HomeMy WebLinkAboutMeeting Notes 3-28-18
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BUDGET COMMITTEE
Meeting Minutes - March 28, 2018
Committee present: Pamela Bleiwas, Pat Leary Committee absent: Eric Levine
Staff present: Mike Solvig, Judy Drake, Shannon Sanzi (Ithaca Town Court)
Others present:
Meeting was called to order by Pamela Bleiwas at: 12:03 p.m.
AGENDA ITEMS:
• Review and approve meeting notes from February 28, 2018.
Moved: Pamela Bleiwas Second: Pat Leary Motion Passed
• Discuss the purchase of new furniture for Ithaca Town Court office.
At the January meeting the Committee directed the Town Court to work with a furniture
contractor to develop an acceptable plan and cost estimate, and bring these back to the Budget
Committee for further discussion. Town Court staff worked first with Stevens Office Interiors, but
were not happy with the solutions proposed by this vendor. They have recently been working
with Sedgwick Business Interiors to develop the furniture plan and cost estimate of $10,096.52
presented to the Committee today. After discussion, the Committee recommended the removal
of the new chairs from the plan, reducing the final cost to $8,781.24. At this amount, the
Committee will recommend the Town Board approve the purchase of the new furniture for the
Ithaca Town Court office.
• Review Five-Year Budget Projections.
The Five-Year Budget Projections for Fiscal Years 2019 - 2023 were reviewed by the Committee.
ASSUMPTIONS - The projections were prepared using the following assumptions:
- Salaries and wages will gradually increase from 2.5% in 2019 to 3.0% in 2023. Retirement is
estimated along similar increases. Health insurance expense is estimated to increase 5% in
2019, 7% in 2020 and 2021, and 8% in 2011 and 2023.
- Expenditures for contractual services will “generally” increase by 2% annually. Petroleum
products (gasoline, diesel fuel and asphalt) are projected to increase 5% annually.
- Capital projects included were based on the latest available CIP schedule, with some
modification to the order of the highway projects. A revised CIP schedule is currently being
prepared by Public Works which will change the years in which the various projects are
scheduled, but is not expected to significantly change the annual expenditures. In the General
Townwide Fund, Highway Part-Town Fund and Sewer Fund, capital projects will be paid for
largely with current year revenues and/or fund balance. Capital projects in the Water Fund
remain financed largely by issuing new long-term debt.
- Property Tax Levy increases by 1.8% in 2019, and from 2.3% to 2.4% in 2020-2023. These
budget projections are made without attempting to calculate or stay in compliance with
future tax cap amounts.
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- Water benefit fee will gradually increase from $125/unit in 2018 to $220/unit in 2023. Sewer
benefit fee will increase from $25/unit in 2018 to $45/unit in 2019 and after.
- 2.5% annual increase in water rates. Sewer rents gradually increase from 1% in 2019 to 2.0%
in 2023.
- Total sales tax collections are projected to remain at $3,150,000 annually.
The budget projections are based on many assumptions which, while they seem reasonable today,
will undoubtedly vary from actual conditions as we move through future years. When reviewing
these projections, users are cautioned to focus on emerging trends rather than individual numbers.
BUDGET PROJECTION VERSION 1 - This projection keeps future allocation of property tax and sales
tax collections largely unchanged from today. The property tax bill for a typical property would
gradually increase from $1,403.08 in 2018 to an estimated $1,460.11 in 2023, an increase of 4.1%
over five years, or an average of 0.8% annually. In this projection most of the major funds will
keep year-end unreserved fund balance above the 25% target level through most years. The
major exception is the General Part-Town Fund, where unreserved fund balance decreases each
year; falling to just above 25% in 2019, below 10% in 2020 and then becomes negative in 2021.
This is due to the effect of adding the two new code enforcement officer positions in 2017 and
administrative assistant position in 2018 without adding a permanent revenue source to fund
them.
BUDGET PROJECTION VERSION 2 - In this projection, total property tax and sales tax collection
amounts remain unchanged from those in Projection 1. The allocation of sales tax collections
changes to improve the year-end percentage of fund balance for the General Part-Town Fund. In
both 2019 and 2020, an additional $50,000 from the General Fund and $100,000 from the
Highway Part-Town Fund would be permanently re-allocated to the General Part-Town Fund.
While this does strengthen the position of the General Part-Town Fund, it also weakens the
General Fund and Highway Part-Town Fund in future years. As there are no changes to the
property tax levies, the property tax bill for a typical property in years 2019-2023 remains the
same as in projection 1.
• Continue discussion on 2018 Bond Issue.
Mr. Solvig reported that the favorable bids received for the Ellis Hollow Water Tank and Water
Main construction will significantly lower the amount of the bonds will need to issue by at least
$500,000.
• Other Items. (None)
The meeting was adjourned at 12:56 p.m.
Next Meeting: Wednesday, May 23, 2018 at 12:00 pm, Town Hall - Aurora Room
TOWNOFITHACABUDGETCOMMItTEEWednesday,March28,2018-12:00p.m.TownHall-AuroraConferenceRoomAGENDA•ReviewandapprovemeetingminutesfromFebruary28,2018.•DiscussFurnitureforIthacaTownCourtoffice.•ReviewFive-YearFinancialProjectionsfor2019—2023.•Continuediscussionon2018BondIssue.•OtherItemsNextMeeting:Wednesday,April18,2018at12:00p.m.
BUDGETCOMMITTEEDraftMeetingMinutes-February28,2018Committeepresent:EricLevine-Chairman,PatLeary,PamelaBleiwasStaffpre5ent:MikeSolvig,JudyDrake,BruceBates(departed12:15),PauletteRosa(departed12:15)Otherspresent:BillGoodmanMeetingwascalledtoorderat:12:02p.m.AGENDAITEMs:•ReviewandapproveJanuary17,2018meetingminutes.Moved:PamelaBleiwasSecond:PatLearyMotionPassed•DiscussincreasinghoursforCodesDepartmentPart-TimeAdministrativeAssistantIposition.JudyDrakeinformedtheCommitteethatournewpart-timeAdministrativeAssistantIstartedon2/12,andhasgivennoticeshewillbeleavingtotakeadifferentjobeffective2/22.Aswewillhavetobegintheprocesstofillthepositionagain,wealsowantedtodiscussincreasingthehoursforthispositionfrompart-time20hourstofull-time37.5hours.Wewouldliketoincreasethehoursfortworeasons:1)TheadditionalworkloadfromtherecentlyadoptedADUregulationsandexpectedshort-termrentalrequirementswilltakeuptheadditional17.5hoursperweek.Staffwasexpectingtorecommendincreasingthehoursforthispositiontofull-timein2019.2)Itiseasiertofillafull-timeposition.Ourtopcandidatefromthepreviousinterviewsturnedthepositiondownbecauseitwasnotfull-time.TheremainingcandidatesontheCivilServicelistwereinterviewed,andTownstaffwasnotimpressedwiththesecandidates.Itisthoughtthatincreasingthehourswouldgenerateincreasedinterestintheposition.Thebudgetimplicationsinincreasingthehoursfrompart-timetofull-timeareminimal.Duetotheamountoftimethepositionwas/willbeopenin2018,wewouldneedtoincreasethebudgetbyonly$7,500tofundthepositionatfull-timefortheremainderof2018.PatLearycommentedthataslongasstaffwasgoingtorecommendincreasingthepositiontofull-timein2019,shewouldsupportmakingthechangethisyear.BillGoodmanalsospokeinfavorofchangingthispositiontofull-time.AfterashortdiscussiontheBudgetCommitteeindicatedtheirsupporttoincreasethehoursoftheAdministrativeAssistantIpositiontofull-timefortheremainderof2018.•FinancialReportfortheYearEndedDecember31,2017.TheCommitteereviewedtheFinancialReportfortheYearEndedDecember31,2017.ThefinancialresultsforFiscalYear2017weregenerallypositive,withfundbalancesincreasinginmostfunds.FundbalancesdecreasedintheSewerFund,RiskRetentionFund,DebtServiceFundandCapitalProjectFunds.TheInletValleyCemeteryFundwasclosedinlate2017.Forallfunds,combinedrevenuesandothersourcesof$21,401,768exceededcombinedexpendituresandotherusesof$20,935,434.1
2017alsosawrevenuefromsalestaxcollectionsincrease6.0%overcollectionsfortheprioryear.Totalcollectionsof$3,184,969in2017setanewhistoricalhighforsalestaxrevenues,surpassingtheprevioushistoricalhightotalof$3,135,084receivedin2014.Forthemajorfunds,resultsof2017operationswereasfollows:-GENERALTOWNWIDEFUND-Fundbalanceincreasedby$359,670,withrevenuesof$4,670,449exceedingexpendituresof$4,310,780.Endingfundbalancetotaled$3,997,009,whichincludesreservesof$827,661fortheParks,RecreationandOpenSpacePlanaccount,$165,444fortheGeneralBenefitReserve,$40,129forthePreserveMaintenanceaccount,$9,844fortheLandStewardshipaccount,and$4,421fortheInletValleyCemetery.Theunreservedfundbalanceof$2,949,510represents59.2%of2018budgetedappropriations.-GENERALPART-TOWNFUND-Withrevenuesof$1,681,221exceedingexpendituresof$1,472,969,fundequityincreasedby$208,253.Revenuesexceededbudgetduelargelytoincreasedreceiptsfromsalestaxcollections.Expensesweresignificantlyunderbudgetforcontractualservices.Year-endfundbalanceof$1,072,764includes$69,389fortheGeneralBenefitReserve.Theunreservedfundbalanceof$1,003,374represents53.0%of2018budgetedappropriations.-HIGHWAYPARr-TOWNFUND-Revenuesof$3,736,781exceededexpendituresof$3,268,748,increasingyear-endfundbalanceby$468,033.Revenueswerehigherthanexpected,helpedbyincreasedreceiptsfromsalestaxcollections,thesaleofsurplusequipment,$180,000fromtheBadgerEquipmentsettlement,andstateaid(CHIPS).Endingfundbalanceof$2,267,511includes$250,000fortheHighwayEquipmentaccountand$79,322fortheGeneralBenefitReserve.Unreservedfundbalancetotals$1,938,189or50.5%of2018budgetedappropriations.-WATERFUND-Fundequityincreasedby$172,578asrevenuesof$3,982,779exceededexpenditurestotaling$3,810,201.Revenuesfrommeteredwatersaleswereunderbudget,aswereexpendituresforpurchasingwaterfromBoltonPoint.Theendingfundequityof$2,820,416includes$23,811fortheGeneralBenefitReserve.Theunreservedfundequityof$2,796,604represents67.8%of2018budgetedappropriations.-SEWERFUND-Withexpendituresof$2,531,486exceedingrevenuesof$2,479,228,fundequitydecreasedby$52,259.Revenuesfromsewerrentswereunderbudget,whileexpendituresfortheTown’sshareofannualIAWTFdebtservicepaymentsexceededbudget.Theendingfundequityof$2,838,426includes$12,034fortheGeneralBenefitReserveand$1,509,746fortheSiCProlectsaccount.Theunreservedfundequityof$1,316,646represents39.9%of2018budgetedappropriations.-FIREPROTECTIONDIsTRICTFuND-Withrevenuesof$3,531,788exceedingexpendituresof$3,110,674,fundbalanceincreasedby$421,114tototal$2,078,827atyear-end.Theyear-endfundbalancerepresents61.5%of2018budgetedappropriations.Thereservefundsandaccountsareinverygoodshapeasofyear-end,andwerereviewedbytheBudgetCommitteeattheJanuarymeeting.ReportonSalesTaxandMortgageTaxCollection5for2017.-SalesTaxCollections:TheCommitteereviewedtheSalesTaxCollectionsReportfortheYearEndedDecember31,2017.Collectionsin2017totaled$3,184,969,anincreaseof$181,026or6.0%overthe2016totalof$3,003,943.Thisreversesatwo-yeartrendin2015and2016wherecollectionsfellshortofthetotalfortheprioryear.2017alsosetsanewhistoricalhighforsalestaxcollections,surpassingtheprevioushistoricalhightotalof$3,135,084receivedin2014.SalestaxrevenuesaredistributedbetweentheGeneralTownwideFund,GeneralPart-TownFundandHighwayPart-TownFund.2
SALESTAXCOLLECTIONS201220172013201420152016SalesTax-Budget$2,650000S2750000$2,825000$2,885,000$3000,000$3,000,000SalesTax-Actual2,907,2132,990,8633,135,0843,067,3363,003.9433,184,969ActualOver(Under)Budget$257,213S240,653S310,084$182,335$3.943$184,969Pctu&as%ofPriorYearActual103.48%102.58%104.52%97.84%97.93%106.03%-MortgageTaxCollections:Mr.Solvigreportedthatcollectionsfor2017totaled$279,791,a2.2%decreasefromthe$286,227collectedin2016.Thiswasthesecondyearwheretotalcollectionsdecreasedfromtheprioryear.MORTGETAXCOLLECTIONS2012120132014201520162017MortgageTax.BudgetS200,00052200005250,000S350.000$300,000S250,000MortgageTax.Actual279,560313,999329274420.760286,227279.791ActualOver(Under)BudgetS79,560593,999S79,274S79.760S(lana)S29.791Actualas%ofPriorYearActual11171%112.32’,’.104.erhl130.52%66,60’!.97.75%•Discuss2018BondIssue.TheTownisscheduledtoissuenewlong-termdebtthisyeartofinancewaterinfrastructureprojectsfromthe2016,2017and2018CapitalImprovementPrograms.TheTrumansburgWaterTankandParkLaneWaterMainprojectswereconstructedin2016,theSapsuckerWoodsWaterMainandChristopherCircleWaterMainprojectswereconstructedin2017,andtheEllisHollowWaterTank/WaterMainprojectisoutforbidandwillbeconstructedthisyear.Weanticipateissuingapprox.$4,850,000innewdebtasdetailedonthefollowingschedule:.AmountAmountIssuance2018PublicImprovementBondsAuthorizedBondedCostsTrumansburgRoadWaterTank$900,000$700,000$5,200ParkLaneWaterMains500,000500,0003,700SapsuckerWoodsWaterMains579,598500,0003,700ChristopherCircleWaterMains422,319400,0003,000EllisHoflowWaterTank/WaterMain2,750,0002,750,00020,400Total-2018BondIssue$5,151,917$4,850,000S36,00DTheestimatedissuancecostsof$36,000represent0.74%oftheexpectedbondproceeds.EstimatedBondIssuanceCostsAmountBondAttorney-Orrick,Herrington&Sutclifte$12,500.00BondAdvisors-FiscalAdvisors&Marketing,Inc.8,500.00BondRating-Moody’sInvestorsServices12,500.00Printing&Mailing-PremierPrintingServices2500.00TotalEstimatedBondIssuanceCosts:S36,000.00Whileassumingthebondswillbeissuedfora15yearterm,Mr.SolvigalsowantedtoinformtheCommitteeofthefinancialimplicationsofa10yearterm.-15YEARMATURITY:Estimatedinterestrateatanaverageof2.75%overthe15yearlifeofthebonds.Theaverageannualdebtservicepaymentisapprox.$400,000.Totalinterestpaidoverthelifeofthebondsisestimatedat$1,150,000.Finalpaymentwouldbemadein2033.3
-20YEARMATuRITY:Estimatedinterestrateatanaverageof2.90%overthe20yearlifeofthebonds.Theaverageannualdebtservicepaymentisapprox.$324,500.Totalinterestpaidoverthelifeofthebondsisestimatedat$1,633,500.Finalpaymentwouldbemadein2038.Mr.SolvigalsoinformedtheCommitteethattheTownwillcontinueusingOrrick,Herrington&SutcliffeLLPofNewYork(DouglasE.Goodfriend)asourBondCounsel,andFiscalAdvisorsandMarketing,Inc.ofSyracuse(JohnShehadi)asourBondAdvisor.•ReviewLong-TermDebtandDebtServiceProjections.TheCommitteereviewedtheLong-TermDebtandDebtServiceProjectionschedulesforFiscalYears2018through2030.FuturefiscalyeardebtprojectionsincludethosecapitalprojectsidentifiedintheTown’sCapitalImprovementPlan(uptoandincludingFiscalYear2022)tobefinancedbyissuingnewlong-termdebt,withtheamountofthedebttobeissuedequaltothecurrentestimatedcostoftheproject.Interestrates,whichhaveremainedhistoricallylowoverthepastsixyears,havestartedtoincrease.AverageinterestratesfortheTown’s2011,2013and2014bondissueshaveallbeenslightlylessthan3%.Interestrateforthe2015bondissuewasjustover2%.Totaloutstandinglong-termdebtincreasesfrom$10,769,000atyear-endin2017toanestimated$17,625,000atyear-endin2022.Ofthistotal,$1,191,000isforfacilitiesimprovements,$1,265,000isforhighwayimprovements,andtheremaining$15,169,000forwaterinfrastructureimprovements.Totalannualdebtservicepayments(principalandinterest)increasefrom$1,403,000in2017toanestimated$2,271,000in2022.Ofthistotal,$279,300isforfacilitiesimprovements,$260,400isforhighwayimprovements,andtheremaining$1,731,300forwaterinfrastructureimprovements.•OtherItems.-2018justiceCourtAssistanceProgram(JCAP)Grant:TheTownreceivedacheckfromtheStateintheamountof$1,039.92forthe2018JCAPGrant.Thisyear’sgrantwillallowtheIthacaTownCourttopurchaseanewbookcaseforJudgeKlein’soffice.-UpdateonreplacementofCourtClerks’furniture:TownCourtpersonnelareworkingwithStevensOfficeInteriorsofSyracusetodevelopanewfurnitureplanandcostestimate.Oncethesearecompleted,theywillreturntotheBudgetCommitteeforfurtherdiscussion.StevensOfficeInteriorsisalsoworkingwithPublicWorkstoaddanadditionalworkstationforthenewCivilEngineerintheofficeareaatthePublicWorksFacility.-Auditof2017FinancialStatements:AuditorsfromSciarabbaWalker&Co.willbehereonMarch26&27forpreliminaryfieldwork.FieldworkisscheduledforthefirstweekofMay.NoschedulehasbeensetyetfortheCourtaudit.-Moody’sAnnualBondRatingUpdate:Mr.GoodmansharedwiththeCommitteeacopyoftheannualupdatetotheTown’sprofilebyMoody’sInvestorsService.ThereportwasinthecorrespondencefolderatthelastTownBoardmeeting.Themeetingwasadjournedat1:03p.m.4
TOWNOFITHACAFIVE-YEARBUDGETPROJECTIONPROPERTYTAXLEVYFISCALYEARS2019-2023BUDGETPROJECTION-2019-2023-VERSION1DESCRIPTIONACTUALAcTuALjBUDGETPROJECTEDPROJECTEDPROJECTEDPROJECTEDPROJECTED20162017201820192020202120222023PROPERTYTAXLEVY:GENERALTOWNWIDEFUND$2,600,000$3052,000$2,750000$2,805,193$2,861,297$2,918,523$2,976,893$3,036,431HIGHWAYTOWNWIDEFUND--800,000816,000832,320848,966865,946883,265HIGHWAYPART-TOWNFUND1,500,0001,250,0001,400,0001,428,0001,456,5601,485,6911,515,4051,545,713WATERFUND8,5008,6009,0008,8008,9769,1569,3399,525SEWERFUND9,7009,60010,00010,00010,00010,00010,00010,000FIREPROTECTIONFUND3,550,0003,500,0003,250,0003,300,0003,400,0003,500,0003,600,0003,700,000LIGHTDISTRICTSFUND17,00019,00019,00019,00019,00019,00019,00019,000TOTALPROPERTYTAXLEVYI$7,685,200$7,839,200$8,238,000$8,386,99358,588,153$8,791,336$_8,996,582_[$9,203934INCREASEFROMPRIORYEAR$475,0001$154,000$398,800$148,993$201,160S203,183$205,247$207,352%INCREASEFROMPRIORYEAR6.59%2,00%i5.09%1.81%2.40%2.37%2.33%2.30%ASSESSEDVALUATIONS:II‘IGENERALTOWNWIDEFUND1,366.007,6771.409.739,3221,470,783,6201,529,615,173:1,500,799,7601.630.569.7741,675,410,4431,725,672.756HIGHWAYTOWNWIDEFUND--1.470,783,820,1,529,615.1731,590,799.7801.630,569,7741,675,410.4431,725,672.756HIGHWAYPART-TOWNFUND974,757,3471,003,643,5811,061,231,6441.103.660,9101,147,628,1461.176.523,8501,208,878,2561,245,144,603FIREPROTECTIONFUND1,044,988,6221,077,313,7061,135.473,4891,180,692,4291,228,128,1261,258,831,3291,293,449,1901,332,252,666PROPERTYTAXRATES:GENERALTOWNWIDEFUNDS1.9034$2.1649$1.8698$1.8339$1.7987$1.7899$1.7768$1.7596HIGHWAYTOWNWIDEFUND--0.54390.53350.52320.52070.51690.5118HIGHWAYPART-TOWNFUND1.53881.24521.31921.29391.26901.26281.25361.2414FIREPROTECTIONFUND3.39723.24882.86222.79452.76842.78042.78332.7773TOTALPROPERTYTAXRATE$6.8394$6.6589$6.5951$6.4557$6.3593$6.3537$6.3305$6.2900PROPERTYTAXBILLFORATYPICALPROPERTYINTHETOWNOFITHACADESCRIPTION201620172018P20192020202120222023GENERALTOWNWIDEFUND$361.64$411.34$355.25$348.44‘S341.74$340.08$337.59$334.32HIGHWAYTOWNWIDEFUND--103.35101.3699.4198.9298.2097.25HIGHWAYPART-TOWNFUND292.38236.58250.65245.83241.10239.93238.18235.86FIREPROTECTIONFUND645.46617.28543.83530.95526,00528.27528.82527.68WATERBENEFITASSESSMENT100.00110.00125.00150.00170.00190.00210.00220.00SEWERBENEFITASSESSMENT25.0025.0025.0045.0045.0045.0045.0045.00TAXONTYPICALPROPERTY’$1,424.48$1,400.20$1,403.081$1,421.59$1,423.26$1,442.20$1,457.79$1,460.11CHANGEFROMPRIORYEAR$59.22$(24.28)$2.88$18.51$1.67$18.94$15.60$2.32%CHANGEFROMPRIORYEAR4.34%-1.70%0.21%1.32%0.12%1.33%1.08%0.16%‘ATypicalProperlyintheTownofIthacaisaSingleFamilyResidencewithanAssessedValueci$190,000.SALESTAXCOLLECTIONS’ACTUALACTUALESTIMATEDPROJECTEDPROJECTED‘PROJECTEDPROJECTEDPROJECTED20162017I20182019‘2020202120222023GENERALTOWNWIDEFUND$400,754S100,000$413,100$413,100$413,100P$413,100‘$413,100:S413,100GENERALPART-TOWNFUNDI950,0001,000,0001,032,8001,032,8001,032,8001.032,8001,032,8001,032,800HIGHWAYPART-TOWNFUND‘1,653,1892,084,9691,704,1001,704,1001,704,1001,704,100,1,704,1001,704,100TOTALSALESTAXCOLLECTED$3,003,943$3,184,969$3,150,000$3,150,000$3,150,000$3,150,000I$3,150,000$3,150,000BUDGETPROJECTION-2019-2023-VERSION1
GENERALTOWNWIDEFUNDTOWNOFITHACAFIVE-YEARBUDGETPROJECTIONSUMMARYOFREVENUESANDEXPENDITURESFISCALYEARS2019-2023GTOWNWIDEFL)ACTUALESTPMThDPROJECTEDPROJECTEDPROJECTEDPROJECTEDPROJECTEDENERALND2017201620192020202120222023EXPENDITURESBYFUNCTION:GENERALGOVERNMENT1,456,4441,641,2151,655,9481,686,6911,728,9691,770,1041,817,414PUBLICSAFETY75.22576,62785,36386,61590,11191,52292,958TRANSPORTATION369,715560,6561,989,881429,956440,542452,186464,158CULTURE&RECREATION951,1011,227,8551.197,9301,023,3581,085,221947,5951,050,002HOME&COMMUNID’SERVICE255,243249,536273,378241,298267,186258,319284,480EMPLOYEEBENEFITS944,754948,284999,1001,039,8801,069,8651,127,4721,195,007INTERFUNDTRANSFERS258,295229,954265,389317,180318,053310.745318,438TOTAL-EXPENDITURESBYFUNCTION:4,310,7774,934,1286,466,9894,824,9784,999,9464,957,9435,222,456EXPENDITURESBYCLASS:PERSONALSERVICES1,650,0201,850,6591,842,4761,889,2191,941,0851,999,2222,059,102EQUIPMENT/CAPITALOUTLAY176,130337,000271,12587,750192,125120,500223,250CONTRACTUALSERVICES1,192,2981,468,2311,403,8991,350,9481,378,8181,400,0041,426,659CAPITALPROJECTS89,280100,0001,685,000140,000100,000--EMPLOYEEBENEFITS944,754948,284999,1001,039,8801,069,8651,127,4721,195,007INTERFUNDTRANSFERS258,295229,954265,389317,180318,053310,745318,438TOTAL-EXPENDITURESBYCLASS:4,310,7774,934,1286,466,9894,824,9784,999,9464,957,9435,222,456REVENUES:REALPROPERTYTAXES3,052,0002,750,1892,805,1932,861,2972,918,5232,976,8933,036,431REALPROPERTYTAXITEMS60,96662,37562,37562,37562,37562,37562,375SALESTAX100,000413,100413,100413,100413,100413,100413.100FRANCHISETAX-------DEPARTMENTALINCOME16,74714,65014,65014,65014,65014,65014,650INTERGOVERNMENTALCHRGS101,496101,000101,000101,000101,000101,000101,000USEOFMONEY&PROPERTY37,27236,52337,39938,30039,22940,18641,171LICENSESANDPERMITS11,16511,57311,57311,57311,57311,57311,573FINESANDFORFEITURES224,402261,625261,625261,625261,625261,625261,625SALEOFPROPERTY5,907------MISC.LOCALSOURCES65,21943,90044,77845,67446,58747,51948,469STATE&FEDERALAID339,612275,000275000275,000275,000275,000275,000INTERFUNDTRANSFERS655,665593,100604,600617,100629.400641,500655,000PROCEEDSOFOBLIGATIONS--1,500,000----TOTALREVENUES:4,670,4504,563,0356,131,2934,701,6944,773,0624,645,4214,920,394APPROPRIATEDFUNDBALANCE(359.673)371,092335,696123,284226,884112,522302,062REVENUE&OTHERSOURCES:4,310,7774,934,1286,466,9894,824,9784,999,9464,957,9435,222,456FUNDBALANCE:BEGINNINGFUNDBALANCE3.624.2813,983,9533,612,8613,277,1653,153,8822,926,9972,814,475ADO-REVENUES&OTHERSOURCES4,670,4504,563,0356131,2934,701,6944,773,0624,845,4214,920,394DEDUCT-EXPENDITURES4,310,7774,934,1286,466,9894,824,9784,999,9464,957,9435,222,456(INCREASE)DECREASEINFUNDBALANCE(359,673)371,092335,696123,284226,884112,522302,062ENDINGFUNDBALANCE3,983,9533,612,8813,277,1653,153,8822,926,9972,614,4752,512,414-RESERVEDFUNDBALANCE1,041,8591,046,0941,146,8841,247,7341,3486441,449,6441,550,644-UNRESERVEDFUNDBALANCE2,942,0942,566,7672,130,2811,906,1481,578,3531,364,831961,770-FUNDBALANCE%ATYEAREND59.6%39,7%44.2%38.1%31.8%26.1%18.4%A-i
GENERALPART-TOWNFUNDTOWNOFITHACAFIVE-YEARBUDGETPROJECTIONSUMMARYOFREVENUESANDEXPENDITURESFISCALYEARS2019-2023GPARTTOWNFUACTUALEsTIr.tTaPROJECTEDPROJECTEDPROJECTEDPROJECTEDPROJECTEDENERAL-ND2017201820192020202120222023EXPENDITURESBYFUNCTION:GENERALGOVERNMENT138328161.836167,836171,941176,152180,472184,856PUBLICSAFETY-------TRANSPORTATION-------CULTURE&RECREATION-------HOME&COMMUNITYSERVICE907,8851,145,8111,065,175988,357982,4261,046,5811,041,607EMPLOYEEBENEFITS345,655447,325464,162486,476510,344538,495569,064INTERFUNDTRANSFERS81,10086,30087,77589,37591,17592,77594,675TOTAL-EXPENDITURESBYFUNCTiON:1,472,9691,841,2721,784,9481,736,1491,760,0951,858,3241,890,201EXPENDITURESBYCLASS:PERSONALSERVICES807,099879,066901,043923,557948,941977,3941,006,701EQUIPMENT/CAPITALOUTLAY-32,00034,00034,0002,00037,0002,000CONTRACTUALSERVICES239,115396,581297,968202,741207,637212,659217,761CAPITALPROJECTS-------EMPLOYEEBENEFITS345,655447,325464,162486,476510,344538,495569,064INTERFUNDTRANSFERS81,10086,30087,77589,37591,17592,77594,675TOTAL-EXPENDITURESBYCLASS:1,472,9691,841,2721,784,9481,736,1491,760,0961,858,3241,890,201REVENUES:REALPROPERTYTAXES-------REALPROPERTYTAXITEMS-------SALESTAX1,000,0001,032,8001,032,8001,032,8001,032,8001,032,8001,032,800FRANCHISETAX81,16854,50067,00066,50066,00065,50065,000DEPARTMENTALINCOME380,166200,125204,127208,210212,374216,621220,954INTERGOVERNMENTALCHRGS-------USEOFMONEY&PROPERTY950750750750750750750LICENSESANDPERMITS-------SALEOFPROPERTY-------MISC.LOCALSOURCES100,000100,000-----STATE&FEDERALAID118,756171,654137,65087,65087,65087,65087,650INTERFUNDTRANSFERS181-----PROCEEDSOFOBLIGATIONS-------TOTALREVENUES:1,681,2211.559,8291,442,3271,395,9101,399,5741,403,3211,407,154APPROPRIATEDFUNDBALANCE(208,253)281,444342,621340,239360,523455,002483,048REVENUE&OTHERSOURCES:1,472,9691,841,2721,784,9481,736,1491,760,0961,858,3241,890,201FUNDBALANCE:BEGINNINGFUNDBALANCE916,5031,124,756843312500,691160,451(200,071)(655074)ADD-REVENUES1,681,2211,559,8291,442,3271395,9101,399,5741,403,3211,407,154DEDUCT-EXPENDITURES1,472,9691,841,2721,784,9481,736,1491760,0961,858,3241890,201(INCREASE)DECREASEINFUNDBALANCE(208,253)281,444342,621340,239360,523455,002483,048ENDINGFUNDBALANCE1,124.756843,312500,691160,451(200,071)(655,074)(1,138,121)-RESERVEDFUNDBALANCE63,59563,64563,64563,69563,69563,74563,745-UNRESERVEDFUNDBALANCE1,061,161779,667437,04696,756(263,766)(718,819)(1,201,866)-FUNDBALANCE%ATYEAREND57,6%43.7%25.2%54%-14.2%-38.0%-63.6%B-i
HIGHWAYTOWNWIDEFUNDTOWNOFITHACAFIVE-YEARBUDGETPROJECTIONSUMMARYOFREVENUESANDEXPENDITURESFISCALYEARS2019-2023HVPHTFACTUALESTIMATEDPROJECTEDPROJECTEDPROJECTEDPROJECTEDPROJECTEDIGHWAAT-OWNUND2017201820192020202120222023EXPENDITURESBYFUNCTION:GENERALGOVERNMENT-62008364653187028,8769,053PUBLICSAFETY-------TRANSPORTATION-639,440660,734549,475569,151589,824765845CULTURE&RECREATION-------HOME&COMMUNITYSERVICE-------EMPLOYEEBENEFITS-119,645126,500133,823141,699151,051161,163INTERFUNDTRANSFERS--24,60025,10025,60026,10026,600TOTAL-EXPENDITURESBYFUNCUON:-767,285820,198716,929745,152775,850962,662EXPENDITURESBYCLASS:PERSONALSERVICES-258,640265,106271,734279,206287,583296,210EQUIPMENT/CAPITALOUTLAY-125,000130,000---155,000CONTRACTUALSERVICES-264,000273,992266,273298,646311,117323,689CAPITALPROJECTS-------EMPLOYEEBENEFITS-119,645126,500133,823141,699151,051161,163INTERFUNDTRANSFERS--24,60025,10025,60026,10026,600TOTAL-EXPENDITURESBYCLASS:-767.285820,198716,929745,152775,850962,662REVENUES:REALPROPERTYTAXES-800,000816,000632,320848,966865,946883,265REALPROPERTYTAXITEMS-3,1153,1153,1153,1153,1153,115SALESTAX-------DEPARTMENTALINCOME-------INTERGOVERNMENTALCHRGS-15,00015,00015,00015,00015,00015,000USEOFMONEY&PROPERTY-750750750750750750LICENSESANDPERMITS-------SALEOFPROPERTY-------MISC.LOCALSOURCES-------STATE&FEDERALAID-------INTERFUNDTRANSFERS-150,000-----PROCEEDSOFOBLIGATIONS-------TOTALREVENUES:-968,865834,865851,185867,831884,811902,130APPROPRIATEDFUNDBALANCE-(201580)(14,667)(134,256)(122,679)(108,960)60,533REVENUE&OTHERSOURCES:-767.285820,198716,929745,152775,850962,662FUNDBALANCE:BEGINNINGFUNDBALANCE--201,580216,247350,503473,182582,142ADD-REVENUES-968,865834,855851,185867,831884,811902,130DEDUCT-EXPENDITURES-767,285820,198716,929745,152775,850962,662(INCREASE)DECREASEINFUNDBALANCE-(201,580)(14,667)(134,256)(122,679)(108,960)60,533ENDINGFUNDBALANCE-201,580216,247350,503473,182582,142521,610-RESERVEDFUNDBALANCE-------•UNRESERVEDFUNDBALANCE-201,580216,247350,503473,182582,142521,610-FUNDBALANCE%ATYEAREND-24.6%30.2%47.0%61.0%60.5%54.2%DA-1
HIGHWAYPANT-TOWNFUNDTOWNOFITHACAFIVE-YEARBUDGETPROJECTIONSUMMARYOFREVENUESANDEXPENDITURESFISCALYEARS2019-2023PFACTUALESTIMATEDPROJECTEDPROJECTEDPROJECTEDPROJECTEDPROJECTEDHIGHWAYART-TOWNUND2017201620192020202120222023EXPENDITURESBYFUNCTION:GENERALGOVERNMENT72.01677,79981,44083,06384,71886,40688,128PUBLICSAFETY------TRANSPORTATION2,403,9782,576,3992,206,4592,563,2512,269,0762,626,6552,579,970CULTURE&RECREATION-------HOME&COMMUNITYSERVICE-------EMPLOYEEBENEFITS414,529443,980469,567496,950526,412561,069598,675INTERFUNDTRANSFERS378,225537,333349,840421,033397,985409,655401,298TOTAL-EXPENDITURESBYFUNCTION:3,268,7483,635,5113,107,3063,564,2963,278,1913,683,7853,668,070EXPENDITURESBYCLASS:PERSONALSERVICES795,124745,972742,330760,889781,813805,268829,426EQUIPMENT/CAPITALOUTLAY334,610236,000390,250153,500362,250219,000269,500CONTRACTUALSERVICES782,341622,226655.319681,925709,731738,793769,172CAPITALPROJECTS563,9191,050,000500,0001,050,000500,000950,000800,000EMPLOYEEBENEFITS414,529443,980469,567496,950526,412561,069598,675INTERFUNDTRANSFERS378,225537,333349,840421,033397,985409,655401,298TOTAL-EXPENDITURESBYCLASS:3,268,7483,635,5113,107,3063,564,2963,278,1913,683,7853,668,010REVENUES:REALPROPERTYTAXES1,250,0001,400,0001,428,0001,456,5601,485,6911,515,4051,545,713REALPROPERTYTAXITEMS-7,5557,5557,5557,5557,5557,555SALESTAX2,084,9691,704,1001,704,1001,704,1001,704,1001,704,1001,704,100DEPARTMENTALINCOME-------INTERGOVERNMENTALCHRGS15,2141,768-----USEOFMONEY&PROPERTY2,6612,0002,0002,0002,0002,0002,000LICENSESANDPERMITS-------SALEOFPROPERTY240,20745,00045,00045,00045,00045,00045,000MISC.LOCALSOURCES11,149------STATE&FEDERALAID132,581115,000115,000115,000115,000115,000115,000INTERFUNDTRANSFERS-------PROCEEDSOFOBLIGATIONS---360,000---TOTALREVENUES:3,736,7813,275,4233,301,6553,690,2153,359,3463,389,0603,419,368APPROPRIATEDFUNDBALANCE(468,033)360,088(194,349)(125,919)(81,155)294,725248,702REVENUE&OTHERSOURCES:3,268,7483,635,5113,107,3063,564,2963,278,1913,683,7653,668,070FUNDBALANCE:BEGINNINGFUNDBALANCE1,827,3272,295,3601,935,2722,129,6222,255,5402,336,6952,041,970ADD-REVENUES3,736,7813,275,4233,301,6553,690,2153,359,3463,369,0603,419,368DEDUCT-EXPENDITURES3,268,7483,635,5113,107,3063,564,2963,278,1913,683,7853,668,070(INCREASE)DECREASEINFUNDBALANCE(468,033)360,088(194,349)(125,919)(81,155)294,725248,702ENDINGFUNDBAL,ANCE2,295,3601,935,2722,129,6222,255,5402,336,6952,041,9701,793.268-RESERVEDFUNDBALANCE329,321330,000330,000330,000330,000330,000330,000-UNRESERVEDFUNDBALANCE1,966,0391,605,2721,799,6221,925,5402,006,6951,711,9701,463,268-FUNDBALANCE%ATYEAREND54.1%51.7%50.5%58.7%54.5%45.7%39.9%DB-1
WATERFUNDTOWNOFITHACASUMMARYOFREVENUESANDEXPENDITURESFIVE-YEARBUDGETPROJECTIONFISCALYEARS2019-2023WACTUALESTIMATEDPROJECTEDPROJECTEDPROJECTEDPROJECTEDPROJECTEDATERFUND2017201820192020202120222023EXPENDITURESBYFUNCTION:GENERALGOVERNMENT66,85278,14681,84283,57385,34087,14488,984PUBLICSAFETY-------TRANSPORTATION-------CULTURE&RECREATION-------HOME&COMMUNITYSERVICE2,655,9672,975,9305,021,7955,419,7714,542,2304710,9973,885,767EMPLOYEEBENEFITS98,858148,000154,355162,923172,111183,031194,862INTERFUNOTRANSFERS986,7231,019,4311,455,6321,576,2741,824,5441,959,4771,954,416TOTAL-EXPENDITURESBYFUNCTION:3,810,2014,221,5076,713,6237,242,5416,624,2265,940,6486,124,029EXPENDITURESBYCLASS:PERSONALSERVICES225,026237,300242,783248,402254,738261840269,155EQUIPMENT/CAPITALOUTLAY100,383108,3D0157,47547,450110,07567,100128,750CONTRACTUALSERVICES2,399,2102,553,4762,603,3792,657,4922,712,7572,769,2002,826,846CAPITALPROJECTS-155,0002,100,0002,550,0001,550,0001,700,000750,000EMPLOYEEBENEFITS98,858148,000154,355162,923172,111183,031194,862INTERFUNDTRANSFERS986,7231,019,4311,455,6321,576,2741,824,5441,959,4771,954,416TOTAL-EXPENDITURESBYCLASS:3,810,2014,221,5076.713,6237,242,5416,624,2266,940,6486,124,029REVENUES:REALPROPERTYTAXES8,6008,6568,8008,9769,1569,3399,525WATER/SEWERBENEFITUNITS883,736983,2081,249,2771,420,0971,591,9171,764,7371,854,272REALPROPERTYTAXITEMS-------DEPARTMENTALINCOME3,076,5463,368,3103,451,0423,535,8433,622,7643,711,8583,803,180INTERGOVERNMENTALCHRGS405761-----USEOFMONEY&PROPERTY1,2551,6003,0003,0003,0003,0003,000LICENSESANDPERMITS------SALEOFPROPERTY11,832------MISC.LOCALSOURCES405--900,000---STATE&FEDERALAID-------INTERFUNDTRANSFERS-------PROCEEDSOFOBLIGATIONS--2,100,0001,650,0001,350,000-750,000TOTALREVENUES:3,982,7794,362,5356,812,1197,517,9166,576,8375,488,9346,419,977APPROPRIATEDFUNDBALANCE(172,578)(141,027)(98,496)(275,375)47,3891,451,714(295,949)REVENUE&OTHERSOURCES:3.810,2014,221,50?6,713,6237.242,5416,624,2266,940,6486,124,029FUNDBALANCE.BEGINNINGFUNDBALANCE2,647,8372,820,4152,961,4423,059,9383,335,3133,287,9241,836,210ADD-REVENUES&OTHERSOURCES3,982,7794,362,5356,812,1197,517,9166,576,8375,488,9346,419,977DEDUCT-EXPENDITURES3,810,2014,221,5076,713,6237,242,5416,624,2266,940,6486,124,029(INCREASE)DECREASEINFUNDBALANCE(172,578)(141,027)(98,496)(275,375)47,3891,451,714(295,949)ENDINGFUNDBALANCE2.320,4152,961.4423,059,9383,335,3133,287,9241,836.2102,132,158-RESERVEDFUNDBALANCE23,81223,81223,81223,81223,81223,81223,812-UNRESERVEDFUNDBALANCE2,796,6032,937,6303,036,1263,311,5013,264,1121,812,3982,108,346-FUNDBALANCE%ATYEAREND662%43.8%41S%50.0%47.0%29.6%34.4%F-i
SEWERFUNDTOWNOFITHACAFIVE-YEARBUDGETPROJECTIONSUMMARYOFREVENUESANDEXPENDITURESFISCALYEARS2019-2023AcTuALESTIMATEDPROJECTEDPROJECTEDPROJECTEDPROJECTEDPPOJECTEDEWERFUND2017201820192020202120222023EXPENDITURESBYFUNCTION:GENERALGOVERNMENT45,4445589859,09660,31861,56362,83364,128PUBLICSAFETY-------TRANSPORTATION-------CULTURE&RECREATION-------HOME&COMMUNITYSERVICE2,258,0622,905,2092,523,4012,489,3312,571,6522,584,9152,668,922EMPLOYEEBENEFITS5248073,62076,83281,10085,67791,08396,951INTERFUNDTRANSFERS175,500181,300184,975189,375192,675196,075200,475TOTAL-EXPENDITURESBYFUNCTION:2,531,4863,216,0272,844,3042,820,1242,911,5672,934,9063,030,477EXPENDITURESBYCLASS:PERSONALSERVICES148,976149,200152,855156,601160,825165,560170437EQUIPMENT/CAPITALOUTLAY66,92272,200105,65032,3007405045,40086500CONTRACTUALSERVICES1,862,39719897072,023,9922,060,7482,098,3392,136,7882,176113CAPITALPROJECTS225,211750,000300,000300,000300,000300,000300,000EMPLOYEEBENEFITS52,48073,62076,83281,10085,6779108396,951INTERFUNDTRANSFERS175,500181,300184,975189,375192,675196,075200,475TOTAL-EXPENDITURESBYCLASS:2,531,4863,216,0272,844,3042,820,1242,911,5672,934,9063,030,477REVENUES:REALPROPERTYTAXES9,6009,81010,00010,00010,00010,00010,000WATER/SEWERBENEFITUNITS192,230188,084359,379360,504361629362,754363879REALPROPERTYTAXITEMS-------DEPARTMENTALINCOME2,265,99424892592,510,6842,535,6562,573,4882,611,8882,663,855INTERGOVERNMENTALCHRGS-------USEOFMONEY&PROPERTY3,4031,9501,5001,5001,5001,5001500LICENSESANDPERMITS-------SALEOFPROPERTY-------MISC.LOCALSOURCES8,0008,0008,0008,000---STATE&FEDERALAID-------INTERFUNDTRANSFERS-------PROCEEDSOFOBLIGATIONS-------TOTALREVENUES:2,479,2282,697,1032,889,5632,915,6602,946,6172,986,1423,039,235APPROPRIATEDFUNDBALANCE52,259518,924(45,259)(95,536)(35,050)(51,236)(8,758)REVENUE&OTHERSOURCES:2,531,4863,216,0272,844,3042,820,1242,911,5672,934,9063,030,477FUNDBALANCE:BEGINNINGFUNDBALANCE2,815,2752,763,0162,244,0922,289.3512,384,8872,419,9372,471,173ADD-REVENUES&OTHERSOURCES2,479,2282,697,1032,889,5632,915,6602,946,6172,986,1423,039,235DEDUCT-EXPENDITURES2,531,4863,216,0272,844,3042,820,1242,911,5672,934,9063,030,477(INCREASE)DECREASEINFUNDBALANCE52,259518,924(45,259)(95536)(35,050)(51,236)(8,758)ENDINGFUNDBALANCE2,763,0162,244,0922.289.3512,384,8872,419,9372,471,1732,479,931-RESERVEDFUNDBALANCE12,03412,03412,03412,03412,03412,03412,034-RESERVEDFORSJCPROJECTS1,509,74610615461,162,8461,264,2461365,7961,467,4461,500,000-UNRESERVEDFUNDBALANCE1,241,2361,170,5121,114,4711,108,6071,042,107991,693967,897-FUNDBALANCE%ATYEAREND38.6%41.2%39.5%38.1%35.5%32.7%31.9%G-1
FIREPROTECTIONDISTRICTFUNDTOWNOFITHACAFIVE-YEARBUDGETPROJECTIONSUMMARYOFREVENUESANDEXPENDITURESFISCALYEARS2019-2023ACTUAl.ESTIMATEDPROJECThDPROJECTEDPROJECTEDPROJECTEDPROJECTEDFIREROTECTIONDISTRICTUND2017201820192020202120222023EXPENDITURESBYFUNCTION:GENERALGOVERNMENT2,2682,7242,8052,8892,9763,0653,157PUBLICSAFETY3,108,4063,207,5003,335,0003,630,6503,581,0763,739,9493,925,697INTERFUNDTRANSFERS-------TOTAL-EXPENDITURESBYFUNCTION:3,110,6743,210,2243,337,5053,633,5393,584,0523,743,0153,928,854EXPENDITURESBYCLASS:EQUIPMENT/CAPITALOUTLAY-------CONTRACTUALSERVICES3,110,6743210,2243,337,8053,633,5393,584,0523,743,0153,928,854CAPITALPROJECTS-------INTERFUNDTRANSFERS-------TOTAL-EXPENDITURESBYCLASS:3,110.6743,2102243,337,8053,633,5393,584,0523,743,0153,926,554REVENUES:REALPROPERTYTAXES3,500,0003,250,0003,300,0003,400,0003,500,0003,600,0003,700,000REALPROPERTYTAXITEMS------INTERGOVERNMENTALCHRGS-------USEOFMONEY&PROPERTY4,6044,5004,0004,0004,0004,0004,000SALEOFPROPERTY-------MISC.LOCALSOURCES-------STATE&FEDERALAID27,18425,00025,00025,00025,00025,00025,000INTERFUNDTRANSFERS-------TOTALREVENUES:3,5317683,279,5003,329,0003,429,0003,529,0003,629,0003,729,000APPROPRIATEDFUNDBALANCE(421,114)(69,276)6,805204,53955,052114,015199,854REVENUE&OTHERSOURCES:3,110,6743,210,2243,337,8053,633,5393,584,0523,743,0153,928,854FUNDBALANCE:BEGINNINGFUNDBALANCE1,657,7122,078,8272,148,1032,139,2981,934,7581,879,7061,765,691ADD-REVENUES&OTHERSOURCES3,531,7883,279,5003,329,0003,429,0003,529,0003,629,0003,729.000DEDUCT-EXPENDITURES3,110,6743,210,2243,337,8053,633,5393,584,0523,743,0153,928,654(INCREASE)DECREASEINFUNDBALANCE(421,114)(69,276)8,805204,53955,052114,015199,654ENDINGFUNDBALANCE2,078,8272,148,1032,139,2981,934,7581,879,7061,765,6911,565,837-RESERVEDFUNDBALANCE--------UNRESERVEDFUNDBALANCE2,078,8272,148,1032,139,2981,934,7581,679,7061,765,6911,565,837-FUNDBALANCE%ATYEAREND64.6%64.4%58.9%84,0%50.2%44.9%39,9%SF-i
TOWNOFIThACAFIVE-YEARBUDGETPROJECTIONPROPERTYTAXLEVYFISCALYEARS2019-2023BUDGETPROJECTION-2019-2023-VERSION2ONACTUALACTUALBUDGETPROJECTEDPROJECTEDPROJECTEDPROJECTEDPROJECTEDDESCRIPTI20162017201820192020202120222023PROPERTYTAXLEVY:GENERALTOWNWIOEFUND$2,600,000$3,052,000$2,750,000$2,605,193$2,861,297S2,918,523$2,976,89353,036,431HIGHWAYTOWNWIDEFUND--800,000816000832,320848,966665,946883,265HIGHWAYPART-TOWNFUND1,500,0001,250,0001400,0001,428,0001,456,5601,485,6911,515,4051,545713WATERFUND8,5008,60090008,8008,9769,15693399,525SEWERFUND9,7009,6001000010,00010,00010,00010,00010,000FIREPROTECTIONFUND3,550,0003,500,0003,250,0003,300,0003,400,000,3,500,0003,600,0003,700,000LIGHTDISTRICTSFUND17,00019,00019,00019,00019,000j19,00019,00019,000TOTALPROPERTYTAXLEVYIs7,685,200$7,839,200•S6,238,000$8,386,993$8,588,153Is8,791,336S8,996,582$9,203,934INCREASEFROMPRIORYEAR5475,000$154,000S398800$148.993$201,1605203,183$205,247S207,352%INCREASEFROMPRIORYEAR6.59%2.00%5.09%1.81°/2.40%2.37%2.33%2.30%ASSESSEDVALUATIONS:GENERALTOWNWIDEFUND1,366,001,6771,409,739,3221,470,783,8201,529,615,1731,590,799,7801,630,569,7741,675,410,4431,725,672,756HIGHWAYTOWNWIDEFUND.-1,470,783,8201,529,615,1731,590,799,7801,630,569,7741,675.410,4431,725,672,756HIGHWAYPART-TOWNFUND974,757,3471,003,883,5811,061,231,644l,l03,680,9101,147,828,1451,176,523,8501,206,878,2561,245,144,603FIREPROTECTIONFUND1,044,988,8221,077,313,7061,135,473,4891,180,892,4291,228,128,1261,258,831,3291.293.449,1901,332,252.565PROPERTYTAXRATES:GENERALTOWNWIDEFUND$1.9034$2.1649$1.8698S1.8339$1.7987$1.7899$1.7768$1.7596HIGHWAYTOWNWIDEFUND--0.54390.53350.5232I0.52070.5169I0.5118HIGHWAYPART-TOWNFUND1.5388.1.24521.3192,1.29391.26901.26281.25361.2414FIREPROTECTIONFUND3.39723.24882,86222.79452.76842.76042.78332.7773TOTALPROPERTYTAXRATE$6.8394$6.6589IS6.5951$6.4557$6.3593IS6.3537$6.3305$6.2900PROPERTYTAXBILLFORATYPICALPROPERTYINTHETOWNOFITHACADESCRIPTION2016201720182019I2020202120222023GENERALTOWNWIDEFUND$361.64$411.34$355.25$348.44$341.74$340.08$337.59$334.32HIGHWAYTOWNWIDEFUND--103.35101.3699.4198.9298.2097.25HIGHWAYPART-TOWNFUND292.38236.58250.65245.83241.10239.93I238.18235.86FIREPROTECTIONFUND645.46617.28543.83530.95526.00528.27528.82527.68WATERBENEFITASSESSMENT100.00110.00125.00150.00170.00190.00210.00220.00SEWERBENEFITASSESSMENT.25.0025.0025.00i45,0045.0045.00I45.0045.00TAXONTYPICALPROPERTY$1,424.48,S1,4D0.20$1,403.08‘$1,421.59S1,423.26$1,442.20$1,457.79$1460.11CHANGEFROMPRIORYEAR$59.22$(24.28)$2.88$18.51S1.67$18.94$15.60‘$2.32%CHANGEFROMPRIORYEAR4.34%-1.70%0.21%1.32%0.12%1.33%1.08%0.16%ATypicalPropertyintheTownofllhacaisaSingleFamilyResidencewithanAssessedValueof$190,000.SALESTAXCO’LECTIONSACTUALACTUALESTIMATEDPROJECTEDPROJECTEOPROJECTEDPROJECTEDPROJECTED•,20162017201820192020I2021.20222023GENERALTOWNWI0EFUNDI400,754I$100,000S413,1005363,100,S313,100$313,100$313,100‘$313,100GENERALPART-TOWNFUNDI950,000I1,000,0001,032,800I1,182,8001,332,8001332,8001,332,8001,332,800HIGHWAYPART-TOWNFUND1,653,1892,084,9691,704,1001,604,1001.504,1001,504,1001,504,1001,504,100TOTALSALESTAXCOLLECTEDI$3,003,943I$3,184,96953,150,000[s3,150,00053,150,000S3,150,000$3,150,000I$3,150,000BUDGETPROJECTION-2019-2023-VERSION2
GENERALTOWNWIDEFUNDTOWNOFITHACASUMMARYOFREVENUESANDEXPENDITURES-RESERVEDFUNDBALANCE-UNRESERVEDFUNDBALANCE-FUNDBALANCE%ATYEAREND1041,5591046,09411468641,247,7342,942,0942,5667672,080,2811,756,148FIVE-YEARBUDGETPROJECTIONFISCALYEARS2019-2023GTFACmALEsnMATWPROJECTEDPROJECTEDPROJECTEDPROJECTEDPROJECTEDENERALOWNWIDEUND2017201820192020202120222023EXPENDITURESBYFUNCTION:GENERALGOVERNMENT1,456,4441,641,2151,655,9481,686,6911,728,9691,770,1041,817,414PUBLICSAFETY75,22576,62785,36386,61590,11191,52292,958TRANSPORTATION369715560,6561,989,881429,956440,542452,186464,158CULTURE&RECREATION951,1011,227,8551,197,9301,023,3581,085,221947,5951,050,002HOME&COMMUNITYSERVICE255,243249,536273,378241,298267,186258,319284,480EMPLOYEEBENEFITS944,754948,284999,1001039,8801,069,8651,127,4721,195,007INTERFUNDTRANSFERS258,295229,954265,389317,180318,053310,745318,438TOTAL-EXPENDITURESBYFUNCTION:4,310,7774,934,1286,466,9894,824,9784,999,9464,957,9485,222,456EXPENDITURESBYCLASS:PERSONALSERVICES1,650,0201,850,6591,842,4761,889,2191,941,0851,999,2222,059,102EOUIPMENT/CAPITALOUTLAY176,130337,000271,12587,750192,125120,500223,250CONTRACTUALSERVICES1,192,2981468,2311,403,8991,3509481,378,8181,400,0041,426,659CAPITALPROJECTS89,2801000001,685,000140,000100,000--EMPLOYEEBENEFITS944,754948,284999,1001039,8801,069,6651,127,4721,195,007INTERFUNDTRANSFERS258,295229,954265,389317,180318,053310,745318,438TOTAL-EXPENDITURESBYCLASS:4,310,7774,934,1286,466,9894,824,9784,999,9464,957,9435,222,456REVENUES:REALPROPERTYTAXES3,052,0002,750,1892,805,1932,861,2972,918,5232,976,8933,036,431REALPROPERTYTAXITEMS60,96662,37562,3756237562,37562,37562,375SALESTAX100,000413,100363,100313,100313,100313,100313,100FRANCHISETAX-------DEPARTMENTALINCOME16,74714,65014,65014,65014,65014,65014,650INTERGOVERNMENTALCHRGS101,496101,000101,000101,000101,000101,000101,000USEOFMONEY&PROPERTY37,27236,52337,39938,30039,22940,18641,171LICENSESANDPERMITS11,16511,57311,57311,57311,57311,57311,573FINESANDFORFEITURES224,402261,625261,625261,625261,625261,625261,625SALEOFPROPERTY5,907------MISC.LOCALSOURCES65,2194390044,77845,67446,5874751948,469STATE&FEDERALAID339,612275,000275,000275,000275,000275,000275,000INTERFUNDTRANSFERS655,665593,100604,600617,100629,400641,500655,000PROCEEDSOFOBLIGATIONS--1,500,000----TOTALREVENUES:4,670,4504,563,0356,081,2934,601,6944,673,0624,745,4214,820,394APPROPRIATEDFUNDBALANCE(359,673)371,092385,696223,284326,884212,522402,062REVENUE&OTHERSOURCES:4,310,7774,934,1286,466,9894,824,9784,999,9464,957,9435,222,456FUNDBALANCE:BEGINNINGFUNDBALANCE3,624,2613,983,9533,612,8613,227,1653,003,8822,676,9972,464,475ADD-REVENUES&OTHERSOURCES4,670,4504563,0356,081,2934,601,6944,673,0624745,4214,820,394DEDUCT-EXPENDITURES4,310,7774,934,1286,466,9894,824,9784,999,9464,957,9435,222,456(INCREASE)DECREASEINFUNDBALANCE(359,673)371,092385,696223,284326,884212,522402,062ENDINGFUNDBALANCE3,983,9533,612,8613,227,1653,003,8822,676,9972,464,4752,062,4141,348,6441,449,64459.6%39.7%43.1%35.1%26.6%19.4%1,328,3531,0148311,550,644511,7709.8%A-i
GENERALPART-TOWNFUNDTOWNOFITHACAFIVE-YEARBUDGETPROJECTIONSUMMARYOFREVENUESANDEXPENDITURESFISCALYEARS2019-2023GPTNFUNACTUALEsTIMATEDPROJECTEDPROJECTEDPROJECTEDPROJECTEDPROJECTEDENERALART-OW02017201820192020202120222023EXPENDITURESBYFUNCTION:GENERALGOVERNMENT138,328161,836167836171,941176,152180,472184,856PUBLICSAFETY-------TRANSPORTATION-------CULTURE&RECREATION-------HOME&COMMUNITYSERVICE907,8851,145,8111,065,175988,357982,4261,046,5811,041,607EMPLOYEEBENEFITS345,655447,325464,1624B6,476510,344538,495569,064INTERFUNDTRANSFERS81,10086,30087,77589,37591,17592,77594,675TOTAL-EXPENDITURESBYFUNCTION:1,472,9691,841,2721,784,9481,736,1491,760,0961,858,3241,890,201EXPENDITURESBYCLASS:PERSONALSERVICES807,099879,066901,043923,557948,941977,3941,006,701EQUIPMENT/CAPITALOUTLAY-32,00034,00034,0002,00037,0002,000CONTRACTUALSERVICES239,115396,581297,968202,741207,637212,659217,761CAPITALPROJECTS-------EMPLOYEEBENEFITS345,655447,325464,162486,476510,344538,495569,064INTERFUNDTRANSFERS81,10086,30087,77589,37591,17592,77594,675TOTAL-EXPENDITURESBYCLASS:1472,9691,841,2721,784,9481,736,1491,760,0961,858,3241.890,201REVENUES:REALPROPERTYTAXES--‘---REALPROPERTYTAXITEMS-------SALESTAX1,000,0001,032,8001,182,8001,332,8001,332,8001,332,6001,332,800FRANCHISETAX81,16854,50067,00066,50066,00065,50065,000DEPARTMENTALINCOME380,166200,125204,127208,210212,374216,621220,954INTERGOVERNMENTALCHROS-------USEOFMONEY&PROPERTY950750750750750750750LICENSESANDPERMITS------SALEOFPROPERTY-------MISC.LOCALSOURCES100,000100,000----STATE&FEDERALAID118,756171,654137,65087,65087,65087,65087,650INTERFUNDTRANSFERS181------PROCEEDSOFOBLIGATIONS-------TOTALREVENUES:1,681,2211,559,8291,592,3271,695,9101,699,5741,703,3211,707,154APPROPRIATEDFUNDBALANCE(208,253)281,444192,62140,23960,523155,002183,048REVENUE&OTHERSOURCES:1,472,9691,841,2721,784,9481,736,1491,760,0961,858,3241,890,201FUNDBALANCE:BEGINNINGFUNDBALANCE916,5031,124,756843,312650,691610,451549,929394,926ADD-REVENUES1,681,2211,559,8291,592,3271,695,9101,699,5741,703,3211,707,154DEDUCT-EXPENDITURES1,472,9691,841,2721,784,9481,736,1491,760,0961,858,3241,890,201(INCREASE)DECREASEINFUNDBALANCE(208,253)281,444192,62140,23960,523155,002183,048ENDINGFUNDBALANCE1.124.756843,312650.691610,451549,929394.926211,879-RESERVEDFUNDBALANCE63,59563,64563,64563,69563,69563,74563,745-UNRESERVEDFUNDBALANCE1,061,161779,667587,046546,756486,234331,181148,134-FUNDBALANCE%ATYEAREND57.6%43.7%33.8%31.1%26.2%17.5%TS%B-i
HIGHWAYPART-TOWNFUNDTOWNOFITHACAFIVE-YEARBUDGETPROJECTIONSUMMARYOFREVENUESANDEXPENDITURESFISCALYEARS2019-2023HPARTTOWNFUNACTUALESTIMATEDPROJECTEDPROJECTEDPROJECTEDPROJECTEDPROJECTEDIGHWAY-2017201620192020202120222023EXPENDITURESBYFUNCTION:GENERALGOVERNMENT72,01677,79981,44083,06384,71886,40688,128PUBLICSAFETY-------TRANSPORTATION2,403,9782,576,3992,206,4592,563,2512,269,0762,626,6552,579,970CULTURE&RECREATION-------HOME&COMMUNITYSERVICE-------EMPLOYEEBENEFITS414,529443,980469,567496,950526,412561,069598,675INTERFUNDTRANSFERS378,225537,333349,840421033397,985409,655401,298TOTAL-EXPENOITURESBYFUNCTION:3,266,7483,635,5113,107,3063,564,2963,278,1913,683,7853,668,070EXPENDITURESBYCLASS:PERSONALSERVICES795,124745,972742,330760,889781,813805,268829,426EQUIPMENT/CAPITALOUTLAY334,610236,000390,250153,500362,250219,000269,500CONTRACTUALSERVICES782,341622,226655,319681,925709,731738,793769,172CAPITALPROJECTS563,9191,050,000500,0001,050,000500,000950,000800,000EMPLOYEEBENEFITS414,529443,990469,567496,950526,412561,069598,675INTERFUNDTRANSFERS378,225537,333349,840421,033397,985409,655401,298TOTAL-EXPENDITURESBYCLASS:3,268,7483,635,5113,107,3063,564,2963,278,1913,683,7853,668,070REVENUES:REALPROPERTYTAXES1,250,0001,400,0001,428,0001,456,5601,485,6911,515,4051,545,713REALPROPERTYTAXITEMS-7,55575557,55575557,5557,555SALESTAX2,084,9691,704,1001,604,1001,504,1001,504,1001,504,1001,504,100DEPARTMENTALINCOME-------INTERGOVERNMENTALCHRGS15,2141,768-----USEOFMONEY&PROPERTY2,6612,0002,0002,0002,0002,0002,000LICENSESANDPERMITS-------SALEOFPROPERTY240,20745,00045,00045,00045,00045,00045,000MISC.LOCALSQURCES11,149------STATE&FEDERALAID132,581115,000115,000115,000115,000115,000115,000INTERFUNDTRANSFERS-------PROCEEDSOFOBLIGATIONS---360,000---TOTALREVENUES:3,736,7813,275,4233,201,6553,490,2153,159,3463,189,0603,219,368APPROPRIATEDFUNDBALANCE(468,033)360,088(94,349)74,081118,845494,725448,702REVENUE&OTHERSOURCES:3,268,7483,635,5113,107,3063,564,2963,278,1913,683,7853,668,070FUNDBALANCE:BEGINNINGFUNDBALANCE1,827,3272,295,3601,935,2722,029,6221,955,5401,836,6951,341,970ADD-REVENUES3,736,7813,275,4233,201,6553,490,2153,159,3463,189.0603,219,368DEDUCT-EXPENDITURES3,268,7483,635,5113,107,3063,564,2963,278,1913,883,7853,666,070(INCREASE)DECREASEINFUNDBALANCE(468,033)360,088(94,349)74,081118,845494,725448,702ENDINGFUNDBALANCE2,295,3601,935,2722,029,6221,955,5401,835,6951,341,970893,268-RESERVEDFUNDBALANCE329,321330,000330,000330,000330,000330,000330,000-UNRESERVEDFUNDBALANCE1,966,0391,605,2721,699,6221,625,5401,506,6951,011,970563,268-FUNDBALANCE%ATYEAREND54.1%51.7%47.7%49.6%40.9%27.6%15.4%DB-1
Sedgwick Business Interiors, LLC-Syr
100 W. Court St
Syracuse, NY 13204
Phone: 315-424-1500
Fax: 315-474-4611
Email/Web:
customerservice@sedgwickbusiness.com/
sedgwickbusiness.com
Quotation
Page: 1 of
Date Due:
Project: 473
473.009
Status: New
Sold To:2378-00
Ithaca Town Clerk
215 N. Tioga Street
Ithaca, NY 14850
Attention: Shannon Sanzi
1147-00
Herman Miller
Attn: Ord Ent-fx#616 654-5385
855 East Main St
Zeeland, MI 49464
Attention: Dennis Vallerie
2378-00
Ithaca Town Clerk
215 N. Tioga Street
Ithaca, NY 14850
Attention: Shannon Sanzi
Bill To:
Date Entered Salesperson FOB Terms
03/23/2018 Claire Sedgwick D Net 30 Days
Line Loc Item Number Description Order Qty Unit Price Extended
1
2
3
4
5
6
7
00
00
00
00
00
00
1B2JK7-
1B2JK7-
AER1C23DW
DU6ECS.307242LE
DU7F.E30C
E1425.1648
Make po out to Herman Miller c/o Sedgwick Business Int.
855 East Main Ave, Zeeland MI 49464/PC66271
LOCK PLUG AND KEY,CHROME UM SERIES
LOCK PLUG AND KEY,CHROME UM SERIES
WORK CHAIR,NEW AERON,C SIZE,STD-HGT RANGE
ADJ,TLT LIM A ND SEAT ANGLE,FULLY ADJ
ARMS,NON-UPHST ARMPADS
RENEW 90 DEG EXT CNR TBL, C-FOOT,SQ-
EDGE,LAM TOP/THERMO EDGE,ELEC STD RANGE,
30D 72W L 42W R
TABLE BASE KIT - 3 LEGS, ELEC STD RANGE, 30D, C
FOOT TY PE
TILE,RAIL 16H 48W
2
2
2
1
1
1
0.00
0.00
657.64
1,536.67
1,302.00
76.16
0.00
0.00
1,315.28
1,536.67
1,302.00
76.16
Options:
Options:
Options:
Options:
Options:
Options:
300-KEY NUMBER 300
301-KEY NUMBER 301
ALP-ADJUSTABLE POSTUREFIT SL
G1-GRAPHITE
G1-GRAPHITE
G1-GRAPHITE
C7-2 1/2" CASTER, BLACK YOKE, HARD FLOORS OR
CARPET
BK-BLACK
23103-8Z PELLICLE GRAPHITE
NNP-NO POWER ACCESS
SUD-SIMPLE UP DOWN
LBQ-WHITE TWILL
LBQ-WHITE TWILL
MS-METALLIC SILVER LEG WITH METALLIC SILVER
FOOT
PSC-SIMPLE CABLE
NNN-NO CUTOUT
57-GLIDES
NNP-NO POWER ACCESS
SUD-SIMPLE UP DOWN
MS-METALLIC SILVER LEG WITH METALLIC SILVER
FOOT
57-GLIDES
MS-METALLIC SILVER
Quote:
Print Date:03/26/18
ALL OTHER
SSanzi@town.ithaca.ny.usEmail:
(607)273-0493Phone:
30/72/42
R16
R
R
EC
IE
IE
U
Install Location:
4
Sedgwick Business Interiors, LLC-Syr
100 W. Court St
Syracuse, NY 13204
Phone: 315-424-1500
Fax: 315-474-4611
Email/Web:
customerservice@sedgwickbusiness.com/
sedgwickbusiness.com
Quotation
Page: 2 of
Date Due:
Project: 473
473.009
Status: New
Sold To:2378-00
Ithaca Town Clerk
215 N. Tioga Street
Ithaca, NY 14850
Attention: Shannon Sanzi
1147-00
Herman Miller
Attn: Ord Ent-fx#616 654-5385
855 East Main St
Zeeland, MI 49464
Attention: Dennis Vallerie
2378-00
Ithaca Town Clerk
215 N. Tioga Street
Ithaca, NY 14850
Attention: Shannon Sanzi
Bill To:
Date Entered Salesperson FOB Terms
03/23/2018 Claire Sedgwick D Net 30 Days
Line Loc Item Number Description Order Qty Unit Price Extended
8
9
10
11
12
13
14
15
16
00
00
00
00
00
00
00
00
00
FT29B.2
FT351.C4660R
FTS10.3060LS
FTS10.3066LS
FTS10.3096LS
FTS23.4872LS
FV2D2.S2AFS
FV2D2.S30FL
FV2D2.S30FR
SURFACE GANGING BRACKET,PAIR
PARI SCREEN, SURFACE ATTACHED, CANVAS SURF
ATT, TACK FA BRIC HORZ 46H 60W
RECTANGULAR SURFACE,SQ-EDGE, LAM
TOP/THERMO EDGE, 30D 6 0W, NO BRKTS
RECTANGULAR SURFACE,SQ-EDGE, LAM
TOP/THERMO EDGE, 30D 6 6W, NO BRKTS
RECTANGULAR SURFACE,SQ-EDGE, LAM
TOP/THERMO EDGE, 30D 9 6W, NO BRKTS
EXT CORNER SURFACE,RECT END,SQ-EDGE, LAM
TOP/THERMO EDG E, 30D 48W L,72W R, NO BRKTS
SQUARE OPEN SUPPORT LEG,FOR SQ-EDGE
SURFACE, 12"D SHARE D,FXD HGHT,SHARED
SQUARE OPEN SUPPORT LEG,FOR SQ-EDGE
SURFACE, 30"D,FXD H GHT,LFT
SQUARE OPEN SUPPORT LEG,FOR SQ-EDGE
SURFACE, 30"D,FXD H GHT,RT
1
2
1
1
1
1
3
2
1
11.48
310.80
114.52
131.32
185.92
256.20
61.04
96.88
96.88
11.48
621.60
114.52
131.32
185.92
256.20
183.12
193.76
96.88
Options:
Options:
Options:
Options:
Options:
Options:
Options:
Options:
G2-GRAPHITE SATIN
8T11-CROSSING MULBERRY
LBQ-WHITE TWILL
LBQ-WHITE TWILL
LBQ-WHITE TWILL
LBQ-WHITE TWILL
LBQ-WHITE TWILL
LBQ-WHITE TWILL
LBQ-WHITE TWILL
LBQ-WHITE TWILL
MS-METALLIC SILVER
MS-METALLIC SILVER
MS-METALLIC SILVER
Quote:
Print Date:03/26/18
SSanzi@town.ithaca.ny.usEmail:
(607)273-0493Phone:
46/60R
30/60
30/66
30/96
48/72
FT
FT
FT
FT
FT
FT
FV
FV
FV
Install Location:
4
Sedgwick Business Interiors, LLC-Syr
100 W. Court St
Syracuse, NY 13204
Phone: 315-424-1500
Fax: 315-474-4611
Email/Web:
customerservice@sedgwickbusiness.com/
sedgwickbusiness.com
Quotation
Page: 3 of
Date Due:
Project: 473
473.009
Status: New
Sold To:2378-00
Ithaca Town Clerk
215 N. Tioga Street
Ithaca, NY 14850
Attention: Shannon Sanzi
1147-00
Herman Miller
Attn: Ord Ent-fx#616 654-5385
855 East Main St
Zeeland, MI 49464
Attention: Dennis Vallerie
2378-00
Ithaca Town Clerk
215 N. Tioga Street
Ithaca, NY 14850
Attention: Shannon Sanzi
Bill To:
Date Entered Salesperson FOB Terms
03/23/2018 Claire Sedgwick D Net 30 Days
Line Loc Item Number Description Order Qty Unit Price Extended
17
18
19
20
21
22
23
24
25
26
00
00
00
00
00
00
00
00
00
00
FV2E2.S30FL
FV440.WM1524L
FV442.WM1548LPN
FV689.P
FV696.39
G6160.AB
G6160.BB
G6160.CB
LW100.24BBF
LW200.302
CLOSED SUPPORT LEG,FOR SQ-EDGE SURFACE,
30"D,FXD HGHT, LAM
CABINET,OVERHEAD STORAGE,OPEN,WALL MNTD,
LAM, 15H 24W
CABINET,OVERHEAD STORAGE,FULL ENCLSR,WALL
MNTD,CASE/PRI M DOOR LAM,SECNDRY DOOR
PTD,NO LOCK 15H 48W
SUPPORT LEG,POST
STIFFENER, 38 5/8W
TWIST LED TASK LIGHT,SINGLE UNIT,BRKT ATT
TWIST LED TASK LIGHT,STARTER UNIT,BRKT ATT
TWIST LED TASK LIGHT,ADD-ON UNIT,BRKT ATT
PED W-PULL,FREESTD 24D B/B/F
LAT FILE,W-PULL FREESTD 2 DWR 30W
1
1
1
1
1
1
1
1
2
2
81.20
238.56
381.92
44.24
19.88
114.24
137.76
99.12
188.80
306.88
81.20
238.56
381.92
44.24
19.88
114.24
137.76
99.12
377.60
613.76
Options:
Options:
Options:
Options:
Options:
Options:
LBQ-WHITE TWILL
LBQ-WHITE TWILL
LBQ-WHITE TWILL
LBQ-WHITE TWILL
MS-METALLIC SILVER
MS-METALLIC SILVER
SR-3/4-EXTENSION ROLLER SLIDES ON BOX
DRAWER, FULL-EXTENSION BALL BEARING ON FILE
DRAWER
SS-SMOOTH PAINT ON SMOOTH STEEL
MS-METALLIC SILVER
KA-KEYED ALIKE
1F-STANDARD HEIGHT
3M-DRAWER DIVIDER IN ONE BOX DRAWER, PENCIL
TRAY IN ONE BOX DRAWER, 2 FILE CONVERTERS IN
FILE DRAWER
SS-SMOOTH PAINT ON SMOOTH STEEL
MS-METALLIC SILVER
KA-KEYED ALIKE
CB-COUNTERWEIGHT (RECOMMENDED)
1R-FRONT-TO-BACK FILING RAIL
Quote:
Print Date:03/26/18
SSanzi@town.ithaca.ny.usEmail:
(607)273-0493Phone:
FV
FV
FV
FV
FV
A
A
A
UP
UL
Install Location:
4
Sedgwick Business Interiors, LLC-Syr
100 W. Court St
Syracuse, NY 13204
Phone: 315-424-1500
Fax: 315-474-4611
Email/Web:
customerservice@sedgwickbusiness.com/
sedgwickbusiness.com
Quotation
Page: 4 of 4
Date Due:
Project: 473
473.009
Status: New
Sold To:2378-00
Ithaca Town Clerk
215 N. Tioga Street
Ithaca, NY 14850
Attention: Shannon Sanzi
1147-00
Herman Miller
Attn: Ord Ent-fx#616 654-5385
855 East Main St
Zeeland, MI 49464
Attention: Dennis Vallerie
2378-00
Ithaca Town Clerk
215 N. Tioga Street
Ithaca, NY 14850
Attention: Shannon Sanzi
Bill To:
Date Entered Salesperson FOB Terms
03/23/2018 Claire Sedgwick D Net 30 Days
Line Loc Item Number Description Order Qty Unit Price Extended
27
28
29
30
31
32
33
34
00
00
00
00
00
00
00
Y7100.3608
Y7216.10
Y7218.
PW
LABOR
SB177
DESIGN
SURFACE-ATTACHED TOOL RAIL 8H 36W
PAPER TRAY 10W
DIAGONAL TRAY
PREVAILING WAGE NEW PRODUCT
DELIVERY AND INSTALLATION NY STATE CONTRACT
CUSTOM CUT
DESIGN
Estimated Lead Time is Approximately 6-8 Weeks From
Date Of Manufacturer acknowledgement Of Order Receipt
1
1
1
1
1
1
1
153.09
13.37
21.87
75.00
1,700.00
0.00
0.00
153.09
13.37
21.87
75.00
1,700.00
0.00
0.00
Options:
Options:
Options:
MS-METALLIC SILVER
91-WHITE
91-WHITE
Subtotal 10,096.52
0.00
TOTAL AMOUNT - USD $10,096.52
This Quote Expires On 04/25/2018
Quote:
Print Date:03/26/18
Approved By Date
Total Tax
SSanzi@town.ithaca.ny.usEmail:
(607)273-0493Phone:
ZZ
ZZ
ZZ
Install Location: