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HomeMy WebLinkAboutTB Minutes 1992-11-05 Town of Ithaca Town Board Meeting Minutes November 5 , 1992 At a regular meeting of the Town Board of the Town of Ithaca, Tompkins County, New York, held at the Town Hall , 126 East Seneca Street, Ithaca, New York, there were : PRESENT: Shirley A. Raffensperger, Supervisor John Whitcomb, Deputy Supervisor Frank Liguori, Councilman Catherine Valentino, Councilwoman David Klein, Councilman Karl Niklas , Councilman Patricia Leary, Councilwoman ALSO PRESENT : John Barney, Esq. , Town Attorney Joan Lent Hamilton, Town Clerk Daniel Walker, Town Engineer Scott McConnell, Highway Superintendent Floyd Forman, Town Planner Andrew Frost, Building Inspector/Zoning Officer Sally Alario, Assistant Budget Officer Bruce Brittain, Forest Home Judy Malloy, Hospicare Bill Hilker, Town of Ithaca Taxpayers Association Patricia Newell , City of Ithaca Nancy Burston, Human Services Coalition Mark Morse Pledge of Allegiance : The Supervisor led the assemblage in the Pledge of Allegiance . Call to Order: The meeting was called to order at 5 : 34 p. m. The Supervisor thanked Councilman Liguori for providing the Town with a New York State flag to display. Agenda Item No . 4 - Report of Town Officials The Supervisor reported the first meeting of the Governor' s Panel on Property Tax Exemption and Classifications Issues will be held on November 6 , in Albany. The Supervisor has been asked to be a member of the panel . The Supervisor sent a copy of a letter she had sent to Tompkins County officials soliciting their input to a number of issues the Governor' s Panel will be discussing. The Town has received notice that the County will no longer allow the Town to retain interest made on County tax bills while those funds are in the custody of the Town . The Supervisor discussed the difficulty of the timing of these announcements around budget times Town Board Mt . Minutes 2 11/5/92 Agenda Item No. 4- Cont ' d with Mary Call , Chair of the Tompkins County Budget Administration Committee . Ms . Call sent a memo to her committee outlining the problem, but they did not rescind the action. Reacting to this announcement by the County many other towns in the County have decided to put the County funds in non-interest bearing accounts . A copy of a letter was received from the Dryden Town Supervisor, James Schug which he sent to the County Board of Representatives Chairman questioning the legality of Tompkins County passing onto the Towns the County election expenses . The Association of Towns meeting will be held on February 14-17 , 1993 in New York City. All officials and employees wishing to attend should notify the Town Clerk as soon as possible . Town Engineer ' s Report: Mr. Walker discussed his written report, ( see attached ) . Councilman Whitcomb commented that he had spoken to Mr. Grover a resident from West Hill who had been having difficulty with the sewer installation along Route 96 . Mr. Grover was very pleased that the Town was able to resolve the problem he had . Mr. Walker will send a letter to Mr. Grover about top soil for the spring . Highway Superintendent' s Report: Mr. McConnell reported that the Mitchell Street Walkway has been completed. The Highway Department completed the brush pick up and cleaned up after paving . The Honness Lane bikeway was oiled and stoned in conjunction with the Parks Department, ( report attached ) . The department will be starting a second run for the leaf pickup starting on November 16 . There will be a box advertisement twice , and the Town Clerk has called the radio and television stations for public announcements. Town Building Inspector/Zoning Officer ' s Report: Mr. Frost discussed his report, ( see attached ) . At this point the number of permits issued for single family homes is two less than last year. Starts for single family homes are almost identical to last year. Town Board Mt. Minutes 3 1.1!5.1.92. — Agenda Item No . 4 - Cont ' d Town Planner' s Report : Mr. Forman reported that staff has made revisions to chapters 5 and 6 of the Comprehensive Plan . The CPC has reviewed those revisions and accepted them . Staff is presently revising Chapter 4 , and updating the inventory. Planning Board Items : Hospicare not has preliminary subdivision approval and preliminary site plan approval. The proposed incinerator and smokestack at the Veterinary School , Cornell was discussed at a recent informational meeting . The smokestack is proposed to be from 175 to 200 feat high . The Planning Department has sent Cornell a letter asking for any additional information as well as revisions to the EAF . Air . Forman was notified that Ithacare will be holding a Public Information Meeting concerning their moire to South Hill . Planning staff will attend as there are some concerns about traffic, etcetera . Town Clerk ' s Report: The Town Clerk reported she has received notification of a Records Management seminar for Grant In Aid workshop at the Tioga County Office Building on November 16 . The Grant application deadline is February 1 , 1995 , The Town Clerk will be attending. Election ]day went fairly well , there was a much higher registration than anticipated. South dill Fire Station needed another voting machine . It was necessary to have the sheriff ' s deputy at the P0115 at 9700 p . m. to turn away any voters who had not been in line prior to 9 : 00 P . M . The problem stemmed from the there being only one registration hook at each election location for the voters to sign . The lime was held up from voters signing the hook . The Town Clerk will be contacting the Election Commissioners by letter requesting that in subsequent elections there be more than one registration book. The Town may have to investigate purchasing voting machines that are handicap accessible as the law requires. The Town Clerk will tnvestigate the way this could be accomplished . The Town owns only one handicap voting machine . The Supervisor stated the 'down Board had discussed this issue in previous years and decided that when a machine needed to be replaced it would be with a machine which is accessible to the handicapped . Town Board Mt. Minutes 4 11/ 5/92 Agenda Item No . 3 - Report of Town Committees Councilman Whitcomb reported that a presentation was made to the public on the Open space Report a few weeks ago . The CAC will again discuss it at their next meeting. The CAC will make some minor revisions and forward the report to the Torn Board for their final consideration . The Open Space Report will be on the December 7 , Town Hoard agenda . The CAC is trying to improve the quality of the maps that are included in the report . Councilman Whitcomb will be attending the NY Association of Conservation Advisory Council ' s and Environmental Management Council ' s meeting this weekend . The Town of Ithaca ' s CRC has won an award for its Open Space and Agricultural Reports , and the six Mile Creek Report . There will be a special merit 'award for outstanding achievement . Councilman Whitcomb has lbeo-n asked to serve on the NYS CAC Council as the NYS District Seven representative . Councilwoman Valentino reported on the negotiations for the franchise agreement with American Cable Communications . Mr. Forman and his staff have worked on a map that outline the areas within the Town which are not currently served by cablevision. The map shows how many homes there are within a certain distance . Although the ACC stated they would provide this information, it was felt that the Town should also have a map of their own . The Town may have some good arguments about extending the cable to some areas . Councilwoman Valentino thanked the Planning Department for their wort[ on the map . Recreation: The Town is getting a new sense of cooperation from the City of Ithaca . The new contract has clearly established there will be no Increases in the fees for the children in the Town or City . The City has agreecl to work with the Town in providing at least one program free so that the Town may receive more State Aid. The program will be a "Learn to swim" program with opportunities for certificates being given to the families of the participating children so they can come Mack to Swim with them . The City is more accepting that the baseball games with teams sponsored by local groups will take place in the neighborhoods instead of at Cass Park{ . This will help to eliminate the problem of transportation . The County Planning Hoard is interested in helping the Town set up a committee to look at a cooperative venture which would be a truly representative type of system. With the County taking a role of leadership it is hoped there will be something in place by next year , which will be more fair than in the past . Town Board fit . Minutes 5 11!5!92 Agenda Item No . 3 T CaLt ' d Councilwoman Valentina reported the Ethics Committee met concerning the Ethicz Board and discussed ideas an how to recruit representatives to this board . The members felt the Town should try to secure a member` of the clergy. The committee is interested in placing a Lax advertisement in the newspaper to have individuals send letters o_f interest, the committee would then review those for applicants . The Board reviewed the proposed advertisement and offered suggestions for publication . Lotion made by Councilman Niklas authorizing the Town Clerk to place two box advertisements in the Ithaca Journal to recruit members to the Town of ithaca Ethics Board at a cast not to exceed $160 .043 as per the attached example advertisement. Seconded by Councilwoman Valentino . Motion made by Councilman Liguori amending the resolution deleting the fourth line , fifth line , and portions of the sixth line of the attached example so that it will read, "to serve on" . Amendment seconded by Supervisor Raffensperger . Carried unanimously . Councilwoman Valentino stated there is a vacancy on the City of Ithaca Youth Bureau . Holly Beerman is willing to fill that vacancy . Ms . Beerman is presently representing the PTA Council on the Board . She is very interested and is willing to serve as the Town of Ithaca' s representative . The appointment can be made at the December meeting. Councilman Niklas reported the COC is Continuing work on the EPOD ' s , a vote was tauten at their last meeting as to whether or not they wish to pursue it. The vote was Six to one to continue working on it . They are now in the process of responding to the Public information Meeting comments , Councilman Klein reported the Comprehensive Plan reviewed the revisions to the Comprehensive Plan Chapters 5 and & and approved them. At the next meeting the CPC will be reviewing the revisions on Chapter 4 . The CPC will he reviewing Chapters 1 , 2 , and 3 in order to give the Comprehensive Plan over to the Planning Board in January of 1993 . Councilman Klein also attended the Advisory Committee meeting fox the Village of Lansing proposed skating rink. On Halloween in the Northeast, a flyer was sent out, acid community meetings were held about trick or treating . The alder children realized the Northeast would be patrolled by the Police . Halloween turned out to be the quietest one in the past ten years . Town Hoard Mt . Minutes 6 11/ 5/92 - — Agenda Item No . 14 - Delinquent. water and Sewer 199.3 Takes Motion made by Supervisor Raffensperger approving the attached list of delinquent water and sewer charges to be added to the 1993 Taxes . eoonded by Councilman Niklas . Carried unanimously. Agenda Item No . 5 - County Board of Representatives No report . Agenda Item No. 6 - Persons To Be Heard_ Nancy Bvrston of the Human Services Coalition stated she attended the meeting at the request of her Director to become more familiar with the operations of the Towns and villages . Agenda Item No . 16 - Modification of Road Accentance Agreement - Shalebrook Subdivision Town Engineer, Daniel talker reported that in the normal course of client review he discovered that November 1 , 1992 the original agreement will ruff out. The terms of the original contract are agreeable to the Development Corporation. Superintendent McConnell and Mr . Walker discussed the cost of replacing the top coat for a cost of $6000 maximum, fir. Barney needs to help draft an amendment to the agreement. Motion made by Councilman Niklas, seconded by Councilman Liguori ratifying the amendment to the agreement with Shalebrook Development Corporation as outlined in the attached resolution. Motion carried unanimously. Agenda Item No . 17 - Hospieare Road, Trail , Public Improvement Town Planner, Floyd Forman showed the Hoard a map and asked them to approve the roadway location and the trail right of war. Town Engineer, Daniel Walker explained there is a cul-de-sac on this road and that the configuration is not ghat was planned to be provided by the developer because of the problems with maintenance on the turning grades . A different cul-de-sac has been provided which has a fifty foot turning radius , and a fifteen feet wide pavement strip . This will allow the Highway Department plows to sweep around without jockeying. It will also change the lot line on the end slightly without effecting the zoning . There has been primary subdivision approval . The Town maintains the trail . The trail connects to the Deer Run Trail and the walkway system. Motion made by Councilman Fiklas approving the attached resolution accepting the roads and public facilities for the Chase Pond . Subdivision . Seoonded by Councilman Klein. Carried unanimously. Town Board mt . minutes 7 11!5192 T Agenda Item No . 1$ - Recruitment of Highway Laborer The Personnel Committee and the Public Works Committees have reviewed the need for the Highway Laborer Position . The position has been included in the budget . Motion made by Supervisor Raffensperger approving the recruitment of a highway laborer. Seconded by Councilwoman Valentino . Carried unanimously . Agenda_ Item No . 15 - Cornell university Safety Enforcement of Local Law No . 2 of 1990 The Torn has received a request from the Forest Home Improvement Association for additional enforcement in the area of the Truck Traffic Limitations . Cornell University Department of Safety is willing to assist in enforcing the Local Law as long as they Relieve the Town of Ithaca wishes them to do so, and that they are authorized under the Law to do it. Motion made by Councilman Niklas authorizing and requesting that the Cornell University Department of Public Safety enforce the truck traffic limitations in the Forest Home area to the extent that they are able to do so . Seconded by Councilwoman Valentino, Carried unanimously. Bruce Hrittain of Forest dame thanked the Town Board for their willingness to help assist in obtaining enforcement. The road is posted for these limits . Agenda Item No . 19 - Job Q8scription Deputy Town Clerk This position would provide a person to answer the telephones at the Town 'Hall from a central location. The resolution is asking for the approval of the job description which the Personnel Committee has recommended for 'down Board approval . Councilman Whitcomb asked if the end result would be the same amount of employees at the Town Hall with the position . The Supervisor responded that there have been changes of classification of jobs , the casts will be less than before for their comparable positions , The 1993 budget included a half time secretary for the Engineering ]department, and also contractual money for assistance with tax collection , and the budget reporting process , The intention is to add those funds together alone with a few additional monies to provide the firnancing for an entry level Deputy mown Clerk . Motion made by Councilman Niklas approving the jab description for the new Deputy Town Clerk. Seconded by Councilwoman Valentino . Carried unanimously. I Town Board Mt . Minutes S x,115192 Agenda Item No . 20 - Recruitment of Deputy Town Clerk Motion made by Supervisor Raffensperger approving the recruitment of a new Deputy Town Clex`k. Seconded by Councilman Niklas . Carried unanimously. Agenda Item No . 21 - Appointment Receiver of Taxes Betty Poole has been the Interim Receiver of Taxes. The presented resolution is to appoint ,loan Lent Hamilton as the Town of Ithaca Receiver of Taxes effective immediately upon adoption of this resolution . Motion made by Councilman Whitcomb appointing Joan Tent Hamilton as the Town of Ithaca Receiver of Taxes , effective upon adoption of this resolution . Seconded by Councilman Karl Niklas Councilman Liguori asked if the Town Clerk was automatically the Receiver of Taxes? Attorney Barney responded that the Town Clerk is not automatically so . Councilman Klein asked if this resolution supersedes the appointment of Betty Poole as Interim Receiver of Taxes? The response was that it did . Motion carried unanimously. Agenda Item No . 22 - Governor ' s _Panel on Property Tax Exemption and Classifications Issues Supervisor Raffensperger has been appointed to the Governor ' s Panel on Property Tax Exemption and Classi fications Issues . The resolution presented is for permission for the Supervisor to attend said meetings, the resolution was prepared as such because notification of the meetings would not allow for Board approval each time . The meetings tyre held in Albany. Motion made approving the attendance of the Town Supervisor to all meetings of the referenced pane. , and further approves the payment for overnight lodging, mileage and meals . Seconded by Councilman JOhn Whitcomb. Carried unanimously. Agenda Item No . 24 - 1992 Budget Amendments Sally Alari,o, Assistant Budget Officer explained the first amendment presented is to transfer appropriations to pay for the Highway Department hooking up to the water and sewer on Seven Mile Drive, which was not budgeted. The Highway Department had already budgeted for new overhead doors the amendment will increase the equipment line item, to allow for the purchase of the overheats d0 Ors. The money is coming from an increase in the interest and penalties , as the Town received more than was budgeted , and a decrease in the Highway equipment account . Town Board Mt. Minutes 9 11/ 5/92 Agenda Item No . 24 - Cont ' d Motion made by Councilman Niklas approving the budget amendment as described by the Assistant Budget Officer . Seconded by Frank Liguori . Carried unanimously. The second amendment is to appropriate monies for the Mitchell Street Sidewalk as there are no appropriations in the 1992 budget for this project. The Town received gifts and donations toward the building of the sidewalk , therefore the gifts and donations extra revenue can be used to increase the appropriation . Motion made by Supervisor Raffensperger approving the budget amendment as described by the Assistant Budget Officer . Seconded by Councilman Niklas . Carried unanimously. Agenda Item No. 25 - Boston Point Budget Amendments The Bolton Point amendments have been approved by the Southern Cayuga Lake Tntermunici.pal Water Commission , and the amendment is a transfer between maintenance items. Motion made by Supervisor Raffensperger approving the Southern Cayuga Lake Intermunici.pal Water Commission 1992 Budget amendment. Seconded by Councilwoman Valentina . Carried unanimously. Agenda _Item No 26 - Quarterly Investment Report The quarterly investment report shows that the rate of interest decreases each quarter. Ms . Alario stated the Repurchase Agreement that matured on August 23 , 1992 earned $19 , 219 . 02 interest, the total interest earned for the quarter was $31 , 108 . 36 . Notion made by Councilman Niklas , seconded by councilman Liguori approving and adopting the quarterly investment report as the official Quarterly Investment Report for the period 7/1 /92-9/30/ 92 . Agenda Item No . 27 - Town Board Meeting Minutes Motion made by Councilman Niklas approving the Town Board minutes for the regular meeting held on October 5 , 1992 as the official. minutes . Seconded by Councilman Liguori . Abstention by Councilwoman Leary, Motion carried. Agenda Item No . 28 - Town Board Meeting Minutes Notion rude by Councilman Whitcomb approving the Town Hoard minutes for the special meeting held on October 19 , 1992 as the official minutes . Seconded by Councilwoman Valentino . Abstention by Councilwoman Leary. Notion carried . Town Board 14t . Hinutes 10 1115192 Agenda Item loo. 29 - Monthly -Einancial Deport Motion made by Supervisor Raffensperger approving and adopting the Financial Report for the month ending September 30 , 1992 as the official said report fog: the month indicated. Seconded by Councilman Karl Niklas . Carried unanimously. Agenda Item No . 30 -- Town of Ithaca Warrants Motion made by Councilman Whitcomb, seconded by Councilman Liguori authorizing the payment of the vouchers on the Town of Ithaca warrant . Carried unanimously . Agenda Item too . 31 - Bolton Point Warrants Motion made by Supervisor Raffensperger, seconded by Councilman Liguori authorizing the payment of the vouchers on the Bolton Point warrant. Carried unani.mor.rsly. Additional Agenda Item - Villacre of Lansing , Lead AgenCV for Community Center Protect The Town reoeived a request today to assent to the designation of the Village of Lansing as Lead Agent for the purpose of review under SEAR of the development of the Community Center in the Village of Lansing. Motion made by Supervisor Raffensperger designating the Village of Lansing as Lead Agent as described. Seconded by Councilman Nlklas, ( see attached resolution) . Councilman Klein felt the timetable will be pushed back somewhat on the project, The Village of Lansing has discovered there are some things that must be completed that were not thought of originally before they can bond and authorize the design to proceed . Attorney John Barney requested that the resolution be changed to authorize the Village as Lead Agency, but the Town of Ithaca be designated as an involved agency? This would insure the Town of Ithaca ' s receiving all information . The Supervisor suggested an amendment to the resolution to read , "that the Town of Ithaca as an involved agency agrees to the designation of the Village of Lansing as the lead agency for review under SEQR for the development of the community center in the Village of Lansing" . Amendments were approved by the Supervisor and Councilman Niklas . Hotion carried unanimously. Agenda Item too . 23 - Speed Limit Changes Superintendent McConnell represented the Board with a copy of the description of the speed limit change for the Coy Glen Area,, and explained roads that would be included within the description . Town Board lit . Minutes 11 111519 Agenda Item tea . 23 - Cont' d The Public Works Committee in discussing this recommended that instead of the Town changing the speed limits on isolated small roads that the Town request an area speed limit for the Corr Glen area. Motion made by Councilman Whitcomb that the Town Board of the Town of Ithaca requests, through the County of Tompkins , that the State of New York Traffic Safety Division consider an area speed limit of 35 mph , or the nearest appropriate speed in the area described on the attached . Seconded by Councilwoman Valentino, carried unanimously. In further discussion of speed limits there was presented a request for the delineation of a school district and crass walk on Bast Shore Drive near the Boynton Middle Schaal and a reduction of the speed limit . Motion made by Karl Niklas , seconded by Councilwoman Valentino that the New York State Traffic Safety Division consider establishing a school zone with a reduced speed limit on NY5 Route 93OF in front of the Boynton Middle School , Motion carried unanimously. Agenda Item No . 7 - PUBLIC HEARING - Sewer Benefit Levy Public Hearing was opened at 7 : 05 p. m. The mown Clerk had proof of posting publication . The Public Hearing was held to discuss the necessity of increasing the sewer benefit lever. The proposed rate would be an increase from $62 . 00 per unit to $78. 00 per unit. Twelve dollars of that amount is an assessment for the Town of Ithaca , Area Waste Water 'treatment Plant improvement, and the remaining $66 . 00 is for the Townwide Sewer Improvement Distract , Motion made by Councilman Niklas , seconded by Councilman Liguori approving an increase in the sewer benefit charge per unit of assessment to $78 . 00 per unit . No persons wished to be heard at the Public Hearing . Public nearing closed at 7 : 05 p . m . Councilman Whitcomb asked if the increase was due to the extension Of the Inlet Valley? Supervisor Raffensperger stated it is primarily due to that , but an agreement for the payment of transmission charges for the intermunicipal used sewer has been worked out. The funds support the entire sewer function. Councilman Niklas mentioned that some of the Board members are sensitive to increasing the costs to citizens , I Town Board Mt . Kinutes 12 1115/92 Agenda Item No . 7 - Oont ' d The Supervisor explained the increase is reflective of the 1989 sewer improvement which added to the sewer budget approximately $240 ,000 . That amount of money is needed just to service the extensions for the 1989 sewer . fast Year the water benefit was i Fawn Board lit . Minutes 13 11 !5! 92 -- - Agenda Item No . 9 - PUBLIC HEARING - 1993 Town of Ithaca Budget Public Hearing opened at 7 : 30 p . m , Town Clerk had proof of posting and publication . The Supervisor made note of the following changes in the Preliminary Budget. An increase in the assessed value of the Town for the original assessed amount $b97 million to $698 million which decreases the tax levy from $ 1 . 158 to $ 1 . 166 per thousand . The pillage of Cayuga Heights Fire Contract number increased to $89, 349 from $49 , 739 . The increase is the result of depreciation for a new ladder truck. The Town asked the Fire Department for their- amortization schedule as it was so high . Additionally the Town share of the assessed value based on a formula of comparative assessed values has increased from 42 . 41% in 1992 , to 48 . 66% in 1993 . The fire protection tax levy increases from $2 . 049 in 1992 to $2 . 377 in 1993 . "these are contractual arrangements we are obligated to pay. The Supervisor asked for any questions from the floor . Nancy Burston, Human Services Coalition thanked the Board for their continued support over the years . The Supervisor reported that the Town did receive numerous requests from human service organizations requesting funding. The City of Ithaca made this a requirement of their funding of these groups . A letter was seat to each group explaining the Town of Ithaca had traditionally supported the functions of these organizations , but most appropriately Tompkins County should participate in the funding of these organizations as opposed to each individual municipality. The City of Ithaca does make allocations to various human services organiz.ationa, because Cities receive funding that allow for funding of these organizations from the State . The City of Ithaca receives approximately $46 . 00 per thousand in State aid while the 'fawn of Ithaca receives approximately $4 . 50 per person in State aid. Until funding received is more even, the Town cannot participate in funding each organization. Both the City and County have the opportunity with some of these organizations to receive matching funds . The Town of Ithaca has supported the Human Services Coalition because it is an umbrella organization that provides resources to most all of the human service organizations . Councilman Klein asked to have clarified that in the Townwide there is shown no State Aid Per Capita, but in the Part. Town there is, which is different from prior years? Town Sward tit . Minutes 14 1115/92 Agenda Item Wo . 9 - C_ont ' d Supervisor Ra,ffenspergrer explained that we are permitted to allocate the funds as needed since the aid has decreased substantially . Audit and Control came in and reviewed the 1999 budget and made the Town reorganize the revenues for part town and townwide. All of the mortgage tax goes into townwide . All of the sales tax revenues goes into part town . Sales tax revenues are down substantially, mortgage tart revenues are up sensationally due to refinancing of mortgages . In order to equalize the assets coming into each of these funds , State Aid was put in the part town budgi�:t. When NYS changed the Per Capita Aid formulas they gave us the authority to place those funds anywhere we wished . Sales tax revenue must all go to part town which excludes the Village . The Town is permitted to use a portion of Sales Tax Revenue for fire tart, because there was special State legislation requested that said if your fire district is coterminous with the part town you can use sales tax revenue from part tawri for fire taxes as the same people eLre benefitting . The estimate for sales tax revenue in the 1993 budget has been decreased. The 1990 budget had a very generous estimate for saxes tax revenue which the Town has never come even close to receiving . It was time to decrease that estimate . The Token will receive next year some additional sales tart revenues because the County will have an additional 1% in sales tax revenues. For the first six months the Town and City will get none , but for the remainder of the year the County will take 75% of the 1% and distribute the remaining 25% to the municipalities. It is estimated that the Town may get ,s much as $60 ,000 of that 1% . By adding that amount to the budget estimate for 1993 the 'Town may receive approximately the same amount in sales tax revenue as in 1992 . The 1992 budget estimate of the sales tax revenue is about $180,000 short. Bilk Hilker addressed the Board about a concern Ile had with the CHIPB (Consolidated Highway Improvement ) aid received from the State. It was his understanding that the indications are that there will be no CHIPS monies received by municipalities in 1993 . The Supervisor responded that the last information the Town received was that very little is protected , but that the CHIPS money is . There are many revenues that we do not know about and will be unable to determine , such as how much State aid will be received . We do not know how much the State of New York will be charging for retirement benefits , It can be nothing or it can be devastating . Unfortunately, we do not know what they will do until the State finalizes their budget . More money has been placed in loth contingency funds . This money would be used for a large Town Board Mt. Minutes 15 11! 5/92 Agenda Item No , 9 - Cont ' d retirement bill if needed . It would not cover the full billing , but would insure the Town ' s not having to borrow funds to pay the retirement . Mr . Hilker asked about two appropriations within the Highway Department budget . The Supervisor explained the appropriation for the South Hill Trail is to credit to the Highway Department force account work this is an arrangement made by a previous administration , When the 'down negotiated the grant for the South Hill Trail our share was to he force account work . In order to get the State share back for this work it has to be placed in the budget . In Part Town Highway the money shows as a revenue . If by any chance the CHIPS were cut a transfer would have to be made from our Part Town budget. The last communication from the Association of Towns stated the problem next year would be with Retirement System, CHIPS was considered to be safe . The Court has ruled that the retirement system funding which decreased a couple of years ago to all of the municipalities is illegal . New York State has appealed that decision, because they do not have enough money to go along with the system the Count has imposed . The middle of 1991 the State decreased our State aid by approximately $200, 000 and the Town decreased its expenditures with the cooperation of the staff . When we were notified it could happen the staff immediately cut spending . The Town has maintained their fund balances even with these cuts . Mr, Hilker mentioned that the Youth Budget has dropped and asked how that was accomplished , Supervisor Raffensperger explained it was through very hard negotiations with the City . Councilwoman Valentino was involved in those negotiations . We are receiving the same services , in addition we have received a guarantee that the City will not raise the fees for the children during the year of the contract. Additionally, a free program will he set up so that the Town will be able to access some Mate funding . The Community Services line has increased to $30,000 to allow the Town the possible opportunity to set up programs with someone other than the City of Ithaca. Never again should we be in the position where the City can say, "take it or leave it" , and we have 1200 children in the Town who would not have Youth Services . The Youth Commission is planning to look at other kinds of contraot,ual arrangements with other municipalities , The money will give us the possibility of improving the system, so that the City knows the Town has the resources to do something other than depend on them 100 . Town, Hoard Mt. Minutes 1G 1115192 Agenda Item No . 9 - Conn ' d Motion made by Councilman Niklas, seconded by Councilwoman Valentino approving and adopting the 1993 P2`eliminary Town of Ithaca Budget and the 1993 Town of Ithaca Budget . Cax7ried unanimously. Agenda Item No . 10 - PUBLIC HEARINGS - 1993 Assessment_ Rolls for Special Districts Forest Home Lighting District The Town Clerk had proof of posting and publication . The Supervisor opened the Public Hearing . As no one present wished to speak Concerning this matter, the supervisor closed the Public Hearing . rotation made by Councilman Niklas , seconded by Councilman Whitcomb adopting the 1993 Assessment Rolla for the Forest Home Lighting District , Carried unanimously. Glensi.de Lighting District The Town Clerk had proof of posting and publication. The Supervisor opened the Public Hearing. As no one present wished to speak concerning this matter, the 5upervisar closed the Public Gearing . Motion made by Councilman Niklas , seconded by Councilwoman Valentino adopting the 1993 Assessment Rolls for the Glenside Lighting District. Carried unanimously. Renwick Heights Lighting District The Town Clerk had proof of posting and publication . The Supervisor opened the Public Hearing . As no one present wished to speak concerning this matter, the Supervisor closed the Public Hearing . Hatior� made by Councilwoman Valentina , seconded by Councilman Whitcomb adopting the 1993 Assessment Rolls for the Renwick Freights Lighting District . Carried unanimously . Eastwood Commons Lighting District The 'Town Clerk had proof of posting and publication . The Supervisor opened the Public Hearing . As no one present wished to speak concerning this matter , the Supervisor closed the Public Hearing . Town Board Mt. Minutes 17 11/5/92 Eastwood Commons Lighting District - Cont ' d Motion made by Councilman Niklas, seconded by Councilwoman Valentino adopting the 1993 Assessment Rolls for the Eastwood Commons Lighting District. Carried unanimously. Clover Lane Lighting District The Town Clerk had proof of posting and publication. The Supervisor opened the Public Hearing. As no one present wished to speak concerning this matter, the Supervisor closed the Public Hearing. Motion made by Councilman Niklas , seconded by Councilwoman Valentino adopting the 1993 Assessment Rolls for the Clover Lane Lighting District . Carried unanimously. Winners Circle Lighting District The Town Clerk had proof of posting and publication. The Supervisor opened the Public Hearing . As no one present wished to speak concerning this matter, the Supervisor closed the Public Hearing. Motion made by Councilman Whitcomb, seconded by Councilman Niklas adopting the 1993 Assessment Rolls for the Winners Circle Lighting District. Carried unanimously. Burleigh Drive Lighting District The Town Clerk had proof of posting and publication. The Supervisor opened the Public Hearing. As no one present wished to speak concerning this matter, the Supervisor closed the Public Hearing . Motion made by Councilwoman Leary, seconded by Councilman Liguori adopting the 1993 Assessment Rolls for the Burleigh Drive Lighting District. Carried unanimously. Water Improvement Benefit District The Town Clerk had proof of posting and publication . The Supervisor opened the Public Hearing. As no one present wished to speak concerning this matter, the Supervisor closed the Public Hearing. Motion made by Councilman Klein, seconded by Councilwoman Leary adopting the 1993 Assessment Rolls for the Water Improvement Benefit District. Carried unanimously. Town Board Mt . Minutes 18 11/5/92 Sewer Improvement Benefit District The 'Town Clerk had proof of posting and publication. The Supervisor opened the Public Hearing. As no one present wished to speak concerning this matter, the Supervisor closed the Public Hearing . Motion made by Councilman Whitcomb, seconded by Councilwoman Valentino adopting the 1993 Assessment Rolls for the Sewer Improvement Benefit District. Carried unanimously. Judd Falls Road Sidewalk Benefit Improvements The Town Clerk had proof of posting and publication. The Supervisor opened the Public Hearing. As no one present wished to speak concerning this matter, the Supervisor closed the Public Hearing. Motion made by Councilman Niklas, seconded by Councilman Liguori adopting the 1993 Assessment Rolls for the Judd Falls Road Sidewalk Benefit Improvements . Carried unanimously. Agenda Item No. 11 - PUBLIC HEARING - West Haven Road Lighting District The Town Clerk had prooE of posting and publication. The Supervisor opened the Public Hearing at 8 : 10 p . m. As no one present wished to speak concerning this matter, the Supervisor closed the Public Hearing at 8 : 12 p. m. Attorney Barney explained that the Town Engineer contacted all the landowners and a petition was submitted requesting the formation of a lighting district on West Haven Road . The law requires that the petition be signed by 50{ of the total assessed value of the properties to be included, and has to be signed by 50% of the resident owners . Town Engineer, Daniel Walker has determined the petition meets the requirements of the law. Agenda Item No. 12 - SEQR West Haven Road Lighting District Motion made by Councilman Klein that the Town Board of the Town of Ithaca makes a negative determination of environmental significance for the adoption of the establishment of the West Haven Road Lighting District. Seconded by Councilman Liguori . Carried unanimously. Town Board Mt. Minutes 19 11/5/92 Agenda Item No . 13 - Establishment (Vest Haven Road Lighting District The Supervisor explained there is a resolution and order establishing the district in each Board Member' s folder referencing the petition and properties benefitted . Motion made by Supervisor Raffensperger adopting the resolution as presented to the Town Board ( see attached ) . Seconded by Councilwoman Valentino . Carried unanimously. PERSONS TO BE HEARD Bill Hilker stated he had addressed the Town Board on numerous occasions in opposition to many items . Mr. Hilker went on to say he wanted to commend the Supervisor on tier performance, and to commend the Supervisor and the present administration on the Town Staff . Mr. Hilker included that while working with the Town he has concluded that the staff feels Supervisor Raffensperger is doing an excellent job. Agenda Item No . 32 - Executive Session I•lotion made by Councilman Whitcomb to move into Executive Session to consider possible litigation and personnel matters. Seconded by Councilman Niklas . Carried unanimously. The Town Board moved into Executive Session at 8: 53 p . m. Motion made by Supervisor Raffensperger to move back into Regular Session, seconded by Councilman Whitcomb . Carried unanimously. Regular session resumed at 9 : 37 p. m. As a result of the Executive Session, the following resolutions were adopted. Motion made by Supervisor Raffensperger approving and authorizing the appointment of Mary Bryant as Administrative Secretary effective January 1 , 1993 at an annual salary of $25 ,000 to be charged to accounts A1440 . 100, 138010 . 100, and B8020 . 100 equally, this promotion is subject to a six-month probationary period with a salary review at that time . Seconded by Councilwoman Valentino . Carried unanimously. Motion made by Councilman Whitcomb that the Town Attorney is authorized and directed to pursue an appeal of the decision of the Supreme Court of the State of New York dated October 13, 1992 in the Matter of Ken Baldassarre vs . the Planning Board of the Town of Ithaca and the Town Board of the Town of Ithaca. Seconded by Councilman Karl Niklas . Motion carried . Aye ' s - Whitcomb, Valentino, Niklas, Klein, Leary Nay' s - Liguori Town Board Mt. Minutes 20 11/5/92 Adjournment As there was no further business to come before the Town Board a motion was made by Councilman Whitcomb to adjourn. Seconded by Councilman Niklas. Carried unanimously. Meeting adjourned at 9 : 40 p. m . Respectfully submitted, Oca,,v VJoan Lent Hamilton Town Clerk ***Next regular Town Board Meeting - December 7 , 1992, 5 : 30 p. m. PUBLIC HEARING - 7 : 00 13. m. - Amendment to Zoning Ordinance Relating to Planning Procedures and Findings Related to Special Approvals Town Board Fleeting 11/5/92 Agenda Item No . 3 Report of Town Committees Ethics Committee - Advertisement Ethics Board Resolution No. 272 BE IT RESOLVED, the Town Clerk is hereby authorized and directed to place two box advertisements in the Ithaca Journal on separate days to recruit members for the Town of Ithaca Ethics Board at a cost not to exceed $160 . 00 using the attached example . (Amendments : deleting the fourth line , fifth line, and portions of the sixth line of the attached example so that it will read, "to serve on" . ) MOVED: Councilman Karl Niklas SECONDED: Councilwoman Catherine Valentino Amendments : MOVED : Councilman Frank Liguori SECONDED: Supervisor Shirley A. Raffensperger Motion With Amendments - Carried Unanimously Joan Lent Hamilton, Town Clerk Town Board Meeting 11/5/92 Agenda Item No . 7 1993 Sewer Benefit Assessment Roll Resolution No . 273 WHEREAS, the current sewer benefit unit charge for the Town of Ithaca used for the purposes of calculating the sewer benefit assessment is presently $62 . 00 per unit, of which $12 . 00 was the assessment applicable to the Town of Ithaca-Ithaca Area Wastewater Treatment Plant Improvement Area and the balance relates to the Town of Ithaca Townwide Sewer Improvement District; and WHEREAS, said sewer benefit charge was last increased in October of 1986 for the tax year beginning 1987 ; and WHEREAS, the costs of providing the sewer services and funding the additions to sewer systems have increased since 1987 ; now therefore be it RESOLVED, that the Town Board of the Town of Ithaca hereby approves an increase in the sewer benefit charge from $62 . 00 per unit of sewer assessment to $78 . 00 per unit; and be it further RESOLVED, of said assessment, $12 . 00 per unit shall be assessment for the Town of Ithaca-Ithaca Area Wastewater Treatment Plant Improvement Area and $66 . 00 per unit shall be the assessment for the Town of Ithaca Townwide Sewer Improvement District; and be it further RESOLVED, that said increased assessment be the basis for determining the water and sewer benefit assessment roll for the year 1993 . MOVED : Councilman Karl Niklas Carried Unanimously SECONDED : Councilman Frank Liguori DATED: November 5, 1992 Joan Lent Hamilton, Town Clerk Town Board Meeting 11 /5/92 Agenda Item No . 8 Adoption 1993 Southern Cayuga Lake Intermunicipal Mater Commission Budget, (SCLIWC ) Resolution No . 274 WHEREAS , the properly advertised Public Hearing has been held to consider the adoption of the 1993 Preliminary SCLIWC Budget as the 1993 SCLIWC Budget; now therefore be it RESOLVED, that the Town Board of the Town of Ithaca hereby adopts the 1993 SCLIWC Preliminary Budget as the 1993 SCLIWC Budget. MOVED: Councilman Karl Niklas Carried Unanimously SECONDED : Supervisor Shirley Raffensperger DATED: November 5, 1992 Joan Lent Hamilton, Town Clerk Town Board Meeting 11 /5/92 Agenda Item No . 9 1993 Town of Ithaca Budget Resolution No . 275 WHEREAS, the properly advertised Public Hearing has been held to consider the adoption of the 1993 Preliminary Town of Ithaca Budget as the 1993 Town of Ithaca Budget; now therefore be it RESOLVED , that the Town Board of the Town of Ithaca adopts the 1993 Preliminary Town of Ithaca Budget as the 1993 Town of Ithaca Budget with the following changes . 1 . An increase in assessed value Townwide from $697 ,000, 870 to $698, 144 ,048 decreases the tax levy from $1 . 168/ 1000 assessed value to $1 . 166/1000 assessed value . 2 . The Village of Cayuga heights fire contract number has increased for 1993 to $89, 349 from $49, 739 in 1992 . The Tentative Budget estimate was $58,000 . The "Town Share" , based on a formula derived from comparative assessed values has increased from 42 . 41% , 1992 , to 48 . 66% , in 1993 . The Fire Protection tax levy increases from $2 . 049/$1000 assessed value in 1992 to $2 . 377 in 1993 (Tentative budget estimate : $2 . 316 . ) MOVED : Councilman Karl Niklas Carried Unanimously SECONDED : Councilwoman Catherine Valentino DATED: November 5, 1992 Joan Lent Hamilton, Town Clerk Town Board Meeting 11/5/92 Agenda Item No . 10 1993 Assessment Rolls for Special Benefit Districts Resolution No . 276 WHEREAS, the properly advertised Public Hearings have been held to consider the 1993 Assessment Rolls for Special Benefit Districts for the Town of Ithaca; now therefore be it RESOLVED, the Town Board of the Town of Ithaca hereby adopts the 1993 Assessment Rolls for the following Special Benefit Districts of the Town of Ithaca. Forest Home Lighting District MOVED : Councilman Karl Niklas Carried Unanimously SECONDED: Councilman John Whitcomb Glenside Lighting District MOVED : Councilman Karl Niklas Carried Unanimously SECONDED: Councilwoman Catherine Valentino Renwick Heights Lighting District MOVED: Councilwoman Catherine Valentino Carried Unanimously SECONDED : Councilman John Whitcomb Eastwood Commons Lighting District MOVED: Councilman Karl Niklas Carried Unanimously SECONDED : Councilwoman Catherine Valentino Clover Lane Lighting District MOVED : Councilman Karl Niklas Carried Unanimously SECONDED : Councilwoman Catherine Valentino Winners Circle Lighting District MOVED: Councilman John Whitcomb Carried Unanimously SECONDED : Councilman Karl Niklas Burleigh Drive Lighting District MOVED: Councilwoman Patricia Leary Carried Unanimously SECONDED : Councilman Frank Liguori [dater Improvement Benefit District MOVED : Councilman David Klein Carried Unanimously SECONDED : Councilwoman Patricia Leary Resolution No. 276 Pg. 2 Sewer Improvement Benefit District MOVED : Councilman John Whitcomb Carried Unanimously SECONDED: Councilwoman Catherine Valentino Judd Falls Road Sidewalk Benefit Improvements MOVED : Councilman Karl Niklas Carried Unanimously SECONDED: Councilman Frank Liguori Joan Lent Hamilton Town Clerk Town Hoard Meeting 11 /5/92 Agenda Item No . 12 SEQR West Haven Road Lighting District Resolution No. 277 BE IT RESOLVED, the Town Board of the Town of Ithaca makes a negative determination of environmental significance in accordance with the New York State Environmental Quality Review Act for the adoption of the establishment of the West Haven Road lighting District. MOVED : Councilman David Klein Carried Unanimously SECONDED: Councilman Frank Liguori Joan Lent Hamilton, Town Clerk Town Board Meeting 11 /5/92 Agenda Item No . 13 In the Matter of the Formation of a Lighting District To Be Known As the West Haven Road Lighting District Resolution No. 278 WHEREAS , a petition was duly presented to the Town Board of the Town of Ithaca, according to law, requesting that a lighting district as hereinafter described be established in the Town of Ithaca; and WHEREAS , the boundaries of the proposed lighting district are set forth on Schedule A annexed hereto; and WHEREAS, the improvements proposed in said district consist of installation of poles and lights with associated wiring, all as more particularly shown on the street lighting plan prepared by the Town Engineer; and WHEREAS, said Town Board duly adopted on the 5th day of October, 1992 , an order reciting in general terms the filing of said petition, the boundaries of the proposed district, the improvements proposed, the maximum amount proposed to be expended for the improvements , and specifying that the Town Board shall meet at the Town Hall , 126 East Seneca Street, Ithaca, New York, on the 5th day of November, 1992 , at 8 : 10 o ' clock p. m. to consider said petition and hear all persons interested in the subject thereof concerning the same ; and WHEREAS , certified copies of said order were duly published and posted according to law, and said Town Board did, at the time and place specified in said order, duly meet and consider the matter of the establishment of said lighting district, and heard all persons interested in the subject thereof who appeared at such time and place , concerning the same; and WHEREAS , the evidence offered at such time and place requires that the Town Board make the determination hereinafter made, now therefore be it RESOLVED , by the Town Board of the Town of Ithaca, in the County of Tompkins, New York, that it be and hereby is determined as follows : 1 . The aforesaid petition is signed and acknowledged as provided by law and is otherwise sufficient. 2 . That all of the property and property owners , within the proposed lighting district, are benefitted thereby. 3 . That all of the property and property owners benefitted are included within the proposed lighting district. Resolution No . 278 Pg. 2 4 . It is in the public interest to establish the proposed lighting district as hereinafter described. AND BE IT FURTHER RESOLVED , that the Town Board does hereby approve the establishment of a lighting district as hereinafter described to be known as the West Haven Road Lighting District; and be it further RESOLVED, that the boundaries of said West Haven Road Lighting District are as set forth on Schedule A attached to this resolution; and be it further RESOLVED, that the following improvements in said district be constructed upon the required arrangements being made with New York State Electric & Gas Corporation : Lighting stands, lights and associated poles, brackets, wiring and cable; and be it further RESOLVED , that the proposed improvements, including costs of rights of way, construction costs, legal fees , operating expenses , maintenance , and other expenses , shall be financed as follows : each of the lot owners in said West Haven Road shall be assessed a proportionate share of the annual cost of operating and maintaining said lighting system, the Town Board determining that each lot owner is benefitted substantially in proportion to the frontage of each lot owner on the road and therefore, until otherwise determined by the Town Board, the cost of the installation, operation, and maintenance of said lighting facilities is to be borne by each lot owner in the West Haven Road Lighting District in proportion to the amount of road frontage each lot owner has on West Haven Drive ; and be it further RESOLVED, that pursuant to the terms of the aforesaid resolution and in accordance with Town Law Section 194 it is hereby RESOLVED AND ORDERED, that a lighting district be established in the said Town of Ithaca, Tompkins County, New York, as described in the foregoing resolution , to be designated as West Have Road Lighting District, to have the description and boundaries set forth on Schedule A annexed to this resolution and order; and it if further RESOLVED AND ORDERED, that the Town Clerk of the Town of Ithaca is hereby authorized and directed to cause a certified copy of this order to be duly recorded in the Office of the Clerk of Tompkins County in which the Town of Ithaca is located, within ten days after the adoption of this order, and it is further Resolution No . 278 Pg. 3 RESOLVED AND ORDERED, that the Town Clerk is hereby authorized and directed to file a certified copy of this Resolution and Order, in duplicate , in the Office of the State Department of Audit and Control , Albany, New York, within ten days after the adoption of this Resolution and Order. MOVED: Supervisor Shirley Raffensperger Carried Unanimously SECONDED: Councilwoman Catherine Valentino DATED : November 5, 1992 Joan Lent Hamilton, Town Clerk Town Board Meeting 11/ 5/92 Agenda Item No . 14 Delinquent Water and Sewer Charges Resolution No . 279 WHEREAS, there is an amount totalling $35, 284 . 94 owed to the Town of Ithaca for Delinquent Water and Sewer Charges including penalties on properties within the Town of Ithaca; and WHEREAS , Town Law provides for the collection of said monies as a lien against the property involved on the tax bills ; now therefore be it RESOLVED, the Town Board of the Town of Ithaca hereby authorizes and directs the Town of Ithaca Receiver of Taxes to add to the tax roll for 1993 the amount of $35 , 284 . 94 for Delinquent Water and Sewer Charges including penalties; and be it further RESOLVED, said delinquent amount is to become due and collectible as part of the tax bills for the Town of Ithaca which will be mailed to. property owners on December 31 , 1992 , and which will become due in January 1993 . MOVED: Supervisor Shirley Raffensperger Carried Unanimously SECONDED : Councilman Karl Niklas DATED : November 5, 1992 Joan Lent Hamilton, Town Clerk Town Board Meeting 11/ 5/92 Agenda Item No . 15 Truck Traffic Limitations Forest Home Resolution No. 280 WHEREAS , the Forest Home Improvement Association has requested that the Town Board of the Town of Ithaca arrange for additional assistance in the enforcement of the truck traffic limitations in the Forest Home area; and WHEREAS , it is in the understanding of the Town of Ithaca Town Board that the Cornell University Department of Public Safety has indicated a willingness to assist in enforcing the law if they are authorized to do so; and WHEREAS , it is the opinion of the Attorney to the Town that Cornell department of Public Safety officers are authorized in the laws of New York State to enforce local traffic ordinances when the area is "within the said ground or premises owned for administered by Cornell University including any public highway which crosses or adjoins such property" ; now therefore be it RESOLVED, that the Town of Ithaca Town Board hereby authorizes and requests Cornell University Department of Public Safety officers to enforce the truck traffic limitations in the Forest Home area to the extent that they are able to do so ; and be it further RESOLVED, that the Supervisor is directed to send a letter supporting this request and a copy of the applicable sections of the Town of Ithaca Traffic Ordinance , along with a certified copy of this resolution, to the Chief of the Cornell University Department of Public Safety. MOVED: Councilman Karl Niklas Carried Unanimously SECONDED: Councilwoman Catherine Valentino DATED : November 5 , 1992 0", Joan Lent Hamilton, Town Clerk Town Board Meeting 11/5/92 Agenda Item No . 16 Ratification of Amendment to Agreement Shalebrook Development Corporation Resolution No . 281 WHEREAS , Shalebrook Development Corp. , ( the "Developer" ) entered into an agreement with the Town of Ithaca ( the "Town" ) dated November 12 , 1991 , relating to the conveyance and completion of Perry Lane and a related strip of land ( the "Agreement" ) ; and WHEREAS , the parties wish to extend the time for performance and to extend the time of security provided for in the Agreement; now therefore be it RESOLVED, in consideration of the mutual agreements and promises hereinafter set forth, it is agree as follows : 1 . The completion date of August 1 , 1992 for said roads set forth in the Agreement is hereby extended to August 1 , 1993 . 2 . The security for the agreement set forth in paragraph 8 is hereby reduced from the sum of $40,000 .00 to the sum of $6 ,000 . 00 . 3 . If the Developer elects to provide a letter of credit as opposed to cash for the security, the letter of credit shall be an irrevocable letter of credit with an expiration date of no earlier than November 1 , 1993 . 4 . Upon receipt of a signed copy of this Agreement and the revised letter of credit or cash deposit, the Town agrees that it will provide normal snowplowing and other snow removal services for Perry Lane during the winter of 1992-93 . 5 . The Town has received a deed and recorded same for title to the roads . 6 . In all other respects the terms and provisions of the Agreement shall remain in full force and effect except as modified by the terms of this Amendment Agreement. BE IT FURTHER RESOLVED, that the Town Board of the Town of Ithaca does hereby ratify the execution of said Amendment Agreement as entered into by the Supervisor on October 29 , 1992 . MOVED : Councilman Karl Niklas Carried Unanimously SECONDED: Councilman Frank Liguori Joan Lent Hamilton, Town Clerk Town Board Meeting 11/5/92 Agenda Item No . 17 Chase Pond Subdivision, Acceptance of Roads, Public Facilities Resolution No . 282 WHEREAS , the Town of Ithaca Planning Board, on October 6, 1992, granted Preliminary Subdivision Approval with conditions to the proposed "Chase Pond Subdivision, " consisting of 20 residential lots and one lot for a proposed hospice on Town of Ithaca Tax Parcels No. 44 . 1-1-1 through 44 . 1-137 , 23 . 0+/ acres total, located north of East King Road across from Chase Farm Lane , Residence Districts R-15 and R-30; and WHEREAS , the subdivider has offered to dedicate to the Town a 750=/- ' long, 60 ' wide right-of-way for a street and cul-de-sac, a 20 ' wide footpath/bikeway easement, water and sewer easements, and other public improvements; and WHEREAS , Article IV, Section 21 of the Town Subdivision Regulations requires that no dedication proposed by the subdivider for an easement of a highway or other public use shall be shown on a ( final ) plat unless accepted by the Town Board; and WHEREAS , the Town Board, on November 5 , 1992 , has reviewed the location of the proposed road, trail easements, water and sewer easements and other public facilities ; now therefore be it RESOLVED, that the Town of Ithaca Town Board accept and hereby does accept the locations of the proposed aforementioned public facilities, subject to compliance by the developer with all conditions and requirements that have been or may be imposed by the Planning Board as part of project consideration . MOVED : Councilman Karl Niklas Carried Unanimously SECONDED: Councilman David Klein DATED : November 5 , 1992 Joan Lent Hamilton , Town Clerk Town Board Meeting 11/5/92 Agenda Item No . 18 Approval to Recruit New Highway Laborer Resolution No . 283 WHEREAS, providing adequate service to the Town ' s residents has significantly increased demands upon the Highway Department in recent years; and WHEREAS , the Public Works Committee has recommended the hiring of an additional highway laborer to help meet these demands ; and WHEREAS , there are adequate funds in the budget to cover the expenses; now therefore be it RESOLVED , the Town Board of the Town of Ithaca does hereby approve the recruitment of a highway laborer. MOVED: Supervisor Shirley Raffensperger Carried Unanimously SECONDED: Councilwoman Catherine Valentino DATED: November 5 , 1992 -----9.- -/14a2 ----------------- Joan Lent Hamilton, Town Clerk Town Board Meeting 11/5/92 Agenda Item No . 19 Approval of Deputy Town Clerk Job Description Resolution No . 284 WHEREAS , the re-organization of duties for the Deputy Town Clerk/Deputy Receiver of Taxes and the Town ' s pressing need for a centralized receptionist has made it necessary to update the duties of the Deputy Town Clerk; and WHEREAS , the Personnel Committee has reviewed and recommends the attached job description ; now therefore be it RESOLVED, the Town Board of the Town of Ithaca does hereby approve the new Deputy Town Clerk job description . MOVED: Councilman Karl Niklas Carried Unanimously SECONDED: Councilwoman Catherine Valentino DATED : November 5 , 1992 Joan Lent Hamilton , Town Clerk i I TOWN OF ITHACA DEPUTY TOWN CLERK JOB DESCRIPTION JOB FUNCTION: Acts as receptionist for Town Hall and provides clerical support to the Town Clerk/Receiver of Taxes. JOB STATUS This is a full-time , non-exempt position with a standard work week of 37-1/2 hours. SUPERVISED BY Town Clerk/Receiver of Taxes SPECIFIC MAJOR DUTIES Acts as receptionist for Town Hall . Answers incoming calls and directs them to appropriate departments. Answers inquiries from Town residents and other municipal offices. Issues marriage, dog, hunting, fishing, and other licenses and permits and related documents and transcripts. Collects water and sewer bill payments . Assists in the mailing, collection and receipting of Town and County tax bills. Assists with Town Board meeting preparation, mailings, typing, copying, filing, records management and archives. Other duties as assigned including typing and filing assistance to the Accounting Department during peak work periods . EDUCATION AND WORK EXPERIENCE High School Diploma with business major. Some work experience, preferably dealing with the public and working with cash. SPECIAL SKILLS Ability to deal tactfully with the public . Knowledge of Ithaca and Tompkins County area. Strong typing, word processing, math and computer skills. Knowledge of Word Perfect and Lotus 1-2-3 desirable. 10/92 Town Board Meeting 11 /5/92 Agenda Item No. 20 Approval to Recruit for Deputy Town Clerk Position Resolution No . 285 WHEREAS , there is a need to improve telephone coverage within the Town Hall as well as to provide additional help in the Town Clerk ' s Office for improved services to Town residents; and WHEREAS , the retirement of Nancy Fuller, a part-time Deputy Town Clerk, the re-organization of the Town Clerk ' s Office and of the clerical staff throughout Town Hall has created a full-time vacancy for this position; now therefore be it RESOLVED , the Town Board of the Town of Ithaca does hereby support and approve the recruitment for a new Deputy Town Clerk . MOVED: Supervisor Shirley Raf.fensperger Carried Unanimously SECONDED : Councilman Karl Niklas DATED : November 5 , 1992 Joan Lent Hamilton, Town Clerk Town Board Meeting 11/ 5/92 Agenda Item No . 21 Appointment Receiver of Taxes Resolution No. 286 WHEREAS , Betty Poole has been the interim Receiver of Taxes for the Town of Ithaca during the year 1992 ; and WHEREAS, in accordance with General Municipal Law a permanent Receiver of Taxes for the Town of Ithaca must be appointed; now therefore be it RESOLVED, the Town Board of the Town of Ithaca hereby approves and appoints Joan Lent Hamilton as the Town of Ithaca Receiver of Taxes; and be it further RESOLVED, said appointment shall be effective immediately upon the adoption of this resolution . MOVED : Councilman John Whitcomb Carried Unanimously SECONDED: Councilman Karl Niklas DATED : November 5 , 1992 Joan Lent Hamilton , Town Clerk Town Board Meeting 11/5/92 Agenda Item No . 22 Town Supervisor Attendance Governor ' s Panel Property Tax Exemption and Classifications Issues Resolution No. 287 WHEREAS , the Town Supervisor, Shirley Raffensperger has been appointed to the Governor' s Panel on Property Tax Exemption and Classifications Issues ; and WHEREAS , the meetings of said panel will be held in Albany, New York requiring the necessity of overnight accommodations for the Town Supervisor to attend said panel meetings; now therefore be it RESOLVED , that the Town Board of the Town of Ithaca hereby approves the attendance of the Town Supervisor at all meetings of the Governor' s Panel on Property Tax Exemption and Classifications Issues; and be it further RESOLVED, the Town Board also approves the payment for overnight lodging, mileage, and meals for the Town Supervisor to attend said panel meetings in accordance with the requirements of the Town Law verified receipt/voucher system. MOVED: Councilman Karl Niklas Carried Unanimously SECONDED: Councilman John Whitcomb DATED: November 5 , 1992 Joan Lent Hamilton, Town Clerk Town Board Meeting 11/5/92 Agenda Item No . 23 School Zone , East Shore Drive Resolution No. 288 WHEREAS, representatives of the Boynton Middle School, Parent Teachers Association have requested the delineation of a school zone and crosswalks on East Shore Drive ( St. Rte . 930F ) near the Boynton Middle School, and the reduction of the speed limit within that school zone ; and WHEREAS, this is a state route and all signs or traffic control devices would be installed and maintained by the NYS Department of Transportation; now therefore be it RESOLVED, that the Town Board of the Town of Ithaca hereby requests that the New York State Traffic Safety Division consider establishing a school zone with a reduced speed limit on NYS Rte . 930F in front of the Boynton Middle School . MOVED: Councilman Karl Niklas Carried Unanimously SECONDED : Councilwoman Valentino DATED : November 5, 1992 Joan Lent Hamilton , Town Clerk Town Board Meeting 11 /5/92 Agenda Item No . 23 Coy Glen Speed Limit Resolution No . 289 WHEREAS , residents in the Coy Glen area are concerned with the speed limit of vehicular traffic in their neighborhood and have expressed this concern to the Town staff in the form of a request for lower speed limits ; and WHEREAS , the Public Works Committee has recommended requesting an area wide speed limit as opposed to a single street ( linear) speed limit; now therefore be it RESOLVED, that the Town Board of the Town of Ithaca hereby requests, through the County of Tompkins, that the State of New York Traffic Safety Division consider an area speed limit of 35 mph or the nearest appropriate speed in the area described on the attached sheet. MOVED : Councilman John Whitcomb Carried Unanimously SECONDED : Councilwoman Catherine Valentino DATED : November 5 , 1992 Joan Lent Hamilton, Town Clerk COY GLEN AREA FOR 35 MPH SPEED ZONE Bounded by a line ; beginning at a point on the westerly right of way line of NY State Route 13A and its intersection with the Town of Ithaca, City of Ithaca boundary; and thence westerly and northerly along said boundary line to the southerly ROW line of Elm Street Extension to a point opposite the centerline of Valley View Drive ; thence southerly to a point on the southerly ROW line of Bostwick Road opposite the easterly ROW line of Bostwick Road to a point of intersection with the westerly ROW of NY State Route 13A; thence across NY State Route 13A perpendicular to its centerline to the easterly ROW line ; thence along the easterly ROW of NY State Route 13A to the point which is 0 . 234 miles ( 1234 ft. ) from the City of Ithaca line ; thence directly across NY State Route 13A perpendicular to its centerline to the westerly ROW line; thence along the westerly ROW of NY State Route 13A to the point of beginning. Town Board Meeting 11/5/92 Agenda Item No . 24 1992 Budget Amendments Resolution No . 290 WHEREAS , the 1992 Budget for the highway garage included funding for new overhead doors; and WHEREAS , some of these funds were used to hook up to the new water service leaving insufficient funds to purchase the overhead doors; now therefore be it RESOLVED , that the Town Board of the Town of Ithaca does approve a budget amendment to increase A1090 Interest and Penalties on Taxes to $4 , 118 .00, increase A5132 . 412 Highway Garage Maintenance $6 , 378. 00, and decrease A5132 . 200 Highway Garage Equipment $2 , 260 .00 to allow for purchase of overhead doors at the highway garage . MOVED: Councilman Karl Niklas Carried Unanimously SECONDED: Councilman Frank Liguori DATED : November 5 , 1992 Q"," iA I Joan Lent Hamilton, Town Clerk Town Board Meeting 11/5/92 Agenda Item No. 24 1992 Budget Amendments Resolution No . 291 WHEREAS , Cornell University and Ide ' s Plaza have funds in the Town' s fiduciary account for the Mitchell Street Sidewalk Project; and WHEREAS , the work on the Mitchell Street sidewalk is now underway; now therefore be it RESOLVED, that the funds be released from the fiduciary account and put into Genera]. Fund Outside Village to contribute to the cost of the sidewalk; and be it further RESOLVED, that the Town Board of the Town of Ithaca does hereby approve a budget amendment to increase account B2705 Gifts and Donations and increase B7140 . 405 Mitchell Street Walkway by $9, 962 . 00 to properly budget for this project. MOVED: Supervisor Shirley Raffensperger Carried Unanimously SECONDED: Councilman Karl Niklas DATED : November 5 , 1992 Joan Lent Hamilton, Town Clerk Town Board Meeting 11/ 5/92 Agenda Item No . 25 Bolton Point ( SCLIWC ) 1992 Budget Amendments Resolution No. 292 WHEREAS , there are insufficient amount of appropriations in some of the line items of the Bolton Point (SCLIWC ) 1992 budget to meet the obligations of the fund for the year 1992 ; and WHEREAS , in conformity with Town Law and good bookkeeping practices accounts should not be over appropriated; now therefore be it RESOLVED, that the Treasurer of the SCLIWC is hereby authorized and directed to make the following budget transfers from unencumbered balances to offset any shortages in appropriations for the year 1992 ; and be it further RESOLVED, that the SCLIWC Bookkeeper be sent a certified copy of this resolution so that said budget transfer can be recorded. FROM: SW8320. 222 Maintenance T & V Systems $2000. 00 TO: SW8320 . 221 Maintenance B. P . System $2000 . 00 MOVED: Supervisor Shirley Raffensperger Carried Unanimously SECONDED: Councilwoman Catherine Valentino DATED : November 5, 1992 Joan Lent Hamilton , Town Clerk Town Board Meeting 11 / 5/92 Agenda Item No . 26 Quarterly Investment Report Resolution No . 293 WHEREAS, the Assistant Budget Officer has presented the Quarterly Investment Report of the Town of Ithaca for the months 7/1/92 to 9/30/92 to the Town Board for their review; and WHEREAS, the Town Board has reviewed and discussed said report; now therefore be it RESOLVED , the Town Board does hereby adopt said report as the official Quarterly Investment Report for the months indicated . MOVED : Councilman Karl Niklas Carried Unanimously SECONDED: Councilman Frank Liguori DATED: November 5 , 1992 Joan Lent Hamilton, Town Clerk TOWN OF ITHACA INVESTMENT REPORT FOR THE QUARTER 07/01/92-9/30/92 REPURCHASE AGREEMENTS DATE RATE OF MATURITY ACQUIRED AMOUNT INTEREST DATE 06/23/92 2, 836 , 354. 77 4 . 00% 08/23/92 08/24/92 2, 255 ,573. 79 3.35% 10/10/92 SAVINGS END OF MONTH RATE OF INTEREST MONTH BALANCE INTEREST EARNED JULY 684 , 727 . 74 4. 00% 3, 694 . 48 AUGUST 1,415, 670 . 19 3 . 75% 3, 235 . 47 SEPTEMBER 1, 136, 350 . 39 3. 50% 3, 434 . 54 INTEREST CHECKING END OF MONTH RATE OF INTEREST - MONTH BALANCE INTEREST EARNED JULY 28, 738. 74 3. 25% 621 . 78 AUGUST 106, 053. 15 3. 00% 157 . 85 SEPTEMBER 469,059 . 04 2 . 75% 745 . 22 10/27/92 Town Board fleeting 11/5/92 Agenda Item No . 27 Town Board Minutes , 10/5/92 Resolution No . 294 WHEREAS , the Town Clerk has presented the Town Board Meeting Minutes for the regular meeting held on October 5 , 1992 to the Town Board for their review and approval ; and WHEREAS , the Town Board has reviewed and approved said minutes ; now therefore be it RESOLVED, the Town Board does hereby adopt said minutes as the official minutes of the Town Board for the regular meeting held October 5, 1992 . MOVED: Councilman Karl Niklas Motion Carried SECONDED : Councilman Frank Liguori ABSTENTION : Councilwoman Patricia Leary DATED : November 5, 1992 Joan Lent Hamilton, Town Clerk Town Board Meeting 11/ 5/92 Agenda Item No . 28 Town Board Minutes, 10/ 19/92 Resolution No . 295 WHEREAS, the Town Clerk has presented the Town Board Meeting Minutes for the special meeting held on October 19 , 1992 to the Town Board for their review and approval ; and WHEREAS , the Town Board has reviewed and approved said minutes ; now therefore be it RESOLVED, the Town Board does hereby adopt said minutes as the official minutes of the Town Board for the special meeting held October 19, 1992 . MOVED: Councilman John Whitcomb Motion Carried SECONDED: Councilwoman Catherine Valentino ABSTENTION: Councilwoman Patricia Leary DATED: November 5 , 1992 Joan Lent Hamilton, Town Clerk Town Board Meeting 11/5/92 Agenda Item No . 29 Monthly Financial Report, 9/30/92 Resolution No . 296 WHEREAS , the Assistant Budget Officer has presented the Financial Report of the Town of Ithaca for the month ending September 30, 1992 to the Town Board for their review and approval ; and WHEREAS , the Town Board has reviewed said report; now therefore be it RESOLVED , the Town Board does hereby adopt the Financial Report for the month ending September 30, 1992 as the official financial report for the month indicated. MOVED: Supervisor Shirley Raffensperger Carried Unanimously SECONDED: Councilman Karl Niklas DATED: November 5 , 1992 Qna"'j Jai Joan Lent Hamilton, Town Clerk Town Board fleeting 11/5/92 Agenda Item No . 30 Town of Ithaca Warrants Resolution No . 297 WHEREAS , the following numbered vouchers have been presented to the Town Board for approval of payment; and WHEREAS , said vouchers have been audited for payment by said Town Board; now therefore be it RESOLVED, that the Town Board hereby authorizes the payment of said vouchers. Lighting Fund Vouchers : No . 24-26 S 628 . 54 Capital Project Fund Vouchers : No . 54-55 31 , 925 . 61 Water & Sewer Fund Vouchers: No . 237-260 65 , 269 . 73 General Outside Village Vouchers : No . 256-289 46 , 636 . 44 Highway Fund Vouchers .. No. 295-332 117 , 432 . 82 General Townwide Vouchers : No. 567-618 51 , 361 . 47 MOVED: Councilman John Whitcomb Carried Unanimously SECONDED : Councilman Frank Liguori Joan Lent Hamilton, Town Clerk Town Board Meeting 11 /5/92 Agenda Item No. 31 Bolton Point Warrants Resolution No . 298 WHEREAS, the following numbered vouchers have been presented to the Town of Ithaca Town Board for approval of payment; and WHEREAS, said vouchers have been audited for payment by said Town Board; now therefore be it RESOLVED, that the Town Board hereby authorizes the payment of said vouchers. Operating Fund Vouchers : No . 554 - 618 $151 , 357 . 36 Capital Projects Fund Vouchers: No . H29 - H31 $ 4, 310. 25 MOVED: Supervisor Shirley Raffensperger Carried Unanimously SECONDED: Councilman Frank Liguori --------- -�---------- ,loan Lent Hamilton , Town Clerk Town Board Meeting 11/5/92 Agenda Item - Executive Session Baldassar.re Appeal Resolution No . 299 BE IT RESOLVED, that the Town Attorney is hereby authorized and directed to pursue an appeal of the decision of the Supreme Court of the State of New York dated October 13 , 1992 in the Matter of Ken Baldassarre vs. the Planning Board of the Town of Ithaca and the Town Board of the Town of Ithaca . MOVED : Councilman John Whitcomb SECONDED : Councilman Karl Niklas Motion Carried : Aye - Whitcomb, Valentino, Niklas, Klein, Leary Nay - Liguori Joan Lent Hamilton, Town Clerk CONFIDENTIAL Town Board Meeting 11/5/92 Agenda Item - Executive Session Mayer School Resolution No . 300 BE IT RESOLVED, the Town Supervisor is hereby authorized and directed to retain a construction consultant to investigate the Mayer School, 1251 Trumansburg Road , Ithaca, Tax Parcel Number 24- 3-3. 4 , for the purpose of obtaining potential costs to renovate the building for the Town of Ithaca ' s use at a cost not to exceed $10,000 . MOVED: Councilman Frank Liguori Carried Unanimously SECONDED: Supervisor Shirley Raffensperger Joan Lent Hamilton , Town Clerk CONFIDENTIAL Town Board Meeting 11/ 5/92 Agenda Item No . 32 Mayer School - Purchase Offer Resolution No. 301 BE IT RESOLVED, the Town Board of the Town of Ithaca hereby directs the Tom Attorney to prepare a proposed purchase offer for the ttayer School property, 1251 Trumansburg Road, Ithaca, Tax Parcel No . 24-3-3. 4, at a purchase price of $220,000 with contingencies deemed appropriate by the Town Attorney and Town Supervisor to include , among others, receipt of a report satisfactory to the Town that the cost of necessary renovations does not exceed $150, 000, and the completion of all appropriate municipal actions to finance the purchase ; and be it further RESOLVED, that if satisfied with the offer the Town Supervisor is hereby authorized and directed to execute and submit same to the seller or seller ' s agent. MOVED: Councilman Frank Liguori Carried Unanimously SECONDED: Councilman David Klein Joan Lent Hamilton, Town Clerk Town Board Meeting 11/5/92 Agenda Item No . 32 EXECUTIVE SESSION Approval to Promote Mary Bryant to Administrative Secretary Resolution No . 302 WHEREAS , the retirement of Nancy Fuller will leave a vacancy in the Zoning and Planning Departments at year end; and WHEREAS , Mary Bryant is familiar with the functions of these departments as well as engineering, and possesses the skills and abilities necessary to fill the position of Administrative Secretary; now therefore be it RESOLVED, the Town Board of the Town of Ithaca does hereby approve the promotion of Mary Bryant to Administrative Secretary effective January 1 , 1993 at an annual salary of $25 ,000 to be charged to accounts A1440 . 100, 88010. 100, and B8020 . 100 equally. This promotion is subject to a six-month probationary period with a salary review at that time . MOVED : Supervisor Shirley Raffensperger Carried Unanimously SECONDED : Councilwoman Catherine Valentino DATED: November 5, 1992 Joan Lent Hamilton, Town Clerk Town Board Meeting 11/5/92 Agenda Item No. - Additional Village of Lansing - Lead Agency Proposed Community Center Project Resolution No . 303 WHEREAS , the Town of Ithaca Town Board has received a request from the Village of Lansing to assent to the designation of the Village of Lansing as Lead Agent for the purpose of review under SEAR of the development of the Community Center in the Village of Lansing; now therefore be it RESOLVED, that the Town of Ithaca as an involved agency agrees to the designation of the Village of Lansing as the lead agency for review under SEQR for the development of the Community Center in the Village of Lansing . MOVED: Supervisor Shirley Raffensperger Carried Unanimously SECONDED: Councilman Karl Niklas a,,,—, 14 '3-) �-� Joan tent Hamilton , Town Clerk Town Board Meeting 11/5/92 Agenda Item No . - Additional Public Hearing - Amendment to Zoning Ordinance Resolution No . 304 BE IT RESOLVED , that the Town Clerk is hereby authorized and directed to advertise for a Public Hearing to be held at the next regular Town Board Meeting on December 7 , 1992 at 7 : 00 p. m. to consider a LOCAL LAW AMENDING THE TOWN OF ITHACA ZONING ORDINANCE REGARDING PROCEDURES AND FINDINGS RELATED TO SPECIAL APPROVALS . MOVED: Councilman Karl Niklas Carried Unanimously SECONDED : Councilman John Whitcomb Joan Lent Hamilton, Town Clerk TOUN OF ITHACA 1993 ADOPTED BUDGET NOVEL-1B.R 5, 1992 Tentative Budget - October 5, 1992 Preliminary Budget - October 5, 1992 Adopted Budget - November 5,1992 i i I I fI I i TABLE OF CONTENTS Page I. General Fund Townwide Revenues 1 Appropriations 2 - 7 2. General Fund Outside Village Revenues 8 I Appropriations u 3. Highway Fund - • � Revenues 12 d Appropriations 13 - 14 4. Water Fund Revenues 15 ` Appropriations 16 - 17 5. Sewer Fund Revenues 18 Appropriations 19 - 20 6. Lighting Districts Revenues & Appropriations 21 7. Fire Protection Revenues & Appropriations 22 S. Estimated Year End Fund Balances 23 i 9. Budget Sumoary and Tax Rates 24 - 26 l 10. Water and Sewer Serial Bond and BAN Payment Schedule 27 - 28 11. Salary Schedule 29 - 31 i I� S we TM OF ITHACA - 1993 BUDGET WORKSITET 09-Nov-92 PAGE 1 ACCOUNT Mad•M ACCT. ACTUAL ACTUAL ADOPTED DEPT, RECOM. T£:TPATIVE PRELIMINARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET GENERAL FUND TOWtcIKIDF, ESTIMATED REVENUES Real Property Taxes A1001 $172,217.00 650,515.00 769,440.00 817,248.00 817,248.00 814,097.00 814,097.00 In Lieu of Taxes A1081 $5,471.00 12,400.00 8,892.00 14,500.00 14,500.00 14,734.00 14,734.00 Interest & Penalties A1090 SO.00 7,422.50 4,000.00 18,000.00 18,000.00 18,000.00 18,000.00 Non-Property Tax Distri. by County A1120 $366,945.00 0.00 0.00 0.00 0.00 0.00 0.00 Town Clerk Fees A1255 $1,496.00 1,372.95 2,000.00 2,250.00 2,250.00 2,250.00 2,250.00 Dog Enumeration Fees A1555 5797.00 810.00 1,200.00 1,500.00 1,500.00 1,500.00 1,500.00 Engineering Review Fees A2189 $2,050.00 1,380.00 4,000.00 1,000.00 1,000.00 1,000.00 1,000.00 Services to Other Gov'ts. A2378 $0.00 0.00 1,000.00 0.00 0.00 0.00 0.00 Interest & Earnings A2401 $10,226.00 14,932.67 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 Dog License Apportionment A2544 S5,476.00 4,084.36 5,200.00 5,750.00 5,750.00 5,750.00 5,750.00 Fines, Fees, Forfeited Bail .42610 $44,793.00 49,819.40 33,112.00 40,000.00 40,000.00 40,000.00 40,000.00 Sale of Equipment A2665 418.50 0.00 0.00 0.00 0.00 0.00 Insurance Recoveries A2680 $8,284.00 804.67 0.00 0.00 0.00 0.00 0.00 Miscellaneous A2770 $1,171.00 5,115.54 1,000.00 1,000.00 1,000.00 1,000.00 1,000.00 Refund Previous Year's Exp. A2701 $0.00 3,316.67 0.00 0.00 0.00 0.00 0.00 I/F Revenues from C.P. A2801 0.00 54,621.00 59,180.00 0.00 20,000.00 20,000.00 20,000.00 Total Est. Revenues Local Sources S618,926.00 $807,013.26 $899,024.00 $911,248.00 $931,248.00 5928,331.00 $928,331.00 State Aid Per Capita A3001 $127,430.00 47,514.57 34,156.00 0.00 0.00 0.00 0.00 Mortgage Tax A3005 $50,000.00 171,454.32 160,000.00 175,000.00 175,000.00 175,000.00 175,000.00 SARA Grant A3060 0.00 2,501.00 0.00 1,675.00 1,675.00 1,675.00 1,675.00 State Aid Youth/Old Age Programs A3820 $12,311.00 3,159.00 8,000.00 4,000.00 4,000.00 4,000.00 4,000.00 Youth/Rec Services/County P.2350 $0.00 2,100.00 1,000.00 1,500.00 1,500.00 1,500.00 1,500.00 Total Revenues State Aid $189,741.00 $226,728.89 S203,156.00 5182,175.00 S182,175.00 $182,175.00 S182,175.00 TOTAL ESTIMATED REVENUES 5808,667.00 $1,033,742.15 51,102,180.00 $1,093,423.00 $1,113,423.00 $1,110,506.00 $1,110,506.00 Interfund Transfers Interfund Transfers A5031 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 W&ter/Sewer Cap.Proj. A5032 $17,880.00 0.00 59,180.00 0.00 0100 0.00 0.00 Total Interfund Transfers $17,880.00 0.00 59,180.00 0.00 0.00 0.00 0.00 Appropriated Fund Balance $56,116.30 0.00 0.00 82,965.00 $5,882.00 85,882.00 GENERAL PU1iU,0F7jMDE TOTAL EST. REVENUES, INTERFUND TRANSFERS 6c APPRO. FUND BAL. $882,663.30 $1,033,742.15 $1,161,360.00 $1,093,423.00 $1,196,388.00 51,196,388.00 $1,196,388.00 TOWN OF ITHACA - 1993 BUDGET WORKSHEET 09-Nov-92 PAGE 2 ACCOU14T NAME ACCT.e ACTUAL ACTUAL ADOPTED DEPT. RECOM. TENTATIVE PRELikINARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET GENERAL FUMD TOM IDE APPROPRIATIONS TOWN BO;UM Personal Services A1010.10D $28,200.00 30,000.00 30,000.00 31,500.00 31,500.00 31,500.00 31,500.00 Equipment A1010.20D $497.00 0.00 500.00 500.00 500.00 500.00 500.00 Contractual A1010.400 $2,321.00 2,590.17 2,800.00 3,000.00 3,000.00 3,000.00 3,000.00 TOTAL TOWN BOARD S31,018.00 $32,590.17 $33,300.00 $35,000.00 $35,000.00 $35,000.00 $35,000.00 JUSTICES Personal Services A1110.100 S34,215.00 35,864.81 39,010.00 40,780.00 40,780.00 40,780.00 Equipment A1110.200 $42.00 314.95 750.00 900.00 400.00 400.00 400.00 Contractual Expenses Seminars,Cont.,Dues - WB A1110.403 $359.14 341.78 750.00 750.00 750.00 750.00 750.00 Seninars,Conf.,Dues - I-M A1110.404 $656.50 1,329.9D 750.00 750.00 750.00 750.00 750.00 LawDooks,Shared Supplies A1110.405 51,724.46 1,693.78 2,500.00 2,900.00 2,625.00 2,625.00 2,625.00 TOT'S' JUSTICES $36,997.10 $39,545.22 543,760.00 $4,525.00 S45,305.00 $45,305.00 $45,305.00 SUPERVISOR Personal Services A1220.100 $40,694.00 43,119.98 44,480.00 15,650.00 15,650.00 15,650.00 15,650.00 Equipment A1220.200 $4,395.00 0.00 50D.00 500.00 500.00 500.00 500.00 Contractual A1220.400 $1,501.00 2,027.77 3,000.00 3,150.00 3,150.00 3,150.00 3,150.00 - TOTAL SUPERVISOR $46,590.00 $45,147.75 547,980.00 $19,300.00 $19,300.00 $19,300.00 .. S19,300.00, INDEPENDENT AUDITING/ACCOUNTING A1320.400 $2,506.00 4,460.00 4,000.00 4,500.00 4,500.00 4,500.00 4,500.00 TAY. COLLECTI011 Personal Services A1330.100 $6,505.00 8,633.49 7,125.00 7,781.25 10,605.00 10,605.00 10,605.00 Equipment A1330.200 $0.00 0.00 300.00 200.00 200.00 200.00 200.00 Contractual A133D.400 $1,140.00 2,288.85 3,000.DO 4,000.00 4,000.00 4,000.00 4,000.00 TOTAL TAX COL,CTION $7,645.00 $10,922.34 S10,425.0D 511,981.25 514,805.00 S14,805.00 $14,805.00 PAGE TOTAL $124,756.10 $132,665.48 $139,465.00 $75,306.25 $118,910.00 $118,910.00 5118,910.00 TOrn? OF ITFACA - 19'33 BUDGET WORKSHELT 09-Nov-92 PAGE 3 ACCOUNT NAME ACCT.# ACTUAL ACTUAL ADOPTED DEPT. RECOM. TENTATIVE PRELIt{ IA.RY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET GLNERAL FWD TO'riNWIDE APPROPRIATIONS BUDGET' Personal Services A1340.100 S24,777.00 26,680.02 27,690.00 44,465.00 47,945.00 47,945.00 47,945.00 Equipment A1340.200 $160.00 0.00 500.00 500.00 500.00 500.00 500.00 Contractual A1340.400 $1,271.00 3,742.34 2,000.00 1,000.00 11000.00 11000.00 1,000.00 TOTAL BUDGET $26,208.00 $30,422.36 $30,190.00 S45,965.00 S49,445.00 $49,445.00 $49,445.00 TOIdN CLERK Personal Services A1410.100 $43,660.00 48,793.96 48,250.00 51,450.00 44,600.00 44,600.00 44,600.00 Equipment A1410.200 $673.00 0.00 1,000.00 3,450.00 3,450.00 3,450.00 3,450.00 Contractual A1410.400 $717.00 1,579.25 1,500.00 1,750.00 11750.00 1,750.00 1,750.00 11OTAL TOWN CLEEn $45,050.00 $50,373.21 $50,750.00 $56,650.00 $49,800.00 $49,800.00 $49,800.00 TOWN ATTORNEY A1420.400 S42,926.00 32,955.63 25,000.00 30,000.00 30,000.00 30,000.00 30,000.00 PEF.SONNEL Personal Services A1430.100 $29,458.00 31,296.00 33,010.00 31,688.00 31,555.00 31,555.00 31,555.00 Equipment A1430.200 $0.00 184.37 500.00 500.00 500.00 500.00 500.00 Contractual A1430:400 $2,529.00 2,099.75 2,000.00 3,595.00 3,595.00 31595.00 3,595.00 TOTAL PERSONNEL $31,987.00 $33,580.12 $35,510.00 35,783.00 35,650.00 35,650.00 35,650.00 ENGINEER Personal Services A1440.100 599,923.00 121,214.98 126,365.00 132,683.00 148,000.00 148,000.00 148,000.00' Equipment A1440.200 $3,029.00 4,733.08 5,000.00 17,200.00 17,200.00 17,200.00 17,200.00 Contractual A1440.400 54,937.04 2,856.60 3,000.00 2,250.00 2,250.00 2,250.00 2,250.00 Vehicle Maintenance A1440.404 $406.66 2,136.15 2,000.00 2,000.00 2,000.00 2,000.00 2,000.00 Conference5/Schpols A1440.410 $0.00 1,504.09 2,500.00 2,000.00 2,000.00 2,000.00 2,000.00 Gar,oline A1440.450 $675.75 1,564.34 1,500.00 1,800.00 1,800.00 11800.00 1,800.00 TOTAL ENGINEER $108,971.45 $134,009.24 $140,365.00 $157,933.00 5173,250.00 $173,250.00 $173,250.00 ELECTIONS Personal Services A1450.100 0.00 790.00 0.00 0.00 0.00 0.00 0.00 Equipment A1450.200 S70.00 0.00 500.00 500.00 500.00 500.00 500.00 Contractual Supplies A1450.401 $0.00 344.02 500.00 500.00 500.00 500.00 500.00 Election Inspectors A1450.402 $8,818.27 4,787.85 12,300.00 12,300.00 10,000.00 10,000.00 10,000.00 Election Board Exp. A1450.403 28,817.13 29,000.00 29,000.00 31,000.00 31,000.00 31,000.00 TOTAL ELf}^TIONS $8,888.27 $34,739.00 $42,300.00 S42,300.00 542,000.00 $42,000.00 S42,000.00 4M am T0101 OF ITHACA - 1993 BUDGET WORKSHEET 09-Nov-92 PAGE 4 ACCOUNT NAME ACCT.# ACTUAL ACTUAL ADOPTED DEPT. RECOM. TENTATIVE PRELIMINARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET GENERAL MID TD11N4fIDE APPROPRIATIO?75 BU=INGS (TOWN HALL-) Personal Services A1620.100 59,785.00 10,191.66 10,825.00 11,366.25 11,505.00 11,505.00 11,505.00 Equipment A1620.200 $227.00 0.00 500.00 500.00 500.00 500.00 500.00 Contractual Expenses Utilities A1620.410 $9,767.56 10,771.87 11,000.00 11,100.00 10,525.00 10,525.00 10,525.00 Bldg/Grounds Maintenance A1620.412 $2,879.01 2,879.13 5,000.00 4,OOD.00 4,000.00 4,000.00 4,000.00 Tw,n Hall Rehab A1620.413 51500.00 0.00 1,000.00 7,000.00 7,000.00 7,000.00 TOTAL BUILDINGS (TONN HALL) $22,658.57 $29,342.66 S27,325.00 $27,966.25 $33,530.00 533,530.00 $33,530.00 SHARED SERVICES Equipment Equipment payments - copier A1670.200 SO.00 5,227.69 10,500.00 10,500.00 10,500.OD 10,500.DO 10,500.00 Equipment payments - computer A1670.201 $7,668.90 10,529.75 11,000.00 11,000.00 11,000.00 11,000.00 11,000.00 Computer/Computer Accessories A1670.202 $554.25 450.00 1,000.00 1,000.00 1,000.00 1,000.00 1,000.00 Copying Machine A1670.203 $0.00 635.50 0.00 0.00 0.00 0.00 0.00 Postage Meter A1670.204 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 Misc. Equipment A1670.205 $140.00 456.84 200.00 300.00 300.00 300.00 300.00 Contractual Office Supplies A1670.105 $3,772.72 5,25S.69 7,800.00 6,500.00 6,500.00 6,500.00 6,500.00 Copying Supplies A1670.406 $2,127.77 2,958.65 4,500.00 11900.00 1,900.00 1,900.00 1,900.00 Equipmxnt Maintenance A1670.407 $7,695.44 12,204.10 15,000.00 15,000.00 15,000.00 15,000.00 15,000.00 Postage A1670.408 $7,156.47 11,441.27 12,400.00 12,400.00 12,400.00 12,400.00 12,400.00 Legal Ads A1670.409 $2,666.60 2,771.70 3,500.00 4,000.00 4,000.00 4,000.00 41000.00 Computer Support A1670.410 3,312.00 3,000.00 1,200.00 1,200.00 1,200.00 1,200.00- Computer Supplies A1670.411 $2,267.03 1,870.75 5,000.00 2,000.00 2,000.00 2,000.00 2,000.00 Telephone A1670.415 $1,559.90 5,424.54 5,100.00 5,100.00 5,100.00 5,100.00 5,100.00 Miscellaneous A1670.499 5144.00 d25-0D 500.00 500.00 500.00 500,00 50D.00 TOTAL SHAPED SERVICES $35,753.08 $62,963.48 $79,500.00 $71,400.00 $71,400.00 S71,400.00 $71,400.00 UNALLOCATED INSURANCE A1910.400 S42,662.00 78,7.0.84 90,000.00 90,000.00 90,000.00 90,000.0D 90,000.00 wNICIPAL DUES A1920.400 $1,83d.00 1,305.00 1,305.00 1,400.00 1,400.00 1,400.OD 1,400.00 MISCELLANEOUS A1989.400 $2,000.00 0.00 2,000.00 1,000.00 1,500.00 1,500.00 1,500.00 CONTINGENT ACMUNT A1990.400 50.00 0.00 5,000.00 40,000.00 40,000.00 40,000.00 40,000.00 PAGE TOTAL 5104,907.65 5172,371.98 $205,130.00 5231,766.25 S237,830.00 $237,830.00 $237,830.00 TOWN O£ ITHACA - 1993 BUDGET WORKSHEET 09-Nov-92 PAGE 5 ACCOUNT NAME ACCT.# ACTUAL ACTUAL ADOPTED DEPT. RECOM. TENTATIVE PRELIMINARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET GENERAL FUND TOWN1•TDE APPROPRIATIONS CROSSING GUARDS Personal Services A3120.100 $0.00 6,195.56 7,800.00 8,190.00 8,190.00 8,190.00 8,190.00 Equipment A3120.200 $0.00 0.00 100.00 100.00 100.00 100.00 100.00 Contractual A3120.400 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 TOTAL CROSSING GUARDS $0.00 $6,195.56 57,900.00 $8,290.00 $8,290.00 $8,290.00 $8,290.00 TRAFFIC SAFETY A3310.400 $215.00 333.84 1,000.00 11500.00 1,500.00 1,500.00 1,500.00 DOG CONTROL A3510.400 $10,517.00 13,918.85 14,365.00 14,795.00 15,400.00 15,400.00 15,400.00 SUPERINTENDENT OF HIGWAYS Personal Services A5010.100 $37,423.00 41,471.57 46,075.00 48,500.00 47,655.00 47,655.00 47,655.00 Equipment A5010.200 $73.00 1,219.69 2,000.00 2,000.00 2,000.00 2,000.00 2,000.00 Contractual A5010.400 $2,377.00 3,225.77 3,000.00 3,200.00 3,200.00 3,200.00 3,200.00 TOTAL SUPER. OF N:IGhWAYS $39,873.00 $45,917.03 $51,075.00 S53,700.00 $52,855.00 $52,855.00 $52,855.00 HIGH11AY GARAGE , Personal Services A5132.100 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 Equipment A5132.200 $0.00 4,692.89 51000.00 5,000.00 5,000.00 5,000.00 5,000.00 Contractual Expenses Utilities A5132.410 $9,261.10 10,986.71 11,000.00 11,000.00 11,000.00 11,000.00 . 11,000.00. Bldg/Grounds Maintenance A5132.412 $3,070.32 15,003.92 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 WATER RECOVERY A5132.413 $18,234.06 1,253.90 1,000.00 0.00 0.00 0.00 0.00 Telephone A5132.415 $2,020.38 2,494.85 2,300.00 2,400.00 2,400.00 2,400.00 2,400.00 TOTAL HIGHWAY GARAGE $32,585.86 $34,432.27 $29,300.00 $28,400.00 S28,400.00 $28,400.00 $28,400.00 STREET LIGHTING A5182.400 $34,104.00 37,351.11 37,000.00 40,700.00 40,000.00 40,000.00 40,000.00 BUS OPERATIONS (Hospital Bus) A5630.400 $3,316.67 1,666.95 2,500.00 2,500.00 2,500.00 2,500.00 2,500.00 Gadabout A5630.415 SO.00 7,100.00 7,600.00 8,000.00 8,000.00 81000.00 8,000.00 TOTAL 3,316.67 8,766.95 10,100.00 10,500.00 10,500.00 10,500.00 10,500.00 PAGE TOTAL $120,611.53 $146,915.61 S150,740.00 $157,885.00 $156,945.00 $15G,945.00 $156,945.00 TOWN OF ITHACA - 1993 BUDGET WORKSHEET 09-Nov-92 PAGE 6 ACCOUNT NAME ACCT.# ACTUAL ACTUAL ADOPTED DEPT. RECOM. TENTATIVE PRELDrMNARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET GENERAL FUND TOivNWIDE APPROPRIATION6 PLAYGROUNDS & RECREATION Personal Services A7140.100 $0.00 1,000.00 1,000.00 1,000.00 1,000.00 1,000.00 1,000.00 Equipment A7140.200 $0.00 500.00 500.00 500.00 500.00 500.00 500.00 Contractual A7140.400 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 Coddington Rd. Co=. Center A7140.401 $5,919.30 5,664.83 81000.00 8,400.00 8,400.00 8,400.00 8,400.00 PLEASA?TP GROVE WALKWAY A7140.402 $20,000.00 0.00 0.00 0.00 0.00 0.00 0.00 TELEPHONE A7140.415 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 TOTAL PLAYGROUNDS & RECREATION $25,919.30 57,164.83 S9,500.00 $9,900.00 $9,900.00 $9,900.00 $9,900.00 JOINT YOUTH/OLD AGE PROJECTS City of Ithaca Youth Bureau A7320.401 $153,590.00 165,755.00 166,885.00 117,000.00 142,129.00 142,129.00 142,129.00 Human Services Coalition A7320.402 $2,000.00 2,100.00 2,250.00 2,350.00 2,350.00 2,350.00 2,350.00 P.C. Senior Citizens Services A7320.403 $4,684.00 3,750.00 5,100.00 4,500.00 5,000.00 5,000.00 5,000.00 Corjnunity Services A7320.404 $0.00 23.20 1,000.00 32,000.00 30,521.00 30,521.00 30,521.00 TOTAL YOUTH/OLD AGE PROJECTS $160,274.00 $171,628.20 S177,235.00 $155,850.00 180,000.00 180,000.00 180,000.00 TOPiN HISTORIAN Records Mgmt-Pere Sery A7510.100 0.00 0.00 0.00 1,000.00 1,000.00 11000.00 1,000.00 Equipment A7510.200 0.00 0.00 0.00 750.00 750.00 750.00 750.00 Contractual Expenses A7510.400 $36.00 0.00 200.00 0.00 0.00 0.00 0.00 Records Management A7510.401 0.00 0.00 0.00 1,000.00 1,000.00 1,000.00 1,000.00' TOTAL TOWN HISTORIAN 36.00 0.00 200.00 2,750.00 2,750.00 2,750.00 2,750.00 JOINT PLANNING Transportation Study A8025.401 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 TOTAL JOI?PT PLANNING $0.00 0.00 0.00 0.00 0.00 0.00 0.00 PAGE TOTAL 186,229.30 178,793.03 186,935.00 168,500.00 192,650.00 192,650.00 192,650.00 TOWN OF ITHACA - 1993 BUDGET 4iOR.KSHEET 09-Nov-92 PAGE 7 ACCOUNT NAME ACCT.# ACTUAL ACTUAL ADOPTED DEPT. RECOM. TEI?TATIVE PRELVIENARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET E11PLOYEB BENEFIT'S State Retirement A9010.800 $670.00 0.00 6,500.00 8,108.00 8,108.00 8,108.00 8,108.00 social Security A9030.800 $26,781.00 28,812.86 29,715.00 32,936.00 32,936.00 32,936.00 32,936.00 Workmen's Compenzation A9040.800 $17,890.00 6,926.84 12,045.00 11,084.00 11,084.00 11,084.00 11,084.00 Disability Insurance A9055.800 S642.00 1,075.24 1,200.00 980.00 980.00 980.00 980.00 Group Health Insurance A9060.800 $36,153.00 43,053.63 46,335.00 56,800.00 56,800.00 56,800.00 56,800.00 TOTAL EMPLOYEE BENEFITS $82,136.00 $79,868.57 $95,795.00 $109,908.00 $109,908.00 $109,908.00 $109,908.00 PAGE TOTAL $268,365.30 $258,661.60 S282,730.00 $275,658.00 S109,908.00 $109,908.00 $109,908.00 TOTAL APPROPRIATIONS GENERAL FUND TOWNWIDE 5882,673.30 $1,026,694.23 $1,102,180.00 $1,109,246.50 $1,196,388.00 $1,196,388.00 $1,196,388.00 TOWN OF ITH( CA - 1993 BUDGET 'WORKSHEET 09-Nov-92 2AGE g ACCOUNT NAME ACCT.# ACTUAL ACTUAL ADOPTED DEPT. RECOM. TENTATIVE PRELIMINARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET GENERAL FUND PARTTOWfN ESTIMJkTED REVENUES In Lieu of Taxes 81081 S0.00 0.00 0.00 0.00 0.00 0.00 0.00 Non-Property Tax Distri. by County B1120 $925,162.00 1,130,485.45 1,350,500.00 1,287,353.00 1,285,358.00 1,285,358.00 1,285,358.00 TV Franchise Tax 81170 $16,225.00 19,018.39 16,500.00 20,000.00 22,000.00 22,000.00 22,000.00 Charges for Demolition 81570 SO.00 0.00 0.00 0.00 0.00 0.00 0.00 Zoning Fees B2110 $18,957.00 41,501.22 28,000.00 35,000.00 32,000.00 32,000.00 32,000.00 Planning Fees B2115 $7,007.00 8,067.29 9,200.00 9,000.00 9,000.00 9,000.00 9,000.00 Services to Other Gov'ts. B2378 $0.00 0.00 1,000.00 0.00 0.00 0.00 0.00 Services to Other Funds 82801 SO.00 0.00 0.00 0.00 0.00 0.00 0.00 Interest & Earnings 82401 0.00 18,937.51 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 Sale of Equipment 82665 0.00 573.75 0.00 0.00 0.00 0.00 0.00 Insurance Recoveries 82680 $909.00 0.00 0.00 0.00 0.00 0.00 0.00 Miscellaneous 82770 $6,334.00 6,213.68 500.00 0.00 500.00 500.00 500.00 E¢3A Grant B3897 0.00 0.00 0.00 48,085.00 48,085.00 48,085.00 48,085.00 TOTAL EST. REVENUES LOCAL SOURCES $974,594.00 $1,224,797.29 $1,415,700.00 S1,409,438.00 $1,406,943.00 $1,406,943.00 $1,406,943.00 State Aid per Capita B3001 $118,892.00 25,033.43 38,392.00 61,376.00 61,376.00 61,376.00 61,376.00 Mortgage Tax B3005 $135,341.00 0.00 0.00 0.00 0.00 0.00 0.00 Other State Aid B3089 $9,665.00 7,517.00 7,500.00 0.00 0.00 0.00 0.00 Total Revenues State Aid $263,898.00 $32,550.43 $45,892.00 $61,376.00 $61,376.00 $61,376.00 $61,376.00 TOTAL RSTD4ATED REVENUES $1,238,492.00 $1,257,347.72 $1,461,592.00 S1,470,814.00 $1,468,319.00 $1,468,319.00 $1,468,319:00' Appropriated Fund Balance ($32,536.00) 0.00 0.00 0.00 0.00 0.00 0.00 GENERAL FUND PARTTOWN TOTAL ESTIMATED REVENUES, INTERFUND TRANSFERS, APPRO. FUND BALANCE ERR S1,257,347.72 51,461,592.00 51,470,814.00 $1,468,319.00 S1,468,319.00 $1,468,319.00 TOWN OF ITHACA - 1993 BUDGET WOPY,SHEET 09-Nov-92 PAGE 9 ACCOUNT NAME ACCT.# ACTUAL ACTUAL. ADOPTED DEPT. RECOM. TENTATIVE PRELIMINARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET GENERAL fU1iD PARTTOWH APPROPRIATIONS ATTORNEY B1420.400 $50,016.00 38,714.52 45,000.00 47,500.00 47,500.00 47,500.00 47,500.00 SHARED SERVICES Equipment - General B1670.200 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 Equipment - Copier, Computer B1670.201 $4,231.32 0.00. 0.00 0.00 0.00 0.00 0.00 Contractual Expenses Office Supplies 81670.405 $2,783.10 296.74 0.00 0.00 0.00 0.00 0.00 Copier Supplies 81670.406 $2,705.77 0.00 0.00 0.00 0.00 0.00 0.00 Equipment !Maintenance B1670.407 $5,189.35 0.00 0.00 0.00 0.00 0.00 0.00 Postage 91670.408 53,208.60 231.28 0.00 0.00 0.00 0.00 0.00 Legal Ads 81670.409 $1,743.30 1,631.48 2,000.00 2,000.00 2,000.00 2,000.00 2,000.00 Computer Supplies 81670.411 $1,000.97 0.00 0.00 0.00 0.00 0.00 0.00 Telephone 81670.415 $3,322.87 0100 0.00 0.00 0.00 0.00 0.00 Miscellaneous B1670.499 $118.35 0.00 0.00 0.00 0.00 0.00 0.00 TOTAL SHARED SERVICES $24,303.63 $2,159.50 S2,000.00 $2,000.00 $2,000.00 $2,000.00 $2,000.00 UNALLOCATED INSURANCE 81910.400 S36,932.00 0.00 0.00 0.00 0.00 0.00 0.00 CONTINGENT ACCOUNT B1990.400 $0.00 0.00 7,000.00 17,000.00 17,000.00 17,000.00 17,000.00 TO COUNTY TO REDUCE TAXES B1972.000 $0.00 0.00 0.00 0.00 0.00 0100 0.00 TRAFFIC SAFETY 33310.400 $3,408.00 4,303.96 3,500.00 3,500.00 3,500.00 3,500.00 3,500.00 BUS OPERATIONS Northeast Transit B5630.430 $4,706.26 4,013.17 4,500.00 4,750.00 4,750.00 4,750.00 4,750.00 East Ithaca Transit 85630.431 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 Gadabout 85630.432 $6,550.00 0.00 0.00 0.00 0.00 0.00 0.00 South Hill - Tomtlan B5630.433 SO.00 0.00 0.00 0.00 0.00 0.00 0.00 TOTAL BUS OPERATIONS $11,256.26 S4,013.17 $4,500.00 $4,750.00 S4,750.00 $4,750.00 $4,750.00 PAGE TOTAL $125,915.89 $49,191.15 $62,000.00 $74,750.00 $74,750.00 $74,750.00 $74,750.00 TOWN OF ITHACA - 1993 BUDGET WORKSHEET 09-Nov-92 PAGE 10 ACCOUNT NAME ACCT.# ACTUAL, ACTUAL ADOPTED DEPT. RECOH. TENTATIVE PRELIMINARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET GENERAL FUND PARTTOWN APPROPRIATIORS PA0.KS Personal Services ` Maintenance B7140.101 S27,622.10 26,954.71 45,000.00 47,250.00 37,865.00 37,865.00 37,865.00 Construction B7140.102 $31,199.76 35,422.54 32,000.00 33,600.00 39,335.00 39,335.00 39,335.00 Mitchell St Walkway 87140.105 0.00 385.50 0.00 0.00 0.00 0.00 Equipment Maintenance B7140.201 $dt204.91 2,490.61 2,000.00 2,000.00 2,000.00 2,000.00 2,000.00 Construction B7140.202 $17,512.00 946.00 2,000.00 2,000.00 2,000.00 2,000.00 2,000.00 Contractual Maintenance B7140.401 $4,421.71 14,566.32 8,000.00 10,000.00 10,000.00 10,000.00 10,000.00 Construction B7140.402 S17,587.28 8,313.76 15,000.00 15,000.00 15,000.00 15,000.00 15,000.00 South Hill Trail-acquisition 87140.403 ($1,000.00) 0.00 19,080.00 0.00 0.00 0.00 0.00 Construction B7140.404 $0.00 0.00 20,000.00 32,037.00 32,037.00 32,037.00 32,037.00 Youth Workers B7140.414 0.00 0.00 0.00 4,500.00 4,500.00 4,500.00 4,500.00 Force Account B7140.424 0.00 0.00 0.00 48,872.00 48,872.00 48,872.00 48,872.00 Mitchell St. Walkway 87140.405 $0.00 4,060.62 0.00 0.00 0.00 0.00 0.00 Real Property Tax 87140.406 4,600.96 0.00 0.00 0.00 0.00 0.00 TOTAL PARKS $101,547.76 $97,761.02 $143,080.00 $195,259.00 $191,609.00 $191,609.00 $191,609.00 ZONING Personal Services B8010.100 $84,835.00 88,638.79 94,635.00 82,750.00 90,025.00 90,025.00 90,025.00 Board Member Fees 88010.101 4,500.00 6,000.00 6,000.00 6,000.00 6,000.00 Equipment 88010.200 $745.00 89.00 500.00 10,500.00 12,500.00 12,500.00 12,500.00- Contractual Board Members Fees B8010.401 0.00 3,235.00 0.00 0.00 0.00 0.00 0.00 Conferences/Schools B8010.403 $2,466.35 301.00 1,000.00 1,000.00 11000.00 1,000.00 1,000.00 Vehicle Maint - Z.o. B8010.404 $273.59 816.56 600.00 600.00 600.00 600.00 600.00 Miscellaneous 88010.405 $4,996.30 5,068.50 4,650.00 5,200.00 5,200.00 5,200.00 5,200.00 Gasoline 88010.450 $622.39 747.70 600.00 750.00 750.00 750.00 750.00 TOTAL ZONING $93,938.63 $98,896.55 S106,485.00 $106,800.00 $116,075.00 $116,075.00 $116,075.00 PAGE TOTAL $195,486.39 S196,657.57 $249,565.00 5302,059.00 $307,684.00 $307,684.00 $307,684.00 M7N OF ITHACA - 1993 BUDGET WORKSHEET 09-Nov-92 PAGE 11 ACCOUNT NAM ACCT.# ACTUAL ACTUAL ADOPTED DEPT. RECOM. TE14TATIVU PRELIHIVARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET GENERAL FUND PARTTOWN APPROPRIATIONS PLANNING Personal Services 68020.100 $119,355.69 120,235.24 114,615.00 110,193.00 113,665.00 113,665.00 113,665.00 Board Members Fees 88020.101 $7,110.00 7,240.00 9,200.00 10,400.00 10,400.00 10,400.00 10,400.00 Planning Study Personnel 68020.106 SO.00 7,685.04 7,050.00 0.00 0.00 0.00 0.00 CAC Personnel B8020.107 SO.00 2,644.75 0.00 1,640.00 1,640.00 1,640.00 1,640.00 Student Interns B8020.110 0.00 0.00 0.00 7,480.00 7,480.00 7,480.00 7,480.00 Equipment/Computer B8020.200 $582.03 872.25 2,850.00 3,500.00 3,500.00 3,500.00 3,500.00 Contractual B8020.400 S96.75 0.00 0.00 0.00 0.00 0.00 Conferences/Schools 68020.403 $2,435.41 2,058.26 41500.00 4,300.00 4,300.00 4,300.00 4,300.00 Landscaping-Hospital Access Rd. 88020.404 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 Miscellaneous 68020.405 $9,217.42 6,183.74 5,160.00 5,120.00 5,120.00 5,120.00 5,120.00 Planning Study 88020.406 $32,324.94 39,692.94 39,200.00 0.00 0.00 0.00 0.00 "CAC Ba02O.407 $1,954.21 1,111.47 4,300.00 4,300.00 2,000.00 2,000.00 2,000.00 Comprehensive Planning 88020.408 $0.00 0.00 0.00 15,000.00 15,000.00 15,000.00 15,000.00 TOTAL PLANNING $173,076.45 $187,723.69 $186,875.00 $161,933.00 $163,105.00 $163,105.00 $163,105.00 EMPLOYEE BENEFITS State Retirement B9010.800 $641.00 0.00 6,800.00 6,800.00 6,800.00 6,800.00 6,800.00 Social Security B9030.800 $18,453.00 21,074.51 21,447.00 21,170.00 21,170.00 21,170.00 21,170.00 Workmen's Compensation B9040.800 $5,187.00 7,300.00 7,120.00 7,920.00 7,920.00 7,920.00 7,920.00 Unemployment Insurance 69050.800 $0.00 2,628.38 3,860.00 0.00 0.00 0.00 0.00 Disability Insurance B9055.800 5450.00 697.61 750.00 750.00 750.00 750.00 750.00 Group Health Insurance B9060.800 $19,272.00 27,923.58 34,645.00 38,435.00 38,435.00 38,435.00 38,435:00' TOTAL EMPLOYEE BENEFITS S44,003.00 $59,624.08 $74,622.00 $75,075.00 S75,075.00 $75,075.00 $75,075.00 INTERFUND TRANSFERS Highway Fund 59901.900 S670,000.00 670,000.00 888,530.00 847,705.00 847,705.00 847,705.00 847,705.00 PAGE TOTAL $887,079.45 $917,347.77 $1,150,027.00 $1,084,713.00 $1,085,885.00 $1,085,885.00 $1,085,885.00 TOTAL APPROPRIATIONS GENERAL FUND PARTTOV3L $1,208,481.73 $1,163,196.49 $1,461,592.00 S1,461,522.00 $1,468,319.00 $1,468,319.00 $1,468,319.00 TOYIN OF ITHACA - 1993 BUDGET WORKSHEET 09-Nov-92 PAGE 12 ACCOUNT NAME ACCT. ACTUAL ACTUAL ADOPTED DEPT. RECKON. TENTATIVE PRELIMPIARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET HIGHWAY FUND - ESTIMATED REM&TES Real Property Taxes D81001 50.00 0.00 0.00 0.00 0.00 0.00 0.00 Services to Other Gov'ts. DB2300 $10,153.00 11,134.44 11,000.00 8,096.00 8,096.00 8,096.00 8,096.00 Interest & Earnings DB2401 $5,337.00 9,251.34 5,200.00 5,200.00 5,200.00 5,200.00 5,200.00 Capital Reserve Int/Earnings DB2402 $1,889.00 1,145.57 850.00 1,000.00 1,000.00 1,000.00 1,000.00 Sale of Equipment DB2665 $50.00 616.50 500.00 25,000.00 25,000.00 25,000.00 25,000.00 Refund Previous Year Exp. DB2701 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 Miscellaneous D82770 $0.00 9,063.71 0.00 0.00 0.00 0.00 0.00 I/£ Revenues from Wtr/Swr DB2801 50.00 0.00 0.00 20,000.00 20,000.00 20,000.00 20,000.00 I/F Revenues from Parks DB2802 0.00 0.00 0.00 46,103.00 46,103.00 46,103.00 46,103.00 Total Est. Revenues Local Sources $17,429.00 S31,211.56 $17,550.00 $105,399.00 $105,399.00 $105,399.00 $105,399.00 State Aid DB3001 $24,370.00 0.00 0.00 0.00 0.00 0.00 0.00 CHIPS DB3501 $37,479.00 39,271.00 38,890.00 38,000.00 38,000.00 38,000.00 38,000.00 TRAFFIC SAFETY GRANT DB3589 0.00 0.00 0.00 0.00 0.00 0.00 Total Revenues State Aid $61,849.00 $39,271.00 538,890.00 $38,000.00 $38,000.00 S38,000.00 $38,000.00 Interfund Transfer from Parttown DB5031 $675,250.00 670,000.00 888,530.00 847,705.00 847,705.00 847,705.00 847,705.00 Appropriated Fund Balance $2,161.37 0.00 10,760.00 0.00 0.00 0.00 0.00 HIGHWAY FMID TOTAL EST324ATED REVENUES, INTERFUND TRANSFERS, APPRO. FUND BAL. $756,689.37 $740,482.56 $955,730.00 $991,104.00 $991,104.00 $991,104.00 $991,104.00 TOWN OF ITHACA - 1993 BUDGET 'PORKSHEET 09-Nov-92 PAGE 13 ACCOUlff NAME ACCT.4 ACTUAL ACTUAL ADOPTED DEPT. P.ECOM. TENTATIVE PRELIMINARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET HIGFfrlAY FU1FD -,APPROPRIATIONS GENERAL P.$PAIRS Personal Services DB5110.100 $92,270.34 123,496.62 110,000.00 105,000.00 105,000.00 105,000.00 105,000.00 Disaster Repairs D65110.175 $12,360.57 582.80 2,000.00 0.00 0.00 0.00 0.00 Contractual Expenses Gas,Oil,Diesel D85110.450 $10,508.26 7,872.70 8,500.00 9,000.00 9,000.00 9,000.00 9,000.00 Road Repairs DB5110.451 $27,384.03 42,773.89 60,000.00 50,000.00 90,000.00 90,000.00 90,000.00 Miscellaneous DB5110.499 $2,064.42 3,987.86 5,000.00 3,000.00 3,000.00 3,000.00 3,000.00 Flood Damage Repairs D35110.475 $10,217.40 115.00 15,000.00 0.00 0.00 0.00 0.00 TOTAL GENERAL REPAIRS $154,805.02 $178,829.07 $200,500.00 $207,000.00 $207,000.00 5207,000.00 $207,000.00 PERMANENT IMPROVEMENTS Personal Services D85112.100 $42,861.00 32,356.92 52,000.00 55,000.00 55,000.00 55,000.00 55,000.00 Pers.Svcs.-Park Lane DB5112.101 11,765.51 3,000.00 0.00 0.00 0.00 0.00 Contractual, Expenses Gas,Oil,Diesel DB5112.450 $3,207.99 4,417.07 6,500.00 6,000.00 6,000.00 6,000.00 6,000.00 Reg.Road Perm. Improvements DB5112.453 $151,355.19 111,822.67 200,000.00 210,000.00 210,000.00 210,000.00 210,000.00 CHIPS DB5112.454 $35,000.00 31,514.05 38,000.00 38,000.00 38,000.00 38,000.00 38,000.00 HDSP.ACCESS RD. DB5112.456 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 Miscellaneous DB5112.499 $2,473.37 1,088.96 2,500.00 2,500.00 2,500.00 2,500.00 2,500.00 Park Lane Extension DB5112.457 $6,900.17 12,895.10 15,000.00 15,000.00 15,000.00 15,000.00 15,000.00 Forest Home Bridges DB5112.455 $0.00 6,988.24 2,000.00 4,000.00 4,000.00 4,000.00 4,000.00 BURNS RD PHII/SANDBANK RD DB5112.458 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 TRAFFIC SAFETY GRANT DB5112.459 $12,600.00 0.00 0.00 0.00 0.00 0.00 0.00• I TOTAL PERMANENT FMPROVDMNTS $254,597.72 $212,848.52 $319,000.00 $330,500.00 $330,500.00 $330,500.00 $330,500.00 MACHINERY Personal Services DB5130.100 $31,683.00 31,149.29 25,000.00 22,000.00 22,000.00 22,000.00 22,000.00 Equipment DB5130.200 $103,029.00 32,957.24 90,000.00 140,000.00 140,000.00 140,000.00 140,000.00 Contractual Expenses Oil DB5130.450 $1,167.91 741.34 2,000.00 2,000.00 2,000.00 2,000.00 2,000.00 Vehicle Maintenance/parts DB5130.460 $46,284.90 33,371.31 50,000.00 45,000.00 40,000.00 40,000.00 40,000.00 Misc. Tools/Supplies DB5130.461 $8,677.90 11,981.57 8,000.00 8,000.00 8,000.00 8,000.00 8,000.00 TOTAL MACHINERY 1 $190,842.71 $110,200.75 S175,000.00 $217,000.00 $212,000.00 $212,000.00 $212,000.00 PAGE TOTAL 5600,245.45 $501,878.34 $694,500.00 3754,500.00 S749,500.00 $749,500.00 $749,500.00 TOWN OF ITiVtCA - 1993 BUDGET WORKSHEET 09-Nov-92 PAGE 14 ACCOUNT NANO; ACCT.# ACTUAL ACTUAL ADOPTED DEPT. RF,COM. TENTATIVE PRELIMINARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET HIGHWAY FUND - APPROPRIATIONS BRUSH & HEEDS Personal Services DB5140.100 $25,579.00 15,089.48 35,000.00 31,000.00 31,000.00 31,000.00 31,000.00 Equipment DB5140.200 $7,190.00 3,014.16 2,000.00 4,000.00 4,000.00 41000.00 4,000.00 Contractual DB5140.400 $1,133.00 42.48 2,000.00 2,000.00 3,000.00 3,000.00 3,000.00 TOTAL BRUSH & WEEDS $33,902.00 $18,146.12 $39,000.00 $37,000.00 $38,000.00 $38,000.00 $38,000.00 SNOW REMOVAL Personal Services DB5142.100 $36,888.00 35,168.00 60,000.00 60,000.00 50,000.00 50,000.00 50,000.00 Contractual Expenses Gas,0il,Diesel D85142.450 $4,967.20 8,025.15 7,000.00 7,000.00 7,000.00 7,000.00 7,000.00 Salt DB5142.452 $24,849.46 34,981.51 32,000.00 32,000.00 32,000.00 32,000.00 32,000.00 Sand D85142.453 $3,444.42 10,293.63 3,000.00 3,000.00 3,000.00 3,000.00 31000.00 Tools,Parts,Supplies DB5142.461 $303.66 121.89 1.,000.00 11000.00 1,000.00 11000.00 1,000.00 TOTAL SNOW REMOVAL $70,452.74 $88,590.18 $103,000.00 $103,000.00 $93,000.00 593,000.00 $93,000.00 EMPLOYEE BENEFITS State Retirement DB9010.800 $582.00 0.00 5,500.00 6,804.00 6,804.00 6,804.00 6,804.00 Social Security DB9030.800 $18,475.00 18,608.66 22,750.00 21,000.00 21,000.00 21,000.00 21,000.00 Workmen's Compensation DB9040.800 $14,544.00 22,679.00 34,500.00 32,725.00 32,725.00 32,725.00 32,725.00 Uneoployment Insurance DB9050.800 50.00 0.00 0.00 0.00 0.00 0.00 0.00 Disability Insurance DB9055.800 $96.00 597.00 625.00 675.00 675.00 675.00 675.00 Group Health Insurance DB9060.800 $30,514.00 34,990.43 38,855.00 49,400.00 49,400.00 49,400.00 49,400:00' TOTAL EMPLOYEE BENEFITS $64,211.Oo $76,875.09 $102,230.00 $110,604.00 $110,604.00 51101604.00 $110,604.00 iik7URFUND TRANSFERS DB9901.900 Capital Projects - Burns Road SO.00 0.00 0.00 0.00 0.00 0.00 0.00 Capital Projects - Drainage $0.00 0.00 0.00 0.00 0.00 0.00 0.00 TOTAL INTERFUND TRANSFERS $0.00 $0.00 0.00 0.00 0.00 0.00 0.00 PAGE' TOTAL $168,565.74 $183,611.39 5244,230.00 $250,604.00 $241,604.00 $241,604.00 $241,604.00 TOTAL APPROPRIATIONS, IN'iERFUND TRANSFERS HIGHWAY FUND. S768,811.19 $685,489.73 5938,730.00 $1,005,104.00 $991,104.00 S991,104.00 $991,104.00 dw do TOWN OF ITPfACA - 1993 BUDGET VMRKSHEET 09-Nov-92 PAGE 15 ACCOUNT NAME ACCT. ACTUAL ACTUAL ADOPTED DEPT. RECON. TENTATIVE PRELIKENARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET WATER FUND - EST-MATED REVENUES Water Benefit Charges E1032 $238,462.10 251,927.70 486,327.00 482,028.00 482,028.00 482,028.00 482,028.00 Bolton Point Benefit Charges F1033 $202,918.51 202,409.30 114,186.00 125,972.00 125,972.00 125,972.00 125,972.00 Metered Water Sales F2142 S850,476.00 732,454.00 923,705.00 975,100.00 975,100.00 975,100.00 975,100.00 Water Service Charges F2144 $1,397.00 1,909.56 1,000.00 2,000.00 2,000.00 2,000.00 2,000.00 Water Service Surcharge F2146 $118,260.00 97,902.50 137,388.89 140,000.00 140,000.00 140,000.00 140,000.00 Penalties on Water Rents F2148 $17,540.00 11,690.03 7,000.00 10,000.00 10,000.00 10,000.00 10,000.00 Services to Other Governments F2378 $6,653.84 6,435.10 5,500.00 5,000.00 5,000.00 5,000.00 5,000.00 Interest & Earnings F2401 510,820.49 17,834.30 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 Insurance Recoveries F2680 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 Refund Previous Yr. Exp. F2701 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 Miscellaneous F2770 $400.00 777.95 0.00 0.00 0.00 0.00 0.00 I/F Revenue from C.P. P2801 $0.00 5,288.00 0.00 0.00 0.00 0.00 0.00 Total Revenues $1,446,927.94 $1,328,628.44 $1,685,106.89 S1,750,100.00 51,750,100.00 $1,750,100.00 S1,750,100.00 IYT ERFUND TRANSFERS From Cap. Proj. Water Impprove. F5031 $9,144.00 0.00 0.00 150,000.00 150,000.00 150,000.00 150,000.00 From Debt Service Fund F5050 SO.00 146,000.00 40,000.00 10,000.00 10,000.00 10,000.00 10,000.00 Total Interfund Transfers $9,144.00 $146,000.00 $40,000.00 $160,000.00 $160,000.00 $160,000.00 •-S160,000.00. Appropriated Fund Balance ($149,712.00) (5,123.94) 40,162.00 0.00 0.00 0.00 0.00 WATER FUND TOTAL ESTIMATED REVENUES, INTERFUND TRANSFERS & APPRO.FUND SAL-ONCE $1,306,359.94 $1,469,504.50 $1,765,268.89 $1,910,100.00 $1,9i0,100.00 $1,910,100.00 51,910,100.00 dft TOWN OF ITHACA - 1993 BUDGET WORKSiMET 09-Nov-92 PAGE 16 ACCOUNT NAME ACCT.# ACTUAL ACTUAL ADOPTED DEPT. RBCOM. TENTATIVE PRELDEINARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET WATER FUND - APPROPRIATIONS Attorney Services F1420.400 0.00 302.50 0.00 0.00 0.00 0.00 0.00 TRANSl(ISSION & DISTRIBUTION Personal Services F8340.100 $8,129.00 10,092.43 11,000.00 12,500.00 12,500.00 12,500.00 12,500.00 Personal Service F8340.101 0.00 8,173.11 0.00 10,000.00 10,000.00 . . 10,000.00 10,000.00 Equipment F8340.200 0.00 692.00 0.00 5,000.00 10,000.00 10,000.00 10,000.00 Contractual Expenses Electric F8340.410 $34,862.58 41,103.31 50,000.00 50,000.00 50,000.00 50,000.00 50,000.00 Repairs to Lines £8340.470 $44,830.35 82,333.22 75,000.00 .75,000.00 85,000.00 85,000.00 85,000.00 Capital Improv./Reg. Extensions F8340.480 $0.00 0.00 25,000.00 150,000.00 160,000.00 160,000.00 160,000.00 Tank Painting/Haint. F8340.481 $3,236.00 0.00 5,000.00 5,000.00 5,000.00 5,000.00 5,000.00 Tank Security Impr. F8340.485 $0.00 0.00 20,000.00 20,000.00 20,000.00 20,000.00 20,,000.00 Tank,Pump Sta.Access Impr/!faint. F8340.486 $0.00 0.00 20,000.00 20,000.00 20,000.00 20,000.00 20,000.00 Sys.Telenetry Impr./Maint. F8340.487 $0.00 0.00 20,000.00 20,000.00 20,000.00 20,000.00 20,000.00 Safety Impr./Pits £8340.488 0.00 9,500.00 10,000.00 10,000.00 10,000.00 10,000.00 Miscellaneous F8340.499 $999.08 1,035.58 1,500.00 1,500.00 11500.00 1,500.00 1,500.00 TOTAL IMISMISSION & DISTRIBUTION $92,057.01 $143,429.65 $237,000.00 $379,000.00 $404,000.00 $404,000.00 $404,000.00 C01.04ON WATER SUPPLY Contractual Expenses Bolton Point Benefit Charge F8350.471 $128,123.60 131,353.95 129,672.50 125,972.50 125,972.30 125,972.30 125,972.30 Bolton Point Water Charges F8340.472 $724,973.86 585,053.60 777,205.00 760,000.00 760,000.00 760,000.00 760,000.00• West Hill/Forest Wtr. Charges F8350.473 $109,381.99 147,941.65 142,000.00 152,000.00 152,000.00 152,000.00 152,000.00 Miscellaneous F8350.499 50.00 0.00 0.00 2,340.00 2,340.00 2,340.00 2,340.00 TOTAL COM)4ON WATER SUPPLY $962,479.45 $864,349.20 $1,048,877.50 $1,040,312.50 51,040,312.30 $1,040,312.30 $1,040,312.30 EMPLOYEE BENEFITS State Retirement F9010.800 $15.00 0.00 0.00 243.00 243.00 243.00 243.00 Social Security F903D.800 $622.00 1,439.71 850.00 864.00 864.00 864.00 864.00 Workmen's Compensation F9040.800 $0.00 525.00 550.00 550.00 550.00 550.00 550.00 Unemployment Insurance F9050.800 $0.00 0100 0.00 0.00 0.00 0.00 0.00 Disability Insurance- F9055.800 $2.60 29.25 32.00 32.00 32.00 32.00 32.00 Group Health Insurance F9060.800 $1,099.84 0.00 0.00 0.00 0.00 0.00 0.00 TOTAL EMPLOYEE BENEFITS $1,739.64 $1,993.96 $1,432.00 $1,689.00 $1,689.00 S1,689.00 $1,689.00 PAGE TOTAL $1,056,276.10 51,009,772.81 $1,287,309.50 $1,421,001.50 $1,446,001.30 $1,446,001.30 $1,446,001.30 Ia do 701'rg OF ITHACA - 1993 BUDGET WRKSHEE=T 09-Nov-92 PAGE 18 ACCOUNT NPI-E; ACCT.# ACTUAL ACTUAL ADOPTED DEPT. RECOML TENTATIVE PRELIMINARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET SEWER FUND - ESTIMATED REVEWES Sewer Benefit Charge-Collection G1030 $301,141.65 313,350.88 330,300.00 449,474.00 449,474.00 449,474.00 449,474.00 Sewer Benefit Charge-Plant G1031 S81,942.28 82,155.44 82,248.00 83,656.00 83,656.00 83,656.00 83,656.00 Sewer Rents G2120 $743,775.00 659,876.00 740,000.00 776,000.00 776,000.00 776,000.00 776,000.00 Sewer Surcharge G2122 $54,998.00 45,687.83 64,514.87 58,800.00 58,800.00 58,800.00 58,800.00 Penalties on Sewer Rents G2128 $11,157.00 5,257.94 6,000.00 6,100.00 6,100.00 6,100.00 61100.00 Services to Other Gov'ts. G2378 $3,250.00 5,450.00 2,000.00 3,000.00 3,000.00 3,000.00 3,000.00 Interest & Earnings G2401 $53,402.00 49,829.45 44,000.00 31,000.00 31,000.00 31,000.00 31,000.00 Miscellaneous G2770 $183.00 517.22 0.00 0.00 0.00 0.00 0.00 Joint Sewer-Bond Payment G2771 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 Interfund Revenues 62801 $37,417.00 5,28B.00 0.00 0.00 0.00 0.00 0.00 Excess Capacity - Dryden G2802 0.00 43,295.00 0100 0.00 0.00 0.00 Total Est. Revenues $1,287,265.93 51,167,412.76 $1,312,357.87 $1,408,030.00 $1,408,030.00 $1,408,030.00 $1,408,030.00 Interfund Transfers Sewer Capital Projects G5031 S26,886.00 0.00 0.00 100,000.00 100,000.00 100,000.00 100,000.00 Debt Service Fund G5050 $0.00 133,000.00 30,000.00 20,000.00 20,000.00 20,000.00 20,000.00 Appropriated Fund Balance ($5,748.00) 228,480.00 239,031.00 239,031.00 239,031.00 239,031.00 TOTAL SEWER ESTIMATED REVENUES, INTERFUND TRANSFERS, APPRO. FUND BAL. $1,308,403.93 $1,300,412.76 S1,570,837.87 $1,767,061.00 $1,767,061.00 S1,767,061.00 $1,767,061.00 us TOWN OF IT-fFMCA - 1993 BUDGET h*RKSHEET 09-Nov-92 PAGE 19 ACCOUNT NAME ACCT.{c ACTUAL ACTUAL ADOPTED DEPT. RECOM. TENTATIVE PRELIPCINARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET SEWER FUND - APPROPRIATIONS Attorney Services G1420.400 0.00 302.50 0.00 0.00 0.00 0.00 0.00 SANITARY SEY[ERS Personal Services G8120.100 $9,691.00 11,905.78 11,000.00 12,500.00 12,500.00 12,500.00 12,500.00 Personal Services G8120.101 0.00 795.15 0.00 10,000.00 10,000.00 10,000.00 10,000.00 Equipment 68120.200 0.00 692.00 0.00 5,000.00 5,000.00 5,000.00 5,000.00 Contractual Expenses Power & Lights G8120.410 $3,379.33 4,121.94 5,000.00 7,500.00 7,500.00 7,500.00 7,500.00 Repairs & Maintenance G8120.480 $45,193.39 30,847.98 75,000.00 75,000.00 75,000.00 75,000.00 75,000.00 Joint Sewer Transmission G8120.481 $0.00 0.00 50,000.00 150,000.00 144,500.00 144,500.00 144,500.00 VCH Payment G8120.482 $123,918.00 126,828.75 1301000.00 130,000.00 130,000.00 130,000.00 130,000.00 Capital Improvements G8120.483 $4,846.00 0.00 20,000.00 100,000.00 100,000.00 100,000.00 100,000.00 TRUMANSSURG RD SEWER G8120.485 548,155.00 0.00 0.00 0.00 0.00 0.00 0.00 Miscellaneous G8120.499 $1,273.80 1,246.12 11500.00 11500.00 1,500.00 1,500.00 1,500.00 N.E.Sewer Rehab. G8120.486 $0.00 0.00 30,120.00 30,120.00 30,120.00 30,120.00 30,120.00 TOTAL SANITARY SEWERS $236,456.52 $176,437.72 $322,620.00 $521,620.00 $516,120.00 $516,120.00 5516,120.00 JOINT SEWER PROJECT Sewer Rents to Joint Sewer G8150.400 $485,281.00 488,453.00 505,994.00 508,020.00 508,020.00 508,020.00 508,020.00 Final Payment Step II Phase G8150.401 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 TOTAL JOINT SEWER PP.OJECT $485,281.00 $488,453.00 $505,994.00 $508,020.00 $508,020.00 $508,020.00 S508,020.00 EMPLOYEE BENEFITS State Retirement 69010.800 $14.56 0.00 0.00 243.00 243.00 243.00 243.00 Social Security G9030.800 $741.00 1,054.25 850.00 864.00 864.00 864.00 864.00 ;,Workmen's Compensation 69040.800 $0.00 525.00 545.00 550.00 550.00 550.00 550.00 Unemployment Insurance 69050.800 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 Disability Insurance G9055.800 $5.80 30.25 32.00 32.00 32.00 32.00 32.00 Group Health Insurance G9060.800 $1,099.87 0.00 0.00 0.00 0.00 0.00 0.00 TOTAL EMPLOYEE BENEFITS $1,861.23 $1,609.50 $1,427.00 $1,689.00 $1,689.00 $1,689.00 $1,689.00 PAGE TOTAL 5723,598.75 $666,500.22 $830,041.00 $1,031,329.00 $1,025,829.00 $1,025,829.00 $1,025,829.00 TOWN OF ITrYtCA - 1993 BUDGET WORKSHEET 09-Nov-92 PAGE 20 ACCOUNT NAME ACCT.# ACTUAL ACTUAL ADOPTED DEPT. RECOH. TENTATIVE PRrLafINARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET SERIAL BONND/BAN PRINCIPAL & INTEREST Serial Bond Principal G9710.600 $276,560.00 276,705.00 354,575.00 379,560.00 379,560.00 379,560.00 379,560.00 Serial Bond Interest G9710.700 $281,984.52 2G3,613.47 386,221.87 361,671.82 361,672.00 361,672.00 361,672.00 BAN Principal G9730.600 $0.00 0.00 0.00 0.00 0.00 0.00 BAPS Interest G9730.700 $0.00 133,000.00 0.00 0.00 0.00 0.00 BOND/BAN PRINCIPAL & INTEREST $558,544.52 $673,318.47 $740,796.87 $741,231.82 $741,232.00 $741,232.00 $741,232.00 INTERFUND TRANSFERS G9901.900 $26,260.90 0.00 0.00 0.00 0.00 Sewer Capital Projects Phase I $0.00 0.00 0.00 0.00 0.00 0.00 Sewer Capital Projects Phase II $0.00 0.00 0.00 TOTAL INTERFUIFD TRANSFERS $26,260.90 $0.00 0.00 0.00 0.00 0.00 PP.GE TOTAL $584,805.42 $673,318.47 $740,796.87 $741,231.82 $741,232.00 $741,232.00 $741,232.00 TOTAL APPROPRIATIONS, INTERFLIND TRANSFERS SEWER FUND $1,308,404.17 $1,340,121.19 $1,570,837.87 $1,772,560.82 51,767,061.00 $1,767,061.00 $1,767,061.00 ON TOWN OF ITHACA - 1993 BUDGET iMRKSHEET 09-11ov-92 PAGE 21 ACCOUNT 14AME ACCT.# ACTUAL ACTUAL ADOPTED DEPT. PIZCOM. TENTATIVE PRELIMINARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET LIGHTING DISTRICTS - ESTI1l3TED REVENUES FOREST HOFSE Real Property Taxes SL1-1001 S1,850.00 11900.00 :,810.00 1,910.00 1,910.00 1,910.00 1,910.00 Interest & Earnings SL1-2401 $55.47 70.98 40.00 40.00 40.00 40.00 40.00 Approp.Fund Balance SL1- 100.00 150.00 150.00 150.00 150.00 GLENSIDE Real Property Taxes SL2-1001 S750.00 500.00 500.00 475.00 475.00 475.00 475.00 Interest & Earnings SL2-2401 $81.21 73.95 50.00 50.00 50.00 50.00 50.00 Approp.Fund Balance SL2- 200.00 300.00 300.00 300.00 300.00 REN'WICK HMIGHTS Real Property Taxes SL3-1001 $950.00 915.00 985.00 1,180.00 11180.00 1,180.00 1,180.00 Interest & Earnings SL3-2401 $26.76 27.48 15.00 20.00 20.00 20.00 20.00 EASThWD COMP ONS Real Property Taxes SL4-1001 S2,200.00 1,985.00 2,450.00 2,630.00 2,630.00 2,630.00 2,630.00 Interest & Earnings SL4-2401 $53.43 48.10 50.00 50.00 50.00 50.00 50.00 CLOVER LANE Real Property Taxes SL5-1001 $260.00 50.00 50.00 185.00 185.00 185.00 185.00 Interest & Earnings SL5-2401 $37.77 26.27 30.00 20.00 20.00 20.00 20.00 Approp.Fund Balance SL5 180.00 80.00 80.00 80.00 80.00 WINt7ERS CIRCLE Real Property Taxes SL6-1001 $300.00 50.00 590.00 850.00 850.00 850.00 850.00 Interest & Earnings SL6-2401 $17.15 8.30 10.00 10.00 10.00 10.00 10.00 BURLEIGH DRIVE Real Property Taxes S1,7-1001 0.00 740.00 840.00 840.00 840.00 840.00 Interest & Earnings SL7-2401 0.00 40.00 330.00 30.00 30.00 30.00• TOTAL EST. REVENUES LIGHTING DISTRICTS S6,581.79 $5,655.08 $7,840.00 $8,820.00 $8,820.00 58,820.00 $8,820.00 LIG{TIitG DISTRICTS - APPROPRIATIONS Forest home Contractual SL1-5182.400 $1,679.60 1,797.25 1,950.00 2,100.00 2,100.00 2,100.00 2,100.00 Glanside Contractual SL2-5182.400 $659.48 705.52 750.00 825.00 825.00 825.00 825.00 Renwick Heights Contractual SL3-5182.400 $906.78 970.11 1,000.00 1,200.00 1,200.00 1,200.00 1,200.00 Eastwood Co=ons Contractual SL4-5182.400 $2,112.94 2,246.82 2,500.00 2,680.00 2,680.00 2,680.00 2,680.00 Clover Lane Contractual SL5-5182.400 $226.75 243.27 260.00 285.00 285.00 285.00 285.00 Winners Circle Contractual SL6-5182.400 $0.00 550.92 600.00 860.00 860.00 860.00 860.00 Burleigh Drive Contractual SL7-5182.400 0.00 780.00 870.00 870.00 870.00 870.00 TOTAL APPROPRIATIONS LIGHTING DISTRICTS 55,585.55 $6,513.89 $7,840.00 $8,820.00 S8,820.00 $8,820.00 S8,820.00 TOWN OF ITHACA - 1993 BUDGET KORISHEET 10-Nov-92 PAGE 22 ACCOUNT NAME ACCT. ACTUAL ACTUAL ADOPTED DEPT. RDCOM. TENTATIVE PRELIMINARY ADOPTED 1990 1991 1992 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET 1993 BUDGET FIRE PROTECTION - ESTIMATED REVE NUES Real Property Taxes SF1001 $910,652.33 837,250.00 994,331.00 1,138,600.00 1,138,600.00 1,169,949.00 1,169,949.00 In Lieu of Taxes SF1081 56,044.92 22,323.48 16,434.00 23,000.00 23,000.00 23,000.00 23,000.00 Non-Property Tax Distr.by County SF1120 $0.00 194,002.00 97,000.00 77,000.00 77,000.00 77,000.00 77,000.00 Interest & Earnings SP2401 $9,226.06 10,865.71 4,426.00 10,000.00 10,000.00 10,000.00 10,000.00 Miscellaneous SF2770 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 Total Est. Revenues $925,923.31 $1,064,441.19 $1,112,191.00 S1,248,600.00 $1,248,600.00 $1,279,949.00 $1,279,949.00 Appropriated Fund Balance ($8,853.00) 40,000.00 20,592.00 20,592.00 20,592.00 20,592.00 TOTAL FIRE PROTECTION EST. REVENUES & APPROPRIATED FUND BAL•=:NCE $917,070.31 $1,064,441.19 $1,152,191.00 $1,269,192.00 $1,269,192.00 $1,300,541.00 $1,300,541.00 FIRE PROTECTION - APPROPRIATIONS Contractual Expenses City of Ithaca Payment SF3410.491 $871,664.00 981,252.00 1,097,191.00 1,211,192.00 1,211,192.00 1,211,192.00 1,211,192.00 Village of Cayuga Heights SF3410.492 $45,406.04 57,385.04 55,000.00 58,000.00 58,000.00 89,349.00 89,349.00 Other Contracts SF3410.493 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 . Miscellaneous SF1989.400 $0.00 0.00 0.00 0.00 0.00 0.00 0.00 TOTAL, APPROPRIATIONS - FIRE PROTECTION $917,070.04 $1,038,637.04 $1,152,191.00 $1,269,192.00 $1,269,192.00 $1,300,541.00 $1,300,541.00 1993 ADOPTED TOWN OF ITHACA BUDGES' WRKSHEET 09-Nov-92 PAGE 24 ADOPTED ADOPTED ADOPTED ADOPTED TENTATIVE PRELIMINARY ADOPTED FUND BUDGET BUDGjP BUDGET BUDGET BUDGET BUDGET BUDGET 1989 1990 1991 1992 1993 1993 1993 GENERAL FUND TOWNifIDE (includes Village & Parr-town) Appropriations 817,889.00 929,287.00 $1,121,525.00 1,096,345.00 1,196,388.00 1,196,388.00 11196,388.00 Appro. Fund Balance & Revenues 666,924.00 757,070.00 $471,010.00 326,905.00 379,140.00 382,291.00 382,291.00 Gross Tax Levy 150,965.00 172,217.00 650,515.00 769,440.00 817,248.00 814,097.00 814,097.00 Sales Tax Credit TOTAL TO BE RAISED IN TAXES 150,965.00 172,217.00 650,515.00 769,440.00 817,248.00 814,097.00 814,097.00 GENERAL FUND TOWN11IDE TAR RATE 1.763 2.013 0.940 1.111 1.173 1.166 1.166 GENERAL FUND PARTMIN TAX RATE Assessed Value 284,386,190 290,035,905 692,235,851 692,469,341 697,000,870 698,144,048 698,144,048 (85,606,963) (85,535,384) HIGHWAY FUND & GEN'L FUND OUTSIDE VILl GE (parttown area only) Appropriations 1,463,584.00 1,523,850.00 $1,573,168.00 $1,461,592.00 1,468,319.00 1,468,319.00 1,466,319.00 Appro. Fund Balance & Revenues 1,463,584.00 1,523,850.00 $1,573,168.00 $1,461,592.00 1,468,319.00 1,468,319.00 1,468,319.00 TOTAL TO BE RAISED IN TAXES 0100 0.00 $0.00 SO.00 $0.00 $0.00 SO.00 GENERAL FUND OUTSIDE VILLAGE & HIGMIAY FUND TAX RATE 0.00 - $0.00 $0.00 0.00 0.00 0.00 Assessed Value 198,779,227 204,500,521 467,697,182 470,679,394 476,120,672 476,120,672 476,120,672 FIRE PROTECTION FUND Approriations 757,719.00 919,664.00 $1,031,252.00 51,152,191.00 1,269,192.00 1,300,541.00• 1,300,541.00 Unexpended Balance & Revenues 0.00 9,000.00 $194,002.00 $157,860.00 130,592.00 130,592.00 130,592.00 TOTAL TO BE RAISED IN TAXES 757,719.00 910,664.00 837,250.00 994,331.00 1,138,600.00 1,169,949.00 1,169,949.00 FIRE PROTECTION TAX RATE 3.68 4.324 1.772 2.049 2.316 2.377 2.377 Assessed Value 205,710,187 210,619,579 472,530,642 485,182,367 491,623,348 492,120,404 492,120,404 TEAL TAX PATE 1993 ADOPTED TOWN OF ITHACA BUDGET WORKSHEET 09-Nov-92 PAGE 25 ADOPTED ADOPTED ADOPTED ADOPTED TENTATIVE PRELIMINARY ADOPTED FUND BUDGET BUDGET BUDGET BUDGET BUDGET BUDGET BUDGET 1989 1990 1991 1992 1993 1993 1993 FOREST HOME LIGHTING Appropriations 1,810.00 1,910.00 $1,910.00 $1,950.00 2,100.00 2,100.00 2,100.00 Appro. Fund Balance & Revenues 60.00 60.00 $10.00 $140.00 190.00 190.00 190.00 TOTAL TO BE RAISED IN TAXES 1,750.00 1,850.00 $1,900.00 $1,810.00 S11910.00 $1,910.00 $1,910.00 FOREST HOM LIGHTING TAX RATE 0.320 0.313 0.115 0.108 0.114 0.114 0.114 Assessed Value 5,491,490 5,907,790 16,571,468 16,729,137 16,715,037 16,715,037 16,715,037 GLENSIDE LIGHTING Appropriations 750.00 800.00 $740.00 $750.00 825.00 825.00 825.00 Appro.Fund Balance & Revenues 50.00 50.00 S240.00 $250.00 350.00 350.00 350.00 TOTAL TO BE RAISED IN TAXES 700.00 750.00 $500.00 $500.00 475.00 475.00 475.00 GLENSIDE LIGHTING TAX RATE 0.619 0.662 0.209 0.210 0.193 0.193 0.193 Assessed Value 1,132,800 1,133,800 2,388,200 2,380,000 2,461,800 2,461,800 2,461,800 REM41CK HEIGHTS LIGHTING Appropriations 930.00 980.00 $925.00 $1,000.00 1,200.00 1,200.00 1,200.00 Appro.Fund Balance & Revenues 30.00 30.00 $10.00 $15.00 20.00 20.00 20.00 TOTAL TO BE RAISED IN TREES 900.00 950.00 $915.00 $985.00 1,180.00 1,180.00 1,180.00 REMWICK HTS. LIGHTING TAX RATE 0.310 0.323 0.115 0.125 0.151 0.151 0.151 Assessed Value 2,928,595 2,944,095 7,976,371 7,848,909 7,801,109 7,601,109 7,801,109 EASTMOOD COMMONS LIGHTING Appropriations 2,070.00 2,280.00 $2,000.00 $2,500.00 2,680.00 2,680.00• 2,680.00 Appxo.lund Balance & Revenues 70.00 80.00 $15.00 $50.00 50.00 50.00 50.00 TOTAL TO BE RAISED IN TAMS 2,000.00 2,200.00 $1,985.00 $2,450.00 2,630.00 2,630.00 2,630.00 EASTWOOD CNN. LIGHT:-TAX RATE 0.520 0.568 0.262 0.325 0.390 0.390 0.390 Assessed Value 3,874,500 3,874,500 7,563,700 7,535,100 6,745,200 6,745,200 6,745,200 4 dM 1993 ADOPTED TOW? OF IT1iACA BUDGET WORKSHEET 09-Nov-92 PAGE 26 ADOPTED ADOPTED ADOPTED ADOPTED TENTATIVE PRELIh[INARY ADOPTED FUND BUDGET BUDGET BUDGET BUDGET BUDGET BUDGET BUDGET 1989 1990 1991 1992 1993 1993 1993 CLOVER LANE LIGHTING Appropriations 270.00 270.00 5270.00 $260.00 285.00 285.00 285.00 Appro.Fund Balance & Revenues 10.00 10.00 $220.00 $210.00 100.00 100.00 100.00 TOTAL TO BE RAISED I?i TAXES 260.00 260.00 $50.00 $50.00 185.00 185.00 185.00 CLOVER LANE LIGHTING TAR RATE 0.433 0.433 0.038 0.038 0.139 0.139 0.139 Assessed Value 601,000 601,000 1,324,800 1,332,800 1,332,800 1,332,800 1,332,800 WINNERS CIRCLE LIGHTING Appropriations 310.00 $300.00 $600.00 860.00 860.00 860.00 Appro.Fund Balance & Revenues 10.00 $250.00 510.00 10.00 10.00 10.00 TOTAL TO BE RAISED IN TAXES 300.00 $50.00 $590.00 850.00 850.00 850.00 WINNERS CIRCLE LIGHTING TAX RATE 1.818 0.127 1.107 0.806 0.806 0.806 Assessed Value 165,000 393,000 533,000 1,054,800 1,054,800 1,054,800 BUP,LEIGH DRIVE LIGHTING Appropriations $780.00 870.00 870.00 870.00 Appro.Fund Balance & Revenues $40.00 30.00 30.00 30.00 TOTAL TO BE RAISED IN TAXES $740.00 840.00 840.00 840.00 BURLEIGH DRIVE LIGHTING TAX RATE (per foot) 0.211 0.220 0.220 0.220 Front Footage 3,500 3,821.10 3,821.10 3,821.10 TOWN OF ItTHACA WATER BOND PAYMENTS - 1993 PAGE 27 PURPOSE TYPE DATE MONTH DAY YEAR RATE PRINCIPAL INTEREST PAYMENT BALANCE 1989 Public Improvement Water 07/15/91 1 15 93 • 6.6258 $0.00 $74,365.63 $74,36.5.63 $2,245,000.00 East State St. Ext .Water Water 02-01-54 2 1 93 2.60% $4,500.00 $117.00 $4,617.00 $4,500.00 Second SH Wtr Ext.41 Water 09-01-76 3 1 93 6.00% $2,000.00 $405.00 $2,405.00 $11,500.00 Coddington Road Water Water 03-01-89 3 1 93 7.30% $500.00 $346.75 $846.75 $9,000.00 1987 Water Imp. #1 Water 03-01-89 3 1 93 7.30% $25,015.00 $15,110.45 $40,125.45 $388,970.00 1987 Water Imp. #2 Water 03-01-89 3 1 93 7.30% $25,000.00 $15,512.50 $40,512.50 $400,000.00 Old South Hiil Wtr #1 Water 03-03-89 3 1 93 7.30% $7,578.00 $4,425.55 $12,003.55 S113,670.00 Snyder Hill Road Water Water 09-01-76 3 1 93 6.00% $6,000.00 $1,860.00 $7,860.00 $56,000.00 Old South Hill Wti #2 Water 03-01-89 3 1 93 7.30% $5,907.00 $3,446.59 $9,353.59 $88,520.00 1984 Water Improvement Water 05-15-86 5 . 15 93 6.80% $25,000.00 $13,600.00 S38,600.00 $375,000.00 Public Improvement Water 05-01-83 6 1 93 7. 10% $11,44:0.00 $2,335.19 S13,775.19 $54,340.00 1989 Public.' Improvement Water 07/15/91 7 15 93 6.625% 592,000.00. $74,365.63 $166,365.63 S2,153,000.00 East State St. Ext Water Water 02-01-54 8 1 93 2.60% $0.00 $58.50 $58.50 $4,500.00 Old South Hill Wtr #2 Mater 03-01-89 9 1 93 7.330% 50.00 $3,230.98 $3,230.98. $88,520.00 Second SH Wtr Ext 41 Water 09-Oi-76 9 1 93 6.00% $0.00 $345.00 S345.00 $11,500.00 1987 Water Imp. #1 Water 03-01-89 9 1 93 7.30% $0.00 $14,197.40 S14,197.40 $388,970.00 Snyder Hill Road Water Water 09-01 776 9 1 93 6.00% $0.00 $1,680:00 S1,680.00 $56,000.00 Coddington Road Water Water 03-01.89 9 1 93 7.30% SO.00 $328.50 $328.50 $9,000.00 Old South Hill Wtr 91 Water 03-01-89 9 1 93 7.30% $0.00 $4,148.96 $4,148.96 $113,670.00 1987 Water Imp. #2 Water 03-01-89 9 1 93 7. 30% $0.00 $14,600.00 $14,600.00 $400;000.00 1984 Water Improvement Water 05-15-86 11 15 93 6.80% $0.00 $12,750.00 $12,750.00 $375;000.00 Public Improvement Water 05-01-83 12 1 93 7. 10% $0.00 $1,929.07 $1,929:07 $54,340.00 TOWN OF ITHACA WATER BOND PAYMENTS - 1993 PACE 28 PURPOSE TYPE DATE MONTH DAY YEAR RATE PRINCIPAL INTEREST PAYMENT BALAtaCE 1989 Public Improvement Sewer 07/15/91 1 15 93 6.625£ $0.00 $67,740.63 $67,740.63 $2,045,000.00 South Hill Sewer 09-01-76 3 1 93 6.001 $36,000.00 $6,480.00 $42,480.00 $180,000.00 llis. Hollow..Road Sewer Sewer 09-01-76 3 1 93 6.002 $3,500.00 $330.00 $3,830.00 $7,500.00 South Hill Ext. #2 Sewer 09-01-76 3 1 93 6.002 $5,000.00 $990.00 $5,990.00 $28,000.00 Northeast Sewer Sewer 09-01-76 3 1 93 - 6.00% 518,000.00 $1,620.00 $19,620.00 $36,000.00 Slaterville Rd. Sewer 09-01-76 3 1 93 6.002 $15,500.00 $2,385.00 $17,885.00 $64,000.00 1987 Sewer Imp. #2 Sewer 03-01-89 3 1 93 7.302 $45,000.00 $29,814.66 $74,814.66 $771,840.00 1987 Sewer Imp. #1 Sewer 03-01-89 3 1 93 7.30% $16,000.00 $12,191.00 $28;191.00 $318,000.00 South Hill Ext. #1 Sewer 09-01-76 3 1 93 6.002 $4,000.00 $630.00 $4,630.00 $17,000.00 1984 Sewer Improvement Sewer 05-15-86 5 15 93 6.808 $9,000.00 $4,590.00 $13,590.00 $126,000:00 Joint Sewer Plaint Sewer 05-15-86 5 15 93 6.803 $116,000.00 S53,210.00 $169,210.00 $1,449,000.00 Public Improvement Sewer 05-01-83 6 1 93 7. 102 $28,560.00 $5,829.81 $34,389.81 $135,660.00 1989 Public Improvement Sewer 07/15/91 7 15 93 6.625% $83,000.00 $67,740.63 $150,740.63 S1,962,000.00 Slaterville Rd. Sewer 09-01-76 9 1 93 6.008 $0.00 $1,920.00 $1,920.00 $64,000.00. 1987 Sewer Imp. #1 Sewer 03-01-89 9 1 93 7.302 $0.00 $11,607.00 $11,607.00 $318,000.00 South Hill Ext. #i Sewer 09-01-76 9 1 93 6.00% $0.00 5510.00 $510:00 $17,000.00 Northeast Sewer. Sewer 09-01-76 9 1 93 6.00% $0.00 $1,080.00 $1,080.00 $36,000.00 South Hill Sewer 09-01-76 9 1 93 6.003 $0.00 $5,400.00 $5,400.00 $180,000.00 1987 Sewer Imp. n2 Sewer 03-01-89 9 1 93 7.302 $0.00 $28,172.16 $28,172.16 $771,840.00 South Hill Ext. 92 Sewer 09-01-76 9 1 93 6.00% $0.00 S840.00 $840.00 $28,000.00 Ellis Hollow Road Sewer Sewer 09-01-76 9 1 93 6.008 $0.00 $225.00 $225.00 $7,500.00 1984 Sewer Improvement Sewer 05-15-86 11 15 93 6.802 $0.00 $4,284.00 $4,284.00 $126,000.00: Joint Sewer Plant Sewer 05-15-86 11 15 93 6.802 $0.00 $49,266.00 $49,266.00 S1,449,000.00. Public Improvement Sewer 05-01-83 12 1 93 7. 10% $0.00 $4,815.93 $4,815.93 S135,�60.00. 1993 PROPOSED SALARIES - TOWN OF ITHACA PAGE 29 APPROPRIATION ACCOUNT AND # OF DEPT. RECON. TENTATIVE PRELIMINARY ADOPTED POSITION TITLE PERSONS RATE PER TOTAL FOR 1993 BUDGET 1993 BUDGET 1993 BUDGET PERSON THE YEAR A1010.100 TOWN BOARD Town Board Members 6 $5,250.00 $31,500.00 $31,500.00 $31,500.00 $31,500.00 A1110.100 JUSTICES Justices 2 $9,925.00 $19,850.00 $19,850.00 $19,850.00 $19,850.00 Court Clerks 2 $9.30 $14,508.00 $14,508.00 S14,508.00 $14,508.00 Date Entry Clerks 2 $8.20 $6,396.00 $6,396.00 $6,396.00 $6,396.00 A1220.100 SUPERVISOR Tom Supervisor 1 $15,650.00 $15,650.00 $15,650.00 $15,650.00 $15,650.00 Supervisor's Bookkeeper 1 $0.00 $0.00 $0.00 $0.00 $0.00 A1330.100 TAX COLLECTION Receiver of Taxes 1 $5,555.00 $5,555.00 $5,555.00 $5,555.00 $5,555.00 Dept. Receiver of Taxes 1 $5,135.00 $5,135.00 $5,135.00 $5,135.00 $5,135.00 A1340.100 BUDGET Budget Officer 1 $4,350.00 $4,350.00 $4,350.00 $4,350.00 $4,350.00 Asst.Budget Officer/Purchase Agent 1 $32,844.00 $32,844.00 $32,480.00 $32,480.00 $32,480.00 Account Clerk/Typist (3/4 salary) 1 $7.75 $11,335.00 $11,335.00 $11,335.00 $11,335.00 A1410.100 T041N CLERK Town Clerk 1 $22,220.00 $22,220.00 $22,220.00 $22,220.00 $22,220.00 Deputy Town Clerk 1 $20,365.00 $20,365.00 $20,365.00 $20,365.00 $20,365.00 A1430.100 PERSONNEL Personnel Ngr. 1 $27,982.00 $27,982.00 $27,850.00 $27,850.00 $27,850.00 Account Clerk/Typist 1 $7.75 $3,778.00 $3,778.00 $3,778.00 $3,778.00 (1/4 Salary) A1440.100 ENGINEER Town Engineer 1 $50,500.00 $50,500.00 $51,000.00 $51,000.00 $51,000.00 Assistant Town Engineer 1 $32,000.00 $32,000.00 $32,000.00 $32,000.00 $32,000.00 Assistant to the Town Engineer 1 $31,500.00 $31,500.00 $31,500.00 $31,500.00 $31,500.00 * Dept.Secretary (1/2 annual salary) 1 $0.00 $7,400.00 $7,400.00 $7,400.00 $7,400.00 Admin Secretary (1/3 Salary) 1 S0.00 $8,500.00 $8,500.00 $8,500.00 $8,500.00 1993 PROPOSED SALARIES - TOWN OF ITHACA PAGE 30 APPROPRIATION ACCOUNT AND # OF DEPT. RECOM. TENTATIVE PRELDIINARY ADOPTED POSITION TITLE - PERSONS RATE PER TOTAL FOR 1993 BUDGET 1993 BUDGET 1993 BUDGET PERSON THE YEAR A1620.100 TOWN HALL Janitor 1 $5.90 $11,505.00 $11,505.00 $11,505.00 $11,505.00 A3120.100 CROSSING GUARDS Crossing Guards 3 $2,600.00 $7,800.00 $7,800.00 $7,800.00 $7,800.00 A5010.100 SUPERINTENDENT OF HIGHSdAYS Highway Superintendent 1 $30,000.00 $30,000.00 S30,000.00 $30,000.00 $30,000.00 Dept. Secretary 1 $8.90 $17,355.00 $17,355.00 $17,355.00 $17,355.00 A7140.100 PLAYGROUNDS & RECREATION Seasonal Workers -- -- 87140.100 PARK MAINTENANCE Parks & Open Space Manager 1 $28,300.00 $28,300.00 $28,300.00 $28,300.00 $28,300.00 Parks Maintenance Foreman 1 $11.50 $23,920.00 $23,920.00 $23,920.00 $23,920.00 Parks Laborer 1 $9.00 $18,720.00 $18,720.00 $18,720.00 $18,720.00 88010.100 ZONING Zoning Officer 1 $37,275.00 $37,275.00 $37,000.00 $37,000.00 $37,000.00 Assistant Zoning Officer 1 $26,000.00 $26,000.00 $26,000.00 $26,000.00 $26,000.00 Admin. Sec. (1/3 annual salary) 1 $8,500.00 $8,500.00• $8,500.00 $8,500.00 $8,500.00 Dept.Secretary 1 $9.50 $18,525.00 $18,525.00 $18,525.00 $18,525.00 B8020.100 PLANNING Town Planner 1 $36,400.00 $36,400.00 $36,400.00 $36,400.00 $36,400.00 Asst. Town Planner 1 $29,662.00 $29,662.00 $29,750.00 $29,750.00 - $29,750.00 Admin. Sec. (1/3 annual salary) 1 $8,500.00 $8,500.00 $8,500.00 $8,500.00 $8,500.00 Dept.Secretary 1 $7.50 $14,625.00 $14,625.00 $14,625.00 $14,625.00 Planner 1 1 $24,675.00 $24,675.00 $24,500.00 $24,500.00 S24,500.00 1993 PROPOSED SALARIES - TOWN OF ITHACA PAGE 31 APPROPRIATION ACCOUNT AND # OF DEPT. RECOM. TENTATIVE PRELIMINARY ADOPTED POSITION TITLE PERSONS RATE PER TOTAL FOR 1993 BUDGET 1993 BUDGET 1993 BUDGET PERSON THE YEAR HIGM-1AY FUND Foreman 1 $14.25 $29,640.00 $29,640.00 $29,640.00 $29,640.00 MEO/DEPUTY HIGHWAY SUPERINTENDENT 1 $10.80 $22,464.00 $22,464.00 $22,464.00 $22,464.00 Motor Equipment Operators 1 $13.60 $28,288.00 $28,288.00 $28,288.00 $28,288.00 Motor Equipment Operators 1 $11.15 $23,192.00 $23,192.00 $23,192.00 $23,192.00 Motor Equipment Operators 2 $11.10 S46,176.00 $46,176.00 $46,176.00 $46,176.00 Motor Equipment Operators 1 $10.80 $22,464.00 $22,464.00 $22,464.00 $22,464.00 Mechanic 1 S9.00 $18,720.00 $18,720.00 $18,720.00 $18,720.00 Highway Laborers 1 $8.80 $18,304.00 $18,304.00 S18,304.00 $18,304.00 Highway Laborers 1 $6.75 $14,040.00 $14,040.00 $14,040.00 $14,040.00 F8340.100 WATER. TRANSMISSION & DIST. Engineering Technician(1/2 salary) 1 $12,500.00 $12,500.00 $12,500.00 $12,500.00 $12,500.00 G8120.100 SEWER: SANITARY SEWERS Engineering Technician(1/2 salary) 1 $12,500.00 $12,500.00 $12,500.00 $12,500.00 $12,500.00 FINAL SOUTHERN CAYUGA LAKE INTERMUNICIPAL WATER COMMISSION (BOLTON POINT ) 1993 FINAD' BUDGET NOVEMBER 5, 1992 Tentative Budget-October 5 , 1992 Preliminary Budget-November 5 , 1.992 Adopted Budget-November 5 , 1992 I PROPOSED 1993 SCLIWC BUDGET 1991 1993 1993 1993 SUtTiMARY RECD EXP. 1992 BUDGET Y 1 9206/30/92 TOTALjI 92 RECDOPfMENDATION BRECOMMENDAT ONE COMMISSION REVENUES BENE.ASSES1,1ENT 250000.00 250000.00 .00 250000.00 250000.00 250000.00 250000.00 SHARE/JOINT ACT. 1149250.63 1600000.00 730860.54* 1370500.00 1644000.00 1625500.00 1625500.00 WATER, SERVICE CHG. 34617.07 40000.00 6250.00 25000.00 25000.00 20000.00 20000.00 SERV. TO OTHER GOV. 40059.43 50000.00 28629.68* 40500.00 45000.00 55000.00 55000.00 PLUMB.PERMIT FEES 38040.45 50000.00 23096.47 48000.00 45000.00 45000,00 45000.00 CROSS-CONNECT.FEES .00 .00 25.00 200.00 500.00 500.00 500.00 INTEREST-TIME DEP. 8673.44 10000.00 3872.05 8500.00 7000.00 00 SALES OF EQUIPMENT .00 1000.00 3328.82 7000.0 000.00 1000.00 1000.00 5000.00 0 1 5000. MISC. REFUNDS, ETC. 5339.21 2000.00 7428.51 7500.00 2000.00 8000.00** 8000.00 TOTAL REVENUES 1525980.23 2003000.00 803491.07* 1757200.00 2019500.00 2010000.00 2010000.00 RECEIVABLES FROM 1990 318931.39 AVAILABLE FUNDS 1844911.62 *INCLUDES $315432.65 IN RECEIVABLES. **INCLUDES $4000 INCOME FROM CERTIFIED 14AIL CHARGES. DISBURSEMENTS BOND PRIN. & INT. 560800.00 534000.00 67000.00 534000.00 560856.00 560856.00 560856.00 ADMINISTRATION 373632.25 412300.00 173301.15 358525.00 412230.00 401580.00 401580.00 SUPPLY,POWER,PU2MP. 150889.81 151098.00 65287.27 144200.00 156050.00 153950.00 153950.00 PURIFICATION 334038.64 338880.00 140319.88 316450.00 353730.00 343400.00 343400.00 pi, 11111111�1111 I'll ill EMPLOYEE BENEFIT 146320.71 162500.00 168767.72 148800.00 172000.00 177700.00 177700.00 312500.00 -312500.00 CONTINGENCY .00 53207.00 27634.00 60014.00 60014.00 TOTAL DISBURSEMENT 1836197.35** 2003000.00 645221.21 1769425.00 2019500.00 2010000.00 **INCLUDES $7424.03 ENCI ERED FUNDS. 12225.00 DIFF. 2010000.00 (10/5/92) PROPOSED 1993 SCLIWC BUDGET Page 2 1993 1993 1993 1991 ACTUAL ESTIMATED DEPA,DTMENT BUDGET COMMITTEE PROPOSED DISBURSEMENTS EXPENDED 1992 BUDGET 1/1/92 - 6/30/92* TOTAL 1992 RECOMMENDATION RECOMMENDATION COMMISSION SW9710 BOND PRIN. AND INTEREST 9710.610 PRINCIPAL 400000.00 400000.00 .00 - 400000.00 400000.00 400000.00 400000.00 9710.710 INTEREST 160800.00 134000.00 67000.00 134000.00 107200.00 107200.00 107200.00 9710.620 ZMCP PRIN. 30000.00 30000.00 30000.00 9710.720 ZMCP INT. 23656.00 23656.00 23656.00 TOTAL PRIN. & INT. 560800.00 534000.00 67000.00 534000.00 560856.00 560856.00 560856.00 SW8310 ADMIN. .1 PERSONAL SERVICES .101 PERSONAL SERV. 172080.46 211000.00 89381.77 190000.00 202300.00 196650.00 196650.00 .102 OVERTIME/ADMIN. 153.05 1000.00 126.29 500.00 500.00 500.00 500.00 .103 OVERTIME/OTHER 16891.80 13000.00 7853.68 15500.00 16000.00 16000.00 16000.00 TOTAL PERSONAL SERV. 189125.31 225000.00 97361.74 206000.00 218800.00 213150.00 213150.00 .2 EQUIPMEN''T .201 EQUIP./ADMIN. 15319.84 13500.00 4657.62 12000.00 16500.00 13500.00 13500.00 .202 EQUIP./OTHER 8919.67 2000.00 .00 500.00 .00 .00 .00 TOTAL EQUIPMENT 24239.51 15500.00 4657.62 12500.00 16500.00 13500.00 13500.00 *FIGURE INCLUDES OPEN PURCHASE ORDERS (10/5/92) dw PROPOSED 1993 SCLIWC BUDGET Page 3 1993 1993 1993 1991 ACTUAL ESTIMATED DEPARTMENT BUDGET COMMITTEE PROPOSED EXPENDED 1992 BUDGET 1/1/92 - 6/30/92* TOTAL 1992 RECOZQ4ENDATION RECOMMENDATION COMMISSION ADMINISTRATION (CON-T) .4 CONTRACTUAL EXPFN`SES .401 PHONE/TELrmETER 29860.13 31500.00 15019.15 31000.00 32000.00 32000.00 32000.00 .403 ,HEATING OIL/N.GAS 7349.00 9000.00 1724.59 5500.00 8000.00 8000.00 8000.00 .404 GAS/OIL 5986.34 8000.00 2027.43 4500.00 6500.00 6500.00 6500.00 .405 AUDIT/ATTNY FEES 8273.27 10000.00 2046.74 3500.00 7000.00 5000.00 5000.00 .406 CONSULTANTS 1255.00 2500.00 945.07 1000.00 2500.00 2500.00 2500.00 .410 OFFICE SUPPLIES 3912.49 7500.00 4032.89 6500.00 8000.00 8000.00 8000.00 .411 PRINTING/POSTAGE 13133.84 15500.00 6807.87 16000.00 18600.00 18600.00 18600.00 .418 EQUIPMENT KAINT. 6986.69 9875.00 2840.40 7000.00 8000.00 8000.00 8000.00 .419 CUSTODIAL SERVICE 4573.60 7500.00 2007.00 4500.00 7700.00 7700.00 7700.00 .433 TRAVEL/SCHOOLS 6946.46 2525.00 301.26 1500.00 3600.00 3600.00 3600.00 .435 ADVERTISING 1867.10 1500.00 77.82 500.00 1500.00 1500.00 1500.00 .436 DUES/PUBLICATIONS 371.81 800.00 472.95 2925.00 3100.00 3100.00 3100.00 .437 DATA PROCESSING 13531.29 8300.00 1285.61 6000.00 8300.00 8300.00 8300.00 .438 INSURANCE 45958.03 50000.00 28913.77 48000.00 55000.00 55000.00 55000.00 .440 MISCELLANEOUS 611.00 600.00 252.74 600.00 1130.00 1130.00 1130.00 .450 OFFICE SUPPLIES 579.82 700.00 442.87 .00 .00 .00 .00 .453 TRAVEL/SCHOOLS 398.32 500.00 . 80.00 .00 .00 .00 .00 .456 DUES/PUBLICATIONS 1540.87 2300.00 1416.99 .00 .00 70 .00 .458 EQUIPMENT MAINT. 271.45 1000.00 122.00 .00 .00 .00 .00 .460 IN HOUSE TRAINING 1647.75 1700.00 23.97 500.00 1000.00 1000.00 1000.00 .461 SAFETY PROGRAM 5213.17 500.00 440.67 500.00 5000.00 5000.00 5000.00 TOTAL CONTRACTUAL 160267.43 171800.00 71281.79 140025.00 176930.00 174930.00 174930.00 TOTAL ADMINISTRATION 373632.25 412300.00 173301.15 358525.00 412230.00 401580.00 401580.00 *FIGURE INCLUDES OPEN PURCHASE ORDERS. (10/5/92) PROPOSED 1993 SCLIWC BUDGET Page 4 1993 1993 1993 1991 ACTUAL ESTIMATED DEPARTMENT BUDGET COMMITTEE PROPOSED EXPENDED 1992 BUDGET 1/1/92 - 6/30/92' TOTAL 1992 RECOMMENDATION RECOMMENDATION COMISSION SW8320 SOURCE OF SUPPLY,POWER,PUMP. .1 PERSONAL SERVICE 52307.16 54398.00 23980.24 53500.00 51300.00 49500.00 49500.00 .2 EQUIPMENT .201 EQUIPMENT 159.00 400.00 .00 400.00 225.00 250.00 250.00 .208 CLOTHING 33.88 150.00 .00 150.00 125.00 150.00 150.00 .212 EQUIP.PARTS/SUP. 1945.33 4500.00 1300.98 4500.00 7500.00 7500.00 7500.00 .221 MAINT. B.P.SYS. 6635.48 4200.00 2765.91 5200.00 2650.00 2650.00 2650.00 .222 MAINT.T & V SYS. 46.96 2000.00 .00 .00 .00 .00 .00 TOTAL EQUIPMENT 8820.65 11250.00 4066.89 10250.00 10500.00 10550.00 10550.00 .4 CONTRACTUAL EXP. , .402 ELECTRIC 89623.32 85000.00 37160.07 80000.00 93500.00 93500.00 93500.00 .410 OFFICE SUPPLIES 94.01 150.00 80.07 150.00 200.00 200.00 200.00 .433 TRAVEL/SCHOOLS 44.67 300.00 .00 300.00 200.00 200.00 200.00 TOTAL CONTRACTUAL EX.P. 89762.00 85450.00 ` 37240.14 80450.00 93900.00 93900.00 93900.00 TOTAL SOURCE OF SUP, POWER, PUMPING 150889.81 151098.00 65287.27 144200.00 156050.00 153950.00 153950.00 *FIGURE INCLUDES OPEN PURCHASE ORDERS. (10/5/92) PROPOSED 1993 SCLIWC BUDGET Page 5 1993 1993 1993 1991 ACTUAL ESTIMATED DEPARTMENT BUDGET COMMITTEE PROPOSED EXPENDED 1992 BUDGET 1/1/92 - 6/30/92* TOTAL 1992 RECOMMENDATION RECOMMENDATION COMMISSION SW8330 PURIFICATION .1 PERSONAL SERVICES 114108.84 120200.00 53456.64 120000.00 136000.00 125950.00 125950.00 .2 EQUIPMENT .201 EQUIPMENT 22779.24 12100.00 3851.00 12000.00 1725.00 1750.00 1750.00 .208 CLOTHING,BOOTS 126.63 815.00 58.25 350.00 350.00 350.00 350.00 .212 EQUIP. PARTS/SUP. 763.86 2925.00 12.58 1000.00 2350.00 2350.00 2350.00 .215 TREATMENT SUPL. 23392.83 32500.00 9985.98 23000.00 29400.00 29400.00 29400.00 .216 LAB SUPPLIES 8869.54 12910.00 2792.56 8000.00 12650.00 12650.00 12650.00 TOTAL EQUIPMENT 55932.10 61250.00 16700.37 44350.00 46475.00 46500.00 46500.00 .4 CONTRACTUAL .402 ELECTRIC 151293.80 132000.00 62255.79 139000.00 150000.00 150000.00 150000.00 .410 OFFICE SUPPLIES 493.15 775.00 147.48 600.00 815.00 850.00 850.00 .412 METER CHARTS 2861.95 3300.00 1777.66 3000.00 3135.00 3150.00 3150.00 .418 EQUIPMENT MAINT. 3834.10 6105.00 3684.94 4500.00 4655.00 5000.00 5000.00 .419 BUILD. & GRNDS. 4118.51 13700.00 2232.00 4500.00 10450.00 10450.00 10450.00 .433 TRAVEL/SCHOOLS 1396.19 1550.00 65.00 500.00 2200.00 1500.00 1500.00 TOTAL CONTRACTUAL 163997.70 157430.00 70162.87 152100.00 171255.00 170950.00 170950.00 TOTAL PURIFICATION 334038.64 338880.00 140319.88 316450.00 353730.00 343400.00 343400.00 *FIGURES INCLUDE OPEN PURCHASE ORDERS. (10/5/92) PROPOSED 1993 SCLIWC BUDGET Page 6 1993 1993 1993 1991 ACTUAL ESTIMATED DEPARTMENT BUDGET COMMITTEE PROPOSED EXPENDED 1992 BUDGET 1/1/92 - 6/30/92* TOTAL 1992 RECOMMENDATION RECOMMENDATION COMMISSION SW8340 TRANSMISSIOA° & DISTRIBUTION .101 PERSONAL SERV. 124935.82 135000.00 60380.28 133000.00 170000.00 144500.00 144500.00 .2 EQUIPMENT .201 EQUIPMENT 337.50 26500.00 6061.00 8000.00 1000.00 1000.00 1000.00 .208 CLOTHING 1045.87 1200.00 252.57 600.00 1000.00 1000.00 1000.00 .212 EQUIP.PARTS/SUP. 5278.95 5200.00 2993.23 4500.00 5800.00 5800.00 5800.00 .221 MAINT.LINES B.P. 5905.91 6800.00 2839.06 5000.00 6200.00 6200.00 6200.00 .222 MAINT LINES T&V 8445.29 8565.00 5170.31 7500.00 7650.00 7650.00 7650.00 .224 METERS 15049.49 47000.00 11227.71 15000.00 37800.00 37800.00 37800.00 TOTAL EQUIPMENT 36063.01 95265.00 28543.88 40600.00 59450.00 59450.00 59450.00 .4 CONTRACTUAL .402 ELECTRIC 98427.58 102000.00 38395.88 87000.00 82000.00 98000.00 98000.00 .405 PLUMB. INSPECTOR 495.00 5000.00 .00 .00 15000.00 .00 .00 .410 OFFICE SUPPLIES 1362.90 1350.00 1157.96 1350.00 1750.00 1750.00 1750.00 .418 EQUIPMENT MAINT. 5618.29 7200.00 1366.04 4000.00 5200.00 5200.00 5200.00 .433 TRAVEL/SCHOOLS 1642.64 1950.00 330.90 1000.00 1850.00 1850.00 1850.00 .442 MAPPING 1970.70 3250.00 370.25 500.00 1750.00 1750.00 1750.00 TOTAL CONTRACTUAL 109517.11 120750.00 41621.03 93850.00 107550.00 108550.00 108550.00 TOTAL TRANSMISSION 270515.94 351015.00 130545.19 267450.00 337000.00 312500.00 312500.00 ANS DISTRIBUTION *FIGURES INCLUDE OPEN PURCHASE ORDERS. (10/5/92) PROPOSED 1993 SCLIWC BUDGET Page 7 1991 1993 1993 1993 PROPOSED EXPENDED 1992 BUDGET 1/1/92 - 6/30/92 TOTAL 19922 RECD 4ENDATION BRECOMMEENDAT ONE COMMISS ON SW9000 UNDISTRIBUTED EMPLOYEE BENEFITS SW9010.8 STATE RET. 1161.43 10000.00 .00 Sw9030.8 SOCIAL SEC. 35381.97 40000.00 1:7858.85 9500.00 10000.00 11500.00 11500.00 SW9040.8 WORK. COMP. 25928.24 22100.00 5251.90 18000.00 22500.00 23500.00 23500.00 42000A , 42000.00 SW9055.8 DISAB. INS. 1254.02 1400.00 280.10 2300.00 1500.00 1300.00 1300.00 Sw9060.8 HEALTH INS. 82595.05 89000.00 45376.87 89000.00 95000.00 99400.00 99400.00 TOTAL UNDISTRIBUTED 146320.71 162500.00 68767.72 148800.00 172000.00 277700.00 177700.00 EMPLOYEE BENEFITS SW1940 CONTINGENCY 70000.00 53207.00 .00 27639.00 60014.00 60014.00 (10/5/92) on r' FINAL TOWN OF ITHACA AFFIDAVIT OF POSTING AND PUBLICATION I , JOAN LENT HAMILTON being duly sworn, say that I am the Town Clerk of the Town of Ithaca, Tompkins County, New York; that the following notice has been duly posted on the sign board of the Town Clerk of the Town of Ithaca and that the notice has been duly published in the local newspaper': ( Ithaca Journal ) (SEE ATTACHED) Location of sign board used for posting : Town Clerk's Office 126 E. Seneca St. Date of Posting: October 15, 1992 Ithaca, NY 14850 Date of Publication : October 19, 1992 Too Clerk, Town of Ithaca i STATE OF NEW YORK ) COUNTY OF TOMPKINS ) SS: TOWN OF ITHACA ) Sworn to and subscribed before me this day of1� 19 \` LEAH B.CARPENTER t Notary Public,State of Now York Notary Public Qualified in Tompkins Co.No.4797177 My Commission Expires April 30,19— Qti`3J PUBLIC NOTICE TOWN OF ITHACA PLEASE TAKE NOTICE, that the Town Board of the Town of Ithaca will hold a PUBLIC HEARING, Thursday, November 5, 1992 at 7 : 00 p . m. , at the Ithaca Town Hall , 126 East Seneca Street, Ithaca, New York to consider AN INCREASE IN THE SE14ER BENEFIT LEVY; and PLEASE TAKE FURTHER NOTICE, at the aforementioned time and place all interested citizens will be afforded the opportunity to voice their approval or opposition of said sewer benefit levy. Joan Lent Hamilton Town Clerk October 15 , 1992 PUBLISH : October 19, 1992 Sfihe;1ttlaca Journal -MbndaV.Octob�`b 19, 1992 ~t PUBLIC NOME s TOWN OF ITNACA PLEASE TAKE NOTICE, &or the Town Board of the i Town of Ithaca will hold a PUBLIC HEARING Thursday November 5*19412 at 7.06 a.m.,at the Itbaca Town Hall, 126 East Seneca Street, Ithaca New York to consider AN INCREASE IN THE SEWER BENEW PLEASE TAKE URTHE NO. ncE, at the oforernenaoned time and placo all interested citizens will be offoeded Iha oeportuaily to voice their op proval w.oppposition of sold sewer beneEii tevy; Joan Lam Hamihoe' Town Clerk 1 Ocwbor 19, 1992 1 ` FINAL - TOIM OF ITHACA AFFIDAVIT OF POSTING AND PUBLICATION , I, Joan Lent H3mxlton , being duly sworn, say that I am the Town .Clerk of the Toisn of Ithaca, -Tompkins .County, New " York; that the -following notice has -been duly posted on the• sign; •board of the Town Clerk'-of the TovM of Ithaca and that the :notice has been ? . duly published in the local newspaper: (Ithaca -journal) ' (SEE- ATTACHED) Location of sign- board 'used for posting: Town Clerk's office 126 E: Seneca St. Itbaca, NY 14850 Date of Posting: October- 15,' 1992 Date of Publication: October 19, 1992 To n Clerk; Town of Ithaca STATE Or NEW YORK UNTY OF TOi PXINS ss. �M, OF ITHACA Sworn to and subscribed 'before me this day of � LEAH B.CARPENTER l9 Notary Public,State of New York Mualified in Tompkins Co.No.4797177 Y Commission Expires April 30, 19,%7 , •N y , otar Public i t The Ithaca Journal Monday, October 19,'1992�� PUBLIC NOTICE.±f,r; TOWN OF 1THACA rJ PLEASE TAKE. NOTICE,"I Ihat the Town Board of the Town of Ithaca will hold a PUBLIC HEARING,Thursday ' Novembo;S 1492 ct 7:3d e'n. at the own F�aU, 126 East Seneca Street, Ithaca, New York to consider the edoption of the 1993 iOWN Or ITHACA PRELIM4 NARY BUDGET AS THE 1993'TOWN OF ITHACA ANNUAL BUDGET-and i PLEASE TAKE FURTHER NO,' TICE, the Elected Officiate' Salaries in Said Preliminary ' Budget are set as follows: ' " Town Supervisor $15,650•.` Town Budget Officer 34,350. Town Board Members 16 Il $5,250 each Town Justice (2 at) $9,92511 each;and PLEASE TAKE FURTHER NC+i TICE, 'at the afwementiono4.1 time and p7aco all citizens will be clicrded the oppomi-., niy to voice their approval or oppposition o6 said budget. PLcASE TAKE FURTHER"Na–, TICE,sold Preliminary Bud"*3 is available at the office al the Town Clark 126 Emt Seneca Street,lt dce,where it may be inspected by any interested person during nor• mcl businc-whours,Monday, through Friday, 8:00 a"m.ro i 4:30 pm.'. Joan lent Hamilton Town Clark October 19, 1992 i t- FINAL TOWN OF ITHACA AFFIDAVIT OF POSTING AND PUBLICATION 1, —JOAN LENT HAMILTON being duly sworn, say that I am the Town .Clerk of the Town of Ithaca, Tompkins .County, New York; that the -following notice has been duly posted on the' sign ,board of the Town Clerk -of the Town of Ithaca and that the notice has been duly published in the local newspaper: (Ithaca Journal) (SEE ATTACEED) Location of sign- board used for posting: Town Clerk's Office 126 E. Seneca St. Ithaca, NY 148.50_ Date of Posting: October 15: 1992 Date of Publication: _October 19, 1992 Tq1Wn Clerk; Town of Ithaca STATE OF NEW YORK _OUNTY OF TOMPKINS ss, TOWN OF ITHACA ) Sworn to and subscribed before me this day of 19 N7) LEAH B.CARPENTER Notary Public,State of New York \ Qualified in Tompkins Co.No.4797177 \ `U My Commission Expires April 30, 19 \"� NOtary Public 11 l TY e Ithaca Journal Monday.0. lob,er'19;,1992 ' -PUBLIC NOTICE , TOWN OF ITHACA PLEASE TAKE NOTICE, enat the Town Board of the Town of.Ithaca will hcld a PUBLIC HEARING,T'nursday, November 5 1992 of 7:1. ! 1.m., at the Mown Hall 126 cast Soneca Street, 16-co, Now York to consider tho adopption of the 1.0931 SOUTHERN CAYUGA LAKE INTERMUNICIPAL WATER. COMMISSION 7RELIMI- NARY BUDGET AS THE' 1993 SOUTHERN CAYUGA; LAKE INTERMUNICIPAL. WATER CONdvt1SMISI AN-� NUAL BUDGET-and PLEASE TAKE f`URTHER Na TICE, at the aforementianed' time cnd placo oil ciBzeni will be offordod t'ne oppoanr s pity to voice their approval or oppos;lion of said budget;' and PLEASE TAKE FURTHER NO-' TICE, that the Preliminary Budget is available at the Office of the Town ClQ?K 126 East Soneca Street, 116co, whero it may be thspected 4syt' any interestod person during ' normal'business hours,Mon day+:rough Friday,8:00 am to �t:30 pm. Joan Lent own Clerk October 19, 1472 TOWN OF ITHACA AFFIDAVIT OF POSTING AND PUBLICATION FINAL 2 i JOAN LENT HAMILTON ; being duly sworn, say that I am the Town 'Clerk of the Town of Ithaca, • Tompkins County, New York; that the following notice has been duly posted on the' sign board of the Town Clerk 'of the Town of Ithaca and that the notice has peen duly published in the local .newspaper: (Ithaca Journal) - (SEE ATTACHED) Location of sign board used for posting: Town Clerk's Office 126 East Seneca St Ithaca, NY 14850 Date of Posting: October 15, 1992 Date of Publication: October 19 , 1992 T n Clerks Town of Ithaca STATE OF NE-14 YORK COUNTY OF TODiPKINS ss, TO IN OF ITHACA . Sworn to and subscribed before me t))is w� day' of LEAH 0.CARPENTER --'-`�y lP�-�ubtic • ' fMotary Public,State of New York Qualified in Tompkins Co.No.4797177 My Commission Expires April 30. 19_N%�� l • t � w The Ithaca Journal Monday,,October.l9,`1992•,: 4 PUBLIC NOTICE ,t TOWN OF ITHACA PLEASE TAKE NOTICE that the Town Board will hold o PUBLIC HEARING, at the followirsg times, Thursday, November S. 1942, at the Town Hall, 126 East Sonoca Street, hhaca, New Yat'c,(or. ,he consideration of tho EI owing 1993 ASSESSMEr ROILS FOR SPECIAL BEN DISTRICTS;and 8:00 p.m.•Forost Home! lighting 0(strict 8:01 "rn,Glamido Ughang District 8:02 p.m,•,,Renwic4•Heights Lighting District B:03 p;m.•Eastwood Corn'- mons Lighting District 8:04 p•,m.-Clover tone h Kling District 8, 5 p.m.•Winners Circle U District 8:06 p.m.-BurleigK Drive Lighting District 8:07 o.m.•Water Im- provement Benefit District ,E 8:08 p.m.-Sower Im. arovemont Benefit District 8:09 p.m.-Judd Falls Rood Sidewalk Bonetii Im- orovements hEASE TAKE FURTKER NO. TICE. at tho aforementioned time and place all citizens shall be clforded tho oppartu- niy to voice their approval or opposition of wsd ossoss Monts_ Joan lent Hamibon Town Clerk October 19, 1992 { ?j- 431HA3.8 HAD ••:!'JVNi1'',) ais�? .7tia!ir�'(•+iGV! . • :r •• 1� i� .it'Ai;Yt')� 1:�!°atttttil!