HomeMy WebLinkAbout2004 Final Budget•-
uown Budgej.-O
2004
Catherine Valentino, Supervisor
Tom Niederkorn, Councilman Mary Russell, Deputy Town Supervisor
Bill Lesser, Councilman Carolyn J. Grigorov, Councilwoman
David Klein, Councilman
Will Burbank, Councilman
r
•
u
TOWN BUDGET
M
TOWN OF ITHACA
Iff
COUNTY OF TOMPKINS
VILLAGES WITHIN TOWN
CAYUGA HEIGHTS
CERTIFICATION OF TOWN CLERK
TOWN CLERK,
CERTIFY THAT THE FOLLOWING IS A TRUE AND CORRECT COPY OF THE
2004 BUDGET OF THE TOWN OF ITHACA AS ADOPTED BY THE TOWN BOARD
ON NOVEMBER 6, 2003.
Signed:
Dated: A\ 17-D -P)
REGULAR MEETING OF THE ITHACA TOWN BOARD
THURSDAY, NOVEMBER 6, 2003
TB RESOLUTION NO. 2003-173: Adoption of the 2004 Town of Ithaca Final Budget
WHEREAS, the properly advertised public hearing has been held to consider the
adoption of the 2004 Preliminary Town of Ithaca Budget as the 2004 Town of Ithaca
Final Budget; and
WHEREAS, the Supervisor presented for Town Board discussion and approval
the following increases in the 2004 Preliminary Budget appropriations:
A8989.401 Gadabout $10,450
A8989.403 Senior Citizens Council $ 8,400
A8989.404 Human Services Coalition $ 2,000
WHEREAS, the Town Board has discussed and reviewed all modifications to the
said budget as presented by the Town Supervisor and Budget Officer; now, therefore,
be it
RESOLVED, the Town Board of the Town of Ithaca hereby approves and adopts
the 2004 Preliminary Town of Ithaca Budget, as presented by the Town Supervisor and
Budget Officer, as the 2004 Town of Ithaca Final Budget.
MOVED: Supervisor Valentino
SECONDED: Councilman Niederkorn
ROLL CALL VOTE:
Supervisor Valentino
Voting
aye
Councilwoman Russell
Voting
aye
Councilwoman Grigorov
Voting
aye
Councilman Klein
Voting
aye
Councilman Lesser
Voting
aye
Councilman Burbank
Voting
aye
Councilman Niederkorn
Voting
aye
Motion Carried unanimously.
I HEREBY CEP III Y IHAI' 1 HE I•OREGOING IS A
TRUE COPY OF A RESOLUTION ADOPTED BY THE
TOWN BOARD OF THE TOWN OF ITHACA,
TOMPKINS,COUNTY, NEW YORK, ON THE (�
DAY OF MX � 20 C JAND Is
THE WHOLE OF THE SME -
1I- -I, W ( �' L" 241
Date Town Clerk/DepAi Town Clerk
TOWN OF ITHACA, NEW YORK
SUMMARY OF FISCAL BUDGET BY FUND
FOR 2004
11
SPECIAL DISTRICTS
SF FIRE PROTECTION FUND
3L1 FOREST HOME LIGHT DIST
3L2 GLENSIDE LIGHT DIST
SL3 RENWICK HGTS LIGHT DIST
3L4 EASTWOOD COMMONS LIGHT DIST
3L5 CLOVER LANE LIGHT DIST
SL6 WINNER'S CIRCLE LIGHT DIST
3L7 BURLEIGH DRIVE LIGHT DIST
3L8 WEST HAVEN ROAD LIGHT DIST
5L9 CODDINGTON ROAD LIGHT DIST
• TOTAL SPECIAL DISTRICTS
GRAND TOTAL
GENERAL FUND TOWNWIDE
3
GENERAL FUND PART TOWN
OB
HIGHWAY FUND PART TOWN
APPROPRIATIONS
WATER FUND
3
SEWER FUND
�t
RISK RETENTION FUND
T
DEBT SERVICE
®
TOTAL TOWN
SPECIAL DISTRICTS
SF FIRE PROTECTION FUND
3L1 FOREST HOME LIGHT DIST
3L2 GLENSIDE LIGHT DIST
SL3 RENWICK HGTS LIGHT DIST
3L4 EASTWOOD COMMONS LIGHT DIST
3L5 CLOVER LANE LIGHT DIST
SL6 WINNER'S CIRCLE LIGHT DIST
3L7 BURLEIGH DRIVE LIGHT DIST
3L8 WEST HAVEN ROAD LIGHT DIST
5L9 CODDINGTON ROAD LIGHT DIST
• TOTAL SPECIAL DISTRICTS
GRAND TOTAL
$ 2,181,302.00
ESTIMATED
UNEXPENDED
AMOUNT
TO BE
APPROPRIATIONS
REVENUE
FUND
BALANCE
RAISED
BY TAX
$ 2,999,577.00
994.00
1,243,785.00
994.00
703,317.00
1,052,475.00
1,203.00
$ 2,571.00
2,571.00
$ 742,071.00
609,700.00
287.00
132,371.00
287.00
$
893.00
893.00
$
825.00
$ 2,082,806.00
825.00
1,639,100.00
443,706.00
3,103.00
$ 1,800.00
1,800.00
$ 2,051,855.00
33,400.00 -154,976.00 2,317,383.00
--------------------------
--------------------------
1,525,600.00
33,521.35
492,733.65
$ 1,931,588.00
1,368,500.00
94,713.00
468,375.00
$ 15,000.00
10,500.00
4,500.00
$ 886,676.00
888,477.00
-1,801.00
$10,709,573.00
7,285,662.00
1,410,327.35
2,013,583.65
$ 2,181,302.00
33,400.00 -154,976.00 2,302,878.00
$ 2,829.00
2,829.00
$
994.00
994.00
$ 1,203.00
1,203.00
$ 2,571.00
2,571.00
$
287.00
287.00
$
893.00
893.00
$
825.00
825.00
$ 3,103.00
3,103.00
$ 1,800.00
1,800.00
$ 2,195,807.00
--------------------------
--------------------------
33,400.00 -154,976.00 2,317,383.00
--------------------------
--------------------------
$12,905,380.00 7,319,062.00 1,255,351.35 4,330,966.65
----------------------------------------------------
----------------------------------------------------
FINAL TAX &BENEFIT ASSESSMENT
TOWN OF ITHACA
ADOPTED 2004 BUDGET and REAL PROPERTY TAX and BENEFIT ASSESSMENT RATES SUMMARY
Real Prooertv Tax Rate Based On A Per $1.000 of Assessed Prooertv Value
FUND
ADOPTED
1996
ADOPTED
1997
ADOPTED
1998
ADOPTED
1999
ADOPTED
2000
ADOPTED
2001
ADOPTED
2002
TENTATIVE
2003
PRELIMINARY
2003
ADOPTED
2003
TENTATIVE
2004
PRELIMINARY
2004
ADOPTED
2004
GENERAL FUND TOWNWIDE (A)
( Includes Village of Cayuga Heights )
Appropriations
$
1,555,592
$
1,494,064
$
1,518,961
$
1,537,276
$
1,925,508
$
2,083,181
$
2,247,613
$
2,667,403
$
2,660,136
$
2,679,203
$ 2,937,827
$
2,967,727
$
2,999,577
Appropriated Fund Balance
$
163,647
$
71,555
$
140,334
$
198,506
$
291,355
$
166,048
$
361,791
$
36,175
$
360,108
$
379,175
$ 664,309
$
703,317
$
703,317
Other Revenue
$
1,391,945
$
1,422,509
$
1,378,627
$
1,338,770
$
1,634,153
$
1,917,133
$
1,885,823
$
1,655,700
$
1,324,500
$
1,324,500
$ 1,220,970
$
1,220,935
$
1,243,785
,REAL PROPERTY TAX REVENUE
$
892,810
$
926,611
$
924,762
$
904,636
$
907,636
$
926,807
$
939,082
$
975,528'
$
975,528
$
9751528
$ 1,0521545
$
1,052,475
$
1,052,475 .
TAX RATE
$
1.255
$
1.255
$
1.256
$
1.256
$
1.260
$
1.260
$
1.260
$
1.260
$
1.260
$
1.260
$ 1.260
$
1.260
$
1.260,
•
Assessed Value
$ 711,607,624
$ 738,548,762
$ 736,522,352
$ 720,251,657
$ 720,212,772
$ 735,563,251
$ 745,064,483
$ 774,198,562
$ 774,198,562
$ 774,028,362
$ 835,355,466
$ 835,297,966
$ 835,297,966
GENERAL PART TOWN FUND (B)
( Excludes Village of Cayuga Heights)
Appropriations
$
1,712,502
$
1,635,806
$
767,474
$
778,076
$
512,272
$
590,249
$
621,153
$
637,722
$
687,722
$
687,722
$ 740,071
$
742,071
$
742,071
•
Appropriated Fund Balance
$
259,395
$
60,965
$
198,011
$
104,113
$
104,340
$
146,488
$
155,140
$
166,879
$
144,879
$
144,879
$ 130,371
$
132,371
$
132,371
Other Revenue
$
1,453,107
$
1,574,841
$
569,463
$
673,963
$
407,932
$
443,76.1
$
466,013
$
470,843
$
542,843
$
542,843
$ 609,700
$
609,70.0
$
609,700
REAL PROPERTY TAX REVENUE
$
-
S
-
$
-
$
-
$
-
$
-
$
-
$
-
$
-
$
-
$ -
$
-
$
-
TAX RATE
$
-
$
-
$
-
$ .
-
$
-
$
-_
$
-
$
-
$
-
$
- _
$ -_
$
-
$
-
Assessed Value
$ 491,623,178
$ 490,900,878
$ 489,951,723
$ 483,175,384
$ 484,230,206
$ 493,661,642
$ 501,834,049
$ 503,802,925
$ 503,802,925
$ 504,748,440
$ 562,622,836
$ 563,585,449
$ 563,585,449
HIGHWAY FUND (DB)
•
( Excludes Village of Cayuga Heights )
•
Appropriations
$
1,146,510
$
1,151,643
$
1,286,624
$
1,434,750
$
1,377,000
$
1,527,630
$
1,733,453
$
1,872,372
$
1,872,372
$
1,872,372
$ 2,058,806
$
2,082,806
$
2,082,806
Appropriated Fund Balance
$
71,140
$
206,705
$
114,724
$
105,650
$
99,900
$
136,837
$
299,192
$
336,069
$
336,069
$
337,007
$ 419,706
$
443,706
$
443,706
Other Revenue
$
1,075,370
$
944,938
$
1,171,900
$
1,329,100
$
1,277,100
$
1,39.0,793
$
1,_43.4,261
$
1,536,069
$
1,536,303
$
1,535,365
$ 1,639,100
$
1,639,100
$
1,639,100
,REAL PROPERTY TAX REVENUE
-
$
-
$
-
$
-
$
-
$
-
$
-
$
-
$
-
$
-
-
S
-
$
- -
-TAX RATE
$
-
$
-
$
-
$
-
$
-
$
-
$
-
$
-
$
-
$
-
$ -
$
-
$
-
Assessed Value
$ 491,623,178
$ 490,900,878
$ 489,951,723
$ 483,175,384
$ 484,230,206
$ 493,661,642
$ 501,834,049
$ 503,802,925
$ 503,802,925
$ 504,748,440
$ 562,622,836
$ 563,585,449
$ 563,585,449
FIRE PROTECTION FUND (SF)
( Excludes Village of Cayuga Heights )
Appropriations
$
1,624,091
$
1,727,623
$
1,869,432
$
1,944,200
$
1,915,678
$
1,958,961
$
1,959,501
$
2,019,075
$
2,019,075
$
2,019,075
$ 2,181,195
$
2,181,302
$
2,181,302
•
Appropriated Fund Balance
$
-
$
-
$
(6,580)
$
-
$
(33,597)
$
2,440
$
(102,008)
$
(44,356)
$
(44,356)
$
(44,356)
$ (14,301)
$
(154,976)
$
(154,976)
Other Revenue
$
104,000
$
191,014
$
247,400
$
23,400
$
26,400
$
38,800
$
39,500
$
28,000
$
28,000
$
28,000
$ 33,400
$
33,400
$
33,400
'REAL PROPERTY TAX REVENUE
$
1,520,091
$
1,536,609
$
1,628,612
$
1,918,800
$
1,922,839
$
1,917,721
$
2,022,009
$
2,035,431
$
2,035,431
$
2,035,431
$ 2,162,096
$
2,302,878
$
2,302,878 '
TAX RATE
$
3.031
$
3.060
$
$
3.253
$
3.877
$
3.887
$
3.885
$
3.836
$
3.836
$
3.836
$
3.836
$ 3.836
$
3.836
$
3.836
Assessed Value
$ 501,556,507
$ 502,230,094
500,684,645
$ 494,856,971
$ 494,640,507
$ 493,661,642
$ 527,113,896
$ 530,612,843
$ 530,612,843
$ 530,612,843
$ 563,632,949
$ 600,333,067
$ 600,333,067
RISK RETENTION FUND (R)
( Includes Village of Cayuga Heights)
•
Appropriations
$
-
$
-
$
3,700
$
26,500
$
16,000
$
16,000
$
11,000
$
11,000
$
11,000
$
11,000
$ 15,000
$
15,000
$
15,000
Appropriated Fund Balance
$
-
$
-
$
(7,500)
$
11,300
$
4,975
$
4,500
$
1,000
$
1,000
$
1,000
$
1,000
$ 4,500
$
4,500
$
4,500
•
Other Revenue
-
$
-
$
11,200
$
15,200
$
11,025
$
11,500
$
10,000
$
10,000
$
10,000
$
10,000
$ 10,500
$
10,500
$
10,500
,REAL PROPERTY TAX REVENUE
_$
$
-
$
-
$
-
$
-
$
-
$
-
$
-
$
-
$
-
$
-
$ -
$
-
$
-
TAX RATE
$
-
$
-
$
-
$
-
$
-
$
-
$
-
_$
-
$
-
$
-
$ -
$
-
$
-
Assessed Value
$ 711,607,624
$ 738,548,762
$ 736,522,352
$ 720,251,657
$ 720,212,772
$ 735,563,251
$ 745,064,483
$ 774,347,562
$ 774,347,562
$ 774,028,362
$ 835,383,466
$ 835,297,966
$ 835,297,966
Page 1
TOWN OF ITHACA
ADOPTED 2004 BUDGET and REAL PROPERTY TAX and BENEFIT ASSESSMENT RATES SUMMARY
BASED ON A PER UNIT OR SERVICE BENEFIT CHARGE
DEBT SERVICE FUND
ADOPTED
ADOPTED
ADOPTED
ADOPTED
ADOPTED
ADOPTED
ADOPTED
TENTATIVE
ADOPTED
TENTATIVE
ADOPTED
FUND
( Includes Village of Cayuga Heights )
I
JPRELIMINARYJ
I
JPRELIMINARYJ
1996
1997
1998
1999
2000
2001
2002
2003
2003
2003
2004
2004
2004
DEBT SERVICE FUND
( Includes Village of Cayuga Heights )
Appropriations
$ 1,045,808 $ 1,071,681 $
1,019,129 $
913,915
$
898,313
$ 838,225
$
802,599
$ 791,973
$ 791,973
$ 791,973
$ 886,676
$ 886,676
$ 886,676
Appropriated Fund Balance
$ - $ - $
529 $
1,800
$
1,799
$ 1,700
$
2,200
$ 2,201
$ 2,201
$ 2,201
$ (1,801)
$ (1,801)
$ (1,801)
Other Revenue
$ 1,045,808 $ 1,071_,681 $
1,018,600 $
912,115
$
896,514
$ 836,525_
$
800_,_399
$ 789,772
$ 789,772
$ 789,772_
$ 888,477
$ 8.88,477
$ 888,47.7
REAL PROPERTY TAX REVENUE
$ - $ - $
- $
-
$
-
$ -
$
-
$ -
$ -
$ -
$ -
$ -
$ -
TAX RATE
$ - $ - $
- $
-
$
-
$
•
Assessed Value
$ 711,607,624 $ 738,548,762 $
_ _
736,522,352 $
. - _
720,251,657
$
_
720,212,772
$ 735,563,251
$ 745,064,483
$ 774,347,562
$ 774,347,562
$ 774,028,362
$ 835,383,466
$ 835,297,966
$ 835,297,966
WATER FUND (F)
•
Appropriations
$
2,116,136
$
1,674,532
$ 1,849,099
$
1,623,308
$ 3,771,859
$ 3,771,859
$ 3,771,859
$ 2,051,655
$ 2,051,855
$ 2,051,855
Appropriated Fund Balance
$
249,056
$
(16,600)
$ 25,173
$
(96,327)
$ (5,182)
$ (5,182)
$ (5,182)
$ 40,810
$ 33,521
$ 33,521
®
Revenues - Other
$
607,084
$
414,532
$ 427,926
$
320,308
$ 2,466,677
$ 2,466,677
$ 2,466,677
$ 510,845
$ 518,334
$ 518,334
Revenues -Estimated Metered Water Sales
$
1,260,000
$
1,260,000
$ 1,396,000
$
1,303,000
$ 1,300,000
$ 1,300,000
$ 1,300,000
$ 1,500,000
$ 1,500,000
$ 1,500,000
•
•
Benefit Assessments
•
Water Available & Connected (WD301)
No. of Units
7,409.21
7,206.15
7,220.84
7,_2.8.2.14
7,363.79
7,3.63.79
7,488.21
7_,4.88.21
7__,488.21
7,488.21
•
-Per Unit Charge (Benefit Assessment Charge)
$
64
$
54
$ 54
$
54
$ 54
$ 54
$ 54
$ 64
$ 65
$ 65-
5',Assessment
.AssessmentRevenues
$
400,100
$
389,132
$ 389,926
$
393,236
$ 397,645
$ 397,645
$ 404,363
$ 479,245
$ 486,734
$ 486,734
Water Not Available (WD300)
,Ad Valoreum Assessment Values
$
337,262,891
$
352,899,791
$ 329,161,691
$ 330,037,842
$ 327,488,163
$ 327,488,163
$ 332,219,944
$ 332,219,944
$ 332,219,944
$ 332,219,944
!Ad Valoreum Revenue
$
6,280
$
6,000
$ 6,000
$
6,000
$ 6,000
,$ 6,000
$ 6,000
$ 6,000
$ 6,000
$ 6,000
®
SEWER FUND (G)
Appropriations
$
1,679,702
$
1,390,712
$ 2,138,591
$
1,713,841
$ 1,485,651
$ 1,485,651
$ 1,485,651
$ 1,931,388
$ 1,931,388
$ 1,931,388
Appropriated Fund Balance
$
(105,640)
$
(362,637)
$ 232,765
$
(195,705)
$ (432,018)
$ (432,018)
$ (432,018)
$ 94,513
$ 94,713
$ 94,713
Revenues - Other
$
459,702
$
1,224,331
$ 565,826
$
569,546
$ 575,669
$ 575,669
$ 575,669
$ - 496,875
$ 496,875
$ 496,875
Revenues -Estimated Metered Sewer Rents
$
1,220,000
$
1,200,000
$ 1,340,000
$
1,340,000
$ 1,340,000
$ 1,340,000
$ 1,340,000
$ 1,340,000
$ 1,340,000
$ 1,340,000
•
Benefit Assessments
•
Sewer Available & Connected (WD301)
No. of Units
7,001.15
6,79.7.60_
6,831.61
6,882.17
6,966.38
6,966.38
7,102.69
7_,102.69
7,102.69
7,102.69
•
'Per Unit Charge (Benefit Assessment Charge)
$
75
$
75
$ 75
$
75
$ 75
$ 75
$ 75
$ 65
$ - 65
$ 65
Assessment Revenues
$
525,087
$
509,821
$ 512,370
$
516,163
$ 522,479
$ 522,479
532,702
$ 461,675
$ 461,675
$ 461,675
_S_ _
Sewer Not Available (WD300)
Ad Valoreum Assessment Values
$
313,504,091
$
376,221,191
$ 356,263,591
$ 359,528,442
$ 357,095,163
$ 357,095,163
$ 332,219,944
$ 364,581,308
$ 364,581,308
$ 364,581,308
:Ad Valoreum Revenue
$
6,739
$
6,700
$ 6,700
$
6,700
$ 6,700
$ 6,700
$ 6,700
$ 6,700
$ 6,700
_$ 6,700
TOWN OF ITHACA
ADOPTED 2004 BUDGET and REAL PROPERTY TAX and BENEFIT ASSESSMENT RATES SUMMARY
Soecial District Assessment Based On A Per $1.000 of Assessed Prooerty Value or Number of Liahtina Units or Liahtina Road Frontaae
FOREST HOME LIGHT DISTRICT (SL1
Appropriations
ADOPTED
ADOPTED
ADOPTED
ADOPTED
ADOPTED
ADOPTED
ADOPTED
TENTATIVE
PRELIMINARY
ADOPTED
TENTATIVE
PRELIMINARY
ADOPTED
FUND
2,300
$
2,300
$
2,829
$
2,829
$
2,829
Appropriated Fund Balance
$
335
$
-
1996
1997
1998
1999
2000
2001
2002
2003
2003
2003
2004
2004
2004
FOREST HOME LIGHT DISTRICT (SL1
Appropriations
$
2,250
$
2,225
$ 2,100
$ 2,300
$
2,600
$ 2,600
$
2,000
$
2,300
$
2,300
$
2,300
$
2,829
$
2,829
$
2,829
Appropriated Fund Balance
$
335
$
-
$ -
$ -
$
358
$ -
$
700
$
-
$
-
$
-
$
-
$
-
$
-
Other Revenue
$
-
$
45
$ -
$ -
$
-
$ -
$
1,300
$
2,300
$
2,300
$
2,300
$
2,829
$
2,829
$
2,829
(REAL PROPERTY TAX REVENUE
$
1,915
$
_
2,180
$ 2,100
$ 2,300
$
2,242
$ 2,600
$
1,300
$
2,300
$
2,300
$
2,300_
$
2,829
$
4 2,829
$
2,829
!DISTRICT TAX RATE_ _
$
0.112
$
0.128
$ 0.123
$ 0.134
$
0.130
$ 0.148
$
0.074
$
0.130
$
0.130
$
0.130
$
0.130
$
0.130
$
0.130 ;
Assessed Values
$17,150,687
0.271
$17,075,959
$17,099,032
$17,221,504
$17,249,777
$
$17,557,149
$17,464,761
0.319
$17,687,900
0.319
$
17,687,900
$17,687,900
$
$21,758,900
$
$
21,758,900
$21,758,900
$
GLENSIDE LIGHT DISTRICT (SI -2)
Appropriations
$
890
$
850
$
850
$
900
$
1,000
$
1,000
$
900
$
825
$
825
$
825
$
994
$
994
$
994
Appropriated Fund Balance
$
330
$
-
$
-
$
-
$
186
$
-
$
200
$
-
$
-
$
-
$
-
$
-
$
-
Other Revenue
$
-
$
20
$
-
$
-
$
-
$
-
$
700
$
825
$
825
$
825
$
994
$
994
$
994
REAL PROPERTY TAX REVENUEµ
$
560
$
830
$
r 850
-$
900
- $
814
825
$
1,000
$
700
825
$
1,200
$
825
$
1,200
_ -$
994
$
994
$
994,
,
(DISTRICT TAX RATE q
$
0.226
$
0.335
$
0.346
$
0.365
$
0.330
$
0.390
$
0.271
$_
0.319
$
0.319
$
0.319
$
0.319
$
0.319
$
0.319
Assessed Values
$
_ _
2,476,800
$
2,476,800
$
2,457,300
$
2,467,300
$
2,467,300
$
_
2,566,600
$
2,584,360
$
2,583,000
$
2,583,000
$
2,583,000
$
3,117,500
$
3,117,500
$
3,117,500
RENWICK HEIGHTS LIGHT DISTRICT (SI -3)
Appropriations
$
1,290
$
1,190
$
1,100
$
1,800
$
1,850
$
1,850
$
1,300
$
1,200
$
1,200
$
1,200
$
1,203
$
1,203
$
1,203
• Appropriated Fund Balance
$
140
$
300
$
300
$
-
$
(363)
$
300
$
1,000
$
-
$
-
$
-
$
-
$
-
$
-
Other Revenue
$-
-
$
30
$
-
$
-
$
-
$
-
$
300
$
1,200
$
1,200
$
1,200
$
1,203
$
1,203
$
1,203
EAL PROPERTY TAX REVENUE -
_ V J$
_ 1,1.50
--$
_ . - 8606_°$_.
$
- -800
$
10
,80
$
2,21
$-
1,550
$
300_
_$
1,200
_
$
_ 1_,200
$
1,200
'$
1,203
$
_
1,203
$
-- _ 1,203,
DISTRICT TAX RATE_$
T 0.151
$
0.116
$
0.110_
$
0.250
$
0.310
$
0.213
$
0.041
$
0.166
$
0.166
$
0,166
$
0.166
$
0.166
$
0.166
Assessed Values
$
7,595,609
$
7,412,576
$
7,244,843
$
7,190,910
$
7,139,977
$
7,285,144
$
7,283,990
$
7,248,000
$
7,248,000
$
7,248,000
$
7,248,000
$
7,248,000
$
7,248,000
EASTWOOD COMMONS LIGHT DISTRICT (SL4)
Appropriations
$
2,900
$
3,325
$
2,200
$
2,600
$
2,900
$
2,900
$
2,500
$
2,300
$
2,300
$
2,300
$
2,571
$
2,571
$
2,571
Appropriated Fund Balance
$
300
$
1,000
$
1,300
$
-
$
(152)
$
-
$
700
$
-
$
-
$
-
$
-
$
-
$
-
Other Revenue
$
-
$
75
$
-
$
-
$
-
$
-
$
1,800
$
2,300
$
2,300
$
2,300
$
2,571
$
2,571
$
2,571
;REAL PROPERTY TAX REVENUE
$
2,600
$
2,250
$
y 900
$
2,600
$
3,052
$
2,900
$
1,800
$4
2,360
$
2,300
$
2,300
$
2,571
$
2,571
$
2,571
!DISTRICT TAX RATE_
$
0.411
$
0.357
$
0.143
$
0.443
$
0.520
$
0.496
$
0.293
$
0.374
$
0.374
$
0.374
$
0.374
$
0.374
$
0.374
Assessed Values
$
6,320,700
$
6,305,500
$
6,305,500
$
5,873,000
$
5,869,000
$
5,848,200
$
6,152,200
$
6,157,200
$
6,157,200
$
6,157,200
$
6,873,200
$
6,873,200
$
6,873,200
• CLOVER LANE LIGHT DISTRICT (SL5
• !DISTRICT TAX RATE _ - _ _ $ _ _ _0.150 $ 0.212 $ 0.219 $ 0.292 $ 0.230 $ 0.227 $ 0.147 $ 0.195 $ 0.195 $ 0.195 $ 0.195 $ 0.195 $ 0.195
® Assessed Values $ 1,332,800 $ 1,345,800 $ 1,370,200 $ 1,370,200 $ 1,338,500 $ 1,357,600 $ 1,357,600 $ 1,359,600 $ 1,359,600 $ 1,359,600 $ 1,472,600 $ 1,472,600 $ 1,472,600
® Page 3
.J
Appropriations
$
320 $
300 $
300 $
400 $
400 $
400 $
300
$
265 $
265 $
265 $
287 $
287 $ 287
Appropriated Fund Balance
$
120 $
- $
- $
- $
92 $
92 $
100
$
- $
- $
- $
- $
- $ -
Other Revenue
$
- $15
$
- $
- $
-
- $
200
$
265 $
265 $
265 $
287 $
287 $ 287
REAL PROPERTY TAX REVENUE
$
200 $
285 $
300 $
400 $
_$
308 $
308 $
200
$
265 $
265 $
265 $
287 $
287 $ 287
• !DISTRICT TAX RATE _ - _ _ $ _ _ _0.150 $ 0.212 $ 0.219 $ 0.292 $ 0.230 $ 0.227 $ 0.147 $ 0.195 $ 0.195 $ 0.195 $ 0.195 $ 0.195 $ 0.195
® Assessed Values $ 1,332,800 $ 1,345,800 $ 1,370,200 $ 1,370,200 $ 1,338,500 $ 1,357,600 $ 1,357,600 $ 1,359,600 $ 1,359,600 $ 1,359,600 $ 1,472,600 $ 1,472,600 $ 1,472,600
® Page 3
.J
TOWN OF ITHACA
ADOPTED 2004 BUDGET and REAL PROPERTY TAX and BENEFIT ASSESSMENT RATES SUMMARY
Special District Assessment Based On A Per $1.000 of Assessed Pronertv Value or Number of Liahtina Units or Liahtina Road Frontage
WINNERS CIRCLE LIGHT DISTRICT (SI -6
Appropriations
ADOPTED
ADOPTED
ADOPTED
ADOPTED
ADOPTED
ADOPTED
ADOPTED
TENTATIVE
PRELIMINARY
ADOPTED
TENTATIVE
PRELIMINARY
ADOPTED
FUND
775
1
1
I
I
$
893
1
893
$
893
Appropriated Fund Balance
$
20
1996
1997
1998
1999
2000
2001
2002
2003
2003
2003
2004
2004
2004
WINNERS CIRCLE LIGHT DISTRICT (SI -6
Appropriations
$
960
$
865
$
750
$ 1,000
$
1,000
$
1,000
$
800
$
775
$
775
$
775
$
893
$
893
$
893
Appropriated Fund Balance
$
20
$
200
$
150
$ -
$
(3)
$
100
$
300
$
-
$
-
$
-
$
-
$
-
$
-
Other Revenue
$
-
$2
-
$
-
$ -
$
-
$
-
$
500
$
775
$
775
$
775
$
893
$
893
$
893
;REAL PROPERTY TAX REVENUE- - - __
_-. _ $
-940
-
'$'
_ 640
_ $
600
-$ _. _ 1,000-
_-$-- _
--1,012
$f
900
$ - -
_ --500
$-
775
$ y
_ --7--7-5
$---.
_ 7--7--5-,
$
-8-93-,$-
$
_ -893
$
893 ;
DISTRICT TAX RATE
$0.602
$
$
0.417
$
0.391
$ 0.618
$
0.620
$
0.551
$
0.306
$
0.475
$
0.475
$
0.475
$
0.475
$
0.475
$
0.475,
Assessed Values
$ 11 1,560,800
0.222
$1,535,800
0.222
$1,535,800
8,460.00
$1,617,000
$1,633,000
3,821.10
$1,633,000
3,821.10
$1,633,000
3,821.10
$1,633,000
3,721.10
$
1,633,000
$1,633,000
$1,880,000
$
1,880,000
$1,880,000
BURLEIGH DRIVE LIGHT DISTRICT (SL7)
Appropriations
$
945
$
960
$
900
$
1,100
$
1,300
$
1,300
$
1,200
$
825
$
825
$
825
$
825
$
825
$
825
Appropriated Fund Balance
$
20
$
-
$
100
$
-
$
-
$
-
$
250
$
-
$
-
$
-
$
-
$
-
$
-
Other Revenue
$
-
$
15
$
-
$
-
$
-
$
-
$950
$
$
825
$
825
$
825
$
825
$
825
$
825
REALPROPERTYTAX REVENUE
$
925
$
945
$
806--$
2,100
1,100
$
--_ 1 ,300
$
1,300
$
_.
-950
$
825
_$. -_
--- 825
$
825
$
825
-$'
825
$
-` 825
DISTRICT TAX RATE
$
0.242
$
0.247
$
0.209
$
0.288
$
0.349
$
0.349
$
0.255
$
0.222
$
0.222
$
0.222
$
0.222
$
0.222
$
0.222
Assessed Front Property Footage
8,460.00
3,821.40
8,460.00
3,821.10
7,010.00
3,821.10
7,010.00
3,821.10
7,010.00
3,721.10
6,730.00
3,721.10
3,721.10
3,721.10
3,721.10
3,721.10
3,721.10
3,721.10
3,721.10
WEST HAVEN LIGHT DISTRICT (SL8)
Appropriations
$
3,240
$
3,190
$
3,200
$
4,000
$
4,000
$ 4,000
$
3,200
$
3,100
$
3,100
$
3,100
$
3,103
$ 3,103
$
3,103
Appropriated Fund Balance
$
230
$
1,000
$
(409)
$
-
$
(175)
$ 400
$
1,100
$
-
$
-
$
-
$
-
$ -
$
-
Other Revenue
$
-
$
100
$
-
$
-
$-
$ -
$
2,100
$
3,100
$
3,100
$
3,100
$
3,103
$ 3,103
$
3,103
_
REAL PROPERTY TAX REVENUE J
$
3,010
$
2,090
$
3,609
$
4,000
$
4,145
$ 3,600
$
2,100
$
3,100
$
3,100
$
- 3,100
$
3,103
$ 3,103
$
3,103 !
DISTRICT TAX RATE
0.34
$
0.210
$
0.362
$
0.469
$
0.490
$ 0.426
$
0.248
$
0.442
$
0.442
$
0.442
$
0.461
$y 0.461
$
0.461
Assessed Number of Lighting Units
8-,,,738,-0
.0
9,970.00
9,970.00
8,520.00
8,460.00
8,460.00
8,460.00
7,010.00
7,010.00
7,010.00
6,730.00
6,730.00
6,730.00
CODDINGTON ROAD LIGHT DISTRICT (SI -9)
• DISTRICT TAX RATE $ 0.132 $ 0.229 $ 0.239 $ 0.279 $ 0.280 $ 0.306 $ 0.217 $ 0.244 $ 0.244 $ 0.244 $ 0.254 $ 0.254 $ 0.254
Assessed Number of Lighting Units 7,557.00 7,527.00 7,527.00 7,527.00 7,527.00 7,527.00 7,368.00 7,368.00 7,368.00 7,368.00 7,092.00 7,092.00 7,092.00
. Page 4
Appropriations
$
1,750 $
1,885
$
1,900 $
2,100 $
2,300 $
2,300 $
1,900
$
1,800 $
1,800 $
1,800 $
1,800 $
1,800 $ 1,800
Appropriated Fund Balance
$
750 $
120
$
100 $
- $
192 $
- $
300
$
- $
- $
- $
- $
- $ -
Other Revenue
$
- $
40
$
- $
- $
- $
- $
1,600
$
1,800 $
1,800
12800 $
1,800---$
1,800 1,800
®
iREAL PROPERTY TAX REVENUE
$
1,000 $
1,725
$
1,800 $
2,100 $
2,108 $
2,300 $
1,600
$
1,800 $
-$
1,800 $
_ _
1,800 $
1,800 $
---$
1,800 $ 1,800
• DISTRICT TAX RATE $ 0.132 $ 0.229 $ 0.239 $ 0.279 $ 0.280 $ 0.306 $ 0.217 $ 0.244 $ 0.244 $ 0.244 $ 0.254 $ 0.254 $ 0.254
Assessed Number of Lighting Units 7,557.00 7,527.00 7,527.00 7,527.00 7,527.00 7,527.00 7,368.00 7,368.00 7,368.00 7,368.00 7,092.00 7,092.00 7,092.00
. Page 4
Town of Ithaca
Assessed Taxable Real Property Valuations
1996-2004
$840,000,000
$820,000,000
$800,000,000
N
c
0
$780,000,000
m
N $760,000,000
d
N
Q
$740,000,000
$720,000,000
$700,000,000
1996 1997 1998 1999 2000 2001 2002 2003 2004
Year
•
•
•
•
•
•
•
•
•
•
0 GENERAL TOWNWIDE FUND
•
•
•
E
•
•
•
•
THE GENERAL TOWNWIDE FUND
The General Fund is the general operating fund of the Town of Ithaca. It is used to
account for revenues and expenditures that are not required to be accounted for and
transacted for in other specific funds. (E.g. Special District Funds such as lighting, and
Special Revenue Funds such as Highway, Water, Sewer and Fire Protection.)
The General Fund budget is categorized into the following major operations. (See pie
chart illustrations)
General Government Support Services
Employee Benefits
Highway Garage Maintenance, Transportation and Administration
Town Parks and Community Services
Public Works Facility Serial Bond Obligation
BUDGETARY ACCOUNTS
The General Fund has many sources of revenue and multi-purpose expenditures. This
explains the need for most governments to maintain numerous revenue and expense
account ledgers. In these general ledger accounts the Town's annual financial plan, or
budget is recorded. Throughout the year the annual operating budget is monitored and
may be subsequently modified to meet changes in current community needs. Changes in
the budget may also occur due to unanticipated events or emergencies. Modifications
made to the budget require the approval and authorization of the Town Board. These
budgetary controls or management controls are an integral part of the Town Board's
authority and responsibility in keeping expenditures within the limitations of available
appropriations and revenues.
GENERAL (PROPRIETY) ACCOUNTS
It is in these accounts that actual financial results of operations are recorded. Assets,
liabilities, fund equity (commonly referred to as fund balance) including revenue and
expenses accounts are used in the recording and accounting for actual financial results.
These accounts are distinct from budgetary accounts.
TOWN OF ITHACA
FISCAL BUDGET - GENERAL FUND TOWNWIDE
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SCHEDULE 1-A
APPROPRIATIONS
GENERAL GOVERNMENT SUPPORT
TOWN BOARD
PERSONAL SERVICES
A1010.100 REGULAR
TOTAL PERSONAL SERVICES
CONTRACTUAL EXPENSE
A1010.400 CONTRACTUAL
A1010.410 CONFERENCES & MILEAGE
TOTAL CONTRACTUAL EXPENSE
TOTAL TOWN BOARD
JUSTICES
PERSONAL SERVICES
A1110.100 REGULAR
TOTAL PERSONAL SERVICES
CONTRACTUAL EXPENSE
A1110.400 CONTRACTUAL
A1110.405 LAWBOOKS
A1110.408 POSTAGE
A1110.410 CONFERENCES & MILEAGE
A1110.415 TELEPHONE
A1110.420 DUES & PUBLICATIONS
A1110.482 NYS FEES, FINES & COLLECTIONS
TOTAL CONTRACTUAL EXPENSE
TOTAL JUSTICES
SUPERVISOR
PERSONAL SERVICES
A1220.100 SUPERVISOR
A1220.101 DEPUTY SUPERVISOR
TOTAL PERSONAL SERVICES
EQUIPMENT/CAPITAL OUTLAY
A1220.200 EQUIPMENT
TOTAL EQUIPMENT/CAPITAL OUTLAY
CONTRACTUAL EXPENSE
A1220.400 CONTRACTUAL
A1220.410 CONFERENCES & MILEAGE
A1220.420 DUES & PUBLICATIONS
A-1
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
42,630.56 41,100.00 45,500.00 45,500.00
42,630.56 41,100.00 45,500.00 45,500.00
801.88 500.00 200.00 200.00
2,076.98 2,000.00 2,600.00 2,600.00
2,878.86 2,500.00 2,800.00 2,800.00
45,509.42 43,600.00 48,300.00 48,300.00
97,076.45 101,000.00 117,300.00 117,300.00
97 076.45 101,000.00 117,300.00 117,300.00
2,563.67
1,800.00
1,800.00
1,800.00
1,180.70
750.00
750.00
750.00
1,619.44
1,700.00
1,700.00
1,700.00
752.68
1,000.00
1,000.00
1,000.00
992.10
1,200.00
1,200.00
1,200.00
272.00
230.00
230.00
230.00
127,898.50
115,000.00
115,000.00
115,000.00
135,279.09
121,680.00
121,680.00
121,680.00
232,355.54 222,680.00 238,980.00 238,980.00
32,762.64 33,700.00 43,000.00 43,000.00
12,311.69 13,400.00 5,000.00 5,000.00
45,074.33 47,100.00 48,000.00 48,000.00
247.15 0.00 0.00 0.00
247.15 0.00 0.00 0.00
536.75 500.00 100.00 100.00
1,870.98 2,000.00 1,000.00 1,000.00
96.00 100.00 100.00 100.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-A
APPROPRIATIONS
ADOPTED 11/06/03
TOTAL CONTRACTUAL EXPENSE
TOTAL SUPERVISOR
ACCOUNTING/BOOKKEEPING
PERSONAL SERVICES
A1316.100 REGULAR
TOTAL PERSONAL SERVICES
EQUIPMENT/CAPITAL OUTLAY
A1316.200 EQUIPMENT
TOTAL EQUIPMENT/CAPITAL OUTLAY
CONTRACTUAL EXPENSE
A1316.400 CONTRACTUAL
A1316.408 POSTAGE
A1316.410 CONFERENCES & MILEAGE
A1316.421 EMPLOYEE EDUCATION
TOTAL CONTRACTUAL EXPENSE
TOTAL ACCOUNTING/BOOKKEEPING
INDEPENDENT AUDITORS
CONTRACTUAL EXPENSE
A1320.400 SCIRABBA WALKER & CO.,LLP
TOTAL CONTRACTUAL EXPENSE
TOTAL INDEPENDENT AUDITORS
TAX COLLECTION
PERSONAL SERVICES
A1330.100 REGULAR
TOTAL PERSONAL SERVICES
CONTRACTUAL EXPENSE
A1330.400 CONTRACTUAL
A1330.401 PRINTING TAX BILLS
A1330.408 POSTAGE
A1330.410 CONFERENCES & MILEAGE
A1330.420 DUES & PUBLICATIONS
TOTAL CONTRACTUAL EXPENSE
TOTAL TAX COLLECTION
BUDGET
PERSONAL SERVICES
A1340.100 REGULAR
TOTAL PERSONAL SERVICES
CONTRACTUAL EXPENSE
A1340.400 CONTRACTUAL
A-2
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
2,503.73 2,600.00 1,200.00 1,200.00
47,825.21 49,700.00 49,200.00 49,200.00
35,081.67 37,200.00 39,800.00 39,800.00
35,081.67 37,200.00 39,800.00 39,800.00
247.15 0.00 0.00 0.00
247.15 0.00 0.00 0.00
146.84
150.00
200.00
200.00
511.42
650.00
500.00
500.00
195.35
50.00
100.00
100.00
564.75
0.00
250.00
250.00
1,418.36
850.00
1,050.00
1,050.00
36,747.18 38,050.00 40,850.00 40,850.00
4,787.75 5,000.00 6,200.00 6,200.00
4,787.75 5,000.00 6,200.00 6,200.00
4,787.75 5,000.00 6,200.00 6,200.00
13,507.71 15,200.00 13,100.00 13,100.00
13,507.71 15,200.00 13,100.00 13,100.00
263.69
150.00
150.00
150.00
854.75
900.00
1,000.00
1,000.00
2,410.27
3,000.00
3,000.00
3,000.00
104.72
500.00
0.00
0.00
20.00
25.00
0.00
0.00
3,653.43
4,575.00
4,150.00
4,150.00
17,161.14 19,775.00 17,250.00 17,250.00
56,282.26 58,500.00 62,100.00 62,100.00
56,282.26 58,500.00 62,100.00 62,100.00
321.16 100.00 300.00 300.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-A
APPROPRIATIONS
ADOPTED 11/06/03
A1340.410 CONFERENCES & MILEAGE
A1340.420 PUBLICATIONS/DUES
TOTAL CONTRACTUAL EXPENSE
TOTAL BUDGET
TOWN CLERK
PERSONAL SERVICES
A1410.100 REGULAR
A1410.102 OVERTIME
TOTAL PERSONAL SERVICES
CONTRACTUAL EXPENSE
A1410.400 CONTRACTUAL
A1410.403 RECORDING & FILING FEES
A1410.408 POSTAGE
A1410.409 LEGAL ADS
A1410.410 CONFERENCES & MILEAGE
A1410.412 LEXIS NEXIS SUBSCRIPTION
A1410.420 DUES & PUBLICATIONS
TOTAL CONTRACTUAL EXPENSE
TOTAL TOWN CLERK
TOWN ATTORNEY
CONTRACTUAL EXPENSE
A1420.400 BARNEY GROSSMAN DUBOW & MARCUS
TOTAL CONTRACTUAL EXPENSE
TOTAL TOWN ATTORNEY
HUMAN RESOURCES
PERSONAL SERVICES
A1430.100 REGULAR
TOTAL PERSONAL SERVICES
EQUIPMENT/CAPITAL OUTLAY
A1430.200 EQUIPMENT
TOTAL EQUIPMENT/CAPITAL OUTLAY
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
1,023.98 187.34 1,000.00 1,000.00
512.51 400.00 300.00 300.00
1,857.65 687.34 1,600.00 1,600.00
58,139.91 59,187.34 63,700.00 63,700.00
82,860.16 111,200.00 115,000.00 115,000.00
0.00 0.00 0.00 0.00
82,860.16 111,200.00 115,000.00 115,000.00
729.50
1,100.00
1,100.00
1,100.00
0.00
0.00
1,000.00
1,000.00
1,225.15
1,500.00
1,500.00
1,500.00
2,344.29
1,800.00
1,800.00
1,800.00
1,199.14
1,500.00
1,500.00
1,500.00
0.00
2,000.00
2,000.00
2,000.00
215.00
100.00
200.00
200.00
5,713.08
8,000.00
9,100.00
9,100.00
88,573.24 119,200.00 124,100.00 124,100.00
32,811.78 35,000.00 27,000.00 27,000.00
32,811.78 35,000.00 27,000.00 27,000.00
32,811.78 35,000.00 27,000.00 27,000.00
83,558.28 89,900.00 103,500.00 103,500.00
83,558.28 89,900.00 103,500.00 103,500.00
247.15 0.00 0.00 0.00
247.15 0.00 0.00 0.00
CONTRACTUAL
EXPENSE
A1430.400
CONTRACTUAL
405.64
200.00
600.00
600.00
A1430.408
POSTAGE
372.90
400.00
500.00
500.00
A1430.410
CONFERENCES & MILEAGE
1,390.27
1,400.00
1,800.00
1,800.00
A1430.420
DUES & PUBLICATIONS
684.90
550.00
600.00
600.00
A1430.421
EMPLOYEE EDUCATION & TRAINING
3,093.00
3,000.00
3,000.00
3,000.00
A1430.422
EMPLOYEE MEDIATION SERVICES
300.00
200.00
500.00
500.00
A1430.423
EMPLOYMENT ADS
234.50
1,500.00
1,500.00
1,500.00
A1430.424
EMPLOYEE ASSISTANCE PROGRAM
0.00
0.00
1,100.00
1,100.00
A1430.425
HEALTH & WELLNESS
5.49
100.00
100.00
100.00
A1430.429
MANAGEMENT PROGRAMS
1,121.78
2,500.00
2,500.00
2,500.00
A-3
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-A
APPROPRIATIONS
ADOPTED 11/06/03
A1430.430 PAYROLL SERVICES
TOTAL CONTRACTUAL EXPENSE
TOTAL HUMAN RESOURCES
ENGINEER
PERSONAL SERVICES
A1440.100 REGULAR
TOTAL PERSONAL SERVICES
EQUIPMENT/CAPITAL OUTLAY
A1440.200 EQUIPMENT
TOTAL EQUIPMENT/CAPITAL OUTLAY
CONTRACTUAL EXPENSE
A1440.400 CONTRACTUAL
A1440.404 VEHICLE MAINTENANCE
A1440.406 CIVITAS STUDENTS
A1440.408 POSTAGE
A1440.410 CONFERENCES & MILEAGE
A1440.420 DUES & PUBLICATIONS
A1440.440 PERSONAL PROTECTIVE EQUIPMENT
A1440.450 GASOLINE
TOTAL CONTRACTUAL EXPENSE
TOTAL ENGINEER
ELECTION MACHINE CUSTODIANS
CONTRACTUAL EXPENSE
A1450.400 CONTRACTUAL
A1450.401 SUPPLIES
A1450.402 ELECTION INSPECTORS
A1450.403 ELECTION MACHINE CUSTODIANS
A1450.408 POSTAGE & MAILING
TOTAL CONTRACTUAL EXPENSE
TOTAL ELECTION MACHINE CUSTODIANS
RECORDS MANAGEMENT
PERSONAL SERVICES
A1460.100 REGULAR
A1460.110 GRANT PERSONNEL
TOTAL PERSONAL SERVICES
EQUIPMENT/CAPITAL OUTLAY
A1460.200 EQUIPMENT
TOTAL EQUIPMENT/CAPITAL OUTLAY
CONTRACTUAL EXPENSE
A1460.400 CONTRACTUAL
A1460.410 CONFERENCES & MILEAGE
A-4
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
125.28 200.00 300.00 300.00
7,733.76 10,050.00 12,500.00 12,500.00
91,539.19 99,950.00 116,000.00 116,000.00
190 053.32 179,900.00 175,500.00 175,500.00
190,053.32 179,900.00 175,500.00 175,500.00
20,038.95 41,000.00 3,500.00 3,500.00
20 038.95 41,000.00 3,500.00 3,500.00
2,356.32
2,000.00
2,000.00
2,000.00
1,884.67
500.00
500.00
500.00
3,986.37
4,800.00
6,000.00
6,000.00
479.86
100.00
250.00
250.00
477.50
4,100.00
3,600.00
3,600.00
323.00
1,055.00
1,100.00
1,100.00
300.00
900.00
900.00
900.00
1,589.91
1,200.00
1,200.00
1,200.00
11,397.63
14,655.00
15,550.00
15,550.00
221 489.90 235,555.00 194,550.00 194,550.00
962.41
1,000.00
2,000.00
2,000.00
0.00
500.00
1,000.00
1,000.00
7,739.82
10,800.00
16,200.00
16,200.00
1,711.62
2,500.00
2,500.00
2,500.00
0.00
0.00
850.00
850.00
10 413.85
14,800.00
22,550.00
22,550.00
10,413.85 14,800.00 22,550.00 22,550.00
41,063.59 45,100.00 48,100.00 48,100.00
0.00 0.00 7,200.00 7,200.00
41,063.59 45,100.00 55,300.00 55,300.00
0.00 0.00 0.00 0.00
0.00 0.00 0.00 0.00
1,535.15 0.00 1,500.00 1,500.00
40.73 500.00 500.00 500.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-A
APPROPRIATIONS
ADOPTED 11/06/03
A1460.425 LAW PUBLICATIONS & LIBRARY
A1460.445 RECORD STORAGE SUPPLIES & MATERIALS
A1460.446 DATABASE CONSULTANT
A1460.447 CODIFICATION UPDATING & MAINTENANCE
TOTAL CONTRACTUAL EXPENSE
TOTAL RECORDS MANAGEMENT
BUILDINGS & GROUNDS
PERSONAL SERVICES
A1620.100 REGULAR
A1620.101 HIGHWAY LABOR
A1620.102 OVERTIME
TOTAL PERSONAL SERVICES
EQUIPMENT/CAPITAL OUTLAY
A1620.200 EQUIPMENT
A1620.241 TWN HALL FURNITURE & FURNISHINGS
A1620.243 TWN HALL BLDG AUDIO SYSTEM
A1620.246 TWN HALL EXTERIOR BLDG WORK
TOTAL EQUIPMENT/CAPITAL OUTLAY
CONTRACTUAL EXPENSE
A1620.400 CONTRACTUAL
A1620.403 TRASH COLLECTION
A1620.404 SECURITY
A1620.409 WATER & SEWER
A1620.410 ELECTRIC & GAS
A1620.411 MECHANICAL MAINTENANCE & REPAIRS
A1620.412 CLEANING SERVICES
A1620.413 BLDG & GROUNDS MAINTENANCE
A1620.431 ELEVATOR MAINTENANCE CONTRACT
A1620.440 PERSONAL PROTECTIVE EQUIPMENT
TOTAL CONTRACTUAL EXPENSE
TOTAL BUILDINGS & GROUNDS
CENTRAL COMM SYSTEMS
CONTRACTUAL EXPENSE
A1650.410 TELEPHONES
TOTAL CONTRACTUAL EXPENSE
TOTAL CENTRAL COMM SYSTEMS
CENTRAL STOREROOM
CONTRACTUAL EXPENSE
A1660.400 GENERAL OFFICE SUPPLIES
TOTAL CONTRACTUAL EXPENSE
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
3,964.83
2,100.00
0.00
0.00
0.00
0.00
3,000.00
3,000.00
0.00
0.00
2,500.00
2,500.00
0.00
0.00
7,500.00
7,500.00
5,540.71
2,600.00
15,000.00
15,000.00
46 604.30 47,700.00 70,300.00 70,300.00
32,586.43
26,100.00
27,500.00
27,500.00
3,619.45
7,400.00
8,000.00
8,000.00
2,323.68
2,000.00
2,000.00
2,000.00
38,529.56
35,500.00
37,500.00
37,500.00
0.00
1,000.00
700.00
700.00
945.44
1,312.66
5,000.00
5,000.00
3,305.00
500.00
0.00
0.00
7,378.00
0.00
0.00
0.00
11,628.44
2,812.66
5,700.00
5,700.00
4,942.81
3,000.00
2,000.00
2,000.00
1,231.82
1,200.00
1,500.00
1,500.00
621.00
700.00
800.00
800.00
2,387.52
2,500.00
2,500.00
2,500.00
27,114.24
45,000.00
30,000.00
30,000.00
2,732.04
5,000.00
2,500.00
2,500.00
12,114.51
15,000.00
15,000.00
15,000.00
3,830.56
5,000.00
2,500.00
2,500.00
1,856.47
1,000.00
1,500.00
1,500.00
379.09
200.00
500.00
500.00
57,210.06
78,600.00
58,800.00
58,800.00
107 368.06 116,912.66 102,000.00 102,000.00
5,013.09 5,200.00 4,800.00 4,800.00
5,013.09 5,200.00 4,800.00 4,800.00
5,013.09 5,200.00 4,800.00 4,800.00
4,657.22 3,500.00 3,500.00 3,500.00
4,657.22 3,500.00 3,500.00 3,500.00
TOTAL CENTRAL STOREROOM 4,657.22 3,500.00 3,500.00 3,500.00
A-5
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-A
APPROPRIATIONS
ADOPTED 11/06/03
CENTRAL PRINT & MAIL
CONTRACTUAL EXPENSE
A1670.402 COPIER PAPER
A1670.403 COPIER SUPPLIES
A1670.407 POSTAGE METER LEASE PURCHASE
A1670.412 NEWSLETTER
TOTAL CONTRACTUAL EXPENSE
TOTAL CENTRAL PRINT & MAIL
INFORMATION TECHNOLOGY
EQUIPMENT/CAPITAL OUTLAY
A1680.200 HARDWARE
A1680.205 NETWORK ADMINISTRATION
TOTAL EQUIPMENT/CAPITAL OUTLAY
CONTRACTUAL EXPENSE
A1680.401 MAINTENANCE & REPAIRS
A1680.402 XEROX COPIER DC470
A1680.403 XEROX COPIER 5614ZSD
A1680.404 XEROX COPIER 2515 ENG
A1680.405 XEROX COPIER DC230
A1680.421 EMPLOYEE EDUCATION & TRAINING
A1680.461 TOOLS & SUPPLIES
A1680.481 WEB SERVICES
A1680.491 SOFTWARE
A1680.492 GIS SUPPORT
A1680.494 WLB ANNUAL SUPPORT
A1680.495 NETWORK SUPPORT
A1680.496 DSL/ISP/CLARITY CONNECT
A1680.498 SUPPORT JUSTICE COURT
A1680.499 SUPPORT HUMAN RESOUCES
TOTAL CONTRACTUAL EXPENSE
TOTAL INFORMATION TECHNOLOGY
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
867.93
600.00
600.00
600.00
0.00
500.00
600.00
600.00
1,644.00
1,700.00
1,700.00
1,700.00
4,674.65
3,800.00
4,800.00
4,800.00
7,186.58
6,600.00
7,700.00
7,700.00
7,186.58 6,600.00 7,700.00 7,700.00
6,946.00 11,472.91 3,020.00 3,020.00
599.42 0.00 3,800.00 3,800.00
7,545.42 11,472.91 6,820.00 6,820.00
1,091.70
100.00
100.00
100.00
3,527.51
3,700.00
3,700.00
3,700.00
355.98
300.00
300.00
300.00
150.00
0.00
120.00
120.00
1,095.35
800.00
1,400.00
1,400.00
0.00
0.00
600.00
600.00
0.00
100.00
100.00
100.00
4,153.98
2,000.00
1,720.00
1,720.00
7,969.49
7,320.00
0.00
0.00
156.25
1,525.00
2,460.00
2,460.00
1,250.00
1,200.00
1,350.00
1,350.00
4,369.51
1,300.00
4,200.00
4,200.00
2,428.97
2,400.00
2,400.00
2,400.00
0.00
600.00
600.00
600.00
0.00
900.00
600.00
600.00
26 548.74
22,245.00
19,650.00
19,650.00
34 094.16 33,717.91 26,470.00 26,470.00
SPECIAL ITEMS
A1910.400
LIABILITY INSURANCE
23,564.46
28,500.00
34,000.00
34,000.00
A1920.400
MUNICIPAL ASSOCIATION DUES
2,166.00
3,000.00
3,000.00
3,000.00
A1920.401
TAXES/ASSESSMENTS ON TOWN REAL PROPERTY
24,870.30
28,200.00
4,200.00
4,200.00
A1990.400
CONTINGENT ACCOUNT
0.00
10,000.00
10,000.00
10,000.00
TOTAL SPECIAL
ITEMS
50 600.76
69,700.00
51,200.00
51.200.00
TOTAL GENERAL GOVERNMENT SUPPORT
PUBLIC SAFETY
G
POLICE CROSSING GUARDS
PERSONAL SERVICES
A3120.100 REGULAR
A-6
1,142,878.28 1,225,827.91 1,214,650.00 1,214,650.00
14,803.57 18,500.00 16,300.00 16,300.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-A
APPROPRIATIONS
ADOPTED 11/06/03
TOTAL PERSONAL SERVICES
CONTRACTUAL EXPENSE
A3120.400 CONTRACTUAL
TOTAL CONTRACTUAL EXPENSE
TOTAL POLICE CROSSING GUARDS
TRAFFIC & TRANSPORTATION PLANNING
CONTRACTUAL EXPENSE
A3310.400 WARREN ROAD SIGNAL
A3310.401 TRAFFICE CONTROL AT BOYTON SCHOOL
A3310.402 SHERIFF PATROL
A3310.403 SCHOOL RESOURCE OFFICER
A3310.406 TRANSPORTATION PLAN
TOTAL CONTRACTUAL EXPENSE
TOTAL TRAFFIC & TRANSPORTATION PLANNING
nnr_ rnuroni
PERSONAL SERVICES
A3510.100 REGULAR
TOTAL PERSONAL SERVICES
CONTRACTUAL EXPENSE
A3510.400 COUNTY SPCA DOG CONTROL
TOTAL CONTRACTUAL EXPENSE
TOTAL DOG CONTROL
OTHER ANIMAL CONTROL
CONTRACTUAL EXPENSE
A3520.400 COUNTY SPCA CAT CONTROL
TOTAL CONTRACTUAL EXPENSE
TOTAL OTHER ANIMAL CONTROL
TOTAL PUBLIC SAFETY
TRANSPORTATION
SUPERINTENDENT HIGHWAYS
PERSONAL SERVICES
A5010.100 REGULAR
A5010.102 OVERTIME
TOTAL PERSONAL SERVICES
EQUIPMENT/CAPITAL OUTLAY
A5010.200 EQUIPMENT
TOTAL EQUIPMENT/CAPITAL OUTLAY
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
14,803.57 18,500.00 16,300.00 16,300.00
0.00 0.00 200.00 200.00
0.00 0.00 200.00 200.00
14,803.57 18,500.00 16,500.00 16,500.00
326.70
300.00
400.00
400.00
4,000.00
4,000.00
4,500.00
4,500.00
0.00
9,000.00
10,000.00
10,000.00
0.00
0.00
20,000.00
20,000.00
0.00
0.00
20,000.00
20,000.00
4,326.70
13,300.00
54,900.00
54,900.00
A-7
4,326.70 13,300.00 54,900.00 54,900.00
0.00 0.00 1,500.00 1,500.00
0.00 0.00 1,500.00 1,500.00
20 000.00 20,000.00 20,000.00 20,000.00
20 000.00 20,000.00 20,000.00 20,000.00
20 000.00 20,000.00 21,500.00 21,500.00
2,920.00 0.00 2,920.00 2,920.00
2,920.00 0.00 2,920.00 2,920.00
2,920.00 0.00 2,920.00 2,920.00
42,050.27 51,800.00 95,820.00 95,820.00
94,156.79 101,000.00 107,700.00 107,700.00
0.00 1.000.00 200.00 200.00
94,156.79 102,000.00 107,900.00 107,900.00
0.00 3,000.00 1,500.00 1,500.00
0.00 3,000.00 1,500.00 1,500.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-A
APPROPRIATIONS
ADOPTED 11/06/03
CONTRACTUAL EXPENSE
A5010.400 CONTRACTUAL
A5010.408 POSTAGE
A5010.411 CONFERENCES & MILEAGE
A5010.420 DUES & PUBLICATIONS
A5010.430 DRUG TESTING
A5010.440 SAFETY & TRAINING
TOTAL CONTRACTUAL EXPENSE
TOTAL SUPERINTENDENT HIGHWAYS
HIGHWAY GARAGE
PERSONAL SERVICES
A5132.100 REGULAR
A5132.101 HIGHWAY EMPLOYEES
A5132.102 OVERTIME
TOTAL PERSONAL SERVICES
EQUIPMENT/CAPITAL OUTLAY
A5132.200 EQUIPMENT
TOTAL EQUIPMENT/CAPITAL OUTLAY
CONTRACTUAL EXPENSE
A5132.402 COPIER PAPER
A5132.403 COPIER SUPPLIES
A5132.404 GENERAL OFFICE SUPPLIES
A5132.406 XEROX COPIER DC432AS
A5132.408 POSTAGE
A5132.410 GARAGE UTILITIES
A5132.415 TELEPHONE
A5132.416 GARAGE MAINTENANCE
A5132.440 CONSTRUCTION & IMPROVEMENTS
A5132.460 STORM WATER MANAGEMENT
TOTAL CONTRACTUAL EXPENSE
TOTAL HIGHWAY GARAGE
STREET LIGHTING
CONTRACTUAL EXPENSE
A5182.400 CONTRACTUAL
TOTAL CONTRACTUAL EXPENSE
TOTAL STREET LIGHTING
TOTAL TRANSPORTATION
CULTURE AND RECREATION
TOWN PARKS
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
808.54
2,000.00
2,000.00
2,000.00
49.03
200.00
20.00
20.00
445.70
1,000.00
1,000.00
1,000.00
398.70
500.00
500.00
500.00
1,039.75
1,000.00
1,100.00
1,100.00
100.00
1,500.00
1,000.00
1,000.00
2,841.72
6,200.00
5,620.00
5,620.00
96,998.51 111,200.00 115,020.00 115,020.00
31,529.73
7,500.00
26,700.00
26,700.00
0.00
7,400.00
8,000.00
8,000.00
2,100.76
1,000.00
1,000.00
1,000.00
33,630.49
15,900.00
35,700.00
35,700.00
1,000.00 3,000.00 3,000.00 3,000.00
1,000.00 3,000.00 3,000.00 3,000.00
0.00
0.00
400.00
400.00
0.00
0.00
1,000.00
1,000.00
0.00
0.00
200.00
200.00
0.00
0.00
4,000.00
4,000.00
555.71
100.00
600.00
600.00
14,202.05
30,000.00
35,000.00
35,000.00
4,332.86
3,500.00
3,600.00
3,600.00
6,763.22
20,000.00
10,000.00
10,000.00
0.00
50,000.00
0.00
0.00
40,236.96
0.00
0.00
0.00
66 090.80
103,600.00
54,800.00
54.800.00
A-8
100,721.29 122,500.00 93,500.00 93,500.00
32,286.06 34,000.00 34,000.00 34,000.00
32,286.06 34,000.00 34,000.00 34,000.00
32,286.06 34,000.00 34,000.00 34,000.00
230,005.86 267,700.00 242,520.00 242,520.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-A
APPROPRIATIONS
ADOPTED 11/06/03
PERSONAL SERVICES
A7110.100 REGULAR
A7110.101 HIGHWAY EMPLOYEES
A7110.102 OVERTIME
TOTAL PERSONAL SERVICES
EQUIPMENT/CAPITAL OUTLAY
A7110.201 LARGE
A7110.202 SMALL
TOTAL EQUIPMENT/CAPITAL OUTLAY
CONTRACTUAL EXPENSE
A7110.401 CODDINGTON RD COMMUNITY CTR CONTRACT
A7110.402 MAINTENANCE
A7110.403 CONSTRUCTION
A7110.404 PLANTINGS & LANDSCAPING
A7110.405 YOUTH
A7110.410 CONFERENCES & MILEAGE
A7110.415 TELEPHONE
A7110.420 DUES & PUBLICATIONS
A7110.440 PERSONAL PROTECTIVE EQUIPMENT
A7110.480 RECREATION PILOT PROGRAMS
A7110.490 PARKS & OPEN SPACE PROGRAM
TOTAL CONTRACTUAL EXPENSE
A7110.501 WM & HANNAH PEW BIKE TRAIL
A7110.512 WOOLF LANE PARK & POYER TRAIL
A7110.513 TUTELO PARK
TOTAL
TOTAL TOWN PARKS
YOUTH & AGED PROJECTS
CONTRACTUAL EXPENSE
A7320.401 CASS PARK FACILITY
A7320.404 CODDINGTON RD CC SUMMER CAMPS
A7320.405 COOPERATIVE EXTENSION
A7320.406 LEARNG WEB / YOUTH WORKS
A7320.407 ITHACA INVADERS
A7320.408 CLUB ITHACA
A7320.410 OUTINGS (AT RISK YOUTH)
A7320.411 SCIENCE CENTER PC PROGRAMS
A7320.412 WEST HILL PILOT YOUTH PROGRAM
A7320.416 REC PARTNERSHIP COUNTY
TOTAL CONTRACTUAL EXPENSE
TOTAL YOUTH & AGED PROJECTS
HISTORIAN
PERSONAL SERVICES
A7510.100 REGULAR
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
47,162.57
56,500.00
84,500.00
84,500.00
40,550.95
37,000.00
79,400.00
79,400.00
6,334.94
10 000.00
8,000.00
8,000.00
94 048.46
103,500.00
171,900.00
171,900.00
26,000.00 27,000.00 30,000.00 30,000.00
1,540.36 2,100.00 2,100.00 2,100.00
27 540.36 29,100.00 32,100.00 32,100.00
6,732.00
6,700.00
6,800.00
6,800.00
19,777.79
20,000.00
22,000.00
22,000.00
0.00
25,000.00
0.00
0.00
0.00
5,000.00
5,000.00
5,000.00
0.00
1,300.00
0.00
0.00
0.00
500.00
500.00
500.00
412.55
400.00
450.00
450.00
35.00
100.00
100.00
100.00
1,459.30
2,000.00
2,100.00
2,100.00
0.00
0.00
11,659.00
11,659.00
0.00
60 000.00
60,000.00
60,000.00
28 416.64
121,000.00
108,609.00
108,609.00
0.00
199,270.00
199,270.00
199,270.00
0.00
0.00
10,000.00
10,000.00
0.00
0.00
175,000.00
175,000.00
0.00
199 270.00
384,270.00
384,270.00
150 005.46 452 870.00 696,879.00 696,879.00
112,362.00
112,362.00
50,000.00
50,000.00
9,062.00
11,262.00
11,262.00
11,262.00
28,848.80
28,529.00
28,529.00
28,529.00
52,841.00
54,426.00
54,426.00
54,426.00
1,500.00
1,500.00
0.00
0.00
2,036.00
2,036.00
3,500.00
3,500.00
3,104.01
0.00
0.00
0.00
1,380.00
1,200.00
0.00
0.00
3,416.00
0.00
0.00
0.00
47 638.00
47,638.00
50,441.00
50,441.00
262 187.81
258,953.00
198,158.00
198,158.00
A-9
262 187.81 258,953.00 198,158.00 198,158.00
0.00 0.00 1,000.00 1,000.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-A
APPROPRIATIONS
ADOPTED 11/06/03
TOTAL PERSONAL SERVICES
CONTRACTUAL EXPENSE
A7510.400 CONTRACTUAL
A7510.401 DEWITT HISTORICAL SOCIETY
TOTAL CONTRACTUAL EXPENSE
TOTAL HISTORIAN
CELEBRATIONS
CONTRACTUAL EXPENSE
A7550.400 CONTRACTUAL
A7550.405 GREETINGS & MEMORIALS
TOTAL CONTRACTUAL EXPENSE
TOTAL CELEBRATIONS
LAND ACQUISITION
EQUIPMENT/CAPITAL OUTLAY
A7710.255 BALDWIN/COLLE PROPERTY
A7710.256 FERGUSON
A7710.257 PEW BIKE TRAIL NONSALARY COSTS
TOTAL EQUIPMENT/CAPITAL OUTLAY
TOTAL LAND ACQUISITION
TOTAL CULTURE AND RECREATION
HOME AND COMMUNITY SERVICES
COMMUNITY SERVICES
CONTRACTUAL EXPENSE
A8989.401 GADABOUT
A8989.403 SENIOR CITIZEN COUNCIL
A8989.404 HUMAN SERVICES COALITION
A8989.408 CAYUGA LAKE WATERSHED MGMT PLAN
TOTAL CONTRACTUAL EXPENSE
TOTAL COMMUNITY SERVICES
TOTAL HOME AND COMMUNITY SERVICES
EMPLOYEE BENEFITS
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
0.00 0.00 1,000.00 1,000.00
0.00 8,400.00 500.00 500.00
8,037.00 0.00 4,200.00 4,200.00
8,037.00 8,400.00 4,700.00 4,700.00
8,037.00 8,400.00 5,700.00 5,700.00
929.04 2,500.00 3,000.00 3,000.00
0.00 0.00 1,000.00 1.000.00
929.04 2,500.00 4,000.00 4.000.00
929.04 2,500.00 4,000.00 4,000.00
1,450.00
12,251.00
0.00
0.00
600.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,050.00
12,251.00
0.00
0.00
2,050.00 12,251.00 0.00 0.00
423 209.31 734,974.00 904,737.00 904,737.00
10,450.00
10,450.00
10,450.00
10,450.00
8,174.00
8,400.00
8,400.00
8,400.00
4,000.00
4,000.00
4,000.00
4,000.00
900.00
900.00
900.00
900.00
23 524.00
23 750.00
23,750.00
23,750.00
23 524.00 23,750.00 23,750.00 23,750.00
23 524.00 23,750.00 23,750.00 23,750.00
EMPLOYEE BENEFITS
A9010.800 NYS RETIREMENT
11,932.00
36,000.00
124,000.00
124,000.00
A9030.800 SOCIAL SECURITY
72,486.44
78,000.00
86,000.00
86,000.00
A9040.800 WORKERS COMPENSATION
8,830.00
11,500.00
22,000.00
22,000.00
A9045.800 LIFE INSURANCE
1,806.26
2,000.00
2,100.00
2,100.00
A-10
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-A
APPROPRIATIONS
ADOPTED 11/06/03
A9050.800 UNEMPLOYMENT INSURANCE
A9055.800 DISABILITY INSURANCE
A9056.800 DISABILITY INSURANCE - LONG-TERM
A9060.800 GROUP HEALTH INSURANCE
TOTAL EMPLOYEE BENEFITS
INTERFUND TRANSFERS
TRANSFERS TO OTHER FUNDS
A9901.904 RISK RETENTION
A9901.907 DEBT SERVICE FUND
TOTAL
TOTAL TRANSFERS TO OTHER FUNDS
TRANSFERS TO CAPITAL FUNDS
A9950.927 PUBLIC WORKS FACILITY
TOTAL
TOTAL TRANSFERS TO CAPITAL FUNDS
TOTAL INTERFUND TRANSFERS
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
0.00
500.00
500.00
500.00
738.94
800.00
900.00
900.00
3,293.26
4,000.00
4,600.00
4,600.00
131,817.00
123,000.00
150,000.00
150,000.00
230,903.90
255,800.00
390,100.00
390,100.00
2,000.00 2,000.00 2,000.00 2,000.00
0.00 0.00 126,000.00 126,000.00
2,000.00 2,000.00 128,000.00 128,000.00
2,000.00 2,000.00 128,000.00 128,000.00
178 275.67 5.519.80 0.00 0.00
178 275.67 5.519.80 0.00 0.00
178 275.67 5.519.80 0.00 0.00
180 275.67 7,519.80 128,000.00 128,000.00
TOTAL APPROPRIATIONS 2,272,847.29 2,567,371.71 2,999,577.00 2,999,577.00
A-11
TOWN OF ITHACA
FISCAL BUDGET - GENERAL FUND TOWNWIDE
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SCHEDULE 2-A
ESTIMATED REVENUES
REAL PROPERTY TAXES
A1001 REAL PROPERTY TAXES
TOTAL REAL PROPERTY TAXES
REAL PROPERTY TAX ITEMS
A1081 IN LIEU OF TAXES
TOTAL REAL PROPERTY TAX ITEMS
REAL PROPERTY TAX ITEMS
A1090 INTEREST & PENALTIES
TOTAL REAL PROPERTY TAX ITEMS
NON -PROPERTY TAX ITEMS
A1120 SALES TAX
TOTAL NON -PROPERTY TAX ITEMS
DEPARTMENTAL
INCOME
3,200.00
A1255
TOWN CLERK FEES
900.00
A1260
PERSONNEL FEES -
SCLIWC
A1289
COMMUNITY SRVS -
1% CTY SALES TAX AGRM'T
A1555
DOG ENUMERATION
FEES
A1556
SPCA CONTRACT
3,400.00
A1557
DOG IMPOUNDMENT
FEES
A2189
ENGINEERING FEES
FOR SERVICES
TOTAL DEPARTMENTAL INCOME
2,000.00
INTERGOVERNMENTAL CHARGES
A2350 YOUTH SERVICES - COUNTY
A2351 YOUTH SERVICES -VILLAGE OF LANSING
TOTAL INTERGOVERNMENTAL CHARGES
USE OF MONEY AND PROPERTY
A2401 INTEREST
A2421 NEXTEL SITE RENTAL
A2422 STORAGE DEWITT HISTORICAL
A2423 WIRELESS ONE SITE RENTAL
TOTAL USE OF MONEY AND PROPERTY
LICENSES AND PERMITS
A2530 GAMES OF CHANCE LICENSES
A2540 BINGO LICENSES
A2544 DOG LICENSE APPORTIONMENT
TOTAL LICENSES AND PERMITS
FINES AND FORFEITURES
A2610 FINES, FEES, & FOREFEITED BAIL
TOTAL FINES AND FORFEITURES
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
939,082.78 975,528.00 1,052,475.00 1,052,475.00
939,082.78 975,528.00 1,052,475.00 1,052,475.00
3,747.62 3,700.00 4,600.00 4,600.00
3,747.62 3,700.00 4,600.00 4,600.00
11,145.85 8,000.00 8,000.00 8,000.00
11,145.85 8,000.00 8.000.00 8,000.00
742,159.63 73,891.93 304.900.00 304,900.00
742,159.63 73,891.93 304,900.00 304,900.00
3,264.01
2,900.00
3,200.00
3,200.00
949.25
900.00
900.00
900.00
0.00
22,000.00
22,850.00
22,850.00
1,819.08
2,200.00
1,900.00
1,900.00
4,321.34
3,400.00
2,500.00
2,500.00
620.00
450.00
450.00
450.00
3,597.35
2,000.00
2,000.00
2,000.00
14.571.03
33,850.00
33,800.00
33,800.00
50,169.00 47,638.00 47,638.00 47,638.00
0.00 10,124.00 10,124.00 10,124.00
50,169.00 57,762.00 57,762.00 57.762.00
43,102.47
38,000.00
22,000.00
22,000.00
13,866.58
16,800.00
16,800.00
16,800.00
500.00
700.00
700.00
700.00
2,122.58
16,800.00
16,800.00
16,800.00
59,591.63
72,300.00
56,300.00
56,300.00
0.00
0.00
10.00
10.00
533.12
400.00
400.00
400.00
1,846.00
1,400.00
1,600.00
1,600.00
2,379.12
1,800.00
2,010.00
2,010.00
A-12
207,836.00 205,000.00 205,000.00 205,000.00
207,836.00 205,000.00 205,000.00 205,000.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 2-A
REVENUES
ADOPTED 11/06/03
SALE OF PROPERTY & COMPENSATION FOR LOSS
A2665 SALE OF EQUIPMENT
A2680 INSURANCE RECOVERIES
TOTAL SALE OF PROPERTY & COMPENSATION FOR LOSS
MISCELLANEOUS LOCAL SOURCES
A2701 REFUND PRIOR YEARS EXPENSES
A2705 REIMBURSED UTILITIES
A2770 OTHER UNCLASSIFIED REVENUE
TOTAL MISCELLANEOUS LOCAL SOURCES
STATE AID
A3005 MORTGAGE TAX
A3061 RECORDS MGM'T - SARA GRANT
A3085 WM & HANNAH PEW BIKE TRAIL
A3089 STAR AID
A3610 JUSTICE CT ASSIST PROGRAM
TOTAL STATE AID
INTERFUND TRANSFERS
A5031/B INTERFUND TRANSFER PART/TOWN
A5031/DB INTERFUND TRANSFER HIGHWAY
A5031/F INTERFUND TRANSFER WATER
A5031/G INTERFUND TRANSFER SEWER
TOTAL INTERFUND TRANSFERS
TOTAL REVENUES
APPROPRIATED FUND BALANCE
TOTAL REVENUES & OTHER SOURCES
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
98.04 0.00 0.00 0.00
432.00 0.00 0.00 0.00
530.04 0.00 0.00 0.00
33,246.05
0.00
0.00
0.00
18,000.00
18,000.00
0.00
0.00
751.79
0.00
0.00
0.00
51.997.84
18,000.00
0.00
0.00
347,118.53
180,000.00
170,000.00
170,000.00
14,922.00
0.00
7,215.00
7,215.00
0.00
199,270.00
199,270.00
199,270.00
975.00
0.00
0.00
0.00
803.65
0.00
0.00
0.00
363,819.18
379,270.00
376,485.00
376,485.00
23,253.34
50,902.00
31,476.00
31,476.00
23,253.34
50,902.00
31,476.00
31,476.00
62,745.46
50,902.00
65,988.00
65,988.00
62,745.46
50,902.00
65,988.00
65,988.00
171,997.60
203,608.00
194,928.00
194,928.00
A-13
2,619,027.32 2,032,709.93 2,296,260.00 2,296,260.00
-346,180.03 534,661.78 703,317.00 703,317.00
2,272,847.29 2,567,371.71 2,999,577.00 2,999,577.00
Town of Ithaca
General Townwide Fund
Budgeted Expenditures
General Gov't Support &
Service:
21%
Public Works Facility Serial
Bond Obligation
4%
2004
$2,999,577
Highway Administration, Safety
& Garage Maintenance
6%
Town Parks & Communit,
Services
18%
Salaries & Wages
38%
;e Benefits
1070
Town of Ithaca
General Townwide Fund
Appropriated Fund
Balance
23%
Fines, Fees & Other
Income
10%
State Aid - Community
Services
2%
State Aid - Parks Grant
7%
Interfund Transfers
6%
Real Property Taxes
35%
Sales Tax
10%
Mortgage Tax
6%
•
•
•
•
•
•
•
•
•
•
•
GENERAL PART TOWN FUND
THE GENERAL PART -TOWN FUND
(Town Outside the Village of Cayuga Heights)
The General Part -Town Fund is the operating fund used by Towns that contain a village.
The Village of Cayuga Heights lies within the Ithaca Township. This fund is used to
account for revenue resources and expenditures that are not specific to village functions
or services. The basis of accounting and recording of financial resources and
expenditures is the same as for the General Townwide Fund.
The General Part -Town Fund budget is categorized into the following major operations.
(See pie chart illustrations)
General Government Support Services
Employee Benefits
Planning Requirements & Services
Building & Zoning Code Enforcement
BUDGETARY ACCOUNTS
The General Part -Town Fund has a limited number of revenue resources (zoning &
planning fees). Many of the expenditures are function specific. Functions specific to this
fund are: (1) Zoning code enforcement (2) Planning and site reviews and (3) storm water
management. Like the Town's highway fund, these functions exclude the Village of
Cayuga Heights. The Village writes and enforces it's own zoning codes & ordinances as
well as having a planning department.
As in the General Townwide Fund both revenue and expense account ledgers are
maintained to record the Town's annual financial plan, or budget. Throughout the year
the annual operating budget is monitored and may be subsequently modified to meet
changes in current community needs. Changes in the budget may also occur due to
unanticipated events or emergencies. Modifications made to the budget require the
approval and authorization of the Town Board. These budgetary controls or management
controls are an integral part of the Town Board's authority and responsibility in keeping
expenditures within the limitations of available appropriations and revenues.
GENERAL (PROPRIETY) ACCOUNTS
It is in these accounts that actual financial results of operations are recorded. Assets,
liabilities, fund equity (commonly referred to as fund balance) including revenue and
expenses accounts are used in the recording and accounting for actual financial results.
These accounts are distinct from budgetary accounts.
TOWN OF ITHACA
FISCAL BUDGET - GENERAL FUND PART TOWN
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SCHEDULE 1-B
APPROPRIATIONS
GENERAL GOVERNMENT SUPPORT
INDEPENDENT AUDITORS
CONTRACTUAL EXPENSE
B1320.400 SCIRABBA WALKER & CO.,LLP
TOTAL CONTRACTUAL EXPENSE
TOTAL INDEPENDENT AUDITORS
ATTORNEY
CONTRACTUAL EXPENSE
B1420.400 BARNEY, GROSSMAN, DUBOW & MARCUS
TOTAL CONTRACTUAL EXPENSE
TOTAL ATTORNEY
LAW PUBLICATIONS & LIBRARY
CONTRACTUAL EXPENSE
B1460.425 LAW PUBLICATIONS & LIBRARY
TOTAL CONTRACTUAL EXPENSE
TOTAL LAW PUBLICATIONS & LIBRARY
CENTRAL COMM SYSTEMS
CONTRACTUAL EXPENSE
B1650.400 CONTRACTUAL
B1650.415 TELEPHONES
TOTAL CONTRACTUAL EXPENSE
TOTAL CENTRAL COMM SYSTEMS
CENTRAL STOREROOM
CONTRACTUAL EXPENSE
B1660.400 GENERAL OFFICE SUPPLIES
TOTAL CONTRACTUAL EXPENSE
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
800.00 800.00 1,000.00 1,000.00
800.00 800.00 1,000.00 1,000.00
800.00 800.00 1,000.00 1,000.00
53 584.40 33,000.00 29,000.00 29,000.00
53 584.40 33 000.00 29,000.00 29,000.00
53 584.40 33 000.00 29,000.00 29,000.00
0.00 0.00 150.00 150.00
0.00 0.00 150.00 150.00
0.00 0.00 150.00 150.00
2,625.05 3,000.00 0.00 0.00
0.00 0.00 0.00 0.00
2,625.05 3.000.00 0.00 0.00
2,625.05 3,000.00 0.00 0.00
744.59 850.00 600.00 600.00
744.59 850.00 600.00 600.00
TOTAL CENTRAL STOREROOM 744.59 850.00 600.00 600.00
CENTRAL PRINT & MAIL
CONTRACTUAL EXPENSE
B1670.402 COPIER PAPER
B1670.403 COPIER SUPPLIES
B1670.404 COPIER
TOTAL CONTRACTUAL EXPENSE
TOTAL CENTRAL PRINT & MAIL
B-1
540.22
600.00
600.00
600.00
755.93
500.00
600.00
600.00
0.00
0.00
0.00
0.00
1,296.15
1,100.00
1,200.00
1,200.00
1,296.15 1,100.00 1,200.00 1,200.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-B
APPROPRIATIONS
ADOPTED 11/06/03
INFORMATION TECHNOLOGY
EQUIPMENT/CAPITAL OUTLAY
B1680.201 HARDWARE
TOTAL EQUIPMENT/CAPITAL OUTLAY
CONTRACTUAL EXPENSE
B1680.401 MAINTENANCE & REPAIRS
81680.402 XEROX COPIER DC470
B1680.403 EDUCATION & TRAINING
81680.404 2515 LARGE DOCUMENT COPIER
B1680.405 XEROX COPIER DC230
81680.461 TOOLS & SUPPLIES
B1680.491 SOFTWARE
B1680.492 GIS SUPPORT
B1680.493 BLDG/ZONING CODE SUPPORT & SUBSCRIPTION
B1680.495 NETWORK SUPPORT
TOTAL CONTRACTUAL EXPENSE
TOTAL INFORMATION TECHNOLOGY
SPECIAL ITEMS
81910.400 LIABILITY INSURANCE
B1990.400 CONTINGENT ACCOUNT
TOTAL SPECIAL ITEMS
TOTAL GENERAL GOVERNMENT SUPPORT
TRANSPORTATION
STORM WATER MANAGEMENT
CONTRACTUAL EXPENSE
B5132.460 STORM WATER MANAGEMENT
TOTAL CONTRACTUAL EXPENSE
TOTAL STORM WATER MANAGEMENT
TOTAL TRANSPORTATION
HOME AND COMMUNITY SERVICES
ZONING
PERSONAL SERVICES
B8010.100 REGULAR
B8010.101 BOARD MEMBERS
TOTAL PERSONAL SERVICES
EQUIPMENT/CAPITAL OUTLAY
B8010.200 EQUIPMENT
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
1,529.71 0.00 4,290.00 4,290.00
1,529.71 0.00 4,290.00 4,290.00
0.00
100.00
100.00
100.00
3,527.51
3,700.00
3,700.00
3,700.00
735.00
0.00
0.00
0.00
1,819.92
0.00
120.00
120.00
1,095.34
800.00
1,400.00
1,400.00
0.00
100.00
100.00
100.00
0.00
720.00
0.00
0.00
51.25
1,525.00
3,260.00
3,260.00
0.00
1,475.00
1,475.00
1,475.00
0.00
0.00
400.00
400.00
7,229.02
8,420.00
10,555.00
10,555.00
B-2
8,758.73 8,420.00 14,845.00 14,845.00
8,139.22 10,000.00 11,000.00 11,000.00
0.00 5,000.00 5,000.00 5,000.00
8,139.22 15,000.00 16,000.00 16,000.00
75 948.14 62,170.00 62,795.00 62,795.00
0.00 50,000.00 50,000.00 50,000.00
0.00 50,000.00 50,000.00 50,000.00
0.00 50,000.00 50,000.00 50,000.00
0.00 50,000.00 50,000.00 50,000.00
134,029.84 135,900.00 146,000.00 146,000.00
3,074.75 4,900.00 5,100.00 5,100.00
137 104.59 140,800.00 151,100.00 151,100.00
20,188.56 0.00 0.00 0.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-B
APPROPRIATIONS
ADOPTED 11/06/03
TOTAL EQUIPMENT/CAPITAL OUTLAY
CONTRACTUAL EXPENSE
B8010.400 CONTRACTUAL
B8010.401 LEGAL ADS
B8010.403 CONFERENCES & MILEAGE
B8010.404 VEHICLE MAINTENANCE
B8010.408 POSTAGE
B8010.415 TELEPHONE
B8010.420 DUES & PUBLICATIONS
B8010.440 PERSONAL PROTECTIVE EQUIPMENT
B8010.450 GASOLINE
TOTAL CONTRACTUAL EXPENSE
TOTAL ZONING
PLANNING
PERSONAL SERVICES
B8020.100 REGULAR
B8020.101 BOARD MEMBERS
B8020.110 STUDENT INTERNS
TOTAL PERSONAL SERVICES
EQUIPMENT/CAPITAL OUTLAY
B8020.200 EQUIPMENT
TOTAL EQUIPMENT/CAPITAL OUTLAY
CONTRACTUAL EXPENSE
B8020.400 CONTRACTUAL
B8020.401 LEGAL ADS
88020.403 CONFERENCES & MILEAGE
B8020.404 VEHICLE MAINTENANCE
88020.406 PLANNING STUDY
B8020.407 CONSERVATION BOARD
88020.408 POSTAGE
B8020.409 PRTG, FILM...SPECIFIC
88020.410 INTERNS
B8020.415 TELEPHONE
88020.420 DUES & PUBLICATIONS
B8020.450 GASOLINE
B8020.461 NEST TRANSIT PLANNING PROJECT
TOTAL CONTRACTUAL EXPENSE
TOTAL PLANNING
TOTAL HOME AND COMMUNITY SERVICES
EMPLOYEE BENEFI
EMPLOYEE BENEFITS
B-3
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
20,188.56 0.00 0.00 0.00
432.21
300.00
300.00
300.00
1,123.55
700.00
700.00
700.00
90.00
750.00
650.00
650.00
165.59
300.00
300.00
300.00
772.73
300.00
500.00
500.00
917.79
700.00
700.00
700.00
702.24
750.00
750.00
750.00
224.38
50.00
200.00
200.00
1,086.64
900.00
900.00
900.00
5,515.13
4,750.00
5,000.00
5,000.00
162 808.28 145,550.00 156,100.00 156,100.00
220,165.60
222,800.00
244,000.00
244,000.00
6,501.70
11,100.00
11,400.00
11,400.00
3,450.00
4,200.00
9,700.00
9,700.00
230,117.30
238,100.00
265,100.00
265,100.00
717.40 20.000.00 0.00 0.00
717.40 20.000.00 0.00 0.00
280.59
500.00
500.00
500.00
1,614.67
1,500.00
1,500.00
1,500.00
1,585.80
4,000.00
4,000.00
4,000.00
235.00
300.00
300.00
300.00
4,000.00
10,000.00
10,000.00
10,000.00
315.88
2,000.00
2,000.00
2,000.00
2,343.02
2,000.00
2,300.00
2,300.00
0.00
1,500.00
1,000.00
1,000.00
0.00
1,500.00
1,500.00
1,500.00
0.00
0.00
600.00
600.00
2,551.00
2,500.00
2,600.00
2,600.00
125.19
200.00
200.00
200.00
5,000.00
0.00
0.00
0.00
18,051.15
26,000.00
26,500.00
26,500.00
248,885.85 284,100.00 291,600.00 291,600.00
411,694.13 429,650.00 447,700.00 447,700.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-B AMENDED RECOMMENDED ADOPTED
APPROPRIATIONS ACTUAL BUDGET BUDGET BUDGET
ADOPTED 11/06/03 2002 2003 2004 2004
B9010.800 NYS RETIREMENT
B9030.800 SOCIAL SECURITY
89040.800 WORKERS COMPENSATION
B9045.800 LIFE INSURANCE
89050.800 UNEMPLOYMENT INSURANCE
89055.800 DISABILITY INSURANCE
89056.800 DISABILITY INSURANCE - LONG-TERM
B9060.800 GROUP HEALTH INSURANCE
TOTAL EMPLOYEE BENEFITS
INTERFUND TRANSFERS
® TRANSFERS TO OTHER FUNDS
B9901.901 GENERAL FUND
89901.904 RISK RETENTION FUND
TOTAL
TOTAL TRANSFERS TO OTHER FUNDS
TOTAL INTERFUND TRANSFERS
3,952.00
7,200.00
48,500.00
48,500.00
27,974.51
30,000.00
35,000.00
35,000.00
2,300.00
2,700.00
5,000.00
5,000.00
672.00
800.00
800.00
800.00
0.00
500.00
500.00
500.00
238.20
300.00
300.00
300.00
1,271.92
1,500.00
2,000.00
2,000.00
49,425.14
50,000.00
56,000.00
56,000.00
85,833.77
93,000.00
148,100.00
148,100.00
23,253.34 50,902.00 31,476.00 31,476.00
2,000.00 2,000.00 2,000.00 2,000.00
25,253.34 52,902.00 33,476.00 33,476.00
25,253.34 52,902.00 33,476.00 33,476.00
25,253.34 52,902.00 33,476.00 33,476.00
TOTAL APPROPRIATIONS 598,729.38 687,722.00 742,071.00 742,071.00
B-4
TOWN OF ITHACA
FISCAL BUDGET - GENERAL FUND PART TOWN
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SCHEDULE 2-B
ESTIMATED REVENUES
NON -PROPERTY TAX ITEMS
81120 SALES TAX
81170 TV FRANCHISE TAX
TOTAL NON -PROPERTY TAX ITEMS
DEPARTMENTAL INCOME
B2110 ZONING FEES
B2115 PLANNING FEES
B2191 DEVELOPMENT & REVIEW COST RECOVERIES
TOTAL DEPARTMENTAL INCOME
USE OF MONEY AND PROPERTY
B2401 INTEREST
TOTAL USE OF MONEY AND PROPERTY
SALE OF PROPERTY & COMPENSATION FOR LOSS
B2665 SALE OF EQUIPMENT
82680 INSURANCE RECOVERIES
B2691 DEVELOPMENT & REVIEW COST RECOVERIES
TOTAL SALE OF PROPERTY & COMPENSATION FOR LOSS
QTATG AM
B3001 STATE AID PER CAPITA
TOTAL STATE AID
TOTAL REVENUES
APPROPRIATED FUND BALANCE
TOTAL REVENUES & OTHER SOURCES
B-5
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
289,013.00 386,607.64 428,700.00 428,700.00
55,299.68 52,000.00 52.000.00 52,000.00
344,312.68 438,607.64 480,700.00 480,700.00
67,841.40
42,000.00
45,000.00
45,000.00
4,225.00
4,000.00
4,000.00
4,000.00
0.00
0.00
9,000.00
9,000.00
72,066.40
46,000.00
58,000.00
58,000.00
5,370.08 4,200.00 1,000.00 1,000.00
5,370.08 4,200.00 1,000.00 1,000.00
0.00
2,000.00
0.00
0.00
73.00
0.00
0.00
0.00
7.729.50
10,000.00
0.00
0.00
7.802.50
12.000.00
0.00
0.00
72,096.00 70,000.00 70,000.00 70,000.00
72,096.00 70,000.00 70,000.00 70,000.00
501,647.66 570,807.64 609,700.00 609,700.00
97,081.72 116,914.36 132,371.00 132,371.00
598,729.38 687,722.00 742,071.00 742,071.00
Town of Ithaca
General Part -Town Fund
Budgeted Expenditures
2004
Administrative & Support Servic
17%
Storm Water Management.
7%
Employee Benefits
20%
$742,071
Salaries & Wages
56%
Town of Ithaca
General Part -Town Fund
Budgeted Revenues
2004
$742,071
Appropriated Fund Balance
18%
State Aid -Per Capita_
9%
Planning Fees
2%
Zoning Fees
6%
Cable & TV Franchise
7%
Sales Tax
58%
r � � � � �� i
THE GENERAL PART -TOWN HIGHWAY FUND
(Town Outside the Village of Cayuga Heights)
The General Part -Town Highway Fund is established pursuant to Highway Law, Section
141. It is the operating fund used by Towns that contain a village. The Village of Cayuga
Heights lies within the Ithaca Township. This fund is used to account for revenue
resources and expenditures that are not specific to village functions or for highway
services. The basis of accounting and recording of financial resources and expenditures
is substantially the same as for the General Townwide Fund.
The General Part -Town Highway Fund budget is categorized into the following major
operations. (See pie chart illustrations)
General Government Support Services
Employee Benefits
Snow, Brush & Weed Removal Services
Equipment & Maintenance
Road Improvements
Road Repairs
BUDGETARY ACCOUNTS
The General Part -Town Highway Fund has specific revenue resources. Many of the
expenditures are specific to road repairs and improvements, machinery maintenance and
acquisition, including the removal of snow, roadside brush and weeds.
As in the General Townwide Fund both revenue and expense account ledgers are
maintained to record the Town's annual financial plan, or budget. Highway Fund
accounts are used exclusively for highway operating purposes. Like in other funds, the
annual operating budget is monitored and may be subsequently modified to meet changes
in current road conditions, or community needs. Changes in the budget may also occur
due to unanticipated events or emergencies. (E.g. 2002 Stone Quarry Road washout and
collapse) Modifications made to the budget require the approval and authorization of the
Town Board along with the Highway Superintendent. These budgetary controls or
management controls are an integral part of the Town Board's and Highway
Superintendent's authority and responsibility in keeping expenditures within the
limitations of available appropriations and revenues.
The Highway Superintendent is appointed by the Ithaca Town Board. The position of
highway superintendent is not an elected position.
GENERAL (PROPRIETY) ACCOUNTS
It is in these accounts that actual financial results of operations are recorded. Assets,
liabilities, fund equity (commonly referred to as fund balance) including revenue and
expenses accounts are used in the recording and accounting for actual financial results.
These accounts are distinct from budgetary accounts.
TOWN OF ITHACA
FISCAL BUDGET - HIGHWAY FUND PART TOWN
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SCHEDULE 1 -DB
APPROPRIATIONS
GENERAL GOVERNMENT SUPPORT
INDEPENDENT AUDITING
CONTRACTUAL EXPENSE
DB1320.400 CONTRACTUAL
TOTAL CONTRACTUAL EXPENSE
TOTAL INDEPENDENT AUDITING
TOWN ATTORNEY
CONTRACTUAL EXPENSE
DB1420.400 BARNEY GROSSMAN DUBOW & MARCUS
TOTAL CONTRACTUAL EXPENSE
TOTAL TOWN ATTORNEY
COMMUNICATIONS SYSTEM UPGRADE
DB1650.514 COMMUNICATIONS SYSTEM UPGRADE
TOTAL
TOTAL COMMUNICATIONS SYSTEM UPGRADE
GENERAL OFFICE SUPPLIES
CONTRACTUAL EXPENSE
DB1660.400 GENERAL OFFICE SUPPLIES
TOTAL CONTRACTUAL EXPENSE
TOTAL GENERAL OFFICE SUPPLIES
INFORMATION TECHNOLOGY
EQUIPMENT/CAPITAL OUTLAY
D81680.200 EQUIPMENT
TOTAL EQUIPMENT/CAPITAL OUTLAY
CONTRACTUAL EXPENSE
DB1680.401 MAINTENANCE & REPAIRS
DB1680.461 TOOLS & SUPPLIES
DB1680.491 SOFTWARE
DB1680.492 ARCVIEW AND EAGLE POINT
DB1680.493 HIGHWAY HELPER
DB1680.494 ANNUAL SUPPORT
DB1680.495 NETWORK SUPPORT
DB1680.496 TIME WARNER CABLE RR
TOTAL CONTRACTUAL EXPENSE
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
800.00 1,500.00 1,800.00 1,800.00
800.00 1,500.00 1,800.00 1,800.00
800.00 1,500.00 1,800.00 1,800.00
2,679.18 1,750.00 1,200.00 1,200.00
2,679.18 1,750.00 1,200.00 1,200.00
2,679.18 1,750.00 1,200.00 1,200.00
0.00 0.00 27,000.00 27,000.00
0.00 0.00 27,000.00 27,000.00
0.00 0.00 27,000.00 27,000.00
0.00 500.00 0.00 0.00
0.00 500.00 0.00 0.00
0.00 500.00 0.00 0.00
0.00 0.00 0.00 0.00
0.00 0.00 0.00 0.00
0.00
100.00
100.00
100.00
0.00
100.00
100.00
100.00
806.00
320.00
3,050.00
3,050.00
0.00
3,300.00
1,010.00
1,010.00
0.00
430.00
430.00
430.00
0.00
800.00
0.00
0.00
795.00
650.00
440.00
440.00
0.00
0.00
3,300.00
3,300.00
1,601.00
5,700.00
8,430.00
8,430.00
TOTAL INFORMATION TECHNOLOGY 1,601.00 5,700.00 8,430.00 8,430.00
DB -1
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1 -DB
APPROPRIATIONS
ADOPTED 11/06/03
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
SPECIAL ITEMS
DB1910.400 LIABILITY INSURANCE 30,505.87 38,000.00 42,000.00 42,000.00
TOTAL SPECIAL ITEMS 30 505.87 38,000.00 42,000.00 42,000.00
TOTAL GENERAL GOVERNMENT SUPPORT 35,586.05 47,450.00 80,430.00 80,430.00
TRANSPORTATION
GENERAL REPAIRS
EXPENSE
432,900.00
459,400.00
459,400.00
PERSONAL SERVICES
DB5110.450
GAS, OIL, & DIESEL FUEL
11,000.00
11,300.00
DB5110.100 REGULAR
315,505.45
296,000.00
317,300.00
317,300.00
DB5110.102 OVERTIME
4,850.22
6,000.00
6,000.00
6,000.00
TOTAL PERSONAL SERVICES
320,355.67
302,000.00
323,300.00
323,300.00
CONTRACTUAL
EXPENSE
432,900.00
459,400.00
459,400.00
0.00
DB5110.450
GAS, OIL, & DIESEL FUEL
11,000.00
11,300.00
12,000.00
12,000.00
DB5110.451
ROAD REPAIRS
67,361.99
113,500.00
118,000.00
118,000.00
DB5110.461
TOOLS & SUPPLIES
2,472.41
6,100.00
6,100.00
6,100.00
1,820.34
TOTAL CONTRACTUAL EXPENSE
80,834.40
130,900.00
136,100.00
136,100.00
TOTAL GENERAL REPAIRS
401 190.07
432,900.00
459,400.00
459,400.00
0.00
DB5112.450
GAS, OIL, & DIESEL FUEL
PERMANENT IMPROVEMENTS
7,500.00
8,000.00
8,000.00
DB5112.453
PERSONAL SERVICES
168,876.30
22,500.00
23,000.00
23,000.00
DB5112.100 REGULAR
156,739.00
148,000.00
158,700.00
158,700.00
DB5112.102 OVERTIME
1,820.34
3,000.00
3,000.00
3,000.00
TOTAL PERSONAL SERVICES
158,559.34
151,000.00
161,700.00
161,700.00
CONTRACTUAL
EXPENSE
0.00
18,000.00
0.00
0.00
DB5112.450
GAS, OIL, & DIESEL FUEL
7,400.00
7,500.00
8,000.00
8,000.00
DB5112.453
ROAD REPAIRS
168,876.30
22,500.00
23,000.00
23,000.00
DB5112.455
STONE QUARRY ROAD
0.00
125,000.00
0.00
0.00
DB5112.461
TOOLS & SUPPLIES
1.765.00
1,700.00
1,800.00
1,800.00
DB5112.507
TOTAL CONTRACTUAL EXPENSE
178,041.30
156,700.00
32,800.00
32,800.00
DB5112.501
WHITETAIL DRIVE PAVING
0.00
18,000.00
0.00
0.00
DB5112.502
EVERGREEN LANE
0.00
30,000.00
30,000.00
30,000.00
DB5112.503
WHITETAIL DR RECONSTR
0.00
50,000.00
0.00
0.00
DB5112.504
MARCY COURT PAVING
0.00
10,000.00
0.00
0.00
DB5112.506
CHASE LANE PAVING
0.00
0.00
0.00
0.00
DB5112.507
DOVE DR PAVING
0.00
0.00
0.00
0.00
DB5112.508
COMPTON RD PAVING
0.00
0.00
0.00
0.00
DB5112.510
RICH ROAD
0.00
0.00
40;000.00
40,000.00
DB5112.511
CALDWELL ROAD
0.00
0.00
150,000.00
150,000.00
TOTAL
0.00
108,000.00
220,000.00
220,000.00
TOTAL PERMANENT IMPROVEMENTS 336 600.64 415,700.00 414,500.00 414,500.00
MACHINERY
DB -2
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1 -DB
APPROPRIATIONS
ADOPTED 11/06/03
PERSONAL SERVICES
DB5130.100 REGULAR
DB5130.102 OVERTIME
TOTAL PERSONAL SERVICES
EQUIPMENT/CAPITAL OUTLAY
DB5130.200 LARGE
DB5130.202 SMALL
TOTAL EQUIPMENT/CAPITAL OUTLAY
CONTRACTUAL EXPENSE
DB5130.450 OIL, GREASE, FLUIDS
DB5130.460 VEHICLE MAINTENANCE, REPAIRS & PARTS
DB5130.461 TOOLS & SUPPLIES
TOTAL CONTRACTUAL EXPENSE
TOTAL MACHINERY
BRUSH & WEEDS
PERSONAL SERVICES
DB5140.100 REGULAR
DB5140.102 OVERTIME
TOTAL PERSONAL SERVICES
CONTRACTUAL EXPENSE
DB5140.400 CONTRACTUAL
DB5140.409 ADVERTISING
DB5140.410 CONFERENCES & MILEAGE
DB5140.440 PERSONAL PROTECTIVE EQUIPMENT
DB5140.450 CLEANING SERVICES
TOTAL CONTRACTUAL EXPENSE
TOTAL BRUSH & WEEDS
SNOW REMOVAL
PERSONAL SERVICES
DB5142.100 REGULAR
DB5142.102 OVERTIME
TOTAL PERSONAL SERVICES
CONTRACTUAL EXPENSE
DB5142.450 GAS, OIL, DIESEL FUEL
DB5142.452 SALT
DB5142.461 TOOLS & SUPPLIES
TOTAL CONTRACTUAL EXPENSE
TOTAL SNOW REMOVAL
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
51,595.15 70,720.00 77,400.00 77,400.00
1,033.34 1,000.00 1,000.00 1,000.00
52 628.49 71,720.00 78,400.00 78,400.00
170,812.07 177,000.00 190,000.00 190,000.00
1,707.37 2,600.00 2,600.00 2,600.00
172 519.44 179 600.00 192,600.00 192,600.00
2,638.03
3,300.00
3,500.00
3,500.00
64,434.17
65,000.00
68,000.00
68,000.00
13 968.13
14,400.00
15,000.00
15,000.00
81 040.33
82 700.00
86,500.00
86,500.00
306 188.26 334,020.00 357,500.00 357,500.00
41,397.67 59,200.00 55,600.00 55,600.00
1,014.80 1,000.00 2,000.00 2,000.00
42 412.47 60 200.00 57,600.00 57.600.00
4,982.10
5,200.00
5,500.00
5,500.00
0.00
500.00
500.00
500.00
272.07
500.00
500.00
500.00
8,926.69
9,000.00
9,100.00
9,100.00
0.00
0.00
4,000.00
4,000.00
14 180.86
15,200.00
19,600.00
19,600.00
56 593.33 75,400.00 77,200.00 77,200.00
50,836.17 74,000.00 79,400.00 79,400.00
48 969.76 53,000.00 57,000.00 57,000.00
99 805.93 127 000.00 136,400.00 136,400.00
11,326.84
8,500.00
8,600.00
8,600.00
78,572.74
69,000.00
75,000.00
75,000.00
2,042.47
3,000.00
3,100.00
3,100.00
91 942.05
80,500.00
86,700.00
86,700.00
191 747.98 207,500.00 223,100.00 223,100.00
TOTAL TRANSPORTATION 1,292,320.28 1 465 520.00 1,531,700.00 1,531,700.00
DB -3
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1 -DB
APPROPRIATIONS
ADOPTED 11/06/03
EMPLOYEE BENEFITS
EMPLOYEE BENEFITS
DB9010.800 NYS RETIREMENT
DB9030.800 SOCIAL SECURITY
DB9040.800 WORKERS COMPENSATION
DB9045.800 LIFE INSURANCE
DB9050.800 UNEMPLOYMENT INSURANCE
DB9055.800 DISABLILTY INSURANCE
DB9056.800 DISABILITY INSURANCE - LONG-TERM
DB9060.800 GROUP HEALTH INSURANCE
TOTAL EMPLOYEE BENEFITS
INTERFUND TRANSFERS
TRANSFERS TO OTHER FUNDS
DB9901.901 GENERAL FUND
DB9901.904 RISK RETENTION
TOTAL
TOTAL TRANSFERS TO OTHER FUNDS
TRANSFERS TO CAPITAL FUNDS
DB9950.923 STONE QUARRY ROAD RECONSTRUCTION
TOTAL
TOTAL TRANSFERS TO CAPITAL FUNDS
TOTAL INTERFUND TRANSFERS
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
10,149.00
45,500.00
101,200.00
101,200.00
51,414.19
53,500.00
58,500.00
58,500.00
35,672.00
43,000.00
60,000.00
60,000.00
1,948.26
2,100.00
2,100.00
2,100.00
3,442.00
500.00
500.00
500.00
623.60
800.00
800.00
800.00
2,882.97
3,100.00
4,100.00
4,100.00
161,189.40
158,000.00
210,000.00
210,000.00
267,321.42
306,500.00
437,200.00
437,200.00
23,253.34 50,902.00 31,476.00 31,476.00
2,000.00 2,000.00 2,000.00 2,000.00
25,253.34 52,902.00 33,476.00 33,476.00
25,253.34 52,902.00 33,476.00 33,476.00
125.000.00 0.00 0.00 0.00
125,000.00 0.00 0.00 0.00
125.000.00 0.00 0.00 0.00
150,253.34 52,902.00 33,476.00 33,476.00
TOTAL APPROPRIATIONS 1,745,481.09 1,872,372.00 2,082,806.00 2,082,806.00
DB -4
TOWN OF ITHACA
FISCAL BUDGET - HIGHWAY FUND PART TOWN
FOR 2004
SCHEDULE 2 -DB
ESTIMATED REVENUES
NON -PROPERTY TAX ITEMS
DB1120 SALES TAX
TOTAL NON -PROPERTY TAX ITEMS
INTERGOVERNMENTAL CHARGES
DB2300 SERVICES OTHER GOVERNMENTS
DB2301 SERVICES OTHER
DB2305 SNOW & ICE REMOVAL - COUNTY
TOTAL INTERGOVERNMENTAL CHARGES
USE OF MONEY AND PROPERTY
DB2401 INTEREST
TOTAL USE OF MONEY AND PROPERTY
SALE OF PROPERTY & COMPENSATION FOR LOSS
DB2665 SALE OF EQUIPMENT
DS2680 INSURANCE RECOVERIES
TOTAL SALE OF PROPERTY & COMPENSATION FOR LOSS
MISCELLANEOUS LOCAL SOURCES
DB2705 CULVERT FEES
DB2770 OTHER UNCLASSIFIED REVENUES
TOTAL MISCELLANEOUS LOCAL SOURCES
STATE AID
DB3501 CHIPS
TOTAL STATE AID
INTERFUND TRANSFERS
DB5031/H CAPITAL PROJECTS
TOTAL INTERFUND TRANSFERS
TOTAL REVENUES
APPROPRIATED FUND BALANCE
TOTAL REVENUES & OTHER SOURCES
(ADOPTED NOVEMBER 6, 2003)
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
1,305,761.00 1 628,180.43 1,472,300.00 1,472,300.00
1,305,761.00 1 628 180.43 1,472,300.00 1,472,300.00
1,637.00
13,000.00
0.00
0.00
1,152.50
0.00
0.00
0.00
32 989.98
25,300.00
64,000.00
64,000.00
35 779.48
38,300.00
64,000.00
64,000.00
DB -5
10 855.27 10 000.00 2,300.00 2,300.00
10 855.27 10,000.00 2,300.00 2.300.00
30,190.50 40,000.00 50,000.00 50,000.00
2,170.25 2,500.00 0.00 0.00
32 360.75 42,500.00 50,000.00 50,000.00
0.00 500.00 500.00 500.00
200.00 0.00 0.00 0.00
200.00 500.00 500.00 500.00
51 282.08 50,000.00 50,000.00 50,000.00
51 282.08 50,000.00 50,000.00 50,000.00
938.00 0.00 0.00 0.00
938.00 0.00 0.00 0.00
1,437,176.58 1,769,480.43 1,639,100.00 1,639,100.00
308 304.51 102,891.57 443,706.00 443,706.00
1,745,481.09 1,872,372.00 2,082,806.00 2,082,806.00
Town of Ithaca
Highway Part -Town Fund
Budgeted Expenditures
2004
$2,082,806
Capital Costs - Communications
Upgrade
Capital Costs - Machinery & 1 %
Maintenance
19%
Salaries & Wages
36%
Capital Costs - Road Improvements
19%
Administration & Support Services
4% Employee Benefits
21%
Town of Ithaca
Highway Part -Town Fund
Budgeted Revenues
Appropriated Fund Bal;
21%
Sale of Old Equipment
2%
Intergovernmental Charges
3%
2004
$2,082,806
State Aid - Consolidated Highway
Improvement Program
2%
F
u
U
0
0
A
THE WATER FUND
The Town's Water Fund is a Special Assessment Fund. This fund is used to account for
the financing of public water operations, services and improvements that primarily
benefit the properties against which special assessments are levied and user charges are
collected. Records of individual user receivable accounts are essential and are maintained
in the Ithaca Town Water Rolls. The basis of accounting and record keeping of financial
resources and expenditures is also the same as for the General Townwide Fund.
The Water Fund budget is categorized into the following major operations. (See pie chart
illustrations)
General Government Support Services
Employee Benefits
General Improvement Water & Sewer Obligation Serial Bonds
Transmission and Distribution
Water Supply Source with Cornell University
Water Supply Source with City of Ithaca
Water Supply Source with the Southern Cayuga Lake Intermunicipal Water Commission
(SCLIWC)
BUDGETARY ACCOUNTS
The Water Fund has a limited number of revenue resources. These resources are distinct
and exclusive to the financial operations of the production, supply, transmission and
distribution of water. Most Water Fund expenditures are also function specific. As in the
General Townwide Fund both revenue and expense account ledgers are maintained to
record the Town's annual financial plan, or budget. Throughout the year the annual
operating budget is monitored and may be subsequently modified to meet changes in
current operating costs or user needs. Changes in the budget may also occur due to
unanticipated events or emergencies. Modifications made to the budget require the
approval and authorization of the Town Board. These budgetary controls or management
controls are an integral part of the Town Board's authority and responsibility in keeping
expenditures within the limitations of available appropriations and revenues.
GENERAL. (PROPRIETY) ACCOUNTS
It is in these accounts that actual financial results of operations are recorded. Assets,
liabilities, fund equity (commonly referred to as fund balance) including revenue and
expenses accounts are used in the recording and accounting for actual financial results.
These accounts are distinct from budgetary accounts.
TOWN OF ITHACA
FISCAL BUDGET - WATER FUND
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SCHEDULE 1-F
APPROPRIATIONS
GENERAL GOVERNMENT SUPPORT
INDEPENDENT AUDITING
CONTRACTUAL EXPENSE
F1320.400 SCIRABBA WALKER & CO.,LLP
TOTAL CONTRACTUAL EXPENSE
TOTAL INDEPENDENT AUDITING
T( Uhl ATTnDAICV
CONTRACTUAL EXPENSE
F1420.400 BARNEY GROSSMAN DUBOW & MARCUS
TOTAL CONTRACTUAL EXPENSE
TOTAL TOWN ATTORNEY
LAW PUBLICATIONS & LIBRARY
CONTRACTUAL EXPENSE
F1460.425 LAW PUBLICATIONS & LIBRARY
TOTAL CONTRACTUAL EXPENSE
TOTAL LAW PUBLICATIONS & LIBRARY
GENERAL OFFICE SUPPLIES
CONTRACTUAL EXPENSE
F1660.400 GENERAL OFFICE SUPPLIES
TOTAL CONTRACTUAL EXPENSE
TOTAL GENERAL OFFICE SUPPLIES
CENTRAL STOREROOM
CONTRACTUAL EXPENSE
F1670.402 COPIER PAPER
F1670.403 COPIER SUPPLIES
TOTAL CONTRACTUAL EXPENSE
TOTAL CENTRAL STOREROOM
INFORMATION TECHNOLOGY
EQUIPMENT/CAPITAL OUTLAY
F1680.201 HARDWARE
TOTAL EQUIPMENT/CAPITAL OUTLAY
CONTRACTUAL EXPENSE
F1680.401 MAINTENANCE & REPAIRS
F-1
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
3,800.00 4,000.00 4,000.00 4,000.00
3,800.00 4,000.00 4,000.00 4,000.00
3,800.00 4,000.00 4,000.00 4,000.00
2,326.02 3,200.00 2,300.00 2,300.00
2,326.02 3,200.00 2,300.00 2,300.00
2,326.02 3,200.00 2,300.00 2,300.00
0.00 0.00 150.00 150.00
0.00 0.00 150.00 150.00
0.00 0.00 150.00 150.00
0.00 500.00 400.00 400.00
0.00 500.00 400.00 400.00
0.00 500.00 400.00 400.00
540.19 600.00 600.00 600.00
755.80 500.00 600.00 600.00
1,295.99 1,100.00 1,200.00 1,200.00
1,295.99 1,100.00 1,200.00 1,200.00
2,583.64 0.00 400.00 400.00
2,583.64 0.00 400.00 400.00
0.00 100.00 100.00 100.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-F
APPROPRIATIONS
ADOPTED 11/06/03
F1680.402 XEROX COPIER DC470
F1680.404 2515 LARGE DOCUMENT COPIER
F1680.405 XEROX COPIER DC230
F1680.461 TOOLS & SUPPLIES
F1680.491 SOFTWARE
F1680.492 GIS SUPPORT
F1680.495 NETWORK SUPPORT
TOTAL CONTRACTUAL EXPENSE
TOTAL INFORMATION TECHNOLOGY
SPECIAL ITEMS
F1910.400 LIABILITY INSURANCE
F1920.401 TAX/ASSESSMENTS ON TOWN REAL PROPERTY
TOTAL SPECIAL ITEMS
TOTAL GENERAL GOVERNMENT SUPPORT
HOME AND COMMUNITY SERVICES
WATER ADMINISTRATION
PERSONAL SERVICES
F8310.100 REGULAR
TOTAL PERSONAL SERVICES
CONTRACTUAL EXPENSE
F8310.400 CONTRACTUAL
F8310.410 WATER & SEWER UTILITIES
TOTAL CONTRACTUAL EXPENSE
TOTAL WATER ADMINISTRATION
TRANSMISSION/DISTRIBUTION
PERSONAL SERVICES
F8340.100 REGULAR
F8340.101 LABOR
F8340.102 OVERTIME
TOTAL PERSONAL SERVICES
EQUIPMENT/CAPITAL OUTLAY
F8340.200 EQUIPMENT
TOTAL EQUIPMENT/CAPITAL OUTLAY
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
3,527.41
3,700.00
3,700.00
3,700.00
0.00
0.00
120.00
120.00
1,095.26
800.00
1,400.00
1,400.00
0.00
100.00
100.00
100.00
3,435.64
320.00
50.00
50.00
596.25
1,525.00
2,460.00
2,460.00
1.916.25
0.00
450.00
450.00
10,570.81
6,545.00
8,380.00
8,380.00
13,154.45 6,545.00 8,780.00 8,780.00
8,705.14 10,500.00 17,000.00 17,000.00
5,515.89 5,651.00 0.00 0.00
14,221.03 16,151.00 17,000.00 17,000.00
34,797.49 31,496.00 33,830.00 33,830.00
27,780.45 29,100.00 31,100.00 31,100.00
27,780.45 29,100.00 31,100.00 31,100.00
42.00 250.00 0.00 0.00
305.60 400.00 0.00 0.00
347.60 650.00 0.00 0.00
28,128.05 29,750.00 31,100.00 31,100.00
1,228.45
7,500.00
6,200.00
6,200.00
41,620.34
74,000.00
47,600.00
47,600.00
8,127.24
8,000.00
9,000.00
9,000.00
50,976.03
89,500.00
62,800.00
62,800.00
3,895.22 4,481.62 90,000.00 90,000.00
3,895.22 4,481.62 90,000.00 90,000.00
CONTRACTUAL
EXPENSE
F8340.400
CONTRACTUAL
1,360.42
2,500.00
2,500.00
2,500.00
F8340.401
CONFERENCES & MILEAGE
131.40
1,000.00
1,250.00
1,250.00
F8340.404
VEHICLE MAINTENANCE
529.04
1,500.00
1,500.00
1,500.00
F8340.410
ELECTRIC
34,305.96
32,000.00
35,000.00
35,000.00
F8340.415
TELEPHONES
0.00
1,700.00
1,700.00
1,700.00
F8340.420
DUES & PUBLICATIONS
452.00
500.00
750.00
750.00
F-2
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-F
APPROPRIATIONS
ADOPTED 11/06/03
F8340.430 DRUG TESTING
F8340.440 PERSONAL PROTECTIVE EQUIPMENT
F8340.450 GASOLINE
F8340.470 LINE REPAIRS
F8340.471 SCHEDULED LINE MAINTENANCE
F8340.480 CAPITAL IMPROVEMENTS
F8340.481 TK PAINTING SAPSUCKER WOODS
F8340.482 TK PAINTING CHRISTOPHER CIRCLE
F8340.485 WATER TANK(S) SECURITY FENCING
F8340.486 WATER TANK(S) PUMP STATIONS
F8340.489 SCLIWC CONSTRUCTION
F8340.490 WATER REFUNDS & BANK CHARGES
TOTAL CONTRACTUAL EXPENSE
F8340.501 NORTHVIEW WTR TK GRID IMP
F8340.502 TRUMANSBURG WTR MAIN IMP
F8340.503 WESTHILL INTERCON WTR LINE
F8340.515 HANSHAW ROAD WATER MAIN IMP
F8340.516 DANBY RD WATER MAIN IMP (WEST SIDE)
F8340.517 TRUMANSBURG RD WATER TANK IMP
F8340.518 SAPSUCKER WOODS TANK PAINTING
F8340.519 CHRISTOPHER CIRCLE TANK PAINTING
TOTAL
TOTAL TRANSMISSION/DISTRIBUTION
COMMON WATER SUPPLY
CONTRACTUAL EXPENSE
F8350.472 SCLIWC WATER CHARGES
F8350.473 CITY OF ITHACA
F8350.474 FOREST HOMES
TOTAL CONTRACTUAL EXPENSE
TOTAL COMMON WATER SUPPLY
TOTAL HOME AND COMMUNITY SERVICES
EMPLOYEE BENEFITS
EMPLOYEE BENEFITS
F9010.800 NYS RETIREMENT
F9030.800 SOCIAL SECURITY
F9040.800 WORKERS COMPENSATION
F9045.800 LIFE INSURANCE
F9055.800 DISABILITY INSURANCE
F9056.800 DISABILITY INSURANCE - LONG-TERM
F9060.800 GROUP HEALTH INSURANCE
TOTAL EMPLOYEE BENEFITS
F-3
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
78.00
0.00
0.00
0.00
911.37
2,000.00
2,000.00
2,000.00
501.19
750.00
800.00
800.00
34,281.57
40,000.00
40,000.00
40,000.00
28,596.61
25,000.00
25,000.00
25,000.00
0.00
0.00
0.00
0.00
0.00
25,000.00
0.00
0.00
0.00
25,000.00
0.00
0.00
1,024.53
10,000.00
0.00
0.00
6,000.00
5,000.00
10,000.00
10,000.00
1,531.40
0.00
0.00
0.00
823.45
1,000.00
0.00
0.00
110,526.94
172,950.00
120,500.00
120,500.00
0.00
100,000.00
100,000.00
100,000.00
0.00
450,000.00
0.00
0.00
0.00
1,500,000.00
0.00
0.00
0.00
0.00
10,000.00
10,000.00
0.00
0.00
0.00
0.00
0.00
0.00
100,000.00
100,000.00
0.00
0.00
25,000.00
25,000.00
0.00
0.00
25,000.00
25,000.00
0.00
2,050,000.00
260,000.00
260,000.00
165 398.19 2,316,931.62 533,300.00 533,300.00
527,067.74
640,000.00
800,000.00
800,000.00
493,546.81
320,000.00
230,000.00
230,000.00
4,828.73
10,000.00
5,000.00
5,000.00
1,025,443.28
970,000.00
1,035,000.00
1,035,000.00
1,025,443.28 970,000.00 1,035,000.00 1,035,000.00
1,218,969.52 3,316,681.62 1,599,400.00 1.599,400.00
190.00
500.00
3,200.00
3,200.00
6,151.11
8,800.00
7,500.00
7,500.00
1,079.00
1,300.00
3,000.00
3,000.00
64.00
50.00
50.00
50.00
26.10
15.00
15.00
15.00
115.04
100.00
100.00
100.00
4,650.49
3,100.00
5,400.00
5,400.00
12,275.74
13,865.00
19,265.00
19,265.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-F AMENDED RECOMMENDED ADOPTED
APPROPRIATIONS ACTUAL BUDGET BUDGET BUDGET
ADOPTED 11/06/03 2002 2003 2004 2004
INTERFUND TRANSFERS
TRANSFERS TO OTHER FUNDS
F9901.901 GENERAL FUND
F9901.904 RISK RETENTION
F9901.907 DEBT SERVICE
TOTAL
TOTAL TRANSFERS TO OTHER FUNDS
TOTAL INTERFUND TRANSFERS
62,745.46
50,902.00
65,988.00
65,988.00
2,000.00
2,000.00
2,000.00
2,000.00
343,133.00
341,396.00
331,372.00
331,372.00
407,878.46
394,298.00
399.360.00
399,360.00
407,878.46 394,298.00 399,360.00 399,360.00
407,878.46 394,298.00 399,360.00 399,360.00
TOTAL APPROPRIATIONS 1,673,921.21 3,756,340.62 2,051,855.00 2,051,855.00
F-4
TOWN OF ITHACA
FISCAL BUDGET - WATER FUND
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
F-5
AMENDED
RECOMMENDED
ADOPTED
SCHEDULE 2-F
ACTUAL
BUDGET
BUDGET
BUDGET
ESTIMATED REVENUES
2002
2003
2004
2004
REAL PROPERTY TAXES
F1031 WATER BENEFIT AD VALOREM
6,000.00
6,000.00
6,000.00
6,000.00
F1032 WATER BENEFIT UNITS
393,235.56
395,541.00
486,733.65
486,733.65
TOTAL REAL PROPERTY TAXES
399,235.56
401,541.00
492,733.65
492,733.65
DEPARTMENTAL INCOME
F2142 METERED WATER SALES
1,470,744.54
1,300,000.00
1,500,000.00
1,500,000.00
F2144 WATER SERVICE CHARGES
7,214.35
3,500.00
7,000.00
7,000.00
F2148 PENALTIES & ASSESSMENTS
15,857.48
10,000.00
15,000.00
15,000.00
TOTAL DEPARTMENTAL INCOME
1,493,816.37
1,313,500.00
1,522,000.00
1,522,000.00
INTERGOVERNMENTAL CHARGES
F2378 SERVICES TO OTHER GOVERNMENTS
471.96
2,000.00
2,000.00
2,000.00
TOTAL INTERGOVERNMENTAL CHARGES
471.96
2,000.00
2,000.00
2,000.00
USE OF MONEY AND PROPERTY
F2401 INTEREST
10,627.02
10,000.00
1,600.00
1,600.00
TOTAL USE OF MONEY AND PROPERTY
10,627.02
10,000.00
1,600.00
1,600.00
SALE OF PROPERTY & COMPENSATION FOR LOSS
F2680 INSURANCE RECOVERIES
300.00
0.00
0.00
0.00
TOTAL SALE OF PROPERTY & COMPENSATION FOR LOSS
300.00
0.00
0.00
0.00
MISCELLANEOUS LOCAL SOURCES
F2701 REFUND OF PRIOR YEARS
11,351.68
0.00
0.00
0.00
TOTAL MISCELLANEOUS LOCAL SOURCES
11,351.68
0.00
0.00
0.00
INTERFUND TRANSFERS
F5031/H CAPITAL PROJECT FUND
950.44
0.00
0.00
0.00
TOTAL INTERFUND TRANSFERS
950.44
0.00
0.00
0.00
PROCEEDS OF OBLIGATIONS
F5730 PROCEEDS FROM BORROWING
0.00
2,050,000.00
0.00
0.00
TOTAL PROCEEDS OF OBLIGATIONS
0.00
2,050,000.00
0.00
0.00
TOTAL REVENUES
1,916,753.03
3,777,041.00
2,018,333.65
2,018,333.65
APPROPRIATED FUND BALANCE
-242,831.82
-20,700.38
33,521.35
33,521.35
TOTAL REVENUES & OTHER SOURCES
1,673,921.21
3,756,340.62
2,051,855.00
2,051,855.00
F-5
Town of Ithaca
Water Fund
Administration & Support
Services
5%
General Obligation Bond
Payments
16%
Purchased Water
50%
1
Salaries & Wages
5% Employee Benefits
/ 1%
Capital Costs - Equipment
4%
Transmission & Distribution
6%
Capital Costs - Line
Improvements
13%
Town of Ithaca
Water Fund
Budgeted Revenues
Appropriated Fund Balance
2%
Metered Water Sales & Charges
74%
Water Benefit Assessments
for
Capital & Debt Obligations
24%
•
•
•
•
•
•
•
•
•
•
•
•
•
•
SEWER FUND
THE SEWER FUND
The Town's Sewer Fund is also a Special Assessment Fund. This fund is used to account
for the financing of the treatment of public sewage operations, services and
improvements that primarily benefit the properties against which special assessments are
levied and user charges are collected. Records of individual user receivable accounts are
essential and are maintained in the Ithaca Town Water and Sewer Rolls. The basis of
accounting and record keeping of financial resources and expenditures is consistent to
that of the General Townwide Fund.
The Sewer Fund budget is categorized into the following major operations. (See pie
chart illustrations)
General Government Support Services
Employee Benefits
Administration
General Improvement Water & Sewer Obligation Serial Bonds
Sanitary Sewer Line Maintenance & Repairs
Sewage Treatment Service Provided by the City of Ithaca Sewage Plant
BUDGETARY ACCOUNTS
Like the Water Fund the Sewer Fund has a limited number of revenue resources. These
resources are distinct and exclusive to the financial operations specific to the treatment of
waste water. Sewer Fund expenditures are also function specific. As in the General
Townwide Fund both revenue and expense account ledgers are maintained to record the
Town's annual financial plan, or budget. Throughout the year the annual operating
budget is monitored and may be subsequently modified to meet changes in current
operating costs or needs. Changes in the budget may also occur due to unanticipated
events or emergencies. Modifications made to the budget require the approval and
authorization of the Town Board. These budgetary controls or management controls are
an integral part of the Town Board's authority and responsibility in keeping expenditures
within the limitations of available appropriations and revenues.
GENERAL (PROPRIETY) ACCOUNTS
It is in these accounts that actual financial results of operations are recorded. Assets,
liabilities, fund equity (commonly referred to as fund balance) including revenue and
expenses accounts are used in the recording and accounting for actual financial results.
These accounts are distinct from budgetary accounts.
TOWN OF ITHACA
FISCAL BUDGET - SEWER FUND
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SCHEDULE 1-G
APPROPRIATIONS
GENERAL GOVERNMENT SUPPORT
INDEPENDENT AUDITING
CONTRACTUAL EXPENSE
G1320.400 SCIRABBA WALKER & CO.,LLP
TOTAL CONTRACTUAL EXPENSE
TOTAL INDEPENDENT AUDITING
TOWN ATTORNEY
CONTRACTUAL EXPENSE
G1420.400 BARNEY GROSSMAN DUBOW & MARCUS
G1420.401 ATTORNEY FOR SEWER
TOTAL CONTRACTUAL EXPENSE
TOTAL TOWN ATTORNEY
LAW PUBLICATIONS & LIBRARY
CONTRACTUAL EXPENSE
G1460.425 LAW PUBLICATIONS & LIBRARY
TOTAL CONTRACTUAL EXPENSE
TOTAL LAW PUBLICATIONS & LIBRARY
GENERAL OFFICE SUPPLIES
CONTRACTUAL EXPENSE
G1660.400 GENERAL OFFICE SUPPLIES
TOTAL CONTRACTUAL EXPENSE
TOTAL GENERAL OFFICE SUPPLIES
CENTRAL PRINTING & MAILING
CONTRACTUAL EXPENSE
G1670.402 COPIER PAPER
G1670.403 COPIER SUPPLIES
G1670.408 POSTAGE
TOTAL CONTRACTUAL EXPENSE
TOTAL CENTRAL PRINTING & MAILING
INFORMATION TECHNOLOGY
EQUIPMENT/CAPITAL OUTLAY
G1680.201 HARDWARE
TOTAL EQUIPMENT/CAPITAL OUTLAY
G-1
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
3,800.00 3,300.00 5,000.00 5,000.00
3,800.00 3,300.00 5,000.00 5,000.00
3,800.00 3,300.00 5,000.00 5,000.00
3,802.83 3,000.00 1,000.00 1,000.00
1,347.12 0.00 1,500.00 1,500.00
5,149.95 3,000.00 2,500.00 2,500.00
5,149.95 3,000.00 2,500.00 2,500.00
0.00 0.00 150.00 150.00
0.00 0.00 150.00 150.00
0.00 0.00 150.00 150.00
0.00 500.00 400.00 400.00
0.00 500.00 400.00 400.00
0.00 500.00 400.00 400.00
540.16
600.00
600.00
600.00
755.78
500.00
600.00
600.00
2.47
0.00
0.00
0.00
1,298.41
1,100.00
1,200.00 1,200.00
1,298.41 1,100.00 1,200.00 1,200.00
2,583.64 0.00 0.00 0.00
2,583.64 0.00 0.00 0.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-G
APPROPRIATIONS
ADOPTED 11/06/03
CONTRACTUAL EXPENSE
G1680.401 MAINTENANCE & REPAIRS
G1680.402 XEROX COPIER DC470
G1680.404 2515 LARGE DOCUMENT COPIER
G1680.405 XEROX COPIER DC230
G1680.461 TOOLS & SUPPLIES
G1680.491 SOFTWARE
G1680.492 GIS SUPPORT
G1680.495 NETWORK SUPPORT
TOTAL CONTRACTUAL EXPENSE
TOTAL INFORMATION TECHNOLOGY
SPECIAL ITEMS
G1910.400 LIABILITY INSURANCE
G1920.401 TAX/ASSESSMENTS ON TOWN REAL PROPERTY
TOTAL SPECIAL ITEMS
TOTAL GENERAL GOVERNMENT SUPPORT
HOME AND COMMUNITY SERVICES
AnM T KIT CTD AT TnAi
PERSONAL SERVICES
G8110.100 REGULAR
TOTAL PERSONAL SERVICES
EQUIPMENT/CAPITAL OUTLAY
G8110.200 EQUIPMENT
TOTAL EQUIPMENT/CAPITAL OUTLAY
CONTRACTUAL EXPENSE
G8110.400 CONTRACTUAL
G8110.408 POSTAGE
G8110.410 UTILITIES
TOTAL CONTRACTUAL EXPENSE
TOTAL ADMINISTRATION
SANITARY SEWERS
PERSONAL SERVICES
G8120.100 REGULAR
G8120.101 REGULAR
G8120.102 OVERTIME
TOTAL PERSONAL SERVICES
EQUIPMENT/CAPITAL OUTLAY
G8120.200 EQUIPMENT
TOTAL EQUIPMENT/CAPITAL OUTLAY
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
0.00
100.00
100.00
100.00
3,527.41
3,700.00
3,700.00
3,700.00
231.57
0.00
120.00
120.00
1,095.28
800.00
1,400.00
1,400.00
0.00
100.00
100.00
100.00
3,201.24
320.00
50.00
50.00
830.62
1,525.00
2,460.00
2,460.00
2,401.25
0.00
450.00
450.00
11,287.37
6,545.00
8,380.00
8,380.00
13,871.01 6,545.00 8,380.00 8,380.00
8,429.20 10,500.00 9,000.00 9,000.00
4,576.81 4.713.00 0.00 0.00
13,006.01 15,213.00 9,000.00 9,000.00
37,125.38 29,658.00 26,630.00 26,630.00
17,677.32 19,500.00 20,800.00 20,800.00
17,677.32 19,500.00 20,800.00 20,800.00
0.00 500.00 0.00 0.00
0.00 500.00 0.00 0.00
42.00
0.00
0.00
0.00
2.55
0.00
0.00
0.00
340.88
500.00
0.00
0.00
385.43
500.00
0.00
0.00
18,062.75 20,500.00 20,800.00 20,800.00
5,376.32
7,500.00
8,200.00
8,200.00
20,654.77
37,000.00
39,700.00
39,700.00
2,320.39
2,000.00
3,000.00
3,000.00
28,351.48
46,500.00
50,900.00
50,900.00
G-2
-518.37 4,481.63 90,000.00 90,000.00
-518.37 4,481.63 90,000.00 90,000.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-G
APPROPRIATIONS
ADOPTED 11/06/03
CONTRACTUAL EXPENSE
G8120.400 CONTRACTUAL
G8120.401 CONFERENCES & MILEAGE
G8120.404 VEHICLE MAINTENANCE
G8120.410 ELECTRIC
G8120.415 TELEPHONES
G8120.420 DUES & PUBLICATIONS
G8120.430 DRUG TESTING
G8120.440 PERSONAL PROTECTIVE EQUIPMENT
G8120.450 GASOLINE
G8120.480 REPAIRS & MAINTENANCE
G8120.481 JOINT SEWER TRANSMISSION
G8120.482 VILLAGE OF CAYUGA HEIGHTS PAYMENT
G8120.490 SEWER REFUNDS & BANK CHARGES
TOTAL CONTRACTUAL EXPENSE
G8120.501 NORTHEAST/SOUTH HILL IMP
TOTAL
TOTAL SANITARY SEWERS
JOINT SEWER PROJECT
CONTRACTUAL EXPENSE
G8150.400 SEWAGE TREATMENT CHARGE
G8150.442 STERNS & WHELER REIMBURSEMENT
TOTAL CONTRACTUAL EXPENSE
G8150.509 JOINTLY OWNED INTERCEPTORS
TOTAL
TOTAL JOINT SEWER PROJECT
TOTAL HOME AND COMMUNITY SERVICES
EMPLOYEE BENEFITS
EMPLOYEE BENEFITS
G9010.800 NYS RETIREMENT
G9030.800 SOCIAL SECURITY
G9040.800 WORKERS COMPENSATION
G9045.800 LIFE INSURANCE
G9055.800 DISABILITY INSURANCE
G9056.800 DISABILITY INSURANCE - LONG-TERM
G9060.800 GROUP HEALTH INSURANCE
TOTAL EMPLOYEE BENEFITS
INTERFUND TRANSFER
TRANSFERS TO OTHER FUNDS
G-3
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
1,524.39
1,000.00
1,500.00
1,500.00
268.00
1,000.00
1,000.00
1,000.00
3,381.39
2,000.00
2,500.00
2,500.00
8,979.88
14,000.00
14,000.00
14,000.00
0.00
900.00
900.00
900.00
128.00
250.00
200.00
200.00
78.00
0.00
0.00
0.00
501.02
1,000.00
1,200.00
1,200.00
1,298.32
1,200.00
1,500.00
1,500.00
52,865.92
38,000.00
40,000.00
40,000.00
165,000.00
422,274.00
215,000.00
215,000.00
164,817.12
165,000.00
175,200.00
175,200.00
165.61
300.00
0.00
0.00
399,007.65
646,924.00
453,000.00
453,000.00
0.00 0.00 33,000.00 33,000.00
0.00 0.00 33,000.00 33,000.00
426,840.76 697,905.63 626,900.00 626,900.00
0.00 425,000.00 724,500.00 724,500.00
0.00 0.00 20,000.00 20,000.00
0.00 425,000.00 744,500.00 744,500.00
0.00 661,000.00 0.00 0.00
0.00 661.000.00 0.00 0.00
0.00 1,086,000.00 744,500.00 744,500.00
444,903.51 1,804,405.63 1,392,200.00 1,392,200.00
189.00
500.00
3,200.00
3,200.00
3,513.88
5,000.00
5,700.00
5,700.00
1,079.00
1,300.00
3,000.00
3,000.00
64.00
50.00
50.00
50.00
18.30
15.00
15.00
15.00
115.01
100.00
100.00
100.00
4,650.49
3,100.00
5,400.00
5,400.00
9,629.68
10,065.00
17,465.00
17,465.00
TOWN OF ITHACA FISCAL BUDGET
SCHEDULE 1-G AMENDED RECOMMENDED ADOPTED
APPROPRIATIONS ACTUAL BUDGET BUDGET BUDGET
ADOPTED 11/06/03 2002 2003 2004 2004
G9901.901 GENERAL FUND
G9901.904 RISK RETENTION
G9901.907 DEBT SERVICE
TOTAL
TOTAL TRANSFERS TO OTHER FUNDS
TRANSFERS TO CAPITAL FUNDS
G9950.925 TRUMANSBURG ROAD SEWER IMP
G9950.927 PUBLIC WORKS FACILITY
TOTAL
TOTAL TRANSFERS TO CAPITAL FUNDS
TOTAL INTERFUND TRANSFERS
62,745.46
50,902.00
65,988.00
65,988.00
2,000.00
2,000.00
0.00
0.00
457,266.00
448,376.00
429,305.00
429,305.00
522,011.46
501,278.00
495,293.00
495,293.00
522,011.46 501,278.00 495,293.00 495,293.00
544,000.00 0.00 0.00 0.00
225.000.00 0.00 0.00 0.00
769.000.00 0.00 0.00 0.00
769.000.00 0.00 0.00 0.00
1,291,011.46 501,278.00 495,293.00 495.293.00
TOTAL APPROPRIATIONS 1,782,670.03 2,345,406.63 1,931,588.00 1,931,588.00
G-4
TOWN OF ITHACA
FISCAL BUDGET - SEWER FUND
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SCHEDULE 2-G
ESTIMATED REVENUES
REAL PROPERTY TAXES
G1030 SEWER BENEFIT UNITS
G1032 SEWER BENEFIT AD VALOREM
TOTAL REAL PROPERTY TAXES
DEPARTMENTAL INCOME
G2120 SEWER RENTS
G2121 SEWER RENTS - CORNELL UNIVERSITY
G2128 PENALTIES & ASSESSMENTS
TOTAL DEPARTMENTAL INCOME
INTERGOVERNMENTAL CHARGES
G2214 SEWER CONNECTION/WEST HILL FIRE STATION
TOTAL INTERGOVERNMENTAL CHARGES
USE OF MONEY AND PROPERTY
G2401 INTEREST
TOTAL USE OF MONEY AND PROPERTY
SALE OF PROPERTY & COMPENSATION FOR LOSS
G2680 INSURANCE RECOVERIES
TOTAL SALE OF PROPERTY & COMPENSATION FOR LOSS
MISCELLANEOUS LOCAL SOURCES
G2701 REFUND OF PRIOR YEARS
TOTAL MISCELLANEOUS LOCAL SOURCES
INTERFUND TRANSFERS
G5031/H INTERFUND TRANSFER -CAPITAL PROJECT FUND
TOTAL INTERFUND TRANSFERS
TOTAL REVENUES
APPROPRIATED FUND BALANCE
TOTAL REVENUES & OTHER SOURCES
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
516,163.00 519,469.00 461,675.00 461,675.00
6,700.00 6,700.00 6,700.00 6,700.00
522,863.00 526,169.00 468,375.00 468,375.00
864,299.15
940,000.00
940,000.00
940,000.00
445,833.30
400,000.00
400,000.00
400,000.00
9,667.78
5,000.00
7,000.00
7,000.00
1,319,800.23
1,345,000.00
1,347.000.00
1,347,000.00
G-5
1,684.00 1,500.00 1,500.00 1,500.00
1,684.00 1,500.00 1,500.00 1.500.00
66,827.38 45,000.00 20,000.00 20,000.00
66,827.38 45,000.00 20,000.00 20,000.00
238.00 0.00 0.00 0.00
238.00 0.00 0.00 0.00
51.486.25 0.00 0.00 0.00
51.486.25 0.00 0.00 0.00
9,532.39 0.00 0.00 0.00
9.532.39 0.00 0.00 0.00
1,972,431.25 1,917,669.00 1,836,875.00 1,836,875.00
-189,761.22 427,737.63 94,713.00 94,713.00
1,782,670.03 2,345,406.63 1,931,588.00 1,931,588.00
Town of Ithaca
Sewer Fund
Budgeted Expenditures
2004
$1,931,533
Administrative & Support
Services Salaries & Wages
5% 4%
Capital Costs - SewerProjects Employee
38%
General Obligation Bond
Payments
22%
Capital Costs - Equipment
5%
Capital Costs - Line Maintenance
2%
Sewer Line Maintenance &
Purchased Services
23%
Town of Ithaca
SewerFund
Budgeted Revenues
2004
$1,931
• •`.
Appropriated Fund
Balance
5%
Other Income
1%
Sewer Rents & Charges
70%
Sewer Benefit
Assessments for Capital &
Debt Obligations
24%
RISK RETENTION FUN -V,
•
TILE RISK RETENTION )FUND
The Town of Ithaca continues to maintain a Risk Retention Fund. It is used to account for
inter -fund revenue resources and direct employee health and wellness expenditures.
Maintaining this fund enables the segregation of moneys, which are expended for small
emergency room, or clinic health care bills as well as assisting Town employees in health
and wellness programs. Budgeting for and meeting certain routine health care treatments
for Town employees has proven beneficial in keeping health insurance costs reasonable.
Lost employee work time due to illness is at acceptable performance levels as the result
of encouraging and providing varied forms of exercise and other forms of personal health
care. While the Town of Ithaca has elected to utilize the benefits of maintaining a Risk
Retention Fund, the Town of Ithaca is not self-insured.
The Risk Retention Fund budget is categorized into the following major operations. (See
pie chart illustrations)
Minor Employee ER and Other Medical & Safety Care Requirements
General Employee Health and Wellness
BUDGETARY ACCOUNTS
The Risk Retention Fund has only one source of revenue and limited expenditures. Like
all other municipal operating funds, this is a self -balancing fund. General ledger accounts
for the Town's annual financial plan, or budget is recorded. Throughout the year the
annual operating budget is monitored and may be subsequently modified to meet changes
in current community needs. Changes in the budget may also occur due to unanticipated
events or emergencies. Modifications made to the budget require the approval and
authorization of the Town Board. These budgetary controls or management controls are
an integral part of the Town Board's authority and responsibility in keeping expenditures
within the limitations of available appropriations and revenues.
GENERAL, (PROPRIETY) ACCOUNTS
It is in these accounts that actual financial results of operations are recorded. Assets,
liabilities, fund equity (commonly referred to as fund balance) including revenue and
expenses accounts are used in the recording and accounting for actual financial results.
These accounts are distinct from budgetary accounts.
TOWN OF ITHACA
FISCAL BUDGET - RISK RETENTION FUND
FOR 2004
SCHEDULE 1-R
APPROPRIATIONS
HEALTH & WELLNESS
WELLNESS / HEALTH
CONTRACTUAL EXPENSE
R4510.400 HOSPITAL & MEDICAL BILLS
R4510.425 HEALTH & WELLNESS
R4510.456 CLAIMS & REPAIRS
TOTAL CONTRACTUAL EXPENSE
TOTAL WELLNESS / HEALTH
TOTAL HEALTH & WELLNESS
(ADOPTED NOVEMBER 6, 2003)
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
782.50
1,000.00
1,000.00
1,000.00
10,325.51
10,000.00
12,000.00
12,000.00
0.00
0.00
2,000.00
2,000.00
11,108.01
11,000.00
15,000.00
15,000.00
11,108.01 11,000.00 15,000.00 15,000.00
11,108.01 11,000.00 15,000.00 15,000.00
TOTAL APPROPRIATIONS 11,108.01 11,000.00 15,000.00 15,000.00
R-1
TOWN OF ITHACA
FISCAL BUDGET - RISK RETENTION FUND
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
R-2
AMENDED
RECOMMENDED
ADOPTED
SCHEDULE 2-R
ACTUAL
BUDGET
BUDGET
BUDGET
ESTIMATED REVENUES
2002
2003
2004
2004
USE OF MONEY AND PROPERTY
R2401 INTEREST & EARNINGS
1,510.88
0.00
500.00
500.00
TOTAL USE OF MONEY AND PROPERTY
1,510.88
0.00
500.00
500.00
INTERFUND TRANSFERS
R5031/A GENERAL FUND
2,000.00
2,000.00
2,000.00
2,000.00
R5031/B GENERAL PART -TOWN FUND
2,000.00
2,000.00
2,000.00
2,000.00
R5031/DB HIGHWAY FUND
2,000.00
2,000.00
2,000.00
2,000.00
R5031/F WATER FUND
2,000.00
2,000.00
2,000.00
2,000.00
R5031/G SEWER FUND
2,000.00
2,000.00
2,000.00
2,000.00
TOTAL INTERFUND TRANSFERS
10,000.00
10,000.00
10,000.00
10,000.00
TOTAL REVENUES
11,510.88
10,000.00
10,500.00
10,500.00
APPROPRIATED FUND BALANCE
-402.87
1,000.00
4,500.00
4,500.00
TOTAL REVENUES & OTHER SOURCES
11,108.01
11,000.00
15,000.00
15,000.00
R-2
Town of Ithaca
Risk Retention Fund
Budgeted Expenditures
2004
$15,000
Hospital & Medical Bills
7%
Small Claims
13%
less Programs
0
Town of Ithaca
Risk Retention Fund
Budgeted Revenues
2004
$15,000
Funding from Sewer Fund
20% -0
Funding from Water Fund
20%
Funding from General
Townwide Fund
:W 20%
Funding from Highway
Part -Town Fund
20%
Funding from General Part -
Town Fund
20%
•
•
•
•
•
•
•
•
•
•
•
•
•
FIRE PROTEC'T'ION FUND
THE FIRE PROTECTION FUND
The Fire Protection Fund is a Special District fund. The Town of Ithaca does not have a
paid fire department nor a volunteer fire department. Fire protection is secured under
contractual arrangement with the fire departments of the Village of Cayuga Heights and
the City of Ithaca.
The Fire Protection Fund budget is categorized into the following major operations. (See
pie chart illustrations)
Contracted Fire Protection
The Village of Cayuga Heights Department
The City of Ithaca Fire Department
BUDGETARY ACCOUNTS
The Fire Protection Fund raises it's revenue by way of a tax levy. The tax rate is based
upon the assessed property valuations that are within the protected areas of the Town
excluding taxable property values that lie within the Village of Cayuga Heights.
These taxes are expended for the sole purpose of meeting contractual arrangements
entered into with The Village of Cayuga Heights and the City of Ithaca for providing fire
protection to the Ithaca Town residents. Like all other operating funds this fund is a self -
balancing fund. It is comprised of general ledger accounts where the Town's annual
financial plan, or budget is recorded. Consistent with management policy the annual
operating budget is monitored throughout the year. If necessary modifications to meet
changes in current community needs and or costs may be made. As in all other funds
modifications made to the fire protection budget require the approval and authorization of
the Town Board. These budgetary controls or management controls are an integral part of
the Town Board's authority and responsibility in keeping expenditures within the
limitations of available appropriations and revenues.
GENERAL (PROPRIETY) ACCOUNTS
It is in these accounts that actual financial results of operations are recorded. Assets,
liabilities, fund equity (commonly referred to as fund balance) including revenue and
expenses accounts are used in the recording and accounting for actual financial results.
These accounts are distinct from budgetary accounts.
TOWN OF ITHACA
FISCAL BUDGET - FIRE PROTECTION FUND
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SCHEDULE 1 -SF
APPROPRIATIONS
GENERAL GOVERNMENT SUPPORT
CONTRACTUAL
CONTRACTUAL EXPENSE
SF1420.400 BARNEY GROSSMAN DUBOW & MARCUS
TOTAL CONTRACTUAL EXPENSE
TOTAL CONTRACTUAL
SPECIAL ITEMS
SF1920.401 TAX/ASSESSMENTS ON TOWN REAL PROPERTY
TOTAL SPECIAL ITEMS
TOTAL GENERAL GOVERNMENT SUPPORT
PUBLIC SAFETY
FIRE PROTECTION
CONTRACTUAL EXPENSE
SF3410.490 FOREIGN FIRE INS CITY OF ITHACA
SF3410.491 ITHACA CITY FIRE PROTECTION CONTRACT
SF3410.492 V/CAYUGA HGTS FIRE PROTECTION CONTRACT
SF3410.493 FOREIGN FIRE INS V/CAYUGA HEIGHTS
TOTAL CONTRACTUAL EXPENSE
TOTAL FIRE PROTECTION
TOTAL PUBLIC SAFETY
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
7,529.25 1,700.00 1,000.00 1,000.00
7,529.25 1,700.00 1,000.00 1,000.00
7,529.25 1,700.00 1,000.00 1,000.00
23,922.78 11,976.74 1,300.00 1,300.00
23,922.78 11,976.74 1,300.00 1,300.00
31,452.03 13,676.74 2,300.00 2,300.00
14,039.00 16,151.70 16,100.00 16,100.00
1,866,147.00 1,866,147.00 2,010,848.00 2,010,848.00
92,262.00 137,928.00 151,354.00 151,354.00
739.00 672.99 700.00 700.00
1,973,187.00 2,020,899.69 2,179,002.00 2,179,002.00
1.973.187.00 2.020.899.69 2.179.002.00 2.179.002.
1,973,187.00 2,020,899.69 2,179,002.00 2,179,002.00
TOTAL APPROPRIATIONS 2,004,639.03 2,034,576.43 2,181,302.00 2,181,302.00
SF -1
TOWN OF ITHACA
FISCAL BUDGET - FIRE PROTECTION FUND
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SCHEDULE 2 -SF
ESTIMATED REVENUES
REAL PROPERTY TAXES
SF1001 FIRE PROTECTION TAX
TOTAL REAL PROPERTY TAXES
REAL PROPERTY TAX ITEMS
SF1081 IN LIEU OF TAXES
TOTAL REAL PROPERTY TAX ITEMS
USE OF MONEY AND PROPERTY
SF2401 INTEREST
TOTAL USE OF MONEY AND PROPERTY
STATE AID
SF3085 NYS - FOREIGN FIRE INS PREMIUM DIST
TOTAL STATE AID
TOTAL REVENUES
APPROPRIATED FUND BALANCE
TOTAL REVENUES & OTHER SOURCES
SF -2
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
2,022,009.00 2 035 431.00 2,302,878.00 2,302,878.00
2,022,009.00 2,035,431.00 2,302,878.00 2,302,878.00
7,280.85 7,691.15 7,600.00 7,600.00
7,280.85 7,691.15 7,600.00 7,600.00
16 382.51 15,995.24 9,000.00 9,000.00
16 382.51 15 995.24 9,000.00 9.000.00
14 777.98 16,824.69 16,800.00 16,800.00
14 777.98 16 824.69 16,800.00 16,800.00
2,060,450.34 2,075,942.08 2,336,278.00 2,336,278.00
-55,811.31 -41,365.65 -154,976.00 -154,976.00
2,004,639.03 2,034,576.43 2,181,302.00 2,181,302.00
Town of Ithaca
Fire Protection Fund
Budgeted Expenditures
Q1I1I!
$25181,302
Village of Cayuga Heights
Fire Protection Contract City of Ithaca
7% Distribution of NYS Foreign Fire
Insurance Premiums
0.75%
Village of Cayuga Heights
Distribution of NYS Foreign Fire rMah,
Insurance Premiums
0.25%
City of Ithaca
Fire Protection Contract
92%
Town of Ithaca
Fire Protection Fund
Budgeted Revenues
2004
$251815302
Other Income
1 % Fund Balance
Excess Funding
6%
NYS Foreign Fire Insurance
Premiums
1%
Real Property Taxes
92%
w
•
•
•
•
•
ism
u
•
•
•
•
0
THE LIGHTING FUNDS
There are nine (9) lighting districts located within the Ithaca Township. Each lighting
district fund is a Special District fund. These nine (9) districts perform a single function,
street or road lighting. An annual tax levy is the method used in financing operations for
each district In calculating the tax levy some districts use assessed valuations as the basis
for computing and other district use road footage or number of units. These applied
taxing formulas were determined at the time the District was established. Special districts
are accounted for essentially in the same prescribed manner as the General Townwide
Fund
The nine (9) lighting districts located within the Town of Ithaca are:
Forest Home Light District
Glenside Light District
Renwick Heights Light District
Eastwood Commons Light District
Clover Lane Light District
Winner's Circle Light District
Burleigh Light District
West Haven Light District
Coddington Road Light District
Each district budget is categorized into a single major operation. (See pie chart
illustrations)
Lighting Service
BUDGETARY ACCOUNTS
Individually, each lighting district raises revenue by way of a tax levy. These taxes are
expended for the sole purpose of meeting the monthly cost of operating street or road
lighting. Each operating fund is a self -balancing fund. Accounting records are comprised
of general ledger accounts where the Town's annual financial plan, or budget is recorded.
Consistent with management policy the annual operating budget is monitored throughout
the year. If necessary modifications to meet changes in current cost or community needs
may be made. As in all other funds modifications made to each lighting district budget
requires the approval and authorization of the Town Board. These budgetary controls or
management controls are an integral part of the Town Board's authority and
responsibility in keeping expenditures within the limitations of available appropriations
and revenues.
C
GENERAL (PROPRIETY) ACCOUNTS
It is in these accounts that actual financial results of operations are recorded. Assets,
liabilities, fund equity (commonly referred to as fund balance) including revenue and
expenses accounts are used in the recording and accounting for actual financial results.
These accounts are distinct from budgetary accounts.
2
Town Of Ithaca
Lighting District Funds
Budgeted Expenditures
r�-
$14,505
(All Utility Costs Payable To NYSEG Solutions)
Coddington Road Light District
12%
West Haven Road Light District
21%
Burleigh Drive Light District
6%
Winner's Circle Light District
6%
Forest Home Light District
20%
11
Glenside Light District
7%
Renwick Heights Light District
8%
7 4
IL
Clover Lane Light District
2%
Eastwood Commons Light District
18%
0
Town of Ithaca
Lighting District Funds
Budgeted Revenues
(Revenue Provided By Real Property Taxes)
Coddington Road Light Distirct
12%
West Haven Light District
21%
Forest Home Light District
20%
0
Glenside Light District
7%
�ldw
Renwick Heights Light District
8%
Burleigh Drive Light District
6% Eastwood Commons Light District
18%
Winner's Circle Light District
6% Clover Lane Light District
2%
TOWN OF ITHACA
FISCAL BUDGET - FOREST HOME LIGHT DIST
FOR 2004
SCHEDULE 1-SL1
APPROPRIATIONS
STREET LIGHTING
CONTRACTUAL EXPENSE
SL1-5182.4000ONTRACTUAL
TOTAL CONTRACTUAL EXPENSE
TOTAL STREET LIGHTING
TOTAL TRANSPORTATION
(ADOPTED NOVEMBER 6, 2003)
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
2,077.21 2,300.00 2,829.00 2,829.00
2,077.21 2,300.00 2,829.00 2,829.00
2,077.21 2,300.00 2,829.00 2,829.00
2,077.21 2,300.00 2,829.00 2,829.00
• TOTAL APPROPRIATIONS 2,077.21 2,300.00 2,829.00 2,829.00
SL1-1
TOWN OF ITHACA
FISCAL BUDGET - FOREST HOME LIGHT DIST
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SLI -2
AMENDED
RECOMMENDED
ADOPTED
SCHEDULE 2-SL1
ACTUAL
BUDGET
BUDGET
BUDGET
ESTIMATED REVENUES
2002
2003
2004
2004
REAL PROPERTY TAXES
SL1-1001 REAL PROPERTY TAXES
1,300.00
2,300.00
2,829.00
2,829.00
TOTAL REAL PROPERTY TAXES
1,300.00
2,300.00
2,829.00
2,829.00
USE OF MONEY AND PROPERTY
SL1-2401 INTEREST
28.04
0.00
0.00
0.00
TOTAL USE OF MONEY AND PROPERTY
28.04
0.00
0.00
0.00
TOTAL REVENUES
1,328.04
2,300.00
2,829.00
2,829.00
APPROPRIATED FUND BALANCE
749.17
0.00
0.00
0.00
TOTAL REVENUES & OTHER SOURCES
2,077.21
2,300.00
2,829.00
2,829.00
SLI -2
GLENSIDE LIGHT DISTRICT
• FUND
•
•
•
•
•
TOWN OF ITHACA
FISCAL BUDGET - GLENSIDE LIGHT DIST
FOR 2004
SCHEDULE 1-SL2
APPROPRIATIONS
TRANSPORTATION
STREET LIGHTING
CONTRACTUAL EXPENSE
SL2-5182.4000ONTRACTUAL
TOTAL CONTRACTUAL EXPENSE
(ADOPTED NOVEMBER 6, 2003)
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
747.96 825.00 994.00 994.00
747.96 825.00 994.00 994.00
0 TOTAL STREET LIGHTING 747.96 825.00 994.00 994.00
TOTAL TRANSPORTATION
TOTAL APPROPRIATIONS
SL2-1
747.96 825.00 994.00 994.00
747.96 825.00 994.00 994.00
171
TOWN OF ITHACA
FISCAL BUDGET - GLENSIDE LIGHT DIST
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SL2-2
AMENDED
RECOMMENDED
ADOPTED
SCHEDULE 2-SL2
ACTUAL
BUDGET
BUDGET
BUDGET
ESTIMATED REVENUES
2002
2003
2004
2004
REAL PROPERTY TAXES
SL2-1001 REAL PROPERTY TAXES
700.00
825.00
994.00
994.00
TOTAL REAL PROPERTY TAXES
700.00
825.00
994.00
994.00
USE OF MONEY AND PROPERTY
SL2-2401 INTEREST
13.07
0.00
0.00
0.00
TOTAL USE OF MONEY AND PROPERTY
13.07
0.00
0.00
0.00
TOTAL REVENUES
713.07
825.00
994.00
994.00
APPROPRIATED FUND BALANCE
34.89
0.00
0.00
0.00
TOTAL REVENUES & OTHER SOURCES
747.96
825.00
994.00
994.00
SL2-2
RENWICK HEIGHTS LIGHT
DISTRICT FUND
TOWN OF ITHACA
FISCAL BUDGET - RENWICK HGTS LIGHT DIST
FOR 2004
SCHEDULE 1-SL3
APPROPRIATIONS
TRANSPORTATION
STREET LIGHTING
CONTRACTUAL EXPENSE
SL3-5182.4000ONTRACTUAL
TOTAL CONTRACTUAL EXPENSE
TOTAL STREET LIGHTING
TOTAL TRANSPORTATION
(ADOPTED NOVEMBER 6, 2003)
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
1,046.10 1,200.00 1,203.00 1,203.00
1,046.10 1,200.00 1,203.00 1,203.00
1,046.10 1,200.00 1,203.00 1,203.00
1,046.10 1,200.00 1,203.00 1,203.00
TOTAL APPROPRIATIONS 1,046.10 1,200.00 1,203.00 1,203.00
SL3-1
TOWN OF ITHACA
FISCAL BUDGET - RENWICK HGTS LIGHT DIST
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SL3-2
AMENDED
RECOMMENDED
ADOPTED
SCHEDULE 2-SL3
ACTUAL
BUDGET
BUDGET
BUDGET
ESTIMATED REVENUES
2002
2003
2004
2004
REAL PROPERTY TAXES
SL3-1001 REAL PROPERTY TAXES
300.00
1,200.00
1,203.00
1,203.00
TOTAL REAL PROPERTY TAXES
300.00
1,200.00
1,203.00
1,203.00
USE OF MONEY AND PROPERTY
SL3-2401 INTEREST
30.30
0.00
0.00
0.00
TOTAL USE OF MONEY AND PROPERTY
30.30
0.00
0.00
0.00
TOTAL REVENUES
330.30
1,200.00
1,203.00
1,203.00
APPROPRIATED FUND BALANCE
715.80
0.00
0.00
0.00
TOTAL REVENUES & OTHER SOURCES
1,046.10
1,200.00
1,203.00
1,203.00
SL3-2
•
•
•
s
•
•
•
s
•
•
•
•
•
•
•
•
EASTWOOD COMMONS LIGHT
DISTRICT FUND
TOWN OF ITHACA
FISCAL BUDGET - EASTWOOD COMMONS LIGHT DIST
FOR 2004
SCHEDULE 1-SL4
APPROPRIATIONS
TRANSPORTATION
STREET LIGHTING
CONTRACTUAL EXPENSE
SL4-5182.4000ONTRACTUAL
TOTAL CONTRACTUAL EXPENSE
TOTAL STREET LIGHTING
TOTAL TRANSPORTATION
(ADOPTED NOVEMBER 6, 2003)
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
2,159.66 2,300.00 2,571.00 2,571.00
2,159.66 2,300.00 2,571.00 2,571.00
66 2.300.00 2.571.00 2.571.
2,159.66 2,300.00 2,571.00 2,571.00
TOTAL APPROPRIATIONS 2,159.66 2,300.00 2,571.00 2,571.00
SL4-1
0
TOWN OF ITHACA
FISCAL BUDGET - EASTWOOD COMMONS LIGHT DIST
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SL4-2
AMENDED
RECOMMENDED
ADOPTED
SCHEDULE 2-SL4
ACTUAL
BUDGET
BUDGET
BUDGET
ESTIMATED REVENUES
2002
2003
2004
2004
REAL PROPERTY TAXES
SL4-1001 REAL PROPERTY TAXES
1,800.00
2,300.00
2,571.00
2,571.00
TOTAL REAL PROPERTY TAXES
1,800.00
2,300.00
2,571.00
2,571.00
USE OF MONEY AND PROPERTY
SL4-2401 INTEREST
39.80
0.00
0.00
0.00
TOTAL USE OF MONEY AND PROPERTY
39.80
0.00
0.00
0.00
TOTAL REVENUES
1,839.80
2,300.00
2,571.00
2,571.00
APPROPRIATED FUND BALANCE
319.86
0.00
0.00
0.00
TOTAL REVENUES & OTHER SOURCES
2,159.66
2,300.00
2,571.00
2,571.00
SL4-2
0
t
•
•
•
t
� CLOVER LANE LIGHT
DISTRICT FUND
•
•
•
•
w
•
w
•
•
•
•
•
Fj
TOWN OF ITHACA
FISCAL BUDGET - CLOVER LANE LIGHT DIST
FOR 2004
SCHEDULE 1-SL5
APPROPRIATIONS
TRANSPORTATION
STREET LIGHTING
CONTRACTUAL EXPENSE
SL5-5182.40000NTRACTUAL
TOTAL CONTRACTUAL EXPENSE
TOTAL STREET LIGHTING
TOTAL TRANSPORTATION
TOTAL APPROPRIATIONS
n
LJ
(ADOPTED NOVEMBER 6, 2003)
SL5-1
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
248.53 265.00 287.00 287.00
248.53 265.00 287.00 287.00
248.53 265.00 287.00 287.00
248.53 265.00 287.00 287.00
248.53 265.00 287.00 287.00
10
•
TOWN OF ITHACA
FISCAL BUDGET - CLOVER LANE LIGHT DIST
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SL5-2
AMENDED
RECOMMENDED
ADOPTED
SCHEDULE 2-SL5
ACTUAL
BUDGET
BUDGET
BUDGET
ESTIMATED REVENUES
2002
2003
2004
2004
REAL PROPERTY TAXES
SL5-1001 REAL PROPERTY TAXES
200.00
265.00
287.00
287.00
TOTAL REAL PROPERTY TAXES
200.00
265.00
287.00
287.00
USE OF MONEY AND PROPERTY
SL5-2401 INTEREST
7.54
0.00
0.00
0.00
TOTAL USE OF MONEY AND PROPERTY
7.54
0.00
0.00
0.00
TOTAL REVENUES
207.54
265.00
287.00
287.00
APPROPRIATED FUND BALANCE
40.99
0.00
0.00
0.00
TOTAL REVENUES & OTHER SOURCES
248.53
265.00
287.00
287.00
SL5-2
WINNER'S CIRCLE LIGHT
DISTRICT FUND
TOWN OF ITHACA
FISCAL BUDGET - WINNER'S CIRCLE LIGHT DIST
FOR 2004
SCHEDULE 1-SL6
APPROPRIATIONS
TRANSPORTATION
STREET LIGHTING
CONTRACTUAL EXPENSE
SL6-5182.4000ONTRACTUAL
TOTAL CONTRACTUAL EXPENSE
TOTAL STREET LIGHTING
TOTAL TRANSPORTATION
(ADOPTED NOVEMBER 6, 2003)
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
731.94 775.00 893.00 893.00
731.94 775.00 893.00 893.00
731.94 775.00 893.00 893.00
731.94 775.00 893.00 893.00
TOTAL APPROPRIATIONS 731.94 775.00 893.00 893.00
SL6-1
SCHEDULE 2-SL6
ESTIMATED REVENUES
REAL PROPERTY TAXES
SL6-1001 REAL PROPERTY TAXES
TOTAL REAL PROPERTY TAXES
USE OF MONEY AND PROPERTY
SL6-2401 INTEREST
TOTAL USE OF MONEY AND PROPERTY
TOTAL REVENUES
APPROPRIATED FUND BALANCE
TOTAL REVENUES & OTHER SOURCES
TOWN OF ITHACA
FISCAL BUDGET - WINNER'S CIRCLE LIGHT DIST
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SL6-2
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
500.00 775.00 893.00 893.00
500.00 775.00 893.00 893.00
14.07 0.00 0.00 0.00
14.07 0.00 0.00 0.00
514.07 775.00 893.00 893.00
217.87 0.00 0.00 0.00
731.94 775.00 893.00 893.00
DISTRICT FUND
TOWN OF ITHACA
FISCAL BUDGET - BURLEIGH DRIVE LIGHT DIST
FOR 2004
SCHEDULE 1-SL7
APPROPRIATIONS
TRANSPORTATION
STREET LIGHTING
CONTRACTUAL EXPENSE
SL7-5182.4000ONTRACTUAL
TOTAL CONTRACTUAL EXPENSE
TOTAL STREET LIGHTING
(ADOPTED NOVEMBER 6, 2003)
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
768.46 825.00 825.00 825.00
768.46 825.00 825.00 825.00
768.46 825.00 825.00 825.00
TOTAL TRANSPORTATION 768.46 825.00 825.00 825.00
•
TOTAL APPROPRIATIONS
SL7-1
768.46 825.00 825.00 825.00
•
TOWN OF ITHACA
FISCAL BUDGET - BURLEIGH DRIVE LIGHT DIST
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SL7-2
AMENDED
RECOMMENDED
ADOPTED
SCHEDULE 2-SL7
ACTUAL
BUDGET
BUDGET
BUDGET
ESTIMATED REVENUES
2002
2003
2004
2004
REAL PROPERTY TAXES
SL7-1001 REAL PROPERTY TAXES
950.00
825.00
825.00
825.00
TOTAL REAL PROPERTY TAXES
950.00
825.00
825.00
825.00
USE OF MONEY AND PROPERTY
SL7-2401 INTEREST
21.61
0.00
0.00
0.00
TOTAL USE OF MONEY AND PROPERTY
21.61
0.00
0.00
0.00
TOTAL REVENUES
971.61
825.00
825.00
825.00
APPROPRIATED FUND BALANCE
-203.15
0.00
0.00
0.00
TOTAL REVENUES & OTHER SOURCES
768.46
825.00
825.00
825.00
SL7-2
WEST HAVEN ROAD LIGHT
DISTRICT FUND
TOWN OF ITHACA
FISCAL BUDGET - WEST HAVEN ROAD LIGHT DIST
FOR 2004
SCHEDULE 1-SL8
APPROPRIATIONS
TRANSPORTATION
STREET LIGHTING
CONTRACTUAL EXPENSE
SL8-5182.4000ONTRACTUAL
TOTAL CONTRACTUAL EXPENSE
TOTAL STREET LIGHTING
TOTAL TRANSPORTATION
TOTAL APPROPRIATIONS
(ADOPTED NOVEMBER 6, 2003)
SL8-1
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
2,860.31 3,100.00 3,103.00 3,103.00
2,860.31 3,100.00 3,103.00 3,103.00
2,860.31 3,100.00 3,103.00 3,103.00
2,860.31 3,100.00 3,103.00 3,103.00
2,860.31 3,100.00 3,103.00 3,103.00
0
TOWN OF ITHACA
FISCAL BUDGET - WEST HAVEN ROAD LIGHT DIST
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SL8-2
AMENDED
RECOMMENDED
ADOPTED
SCHEDULE 2-SL8
ACTUAL
BUDGET
BUDGET
BUDGET
ESTIMATED REVENUES
2002
2003
2004
2004
REAL PROPERTY TAXES
SL8-1001 REAL PROPERTY TAXES
2,100.00
3,100.00
3,103.00
3,103.00
TOTAL REAL PROPERTY TAXES
2,100.00
3,100.00
3,103.00
3,103.00
USE OF MONEY AND PROPERTY
SL8-2401 INTEREST
52.67
0.00
0.00
0.00
TOTAL USE OF MONEY AND PROPERTY
52.67
0.00
0.00
0.00
TOTAL REVENUES
2,152.67
3,100.00
3,103.00
3,103.00
APPROPRIATED FUND BALANCE
707.64
0.00
0.00
0.00
TOTAL REVENUES & OTHER SOURCES
2,860.31
3,100.00
3,103.00
3,103.00
SL8-2
0
u
TOWN OF ITHACA
FISCAL BUDGET - CODDINGTON ROAD LIGHT DIST
FOR 2004
SCHEDULE 1-SL9
APPROPRIATIONS
TRANSPORTATION
STREET LIGHTING
CONTRACTUAL EXPENSE
SL9-5182.4000ONTRACTUAL
TOTAL CONTRACTUAL EXPENSE
TOTAL STREET LIGHTING
TOTAL TRANSPORTATION
TOTAL APPROPRIATIONS
•
(ADOPTED NOVEMBER 6, 2003)
SL9-1
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
1,689.03 1,800.00 1,800.00 1,800.00
1,689.03 1,800.00 1,800.00 1,800.00
1.689.03 1,800.00 1,800.00 1,800.00
1,689.03 1,800.00 1,800.00 1,800.00
1,689.03 1,800.00 1,800.00 1,800.00
TOWN OF ITHACA
FISCAL BUDGET - CODDINGTON ROAD LIGHT DIST
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SL9-2
AMENDED
RECOMMENDED
ADOPTED
SCHEDULE 2-SL9
ACTUAL
BUDGET
BUDGET
BUDGET
ESTIMATED REVENUES
2002
2003
2004
2004
REAL PROPERTY TAXES
SL9-1001 REAL PROPERTY TAXES
1,600.00
1,800.00
1,800.00
1,800.00
TOTAL REAL PROPERTY TAXES
1,600.00
1,800.00
1,800.00
1,800.00
USE OF MONEY AND PROPERTY
SL9-2401 INTEREST
34.27
0.00
0.00
0.00
TOTAL USE OF MONEY AND PROPERTY
34.27
0.00
0.00
0.00
TOTAL REVENUES
1,634.27
1,800.00
1,800.00
1,800.00
APPROPRIATED FUND BALANCE
54.76
0.00
0.00
0.00
TOTAL REVENUES & OTHER SOURCES
1,689.03
1,800.00
1,800.00
1,800.00
SL9-2
DEBT SERVICE FUND
THE DEBT SERVICE FUND
0
The Debt Service Fund is provided to account for the accumulation of inter -fund
resources (cash appropriated and transferred from the General Townwide Fund, and the
Water & Sewer Funds) expended exclusively for the payment of principal and interest on
long-term debt (municipal bonds) obligations and capital costs. Presently, the Town of
Ithaca uses this resource to pay down principal and interest on outstanding long-term
serial bonds. The basis of accounting and recording of financial resources and
expenditures is the same as for the General Townwide Fund.
The Debt Service Fund budget is categorized into the following major operations. (See
pie chart illustrations)
General Townwide Public Works Facility Serial Bond Obligation
Water and Sewer General Improvement Serial Bond Obligations
BUDGETARY ACCOUNTS
The Debt Service Fund has a limited number of inter -fund revenue resources.
Expenditures are specifically charged for each bond or note outstanding. As in the
General Townwide Fund both revenue and expense account ledgers are maintained to
record the Town's annual financial plan, or budget. Throughout the year the annual
operating budget is monitored and may be subsequently modified to meet changes in the
event new debt obligations are incurred. Modifications made to the budget require the
approval and authorization of the Town Board. These budgetary controls or management
controls are an integral part of the Town Board's authority and responsibility in keeping
expenditures within the limitations of available appropriations and revenues.
GENERAL (PROPRIETY) ACCOUNTS
It is in these accounts that actual financial results of operations are recorded. Assets,
liabilities, fund equity (commonly referred to as fund balance) including revenue and
expenses accounts are used in the recording and accounting for actual financial results.
These accounts are distinct from budgetary accounts.
•
•
TOWN OF ITHACA
FISCAL BUDGET - DEBT SERVICE
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SCHEDULE 1-V
APPROPRIATIONS
GENERAL GOVERNMENT SUPPORT
FISCAL AGENT FEES
CONTRACTUAL EXPENSE
V1380.400 JP MORGAN CHASE BANK
TOTAL CONTRACTUAL EXPENSE
TOTAL FISCAL AGENT FEES
TOTAL GENERAL GOVERNMENT SUPPORT
DEBT SERVICE (SERIAL BONDS)
$1,967.000 WATER & SEWER IMP /1976 6.00%
PRINCIPAL
V9710.601 $158,000 SNYDER HILL RD WATER
TOTAL PRINCIPAL
INTEREST
V9710.701 $158,000 SNYDER HILL RD WATER
TOTAL INTEREST
TOTAL $1,967,000 WATER & SEWER IMP /1976 6.00%
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
2,238.80 2,200.00 3,400.00 3,400.00
2,238.80 2,200.00 3,400.00 3,400.00
2,238.80 2,200.00 3,400.00 3,400.00
2,238.80 2,200.00 3,400.00 3,400.00
5,000.00 5.000.00 0.00 0.00
5,000.00 5.000.00 0.00 0.00
450.00 150.00 0.00 0.00
450.00 150.00 0.00 0.00
5.450.00 5,150.00 0.00 0.00
$2,830.000
PUBLIC IMP / 1986 6.80%
PRINCIPAL
$550,000 WATER IMPROVEMENTS 1984
9,180.00
7,140.00
4,845.00
4,845.00
V9730.601
$550,000 WATER IMPROVEMENTS 1984
30,000.00
30,000.00
30,000.00
30,000.00
V9730.602
$2,100,000 WASTE WATER TREATMENT PLANT
110,000.00
110,000.00
110,000.00
110,000.00
V9730.603
$180,000 SEWER IMPROVEMENT PORTION
10,000.00
10,000.00
10,000.00
10,000.00
TOTAL PRINCIPAL
150,000.00
150,000.00
150,000.00
150,000.00
INTEREST
V9730.701
$550,000 WATER IMPROVEMENTS 1984
9,180.00
7,140.00
4,845.00
4,845.00
V9730.702
$2,100,000 WASTE WATER TREATMENT PLANT
33,660.00
26,180.00
18,870.00
18,870.00
V9730.703
$180,000 SEWER IMPROVEMENT PORTION
3,060.00
2,380.00
1,785.00
1,785.00
TOTAL INTEREST
45,900.00
35,700.00
25,500.00
25,500.00
TOTAL $2,830,000 PUBLIC IMP / 1986 6.80%
195,900.00
185,700.00
175,500.00
175,500.00
$2,580,000 PUBLIC IMP / 1989 7.30%
PRINCIPAL
V9740.601 $479,000 1987 WATER IMP / 1ST SERIES
V9740.602 $500,000 1987 WATER IMP / 2ND SERIES
V9740.603 $143,982 OLD SOUTH HILL WATER / 1ST AUTH
V-1
29,915.00 24,915.00 28,500.00 28,500.00
25,000.00 25,000.00 28,500.00 28,500.00
7,578.00 7,578.00 9,000.00 9,000.00
•
TOWN OF ITHACA
FISCAL BUDGET
9,362.00
9,362.00
13,688.00
11,863.00
SCHEDULE 1-V
9,362.00
3,596.00
AMENDED
RECOMMENDED
ADOPTED
APPROPRIATIONS
2,372.00
ACTUAL
BUDGET
BUDGET
BUDGET
ADOPTED 11/06/03
2002
2003
2004
2004
V9740.604
$112,018 OLD SOUTH HILL WATER / 2ND AUTH
5,907.00
5,907.00
6,000.00
6,000.00
V9740.605
$11,000 CODDINGTON RD SEWER
600.00
600.00
1,500.00
1,500.00
V9740.606
$384,000 1987 SEWER IMP / 1ST SERIES
21,000.00
24,000.00
21,000.00
21,000.00
V9740.607
$950,000 1987 SEWER IMP / 2ND SERIES
50,000.00
52,000.00
55,500.00
55,500.00
TOTAL PRINCIPAL
140.000.00
140.000.00
150.000.00
150.000.00
INTEREST
V9740.701 $479,000 1987 WATER IMP / 1ST SERIES
V9740.702 $500,000 1987 WATER IMP / 2ND SERIES
V9740.703 $143,982 OLD SOUTH HILL WATER / 1ST AUTH
V9740.704 $112,018 OLD SOUTH HILL WATER / 2ND AUTH
V9740.705 $11,000 CODDINGTON RD SEWER
V9740.706 $384,000 1987 SEWER IMP / 1ST SERIES
V9740.707 $950,000 1987 SEWER IMP / 2ND SERIES
TOTAL INTEREST
TOTAL $2,580,000 PUBLIC IMP / 1989 7.30%
$4.465.000 PUBLIC IMP BOND / 1991 6.625%
PRINCIPAL
V9750.601 $2,337,000 TWN WATER BENEFITTED AREA
V9750.602 $2,128,000 TWN SEWER BENEFITTED AREA
TOTAL PRINCIPAL
INTEREST
V9750.701 $2,337,000 TWN WATER BENEFITTED AREA
V9750.702 $2,128,000 TWN SEWER BENEFITTED AREA
TOTAL INTEREST
TOTAL $4,465,000 PUBLIC IMP BOND / 1991 6.625%
12,003.00
10,004.00
9,362.00
9,362.00
13,688.00
11,863.00
9,362.00
9,362.00
3,596.00
3,043.00
2,957.00
2,957.00
2,803.00
2,372.00
1,971.00
1,971.00
285.00
239.00
493.00
493.00
11,279.00
9,636.00
6,899.00
6,899.00
26,426.00
22,703.00
18,232.00
18,232.00
70.080.00
59.860.00
49.276.00
49.276.00
210,080.00 199,860.00 199,276.00 199,276.00
117,000.00 130,000.00 130,000.00 130,000.00
108,000.00 120,000.00 120,000.00 120,000.00
225,000.00 250,000.00 250,000.00 250,000.00
85,263.80 77,513.00 68,900.00 68,900.00
78,705.02 71,550.00 63,600.00 63,600.00
163,968.82 149,063.00 132,500.00 132,500.00
388,968.82 399,063.00 382,500.00 382,500.00
$1,000,000 PUBLIC WORKS FAC / 2003 5.0%
PRINCIPAL
V9760.601 $1,000,000 PUBLIC WORKS FAC / 2003 5.0% 0.00 0.00 76,000.00 76,000.00
TOTAL PRINCIPAL 0.00 0.00 76,000.00 76,000.00
INTEREST
V9760.701 $1,000,000 PUBLIC WORKS FAC / 2003 5.0%
0.00
0.00
50,000.00
50,000.00
TOTAL INTEREST
0.00
0.00
50,000.00
50,000.00
TOTAL $1,000,000 PUBLIC WORKS FAC / 2003 5.0%
0.00
0.00
126,000.00
126,000.00
TOTAL DEBT SERVICE (SERIAL BONDS)
800,398.82
789,773.00
883,276.00
883,276.00
TOTAL APPROPRIATIONS
802,637.62
791,973.00
886,676.00
886,676.00
V-2
L
TOWN OF ITHACA
FISCAL BUDGET - DEBT SERVICE
FOR 2004
(ADOPTED NOVEMBER 6, 2003)
SCHEDULE 2-V
ESTIMATED REVENUES
USE OF MONEY AND PROPERTY
V2401 INTEREST & EARNINGS
TOTAL USE OF MONEY AND PROPERTY
INTERFUND TRANSFERS
V5031/A INTERFUND TRANSFER - GENERAL FUND
V5031/F INTERFUND TRANSFER - WATER
V5031/G INTERFUND TRANSFER - SEWER
TOTAL INTERFUND TRANSFERS
TOTAL REVENUES
APPROPRIATED FUND BALANCE
TOTAL REVENUES & OTHER SOURCES
V-3
AMENDED RECOMMENDED ADOPTED
ACTUAL BUDGET BUDGET BUDGET
2002 2003 2004 2004
1,822.06 0.00 1,800.00 1,800.00
1,822.06 0.00 1,800.00 1,800.00
0.00
0.00
126,000.00
126,000.00
343,133.00
341,396.00
331,372.00
331,372.00
457,266.00
448,376.00
429,305.00
429,305.00
800,399.00
789,772.00
886,677.00
886,677.00
802,221.06 789,772.00 888,477.00 888,477.00
416.56 2,201.00 -1,801.00 -1,801.00
802,637.62 791,973.00 886,676.00 886,676.00
Town of Ithaca
Debt Service Fund
Budgeted Expenditures
Public Sewer Improvement
General Obligation (Serial) Bonds
Payable To JP Morgan Chase
49%
Public Works Facility
General Obligation (Serial) Bond
Payable To Tompkins Trust Co.
14%
Public Water Improvement
General Obligation (Serial) Bonds
Payable To JP Morgan Chase
37%
Transferred
From
Sewer Fund
49%
Town of Ithaca
DBudgeted Revenues
2004
ebt Service Fund
Funds Transferred
From
General Townwide Fund
14%
Funds Transferred
From
Water Fund
37%
0
SCHEDULE OF LONG TERM
TOWN OF ITHACA
WATER AND SEWER FUNDS
SUMMARY OF LONG TERM DEBT OUTSTANDING
PRINCIPAL AND INTEREST
ISSUE
ORIGINAL
DEBT
INT
RATE
MATURITY
DATE
OUTSTANDINGPRINCIPAL
DEBT
and INTEREST PAYMENTS
OUTSTANDING
DEBT
NEW
DEBT
OUTSTANDING
DEBT
PRINCIPAL and INTEREST PAYMENTS
DEBT
BALANCE
1
03/01/03 $
31,065
1983 Public Imp SERIAL
ISSUED
-
I
I
1997 1998 1999 2000 2001 2002 2003
1
ISSUED
I
939,048
2004 2005 2006 2007 2008 2009 2010 2011
1
226,500
216,300
1976-1993
195,900
4,934,260
01/01/97
05/15/06
12/31/03
1989 Public Imp SERIAL
01/01104
2,580,000
12/31/15
164,100 $
CONSOLIDATED
53,300
$ 11,500
$ 6,050 $
5,750
$ 5,450
1976 Water & Sewer SR
$
3,227,210
6.00%
03/01/03 $
31,065
1983 Public Imp SERIAL
-
-
7.10%
1
06/01/98
-
-
2,010,000
939,048
236,700
226,500
216,300
1986 Public Imp SERIAL
195,900
4,934,260
6.80%
05/15/06
2,484,968
1989 Public Imp SERIAL
250,960
2,580,000
7.30%
09/01/08
210,080
1991 Public Imp SERIAL
886,875
7,767,231
6.63%
07/26/11
420,281
1991 SCLIWC Zebra SIB
418,781
68,182
6.00%
06/01/00
2,596,250
1992 SCLIWC Zebra SIB
33,528
68,029
6.00%
06/01/00
8,246
1993 SCLIWC Zebra SIB
-
62,764
4.50%
06/01/00
33,528
2004 Public Works Fac Serial
8,082
-
5.00%
12/01/15
-
TOTAL DEBT
$
19,646,724
32,781
$
7,858
GENERAL TOWNWIDE
8,170,
-
-
-
-
FUND
-
-
-
-
-
2004 Public Works Fac Serial
-
-
5.00%
12/01/15 $
10,301,301 $
1,071,681 $
1,016,328
$ 911,757
$ 896,313 $
836,025
$ 800,399
WATERFUND
3,979,025 $
1,396,500 $
- $
- $
-
1976 Water & Sewer SR
$
419,537
6.00%
03/01103 $
•
1,396,500 $
21,333 $
9,997 $
6,929
$ 1,495
$ 787 $
1983 Public Imp SERIAL
$ 709
666,724,
7.10%
06/01/98
•
1986 Public Imp SERIAL
22,056
959,700
6.80%
05/15/06
•
1989 Public Imp SERIAL
1,264,200
7.30%
09/01/08
44,973
1991 Public Imp SERIAL
41,097
4,038,960
6.63%
07126/11
94,221
-
1,217,634
120,360
122,970
117,963
112,955
1991 SCLIWC Zebra SIB
102,939
68,182
6.00%
06/01/00
2,843,246
1992 SCL[WC Zebra SIB
218,546
68,029
6.00%
06/01/00
202,264
1993 SCLIWC Zebra SIB
1,350,050
62,764
4.50%
06/01/00
•
TOTAL
$
7,548,097.
-
$
-
SEWERFUND
33,528
8,486
8,082
8,714
8,246
1976 Water & Sewer SR
j$
2,807,673
6.00%
03/01/03 $
32,781
1983 Public Imp SERIAL
7,858
272,324
7.10%
06/01/98
-
1986 Public Imp SERIAL
I
3,974,560
6.80%
05/15/06
439,497
1989 Public Imp SERIAL
$ 397,267 $
1,315,800
7.30%
09/01/08
1,878,840 $
I
1991 Public Imp SERIAL
142,767 $
3,728,271
6.63%
07/26/11
$ 5,264 $
TOTAL
$
12,098,628
- , $
$
21,638
TOTAL DEBT
, $
19,646,724
-
$
•
-
-
-
1,628,100
199,989
191,727
183,465
175,203
166,941
158,679
150,417
164,100 $
76,900 $
53,300
$ 11,500
$ 6,050 $
5,750
$ 5,450
I
$ 5,150 $
- $
- $
74,615
43,550
31,065
-
-
-
-
-
-
-
2,010,000
246,900
236,700
226,500
216,300
206,100
195,900
185,700
495,900
-
2,484,968
245,633
250,960
240,740
230,520
220,300
210,080
199,860 +
886,875
-
5,467,781
433,531
420,281
407,031
418,781
403,875
388,969
399,063
2,596,250
-
33,528
8,486
8,082
8,714
8,246
-
-
-
-
-
33,528
8,486
8,082
8,714
8,246
-
-
-
-
-
32,781
8,195
7,858
8,558
8,170,
-
-
-
-
-
-
-
-
-
-
-
-
-
-
1,396,500
10,301,301 $
1,071,681 $
1,016,328
$ 911,757
$ 896,313 $
836,025
$ 800,399
$ 789,773 $
3,979,025 $
1,396,500 $
- $
- $
-
$ -
$ - $
-
$ -
$ - $
- ` $
1,396,500 $
21,333 $
9,997 $
6,929
$ 1,495
$ 787 $
748
$ 709
$ 670 $
- $
- $
52,977
30,921
22,056
-
-
-
-
-
381,900
46,911
44,973
43,035
41,097
39,159
37,221
35,283
94,221
-
1,217,634
120,360
122,970
117,963
112,955
107,947
102,939
97,931
434,569
-
2,843,246
225,436
218,546
211,656
217,766
210,015
202,264
207,513
1,350,050
-
33,528
8,486
8,082
8,714
8,246
-
-
-
-
-
33,528
8,486
8,082
8,714
8,246
-
-
-
-
-
32,781
8,195
7,858
8,558
8,170
-
-
-
-
-
4,616,927 $
458,792 $
439,497
$ 400,135
$ 397,267 $
357,869
$ 343,132
$ 341,396 $
1,878,840 $
I
- $
�
142,767 $
66,903 $
46,371
$ 10,005
$ 5,264 $
5,003
$ 4,742
$ 4,481 $
- , $
i
- $
21,638
12,630
9,009
-
-
-
-
-
-
-
1,628,100
199,989
191,727
183,465
175,203
166,941
158,679
150,417
401,679;
-
1,267,334
125,273
127,990
122,777
117,565
112,353
107,141
101,929 {
452,306
-
2,624,535
208,095
201,735
195,375
201,015
193,860
186,705
191,550
1,246,200
-
5,684,374 $
612,889 $
576,831
$ 511,622
$ 499,047 $
478,157
$ 457,266
$ 448,376 $
2,100,185 $
- $
10,301,301 $
1,071,681 $
1,016,328
$ 911,757
$ 896,313 $
836,025
$ 800,399
$ 789,773 ,$
3,979,025 $
1,396,500 ' $
1,396,500 $
126,000
$ 112,200
$ 108,900
$ 105,600
$ 102,300
$ 99,000
495,900
175,500
165,300
155,100
-
-
- - - -
886,875
199,275
188,325
177,375
166,425
155,475
- - - -
2,596,250
382,500
365,938
349,375
332,613
316,250
299,688 283,125 266,563 -
1,396,500
126,000
112,200
108,900
105,600
102,300
99,000 95,700 92,400 554,400
5,375,525 $
883,275 $
831,763 $
790,750 $
604,838 $
574,025 $
398,688 $ 378,825 $ 358,963 $ 654,400-
1,396,500 $
126,000
$ 112,200
$ 108,900
$ 105,600
$ 102,300
$ 99,000
$ 95,700
$ 92,400 , $ 554,400,
_ $
_
$ _
$ _
$ _
$ _
$
94,221
33,345
31,407
29,469
-
-
-
-
- -
434,569
97,645
92,279
86,914
81,548
76,183
-
-
- -
1,350,050
198,900
190,288
181,675
173,063
164,450
155,838
147,225
138,613
1,878,840 $
329,890
$ 313,974
$ 298,058
$ 254,611
$ 240,633
$ 155,838
$ 147,225
$ 138,613 $ -
- $
-
S -
$ -
$ -
$ -
$ -
$ -
$
401,679
142,155
133,893
125,631
-
-
-
-
- -
452,306
101,630
96,046
90,461
84,877
79,292
-
-
-
1,246,200,
183,600
175,650
167,700
159,750
151,800
143,850
135,900
127,950 -
2,100,185 $
427,385
$ 405,589
$ 383,792
$ 244,627
$ 231,092
$ 143,850
$ 135,900
$ 127,950 $ -
5,375,525 $
883,275
$ 831,763
$ 790,750
$ 604,838
$ 574,025
$ 398,688
$ 378,825
$ 358,963 $ 554,400
Town of Ithaca
Outstanding Infrastructure Indebteness
2004
Buildings & Facilities
Indebtedness
26%
Water Infrastru(
IndebtednesO
35%
Sewer Infrastructure
Indebtedness
39%
•
DEBT LIMIT
What is debt limit? Debt limit is the maximum amount of gross or net debt that a
government entity (E.g. County, City, Town, Village, School District) which is legally
permitted.
LAUTATIONS ON LOCAL INDEBTEDNESS
The Town of Ithaca, like other government entities within New York State, is restricted
by the New York State Constitution, Article VIII, Section 2 on the on the manner of
creating and paying local indebtedness. The Town can only create debt for "Town"
purposes. The outstanding payback period for indebtedness is restricted to the period of
usefulness. As the issuer of debt (borrower) the Town is required to pledge in frill faith
and credit for the payments of principal and interest to the bondholder (investor).
As required under the New York State Constitution, the Town of Ithaca cannot create
debt in excess of 7% of the five (5) year average full valuation of taxable property.
When adopting the 2004 the Town of Ithaca meets the 7% indebtedness requirement and
has not exhausted its borrowing abilities.
•
•
TOWN OF ITHACA
CONSTITUTIONAL DEBT LIMIT
The following was prepared as of November 6, 2003, at which time the Ithaca Town
Board adopted the 2004 Town Budget, pursuant to Title 8, Article II of the Local
Finance Law.
DEBT LIMIT
Taxable Real Property:
12/31/99 $ 720,251,657
12/31/00 720,212,772
12/31/01 735,563,251
12/31/02 745,064,483
12/31/03 774,198,562
Total for 1999 — 2003 $ 3, 695,290,725
Average Five (5) Year Full Valuation $ 739,058,145
Permitted Percentage of the "Average Full Valuation" 7%
Town of Ithaca Debt Limit (1) $ 51,734,070
(1) $51,734,070 represents the maximum amount of gross or net debt that the Town
of Ithaca can issue and have outstanding allowable under the New York State
Constitution, Article VIII, Section 2.
TOTAL NET INDEBTEDNESS
Borrowings Outstanding @12/31/03 $ 3,979,025
Total Inclusions (2) $ 3,979,025
Less total exclusions: (2)
Water & Sewer Indebtedness (3,979,025)
Total Net Indebtedness $ -0-
(2) This amount does not include the Town's share of a small borrowing for
retirement purposes of the Ithaca Area Waste Water Treatment Facility.
NET -CONTRACTING MARGIN
Debt limit $ 51,734,070
Less: Total Net Indebtedness -0-
Net Debt -Contracting Margin $ 51,734,070
PERCENTAGE OF DEBT -CONTRACTING POWER EXHAUSTED
"Total Net Indebtedness" divided by "Debt Limit" $ -0-
0
•`".. " . : �i.}` VON-
at`�
m�!,. ��.,y'i%'' .� �`' •i: t` rte.
--
a
i.{vwrn N'S rse9'fi
0
CAPITAL IMPROVEMENT PROGRAMMING
The Town of Ithaca implemented capital programming and budgeting beginning 2001.
The objective and purpose of the Town's Capital Improvement Program is for providing
timely fiscal planning of those capital expenditures to be incurred each year over a fixed
period of years to meet capital needs. The Town's Capital Improvement Program (CIP)
addresses each project or other contemplated expenditure in which the Town is to have a
part and the full resources estimated to be available to finance the projected expenditure.
Separate Capital Project Funds are established for individual projects once the project is
legally authorized by the Town Board. The self -balancing Capital Project Fund accounts
for financial resources used in the acquisition, renovation, construction of any major
facility.
As outlined within the capital plan, projects may generate financing resources from one
or in combination of the following sources:
Local Sources (e.g. budgeted appropriations of fund balance, real property taxes)
State Sources (e.g. NYS Emergency Aid)
Federal Sources (e.g. FEMA)
Obligations (e.g. bond anticipation notes, statutory installment bonds,
long-term serial bonds)
Special Assessments (e.g. beautification or benefit tax)
BUDGETARY ACCOUNTIBILITY
Estimates for current capital expenditures and financing resources are outlined and set
forth in the Town's annual operating budget. Once the annual budget is adopted, it
provides the authority for the capital outlay of capital expenditures as outlined in the
capital budget. Consistent with management policy the annual operating budget is
monitored throughout the year. If necessary modifications to meet changes in current cost
or community needs may be made. As in all other funds modifications made to each
lighting district budget requires the approval and authorization of the Town Board. These
budgetary controls or management controls are an integral part of the Town Board's
authority and responsibility in keeping expenditures within the limitations of available
appropriations and revenues.
GENERAL (PROPRIETY) ACCOUNTS
It is in these accounts that actual financial results of operations are recorded. Assets,
liabilities, fund equity (commonly referred to as fund balance) including revenue and
expenses accounts are used in the recording and accounting for actual financial results.
These accounts are distinct from budgetary accounts.
TOWN OF ITHACA
CAPITAL IMPROVEMENT PROGRAM
ESTIMATED BUDGET PLAN 2003 - 2008
SUMMARY OF CAPITAL EXPENDITURES AND REVENUE RESOURCES
CATEGORY
CAPITAL COSTS BY PROJECT CATEGORY
FINANCING PLAN FOR ALL PROJECTS BY REVENUE SOURCE
2003
2004
2005
2006 1
2007
2008
TOTAL
Cash Reserve For Parks & Open Space Preservation
$ 35,000 $
60,000
$ , 70,000
$ 80,000 $
90,000 $
100,000 $
435,000
Park Development & Construction
-
384,270
260,000
100,000
450,000
530,000
1,724,270
Highway Infrastructures
247,000
247,000
260,000
275,000
235,000
70,000
1,334,000
Storm Water Management
125,000
-
-
-
-
-
125,000
Water Systems Infrastructures
2,937,150
260,000
120,000
520,000
60,000
3,897,150
Sewer Systems Infrastructures
2,375,800
33,000
33,000
33,000
33,000
$
2,507,800
TOTAL CAPITAL EXPENDITURES
$ 5,719,950 $
984,270
$ 743,000
$ 1,008,000 $
868,000 $
700,000 $
10,023,220
RESOURCE
FINANCING PLAN FOR ALL PROJECTS BY REVENUE SOURCE
2003 2004 2005 2006 2007 2008
TOTAL
GENERAL TOWNWIDE FUND
FEDERAL & STATE GRANTS
Wm. & Hannah Pew Bike Trail
199,270
199,270
Buttermilk Falls Trail
-
14,000
530,000
544,000
CURRENT OPERATING REVENUE
Parks and Open Space Preservation Reserve
$
35,000
$
60,000
$ 70,000
$ 80,000
$ 90,000
$ 100,000
$ 435,000
E King Rd/Hallberg Park & Chase Pd Trail
-
-
-
100,000
-
-
100,000
Woolf Lane Park & Poyer Trail
10,000
85,000
-
95,000
Wm. & Hannah Pew Bike Trail
-
-
-
-
Buttermilk Falls Trail
136,000
136,000
NOTE and BOND BORROWING
Saponi Meadows Park
300,000
300,000
Tutelo Park
-
175,000
175,000
-
-
350,000
SUBTOTAL
$
35,000
$
444,270
$ 330,000
$ 180,000
$ 540,000
$ 630,000
$ 2,159,270
GENERAL PART TOWN FUND
FUNDS TRANSFERRED FROM HIGHWAY
Storm Water Mgmt - Ewing Stream Bank Erosion
$
125,000
$
-
$ -
$ -
$ -
$
$ 125,000
SUBTOTAL
125,000
$
$
$
$ -
$
$ 125,000
GENERAL PART TOWN HIGHWAY FUND
CURRENT OPERATING REVENUE
Snyder Hill Road Reconstruction
$
-
$
$
$
$ 200,000
$
$ 200,000
Caldwell Road
150,000
-
150,000
Communications System Upgrade
27,000
27,000
Forest Home Drive Reconstruction
-
200,000
-
200,000
Road Maintenance, Repaving & Reconstruction
247,000
70,000
60,000
275,000
35,000
70,000
757,000
(Appendix A)
SUBTOTAL
$
247,000
$
247,000
$ 260,000
$ 275,000
$ 235,000
$ 70,000
$ 1,334,000
Page 1
TOWN OF ITHACA
CAPITAL IMPROVEMENT PROGRAM
ESTIMATED BUDGET PLAN 2003 - 2008
SUMMARY OF CAPITAL EXPENDITURES AND REVENUE RESOURCES
RESOURCE
FINANCING PLAN FOR ALL PROJECTS BY REVENUE SOURCE
2003
2004
2005 1
2006 1
2007 2008
TOTAL
WATER FUND
CURRENT OPERATING REVENUE
NorthView Water Tank Grid Improvement
$
$ 100,000
$ -
$
-
$ $
$ 100,000
Hanshaw Road Water Main Improvement
10,000
20,000
470,000
500,000
Danby Rd Water Main Imp (West Side)
-
-
-
-
Trumansburg Water Main Improvement
-
-
Hungerford Hill Water Tank Improvement
-
100,000
100,000
Trumansburg Road Water Tank Improvement
100,000
-
-
100,000
Line, Pump & Tank Maintenance, Repairs & Reconst
50,000
50,000
60,000
160,000
(Appendix B)
-
NOTE and BOND BORROWING
Bostwick Road Wtr Tank & Transmission Main Wtr Imp
1,323,400
-
-
-
1,323,400
2003 West Hill Wtr Tank Imp
1,053,250
1,053,250
Coy Glen Pumpstation and Pipeline
560,500
-
-
560,500
SUBTOTAL
$ 2,937,150
$ 260,000
$ 120,000
$
520,000
$ 60,000 $
$ 3,897,150
SEWER FUND
FEDERAL & STATE GRANTS
Ithaca Area Wastewater Plant Phosphorus Removal
$ 1,132,507
$ -
$ -
$
-
$ - $
$ 1,132,507
CURRENT OPERATING REVENUE
Line, Pump & Tank Maintenance, Repairs & Reconst
33,000
33,000
33,000
33,000
33,000
165,000
(Appendix B)
FUND BALANCE
Jointly Owned Interceptors
661,000
-
-
-
-
661,000
Ithaca Area Wastewater Plant Phosphorus Removal
549,293
-
-
-
-
549,293
SUBTOTAL
$ 2,375,800
$ 33,000
$ 33,000
$
33,000
$ 33,000 $
$ 2,507,800
TOTAL CAPITAL RESOURCES $ 5,719,950 $ 984,270 $ 743,000 $ 1,008,000 $ 868,000 $ 700,000 $ 10,023,220
Page 2
TOWN OF ITHACA
CAPITAL IMPROVEMENT PROGRAM
ESTIMATED BUDGET PLAN 2003-2008
BY
PROJECT
PROJECT
CAPITAL COSTS BY PROJECT
2003 2004 1
2005 1
2006
1 2007 1
2008
1 TOTAL
COMMUNITY PARKS. TRAILS and DEVELOPMENT RIGHTS
GENERAL TOWNWIDE FUND
Wm. & Hannah Pew Bike Trail
$ - $ 199,270
$ - $
-
$ -
$ -
$ 199,270
Parks and Open Space Preservation Reserve
35,000 60,000
70,000
80,000
90,000
100,000
435,000
E King Rd/Hallberg Park & Chase Pd Trail
- -
-
100,000
-
-
100,000
Woolf Lane Park & Poyer Trail
10,000
85,000
-
-
95,000
Saponi Meadows Park
-
-
300,000
300,000
Tutelo Park
175,000
175,000
-
350,000
Buttermilk Falls Trail
-
-
150,000
530,000
680,000
SUBTOTAL
$ 35,000 $ 444,270
$ 330,000 $
180,000
$ 540,000
$ 630,000
$ 2,159,270
GENERAL PART TOWN FUND
Storm Water Mgmt- Ewing Stream Bank Erosion $ 125,000 $ $ $ $ $ $ 125,000
SUBTOTAL $ 125,000 $ $ $ $ $ $ 125,000
INFRASTRUCTURES
TRANSPORTATION PAVING and PARTIAL RECONSTRUCTION
GENERAL PART TOWN HIGHWAY FUND
Stone Quarry Road (Replaced with Ewing Prop) $ $ $ $ $ - $ $ -
Snyder Hill Road Reconstruction 200,000 200,000
Caldwell Road 150,000 - 150,000
Forest Home Drive Reconstruction - 200,000 200,000
Communications System Upgrade 27,000 - - 27,000
Road Maintenance, Repaving & Reconstruction (Appendix A) 247,000 70,000 60,000 275,000 35,000 70,000 757,000
SUBTOTAL $ 247,000 $ 247,000 $260,000 $ 275,000 $235,000 $ 70,000 $ 1,334,000
WATER FUND
Northview Water Tank Grid Improvement
Hanshaw Road Water Main Improvement
Danby Rd Water Main Imp (West Side)
Trumansburg Water Main Improvement
Bostwick Road Water Tank & Transmission Main Wtr Imp
2003 West Hill Water Tank Improvement
Coy Glen Pumpslation and Pipeline
Hungerford Hill Water Tank Improvement
Trumansburg Road Water Tank Improvement
Line, Pump & Tank Maintenance (Appendix B)
SUBTOTAL
SEWER FUND
Jointly Owned Interceptor
Ithaca area Wastewater Plant Phosphorus Removal
Line, Pump & Tank Maintenance (Appendix B)
SUBTOTAL
WATER and SEWER SYSTEMS
$ $ 100,000 $ - $ - $ $ $ 100,000
10,000 20,000 470,000 500,000
1,323,400 1,323,400
1,053,250 1,053,250
560,500 560,500
- - 100,000 100,000
100,000 - - 100,000
50,000 - 50,000 60,000 - 160,000
$ 2,937,150 $ 260,000 $120,000 $ 520,000 $ 60,000 $ - $ 3,897,150
$ 661,000 $ $ $ $ $ $ 661,000
1,681,800 1,681,800
33,000 33,000 33,000 33,000 33,000 165,000
$ 2,375,800 $ 33,000 $ 33,000 $ 33,000 $ 33,000 $ $ 2,507,800
TOTAL CAPITAL COST $ 5,719,950 $ 984,270 $743,000 $1,008,000 $868,000 $630,000 $10,023,220
Page 3
TOWN OF ITHACA
CAPITAL IMPROVEMENT PROGRAM
ESTIMATED BUDGET PLAN 2003 - 2008
GENERAL PART TOWN HIGHWAY FUND
APPENDIX A
Road Maintenance, Repaving and Reconstruction
PROJECT
ESTIMATED CAPITAL COSTS BY PROJECT
2003 1 2004 1 2005 1 2006 1 2007 1 2008 1 TOTAL
$ - $ 70,000 $ 70,000
Calkins Road
$ -
$ - $ - $ -
$ - $ 70,000 $ 70,000
Chase Lane
40,000
- - -
- - 40,000
Christopher Lane
-
- - 45,000
- - 45,000
Compton Road
35,000
- - -
- - 35,000
Dove Drive
70,000
- - -
- - 70,000
Evergreen Lane
-
30,000 - -
- - 30,000
Forest Home Drive
24,000
- - -
- - 24,000
Marcy Court Paving
10,000
- - -
- - 10,000
Orchard Hill Road
-
- - 30,000
- - 30,000
Rich Road
-
40,000 - -
- - 40,000
Seven Mile Drive
-
- - 200,000
- - 200,000
Sky-Vue Drive
-
- - -
30,000 30,000
Whitetail Drive Partial Reconstruction
50,000
- - -
- - 50,000
Whitetail Drive Paving
18,000
- - -
- - 18,000
Crestlane
-
- 10,000 -
- - 10,000
St. Catherines
-
- 50,000 -
- - 50,000
Spruceway
-
- - -
5,000 - 5,000
TOTAL
$247,000
$ 70,000 $60,000 $ 275,000
$35,000 $ 70,000 $757,000
Page 4
TOWN OF ITHACA
CAPITAL IMPROVEMENT PROGRAM
ESTIMATED BUDGET PLAN 2003 - 2008
WATER and SEWER FUNDS
APPENDIX B
Line, Pump & Tank Maintenance, Repairs and Reconstruction
PROJECT
ESTIMATED CAPITAL COSTS BY PROJECT
ERI
2003 2004 1 2005 1 2006 1 2007 1 2008
WATER FUND
Christopher Circle $ - $ 25,000 $ - $ - $ - $ - $ 25,000
Danby Road - - - - 25,000 - 25,000
Northview - - - 25,000 - - 25,000
Pinetree Road - - - 25,000 - - 25,000
Ridgecrest Road - - - - 25,000 - 25,000
Sapsucker Woods Road - 25,000 - - - - 25,000
Troy Road - - - - 10,000 - 10,000
TOTAL WATER $ - $ 50,000 $ - $ 50,000 $ 60,000 $ - $160,000
SEWER FUND
Northeast & South Hill Imp $ 33,000 $ 33,000 $ 33,000 $ 33,000 $ 33,000 $ - $165,000
TOTAL SEWER
$
33,000
$
33,000
$ 33,000
$ 33,000
$ 33,000
$
- $165,000
TOTAL
$
33,000
$
83,000
$ 33,000
$ 83,000
$ 93,000
$
- $ 325,000
Page 5
0
Town of Ithaca
Capital Improvement Program
Estimated Expenditures
For
By Category
$984,270
Cash Reserve
Sewer Systems Infrastructure Parks & Open Space Land
3% Preservation
6%
Water Systems Infrastructure
26% FAA
Park Development & Construction
40%
Highway Infrastructures
25% :3
Town of Ithaca
Estimated Revenues I
Sewer Fund
Current Operating Revenues
3%
Water Fund
Current Operating Revenues
26%
General Townwide Fund
Grant Funding
20%
Ilk
General Townwide Fund
::�w Current Operating Revenue
8%
General Part -Town Highway Fund
Current Operating Revenue
25%
General Townwide Fund
Note & Bond Borrowing
18%
NARRATIVE SUMMARY OF CAPITAL PROJECTS
FOR
2003-2008
Community Parks, Trails and Development Rights
(General Townwide Fund)
William & I3annah Pew Bike Trail (2003) $242,360
Funding: TEA -21 Transportation Enhancement Program Grant - $169,652
Local Support from Unreserved Fund Balance - $ 72,708
Description: Construction of this multi-purpose recreational and commuter trail on East
Hill is part of the ongoing implementation of the Town's Park, Recreation and Open Space
Plan.
Status: Final cost estimates are complete. The Town has begun the process of acquiring
necessary and appropriate access easements, land surveys and trail designs. Actual terrain
construction of the pedestrian and bikeway trail will begin in 2003.
Buttermilk Falls Trail (2007) $680,000
Funding: Potential: State or Federal grant funding programs.
Description: This is 2 mile multi -use trail. Development will provide a connection
between the existing South Hill Recreation Way and the Buttermilk Falls State Park.
Status: Planning and design are recommended for 2007, with construction targeted for
2008.
$150,000 — 2007
$530,000 — 2008
11
Parks and Onen Snace Preservation Reserve
Funding: Current Operating Revenue. To date: the Town has accumulated reserve funds
totaling approximately $173,651.
Description: These monies are set aside for the future purchase of land development
rights, park construction and improvements.
Status: The Town continues to seek farmland owners willing to participate in the purchase
Is of development rights program.
$35,000 — 2003
$60,000 — 2004
$70,000 — 2005
$80,000 — 2006
$905000 — 2007
$1009000— 2008
East King Road Park (I3allberg land) and Related Trail (2006) $1005000
Funding: Current Operating Revenue
Description: The development of this park and related trails are surrounded by Deer Run,
Chase Farm and Saunders Road developments. This would connect to Chase Pond trail,
and include a basketball court, picnic area, and scenic overlook.
Status: Planning and design are recommended for 2005, with construction in 2006.
Woolf Lane Park and Related Trail (2005) $95,000
Funding: Current Operating Revenue
Description: Park is anticipated to be a passive, natural area park and related trails. A
small play structure or swing set may be possible, but wetland presents site constraints.
Status: Planning and design are recommended for 2004, with construction in 2005.
$10,000 — 2004 (design)
$85,000 — 2005 (construction)
Saponi Meadows Parks (2007)
Funding: Note and Bond Borrowing
$300,000
Description: Development of this park in the Inlet Valley as a community park would
include a regulation size soccer field, picnic area, comfort station, pavilion, parking lot,
and connecting trail to Tutelo Park.
Status: Planning and design are recommended for 2006, with construction in 2007.
Tutelo Park (2004)
Funding: Note and Bond Borrowing
$350,000
Description: This is the smaller portion of the Inlet Valley Community Park Complex (on
Bostwick Road), which will connect with the Saponi Meadows park site on Seven Mile
Drive. Design elements could include a Little League regulation size baseball field (also
suitable for regulation softball), a picnic pavilion, comfort station, trails and observation
deck overlooking wetlands, part of the connecting path to the Saponi Meadows site, a
parking lot, an interpretive display highlighting the heritage of the Tutelo people, and
® plantings.
Status: Planning and design are recommended for 2003 with construction in 2004 and
carried over into 2005.
$175,000 — 2004 (design & construction)
$1759000 — 2005 (construction)
Storm Water Management
(General Part -Town Fund)
Kvving Stream Bank Erosion (2003) $125,000
Funding: Funds Transferred from the Highway Part -Town Fund
Description: Embankment wall reinforcement.
Status: Pending engineers plans.
Transportation, Paving & Partial Reconstruction
(General Part -Town Highway Fund)
® Snyder Hill Road Reconstruction (2007) $200,000
Funding: Current Operating Revenue
Description: Reconstruction of Town's portion of Snyder Hill Road including drainage,
re -profiling, pavement milling and overlay and restoration work in the right-of-way.
Status: Part of Town's continued Permanent Highway Improvement Program.
Caldwell Road (2004)
Funding: Current Operating Revenue
$150,000
Description: This road project is a total rebuild including drainage, road surface and
drivers sight distance. Rebuild will begin at the intersection of Forest Hoene Drive to the
top of the hill. Drainage, road surface and drivers sight distance.
Status: Planning and design are targeted for 2004.
Communications System Upgrade (2004)
Funding: Current Operating Revenue
$ 27,000
Description: Construction of a Town owned radio repeater tower. Presently, the Town
has a tower lease with R.J. Management. The Tower is located on Enfield Falls Road in the
Town of Enfield. The Highway Superintendent is proposing to use the Trumansburg Road
Water Tank for the repeater. This con=unications upgrade will replace outdated portable
radios. The Town's present radio system is unreliable.
Status: Relocation of the Town Radio Repeater is scheduled for 2004.
Forest Home Drive Reconstruction (2005)
Funding: Current Operating Revenue
$200,000
Description: This road project will requires the re -building of an existing retaining wall.
The deteriorated drainage system will be repaired along with base repairs and repaving of
Forest Home Drive.
Status: Planning, design and construction are targeted for 2005
Road Maintenance, Repaving & Reconstruction
(Appendix A)
® Funding: Current Operating Revenue
Calkins Road (2008) $70,000
Description: Pavement overlay of the 0.77 +/- mile road (entire road). A new road
crossing culvert (5') is also planned.
Status: Part of Town's continued Permanent Highway Improvement Program.
Chase Lane (2003)
$40,000
Description: The Chase Lane road bed base is sound. Due to the severe winter weather of
2002/2003 the top pavement is beginning to unravel. An overlay of black top will preserve
the integrity of the road.
Status: Part of Town's continued Perinanent Highway Improvement Program.
Christopher Lane (2006)
$45,000
Description: This road project consists of a pavement overlay of .53 miles.
Status: : Part of Town's continued Permanent Highway Improvement Program.
Compton Road (2003) $35,000
Description: Pavement overlay of the 0.36 +/- mile road (entire road).
Status: Part of Town's continued Permanent Highway Improvement Program.
Dove Drive (2003)
$70,000
Description: Pavement overlay for .46 miles of this road. Repairs and upgrades to
the drainage system are planned.
Status: Status: Part of Town's continued Permanent Highway Improvement Program.
U
Evergreen Road (2004)
$30,000
Description: Pavement overlay on .15 +/- miles of this road. Repairs and upgrades
to the drainage system are also planned.
Status: Part of Town's continued Permanent Highway Improvement Program.
Forest Dome Drive (2003)
$24,000
Description: This roadway requires an overlay of blacktop. This minor repair will
preserve this roadway until more extensive work can be scheduled and financed.
Status: Part of Town's continued Pennanent Highway Improvement Program.
Marcy Court (2003) $10,000
Description: Pavement overlay on entire road (0.16 +/-).
Status: Part of Town's continued Permanent Highway Improvement Program.
Orchard Hill Road (2006)
$30,000
Description: Pavement overlay on .35 +/- miles of this road. Repairs and upgrades
to the drainage system are also planned.
Status: Part of Town's continued Permanent Highway Improvement Program.
Rich Road (2004)
$40,000
Description: Pavement overlay on .25 +/- miles of this road. Repairs and upgrades to the
drainage system are also planned.
Status: Part of Town's continued Permanent Highway Improvement Program.
Seven Mile Drive (2006)
$200,000
Description: Pavement overlay of the 1.05 +/- mile road (entire road) and install new
shoulders.
Status: Part of Town's continued Permanent Highway Improvement Program.
Sky-Vue Drive (2007)
$30,000
Description: This project will consist of a full depth base reclamation and a top paving
for this .19 miles of road.
Status: Part of Town's continued Permanent Highway Improvement Program.
Whitetail Drive Partial Reconstruction (2003)
$50,000
Description: Drainage improvements and re -paving of section of road from East King
Road to Saranac Way.
Status: Part of Town's continued Permanent Highway Improvement Program.
Whitetail Drive Paving (2003)
$10,000 .
Description: Pavement overlay on 0.31 +/- miles of Whitetail Drive from intersection of
Whitetail Drive and Saranac Way to the intersection of Whitetail Drive, Saranac Way and
Teton Court.
Status: Part of Town's continued Permanent Highway Improvement Program.
Crestlane (2005)
$10,000
Description: An overlay of blacktop. This will extend road life by another 10 years.
Status: Part of Town's continued Pennanent Highway Improvement Program.
St. Catherines (2005) $50,000
Description: Repairing the base and apply an overlay of blacktop.
Status: Part of Town's continued Permanent Highway Improvement Program.
Spruceway (2007)
Description: Resurfacing required.
$ 5,000
Status: Part of Town's continued Permanent Highway Improvement Program.
Infrastructure Maintenance
(Water Fund)
Northview Water Tank Grid Improvement (2004) $100,000
Funding: Funded by quarterly user billing, benefit charges, and available unreserved fund
balances.
Description: Reconfigure piping to make Northview Water Tank off-peak supply, instead
of sister tank to Danby Road tank and bring control valving above ground to delete
confined space problems in existing pit.
Status: Preliminary Design
Hanshaw Road Water Main Improvement $500,000
Funding: Funded by quarterly user billing, benefit charges, and available unreserved fund
balances.
® Description: Replace existing water main on Hanshaw Road from Village of Cayuga
Heights line to Sapsucker Woods Road (Approximately 7,000 feet).
Status: County TIP amendment now has Hanshaw Road project scheduled for 2006
construction.
(coordinate with County Project)
$105000 — 2004 (prelim. Planning and design)
$209000 — 2005 (detailed design)
$4709000 — 2006 (construction)
Hungerford Hill `Fater Tank Improvement (2005) $100,000
Funding: Funded by quarterly user billing, benefit charges, and available unreserved fund
balances.
Description: Painting and general maintenance of the water tanks on a rotating schedule.
Status: Scheduled Maintenance
Trumansburg Road Water Tank Improvement (2004) $100,000
Funding: Funded by quarterly user billing, benefit charges, and available unreserved fund
balances.
Description: Painting and general maintenance of the water tanks on a rotating schedule.
Status: Scheduled Maintenance
•
0
Line, Pump & Tank INlaintenance, Repairs and Reconstruction
( Appendix B )
Funded by quarterly user billing, benefit charges, and available unreserved fund balances.
Christopher Circle (2004)
$ 25,000
Description: Painting and general maintenance of the water tanks on a rotating schedule.
Status: Scheduled Maintenance
Danby (2007)
$ 25,000
Description: Painting and general maintenance of the water tanks on a rotating schedule.
Status: Scheduled Maintenance
Northview (2006)
$ 25,000
Description: Painting and general maintenance of the water tanks on a rotating schedule.
Status: Scheduled Maintenance
Pinetree Road (2006)
$ 25,000
Description: Painting and general maintenance of the water tanks on a rotating schedule.
Status: Scheduled Maintenance
Ridgecrest Road (2007)
$ 25,000
Description: Painting and general maintenance of the water tanks on a rotating schedule.
Status: Scheduled Maintenance
Sapsucker Woods Road (2004)
$ 25,000
Description: Painting and general maintenance of the water tanks on a rotating schedule.
Status: Scheduled Maintenance
n
U
Troy Road (2007)
$ 10,000
Description: Painting and general maintenance of the water tanks on a rotating schedule.
• Status: Scheduled Maintenance
Bostwick Road Water Tank & Transmission Main Water Imp (2003) - $1,531,000
2003 West Hill Water Tank Improvement - $1,053,250
Cov Glen Pump Station and Pipeline - $ 560,500
Funding: Note and Serial Bond Borrowing
Description: Construction of approximately 7,000 feet of 12" water main. Construction of
a .2 million gallon tank in Inlet Valley area. Construction of a 1 million gallon tank for
West Hill and ( Coy Glen) West Hill booster pump station.
Status: Design & Contract Bid Phrase
r�
u
(Sewer Fund)
Ithaca Area Wastewater 'Treatment Plant Phosphorus Removal (2003) $1,681,800
Funding: NYS Clean Water & Clean Air Bond Act - $1,132,507
Local Support from Unreserved Fund Balance - $ 549,293
Description: Additions to the "joint" Ithaca Area Waste Water Treatment Plant for the
removal of phosphate from the plant affluent.
Status: Seeking Contract Bids
Jointly Owned Interceptors (2003) $ 661,000
Funding: Local Support from Unreserved Fund Balance
Description: Improvement to the sanitary sewer trunk lines that service both the City of
Ithaca and the Town of Ithaca waste water flow into the plant.
Status: Final financing arrangements under negotiation with the City of Ithaca.
Line, Pump & Tank Maintenance, Repairs and Reconstruction
( Appendix B )
Northeast & South Hill Improvement
Funding: Funded by quarterly user billing, benefit charges, and available unreserved fund
balances.
Description: Plastic Line existing clay tile and AC pipe and rehab manholes.
Approximately 2,000 to 3,000 feet will be slip lined each year.
Status: Maintenance plan for inspection in process. Preliminary Planning
$33,000 each year thru 2006
•
Town of Ithaca
Capital Improvement Program
Estimated Expenditures
For
2005-2008
By Category
$3,319,000
Sewer Systems Infrastructure
3%
-/i
Water Systems Infrastructure
21%
Highway Infrastructures
25% KI
Cash Reserve Parks & Open
Space Land Preservation
10%
Park Development &
Construction
41%
Town of Ithaca
Capital Improvement Program
Estimated Revenues
For
2005-2008
Resource
$331%000
Sewer Fund
Current Operating Revenue
3%
Water Fund
Current Operating Revenue
21% A&I
General Part -Town Highway
Fund _Q
Current Operating Fund
26%
General Townwide Fund
Grant Funding
16%
General Townwide Fund
Current Operating Revenues
20%
General Townwide Fund
Note & Bond Borrowing
14%