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HomeMy WebLinkAbout1970-10-02 73 L:aT r I 5'vr.,, Yn;l tv l @ 4 4 i� �� ::naf;. October 2nd , 1970 ,ti " ,1 7.. ,.r' : Supervisor McCord called the special meeting of the Town Board to order at 7 : 05 P . M . Present were Supervisor McCord , Councilmen Gridley , Tarr , Cotterill' Webb . Also present were Richard C . Case , , 11 Highway Superintendent , Joan Wallenbeck , Secretary to the Supervisor . , � "1 4'1 ' 1 �. RESOLUTION # 135 - ADOPT PRELIMINARY BUDGET `* ;.: Councilman Gridley offered the following resolution and asked its adoption . RESOLVED that the Preliminary Budget for 1971 be adopted by this Town Board and placed on file in the Clerk ' s Office for viewing by the public between the hours of Monday - Friday and from 9 : 00 A . M .A . N1 , to 3 : 00 P . M . , y y • 9 : 00 A . M . to 12 : 00 noon on Saturdays . 2nd Councilman Cotterill Roll call vote - all voting YES Meeting was adjourned at 9 : 00 P . M . ' . ; < 4 - Charles G . McCord , Supervisor Joan Wallenbeck , Acting Sec . • I MMEMMEMO . 4 PUBLIC HEARING . October 13 , 1970 IIIII Supervisor McCord called the Public Hearing to order at 7 : 0 " P . M . Present were Supervisor McCord , Councilmen Gridley , Cotterill , Tarr and Webb , Zoning Officer Stewart and Attorney Amdur . Supervisor McCord reported that the purpose of this Hearing as for the application of Keith Lamphear of 501 North Tioga Street , Itha a , New York , " for a Special Permit as required by Sec . 902 , No . 1 of the Town Zoning Ordinance to operate a retail establishment by selling swimming pools at the corner of Route 13 and Johnson Road . At this time Supervisor McCord opened the hearing for any qu : stions or comments re Mr . Lamphear ' s request for a special permit . Cou Gilman Cotterill asked Mr . Lamphear about his plans . Mr . Lamphear r = plied that the lot is 161x293 . A retail store will be built at a later ' ate nut for • n ow he plans to use a mobil . home for his residence and office . The size of the building will be 32x32 . He has complied with the setba ks . He presented the plans to the Board with one correction , the mobil home location will be changed from east -west location to north - sou h location . The size of the swimming pool will be 16x32 . He also reported that there w ill be one in -ground pool and a couple above ground pools sei up for display . Supervisor McCord reported that the mobil home is an allowed use w ithout a permit and the business is an allowed use with a permit . Mr . Avery and another resident from Yellow Barn Road opposed commercial development in this area and requested that the Board keep th _ t in mind if they make changes in the zoning ordinance . RESOLUTION # 136 & TABLE LAMPHEAR DECISION Councilman Cotterill offered the following resolution and asked its adoption . RESOLVED that this Board table the Lamphear request for a spec al permit and make a decision at a later time . 2nd Councilman Gridley Carried Adjourned Public Hearing 7 : 25 P . M . BOARD MEETING October 13 , 1970 The regular Monthly Board Meeting was called to order by Supery sor McCord at 7 : 30 P . M . at Dryden Town Hall . Present were Supervisor McCord , Councilmen Gridley , Cotterill , Tarr and Webb , Attorney Amdur and Zoning Oflicer Stewart . Also present were members of the Village Board and members of t e Drug Council and citizens of the town . Supervisor McCord opened the Meeting with the Pledge Allegiance to the Flag . Supervisor McCord asked the Town Board if there were any corrections or additions to the September 8th Board Meeting, 1qutes . Being non - the minutes were approved as sent out . Council g *Rorted that the Minutes a few months back were not approved and it was , therefore , requested if there were any corrections or additions to the July 14th Board Meeting • Minutes . . RESOLUTION # 137 JULY MINUTES Councilman Gridley offered the following resolution and asked it -- adoption . , : . . .. RESOLVED that the July 14 , 1970 , Board Meeting Minutes be approv - d as sent out . 2nd Councilman Cotterill Carried CITIZENS PRIVILEGE OF THE FLOOR Mrs . King from Etna wanted to know if the Town had heard anything about the request for reducing the speed limit on Upper and Lower Creek Roads in Etna . Supervisor McCord reported that the request had been filed with the Department of Transportation in March and we have heard nothing since . He promised to follow this up and write a letter to Mrs . King informing her of his findings . Supervisor McCord said these things take time and it would not do any good to file another request . r . . STANDING COMMITTEES Buildings & Grounds : Nothing to report this month . Sanitation & Refuse : Councilman Cotterill felt that the hours at the • County Landfill Site on Caswell Road is unsatisfactory for most people , particularly on Saturday when the landfill site is open from 7AM- 12 noon . He recommended that it sould be open from 9 AM to 2 or 3 PM . According unto him , he does not think they are really catering to the citizens by opening up at 7 : 00 in the morning . He suggested that this recommendation be passed on to our County Representatives and Supervisor McCord said that he would take care of this . Public Relations : Nothing to report this month , RESOLUTION # 1386 PURCHASE 3 -D COPY MACHINE Councilman Gridley offered the following resolution and asked its adoption . RESOLVED that this Board authorize the purchase of a 3 - D Copy Machine from Photo Copy Supply Company at a price of $ 895 . 50 . A retainer fee of $ 95 . 50 payable upon delivery and the balance of $ 800 . 00 to be paid in 90 days . 2nd Councilman Cotterill Roll call vote - all YES ATTORNEY Attorney Amdur reported that she had the deeds of the Periculium Corporation to the Town of Dryden for the acceptance of town roads , as follows : Hickory Road , Lone Oak Road , Hickory Circle , Woodlawn Terrace and an extension of - Sunny Slope Road . She reported that these roads had been approved by the Planning Board and Superintendent Case . Mrs . Ambrose reported that there is 7600 lin . feet of roads . These roads are near Ellis Hollow Creek Rd . RESOLUTION # 1390 ACCEPTANCE OF ROADS OF THE PERICULIUM CORP . Councilman Cotterill offered the following resolution and asked its adoption . RESOLVED that this Board accept the following as town roads , Hickory Road , Lone Oak Road , Hickory Circle , Woodlawn Terrace and extension of Sunny Slope Road . 2nd Councilman Tarr Carried DRUG COUNCIL Supervisor McCord introduced Lawrence Rivkin ; Chairman of the Dryden Drug Council and asked that Mr . Rivkin bring us up to date . Mr . Rivkin reported that the name of the organization is " Town of Dryden Council for Prevention of Drug Abuse " . He explained that their primary emphasis will be on prevention of abuse . For this reason , they felt that narcotics should not be mentioned in the name of the organization , because there is not a narcotic ', problem in Dryden as yet and hopesthere never will be . They want the youngsters to approach them and they want to be approachable . He then introduced members of the Council , as follows : Leonard Snow , Attorney ; Edgar Amdur , Phycologist ; Anthannette Young , representative from George Junior. Republic ; Janet Graham , Secretary ; Ray Gridley , representative from Dryden High School ; ( arrived late ) ; Dr ., Walter Baurle , Physician ( arrived late ) and Rev . Philip Fried , Minister ( absent ) . Mr . Rivkin further reported that they have undertaken a very streneous program of educating themselves , so that they can educate the rest of the citizens of the Town of Dryden . The Council has already attended one of the several training programs to be conducted in Trumansburg which consisted of a training session . They have undertaken various forms of communications throught the school , Seventies House and other places to get citizens aware of the drug scene . Leonard Snow reported 7 ' - that the general consensus of the first committee is going to remain in force . Anthannette Young is going to form a committee within George Junior Republic and they hope that Ray Gridley will form a similar group in school . This will create committees working within the Council . ROUTE 13 Supervisor McCord reported that discussion of the location of Route 13 with the Village Board was being held to try and get an agreement on a route acceptable to the Village and Town so they could present a united front at the hearing scheduled Thursday evening at the Dryden High School . Village 0 Board Members present were Mayor Watros , Mr . Sweetland and Mr . Porteus . Mr . McCord reported that the Village met last Friday evening and recommends corridor G . Mayor Watros tacked up a map of the alternate routes for all to see . He pointed out the route the Village was recommending , Route G , • _ wtflxaxxtmkauakaNgexakxRmkf flXRoadX He also said if G was unacceptable , they would be willing to go along with route F . He also pointed out a new • proposed route proposed by the County Planners that terminates at the Cortland County line . Mayor Watros said that the County has more or less adopted this particular route known as LM . Mayor Watros reported that the reason that the Village Board was recommending G was that it is far . .. enough from ' the Village to keep traffic out of the Village but yet close enough to benefit it economically . Councilman Webb said that Route G is completely unsatisfactory as it would put 6 productive farms out of business . He stressed the problem of pollution and said the biggest anti - pollutent factor in the whole area is productive farms . Alton Reed , Chairman of the Town Planning Board , said they made a recommendation to the County for alternate C . Councilman Cotterill favored the village recommendation because h e felt that we could gain more economic growth in the Town of Dryden by h aving access both at Freeville and McLean and overall he believes the tax basis will benefit all the citizens of the Town of Dryden . The ' general consensus of the board was to anti harm: the least amount of farm land and preserve the swamps and marshes in the Fall Creek area . The advantages and disavantages of all the routes was discussed at length . RESOLUTION # 1401 RELOCATION ROUTE 13 Councilman Webb offered the following resolution and asked l ' s adoption . RESOLVED that this Town Board go on record as favoring the L route proposed by the County Planning Board with an interchange on North Street ( Cty . Rt . 163 ) near the intersection of Fall Creek Road ( Cty . Rt . 105 ) . 2nd Supervisor McCord FOR : Supervisor cCord Councilman ebb Councilman Tarr Councilman Gridley AGAINST : Councilman • otterill Alton Reed said that the Planning Board would support the To n Board recommendation . TOWN DIRECTORY Mayor Watros asked to be brought up to date on the numbering system and town directory that he had discussed with the Board last spr ng . Supervisor McCord said there was nothing encouraging to report . Counci man Cotterill reported that he has spoken to the Jaycees and they have not responded . Mayor Watros suggested that the town contact the fire depart ents and see if they would be willing to take over this chore or else hir - somebody to • do it . Supervisor McCord appointed Councilman Cotterill to ollow up the Mayor ' s suggestion . ZONING OFFICER Zoning Officer Stewart reported that Clayton Cranmer may be n violation of his permit . He received a note from Richard Wilsen claim ng that the buffer strip was not up yet . Mr . Stewart reported that acco ding to the provisions of the permit , Mr . Cranmer was suppose to have a landscaped buffer strip up within 90 days after the issuance of the per it . He said h e has not had a chance tQ c ieck this out yet . Supervisor McCord suggested that the Zoning Officer /eq out and if he has failed to comply with the terms of the Special Permit , then his permit will have to be evoked and h e must reapply . 77 Councilman Webb reported to Zoning Officer Stewart that he noticed a lot of accumulating junk cars at the Hile School House and suggested that the Zoning Officer look into this . FINANCIAL REPORT General Fund .: Beginning Balance 9 - 1 - 70 $ 20 , 054 . 55 Add : Receipts 38 . 75 $ 20 , 093 . 30 Less : Disbursements 7 , 545 . 36 $ 12 , 547 . 94 L ess : Invest Cert . of Dep . . 2 , 500 . 00 Ending Balance 9 - 30 - 70 $ 10 , 047 . 94 Highway Fund : • Beginning Balance 9 - 1 - 70 $ $ 63 ; 162 . 03 Add : Receipts - 0 - L ess : Disbursements " 23 , 801 . 68 E nding Balance 9 - 30 - 70 $ 139 , 360 . 35 RESOLUTION # 141 HIGHWAY BILLS Councilman Gridley offered the following resolution and asked its adoption . RESOLVED that the Highway Bills be paid as audited . 2nd Councilman Tarr Roll call vote - all YES RESOLUTION # 142 GENERAL BILLS Councilman Cotterill offered the following resolution and asked its adoptio ^ RESOLVED that the General Bills be paid as audited . 2nd Councilman Webb Roll call vote - all YES LETTERS Supervisor McCord read a letter from Charles Downey regarding the income level for aged exemption on property tax . The state has increased the income requirement from $ 3000 to $ 5000 . He also requested a road sign be errected at McClintock Road . Supervisor McCord turned the letter over to Attorney Amdur and said he would notify Superintendent Case about the sign . Supervisor McCord read a letter from Mr . Miller notifying the town that the contractor went to Mrs . Potters to replace the privit hedge and they had been ordered off the property . Mr . Millers reply of his letter to Herb Snow requesting estimate of reputed damages to turn over to the contractor was read : by Supervisor McCord . SEWER # 2 Supervisor McCord reported that the generator has been approved and winterized to operate in the pumping station . Miller has made an estimate that it will cost $ 2000 to house the generator . Miller indicated that he is going to • check into some federal funding . Supervisor McCord said that an alternative might be if the Varna Fire Department would house the generator . Councilman Gridley reported that he had already talked to the fire department and he thinks it could be arranged . He also reported he talked to the city on this possibility . Attorney Amdur reported that we had a final bill from Compagni for $ 9 , 787 . 06 which includes $ 978 :- 71 retainer fee , some extra work and the balance of the bill . 77 Councilman Webb reported to Zoning Officer Stewart that he noticed a lot of accumulating junk cars at the Hile School House and suggested that the Zoning Officer look into this . FINANCIAL REPORT General Fund . : Beginning Balance 9 - 1 - 70 $ 20 , 054 . 55 Add : Receipts 38 . 75 $ 20 , 093 . 30 L ess : Disbursements . 7 , 545 . 36 $ 12 , 547 . 94 L ess : Invest Cert . of Dep . . 2 , 500 . 00 Ending Balance 9 - 30 - 70 $ 10 , 047 . 94 Highway Fund : • Beginning Balance 9 - 1 - 70 $ 163 , 162 . 03 Add : Receipts - 0 - L ess : Disbursements " 23 , 801 . 68 E nding Balance 9 - 30 - 70 $ 139 , 360 . 35 RESOLUTION # 141 HIGHWAY BILLS Councilman Gridley offered the following resolution and asked its adoption . RESOLVED that the Highway Bills be paid as audited . 2nd Councilman Tarr Roll call vote - all YES RESOLUTION # 142 GENERAL BILLS Councilman Cotterill offered the following resolution and asked its adoption RESOLVED that the General Bills be paid as audited . 2nd Councilman Webb Roll call vote - all YES LETTERS Supervisor McCord read a letter from Charles Downey regarding the income level for aged exemption on property tax . The state has increased the income requirement from $ 3000 to $ 5000 . He also requested a road sign be errected at McClintock Road . Supervisor McCord turned the letter over to Attorney Amdur and said he would notify Superintendent Case about the sign . Supervisor McCord read a letter from Mr . Miller notifying the town that the contractor went to Mrs . Potters to replace the privit hedge and they had been ordered off the property . Mr . Millers reply of his letter to Herb Snow requesting estimate of reputed damages to turn over to the contractor was read : by Supervisor McCord . SEWER # 2 Supervisor McCord reported that the generator has been approved and winterized to operate in the pumping station . Miller has made an estimate that it will cost $ 2000 to house the generator . Miller indicated that he is going to • check into some federal funding . Supervisor McCord said that an alternative might be if the Varna Fire Department would house the generator . Councilman Gridley reported that he had already talked to the fire department and he Ithinks it could be arranged . He also reported he talked to the city on this possibility . Attorney Amdur reported that we had a final bill from Compagni for $ 9 , 787 . 06 which includes $ 978 :. 71 retainer fee , some extra work and the balance of the bill . ilt) 78 RESOLUTION # 143 SUBSTITUTE ELECTION INSPECTORS Councilman Gridley offered the following resolution and asked its adoption . RESOLVED that the following people be appointed Substitute Election • Inspectors : Susan Brotherton , Joyce Stout . Lydia Tripp and Eleanor Church . 2nd Councilman Tarr Carried RESOLUTION # 144 ' PUBLIC HEARING - BUDGET Councilman Gridley offered the following resolution and asked its adoption . RESOLVED that a Public Hearing regarding the Preliminary Budget be held November 5 , 1970 , at 7 : 30 P . M . at Dryden Town Hall . 2nd Councilman Cotterill Carried T t RESOLUTION # 140) SPECIAL PERMIT - LAMPHEAR Councilman Gridley offered the following resolution and asked Its adoption . RESOLVED that this Board grant the Special Permit to Keith Lamphear to O operate a retail establishment selling . swiminirigr•. poolS , ' located on the corner of Route 13 and Johnson Road ; subject to the following conditions : 1 . Construction be in accordance to the change p. erplans • submitted to the Board . 2 . That the land be restored to its original state in the event of vacating the premises . 2nd Councilman Tarr Roll call vote - all YES Meeting adjourned 10 : 30 P . M . Charles G . McCord - Supervisor Rosemary Stelick - Town Clerk 411 III, a. • A A SUMMARY OF TOWN BUDGET <7 Less Less . Estimated Unexpended Amount to be de - Fund Appropriations Revenues Balance Raised by Tax A General $ 90 , 450 . 00 $ 54 , 510 . 01 1 , 000 . 00 $ 34 , 940 . 00 B General Outside Village 13 , 300 . 00 10 , 000 . 00 2 , 000 . 00 1 , 300 . 00 Highway : DR Repairs and Improvements 136 , 440 . 00 22 , 400 . 00 114 , 040 . 00 DB : Bridges . • 4 , 500 . 00 - 0 - 4 , 500 . 00 DM *Machinery 80 , 000 . 00 3 , 500 . 00 76 , 500 . 00 DS * Snow and Miscellaneous 44 , 500 . 00 3 , 000 . 00 41 , 500 . 00 DE Improvement Program \ 14 , 220 . 00 2 , 920 . 00 11 , 300 . 00 L Public. Library . • S Special Districts : ( List each district separately ) - -4. FIRE PROTECTION DIST . 23 , 595 . 50 2. 900 . 00 , 20 , 645 . 50 VARNA LIGHT DISTRICT 1 , 250 . 00 1 , 250 . 00 MC LEAN LIGHT DISTRICT 45 . 00 . 45 . 00 ETNA LIGHT DISTRICT 716 . 00 716 . 00 1 SEWER DISTRICT # 1, 2 , 369 . 54 2 , 000 . 00 369 . 54 SEWER DISTRICT # 2 86 , 646 . 00 63 , 000 . 00 4 , 700 . 00 18 , 946 . 00 WATER DISTRICT # 1 12 , 720 . 91 400 . 00 12 . 320 . 91 r Totals $ 510 , 752 . 95 $ 159 , 330 . 00$ 13 . 000 . 00 $, 338 , 422 . 95 h :* If town contains a village check one of the following : Village is not exempt from highway taxes for Machinery and Snow and Miscellaneous . 1" U, Village is exempt from highway taxes for Machinery and Snow and Miscellaneous . 8 Village is exempt from highway taxes for Machinery but not for Snow and Miscellaneous . ne us . '1034 Q Village is exempt from highway taxes for Snow and Miscellaneous but not for Machinery . 1 p .. u • p Y. GENERAL FUND - APPROPRIATIONS 19 70 Budget Preliminary Adopted =43 + as Modified 19 71Budget 1971 Budget GENERAL GOVERNMENT SUPPORT LEGISLATIVE ' A1010 Town Board ( Councilmen ) ' 1010 . 1 Personal Services $ 3 , 200 . 00 $ 3 , 200 . 00 $ 3 , 200 . 00 1010 . 2 Equipment 1010 . 4 Contractual Expenses Total $ 3 , 200 . 00 $ , 3 , 200 . 00 $ 3 , 200 . 00 JUDICIAL A1110 Justices • 1110 . 1 Personal Services $ 6 , 000 . 00 $ 6 , 000 . 00 $ 6 , 000 . 00 1110 . 2 Equipment , . - 0 - 900 . 00 900 . 00 1110 . 4 Contractual Expenses 800 . 00 600 . 00 600 . 00 Total $ 6 , 800 . 00 $ 7 , 500 . 00 $ 7 , 500 . 00 A1130 Traffic Violations Bureau . 1130 . 1 Personal Services $ $ $ ' 1130 . 2 Equipment ' . ' ,1130 . 4 Contractual Expenses Total $ $ $ . . EXECUTIVE ' A1220 Supervisor 1220 . 1 Personal Services $ 2 , 400 . 00 . t 2 , 400 . 00 $ 2 , 400 . 00 1220 . 2 Equipment - 1220 . 4 Contractual Expenses 100 . 00 100 . 00 100 . 00 Total $ 2 , 500 . 00 $ 2 , 500 . 00 $ 2 , 500 . 00 FINANCE• A1310 Director of Finance 1310 . 1 Personal Services $ $ $ 1310 , 2 Equipment 1310 . 4 Contractual Expenses Total $ $ $ A1315 Comptroller 1315 . 1 Personal Services $ $ $ 1315 . 2 Equipment 1315 . 4 Contractual Expenses Total $ $ $ A1320 Independent Auditing and Accounting 1320 . 4 Contractual Expenses $ 300 . 00 $ - 0 -- $ - 0 - A1330 Tax Collection 1330 . 1 Personal Services $ 1 , 400 . 00 $ 1 , 400 . 00 $ 1 , 400 . 00 1330 , 2 Equipment r� 1330 . 4 Contractual Expenses - 0 - 700 . 00 700 . 00 Total $ 1 , 400 . 00 $ 2 , 100 . 00 $ 2 , 100 . 00 A1340 Budget 1340 . 1 Personal Services $ $ $ 1340 . 2 Equipment - . 1340 . 4 Contractual Expenses Total # $ $ 2 4 GENERAL FUND - APPROPRIATIONS , ! 19 70 Budget Preliminary Adopted as Modified 1971 Budget 19. 71Budget GENERAL GOVERNMENT SUPPORT A1345 . Purchasing 1345 . 1 Personal Services - $ $ $ 1345 . 2 Equipment 1345 . 4 Contractual Expenses Total $ $ $ A1355 Assessors 1355 . 1 Personal Services $ $ $ 1355 . 2 Equipment , . 1355 . 4 Contractual Expenses , Total ' .. $ $ $ STAFF A1410 Town Clerk ' 1410 . 1 Personal Services $ 3 , 000 . 00 $ 3 , 500 . 00 $ 3 , 500 . 00 1410 . 2 Equipment 500 . 00 900 . 00 900 . 00 1410 . 4 Contractual Expenses 700 . 00 500 . 00 500 . 00 Total $ 4 , 200 . 00 $ 4 . 900 . 00 $ 4 , 900 . 00 A1420 Attorney 1420 . 1 Personal Services $ 500 . 00 $ 2 , 000 . 00 $ 2 , 000 . 00 1420 . 2 Equipment 1420 . 4 Contractual Expenses . Total $ 500 . 00 $ 2 , 000 . 00 $ 2 , 000 . 00 A1430 Personnel 1430 . 1 Personal Services $ 3 , 200 . 00 $ 3 , 800 . 00 $ 3 , 800 . 00 1430 . 2 Equipment 1430 . 4 Contractual Expenses . • Total $ 3 , 200 . 00 $ 3 , 1100 . 00 $ 3 , 800 . 00 A1440 Engineer 1440 . 1 Personal Services , $ ) - $ $ 1440 . 2 Equipment 1440 . 4 Contractual Expenses Total $ 1 .._. . -�- is A1450 Elections 1450 . 1 Personal Services $ 2 , 200 . 00 $ 2 , 700 . 00 $ 2 , 700 . 00 1450 . 2 Equipment - 150 . 00 150 . 00 150 . 00 1450 . 4 Contras tual Expenses 650 . 00 650 . 00 650 . 00 Total $ ' , 000 . 00 $ R , 500 . 00 $ 3 , 500 . 00 . A1470 Board of Ethics II1470 . 1 Personal Services $ $ $ 1470 . 2 Equipment 1470 . 4 Contractual Expenses _ Total $ $ $ 3 . . . , r: + GENERAL FUND - APPROPRIATIONS 1970 Budget Preliminary Adopted as Modified 1971 Budget 19 71Budget GENERAL GOVERNMENT SUPPORT r STAFF A1490 Public Works Administration 1490 . 1 Personal Services $ $_ $ 1490 . 2 Equipment _ 1490 . 4 Contractual Expenses Total $ $ $ SHARED SERVICES A1620 Buildings 1620 . 1 Personal Services $ 1620 . 2 Equipment 1620 . 4 Contractual Expenses 7 , 000 . 00 5 , 000 . 00 5 , 000 . 00 Total $ 7 , 000 . 00 $ 5 , 000 . 00 $^ 5 , 000 . 00 A1640 Central Garage 1640 . 1 Personal Services $ $ $ 1640 . 2 Equipment 1640 . 4 Contractual Expenses Total $ $ $ A1670 Central Printing and Mailing • 1670 . 1 Personal Services $ $ $ 1670 . 2 Equipment 1670 . 4 Contractual Expenses Total • $ $ • $ A1680 Central Data Processing , 1680 . 1 Personal Services , $ $ $, 1680 . 2 Equipment 1680 . 4 Contractual Expenses Total 4 , $ $ �$ SPECIAL ITEMS 1910 . 4 Unallocatel Insurance $ 6 , 000 . 00 $ 6 , 300 . 00 $ 6 , 300 . 00 1920 . 4 Municipal Association Dues 100 . 00 100 . 00 100 . 00 1930 . 4 Judgments and Claims 1990 . 4 Contingent Account 1 , 000 . 00 1 , 000 . 00 Back Ins . - Carey 3 , 400 . 00 - 0 - - 0 - Total $ 9 , 500 . 00 $ 7 , 1400 . 00 $ 7 , 400 . 00 • .EDUCATION A2950 Attendance Officer 2950 . 1 Personal Services • $ $ ' $ • 2950 . 2 Equipment 2950 . 4 Contractual Expenses Total $ $ $ 4 i f y a GENERAL FUND - APPROPRIATIONS 1970 Budget Preliminary Adopted as Modified 1971 Budget 19 71Budget GENERAL GOVERNMENT SUPPORT STAFF A1490 Public Works Administration 1490 . 1 Personal Services $ $_ $ 1490 . 2 - Equipment _ 1490 . 4 Contractual Expenses Total $ $ $ SHARED SERVICES . . A1620 Buildings 1620 . 1 Personal Services $ 1620 . 2 Equipment . 1620 . 4 Contractual Expenses 7 , 000 . 00 5 , 000 . 00 5 , 000 . 00 Total $ 7 , 000 . 00 $ 5 , 000 . 00 $ 5 , 000 . 00 A1640 Central Garage 1640 . 1 Personal Services $ - 1640 . 2 Equipment 1640 . 4 Contractual Expenses - - Total $ $ $ A1670 Central Printing and Mailing 1670 . 1 Personal Services $ $_ $ 1670 . 2 Equipment 1670 . 4 Contractual Expenses Total • $ $ $ A1680 Central Data Processing 1680 . 1 Personal Services _ $ $ $ 1680 . 2 Equipment 1680 . 4 Contractual Expenses Total , $ $ $ SPECIAL ITEMS 1910 . 4 Unallocatei Insurance $ 6 , 000 . 00 $ 6 , 300 . 00 $ 6 , 300 . 00 1920 . 4 Municipal Association Dues 100 . 00 100 . 00 100 . 00 1930 . 4 Judgments and Claims 1990 . 4 Contingent Account 1 , 000 . 00 1 , 000 . 00 Back Ins . - Carey 3 , 400 . 00 - 0 - - 0 - Total $ 9 , 500 . 00 $ 7 , 400 . 00 $ 7 , 1400 . 00 .EDUCATION A2950 Attendance Officer 2950 . 1 Personal Services . $ $ I $ 2950 . 2 Equipment ' ' 2950 . 4 Contractual Expenses Total $ $ $ 4 • d 1 GENERAL FUND - APPROPRIATIONS 1170 Budget Preliminary Adopted as Modified 1971 Budget 19 71Budget lir PUBLIC SAFETY LAW ENFORCEMENT *A3120 Police and Constables 3120 . 1 Personal Services $ 300 . 00 $ 300 . 00 $ 300 . 00 3120 . 2 Equipment 3120 . 4 Contractual Expenses Total $ 3UU . UU $ 300 . 00 $ 300 . 00 A3150 Jail 3150 . 1 Personal Services $ $ $ 3150 . 2 Equipment 3150 . 4 Contractual Expenses Total TRAFFIC A3310 Traffic Control 3310 . 1 Personal Services $ $ $ 3310 . 2 Equipment 3310 . 4 Contractual Expenses Total $ $ $ FIRE PREVENTION AND CONTROL A3410 Fire Fighting 3410 . 1 Personal Services $ $ $ 3410 . 2 Equipment 3410 . 4 Contractual Expenses Total $ $ $ SAFETY FROM ANIMALS A3510 Control of Animals - Dog Warden 3510 . 1 Personal Services $ $ $ 3510 . 2 Equipment 3510 . 4 Contractual Expenses 100 . 00 150 . 00 150 . 00 Total $ 100 . 00 $ 150 . 00 $ 150 . 00 OTHER PROTECTION A3610 Examining Boards . 3610 . 1 Personal Services $ $ $ 3610 . 2 Equipment 3610 . 4 Contractual Expenses Total $ $ $ **A3620 Safety Inspection 3620 . 1 Personal Services $ 3 , 000 . 00 $ - 0 - $ - C - 3620 . 2 Equipment - 0 - 1 , 500 . 00 1 , 500 . 00 3620 . 4 Contractual Expenses Total $ 3 . 000 . 00 $ 1 , 500 . 00 $ 1 , 500 . 00 A3640 Civil Defense 3640 . 1 Personal Services $ $ $ 3640 . 2 Equipment 3640 . 4 Contractual Expenses Total $ $ $ *Town with Village - See explanation ( 1 ) on last page for charges to town - area outside of villages . **Town with Village r See explanation ( 2 ) on last page for charges to town - area outside of villages . 5 4 1 74 571 o e 3 t GENERAL FUND - APPROPRIATIONS . 1970 Budget Preliminary Adopted as Modified 19 71Budget 1971 Budget TRANSPORTATION ADMINISTRATION A5010 Superintendent of Highways . ., . 5010 . 1 Personal Services $ 11 , 000 . 00 $ 11 , 800 . 00 $ 11 , 800 . 00 5010 . 2 Equipment 5010 . 4 Contractual Expenses Total $ 11 , 000 . 00 $ 11 , 800 . 00 $ 11 , 800 . 00 HIGHWAY A5132 Garage 5132 . 1 Personal Services " $ 5132 . 2 Equipment 5132 . 4 Contractual Expenses 15 , 000 . 00 15 , 000 . 00 Total $ $ 15 , 000 . 00 $ 15 , 000 . 00 A5182 Street Lighting 5182 . 4 Contractual Expenses $ 1 , 100 . 00 $ 1 . 250 . 00 $ 1 , 250 . 00 PUBLIC TRANSPORTATION A5610 Airport 5610 . 1 Personal Services - $ $ $ 5610 , 2 Equipment 5610 . 4 Contractual Expenses Total $ $ $ A5615 Joint Airport 5615 . 4 Contractual Expenses $ $ $ A5650 Off Street Parking . 5650 . 1 Personal Services $ $ $ 5650 . 2 Equipment 5650 . 4 Contractual Expenses Total $ $ $ ECONOMIC ASSISTANCE AND OPPORTUNITY SOCIAL SERVICES . A6010 Administration 6010 . 1 Personal Services $ $ $ 6010 . 2 Equipment 6010 . 4 Contractual Expenses Total $ $ $ SOCIAL SERVICES PROGRAMS A6140 Home Relief 6140 . 4 Contractual Expenses $ $ $ A6148 Burials 6148 . 4 Contractual Expenses $ $ $ :J :kw i Y GENERAL FUND - APPROPRIATIONS 170 Budget Preliminary Adopted as Modified 19 . 71Budget 1971 Budget CULTURE - RECREATION A7250 Golf 7250 . 1 Personal Services $ $ $ 7250 . 2 Equipment 7250 . 4 Contractual Expenses Total $ $ $ .. ! 4 - A7260.. Ski Facility - ; 7260 . 1 Personal Services $ $ $ , 7260 . 2 Equipment 7260 . 4 Contractual Expenses Total $ $ $ A7270 Band Concerts 7270 . 4 Contractual Expenses $ $ $ A7310 Youth Program 7310 . 1 Personal Services $ 4 , 000 , 00 $ 4 , 000 . 00 $ 4 , 000 . 00 7310 . 2 Equipment 7310 . 4 Contractual Expenses Total $ 4 , 000 . 00 $ 4 , 000 . 00 $ 4 , 000 . 00 A7320 Joint Youth Project " 7320 . 4 Contractual Expenses $ $ $ CULTURE . *A7410 Library 7410 . 4 Contractual Expenses $ 650 . 00 $ 650 . 00 $ - 650 . 00 A7450 Museum 7450 . 1 Personal Services $ $ $ 7450 . 2 Equipment 7450 . 4 Contractual Expenses Total $ $ $ A7510 Historian 7510 . 1 Personal Services $ 100 . 00 $ 100 . 00 $ 100 . 00 I 7510 . 2 Equipment 7510 . 4 Contractual Expenses Total . $ 100 . 00 $ 100 . 00 $ 100 . 00 ■ A7520 Historical Property • . • ` . .. 7520 . 1 Personal. Services $ $ $ 7520 . 2 Equipment 7520 . 4 Contractual Expenses ; Total . $ $ $ *Town with Village - See explanation ( 1 ) on last page for charges to town- area ' outside of villages . . . 9 nh. 'itY a ' ' GENERAL FUND - APPROPRIATIONS 19 70Budget Preliminary Adopted as Modified 1971 Budget 19 71Budget CULTURE - RECREATION A7550 Celebrations 7550 . 1 Personal Services , $ 300 . 00 $ $ . • 7550 . 2 Equipment 7550 . 4 Contractual Expenses 300 . 00 300 . 00 . Total $ 300 . 00 $ 300 . 00 $ 300 . 00 ADULT ACTIVITIES A7610 Programs for Aging 7610 . 1 Personal Services $ , 7610 . 2 Equipment • 7610 . 4 Contractual Expenses Total $ $ $ A7620 Adult Recreation ' 7620 . 1 Personal Services $ $ $ 7620 . 2 Equipment 7620 . 4 , Contractual Expenses Total , $ $ $ E i . HOME AND COMMUNITY SERVICES GENERAL ENVIRONMENT * A8010 Zoning • 8010 . 1 Personal Services - $ $ $ 8010 . 2 Equipment 8010 . 4 Contractual Expenses Total ' $ $ $ *A8020 Planning I 8020 . 1 Personal Services $ 8020 . 2 Equipment 8020 . 4 Contractual Expenses Total A9995 . 0 DRUG COUNCIL . AH XXIti XRX } . 8040 . 1 Personal . Services y $ . ' $ $ 8040 . 2 Equipment 8040 . 4 Contractual Expenses _ n _ 21000 . 00 2 , 000 . 00 Total ' $ - 0 - $ 2 , 000 . 00 000 . 00 $ 2 , 000 . 00 i • . SANITATION i ** A8160 Refuse and Garbage ( Sanitary Land Fill , Dump ) .. : 8160 . 1 Personal Services $ 4 , 000 . 00 $ - 0 - $ - 0 - 8160 . 2 Equipment . 8160 . 4 Contractual Expenses Total ; ; $ 4 , uuu . uu $ - U - $ - u - Town with Village - See explanation ( 1 ) on last page for charges to town- area outside of villages . *-Town with Village - See explanation ( 2 ) on last page for charges to town- area outside of villages . 10 GENERAL FUND - APPROPRIATIONS 19 7OBudget Preliminary Adopted ad Modified 1971 Budget 1971 Budget HOME AND COMMUNITY SERVICES COMMUNITY ENVIRONMENT A8510 Community Beautification 8510 . 1 Personal Services $ $ $ 8510 . 2 Equipment 8510 . 4 Contractual Expenses Total $ $ $ A8520 Noise Abatement 8520 . 1 Personal Services $ $ $ 8520 . 2 Equipment 8520 . 4 Contractual Expenses Total $ $ $ A8540 Drainage 8540 . 1 Personal Services $ $ $ 8540 . 2 Equipment 8540 . 4 Contractual Expenses Total $ $ $ A8560 Shade Trees ' 8560 . 1 Personal Services $ $ $ 8560 . 2 Equipment 8560 . 4 Contractual Expenses Total $ $ $ SPECIAL SERVICES A8810 Cemeteries 8810 . 1 Personal Services $ $ $ 8810 . 2 Equipment 8810 . 4 Contractual Expenses Total $ $ e $ UNDISTRIBUTED A9000 Employee Benefits 9010 . 8 State Retirement $ $ $ 9015 . 8 Fire and Police Retirement 9030 . 8 Social. Security 2 , 500 . 00 2 , 000 . 00 2 , 000 . 00 9040 . 8 Workmens Compensation 6 , 500 . 00 8 , 300 . 00 8 , 300 . 00 9045 . 8 Life Insurance 9050 . 8 Unemploymentlnsurance 9055 . 8 Disability Insurance 9060 . 8 Hospital and Medical Insurance 5 , 000 . 00 1 , 200 . 00 1 , 200 . 00 Total Employee Benefits $ 14 , 000 . 00 $ 11 , 500 . 00 $ 11 , 500 . 00 11 GENERAL FUND - APPROPRIATIONS . 19 70 Budget Preliminary Adopted as Modified 1971 Budget 19 71 Budget UNDISTRIBUTED • " A9500 Inter - Fund Transfers . 9540 . 5 Transfer to Highway Fund $ $ $ 9550 . 5 Transfer to Capital Fund 9560 . 5 Transfer to Capital Reserve Fund 9562 . 5 Transfer to Repair Reserve Fund Total Inter - Fund . Transfers $ $ $ A9700 DEBT SERVICE Principal 9710 . 6 Serial Bonds $ $ $ 9720 . 6 Statutory Bonds _ 9730 . 6 Bond Anticipation Notes _ ^_ 9740 . 6 Capital Notes 9750 . 6 Budget Notes 9760 . 6 Tax Anticipation Notes 9770. 6 Revenue Anticipation Notes Total Principal $ $ $ Interest . 9710 . 7 Serial Bonds $ $ $ 9720 . 7 Statutory Bonds 9730 . 7 Bond Anticipation Notes 9740 . 7 Capital Notes _ 9750 . 7 Budget Notes 9760 . 7 Tax Anticipation Notes 9770 . 7 Revenue Anticipation Notes Total Interest $ $ $ Total General Fund Appropriation $ 80 , 150 . 00 $ 90 , 450 . 00 $ 90 , 450 . 00 ( Transfer Total " Adopted " to page 1 ) • 11 r . . . 12 GENERAL FUND - APPROPRIATIONS . 19 70 Budget Preliminary Adopted as Modified 1971 Budget 19 71Budget UNDISTRIBUTED . A9500 Inter - Fund Transfers 9540 . 5 Transfer to Highway . Fund $ $ $ 9550 . 5 Transfer to Capital Fund 9560 . 5 Transfer to Capital Reserve Fund 9562 . 5 Transfer to Repair Reserve Fund Total Inter - Fund . Transfers $ $ $ A9700 DEBT SERVICE Principal 9710 . 6 Serial Bonds $ $ $ 9720 . 6 Statutory Bonds 9730 . 6 Bond Anticipation Notes 9740 . 6 Capital Notes 9750 . 6 Budget Notes 9760 . 6 Tax Anticipation Notes 9770 . 6 Revenue Anticipation Notes Total Principal $ $ $ Interest 9710 . 7 Serial Bonds 9720 . 7 Statutory Bonds ^ 9730 . 7 Bond Anticipation Notes 9740 . 7 Capital Notes 9750 . 7 Budget Notes . 9760 . 7 Tax Anticipation Notes 9770 . 7 Revenue Anticipation Notes Total Interest $ $ $ Total General Fund Appropriation $ 80 , 150 . 00 $ 90 , 450 . 00 $ 90 , 450 . 00 ( Transfer Total " Adopted " to page 1 ) 12 ' ) GENERAL FUND ESTIMATED REVENUES • . ' 13 I . 19 70 Prelim. reliminary Adopted ! . I A i ..z Budget . as Budget . Budget Modified 19 71 . 19 71 �, . . I ENSES AND PERMITS • .y . : j , t A2501 Business and Occupational Licenses .$ $ $ A2540 Bingo License '' ' A2544 ' Dog License Fund Apportionment 1, 500 . 00 1 , 500 . 00 1 , 500 . 00 A2590 Permits . , FINES AND FORFEITURES A2610 Fines and Forfeited Bail 7 , 000 . 00 7 , 000 . 00 7 , 000 . 00 ti A2620 Forfeiture of Deposits . . . SALES OF ASSETS , MINOR SALES AND COMPENSATION . FOR ' LOSES fit . `; C; , k , ;; tit• A2650 Sales of Scrap and Excess Materials A2655 Minor Sales , Other 1 e ' A2660 Sales of Real Property 4. A2665 Sales of Equipment i :. A2680 Insurance Recoveries . p. ! MISCELLANEOUS A2701 Refunds of Appropriation Expense of Prior Years u A2705 Gifts and Donations Other Unclassified ' Revenues ( Specify) A2770 NITER - FUND REVENUES ,... A2850 Transfer from Capital Fund s Transfer for Debt Service : A2950 Premium on Securities Issued , a • Capital Fund A2952 : ' -Accrued Interest on Securities 'i ~ Issued , Capital Fund A2955 ' Unused Capital Fund Authorizations. Financed by Obligations A2957 ' Earnings on Investments , Capital Fund . : ,• : , Total Estimated Revenues from Local Sources ° $ 9 , 500 . 00 $ 9 , 500 . 00 $ 9 , 500 . 00 i • • • • • ' t ^ • !. d v { 14 I t a a % 4 GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE 1970 Budget Preliminary Adopted . • as Modified 1971 Budget 197`1 Budget CULTURE - RECREATION B7310 Youth Programs 7310 . 1 Personal Services $ $ $ f. . .. 7310 . 2 Equipment 7310 . 4 Contractual Expenses Total $ $ $ • B7410 Librar y 7410 . 4 Contractual Expenses $ $ B7610 Programs for Aging 7610 . 1 Personal Services $ $ $ ' ; 7610 . 2 Equipment 7610 . 4 Contractual Expenses Total $ $ $ HOME AND COMMUNITY SERVICES GENERAL ENVIRONMENT E8010 Zoning . 8010 . 1 Personal Services $ 5 , 500 . 00 $ 8 , 000 . 00 $ 8 , 000 . 00 8010 . 2 Equipment 400 . 00 200 . 00 200 . 00 8010 . 4 Contractual Expenses 2 , 1400 . 00 2 , 400 . 00 2 , 400 . 00 Total $ 8 , 300 . 00 $ 10 , 600 . 00 $ 10 , 600 . 00 B8020 Planning 8020 . 1 Personal Services $ $° $ 8020 . 2 Equipment , 8020 . 4 Contractual .Expenses 600 . 00 600 . 00 600 . 00 Total $ 600 . 00 $ 600 . 00 $ 600 . 00 X , O � ZONING BOARD OF APPEALS,, l$aXXXXX aY daCX 15XTE C 8160 . 1 Personal Services $ 400 . 00 $ 800 . 00 $ 800 . 00 8160 . 2 Equipment 8160 . 4 Contractual Expenses 700 . 00 1 , 300 . 00 1 , 300 : 00 : Total $ 1 , 100 . 00 $ 2 , 100 . 00 $ 2 , 100 . 00 . • • , 17 „ . ; 9. GENERAL FUND APPROPRIATIONS - TOWN OUTSIDE VILLAGE ll , 1970 Budget Preliminary Adopted as Modified 19 71Budget 1971 Budget UNDISTRIBUTED B9700 DEBT SERVICE _ Principal 9710 . 6 Serial Bonds, $ $ 9720 . 6 Statutory Bonds 9730 . 6 Bond Anticipation Notes 9740 . 6 Capital Notes -- - -- —___ _ 9750 . 6 Budget Notes! --� '- 9760 . 6 Tax Anticipation Notes _ x . 9770 . 6 Revenue Anticipation Notes Total Principal Interest 9710 . 7 Serial Bonds „ 9720 . 7 Statutory Bonds 9730 . 7 Bond AnticipatonNotes 9740 . 7 Capital Note 's 9750 . 7 Budget Notes '. 9760 . 7 Tax Anticipation Notes 9770 . 7 Revenue Anticipation Notes _ Total Interest Total General Fund - Town - Outside Village - Appropriations, $ $ 13 , 300 . 00 $ 13 , 300 . 00 ( Transfer Total " Adopted " to Pagel ) — yl! 19 nryc^, ,. 1 �• i::at Ti�q.'.z .. } ,r . � 4Sti dl .,. i A • • V . 1 . . . GENERAL FUND - TOWN OUTSIDE VILLAGES ESTIMATED REVENUES 1970 Budget Preliminary Adopted as Modified 19 71Budget 1971 Budget LOCAL SOURCES B 1120 Non - Property Tax Distribution by County $ $ $ B 1520 Police Fees B 1601 Health Fees B 2110 Zoning Fees B 2115 Planning Board Fees B 2401 Interest Earnings Other ( Specify ) B 2770 ' Total Estimated Revenues from , Local Sources $ $ $ STATE AID . 3001 Per Capita $ 8 , 000 . 00 $ 8 , 000 . 00 $ 8 , 000 . 00 3501 Highway , Traffic and Transportation 2 , 000 . 00 2 , 000 . 00 2 , 000 . 00 3820 Youth Programs , Total Estimated Revenues from 1 State Aid $ 10 , 000 . 0 $ 10 , 000 . 00 $ 10 , 000 . 00 I Total Estimated Revenues - General Fund - I ' Town Outside Villages ( Transfer Total " Adopted " to Page 1 ) $ $ 10 , 000 . 00 $ 10 , 000 . 00 ESTIMATED UNEXPENDED BALANCE ' Estimated Unexpended Balance - General Fund - Town Outside Villages $ $ 2 , 000 . 00 $ 2 , 000 . 00 ( Transfer Total " Adopted " to Page 1 ) . 1 i s I , . 20 1 �: . . : t^ p ] . _ . A , , j ` r . 4 i::il'' '{,)S EC. j4t, �A4416/.iv'r5l.°Ret*{ r S.Y)4O ) - {, !„cs ':..T u, t , te* V `W a • Pi 1 . • 4J) { J A 6 �tl ' - P ;. 4.0' 4 .!, g r lr ,r: /' .: { ^S F4'& I, 't ! • 4 ` t :. t S IiA 4 4 �• n . , + 1 Ala rF g, 1 d` • �� `+ { Of, 1 1 . • Y ar n. i r r t 1 V 1 • ! ! 41 T r) 444c a, ') 1 r a ! 11 • s { 1\ i ) 4 41 . T 11 i T M • Vr I. C} al !. .' , 1 ^` ..` L F ). I ) { p4 F ) � J ' 1 11 ' ri) •L r• u ' •9•1 4 ) ) i cY' t ho f rE ' Si 1 ' 1 , ICI t 1 I �' � ± 1 :+' Ir- • r ;, ) , , " , ' : HI HN AY FU D APPROPRIATIONS ; . +5 Repairs and Improvements Item 1 ) ,, + ;, � Repa (1• 4 r ! , , i `'I I , • , :1. a • y B . . qh rr` Y. 1 4 4 : p . - � + � r r y at,1 q 7�0 � get ' Preliminary - Adopted if.1' Tf r .fl was Modified 1971 Budget 19 71 Budget .• b { DR - 5110 General Repairs , :, 5110 . 1 ' Personal Services $ - 50 , 000 . 00 $ 65 , 120 . 00 .• $ 65 , 120 . 00 5110 . 4 , Contractual Expenses , 0 . 00 38 , 320 . 00 38 , 320 . 00 ' . T : • • t otal Gnera ' !` " I { e . P. , fd.. - ...<•-y. c.d 3?- r' . .. . x. 1. p tl - s ;,. ' J - r . ( 1•:::,: <.1, . »r , r. ''Y. •.)$ $ 8 , 320 . On $ 1 U3 ;'44n _ nn $103 440 . 00■ • — .ti st DR 5112 ' - Improvements. . . :- 5112 . -10,- Personal Services -$ 8 , 000 . 00 $ ____1__3 , 000 . 00 \ $$ ' 13 ,. 000 . 00 ; 5112 . 4 .' . Contractual ', Expenses •. 10 , 000 . 00 10 000 : 00 ' `+)''- 10 ; 00 ° . 00 1 .< ; . ' Total Permanent t . r Improvements • , ' .� $_1 $_, OOO . On $, 23 nnn = nn_' $ 23 000 ; 00 • IT r . • 5 UNDISTRIBUTED i ', 13` - , , - • l 4 V ._ 3 :, . 1 1, 4. + t 1 DR , �,,� 9000 , Employee Benefits "�" ' 9010 . 8 State Retirement 4 r' $ 9030 : 8 Social Security 4 , 000 : 00 ' 5 , nnn . nn - 5 , o � o _ 0a 9040 . 8 Workmens Compensation' ' Life Insurance 9050 . 8 Unemployment Insurance • rim 9055 . 8 Disability Insurance • • 9060 . 8 ' Hospital and Medical , .,_ , , , ) I _.; a' Insurance` , ' " ' " "` '• ` " ' 4_ 5 , 000 . 00 5 000 . 00 n n14t., B r s F r f fs > , ' . 4. A"' ' . • Total 'Employee ° , � •• O ,„ ; O $ 111 4 4 . 00 • . , 10 , 000 . 00 10 , 000 . 00 , . . Benefits . $ `• DR - 9500 Inter - Fund Transfers ' •9540 . 9 Transfer to Highway r , ' ;:, $ - Fund - . iii > . J' ll 4 u I. , - . • r • , - .. • • .. _ 1 1 i• _ a _ ., — r .a . I, i . 1. • • . ' _ 4 b , , . rz' Y , t • .. . 1 , IA % . a • 1• 1 ��” r r ) • 11 1 • • 1 n Iy ; 21 • , r • 4 GENERAL FUND - ESTIMATED REVENUES 1970 Preliminary Adopted Budget as Budget Budget Modified 19 71 1971 STATE AID r GENERAL A3001 Per Capita $ 32 , 510 . 90 $ 32 , 510 . 90 $ 32 , 510 . 90 A3005 Mortgage Tax 8 , uuu . uu 8 , 000 . 00 8 , 000 . 00 A3007 Loss of Railrod Tax Revenue A3017 Loss of Public Utility Valuations PUBLIC SAFETY A3305 Civil Defense A3315 Navigation Law Enforcement TRANSPORTATION A3501 Highway , Traffic and Transportation 3 , 500 . 00 3 , 500 . 00 3 , 500 . 00 SOCIAL SERVICES A3660 Social Services . CULTURE AND RECREATION . A3803 Programs for Aging A3820 Youth Programs 1 , 000 . 00 1 , 000 . 00 1 , 000 . 00 OME AND COMMUNITY ENVIRONMENT A3950 Community Beautification Total Estimated Revenues from State Aid $ 45 , 010 . 90 $ 45 , 010 . 90 $ 45 , 010 . 90 4 FEDERAL AID . PUBLIC SAFETY A4305 Civil Defense Total Estimated Federal Aid $ $ $ Total Estimated Revenues - General Fund . ( Transfer Total " Adopted " to Page 1 ) $ $ $ ESTIMATED UNEXPENDED BALANCE Estimated General Fund Unexpended Balance ( Transfer Total " Adopted " to Page 1 ) $ 2 , 000 . 00 $ 1 , 000 . 00 $ 1 , 000 . 00 9 ; . { 15 HIGHWAY FUND APPROPRIATIONS ( CONTD . ) Repairs and Improvements ( Item 1 ) 1970 Budget , Preliminary Adopted as Modified t 19 71 Budget 1971 Budget : . . UNDISTRIBUTED DR - 9700 DEBT SERVICE - Principal 9710 . 6 Serial Bonds 9720 . 6 Statutory Bonds 9730 . 6 Bond AnticipationNotes 9740 . 6 Capital Notes 9750 . 6 Budget Notes 9760 . 6 Tax AnticipationNotes 9770 . 6 Revenue Anticipation , Notes Total . Principal - $ $ $ Interest 9710 . 7 Serial Bonds $ $ $ 9720 . 7 Statutory Bonds an 9730 . 7 Bond AnticipationNotes 9740 . 7 Capital Notes 9750 . 7 Budget Notes 9760 . 7- Tax AnticipationNotes 9770 . 7 Revenue Anticipation Notes Total Interest $ $ $ Total Appropriations ' $ 110 , 320 . 00 $ 136 , 440 . 00 $ 136 , 440 . 00 ( Transfer Total " Adopted " to Page 1 ) . ; 22 - , HIGHWAY FUND APPROPRIATIONS Bridges ( Item 2 ) 19 7 0 Budget Preliminary . Adopted as Modified 1971 Budget . 19 71Budget ' 1. BRIDGES DB- 5120 I Maintenance of Bridges 5120 . 1 Personal Services $ 2 , 000 . 00 $ 2 , 000 . 00 $ 2 , 000 . 00 5120 . 4 Contractual Expenses 2 , 500 . 00 2 , 500 . 00 2 , 500 . 00 Total Maintenance of Bridges $ 4 , 500 . 00 $ 4 , 500 . 00 $ 4 , 500 . 00 DB- 5122 Construction of New Bridges - 5122 . 3 Capital Outlay $ $. $ UNDISTRIBUTED DB- 9000 Employee Benefits 9010 . 8 State Retirement $ $ $ 9030 . 8 Social Security 9040 . 8 Workmens Compensation 9045 . 8 Life Insurance 9050 . 8 Unemployment Insurance 9055 . 8 Disability Insurance . 9060 . 8 Hospital and Medical . Insurance i Total Employee Benefits $ $ $ DB-9500 Inter - Fund Transfers 9540 . 9 Transfer to Highway Fund $ ,. . 23 HIGHWAY FUND APPROPRIATIONS ( CONTD . ) Bridges ( Item 2 ) 19 70 Budget Preliminary Adopted as Modified i 1971 Budget 19 71 Budget • UNDISTRIBUTED DB- 9700 DEBT SERVICE Principal - - - - . 9710 . 6 Serial Bonds 9720 . 6 Statutory Bonds 9730 . 6 Bond Anticipation Notes 9740 . 6 Capital Notes _ 9750 . 6 Budget Notes 9760 . 6 Tax Anticipation Notes 9770 . 6 . Revenue Anticipation Notes Total Principal $ $ $ Interest 9710 . 7 Serial Bonds 9720 . 7 Statutory Bonds _ 9730 . 7 Bond Anticipation Notes 9740 . 7 Capital Notes 9750 . 7 Budget Notes 9760 . 7 Tax Anticipation Notes 9770 . 7 Revenue Anticipation Notes Total Interest $ $ $ Total Appropriations $ 4 , 500 . 00 $ 4 , 500 . 00 $ 4 , 500 . 00 ( Transfer Total " Adopted " to Page 1 ) 24 HIGHWAY FUND APPROPRIATIONS Machinery ( Item 3 ) 1970 Budget Preliminary Adopted as Modified 19 71 Budget 1971 Budget MACHINERY DM - 5130 . Machinery 5130 . 1 Personal Services $ $ $ 5130 . 2 Equipment 50 , 000 . 00 50 , 000 . 00 50 , 000 . 00 5130 . 4 Contractual Expenses —75 , 000 . 00 30 , 000 . 00 30 , 000 . 00 Total Machinery $ 75 , 000 . 00 $ 80 , 000 . 00 $ 80 , 000 . 00 DM- 5132 Garage ( Rental ) 5132 . 4 Contractual Expenses $ $_ $ UNDISTRIBUTED DM - 9000 Employee Benefits 9010 . 8 State Retirement $ $ $ 9030 . 8 Social Security 9040 . 8 Workmens Compensation 9045 . 8 Life Insurance 9050 . 8 Unemployment Insurance 9055 . 8 Disability Insurance 9060 . 8 Hospital and Medical Insurance Total Employee Benefits $ $ $ DM - 9500 Inter - Fund Transfers . 9540 . 9 Transfer to Highway . Fund $ 25 - . . 1 HIGHWAY FUND . APPROPRIATIONS ( CONTD . ) Machinery ( Item 3 ) C - 19 7 0 Budget Preliminary ' Adopted as Modified 1971 Budget 19 71Budget . UNDISTRIBUTED DM- 9700 DEBT SERVICE ' - ' ' . Principal ' , • 9710 . 6 . Serial Bonds $ . $ • $ 9720 . 6 Statutory Bonds 9730 . 6 Bond Anticipation Notes 9740 . 6 Capital Notes 9750 . 6 Budget Notes 9760 . 6 Tax Anticipation Notes 9770 . 6 Revenue Anticipation Notes Total Principal $ $ $ Interest 9710 . 7 Serial Bonds $ $ $ 9720 . 7 Statutory Bonds 9730 . 7 Bond AnticipationNotes 9740 . 7 Capital Notes 9750 . 7 Budget Notes 9760 . 7 Tax Anticipation Notes 9770 . 7 Revenue Anticipation Notes Total Interest $ $ $ Total Appropriations $ 75 , 000 . 00 $ 80 , 000 . 00 $ 80 , 000 . 00 ( Transfer Total " Adopted " to Page 1 ) • 4 26 • HIGHWAY FUND APPROPRIATIONS Snow and Miscellaneous ( Item 4) 1970 Budget Preliminary Adopted as Modified 19 71 Budget • 1971 Budget DS- 5140 Miscellaneous ( Brush and Weeds ) 9 , 800 . 00 9 , 800 . 00 800 . 00 9 , 800 . 00 5140 . 1 Personal Services $ $ $. 5140 . 4 Contractual Expenses Total Miscellaneous $ 9 , 800 . 00 $ 9 , 800 . 00 $ 9 , 800 . 00 DS- 5142 Snow Removal ( Town Highways ) 5142 . 1 Personal Services $ 18 , 700 . 00 $ 20 , 000 . 00 $ 20 , 000 . 00 5142 . 4 Contractual Expenses 6 , 000 . 00 8 , 000 . 00 5 , 000 . 00 Total Snow Removal $ 24 , 700 . 00 $ 28 , 000 . 00 $ 28 , 000 . 00 DS-5148 Services for Other Governments 5148 . 1 Personal Services $ 4 , 300 . 00 $ 4 , 300 . 00 $ 4 , 300 . 00 5148 . 4 Contractual Expenses Total Services for Other Governments $ 4 , 300 . 00 $ 4 , 300 . 00 $ 4 , 300 . 00 UNDISTRIBUTED . DS - 9000 Employee Benefits 9010 . 8 State Retirement _$ 9030 . 8 Social Security 1 , 400 . 00 , 1 , 400 . 00 1 , 400 . 00 9040 . 8 Workmens Compensation ^_ _ 9045 . 8 Life Insurance 9050 . 8 Unemploymentlnsurance v 9055 . 8 Disability Insurance 9060 . 8 Hospital and Medical Insurance 1 , 000 . 00 • 1 , 000 . 00 Total Employee Benefits $ 1 , 400 . 100 $ 2 , 400 . 00 $ 2 , 400 . 00 DS- 9500 Inter - Fund Transfers — 9540 . 9 Transfer to Highway Fund $ DS- 9700 DEBT SERVICE Principal 9710 . 6 Serial Bonds $ $ $ 9720 . 6 Statutory Bonds 1 9730 . 6 Bond AnticipationNotes 9740 . 6 Capital Notes 9750 . 6 Budget Notes 9760 . 6 Tax AnticipationNotes 9770 . 6 Revenue Anticipation - Notes Total Principal $ $ $ 27 r HIGHNAY FUND APPROPRIATIONS ( CONTD . ) Snow and Miscellaneous ( Item 4 ) 19 7OBudget Preliminary Adopted , as Modified 1971 Budget 1911 Budget Interest • 9710 . 7 Serial Bonds • L $ I $ $ 9720 . 7 Statutory Bonds , 9730 . 7 Bond AnticipationNotes . 9740 . 7 Capital Notes . 9750 . 7 Budget Notes 976,0 . 7 Tax Anticipation Notes ' 9770 . 7 Revenue Anticipation Notes ' Total Interest $ $ $ Total Appropriations $ 40 , 200 . 00 $ 44 , 500 . 00 $ 44 , 500 . 00 ( Transfer Total " Adopted " to Page 1 ) ' fr • • • . , 28 HIGHWAY FUND APPROPRIATIONS Improvement Program _ 1 1970 Budget Preliminary Adopted ;.. ,-J as Modified 19 71 Budget . . 1971 Budget DE - 5150 Improvement Program ( Project No . 25 253 ) 5150 . 1 Personal Services $ 5 , 500 . 00 $ 5 , 500 . 00 $ 5 , 500 . 00 5150 . 4 Contractual Expenses 2 , 300 . 00 2 , 300 . 00 2 , 300 no 5150 . 6 Principal on Notes 5150 . 7 Interest on Notes 5150 . 8 Employee Benefits 300 . 00 300 no 300 . 00 5150 . 9 Transfer to Highway Fund Total Project No . 25253 $ 8 , 100 . 00 $ R , 1 nn no $ 8 , 100 . 00 DE - 5151 Improvement Program ( Project No . 29379 ) 5151 . 1 Personal Services $ 7 . 800 . 00 $ 3 , 220 . 00 $ 3 , 220 . 00 5151 . 4 Contractual Expenses 3 , 590 . 00 2 , 500 . 00 2 , 500 . 00 5151 . 6 Principal on Notes 5151 . 7 Interest on Notes 5151 . 8 Employee Benefits 400 . 00 400 . 00 400 . 00 5151 . 9 Transfer to Highway Fund Total Project No . 29379 $ 11 , 790 . 00 $ 6 , 120 . 00 $ 6 , 120 . 00 29381 ( DE - 5152 Improvement Program ( Project No . 29382 ) 5152 . 1 Personal Services $ 5 , 800 . 00 $ $ F. . 5152 . 4 Contractual Expenses 3 , 350 . 00 5152 . 6 Principal on Notes 5152 . 7 Interest on Notes 5152 . 8 Employee Benefits 300 . 00 5152 . 9 Transfer to Hi I lFund Total Project No . $ 9 . 450 . 00 $ $ Total Appropriations ( Transfer Total " Adopted to Page 1 ) $ 29 , 340 . 00 $ 14 , 220 . 00 $ 14 , 220 . 00 29 • HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE Machinery ( Item 3 ) 11/ r' 1970 Budget Preliminary Adopted as Modified 1971 Budget 19 71Budget LOCAL SOURCES DM- 1120 Non- Property Tax Distribution by County $ $ $ DM- 2401 Interest Earnings DM- 2416 Rental of Equipment , Other Governments 3 , 500 . 00 3 , 500 . 00 3 , 500 . 00 DM- 2810 Transfer from General Fund DM- 2812 Transfer from General Fund - Town Outside Village DM- 2840 Transfer from Highway Fund Miscellaneous ( Specify ) DM- - STATE AID DM- 3501 Highway , Traffic and Trans - portation Total Estimated Revenues . ' . ( Transfer Total " Adopted " to Page 1 ) $ 3 , 500 . 00 $ 3 , 500 . 00 $ 3 , 500 . 00 Total Estimated Unexpended Balance ( Transfer Total " Adopted " to Page 1 ) $ $ $ Snow and Miscellaneous ( Item 4 ) LOCAL SOURCES DS- 1120 Non - Property Tax Distribution by County DS - 2300 Services for Other Governments 3 , 000 . 00 _ 3 , 000 . 00 3 , 000 . 00 DS- 2401 Interest Earnings _ DS - 2810 Transfer from General Fund DS- 2812 Transfer from General Fund - Town Outside Village DS- 2840 Transfer from Highway Fund Miscellaneous ( Specify ) DS - 2l4axX ticMhutltsamaRtx2Rmwx & ximax STATE AID DS - 3501 Highway , Traffic and Trans - portation Total Estimated Revenues ( Transfer Total " Adopted " to Page 1 ) $ 3 , 000 . 00 $ 3 , 000 . 00 $ 3 , 000 . 00 Total Estimated Unexpended Balance ( Transfer Total " Adopted " to Page 1 ) $ $ $ 31 . . ;. . ? • HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE Highway Imrpovement Program 1970 Budget Preliminary Adopted as Modified 1. 971 Budget 1971 Budget LOCAL SOURCES )E - 1120 Non - Property Tax Distribution by • County $ $ $ DE - 2401 Interest Earnings DE - 2812 Transfer from General Fund - Town Outside .Village DE- 2840 Transfer from Highway Fund Miscellaneous ( Specify ) DE - STATE AID DE - 3501 Highway , Traffic and Trans - portation 2 , 920 . 00 2 , 92n nn 2 , 92n nn DE - 3521 Highway Improvement Program Total Estimated Revenues - Highway Improvement Program ( Transfer Total " Adopted " to Page 1 ) $ 2 , 92n nn $ 2 , 920 . 00 $ 2 , 920 . 00 Total Estimated Unexpended Balance - Highway Improvement Program • • ( Transfer Total " Adopted " to Page 1 ) $ $ $ f r • • 32 • . i. . . . • G . • • WATER DISTRICT - APPROPRIATIONS DRYDEN # 1 Water District t 19 70 Budget Preliminary Adopted as Modified 1971 Budget : 19 71 Budget S1N8310 Administration 8310 . 1 Personal Services $ 8310 . 2 Equipment --- - -- - - - -- -- ---- - -- 8310 . 4 Contractual Expenses Total $ $ $ • SW8320 Source of Supply , Power and Pumping 8320 . 1 Personal Services $_ _. 8320 . 2 XIVXXX Hydrants _ 11200 . 00 1200. 00 11200 . 00 8320 . 4 Contractual Expenses 200 . 00 1_3400 . 00 11400 . 00 _ _ _ Total $ 11T00 _00 $__ 2_06QQ , 0Q _ _$ 2 , 600 . 00 ' SW8330 Purification 8330 . 1 Personal Services $ 8330 . 2 Equipment _ -- - - - - - - 8330 . 4 Contractual Expenses Total 1 SW8340 "Transmission and Distribution 8340 . 1 Personal Services $ $ $ 8340 . 2 Equipment 500 . 00 8340 . 4 Contractual Expenses 500 . 00 500 . 00 Total $ 500 . 00 $ 500 . 00 $ 500 . 00 UNDISTRIBUTED SW 9000 Employee Benefits - - 9010 . 8 State Retirement 9033 . 8 Social Security 904D . 8 Canoensation Insurance 9045 . 8 Life Insurance 9350 . 8 Unemployment Insurance 9055 . 8 Disability Insurance 9060 . 8 Hospital and Medical Insurance Total $ $ $ __------- - 35 . • is ,e••-, WATER DISTRICT - APPROPRIATIONS ( CONTD . ) DRYDEN # 1 Water District 1 (7 0 Budget Preliminary Adopted BU as Modified 1971 Budget 1971' Budget UNDISTRITED SW9700 DEBT SERVICE . Principal 9710 . 6 Serial Bonds $ 3 , 600 . 00 $ 3 , 600 . 00 $ 3 , 600 . 00 9720 . 6 Statutory Bonds 9730 . 6 Bond Anticipation Notes __ _ . . 9740 . 6 Capital Notes 9750 . 6 Revenue Anticipation Notes 1 , 000 . 00 1 , 000 . 00 Total Principal $ 31600 . 00 $ 41600 . 00 $ 4 , 600 . 0o Interest 9710 . 7 Serial Bonds $ 5 , 400 . 00 $ 5 , 000 . 00 $ 5 , 000 . 00 9720 . 7 Statutory Bonds 9730 . 7 Bond Anticipation Notes 9740 . 7 Capital Notes • 9750 . 7 Budget Notes 9770 . 7 Revenue Anticipation Notes 20 . 91 20 . 91 Total Interest $`5 , 400 . 00 $ 5 , 020 . 91 $ 5 , 020 . 91 Total Water District - Appropriations $10 , 900 . 00 q; 12 , 720 . 91 $12 , 720 . 91 ( Transfer Total " Adopted " toPagel ) WATER DISTRICT - ESTIMATED REVENUES SW 2140 Metered Sales . $ $ $ SW 2142 Unmetered Sales SW 2144 Water Connection Charges SW 2148 Interest and Penalties on Water Rents SW 2401 Interest and Earnings on . Deposits and Investments SW 2650 Sales of Scrap and Excess Materials . SW 2655 Minor Sales , Other SW 2680 Insurance Recoveries SW 2690 Other Compensation for Loss Other ( Specify ) SW Total Water District - Estimated Revenues $ $ $ ( Transfer Total " Adopted " to Page 1 ) UNEXPENDED BALANCE Estimated Water District Unexpended Balance $ 2 , 000 . 00 $ 400 . 00 $ 400 . 00 ( Transfer Total " Adopted " to Page 1 ) . 36 • . • , r :, . ' .. TOWN OF DRYDEN • FIRE PROTECTION DISTRICT APPROPRIATIONS 19 70 Budget Preliminary Adopted as Modified 1971 Budget 19 71 Budget SF ( 1 ) - 3410 Fire Protection District 3410 . 4 Payments on Fire Contracts $ 14 , 400 . 00 $ 23 , 595 . 50 $ 23 , 595 . 50 1970 Negotiations 1 , 349 . 18 Total Fire Protection District - Appropriations $ 15 , 749 . 18 $ 23 , 595 . 50 $ 23 , 595 . 50 ( Transfer Total " Adopted " to Page 1 ) • ESTIMATED REVENUES _ _ SF ( 1 ) Total Fire Protection District - Estimated Revenues $ $ $ ( Transfer Total " Adopted " to Page 1 ) UNEXPENDED BALANCE Estimated Fire Protection District Unexpended Balance $ $ 2 , 900 . 00 $ 2 , 900 . 00 ( Transfer Total " Adopted " to Page 1 ) MC LEAN STREET LIGHTING XrECEICOUXXXEir MIXXHC4 arX APPROPRIATIONS XX0XXXXXXMXXXAAXXINAXIDahMa $ $ $ 5182 . 4 Street Lighting 45 . 00 45 • 00 45 . 00 Total alit-Lk; Lay}T District - ApprOpernrions S el' $ 45 . 00 $ 45 . 00 $ 45 . 00 ( Transfer Total " Adopted " to Page 1 ) ESTIMATED REVENUES SF ( 2 ) $ $ $ Total Fire Protection District - Estimated Revenues $ $ $ . _ . . ( Transfer Total " Adopted " to Page 1 ) UNEXPENDED BALANCE Estimated Fire Protection District , Unexpended Balance $ $ $ ( Transfer Total " Adopted " to Page 1 ) • 37 po • kI pt i SEWER DISTRICT - APPROPRIATIONS . 1 - , ti • . `i . 1 . ' i y, t DRYDEN " # 1 ` - Sewer District ' : 1970 Budget Preliminary Adopted f ., M , as Modified 19 71Budget 1971 Budget . : . . SS1950 ! 'Special Items 1950 . 4 Taxes on Sewer District Property $ $ $ . SS8110 ' Adninistration ` : rt . ::It t. r a • 8110 . 1 Personal Services. • t, c • r .. • -_ . - Th '''s " r 8110 . 2 Equipment _ r 8I10 . 4 Contractual '. es 4t , i : r I le . Total ; P. $ $ $ SS8120 Sewage Collecting System ' 8120 . 1 Personal Services $ $ $ 8120 . 2 Equipment 8120 . 4 Contractual Expenses - . Total $_ $ SS8130 . Sewage Treatment and Disposal 8130 . 1 Personal Services $ $ ' ' :3 : $ • ' 8130 . 2 Equipment 8130 . 4 Contractual Expenses Total $ $ $ , 0: ' p c rte . r !: UNDISTRIBUTED . SS9000 Employee , Benefits. - . , i ; R -,- , -t . µ111' , r1 ,, , , " 9010 .8 State Retirement $ • • ` $ J 9030 . 8 Social Security t . : • 9040 . 8 Compensation Insurance 9045 . 8 Life Insurance . . . . . . . . . . . . .. 9050 . 8 Unemployment Insurance 9055 . 8 Disability Insurance 9060 8 Hospital�, , . :a , � pital and Medical' 1 • Insurance • i` ; . t.: . . I. Total, , j , f, , X1' 1 $ $$ SS 9700 DEBT SERVICE Principal 9710 . 6 Serial Bonds • $ 2 , 1449 . 15 $ 988 . 00 $ 988 . 00 ' 9720 . 6 Statutory Bonds . . 9730 . 6 Bond AnticipationNotes 9740 . 6 Capital Notes , 9750 . 6 Budget Notes - , 9770 . 6 Revenue Anticipation Notes — Total Principal , . $ 2 , 449 . 15 $ 988 . 00 '$ 988 . 00 ■ • • • - .; • t • ■ 38 SEWER DISTRICT - APPROPRIATIONS ( CONTD . ) DRYDEN # 1 Sewer District 1970 Budget Preliminary Adopted as Modified 19 71Budget 1971 Budget SS9700 DEBT SERVICE Interest 9710 . 7 Serial Bonds $ $ � 1 381 . 54 $ 1 , 381 _54 9720 . 7 Statutory Bonds 9730 . 7 Bond Anticipation votes 9740 . 7 Capital Notes 9750 . 7 Budget Notes 9770 . 7 Revenue Anticipation Notes Total Interest $ $� , 3 �I • -$� , • Total Sewer District - 2 449 . 15 2 369 . 54 2 , 369 . 54 Appropriations $ ' $ ' _$ ( Transfer Total " Adopted " �T to Page 1 ) SEWER DISTRICT - ESTIMATED REVENUES SS2120 Sewer Rents SS2122 Sewer Charges - SS2123 Interest and Penalties on Sewer Rents SS2401 Interest and Earnings on � ! Deposits and Investments SS2650 Sales of Scrap and Excess Materials _ SS2655 Minor Sales , Other _ _ ��- SS2680 Insurance Recoveries SS2690 Other Compensation for Loss SS3901 State Aid for Operation and __— Maintenance of Sewage Disposal Plant SS3903 State Aid for Sewers Studies Other ( Specify SS Total Sewer District - Estimated Revenues ( Transfer Total " Adopted "to Page 1 ) SEWER DISTRICT - UNEXPENDED BALANCE Estimated Sewer District Unexpended Balances $ 1 , 500 . 00 $ 2 , 000 . 00 $ 2 , 000 . 00 ( Transfer Total " Adopted " to Page 1 ) 39 L SEWER DISTRICT - APPROPRIATIONS DRYDEN # 2 Sewer District - 1970 Budget Preliminary Adopted . as Modified 19 71 Budget 1971 Budget SS1950 Special Items, 1950 . 4 Taxes on Sewer . . District Property $ $ $ , , SS8110 Administration : 8110 . 1 Personal Services _ 8110 . 2 Equipment 8110 . 4 Contractual Expenses Total :; $ $ $ .. , SS8120 Sewage Collecting System 8120 . 1 Personal Services $ $ $ 8123 . 2 Equipment . _ . 8120 . 4 Contractual Expenses Total : $ $ $ . SS8130 Sewage Treatment and Disposal 8133 . 1 Personal Services $ $ $ 8130 . 2 Equipment 8130 . 4 Contractual Expenses 2 , 000 . 00 2 , 000 . 00 2 , 000 . 00 Total : $ 2 , 000 . 00 $ 2 , 000 . 00 $ 2 , .00. 0 . 00 UNDISTRIBUTED SS 9003 Employee Benef its 9010 . 8 State Retirement $ $ $ 9330 . 8 Social Security 9040 . 8 Compensation Insurance 9045 . 8 Life Insurance 9350 . 8 Unemployment Insurance 9055 . 8 Disability Insurance ' . 9060 . 8 Hospital and Medical Insurance Total ; . $ $ $ SS 9700 DEBT SERVICE \ Principal 1 9710 . 6 Serial Bonds i $ 6 , 000 . 00 $ 61000 . 00 $ 6 , 000 oo 9723 . 6 Statutory Bones ' 9730 . 6 Bond Anticipation Notes _ 9740 . 6 Capital Notes 9750 . 6 Budget Notes 9770 . 6 Revenue Anticipation Notes 80 , 000 . 00 60 , 000 . 00 60 , 000 . 00 Total ; Principal . t ' ? ° ° 00 $ 66 , 000 . 00 166 , 000 . 00 . , . . :` . . - SEWER DISTRICT - APPROPRIATIONS ( CONTD . ) DRYDEN '...: # 2 ' Sewer District , • . , . ' 1970 Budget Preliminary Adopted as Modified 19 71Budget 1971 Budget SS9700 DEBT SERVICE ; Interest 16 34 8 . 00 9710 . 7 Serial Bonds $ $__ 15 , 946 . 00 $ �i _5 , 946 . 00 9720 . 7 Statutory Bonds _ 9730 . 7 Bond AnticipationNotes 9740 . 7 Capital No / es 9750 . 7 Budget Notes r_ _ _ _ • 9770 . 7: Revenue Anticipation - Notes 3 , 600 . 00 2 , 700 . 00 2 , 700 . 00 • Total Interest $ 19 , 948 . 00 $ 1646 . 00 $ 18 , 6 146 . 00 Total Sewer District 107 , 948 . 00 86 , 646 . 00 86 , 646 : 00 Appropriations $ ( Transfer Total " Adopted " - _ - -� to Page 1 ) ;: SEWER DISTRICT E : ESTIMATED REVENUES SS2120 Sewer Rents . . , $ $ SS2122 Sewer Charges _ _ �_— _ SS2123 Interest and Penalties on �r Sewer Rents . . . SS2401 Interest and Earnings on Deposits and Investments SS2650 Sales of Scrap 4.nd Excess Materials SS2655 Minor Sales , Other SS2680 Insurance Recoveries --- --- _ __ T�~� SS2690 Other Compensation for Loss _ + SS3901 State Aid for Operation and Maintenance of , Sewage Disposal Plant ' SS3903 State Aid for Sewers Studies ---------- Other ( Specify ---'— --- _--_ -- _ SS Ba1 . Due FWPCALNYS Aid 82 . 435 . 00— __ 63 , 000 , 00 . 6P , 000 . 00 ' Total Sewer District - Estimated Revenues $_ 82 ; 435 . 00 $ 63 , 000 . 00 $ 63 , 000 . 00 ( Transfer Total . " Adopted " '- � - to Page 1 ) ; . r . . SEWER DISTRICT - UNEXPENDED BALANCE Estimated Sewer District '' Unexpended Balances y , . $ 10 , 000 . 00 $__ 4 , 700 . 00 $ 4 , 700 . 00 na ' ( Transfer Total " Adopted" to Page 1 ) ! s 1 X9 42 SCHEDULE OF SALARIES OF TOWN OFFICERS ( ARTICLE 8 OF THE TOWN LAW ) Officer Salary Supervisor $ 2 , 1400 . 00 Councilmen ( 4 ) 3 , 200 . 00 Highway Superintendent 11 , 800 . 00 Town Clerk 3 , 500 . 00 Town Justice ( 2 ) 6 , 000 . 00 1 47 • • VAR NA LIGHTING DISTRICT APPROPRIATIONS 1970 Budget Preliminary Adopted as Modified 1971 Budget 1971Budget SL ( 1 ) - 5182 Lighting District • 5182. 4 Street Lighting $ 1 , 250 . 00 $ 1 , 250 . 00 $ 1 , 250 . 00 Total Lighting District - Appropriations $ 1 , 250 . 00 $ 1 , 250 . 00 $ 1 , 250 . 00 ( Transfer Total " Adopted " to Page 1 ) - - ESTIMATED REVENUES SL ( 1 ) $ $ $ Total Lighting District - Estimated Revenues $ $ $ . _ ._. . -. . . ( Transfer Total " Adopted " to Page - - ^- JJNEXPENDED BALANCE Estimated Lighting District Unexpended Balance ( Transfer . Total " Adopted " to Page . 1 ) - ---~'-�_ ___ --____ -,_ - ETNA LIGHTING DISTRICT APPROPRIATIONS SL ( 2 ) - 5182 Lighting District • 5182 . 4 Street Lighting $ 716 . 00 $ 716 . 00 $ 716 . 00 Total Lighting District - Appropriations $ 716 . 00 $ 716 . 00 $ 716 . 00 ( Transfer Total " Adopted " to Page 1 ) - - - -- -�� ^- ESTIMATED REVENUES SL( 2 ) i $ $ $ Total Lighting District - Estimated Revenues $ $ $ ( Transfer Total , " Adopted " to Page 1 ) UNEXPENDED BALANCE . • - -Estimated Lighting District . Unexpended, Balance $ $ $ • ( Transfer Total " Adopted " to Page 1 ) - - __- --- + - -- • • • 34 ■ HIGHWAY FUNDS - ESTIMATED REVENUES AND ESTIMATED UNEXPENDED BALANCE Repairs and Improvements ( Item 1 ) . 1970 Budget Preliminary Adopted as Modified 1971 Budget 1971 Budget LOCAL . SOURCES - 1120 Non - Property Tax Distribution by County . $ $ $ R - 2401 Interest Earnings DR - 2812 Transfer from General Fund - - Town Outside Village 12 , 400 . 00 12 , 400 . 00 12 , 400 . 00 DR - 2840 Transfer from Highway Fund Miscellaneous ( Specify ) " ' DR - Highway Law 279 8 , 000 . 00 8 , 000 . 00 8 , 000 . 00 • . I STATE AID DR - 3501 Highway , Traffic and Transporta - tion •- • 2 , 000 . 00 2 , 000 . 00 2 , 000 . 00 DR - 3507 Mileage and Valuation Aid Total Estimated Revenues ( Transfer Total " Adopted " -to Page 1 ) $ 22 , 400 . 00 $ 22 , 400 . 00 $ 22 , 400 . 00 • Total Estimated Unexpended Balance ( Transfer Total " Adopted " to Page 1 ) $ $ $ Bridges ( Item 2 ) LOCAL SOURCES • 20 Non - Property Distribution . . 11 Non Property Tax Distribute n by County $ $ $ B- 2401 Interest Earnings DB- 2810 Transfer from General Fund • DB- 2840 Transfer from Highway Fund - Miscellaneous ( Specify ) r . DB- STATE AID DB- 3501 Highway , Traffic and Transporta - . . . tion • Total Estimated Revenues ( Transfer Total " Adopted " to Page 1 ) $ $ $ Total Estimated Unexpended Balance ( Transfer Total " Adopted " to Page 1 ) $ • 30 •