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1980 Final Budget "~:r cc -._'" '~ 60A 6 ) ~ I I I i I 1 ] I ~ JJ ~ , I { "R~CE'V~D OCT 1 1979 TOWN BUDGET ELAINE H. SNOWDEN For 198.L Town of WAPPINGER . In County of DUTCHESS Village. Within or Partly Within Town Villa,. of WAPPINGERS FALLS Villag. of CERTIFICATION OF TOWN CLERK '4 .. I~ I, --EJ..A/~,-" H. S N'4w i\1!'AJ , Town Clerk, certify that the following II a true and correct copy of the 19SQ budget of the Town of \.A ) ""0 Q I AJIC..4 P os adopted by the Town Board on the ..J.::Edayof 1~,Jb\Jt!__~4!!t'" . 19.1.1-. ~,... ~ ~'''.&!l-- , ' Town Clork 51..... D0te4 fJdV ~~l 1ti'1tj AC 1258 (Rev. 19791 /;1/*' - .r( ~l ...~.'...!.. '.' , .., SUMMARY OF TOWN BUDGET FUND GENERAL APPROPRIATIONS AND PROVISIONS FOR OTHER USES $ 645,603.00 LESS ESTIMATED REVENUES $--337,208.00 LESS UNEXPENDED BALANCE ~ CODE A AMOUNT TO BE RAIS ED BY TAX $ 54,000.00 $ 354,395.00 B GENERAL OUTSIDE VILLAGE 431,277.00 237,702.00 65,000.00 128,575.00 HIGHWAY: REPAIRS AND IMPROVEMENTS DR (i 443,400.00 12,116.00 431,284.00 BRIDGES 4,000.00 50.00 3,950.00 DM :cMACHINERY 56,905.00 DS :cSNOW AND MISC. 83,431.00 DE I MPROVEMENT PROGRAM CD COMMUNITY DEVELOPt-AENT CF FEDERAL REVENUE SHARING 144,143.00 L PUBLI C LIBRARY FUND V DEBT SERVICE FUND 300.00 400.00 56,605.00 83,031.00- 138,143.00 6,000.00 .00 S SPECIAL DISTRICTS: (LIST EACH SEPARATELY) Hughsonvi11e Lighting Chelsea Lighting 13,359.00 13,359.00 5,344.00 5,344.00 Cameli Lighting 471. 00 471. 00 New Hackensack Fire Dist 162,046.00 1,227.00 2,000.00 158,819.00 'j9hSOnVille Fire Dist. IItlelsea Fire Dist. 75,198.15 912.59 .00 74.285.56 38,096.80 100.00 37,996.80 Fleetwood Water 20,341. 00 14,175.00 1,000.00 5,166.00 Tall Trees Water 18,801. 00 12,730.00 6,071.00 Central Wapp. Water 486,457.00 Ardmore Water 34,597.00 163,000.00 30,000.00 293,457.00 3,550.00 3,300.00 27,747.00 Oakwood Water 16,480.00 9,840.00 4,000.00 2,640.00 TOT ALS $ $- $ $ :C ~town contains a vi l lage check one of the fo l lowing: Village is not exempt from Machinery and Snow and Miscellaneous Taxes. L-L Village is exempt from Machinery and Snow and Miscellaneous Taxes. U Vi l lage is exempt fpom Machinery Taxes but not Snow and Miscellaneous Taxgs. L/ Vi l lage is exempt from Snow and Miscellaneous Taxes but not Machinery Taxes 1 I GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT BUDGET BUDGET , , ACTUAL T'HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNT~ CODE 19 7~ 197~ 193Q. 198.Q. 19&2. TOWN BOARD 15,900.00 17,488.00 PERSONAL SERVICES AlOlO.l 15,900.00 15,900.00 15,900.00 EQUIPMENT AlOlO.2 CONTRACTUAL -EXP. AlOlO.4 586.00 4,550.00 4.550.00 4,550.00 4l550.00 TOTAL AlOlO.O 16,486.00 20,450.00 22.038.00 20,450.00 20,450.00 JUSTICES AlllO.l ?l\. ?nn HI 34,012.00 29,721. 00- 29,721. 00 PERSONAL SERVICES ?7 n7? no EQUIPMENT AIllO.2 CONTRACTUAL EXP. AlllO.4 5,433.17 2 845.00 3,595.00 3,195.00 ~,195.00 TOTAL AlllO.O 30,633.35 29,917.00 37,607.00 32,916.00 32,916.00 n-RAFFIC VIOLATIONS BUREAU PERSONAL SERVICES Al130.1 EQUIPMENT Al130.2 CONTRACTUAL EXP. Al130.4 TOTAL A1l30 .0 SUPERVISOR PERSONAL SERVICES A1220.l 23,300.00 25,445.00 27,700.00 26,180.00 26.180.0CL EQUIPMENT A1220.2 300.00 200.00 200.00 CONTRACTUAL EXP. A1220.4 1 , 272 . 34 1,300.00 1,400.00 1,400.00 1,400~.lliL TOTAL A1220.0 24,572.34 26,745.00 29,400.00 27,780.00' 27,780.00_ DIRECTOR OF FINANCE PERSONAL SERVICES A1310.l EQUIPMENT A1310.2 CONTRACTUAL EXP. A13l0.4 TOTAL A13l0.0 48.567.0" COMPTROLLER PERSONAL SERVICES A13l5.1 34,689.00 44,152.00 48,806.00 48,567.00 EQUIPMENT A13l5.2 184.00 500.00 950.00 950.00 950.00 CONTRACTUAL EXP. A13l5.4 551. 22 1,300.00 1,300.00 1,300.00 1.300.00 TOTAL A13l5.0 35,424.22 45,952.00 51,056.00 50,817 . 00 50.817.00 INDEPENDENT AUDITING AND ACCOUNTING "ONTRACTUAL EXP. A1320.4 4,850.00 4,850.00 5,000.00 5,000.00 5,000.00 T"AX COLLECTION 14,208.15 15,200.00 18,250.00 PERSONAL SERVICES A1330.1 16,720.00 16,720.00 EQUIPMENT A1330.2 CONTRACTUAL EXP. A1330.4 1,627.80 1,400.00 1,287.00 1,287.00 1 287.00 TOTAL A1330.0 15,835.95 16,600.00 19,537.00 18,007.00 18 007.00 , ."'4--""""j.-~ F/'IE..iID. OF REVIEW I ONTRACTUAL EXP. A1355. 4~ I 3,000.00 3.000.00 1 nnn nn 3,000.00 TOT AL A1355..o.j 3 000.00 3.000.00 3,000.00 3,000.00 - : 2 l-t elf --- .' SUMMARY OF TOWN BUDGET ~ FU~m A GENERAL APPROPRIATIONS AND PROVISIONS FOR OTHER USES $ LESS ESTIMATED REVENUES LESS UNEXPENDED BALANCE AMOUNT TO BE RAISED BY TAX $ . .. $ $ S SPECIAL DISTnICTS (LIST EACH SEPARATELY) Mid Point Sewer 36,572.00 11,564.00 .00 .00 .00 .00 6,216.00 23,315.00 11,000..00 2,257.00 47,250.00 .00 9,048.00 77 , 17 3 . 00 25,400.00 .00 43,500.00 17,000.00 31,141. 00 65,874.00 30,000.00 315,222.00 . , Watch Hill Water 11,564.00 Watch Hill Sewer 6,216.00 56,298.00 Fleetwood Sewer 102,573.00 * ",.,-'" ,Ockingham Sewer \JildWOOd Sewer Sewer Imp. #1 91,641. 00 411,096.00 TOTALS $ 3,395,909.95 $~100,129.59 $ ".2.48,,70'0.00 $ 2 ,047,080.36. :~ ILtoum aontains a vi l lage check one of the fo Z lowing: L-L Village is not exempt from Machinery and Snow and Miscellaneous Taxes. / / Village is exempt from Machinery and Snow and Miscellaneous Taxes. --- U Vi l lage is exempt from Maahinery Taxes bu t not Snow and MisaeZZaneous Tax'3s. L/ Vi Z Zage is exempt from Snow and MisaelZaneous Taxes but not Maahinery Taxes . I lA a. ~ <. GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT . BUDGET BUDGfT 1 ACTUAL IrHIS YEAR OFFICERS PRE- LAST AS TfNTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19]!! 1922 19J!Q 19 Jli> 1 93Q.. PURCHASING PERSONAL SERVICES A1345.1 EQUIPMENT A1345.2 ..- CONTRACTUAL EXP. A1345.4 TOTAL A1345.0 IIIIlI ~SSESSORS 1A1355.1 PERSONAL SERVICES 29,623.19 35,200.00 40,500.00 36,290.0C ih.?Cln.oo !=QUIPMENT 1A1355.2 427.45 r-ONTRACTUAL EXP. A1355.4 7,594.92 2,200.00 3,000.00 4,000.OC A nnn.oo TOTAL ~1355.0 37,645.56 37,400.00 43,500.00 40,290.0C 4n290 00 COUPON FEES AB80..4 ?nCl iA 1 inn nn 1 3nn on 1,300.00 1.300.00 TOWN CLERK 34,234.00 35,975.00 41,118.00 PERSONAL SERVICES ~1410.1 iA ..4A7.0r 38.487.00 QUIPMENT ~1410.2 r-ONTRACTUAL EXP. ~1410.4 935.97 750.00 550.00 550.00 550.00 TOTAL 1A1410.0 35.169.97 36.725.00 41,668.00 39,037.00 39.037.00 ATTORNEY PERSONAL SERVICES A1420.1 EQUIPMENT A1420.2 CONTRACTUAL EXP. A1420.4 5,376.00 9,000.00 9,uuu.uu 9.000.00 9000 00 TOTAL A1420.0 5,376.00 9,000.00 9,000.00 9,000.00 ClOOO.OO PERSONNEL PERSONAL SERVICES A1430.1 ~QUIPMENT A1430.2 CONTRACTUAL EXP. A1430.4 TOTAL A1430.0 "~NG I NEER PERSONAL SERVICES A1440.1 EQUIPMENT A1440.2 CONTRACTUAL EXP. A1440.4 4.000.00 4,000.00 4,000.00 4.0()OOO 4.000.00 TOTAL A1440.0 4.000.00 4.000.00 4,000.00 4.ono.nn 4,noo.oo ELECTIONS PERSONAL SERVICES A1450.1 14,444.02 16,500.00 19,000.00 19,000.00 19,000.00 EQUIPMENT A1450.2 CONTRACTUAL EXP. A1450.4 1,017.87 500.00 1,000.00 1,000.00 1,000.00 TOTAL A1450.0 15 . Mil. 84 17.000.00 20.000.00 20,000.00 20,000.00 ~OARD OF ETHICS PERSONAL SERVICES A1470.1 QUIPMENT A1470.2 ~ONTRACTUAL EXP. A1470.4 TOTAL A1470.0 . 3 ~ BUDGET BUDGET , J ACTUAL HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 19~ 19]Q. 193JL 1 9 Jill PUBLI C WORKS ADMINISTRATION PERSONAL SERVICES A1490.1 EQUIPMENT A1490.2 CONTRACTUAL EXP. A1490.4 TOTAL A1490.0 BUILDINGS PERSONAL SERVICES A1620.1 EQUIPMENT A1620.2 1 435.43 2.500.00 2 500.00 2 500.00 2 r:;nn nn CONTRACTUAL EXP. A1620.4 49 096.07 49.000.00 53 000.00 53.000.00 r:;1 nnn.nn TOTAL A1620.0 50 531.50 51. 500 . 00 55 500.00 55 500.00 ss. r:;nn nn CENTRAL GARAGE PERSONAL SERVICES A1640.1 EQUIPMENT A1640.2 CONTRACTUAL EXP. A1640.4 TOTAL A1640.0 CENTRAL COMMUNICATIONS I SYSTEM PERSONAL SERVICES A1650.1 EQUIPMENT A1650.2 CONTRACTUAL EXP. A1650.4 10,643.00 10,470.00 10,700.00 10.470.00' 10 470.00 TOTAL A1650.0 10,643.00 10,470.00 10,700.00 10.470.00 10 470.00 :ENTRAL STOREROOM A1660.1 PERSONAL SERVICES EQUIPMENT A16oa.2 CONTRACTUAL EXP. A1660.4 2,561. 43 3,500.00 3,500.00 3.500.00 3.500.00 TOTAL Al660.0 2,561.43 3,500.00 3,500.00 3.500.00 3.500.00 ~ENTRAL PRINTING I AND MAILING PERSONAL SERVICES Al670.l EQUIPMENT Al670.2 CONTRACTUAL EXP. Al670.4 5,809.57 9,000.00 9,000.00 9,000.00 9,000.00 TOTAL Al670.0 5.809.57 9,000.00 9,000.00 9,000.00 9,000.00 CENTRAL DATA PROCESSING PERSONAL SERVICES Al680.l EQUIPMENT Al680.2 CONTRACTUAL .EXP. A1680.4 2 172.73 6.000.00 6 000.00 6,000.00 k nnn nn TOTAL Al680.0 2 172.73 6.000.00 6 000.00 6,000.00 k nnn,OO SPECIAL ITEMS UNALLOCATED INS. Al9l0.4 21,399.00 25,000.00 27,500.00 27,500.00 27,500.00 ~UNICIPAL ASSN. DUES Al920.4 - - 400.00 400.00 400.00 400.00 400~0_ JUDGMENTS AND CLAIMS Al930.4 CONTIGEN T ACCOUNT Al990.4 7.000.00 7.000.00 10,000.00 15 000.0,0 15,000.00 Assoc. of Towns & Ed A1990.5 4 793.63 5.750.00 6.500.00 6,500.00 6 500.00 TOTAL 33,592.63 38,150.00 44,400.00 44,400.00 44.400.00 ITOTAL GENERAL I I GOVT. SUPPORT A 1 99 9.0 330,975.47 371,559.00 1416,206.00 f405,467.00 405,467.00 GENERAL FUND APPROPRIATIONS GENERAL GOVERNMENT SUPPORT 't' 4 ~ BUDGET BUDGET ACTUAl. THIS YEAR OFFICERS PRE- f LAST AS TENTATIVE LIMJNARY , YEAR AMENDED BUDGET BUDG~T ADOPTED ACCOUNTS CODE 19 7..e.. 1912.. 19ao. 19~ 19~ PUBLIC SAFETY PUBLIC SAFETY ADMINISTRATION PERSONAL SERVICES A3010.1 EQUIPMENT A3010.2 CONTRACTUAL EXP. A3010.4 , TOTAL A3010.Q. PLICE AND CONSTABLE ~~SONAL SERVICES A3120.1 QUIPMENT A3120.2 CONTRACTUAL EXP. A3120.4 TOTAL A3120.0 ~AIL PERSONAL SERVICES A3150.1 EQUIPMENT A3150.2 CONTRACTUAL EXP. ,\ 3150 . 4 TOTAL A3150.0 TRAFF I C CONTROL (8 GNAL8 ) PERSONAL SERVICES A3310.1 EQUIPMENT A3310.2 CONTRACTUAL EXP. A3310.4 1.065.04 3,'000.00 3,000.00 3 000.00 l,nnn nn TOTAL A3310.0 1.065.04 3,000.00 3,000.00 3 000.00 1nnn nn ON STREET PARKING PERSONAL SERVICES A3320.1 ~QUIPMENT A3320.2 tONTRACTUAL EXP. A3320.4 TOTAL A3320.0 FIRE FIGHTING PERSONAL SERVICES A3410.1 ;QU I PMENT A3410.2 JONTRACTUAL EXP. A3410.4 II TOTAL A3410.0 CONTROL OF DOGS PERSONAL SERVICES A3510.1 EQUIPMENT A3510.2 CONTRACTUAL EXP. A3510.4 TOTAL A3510.0 CONTROL OF OTHER AN I MALS PERSONAL SERVICES A3520.1 EQUIPMENT A3520.2 CONTRACTUAL EXP. A3520.4 TOTAL A3520.0 EXAMI NH.G BOARDS PERSONAL SERVICES A3610.1 EQUIPMENT A3610.2 CONTRACTUAL EXP. I A 3 610 . 41 TOTAL A3610.0' I 5 I GENERAL FUND APPROPRIATIONS * BUDGET BUDGET .. ACTUAL trHIS YEAR OFFICERS PRE- t ) LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19w.. 19.1i 19 80 19 80 1 9.l!.Q PUBLIC SAFETY (CONTD,) SAFETY INSPECTION PERSONAL SERVICES A3620.1 EQUIPMENT A3620.1 CONTRACTUAL EXP. A3620.4 TOTAL A3620.0 CIVIL DEFENSE PERSONAL SERVICES A3640.1 EQUIPMENT A3640.2 CONTRACTUAL EXP. A3640.4 TOTAL A3640.0 DEMOLITION OF UNSAFE BUILDINGS PERSONAL SERVICES A3650.1 EQUIPMENT A3650.2 CONTRACTUAL EXP. A3650.4 TOTAL A3650.0 SCHOOL ATTENDANCE OFFICER PERSONAL SERVICES A3660.1 EQUIPMENT A3660.2 CONTRACTUAL EXP. A3660.4 TOTAL A3660.0 TOTAL PJBL IC SAFETY A3999.0 1 ,Of'll) 04 3.000.00 3.000.00 3,000.00 3,000.00 HEALTH BOARD OF HEALTH PERSONAL SERVICES A40I0.l EQUIPMENT A40I0.2 CONTRACTUAL EXP. A4010.4 TOTAL A40I0.0 REGISTRAR OF VITAL STATISTICS PERSONAL SERVICES A4020.1 EQUIPMENT A4020.2 CONTRACTUAL EXP. A4020.4 TOTAL A4020.0 LABORATORY PERSONAL SERVICES A4025.1 ~QUIPMENT A4025.2 !cONTRACTUAL EXP. A4025.4 TOTAL A4025.0 !l.IR POLLUTION PERSONAL SERVICES A4060.1 EQUIPMENT A4060.2 CONTRACTUAL EXP. A4060.4 TOTAL A4060.0 ** * *Town with Village - See explanation (1) town - area outside **Town with Village - See explanat:on (2) town - area outside on last page for charges to of villages. on last page for charges to of villages. 6 ~ r 4 GENERAL FUND APPROPRIATIONS u BUDGET BUDGET " ACTUAL "'H I S YEAR OFFICERS PRE- i LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 19~ 19 80 19 80 19~ HEALTH (CONTD.) INSECT CONTROL PERSONAL SERVICES A4068.1 EQUIPMENT A4068.2 CONTRACTUAL EXP. A4068.4 ~ TOTAL A4068.0 \ARCOTIC GUIDANCE I~COUNCAL ERSON L SERVICES A4210.1 EQUIPMENT A4210.2 CONTRACTUAL EXP. A4210.4 TOTAL A4210.0 NARCOTICS CONTROL PERSONAL SERVICES A4220.1 EQUIPMENT A4220.2 ~ONTRACTUAL EXP. A4.220.4 TOTAL A4220.0 JOINT HOSPITAL ;;'ONTRACTUAL EXP. A4525.4 ~MBULANCE A4540.1 PERSONAL SERVICES EQUIPMENT A4540.2 CONTRACTUAL EXP. A4540.4 - TOTAL A4540.0 MEDICAL HEALTH CENTER AND/OR PHYSICIAN PERSONAL SERVICES A4560.1 EQUIPMENT A4560.2 CONTRACTUAL EXP. A4560.4 TOTAL A4560.0 ~ERSONAL SERVICES . 1 QUIPMENT .2 CONTRACTUAL EXP. .4 TOTAL . 0 TOTAL HEALTH A4999.0 TRANSPORTATION SUPT. OF HIGH~JAYS - PERSONAL SERVICES A5010.1 ?h 7t:;n nn FRS EQUIPMENT A5010.2 166.50 ONTRACTUAL EXP. A5010.4 1,587.86 TOTAL A5010.0 28,504.36 FRS GARAGE PERSONAL SERVICES A5132.1 ~QUIPMENT A5132.2 k:ONTRACTUAL EXP. A5132.4 9,501.06 lO.OOO.OO 14,000.0 14.DOO.nn 14,000.00 TOTAL A5132.0 9.501.06 10 000.00 14,000.OC 14.ooo.on 14,000.00 . 7 t ~ GENERAL FuND APPROPRIATIONS ~ BUDGET BUDGET ACTUAL ""HIS YEAR OFFICERS PRE- . I LAST AS TENTATIVE LI M I NARl' YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 191.!! 19 79 19 80 19~ 19~ TRANSPORTATION (CONTD,) IsTREET LIGHTING CONTRACTUAL EXP. A5182.4 AIRPORT I PERSONAL SERVICES A56l0.1. EQUIPMENT A5610.2 CONTRACTUAL EXP. A56l0.4 TOTAL A56l0.0 JOINT AIRPORT CONTRACTUAL EXP. A5615.4 OFF STREET PARKING PERSONAL SERVICES A5650.l EQUIPMENT A5650.2 CONTRACTUAL EXP. A5650.4 TOTAL A5650.0 PERSONAL SERVICES . 1 EQUIPMENT .2 CONTRACTUAL EXP. .4 TOTAL .0 OT AL TRANS- poRTATIoN A5999.0 38 005.42 10,000.00 14,000.00 14,000.00 14,000.00 ECONOMIC ASSISTANCE AND OPPORTUNITY SOCIAL SERVICES - I ADMINISTRATION PERSONAL SERVICES A6010.l EQUIPMENT A60 10 .2 CONTRACTUAL EXP. A60l0.4 TOT AL A60l0.0 SOCIAL SERVICES - HOME RELIEF CONTRACTUAL EXP. A6 140 . 4 SOCIAL SERVICES - BUR IALS CONTRACTUAL EXP. A6l48.4 I 8 i.~ -- r GENERAL FUND APPROPRIATIONS ~ BUDGET BUDGET f . ACTUAL rTHIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 - 19_ 19 - 19 - 19 - ECONOMIC A SISTANCE,AND OPPORTUNITY (CONTD.) CETA (TITLE 2) PERSONAL SERVICES A6220.1 EQUIPMENT A6220.2 ONTRACTUAL EXP. A6220.4 iR I NGE BENEF I TS A6220.8 J TOTAL A6220.0 CETA (TITLE 3) PERSONAL SERVICES A6230.1 EQUIPMENT A6230.2 CONTRACTUAL EXP. A6230.4 FRINGE BENEFITS A6230.8 TOTAL A6230.0 CETA (TITLE 4) PERSONAL SERVICES A6240.1 EQUIPMENT A6240.2 CONTRACTUAL EXP. A6240.4 FRINGE BENEFITS A6240.8 TOTAL A6240.0 CETA (TITLE 6) PERSONAL SERVICES A6260.1 EQUIPMENT A6260.2 CONTRACTUAL EXP. A6260.4 FRINGE BENEFITS A6260.8 TOTAL A6260.0 CETA (TITLE 7) "ERSONAL SERVICES A6270.1 QUIPMENT A6270.2 ; NTRACTUAL EXP. A6270.4 RINGE BENEFITS A6270.8 TOTAL A6270.0 CETA (TITLE 8) PERSONAL SERVICES A6280.1 EQUIPMENT A6280.2 CONTRACTUAL EXP. A6280.4 -RINGE BENEFITS A6280.8 TOTAL A6280.0 "" PUELICITY PERSONAL SERVICES A6410.1 EQUIPMENT A6410.2 CONTRACTUAL EXP. A6410.4 TOTAL A6410.0 I i , 9 I GENERAL FUND APPROPRIATIONS * BUDGET BUDGET 4 ACTUAL rH I S YEAR OFFICERS PRE-' LAST AS TENTATIVE LIMINARY . YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19:m. 197.2- 19 Jill 1 9aQ.. 1 9ao... ECONOMIC ASSISTANCE AND OPPORTUNITY (CONTD ,) INDUSTRIAL DEVELOPMENT AGENCY CONTRACTUAL EXP. A6460.4 VETERANS SERVICES PERSONAL SERVICES A6510.1 EQUIPMENT A6510.2 CONTRACTUAL EXP. A6510.4 400.00 350.00 350.00 350.00 350.0 TOTAL A6510.0 400.00 350.00 350.00 350.00 350.00 PROGRAMS FOR AGIN~ PERSONAL SERVICES A6772.1 EQUIPMENT A6772.2 CONTRACTUAL EXP. A6772.4 TOTAL A6772.0 OTAL ECONOMIC ASSISTANCE AND OPPORTUNITY A6999.0 400.00 ~t;('l ('l('l 3t;n nn 3l:in nn 3t;('l('l('l CULTURE - RECREATION RECREATION ADMINISTRATION PERSONAL SERVICES A7020.1 1,155.30 1,225.00 1,500.00 1,500.00 L 500 . 00 EQUIPMENT A7020.2 CONTRACTUAL EXP. A7020.4 87.31 100.00 150.00 150.00 150.00 TOTAL A7020.0 1,242.61 1,325.00 1,650.00 1,650.00 1.650.00 PARKS 11,202.36 PERSONAL SERVICES A7110.1 13,160.00 17,000.00 15,000.00 15,000.00 EQUIPMENT A7110.2 14.33 1,780.00 4,500.00 3,500.00 3,500.00 CONTRACTUAL EXP. A7110.4 23,200.18 25,814.00 37,500.00 34,500.00 34,500.00 TOTAL A7110.0 34,416.87 40,754.00 59,000.00 53,000.00 53'OOO'~' PLAYGROUNDS AND RECREATION CENTERS 11,150.00 11,150.00 11,150.0 PERSONAL SERVICES A7140.1 EQUIPMENT A7140.2 CONTRACTUAL EXP. A7140.4 14,442.67 23,575.00 17,250.00 17 250.00 17,250.00 TOTAL A7140.0 14,442.67 23,575.00 28,400.00 ?R 4nnnn 28,400.00 JOINT REC.PROJECT A7145.4 BEACH AND POOL PERSONAL SERVICES A7230.1 EQUIPMENT A7230.2 CONTRACTUAL EXP. A7230.4 TOTAL A7230.0 MARINA AND DOCKS PERSONAL SERVICS A7230.1 EQUIPMENT A7230.2 CONTRACTUAL EXP. A7230.4 TOTAL A7230.0 * * *pown with Village - See explanation (2) on last page for aharges to to~n - area outside of villages. 10 M"t,. r GENERAL FUND APPROPRIATIONS * i BUDGET BUDGET , ACTUAL ITHIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 1978 19 79 19 80 1 $Q... 19 80 CU TURE - R CREATION (CONTD. ) GOLF PERSONAL SERVICES A7250.1 EQUIPMENT A7250.2 'ONTRACTUAL EXP. A7250.4 ,\ TOTAL A7250.0 1KI FACILITY PERSONAL SERVICES A7260.1 EQUIPMENT A7260.2 CONTRACTUAL EXP. A7260.4 TOTAL 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 CONTRACTUAL EXP. A7320.4 LI BRARY CONTRACTUAL EXP. A7410.4 MUSEUM PERSONAL SERVICES A7450.1 -QU I PMENT A7450.2 )ONTRACTUAL EXP. A7450.4 TOTAL A7450.0 HISTORIAN PERSONAL SERVICES A7510.1 250.00 250.00 250.00 250.00 250.00 EQUIPMENT A7510.2 CONTRACTUAL EXP. A7510.4 143.00 100.00 200.00 200.00 200.00 TOTAL A7510.0 393.00 350.00 450.00 450.00 450.00 I HISTORICAL PROPERTY I PERSONAL SERVICES A7520.1 EQUIPMENT A7520.2 CONTRACTUAL EXP. A7520.4 TOTAL A7520.0 CELEBRATIONS PERSONAL SERVICES A7550.1 ::QUIPMENT A7550.2 CONTRACTUAL EXP. A7550.4 2 274.78 3 200.00 3.500.00 3,500.00 < t;nn nn TOTAL A7550.0, 2 274.78 3.200.00 3.500.00 3.500.00 ':t r:;nn nn _____._.____________ _________.__1 * L *Town with Village - See explanation (1) on last page for aharges to town - area outside of villages. 11 t GENERAL FUND APPROPRIATIbNS * BUDGET BUDGET ~ ACTUAL HIS YEAR OFFICERS PRE-' LAST , AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 1922. 19 80 19 80 19~ CULTURE - RECREATION (CONTD.) (AGING) ADULT RECREATION PERSONAL SERVICES A7620.l EQUIPMENT A7620.2 CONTRACTUAL EXP. A7620.4 1,000.OC 1,000.00 1,000.00 1,000.00 1,000. TOTAL A7620.0 LOOO.OC 1,000.00 1,000.00 LOOO.OO 1 000. TOTAL CULTURE - RECREATION A7999.0 53,769.9 70,204.00 94,000.00 86,350.00 86,350.00 HOME AND COMMUNITY SEFVICES ZONING PERSONAL SERVICES A80l0.1 EQUIPMENT A80l0.2 CONTRACTUAL EXP. A80l0.4 TOTAL A80l0.0 PLANNING PERSONAL SERVICES A8020.1 EQUIPMENT A8020.2 CONTRACTUAL EXP. A8020.4 TOTAL A8020.0 HUMAN RIGHTS PERSONAL SERVICES A8040.1 EQUIPMENT A8040.2 CONTRACTUAL EXP. A8040.4 TOTAL A8040.0 ENVIRONMENTAL CONTROL PERSONAL SERVICES A8090.l 367.0 460.00 750.00 540.00 . 540.0 EQUIPMENT A8090.2 CONTRACTUAL EXP. A8090.4 1,343.1 1,410.00 1,860.00 1 860.00 1.860.0 TOTAL A8090.0 1,710.2 1,870.00 2,610.00 2.400.00 2,400.00 -REFUSE AND GARBAGE PERSONAL SERVICES A8l60.l EQUIPMENT A8160.2 CONTRACTUAL EXP. A8l60.4 TOTAL A8l60.0 ~OMMUNITY BEAUTIFICATION PERSONAL SERVICES A85l0.1 EQUIPMENT A85l0.2. - CONTRACTUAL EXP. A85l0.4 29.0C 500.00 500.00 500.00 500.00 TOTAL A85l0.0 29.0C 500.00 500.00 500.00 500.00 ~OISE ABATEMENT PERSONAL SERVICES A8520.l ~QUIPMENT A8520.2 ~ONTRACTUAL EXP. A8520.4 TOTAL A8520.01 IrTown with ViZZa e - See ex Lanat~on (L) on Zast a e 01' chal' es to * * g p p g f g ~IrTCJun uJth .ZZ town - ql'ea outside of viZZages. w Wv V~ age - see exp~anation (2) on Zqst page fol' chal'ges to town - al'ea outside of V~ZZages. 12 ~ - - "' GENERAL FUND APPROPRIATIONS u BUDGET BUDGET , ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 191!i 197.2.. 19 f1Q. 19~ 19 80 HOME AND COMMU H TY S ERV IC ES (CONTD. ) DRAINAGE PERSONAL SERVICES A8540.1 EQUIPMENT A8540.2 CONTRACTUAL EXP. A8540.4 TOTAL A8540.0 tHADE TREES A8560.1 PERSONAL SERVICES EQUIPMENT A8560.2 CONTRACTUAL EXP. A8560.4 TOTAL A8560.0 CEMETERIES PERSONAL SERVICES A8810.1 EQUIPMENT A8810.2 CONTRACTUAL EXP. A8810.4 250.00 200.00 200.00 200.00 200.00 TOTAL A8810~O 250.00 200.00 200.00 200.00 200.00 AGENCY-PREV. OF CRUEL TV TO CHILDREN -CONTRACTUAL EXP. A8820.4 TOTAL HOME AND l,989.2l 2,570.00 3,3l0.00 3,100.00 3,100.00 COMMUNITY SERVICES A8999.0 UNDISTRIBUTED EMPLOYEE BENEFITS TATE RETIREMENT A9010.8 44,100.00 48,300.00 35,276.00 35,276.00 35.276.00 ~IRE AND POLICE RETIREMENT A9015.8 SOCIAL SECURITY A 90 30 . 8 13 535.29 15,600.00 19,000.00 18.5l0.00 18.510.00 VDRKMENS COMPo A 9040 . 8 6,349.97 4,492.22 5,000.00 5.000.00 5 000.00 LIFE INSURANcE A9045.8 2,100.00 2.100.00 2.100.00 UNEMPLOYMENT INS. A9050.8 5,000.00 5,000.00 5,000.00 5.000.00 D I S AB III TY INS. A9055.8 l,382.38 2,880.00 3,200.00 3.200.00 3 200.00 HOSPITAL AND MED I CAL I NS,URAN CE A 90 60 . 8 12,540.72 11,700.00 10,000.00 10.000.00 10 000.00 TOTAL EMPLOYEE BENEFITS A9199.0 77,908.36 87,972.22 79,576.00 79,006.00 79 086.00 13 , GENERAL FUND APPROPRIATIONS . BUDGET BUDGET - ACTUAL THI S YEAR OFFICERS PRE- t LAST AS TENTATIVE LIMINARY . YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19UL 19a 1 9 .B.Q. 1 9 .ao. 1 9 .ao. urm I STR I~UTED (CONTD .) ~EBT SERVICE PRINCIPAL BOND ANTICIPATION NOTES A9730.6 BUDGET NOTES A9750.6 TAX ANTICIPATION NOTES A9760.6 ~ REVENUE ANTI C 1- PATION NOTES A9770.6 - --.,""" TOTAL A9899.6 INTEREST BOND ANTICIPATION NO T E S A9730.7 BUDGET NOTES A9750.7 TAX ANTICIPATION NOTES A9760.7 ~EVENUE ANTICI- PATION NOTES A9770.7 TOTAL A9899.7 INTERFUND TRANSFERS TRANSFER TO: OTHER FUNDS A9901.9 11.630.74 CAPITAL PROJECT FUND A9950.9 25,000.00 50,000.00 50,000.00 50.000.00 CONTRIBUTIONS TO OTHER FUNDS A9961.9 2,600.00 2,600.00 2,600.00 2.600.00 TOTAL A9990.0 11.630.74 27.600.00 52,600.00 52,600.00 52.600.00 TOTAL GENERAL FUND APPROPRIATION BUDGETARY PROVI- SIONS FOR OTHER USES A962 OTAL APPROPRIATIONS AND PROVISION FOf OTHER USES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) A9999.0 515,744.17 573,255.22 663,042.00 645,603.0G 645,603.00 I 14 i;;,A ". HIGHWAY FUND APPROPRIATIONS (CONTDI) BRIDGES (ITEM 2) . BUDGET BUDGET ACTUAL "HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 1971L 1912- 19 80 19~ 19~ DEBT SERVICE PRINCIPAL BOND ANTICIPATION NOTES )B9730.6 ~UDGET NOTES )B9750.6 lAX ANTICI~ATION d )B9760.6 i NOTES ~EVENUE ANTICI- )B9770.6 PATION NOTES TOTAL )B9899.6 INTEREST BOND ANTICIPATION NOTES )B9730.7 BUDGET NOTES )B9750.7 TAX ANTICIPATION NOTES )B9760.7 REVENUE ANTICI- PATION NOTES DB9770.7 TOTAL 009899.7 BUDGETARY PROVISIONS FOR OTHER USES DB 962 TOTAL APPRO- PRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES (TRANSFER TOTAL "ADOPTED" TO ~"PAGE 1) DB9900.0 4,000.00 3,982.00 4,000.00 4,000.00 4 000.00 L 26 , BUDGET BUDGET . ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 197!2,. 1972 1 9 8..Q 19 @ 198Q... BRIDGES PERSONAL S ERVI CES )85120.1 1,060.00 L 148. 00 LOOO.OO 1,000.00 LOOO.OO CONSTRUCTION )B5120.2 CONTRACTUAL'EXP ) 85 1 20 . lj 2.940.00 2.834.00 3.000.00 3,000.00 3.000.0 TOTAL D85120.0 " f\f'" nn ':\ QQ') nn II nnn nn II nnn nn II nnn n, UNDISTRIBUTED EMPLOYEE BENEFITS )~9010.8 STATE RETIREMENT SOCIAL SECURITY )B9030.8 WORKMENS COMPo )B 9040 . a LI FE INS URANCE )B9045.8 UNEMPLOYMENT INS. ) 890 50 . a D I SAB I LI TY INS. )B9055.8 HOSPITAL AND MEDICAL INS. ) B 90 60 . ~ TOTAL EMPLOYEE BENEFITS )B9199.0 INTERFUND TRANSFERS TRANSFER TO: OTHER FUNDS D89901.9 CAPITAL PROJECT FUND D89950.9 CONTRIBUTION TO OTHER FUNDS D89961.9 TOTAL INTERFUND TRANSFERS D 8 9 799. 0 HIGHWAY FUND APPROPRIATIONS BRIDGES (ITEM 2) 25 1;6 -r HIGHWAY FUND APPROPRIATIONS (CONTD.) REPAIRS AND IMPROVEMENTS (ITEM 1) IL , BUDGET BUDGET ACTUAL !THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 z.a. 1 9.li. 19~ 19 80 19JaQ UNDISTRIBUTED DEBT SERVICE PRINCIPAL BOND ANTICIPATION ~OTES DR9730.6 IDGET NOTES DR9750.6 -JX ANTICIPATION OTES DR9760.6 REVENUE ANTICI- PATION NOTES DR9770.6 TOTAL DR9899.6 INTEREST BOND ANTICIPATION NOTES DR9730J BUDGET NOTES DR9750.7 TAX ANTICIPATION NOTES DR9760.7 REVENUE ANTICI- PA TI ON NOTES DR9770.7 TOTAL DR9899.7 BUDGETARY PROVISIONS FOR OTHER USES IDR 962 TOTAL APPROPRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES (TRANSFER TOTAL , ..J'ADOPTED" TO 356,732.93 391,378.00 498,730.00 })AGE 1) DR 9 9 0 0.0 443,400.00 443,400.00 L 24 " HIGHWAY FUND APPROPRIATIONS REPAI RS AND IMPROVEMENTS (I TEM "1) BUDGET BUDGET , ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LlMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19Z!L 1922 1 9 ...a.o 19.BD 19-20 GENERAL REPAIRS PERSONAL SERVICES DR5110.1 73,335.88 197 605.00 213,372.00 205.701.00 205,703.00 CONTRACTUAL EXP. pR5110.Ll 27.897.05 130 000.00 224.700.00 17A """ "" 178.000~00 TOTAL pR5110.0 301, 232.93 327 605.00 438,072.00 383.703,,00 383.703.00 IMPROVEMENTS PERSONAL SERVICES )R5112.1 8 123.00 9.298.00 A 337..00 8 117. CONTRACTUAL EXP. )R5112.~ 55.500.00 48 000.00 51, 360.00 51360.00 51,360.0 TOTAL )R 5 11 2 . 0 55,500.00 56 123.00 60,658.00 59.697.00 59,697.00 UNDISTRIBUTED EMPLOYEE BENEFITS STATE RETIREMENT DR9010.8 SOCIAL SECURITY DR9030.~ WORKMENS COMPo DR9040.~ LIFE INSURANCE DR9045.~ UNEMPLOYMENT INS. DR9050.~ DISABILITY INS. DR9055.~ HOSPITAL AND MEDI CAL INS. DR 9060 . ~ TOTAL EMPLOYEE BENEFITS DR9199.C I INTERFUND TRANSFERS TRANSFER TO: OTHER FUNDS PR99 0 1.9 CAPITAL PROJECT FUND DR9950.9 7 650.00 CONTRIBUTION TO OTHER FUNDS DR9961.9 TOTAL INTERFUND TRANSFERS pR9799.0 23 ~. T GENERAL FUND ESTIMATED REVENUES - TOWN OUTSIDE VILLAGE ! , ~._- ..-.. -...- , BUDGET BUDGET . ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 1912 19~ 19~ 19~ LOCAL SOURCES NON-PROPERTY TAX DISTRIBUTION BY > .....cOUNTY B1120 JILDING PERMITS B1560 10.000.0C 11.000.00 11 nnn nn 11.000.00 ~ECIAL PERMITS B1601 500.00 "'00.00 500.00 ~NING FEES B2110 12.327.15 200.0C 125.00 125.00 125.00 PLANN ING BOARD FEES B2115 3.314.00 3.000.0C 2,500.00 2.500.00 2.500.00 INTEREST AND EARNINGS B2 40 1 2.474.10 4 OOO.OC 4,000.00 4.00000 4.000.00 OTHER (SPECIFY) MISCELLANEOUS B2770 500.0C 500.00 C;Oo.oo 500.00 TOTAL ESTIMATED REVENUES FROM LOCAL SOURCES 18 ,ll5. 25 17 700.0C 18,625.00 18,265.00 18,265.00 STATE AID PER CAPITA B3001 137.945.00 123 907. OC 151,577.00 151,577.00 151,577.00 MORTGAG!!:' 1t'AOX; B3005. 90,925.34 60,000.OC 60,000.00 60.000.00 60.000.00 YOUTH PkOGRAfvl.:i B3820 8,108.10 10,000.OC 7,500.00 7,500.00 7.500.00 TOTAL ESTIMATED REVENUES FROM STATE AID B3999 236,978.44 193,907.0C 219,077.00 219.077.00 219.077.00 ,''':T'''::!'.~-''''~;~ .......~<' > TRANSFERS ". .. TRANSFERS FROM' OTHER ~tmrJS~ - ""'....;. " l J .. . -,~ B2831 TOTAL ESTIMATED REVENUES-GENERAL FUND - TOWN OUTSIDE VILLAGES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) B5000 255,093.69 211,607.0C 237,702.00 237,702.00 237,702.00 ESTIMATED UNEXPENDED BALANCE ESTIMATED UNEX- PENDED BALANCE - GENERAL FUND - TOWN OUTSIDE VILLAGES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) I 13,000.00 54,000.OC 65.000.00 65 000.00 65.000.00 I ! 22 . ----:J GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE BUDGET BUDGET , ACTUAL THIS YEAR OFFICERS PRE- . LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 1912- 19 80 1 9 J3.Q. 1 9.J3.Q UNDISTRIBUTED (CONTD .) DEBT SERVICE PRII~CIPAL BOND ANTICIPATIO NOTES B9730.6 I BUDGET NOTES B9750.6 TAX ANTICIPATION NOTES B9760.6 REVENUE ANTICI- PATION NOTES B9770.6 TOTAL B9899.0 INTEREST BOND ANTICIPATIO~ NOTES B9730.7 BUDGET NOTES 139750.7 - TAX ANTICIPATION NOTES ~9760.7 REVENUE ANTICI- PATION NOTES ~9770.7 TOTAL ~ 9 8 9 9 . ,0 INTERFUND TRANSFERS TRANSFER TO: OTHER FUNDS B9901.9 150,163.11 171,326.00 167,185.00 167,185.00 167 185.00 CAP I TAL PROJECTS FUND B9950.9 CONTRIBUTION TO OTHER FUNDS B9961.9 2,000.00 2,000.00 2,000.00 2 000.00 TOTAL B9799.0 150,163.11 173.326.00 169 185.00 169,185.00 169.185.00 TOTAL GENERAL FUND - I TOWN OUTSIDE VI~LAGE - APPROPRIATIONS BUDGETARY PROVISIONS FOR OTHER USES 18962 TOTAL GENERAL FUND - TOWN OUTSIDE VILLAGE - APPROPRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) B9900.0 359,968.59 431,500.10 425,694.00 ' 431, 277 . 00 431 277.00 21 ~i "7"" ..l BUDGET BUDGET , ACTUAL HIS YEAR OFFICERS PRE- . LAST AS TENTATIVE LI M I NARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19-ZB 19a 1980 1 9.QQ.. 19 80 CULTURE - RECREATION (CONTD I ) PLAYGROUNDS AND RECREATION CENTERS PERSONAL SERVICES 81140.1 I.iQUIPMENT 87140.2 ')NTRACTUAL EXP. 87140.4 300.00 300.00 300.00 ':Inn nn TOTAL 87140.0 300.00 300.00 300 00 ~n() nn OUTH PROGRAMS PERSONAL SERVICES 87310.1 12.891.81; 15,634.00 17 500.00 17 500.00 17.500.00 EQUIPMENT 87310.2 397.99 600.00 500.00 500.00 500.00 CONTRACTUAL EXP. 87310.4 3,414.06 3.800.00 4,800.00 4 800.00 4 800.00 TOTAL 87310.0 lf1 703.QO 20.034.00 22.800.00 22 800.00 22.800.00 CEi.!mfuTIONS 400.00 400.00 CONTRACTUAL EXP. B7550.4- 390.00 350.00 400.00 HOME AND COMMUNITY SERVICES ZONING PERSONAL SERVICES 88010.1 3,932.87 4,450.00 6,512.00 6,223.00' 6 223.00 EQUIPMENT 88010.2 500.00 750.00 750.00 750.00 CONTRACTUAL EXP. 88010.4 530.41; 500.00 765.00 165.00 165.00 TOTAL 88010.0 4,463.32 5,450.00 8,027.00 7,138.00 7 138.00 PLANNING PERSONAL SERVICES 88020.1 3,933.13 4,450.00 8,452.00 8,181. 00 8,181. 00 EQUIPMENT 88020.2 500.00 . 750.00 750.00 CONTRACTUAL EXP. 88020.4 1,818.17 6,448.10 1,250.00 1,250.00' L 250.00 TOTAL 88020.0 5 , 751. 30 11,398.10 9,702.00 10,181. 00 10,181. 00 ~FUSE AND GARBAG 88160.1 .RSONAL SERVICES .U I PMENT 88160.2 I JNTRACTUAL EXP. 88160.4 3,810.42 TOTAL 88160.0 3,810.42 UNDISTRIBUTED EMPLOYEE BENEFITS 45,794.00 45,794.00 STATE RETIREMENT 89010.8 57,152.00 62,700.00 45,794.00 IRE AND POLICE RETIREMENT 89015.81 :>OCIAL SECURITY 89030.8 17.693.17 18,944.00 21,000.00 21,240.00 21,240.00 f'lORKMENS COMPo 89040.8 8,631. 01 10,648.52 11,750.00 11,750.00 11,750.00 LIFE INSURANCE 89045.8 2,550.00 2,550.00 2,550.00 UNEMPLOYMENT INS. 89050.8 8,851. 48 5,000.00 5 000.00 5,000.00 DISA8ILITY INS. 89055.8 1,527.84 3,600.00 3,600.00 3,600.00 3,600.00 HOSPITAL AND MEDICAL INSURANCE 89060.8 18,770.50 16,890.00 17,000.00 17,000.00 17,000.00 TOTAL EMPLOYEE I 8ENE.f ITS. 89199.0 103,774.52 121,634.00 106,694.00 106,934.001106,934.00 20 I ..-! 'GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE (SHOW HERE GENERAL FUND APPROPRIATIONS TO BE PROVIDED FOR BY TAXES LEVIED ON THE AREA OUTSIDE VILLAGE) , ACCOUNTS ATTORNEY ENGINEER UNALLOCATED INS. CONTINGENT ACCT. TOTAL CODE ACTUAL LAST YEAR 19~ B1420.4 4,948.47 B1440.4 6,000.00 B 1 91 0 . 4 19,032.00 8 1 990 . 4 5,000.00 34,980.47 STREET LIGHTING (Int rsection) ~.~.., ..', .. ~ . EQUIPMENT CONTRACTUAL EXP. TOTAL BI4'J,G:~.,,& ZJ)WING ADMIN PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL B5182.2 B5182.4 12.835.67 B5182~{) 12.835.67 B3620.1 24,393.00 B3620.2 B3620.41,083.48 B3 62 0.0 25,476.48 . ROBEN'!'. C~NTj.Qr,.. . PERSONAL SERV ICES B4069..J. ~ EQUIPMENT :64069.2 CONTRACTUAL EXP. :B4069.4' TOTAL B4069.0 v REGISTRAR OF VITAL STATISTICS PERSONAL SERVICES EQVIPMENT CONTRACTUAL EXP. TOTAL B4020.1 B4020.2 B4020.4 B4020.0 285.00 285.00 BUDGET THIS YEAR AS AMENDED 19~ 5,000.00 6,000.00 25,000.00 15,000.00 51,000.00 PUBLI C SAFETY 500.00 13.000.00 13.500.00 30,733.00 275.00 1,000.00 32,008.00 HEALTH BUDGET OFFICERS TENTATIVE BUDGET 19 .],Q 6,OOD.00 6,000.00 27,500.00 15,000.00 54,500.00 16 308.00 16.308.00 32,803.00 275.00 1, 700. 00 34,778.00 PRE- LIMINARY BUDGET 1 C}3.Q.. 6,000.00 6,000.00 27.500.00 15.000.00 54.500.00 ADOPTED 191& 6,000.00 6,000.00 27,500.00 15.000.00 54,500.00 16,308.00 16.308.00 16.308.00 lh.1nRno 32 556 00 1:;> 556.00 275 00 275.00 1. 700 nn L 700. 00 34 t:;':\l nn 34 531 00 P1<itfI'IW-i;. .ADVERTIsn G . PERSONAL SERVICES B6410.1 . EQUIPMENT B6410.2 CONTRACTUAL EXP. B6410.4 11'334.40 2,500.00 3,000.00 9.000.00 9,000.00 TOTAL B6410.0 1,334.40 2,500.00 3,000.00 9,000.00 9,000.00 ECONOMIC ASSISTANCE AND OPPORTUNITY PROGRAM FOR AGING PERSONAL SERVICE EQUIPMENT CONTRACTUAL EXP. TOTAL PARKS PERSONAL SERVICES EQUIPMENT CONTRACTUAL EXP. TOTAL B6772.1 B6772.2 B6772.4 B6772.0 B7110.1 B7110.2 B7110.4 B7110.01 CULTURE - RECREATION 19 -, " GENERAL FUND ESTIMATED REVENUES . BUDGET BUDGET I ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 1 9 :z.a. 19~ 19J!Q l~JL 19J1Q STATE AID PER CAPITA A3001 168,406.0( 151,247.00 185.048.00 185,048.0C 185.048.00 MORTGAGE TAX A3005 ~OSS OF RAILROAD A3007 524.2 525.00 .00 .OC .00 TAX REVENUE PSS OF PUBLIC ~TILITY VALUA TIONc A3017 CONSERVATION ADVISOR COUNCIL A3089 1,345.3 855.00 1. 300.00 1,200.0C 1, 200.00 SNOWMOBILE LAW ENFORCEMENT A3317 INSECT CONTROL A3468 NARCOTICS GUIDANCE COUNCIL A3484 SOCIAL SERVICES A3660 PROGRAMS FOR AGING A3772 YOUTH PROGRAMS A3 820. TOTAL ESTIMATED REVENUES FROM STATE AID A3999 170,275.6C 152,627.00 186.348.00 186.248.0C lRl=". ?.dR 00 FEDERAL AID CIVIL DEFENSE A4305 PUB LI C WORKS EMPLOYMENT ANTIRECESSION A4750 PROGRAMS FOR AGIi A4772 ~ERGENCY DISASTER ~SSISTANCE A4960 I~TAL ESTIMATtO A4999 EDERAL AID INTERFUND TRANSFER INTERFUND TRANSFERS A5031 TOTAL ESTIMATED REVENUES-GENERAL FUND (TRANSFER TO PAGE 1) A5000 210,321.8C 213,047.00 240,308.00 237.208.0C 237.208.00 ESTIMATED UNEXPENDED BALANCE ESTIMATED GENERAL FUND UNEXPENDED BALANCE (TRANSFER TOTAL "ADOPTED" 54,000.OC I TO PAGE 1) 25,000.00 54,000.00 54,000.00 18 """"IIlIIlII GENERAL FUND ESTIMATED REVENUES BUDGET BUDGET . ACTUAL THIS YEAR OFFICERS PRE- , LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 ..L8 19 79 19 80 193Q.. 19~ LOCAL SOURCES (CONTD I) MISCELLANEOUS REFUNDS OF PRIOR YEARS EXPENSES A2701 GIFTS AND DONATIONS A2705 ENDOWMENT AND TRUST FUND INCOME A2755 CETA - TITLE 2 A2762 CETA - TITLE 3 A2763 CETA - TITLE 4 A2764 CETA - TITLE 6 A2766 CETA - TITLE 7 A2767 CEiA - TITLE 8 A2768 OTHER UNC LASSIFIED.l REVENUES (SPECIFY) MISCELLANEOUS A2770 695.22 l,OOO.oo 600.00 600.00 600.00 A2770 INTERFUND REVENUES INTERFUND REVENUES A2801 TOTAL ESTIMATED REVENUES FROM LOCAL SOURCES A2999 40,046.20 60,420.00 53,960.00 50,960.00 50 ,960.00 I 17 ;~ ,---- - GENERAL FUND ESTIMATED REVENUES BUDGET BUDGET > ACTUAL PH I S YEAR OFFICERS PRE- . LAST AS TENTATIVE LIMINARY . YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 1 97..2., 19~ 19!&. 1980 LOCAL SOURCES (CONTD I) ~EPARTMENTAL I NCO,. E ~ARBAGE REM:>VAL AND DISPOSAL CHARGES ~2130 ~ALE OF CEMETERY LOTS ~2190 ....;-lARGES FOR tEMETARY SERVICES ~2192 ~X AND ASSESSMENl SERVICES FOR OTHER G0VERNMENTS ~2210 NARCOTIC~ CONTROL SERVICES FOR OTHER GOVERNMENTS A2290 USE OF MONEY AND PROPERTY INTEREST AND EARNINGS A2401 3.242.23 6,000.00 6,000.00 6.000.00 6,000.00 ~ENTAL OF REAL PROPERTY A2410 3,250.00 3,000.00 3,000.00 3.000.00 3,000.00 ~ENTAL OF REAL PROPERTY, OTHER GOVERNMENTS ~2412 RENTAL OF EQUIRvlENT, OTHER GOVERNMENn A2416 ~OMMISSIONS 1A2450 ~ICENSES AND PERMITS BUS. & OCCUP.LIC. A2501 ~AMES OF CHftNCE LIC. A2530 Q.INGO LICENSE A2540 'I=OG LICENSES A2544 3,621.19 3,000.00 3,000.00 ERMITS, OTHER A2590 FINES AND FORFEITURES FINES AND FORFEITED BAIL A2610 10,468.00 16,000.00 19,800.00 1,9,800.00 19,800.00 flN3 & PEN. DOG CASES A 2611 FCRFlTURE CF DE POS ITS A2620 SALES OF PROPERTY AND COMPENSATION FOR LOSS ~ALES OF SCRAP AND EXCESS MATERIALS A2650 MI NOR SALES, OTHER A2655 ALES OF REAL PROPERTY A2660 ALES OF EQU I PMENT A2665 ! NSURANCE RECOVERIES A2680 400.62 16 j ........ GENERAL FUND ESTIMATED REVENUES .. .. BUDGET BUDGET ACTU,\L rTHIS YEAR OFFICERS PRE- , LAST AS TENTATIVE LIMINARY . YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 1978 1979 1 9 JlQ. 1 9 ..ao. 1 9 ...BO OTHER TAX ITEMS LOCAL SOURCES REAL PROPERTY TAXES PRIOR YEARS AI020 FEDERAL PAYMENTS IN LIEU OF TAXES AlO80 OTHER PAYMENTS IN LIEU OF TAXES AlO8l ?O '<0 J INTEREST AND PENAL TIES ON REAL PROPERTY TAXES AlO90 13.802.39 19,r::;nn nn ?n le;() ()() 20.160.00 NON-PROPERTY TAX DISTRIBUTION BY COUNTY Al120 DEPARTMENTAL INCOME ,TAX COLLECTION FEES 1 !(NOT INTEREST ON T AXES) A 1232 1,500.00 2,215.00 , . CLERK FEES A1255 3.066.55 2 e;()l: nn , Ann ()() 1.400.00 ].,400.00 POll CE FEES A1520 PUB LI C POUND C HARGES- DOG CONlROL FEES A1550 SAFETY INSP. FEES A1560 CHARGES FOR DEMO- LITlO N OF UNSAFE I BUILDINGS A1570 HEAL TH FEES A160l HOSPITAL INCOME A1635 AMBULANCE CHARGES A1640 PARKING LOTS AND GARAGES A1720 :(1\J STREET FAAKING FEES A1740 AIRPORT FEES & RENTALS A1770 ~IRPORT CO'1MISSIONS AND CONCESSIONS A1774 ~IRPORT SALES OF SUPPLIES A1776 ~EPAYMENTS OF HOME RELIEF A1840 ~EPAYMENTS OF BURIALS A1848 :>ARK AND RECRE- ATION CHARGES A200l I 7,100.00 RECREATION CONCESSIONS A20l2 BEACH OR poa... FEES A2025 AUDITORIUM CHARGES A2035 ~ARINA AND DOCKS A2040 GOLF FEES A2050 pKI FACILITY CHA~ES A2060 ,KATING RINK FEES A2065 >1USEUM CHARGES A2090 70NING FEES A211 0 ::lLANNING BOARD A211r::; FF~C: .. .. .. .. *Town with Villages - See explanation (3) On last page for arediting these revenues to town - area outside villages. 15 ~ a ~ HIGHWAY FUND APPROPRIATIONS MACHINERY (ITEM 3) BUDGET BUDGET ACTUAL HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMI NARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 19 1.2. 19 80 19 80 19~ MACHINERY 12,983.75 14,620.00 PERSONAL SERVICES DM5130. 17,000.00 16.000.00 1"'.000.00 EQUIPMENT DM5130.~ 66,000.00 CONTRACTUAL EXP. DM5130.~ 25,181.86 25,000.00 40,000.00 25.000.00 ?E> ()(\/"\ /"\/"\ ~t TOTAL DM5130.0 38,165.61 39,620.00 123,000.00 41. 000.00 41.000..00 UNDISTRIBUTED EMPLOYEE BENEFITS DM9010.8 STATE RETIREMENT SOCIAL SECURITY DM9030.S: WORKMENS COMPo DM90 40.8 ....IFE INSURANCE DM9045.f . UNEMPLOYMENT INS. DM90 50.8 DISABILITY INS. DM9055.8 -iOSPITAL AND DM9060.8 MED I CAL INS. TOTAL EMPLOYEE BENEFITS DM9199.0 NTERFUND TR.ANSFERS iRANSFER TO: III'OTHER FUNDS DM9901.9 11,495.00 3,850.00 15,905.00 15,905.00 15.905 00 CAPITAL PROJECT FUND DM9 950.9 - CONTRIBUTION TO OTHER FUNDS DM9961.9 OTAL INTERFUND TRANSFERS DM9799.0 11,495.00 3,850.00 15.905 00 15,905.00 15.905.00 27 . ---.. HIGHWAY FUND APPROPRIATIONS (CONTD,) MACHINERY (ITEM 3) BUDGET BUDGET . ACTUAL ""HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODe 19~ 1 9 'Z2... 19~ 19~ 19 80 UNDISTRIBUTED DEBT SERVICE PRIN IPAL BOND ANTICIPATION NOTES DM9730.6 BUDGET NOTES DM9750.6 TAX ANTICIPATION NOTES DM9 76 0.6 REVENUE ANTICI- PAlION NOTES DM9770.6 TOTAL DM9899.6 INTEREST BOND ANTICIPATION NOTES DM97 3 0.7 BUDGET NOTES DM9 750. 7 TAX ANTICIPATION NOTES DM9760.7 REVENUE ANTICI- PATI ON NOTES DM9 770.7 TOTAL DM9 899. 7 BUDGETARY PROVISIONS FOR OTHER USES DM962 TOTAL APPRO- PRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES 56.90sJ (TRANSFER TOTAL "ADOPTED" TO 49,660.61 43,470.00 138,905.00 56,905.00 PAGE 1) DM9900.0 28 l~ BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 :za 19~ 19.&2 19f&.. 1 9...ill> MISCELLANE~US (BRI SH AND WEEDS DS 5 140 .] 4,500.0C PERSONAL SERVICES 9,150.00 5,000.00 5 000.00 5.000.00 ~ONTRACTUAC: EXP. DS 5 140 . ~ 1,988.67 2,800.0C 2,500.00 2,500.00 2,500~00 TOTAL DS 5140 .0 11,138.67 7,300.0C 7,500.00 7,500.00 7,500.00 ~ ~NOW REMO}AL (TOWN HIGHWAYS 22,960.00 PERSONAL SERVICES DS5142.1 21,200.00 27,296.00 26,cn1.0O 26 931. 00 CONTRACTUAL EXP. DS5142.~ 50,718.14 45,000.00 49,000.00 49.000.00 49.000.00 TOTAL DS5142.( 71,918.14 67,960.00 76,296.00 7s .q:n 00 75.931.00 SERVICES FOR OTHER GOVERNMENTS PERSONAL SERVICES 055148. ...ONTRACTUAL EXP. DS5148.~ TOTAL D55148.0 UNDISTRIBUTED MPLOYEE BENEFITS DS9010.~ TATE RETIREMENT pOC IAL 5 ECUR I TY DS9030.f ~ORKMENS COMPo DS9040.1 LIFE INSURANCE 059045. ~NEMPLOYMENT INS. DS9050.f ~)I 5 AB I L I TY I NS . DS90 55.S HOSPITAL AND D 5 90 60 .S MED I CAL INS. orAL EMPLOYEE BENEFITS DS 919 9 .( INTERFUND TRANSFERS rTRANSFER TO: OTHER FUNDS DS 9901.9 CAPITAL PROJECT FUND DS9950.9 CONTRIBUTION TO DS9961.9 OTHER FUNDS TOTAL INTERFUND DS9699.0 TRANSFERS HIGHWAY FUND APPROPRIATIONS SNOW AND MISCELLANEOUS (ITEM 4) , 29 BUDGET BUDGET ACTUAL HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 1 9 7..a. 19 1.9. 19 .a!l 19.au 1 9 ..s.o UNDISTRIBUTED DEBT SERV1CE PRINCIPAL BOND ANTICIPATION NOTES bS9730.6 BUDGET NOTES 059750.6 TAX ANTICIPATION NOTES 059760.6 REVENUE ANTICI- PATION NOTES 059770.6 TOTAL 059899.6 INTEREST BOND ANTICIPATION NOTES OS 9 730.7 BUDGET NOTES DS 9 7 5 o. 7 TAX ANTICIPATION NOTES OS 9 76 0.7 REVENUE ANTICI- PATION NOTES 059770.7 TOTAL OS 9 899. 0 BUDGETARY PROVISIONS FOR OTHER USES 05962 TOTAL APPRO- PRIATIONS AND \ BUDGETARY PROVISIONS FOR OTHER USES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 059900.0 83,056.8l 75,260.00 83,796.00 83,431. 00 83,431. 00 HIGHWAY FUND APPROPRIATIONS (CONTD.) SNOW AND MISCELLANEOUS (ITEM 4) 30 iA HIGHWAY FUND APPROPRIATIONS IMPROVEMENT PROGRAM L BUDGET BUDGET ACTUAL ~HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19__ 19_ 19_ 19 - 19 IMPROVEMENT PROGRAM ) (PROJECT NO. CONSTRUCTION EXP. DE 515 0.2 PRINC IPAL ON NOTES DE 5 1 5 O. 6 INTEREST ON NOTES DE5150.7 lRANSFER TO . OTHER FUND DE9901.9 TOTAL PROJECT NO. IMPROVEMENT PROGRAM ) (PROJECT NO. CONSTRUCTION EXP. DE5151.2 PRINC IPAl ON NOTES DE 5 15 1. 6 INTEREST ON NOTES DE 5 1 51. 7 TRANSFER TO OTHER FUND DE9901.9 TOTAL PROJECT NO. IMPROVEMENT PROGRAM ) (PROJECT NO. CONSTRUCTION EXP. DE5152.2 PRINCIP~ ON NOTES DE5152.6 /1 NTERES T ON NOTES DE5152.7 TRANSFER TO OTHER FUND DE9901.9 irOTAl PROJECT NO. ~OTAl APPROPRIA- TIONS (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 31 * HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE REPAIRS AND IMPROVEMENTS (ITEM 1) BUDGET BUDGET ... ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LlMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 19~ 19~ 19~0 19 60 LOCAL SOURCES NON-PROPERTY TAX DISTRIBUTION BY COUNTY DR 1120 INTEREST AND EARNINGS DR2401 4,552.05 6,000.00 6,000.00 6,000.00 6,000.00 INTERFUND REVENUES DR2 80 1 INTERFUND TRANSFERS DR5031 MISCELLANEOUS (SPECIFY) DR - STATE AID MILEAGE AND VALUATION AID DR3507 5,636.25 6,116.00 6,116.00 6,116.00 6,116.00 FEDERAL AID PUBLI C WORKS EMPLOYMENT ANTI RECESS ION DR4750 TOTAL ESTIMATED REVENUE S (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 10,188.30 12,116.00 12,116.00 12,116.00 12,116.0 TOTAL ESTIMATED UNEXPENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 32 .,t , HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE BRIDGES (ITEM 2) u BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE' LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 ...w 1 912.. 19 80 19 lliL 19 80 LOCAL SOURCES NON-PROPERTY TAX DISTRIBUTION BY COUNTY DB 112 0 NTEREST AND EARNINGS DB2401 104.24 50.00 50.00 50.00 50.00 INTERFUND REVENUES DB2801 INTERFUND TRANSFERS DB 5031 MISCELLANEOUS (SPECIFY) DB - DB - FEDERAL AID PUBLIC WORKS EMPLOYMENT ANTIRECESSION DB4750 TOTAL ESTIMATED REVENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 104.24 50.00 50.00 50.00 50.00 - . pTAL ES T I MATED UNEXPENDED LANCE (TRANSFE R r TOTAL "ADOPTED" TO PAGE 1) ~ 33 I HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE MACHINERY (ITEM 3) . BUDGET BUDG~T ACTUAL THIS YEAR OFFIC~RS PRE- LAST AS TENTATIVE LI MI NARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19E! 19 79 19 80 198.Q.. 1 9 00- LOCAL SOURCES NON-PROPERTY TAX DISTRIBUTION BY 300001 COUNTY DMl120 INTEREST AND EARNINGS DM2401 45l.15 200.00 300.00 300.00 RENTAL OF EQUIP- MENT ~ OTHER GOVERNMENTS DM2416 INTERFUND REVENUES DM2801 INTERFUND TRANS FE RS DM5031 MISCELLANEOUS (SPECIFY) DM - DM - FEDERAL AID PUB LI C WORKS I EMPLOYMENT ANTIRECESSION DM4750 TOTAL ESTIMATED REVENUES (TRANSFER i TOT AL II ADOPTED" TO PAGE 1) 45l.15 200.00 300.00 300.00 300.0 TOTAL ESTIMATED UNEXPENDED BALANCE (TRANS FER TOTAL "ADOPTED" TO PAGE 1) 34 .,A . BUDGET BUDGET ACTUAL h"HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 1 912.. 19~ 19~ 19~ LOCAL SOURCES ~NON-PROPERTY TAX i DISTRIBUTION · BY COUNTY DS 1120 pERVI CES FOR OTHER GOVTS. DS2300 3,400.53 INTEREST AND EARNINGS DS2401 727.45 400.00 400.00 400.00 400.00 INTERFUND REVENUES DS2801 INTERFUND TRANSFERS DS5031 MISCELLANEOUS (SPECI FY) OS - DS - FEDERAL AID PUBLIC WORKS EMPLOYMENT ANTIRECESSION DS 4750 TOTAL ESTIMATED REVENUES (TRANSFER TOTAL I! "ADOPTED" TO 400.00 .~ PAGE 1) 4,127.98 400.00 400.00 400.00 TOTAL ESTIMATED UNEXPENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE SNOW AND MISCELLANEOUS (ITEM 4) 35 , HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE HIGHWAY IMPROVEMENT PROGRAM BUDGET BUDGET . , ACTUAL IrHIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19_ 19 - 19 - 19 - 19_ LOCAL SOURCES NON-PROPERTY TAX DISTRIBUTION DE 112 0 INTEREST AND EARNINGS DE2401 INTERFUND '-- REVENUES DE2801 INTERFUND TRANSFERS DE5031 MICELLANEOUS (SPECIFY) DE - DE - I STATE AID HIGHWAY IMPROVE- MENT PROGRAM DE3521 FEDERAL AID PUBLI C WORKS EMPLOYMENT ANTIRECESSION DE4750 TOTAL ESTIMATED REVENUES - HIGHWAY IMPROVE- , MENT PROGRAM (TRANSFER TOTAL "ADOPTED" TO PAGE 1) TOTAL ESTIMATED UNEXPENDED BALANCE H I GH~ IMPROVEMENT PROGRAM (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 36 .'" FEDERAL REVENUE SHARING FUND APPROPRIATIONS . BUDGET BUDGET . ACTUAL THI S YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 1978 19 79 19 80 19~ 19 80 VANDALISM PATROL PERSONAL SERVICES C F3120. 1 6,092.39 10,300.00 12,000.00 12.000.00 1 ') ('I()(', n n EQUIPMENT C F3120. 2 4.66200 500.00 500.00 500.00 c;nn nn rONTRACTUAL EXP. CF3120.4 ? 87hh4 2.500.00 2,600.00 2 600.00 ') &:.nn nn TOTAL C F3120. 0 , ~ .h~1 .01 13.300.00 13,700.00 13.700.00 1< "7nf"\ f"\f"\ UP'T. OF HIGHWAYS 'RSONAL SERVICES C F5010. 1 28.200.00 31,020.00 31,020.00 31,020.00 EQUIPMENT CF5010.2 CONTRACTUAL EXP. CFS010.4 4.000.00 4,000.00 4,000.00 4.000.00 TOTAL CF5010.0 32.200.00 35,020.00 35,0'20.00 35.020.00 ELECTIONS PERSONAL SERVICES CF1450.1 EQUIPMENT CF1450.2 4,377.45 5.500.00 .00 .00 CONTRACTUAL EXP. CF14S0.4 1.124.60 TOTAL CF 1450.0 5.502.05 5 500.00 .00 .00 MISCELLANEOUS PERSONAL SERVICES C F 1650. 1 EQUIPMENT CF 1650.2 CONTRACTUAL EXP. C F 1650. 4 27.00 TOTAL CF 1650. 0 27.00 CONTINGENCY ....F1990.4 .L2,t)92.UU 1,523.00 6,300.00 6,300.00 TRANSFER TO OTHER FUNDS CF9901.9 Landfill C F 8160 . 4 3,211.20 5,000.00 6.000.00 6.000.00 6 nnn nn I~arp.-A-Van C F 7610.4 7,433.17 9,400.00 9.400.00 a..Ilnn nn a Ann.nn Hiahwav CF 5150. 4 56,000.00 50,500.00 50.000.00 1?nnn nn 1 ') .000 . 00 - "'Ibu1ance CF 4540. 4 31,500.00 34,650.00 38.000.00 38.000.00 <R.nnn.oo lcreation C F 7110 . 4 30,828.60 10,300.00 ~ ?<nnn 00 rarv C F 7410.4 22,000.00 22,000.00 23.000.00 23.000.00 , .... ta Processinq CF 1680.4 2,351.03 Insurance C F 1910.4 1,331.00 3,000.00 Publicity CF6410.4 250.00 I CF 723.00 723.00 723.00 IOTHER ANIMAL CONTROL CF3520.4 APPROPRIATIONS 173,371. 73 198,712.00 144.143.00 144,143.00 h dd U ~ nn .. n I ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE INTEREST AND EARNINGS EDERAL REVENUE SHARING OTAL ESTIMATED REVENUES S T I t-1A TED UNEXPENDED BALANCE ::TRANSFER TO P.A,GE ~ CF 2401 4,363.56 ? 500.00 ? nnn nn 2.000.00 2.000.00 4001 140.173.00 '4n 212.00 136,143.00 136.143.00 136.143.00 144.536.56 142.712.00 138,143.00 138.143.00 138.143.00 56,000.00 6,000.00 6,000.00 6,000.00 I 1 '1 CF .. n I 37 . COMMUNITY DEVELOPMENT FUND APPROPRIATION BUDGET BUDGET . . ACTUAL HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 19 19 19 19_ - - - - ^CQUISnION OF REAL PROPERTY CAPITAL OUTLAY ICD866o.3 PUBLIC WORKS, FACILITIES, SITE IMPROVEMENTS CAPITAL OUTLAY CD8662.3 CODE ENFORCEMENT PERSONAL SERVICES CD 8 6 6 4. 1 " EQUIPMENT CD8664.2 CAPITAL OUTLAY CD8664.3 CONTRACTUAL EXP. CD8664.4 FRINGE BENEFITS CD8664.8 TOTAL CD8664.0 CLEARANCE, DEMOLITION REHABILITATION CAPITAL OUTLAY I CD8666 .31 REHABILITATION-LOANS AND GRANTS CAPITAL OUTLAY I CD 8 6 6 8.31, SPECIAL PROJECTS FOR ELDERLY AND HANDICAPPED CAPITAL OUTLAY ICD867o.3 PAYMENTS FOR LOSS OF . RENTAL INCOME ICD8672.4 CONTRACTUAL EXP. DISPOSITION OF REAL PROPERTY PERSONAL SERVICES CD8674.1\ EQUIPMENT CD8674.2 CAPITAL OUTLAY CD8674.3 , CONTRACTUAL EXP. CD8674.4 FRINGE BENEFITS CD86 74.8 TOTAL CD 8 6 7 4 .0 PROVISION OF PUBLIC SERVICES CAPITAL OUTLAY I C D 8 6 7 6 .31 PAYMENT OF NON-FE,ERAL SHARES CONTRACTUAL EXP. CD8678'4 COMPLETION OF URBAN RENEWAL PROJECTS \CD8680.31 CAPITAL OUTLAY ~ELOCATION PAYr~ENTS AND ASSISTANCE !cD8682.31 r'APITAL OUTLAY 38 ..' ~:~. -- - - - .... ~~ ~ < - - . - - . < - - - - - - - "11 ti<~-J~" ... Initials Dale Prepared by Approved by ANIMAL CONTROL SPECIAL REVENUE FUND 2 3 4 5 1978 1979 1979 1979 1980 .. Actual Budqet Actual Pro'ected Bud et 1 I DOG FUND 1 2 o. Salaries 5) " .79 5 00 ),00 2 32 00 0 r. ::>0 8e}: ) . 00 2 3 ~O. ~ Contractual ,0 7" 96 5 00 ),00 4, ~ 09 02 E , 6 L': . JO 3B~ ) . 00 3 S3..) 4 I 1 27' 7. 00 4 5 5 6 REVENUES 6 7 S25 ij4 License Fees 1 5~ .00 7 8 S26 ~l Violation Fines 48 ) 00 ~. Ie . pO 6~( .00 8 , 9 S24 pI Interest 27 98 .~7 )( . 00 9 i 10 1 27' .00 10 11 11 12 12 13 . 13 14 14 15 15 16 16 17 17 18 18 19 -- 19 --' . 20 20 . - ~t: 21 i 21 - 22 22 23 23 I 24 241 25 25 ! 26 26 27 27 28 28 29 29 , 30 30 31 31 32 32 33 33 34 34 35 35 36 36 37 37 38 38 -, 39 {- 40 .....,l- ,,' 41 i ." reX' F'.W -- ------ " -. fi--------- ~ - - - COMMUNITY DEVELOPMENT FUND APPROPRIATIONS . BUDGET BUDGET . ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LlMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19_ 19_ 19 - 19 19_ - PLANNING AND MANAGEMENT DEVELOPMENT CAPITAL OUTLAY CD 8684. 3 -'M I N I S TRA T I ON !RSONAL SERVI CES CD8686.1 ~~IPMENT CD8686.2 'PI TAL OUTLAY CD8686.3 CONTRACTUAL EXP. CD8686.L FRINGE BENEFITS CD8686.8 TOTAL CD8686.0 MODEL CITIES ACTIVITIES PERSONAL SERVICES CD8688.1 EQUIPMENT CD8688.2 CAPITAL OUTLAY CD8688.3 CONTRACTUAL EXP. CD8688.4 FRINGE BENEF ITS CD8688.8 TOTAL CD8688.0 CDA CONTINGENCIES CD8690.4 TOTAL COMMUNITY DEVELOPMENT APPROPRIATIONS CD9900.0 ESTIMATED REVENUES I ;~MUNITY DEVELOPMENT ~OME CD2170 .ifEREST AND ~RNINGS CD2401 vOMMUNITY DEV. GRANT FROM COUNTY CD2763 ""EDERAL AID CD4910 TOTAL ESTIMATED I i REVENUES CD5000 I 39 --''''c._. ~ BUDGET BUDGET , ACTUAL ""HIS YEAR OFFICERS PRE- . LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 - 19_ 19_ 19_ 19_ LIBRARY OPERATIONS PERSONAL SERVICES L7410.1 EQUIPMENT L7410.2 CONTRACTUAL EXP. L.7 41 0 . 4 TOTAL L7410.0 EMPLOYEE BENEFITS STATE RETIREMENT L9010.8 SOCIAL SECURITY L9030.8 COMPENSATION INS. L9040.8 LIFE INSURANCE L9045.8 UNEMPLOYMENT INS. L9050.8 D I SAB I LI TY INS. L9055.8 HOSPITAL AND MEDICAL INS. L9060.8 TOTAL L9199.0 BUDGETARY PROVISIONS FOR OTHER. USES L962 TOTAL APPRO- PRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES (TRANSFER "TOTAL "ADOPTED" TO PAGE 1) )~ ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE LOCAL SOURCES C". LI BRARY CHARGES L2082 INTEREST EARNINGS L2401 GIFTS AND DONA.TIONS L2705 ENDOWMENT AND TRUS T F UNO INCOME L2755 LIBRAAY SYSTEM GRANT L2760 OTHER (SPECIFY) L_ STATE AND FEDERAL AID STATE AID L3840 FEDERAL AID L4840 TOTAL EST IMA TED REVENUES .. .. ESTIMATED UNEXPENDED .. BALANCE .. PUBLIC LIBRARY FUND APPROPRIATIONS XTRANSFER TO PAGE 1 40 " - DEBT SERVICE FUND APPROPRIATIONS . BUDGET BUDGET ; THIS YEAR PRE- ACTUAL OFFICERS LAST AS TENTATIVE L1MINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 19 - 19 - 19 - 19_ - FISCAL AGENTS FEE V1380.4 DEBT SERVICE ,> PRINCIPAL RIAL BONDS V9710.Q TATUTORY BONDS V9720.6 - CAPITAL NOTES V9740.6 DEBT PAYMENTS TO PUBLIC AUTHORITIES V9780.6 TOTAL V9899.6 INTEREST SERIAL BONDS V9710.7 STATUTORY BONDS V9720.7 i CAPITAL NOTES V9740.7 i )EBT PAYMENTS TO \ PUBLIC AUTHORITIES V9780.7 TOTAL V9899.7 ~OTAL APPROPRIATIONS i fTRANSFER TOTAL ! ,IADOPTED" TO -'.~GE 1) f/9900.0 1rI, ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE I I I I N T ERE STAN D EARNINGS V2401 INTERFUND TRANSFERS V'S031 TOTAL ESTIMATED REVENUES V5000 ESTIMATED UNEXPENDED BALANCE 41 HUGHSONVILLE ACCOUNTS CODE ACTUAL LAST YEAR 19_~ BUDGET HIS YEAR AS AMENDED 1 9-lil LIGHTING DISTRICT BUDGET OFFICERS TENTATIVE BUDGET 19~ PRE- LIMINARY BUDGET 19 80 LIGHTING DISTRICT STREET LIGHTING SL-1- CONTRACTUAL EXP. 5182.1+ 10,667.87 11,350.79 13 359.00 13,359.00 TOTAL Int. & Earnings Real Prop. Tax TOTAL ESTIMATED LIGHTIN DISTRICT UNEXPENDED BALANCE APPROPRIATIONS 10 667.87 11 350.79 13,359.00 13,359.00 ESTIMATED REVENU S SL-2401 42.63 -- SL-I00l 13,638.33 13 680.96 CHFLSEA LIGHTING DISTRICT STREET LIGHTING SL-2- CONTRACTUAL EXP. 5182.4 TOTAL Int. & Earnings Real Prop. Taxes TOTAL ESTIMATED LIGHTING DISTRICT l UNEXPENDED BALANCE BALANC.E I --L_I UNEXPE DED 4 513.10 ., ADOPTED 19~ " .. f: LIGHTING DISTRICT 5 344.00 4,513.10 5,344.00 ~F- ESTIMATED REVENUES SL-2401 17.88 SL-I00l 5,525.16 5,543.04 UNEXPENDED BALANCE ::TRANSFER TOTAL "ADOPTED TO PAGE 1 42 5,344.00 5,344.00 "( ~ J CAMEL! LIGHTING DISTRICT '" BUDGET BUDGET . ACTUAL lrHIS YEAR OFFICERS PRE- , LAST AS TENTATIVE LlMINARY >- YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19_ 78 1922 19 80 198.Q... 1 98.Q.... APPROPRIATIONS LIGHTING DISTRICT STREET LIGHTING SL-1- CONTRACTUAL EXP. 5182.1+ 364.76 386.52 471.00 471. 00 471. 00 ......., -- -- TOTAL 364.76 386.52 471.00 471.00 471. 00 ~ IItnt. EST H'iATED REVENU S & Earnings SL-2401 2.31 TOTAL 2.31 , I -. . I I I I UNEXPlDED BALANG-E I ESTIMATED L I GH T IN( I ! I DISTRICT I I UNEXPENDED I I i ! I BALANCE L_-L~-~- p: AMBULANCE ~. DISTRICT TOTAL APPRPPRIATIONS I i i I i I I i - 40.4 31,5q9.00 34,650.00 100.000.00 I .00 .00 - 31,500.00 34,650.00 100,000.00 I .00 .00 . F . - EST Ii'1A TED REVENUES I UNEXPENDED BALANCE ...~.. '. ULANCE 45 TOTAL ESTIMATED LIGHTWG DISTRICT l UNEXPENDED BALANCE ~:TRANSFER TOTAL IIADOPTED TO PAGE 1 . . 42 A .. t-' -- ~ - . BUDGET BUDGET l , ACTUAL ~HlS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMI NARY YEAR AMENDED BUDGET BUDGET l\DOPTED ACCOUNTS CODE 1 9 ..:re 19~ 19~ 19 80 19 80 ADf'v1 I N I STRAT I ON PERSONAL SERVICES ~W8310.1 964.75 EQUIPMENT SW8310.2 -- CONTRACTUAL EXP. ::>W8310.Y 18.25 228.00 200.00 200.00 200.00 .--" "'f TOTAL ::>W8310.0 983.00 228.00 200.00 200.00 200.00 pOURCE OF SUPPLY, ~I POWER AND PUMPING iii PERSONAL SERVICES~W8320. I - EQUIPMENT W8320.2 1---- -- CONTRACTUAL EXP. W8320.Y 6.59n.05 7,585.00 8,200.00 8.2.00.00 8.200.00 TOTAL ~W8320.0 __6.590.05 7,585.00 8,200.00 8.200.00 8 200.00 PURIFICATION . PERSONAL SERVICES >W8330.1 EQUIPMENT pW8330.2 , , CONTRACTUAL EXP. )W8330.Y 208.20 -- 900.00 840.00 840.00 840.00 -" ------ --.-.- TOTAL 3W8330 .0 208.20 900.00__ _ 840.09_ 840.00 840.00 - -- TRANSMISSION AND DISTRIBUTION PERS Or-JAL SERVICES :;W8340.1 EQU I pr<1ENT ::>W8340.2 - CONTRACTUAL EXP. )W8340.4 4 297.05 1.902.00 2.000.00 2.000.00 2.000.00 TOTAL ::>W8340.0 4 297.05 1.Q02.00 2.000.00 2.000..00 2,000.00 CONTINGENCY SW1990.4 853.00 1.,480.00 1,480.00 1,480.00 UNDISTRIBUTED EMPLOYEE BENEFITS STATE RETIREMENT W9010.8 28.00 - SOCIAL SECURITY SW9030.8 .....cOMPENS AT I ON INS. SW 9 0 40 . 8 ~:I FE INS URANCE 9tJ90Lf5.8 NEMPLOYMENT INS. SW 90 50 . 8 ISABILITY INS. SW 9 0 5 5 . 8 HOSPITAL AND \ MEDICAL INS. 9149060 .8 TOTAL ~W9199.0 28.00 I INTERFUND TRANSFERS TRANSFER TO: OTHER FUN DS '.3W99 0 1 . 9 (7,599.63) (5,731.00) 6.081. 00 6,081. 00 6.081. 00 CAPITAL PROJECT FUN D SW9 9 5 0 . 9 TOTAL JNTERFUND TRANSFER SW9 69 9. 0 WATER DiSTRICT APPROPRIATIONS TALL TREES WATeR DISTRICT 43 J~ ~ BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE- . LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19za 19~ 19 80 19 80 1 9li9- UNDISTRIBUTED DEBT SERVICE PRINCIPAL BOND ANTICIPATION NOTES SW9730.6 SERIAL BONDS SW 9710 -. E 3,700.00 2,450.00 REVENUE ANTICI- PATION NOTES SW9770.E TOTAL SW9899.E 3,700.00 2,450.00 INTEREST BOND ANTICIPATI~ NOTES SW9730.7 3,281.00 SE~-aOfl'Os SW 9710-: I 3,899.63 REVENUE ANTICI- PATION NOTES SW9770.1 TOTAL SW9899.- 3,899.63 3,281. 00 BUDGETARY PROVISIONS FOR OTHER USES ~W962 TOTAL WATER DISTRICT APPRO- PRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) SW9900.0 19,705.93 17,199.00 18,801.00 18.801. 00 18.801. 00 ih, 44 " - WATER DISTRICT ESTIMATED REVENUES WATER DISTRICT . BUDGET BUDGET . ACTUAL !THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 1 9 I2.. 1980 1 9 l:ill. 1980 , METERED SALES S W2140 UNMETERED SALES SW2142 11.336.40 11.248.00 12.580.00 12.580.00 12.580.00 WATER CONNECTION CHARGES SW2144 ~NTEREST AND PENALTIES ON WATER RENTS SW2148 118.40 120.00 125.00 125.00 125.00 INTEREST AND EARNINGS S W2 401 1,472 . 30 100.00 25.00 25.00 25.00 SALES OF SCRAP AND EXCESS MATERIALS SW2650 MINOR SALES, OTHER SW2655 INSURANCE RECOV- ERIES SW2680 OTHER COMPEN- SATION FOR LOSS SW2690 OTHER (SPEC I FY) MISCELLANEOUS SW_ 993.74 TOTAL WATER DISTRICT - ESTIMATED REV- ENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 13,920.84 11,468.00 12,730.00 12.730.00 1? 73000 -;. I UNEXPENDED BALANCE ~ST IMATED WATER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) .00 .00 .00 .00 45 -- FIRE PROTECTION DISTRICT' BUDGET BUDGET I ACTUAL THIS YEAR OFFICERS PRE- A LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 - 19_ 19 - 19 - 19_ APPROPRIATIONS FIRE PROTECTION DISTRICT PAYMENTS ON FIRE CONTRACTS SF-l- CONTRACTUAL EXP. 3410.4 ~l- . TOTAL ESTIMATED REVENU;.S TOTAL .. .. UNEXPENDED BALANCE ESTIMATED FIRE PROTECTION DIST. UNEXPENDED BALANCE .. , FIRE PROTECTION DISTRICT I APPROPRIATION FIRE PROTECTION DISTRICT PAYMENTS ON FIRE CONTRACTS SF-2- CONTRACTUAL EXP. 3410.4 TOTAL . , ~STIMATED REVENUES TOTAL .. ., UNEXPENDED BALANCE ESTIMATED FIRE PROTECTION DIST. UNEXPENDED BALANCE .. .. ::TRANSFER TOTAL "ADOPTED" TO PAGE 1 46 " ACCOUNTS WATER DISTRICT APPROPRIATIONS WATeR ----.- BUDGET BUDGET HIS YEAR OFFICERS AS TENTATIVE AMENDED BUDGET 1 9 .:J!2 1 9lliL DISTRICT " OAKWOOD KNOLLS ------------.--.---- 'r-~- I I AD~lI N I STRAT! ON ! PERSONAL SERVICES W8310.1 I EQU I PNENT \"8310 . L : CONTRACTUAL EXP. -W8310. : TOTAL -W8310.0 ~)OURCE OF SUPPLY, , POWER AND PUMPING , >='ERSONAL S ERVI CES~Yi8320 . I, ___--I --- 'EQUIPI"'1ENT -Y18320'~ I -. ---- : CONTRACTUAL EXP. \'J8320.[ 5;388';43 5,733.00 I 6,600.00 6QQ..JLO_L 6,600.00 , TOTAL ~\'i8320.0 _2~43 __.?,733.00 J 6,600.00 16,600.00 {:::._p..l600.00 ,~URIFICATI~N . .. b", ~ () ,1 I -----l I , , ERS ONAl S ERV 1 c._s;~" 8 -' 3" . .:.~ t- i .+-- ~QUIPMENT 'W8330.21 . I : CONTRACTUAL EXP. \,/8330. Lf-~~~_QQ ___800.00 I 1,025.00_1_l.~..Q.2.5.~lliL r l.0,?5-:-00-- TOTAL '1,';8330.0: 240.00 800.00 1 1,025.001,1,025.00 I , __~,hiliL \18340. r~ -- C~=~I _ -T- T .w 4 I .+- EX P . It --r--:;- "'DOPTED 1 9 flQ.. CODE ACTUAL LAST YEAR 1 9 ..z.e PRE- l It-il NAR Y BUDGET , 19ao... l 104.99 50.75 155.74 237.00 237.00 225,.00 225.00 225.00 225.00 TRANSMISS~ON AND ; D'ISTRIBUTION , PERSONAL SERVICES :EQUIPHENT ; CONTRt\CTUAL TOTAL : CONTINGENCY ! S EMPLOYEE BENEFITS1 I; S TAT ERE T IRE r-1 E tn ~ \ iSOCIAL SECURITY ~ ~r:or-1PENSATION INS. S't .._IFE INSURANCE S. >)' NEMPLOYMENT I r'JS . Sir ...d S AS I LI TY INS. SW ~~OSPITAL AND r"'EO I C.A,L INS. TOTAL ~ '83 0.2 I 3.100.g0 13":100.00 18340 . t 2 ,861.12 2,460.00 ; 3,100.00 -- 'i 3340 . 01__bJi.61. ],2 2,460.00 3.100.00 3.100.g0 3,100.00 - -rl ..- W1990.4 1,000.00 1,000.00 1,000.00.., 1,000.00 I UNDISTRIBUTED \ 'I 90 1 0 . 8 29.00 I - 19030.8 ! 19040.8 - '/90Lf5.8~ I /9050.8 9055.8 I ~ 19060.8 /9199.0 ?qOO '1390 1 . 9 2,760.00 2,700.00 2,640.00 2,640.00 2.640.00 \,/',1 9 5 0 . 9 3,305.00 1,890.00 1,890.00 1.890.00 \'19 69 9. 0 2,760.00 6,005.00 I 4,530.00 4,530.00 4,530.00 'INTERFUND TRANSFERS I P Ar'J S FER TO: . OHiE. R FU 'fJDS (DEB]) !,:,"\ CJ.PIT!:.L PROJECT FlJf.jD S T(HI'-\L rtITERf-'Uf'ID -IP(cJ1SFEP. S . . , 43 A * J .....'.. ACCOUNTS CODE ACTUAL LAST YEAR 1 9 La. BUDGET HIS YEAR AS AMENDED 19li. UNDISTRIBUTED BUDGET OFFICERS TENTATIVE BUDGET 1 9l2Q.. PRE-. LI M I NARY BUDGET 19~ DEBT SERVICE PRINCIPAL BOND ANTICIPATION NOTES SW973 0.6 BUDGET NOTES SW9750. REVENUE ANTICI- PATION NOTES SW9770. TOTAL SW9899. INTEREST BOND ANTICIPATI~ NOTES SW973 0.7 BUDGET NOTES SW9750. REVENUE ANTICI- PATION NOTES SW9770. TOTAL SW9899. BUDGETARY PROVISIONS FOR OTHER USES W962 TOTAL WATER DISTRICT APPRO- PRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) SW9900.D 11,434.29 16,235.00 16,480.00 16,480.00 . . 44 A ADOPTED 19~ ~. t BUDGET BUDGET ACTUAL [rHIS YEAR OFFICERS PRE- I LAST AS TENTATIVE LlMINARY .. YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 .z.a 19~ 19-ao 19a!L 1 I) .a.o METERED SALES S W2140 UNMETERED SALES SW2142 9,603.00 9,480.00 9,480.00 9 48000 q 480.00 WATER CONNECTION CHARGES SW2144 lNTEREST AND LrENAL TI ES ON SW2148 93.00 100.00 60.00 60.00 60.00 WATER RENTS INTEREST AND EARNINGS S W2 401 409.24 160.00 300.00 300.00 300.00 SALES OF SCRAP AND EXCESS MATER I ALS SW2650 MINOR SALES, OTHER S W2 655 INSURANCE RECOV- ERIES SW2680 OTH ER COMPEN- SATION FOR LOSS SW2690 OTHER (SPECIFY) SW I TOTAL WATER DISTRICT - ESTIMATED REV- ENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 10,105.24 9,740.00 9,840.00 9,840.00 9,840.00 UNEXPE~DED BALANCE Its T IMATED WATER DISTRICT UNEX- . . PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 1,653.00 3,795.00 4,000.00 4,000.00 4,000.00 WATER DISTRICT ESTIMATED REVENUES OAKWOOD KNOLLS WA T E R D 1ST R I C T . . 45 A . WATER DISTRICT APPROPRIATIONS FLEETWOOD W ATE R D 1ST R I C T CODE ACTUAL LAST YEAR 19 78 BUDGET THIS YEAR AS AMENDED 1 97.2... or- I I ACCOUNTS rAD~lIN I STRATION PERSONAL SERVICESS\..J8310.1 347.78 EQU I PMENT ~ \..18 310 . L__ CON TRAC TUAL EXP. S W8 310 . Y _-2].0.00 TOTAL S\~8310.0 917.78 -- , EQUI PMENT W83 20. a ! CONTRACTUAL EXP. VJ~ 3 20 . t, 5. ,i46_.~ I TOTAL )W8320.0 _5~6 I PURIFICATION I 'l I PERSON~l SERVICESS\"8~30. ~ i EQUIPMENT ::>W8.:dO. ~\______~.__" - I CO (\JT R ACT U ALE X P. ::> VI 8 3 30 . LHt-..-!JQ.e.....Q]__ _.~-' 13 5. 9-.2.. .. \ TOTAL ::>~';8330 .0: 1,368.07 1,135.00 i TRANS~lI SS I ON AND l-r , - - =::::::==::-.::.:'" - \ DISTRISUTION i iPERSONAL SERVICE5~W8340.1 L ! EQU I PI/lENT ~ W8 3 40 .2 ..L ! CONTR/\CTUAL EXP. pW8340. 4 1,931.41 \ TOTAL DVi8340.0 1,931.41 CONTINGENCY ISWl990. 4 iEMPLOYEE BENEFITSl ISTATE RETIREI-1ENT :>VJ9010.8~. 52.00 ISO C I A l 5 E CUR I T Y SVI 90 30 . 8 l...r..,or"'PE NSATIOf\l INS. SW9040. 8 .. dFE INSURANCE s-J90L~5.8 ..JJNEMPlOYMEtH HJ5. SW90 50 .8 0ISABILITY INS. SW9055.8 ~;OSPITAl AND r",EDICAl INS. TOTAL 198. 00 396.00 594.00 6,424.00 6,424.0q 5,575.00 5,575.00 1,500.00 UNDISTRIBUTED -. 12.00 9tJ90 60 .8 ~VJ9 19 9 .0 52.00 12.00 IINTERF ;TP!~N5F I : CJTHER : C!\p I T FlJflD :-;-(iTf,L JtITERFUt'ID i f) I,ll S F E r~ UND TRANSFERS ER TO: F ur.JD 5 t,L PROJECT (5,228.00) l.3lt1990 1.9 (4,680.00) 5ltJ9 950 . 9 4,060.00 5\-19 6 9 9. 0 9,288.00 . . 43 B II I I _ TENTATIVE LIMINARY , BUDGET BUDGET I 19.JK> 19~ \ BUDGE: OFFICERS 132.00 I I , 230.00 ! 362.00 1 i 7,739.00 ! 7,739.00 : 955.0Q.1.._ 955.00 I ; - 5,700.00 5,700.00 1,000.00 I , , i , I 12.00 ; , i I I I I ! 12.00 1 I 4,573.00 \ I I 4,573.00 I PRE- , I 132.00 I ! 230.00 I 362. 00 I l o..DOPTED 19~ 132.00 230 00 _362.00 I 7..L739.Q.Q..;-7,739.00 I 7,739.00: 7,739.00 I ----4 I 1- I 955.00 : 955.00 955.00: - 955.00 l I I I I 5,700.00 .\ 5 , 700 . 00 d 1,000.00 I I 5,700.00 ' 5.700..00 1,000.00 : 12.00 ! I i : 12.00 I I 12.00 12.00 4,573.00 4,573.00 I 4,573.00 i 4,573.00 BUDGET BUDGET ACTUAL HIS YEAR OFFICERS PRE-. LAST AS TENTATIVE LIMINAkY " YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19:m. 1 9 l.2. 19ao. 1 9 BQ... 1 9 au.. .... UNDISTRIBUTED DEBT SERVICE PRINCIPAL BOND ANTICIPATION NOTES SW9730.6 SERIAL BONDS S SW971'p. 2,000.00 REVENUE ANTICI- PATION NOTES SW9770. TOTAL SW9899. 2,000.00 INTEREST BOND ANTICIPATI~ NOTES SW9730.7 sERrAf 'BON'6s S W 97 W . 2,680.00 REVENUE ANTICI- PATION NOTES SW9770. TOTAL' SW9899. 2,680.00 BUDGETARY PROVISI0NS FOR OTHER USES W962 TOTAL WATER DISTRICT APPRO- PRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES ( TRANSFER TOTAL "ADOPTED" TO PAGE 1) SW9900.0 14,095.52 24,528.00 510.00 2,100.00 2,610.00 40.00 2,578.00 2 618.00 . . 44 B ~ i' l . BUDGET BUDGET . ACTUAL rHIS YEAR OFFICERS PRE- , LAST AS TENTATIVE LIMINARY .. YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19-U! 1922 19 80 19 80 1~!L 0' , METERED SALES S W2140 Q ,1t\,1 1s:l 14 "f''''''' 1i1 """ nn 14,000.00 14,000.00 UNMETERED SALES SW2142 WA TER CONNECTION CHARGES SW2144 TNTEREST AND PENALTIES ON WATER RENTS SW2148 59.65 100.00 50.00 50.00 50.00 INTEREST AND EARNINGS S W 240 1 204.53 200.00 125.00 125.00 125.00 SALES OF SCRAP AND EXCESS MATERIALS S W2 650 t'-1I NOR SALES, OTH ER SW2655 INSURANCE RECOV- ERIES SW2680 OTH ER COMPEN- SATION FOR LOSS SW2690 OTH ER(S PEC I FY) SW_ TOTAL WATER DISTRICT - ESTIMATED REV- ENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 9 , 718. 36 14,300.00 14,175.00 14 175.00 14,175.00 UNEXPE~DED BALANCE c.~TIMATED WATER I DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 4,220.00 1,000.00 1,000.00 1,000.00 - WATER DISTRICT ESTIMATED REVENUES FLEETWOOD WATER DISTRICT .,. L . . 45 B . 'j I I ADr-lINISTRATION I PERSON,~L SERVICES ::>\1/8310 .110.481.89 4,263.00 6.540.00 6 540.00 I EQU I P,...1ENT :iWS 310 .2___ - I CONTRACTUAL EXP. SW8310.4_~7.40 4,914.00 5.460.00 5 460.00 5,460.00 ACt _ TOTAL ::>~~8310.0 10,699.69 9,177.00 12.000.00 I 12.000.00 12 000.00 -- -- SUPP,LY I D PurvlP I NG iEQUIP,'1ENT 'W8320., I : CON r RAC TL:AL EXP. \'/8320 . Ll 62,977.79 57. 87l. on h8 .Q70. ~..L.970. O..Q.. -.._~68-,970. 00 TOTAL ~vJ8320.0 6..2,977.79. 57.87l.00 68 970.00 I 68.970.00 .__68-1970.00 I - , -~..:...:.-- 1 ~~~~ s~~tT ~ ~~v i CEs!k ;,1,,8 8 ~ 3300. ~l . ! ~i 'EQUIPMENT w) q CO~nRACTUAL EXP. . \'18330 : ~l---5,2~~1.!..~~4L672.0Q_ _-=-4,455.00__1__1.1.455.00 _.1L455.0ci:~ TOTAL I ON AND W83 30 . Ol~l224':'15=~I.-~~~2'~0.::: .' 4,455.00 +-1 _~'455'90-t1_~'~?'00 . ; TRANS~i! SS i DISTRIBUTION i i . PER S 0 r'.) A L. S E R V ICE 5 ') W 8 3 40 . 1 _ t-- i ! ; E QUI pr'l E NT) W 8340 . ~I I' COf\.;TR/\CTU,i>,L EXP. :,\oJ8340.1fj44,228.77' 70 313.00 82.200.09 182,200.00 182,200.00 TOTAL j'd8340 .0144,228.77 70,313.00 82.200.00 ~,200_:00 ! 82,200.00 CONTINGENCY ,SW1990.4 r .. 11,000.00 10,000.00 II 10,000.00\\ 10-;000.00" l UNDISTRIBUTED Ef~PLOY EE S TATE RET~~~~~I~iS ,19010.8 431.00 i iSOCIAL SECURITY 5"/9030.8 267.00 400.00 400.00 I :~OMPENSATION INS. SWg040.8 I.IFE INSURANCE Sd90Lf5.8!--_ I.J,INEt/,PLOYtI;ENT INS. S'W90 50 .81-- J I S A B I LI T Y INS. SW 9 0 5 5 . 8_. :HOSPITAL .J\ND i r./IEDICAL INS. ! TCT.J\L ACCOUNTS WATER DiSTRICT APPROPRIATIONS CENTRAL WAPPINGER WATER WATt:R DISTRICT - - _._- . BUDGET BUDGET l ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE L I t-1 I NARY ., YEAR AMENDED. BUDGET BUDGET l\DOPTED CODE 19E 19~ 19~ 19~ 19~ .. 6.540.00 400.00 9.49060.8 ~"/9 19 9 . 0 431.00 267.00 400.00 400.00 400.00 I , i n~TERFUiID TRANSFERS . T P /... i: S FE P TO: , OT,iER FI.;rJOS 1.31t/9901.9 (259,937.50 (293,457.00 293,457.00 293,457.00 293,457.00 , CAPIT{L PROJECT Fur ID 5!'-1'-1950.9 24,398.3 25,000.00 15,375.00 15,375.00 15,375.00 : -~()., r~ L I: :IE.-. R FUf'ID T~>/.rI5i=E? S\'19 69 9. 0 . . 43C . "J BUDGET BUDGET ACTUAL HIS YEAR OFFICERS PRE-, LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 'Za. 1 9 'Z.9.. 1 9llQ... 1 9 IN.. 1 9 !ill... UNDISTRIBUTED DEBT SERVICE PRINCIPAL BOND ANTICIPATION NOTES 5W9730.6 32,200.00 S~L BONnS SW97 Io. 104,000.00 REVENUE ANTIC1- PATION NOTES SW9770. TOTAL SW9899. 136,200.00 INTEREST BOND ANTICIPATICN s~SBc5NlJs -, g~~? ig,:7 REVENUE ANTICI- PATION NOTES SW9770. TOTAL SW9899. 159,937.54 157,257.00 BUDGETARY PROVISIONS FOR OTHER USES W962 TOTAL WATER DISTRICT APPRO- PRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES ( TRANSFER TOTAL "ADOPTED" TO PAGE 1) SW9900.0 383,498.54 471,757.00 486,457.00 486,457.00 486,457.00 . . 44 c ~ '. L; . BUDGET BUDGET , ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY .. YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 .:ui 19 ..19 1 9 Jl.Q 19 aQ 19 80 / METERED SALES S W2140 115,314.61 150,000.00 160,000.00 160.000.00 160.000.00 UNMETERED SALES SW2142 WATER CONNECTION CHARGES SW2144 2 650.00 600.00 .00 .00 .00 lNTEREST AND '!PENAL TIES ON WATER RENTS SW2148 1,223.63 1,700.00 1,500.00 1,500.00 1,500.00 INTEREST AND EARN I NGS SW2401 5,193.93 1,000.00 1,500.00 1,500.00 1,500.00 SALES OF SCRAP AND EXCESS MATERIALS S W2 6 50 MINOR SALES, OTHER S W2 655 INSURANCE RECOV- ERIES S W2 6 80 o TH E R COMPEN- I SAT ION FOR LOSS SW2690 OTHER (SPECIFY) \ SW_ TOTAL WATER DISTRICT - ESTIMATED REV- ENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 124,392.17 153,300.00 163,000.00 163,000.00 163,000.00 UNEXPENDED BALANCE 'S T IMA TED WATER I DISTRICT UNEX- , PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 5,000.00 25,000.00 30,000.00 30,000.00 30,000.00 WATER DISTRICT ESTIMATED REVENUES QENTRAL WAPPINGER WATER W ATE R D 1ST R leT ~ . . 45C , - - I WATER DiSTRICT APPROPRIATIONS ARDMORE WATtR DISTRICT - - BUDGET BUDGET I l ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE l I tviI NARY , . YEAR AMENDED BUDGET BUDGET o,OOPTED CODE 19.w 1 9 7..3.. 1 9 an.. 1 98.CL 1 98!L ACCOUNTS AmllNISTRAT I PERSONAL SE EQUIPMENT CONTRACTUAL TOTAL SOURCE OF S 'POViER AND PERSONAL SE EQUIPMENT CONTRACTUAL TOTAL PURJFICATIO PERS ONAl S E EQUIPMENT CONTRACTUAL TOTAL TRANS~i! SS I 0 DISTRIBUTI ,PERSONAL. SE , EQU I PI/lENT CONTR.L\CTUAl TOTAL ION R V ICE S ::: \v 8 3 1 0 . 1 P 1,1 S 3 1 0 . 2 EXP. :3 i':S 310 . !.j~-' 5\'l8310 .0 UPPLY, putvW I NG RVI CES!\'iS320. ~1 . ~'J2320. __ EXP. \:i8320.t rl:/8 3 2 0 . 0, _ __ ~ V ICE 5 k ~./ 8 3 3 0 . 11 ~ \'v 8 330 .2t __._____. EX P. 5 ~..18 3 30 . 4l~--.-..---- _--- ) '../8 3 30 .0: ~ - . :_.:..._- N AND ~. ON R V ICE S ) vi 8340 . 1 .L- 1.18340 ~ I EXP ot=== I I 80.00 80.00 I 80.00 150.00 150.00 150.00 230.00 230.00 230.00 800.00 ROO.OO I I -\ 1--- 6, 11~O . Ooh1:..10. OLL 6,110.00 h .110 . 00 I 6 ,110.00 '--. 6-ellO. 00 I r j i I ! --1 ._, -- -.-- ---.::c.::.-=- I I I 1-- . H1PLOYEE BENEF I STATE RETIRE~-1EN SOCIAL SECURITY l' r::OI-1PENSATION IN U FE 1 NS URANCE ..... JNEMPlOYMEr-.JT IN . iOISABILITY INS. iHOSPITAL AND I tllEDICAL INS. TOTAL , I I NTERFUND TRANS TRANSFER TO: I OTHER FUfJDS ! ChP[T~L PROJEC i FUfJD hI") T I\L r r lie:? Fur'! D ! T P r.il S fO [ r', i ., I . \'18340 . 500.00 ! 500.00 i 500.00 ) '..: 8 3 40 . 0 500.00 I 500.00 500.00 Tsl ~NDISTRIBUTED - I I \ I T r"190 10. 8~ _ ! S'iI 90 3 O. 8 10.00 10.00 i 10.00 S .15"19040 . 8 - i I S'/9 0 Lf 5 . 8 I I S .\S't/ 9 0 5 0 . 8 ! \5W 9 0 5 5 . 8 i , , -\ 19.-/9060 .8 ~~:9199.0 FERS ;.3't/9 9 0 1 .9 (29,621.00) 27,747.00 27,747.00 27,747.00 T S'..I':! 950. 9 5\-1959 9. 0 I . . 43D , ,,- BUDGET BUDGET - ACTUAL THIS YEAR OFFICERS PRE-, LAST AS TENTATIVE LI MINARY ,. YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 19 79 19~ 1980 19~ UNDISTRIBUTED DEBT SERVICE PRINCIPAL I BOND ANTICIPATION NOTES 5W9730.6 SERIAL BONDS S 'rJ 9 7 .16 . E 13,250.00 REVENUE ANTICI- PATION NOTES S \./9 7 7 0 . E TOTAL S\>J9899.E 13.250.00 INTEREST BOND ANTICIPATIG1 NtJTFS sw9730.7 l6, '/3l.00 ,sERIAL 'BONDS " 5 W 9 7 10 . REVENUE ANTICI- PATION NOTES S VI 9 7 7 0 . ) TOTAL 15v19899. 16,731.00 BUDGETARY PROVISI')NS FOR OTHER USES :>W962 - TOTAL WATER DISTRICT APPRO- 'PRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES (TRANSFER TOTAL lIADOPTED" TO PAGE 1) 5W9900.0 30,421. 00 34,597.00 34,597.00, 34,597.9n . .. II' . . 44 D 1,1 BUDGET BUDGET .. ACTUAL 9"H I S YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY _. YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19.:m 19.12 1~ 19 ao 19.ao , METERED SALES S W2140 800.00 3,450.00 3,450.00 < Al';() ()() UNMETERED SALES SW2142 WATER CONNECTION CHARGES S W21 44 TNTEREST AND PENALTIES ON WWATER RENTS SW2148 40.00 40.00 4000 INTEREST AND EARNINGS SW2401 5,815.25 60.00 60.00 nO.OO SALES OF SCRAP AND EXCESS MATERIALS S W2 6 50 MINOR SALES, OTHER S W2 655 INS URANCE RECOV- ERIES SW2680 ; o TH E R COMPEN- I SAT ION FOR LOSS SW2690 i OTHER (SPECIFY) I SW I TOTAL WA TE R DISTRICT - ESTIMATED REV- ENUES (TRANSFER TOTAL "ADOPTED" 5,815.25 TO PAGE 1) 800.00 3,550.00 3,550.00 3,550.00 l UNEXPENDED BALANCE I ESTIMATED WATER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 3,300.00 3,300.00 3,300.00 ARDMORE WATER DISTRICT ESTIMATED REVENUES WATER DISTRICT . . 45 D , WATER DISTRICT APPROPRIATIONS WATCH HILL WATE:R - - BUDGET BUDGET ACTUAL HIS YEAR OFFICERS LAST AS TENTATIVE YEAR AMENDED BUDGET CODE 19 78 19~ 1 9 a.Q.. ACCOUNTS I Aml I N I S TR A T I I PERSONAL S ER EQUIPMENT CONTRACTUAL TOTAL I SOURCE OF SU \.I POWER AND P .....IP.ER50NAL S ER EQUIPMENT I CONTRACTUAL TOTAL ON VICES::'\..J8310.1 :'\-18310. L__ EXP.5W8310.l.i__ . ;:;~1/8310.0 PPL Y , I UJvlPI NG VJCES!W:8320. fl. 'W2320. __ EX P . \./8 3 20 . t: tW8320.0 I r=- PURIFICATION k I PERSONAL 5 ERV I CESf_ \.<18 3 30 .l-. E QUI PM EN T , W 8 3 30 . 2f______ ___ CONTRACTUAL EXP. ,\-J8330 .l..ti"'______________ TOTAL ,W8330 .0: ~ TRANSMISSIONNAND I I DISTRIBUTIO I PERSOHAL. SERVICES,W83!-fO .Il EQU I PI-lENT , W8 3 40 . ~~ CONTRACTUAL EXP. ~W8340.~ TOTAL l~"8340 .O~N:STRIBUTED EMPLOYEE BENEFITS \ U STATE RETIREt1ENT p,19010 .8t-- . _ ISOCIAL SECURITY SH9030.8i U........ c..,._OMPENSATION INS.5W9040.8 .. UFE INSURfl.NCE StJ90Lf5.81 .. ... NEMPLOYMENT ItJS. SW90 50 .8 .JISABILITY INS. SW9055.8 !HOSPITAL AND I r~EDICAL INS. TOTAL IINTERFUND TRANSFERS jTRANSFER TO OTHER FUNDS ! CAPIThL PROJECT I F UflD S\'/q 950 . 9 I TOT /'1 L r tn E R F U i' I D I__T r>nl (~F E R __ S\-19 699. 0 9/./9060 .8 SvJ9 199.0 i:-vl9 9 0 1 . :1 . . 43 E , 240.00 200.00 440.00 I 9'624.0~~ 9,624.00 I -\ I ---r . -r- ! I I -- i 1,500.00! l'500'~i I DISTRICT I I Ll t-1 I NAR Y II' BUDGET I 1 9 ...ao i PRE- j I 240.00 I ! 200.00 440.00 l 6.DOPTED 1 9 J2.9 240.00 200~00 440.00 I I I i I i - 9-L-6.2..4......QQ.~ 9,624.00 9,624.00 l 9 624.00 F I , 1,500.00 ! 1,50Q.00 .- I 1,500.00 -I 1,500.00 ACCOUNTS CODE DEBT SERVICE PRINCIPAL BOND ANTICIPATION NOTES SW9730.6 BUDGET NOTES SW9750. REVENUE ANTICI- PATION NOTES SW9770. TOTAL SW9899. INTEREST BOND ANTICIPATICN NOTES SW973 0.7 BUDGET NOTES 5W9750. REVENUE ANTICI- PATION NOTES SW9770. TOTAL 5W9899. BUDGETARY PROVISIONS FOR OTHER USES W962 TOTAL WATER DISTRICT APPRO- PRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) SW9900.0 . . 'f ACTUAL LAST YEAR 19.1? BUDGET HIS YEAR AS AMENDED 1 9 72.. UNDISTRIBUTED 44 E BUDGET OFFICERS TENTATIVE BUDGET 1 9l2Q.. PRE-. LIMINARY BUDGET 19~ 11,564.00 11,564.00 ADOPTED 1 9 illL ~ t ~. BUDGET BUDGET , ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY .' YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 19.12 19 ...8Q 19 ao 19 80 METERED SALES S W2140 1l,464.00 11,464.00 11 464.00 UNMETERED SALES SW2142 WATER CONNECTION CHARGES S W2144 TNTEREST AND WENAL TIES ON IrtWATER RENTS SW2148 50.00 50.00 50.00 INTEREST AND EARNINGS S W2 401 50.00 50.00 50.00 SALES OF SCRAP AND EXCESS MATERIALS SW2650 MINOR SALES, OTHER S W2 655 INSURANCE RECOV- ERIES SW2680 OTH ER COMPEN- I SATION FOR LOSS SW2690 OTHER (SPECIFY) ! SW_ TOTAL WATER DISTRICT - ESTIMATED REV- . ENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 11,564.00 11,564.00 11,564.00 I UNEXPHmED BALANCE ~ S T I MA TED WATER I DISTRICT UNEX- , PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) WATER DISTRICT ESTIMATED REVENUES WATCH HILL WA TER D I S TR I CT ~!. , . . 45 E , ....- - BUDGET BUDGET . ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 19~ 19J!Q 19~ 1980 SPECIAL ITEMS TAXES ON SEWER DISTRICT PRCFERT'I CONTRACTUAL EXP. 551950.4 L-., .j' ADMINISTRATION J,;'ERSONAL SERVICES 558110.1 175.20 EQUIPMENT ~S 8 11 0 . 2 .- CONTRACTUAL EXP. 558110.4 79.80 465.00 400.00 400.00 400.00 TOTAL 558110.0 255.00 465.00 400.0C 400.00 400.00 SEWAGE COLLECTING SYSTEM PERSONAL SERVICES SS8120.1 EQUIPMENT ,58120.2 CONTRACTUAL EXP. 558120.4 5,951. 44 6,503.00 5,500.00 5.500.00 I; I;nn 00 TOTAL ,58120.0 5,951.44 6,503.00 5,500.00 5.500.00 I; c::.nn nn SEWAGE TREATMENT AND DISPOSAL PERSONAL SERVICES :>58130.1 EQUIPMENT :>58130.2 CONTRACTUAL EXP. :>5 8 1 30 . 4 29.289.78 28.502.00 26,785.00 26.785.00 26.785.00 TOTAL :,5 8 1 30 . 0 ?q ?8Q.78 28.502.00 26.785.00 ?h 7RK; 00 26 785.00 UNDISTRIBUTED EMPLOYEE BENEFITS STATE RETIREMENT )59010.8 71.00 OCIAL SECURITY 59030.8 1....jOMPENSATION INS. ,5 90 40 . 8 .- I FE INS URANCE ,5 9 0 4 5 . 8 UNEMPLOYMENT INS. ,5 90 50 . 8 DISABI LlTY INS. :>59055.8 HOSPITAL AND MEDICAL INS. 559060.8 TOTAL ,S 9 1 9 9 . 0 INTERFUND TRANSFERS TRANSFER TO: OTHER FUNDS 559901 .9 (2,215.00 2,257.00 2,257.00 2,257.00 CAPITAL PROJECT FUND SS99 50.9 3,675.00 1,630.00 1,630.00 1,630.00 TOTAL INTERFUND TRANSFER SS9699.0 3,887.00 3,887.00 3,887.00 SEWER DISTRICT APPROPRIATIONS MID POINT SEWER D I S TR I CT 47 A' - SEWER FUND APPROPRIATIONS (CONTD,) MID POINT SEWER DISTRICT BUDGET BUDGET ACTUAL HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 19 79 19 80 19 80 1 9EiQ.. UNDISTRIBUTED DEBT SERVICE PRINCIPAL I BOND ANTIC1PATION , NOTES 559730.6. SE:\UAL BONDS 559710. 6 900.00 REVENUE ANTICI- PA TI ON NOTES 55 977 O. 6 TOTAL 559899.6 900.00 INTEREST BOND ANTICIPATION 5 5 9 7 3 0.7 NOTES SERIAL 130NDS .5 59 71~.7 671. OC 1,315.00 REVENUE ANTICI- PATION NOTES 559770.7 TOTAL 559899.7 671.0C 1,315.00 BUDGETARY PROVISIONS FOR OTHER USES 55962 TOTAL SEWER DIST. APPROPRIATIONS . AND BUDGETARY PROVISIONS FOR OTHER USES ( TRANSFER TOTAL "ADOPTED" TO PAGE 1) 36,238.22 41,360.00 36,572.00 36,572.00 36 , 572 . 00 I 48 \ BUDGET BUDGET ACTUAl. rrHIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS COD~ 19~ 19 'Z2.. 19~ 19~ 1980 SEWER RENTS SS2120 23,106.50 22,940.00 22,940.00 22,940.00 22.940.00 SEWER CHARGES SS2122 INTEREST AND - PENALTIES ON SEWER RENTS SS2128 333.00 280.00 250.00 250.00 250.00 III' INTEREST AND EARNINGS S 5 240 1 1,213.67 325.00 125.00 125.00 125.00 SALES OF SCRAP AND EXCESS MATERIALS SS2650 MINOR SALES, OTHER SS2655 INSURANCE RECOV- ERIES SS268Q. OTHER COMPEN- sATIoN FOR LOSS SS 2690 STATE AID FOR OPERATION AND MAINTENANCE OF SEWAGE DI.SPOSAL PLANT S S 3 901 11,909.21 OTHER (SPECIFY) SS - TOTAL SEWER DIST. ESTIMATED REVENUESQRANSFER -, TOTAL "ADOPTED" TO PAGE 1) 36,562.38 23,545.00 23,315.00 23,315.00 23,315.00 ..J UNEXPENDED BALANCE ESTIMATED SEWER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 15,600.00 11,000.00 lLOOO.OO 11 000.00 I SEWER DISTRICT ESTIMATED REVENUES MID POINT SEWI:R DTSTRICT 49 If, BUDGET BUDGET ACTUAL IrHIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19__ 19_ 19 - 19 - 19_ DRAINAGE PERSONAL SERVICES SD8540.1 EQUIPMENT SD8540.2 CONTRACTUAL EXP. SD 8540.4 TOTAL SD8540.0 UNDISTRIBUTED EMPLOYEE BENEFITS STATE RETIREMENT SD90 1 0.8 SOCIAL SECURITY S D9 0 3 O.~ COMPENSATION INS. S D90 40.~ LIFE INSURANCE S D 9 0 45.8 UNEMPLOYMENT INS. SD9050J DISABILITY INS. SD9055.8 HOSPITAL AND MEDICAL INS. S D9 060.8 TOTAL SD9199.0 INTERFUND TRANSFERS TRANSFER TO: I OTHER FUNDS S D9 90 1.9 CAPITAL PROJECT FUND SD9950.( TOTAL INTERFUND TRANSFER S D9 69 9.0 DEBT SERVICE PRINCIPAL 'BOND ANTICIPATION SD9730.6 NOTES BUDGET NOTES S D 9 7 5 0.6 REVENUE ANTICI- PATION NOTES SD9770.6 TOTAL SD9899.6 INTEREST BOND ANTICIPATION NOTES SD9730.i BUDGET NOTES S D9 750.7 REVENUE ANTICI- PATION NOTES SD9 7 70.7 TOTAL SD9899.i TOTAL DRAINAGE DISTRICT APPRO- PRIATIONS CTRANSFB TOTAL "ADOPTED" TO PAGE 1) DRAINAGE DISTRICT APPROPRIATIONS DRAINAGE DISTRICT 50 , - ,. BUDGET BUDGET . ACTUAL "HIS YEAR OFFICERS PRE- , LAST AS TENTATIVE LIMINARY .. YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 1 92!!. 1912. 19 80 . 191m 1 9Jill. SPECIAL ITEMS TAXES ON SEWER D IS T R I C T PR<YE RT" CONTRACTUAL EXP. 55 1950 .4 .... ,ADM I N I STRAT I ON .tERSONAL SERVICES SS8110.1 347.80 198.00 132.00 132.00 132.00 EQUIPMENT ;S 8 11 0 . 2 - CONTRACTUAL EXP. 558110.4 86.91 396.00 230.00 230.00 230.00 TOTAL 55 8 1 10 . 0 434.71 594.00 362.00 362.00 362.00 SEWAGE COLLECTING SYSTEM PERSONAL SERVICES 558120.1 EQUIPMENT :>58120.2 CONTRACTUAL EXP. 558120.4 5.436.05 9.340.00 8.156.00 8 - lI:;h. 00 8.156.00 TOTAL :>58120.0 5.436.05 9.340.00 8.156.00 R ll;~ 00 8.156.00 SEWAGE TREATMENT AND DISPOSAL PERSONAL SERVICES :>58130.1 EQUIPMENT ::>58130 . 2 CONTRACTUAL EXP. ::>58130.4 24,069.51 24,901.00 31,539.00 . .1 1;.0.00 31,539.00 TOTAL ;)58130.0 24,069.51 24,901. 00 31,539.00 ':11 t::':Ia .nn 31. 539. 00 CONTINGENCY 881990.4 3,000.00 3,000.00 3,000.00 UNDISTRIBUTED EMPLOYEE BENEFITS 359010.8 STATE RETIREMENl 67.00 - OCIAL SECURITY >5 90 30 . 8 12.00 12.00 12.00 12.00 GOMPENSATION INS. ::>5 90 40 . 8 fI FE INS URANCE :>5 90 4 5 . 8 .UNEMPLOYMENT INS. :>5 90 50 . 8 DISABILITY INS. ::>59055.8 . . HOSPITAL AND MEDICAL INS. ::>5 9060 . 8 TOTAL :>59 1 9 9 . 0 67.00 12.00 12.00 12.00 1? nn INTERFUND TRANSFERS TRANSFER TO: OTHER FUNDS 559901 .9 l7ul.?O 00\ (9.048.00 9.048.00 o nllR 00 9 048.00 CAPITAL PROJECT FUND SSg9 50 .9 4,558.00 4,181. 00 II lR1 00 4.181.00 TOTAL INTERFUND TRANSFER SSg 6 9 9 . 0 13,229.00 11.22Q.OO 13.229.00 . SEWER DISTRICT APPROPRIATIONS FLEETWOOD 5 EWF.R D I 5 TR I CT . . .~. .. . . 47 A , ""', ',) . ~ SEWER FUND APPROPRIATIONS (CONTD,) FLEETWOOD 5 HI E R 0 1ST R leT BUDGET BUDGET ACTUAL rHIS YEAR OFFICERS PRE- . .., LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19.,.W 1 9'Z9.. 19-20 ' 198Jl. 198!L UNDISTRIBUTED DEBT SERVICE PRINCiPAL I BOND ANTIC1PATION NOTES S 59730.6. 3,700.00 SERIAL BONbs - SS 9710.6 3,200.00 1,300.00 REVENUE ANTICI- PATION NOTES 55 977 O. 6 TOTAL 559899.6 3,~OU.00 5,000.00 INTEREST BOND ANTICIPATION N9..U 5 '" 55 973 0.7 ~tF;,IAL'BONP/S .5 59 7Id~7 4,220.00 4,048.00 REVENUE ANTICI- PATION NOTES 559770.7 TOTAL 559899.7 4,220.00 4,048.00 BUDGETARY PROVISIONS FOR OTHER USES 55962 TOTAL SEWER DIST. APPROPRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 37,427.27 48,453.00 56,298.00 56,298.00 56,29'8. 00 1I.:........,.....i ?'> }~ . . 48A " r- SEWER DISTRICT ESTIMATED REVENUES FLEETWOODS EWf:R D T S TR I CT /".... BUDGET BUDGET , ACTUAL HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LI MINARY _. YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE: 19~ 1922. 19 80 19 80 19~ SEWER RENTS SS2120 SEWER CHARGES SS2122 27,223.77 39,000.00 47,000.00 47,000.00 47,000.00 INTEREST AND PENALTIES ON ~ SEWER RENTS SS2128 170.06 265.00 150.00 150.00 150.00 -, INTEREST AND 243.88 140.00 100.00 EARNINGS S 5 2 40 1 100.00 100.00 SALES OF SCRAP AND EXCESS MATERIALS 5 S 2650 MINOR SALES, OTHER SS2655 .,1, ":1"" t,,,,' INSURANCE RECOV - ER I ES SS2680 o TH E R COMPEN - SATION FOR LOSS SS2690 STATE AID FOR OPERATION AND MAINTENANCE OF SEWAGE DlSPOSAL PLANT SS3901 OTHER (SPECIFY) SS - TOTAL SEWER DIST. ESTIMATED REVENUESC!RANSFER TOTAL "ADOPTED" . , TO PAGE 1) 27 637.71 39,405.00 47,250.00 47,250.00 47,250.00 ..f UNEXPENDED BALANCE ESTIMATED SEWER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) I . . 49 A I- 1 I ,'1 SEWER DISTRICT APPROPRIATIONS ROC KINGHAM SEWER DISTRICT BUDGET BUDGET , ACTUAL "'HI S YEAR OFFICERS PRE- . lAST AS TENTATIVE lIMINARY -. YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODe 19~ 1 9 ..ll 19J1Q 1 9.JiQ 19 80 .. SPECIAL IT Ef'v\S TAX ES ON SEWER D I S TR I CT PRCFE RT" CONTRACTUAL EXP. 551950.4 ~DMINISTRATION .~ERSONAL 5 ERV ICES 55 8 11 0 . 1 775.42 800.00 800.0C 800.00 EQUIPMENT $5 8 11 0 . 2 ..- CONTRACTUAL EXP. 558110.4 27.00 2,439.00 1,800.00 1,800.00 1,800.00 TOTAL SS81)0.0 802.42 2.439.00 2.f:.nn.nn 2 .600 . OC 2,600.00 SEWAGE, COLLECTING SYSTEM PERSONAL SERVICES SS8120.1 EQUIPMENT :>S8120.2 CONTRACTUAL EXP. $8120.4 27.897.25 ?f:. 7"" "" '1 nl? nn ,lnl? .00 31 012.00 TOTAL :>S8120.0 27,897.25 26,700.00 31,012.00 ,1 nl?nn 31.012.00 SEWAGE TREATMENT AND DISPOSAL PERSONAL SERVICES ,S8130.1 EQUIPMENT ,S8130.2 CONTRACTUAL EXP. ,S8130 .4 79,123.82 78,180.00 68.905.00 68.905.00 68,905.00 TOTAL :,S 8 1 30 . 0 79,123.82 78,180.00 68.905.00 68.905.00 68,905.00 . UNDISTRIBUTED EMPLOYEE BENEFITS 559010.8 STATE RETIREMENl 135.00 C;f:. nn C;f:. 00 56.00 '~OCIAL SECURITY :>5 90 30 . 8 ;OMPENSATION INS. ::>S 90 40 . 8 ..,.IFE INSURANCE ::>5 9 0 4 5 . 8 UNEMPLOYMENT INS. ::>5 90 50 . 8 DISABI LITY INS. ::>59055.8 ' \ HOSPITAL AND MEDICAL INS. 559060.8 TOTAL :>S 9 1 9 9 . 0 135.00 56.00 56.00 56.00 INTERFUND TRANSFERS TRANSFER TO: OTHER FUNDS 5S9901.9 CAPITAL PROJECT FUND 5599 50 .9 6,231.00 TOTAL INTERFUND TRANSFER SS9 6 9 9 . 0 . . 47B ~ SEWER FUND APPROPRIATIONS (CONTD,) ~- . BUDGET BUDGET ACTUAL JHIS YEAR OFFICERS PRE-' LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 19~ 19~ 19 80 19..M UNDISTRIBUTED DEBT SERVICE PRINCIPAL I BOND ANTICIPATION NOTES 559730.6. BUDGET NOTES SS9750.6 REVENUE ANTICI- PA TI ON NOTES 55977 0.6 TOTAL S59899.6 INTEREST BOND ANTICIPATION NOTES 55 973 0.7 BUDGET NOTES 5S9750.7 REVENUE ANTICI- PATION NOTES 559770.7 TOTAL 5S9899.7 BUDGETARY PROVI5IONS FOR OTHER USES SS962 TOTAL SEWER DIST. APPROPRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 107.958.49 113.550.00 102.573.00 102,573.0C 102,573.00 ROCKINGHAM SHIER DISTRICT fI' :."' if' . . 48 B , . I ;1 SEWER DISTRICT ESTIMATED REVENUES ROCKINGHAM S EW~R 0 T S TR I CT L BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE- . LAST AS TENTATIVE LIMINARY .' .. YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS 1922 19 80 19~ . 19~ CODE: 19~ \ SEWER RENTS SS2120 74,740.32 72.000.00 75,523.00 7~~?3.00 75,523.00 SEWER CHARGES SS2122 1,050.00 INTEREST AND PENALTIES ON SEWER RENTS SS2128 730.40 650.00 650.00 650.00 650.00 . . INTEREST AND EARNINGS S S 240 1 1.806.10 1,000.00 1,000.00 1,000.00 1,000.00 SALES OF SCRAP AND EXCESS MATERIALS SS2650 MINOR SALES, OTHER SS2655 INSURANCE RECOV - ERIES S S 2 6 8 O. OTHER COMPEN- sATIoN FOR LOSS SS 2690 STATE AID FOR OPERATION AND MAINTENANCE OF SEWAGE DI.SPOSAL PLANT S S 3 901 31,524.57 OTHER (SPECIFY) SS - TOTAL SEWER DIST. ESTIMATED REVENUES (TRANS FER TOTAL "ADOPTED" TO PAGE 1) 109,851.39 73,650.00 77 ,173.00 77 , 173 . 00 77,173.00 UNEXPENDED BALANCE ESTIMATED SEWER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 39,900.00 25,400.00 25,400.00 25,400.00 I . . 49 B ,. ~- BUDGET BUDG~T . ACTUAL HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY . ,-. YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 19~ 19~ .' 19!&- 1980 SPECIAL ITEMS TAXES ON SEWER DISTRICT PRCPE RT'r CONTRACTUAL EXP. 551950.4 - ADMINISTRATION ERSONAL SERVICES 5S 8 1 1 0 . 1 400.93 EQUIPMENT 5S 8 11 0 . 2 .- CONTRACTUAL EXP. 558110.4 65.00 693.00 e::.o. nn 693.00 693.00 TOTAL 558110.0 465.93 fi9300 693.00 693.00 693.00 SEWAGE COLLECTING SYSTEM PER SON A L S E R V ICE 5 5S 8 1 2 0 . 1 EQUIPMENT pS8120.2 CONTRACTUAL EXP. 558120.4 4,518.75 8.905.00 14.17500 14.375.00 14 375.00 TOTAL f)58120.0 4,518.75 8,905.00 1.1 ~75 .00 14.375.00 14.375.00 SEWAGE TREATMENT AND DISPOSAL PERSONAL SERVICES )58130.1 EQUIPMENT ,58130.2 CONTRACTUAL EXP. ::iS8130 .4 35.827.11 31 105.00 30,790.00 .10 790.00 30.790.00 TOTAL 1-'58130.0 35,827.11 31.105.00 30,790.00 30.790.00 30 790.00 CONTINGENCY p81990.4 3,629.00 4,500.00 4,500.00 4,500.00 UNDISTRIBUTED EMPLOYEE BENEFITS 559010.8 - STATE RETIREMENT 128.00 ~OCIAL SECURITY ,59030.8 ::OMPENSA TI ON INS. ::>S 90 40 . 8 It-I FE INS URANCE ,S 9045 . 8 UNEMPLOYMENT INS. ::>5 9 0 50 . 8 D I 5 AB I LI TY I N5 . :,S9055.8 . HOSPITAL AND MEDICAL INS. 55 9060 .8 TOTAL 55 9 1 9 9 . 0 128.00 I INTERFUND TRANSFERS TRANSFER TO: OTHER FUNDS 559 9 0 1 . 9 (32,538.11 (31,840.00) 31,141. 00 31.141.00 31,141.00 CAPITAL PROJECT FUND SS99 50.9 25,982.00 10,142.00 10,142.00 10,142.00 TOTAL INTERFUND TRANSFER SSg 6 9 9 . 0 57,822.00 41.283.00 41,283.00 41,283.00 'SEWER DISTRICT APPROPRIATIONS WILDWOOD SEWFR DISTRICT .~ f." . , . 47 C ~ , I ,)- SEWER FUND APPROPRIATIONS (CONTD,) " . BUDGET BUDGET ACTUAL IrHIS YEAR OFFICERS PRE- . .. LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 1 9 'lli.. 19.]J 19~ 198JL 19~ UNDISTRIBUTED DEBT SERVICE PRINCIPAL I BOND ANTICIPATION NOTES SS9 730.6. SERIAL Boobs SS 9710.6 13,000.00 13,000.00 REVENUE ANTICI- PATION NOTES 5S 977 o. 6 TOTAL SS9899.6 13,000.00 13,000.00 INTEREST BOND ANTICIPATION NOTES 5 S 973 0.7 '--'~'-;"~-'" b .5 59 710-.7 19 538.11 18.840.00 f..N, -AI. >SON . S REVENUE ANTICI- PATION NOTES S59770.7 TOTAL S59899,7 19,538.11 18 840.00 BUDGETARY PROVISIONS I i FOR OTHER USES SS962 t TOTAL SEWER DIST. APPROPRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES ( TRANSFER TOTAL "ADOPTED" TO PAGE 1) 73,477.90 98,525.00 91,641. 00 91,641.00 91,e:.4Loo WILDWOOD S E 'il E R D I 5 T R I C T d-' " ,. . . 48 c ,., L BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE- . LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODe 19 :z.a 19~ 19 .aD. 1 9..a.o. 19~ SEWER RENTS 552120 47,367.40 45,140.00 41,760.00 41,760.00 41,760.00 SEWER CHARGES 552122 I NTERES T AND PENALTIES ON SEWER RENTS SS2128 192.40 200.00 240.00 240.00 240.00 J INTEREST AND EARNINGS S S 240 1 1,540.49 425.00 1,500.00 1,500.00 1,500.00 SALES OF SCRAP AND EXCESS MATERIALS SS2650 MI NOR SALES" I OTHER SS2655 . <oJ. f; INSURANCE RECOV - E R I ES S 52680 OTHER COMPEN- I . SATION FOR LOSS SS2690 i STATE AID FOR \ OPERATION AND MAINTENANCE OF SEWAGE DI.SPOSAL PLANT SS3901 13,210.44 OTHER (SPECIFY) SS - TOTAL SEWER DIST. ESTIMATED REVENUES (TRANS FER , TOTAL "ADOPTED" TO PAGE 1) 98,849.73 45,765.00 43,500.00 43,500.00 43,500.00 UNEXPENDED BALANCE ESTIMATED SEWER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 20,920.00 17,000.00 17,000.00 17,000.00 I SEWER DISTRICT ESTIMATED REVENUES WILDWOOD S EWf:R D T 5 TR I CT ~- . . 49 c " BUDGET BUDGET ) ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LI M I NARY .. YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19B1 19.1l 19..aQ 1 9.ltQ 19 80 " SPECIAL ITEMS TAXES ON SEWER DISTRICT PRCPE RT" CONTRACTUAL EXP. 55 1950 .4 mMINISTRATION IlERSONAL SERVICES SS 8 1 1 0 . 1 1, 577 . 30 EQUIPMENT 5S 8 11 0 . 2 ..- CONTRACTUAL EXP. 558110.4 293.00 1,200.00 1.500.00 1 500.00 , "\0000 TOTAL SS8110.0 1,870.30 1.200.00 1.500.00 1 500.00 ., . "\00' '00 SEWAGE COLLECTING SYSTEM PERSONAL SERVICES SS8120.1 EQUIPMENT ::>S8120.2 CONTRACTUAL EXP. 938120.4 7.556.17 15,075.00 28,600.00 28.600.00 28,600.00 TOTAL ::>S8120.0 7.556.17 15,075.00 28.600.00 28.600.00 28,600.00 SEWAGE TREATMENT I AND DISPOSAL PERSONAL SERVICES ,S8130 .1 EQUIPMENT ,S 8 1 30 . 2 I CONTRACTUAL EXP. ,S 8 1 30 . 4 73.289.26 74,115.00 73,922.00 73.922.00 73.922.00 TOTAL :,S8130 .0 73.289.26 74,115.00 73,922.00 73 922.00 73.922.00 UNDISTRIBUTED EMPLOYEE BENEFITS STATE RETIREMEN1 ~9010.8 57.00 -OCIAL SECURITY ~S 90 30 . 8 10MPENSA T I ON INS. ,S 90 40 . 8 IFE INSURANCE ,S 9 0 4 5 . 8 UNEMPLOYMENT INS. ,S 90 50 . 8 DISABI LITY INS. ::>S9055.8 , HOSPITAL AND MEDICAL INS. 559060.8 TOTAL ,S 9 1 9 9 . 0 57.00 INTERFUND TRANSFERS TRANSFER TO: OTHER FUNDS S599 0 1 .9 (287.428.0C ) (288,692.00 287,074.00 287,074.00 287,074.00 CAPITAL PROJECT FUND SS99 50 .9 20,000.00 20,000.00 20,000.00 20,000.00 TOTAL INTERFUND TRANSFER SS9 6 9 9 . 0 SEWE~ DISTRICT APPROPRIATIONS SEWER IMPROVEMENT #1 SEWER 015 TR I CT . . 47 D j SEWER FUND APPROPRIATIONS (CONTD.) \- BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE-\ . ,. LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19~ 19~ 19JiQ 19 80 1 9 Jill UNDISTRIBUTED DEBT SERVICE PRINCIPAL I BOND ANTICIPATION - . NOTES S S9 730.6. SERIAL BGNDS 5S 9 710..6 106 800.00 114.850.00 REVENUE ANTICI- PATION NOTES 55 977 O. 6 TOTAL 559899.6 106 800.00 114.850.00 INTEREST BOND ANTICIPATION 55 973 0.7 6,844.86 NOTES S~";"'-B~5.;:::' .5 5 9 7 J.U" . 7 173,783.53 173.842.00 REVENUE ANTICI- PATION NOTES 559770.7 TOTAL 559899.7 180,628.29 173.842.00 BUDGETARY PROVISIONS FOR OTHER U5ES 5S962 TOTAL SEWER DIST. APPROPRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES ( TRANSFER TOTAL "ADOPTED" TO 370,211.02 411,096.00 PAGE 1) 404,946.00 411,096.00 411,096.00 SEWER IMPROVEMENT :In SEHER DISTRICT l. II . , 48 D , BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE- . LAST AS TENTATIVE LIMINARY .. YEAR AMENDED BUDGET BUDGET ADOPTED Ar;COUNTS CODe 191]. 1912. 19 80 19 Jill. 19~ S EWER RENTS SS2120 50.815.95 60.000.00 64.824.00 64,824.00 64.824.00 S EWER CHARGES SS2122 1.600.00 700.00 INTEREST AND PENALTIES ON -- f SEWER RENTS SS 2128 511.31 600.00 650.00 650.00 650.00 I .I ., INTEREST AND EARNINGS S S 2401 8,691.32 400.00 400.00 400.00 400.00 SALES OF SCRAP AND EXCESS MATERIALS S S 2650 MINOR SALES, OTHER SS2655 INSURANCE RECOV- ERIES SS2680 OTHER COMPEN- sATIoN FOR LOSS SS 2690 STATE AID FOR OPERATION AND MAINTENANCE OF SEWAGE DJ.S POSAL PLANT S S 3901 22,163.03 OTHER (SPECI FY) SS TOTAL SEWER DIST. - ESTIMATED REVENUES (TRANS FER ..... TOTAL "ADOPTED" TO PAGE 1) 83,781. 61 61,700.00 65,874.00 65,874.00 65,874.00 . ... UNEXPENDED BALANCE ESTIMATED SEWER DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 22,160.00 30,000.00 30,000.00 30,000.00 I SEWER DISTRICT ESTIMATED REVENUES SEWER IMPROVEMENT #l S EW~R D T 5 TR I CT _I ..'.J' j . . 49 D .' , . , , , BUDGET BUDGET , ACTUAL HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 - 19_ 19 - 19 - 19_ so - SO - (TOTAL DRAINAGE DISTRICT ESTI- or' MATED REVENUES (TRANSFER TOTAL "ADOPTED" TO P AG E 1) UNEXPENDED BALANCE ESTIMATED DRAIN- AGE DISTRICT UNEXPENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) DRAINAGE DISTRICT ESTIMATED REVENUES DRAINAGE DISTRICT I),J 51 . BUDGET BUDGET . ACTUAL 'THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19__ 19_ 19 - 19 19_ - REFUSE AND GARBAGE PERSONAL SERVICES S R 8160 .1 EQUIPMENT SR8160.2 -- CONTRACTUAl,. EXQ. SR816o.4 f TOTAL S R 8 1 6 O. 0 EMPLOYEE BENEFITS STATE RETI REMENT SR9010.8 SOCIAL SECURITY SR9030.8 COMPENSATION INS. SR9040.8 LI FE INSURANCE SR9045.8 UNEMPLOYMENT INS. SR9050.~ DISABILITY INS. SR9055.8 HOSPITAL AND MEDICAL INS. SR9060.8 TOTAL S R 9 1 9 9. 0 INTERFUND TRANSFERS TRANSFER TO: OTHER FUNDS S R 99 01.9 CAPITAL PROJECT FUND S R 99 5 0.9 TOTAL SR9699.0 DEBT SERVICE PRINCIPAL BOND ANTICIPATION NOTES SR9'730'g ~UDGET NOTES S R 750. REVENUE ANTICI- PATI ON NOTES S R 9770.6 f TOTAL SR9899.6 ~~~gR~~tICIPATION SR9730.7 NOTES BUDGET NOTES SR9750.7 REVENUE ANTICI- PATION NOTES SR9770.i TOTAL S R 9899 .7 BUDGETARY PROVISIONS FOR OTHER USES SR962 TOTAL REFUSE AND GARBAGE DISTRICT APPROPRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) REFUSE AND GARBAGE DISTRICT APPHOPRIATIONS REFUSE AND GARBAGE DISTRICT 52 ~. REFUSE AND GARBAGE DISTRICT ESTIMATED REVENUES REFUSE AND GARBAGE DISTRICT u . . 1 BUDGET BUDGET , ACTUAl. THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMI NARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS COOL: 19_ 19_ 19 - 19 - 19_ REFUSE AND GARBAGE 4 REMOVAL AND DIS- !. POSAL CHARGES SR 21 30 SR2130 TOTAL REFUSE AND GARBAGE DISTRICT ESTIMATED REVENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) UNEXPENDED BALANCE ESTIMATED REFUSE AND GARBAGE DIST UNEXPENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO jPAGE 1) ~ 53 , BUDGET BUDGET . I ACTUAL THIS YEAR OFFICERS PRE- , LAST AS TENTATIVE LI M I NARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 - 19 - 19 - 19 - 19_ PARKS I PERSONAL SERVICES SP 7 11 0 . 1 EQUIPMENT SP 7 110 . 2 CONTRACTUAL EXP. SP7II0.4 TOTAL pP71l0.0 PLAYGROUNDS AND RECREATION CENTERS PERSONAL SERVICESrp7140.1 EQUIPMENT SP7140.2 CONTRACTUAL EXP.SP7140.~ 1---. ----. TOTAL SP7140.0 - BEACH AND POOL PERSONAL SERVICES SP7I80.1 EQUIPMENT ":JP7180.2 --- CONTRACTUAL EXP. SP 7 1 8 0 . tl ....- TOTAL SP7180.0 _..- MARINA AND DOCKS PERSONAL SERVICES SP 7 2 30 . 1 EQUIPMENT SP7230.2 CONTRACTUAL EXP. SP7230.~ TOTAL SP 7 2 30 . 0 GOLF PERSONAL SERVICES SP 7 2 5 0 . 1 EQUIPMENT ~P7250.2 CONTRACTUAL EXP. SP7250.4 TOTAL SP7250.0 I I SKI FACILITY I =- I PERSONAL SERVICES SP7260.1 EQUIPMENT 5P7260.2 CONTRACTUAL EXP. SP7260.4 TOTAL SP 7 2 6 0 . 0 - , PARK DISTRICT APPROPRIATIONS PARK DISTRICT 54 . t . PARK DISTRICT APPROPRIATIONS (CONTD.) PARK DISTRICT u . BUDGET BUDGET . ACTUAL IrHIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDliET ADOPTED ACCOUNTS CODE 19_ 19_ 19 - 19_ 19_ UNDISTRIBUTED EMPLOYEE BENEFITS pP9010.8 ,TATE RETl REMENT :OCIAL SECURITY ~P9030.8 ~~MPENSATION INS. pP9040.8 , IFE INSURANCE ~P9045.8 UNEMPLOYMENT INS. pP9050.8 01 S AB I LI T Y INS. SP9055.8 HOSPITAL AND MEDICAL INS. pP9060.8 TOTAL ~P9199.0 INTERFUND TRANSFERS TRANSFER TO: OTHER FUNDS pP9901.9 CAPITAL PROJECT FUND pP9950.Q TOTAL INTERFUND TRANSFER pP9699.0 DEBT SERVICE PRIN~IPAL BOND ANTICIPATION NOTES SP 9730.6 BUDGET NOTES P9750.6 REVENUE ANTICI- PATION NOTES P9770.6 TOTAL P9B99.6 'NTEREST .. ND ANTICIPATION SP9730.7 ..OTE,. DGE NOTES :>"P 9 7 5 0 . 7 EVENUE ANTICI- PATION NOTES 5P 9 770 . 7 TOTAL ~P 9 899 . 7 BUDGETARY PROVISIONS FOR OTHER USES ISp 962 TOTAL PARK DIST. APPROPRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 55 . ~ BUDGET BUDGET ACTUAL THIS YEAR OFFICERS PRE- . , LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 - 19 - 19 - 19 - 19_ PARK AND RECRE- ATION CHARGES SP2001 RECREATION CONCESSIONS SP2012 BEACH AND POOL FEES SP2025 STADIUM FEES AND CHARGES SP2030 AUDITORIUM CHARGES SP2035 - MARINA AND DOCKS SP2040 GOLF FEES SP2050 SKI FACILITY CHARGES SP2060 SKATING RINK FEES SP2065 MUSEUM CHARGES S P20 90 INTEREST AND EARNINGS S P 2 401 SALES OF SCRAP AND EXCESS MATERIALS SP2650 MINOR SALES, OTHER SP2655 INSURANCE RECOVERIES SP2680 OTHER COMPEN- sATIoN FOR LOSS S P 2 6 90 OTHER (SPECIFY) SP - - TOTAL PARK DI ST. ESTIMATED REVENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) . UNEXPENDED BALANCE ESTIMATED PARK DISTRICT UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE" 1) PARK DISTRICT ESTIMATED REVENUES PARK DISTRICT o. 56 ~. ~ .. PUBLIC PARKING DISTRICT APPROPRIATIONS PUBLIC PARKING DISTRICT . BUDGET BUDGET .. ACTUAL THIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19 - 19 - 19 - 19 - 19_ OFF STREET PARKIN~ PERSONAL SERVICES ST5650.1 EQUIPMENT 5 T 5650.2 CONTRACTUAL EXP. ST5650.4 TOTAL ST5650.0 ,,~MPLOYEE BENEFI TS 5 T 9 0 1 0 .8 STATE RETI REMENT SOCIAL SECURITY ST9030.8 COMPENSATION INS. ST9040.8 LI FE INSURANCE ST9045.8 UNEMPLOYMENT INS. 5 T 9 0 5 0 .8 DISABILITY INS. ST9055.8 HOSPITAL AND MEDICAL INS. ST9060.8 TOTAL ST9199.0 INTERFUND TRANSFERS TRANSFER TO: OTHER FUNDS ST9901.9 CAPITAL PROJECT FUND ST9950.9 TOTAL INTERFUND TRANSFER 5 T 9 6 9 9 .0 DEBT SERVICE PRINCIPAL BOND ANTICIPATION NOTES 5 T 9 730.6 3UDGET NOTES ST9750.6 .., VENUE ANTICI- PATION NOTES ST9770.E TOTAL ST9899.6 NTEREST BOND ANTICIPATION NOTES ST9730.7 BUDGET NOTES ST9750.7 REVENUE ANTICI- ~ PA TI ON NOTES ST9770.7 TOTAL ST9899.7 BUDGETARY PROVISIONS FOR OTHER USES ST962 TOTAL PUBLIC PARKING DISTRICT APPROPRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) 57 . / I BUDGET BUDGI;T , ACTUAL THIS YEAR OFFICERS PRE- ., LAST AS TI;NTATIVE LIMINA~Y YEAR AMEN()ED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19_ 19 - 19 - 19_ 19_ PARKING LOTS AND GARAGES S T 17 20 S T 17 20 TOTAL PUBLIC PARKING DISTRICT ES TI MATED REVENUES (TRANSFER TOTAL "ADOPTEDi' TO PAGE 1) UNEXPENDED BALANCE ESTIMATED PUBLIC PARKING DISTRICT UNEXPENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) - PUBLIC PARKING DISTRICT ESTIMATED REVENUES PUBLIC PARKING DISTRICT I"'C. ".( ..>, 58 It. r :t ~ DISTRICT APPROPRIATIONS . BUDGET BUDGET " ACTUAL HIS YEAR OFFICERS PRE- LAST AS TENTATIVE LIMINARY YEAR AMENDED BUDGET BUDGET ADOPTED ACCOUNTS CODE 19_ 19 - 19 - 19 19_ - PERSONAL SERVICES SM .1 - EQUIPMENT SM :2 ~ CONTRACTUAL EXP. SM -.4 - TOTAL SM .0 - ~MPLOYEE BENEFITS STATE RETIREMENT SM9010.8 SOCIAL SECURITY SM9030.8 COMPENSATION INS. S M 9 0 4 o. 8 LIFE INSURANCE SM9045.8 UNEMPLOYMENT INS. SM9050.8 DISABILITY INS. S M 9 0 5 5 .8 HOSPITAL AND MEDICAL INS. SM9060.8 TOTAL SM9199.C INTERFUND TRANSFERS TRANSFER TO: , OTHER FUNDS SM99 0 1.9 CAPITAL PROJECT FUND SM99 50.9 TOTAL INTERFUND TRANSFERS SM9699.0 DEBT SERVICE PRINCIPAL BOND ANTICIPATION NOTES SM9730.6 ~ ,BUDGET NOTES SM9750.6 !. ~EVENUE ANTICI- \ iPATION NOTES SM9770.6 ..' TOTAL SM9 8 99.6 INTEREST BOND ANTICIPATION NOTES SM973o.7 BUDGET NOTES SM9750.1 REVENUE ANTICI- PATION NOTES SM9770.7 TOTAL SM9899.7 BUDGETARY PROVISI NS FOR OTHER USES SM962 TOTAL APPRO- PRIATIONS AND BUDGETARY PROVISIONS FOR OTHER USES (TRANSFER TOTAL "ADOPT~D" TO PAGE 1 59 ",....... ACCOUNTS TOTAL ESTIMATED REVENUES (TRANSFER TOTAL "ADOPTED" TO PAGE 1) ESTIMATED UNEX- PENDED BALANCE (TRANSFER TOTAL "ADOPTED" TO PAGE 1) DISTRICT CODE SM SM ESTIMATED REVENUES BUDGET BUDGET HIS YEAR OFFICERS AS TENTATIVE AMENDED BUDGET 19 19 ACTUAL LAST YEAR 19_ UNEXPE DED BALANCE 60 PRE- LIMINARY BUDGET 19 -" ....,. " - , ADOPTED 19_ I{.rar . , ' r .. ), SCHEDULE OF SALARIES OF ELECTED TOWN OFFICERS ) (ARTICLE 8 OF THE TOWN LAW) . · OFFICER 1~79 BUDGET · 17,500.00 1980 Tentative 19,250.00 1980 Preliminary 17,500.00 1980 Adopted 17.500.00 LOUIS D. DIEHL, SUPERVISOR LEIF JENSEN, COUNCILMAN 3,975.00 4,372.00 3,975.00 3.975.00 NICHOLAS JOHNSON, COUNCILMAN 3,975.00 4,372.00 3,975.00 3.975.00 BERNICE MILLS, COUNCILWOMAN 3,975.00 4,372.00 3,975.00 3,975.00 . JANET REILLY, COUNCILWOMAN 3,975.00 4,372.00 3,975.00 3,975.00 'LAINE SNOWDEN, TOWN CLERK 14,125.00 15,537.00 15,538.00 15,538.00 WILLIAM BULGER, JUSTICE 6,286.00 7,230.00 6,286.00 6.286.00 VINCENT FRANCESE, JUSTICE 6,286.00 7,230.00 6,286.00 6,286.00 WILLIAM P. HORTON, SUP'T. HIGHWAYS 18,900.00 20,790.00 20,790.00 20,790.00 '2 61 - ,b.....,~, ..- i TOWN WITH VILLAGE \ . i . . 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 304 Public Health Law) 1 i. Registrar of Vital Statistics, except when combined districts coincide with a consolidated health district (Section 4124, Public Health Law) Library (certain contract payments)(Section 256, Education Law) Zoning and Planning (Section 261, Town Law) (2) Taxes for these services must be levied on the area of the town outside villages under the circumstances set forth below: Police Department (Section 150, Town Law) Town of Fallsburg, and towns in Suffolk County containing villages which maintain police departments with two or more full-time policemen. Department established after January 1, 1960: Town contains a village which maintains a police department of four or more policemen on an annual full-time basis. Department established prior to January 1, 1960: Amounts in accordance with an agreement made between the town and a village within the town which maintains a full-time police department of four or more policemen. Joint Police Department (General Municipal Law, Section l2l-a) Recreation (Article 13, General Municipal Law) , ~~~~i~s~~~ ~~~~~'t~;a~~~~~~~~n~n~fr~~~~~i;O~3c~~t~~: ~ ' General Municipal Law. Refuse and Garbage (Section l20-w, Gen.Mun.Law; Article 12, Town 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 107(2)). 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. 62 I", ~. i;,' .I,