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HomeMy WebLinkAboutAnnual Mtg Feb 20, 1990- Treasurer's Report to the taxpayers.PDFYITTACE OF CAYUEA HEIGHTS AIIIII'AL ilEETIilG lFebruary 20, l9g0 TREASURER'S REPORT TO THE TAXPAYERSSH0l{It{c RITCEIPTS, EXPE}|DITURES, AND INDEB'IIEDI{ESS FOR THE PERIO' June I, l98g through January 31, l99O Respectful ly Submitted, ileffrey A. Silber FUND General Fund i ncl udes: Publjc Safety Reserve Publ i c l,lorks- Reserve - Repajr Reserve Capital Reserve Sewer Fund Water Fund i ncl udes: Water Use Fund Water Improvement (Assesment) Water District (Assessment) Capital Fund GMND TOTAL $480,044 $791,700 $760,172 FUND STATUS EQUITY 5/3t/8e 50,395 162 , 319 7, 105 $699,853 ALL FUNDS RECE I PTS 8 MONTHS EXPENDITURES 8 MONTHS FUND EQU I TY r/3t/e0 $51 1 , 572 ?81 ,07 4 133,927 (85,845) $840,728 478,253 163, 96l 96,455 $ I , 530,369 247 ,564 1 92, 353 lg9,405 $ 1 ,399, 494 Vlllago of Cayuga Hetghts Fund Activity Junc 1989. January 1990 $791,7@ 51.7% -_-- 0478253 s7&J72 y]% Receipb ACTIVITY -- GENERAL FUND RECEI PTS Property Taxes0ther Recejpts Appropriated Surpl us TOTAL EXPENDITURES Judicial Execut i ve Fi nance Staff Shared Services Special Items Pol jce DepartmentFire Department Transportat j on Home and Community Serv.ices Undi stri buted TOTAL RECE I PTS Sewer Rents State Aid 0ther Receipts TOTAL EXPENDITURES Home and Community Service Und i stri buted TOTAL ACTIVITY -- SEI.ITR FUND BUDGET % 40.2% 5t.4% 9.570 100.0% BUDGET $ $473,632 605, 950 1 00, 000 $1,179,592 ACTUAL (8 mos. ) $465,292 326,409 0 $791,700 BUDGET BALANCE $8, 340 279,542 100,000 $387,882 1.4% 0.9% 0.6% 7.3% 3.8% 2.9% 23.6% 10.4% 17.3% r0.4% 21.57, 100.0% $15,550 1 0, 400 7,000 g6,350 45, 400 33,663 279,493 122,290 203,800 122,250 253,396 $1,179,592 $11,995 5, 565 4, 096 63, 136 42,657 2,939 lg2,508 7l ,439 121,034 95, 705 l 5g, 00g $760,t72 $4, 555 3,935 2,914 23,214 2,7 43 30,724 g5, gg5 50,942 92,766 26,545 95,397 $419 , 410 BUDGET % 83.0% 4.6% 12.4% 100.0% BUDGET $ $430,374 24,000 54,030 $518,404 ACTUAL (8 mos. ) $432, 518 l 5, 7lg 30,017 $478,253 $232,647 14,917 $247,564 BUDGET BALANCE ($2,144) 9,292 34,013 $40, I 51 $178,761 92,079 $270,840 79.4% 20.6% t00.0% $4t I ,408 105, 996 $518, 404 Village of Cayuga Heights General Fund (Budgeted Totat) June 1989 - May 1990 $100,000 8.s% I I propertv'raxes ! otner Receipts ffi Village of Cayuga Heights General Fund (Budgeted Total) June 1989 - May i99O $1?2.,280 10.4% $4s,400 3.8% $86,3s0 7.3% $203,800 17.3%, $67,613 5.7% $122,250 10.4% Expenditures I star ! Snareo Services fl potice Dept fi rire Dept $278,493 23.60/o xi-J Transportation il Home & comm svc ir-r- unoistriouted 1 otne, Expenses DEBT POSITION OF.THE VILLAGE OF CAYUGA HEIGHTSAs o1l January 31, 1990 Pri nci pa1 projected uutstandi ng Reti rement Seri al Bonds - - l,later System Impr,ovements Vi1'lage Share of SCLIWC Bonds * Serjal Bonds -- Sewage plant Expansion Statutory Instarment Bond -- Sewage prant Improvement Statutory Installment Bond __ Refuse packer TOTAL BONDS Bond Anticipation Note l9g7_l __ :Sjdewalks Bond Anticipation Note l9g9_l __ :;idewalks * Thjs figure varjes. TOTAL NOTES TOTAL INDEBTEDNESS based in part on system 0 342,295 290, 000 12,025 1 7, 600 661 ,920 50, 000 95, 000 1 45, 000 906,920 I 989 8/15/e6 4/15/s7 s/20/e0 4/r0/el usage. NOTES TO THE ATTACHED STATEMENTS All statements are unaudited, and are based on unaudited informat.ion. The are two major outstanding_lawsui!t gglinst the vilrage of cayugaHeights, c'laitilg_approximalgtr-qt,000,odo. -it is not anticipated that theoutcomes wiil have.a'mate.iai 6ri.i'i-;;-;;; vit"ragg,s financjir position.The suits are based on-iiiuii inuglving i;ierr'to,the v.irlage,s sewagetreatment faci'lity' n simiiir'suit;, i6.-in'imount jn exces! of $1,000,000was di smi ssed bv ttre court Ourl ng tf,i i -veir