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2022 Adopted Budget
Fund Fund Code 2020 Actual 2021 Modified Budget Adopted Budget 2022 Appropriations General A 903,969 1,041,127 1,161,209 Highway DA 370,095 579,582 830,594 General Part‐Town B 165,851 270,098 386,338 Highway Part‐Town DB 266,256 433,615 434,268 Fire SF 231,759 228,783 229,425 Emergency Medical SM 442,630 418,900 415,238 Water District 1 SW1 15,025 17,000 13,000 Water District 2 SW2 635 2,500 1,500 Water District 3 SW3 319,484 337,961 426,589 Water District 4 SW4 982 969 1,133 APPROPRIATIONS TOTAL 2,716,686 3,330,535 3,899,292 Revenues excluding property tax General A 593,129 637,845 748,196 Highway DA 216,827 307,248 538,925 General Part‐Town B 163,068 270,098 386,338 Highway Part‐Town DB 229,457 433,615 434,268 Fire Protection SF always 0 always 0 always 0 Emergency Medical SM 76,666 76,802 75,301 Water District 1 SW1 10,909 14,090 10,000 Water District 2 SW2 1,072 2,500 1,500 Water District 3 SW3 94,517 109,926 194,036 Water District 4 SW4 563 400 500 Subtotal Rev‐excluding property tax 1,386,208 1,852,524 2,389,062 Revenue ‐ property tax General A 393,004 403,282 413,013 General Highway DA 272,334 272,334 291,669 Fire Protection SF 231,759 228,783 229,425 General Part‐Town B always 0 always 0 always 0 Highway Part‐Town DB always 0 always 0 always 0 Emergency Medical SM 332,134 337,116 339,937 Water District 1 SW1 800 2,910 3,000 Water District 2 SW2 ‐‐‐ Water District 3 SW3 227,079 211,482 232,553 Water District 4 SW4 295 569 633 ‐ Subtotal‐ property tax 1,457,405 1,456,476 1,510,230 Revenue ‐ total 2,843,613 3,309,000 3,899,292 2022 Ulysses Budget Summary Page 1 of 14 2022 Ulysses BudgetTax Rate Schedule: Adopted Budget2022 2021 2020Fund Appro‐priations Less Estimated Revenues Fund Balance & Reserves Amount to be Raised by Taxes Total of all Revenues Taxable Assessed Value Implied 2022 Tax Rate $ Per Thousand 2021 Tax Rate $ per Thousand 2020 Tax Rate $ per ThousandTax Rate: % Change from 2021 2021 Levies 2022 Levies Levy: % Change from 2021 GENERAL & HIGHWAYA General1,160,774 497,007 251,189 412,578 1,160,774 555,992,106 0.7421 0.7301 0.7237 1.64%402,847 412,578 2.42%A Lighting435 435435 435 435 0.00%DA Highway830,594 215,632 323,293 291,669 830,594 555,992,106 0.5246 0.4935 0.5018 6.29%272,334 291,669 7.10%B General Part‐Town386,338 238,349 147,989 386,338 DB Highway Part‐Town434,268 361,225 73,043 434,268 Total ‐Town2,812,408 1,312,212 795,514 704,682 2,812,408 1.26661.2236 1.22553.52%675,616 704,682 4.30%FIRE/EMERGENCY MEDICALSF Fire District229,425 229,425 229,425 420,675,510 0.5454 0.5484 0.5814 ‐0.55% 228,783 229,425 0.28%SM Ambulance District415,238 67,077 8,224 339,937 415,238 420,675,510 0.8081 0.8081 0.8332 0.00% 337,116 339,937 0.84%Total ‐ Fire/EMS644,663 67,077 8,224 569,362 644,663 1.35341.3565 1.4146 ‐0.22% 565,899 569,362 0.61%TOTAL A,B,DA, DB, Fire/EMS3,457,071 1,379,289 803,738 1,274,044 3,457,071 2.62012.5801 2.64011.55% 1,241,515 1,274,044 2.62%WATER DISTRICT TAXESUnits2022 tax $/Unit 2021 tax $/Unit* SW Water District 113,000 10,000 ‐ 3,000 13,000 100$30.00266.67*2,910 3,000 3.09%SW Water District 2 1,500 1,500 1,500 ‐‐‐‐‐ SW Water District 3426,589 166,150 27,886 232,553 426,589 378 $615.22 $607.28228,035 232,553 1.98%SW Water District 41,133 500 633 1,133 3$210.84 $95.67569 633 11.16%442,221 178,150 27,886 236,186 442,221 231,514 236,186 2.02%*note that the number of units for WD1 went from 27 in 2020 to 100 in 20212021 Total Levy 2022 Total LevyTOTAL ‐ all 3,899,292 1,557,438 831,624 1,510,230 3,899,292 1,473,029 1,510,230 2.53%tax levy increase in dollars ‐‐‐>37,201$ 2022 2021 % Change1.2666 1.22363.52% A27.319%2022 tax levy cap 1,542,539$ 1.3534 1.3565‐0.22% A LD0.029%2022 tax levy cap as a percentage increase4.72%DA19.313%2022 tax levy cap as a $ increase 69,510$ 2.6201 2.58011.55% SF15.191%2022 tax levy 1,510,230$ SM22.509%% difference 2.1394%WD10.199%$ difference 32,309$ WD315.399%Per 1000 2019 2020 2021 2022WD40.042%Current Budget Model Tax Levy 1,510,230 216.00 581.32$ 570.26$ 557.30$ 565.94$ 100.00%What is still available below cap 32,309$ Year Amount $ Change % Changedollar equivalent of 1% of Ulysses tax cap‐‐‐> 15,425$ 2019 2020 2021 20222011 1,095,574$ dollar equivalent of 1% of Ulysses tax levy‐‐‐>15,102$ 261.25$ 264.71$ 264.30$ 273.60$ 2012 1,099,530$ 3,956$ 0.36%2013 1,120,695$ 21,165$ 1.92%2014 1,179,227$ 58,532$ 5.22%2019 2020 2021 20222015 1,248,429$ 69,203$ 5.87%1,186.90$ 1,187.32$ 1,164.58$ 1,181.16$ 2016 1,298,417$ 49,988$ 4.00%2017 1,338,355$ 39,938$ 3.08%2018 1,378,205$ 39,850$ 2.98%2019 1,404,586$ 26,381$ 1.91%2020 1,456,492$ 51,906$ 3.70%2021 1,473,029$ 16,537$ 1.14%2022 1,510,230$ 37,201$ 2.53%average37,696$ 2.97%TAX RATES% of Tax LevyTax Levy HistoryMedian ($216k) House Inside VillageMedian ($216k) House WD3Fire & EMSTotal Town Tax RateFire & EMS Combined37.700%Individual Tax Bill EstimateMedian ($216k) House Outside of VillageGeneral TownwidePage 2 of 14 Town Councilperson $5,065 annual Town Supervisor $37,440 annual Highway Superintendent $67,460 annual Town Justice 1 $19,629 annual Town Justice 2 $19,629 annual Town Clerk $59,126 annual Town Law §107 requires that salaries of elected officials are included in the tentative and preliminary budget Schedule of Salaries of Elected Officials for the Fiscal Year January 1, 2022 to December 31, 2022 Page 3 of 14 2022 BUDGET ‐ GENERAL FUND 2020 Actual 2021 Modified Budget Tentative Budget 2022 Preliminary Budget 2022 Adopted Budget 2022 Change from 2021 % Change from 2021 Appropriations A1010 ∙ Town Board 1010.1 ∙ Town Board PS 18,884 19,479 20,259 20,259 20,259 780 4.0% 1010.4 ∙ Town Board CE 2,874 2,500 2,500 2,500 2,500 ‐ 0.0% Department Subtotal 21,758 21,979 22,759 22,759 22,759 780 3.5% A1110 ∙ Town Justice 1110.1 ∙ Town Justice 1 18,688 18,874 19,629 19,629 19,629 755 4.0% 1110.11 ∙ Town Justice 2 18,687 18,874 19,629 19,629 19,629 755 4.0% 1110.12 ∙ Town Justice Clerk PS 49,000 49,490 51,470 51,470 51,470 1,980 4.0% 1110.4 ∙ Town Justice CE 1,152 2,010 1,510 1,510 1,510 (500) ‐24.9% Department Subtotal 87,527 89,248 92,238 92,238 92,238 2,990 A1220 ∙ Supervisor Office 1220.1 ∙ Supervisor PS 19,440 26,000 37,440 37,440 37,440 11,440 44.0% 1220.11 ∙ Bookkeeper PS 40,560 34,138 35,504 35,504 35,504 1,366 4.0% 1220.12 ∙ Deputy Super. PS 22,620 8,403 ‐‐‐(8,403) ‐100.0% 1220.131 ∙ Budget Officer PS 22,930 10,000 ‐‐‐(10,000) ‐100.0% 1220.132 ∙ Budget Officer PS 21,848 45,445 45,445 45,445 23,597 108.0% 1220.14 ∙ Super. Proj. Asst. PS 6,240 13,445 ‐‐‐(13,445) ‐100.0% 1220.15 ∙ Secretary to Super. PS 10,800 10,800 10,800 10,800 1220.4 ∙ Supervisor CE 13,716 11,724 11,838 11,838 11,838 114 1.0% Department Subtotal 125,505 125,558 141,027 141,027 141,027 15,469 12.3% A1320.4 ∙ Auditor CE 10,500 6,200 15,000 15,000 15,000 8,800 141.9% A1410 ∙ Town Clerk Office 1410.1 ∙ Town Clerk PS 56,289 56,852 59,126 59,126 59,126 2,274 4.0% 1410.11 ∙ Deputy Clerk PS 31,889 32,456 33,762 33,762 33,762 1,306 4.0% 1410.12 ∙ 2nd Deputy Clerk PS 119 400 400 400 400 ‐ 0.0% 1410.4 ∙ Town Clerk CE 2,390 4,450 4,000 4,000 4,000 (450) ‐10.1% Department Subtotal 90,688 94,158 97,288 97,288 97,288 3,130 3.3% A1420.4 ∙ Attorney CE 23,067 30,000 60,000 60,000 60,000 30,000 100.0% A1440.4 ∙ Engineer CE ‐ 1,000 1,000 1,000 1,000 ‐ 0.0% A1450.4 ∙ Elections CE ‐ 4,000 4,000 4,000 4,000 ‐ 0.0% A1460.4 ∙ Records Mgmt CE 1,338 3,095 12,625 12,625 12,625 9,530 307.9% A1620 ∙ Town Hall 1620.2 ∙ Town Hall EQ and Capita 103,419 12,512 106,000 8,100 8,100 (4,412) ‐35.3% 1620.4 ∙ Town Hall CE 28,105 22,390 27,973 25,873 25,873 3,483 15.6% 1620.41 ∙ EV Charging Station Tow ‐ ‐3,814 3,842 3,842 3,842 A1650.4 ∙ Central Communication C 14,633 16,636 9,271 9,433 9,433 (7,203) ‐43.3% A1670.4 ∙ Printing & Mailing 13,006 10,971 11,894 11,894 11,894 923 8.4% A1910.4 ∙Liability Insurance 24,689 27,195 28,554 28,554 28,554 1,360 5.0% A1920.4 ∙ Municipal Association Due 1,000 1,139 1,142 1,190 1,190 51 4.5% A1990.4 ∙ Contingency Account ‐ 38,240 66,300 66,300 66,300 28,060 73.4% A3510.4 ∙ Dog Control CE 18,134 18,134 18,134 18,134 18,134 ‐ 0.0% A5010 ∙ Highway Superintendent A5010.1 ∙ Hwy. Super. PS 61,810 63,047 67,460 67,460 67,460 4,413 7.0% A5010.4 ∙ Hwy. Super. CE 1,447 2,000 2,330 2,330 2,330 330 16.5% A5132 ∙ Highway Barn 5132.2 ∙ Highway Barn EQ 113 25,000 11,500 11,500 11,500 (13,500) ‐54.0% 5132.4 ∙ Highway Barn CE 19,950 20,060 20,000 20,000 20,000 (60) ‐0.3% 5140.1 ∙ Mowing PS 0 0 1,750 1,750 1,750 1,750 Department Subtotal 83,320 110,107 103,040 103,040 103,040 (7,067) ‐6.4% A5182.4 ∙ Street Lighting CE 1,959 2,350 2,350 2,350 2,350 ‐ 0.0% A5410.4 ∙ Sidewalk CE 540 1,200 1,212 1,212 1,212 12 1.0% A6510.4 ∙ Veterans CE 475 475 475 475 475 ‐ 0.0% A6772.4 ∙ Programs for the Aging CE 6,100 6,100 6,700 6,700 6,700 600 9.8% A7020 ∙ Recreation Program 7020.11 ∙ Rec PS ‐ Director 16,171 20,553 24,163 24,163 24,163 3,610 17.6% 7020.121 . Rec PS ‐ Summer Cam ‐ 48,250 36,000 36,000 36,000 (12,250) ‐25.4% Page 4 of 14 2020 Actual 2021 Modified Budget Tentative Budget 2022 Preliminary Budget 2022 Adopted Budget 2022 Change from 2021 % Change from 2021 7020.122 . Rec PS ‐ Fall Staff 1,534 1,450 2,050 2,050 2,050 600 41.4% 7020.123 . Rec PS ‐ Winter Staff ‐ 3,641 1,500 1,500 1,500 (2,141) ‐58.8% 7020.124 . Rec PS ‐ Spring Staff ‐ 3,749 2,450 2,450 2,450 (1,299) ‐34.6% 7020.125 . Rec PS ‐ Summer Spor ‐ 3,182 1,600 1,600 1,600 (1,582) ‐49.7% 7020.41 . Rec CE ‐ Rec Dir. Suppli 70 4,855 5,155 5,155 5,155 300 6.2% 7020.42 . Rec CE ‐ Programs 5,283 11,550 23,700 23,700 23,700 12,150 105.2% 7020.43 . Rec CE ‐ Adult Commun 1,050 1,550 1,200 1,200 1,200 (350) ‐22.6% Department Subtotal 24,108 98,780 97,818 97,818 97,818 (962) ‐1.0% A7110.4 . Parks CE 8,480 5,500 5,500 5,500 5,500 ‐ 0.0% A7310 ∙ Youth Programs 7310.1 ∙ Youth Programs PS ‐ tee 15,178 13,755 20,015 20,015 20,015 6,260 45.5% 7310.4 ∙ Youth Programs CE 58,714 64,880 64,604 64,604 64,604 (276) ‐0.4% Department Subtotal 73,892 78,635 84,619 84,619 84,619 5,984 7.6% A7410.4 ∙ Library CE 12,500 12,500 12,500 12,500 12,500 ‐ 0.0% A7450.4 ∙ Historical Society CE 700 700 1,000 1,000 1,000 300 42.9% A7510.1 ∙ Historian PS 1,623 1,639 1,705 1,705 1,705 66 4.0% A7510.4 ∙ Historian CE 72 500 500 500 500 ‐ 0.0% A7550.4 ∙ Celebrations CE ‐ 1,000 1,000 1,000 1,000 ‐ 0.0% A7989.4 . Culture CE 3,800 1,900 7,100 7,100 7,100 5,200 273.7% A8030.4 ∙ Stream Research CE 6,312 6,312 6,438 6,438 6,438 126 2.0% A8810.1 ∙ Cemeteries PS ‐ 2,500 1,750 1,750 1,750 (750) ‐30.0% A8810.4 ∙ Cemeteries CE 2,750 ‐2,000 2,000 2,000 2,000 A9000 ∙ Employee Benefits A9010.8 ∙ NYS Retirement 29,810 53,431 41,158 44,361 44,361 (9,070) ‐17.0% A9030.8 ∙ Social Security 29,999 40,611 37,600 37,600 37,600 (3,011) ‐7.4% A9040.8 ∙ Worker's Compensatio 1,646 1,733 1,557 1,557 1,557 (176) ‐10.1% A9050.8 ∙ Unemployment Insura ‐ ‐‐‐‐‐ A9055.8 ∙ Disability & PFL Insura 1,363 2,891 2,879 2,879 2,879 (12) ‐0.4% A9055.81 Long Term Disability 1,914 1,914 1,914 1,914 A9060.8 ∙ Health Insurance 38,465 60,558 48,362 48,362 48,362 (12,196) ‐20.1% A9060.81 ∙ Health Insurance HSA 12,688 12,250 8,750 8,750 8,750 (3,500) ‐28.6% Transfers, Other Funds (ARPA Related) APPROPRIATIONS (not including res 903,969 1,024,127 1,193,132 1,100,387 1,100,387 76,260 7.4% A Fund Reserve Funding A962‐231 Unemp Reserve 5,000 23,506 23,506 23,506 18,506 A962‐232 Retirement Cont Reserve 4,000 11,885 11,885 11,885 7,885 A962‐233 Emp. Bene. Accum. Liab 2,931 2,931 2,931 2,931 A962‐234 Capital Reserve 2,000 20,000 20,000 18,000 A962‐235 Repair Reserve 1,000 (1,000) A962‐237 Tax Stabilization Reserve ‐ A962‐236.21 Asgnd: Rec (parks)‐ A962‐236.22 Asgnd: Rec (TCRec‐pool)1,000 2,500 2,500 2,500 1,500 150.0% A962‐236.23 Asgnd: Rec Village MOU ‐ A962‐236.3 Asgnd: Audit ‐ A962‐236.4 Asgnd: Legal ‐ A962‐236.5 Asgnd: Youth Commission ‐ A962‐236.7 Asgnd: Funding Env't Protections 2,000 (2,000) ‐100.0% A962‐236.8 Asgnd: Cemetery Repair Fund 2,000 (2,000) TOTAL APPROPRIATIONS 903,969 1,041,127 1,233,954 1,161,209 1,161,209 120,082 11.5% Page 5 of 14 2020 Actual 2021 Modified Budget Tentative Budget 2022 Preliminary Budget 2022 Adopted Budget 2022 Change from 2021 % Change from 2021 Revenues A1089 ∙ Other Tax Items 2,684 ‐‐‐ A1090 ∙ Interest/Penalties on RPT 217 2,000 2,000 2,000 2,000 ‐ 0.0% A1120 ∙ Non‐Property Tax Dist by Co 209,135 233,716 158,303 158,303 158,303 (75,413) ‐32.3% A1170 ∙ Franchise Tax 13,531 13,000 12,000 12,000 12,000 (1,000) ‐7.7% A1255 ∙ Clerk's Fees 1,088 600 1,000 1,000 1,000 400 66.7% A1289 ∙ Other General Government ‐ ‐‐‐‐‐ A1550 ∙ Dog Control Fees 130 30 100 100 100 70 233.3% A2001 . Park & Recreation Charges 2,150 99,100 78,880 78,880 78,880 (20,220) ‐20.4% A2089 . Other Culture & Rec Income ‐ ‐‐‐‐‐ A2350 ∙ Youth Services, OG 78,139 44,391 46,218 46,218 46,218 1,827 4.1% A2351 ∙ Rec Services, OG 22,403 23,472 23,472 23,472 1,069 4.8% A2389 ∙ Misc Revenue, OG ‐‐‐‐‐ A2401 ∙ Interest & Earnings 1,513 1,500 1,500 1,500 1,500 ‐ 0.0% A2401CD ∙ Interest & Earnings 264 ‐‐‐‐‐ A2544 ∙ Dog Licenses 9,348 6,000 9,000 9,000 9,000 3,000 50.0% A2610 ∙ Fines & Forfeited Bail 20,339 15,000 15,000 15,000 15,000 ‐ 0.0% A2680 ∙ Insurance Recovery ‐ ‐‐‐‐‐ A2660 ∙ Sales of Real Property ‐ ‐‐‐‐‐ A2701 ∙ Refunds from Prior Years 205 ‐‐‐‐‐ A2705 ∙ Gifts and Donations 1,760 ‐‐‐‐‐ A2706 ∙ Grants From Local Govts ‐ ‐‐‐‐‐ A2750 ∙ AIM Related Payments 33,545 ‐33,545 33,545 33,545 33,545 A2770 ∙ Unclassified Revenue 36 ‐‐‐‐‐ A2801 ∙ Interfund Revenues (WD3&5,772 13,998 10,100 10,100 10,100 (3,898) ‐27.8% A2801 ∙ Interfund Revenues (SW3)‐‐‐‐‐ A2801 ∙ Interfund Revenues (DA)‐‐‐‐‐ A3005 ∙ Mortgage Tax 137,772 90,000 105,889 105,889 105,889 15,889 17.7% A3021 ∙ Court Facilities Grant ‐ 7,489 ‐‐‐(7,489) ‐100.0% A3089 ∙ Revenue ‐ Other State Aid 75,500 ‐‐‐‐‐ A4089 ∙ Federal Aid, Other (ARPA)100,000 ‐‐‐ A5031 ∙ Interfund Transfers (WD3 cl ‐ ‐‐‐‐ A5031 ∙ Interfund Transfers (WD4 cl ‐ ‐‐‐‐ Sub‐Total w/out Reserves or FB 593,129 549,227 597,007 497,007 497,007 (52,220) ‐9.5% A511 ‐ RESERVE APPROPRIATIONS ‐ A231 (A816) Unemployment Reserve ‐ A232 (A827) Retirement Reserve ‐ A233 (A867) Emp Benefits & Acc Liab Reserve ‐ A234 (A878) Capital Reserve ‐ A235 (A882) Repair Reserve ‐ A237 (A880) Tax Stabilization Reserve ‐ A236 (A915) Assigned Funds ‐ A962‐236.21 Asgnd: Rec (parks)‐ A962‐236.22 Asgnd: Rec (TCRec‐pool)‐ A962‐236.23 Asgnd: Rec Village MOU ‐ A962‐236.3 Asgnd: Audit ‐ A962‐236.4 Asgnd: Legal ‐ A962‐236.5 Asgnd: Youth Commission ‐ A962‐236.7 Asgnd: Funding Env't Protections ‐ A962‐236.8 Asgnd: Cemetery Repair Fund ‐ ubtotal of Reserve used as Revenue ‐‐‐‐‐ A599 Appropriated Fund Balance 88,618 223,934 251,189 251,189 162,571 183.5% Subtotal of Reserves and Fund Balan ‐ 88,618 223,934 251,189 251,189 162,571 183.5% Subtotal ‐ All Revenues Excluding Pro 593,129 637,845 820,941 748,196 748,196 110,351 17.3% A1028 ∙ Special Assessments, Ad Va 870 435 435 435 435 ‐ 0.0% A1001Property Tax Revenues 392,134 402,847 412,578 412,578 412,578 9,731 2.4% Total funds to be raised by taxes 393,004 403,282 413,013 413,013 413,013 9,731 TOTAL REVENUES 986,132 1,041,127 1,233,954 1,161,209 1,161,209 120,082 11.5% Page 6 of 14 2022 BUDGET ‐ GENERAL PART‐TOWN FUND (B) 2020 Actual 2021 Modified Budget Tentative Budget 2022 Preliminary Budget 2022 Adopted Budget 2022 Change from 2021 % Change from 2021 Appropriations B1420.4 ∙ Attorney ‐ CE 8,897 30,000 30,000 30,000 30,000 ‐0.0% B1440.4 ∙ Engineering/Consulting CE 1,464 17,500 53,300 53,300 53,300 35,800 204.6% B1990.4 ∙ Contingency Account ‐ 10,000 31,000 31,000 31,000 21,000 B3310.4 ∙ Traffic Control CE ‐ ‐ 280 280 280 280 B3620 ∙ Public Safety Enforcement Officer B3620.1 ∙ Enforcement Officer PS 30,888 36,981 49,856 49,856 49,856 12,875 34.8% B3620.11 ∙ Dep. Enforcement Officer PS 4,300 5,850 6,084 6,084 6,084 234 4.0% B3620.2 ∙ Enforcement Officer EQ ‐ 40,000 ‐‐‐ B3620.4 ∙ Enforcement Officer CE 6,415 13,015 19,515 19,515 19,515 6,500 49.9% Department Subtotal 41,604 55,846 115,455 75,455 75,455 19,609 B8010 ∙ Zoning B8010.1 ∙ Zoning PS 31,500 31,815 33,088 33,088 33,088 1,273 4.0% B8010.4 ∙ Zoning CE 1,032 3,950 3,350 3,350 3,350 (600) ‐15.2% Department Subtotal 32,532 35,765 36,438 36,438 36,438 673 1.9% B8020 ∙ Planning B8020.1 ∙ Planning/Zoning Clerk PS 1,154 1,750 8,653 8,653 8,653 6,903 394.4% B8020.4 ∙ Planning CE 10,932 4,450 3,750 3,750 3,750 (700) ‐15.7% B8021.1 ∙ Planner PS 31,500 31,815 33,088 33,088 33,088 1,273 4.0% B8021.11 ∙ Planning Internship ‐ ‐ 2,400 2,400 2,400 2,400 B8021.4 ∙ Planner CE 1,127 12,050 18,950 18,950 18,950 6,900 57.3% B8021.41 ∙ Planner CE Grant Expenses ‐ ‐ ‐ ‐‐‐ B8790.4 . Gen Natural Resources CE 2,450 3,000 3,573 3,573 3,573 573 19.1% Department Subtotal 47,163 53,065 70,414 70,414 70,414 17,349 B9000 ∙ Employee Benefits B9010.8 ∙ NYS Retirement 12,640 16,559 14,131 14,597 14,597 (1,962) ‐11.8% B9030.8 ∙ Social Security 7,500 9,044 10,205 10,205 10,205 1,161 12.8% B9040.8 ∙ Worker's Compensation 3,214 3,376 3,040 3,040 3,040 (336) ‐10.0% B9055.8 ∙ Disability Insurance 314 370 742 742 742 372 100.5% B9055.81 ∙ LT Disability Insurance ‐ ‐ 627 627 627 627 B9060.8 ∙ Health Insurance 9,023 29,453 41,017 41,017 41,017 11,564 39.3% B9060.81 ∙ HSA employer contribution 1,500 2,520 7,000 7,000 7,000 4,480 177.8% APPROPRIATIONS (not including reserves)165,851 263,498 413,649 374,115 374,115 110,617 42.0% B Fund Reserve Funding & Interfund Transfers 9901.2 Tranf to DA fund ‐ Fuel 600 600 600 600 9950.9 Transf to Capital Projects ‐ ‐ B962‐230 Unemp Reserve 1,000 4,623 4,623 4,623 3,623 B879‐231 Vehicle Reserve 1,000 ‐ 7,000 7,000 6,000 600.0% B962‐232 Capital Reserve ‐ ‐ B962‐234 Emp. Bene & Accum. Liab. 4,600 (4,600) TOTAL APPROPRIATIONS 165,851 270,098 418,872 386,338 386,338 116,240 43.0% Page 7 of 14 2022 BUDGET ‐ GENERAL PART‐TOWN FUND (B) 2020 Actual 2021 Modified Budget Tentative Budget 2022 Preliminary Budget 2022 Adopted Budget 2022 Change from 2021 % Change from 2021 ‐ Revenues B1120 ∙ Non‐Property Tax Dist by County 132,445 142,898 174,249 174,249 174,249 31,351 21.9% B2110 ∙ Zoning Fees 400 1,700 ‐ 500 500 (1,200) ‐70.6% B2115 ∙ Planning Fees 2,700 2,500 ‐ 1,500 1,500 (1,000) ‐40.0% B2401 ∙ Interest & Earnings 488 500 500 500 500 ‐0.0% B2401CD ∙ Interest & Earnings 104 ‐ ‐ ‐‐‐ B2555 ∙ Building Permits 22,542 20,000 20,000 20,000 20,000 ‐0.0% B2590 . Other Permits, B Fund 1,462 1,600 1,600 1,600 1,600 ‐0.0% B2665 ∙ Equipment Sales ‐ ‐ 15,000 ‐‐‐ B2701 ∙ Refunds of Prior Year Expenditures 901 ‐ ‐ ‐ B3902 ∙ State Aid, Planning Studies 2,025 ‐ ‐ ‐ B4089 ∙ Federal Aid, Other (ARPA)40,000 40,000 40,000 40,000 B5031 ∙ Interfund Transfers ‐ ‐ ‐ ‐ Sub‐total w/out Reserves or FB 163,068 169,198 251,349 238,349 238,349 69,151 40.9% B511 ‐ RESERVE APPROPRIATIONS ‐ B230 (B815) Unemployment Reserve ‐ B231 (B879) Capital Reserve (Type: Vehicle)11,000 ‐‐‐ B232 (B878) Capital Reserve 20,000 20,300 20,300 20,300 300 B234 (B867) Emp Benefits & Acc Liab Reserve ‐ Subtotal of Reserve used as Revenue ‐ 20,000 31,300 20,300 20,300 300 B059 Appropriated Fund Balance 80,900 136,223 127,689 127,689 46,789 57.8% Subtotal of Reserves and Fund Balance ‐ 100,900 167,523 147,989 147,989 47,089 46.7% TOTAL REVENUES 163,068 270,098 418,872 386,338 386,338 116,240 43.0% Page 8 of 14 2022 BUDGET ‐ HIGHWAY FUND (DA) 2020 Actual 2021 Modified Budget Tentative Budget 2022 Preliminary Budget 2022 Adopted Budget 2022 Change from 2021 % Change from 2021 Appropriations DA5020 ∙ Engineering CE ‐ ‐ 4,000 4,000 4,000 4,000 DA5120 ∙ Maintenance of Bridges 5120.1 ∙ Maintenance of Bridges PS ‐ 5,000 5,000 5,000 5,000 ‐ 0.0% 5120.4 ∙ Maintenance of Bridges CE ‐ 11,000 10,000 10,000 10,000 (1,000) ‐9.1% DA5130 ∙ Machinery 5130.1 ∙ Machinery PS 55,945 60,000 40,700 40,700 40,700 (19,300) ‐32.2% 5130.2 ∙ Machinery EQ 40,944 72,500 297,684 297,684 297,684 225,184 310.6% 5130.4 ∙ Machinery CE 46,800 60,000 60,000 60,000 60,000 ‐ 0.0% DA5140 ∙ Brush & Weeds 5140.1 ∙ Brush & Weeds PS 14,352 13,800 25,000 25,000 25,000 11,200 81.2% 5140.4 ∙ Brush & Weeds CE 646 7,000 8,780 8,780 8,780 1,780 25.4% DA5142 ∙ Snow Removal 5142.1 ∙ Snow Removal PS 8,859 22,700 22,700 22,700 22,700 ‐ 0.0% 5142.4 ∙ Snow Removal CE 64,575 88,000 88,000 88,000 88,000 ‐ 0.0% DA5148 ∙ Highway Services, Other Gov'ts 5148.1 ∙ Snow Removal OG ‐ PS 8,859 22,700 22,700 22,700 22,700 ‐ 0.0% 5148.4 ∙ Snow Removal OG ‐ CE 64,575 88,000 88,000 88,000 88,000 ‐ 0.0% DA8989 ∙ Misc Home & Comm Serv 8989.1 ∙ Misc Home & Comm Serv ‐ PS ‐ 2,390 2,000 2,000 2,000 (390) ‐16.3% DA9000 ∙ Employee Benefits 9010.8 ∙ State Retirement 16,376 22,431 17,132 19,463 19,463 (2,968) ‐13.2% 9030.8 ∙ Social Security 6,563 10,503 9,425 9,425 9,425 (1,078) ‐10.3% 9040.8 ∙ Workers Compensation 4,755 4,993 4,496 4,496 4,496 (497) ‐10.0% 9050.8 ∙ Unemployment Insurance 255 500 ‐ ‐ ‐ (500) ‐100.0% 9055.8 ∙ Disability Insurance 387 523 867 867 867 344 65.8% 9055.81 ∙ LT Disability Insurance ‐ ‐ 762 762 762 762 9060.8 ∙ Health Insurance 33,314 40,979 42,174 42,174 42,174 1,195 2.9% 9060.81 ∙ Health Insurance HSA employe 2,891 6,563 5,470 5,470 5,470 (1,093) ‐16.7% APPROPRIATIONS (not including reserves)370,095 539,582 754,890 757,221 757,221 217,639 40.3% DA Fund Reserve Funding DA962‐231 Snow & Ice Reserve 12,373 12,373 12,373 12,373 DA962‐232 Bridge Reserve (includes culverts)20,000 61,000 61,000 61,000 41,000 205.0% DA962‐233 Capital Equip Reserve 20,000 ‐ (20,000) TOTAL APPROPRIATIONS 370,095 579,582 828,263 830,594 830,594 251,012 43.3% REVENUES DA1120 ∙ Non‐Property Tax Dist by County 139,423 68,905 125,925 125,925 125,925 57,020 82.8% DA2302 ∙ Services ‐ Other Governments 75,211 65,073 78,607 78,607 78,607 13,534 20.8% DA2401 ∙ Interest & Earnings 1,712 1,000 ‐ ‐ ‐ (1,000) ‐100% DA2401CD ∙ Interest & Earnings 481 ‐ ‐ ‐ ‐ ‐ DA2650 ∙ Sales of Scrap ‐ ‐ ‐ ‐ ‐ ‐ DA2665 ∙ Equipment Sales ‐ 10,000 10,500 10,500 10,500 500 5.0% DA2680 ∙ Insurance Recoveries ‐ ‐ ‐ ‐ ‐ DA2770 ∙ Unclassified Revenues ‐ ‐ ‐ ‐ ‐ DA3960 ∙ State ER Disaster Assistance ‐ ‐ ‐ ‐ ‐ DA4960 ∙ Fed ER Disaster Assistance ‐ ‐ ‐ ‐ ‐ DA5031 ∙ Interfund Transfer: B fund (fuel)‐ 600 600 600 600 Subtotal Rev. w/out Reserve or FB 216,827 144,978 215,632 215,632 215,632 70,654 48.7% DA511 ‐ RESERVE APPROPRIATIONS ‐ DA231 (DA882) Snow & Ice Repair Reserve ‐ ‐ ‐ ‐ DA232 (DA882.1) Bridge Repair Reserve ‐ ‐ ‐ DA233 (DA878) Capital Equipment Reserve 73,293 73,293 73,293 73,293 Subtotal of Reserve used as Revenue ‐ ‐ 73,293 73,293 73,293 73,293 DA0599Appropriated Fund Balance 162,270 250,000 250,000 250,000 87,730 54.1% Subtotal of Reserves and Approp. Fund Bal ‐ 162,270 323,293 323,293 323,293 161,023 99.2% Subtotal ‐ All Revenues Excluding Property T 216,827 307,248 538,925 538,925 538,925 231,677 75.4% DA1001 ∙ Real Property Tax 272,334 272,334 289,338 291,669 291,669 19,335 7.1% TOTAL REVENUES 489,161 579,582 828,263 830,594 830,594 251,012 43.3% Page 9 of 14 2022 BUDGET ‐ HIGHWAY PART‐TOWN FUND (DB) 2020 Actual 2021 Modified Budget Tentative Budget 2022 Preliminary Budget 2022 Adopted Budget 2022 Change from 2021 % Change from 2021 Appropriations DB5110 ∙ Highway Maintenance 5110.1 ∙ Highway Maintenance PS 93,035 88,000 89,440 89,440 89,440 1,440 1.6% 5110.4 ∙ Highway Maintenance CE 45,466 50,000 70,000 70,000 70,000 20,000 40.0% DB5112.2 ∙ Highway Capital Improvement 81,283 217,165 169,628 169,628 169,628 (47,537) ‐21.9% DB9010 ∙ Employee Benefits 9010.8 ∙ State Retirement 9,825 13,459 10,279 11,678 11,678 (1,781) ‐13.2% 9030.8 ∙ Social Security 6,997 7,454 6,887 6,887 6,887 (567) ‐7.6% 9040.8 ∙ Workers Compensation 7,902 8,297 7,473 7,473 7,473 (824) ‐9.9% 9050.8 ∙ Unemployment Insurance 154 ‐ ‐ ‐ ‐ ‐ 9055.8 ∙ Disability Insurance 232 314 520 520 520 206 65.6% 9055.81 ∙ LT Disability Insurance 457 457 457 457 9060.8 ∙Health Insurance 19,628 24,588 25,304 25,304 25,304 716 2.9% 9060.81 ∙ Health Insurance HSA employer con 1,734 3,938 3,281 3,281 3,281 (657) ‐16.7% APPROPRIATIONS (not including reserves)266,256 413,215 383,269 384,668 384,668 (28,547) ‐6.9% DB Fund Reserve Funding DB962‐230 Capital Reserve 10,000 10,000 10,000 10,000 New! DB Repair Reserve 20,400 39,600 39,600 39,600 19,200 94.1% TOTAL APPROPRIATIONS 266,256 433,615 432,869 434,268 434,268 653 0.2% ‐ Revenues ‐ DB1120 ∙ Non‐Property Tax Dist by County 147,382 61,241 190,967 190,967 190,967 129,726 211.8% DB2401 ∙ Interest & Earnings 714 1,008 ‐ ‐ ‐ (1,008) ‐100.0% DB2401CD ∙ Interest & Earnings 79 ‐ ‐ ‐ ‐ ‐ DB2701 ∙ Refunds from Prior Years ‐ ‐ ‐ ‐ DB3501 ∙ NYS CHIPS (PAVE‐NY, EWR)81,283 217,165 169,628 169,628 169,628 (47,537) ‐21.9% DB5600 ‐ Fuel Reimbursement 600 630 630 630 30 Subtotal Revenues w/out Reserves or FB 229,457 280,014 361,225 361,225 361,225 81,211 29.0% DB511 ‐ RESERVE APPROPRIATIONS ‐ DB230 (DB878) Capital Reserve ‐ DB231 (DB879) Repair Reserve ‐ DB0511 ∙ Appropriated Capital Reserve ‐ DB0599 . Appropriated Fund Balance 153,600 71,644 73,043 73,043 (80,557) ‐52.4% Subtotal of Reserves & Fund Balance ‐ 153,601 71,644 73,043 73,043 (80,558) ‐52.4% TOTAL REVENUES 229,457 433,615 432,869 434,268 434,268 653 0.2% Page 10 of 14 2022 BUDGET ‐ FIRE PROTECTION and EMERGENCY MEDICAL SERVICES 2020 Actual 2021 Modified Budget Tentative Budget 2022 Preliminary Budget 2022 Adopted Budget 2022 Change from 2021 % Change from 2021 FIRE BUDGET (SF Fund) Appropriations SF3410.4 ∙ Fire Protection CE 231,759 228,783 229,425 229,425 229,425 642 0.28% Revenues SF1001 ∙ Real Property Tax (fire) 231,759 228,783 229,425 229,425 229,425 642 0.28% EMS BUDGET (SM Fund) Appropriations SM4540.4 . Ambulance CE 442,630 418,900 415,238 415,238 415,238 (3,662) ‐0.87% Revenues SM1289 Ambulance Billing Revenue 76,375 76,802 67,077 67,077 67,077 (9,725) ‐12.66% SM2401 Interest 291 ‐ ‐ Sub‐Total 76,666 76,802 67,077 67,077 67,077 (9,725) ‐12.66% Fund Balance 4,982 8,224 8,224 8,224 3,242 65.07% Sub‐total without Prop. Tax. 81,784 75,301 75,301 75,301 (6,483) SM1001 . Real Property Tax (EMS) 332,134 337,116 339,937 339,937 339,937 2,821 0.84% TOTAL Revenue 408,800 418,900 415,238 415,238 415,238 (3,662) ‐0.87% Page 11 of 14 2022 BUDGET ‐ WATER DISTRICT 1,2 & 4 FUNDS 2020 Actual 2021 Modified Budget 2021 YTD at 8/31/21 Tentative Budget 2022 Preliminary Budget 2022 Adopted Budget 2022 Change from 2021 % Change from 2021 WATER DISTRICT 1 (CARS / Rt. 227) Appropriations SW1‐1420.4 Attorney CE 3,324 ‐‐ ‐ SW1‐8320.4 ∙ WD1 Water Purchases 11,701 14,000 3,185 10,000 10,000 10,000 (4,000) ‐28.6% SW1‐8340.4 ∙ WD1 Trans/Dist CE ‐ ‐‐ ‐ 0.0% SW1‐962‐230 Repair Reserve ‐ 3,000 ‐ 3,000 3,000 3,000 ‐ 0.0% TOTAL APPROPRIATIONS 15,025 17,000 3,185 13,000 13,000 13,000 (4,000) ‐23.5% Revenues SW1‐2140 ∙ WD1 Metered Water Sales 10,905 14,000 4,105 10,000 10,000 10,000 (4,000) ‐28.6% SW1‐2401 ∙ Interest/Earnings ‐ ‐‐ ‐ SW1‐2401CD ∙ Interest/Earnings 3 ‐ 27 ‐ SW1‐2770 ∙ Utility Fee Related Billing ‐ 90 ‐ (90) SW1‐230 (SW1‐882) Repair Reserve ‐ ‐‐ ‐ SW1‐1001 ‐ WD1 Special Assessment 800 2,910 2,910 3,000 3,000 3,000 90 TOTAL REVENUES 11,709 17,000 7,042 13,000 13,000 13,000 (4,000) ‐23.5% ‐‐ 2020 Actual 2021 Modified Budget 2021 YTD at 8/31/21 Tentative Budget 2022 Preliminary Budget 2022 Adopted Budget 2022 Change from 2021 % Change from 2021 WATER DISTRICT 2 FUND (Shur Save) Appropriations SW2‐8320.4 ∙ WD2 Water Purchases ‐ ‐‐ 1,500 1,500 1,500 1,500 #DIV/0! SW2‐962‐230 Repair Reserve 635 2,500 238 (2,500) TOTAL APPROPRIATIONS 635 2,500 238 1,500 1,500 1,500 (1,000) ‐40.0% Revenues SW2‐2140 ∙ Metered Water Sales 1,068 2,500 331 1,500 1,500 1,500 (1,000) ‐40.0% SW2‐2401 ∙ Interest/Earnings 4 ‐‐ ‐ SW2‐2401CD ∙ Interest/Earnings 0 ‐ 2 ‐ SW2‐1001 ∙ WD2‐ Special Assessmnt ‐ ‐‐ ‐ ‐ TOTAL REVENUES 1,072 2,500 333 1,500 1,500 1,500 (1,000) ‐40.0% ‐ 2020 Actual 2021 Modified Budget 2021 YTD at 8/31/21 Tentative Budget 2022 Preliminary Budget 2022 Adopted Budget 2022 Change from 2021 % Change from 2021 2022 BUDGET ‐ WATER DISTRICT 4 (Dubois Road) Appropriations SW4‐8310.4 ∙ Water Admin (Transfer to A fu ‐ 569 ‐ 633 633 633 64 11% SW4‐8320.4 ∙ Water Purchases 695 400 296 500 500 500 100 25.0% SW4 Fund/Reserve Funding ‐ SW4‐9901.9 ∙ Trans to Other Funds (Admin t 287 ‐‐ ‐ SW4‐9901.91 Trans to Othr Funds (Admin to 0‐‐ ‐ SW4‐962‐230 Repair Reserve ‐ ‐‐ ‐ TOTAL APPROPRIATIONS 982 969 296 1,133 1,133 1,133 164 16.9% Revenues SW4‐2140 ∙ Metered Water Sales 545 400 235 500 500 500 100 25.0% SW4‐2148 ∙ Interest/Penalties on Water Chg 14 ‐‐ ‐ SW4‐2401CD ∙ Interest/Earnings 3‐12 ‐ SW4‐2401 ∙ Interest/Earnings 2‐‐ ‐ SW4‐1030 ∙ Special Assessments 295 569 569 633 633 633 64 TOTAL REVENUES 858 969 816 1,133 1,133 1,133 164 16.9% Page 12 of 14 2022 BUDGET ‐ WATER DISTRICT 3 FUND 2020 Actual 2021 Modified Budget Tentative Budget 2022 Preliminary Budget 2022 Adopted Budget 2022 Change from 2021 % Change from 2021 Appropriations SW3‐1420.4 ∙ Attorney CE 1,000 1,000 1,000 1,000 SW3‐1990.4 Contingency 6,000 6,000 6,000 6,000 SW3‐8310 ∙ Water Administration ‐ ‐0 ‐ SW3‐8310.2 ∙ Water Admin EQ ‐ ‐ ‐ ‐‐ ‐ SW3‐8310.4 ∙ Water Admin CE 300 9,698 12,100 12,100 12,100 2,402 24.8% SW3‐8320.4 ∙ Water Purchases 101,595 85,698 86,643 86,643 86,643 945 1.1% SW3‐8320.41 ∙ Water Purchases Loss ‐ 17,553 17,746 17,746 17,746 193 1.1% SW3‐8330 ∙ Water Purification, EQ & Ca ‐ ‐ ‐ ‐‐ ‐ SW3‐8330.2 . Water Purifi, EQ ‐ 6,000 6,000 6,000 6,000 SW3‐8330.4 . Water Purif CE ‐ 3,200 ‐ ‐‐ (3,200) ‐100.0% SW3‐8330.41 ∙ Aerator Warranty ‐ SW3‐8330.44 ∙ Supplies ‐ 1,700 1,700 1,700 1,700 SW3‐8330.49 ∙ WP Engineering ‐ ‐ 2,500 2,500 2,500 2,500 SW3‐8340 ∙ Water Transport & Distribution ‐‐ SW3‐8340.1 . Water District Operato 16,834 15,703 16,338 16,338 16,338 635 4.0% SW3‐8340.11 ∙ WD3 Laborer 423 1,000 1,000 1,000 1,000 ‐0.0% SW3‐8340.2 ∙ WD3 Trans/Dist EQ 2,553 5,731 49,350 49,350 49,350 43,619 761.2% SW3‐8340.4 ∙ WD3 Trans/Dist CE 19,584 3,680 16.8% SW3‐8340.41 ∙ General ‐ ‐ 1,000 1,000 1,000 1,000 SW3‐8340.42 ∙ Testing 5,580 5,580 5,580 5,580 ‐ SW3‐8340.43 ∙ Internet & Communications 4,080 2,796 2,796 2,796 (1,284) SW3‐8340.44 ∙ Supplies 4,204 ‐ ‐‐ (4,204) SW3‐8340.45 ∙ Training & Dues 1,200 1,528 1,528 1,528 328 SW3‐8340.46 ∙ Truck Maintenance 400 1,000 1,000 1,000 600 SW3‐8340.47 ∙ Bolton Point Services 857 3,379 3,379 3,379 2,522 SW3‐8340.48 ∙ Watermain breaks 5,000 5,250 5,250 5,250 250 SW3‐8340.49 ∙ Trans & Dist Engineering 533 5,000 5,000 5,000 4,467 SW3‐9000 ∙ WD3 Employee Benefits ‐ ‐‐ ‐ SW3‐9010.8 ∙ WD3 NYS Retirement 2,807 4,378 2,140 2,827 2,827 (1,551) ‐35.4% SW3‐9030.83 ∙ WD3 Social Security 1,320 2,019 1,339 1,339 1,339 (680) ‐33.7% SW3‐9040.83 ∙ WD3 Worker Compen 1,403 1,475 1,337 1,337 1,337 (138) ‐9.4% SW3‐9055.8 ∙ WD3 Disability Insuran ‐ 100 ‐ ‐‐ (100) SW3‐9710.6 ∙ Debt Repayment 147,000 150,000 153,000 153,000 153,000 3,000 2.0% SW3‐9710.6 ∙ Interfund Loan Debt Repayment 16,553 16,553 16,553 16,553 ‐0.0% APPROPRIATIONS (not including reserv 293,819 334,961 400,279 400,966 400,966 66,005 SW3‐9901.9 ∙ Trans Other Funds 25,665 ‐‐ ‐ SW3‐962‐230 Repair Reserve 2,500 ‐ ‐‐ (2,500) 2021 New EQ reserve ‐ water truck 500 3,625 3,625 3,625 3,125 625.0% New! Capital Reserve ‐ 21,998 21,998 21,998 TOTAL APPROPRIATIONS 319,484 337,961 403,904 426,589 426,589 88,628 26.2% Revenues SW3‐2140 ∙ Metered Water Sales 86,923 100,266 100,000 100,000 100,000 (266) ‐0.3% SW3‐2141 ∙ Misc Rev OG Water Sales ‐ 2,984 2,500 2,500 2,500 (484) SW3‐2144 ∙ Water Service Charges 1,791 900 900 900 900 ‐0.0% SW3‐2145 ∙ ODU Water Service Charges 5,000 5,000 5,000 5,000 SW3‐2148 ∙ Interest/Penalties on Wate 1,871 1,200 1,200 1,500 1,500 300 25.0% SW3‐2389 ∙ Misc Rev OG Water Sales ‐ ‐ ‐ SW3‐2401 ∙ Interest/Earnings Water D 315 ‐ ‐ ‐ SW3‐2401CD ∙ Interest/Earnings Wate 11 ‐ ‐ ‐ SW3‐2590 ∙ Other Permits 735 720 720 720 720 ‐0.0% SW3‐2680 ∙ Insurance Recovery 2,691 ‐ ‐ ‐ SW3‐2690 Other Compensation for Loss ‐ ‐ SW3‐2770 ∙ Unclassified Revenue ‐ ‐ SW3‐2801 ∙ Interfund Revenue 180 180 180 180 180 ‐0.0% Page 13 of 14 2022 BUDGET ‐ WATER DISTRICT 3 FUND 2020 Actual 2021 Modified Budget Tentative Budget 2022 Preliminary Budget 2022 Adopted Budget 2022 Change from 2021 % Change from 2021 SW3‐4089 Federal Aid, Other (ARPA funds)55,350 55,350 55,350 55,350 SW3‐5031 ∙ Water Dist Interfund Transfer (from SW4)‐ Subtotal 94,517 106,250 165,850 166,150 166,150 59,900 56.4% SW3‐511 ‐ RESERVE APPROPRIATIONS ‐ SW3‐230 (SW3‐882) Repair Reserve ‐ SW3‐231 (SW3‐883) Equipment Reserve ‐ SW3‐599 ∙ Appropriated Fund Balance 3,676 5,501 27,886 27,886 24,210 658.6% Subtotal of Reserves and Fund Balan ‐ 3,676 5,501 27,886 27,886 24,210 659% Subtotal ‐ All Revenues Excluding Prope 94,517 109,926 171,351 194,036 194,036 84,110 77% FUNDS TO BE RAISED BY TAXES SW3‐1028 ∙ Special Assess, (Water)147,000 150,000 153,000 153,000 153,000 3,000 2.0% SW3‐1028 ∙ Special Assess, (Water)16,553 16,553 16,553 16,553 ‐0.0% SW3‐1030 ∙ Special Assessments Wate 80,079 61,482 63,000 63,000 63,000 1,518 2.5% Subtotal 227,079 228,035 232,553 232,553 232,553 4,518 1.98% TOTAL REVENUES 321,596 337,961 403,904 426,589 426,589 88,628 26.2% Page 14 of 14