HomeMy WebLinkAboutFiscal Report of the Supervisor 2022All Numbers in This Report
Have Been Rounded To
The Nearest Dollar
ANNUAL FINANCIAL REPORT
UPDATE DOCUMENT
For The
TOWN of Groton
County of Tompkins
For the Fiscal Year Ended 12/31/2022
RECEWED & FILED
Office of the Town Clerk
101 Conger Boulevard, Groton, NY
f
Date , ; 20,,� 5 Time e: i AM - PM
Robin Cargian, RMC, Grotto Town Clerk
*************************************************************************************************************************************
AUTHORIZATION
ARTICLE 3, SECTION 30 of the GENERAL MUNICPAL LAW:
1. ***Every Municipal Corporation *** shall annually make a report of its
financial condition to the Comptroller. Such report shall be made by the
Chief Fiscal Officer of such Municipal Corporation ***
5. All reports shall be certified by the officer making the same and shall
be filed with the Comptroller *** It shall be the duty of the incumbent
officer at the time such reports are required to be filed with the
Comptroller to file such report ***
State of NEW YORK
Office of The State Comptroller
Division of Local Government and School Accountability
Albany, New York 12236
Page 1
TOWN OF Groton
*** FINANCIAL SECTION ***
Financial Information for the following funds and account groups are included in the Annual Financial Report filed by
your government for the fiscal year ended 2021 and has been used by the OSC as the basis for preparing this
update document for the fiscal year ended 2022:
(A) GENERAL
(B) GENERAL TOWN -OUTSIDE VG
(CD) SPECIAL GRANT
(DA) HIGHWAY -TOWN -WIDE
(DB) HIGHWAY -PART -TOWN
(K) GENERAL FIXED ASSETS
(SF) FIRE PROTECTION
(SL) LIGHTING
(TA) AGENCY
(TC) CUSTODIAL
(W) GENERAL LONG-TERM DEBT
All amounts included in this update document for 2021 represent data filed by your government with
OSC as reviewed and adjusted where necessary.
*** SUPPLEMENTAL SECTION ***
The Supplemental Section includes the following sections:
1) Statement of Indebtedness
2) Schedule of Time Deposits and Investments
3) Bank Reconciliation
4) Local Government Questionnaire
5) Schedule of Employee and Retiree Benefits
6) Schedule of Energy Costs and Consumption
All numbers in this report will be rounded to the nearest dollar.
Page 2
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(A) GENERAL
Balance Sheet
w.e+., R:,
Assets
Cash
372
A200
Cash In Time Deposits
531,624
A201
592,218
Petty Cash
400
A210
400
TOTAL Cash
632,396
592,618
Prepaid Expenses
2,632
A480
4,975
TOTAL Prepaid Expenses
2,632
4,975
Cash Special Reserves
129,021
A230
129,218
TOTAL Restricted Assets
129'021
129,218
TOTAL Assets and Deferred Outflows of Resources
664,049
726,811
Page 3 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(A) GENERAL
Balance Sheet
ode De cfiptao
`,�<,;. '�#,�,
, A2 6 d
•,{ �r ...--:: -- .__-
'r' t-
Accounts Payable
10,222
A600
7,124
TOTAL Accounts Payable
10,222
71124
Accrued Liabilities
8,450
A601
1,246
TOTAL Accrued Liabilities
8,460
1,246
Other Liabilities
182,820
A688
249,664
Overpayments & Clearing Account
-1,461
A690
3,785
TOTAL Other Liabilities
181,359
263,449
State Retirement
372
A718
TOTAL Due To Other Governments
372
0
TOTAL Liabilities ;.
200,403
261,819
Fund Balance
Not in Spendable Form
2,632
A806
4,975
TOTAL Nonspendabie Fund Balance
2,632
4,975
Unemployment Insurance Reserve
10,441
A815
10,469
Capital Reserve
118,580
A878
118,749
TOTAL Restricted Fund Balance
129,021
129,218
Assigned Appropriated Fund Balance
97,000
A914
180,000
TOTAL Assigned Fund Balance
97,000
180,000
Unassigned Fund Balance
234,993
A917
150,800
TOTAL Unassigned Fund Balance
234,993
160,800
TOTAL Fund Balance
a.
463,646
464,992
TOTAL Liabilities, Deferred Inflows And Fund Balance
664,049
726,811
Page 4 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(A) GENERAL
Results of Operation
r
202n,ten
�
Revenues
Real Property Taxes
498,000
A1001
505,217
TOTAL Real Property Taxes
498,000
506,217
Interest & Penalties On Real Prop Taxes
3,784
A1090
3,620
TOTAL Real, Property Tax Items
3,784. -
3,620
Tax Collector Fees
247
A1232
13
Clerk Fees
1,677
A1255
1,329
Public Pound Charges, Dog Control Fees
240
A1550
513
TOTAL Departmental Income
2,164
1,855
Interest And Earnings
1,679
A2401
2,438
TOTAL Use of Money And Property
1,679 .
2,438
Dog Licenses
12,889
A2544
11,918
TOTAL Licenses And Permits
12,889
11,918
Fines And Forfeited Bail
15,140
A2610
15,616
Fines & Pen -Dog Cases
125
A2611
450
TOTAL Fines And Forfeitures
15,266
16,066
Sales, Other
1
A2655
46
Insurance Recoveries
1,045
A2680
721
TOTAL Sale of Property And Compensation For Loss
1,046
767
Refunds of Prior Year's Expenditures
1,000
A2701
822
AIM Related Payments
8,000
A2750
8,000
Unclassified (specify)
A2770
1,188
Additional Description Misc Rev
TOTAL Miscellaneous Local Sources
91000
10,010
St Aid, Mortgage Tax
86,604
A3005
77,299
TOTAL State Aid
86,604 '"
77,299
Federal Aid - Other
A4089
115,976
TOTAL" Federal Aid . _ .
0 :.
''
115,976
TOTAL Revenues,
630,430
745,164
TOTAL Detail Revenues And Other Sources
630,430
745,164
Page 5 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(A) GENERAL
Results of Operation
�,zg,g,�7y:"".�". " ' ;$ �`� )� � .'<..�� ✓,? J. �. - ,,y, .�.. w;a z;r �.sc d .. �xa, .,, . �,:w;,�-n ""`F j� f'') •��
Expenditures
Legislative Board, Pers Sery
15,050
A10101
15,784
Legislative Board, Contr Expend
A10104
130
TOTAL Legislative Board :
15,060 -
16,914
Municipal Court, Pers Sery
61,886
A11101
71,077
Municipal Court, Contr Expend
2,613
A11104
7,477
TOTAL Municipal Court
64,499
78,553
Supervisor,pers Sery
42,488
A12201
46,032
Supervisor,contr Expend
527
A12204
1,061
TOTAL Supervisor,
43,014
47,093
Auditor, Contr Expend
9,900
A13204
11,050
TOTAL Auditor
9,900
11,050
Tax Collection, contr Expend
2,448
A13304
2,637
TOTAL Tax Collection
2,448
2,637
Clerk,pers Sery
60,206
A14101
54,658
Clerk,equip & Cap Outlay
150
A14102
1,589
Clerk,contr Expend
1,452
A14104
3,244
TOTAL Clerk" '
61,808
59,491
Law, Contr Expend
10,000
A14204
10,000
TOTAL, Law.;` : ,'
10,000
10,000
Personnel, Pers Sery
27,044
A14301
19,686
Personnel, Contr Expend
285
A14304
22
TOTAL Personnel: ;
27,329
19,708
Operation of Plant, Pers Sery
6,623
A16201
6,106
Operation of Plant, Contr Expend
60,209
A16204
72,851
TO TAL`Operation of.Plant '
66,832,
78,958
Central Garage Contr Expend
4,851
A16404
3,487
TOTAL Central Garage Contr Expend
4,851
3,487
Central Print & Mail Contr Expend
2,297
A16704
2,585
TOTAL yCentral Print & Mail Contr Expend
2,297
2,585
Unallocated Insurance, Contr Expend
66,977
A19104
68,477
TOTAL Unallocated Insurance
66,977 "
68,477
Municipal Assn Dues, Contr Expend
1,000
A19204
1,000
TOTAL Municipal Assn Dues t
11000
1,000
TOTALGeneral Government Support
376,007 :.
398,952
Traffic Control, Pers Sery
2,366
A33101
2,905
Traffic Control, Contr Expen
12,969
A33104
8,943
TOTAL Traffic Control ' :
15,335
11,847
Control of Animals, Contr Expend
20,941
A35104
22,152
TOTAL Control of Animals .
20,941
22,152
TOTAL Public Safety
36,276
33,999
Street Admin, Pers Sery
70,465
A50101
70,465
Street Admin, Equip & Cap Outlay
743
A50102
842
Street Admin, Contr Expend
1,167
A50104
1,067
TOTAL"Street Admin '. , .'`
72,375
72,374
Page 6 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(A) GENERAL
Results of Operation
S t10
_ _
ME
Expenditures
Other Transportation, Contr Expend
A56804
478
TOTAL Other Transportation
0.
.. *':
478
TOTAL Transportation #
72,375
72,852
Admin, Contr Expend
1,500
A60104
1,500
TOTAL Admin."';,', a ,
1,500
1,500
Veterans Service, Contr Expend
300
A65104
TOTAL Veterans Service
300 "
0
Programs For Aging, Contr Expend
5,300
A67724
5,300
TOTAL Programs, For Aging,
5,300
5,300
TOTAL Economic Assistance And Opportunity
7,100 "
6,800
Youth Prog, Contr Expend
683
A73104
784
TOTAL Youth Prog
683 "`
784
Historian, Pers Sery
1,650
A75101
1,750
Historian, Contr Expend
249
A75104
143
TOTAL Historian".'" "
1,899
1,893
Historical Property, Contr Expend
2,300
A75204
TOTAL Historical Property
2,300
0
Celebrations, Contr Expend
145
A75504
383
TOTAL Celebrations' ° ` :
145
383
TOTAL Culture And Recreation
5,027 .
: ,"
3,059
Cemetery, Contr Expend
1,208
A88104
1,143
TOTAL Cemetery
1,143
TOTAL Home And Community Services
1,208
1,143
State Retirement System
19,000
A90108
22,600
Social Security, Employer Cont
21,395
A90308
21,560
Worker's Compensation, Empl Bnfts
12,500
A90408
12,000
Unemployment Insurance, Empl Bnfts
A90508
Disability Insurance, Empl Bnfts
70
A90558
100
Hospital & Medical (dental) Ins, Empl Bnft
51,108
A90608
59,753
TOTAL Employee Benefits : _'; _
104,073-
, , ;' - . ,,
:. 116,012
TOTAL Expenditures ".
602,065
632,817
Transfers, Other Funds
A99019
115,976
TOTAL'Operating Transfers'
0
116,976
TOTAL Other Uses
0. "
. "::. ,
115,976
TOTAL -Detail Expenditures And Other Uses
602,065 ,
" .,.,">.." "
748,793
Page 7 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(A) GENERAL
Analysis of Changes in Fund Balance
Analysis of Changes in Fund Balance
Fund Balance - Beginning of Year
435,281
A8021
463,646
Prior Period Adj -Increase In Fund Balance
A8012
4,975
Restated Fund Balance - Beg of Year
435,281
A8022
468,621
ADD - REVENUES AND OTHER SOURCES
630,430
745,164
DEDUCT - EXPENDITURES AND OTHER USES
602,065
748,793
Fund Balance - End of Year
463,646
A8029
464,992
Page 8 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(A) GENERAL
Budget Summary
.22`
YQ2rK'
Estimated Revenues
Est Rev - Real Property Taxes
504,500
A1049N
504,500
Est Rev - Real Property Tax Items
4,600
A1099N
4,600
Est Rev - Departmental Income
1,400
A1299N
1,450
Est Rev - Use of Money And Property
1,300
A2499N
1,600
Est Rev - Licenses And Permits
12,000
A2599N
11,000
Est Rev - Fines And Forfeitures
14,200
A2649N
14,200
Est Rev - Miscellaneous Local Sources
8,000
A2799N
8,000
Est Rev - State Aid
50,000
A3099N
55,000
TOTAL Estimated Revenues '
596,000
600,350
Appropriated Fund Balance
97,000
A599N
180,000
TOTAL Estimated Other Sources
97,000
180,000
TOTAL Estimated Revenues And Other Sources
693,000
780,350
Page 9 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(A) GENERAL
Budget Summary
20� �' ,.
L�'
Appropriations
App - General Government Support
442,035
A1999N
515,563
App - Public Safety
35,500
A3999N
36,320
App - Transportation
72,665
A5999N
75,484
App - Economic Assistance And Opportunity
9,100
A6999N
9,100
App - Culture And Recreation
5,700
A7999N
5,970
App - Home And Community Services
1,300
A8999N
1,500
App - Employee Benefits
126,700
A9199N
136,413
TOTAL Appropriations
693,000
780,350
TOTAL Appropriations And Other Uses
693,000
780,360
Page 10 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(B) GENERAL TOWN -OUTSIDE VG
Balance Sheet
2022.,r;
Assets
Cash In Time Deposits 208,419 B201 264,526
TOTAL Cash 208,419 264,526
Due From Other Governments 15,000 B440 17,000
TOTAL Due, From Other Governments 15,000 17,000
TOTAL Assets and Deferred Outflows of Resources 223,419 281,526
Page 11 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(B) GENERAL TOWN -OUTSIDE VG
Balance Sheet
[(,,., :^�.y �■Y�"w� .,,'; 'fir .y �;ay. •k-t .,<: ` r.rL 021
gykipesc . 0 4 bpi
_B600
Accounts Payable
26,264
TOTAL Accounts Payable
0
26,264
Accrued Liabilities
417 B601
398
TOTAL Accrued Liabilities
417
398
TOTAL Liabilities
417
26,662
Fund Balance
Assigned Appropriated Fund Balance
58,000 B914
Assigned Unappropriated Fund Balance
165,002 B915
254,864
TOTAL Assigned Fund Balance
223,002
254,864
TOTAL Fund Balance,
223,002 :;
254,864
TOTAL Liabilities, Deferred Inflows knd Fund Balance
223,419
281,526
Page 12 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(B) GENERAL TOWN -OUTSIDE VG
Results of Operation
es r� ... �. �,� h�'arw„i
°'a�.. V
. MMLSi.'
l'T"L2. "L.�,..:.�`.J
Revenues
Real Property Taxes
192,500
B1001
192,500
TOTAL Real Property Taxes
192,500
192,500
Sales Tax (from County)
110,600
B1120
96,540
Franchises
12,611
B1170
3,046
TOTAL Non Property Tax Items
123,211
99,586
Zoning Fees
125
B2110
120
Planning Board Fees
390
B2115
5,672
TOTAL Departmental Income
515
5,792
Interest And Earnings
566
B2401
688
TOTAL Use of Money And Property
566
688
Licenses, Other
50
B2545
50
Building And Alteration Permits
13,061
B2555
18,989
TOTAL Licenses And Permits
13,111
19,039
AIM Related Payments
25,878
B2750
25,878
TOTAL Miscellaneous Local Sources
26,878
25,878
TOTAL Revenues
355,781
343,484
TOTAL Detail Revenues And Other Sources
355,781
343,484
Page 13 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(B) GENERAL TOWN -OUTSIDE VG
Results of Operation
Expenditures
Municipal Assn Dues, Contr Expend
270
B19204
TOTAL Municipal Assn Dues'-270
0
TOTAL General Government Support
270 ,
0
Ambulance, Contr Expend
168,500
B45404
173,000
TOTAL Ambulance
168,500 .
-
173,000
TOTAL Health; ; ,
168,500
173,000
Playgr & Rec Centers, Contr Expend
13,000
B71404
23,000
TOTAL Playgr & Rec Centers
13,000
23,000
Joint Youth Prog, Contr Expend
36,216
B73204
34,684
TOTAL Joint Youth Prog
36,216
34,684
Celebrations, Contr Expend
1,000
B75504
TOTAL Celebrations
1;000
0
TOTAL Culture And Recreation
50,216
57,684
Zoning, Pers Sery
50,445
B80101
53,009
Zoning, Contr Expend
258
B80104
236
TOTAL Zoning , : `
50,703
53,245
Planning, Pers Sery
6,604
B80201
6,550
Planning, Contr Expend
1,143
B80204
1,094
TOTAL Planning...
7,747.
7,646
TOTAL Home And"Community Services
58,450
60,889
State Retirement, Empl Bnfts
8,500
B90108
10,000
Social Security, Empl Bnfts
4,180
690308
4,548
Worker's Compensation, Empl Bnfts
2,500
B90408
2,000
Hospital & Medical (dental) Ins, Empl Bnft
3,200
B90608
3,500
TOTAL Employee�Benefits
18,380
m
20,048
TOTAL Expenditures.
296,815
311,622
TOTAL Detail Expenditures And Other Uses
295,816
311,622
Page 14 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(B) GENERAL TOWN -OUTSIDE VG
Analysis of Changes in Fund Balance
r:Q�@�:.C?4SrGt�p QI� `9' ' � ,. :• - `q�. ��=�,�x:..r�", � .`�" � .... �QCie ; ;2022w ��
Analysis of Changes in Fund Balance
Fund Balance - Beginning of Year
173,036 B8021
223,004
Prior Period Adj -Decrease In Fund Balance
10,000 B8015
Restated Fund Balance - Beg of Year
163,036 B8022
223,004
ADD - REVENUES AND OTHER SOURCES
355,781
343,484
DEDUCT - EXPENDITURES AND OTHER USES
295,815
311,622
Fund Balance - End of Year
223,004 B8029
254,868
Page 15 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(B) GENERAL TOWN -OUTSIDE VG
Budget Summary
Estimated Revenues
Est Rev - Real Property Taxes
192,500
B1049N
192,500
Est Rev - Non Property Tax Items
59,000
B1199N
64,000
Est Rev - Departmental Income
1,100
B1299N
1,100
Est Rev - Use of Money And Property
450
B2499N
500
Est Rev - Licenses And Permits
9,050
B2599N
9,050
Est Rev - Miscellaneous Local Sources
19,000
B2799N
26,878
TOTAL Estimated Revenues
281,100
294,028
Appropriated Fund Balance
58,000
B599N
75,000
TOTAL Estimated Other Sources
58,000
75,000
TOTAL Estimated Revenues And Other Sources
339,100
369,028
Page 16 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(B) GENERAL TOWN -OUTSIDE VG
Budget Summary
YVWt b.•'t �«. x r ,t: +m� riI4§! p�,>1 ad.
' D
:M''
2
Appropriations
App - General Government Support
10,150
B1999N
10,342
App - Health
173,000
B4999N
177,000
App - Economic Assistance And Opportunity
250
B6999N
250
App - Culture And Recreation
70,500
B7999N
91,000
App - Home And Community Services
64,300
B8999N
72,536
App - Employee Benefits
20,900
B9199N
17,900
TOTAL Appropriations
339,100
369,028
TOTAL Appropriations And Other Uses
339,100
369,028
Page 17 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(CD) SPECIAL GRANT
Balance Sheet
',C �d bi �s 6 6t 1! 9
M REAM
Assets
Cash In Time Deposits 43,051 CD201 43,067
TOTAL Cash 43,061 43,067
TOTAL Assets and Deferred Outflows of Resources 43,051 43,067
Page 18 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(CD) SPECIAL GRANT
Balance Sheet
. .. hy,: $"„�,,, .A ':r
,nrle bescrintirr•on Y=x a 7 R'1 .b,.� 1
Fund Balance
Assigned Unappropriated Fund Balance 43,051 CD915 43,067
TOTAL Assigned Fund Balance 43,051 43,067
TOTAL Fund Balance 43,051 43,067
TOTAL Liabilities, Deferred Inflows And Fund Balance 43,051 43,067
Page 19 OSC Municipality Code 500335200000
(CD) SPECIAL GRANT
Results of Operation
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
Page 20 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
Results of Operation
.r, .+w';:. +. w..qr �,.,ti"'
otle bi a1.rk tion. :z
Page 21
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(CD) SPECIAL GRANT
Analysis of Changes in Fund Balance
Analysis of Changes in Fund Balance
Fund Balance - Beginning of Year 43,029 CD8021 43,051
Restated Fund Balance - Beg of Year 43,029 CD8022 43,051
ADD - REVENUES AND OTHER SOURCES 22 16
Fund Balance - End of Year 43,051 CD8029 43,067
Page 22 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(DA) HIGHWAY -TOWN -WIDE
Balance Sheet
f°" '.&" !.'q 4i.M+(., �aP`.'�°°3=: 3�;,'wS,.. ! .. �i},, a<..'x.
..t:`.1
e. � sCi � too Sx y, . d,
,.,,. ,. �tm . ;: ,..gqq ////� •r?"
y.' f vx6: •,Xr: .C, ...`�. �
,�,;
/(�n ¢ r. t
Assets
Cash In Time Deposits
132,026
DA201 122,894
TOTAL Cash
132,026
122,894
Prepaid Expenses
5,040
DA480
TOTAL Prepaid Expenses
6,040
0
Cash Special Reserves
194,075
DA230 220,875
Investments In Securities Special Reserves
DA452 73,905
TOTAL Restricted Assets
194,075,1
294,780
TOTAL Assets and Deferred Outflows of Resources
331,141
417,674
Page 23 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(DA) HIGHWAY -TOWN -WIDE
Balance Sheet
Pit^
�i'�,'." ^r-m^^, /a�^^^
m, aID;� �x.:e,.�.a"s�"
kli
�{. x. ^�.«
N �'+�,".^---^r�.__•`___ '.
Accounts Payable
36,753
DA600
65,378
TOTAL Accounts Payable 4
36,763
65,378
Accrued Liabilities
6,714
DA601
7,308
TOTAL Accrued Liabilities
6,714
7,308
TOTAL Liabilities i .
43,467
72,686
Fund Balance
Not in Spendable Form
5,040
DA806
TOTAL Nonspendable Fund Balance
5,040..
0
Capital Reserve
194,075
DA878
73,905
Other Restricted Fund Balance
14,998
DA899
TOTAL Restricted Fund Balance
209,073
73,905
Assigned Appropriated Fund Balance
16,000
DA914
80,000
Assigned Unappropriated Fund Balance
57,561
DA915
191,083
TOTAL Assigned .Fund Balance
73,561
271,083
TOTAL Fund Balance
287,673
344,988
TOTAL Liabilities, Deferred Inflows And Fund Balance
331,141
417,674
Page 24 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(DA) HIGHWAY -TOWN -WIDE
Results of Operation
Revenues
Real Property Taxes
675,000
DA1001
705,000
TOTAL Real Property Taxes.
675,000
705,000
Snow Removal Services -Other Govts
177,732
DA2302
214,701
TOTAL Intergovernmental Charges
177,732
214,701
Interest And Earnings
1,204
DA2401
1,542
TOTAL Use of Money And Property
1,204
1,542
Sales of Scrap & Excess Materials
9,962
DA2650
17,690
TOTAL Sale of Property And Compensation For Loss
9,962
17,690
Refunds of Prior Year's Expenditures
3,295
DA2701
650
Unclassified (specify)
8,038
DA2770
4,380
TOTAL Miscellaneous Local Sources
11,333
5,030
TOTAL Revenues
876,232
943,962
Interfund Transfers
DA5031
115,976
TOTAL Interfund Transfers
0
115,976
TOTAL Other Sources
0
115,976
TOTAL Detail Revenues And Other Sources
875,232
1,069,938
Page 25 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(DA) HIGHWAY -TOWN -WIDE
Results of Operation
4e,.
Expenditures
Maint of Bridges, Pers Sery
703
DA51201
14,973
Maint of Bridges, Contr Expend
18,686
DA51204
6,085
TOTAL Maint of Bridges
19,389
21,059
Machinery, Pers Sery
75,227
DA51301
84,314
Machinery, Equip & Cap Outlay
14,162
DA51302
162,287
Machinery, Contr Expend
126,208
DA51304
134,307
TOTAL Machinery,
215,697
380,908
Brush And Weeds, Pers Sery
23,471
DA51401
17,241
Brush And Weeds, Contr Expend
4,210
DA51404
2,395
TOTAL Brush And Weeds
27,680
19,636
Snow Removal, Pers Sery
111,468
DA51421
108,832
Snow Removal, Equip & Cap Outlay
DA51422
138,076
Snow Removal, Contr Expend
73,455
DA51424
76,503
TOTAL Snow Removal _
184,922
323,411
Services Other Govts, Pers Sery
34,857
DA51481
39,595
Services Other Govts, Contr Expend
97,216
DA51484
125,380
TOTAL "Services Other Govts
132,073
164,975
TOTAL Transportation
579,662 .
909,989
State Retirement, Empl Bnfts
36,973
DA90108
41,000
Social Security , Empl Bnfts
18,233
DA90308
19,802
Worker's Compensation, Empl Bnfts
9,625
DA90408
10,000
Disability Insurance, Empl Bnfts
175
DA90558
142
Hospital & Medical (dental) Ins, Empl Bnft
37,802
DA90608
21,691
TOTAL Employee.z...Benefits' ; " ,
AL �� r......._....:...... , ..
102,808
92,634
TOTAL Expenditures., = ,
682,470' .
" " ; .:
1,002,623
TOTAL Detall Expenditures And Other Uses
682,470
1,002,623
Page 26 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(DA) HIGHWAY -TOWN -WIDE
Analysis of Changes in Fund Balance
A<<fflwookm
C,
Analysis of Changes in Fund Balance
Fund Balance - Beginning of Year
94,911 DA8021
287,677
Prior Period Adj -Decrease In Fund Balance
DA8015
4
Restated Fund Balance - Beg of Year
94,911 DA8022
287,673
ADD - REVENUES AND OTHER SOURCES
875,232
1,059,938
DEDUCT - EXPENDITURES AND OTHER USES
682,470
1,002,623
Fund Balance - End of Year
287,677 DA8029
344,993
Page 27 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(DA) HIGHWAY -TOWN -WIDE
Budget Summary
'... ,. ,,. iw"
AVIANhod n,_nA':d.�a
fid"p�
Estimated Revenues
Est Rev - Real Property Taxes
705,000
DA1049N
705,000
Est Rev - Intergovernmental Charges
214,701
DA2399N
178,159
Est Rev - Use of Money And Property
700
DA2499N
1,000
Est Rev - Sale of Prop And Comp For Loss
5,000
DA2699N
5,000
Est Rev - Miscellaneous Local Sources
3,000
DA2799N
3,000
TOTAL Estimated Revenues
928,401
892,159
Appropriated Fund Balance
16,000
DA599N
80,000
TOTAL Estimated Other Sources
16,000
„80,000
TOTAL Estimated Revenues And Other Sources
944,401
972,159
Page 28 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(DA) HIGHWAY -TOWN -WIDE
Budget Summary
..r•, w, t ;5, y.. ..,r .4,•:"7"'y, .'1:4.', r ✓ 'an'<� z ,y.
F•re^»» : ppr*z*Y' ig F,aa" ,p „�. g q" mil. ;°. !�/'� rye"•' k . ,�•, yg }�+r /"/'� �, i 1 r /►//� <'a`a',2;'�.
e' .f.rs �1 M ?Ka�,,.,�?�'., `iu f/X 9: �E±;,`a'��� ,°k•%';'.'• �'. y.'.G1Js.�4 °fix i�'/fir rAM� rVM� _ _ ,,.yf�V#rt � +�'�,yr'� ".>
Appropriations
App - Transportation 721,201 DA5999N 715,459
App - Employee Benefits 123,200 DA9199N 81,700
TOTAL Appropriations 844,401 797,159
Other Budgetary Purposes 100,000 DA962N 175,000
TOTAL Other Uses ?, 100,000 175,000
TOTAL Appropriations And Other Uses 944,401 972,159
Page 29 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(DB) HIGHWAY -PART -TOWN
Balance Sheet
, "q,, •.-:
:�0,""�;�""
Assets
Cash In Time Deposits 681,012 DB201 921,776
TOTAL Cash, 681,012 921,776
Due From Other Governments 81,419 DB440 70,000
TOTAL Due From Other Governments 81,419 70,000
Prepaid Expenses DB480 2,693
TOTAL Prepaid Expenses 0 2,693
TOTAL Assets and Deferred Outflows of Resources 762,432 994,468
Page 30 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(DB) HIGHWAY -PART -TOWN
Balance Sheet
Accounts Payable
88
DB 600
109
TOTAL Accounts Payable
88
109
Accrued Liabilities
782
DB601
128
TOTAL Accrued Liabilities
782,
"
128
TOTAL Liabilities t
870
236
Fund Balance
Assigned Appropriated Fund Balance
180,000
DB914
Assigned Unappropriated Fund Balance
581,561
DB915
994,232
TOTAL Assigned Fund Balance
761,561
" :: ".
994,232
TOTAL Fund Balance
. 761,561
994,232
TOTAL Liabilities, Deferred Inflows And Fund Balance
762,432
994,468
Page 31 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(DB) HIGHWAY -PART -TOWN
Results of Operation
4.v "r�,z
"T�,y," 0
"M•,i
ff
Revenues
Real Property Taxes
204,500
D61001
204,500
TOTAL Real Property Taxes
204,500
204,500
Sales Tax (from County)
420,974
DB1120
386,550
TOTAL Non Property Tax Items
420,974
386,550
Interest And Earnings
1,487
DB2401
2,319
TOTAL Use of Money And Property
1,487
2,319
St Aid, Consolidated Highway Aid
247,844
DB3501
257,769
TOTAL State Aid
247,844
257,769
TOTAL Revenues.
874,806
851,137
TOTAL Detail Revenues And Other Sources
874,806
851,137
Page 32 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(DB) HIGHWAY -PART -TOWN
Results of Operation
Expenditures
Maint of Streets, Pers Sery
165,374
DB51101
138,399
Maint of Streets, Contr Expend
105,436
DB51104
153,774
TOTAL Maint of Streets
270,810
292,173
Perm Improve Highway, Equip & Cap Outlay
247,844
DB51122
245,127
TOTAL Perm Improve Highway
247,844
245,127
TOTAL Transportation' .- • ,:
518,654
537,299
State Retirement, Empl Bnfts
23,500
DB90108
25,981
Social Security, Empl Bnfts
12,007
DB90308
10,727
Worker's Compensation, Empl Bnfts
13,500
DB90408
11,658
Hospital & Medical (dental) Ins, Empl Bnft
53,857
DB90608
32,802
TOTAL Employee Benefits _
102,865
81,168
TOTAL Expenditures
621,518
618,467
TOTAL Detail Expenditures And Other Uses
621,518
618,467
Page 33 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(DB) HIGHWAY -PART -TOWN
Analysis of Changes in Fund Balance
202
y
Analysis of Changes in Fund Balance
Fund Balance - Beginning of Year
547,031
DB8021
761,562
Prior Period Adj -Increase In Fund Balance
DB8012
Prior Period Adj -Decrease In Fund Balance
38,757
DB8015
Restated Fund Balance - Beg of Year
508,274
DB8022
761,562
ADD - REVENUES AND OTHER SOURCES
874,806
851,137
DEDUCT - EXPENDITURES AND OTHER USES
621,518
618,467
Fund Balance - End of Year
761,562
DB8029
994,234
Page 34 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(DB) HIGHWAY -PART -TOWN
Budget Summary
•
e" eSC 1 t1.0 �'��"�Y`°�?�..,`°���;,...;��;„i;�:2022�t` �_ �•„CQ e, a
x 2023,�"�
�.,��:;�,
.�:r<'.��°::�
Estimated Revenues
Est Rev - Real Property Taxes
204,500
DB1049N
184,500
Est Rev - Non Property Tax Items
195,000
DB1199N
210,000
Est Rev - Use of Money And Property
1,200
DB2499N
1,700
Est Rev - State Aid
128,300
DB3099N
277,049
TOTAL Estimated Revenues "
529,000
673,249
Appropriated Fund Balance
180,000
DB599N
155,000
TOTAL Estimated Other Sources
180,000
155,000
TOTAL Estimated Revenues And Other Sources
709,000
828,249
Page 35 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(DB) HIGHWAY -PART -TOWN
Budget Summary
wi,
p p rein 'v xd ','u 1 .rt+,x »'.. si. .,i .a"�',a ro"i`#'y$,CrM1',"G ♦ rye'{ CMdqt
G2ij'.. f, V
Appropriations
App - Transportation 598,000 DB5999N 750,249
App - Employee Benefits 111,000 DB9199N 78,000
TOTAL Appropriations 709,000 828,249
TOTAL Appropriations And Other Uses 709,000 828,249
Page 36 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(K) GENERAL FIXED ASSETS
Balance Sheet
f'" ...».n.Y'+,a^,: ,r.�^'--,-r,,C^'i'»'t•- . ,r;
,wrD;a x."3 w .. raa^'7�
d `wobl
�
Assets
Land
563,000
K101
563,000
Buildings
764,008
K102
764,008
Machinery And Equipment
2,436,809
K104
2,215,839
Infrastructure
46,156
K106
46,156
Net Pension Asset - Proportionate Share
K108
178,093
TOTAL Fixed Assets (net)
3,809,973
3,767,096
TOTAL Assets and Deferred Outflows of Resources
3,809,973
3,767,096
Page 37 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(K) GENERAL FIXED ASSETS
Balance Sheet
21
Liabilities, Deferred Inflows And Fund Balance
Total Non -Current Govt Assets 3,809,973 K159 3,767,096
TOTAL Investments in Non -Current Government Assets 3,809,973 3,767,096
TOTAL Fund "Balance 3,809,973 . 3,767,096
TOTAL 3,809,973 3,767,096
Page 38 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
Balance Sheet
nt., , i•�#°, w;''.: $ '.' ,•w ^°;�:� �;i �" �t:�''d�'w,> i .*?,xc.< tz ':�z,'s. •r�. <
esCfip l4i :- - •u �&'` ,,. _*<,,.. '3 s� �"yvii�.,•*a:'"','"�'a^{ i `y', :.. ^',. �v.a ,,{w. ,•sV:. ., w{.n�•.s�►Q� ,.:42.•, tix`..:....mJ
Page 39
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
Balance Sheet
a. eI e c i
'2021 dp a Q2 --
Page 40
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(SF) FIRE PROTECTION
Results of Operation
Revenues
Real Property Taxes 147,500 SF1001 152,000
TOTAL Real Property Taxes 147,600 152,000
TOTAL Revenues 147,600 152,000
TOTAL Detail Revenues And Other Sources 147,600 152,000
Page 41 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(SF) FIRE PROTECTION
Results of Operation
;nro".,,;h;... ,,.x:ta:,�.w v"Sn.. u• ':v+; f.ai .�'�f s .,i `'�' : `,ay t.+, r•.&.„� ?,ef ,. .�. � .; ^�,_ �,. ,��,. 20;�,wu� n .
ad GPSCrlptloti.., `.�st'� .,: dCode""'v20?2
Expenditures
Fire Protection, Contr Expend 147,500 SF34104 152,000
TOTAL Fire Protection 147,500 152,000
TOTAL Public Safety 147,500 152,000
TOTAL Expenditures,,' . 147,600 162,000
TOTAL Detail Expenditures And Other Uses 147,500 152,000
Page 42 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
SF8021
SF8022
SF8029
152,000
152,000
Page 43 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(SL) LIGHTING
Balance Sheet
�' "ry sn+�*r;�s.JC�+:"<.'�$`. 4 •3,• 4,y �. `a^,?;�.n5':p•�' �; :..iej::i"d; ��'{qn'.}��q "� .i'�.. c*," ��,; •,•4g;M.,; � �, <�x-,�'s,i}r�t+,"" ,r.-•.--��.,„�..�
4 sc i ti"A: . �: "� g:fs: r d�,;. , 202
Assets
Cash In Time Deposits 54,446 SL201 53,079
TOTAL Cash 541446 63,079
TOTAL Assets and Deferred Outflows of Resources 54,446 53,079
Page 44 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(SL) LIGHTING
Balance Sheet
< %^ f, ^C °*• 1 .=M' A P' 'Ihkkt.q' p°bq '+7 `uft . E... Xh. '' �O�Y � der �!4 'Ps z'eL. pGl � "a`
.M,V1�
•F. �z»• '
�y a»
8b
Accounts Payable 235 SL600 251
TOTAL Accounts Payable 235 251
TOTAL Liabilities ' 235 251
Fund Balance
Assigned Unappropriated Fund Balance 54,211 SL915 52,829
TOTAL Assigned Fund Balance 64,211 . 52,829
TOTAL Fund Balance 54,211 52,829
TOTAL Liabilities, Deferred Inflows And Fund Balance 54,446 53,079
Page 45 OSC Municipality Code 500335200000
(SL) LIGHTING
Results of Operation
TOTAL Revenues'
TOTAL Detail Revenues And Other Sources
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
1,838 1,446
1,838 1,446
Page 46 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(SL) LIGHTING
Results of Operation
de' escr� .tion�! g:. ,s _ q ;2Q2
Expenditures
Street Lighting, Contr Expend 2,288 SL51824 2,828
TOTAL Street Lighting 2,288 2,828
TOTAL Transportation 2,288 2,828
TOTAL Expenditures 2,288 2,828
TOTAL Detail Expenditures And Other Uses 2,288 2,828
Page 47 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(SL) LIGHTING
Analysis of Changes in Fund Balance
'3q$ � x .,. "jtdry, � ., ,.. � . ,h' b 3 T ° •a° 3�•, • Y.'1, if ,�,' KK `Y"+'7 C 4
,
Analysis of Changes in Fund Balance
Fund Balance - Beginning of Year
54,662 SL8021
54,212
Restated Fund Balance - Beg of Year
54,662 SL8022
54,212
ADD - REVENUES AND OTHER SOURCES
1,838
1,446
DEDUCT - EXPENDITURES AND OTHER USES
2,288
2,828
Fund Balance - End of Year
54,212 SL8029
52,830
Page 48 OSC Municipality Code 500335200000
Balance Sheet
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
Page 49
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
Balance Sheet
og
Page 50
Balance Sheet
TOWN OFGroton
Annual Update Document
For the Fiscal Year Ending 2O22
Page 51
Balance Sheet
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
Page 52
Results of Operation
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
Page 53
TOWN OFGroton
Annual Update Document
For the Fiscal Year Ending 2O22
Results mOperation
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(TC) CUSTODIAL
Analysis of Changes in Net Position
Analysis of Changes in Net Position
Fund Balance - Beginning of Year TC8021
Fund Balance - End of Year TC8029
Page 55 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(W) GENERAL LONG-TERM DEBT
Balance Sheet
Rw "6
P6ti
Assets
Total Non -Current Govt Liabilities 60,213 W1 29 47,504
TOTAL Provision To Be Made In Future Budgets 60,213 47,504
TOTAL Assets and Deferred Outflows of Resources 60,213 47,504
Page 56 OSC Municipality Code 500335200000
TOWN OF Groton
Annual Update Document
For the Fiscal Year Ending 2022
(W) GENERAL LONG-TERM DEBT
Balance Sheet
de esti t4 0�22 „
. k'P «qd6eEEL-
Net
Pension Liability -Proportionate Share 2,130 W638
Compensated Absences 58,083 W687 47,504
TOTAL Other Liabilities 60,213 47,504
TOTAL Liabilities 60,213 47,504
TOTAL Liabilities .. , 60,213, 47,504
Page 57 OSC Municipality Code 500335200000
3I13I2p23
the State C°mptroller
p{lice °f
Do{e °t
Dote of MatOw
CoMP issue
COP`' Eio9
Fiag
Debt ctiption
Fitst Code Des
.(eot
n
OF GvolLodness
'VOWSebte 2
tat meat oY ead End'ng 202
ortb`e Fiscal
F
Int.
Rote Vol'
PMt. °td
issue
ols ge9•
of Yeot
Rgo d P
ed
did toc.
p
Ieot
ols E°d
Pccreied of Year
Qtiot It. 1n{erest
Pd1o�'
TOWN OF Groton
Schedule of Time Deposits and Investments
For the Fiscal Year Ending 2022
EDP Code
Amount
CASH:
On Hand
9Z2001
$400.00
Demand Deposits
9Z2011
$7,241.37
Time Deposits
9Z2021
$2,347,653.04
Total
$2,355,294.41
COLLATERAL:
- FDIC Insurance
9Z2014
$257,241.37
Collateralized with securities held in
possession of municipality or its agent
9Z2014A
--$2,233,813.45
Total
$2,491,054.82
INVESTMENTS:
- Securities (450)
Book Value (cost) 9Z4501 $73,905.33
Market Value at Balance Sheet Date 9Z4502 $73,905.33
Collateralized with securities held in 9Z4504A $0.00
possession of municipality or its agent
- Repurchase Agreements (451)
Book Value (cost) 9Z4511
Market Value at Balance Sheet Date 9Z4512
Collateralized with securities held in 9Z4514A
possession of municipality or its agent - ---- -
Page 59 OSC Municipality Code 500335200000
TOWN OF Groton
Bank Reconciliation
For the Fiscal Year Ending 2022
Include All Checking, Savings and C.D. Accounts
Bank
Add:
Less:
Adjusted
Account
Bank Deposit
Outstanding
Bank
Number
Balance In Transit
Checks
Balance
*****-2316
$2,185, 754
$0
$0
_$2,185, 754
*****-8002
$4,626
$0
$4,626
$0
*****-2331
$2516
$0
$2,616
$0
*****-6716
$0
$0
$0
$0
*****-0537
$43,072
$0
$0
43,072
*****-4015
$0
$0
$0
$0
*****-3752
$118,749
$0
$0
$118,749
Total Adjusted Bank Balance
$2,347,575
Petty Cash
$400.00
Adjustments
$78.36
Total Cash
9ZCASH
*
$2,348,053
Total Cash Balance All Funds
9ZCASHB
*
$2,348,053
* Must be equal
Page 60 OSC Municipality Code 500335200000
TOWN OF Groton
Local Government Questionnaire
For the Fiscal Year Ending 2022
Response
1)
Does your municipality have a written procurement policy?
Yes
2)
Have the financial statements for your municipality been independently audited?
No
If not, are you planning on having an audit conducted?
Yes __
3)
Does your local government participate in an insurance pool with other local
Yes
governments?
4)
Does your local government participate in an investment pool with other local
No
governments?
5)
Does your municipality have a Length of Service Award Program (LOSAP)
No
for volunteer firefighters?
6)
Does your municipality have a Capital Plan?
No
7)
Has your municipality prepared and documented a risk assessment plan?
No
If yes, has your municipality used the results to design the system of internal
controls?
8) Have you had a change in chief executive or chief fiscal officer during the last No
year?
9) Has your Local Government adopted an investment policy as required by Yes
General Municipal Law, Section 39?
Page 61
TOWN OF Groton
Employee and Retiree Benefits
For the Fiscal Year Ending 2022
Total Full Time Employees:
12-
Total Part Time Employees:
23
Account Description
Total
# of Full # of Part # of Retirees
Code
Expenditures
Time Time
I
(All Funds)
Employees
Employees
90108 State Retirement System
$99,581.00
12
1
90158 Police and Fire Retirement
- -- - -
-- --- -- - - -- - -
- - -
l -- - - - -
90258 Local Pension Fund
90308 Social Security
$56,636.74
12 23
90408 Worker's Compensation
$35,658.00
12 23
Insurance
90458 Life Insurance
90508 Unemployment Insurance
DisabilityInsurance
-
2
10'=
-90558 =_ ---- - �
— _ -=$241.5C----
- - -- - _ _ _- - _------- - -_-- -
---
90608 Hospital and Medical
$112,770.68
5
(Dental) Insurance
90708 Union Welfare Benefits
F—
90858 Supplemental Benefit Payment to;
Disabled Fire Fighters
j
91890 Other Employee Benefits
total l�
$304,887.92
Computed Total From Financial
$309,862.52
Section (comparative purposes only)
Page 62 OSC Municipality 500335200000
TOWN OF Groton
Energy Costs and Consumption
For the Fiscal Year Ending 2022
Energy Type
Total Total Volume
Units Of Alternative
Expenditures
Measure Units Of
Measure
Gasoline
11
gallons
Diesel Fuel
i�
gallons
-
-- -
Fuel Oil - - - -
" - - - -- �� -
-- gallons-
- -
- - — ------ -
Natural Gas
- - - _ ---- - - -- -- _ - --
cubic feet - -I
- -- ,
Electricity
kilowatt-hours
Coal
tons
Propane
-
�,
r_
-- - - - -� -
- gallons
Page 63 OSC Municipality 500335200000
TOWN OF Groton
Financial Comments
For the Fiscal Year Ending 2022
(A) GENERAL
Adiustment Reason
Account Code A8012 Journal entry to adjust fund balance was omitted
(DA) HIGHWAY -TOWN -WIDE
Adiustment Reason
Account Code DA8015 Minor adjustment to fund balance
Page 64 OSC Municipality Code 50C
I, Donald Scheffler hereby certify that I am the Chief Fiscal Officer of the
.. _._ 1. ... �.
own of Groton ,and that the information provided in the annual financial
report of the Town of JGroton , for the fiscal year ended 112/31/2022 , is true
and correct to the best of my knowledge and belief. By entering the personal identification number assigned
by the Office of the State Comptroller to me as the Chief Fiscal Officer of the gown of
Groton and adopted by me as my signature for use in conjunction with the filing of the
Mown of JGroton 's annual financial report, I am evidencing my express
intent to authenticate my certification of the ITown of JGroton 's annual
financial report for the fiscal year ended 112/31/2022 and filed by means of electronic data transmission.
Julie Graham _ --------
Name of Report Preparer Personal Identification Number
if different than Chief Fiscal Officer of Chief Fiscal Officer
(607) 898-5102 Isupbrvisor
Telephone Number Title
1(607) 898-5102
Office Telephone Number
Donald Scheffler
Name
1101 Conger Blvd, Groton, NY
Official Address
3/13/2023
Date
3/13/23, 10:33 AM https://nysosc11.osc.state.ny.us/product/efsdex.nsf/FileNo/500335200000?EditDocument&Seq=1
Thank you, 500335200000 from the TOWN of GROTON, for your Submission to the
Local Government and School Accountability Data Exchange System on 03/13/2023 10:32:46 AM.
Please note that this page is not proof that you have submitted the correct file, only that you have successfully
attached a file to the EFSDex website. If you wish to confirm that you have transmitted the correct report you
can contact OSC's Data Management Unit at 1-866-321-8503 option 4.
All submissions are subject to verification by OSC.
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