.00 .00 .. Oakwood Knolls Water Distr. 15.028.83 9.480.00 .00 5.548.83 Fleetwood Water District 13.084.00 8.232.78 1~372.00 3.479.22 Fleetwood Sewer District 27.840.00 20.130.54 4.000.00 3.709.46 TOT ALS $ 2.603,245.83 $ 826.402.73 $ 223.395.00 $ 1.553.448.10 :: ILtown contains a vi Z lage check one of the fo Z lowing: l-.. ..../.1 Village is not exempt from Machinery and Snow and Miscellaneous Taxes. ..;L-/ Village is exempt from Machinery and Snow and Miscellaneous Taxes. 0/ I Village is exempt from Machinery Taxes but not Snow and MisceUaneousTax<3s. . 1.._1 vi l lage 1- s exemp t from Snow and MisceUaneous Taxes bu t no t Mach inery Taxe 1 SUMMARY OF TOWN BUDGET A GENERAL L. is ES T li'-1A TED APPROPRIATIONS REVENUES $~ $ LESS UNEXPENDED BALANCE At"iOUNT TO BE RAIS ED BY TAX ..... CODE FUND - $ $ B GENERAL OUTSIDE VILLAGE HIGH \~A Y : DR REPAIRS AND IMPROVEMENTS DB BRIDGES Dt" ::MACH I NERY DS xSNOW AND MISC. DE IMPROVEt~ENT PROGRAM CD COMMUNITY DEVELOPHENT CF FEDERAL REVENUE SHJ-\RING L PUBLIC LIBRARY S SPECIAL DISTRICTS (LIST EACH SEPARATELY) HaRl?inger Sewer Impr.#l Distr. 275,257.00 24.500.00 4,017 .00 246 74 Central Happ. Hater District 281.443.00 60,000.00 10,594.00 210 84 Mid-Point Park Sewer Distr. 22.940.00 22,940.00 .00 .00 Tall Tree Water District 18,110.00 11,348.00 6,762.00 .00 Wildwood Sewer District 57,042.00 47,042.00 10,000.00 ..00 . SUB-uTOT ALS $ 654,792.00 $ 165,830.00 $_~h373.00 _$_.-157,589.00_ :: If town contains a vi Z Zage check one of the fo Z ZMJ7:ng: II Village ,is not exempt fl'om Machir:el'y alid Sn01J m,d l4iscellaneous TtJ:, s. /...'-:.7 Village is exempt fpom Mach1:nel'Y and Sr,o'.J and t,!iseellaneous 'l'a:1.:es;~ LJ Village is e,xerr;pt fl'om Machiney.y Ta::rcs but not 5nolJ ana J\'!iseellmwo' :J.'ax' I 7 Vi l Zage is exemri. from Sno/,) and /.:isceUar:eoy.s 'j'a;<:es but not Machinery 'l'a: 1- .t\ ...,;/ , I .. , ACCOUNT~ ITO\':~~ BOARD PERSO\AL SERVICES IEQU I Pi.:ENT ICOi'\TRACTUAL EXP. i TOTAL IIUSTICES .. ~ID E R SON A L S E R V ICE S EQUIPMENT . !CONTRACTUAL EXP. I TOTAL ~RAFFIC VIOLATIONS : BUREAU . II'PERS ONfI.L S ERV ICES EQUIPMENT ICONTRACTUAL EXP. TOTAL ISUPERV I SOR IPERSONAL SERVICES LQUI Pt-1ENT PtHRACTUAL EXP. TOTAL GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT BUDGET BUDGET I ACTUAL IrHIS YEAR OFFICERS PRE- LAST AS TENTATIVE LlMI NARY .YEAR AMENDED. BUDGET BUDGET ADOPTED CODE 1971- 197~ 197.2 1976.- 19 7-,2 ( ( AI0I0.1 13,000.00 14,300.00 14,300.00 15,000.00 15.000 00 ,'\1018.2 .6.10 lO . it 841 gQ gOO.OO 900.00 900.00 900. 00 -- 15,200.00 15,900.00 15.900.00 A 10 10 .0 1 ~ R<11' RQ 15.200.00 AIl10.1 16,600. 00 20,790.00 22.614.00 22.239.00 22.239-.JlQ AlllO.2 . uu 1.200.00 1.200.00 1.200.00 AlllO.it <!,OO1. 12 4, 180.00 3.800.00 3.800.00 3.800.00 Al110.0 21.201.12 24,970.00 27,614.00 ?7 ?~Q nn 27.239 00 , All 30 . 1 Al130.21_. A1130.4 A1130.0 A1220.1 A1220.2 A1220.4 A1220.0 26,254.38 29,700.00 .00 1. 100.00 30.800.00 ~ DIRECTOR OF FINANCE PERSONAL SERVI CES ,/1.1310.1 EQUIPMENT !AI310.2 _ kONTRACTUAL EXP. A13l0.4 I TOTAL IA1310 .0. tOI-1PTROLLER . t IPERSOi'JAL SERVICES A1315.11j I:: QUI P t.E i...J TAl 3 1 5 . 2 . \CO~nRt.CTUAL EXP. IAl 315. ~ 1--- I . I TOTAL AI3l5.0'1 I . " .\1 NDEPENDENT AUDITING I AND ACCOUNT I NG I I ICOt~TRACTUAL EXP. ;U320.U._2.000.0<D_ 3.000.00 ~AX COLLECTION ; ~ jPE;::;SOr'JAL SERVICES fd330 .lkQ..._08lc!-9..2.lll, 110.00 ic,-!'''; I P:~EJH ;:'1330 .2i .-n1" 00 ! c () f ; T P J\ C T U A l. E X P . A 1 3 3 0 . 4\ ----z 67. 1 8, 600. 00 : TOTAL :d330 .OI~O, 351. 1_~Il9. 00 $~DGET I U- --,E.. R S Oi J[, L S E R \I ICE S Al 31+ 0 . 1. ~UIPMENT A1340.2 ,()i~TRACTUAL EXP. IAl :,LtO . Lt I TOTAL /...1340.0, 193.19 -- -~-------~_.__..__.._---- .-------. __ ___ _ L ----.-: g44 7n 27. oqq nR 15,000..,00 500.00 0200.00 193.19 600.00 . 00 500.00 1,100.00 2 26,560.00 4.500.00 L 100 . 00 ' 32.160.00 22.400.00 4 J:i00 nn 1 100 00 ?R nnn nn 22.400.00 4.500 00 1,100.00 28.000.00 30,685~00 1,000.00 750.00 32,435.00 28,245.00 1,000.00 750.00 29.995.00 28 245.00 1 000.00 750.00 29 995.00 ., 1"\,.", 1"\1"\ ~.onn nn 3.00n on 13,350.00 12,320.00 12,320.00 1,000.00 1,000.00 1 QQQ....QL 600.00 600.00 600.00 14,950.00 13,920.00 13.920.00 600.00 on .00 500.00 nn .00 L 100.00 .00 .00 L~ , -. GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT ; BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTE ACCOUNTS CODE 197! 1972- 197Q.. 197J2. 1972- PURCHASING PERSONAL S ERV ICES A1345.1 .. IEQU I Pf\1ENT A1345.2 ICONTRACTUAL EXP. A1345.4 TOTAL A1345.0 ~SSESSORS A1355.1 30,855.00 ERSONAL SERVICES 26.770.42 33,800.00 32.792.00 3?_ 7q? nn ~QUIPMENT A1355.2 200.00 4,500.00 4.500.00 4_~nn nn ONTRACTUAL EXP. A1355.4 21, 3 1 9. 0 0 1 C)nn nn 2,500.00 2.500.00 2.500 00 : TOTAL A1355.0 29.089.42 32 555 00 40,800.00 39.792.00 3q 7q? nn Review BaaEd A1355.45 1,200. 00 '1,200.00 1.200.00 k:GNTRA~TUAL EXP. A1370.4 1.200.00 tOvlN CLERK- ! PERSONAL SERVICES A1410.1 26,034.81 29.245.00 33,011.00 31.740.00 31. 740.00 EQUIPMENT A1410.2 .00 875.00 875.00 875.00 CONTRACTUAL EXP. A1410.4 2.056.65 2,600.00 2,500.00 2.500.00 2.500 00 TOTAL A1410."O 28, 091 46 31 845 no 36,386.00 35 .11S .00 35 11~.00 ATTORNEY PERSONAL SERVICES A1420.1 -EQUIPMENT A1420.2 - CONTRACTUAL EXP. A1420.4 9, 000.00 9,000.00 9 000.00 q nnn 'ill TOTAL A1420.0 8,578.39 g (100 00 9,000.00 9 000 00 q onn 01 PERSONNEL ~ERSONAL SERVICES A1430.1 EQUIPMENT A1430.2 ~ONTRACTUAL EXP. A1430.4 TOTAL A1430.0 :NGINEER PERSONAL SERVICES A1440.1 . r EQUIPMENT A1440.2 ~ONTRACTUAL EXP. A1440.4 3.999.00 4.000.00 4,000.00 4,000.00 4,000.00 TOTAL A1440.0 ~ QQQ 00 4 000 on 4,000.00 4,000.00 4 ,000. 00 . ELECTIONS fERSONAL SERVICES A1450.1 4.372.30 18.000.00 18,000.00 18,000.00 18,000.00 EQU I Pt",ENT A1450.2 R 13R 42 1 5Q.Q...Jl0 1,500.00 1,500.00 1,500.00 ONTRACTUAL EXP. A1450.4 36.57 100.00 100.00 100.00 100.00 TOTAL A1450.0:2~,54].~q 19 600 00 19,600.00 19,600.00 19,600.00 \BOARD OF ETHICS rERSONAL SERVICES A1470.1 ---- QUIPMENT A1470.2 c- ONTRACTUAL EXP. A1470.4 100.00 100.00 100. TOTAL Allt70.0 100.00 100.00 100. I - . 3 ( -, l BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE L1MINAR.Y YEAR AMENDED B U DG E T BUDGET ADOPTED ACCOUNTS CODE 1971- 197~ 1972- 197~ 1972 ldingS, Land & Sites A1620.3 .00 PEI<~ONAL SERVICES A EQUIPMENT Al c CONTRACTUAL EXP. Al TOTAL A 1620.0 . 00 BUILDINGS 2,416.68 6,500.00 4 000.00 PERSONAL SERVICES A1620.1 ,:1.- - -_ 4,000.00 Ll 000 no ! ,EQU I PMENT A1620.2 1,292.35 5.000.00 2,500.00 2,500.00 ? "00 00 \CONTRACTUAL EXP. A1620.4 t;n nnn 00 40,000.00 40,000.00 40 000 on I TOT AL A1620.0 33,232.50 h 1 500 00 46.r.?00.00 46,500.00 Llfl "00 no ts Building Improveme lPERSONAL S ERV ICES A 1 62 0 .1 , EQUIPMENT Al 62 0 . 2 I CONTRACTUAL EXP. A1620.4<i 6 000 00 , nnn nn 1.000.00 \ TOTAL A1620AL (.. nnn nn , tVV' n n 1000.00 CENTRAL COMMUNICATIONS , SYSTEM A16S0.l ~'RSONAL SERVICES QUIPMENT A1650.2 DNTRACTUAL EXP. A1650.4 6,460.00 7 000 00 8,000.00 8iOOO.00 8.000.00 TOTAL A1650.0 6,460.00 7 000.00 8,000.00 8,000.00 8 000.00 , kENTRAL STOREROOM pERSONAL SERVICES A1600.l ,cQU I PMENT A1660.2 ~ONTRACTUAL EXP. A1660.4 3,993.35 4,500.00 4,500.00 4.500.00 4.500.00 , I TOTAL A1660.0 3,993.35 4 500.00 4,500.00 4.500.00 4.500.00 ENTRAL PRINTING I . I AND MA I L I N G A1670.l /pERSONAL SERVICES \EQU I PMENT A1670.2 .jCONTRACTUAL EXP. A1670.4 4,500.00 6,000.00 8,000.00 8,000.00 8.000.00 i TOTAL A1670.0 4,500.00 h.. 000 00 I 8.000 00 8,000.00 I 8.000.00 I I CENTRAL DATA PROCESSING I PERSONAL SERVICES A1680.I i EQUIPMENT A1680.2 CONTRACTUAL EXP. A1680.4 500.UO 500.00 t:;nn ()n 500.00 I TOTAL A1680.0 500.00 500.00 t:;()n nn 500.00 SPECIAL I TEt~S I I ~JNAL LOCA TED INS. A1910.4 5,966.10 7.000.00 7 000.00 7,000.00 7.000.00 '.JNICIP,L\L ASSN. DUES A1920.4 400,00 400 00 400.00 400.00 400.00 Sure.ty Bonds A I 9), 0 . 4 1 l,OUU.UO ? 000.00 2,000.00 2.000.00 I ,,?NTIGEN T ACCOUNT A1990.4 10,000.00., 10,000.00 2,500.00 2.500.00 f' SOC. OF Towns & Edc. A1920.5 5,363.69 5. 000. 00 I r:;nnn nf) 5,000.00 5 000.00 I TOTAL 24.400.00 24 400.00 16,900.00 16.900.00 I 70TAL GENERAL ~10,480.00 ~31,345.00 I ~261.00 I GOVT. SUPPORT A1999.0 i312, 261. 00 I ~ ____.~___.H___ ~___ _" GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT Bui . -,- \ 4 , < t, GENERAL FUND APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTE ACCOUNTS CODE 197~ 1972 19 7 _6 197.2 1976 PUBLjIC SAFETY PUB L I C SAFETY ADMINISTRATION I PERSONAL SERVICES A3010.1 - ,EQU I PMENT A3010.2 . !cONTRACTUAL EXP. A3 010".4 TOTAL A3010.0 POLICE AND CONSTABLE PERSONAL SERVICES A3120.1 EQUIPMENT A3120.2 CONTRACTUAL EXP. A3120.4 162 35 500.00 500.00 500.00 ~nn nn TOTAL A 3120 ..0 It.? ~~ 500.00 500.00 500.00 t;nfl flfl JAIL PERSONAL SERVICES A3150.1 EQUIPMENT A3150.2 "'ONTRACTUAL EXP. A3150.4 . TOTAL A3150.0 TRAFFIC CONTROL PERSONAL SERVICES A3310.1 EQUIPMENT A3310.2 17. 20 . UU ~ONTRACTUAL EXP. A3310.4 QLI.~ Qf) 2, 000. 00 3,000.00 3,~OO:OU 3.500.00 TOTAL A3310.0 Qt.l l() 2.000.00 3,000.00 3,500.00 q t;flfl.nn PN STREET PARKING ~ERSONAL SERVICES A3320.1 QUIPMENT A3320.2 "'ONTRACTUAL EXP. A3320.4 TOTAL A3320.0 IRE FIGHTING PERSONAL SERVICES A3410.1 EQUIPMENT A3410.2 ,-ONTRACTUAL EXP. A3410.4 TOTAL A3410.0 CONTROL OF ANIMALS - DOG vJARDEN PERSONAL S E RV ICE S A3510.1 .14. 1 5 9. t~4. ~, 500~OO 6 ,~;OO. 00 6,500.00 6.500.00 EQUIPMENT A3510.2 . (10 CONTRACTUAL 6,648.20 -- .h.QQo. " 0 0 ....-".- EXP. A3510.4 6.\180.0.9 6,000.00 6 000. on TOTAL A3510.0 12 807.64 12 500.00 12.l~;OO. 00 12,500.00 12 500.00 EXAMINING BOARDS ..... ""~n_ PERSONAL SERVICES A3610.1 11 EQU I Pf-1ENT A3610.2 k::mnRAcTUAL EXP. A3610.4 TOTAL .A3610.0: - ;. '" 5 GENERAL FUND APPROPRIATIONS ;;. BUDGET BUDGET ACTUAL HIS YEAR OFFICERS PRE- l LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET B U DG E T ADOPT.ED I ACCOUNTS CODE 1971:- 1972- 197..2 197~ 197Q ... PUBLI C SAFETY (CONTD ,) S.;C,FETY INSPECTION , PEKSOi'lAL SERVICES A3620.1 I EQU I Pi-.IENT A3620.1 I C0\!TR ^ CTU t, I EXP. A3620.4 I ""i" K r..... I TOTAL A3620.0 !cIVIL DEFENSE IpERSONAL SERVICES A3640.1 IEQuI Pi'.1ENT A3640.2 ~CONTRACTUAL EXP. A3640.4 300 00 200.00 200.00 200.00 1 TOTAL A3640.0 ~OO 00 200.00 200.00 200.00 IDEf'10L I T I ON OF i UNSAFE BUILDINGS ! iPERSONAL SERVICES A3650.1 IEQUI Pi'/,ENT A3650.2 CONTRACTUAL EXP. A3650.4 I TOTAL A3650.0 I 1 Is CHOOL ATTENDANCE \ OFFICER SERVICES A3660.1 !PERSONAL \EQU I PtvIEi'JT A3660.2 ~NTRACTUAL EXP. A3660.4 , TOTAL A3660.0 TAL FlJBL Ie SAFETY A3999.0 l~ ~f)f) f)f) 16.200.00 16,700.00 16.70n.on i HEP.L TH I IBOARD OF HEALTH IPERSONAL SERVICES 1'.4010.1 !EQU I PI--1ENT A4010.2 COrHRACTUAL EXP. A4010.4 I TOTAL 1'.4010.0 I I iREG I STRAR OF i VITAL STATISTICS - I ?ERSONAL SERVICES 1'.4020.1 I=-Qu I PI.1,Et~T 1'.4020.2 ICOiHRACTUAL EXP. Al+020.4 ; \ rOTAL - 1'.4020.0 :LABORA TORY PERSONAL SERVICES 1'.4025.1 ;::: QUI PH EN T 1'.4025.2 iCm'JTRAC TU.t,L EX~") . A4025.4 . TOTAL A4025.0 ld R POLLUTION ::> E RS Oi'JAL SERVICES A4060.1 ;EQ U I Pi-'.EtH A4060.2 mn R ACT U.t. L EXP. A4060.4 TOT J\L ^ 1+ 0 6 0 . 0 -----,-~..~ --------- ---"- .._------- L ;0: ,...... ~, ~ ;,..-' ~ Zlage See explanation (1) on last page for charges to town - area outside of villages. See explanation (2) en last page for charges to town - area outside of villages. 6 =* ..... ;;. .,;. .... ~i~~ ... 7 . ~ 'I -1 .1.. I. !.-age . ". I, GENERAL FUND APPROPRIATIONS BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LlMINARY YEAR AMENDED ,- BUDGET BUDGET ADOPTE ACCOUNTS CODE 197~ 1972 197~ 197~ 197~ HEALTH (CONTD.) INSECT CONTROL PERSONAL SERVICES A4068.1 EQUIPMENT A4068.2 CONTRACTUAL EXP. A4068.4 TOTAL A4068.0 NARCOTIC GUIDANCE COUNC!.L A4210.1 PERSON L SERVICES EQUIPMENT ALf210.2 CONTRACTUAL EXP. A4210.4 500.00 500.00 500.00 ~()n nn TOTAL A4210.0 son on 500.00 500 00 ~()n nn ~ARCOTICS CONTROL ERSONAL SERVICES A4220.1 QUIPMENT A4220.2 ""ONTRACTUAL EXP. A4220.4 TOTAL A4220.0 JOINT HOSPITAL ONTRACTUAL EXP. A4525.4 -\MBULANCE PERSONAL SERVICES ALf540.1 EQUIPMENT A4540.2 CONTRACTUAL EXP. A4540.lt 4U-, 347. 75 45 000.00 50,000.00 50.000.00 f5IT'OOO.~ TOTAL A4540.0 40,347.75 45 000.00 50,000.00 50.000. 00 ~n nnn ,MEDICAL HEALTH CENTER AND/OR PHYSICIAN PERSONAL SERVICES A4560.1 '.. I EQUIPMENT A4560.2 CONTRACTUAL EXP. A4560.4 TOTAL A4560.0 PERSONAL SERVICES . 1 EQUIPMENT .2 CONTRACTUAL EXP. .4 TOTAL . 0 TOTAL HEALTH A4999.0 40,347.75 45.500.00 50,500.00 50.500.00 !;n !;nn nn . TRANSPORTATION SUPT. OF HI GHvJAYS PERSONAL SERVICES A 5 0 1 0 . 1120, 700. 00 22,770.00 23.585.00 23.585.00 23.585.00 EQUIPMENT A5010.2 600 . 00 325 .00 325.00 325.00 ""ONTRACTUAL EXP. A5010.4 __.3.SR 00 ~ nnn nn _. 3 ,000 . (2.9- 3,000.00 3.000.00 I 1-----.. TOTAL A5010.0 21, 058~-:26, 370..0JL1_.26,910.0-:'b ~~,:!!..no . 00 26 - 910. 00 GARAGE ~ERSONAL SERVICES A513;:.1 \ .__. q._d .. . .---... -'''- --'--..-- _..... FQUIPMENT A5132.2 --.--.i.---.. --....- ONTRACTUAL EXP. A5132.4 2J?.11..J 8 j_L_Q..o o. 00 4,000.00 4,000.00 4.000oU. ~ TOTAL A5132.0 ~~ 4,000.00 4,000.00 4.000.00 4,000.0 .- ;: '" ~ 7 GENERAL FUND APPROPRIATIONS L r BUDGET BUDG~T ACTUAL THIS YEAR OFFICERS PRE- II LAST AS TENTATIVE LI MINAR i YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 197 4 197..5 197..6 197..6 197.6. TRANSPORTATION (CONTD ,) STREET LIGHTING CONTRACTUAL EXP. A5I82.4 q 1f,/ ~1 nn .00 AIRPORT I PERSONAL SERVICES A56I0.1. EQUIPMENT A5610.2 i CONTRACTUAL EXP. A5610.4 TOTAL A56I0.0 JOINT AIRPORT CONTRACTUAL EXP. A56I5.4 OFF STREET PARKING ! PERSONAL SERVICES A5650.I EQUIPMENT A5650.1 CONTRACTUAL EXP. A5650.4 TOTAL A56 50 ..0 I i PERSONAL SERVICES . i cQUIPMENT . 2 ONTRACTUAL EXP. .4 i .... TOTAL .0 j TOT AL TRANS- poRTAToN A5999.0 v; A~l c;Q 30 370.00 30,910.00 30,910.00 ::lO.Qln nn ECONOMIC ASSISTANCE AND OPPORTUNITY \ SOCIAL SERVICES - . i ADMINISTRATION \ PERSONAL SERVICES A60I0.I ! EQUIPMENT A50I0.2 CONTRACTUAL EXP. A6010.4 : TOTAL A6010.0 .. I SOCIAL SERVICES - '- i HO~1E RELI EF CONTRACTUAL EXP. A6I40.4 SOCIAL SERVICES - I BUR IALS I CONTRACTUAL EXP. A6148.4 I ~ ( 8 GENERAL FUND APPROPRIATIONS BUDGET BUDGET ACTUAL IrHIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY ,r YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 7_4 1972 197j 197,~ 197~ ECONor,1 I C ASSISTANCE AND OPPOFTUNITY (CONTD ,) I I CETA - ADMINISTRATION (TITLE 2) PERSONAL SERVICES A6210.1 EQU I Pf'vlENT /!\6210.2 CONTRACTUAL EXP. A6210.4 --- -. TOTAL A6210.0 -- I 6) CETA - ADMINISTRATION (TITLE , PERSONAL SERVICES A6216.1' IEQUI PMENT A6216.2 CONTRACTUAL EXP. A6216.4 TOTAL A5216.0 CETA - TRAINING PROGRAMS TITLE 2) PERSONAL SERVICES A5230.1 CONTRACTUAL EXP. A6230.4 TOTAL A5230.0 CETA - WORK EXPERIENCE PROGRAMS (TI T LE 2) PERSONAL SERVICES A6240.1 CONTRACTUAL EXP. A6240.4 TOTAL A6240.0 tETA - WORK EXPERIENCE PROGRAMS (TITLE 6) It .PERSONAL SERVICES A6246.1 CONTRACTUAL EXP. A6246.4 TOTAL A62Lt6.0 CETA - PUBLIC EMPLOYMENT PROGRAMS (TITLE 2) PERSONAL SERVICES A6250.1 CONTRACTUAL EXP. A6250.4 TOTAL A6250.0 CETA - PUBLIC EMPLOYMENT PROGRAMS (TITLE 5) PERSONAL SERVICES A6256.1 CONTRACTUAL EXP. A6256./+ TOTAL A6256.0 . PUBLI CITY PERSONAL SERVICES A6410.1 EQUIPMENT A6410.2 CONTRACTUAL EXP. A6410.4 300.00 300.00 300.00 300.00 TOTAL A6410.0 300.00 300.00 300.00 300.00 VETERANS SERVICES PERSONAL SERVICES A6510.1 EQU I Pt~ENT A6510.2 ... CONTRACTUAL EXP. A6510.4 350.00 450:-"uu 450.00 450.00 450.00 TOTAL A6510.0 350.00 450.00 450.00 450.00 450.00 TOTAL ECONOMIC ASSISTANCE ..-- "n.i1 AND OPPORTUNITY A6999.0 350.00 750.00 750.00 750.00 - .._------.-- -~-.-r--- _-L- ---- " 9 " GENERAL FUND APPROPRIATION~ ~ 1 BUDGET BUDGET ACTUAL HIS YEAR OFFICERS PRE- t LAST AS TENTATIVE LIMINARY. YEAR AMENDED BUDGET BUDGET ADOPTED j ACCOUNTS CODE 19 71_ 197.2 197.2 1971> 1972. , .,. CULTURE - RECREATION IRECREATION AD~1 I N I STRA TI ON 688.53 i?ER30NAL SERVICES A7020.l 800.00 1,000.00 800.00 800.00 I =";'I?"CNT A7020.2 .00 .00 .00 .00 , :.....V ..../ J"ILI I ' A7020.4 14.00 100.00 : CO!\TRf\CTUAL EXP. 100.00 100.00 100.00 I TOT A.L A7020.Q 702.53 ann nn 1,100.00 900.00 900.00 i I ~ !PARKS jPERSONAL SERVICES AlllO.l Htt.OO 8,800.00 14,000.00 14,000.00 14,000.00 i E QUI P t.j E N T A7ll0.2 3,9 ;:t;0 5.800.00 3,000.00 3,000.00 3.000.00 \CONTRACTUAL EXP. A7ll0.4 29.503.46 35,400.00 25,750.00 25,750.00 25,750.00 TOTAL A7ll0.0 Rq qfA Oh 50.000.00 42,750.00 42,750.00 it? 7t:ln nn I I ! \ eET A - SUi'II1ER RECREA T I ON PROGRAfVl ,PERSONAL SERVICES A7l30.l ! EQU I Pf\1ENT A7l30.2 ICONTRACTUAL EXP. A7l30;4 , -. .~'" TOT A,L A7l3J.O I : !PLAYGROUNDS AND RECREATION CENTERS LJPERS0NAL SERVICES A7I40.! EQUIPtv1ENT A7l40.2 l4,043.5~ "CONTRACTUAL EXP. A7I40. 4 25,543,02 31,355.00 26,805.06 26,805.00 ?fi ~n~.on i TOTA.L A7l/+0.0 39.586.57 31 355 00 26.805.00 26.805.00 ?fi ~nt:l nn I JOINT REC, PROJECT A7lL+5.4 BEAUi AND POOL IPERSONAL SERVICES A7l80.l IEQU I PME~H A7180.2 ICOt<TRACTUAL EXP. A7l80.4 I TOT AL A7l80.0 \r'1AR I NA . AND DOCKS rERSONAL SERVICES A7230..l EQUI Pt"',ENT A7230.2 Ico~nRACTIJAL EXP. A7230.4 TOTAL A7230.0j ! "'-,...,- .:,;-~tf: :ri:lage - See ex;-lana-f;ion (2) on "last page for charges to town - area outside of villages. l 9-A , ... .'1' 1 GENERAL FUND APPROPRIATIONS * BUDGET BUDGF;T ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTE ACCOUNTS CODE 197.1- 1972.- 197.2 197Q. 197~ CU TURE - R CREATION (CONTD,) GOLF PERSONAL SERVICES A7250.1 EQUIPMENT A7250.2 CONTRACTUAL EXP. A7250.4 TOTAL A7250.0 SKI FACILITY PERSONAL SERVICES A7260.1 EQUIPMENT A7260.2 CONTRACTUAL. EXP. A7260.4 TOTAL I A7260.0 . BAND CONCERTS CONTRACTUAL EXP. A7270.4 YOUTH PROGRAM PERSONAL SERVICES A7310.1 EQUIPMENT A7310.2 CONTRACTUAL EXP. A7310.4 TOTAL A7310.0 JOINT YOUTH PROJECT d CONTRACTUAL EXP. A7320.4 LIBRARY CONTRACTUAL EXP. A7410.4 - MUSEUM PERSONAL SERVICES A7450.1 EQUIPMENT A7450.2 CONTRACTUAL EXP. A7450.4 TOTAL A7450.0 HISTORIAN PERSONAL SERVICES A7510.1 200.00 250.00 250.00 250.00 EQUIPMENT A7510.2 CONTRACTUAL EXP. A7510.4 200.00 200.00 200.00 200.00 . TOTAL A7510.0 400. 00 450.00 450.00 450.00 I HISTORICAL PROPERTY I PERSONAL SERVICES A7520.1 200.00 - EQUIPMENT A7520.2 CONTRACTUAL EXP. A7520.4. 199.35 TOTAL A7520.0 __Jqq 35 -,--.-. CELEBRATIONS PERSONAL SERVICES A7550.1 -- ,.-- 3000_ ~QUIPMENT A7550.2 k:oNTRACTUAL EXP. A7550.4 -305.46 9 000. 00 ~, 000.00 3.000.00 TOTAL A7550.0 ?Ai:; At. 9 000.00 3,000.00 3.000.00 3nnn: ---------- -'-_____I 7' * " *Town with T/illage - See explanation (]) on last page for oharges to town - area outside of villages. 10 GENERAL FUND APPROPRIATIONS BUDGET BUDGET ACTUAL "'HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGtT BUDGET ADOPTED I ACCOUNTS CODE I97j. 1972 I97~ 197.6 19 7~ I. CULTURE - RECREATION (CONTD.) PROGRAMS FOR AGING PERSONAL SERVICES A76I0.1 EQUIPMENT A76I0.2 CONTRACTUAL EXP. A7610.4 1,000.00 1,500.00 1,500.00 1 500.00 TOTAL A7610.0 1000.00 1,500.00 1,500.00 1 500.00 ~ ADULT RECREATION PERSONAL SERVICES A7620.1 EQUIPMENT A7620.2 CONTRACTUAL EXP. A7620.4 TOTAL A7620.0 TOTAL CULTURE - RECREATION A7999.0 55,565.29 92,655.00 75,605.00 75.405.00 7t) aOt) 00 '* ZONING PERSONAL SERVICES EQUIPMENT CONTRACTUAL'EXP. TOTAL '* PLANNING PERSONAL SERVICES A8020.I EQUIPMENT A8020.2 l.jCONTRACTUAL EXP. A8020.4 t... FeaTs~~~~ty Studies, A~~~2: ~ m "urvevs rPERSONAL SERVICES A8ri~0.1 , Census Survey A80 3'0.4 . CONTRACTUAL EXP. A8030.4 TOTAL A8030.0 ENVIRONMENTAL CONTROL PERSONAL SERVICE~ A8090.1 EQUIPMENT A8090.2 CONTRACTUAL EXP. A8090.4 TOTAL A8090.0 ** REFUSE AND GARBAG1 PERSONAL SERVICES A8160.1 :QUIPMENT A8160.2 CONTRACTUAL EXP. A8160.4 TOTAL A8160.0 ~OMMUNITY BEAUTIFICATION PERSONAL SERVICES A8510.1 ~QUIPMENT AS510.2 ~ONTRACTUAL EXP. A8510.4 512.49 TOTAL A8510.0 512.49 \JOISE ABATEMENT L. . '. P~~i~~~~T SERV ICES ',,~ONTRACTUAL EXP. TOTAL HOME ASOIO.I A8010.2 A8010.'4 A8010.0 AND CQMMUNITY SERVICES 7 000.00 3 000.00 10,000.00 3,000.00 3,000.00 I I 3,000.00 3 000.00 3.000.00 3 000.00 1.500.00 1.500.00 1,000.00 1,000.00 1,000.0~1 1.000.00 1.000.00 ' 1000.00 A8520.1 A8520.2 AS520.4 A8520.01 :t2'own W1-th Vd,Zqge - See expLanation (1)011, Zant page for chaI'ges to town - area outside of villages. **Town with Village - See explanation (2)011, last page for charges to town - area outside of villages. 11 GENERAL FUND APPROPRIATIONS . t BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTE ACCOUNTS CODE 197..4' 197..5 1976.. 197...6 197.6. HOME AND COMMU~ITY SERVI ES (CONTD.) DRAINAGE PERSONAL SERVICES A8540.1 EQU I P~1ENT A8540.2 CONTRACTUAL EXP. A8540.4 TOTAL A8540.0 SHADE TREES PERSONAL SERVICES A8560.1 JEQUIPMENT A8560.2 CONTRACTUAL EXP. A8560.4 TOTAL A 8 5 60 '. 0 CEMETERIES , PERSONAL SERVICES A8810.1 EQUIPMENT A8810.2 CONTRACTUAL EXP. A8810.4 459.01 800.00 700.00 700.00 700.00 TOTAL A8810~O 459.01 800.00 700.00 700.00 ino. 00 . AGENCY-PREV. OF CRUEL TY TO CHILDREN CONTRACTUAL EXP. A8820.4 - TOTAL HOME AND COI'IIMUN I TX S ERV ICE S A8999.0 971.50 12 300.00 4,700.00 4.700.00 /I. 7nn nn , . UNDISTRIBUTED EMPLOYEE BENEFITS STATE RETl REMENT A9010.8 11,744.00 20 000.00 20,000.00 20,000.00 20.000.00 FIRE AND POLI CE RETIREMENT A 90 1 5 . 8 SOCIAL SECURITY A9030.8 8.000.00 10,000. 00 10,000.00 10,000.00 10.000.00 . W)RKMENS COtv1P. A 90 40 . 8 3 118.62 3.500.00 3,500.00 3,500.00 3.500.00 LI FE INSURANCE A90lf5.8 . UNEtv1P LaY MENT INS. A9050.8 DISABILITY INS. A9055.8 714.79 1,000.00 LOOO.OO 1,000.00 1.000.00 HOSPITAL AND MEDICAL I NS,URAN CE A 90 60 . 8 5,894.09 1() ()()() ()(\ 9.000.00 9,000.00 9.000.00 TOTAL EMPLOYEE BENEFITS A9199.0 129.471. 50 44.500.00 43.500.00 43,500.00 43.500.00 '-'--'-'---' ------ ----..-.,-- -.-- -- ---""-.-_. _.. !' . ~ '.';:ii ;"1 ,. 12 .' GENERAL FUND APPROPRIATIONS ": BUDGET BUDGET ACTUAL lrHIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED 'I ACCOUNTS CODE 197.1 197.2.. 1976- 197-6 197-6 I - UNDISTRIBUTED (CONTD.) INTERFUND TRANSFERS TRANSFER TO HIGHWAY FUND A9540.9 TRANSFER TO CAPITAL FUND A9550.9. 100 000 0 100 000 00 TRANSFER TO building ft; nd) CAPITAL RES.FUND A9560.9 TRANSFER TO 1 REPAIR RES. FUND A9562.9 ITRANSFER TO GENERAL RES.FUND A9572.9 TOTAL INTERFUND TRANSFERS A9699.0 DEBT SERVICE PRINCIPAL 8,669.00 R 200. 00 5,000.00 5,000.00 :>ERIAL BONDS A9710.6 5.000.00 :>TATUTORY BONDS A9720.6 ~OND ANTICIPATION 10TES A9730.6 10,000.00 10 000.00 10,000.00 10,000.00 10,000.00 ,PITAL NOTES A971+0.6 DGET NOTES A9750.6 TAX ANTICIPATION NOTES A9760.6 ;>EYENUE ANTICI- PATION NOTES A9770.6 TOTAL PRINCIPAL A9899.6 18,669.00 18~00. 00 15.000.00 15.000.00 15 000.00 DEBT SERVICE \ INTEREST SERIAL BONDS A9710.7 8-55.89 485.00 170.00 170.00 170.00 .STATUTORY BONDS A9720.7 ~OND ANTICIPATION NOTES A9730.7 1,181.71 1 1 q O. 00 450.00 450.00 450.00 , API TAL NOTES A9740.7 UDG ET NO TES A9750.7 tAX ANTICIPATION NOTES A9760.7 EVENUE ANTICI- PATION NOTES A9770.7 10TAL INTEREST A9899.7 2,037.6 1,675.00 620.00 620.00 620.00 i I ~OTAL GENERAL FUND I APPROPRIATI ON l '(TRANSFER TOTAL '.' 1',00 PT ED II TO LlAG-"._~) ____.A9900. 0 ,453, 184.68 571,730.00 569,130.00 550,346.00 550 346.00 , 13 . . GENERAL FUND ESTIMATED REVENUES " " BUDGET BUDGET ACTUAL rHIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR /!Iv1ENDED BUDGET BUDGET ADOPTE ACCOUNTS CODE 1974 1975 1976 1976 1976 OTHER TAX ITEMS LOCAL SOURCES REAL PROPERTY TAXES PR lOR YEARS AI020 FEDERAL PAYMENTS IN LIEU OF TAXES AI080 - OTHER PAYMENTS IN LIEU OF TAXES AI08l INTEREST AND PENALTIES ON REAL PROPERTY TAXES AI090 6,621.65 8.000.00 10,000.00 10.000.00 10 nnn nn NON-PROPERTY TAX DISTRIBUTION BY COUNTY A1120 DEPARTMENTAL INCOME iTAX COLLECTION FEES I !(NOT INTEREST ON TAXE5>A1232 750.00 1,020.00 1,800.00 1,800.00 1,800.00 CLERK FEES ,A1255 3 OQO.lO 1 7l5.00 2,060.00 2.060.00 ?nfinnn POLICE FEES IAl520 PUBU C POUND C HARGES- I DOG WARDEN FEES Al550 SAFETY INSP. FEES Al560 . CHARGES FOR DEMO-- LITION OF UNSAFE BUILDINGS Al570 HEALTH FEES Al601 ;OSPITAL INCOME Al635 ~MBULANCE CHARGES A1640 14,703.50 15.000.00 15,000.00 15.000.00 15.000.00 PARKING LOTS AND GARAGES Al720 CN SfREET ~ING FEE S Al740 AIRPORT FEES & RENTA.LS Al770 AIRPORT COMMISSIONS AND CONCESSIONS Al774 AIRPORT SALES OF SUPPLIES Al776 - . REPAYMENTS OF HOME RELIEF A1840 REPAYMENTS OF BURIALS Al848 . PARK AND RECRE- ATION CHARGES A2001 RECREATION CO~KES S IONS A2012 BEACH OR POCL FEES A2025 AUDITORIUM CHARGES /\2035 ..- -- "1ARINA AND DOCKS A2040 ---------- FEES , bOLF A2050 ,.-- -. ~"-..._--_. ~.. -,-". _......,...._~-~ ._'~'~ :,KI FACI L ITY CHAffiES 1\2060 -----.-- -- ---,--, .-~-- -,~--..._--- -~.-. ::,KATING RINK FEES A2065 MUSEU~-1 CHARGES A2090 ZONING FEES A211 0 PLANNING BOARD I 1 FEES IA,2 11 S , .. !' '* * '* '* . "Town with Villages - See explanation (3) on last page for crediting these revenues to town - area outside villages. 14 \ , GENERAL FUND ESTIMATED REVENUES 1/ ACCOUNTS CODE ACTUAL LAST YEAR 1973 BUDGET HIS YEAR AS AMENDED 1972 BUDGET OFFICERS TENTATIVE BUDGET 1971> PRE- LH-1INARY BUDGET 1976.. ADOPTj::D 197 Q. I EPARTMENTAL INCO~E ARBAGE REfv'DV A.L AND DISPOSAL CHARGES '2130 ALE OF CEi'lIETERY ~ LOTS 2190 HARGES FOR CEMETi\RY SERVICES 2192 ~TAX AND ASSESSMENT SERVICES FOR OTHER GOVERNMENTS 2210 ARCOTICS CONTROL SERVICES FOR OTHER GOVERNMENTS 2290 LOCAL SOURCES (CONTDI) I USE OF MONEY AND PROPERTY INTEREST AND EARNINGS ~ENTAL OF REAL DR.OPERTY HAL OF REAL 'OPERTY J OTHER ~ VERNjvlENTS ,ENTAL OF EQUIA'vlENTJ OTHER GOVERNMENTcA2416 OMMISSIONS A2450 ICENSES AND PERMITS b' US I1\IESS AND OCCUPATIONAL LIC. A2501 lINGO LICENSE A25/+0 OG LICENSE FUND I -APPORTIONivlENT A2544 3.718. 2.8 3,000.00 3,000.00 3 000.00 : 3,000.00_ ERi'vlITS A2590... 1.001, 20Q,.....QlL. 200.00 200.001i_ 200.0L · FINES AND FORFEITURES FINES AND I I FORFEITED BA! L A2610 ~!96. OOJ.l..'hQ.OO~~_(i(;~_OO. 19,660.00 119,660.9~__; Im:~ ~ l; ~ :f~:: E RTY ;~~ 2 0 1-----1---- __J__ ---~---- ~~-~=- ! i' I i I COf!:? EtJSJ.\T r CHI FOH LOS S I I . I I=;ALES OF SCfU\P N,D It! . [~=XCESS t,~i',': ,~klI\LS /\2650 __'___=j=___ L . ; 'iHlOi<: S/\LES... OTIIER 1-\2555 _ ________ - I -----\ r '_ES OF REf,l. : .--- I ~.")r::<).y '~L6GO : I .vr cr...J --\ _ ; t ,. e 0 ,- 'C -. U T n ^J1 [~ . "f ^ ') b- r r: - --+----------- --'-""'7'-- --- . L ~) I L I....~ ~ I I 1 _ i\'"\ ..._ \.J -.; _ I ! ~ 'j:;(ir;,"\I'l'~[ -- -'---.--.---1------ ------1-----.--- \ lJ5~5,.(2v,.c!::l__s.~________ __t\2 G.~~_o._mL________L_____.__________ _ _!..________ I" A2401 15,191.2 14 000.00 8,000.00 8 000.00 8 OOO.....illL. A2410 A2lt12 1 5 GENERAL FUND ESTIMATED REVENUES. . :~ BUDGET BUDGET , ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY: YEAR AMENDED BUDGET BUDGET ADOPT ACCOUNTS CODE 1971. 1972 1976- 197.6. 197Ii I LOCAL SOURCES (CONTD, ) i-lISCELLANEOUS ~ REFUNDS OF PRIOR YEARS EXPENSES A2 7 0 1 GIFTS AND DONATION S A2705 . ENDm.JHENT AND I TRUST FLND I NCOi'IE A2755 CETA - GRANT FROI'I . P R I ME SPONSOR A2766 . jCETA - GRANT FROM I PRIME SPONSOR (TITLE 6) A2758 OTHER UNCLASS I FI ED REVtNUES (SPECI FY) __Miscp.llaneol1~ A2770 1,914.56 _ son. 00 2,000.00 2,00~ 2,000.00 . A2770 INTERFUND REVENUES FROH CAPIT.AL FUND A2850 1 OTHER A28 - - TRANSFER FOR DEBT S E R V I CE : " PREt.il Uft\ ON \ ,.,.' SECURITIES IS S UEC CAPITAL FUND A2950 -- ACCRL'ED INTERE ST ON SECURITIES ISSUEDJ CAPITAL FUND A2952 UNUSED CAPITAL --- FUND AUTHORIZA- TI ONS FINANCED BY OBLIG/"TIONS A2954 5,000.00 5 - oo_~oo 5,000.00 EARNINGS ON ---=--- INVESTi.1ENTSJ , , r CAP IT AL FUND A2956 ------ - orAL ESTIM/\TED _66, no. oJ 66, 72~. ~o._ REVENUES FROM L~O~!~~_ SOURCES 1\2999 63,045.00 66,720.00 ._- -----.-.--- ~- (. " 15 GENERAL FUND ESTIMATED REVENUES 0; BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE- t LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED -" ACCOUNTS CODE 197_1 197~ 197.6. 197..6 1 9 7.b. - STATE AID PER CAPITA A3001 lZ2t-[Ql nn 125.791. 00 125,791. 00 125,791. 00 125 791. nn MORTGAGE TAX A3005 3-1r5~Q hh 5,000.00 .00 .00 nn LOSS OF RAILROAD, TAX REVENUE A3007 465.91 450.00 .00 .00 .00 LOSS OF PUBLI C UTILITY VALUATIONS A3017 NAVIGATION LAh' , ENFORCEMENT A3315 ISNOVJMOB I LE LA\-J ENFORCEMENT A3317 INSECT CONTROL A34G8 NARCOTI CS GU I DANCE COUNCIL A3484 SOCIAL SERVICES A3GGO PROGRAMS FOR AG ING A3803 YOUTH PROGRAMS A3820 TOTAL ESTIMATED REVENUES FRO ~1 STATE AID A3999 163,805.46 131 241 00 125,791. 00 ,.,1:; .,01 nn 125,791.00 . I ~BLI C SAFETY FEDERAL AID CIVIL DEFENSE A4305 PUBLIC EMPLOYMENT PROGRAM A4780 EE PROGRAM - POVERTY POCKET A4782 U'lERGENCY DI SA S TER ASSISTANCE A4960 TOTAL ESTIMATED FEDERAL AID A4999 TOTAL ESTIMATED REVENUES-GENERAL FUND (TRANSFER TO PAGE 1) A5000 lZ5 hQh 57 lQ4286.00 192,511. 00 192 5". or 192.511.00 ESTIMATED UNEXPENDED BALANCE ESTIMATED GENERAL FUND UNEXPENDED BALANCE (TRAN SFER TOTAL I1ADOPTEDtI TO PAGE 1) 1~8.23 50,000.00 85,000.00 85.000.00 85 000.00 -- ----- L 17 . . t GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE (SHOW HERE GENERAL FUND APPROPRIATIONS TO BE PR9VIDED FOR 8Y TAXES LEVIED ON THE AREA OUTSIDE VILLAGE) BUDGET BUDGET i I ACTUAL "-HI S YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET 8UDGET ADOPTE ACCOUNTS CODE 197j 1972 19 7_6 1972- 197.2 GENERAL GOVERNMENT SUPPORT SPECIAL ITEMS 6,493.90 UNALLOCATED INS. 81910.4 8,000.00 8,000.00 8.000.00 A nnn nn CONTINGENT ACCT. B 1 9 90 ~ 4 20 000.00 20,000.00 15.000.00 1l:innn nn Attorney . B 1420.4 7,500.00 8,000.00 8,000.00 8.000.00 R.. nnn nn En~i~eer B1440.4 f,fUU.UU b, UUU. UU b,UUU.UU 6,000.00 6,000.00 To a s ~, 000. 00. 42,000.00 37,000.00 37,000.00 POLICE PERSONAL SERVICES B3120.1 EQUIPMENT B3120.2 CONTRACTUAL EXP. B3120.L~ TOTAL 83120.0 ~ila!nq Inspector . 16. 165.49 28,710.00 PERSONAL ~~KVICES 83620.1 24.210.00 19,174.00 19 174 00 EQUIPMENT B3620.2 .:'.uu. UU 200.00 200.00 200.00 CONTRACTUAL EXP. 83620.4 1.845.50 1, Z{':J. 00 1,450.00 6,450000 n 4l:in nn TOTAL 83620.0 lR 011 7.Q .:'.~,b~~.UO 30,360.00 258?4 on ?5R?Ll.nn HEALTH . Zoning Board of Ap peals 3,550.00 Pt.I<:'UNAL ~t:I<V1Ct.~ Its illIT1 . 1 2.700.00 3,800.00 3,465.00 3,465.0 EQUIPMENT ~ pip 11 . 2 .00 .00 .0 CONTRACTUAL EXP. ~8D 1 ~ .4 21.70 750.00 800.00 1,300.00 1. 300. 00 TOTAL 88 J 11. . 0 2.721.70 4,550.00 4,350.00 4,765.00 4.765.00 .!i . St1."eet .Lighting -- PERSONAL SERVICES j !:) 1 R 2' 1 .. EQJ I PMENT 85182.2 lA nnnnn -'. CONTRACTUAL EXP. 8.5182.4 12,600.00 15,000.00 15,000.00 ------ 15,000.00 .--1 TOTAL 8S182'0 --'-'- .,'. ... 12.600.00 15.000.00 1 A...OnD..-illL_. . Printitl ~ Advertising B6410. 4 PERSONAE SERVlCE:5g.. ." " EQUIPMENT 8 J CONTRACTUAL EXP. 8 64 1 0 '. 4 1,207.98 1,500.00 1,500.00 1.500.00 1 ~nn nn I TOTAL 8-6410. 0 1 207 qg 1 500 00 1,500.00 1.500.00 , ~nn nn 1 CULTURE - RECREATION PARKS PERSONAL SERVICES 87 110 . 1 I EQU I Pt-1ENT 87110.2 - CONTRACTUAL EXP. 87110.4 TOTAL 87110.0 PLAYGROUNDS AND RECREATION CENTE~S PERSONAL SERVICES87140.1 EQUIPMENT .87140.2 b~t..t.~ 50.0.00 ':JUO.UU 500.00 ICONTRACTUAL EXP. B7140.4! l:inn no. TOTAL E?J140.0 ~ 682.25 500.00 ~uu.uu 500.00 .sD~ J " " . 18 GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE I ' ". ' 'T-r::~ \ L AccaU~Ts_J coaE l Ij v,..... i !.. W. P :::> f"'I ~ 0 ,\ ~/l S . \..J...... I.. I . ",v.....,. I \,-,1 I P::?:::C:~\L SE~V!CES I cQ: I T :,...:--,-!~ L... ..... _' . '_'~ I lco~T?AcTuAL EXP. T'JT.L\:_. tLIRR"""Y -' :, ........ ,,,,,,,,\i"\ ICO~TRACTUAL EXP. S741~.4 . CU BUDGET BUDGE:T ACTUAL HIS YEAR OFFICERS PRE- " LAST AS TEN -r A T I V E L HlI NARY YEflR Ai':c::--mED / BUDGET BUDGET ADOPTED 197.1- 1973 197.-9 197.6_ 197-9 --- LTURE - RECRC:ATION (CO~ITDJ) 114,471.64 13, 200. 001 15,200.00 15,200.00 15 ,200:~ Ef=oso. 29 - i-SOD.. ool 500.00 500.00 I 500.00 4,300.00 - , 2,359.59 3:-SO-0~ 00 4,300.00 I 4,300.01) F=91J.52 19,200.00. 20,000.00 J 20,000.00 I 20,000.00 - 22,000.00 "I . 18,000.00 19 000.00 22,500.00 22,000..00 -.' "-*300'.00 -, ." ._~ - . - - ,- - .- . , 300.00 300.00 300.00 300 00 300.00 300.00 300.00 I I m'lE AND CQt.1t.;UN I TY SERViCES 113,229.oo~2,500.00~~,750.00 ' - 13.145.00 13,145.00" R4.311 ' 100.001 100.00 100.001 100.00- , 1...}.40.35.1 2,855. 001 ~~350.orl 2,350.001 2_~ 350.00 - 87310.1 67310.2 87310.4 87310.0 ! CelebratiOIls , I PERSONAL SERVICES-'S7 510.1 i EQU I P,'>~=~n " 87 510 .2 !'CO~TR.,~CTU:"L EXP. B7 510 .4 I' TOTAL I B7 510.0 I - I, . , I r\ \ ZON FiG P=,-.-r"":'\1 CC~VI'C~S 880101 I F, ~,,~7~~:~~T,-"-'" .r:. I' B9.0 10 . 2 Il'~~~::"c~u,,\L. EXP. 58010: L~ ~ . .... TOTAL 680 10 .O~_ I 15.-'455.00f 17,200.00 15'595.00l}5'595'0~' , I PU....t,~:,l I iJG . r \ 1:-~~sc:,::.L~?ERVICES 58020 .1~200. 00 <i,OOO.OO 4,250.00 3,715.00 3 715.09_. I ct,i'J I P.' =-i'~ I . 88020 . 2~ ~50. 00 CO\;TR.::,CTUAL EXP. 88G 20. 4f.-4.LJ6]. 00 7 375.00 9,935.00 5.,935.00L 5 .935.00 J TOTAL 88020.017167.00 11,625.00 14,185.00 ~,650.0.Qj 9.650.001 REFUSE AND GARBAGE I r---:'- ~c~~~~'.:~~TSERVICESI88150.11 ' I',' , I ..Qu., ",-,II 881GO.2~ -I". t CCI-:TR.j.c.CTUAL Exr~. iJ~ 160 . 4~~942~OOr---2~-ZOO. 00 _ 3,0~0.0C!_--=-.. 3,0_00.00 -3:"600.oo=~ TCTr\L 8()150.0 942.001 2,200.00 3,000.00 3,000.001 3,000.00 · \ I UI ; ,.~rl s --;) ) P U ... C r~r'- - .. -- . ..... I .:==---=:;::~ I I IlU ! d ~ L' . LJ..) . U',PLOY:::E BEt-1EFITSI .F j i'r: ;.'-; C POL 1 CE I r . -I ---------\----------1--- --~--...!..,,--- I "'" .... - " - ...- . ..- p ,,... l' r 'L ' I r' f 1 -,.- . ~ ., I I . ~ ." I 1-, '.. ;.~ I .:- L -- ~;~ '(': ::;;'_1 'J .,. I';'.(;j :; 0 : ~':.T3..;-()(YO:-OO! -Ts;oc)-o'-'o'6rT5~-mf6~-6(r--r-i5 --000-:OOTJ.'--5---0'0-0"-'''0-0- --.; i ',"<'~' '.' c_" ~ ~(")~) -, C'-, !' r, d'---' -_..- -" -. ---- T~-ooo."on I' '7--006'~-oo"_..----_J_-----. ,c..o.. -- ,---....- I !".'"'' ,.".) c...... _ L.. ~-.J rv. -'f-~.l..Q.o-Q~Q.9t---- ---"---h"l---'~---'--' -...-- L.-.2&00.OQJ2-L-QOO.,_Q.Q ---I ' I'- h ,... I I -, . , , r- " . , r" r p' I I -- !t ;P:_ 1..J ~ f'.\.:_ It :'J't.)".'t_ __________ _________._._.__ ------.--.---...--.---..-~------- . ~..' ", : ; ; ~:i ; t,~ '," 'I ~~ ;,~ ~UrT;:o41:____6jjLr;~-o:~tJ -1~5000~~ I[___}, 500 .~Qr-~-.-~~~~-0~~J ,,'; :: : ~ );Y u ,,:: : ,I !' JOG U 'll(),y 9. _~6L '-"-!,o.oo~.0.2 13 ,0,00.. o()~E'--"oO ~lu,900 , 09_1 ! 'r, :; - , , , :, 'J 1 ~ "no LJ.41 ~~--D4LScS'c5!lll:CO~ S 56" 5C~~0_.J 56, ~. ,ggJS!'A'=OO ,og",=l 1 'j GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE . , r I I I I. ACCOUNT,S I. I ! I NTERFUND TRANSFERS ! TRA;-...;S F ER TO I HIGHHAY FUND I TR.~NS FER TO C7~~ TAL FUND' . I TR",N::,FER TO. CA? ITA...L K ES. FUND I TR.~NSFcR TO I REPAIR RES~ FUND I Transfer To I Assurity Fund I TOTAL I NTERFUND TR..:l,NS f ERS.:.. CODE BUDGET BUDGET ACTUAL HIS YEAR OFFICERS PRE- LAST 'AS TENT AT r VE LIMINARY' YEAR AMENDED BUDGET BUDGET ADOPT 1974 197 5 197~ 197j 1976 UNDISTRIBUTED (CONJD.) B9540.9 89550.9 89560.9 89562:91".. ~I.:- '-", ,r '1 I t 1, '>00. 00 r. .00 i .00 .00 I . '..Q91 1, 500. 00 .00 .00 . DEBT SERVICE I PRINCIPAL ISERIAL SONDS 89710.6 30,400.0 "'STATUTORY BONDS 89720.&. I BOND I\NTICIPATIONI . L" I I NOTES . . 89730.6, -1h500.0 17,500.00 -10,000.00 10,000.00 C.APITAL r-':OTES .59740. 6~ . E t BUDGET NOTES . I 89750" 6~. '- Tt...X ANTICIPATION i I ~ I NOTES . 189760.6 RE\';:"LIC AI\:TII-'r- I . ~r ' -- , .--,--- I '" 1..- t... 1._ . ~ .... - I . . . . I PATIN~ NOTES 89770. 6L__~-' ' . r' '~_' . I TOT~!.. PR INCI PAL- 89399. 6' 4b....900.~~770. 00 L_5~.220~OO_,J5_5,270.00 -~r ' . . DEBT SERV I CE I INTEREST . ., . . ::sONL' 1\1'; I I l.. 1," M T I Ol'~ ii' .'. . . f '1 ,---r\ NOTES . ! B,130, 7~n>. or] 20,890. 00 _19,,125.QQ_I.!9'E5.00_~9,125,OO i (,,\PI Tt.:'" t~OTES I :;971:(,. 'IL._1..l~87..-2f--..!!_,i?~,~~ ________._.:OO__I'_____~~_j_.~__ -:00:': . "'J'I' '--'. . .....1. -S I r-."'/ ,.. 7f . . I ---.\ '0 ~':;L:l I"~l.) t. l}~ :;:..J... . '. . . !;'c:.):Ai':TIC:IF".;nc~t'l i .. 'f----f--~-- --=t 1 It. ~ -, ... - I c- ( -7 - 0 ,,! " ,';1.1 ; c::':> I u J, t ".' I RE\'~:M.Jc f;,I'~T I C I ,- 'I r.------ ---- l' I . PI'T 1 rl~,' I\:OTr::r ""77n " _L i T 9 T ;, L ',' ;1' i E R ~ ~ T I. i: ~ "" ~ . ;f~5:'::r25 .ojl .'T c702O:::0cr.: =~9 ;-~25: 00::1 li~~,,~. og:::-L 89;125 ,Do- I Senal Coupons J;j )99::>.:) L__._________c '-Too"o-O-' -----.-"'0.0.-.,..,.,.. -'-roo.---ro I ---. .-.--=.-:.--: I:C'-!';"! G!.:t:'~P.;'d FU;;~; ... I . . ~' .vv ,.vD I HJO.OIT \ T(l',.::.1 0'J'S If)!: VILLU;F -. I 94,730.00 89,225.00 89,225.00 I 89,225.00 I f>.;."r'kOr)PU\TIC;~S I l II ' -;. L> .-, ".' '.: ,- C Q 'f' () 'r' , I \.. a .....1,_.11 Lr... \... I }\.. " ;,;;() ~-' f E [) It ',0 ! p,,~. .1). n ~) S c, G~ . Ot23~}3~}~3J2,11I'-'!1f)1 rlJ'l)~O=QOcCL'-'c?-.'39 . O~,=3~c'1~ 45,270.00 45,470.00 45,270.00 I =i10 ,OQ9......................................00 j ---......................... ~..j . ~';' I I L.55~70. 00 ~, (] , . I GENERAL FUND ESTIMATED REVENUES - TOWN OUTSIDE VILLAGE BUDGET BUDGET ACTUAL. HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 197~ 197..5 197..2 197Q 197_6 LOCAL SOURCES NON-PROPERTY TAX DISTRIBUTION BY COUNTY B1120 Building Inspector B1560 15,663.25 12,000.00 14,000.00 14 000.00 HEALTH FEES B1601 '. ZONING FEES B2 1 1 0 351.50 PLANNING BOARD FEE B2115 13,176.25 12,000.00 14,000.00 . ' INTEREST A\lD EARNINGS B2401 24,401.45 18 000.00 9,000.00 OTHER (SPECIFY) CATV B2770 2,525.00 2,500.00 TOTAL ESTIMATED REVENUES FROM B2954 10,000.00 LOCAL SOURCES 49 500.00 Mortgage Tax PER CAPITA YOUTH PROGRAMS B3005 B3001 B3820 STATE AID 63,261.221 60,000.00' 55,000.00 03,038.00 ' 103 038.001103 038.00 3,812.00 3 00 00 9 400.00 155,000.00 tl03 038.00 9 400.00 REVENUES FROM STATE AID B3999 70,111.62 OTAL EST I /'lATE C REVENUES - GENERAL FUND - TOWN OUTSIDE VILLAGES (TRANSFER TOTAL IIADOPTED" TO PAGE 1) B5000 226,129.07 i 127 438.00 67 438.00 i167 438.00 216 938.00 216 938.00 216 ESTIMATED UNEX- PENDED BALANCE - GENERAL FUND - TOWN OUTSIOE VILLAGES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) ESTIMATED UNEXPENDED BALANCE I 126,828.2 80 000.00 25,000.00 25 000.00 25 L 21 HIGHWAY FUND APPROPRIATIONS REPAIRS AND IMPROVEf"1ENTS (ITE'''' 01) BUDGET BUDGET HIS YEAR OFFICERS AS TENTATIVE AMENDED BUDGET 1972. 197j ACCOUNTS CODE ACTUAL LAST YEAR 197j PRE- Ll MI NARY BUDGET 197J~0 , . . \ GENERAL REPAIRS PERSONAL SERVICES R5110.1114,~39.49 143,000.00 155,870.00 155 870.00 CONTRACTUAL EXP. - R5110. 141~476.25 162 500.00 178,750.00 178 750.00 TOTAL R5110.0256,01S.74 305500.00 334,620.00 334620.00 IMPROVEMENTS PERSONAL SERVICES R5112.1 5,218.39 CONTRACTUAL EXP. R5112. 0,781.61 TOTAL R5112.0 36,000.00 ~I ,: EMPLOYEE BENEFITS STATE RETIREMENT R9010.8 SOCIAL SECURITY DR9030. WORKMENS COMPo DR9040. LIFE INSURANCE D_R90L~5. UNEMPLOYMENT INS.DR9050. DISABILfTY INS. DR9055. HOSPITAL AND MEDICAL INS. R9060. TOTAL EMPLOYEE BENEFITS R9~99.0 -6,579.00 41,938.00 48 517 .00 UNDISTRIBUTED 6 579.00 41 938.00 48 517 .00 ,) INTERFUND TRANSFERS TRANSFER TO HIGHWAY FUND 7 22 . ii '.:,::.;( .:~ HIGHWAY FUND APPROPRIATIONS (CONTD,) REPAIRS AND IMPROVEMENTS (ITEM i) '. - L BUDGET BUDGI;T ACTUAL "THIS YEAR OFFICERS PRE- , LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 1973 1973 197-.2 197Q 197.-9 \ UNDISTRIBUTED IDEBT SERVICE PRINCIPAL SERIAL BONDS )R9710.G -. 1ST A TUTORY BONDS )R9720.6 SOND ANTICIPATION \ ,.. NOTES )R9730 .6 I\.-,';PITAL NOTES )R97L+O.6 I BUDGET NOTES )R9750.6 lTAX ANTICIPATION " NOTES JR9760.Ei I REVENUE ANTICI- I JR9770.6 I PATION NOTES ITOTAL PRINCIPAL )R 9 8 99 . 6 I IDEBT SERVICE ! INTEREST ISERIAL BONDS )R9710" S T A TUTORY BONDS )R9720.1 ~.ND ANTICIPATION )R9730.1 .~OTES PITAL NOTES )R9740.7 ,BUDGET NOTES )R 9750 . 7 'TAX ANT I C I P A TI ON NOTES JR9760.7. REVENUE ANTICI- PATION NOTES )R9770.7 TOTAL I NTERES T pR9899.i TOTAL APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) pR9900.0 292,015.74 349,675.00 383,137.00 383.137.00 383.137.00 . L 23 HIGHWAY FUND APPROPRIATIONS BRIDGES (ITEM 2) BUDGET HIS YEAR AS M1ENDED 197~ [--WOQN~--1 CODe ~:~~E~ r I PERSONAL SERVICESrB5120.1 CONTRACTUAL EXP. ~B5120.4 TOTAL 85120.0 t39010.8 B 90 3 0 . 8 8 90 40 . B 90 4 5 . 89050 .8 B9055.8 B9050.8 ACTUAL LAST YEAR 197j: 1,000.00 BUDGET OFFICERS TENTATIVE BUDGET 1972 1 000.00 1,000.00 3,0.00.00 3,000.00 4,000.00 ~ooo.oo UNDISTRIBUTED 24 PRE- L B-1 I NARY BUDGET 197~ 1 000.00 ~ooo.oo 4 000.00 . , ~ ADOPTE 197~ I \ \ \ I EMPLOYEE BENEFITS S T ATE RETI REt'lIENT SOCIAL SECURITY WORKMENS COMPo LI FE INS URANCE UNEMPLOYMENT INS. D I SAB I LI TY INS. HOSPITAL AND MEDICAL INS. TOTAL EMPLOYEE BENEFITS fB9199.0 INTERFUND TRANSFERS TRANSFER TO HIGHWAY FUND ,1 ~ " ., ""c ,g- HIGHWAY FUND APPROPRIATIONS (CONTD.) BR I DGES (ITEM 2) '. BUDGET BUDGeT L A~~OUNTS ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 197..1 1972.- 197..6 1976- 197..6 DEBT SERVICE PRINCIPAL SERIAL BONDS )B9710.6 STATUTORY BONDS )B9720 .6 BOND ANTICIPATJ0N NOTES )B9730.6 CAPITAL NOTES )B9740.6 BUDGET NOTES )B 97 5U .6 TAX ANTICIPATION NOTES )B9760.6 REVENUE ANTICI- PATION NOTES )B 9770 . 6 TOTAL PRINCIPAL OB9899.6 DEBT SERVICE INTEREST SERIAL BONDS )B9710.7 STATUTORY BONDS )B9720.7 ,- BOND ANTICIPATION JOTES )B9730.7 , \PITALNOTES )B9740.7 IIIJJDGET NOTES )B 9750 . 7 ! TAX ANTICIPATION NOTES )B9760.7 REVENUE ANTICI- PATION NOTES )B9770.7 ; TOTAL INTEREST )B9899.7 TOTAL APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) B9900.0 3,967.98 4 nnn nn 4,000.00 .1 nnn nn 4,000.00 l 25 ACCOUNTS MACHINERY PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL EMPLOYEE BENEFITS STATE RETIREMENT SOCIAL SECURITY ORKMENS COMPo IFE INSURANCE NEMPLOYMENT INS. ISABILITY INS. OSPITAL AND MED I CAL INS. OTAL EMPLOYEE BENEFITS INTERFUND TRANSFERS RANSFER TO HIGHWAY FUND ! r " J HIGHWAY FUND APPROPRIATIONS MACHINERY (ITEM 3) BUDGET BUDGE;T ACTUAL HIS YEAR OFFICERS LAST AS TE;NTATIVE YEAR AMENDED BUDGET CODE 197.1 1972 197i: DM5130. DM5130. Dtv15130. DM5130.0 UNDISTRIBUTED DM9010. DM9030.8: DM90 40 . DM9045. DM9050.8 DM9055. . DM90 60 . DM9199. 26 3,386.00 8,500.00 27,500.00 39,386.00 PRE- LIMINARY BUDGET 197~ 3,386.00 8,500.00 27,500.00 39,386.00 . . , ADOPTE 197~ " , " HIGHWAY FUND APPROPRIATIONS (CONTD,) MACHINERY (ITEM 3) '. BUDGET BUDGET ACTUAL '"HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LI MINAR Y YEAR AMENDED BUDGET BUrc;ET ADOPTED ..., ACCOUNTS CODE: 197! 197~ 197~ 1972 197.2. UNDISTRIBUTED DEBT SERVI CE PRINCIPAL SERIAL BONDS DM 97 10 . ( 11,000.00 12,693.40 11.000.00 lLOOO.OO 11.000.00 STATUTORY BONDS DM 97 20 . 'E BOND ANTICIPATIO~ NOTES DM9730.E 9,793.00 8 000.00 2.531 00 2.531. 00 2.531.00 CAPITAL NOTES DM9740.E BUDGET NOTES DM9750.E TAX ANTICIPATION NOTES DM9760.E REVENUE ANTICI- PATION NOTES DM9770. E TOTAL PRINCIPAL DM9899.E 20,793.40 20 hq~ 40 13 53].00 13.531.00 B S 1 1 00 DEBT SERVICE INTEREST 1,485.00 1,485.00 1,485.00 SERIAL BONDS DM9710. 2,475.00 2.119.71 TATUTQlRY BONDS DM9720. I - OND ANTICIPATIOr-- WNOTES DM9730. 917.48 507.40 208.00 208.00 20R.00 CAPITAL NOTES DM9740. BUDGET NOTES DM9750. I TAX ANTICIPATION NOTES DM9760. REVENUE ANTICI- PATION NOTES DM9770. TOTAL INTEREST DM9899. 3,392.48 2,627.11 1.693.00 1,693.00 lfiq1 00 TOTAL APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) DM9900.C 55,673.79 ~6,345.51 54,610.00 54.610.00 S4fil0.00 .,_.,..-~,. ------.-- -~ L 27 -.' HIGHWAY FUND APPROPRIATIONS SNOW AND MISCELLANEOUS (ITEM 4) BUDGET BUDGET I ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTE ACCOUNTS CODE 197..1 1972 197.2 197-.9 197...6 MISCELLANEOUS (BRl SH AND WEEDS) PERSONAL SERVICES DS5140 .~ 5,462.59 8.250.00 8.630.00 8.630 00 8_fi~n nn CONTRACTUAL EXP. DS5140. 2,668.12 4 375.00 4,812.00 4.812.00 4 R1? nn TOTAL DS5140.0 8,130.71 12.625.00 13,442.00 13 442.00 ,~ 1lLl.? nn SNOW REMOVAL (TOWN HIGHWAYS) PERSONAL SERVICES DS5142. 8,549.14 16.500.00 18.035.00 18,035.00 18.035.00 CONTRACTUAL EXP. DS5142.Y 25,480.28 '.p l; () () () () 35.750.00 35,750.00 35.750.00 TOTAL DS5142.C 34,029.42 4Q ()()() -()() 53.785.00 53,785.00 53.785.00 5ERVICES FOR OTHER GOVERNMENTS PERSONAL SERVICES DS5148. :ONTRACTUAL EXP. DS5148.Y TOTAL DS5148.0 UNDISTRIBUTED SMPLOYEE BENEFITS DS9010.t ,TATE RETIREMENT ,OCIAL SECURITY DS9030.8 WORKMENS COMPo DS 90 40 .t LIFE INSURANCE DS9045.t UNEMPLOYMENT INS. DS90 50.t )ISABIlITY INS. DS 9055.8 ~OSPITAL AND I MEDICAL INS. D S 90 60 .8 orAL EMPLOYEE BENEFITS DS9199.0 INTERFUND TRANSFERS TRANS FER TO II HIGHWAY FUND DS 9540 .c .' . . . ",-' ;;;;jj: '" <;}: 28 '. BUDGET BUDGET ACTUAL !THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED I..., AC COUNT S CODE 197~ 1972 1 9 7Q... 197Q.. 1 9 7Q... I UNDISTRIBUTED DEBT SERVICE PRINCIPAL SERIAL BO N D S 059710.6 STATUTORY BONDS OS9720.E BOND ANTICIPATION NOTES DS9730.E CAPITAL NOTES 059740.6 BJDGET NOTES 059750.6 I TAX ANTICIPATION bS9760.6 I NOTES REVENUE ANTICI- PATION NOTES )59770.6 TOTAL PRINCIPAL )S 9 8 9 9 . 6 DEBT SERVICE INTEREST SERIAL BONDS DS9710.7 STATUTORY BONDS DS9720. ~OND ANTICIPATION .. NOTES DS9730. cAP IT AL NOTES DS9740. BUDGET NOTES DS 9750 . / TAX ANTICIPATION NOTES . )S9760. / REVENUE ANTICI- PATION NOTES )S9770. TOTAL INTEREST )59899 . TOTAL APPRO- PRIATIONS (TRANSFER TOTAL lIADOPTEDlI TO PAGE 1) bs 9900 .0 42,160.13 61 625 00 67,227.00 67 227.00 F,7 ??7 nn ----- HIGHWAY FUND'APPROPRIATIONS (CONTD,) SNOW AND MISCELLANEOUS (ITEM 4) l 29 HIGHWAY FUND APPROPRIATIONS IMPROVEMENT PROGRAM BUDGET BUDGET ACTUAL HIS YEAR OFFICERS LAST AS TENTATIVE 'YEAR AMENDED BUDGET CODE 197_ 197_ 197_ ACCOUNTS IMPROVEMENT PROGRAM (PROJECT NO. ) PERSONAL SERVICES DE5152.1 CONTRACTUAL EXP. DE 515 2.4 PRINCIPAL ON NOTES DE5152.6 INTEREST ON NOTES DE5152:7 MPLOYEE BENEFITS DE5152. ~RANSFER TO HIGHWAY FUND DE5152. OTAL PROJECT I NO. t lTOT AL APPROPR 1- : ATIONS (TRANSFER i TOTAL "ADOPTED'I I TO PAGE 1) '--n.._ 30 PRE- LIMINARY BUDGET 197 ADOPTE 197_ " . . .~ " HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE REPAIRS AND IMPROVEMENTS (ITEM 1) y. BUDGET BUDGET L ACCOUNTS ACTUAL ~Hl S YEAR OFFICERS PRE- LAST AS TENTATIVE LI M INARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 1971.. 197.?- 1972- 1972- 197Q. LOCAL SOURCES NON-PROPERTY TAX DISTRIBUTION BY COUNTY DR1120 INTEREST AND EARNINGS DR2401 13,501.58 6,000.00 6,000.00 6.000.00 TRANSFER FROM GENERAL FUND - TOWN OUTSIDE VILLAGE DR2812 TRANSFER FROM HI GHWAY FUND DR2840 MISCELLANEOUS (SPECIFY) Gas Purchase by D R2..222..- 875.68 LOOO.OO .00 .00 other Depts. & Misc. I TATE AID WI LEAGE AND .5,532.00 VALUATION AID DR3507 5 , 171. 25 5 207.25 5,532.00 5,532.00 TOTAL ESTIMATED REVENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 19,548.51. t; 7.07.7.t; 12,532.00 11,532.00 11.532.00 TOTAL ESTIMATED UNEXPENDED BALANCE ( TRANSFER TOTAL "ADOPTED" TO PAGE 1) 27.798.85 16 000.00 9,000.00 9,000.00 9,000.00 L 31 HIGHWAY FUNDS - ESTIMATED ACCOUNTS CODE LOCAL SOURCES NON-PROPERTY TAX D I S T RIB UTI m~ BY COUNTY DB1120 INTEREST AND EARNINGS 082401 TRANSFER FROM GENERAL FUND DB2810 TRANSFER FROM HIGHWAY FUND DB2840 MISCELLANEOUS (SPECIFY) DB STATE AID TOTAL ESTIMATED REVENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) . TOTAL ESTIMATED UNEXPENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) REVENUES AND ESTIMATED UNEXPENDED BALANCE BRIDGES (ITEM 2) BUDGET HIS YEAR AS AMENDED 1973 ACTUAL LAST YEAR 1973 161.40 32 BUDGET OFFICERS TENTATIVE BUDGET 197.2 .00 150.00 PRE- LIMINARY BUDGET 197.6. .00 .00 150.00 ... ADOPTE 197_6 " . 150.00 . ., .', "'."" 'HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE MACHINERY CITEM 3) ". I BUDGET BUDGET ACTUAL trHIS YEAR OFFICERS PRE- , LAST AS TENTATIVE LI t-\I NARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE: 197...4 197i 197i? 197~ 197~ .., LOCAL SOURCES NON-PROPERTY TAX DISTRIBUTION BY COUNTY DM 11 20 INTEREST AND EARNINGS DM2 401 RENTAL OF EQUIP- MENT, OTHER GOVERNt-1ENTS DM2416 TRANSFER FROM GENERAL FUND DM2810 TRANSFER FROM GENERAL FUND - TOWN OUTSIDE VILLAGE DM2812 TRANSFER FROM HIGHWAY FUND DM2840 MISCELLANEOUS --- '5 PEe I FY) surance D/'-15130 526 81 W STATE AID TOTAL ESTIMATED REVENUES CfRANS FER TOTAL "ADOPTED" TO PAGE 1) 526.81 " 00 .00 .00 .00 TOTAL - ES T It"lA TED UNEXPENDED eALANCE CTRANSFEl 5,ooo.oOL.1lllilJllL TOTAL "ADOPTED" TO PAGE 1) I 9,429.47 7 nnn on 5,000.00 ____________ _.-.L.____.___ L 33 HIGHWAY FUNDS - ACCOUNTS LOCAL SOURCES NON-PROPERTY TAX DISTRIBUTION BY COUNTY S ERV I CES FOR OTHC:R GOVTS.." INTEREST AND EARNINGS TRANSFER FROM GENC:RAl FUND TRANSFER FROM GENERAL FYND TO~:N OUTS I DE VILLAGE TRANSFER FROM HIGHHAY FUND 1'-11 S CELLANEOUS ( S P E C I FY ) Sale of Sand to Village STATE AID TOTAL eSTIMATED REVENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) .4' ESTIt'1ATED REVENUES AND ESTI t~ATED UNEXPENDED BALANCE SNOW AND MISCELLANEOUS (ITEM 4) BUDGET BUDGET HIS YEAR OFFICERS A5 TENTATIVE AMENDED BUDGET 1972 1972- CODE OS 1120 OS2300 OS 2401 052810 DS2812 OS2840 ACTUAL LAST YEAR 197,1 729.86 OS 5l4~ ~~ 50 1 022.36 600.00 600.00 PRE- LIMINARY BUDGET 197 6 .00 TOTAL ES TIl'-IATED Ui.r::XPi:::NDED. BALANCE CTR"--NSFER TOTAL "ADOPTED" TO PAGE 1) I 25-,59_8.4~ 15 ~Q.O. 00 _ 11,000.00 11,000.00 ___.-._ ..._.__.____.___L_.__..___.1::=. --::==--==--+-.-. 3/+ " .00 llilQ,_~ HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE HIGHWAY IMPROVEMENT PROGRAM '. BUDGET BUDGET I ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LlMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 1971- 197.2- 197&. 197&. 197.fi IW LOCAL SOURCES NON-PROPERTY TAX DISTRIBUTION BY COUNTY DE1120 INTEREST AND EARNINGS DE 2 401 TRANSFER FROM I GENERAL FUND - TOWN OUTSIDE VILLAGE DE2812 TRANSFER FROM HIGHWAY FUND DE2840 MISCELLANEOUS (SPECIFY) DE - I fATE AID WI GHHAY IMPROVE- MENT PROGRAM DE3521 TOTAL ESTIMATED REVENUES - HIGHWAY. IMPROVE- MENT PROGRAM (TRANSFER TOTAL "ADOPTED" TO PAGE 1) . TOTAL ESTIMATE C UNEXPENDED BALANCE - HI GHHAY IMPROVEMENT PROGRAM (TRANSFER TOTAL "ADOPTED" TO PAGE 1) .00 .00 .00 .00 .00 ( 35 .... FEDERAL REVENUE SHARING FUND APPROPRIATIONS BUDGET BUDGET ACTUAL 1"H I S YEAR OFFICERS PRE- LAST AS TENTATIVE LI MI NARY YEAR AMENDED BUDGET BUDGET ADOPTE ACCOUNTS CODl: 197..1 1972 197~ 197Q.: I 197.1> F."u; --- ,1 -n ion PERSONAL SERVICES CF . 1 EQUIPMENT CF . 2 CONTRACTUAL EXP. CF .4 10.000 00 TOTAL CF . 0 10 nnn nn R prrp::Iti 0" PERSONAL SERVICES CF . 1 EQUIPMENT CF .2 5,000.00 CONTRACTUAL EXP. CF .4 7 ,045. OC 20.000.00 TOTAL CF . 0 25 ililo 00 Public Safety PERSONAL SERVICES CF . 1 EQUIPMENT CF . 2 CONTRACTUAL EXP. CF .4 5,000.00 TOTAL CF . 0 5 000 on PERSONAL SERVICES CF . 1 EQUIPMENT CF .2 CONTRACTUAL EXP. CF .4 ? onn Jj TOTAL CF . 0 ---~ _..~ Librarv CF 5,000.00 2,000.00 2,000.00 - 1Ab,400 .00 154,900.00 Ge.......,.ql nnvprnmp fF__ 108 900.00 154,900.00 11!)l!. qnn nn ~n(' C:~_.. li'(),. A rr ~F_ 5 000 00 5,000.00 5,000.00 5.nno.nn Financial Adm. CF 4,000.00 2,000.00 2,000.00 2 ooo.no - CF - CF -. . CF -' CF - CF - CF - . CF - CF - TOTAL APPROPRIATIONS 153,445.00 162.900.00 163,900.00 163,900.00 11/;1 qnn 00 :: I ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE INTEREST AND l EARNINGS CF2401 18;146.64 3 00 8,027.00 8,027.00 027.00 '-EDERAL REVENUE 110,873.00 SHARING CF4001 110,213.00 109 8 2.00 110,873.00 110 87 . OTAL ESTIMATED REVENUES 128,359.64 112 00.00 118,900.00 STIMATED UNEXPENDED BALANCE ::TRANSFER TO P.A.GE 1 1139 409.4 1 45 000.00 45 0 35 PUBLIC LIBRARY FUND APPROPR IA T IONS '. - BUDGET BUDGE;T 1 L ACCOUNTS I ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LI MI NARY YEAR AMENDED BUDGET BUDGET ADOPTED CODE 197 - 197 - 197_ 197_ 197_ LIBRARY OPERATIONS PERSONAL SERVICES L7410.1 EQUIPMENT L7410.2 CONTRACTUAL EXP. L7410.4 . TOTAL L7410.0 E~iPLOYEE BENEFITS STATE RET I RH1ENT L9010.8 SOC IAL SECURITY L9030.8 :OMPENSATION INS. L9040.8 -_. LI FE INS URANC E L9045.8 UNEMPLOYMENT INS. L9050.8 --- DISABILITY INS. L9055.8 HOSPITAL AND fvlED I CAL INS. L9060.8 TOTAL L9199.0 TOTAL APPROPRIATIONS :1 ..."....-- ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE LOCAL SOURCES LIBRARY CI-JARGES INTEREST EARNINGS GIF TS AND DJNATIO t\jS ENDOHHENT AND TRUS T FUND INC OME ,LIBRARY SYSTEM GRANT THER (SPECIFY) L2082 L2401 L2705 L2755 L2760 L STATE AND FEDERAL AID STATE AID L3840 . FEDERAL AID L4840 TOTAL ESTIMATED REVENUES .. .. ESTIMATED UNEXPENDED BALANCE .. .~ U~~~S~ER TO 37 ,. Hughsonville LIGHTING DISTRICT ACCOUNTS CODE ACTUAL LAST YEAR 197.1 BUDGET HIS YEAR AS AMENDED 1972. BUDGET OFFICERS TENTATIVE BUDGET 197& PRE- LIMINARY BUDGET 197.Q ADOPTE 197-.2 APPROPRIATIONS LIGHTING DISTRICT STREET LI GH T I NG SL-l- CONTRACTUAL EXP. 5182.4 8 177. 16 8,430.00 11,529.04 11,529.04 11 529.04 TOTAL 8 177 .16 8,430.00 11 529.04 ~: to: ESTIMATED S INT. ON C/D SL2401 .00 .00 .00 ~ TR li'Sr: .~.aiety 89.95 .00 00 TOTAL 6,560.35 .00 .00 .. .. UNEXPE DED BALANC.E ESTIMATED L I GH T IN DISTRICT UNEXPENDED BALANCE .00 .00 .00 CHELSEA LIGHTING DISTRICT APPR PRIATIONS LIGHTING DISTRICT STREET LIGHTING SL-2- CONTRACTUAL EXP. 5182.4 3,358.20 3,462.00 4,687.07 4,687.00 4,687.00 TOTAL 3,358.20 3,462.00 4,687.07 4 687.00 4 687. 0 ESTIMATED REVENUES INT. ON C/D SL2401 .00 00 .00 .00 .00 . TOTAL .00 .00 .00 .00 I UNEXPENDED BALANCE ESTIMATED LIGHTING J DISTRICT J.~ UNEXPENDED BALANCE ~~ 14.56 ~ .. ._. .00 .00 .00 ~, :qRANSFER TOTAL "ADOPTED TO PAGE 1 i"'. '" ,":' 3S-A WATER DISTRICT APPROPRIATIONS (CONTD.) '. BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE- I: LAST AS TENTATIVE LIMINARY t YEAR AMENDED BUDGET BUDGET ADOPTED f ACCOUNTS CODE 197.3 1975- 197.6.. -. 1976.. 1976- . UNDISTRIBUTED DEBT SERVICE PRINCIPAL ;W9710.6 2,000.00 SERIAL BONDS 1,800.00 2,000.00 2.000.00 2 .000.. 00 STATUTORY BONDS :>W9720.6 BOND ANTICIPATION NOTES :>W9730.6 CAPITAL NOTES :>W9740 .6 BUDGET NOTES :>W97 50 .6 450.00 950.00' 950.00 REVENUE ANTICI- PATION NOTES )W9770.6 TOTAL PRINCIPAL :>W9899.6 1 Ann nn 2,000.00 ?4t:;0.on 1. _qSO. 00 2 950.00 DEBT SERVICE INTEREST ~ SERIAL BON OS :>W9710.7 3,075.00 2,980.00 2,880.00 2,880.00 2 880.00 STATUTORY OONDS ) W9 7 20 . 7 BOND ANTICIPATION NOTES SW9i'30.7 46.07 '\PITAL NoTES SW9740.7 JDGET NOTES SVl97 50.7 ~VENUE ANTICI- 9;19770.7 PATION NOTES TOTAL INTEREST 5\'19899.7 3,121. 07 2,980.00 2,880.00 2,880.00 2 880.00 TOTAL HATER DISTRICT APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 5W9900 .0 1~ hQr:; 7') 1/1 ~Q() ()() 111 OR4.00 11 OR4 On 1':l OR/! 00-- FLEE'IW:X)D MANOR WATER DISTRICT c 40 .' WATER DISTRICT ESTIMATED REVENUES FLf::ETNOOD HANORHATER D I 5 TR I CT ::=:::.:---- --------------- ------------------ '.. ACCOUNTS CODE ACTUAL LAST YEAR 197A BUDGET rHIS YEAR AS 1\f'\ENDED 1975.. BUDGET OFFICE~S TENTATI',IE BUDGET _ 197.6. PRE- L I t-1 I Ni\RY BUDGET - 1976.. ADOPTE 19"/6.. 5 \-J2 Ill- 8 '~~ 21 ~.~ '4~9~.~~~,32-~ QLI~~04. Q~f--8~04. OLl --~=-~--j. . t'lETERED SALES Ul\:1'-lETERED SALES ~ATER CONNECTION CHARGES INTEREST AND PENALTIES ON HATER RENTS s \n Ill- 0 5 \-J 2 Ill- 2 S ',n Ill-Lf - " INTEREST AND EARNINGS SALES OF SCRAP AND EXCESS NATERIALS NINOR SALES~ OTHER- INSURANCE RECOV- ERI ES OTH ER COl'-lPEN- SATION' FOR LOSS OTHER (SPECIFY) 5\--12/+0 1 ~~:~ ____ _ 28.78 -S \--12 6 50 5\<12655 J I I- I -!-- 5\>12680 5V12590 5\-1 - ---l------.----- ----------- ------------ - - - - 5,360.11 9,400.00 l81204000 - 8,204.00 ==- ___~~------======--==== -----:c==:::::. _,948..9.QJ .~,980.00T - 10,308.11 14,380.00 UNEXPE~DED BALANCE -TOT AL \':A TER DISTRICT - ESTIl'-1ATED REV- ENUES (TRANSFER TOTAL "ADOPTEDIl" TO PAGE _ 1) Real Property T~~es SWID01 ESTIHATED -HATER I DISTRICT UNEX- \ PENDED BALANCE (TRANSFER TOl/d_ - he. "ADOPTED" TO P f.\G E 12-_______________________________ _:=-==-~~~_:~~q~-- :=-______.~P.::._ -_!!.~.?-~:"~=:T-= lL-3J2._~ 1.372: O~_::-.:::-:-: It 1 CAMELI LIGHTING DISTRICT '. BUDGET BUDGf;T ACTUAL T"HI S YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 197,i 1972 197i 197..2 1976_ w APPROPRIATIONS LIGHTING DISTRICT STREET LIGHTING SL-l- CONTRACTUAL EXP. 5182.4 271.56 280.00 379.33 379.33 379.33 10.00 TOTAL 281. 56 ZI:$O.OO 379.33 379.33 379.33 ~ ESTIMATED REVENU S Int. on C / D .00 . 00 .00 .00 .00 TOTAL .00 . 00 .00 .00 .00 . . UNEXPENDED BALAN0E ESTIMATED LIGHTINC DISTRICT UNEXPENDED BALANCE 17.96 .00 .00 .00 LIGHTING DISTRICT APPR PRIATIONS LIGHTING DISTRICT STREET LIGHTING SL-2- CONTRACTUAL EXP. 5182.4 TOTAL ESTIMATED REVENUES TOTAL UNEXPENDED BALANCE ESTIMATED LIGHTING DISTRICT ~ UNEXPENDED BALANCE --_.-- ~, l;TRANSFER TOTAL "ADOPTED TO PAGE J 38 ,.4 , BUDGET BUDGE;T ACTUAL THIS YEAR OFFICERS PRE- I LAST AS TENTATIVE LIMINARY YEAR Af-1ENDED BUDe T BUDGET I\OOPT ACCOUNTS CODE 1971. 1975 19; :~ 1972.. 1972- I ADMINISTRATION PERSONAL SERVICES :>W8310.1 368.66 300.00 7Ml nn 470.00 470.00 I EQUI PMENT :>W8310.2 .00 CONTRACTUAL EXP. :>W8310.4 5.25 150.00 200.00 100.00 .100.00 TOTAL :>W8310.0 373.91 Ll50.00 900.00 h'7f1 (1(1 570.00 SOURCE OF SUPPLY, POWER AND PUMPING 4,117.14 4,000.00 PERSONAL SERVICES)W8320.1 EQUIPMENT :>W8320.2 .00 CONTRACTUAL EXP. ::>H8320.4 3 974.98 3,500.00 3,000.00 3.5QQ.00 3.500.00 TOTAL ::>I,<J8320 .0 8 092.12 7,500.00 1.000 00 3 ..500 ._.90 ~ 1100 00 PURIFICATION PERSONAL SERVICES :>W8330.1 EQUIPMENT :; It! 8 3 30 . 2 CONTRACTUAL EXP. ::>W8330.4 308.62 1.000.00 700.00 200.00 200.00 TOTAL 5"'J8330.0 308.62 1.000.00 700.00 ')(1(1 on , 200.00 TRANSMISSION AND DISTRIBUTION PERSONAL SERVICES ::> W8 3 40 . 1 CI 2,200.00 2.200.00 EQUIPMENl: :>\'/8340.2 s:lLlLl no 260.00 260.00 I CONTRACTUAL EXP. ::>W8340.4 ? ?no no 400.00 4000_ TOTAL \'18340.0 1 044 00 2,860.00 2,860. UNDISTRIBUTED EMPLOYEE BENEFITS STATE RETIREMENT W9010.8 150.00 c;o no 33.00 33.00 SOCIAL SECURITY SW90 30 .8 100.00 A(I n(l 20.00 20.00 COMPENSATION INS. Slt/9 0 It 0 . 8 32.00 32.00 LIFE INSURANCE 9tJ9045.8 UNEMPLOYMENT INS. SltJ90 50 .8 DISABI LI TY INS. SW 9 0 5 5 . 8 2.00 2.00 HOSPITAL AND , MEDICAL INS. 9tJ90 60 .8 200.00 20.00 37.00 37.00 TOTAL Q :,W9 19 9.0 Llr:;n (10 110.00 124.00 124.00 . WATER DISTRICT APPROPRIATIONS WATER DISTRICT T<'T T<'1<'TI~700D MA.WOR . It 39 II ,V'CCOUNTS . ADrtINl STRAT ?ERSOi'jAL S E EQU I Pj'v~ENT I CO;'lTRACTUAL TOTAL .. SOURCE OF S \ pm'fER AND PERSONAL SE .EQU I P,"IENT 1'1 CONTRACTUAL TOT AL - PURIFICATIO PERSONAL S E EQU I P~'lENT CONTRACTUAL TOTAL TRANSf'l I SS I 0 DISTRIBUTI PERSONAL SE EOUIPHENT _ L......HRACTUAL I .......... TOTAL contractual Contingency \'lATER DiSTRICT APPROPRIATIONS OAKWOOD KNOLLS HAT~R DISTRICT -- -- --".-- . BUDGET BUDGET -l ACTUAL fHI S YEAR OFFICERS PRE- LAST AS TENTATIVE LItH NARY YEAR AI-1ENDED BUDGET BUDGET ~DOPTED CODE 1974 19 7.~ 197.6. 197.6. 197.6 . ION RVICES:;\-I3310.1 61.79 ~OO.O~ - \-18 :)1 0 . 2 EXP. ~H8310. !,t~--3:02- =-100.00 - ...--2.QJL...QO >\'18310.0. 64.~1--r~ - 300.00 900.00 -~-- UPPLY, h PUrvlP I PIG RV I CES6 \-!8 3 20 .If-____ - - S\-I8320.2 300.00 500.00 EXP. ~H8320. L, ~;277 .07 - 2, 700.00 ~o.oo 5\-18320.0 2,277.07 3,000.00 4.000.00 700.00 200.00 _----100.00 100.00 300.00 100.00 300.00 100.00 2,400.00 2,500.00 -- 100.00 2,400.00 2.500.00 N RVICES3V18330.1 2,469.73 ::>\'18~S30. 2 EXP. ::>\-18330.1-+ 226.46 ::>H8330 . O_?L696~19 2,000.00 400.00 2,400.00 800.00 800.00 ?OO ()O . ?OO nn 200.0_0.. ?(1().Q(L NAND ON - R V r C ESp \018 ~) if 0 . 1 t1 ) Vf 8 :s 1 to. 2 EXP. :; VIS :-$1+0 . II :> \/ g 3 If 0 . 0 ---100.00 100.00 1,425.00 1.425.00 600.00 300.00 300.00 . 2,000.00 682.00 2,000.00 2,000.00 682.00 _/~~Q 3,725.00 I 3,725.00 , -- 1,611.00 1 ,611. 00 ;w 1990.4 UNDISTRIBUTED EMPLOYEE BENEFITS STATE RET I REt'lENT . \ol90 10 .8___ S 0 C I A L S E CUR I T Y 5't190 3 0 . g ___ C 0/.1 PEN SAT ION INS. S't19 0 1 f 0 . f; LI FE INSURANCE 9i!90 It~). g - U~ln'iP LOYl'-1ENT INS. S\'/90 50 .8. -~ "QISASILITY INS. S'.'190~:;5.Bt - l.UU I--~_ 1.00__ rOSPITAL AND . ;'\f::-. D I Cf\L INS. 9../90 (iO . 8 . . 40.00 2.Q__O.o_ ___ 22.00 _I 22.00 . __~~T !\~__._____~ ~~~~~~~~_~)_._ol=--====--==--~.- 2B'O:::.~.~~_l.====.J.:.~g2~~:J:::_-14+00 r=- 74~ 140.00 100.00 SQ..O~ 20.00 40 nn 12.00 19.00 20.00 ,.12.00 19.00 L 39 ACCOUNTS WATER DISTRICT APPROPRIATIONS (CONTD.) OAKtvOOD KNOLLS HATER D I S TR I CT -- --.------ .- BUDGET BUDGET HIS YEAR OFFICERS AS TENTATIVE AMENDED BUDGET 1972 197..2 ""'-. CODe: ACTUAL LAST YE.t..R 1974 PRE- L H.B NARY BUDGET 197 6 UNDISTRIBUTED DEBT SERVICE PRINCIPAL SERIAL BONDS ~-i 9 7 1 0 . 6 1 200.00 1,200.00 1 200.00 L200.00 1 200.00 STATUTORY BONDS W9720.6 BOND ANTICIPATION NOTES W9730.6 ,~ CAPITAL NOTES - 'd 9 7 40 . 0' BUDGET NO T ES W9750.6 2,668.83 2,668.83 2,668.83 REVENUE ANTICI- . PATION NOTES W9770.6 1 000.00 1,000.00 1,000.00 1,000.00 TOTAL PRINCIPAL H9899.6 ~O _ 00 2 200.00 ~~68_fi~ 4,868.83 4,868.83 DEBT SERVICE . INTEREST SERIAL BONDS \197'10.7 1,846';07 STATUTORY OONDS -\-19720.7 BOND ANTICIPATION NOTES S~'/97 30 . 7 CAPITAL NuTES 5W9740.7 BUDGET NOTES S\-197 50 .7 REVENUE ANT I C 1-- PATION NOTES TOTAL INTEREST 1,740.00 1,680.00 1,680.00 1 680. 00 . S1il9170. 7 .__~~ 'Jd 9 8 9 9 . 7 _~.,.9..Ql~-9.LJ 80.00 70.00' lL82Q~00_c=i 750.00 70.i 1,750.00 -- TOTAL HATER DISTRICT APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTEDlI TO PAGE 1) . !. S\'J9900.0 __~L34;L.89_ 1.o.-I...6.B2.00 -15 . O?8 ..8. t . 15,028.83 15,028.83 I . .:1 " lfO WATER DISTRICT ESTIMATED REVENUES OA..~'iOOD KNOLLS HA TER D I S TR I CT ---=:==:-- ,-:::.=:---_.~- ~ J /CCOUNTS .., t'lETERED SALES U i\ ~.1 E T ERE D S ALE S \-:ATER CONNECT ION CHARGES Ir.:TEREST AND PENALTIES ON HATER RENTS CODe:. ACTUAL LAST YEAR 197! BUDGET THIS YEAR AS 1...I-iENDED 197~ S\'/21LtO 4,390.36 7,742.00 ~- I S \-12 1/+ 2 :-------f---. S h'2 1 11-4 S \<12 1 Lt 8 ~- r. INTEKEST AND EARNINGS SALES OF SCRAP AND EXCESS t-1A TER I ALS t.ll NOR SALES" OTHER S\-I2655 i---- INSURANCE RECOV- ERIES OTHER COMPEN- SATION FOR LOSS SW2G90 ~,,~L1ER ~SPE~_~Y)_, 5 H 'c'!\L HATER ISTRICT - ESTIr~lHED RF::V- Et-~IJES (TRANSFER TOTAL "ADOPTED" TO PAGE. 1) Real Property 'l'a'Ces SHI001 SI,'/240 1 _~.37 S \-/2 6 50 5 H2 6 80 . ~STIi';ATED \'J\TE:f{ DISTRICT UNEX-- . PEt-lOED BALMiCE \ (TRANSFER TOT/d. ~;~~ p-~ ~ ~I_.._:~.__J.._. __ l - r 4 521.73 7,742.00 _...2.L..._______ ~~T80_:iQ... --Z;9"4U:110\ 9,702.13 10,682.00 UNEXPE~DED BALANCE I, I GUDGET OFFICERS TENT AT I ',IE BUDGET 197!i 9,480.00 ,-- 9.480.00 PRE- L It-tI NARY BUDGET 197fi.. ADOPTED 1 <) lfL 00 .00 . _. -::::-..==~=:::::.:=-=-__-: t::=::......:=====::::.:=.--r-....;:-...=-..:.:::::=---::=C:::----- . __ 9.480.00 9}180.~ +---- -- ~ I \ ~q.AllD. 00 . r..48!>, 00 ~ 1 .00 .00_ ~ WATER DISTRICT APPROPRIATIONS ~f-.;\:r..,L 'l',:::SES m,,'l'EH HATER DISTRICT ---.-----. ---_..::..._----::.--..-+--~---~---~---- BUDGET BUDG~T ACTUAL fHIS YEAR OFfICERS PRE- LAST AS TENTA'fIVE LIMINARY YE1\R t\HU!DC:D 8UDGET BUDGET ACCOUNTS COD:: 197~ 197_~. 197~ ," 1976 ! ~Di"lINISTRA'rION k~--' ----~--- --,---- -- II 'PERSON~L.SERV I CE5 31..~8 ~ 10 . ;}__________ __ ________~___70QJliL 200.00 . EQU I PI"IEN I ~ \,/3 j 10 . Lt 100.00 80.00 SO~R C ~O ~; \ u P P D' , '\i 83 10 . G - ===- =:c'.9JL! L..Q.QQ.Jill-,~c --280.00 t _.380.00. pm'l ER AND PUf-1P I NG r,. " PERS ONAL. S ERV I CES,--1;i3 320 . \__~__..:.. _____ ~ EQUI P~;IENT .: .)\.':8:)20 .~, . 1- __~ tONTRACTUA~' EXP .:, \.18 3 20 . L,~=-- ,-==~-=- =====--==-1 - . . - TOTAL -,' \-/8320 .o~______ --=-====-:t:- .~~~~~~~tTJ~~VI~ES ~'18330.11 '_~_~__ . EQUIPlvlENT :;\,:8.530.2' S.?0.0~tE:' CONTRACTUAL EXP. -H8330. J--~==-_ .----- 3,500.00 1 O.....illl.... 1 qoo.oo . TOTAL H83 30 . orl-====--- . _ .00 ,1,000 00 , L.QQ.O-t-QQ. ~1 ,000.00 _ TRANSr'lISSION AND - . \ C. 'DISTRIBUTION . . . ' PERSONAL SERVICES \l8:,',[). 1;_--"________ ___~ ______ ...<-J5.o..JlIL. -~'750.0L EQUI Pi"!ENT ,\/8.5[:0. :'f----------L- _~,O~O.~.~ ~_ 500.QCL I. 500.00 I CONTRACTUAL EXP.)~'ISYi-O./H I 3,000.00 [LOOO.OO 1,000.00 I TOTAL ; '.-18 3/+0 . O_.._______[===--=-~-QQ--L--1,-Q.0~_=Q07'-L-i'250. 00 _. 4,250. __._______,___.____L--._ l l\DOi-'TEr' 19 7.~ 2,400. 2,400...illL .2,400.00. 2.400..00 UNDISTRIBUTED Er'lPLOYEE BENEFITS ~ STATE RET. IREt-lfNT'l?H.90 10.8__.,____ ______ _~.Q.~~ SOCIAL SECURITY SW:JO ~H) . Sl_______ . 40.00 COf-1PENSATION J f\lS . S~'/9() ltO . c> ___ _ .I.__ LIFE INSURA~:ICE ~\'JCjOlfS.tJ I UNEt'lPLOYlvlENT INS. 5'..:9050 . 8~-.-==-~=C---==--_.~-~-- DISA81 LITY INS. ;)\'1(10 :I~-'. t;'u.___.___._._I.___._~____L__...--------,- _~_ .~-1...00_. H~~~;: ~~t~f~~..._" ~;!&i ~;~ : ;;l~c~;~:-==cb:~~:=goJ~;;A~~~~~r~:~:~~tl=" ~6J( .- 23.00 13.00 18.00 23..00 13:-otr 18.00 Ll " ::Ie.; WATER DISTRICT APPROPRIATIONS~CONIU.J TALI.. TREES \'iA'ffiR \'IA"TER D IS TR I CT .- ---- . - . ----.- --.-----..--- -- - ....- - ---- ---------- . . ACCOU;'-ITS l DcaT SERVICE T PRINCIPAL l i S=~IAL BONDS t,,>~'19710 . (i ~- I STATUTORY BONDS -HQ720 .6~t [81':0 ANTICIPATION ~ . -~. . ~ NOTES W9?3?~" CAPITAL NOTES)V1971+U .6. ~ . 3UOG~T NOTES W9750.G _______-L- REVENUE ANTIC I-I PATION NOTES. >W9770.6 . TOTAL PRINCIPAL W9899.6 I , 1972. BUDGET OfFICEF{S TENTATIVE 8UDGET 197.6.. PRE- L I ~1 I NP,KY BUDGET 197~ {,OOPT ED 197~_ COD~ ACTUAL LI\ST YEL\R 197..1 BUDG=T THIS YEAR f,S A F l",iv~=~~DcD -L- 5 ,000.00 t~ooo. 001 6.0~O~O j l' - 5 , o~o . 6 op.....oL!_Ji., 000 . 00 - UNDISTRIBUTED l I I .J DEBT SERVICE - INTEREST SERIAL BONDS ;\'19710.71- S TP...TUTORY D::>NDS ~ H9120 .7 _ J 30:.;Q P,NTICIf'ATION l \ ( I NOTES. 5'.-197:>0.7 . 4,000.00 r :\? I TAL !\Ill rES S','1971,0.1. I JDGET NOTES 5';19750. 7\~___' .b----~--EI :V~NUE ANTICI- \ ':>/'. T ION NOTES ~;','f97 '70 . I . . - ~ TOTAL INTEREST 5H9g~)9. "l~-=.-~ .00 C1&-OO_.OO -.3,000.00. [.A...OillL..QQ_.-= _...____ r------. I TOTAL WATER . DISTR1CT APPRO~" P2IATIONS (TRN',S FER TOTAL lff'\DOPTEDtl TO D;"."- 1) r . \.. ~ :.>V19lJOO .0 .00 JJL.llil.-OD.....- 18 ,11..Q.. 00. ~UD.....o.o_____ L--_._____ ...___-u __,__..___..__._~___.___. L 1;0 .WATER DISTRICT ESTIMATED REVENUES TALL TREES ~:ATER i-lATER D 1 S TR I CT ____._w___....________'_..___~ -.----. ._____....___ ____.0.-_____ I I r 1"ETE22D SALES Ui\,'.!:::TERED SALES k:;TER CONNECTION ACCOUNTS CHAC{GES I ~;TERES T AND PEj'j.':;L TIES ON HATER RENTS I~n:::F:EST AND EAR~.; INGS ..-. SALES OF SCRAP At-;D EXCESS t-lATERIALS j.HNOR SALES" 10TH ER. . INSURANCE RECOV- 1 I I ERIES DTH ER COi'-lPEN- 5J\TION FOR LOSS OTH':::2 (SPECIFY) TOT ;,:... \.:A TER DISTRICT - ES T H1ATED REV- E~~U:::S (TRANS FER TOT ;\L IlADOPTED",. TO PAGE 1) CODE SH21L,0 5H2142 SH21Lf4 5H2:(I+H 5\-12/+01 "SH2650 5H2655 5H2(180 5H/.690 5\-J BUDGET rH I S YEAH BUDGET OPFICERS TENT AT I '/E GUDGET 197_~ . C hJ Pr;E- Llt-IIN,D..?Y RUDGET 1 9 7.2. !-\CTU;-\L LAST YEAR 197_~ !\DopTE 197.t?_ /\1.\i:i'iDED 1<J7~ I ,==~}-, .00 Jll.248.00 f~248'OQI~1,2~,OO 1 ~_, .l-= .' ,. ,=t 100.00 lOO~OO:OO] I . . . --. t .~'~\~ .'.~~I" ',__L+ J ______..-----'-Q.Q.- . -3-1,348.00 -------1- . 1- 11,348.00 ~348.00 . r--- I' UNExpa~!JED BALAi'ICE I I EST I :.~;\TED \.:ATER I DT~~:-)IC-r UN'FX- 1 ::> , I.. I ,-~ ... PE~;DED Br,Lf..J\!CE ( -r ~) f , ,~ ,- ~ n -r 0 --I L i....',.'1:);- r: r" I :\ . I;j.~).)~)TcDII TO LP /"~~___~~________~___________.__n_ ____:::==-=::~:==c::=-.~:::::=-::===:=_.:--r 6 ~;~_~_. 00 =:=-1-::=-~:!.162 .O~ _~762. 00 ___ ~..'.;...~./ . 'i l t, - r 8UDGET BUDGE;T I ACTUAL "-HI S YEAR OFFICERS PRE- II LAST AS TENTATIVE LIMINARY YEAR At'1ENDEO BUDGE,T BUDGET tl..OOPTED ~ ACCOUNTS . CODE: 197...1 1972 197_6 197,2 197.,g A~t<1IN I STRATION ?ERSONAL SERVICES S1tl8310.1 500-,-00 4,000.00 5.400.00 5 400.00 EQUIPMENT S \v 8 3 1 0 . 2 100. 00 500.00 ~nn nn 500.00 I CONTRACTUAL EXP. 5\"8310. [, 500. 00 2,500.00 1 . ~oo on 1 50D. 00 TOTAL ::,H83J.0.0 t, 100. 00 7.000.00 7.400.00 7 400.00 SOURCE OF SUPPLY, pm~ER AND PUt>'lP I NG PERSONAL SERVICES S1tl8320.1 18 000 00 EQUIPMENT :>\'18320.2 2,000.00 4,000.00 1,000.00 1 ~D1L- CONTRACTUAL EXP. S1tl8320. [ 6 000.00 8,000.00 15.000.00 15.000.00 TOTAL 5W8320.0 7(.. nnn no 12,000.00 16,000.00 16.000.00 PURIFICATION PERSONAL SERVICES ~H8330.1 EQUIPMENT p\..J83 30.2 1,000.00 364 on 364.00 CONTRACTUAL EXP. :; \-18330 . 4 3, 000. 00 5,000.00 2 7no. .on 2.700.00 , TOTAL SH8330.0 3.000.00 6,000.00 31064.00 3,064.00 I - TRANSMISSION AND DISTRIBUTION PERSONAL SERVICES ~ \'18 3 I~O . 1 0 29,300.00 29.300.00 -, f0U I PtY\ENT :}H83L~0. 2 4,000.00 LOOO.OO 1 .000.-00- 'LNTRACTUAL EXP. jW8:540. l ~u ,-000 . au 2.000.00 2 000.00 ! ...' TOTAL 3\v83L~0 .0 34.000.00 32 300.00 32.300.00 UNDISTRIBUTED ENPLOYEE BENEFITS ~ STATE RETIREMENT ~'/90 10 .8 1.800.00 400.00 360.00 ~hO 00 SOCIAL SECURITY SW9030.8 1 100.00 300.00 200.00 ?OO on COMPENSATION INS. S\'J90 L~O ,8 100.00 50.00 105.00 101; 00 LIFE INS URANCE 9,.J 9 0 L} 5 . 8 -- UNH1PLOYt-1ENT INS. 5V/90 50 .8 ,DISABILITY INS. S'd 9 0 5 5 . 8 2LOO ?1.00 'H 0 S PIT A L AND MEDICAL INS. S1l90 GO .8 1.400.00 250.90 550.00 550.00 - TOTAL c.l 3\'/9199.0 A 4nn-Dn 1 000.00 1,236.00 t,236.00 --.----- ----.----...----.---- WATER DISTRICT APPROPRIATIONS Central Wappinger HATeR D I S TR I CT L :59 WATER DISTRICT APPROPRIATIONS (CONTD.) Central Wappinger ~'IA TER DISTRICT BUDGET BUDGI;T ACTUAL HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LHHNARY YEAR AMENDED BUDGET BUDGET ADOPT ACCOUNTS CODE 1974 1972- 197J) 197..2 1976 Contractual SW8340.4 UNDISTRIBUTED DEBT SERVICE 1,266,570 10 PRINCIPAL 11,000.00 SERIAL BONDS W9710.6 11 000.00 11 000 .00 STATUTORY BONDS H9720.6 BOND ANTICIPATION ~ ~ NOTES \.., 9 7 3 0 .6 350,000.0 35,500.00 50,000.00 50 000.00 50,000.00 CAPITAL NOTES W9740.6 BUDGET NOTES H9750. REVENUE ANTICI- PATION NOTES \-/9770.6 TOTAL PRINCIPAL W9899.6 350,000.0 46,500.00 61 000.00 .00 61 000.00 DEBT SERVICE . INTEREST SERIAL BONDS W9710.7 STATUTORY OONDS W9720.7 BOND ANTICIPATION NOTES SH 97 30 .7 CAPITAL NOTES SW9740. 7 BUDGET NOTES SW97 50 .7 REVENUE ANTICI- PAT ION NOTES 9119770 .7 TOTAL I NTERES T 5\-19899.7 TOTAL WATER o I S TRI CT APPRO- PRIATIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 22,881.00 22,243.00 8 181 00 160,443.00 22 243.00 75 300.00 138,200.00 J., 643,710.1 5\-/9900 '..~~ 179,181. 00 281,443.00 " LtO ) I J ACCOUNTS I'IET ERED SALES UNt-1ETERED SALES \.:A TER CONNECT I ON CHARGES INTEREST AND '. PENALTIES ON HATER RENTS I I NTEREST AND I EI\RNING?::ii~es€. \ \_ SALES OF SCRAp AND EXCESS . MATERIALS I t1 I NOR S ALES ~ OTHER INSURANCE RECOV- ERIES OTHER COHPEN- SATION FOR LOSS :HER (SPECIFY) Refund WATER DISTRICT ESTIMATED REVENUES Central WaIminger 'HATER D I S TR I CT CODE S H2 140 SW2142 5\'.12144 5""2148 ACTUAL LAST YEAR 1974.:.: S\'1240 1 ~(19~...91. BUDGET THIS YEAR AS AMENDED :1971 34,.500.00 1 000, nn " 5W2650 5W2655 - 5\<12680 5W2690 5 \'12701 2,500.00 - Ill( BAN SERIAL - TOTAL 2 050,021.50 400,000.00 2,464,630.41 35,500.00 143,681.001 UNEXPEMDED BALANCE 179,181.00. EST I (vIA TED \-fATE R DiSTRICT UNEX- PENDED BALA.NCE \ (TRANSFER TOTAL L 'IADOPTEDl: TO PAGE 1) ---~- .-- ------ L .001 Lf 1 BUDGET OFFICERS TENTATIVE BUDGET 1976 59,000.00 1,000.00 60,000.00 10,594.00 PRE- LIMINARY BUDGET 197 6 -- ADOPTED 1976 59,000.00 I 59 .000 .,Q.Q... 1,000.00 60,000.00 10,594.00 + I '- 1. 000 .00 fin nnn.nn .10,594.00 New Hackensack FIRE PROTECTION DISTRICT BUDGET BUDGET ACTUAL HIS YEAR OFFICERS PRE- . LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTE ACCOUNTS CODE: '1974 1912 19 712. 197~ 197i APPROPRIATIONS FIRE PROTECTION DISTRICT 120,326. J 129,786.00 PAn'tENTS ON FIRE CONTRACTS SF-l- 129,786.00 CONTRACTUAL EXP. 3410.11- 113 412 86.00 TOTAL 13 412 129 786.00 129,786.00 .. .- 9 ESTIMATED REVENU S r 389.60 Int. on Deposits &: 1 1,600.00 1 600.00 1 600.00 Rentals 3,698.41 3 698.41 3 698.41 TOtAL 5 298.41 5 298.41 5,298.41 " " UNEXPENDED BALANCE ESTIMATED FIRE nnJ ~LOOO. 00 PROTECTION DIST. UNEXPENDED BALANCE 1 500.00 1,500.00 1 FIRE PROTECTION DISTRICT, APP OPRIATION FIRE PROTECTION DISTRICT PAYMENTS ON FIRE CONTRACTS SF-2- CONTRACTUAL EXP. 3410.4 TOTAL TOTAL . ._ .to _ - ESTIMATED RE~ENU'ES _ -r' --- -- ~-----'----F --~=t-------l--------- 1=--.,...--- ------. -..- ------.--.-..--.- '-.-'-.~-.--- --.:=.-=:: .------------ -- --------.-. '1--.------ . - -.----. ---- ----- UNEXPENDED BALANCE lE~~_U~f~~:_~_I__~isl_.__ ___._..__ _._----L=~_=:l--~: ::TRM~r..> FER TOTJ\L "/,DOPTED" TO PAGE 1 It 2 HUGHSONVILLE FIRE PROTECTION DISTRICT ( BUDGET BUDGET ACTUAL "H I 5 YEAR OFFICERS PRE- LAST AS TENTATIVE LlMINARY I YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 197.1:. 1972- 197~ 19;~ 197.& APPROPRIATIONS FIRE PROTECTION DISTRICT PAYHENTS ON FIRE CONTRACTS SF-1- CONTRACTUAL EXP. 3410.4 52,246.66 55.434.24 64,632.23 64,632.23 64.632.23 --- 52,246.66 TOTAL 55.434.24 64,632.23 64-632.23 64.632.23 , . EST I r'1ATED REVENU .S RENTALS 100.00 100.00 150.00 150.00 150.00 SALE S OF EQUIPMEN"T 500.00 500.00 500.00 TOTAL 100.00 iOO.OO 650.00 650.00 650.00 , . UNEXPENDED BALANCE ESTIMATED FIRE PROTECTION DIST. UNEXPENDED BALANCE nn nn .00 .00 , . CHELSEA FIRE PROTECTION DISTRICT I APPROPRIATION) FIRE PROTECTION DISTRICT PAYMENTS ON FIRE CONTRACTS SF-2- CONTRACTUAL EXP. 3410.4 30.600 OC 35,222.00 35,850.00 35,850.00 35 850.00 TOTAL 30.600.0C .;So, ;Q2. uu 35.850.00 35.850.00 1~R!10.00 A40 ESTH1ATED REVENUES FIRE PROTECTION OUT SIDE DIST RENTALS A52 50.00 50.00 100.00 100.00 lnnnn TOTAL 50.00 50.00 lon no 100.00 100 nn ~ UNEXPENDED BALANCE lEST It-1ATED FIRE I PROTECTI ON DIST. I J~JEXPENDED 3ALMJCE .00 .00 .00 00 --. -"---.- .---- -- .. .. ~ '. ~ ::TRMJSFER TOTAL "ADOPTED" TO PAGE 1 42i\ ;"- SEWE~ DISTRICT APPROPRIATIONS _ .EJ~~TI"OOD__l:Y}NO~.___--_____- BUDGET HIS YEAR I AS 11\~-jcNDED l 19 7?_ SEHFR DISTRICT BUDGeT OFFICERS TENTATIVE f3UDGET 197._6 I\C COUNTS ACTUAL LAST YEAR 1 9 74 PRE- LH-11NARY BUDGET 191_~ CODE I r SPECIAL ITEr.1S 7AXES ON SEWER 1 DISTRICT PRCPERn I . I CONTRACTUAL EXP. 55 1950 . It j ___ t_ 700.60 r 470.:-r-:~.00' \Di"l I N I STRA T I ON . PERSONAL S ERV ICES 5S 8110 . 1 392.61 300.00 IEQUI?'vlENT -S8110.2~ ~ CONTRACTW\L EXP. 558110.L, ':T9" ---'-2"00.00 : TOTAL SS8110.0t~39.80 56-d~00 - II SEWAGE COLLECTING SYSTEM~" PERSONAL SERVICES SS8120.Ii IEQUIPMENT 58120.2 - :ONTRACTUAL EX? 55 81 20 . It TOTAL .S8120.0 ! S E\'IAG E T~ EA nlHIT I I AND DISPOSAL I ~E~~~)~:.'L SERVICES ~~81~O.1 _ ._~'L.O~.2'OO~. ~JO.OO.OO _QU.PIlc:NT ).,81.;>0. 2 ___..._~ _--1:.r..QOO.O.CL '.:ONTRACTUAL EXP. -S e130 .It __~.!51~~~~ _8,..QQQ.:QQ... I TOTAL :is 8130.0 ~~? tS~}..59 __-}-8!..000'9..9... ~ UNDISTRIBUTED EMPLOYEE BENEFITS I STATe: RETIREMENT ::>590)0.8 ___.____ _----.2.00.00 50.00 29.00 SOCIAL SECURITY ;590:')0.8 500.00 40.0017.00 iCOi-1PcNSATION INS. 59040.8 ------- ----~- ---=: 8.00 1_ "LIFE INSURANCE )5CJOlft;.8 !UNEi"~PL.OY I-I E t'n INS. )S~lO 50. 8f----===-=--=--==r-------------- ,DIs.t..:nLITY INS. :;59055.8' =-=--.J____~ 2.0 lHOSPITf..L AND---- --- b--------- I EEDICf\L INS.SSOG0.8 600.00 .20.00 34.00 .. TOT.4L S ~1l9 CJ . (J--------- --2-;-c)6o~-fR)- ..-----. ----- _________.__________.__ ___'______ __ _l-===:::--=---=-=--.::-~:~=__:=::=-__=-.:::___== .--..:~~g.,--'3:~=:=~_==_-.9fi.-QQ I 200.00 909.00 100.00 570_~ 55~o- 200.00 .Cio 3 800.00 6 5;iQ.JHL 4,000.00 6 800.00 500.00 400.00 ?JSOQ:..QQ_r 3,200.00 ~LQQO.OO 10,400.00 'i :5 100: 00- 570.00 . 2 0.00 3 800.qO 4 000.00 6 800. 400. 3~200. 10 ~400._ 29.00 17.00 8.00 d 2.00 34. 00. .~_ 90.00 ..~.--~-- bA " ---.----.-~-......---,-----,---.-.--,-----.-------~-.---- -T -- - SEWE2 DISTRiCT APPHOPKIAIIUN~ , llID"'POINT PARK S U'iFR D I S TR I CT -!~ ~ AC-rU/\L U\ST YEAR : J J\e COUi'ITS COOS 19 i'i ~~AL !TEnS ~ ;AXES O~~ 5 E~':ER _ 'I-I. DISTRICT PRCPERT'i .\ COi'nRACTUAL EXP. 551950 'L,c.t-. _!-------------,---:---- . ,D,-lINlSTRAT!ON ~ "I PcRSO'~"L SERVICES 558110 '1--~-~_~QlWlO_--=a.:-_ 5ao..J)o. E QUI "M eN T-S 8 11 0 . 2[} l_lo.Q...o.ll loa . 0.0. lao., 0.0. .: CONTRACTUAL EXP. 558110. L+ _ 400.00 300.00 ~oo.oo : TOTAL 358110.oll r--- _--.-A-01L-~2..00.0Q__-900~~. 90q.OO~ I 8UD~ET BUDGET fH15 YEAR OFFICERS i AS TENTATIVE I ,. q~""D'-D E' UDGr-T I r',,',::..,' C .> I ..:. i I 1975 1976 \ - -- ': ---------- pr~E- L It'! I N~,RY BUDGET 197~ I\DOPTED 197~ 1 S HIAG E COLLECT I NG SYSTEt'l ,l. PERSOi'lAL S ERV ICES SS 8120 .1; EQUIP~ENT .58120.2 ::ONTRACTUAL EXP. 55 8120.'+ TOTAL ,58120.0 -, -- 2,820.00 LOOO.OO 1.0_00.00_ 6,500.00 3,600.00 3~0.00 _ Q(L-! 9.32Q..ill1. 4,600.00 4~600.00 ,- - I I IS E\'!AGE TR EATj:~EtlT \ AND DISPOSAL . D;::Psn\I^L SE'>VIcc5.-'8170 1 8.00'O.ruO 800000 I r _, ,,,.h r, L J,)...:.J . _ Ul ~ -..:-:::-.. 'IUIP!'.tENT S8J.~O.2 __c--~,OOO.OO LOOO.OO 1,000.00 L./NTFU\CTUAL EXP. ;581:50. Lf __ ~~QO.Oq, 8,300.00 8,300.00 \ TOT ^ L ;5 8 no. o.~ . 0.ll--c-lbP00_. 00. ,.107,300.. OL~l-_17 ,3o.o.~Jl.O - , UNt\ISTRIBUTE1 r-- Ei'lP LOY EE BE t1 EF I TS STATE RETJREt1Et-n 359010.8 100.00 50..0.0. so..o.a S OC I AL 5 ECU~ I TY ;590 :50 . (; ._- I - 80. OQ__,_~ 1~' ~~ -r.-- 21'87., OOOO~~ ICOHPENSATIOi'l H:S.)S~)O~tO.8 1/1111-" lLlrE INSIJRt\l':CE ~S901}';. st___,_-_ _ - I -----.- . LJNE:.'.?LOYi-'iCf'!T INS. .590 ~)O . err :DI5A3ILITY HlS. )S90~j:;.gl----- -- ----r--.b00-t--2.00-- . Il>:os PIT !\L N!D 1.-icDIC/,L Ir<3. o;s~jO[\O.f 4000 4300 4300 . _~r 0 T t~____~_:~~2~:~--- -- b=-=-:- 00 -=. =:~2.0~(L=1-'::14a .:.o1L.~,-_ -! ~:-o.2:~~ L I, ,) SEWER FUND APPROPR!ATIONS (CONTD.) tHO-POINT PA?J( . S E;:\./ER ._-==--==-..:::::=:-----=--==.--------:.----= :;1 SU~)GE:T BUDGET ACTUAL IHIS YEAR OFFIC~R~ LAST AS TENTAfIVE Yb\;:< ;.....:c::--;DED BUDGET COD~ 1974 1~72 1970 .' DISTRICT ;\CCOUNTS PRE- L I1-lI NARY BUDGET 197-6 !\DOPTfr- 197&. \ DEBT SERVICE PRINCIPAL SERIAL BONDS -S9710.6 STATUTORY BONDS ,pS9720.6 _ ~ . \- BOND ANTICIPATI001 L NOTES :;S9730.0 CAPITAL NOTES S9740..0.____ L.-==_1 BUDGET NOTES -59750.0 ~ 1-- REVENUE ANTICI- PATION NOTES TOTAL I UNDIST2IBUTEDI L. " ."1 - I I DEBT SERVICE [ INTEREST SERIAL BONDS ;59710.7 " STATUTORY lDND3 pS S 7 ~;l .7... r CO:--lO A. NT I C I PAT I Oi.~' -------1---- NOTES \)59/)0.7 ~ CAPITAL NOTES ~S9jtfO .1.-=-~___~1 - :-8UDGET NOTES :.;.S S'.! 50 . j I --.- ------ E- " REVENUE ,l\NT I C I _ I r-~--u .. PATlaN NOTES';Sf)jjO. 7 .~___________,L-- TOT Al ..:- 'S ~13 99 . j :________1 -=-_...l----::-.::::- ----- 59770.6 S-,3899.G TOTAL SEWER DISI. APPROPRIATIONS (TR.::..NSFER TOT I\L ".t\D8PTED II TO P/\G~l ) --~-_._---~- ~------------..-_.- _ __~Q- ___2_U510~o.Q.... . ---------.:=------- .-.2h~40,OO .._.~- .w .~,~ :.......,... {'\ , I. 'f "; . ; . BUDGET BUDGET J ACTUAL rH IS YEAR _ OFFICERS PRE- LAST f,S TENTATIVE LHHNARY 1I ACCOUNTS YEAR t...1"E: 1'1 0 E D BUDGET- BUDGET ADOPTED 197 4 197...6 -- 197..Q CODE: 19b_ 197.2 ~ S E\-iER RENTS S52120 22.840.0Q , 22 84n nn ?? R/ln nn SHIER CHARGES 552122 - -- I NTE:<ES T AND PEN,l:..L TIES ON S E',-/ER RENTS SS2128 INTEREST AND EARNINGS S52401 - 100.00 100.00 . 1 no . 00 SALES OF SCRAP AND EXCES S t-1A TER I ALS SS2550 t11 NOR. SALES; OTHER SS2555 INSUR.ANCE RECOV - I ERIES S S 2 6 8 O. o TH E R COMPEN - I SATION FOR LOSS SS2690 c;TATE AID FOR UERATION AND '.h.H1TENANCE OF HAGE DISPOSAL PLANT 5S3901 OTHER (SPECIFY) SS DIST( -----.- TOTAL SEHER ES T It'\A TED RC:VENUES(rRANSFER TOTAL "ADOPTEDl1 TO PAGE 1) .00 22,940.00 22,940.00 22.940.00 ::=:..- I UNEXPENDED BALANCE , ES T I t'\A TED SEViER DISTRICT UNEX- PEN~ED BALANCE (TRANSFER TOTf\L ~_J "f\DOPTED" TO P/',GE 1) --- L f-- - - I SEWER DISTRICT ESTIMATED REVENUES HID-POINT PARK S E Hf: R D T S T R leT L ti 5 SEWE2 DISTRICT APPROPRIATIONS R().cki~ghaln Farms S EHFR. 0 I S TR I CT t BUDGET BUDGET ! . ACTUAL fHIS YEAR OFFICERS LAST I AS TENTATIVE YEAR I AMENDED BUDGET 197~j, i 197...5 197.6. \ ACCOUNTS I SPECI AL !TENS TAXES ON SEWER I DISTRICT PRCPERnj I CONTRACTUAL EXP. 55 1950 .l.il COD~ mt-l I N I S TRA T I ON " PERSONAL S ERV I CES~S 3110 . Ib__361. 80 EQUIPt"IENT " ::>58110.2:L_~_ i CONTRACTUAL EXP. 558110.L" so. "'0 : TOTAL' 558110 . 0 '~ 1,000.00 4,000.00 500.00 1 500.00 6 000.00 500.00 L5..Cill....J 1 SEWAGE COLLECTING SY'STEf'l f PERSONAL. SERVICES 558120 .1! EQUIPMENT S8120.2 ::ONTRACTUAL, EXP. 55 8120 .1+ TOTAL S8120~O 3 675.00 27,000.00 I I ISEWAGE TREATMENT 'I AND DISPOSAL ' , PERSONAL S ERV ICES ;58130 . l_~~_ 565. 36 28.. 000. 00 E.:QUIPMENT ~58130.2 1,500.00 3,000.00 .' ;ONTRACTUAL EX? .;S 8130 . I~ ~_9_,_~ 9,~_._!2.___11..LQOO._OO_ __ 25,000--".Q.9_ TOTAL -58130~O _~1LI52. 171 46,5.00. 00 28,OOO~00 PRE- LIMINARY BUDGET 197-6 950.00 300.00 850.00 2,100.00=1 I 2,300.00 12,000.00 14,300.00 26,300.00 .3 000.00 19 600.00 48,900.00 UNDISTRIBUTED EMPLOYEE BENEFITS I S TATE RET I REt~EN" 2,800. 00 _~OO.~OO SOCIAL SECURITY 59030.8 752.17 1,6-00.05 300.00 I~!:~:m~~~~ c~::: :m~.:H:r~~=-, . ___~__ __5~_~~ lDISAB1 LITY INS. S90 55. B ___~_ ____._ __,_,____. \H75PITAL AND ' L'1EDICAL INS. '~SSCjlIO'0J 2,000.00 250.00 140.00 __!_~ T A_~____,__~~;_~_l 9 ~.:.~ _:~_ 7 5~___J&._ 6;~I~~'~~-~~QOO-'-~?-C ~75. 00 If :5 134.00 65.00 30.00 6.00 '. ADOPT 197.6. " 950.,00 300.00 .. 85(f. 00 . 2,100.00 2 300.00 12 000.00 14,300.00 ~..90. 3,000. 19,600. 48,900.00 134 . 00 65.00 '30.00 6.00 . 140.00' ' . i{J'-' [j " SEWER FUND APPROPRIATIONS (CONTD,) _Rockingham Farms SEWER DISTRICT ACCOUNTS C BUDGeT BUDGET ACTUAL ~HI S YEAR OFFICERS PRE- , LAST AS TENTATIVE LIt-UNARY YEAR At-1ENDED _- BUDGET BUDGET ADOPT,ED ODl: 1 9 7 _:1':' 197~ 197.1> 1972- 1972. UNDISTRIBUTED 710.6 _J. 720 .6 730.6 590.00 6,000.00 740.6 ~1 750.6 770.6 11 000.00 15,000.00 15,000.00 1 5 .000. OQ_ 899.6 hQI'\ 1'\1'\ 17 000.00 15 000.00 15,000~00 15.000-:00 71a.7 r 7'20.7 73.0.7 420.00 740 . 7 I I -- I----. 750 . 7 770 .7 -----1... ";1";1 p. J; ~ 1, 650.00 : 1~125~00 1,125.00 1 125.00 899.7 _1...._??O he 2, 070.00 1 1~. 00 1,125.00 1.125.00 . - 57, 140.56 73,470.00 81,800.00 81.800.00 81 800.00 ---~ - ~ " DEBT SERVICE PHINCIPAL SERIAL BONDS STATUTORY BONDS 'S 9 BOND ANTICIPATION NOTES -S9 CAPITAL NOTES S9 BUDGET NOTES S9 REVENUE ANTICI- PATION NOTES TOTAL DEBT SERVICE INTEREST S ER I AL. BONDS STATUTORY OONDS BOND ANTIC1PATION \JOTES :;59 ~.C\PITAL NOTES 'S9 DGET NOTES 59 \~EVENUE ANTI C 1- PATION NOTES TOTAL TOTAL SEWER DIST. APPR.OPRIATIONS (TRANSFER TOTAL IliAD. OPTED" TO . PAGE 1) '0-- . L if i~ .' ACCOUNTS SEHER. RENTS S E\'IC:~ CHARGES I NTERES T AND PC:NALTIES ON S e!ER RENTS INTEREST AND EARNINGS SALES O.F SCRAP AND EXCESS t'1A TER I ALS MI NOR SALES ~ . OTHER INSURANCE RECOV- ER I ES OTH ER COl'-\PEN- SATION FOR LOSS STATE AID FOR O?ERATI.ON AND I.~A I NTENANCE OF 5E~':AGE DISPOSAL PLANT OTHER (SPECI FY) CAPI'l'AL. ACCT. TOTAL SEWER DISTJ E 5 T I t'lA TED REVENUES(rRANS FER TOTAL "ADOPTEDI1 TO PAGE 1) SEWER DISTRICT ESTIMATED REVENUES ____ 5E\.Jf:.R DTSTRICT ROCKINGHAN FAPJ>lS CODr: ACTUAL LAST YEAR 197.1. BUDGET nn S YEAR (',S ,t\ME;-'iDED 1 9 72. BUDGET OFFICERS TENTATIVE BUDGET 1 9 7.6. PRE- LIMINARY BUDGET 1976- .~~, 748. 34 ~O ,:009.00 76 800 _ 00 76,800.00 I Lf) ESTIHATED SEHER DISTRICT UNEX-- PE~,Dr:O B/\LANCE ( T R M,jS FER TOT 1\ L l. II!\:JOPTEOll TO L-~~~~~ E __.1 )._______.. _.__.__ ____.:_~2__~,-7.54 ~ ~___~~:'~ - 00 . ---.~~~~~QQ.~ ~g_ ADOPT 197 S52120 46, 21.0 '_~ 46,300.00 6 6AP 0 . 00 66,1l00..J>JL 6 800.00 552122 552128 I . " 55 2[tO 1 404.36 700.00 .00 .00 552650 552655 5 5 2 6 (\ O. 552690 5S390 1 35,113.35 17,000.00 10,000.00 10,000.00 10, 000_ e c2850 6,000.00 .00 .00 .) ., Ui'JEXPENDED BAU\NCE Sf 000. 00 ROO. 00 . " 5 000.00 .~ -. --.----- I ~ ~ . II ~ACCOU~ITS c SPcCI;\L ITEi'-lS ] ',-/\):ES m'J 5 Ei-iER D IS TR I CT PRO?E RT', \cov-rp~r'rUAL E:vF~ ~1 l~ I-....r.~ . ~~,..:..).,:)... ., \Dr'l I N I S TRA T I ON J PERSON;"L S ERV ICES 5S 8 1. EQU I r'-'^.ENT ;S 8 : CONTRACTUAL EXP. 5S 8 , TOTAL SS8 SEWAGE COLLECTING SY PC:RSO~.;AL SERVICES 558 EQUIPMENT -S8 ':ONTRACTUAL EXP. S3 8 TOTAL 58 I iSEWAGE TREATMENT I' qm D IS POS/d. L;;~SONAL SERVICES';S8 ill 1 P~.~E;-'!T :;~. 8 j :' 'nru\CTUAL EXP .;S f; TOTAL ,S8 .' EHPLOYEE BENEFITS S T!,TE ReT I REr'1ENl ::;S9 SOCIAL SECURITY ';Sfj ICO;,-\PEi~5ATIOI'! INS. ~:;~l .tLIfE It<SIJRt\;'.lCE )SfJ Ill',! ,. '.'::-J LOY 1.1. ',' /.,"1' I !,:c 'C {) 1~t.I.. . llCi. ~J .. ..)-)_ . :l.JISX:nLITY It:S .;S') [''-lOS PIT f'.L IdiU /.';ED I Cf,L 1;<3. )~, '.: TOT/',t )~;q __.____~..___________._ _..________._____._ ...~ __n" _:._ l SEWE2 DISTRICT APPROPRIATIONS \ULDI-lOOD 5EHFR D I~; TR leT ----.-------------.. ! BUDGET " I\CTUAL TH I S YEAR LtIST! AS BUDGeT opc.:rCERS TEN'fATIVE BUDGET 197fi.. I\DOPTED 197~ PRE- L H-iI NARY UUDGET 197~ ODE Y Ulf{ 1974, I ! 1\:.tE~:OED j 1972 ! I I j 1 950 ,I, \ -l I r- ~Q_.OO _900~L 200.00 200.00 .1 500.00 I 500.00 I 2-rJtQ1L.J>-CL 1,600.001 qOO.OD 200.00- 500.00. 1,600..0.0. 110 . 1 110 .2 :i 110 . I, 110.0.~ 1 J S TEt/i : 120 . It ..--- 120.2 120 . l~ 120 _ 0 .00 ~\ I OJLl I 500.00 -:1:000.00 5,500.00 3,300.00 6, OOO_~QQ __~~OO. 00 1.0.0.0..00 3,300..0.0. 4.30.0..0.0. 130,1 10,80.0.00 10,800..0.0 1 ;; (1 . 2 ==-.~__ ------.-E~~?-~--.: o~ .-L.Qilll.JlO 1.0.00..0.0. . 150 _I, ____ ~ 12,000.00 . 4,700. OQ 4.700.00 1 '5 (J . ol:=----===-__=__ __. _ ._0.0 _,_l~..6_62...J).CL_ .J&,2QO......o.O 1_16 ,50.0. . aD . \ ~-- UNDISTRIBUTED Olo.n,_,__, \100.00. 95.00 95.0.0. o :5 0 . 8___ .J ____ _~~Q2-___ 51. 00.' 5 L 0.0_--= ~ ~~~) : ~ ~=~___._____._r----_~~.._____=lE- .::.=~ ___~~~~ T 3~ OO__~ O:>U.[; t-. . o fj:>. 8 ------'-----;--r--~--,.------'---r-6.00 -, 6.0.0." t- --------L-------L----.--~r-~- I- i :; ~ : ~; L__ ----1- ----:ool-2it~~--i~~ : ~~-I--- 2~~~QL-= __,._ . __ .n, L.~=-:::_:.-===---==c:.:=::.--=:::.==-::::.:::=:::c::::::::::~~~:=-'.:-::--=-.::--:,l- ""::'::'::':==----===--:::J.::. " -~------=- l: _~ SEWER FUND APPROPRIATIONS lCONiU,) HILD'irOOD -_.-------~---. --------- SEHER DISlRICT --..----- BUDGET OFFICERS PRE- TENTATIVE LIMINARY BUDGET. BUDGET ~76~_l~/6 _ ADOPTEII 197i2- ACTU;\L U',ST GUDGET .H!S YEAR AS j\~'~= :--:OED 197 5 y E/"'\F~ ACCOUNTS CODE: 197.~ I UND I STR I BUTEDl DEBT SEHVICE PRiNCIPAL SERIAL BONDS .- 5 9 n. 0 . G I 5 TA TUTORY BONDS l;s 9720 . G' ~~. .~ =---=_.:- BOND ANTICIPATION' - r NOTES~S9l30 .6.__ .___ CAPITAL NOTES .59740.6 BUDGET NOTES' 359750.6 ---,--- REVEi'JUE ANT I C 1- I .-- PATlaN NOTES 59770.6 TOTAL ,59899.6 L-.-----I 10,OOO~00 0.00 ,i 10 Q98.00 --J DEBT SERVICE INTEREST SER.IAL BONDS ~-S971Q.7 L . STATUTORY EXlNDS .SS?20.7 ~ -- \ f::'O~lD NHIC.XPJ\TIOi.!.----- --- NOTES ;59/30.; _ 24,360.00 _24,360.00' 24.360.00 CAPITAL NOTES -,59:/1.0.7 I [ It __ 8UDGC,'T NOTES ;597,0. 7 ~~ \ _.L .' J,' I REVENUE J\NTI CI - . J [ b:~~_.~.,~._;;i" P/\TION NOTES 'S9l70.; --- _____-----------1 TOTAL :;SC)89~). 7 __ I .~ .'" ...L- . . . 1 TOTAL SEWER 0IST. P\PPROPR I AT IONS (TRANSFER TOT/\L HADOPTEDIl TO P/\GE 1) , ,____~_._-~ 2,7,.')42,99_.s:z. 042. on !> 7,042..00 J __.__ .________ ______.______~ -.--1 . ~ " rtl, SEWER DISTRICT ESTIMATED REVENUES E" t-, ~ ,ULl:" -ll , -.--- ET BUDGET 'EAR.. OFFJCE[~5 PRE- TEN-rATIVE Llt-tINARY 'ED BUDGET- nUDGET ADOPlEO 5 197 6 197fL 197fL I 46,842.00__~~M2..illL. L__-- - --- _ S[W~R DiSTRICT \'lILD'i'700D COUNTS COD~ ACTUAL 1f1 IS 1 LAST 1-,5 Y EAR A;.;~: i'!;.- 1973- IS7 5 E\'iER. RENTS 5 E\'icR CHARGES INTERES T AND PEN.~LTIE:; ON ~ S E\.icR RENTS r:~120 ~ ___ I~ S52122 ~___ 552128 _I ,-- . . iNTEREST AND EARNINGS- SS2401 SALES OF SCRAP AND EXCESS MATERIALS SS2650 t~I NOR. SALES.I OTHER SS2655 INS URANCE REeov- ERIES 5S2G8~ OT;.; cR COMPEN- sATIoN FOR LOSS 552590 STATE 1\ID FOR If:~~i:j~~~~:~~L PLANT 553901 OTHER (SPECIFY) 200.00 200.00 -200.00 \ - ____~L~-_---- S5 TOTAL SEWER DIST~. ES T I r,\A TED RE\/f:NUES (TRANS FER TOT!\L "AOOPTfD1! TO P;\GE 1) -\ ---------, J2.,..M2-00 41,04/ _ 00 ,.j], 042.00 r=---~------- I UNEXPENDED BALANCE . t:.STn'~i\TED SEheR 01 S T R. I C T U ;.1 E x -. Pc~\DC:O [3i\tJ.i-JCE ( T ?,',:is fER To'r J\L r:j\[)(Ji.:>TE:DTr TO [l r r- ,- 1 ) . rl,'~;- :-_ _ _______ ________~l:-.:.==--.:.======-J.=-=:=:.::-.:=::=.--==::. =~!? .!.:~g.p':_~':::=:-L~~: O_Q2_~~J 0 , OQ.9..:..lli2-_.1 . ----_. L I r " ..' SEWE2 DISTRICT APPROPRIATIONS r __._t:!.~P10!NGErL~.J;~.,!f:.=~ nl~EQ~JJF;.!':T #1-______ S E H F R BUDGET BUDGeT iHIS YEAR OFFICERS I AS TENTATIVE AMENDED BUDGET Ii 197.2 197..2 L ~I .~ .001._ DISTRICT ACCOUNTS CODE ACTUAL LAST YEAR 197_.<1 PRE- LH\H1ARY BUDGET 197-6. I ISPECIAL ITEMS r :- AXES 0:--: S E\-/~R I DISTRICT PRCPERT) CO~iT<AC. TUAL EX.P. 55 1950 . t 'D;~! Ii! STRATI ON I PERSC>.iAL. SERVICES 558110.1 EQU I P,'-1::i'lT S5 8110 .2d : CO:--:TRAC TUAL EXP. 558110. 4~. TOT;.\ L. 55 8 1 10 . 0: ~ I . ij I ~~~A~~ CO~~ECT I ~g Sy'STEt;l !f . t:. -5 v, "A L .::> Co R V let: ~ SS 0 1 2 0 . 1 ~ IEQUIPMENT S8120.2~ :ONTRACTUAL EXP. :{; 8120 . L~ _ TOTAL )58120.0 .J 1 ~ .00 1,000"00 200.00 300.00 1,500.00 400A 100.00 200.00 700.00 I l .J!O I 2,280.00 5,500.00 ~o.oo 500.00 6 400.00 6 900.00 00 I i . ; SE\'iAGE TREATf:1ENT I. MiD DI S POSAL PERSONAL SERVICES ;58130.1 ::QUIP;"lENT ,S8130.2 ____ '.:ONT?(,c\CTlJAL EXP. ;58130. l;~_. I TOTAL )S8L~O.0 _____.00 L .-.--, .00 4,200.00 , 00:00- 600.00 .- 5, o~o. ()otl 000.00 7 000.00 8,800.00 UNDISTRIBUTED . l. ADOPT 1976_ .400.00 _ 100.00 . ..-. 200.00 . 700.00 ! '" iEKPLOYEE BENEFITS SThT~ R~TI.REt'iENl ?S?O:O. ~f- 100.00 32.00 ~2.-00 ;~O~:::,~_~~CURITY ES~IO,)O.:~._. ___ 80.00 20.00. 20.,00 !'-O>iP;::;\:;:..:,dON INS..)S90L10.0t r _. 9.00 9.00 I LI r E. 1;\ SUR AN C E ;5 ~J 0 If:; . (..~ ,: __._...._.._.___ -~ _~._______ _____________ I !~~!~:;.~::=-Ol.'.l,.:;yENTI t.l! t~S . ~:s; ~~ ~S . ~:~_.--~--l= I t 2 :jL_-2 00-~1 ;~~~;.I'-~;:L' AND'.) . J-~_.J.}. (11'-.-.-----.....11---.----~~ ~---- _~_.J!o . 1 I ;':::L;i(~AL INS. ;S~JUGO .8: . 40.00 37.00 3..] L_.-.-2-9 T ~~~___._______ )~2.~.?Y_~cj~_~=-~~_ ~-:L:. -~=--=__--~ ---~~?P~B;--b~lOO :oo--~= 106 ~~t] . , .. 'f j iJ SHiER FUND APPROPRIATIONS (CONTD.) - - . -- --.- BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE,... LAST AS TENTATIVE L IMI NARY YEAR AHENDED BUDGET BUDGET ADOPTED II ACCOUNTS CODE 1975:. 1972 197..Q 197 6 197& UNDISTRIBUTED CONTR.I\CTUAL 558130.4 DEBT SERVICE 1 460,208.65 PRINCIPAL SERIAL BONDS SS 97 1 0 . 6. 15,800.00 15 -,800.00 15,aOO.00 15,800.00 STATUTORY BONDS 55 9 7 2 0 . 6 BOND ANTICIPATION NOTES 35 9 7 3 0 . 6 400,000.00 25,000.00 70,000.00 70.000.00 70.000.00 CAPITAL NOTES )59740.6 BUDGET NOTES ::>59750.5 8,000.00 8,000.00 8,000.00 --- REVENUE ANTICI- PATION NOTES )59770.6 59899.6 Q3.aOO 00 ~- TOTAL 40.800.00 93,800.00 93,800.00 - .---: DEBT SERVICE INTEREST 31,222.00 SERIf\L 80 N D 5 ::>S 9 7 l'~ . 7 ___~500.0 I 30,302.00 30.302.00 30.302.00.._ S - [j --UTORY EO'IDS -:s ,. 7 'n 7 I ,\ I , . I', ,;;: .- ,.. t BOND ANTI C I PAT! ON~ O~~S '~o73n 7~ 19,840.0. 46,700.00 134,655.00 134.655.00 134,655.00 I~ _~ u. ;P I TAL NOT E 5 S ~f ~l! ~ D . 7 i -I - --- WJGET NOTES SS 9750 . 7 [ REVENUE ANTICI- PATION NOTES :;S 9 7 7 I) . 7 TOTAL 35S399.7t-34 340.00 77 922.00 164,9!:?7..00 lh.1 Qt:\7 nn 164.957.00 ,. - TOTAL S E HE R DIST. APPROPRIATIONS CTRAi'ISFER TOTAL IrADOPTEDII TO .- P/4.GE 1) 1 ,ill.2 44-5..4.8.....62- 149,622.00 27:? ~ 2~? QO ?7t:\ ?t:\7 nn 27~257. 00 .._ ___.__. ___.h. ._ ~ -- - HAPPINGER smBR IHPROVEi.!ENT #1 S E\iER D I S TR I CT tJ l, r ~ SHIER D! STR I CT EST HilA TED REVENUES HAPPINGER smVER IHPROVEt'lEN'I' in S E\-JtR. D T S TR 1 CT ACCOUNTS SEHER RENTS SEHER CHARGES INTEREST AND PENALTIES ON SEHER REr.J,TS INTEREST AND EARNINGS SALES OF SCRAP AND EXCESS l'v1ATER I ALS 1-\1 NOR SALES, OTHER INSURANCE RECOV- ERIES OTHER COMPEN- sATIoN FOR LOSS STATE AID FOR OpERATION AND MAINTENANCE OF 'SE\'U\GE DISPOSAL PLANT I. SERL"\.L BAN TOT AL SEHER D I s-Tt EST H-1ATED REVENUESOR,\NS FER TOTAL "ADOPTEDlI TO PAGE 1) ESTIi-lI\TED SEHER DISTRICT UNEX.- PEr'WED BALANCE ( T Ri\J.iS FER TOTAL II/\DOPTED" TO P/\GE.: 1) coot:. SS2120 SS2122 SS2128 S S 2 LtO 1 552650 SS2655 S 5 2 6 8 O. S52G90 ACTUAL LAST BUDGET 1-1 I S YEA R ;,S " r:: !\ f) , t.~ ,.1. i .... AI~iE ~\i DED 1971. 197~ .___L3Q,Jl.Qa.JJ I ._ 9,919.35 lQ..ill). =1 S85000 500,000.00 -' 555000 1 500,019.50 31,800.00 IT;-1rZZ:Ucr 149,622.00 UNEXPENDED BALANCE 2 Q,09 ,5J_~-,.8 BUDGeT OFFICERS TENTATIVE BUDGET' 197Ei.. PRE- L HlI NAr~Y BUDGET 1972-. ---1.1~00 -,-o.Q. 24,000.00 500 00 24,500.00 _ _1====~=-=- _---=_~,()P >=c~QJ.2....Q-'~"L !;. ~) 500.00 24,500.00 4,017.00 ADO?TE 1976_ 2 .00 . ~ 500.00 .~a II llil-. 4.017.00 a I. BUDGET BUDGET ACTUAL fH IS YEAR OFFICERS PRE- LAST AS TENTATIVE L HH NARY YEAR AI-12NDED BUDGET BUDGET ADOPTED 197~ 197...2 -- 197Ji j I\CCOUi'HS CODE 1972 I 197Ji I 'r/ I UNDISTRIBUTED1 DEBT SERVICE PRINCIPAL , SERIAL BONDS 55 97 1 0 . 6 2,800.00 ~_?nn nn 3 ?OO 00 3,200.00 3,200.00 STATUTORY BONDS .559720.6 BOND ANTICIPATION . . NOTES 55 9 7 3 0 . 6 CAPITAL NOTES ':>S97L,0.6 BUDGET NOTES 55 9 7 50 . 6 550~00 1.050.00 1,050.00 REVENUEANTICI- PATION NOTES :)59770.6 3.500.00 3,500.00 3.500.00 3,500.00 TOTAL )S9899.6 2,800.00 6,700.00 7 ?SO.OO 7.750.00 7,7!iO.OO DEBT SERVICE INTEREST 5,051.53 SERIAL BONDS :;S 9 ? 1 Q . 7 4,700.00 4,540.00 4 540.00 4,540.00 S T A TUTORY OONDS :;5972 C! . 7 S()ND ANTIC1PATION -- NOTES :is 9730 . 7 .P I TAL NOTES ::iS971~O.7 . -DGET NOTES :;5 9 7 50 . 7 -- 390.:L 525.00 ~VENUE ANTICI- PATION NOTES ;59770.7 490.00 490.00 490.00 --S,442.44 I ~25.00 - S 030.00 5,030.00 TOTAL ::'59809. j 5 n~o nn . .. . TOT ,l\L S E HE R D1ST. APPROPRIATIONS (TRANSFER TOTAL , lIADOPTED" TO PAG~: 1) 26,233.83 32,425.00 27,840.00 27,840.00 27.840.00 --- - - .--..---- SE\'JER FUND APPROPR fAT I ONS (CO~ITD.) FLEET~'iOOD !,L211'10R SEHER D I S TR I CT ( I,ll ACCOUNTS S E\'IER RENTS S E",IER CHARGES INTEREST AND PENALTIES ON S E\.iER RENTS SEWER DISTRICT ESTIMATED REVENUES :F.'IEET'i'iOOD NANOR CODe: ___ S EHf:.R. BUDGET OFFICERS TENTATIVE BUDGET 197-6 DT5TRICT Pf;c - LIMINARY BUDGE1 ADOPT 197-6 197-6 1;!,.04000J::.OO _ 552120 11,372.5..., 17.525.00 13,040;00 S S 21 2 2 __-=~=--T==--===::--I-----'--. 552123 INTEREST AND EARNINGS 5ALES OF SCRAP AND EXCESS. t-1ATER I ALS 1'-11 NOR SALES, OTHER INS URANCE RECOV- ER I ES OTHER COMPEN- sATIoN FOR LOSS SS2G90 STATE AID FOR OPERATION AND HAINTENANCE OF SEHAGE DISPOSAL PLANT OTHER (SPECIFY) Spec. Assess, Sewer B)9~ Acct. ------- TOTAL SEWER D1ST; ES T I t-1ATED REVENUES (r"r-AN5 FE R TOTAL "ADOPTED!! TO PAGE 1) ------~----_. .,. L BUDGET ACTUAL IfH IS YEAR LA5T 1,5 Y~\n ,.,-",'0-0 r:1-\" I' f\r-iCI j Ch 197:L 19:{~_ ESTHL[\TED SE\:r::R. DISTRICT UNEX- PEi-;D2~D G;\U\NCE CmN';S FER TOl;\L lIADC)?TEDII TO Pf\Ci.: 1) SS21tOl 552650 552655 S 5 2'6 88, 5 5 3 ~) 0 1 271 .40 I __J 60.00 I J 60.00 90.54 7 000.00 7, 000__ __?r4f6~.?2-t--7 ,0QQ:2~ _7 ,OO~~~O --~-~ I r ') 2.Q..,lQQ __QQ 20,100.00 2 .5L 18,070.89 4~~Q .---- r --.-?J_~_Q_~Q.9-1 32,425.00 UNEXPc;;JED !3:\Lf\NCE I L_. ___.~;3.3.. 75!__. _.____. _ ..QO_ .__._ _. .1./.D,fJQ,-0J) ___~______.___ _____...._.__ ___'.h..___._._.I-_..._.___..__.............; 4,000.00 4,000.00 fj SCHEDULE OF SALARIES OF ELECTED TOWN OFFICERS (ARTICLE 8 OF THE TOWN LAW) L Louis D. Diehl, OFFICER Supervisor Elaine Snowden, Town Clerk william Bulger, Town Justice . ( vincent Francese, Town Justice Louis Clausen, Councilman Stephen Saland, Councilman Frank Versace, Councilman Leif Jensen, Councilman William Horton, Highway Superintendent lJ u 57 SALARY. Tentative $ Prelim. Adopted $14,440.0.0 $14,400.00 $14,400.00 12,100.00 11,550.00 11,550.00 5,540.00 5,540.00 5,540.00 5,540.00 5,540.00 5,540.00 3,575.00 3,750.00 3,750.00 3,575.00 3,750.00 3,750.00 3,575.00 3,750.00 3,750.00 3,575.00 3,750.00 3,750.00 15,500.00 15,500.00 15,500.00 TOWN WITH VILLAGE EXPLANATIONS (1) Taxes for these services must be levied on the area of the town outside villages: Building Inspection (Section 138, Town Law) , Board of Health (Section 60, Town Law and Section 304 Public \~Health Law) - Registrar of Vital Statistics, except when combined districts coincide with a consolidated health district , (Section 2124, Public Health Law) ,Library (certain contract payments) (Section 2,56, Education Law) Zoning and Planning (Section 261, Town Law) -, - (2) Taxes for these services must be levied on the area of the -- town outside villages ,under the circumstances set forth below: 'Police D~pa;tment (Se~tion 150, Town Law) ~ ! '- I -Town of Falisburg, 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. Dep~rtment 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, p.laygrounds and recreation centers established under the provisions of Article 13 of the General Municipal Law. Refuse and Garbage (Section l20-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. (3) 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 ~ . _ 'i , . ,