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Executive Summary
The Borough of Stockton's 2015 Municipal Budget document details the municipality's financial plan for the fiscal year. It includes statements of revenues and appropriations, as approved by the Mayor and Council on May 11, 2015. The document outlines the budget's components, including general appropriations, anticipated revenues, and the amount to be raised by taxes. A public hearing on the budget and tax resolution was scheduled for June 8, 2015, at Borough Hall, to allow taxpayers and interested parties to present objections.
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Document Text
--- Document: 2015 Budget Adopted Document ---
2015 MUNICIPAL DATA SHEET
(MUST ACCOMPANY 2015 BUDGET)
MUNICIPALITY: BOROUGH OF STOCKTON
COUNTY HUNTERDON
TIMOTHY J. NEMETH
Mayor's Name
Municipal Officials
MICHELE HOVAN
Municipal Clerk
DONNA GRIFFITHS
Tax Collector
DIANE SORIERO MCDANIEL
Chief Financial Officer
ROBERT W. SWISHER
Registered Municipal Accountant
MICHAEL BUTLER
Municipal Attorney
Official Mailing Address of Municipality
BOROUGH OF STOCKTON
MAIN STREET, P.O. BOX M
STOCKTON, NJ 08559
Fax #:609-397-4067
Sheet A
12/31/18
Term Expires
1/1/05
Date of Orig. Appt.
C-1123
Cert No.
T-8033
Cert No.
N1535
Cert No.
439
Lic No.
CAP
Governing Body Members
Term Expires
Name
KATHRYN STEFFANELLI
NIC MESSINA
ANTHONY GRECCO
AARON LIPSEN
DONALD VANDEGRIFT
ADAM JUNCOSA
12/31/2017
12/31/2015
11/2015
12/31/2015
12/31/2016
11/2015
Please attach this to your 2015 Budget and Mail to:
Director
Division of Local Government Services
Department of Community Affairs
Post Office Box 803
Trenton, New Jersey 08625
Division Use Only
Municode
Public Hearing Date
2015
MUNICIPAL BUDGET
Municipal Budget of the Borough of Stockton, County of Hunterdon, for the Fiscal Year 2015.
It is hereby certified that the Budget and Capital Budget annexed hereto and hereby made a part
hereof is a true copy of the Budget and Capital Budget approved by resolution of the Governing Body
on the 11th day of May 2015 and that public advertisement will be made in accordance with the
provisions of N.J.S. 40A:4-6 and N.J.A.C. 5:30-4.4(d).
Certified by me, this 11th day of May, 2015
Year 2015.
It is hereby certified that the approved Budget annexed hereto and hereby made a part is
an exact copy of the original on file with the Clerk of the Governing Body, that all additions are
correct, all statements contained herein are in proof and the total of anticipated revenues
equals the total of the appropriations
Registered Municipal Accountant
SUPLEE, CLOONEY & COMPANY
308 EAST BROAD STREET
WESTFIELD, NEW JERSEY 07090
Address
Certified by me, this 11th day of May, 2015
Clerk
P.O. Box M
Address
Stockton, NJ 08559
Address
609-397-0070
Phone Number
It is hereby certified that the approved Budget annexed hereto and hereby made a part is an
exact copy of the original on file with the Clerk of the Governing Body, that all additions are correct,
all statements contained herein are in proof and the total of anticipated revenues equals the total
of the appropriations and the budget is in full compliance with the Local Budget Law, N.J.S. 40:4-1 et seq.
908-789-9300
Phone Number
DO NOT USE THESE SPACES
Certified by me, this 11th day of May 2015
Dianed. Medanul
Chief Financial Officer
CERTIFICATION OF ADOPTED BUDGET
(Do not advertise this certification form)
It is hereby certified that the amount to be raised by taxation for local purposes has been compared with
the approved Budget previously certified by me and any changes required as a condition to such approval
have been made. The adopted budget is certified with respect to the foregoing only.
CERTIFICATION OF APPROVED BUDGET
It is hereby certified that the Approved Budget made part hereof complies with the requirements
of law and approval is given pursuant to N.J.S. 40A:4-79.
STATE OF NEW JERSEY
Department of Community Affairs
Director of the Division of Local Government Services
Dated:
2015
By:
Dated:
SHEET 1
2015
STATE OF NEW JERSEY
Department of Community Affairs
Director of the Division of Local Government Services
By:
MUNICIPAL BUDGET NOTICE
SECTION 1.
Municipal Budget of the Borough Of Stockton, County Of Hunterdon for the Fiscal Year 2015
Be It Resolved, that the following statements of revenues and appropriations shall constitute the Municipal Budget for year 2015;
on
Be it Further Resolved, that said Budget be published in the
Hunterdon Democrat
The Governing Body of the Borough of Stockton does hereby approve the following as the Budget for the year 2015:
RECORDED VOTE
(Insert last name)
JUNGOSA
{
{GRECCO
{
AYES {Lipse
NAYS {
MESSINA
{'
STEFFANELLI
{
{VANDEGRIFT
{
May 11
in the issue of
May 21
,2015
ABSTAINED {
ABSENT
{
Notice is hereby given that the Budget and Tax Resolution was approved by the Mayor and Council of the Borough of Stockton, County of Hunterdon,
, 2015
, on June 8 2015 at 7:00 (p.m.) at which time and place
A Hearing on the Budget and Tax Resolution will be held at
Borough Hall
objections to said Budget and Tax Resolution for the year 2015 may be presented by taxpayers or other interested persons.
SHEET 2
EXPLANATORY STATEMENT
SUMMARY OF CURRENT FUND SECTION OF APPROVED BUDGET
YEAR 2015
XXXXXXXXXXXXX
XXXXXXXXXXXXX
GENERAL APPROPRIATIONS FOR: (REFERENCE TO ITEM AND SHEET NUMBER SHOULD BE OMITTED IN ADVERTISED BUDGET)
1. APPROPRIATION WITHIN "CAPS"-
(A) MUNICIPAL PURPOSES {(ITEM H-1, SHEET 19) (N.J.S. 40A:4-45.2)}
2. APPROPRIATIONS EXCLUDED FROM "CAPS"
(A) MUNICIPAL PURPOSE ((ITEM H-2.SHEET 28) (N.J.S. 40A:4-45.3 AS AMENDED)}
(B) LOCAL DISTRICT SCHOOL PURPOSES IN MUNICIPAL BUDGET (ITEM K, SHEET 29)
TOTAL GENERAL APPROPRIATIONS EXCLUDED FROM "CAPS" (ITEM O, SHEET 29)
3. RESERVE FOR UNCOLLECTED TAXES (ITEM M, SHEET 29) - BASED ON ESTIMATED
4. TOTAL GENERAL APPROPRIATIONS (ITEM9, SHEET 29)
435,136.00
XXXXXXXXXXXXX
128,700.88
128,700.88
93.67% PERCENT OF TAX COLLECTIONS
125,000.00
BUILDING AID ALLOWANCE
FOR SCHOOLS-STATE AID
2014-$
2013-$
688,836.88
5. LESS: ANTICIPATED REVENUES OTHER THAN CURRENT PROPERTY TAX (ITEM 5, SHEET 11)
(i.e. SURPLUS, MISCELLANEOUS REVENUES AND RECEIPTS FROM DELINQUENT TAXES)
6.DIFFERENCE: AMOUNT TO BE RAISED BY TAXES FOR SUPPORT OF MUNICIPAL BUDGET (AS FOLLOWS)
(A) LOCAL TAX FOR MUNICIPAL PURPOSES INCLUDING RESERVE FOR UNCOLLECTED TAXES (ITEM 6(a), SHEET 11)
(B) ADDITION TO LOCAL DISTRICT SCHOOL TAX (ITEM 6(b), SHEET 11)
314,670.74
XXXXXXXXXXXXX
374,166.14
SHEET 3
BUDGET APPROPRIATIONS - ADOPTED BUDGET
SUMMARY OF 2014 APPROPRIATIONS EXPENDED AND CANCELED
GENERAL BUDGET
662,246.08
118.16
WATER UTILITY
SEWER UTILITY
UTILITY
253,692.04
BUDGET APPROPRIATIONS ADDED BY N.J.S. 40A:4-87
EMERGENCY APPROPRIATIONS
TOTAL APPROPRIATIONS
662,364.24
253,692.04
EXPENDITURES:
PAID OF CHARGED (INCLUDING RESERVE FOR
UNCOLLECTED TAXES)
599,758.13
71,485.43
257.324.91
RESERVED
60,532.22
8,504.57
152.41
UNEXPENDED BALANCES CANCELED
2,073.89
1,474.22
TOTAL EXPENDITURES AND UNEXPENDED
BALANCES CANCELED
OVEREXPENDITURES*
662,364.24
79,990.00
258,951.54
* SEE BUDGET APPROPRIATION ITEMS SO MARKED TO THE RIGHT OF COLUMN "EXPENDED 2014 RESERVED."
SHEET 3A
EXPLANATIONS OF APPROPRIATIONS FOR
"OTHER EXPENSES"
The amounts appropriated under the title of "Other
Expenses" are for operating costs other than "Salaries &
Wages".
Some of the items included in "Other Expenses" are:
Materials, supplles and non-bondable equipment;
Repairs and maintenance of buildings, equipment,
roads, etc.
Contractual services for garbage and trash removal,
fire hydrant service, aid to volunteer fire compantes, etc.
Printing and advertising, utility services, insurance
and many other items essential to the services rendered
by municipal government.
EXPLANATORY STATEMENT - (CONTINUED)
BUDGET MESSAGE
Under the terms of the Borough's various labor contracts employees are required to make contributions towards their Health Benefits. The following schedule discloses
the impact of these contributions on the 2015 Budget:
Projected Group Health Insurance Costs - 2015
Projected Employee Contributions - 2015
Group Health Insurance Budget Appropriation - 2015
"CAPS" CALCULATIONS
0.00
0.00
0.00
N.J.S.40A:4-45.1 et. seq. "The Local Government Cap Law" places limits on municipal expenditures. Commonly referred to as the "CAPS", it is actually calculated by a method established
by the law.
In general the actual calculation works as follows. Starting with the figure in the 2014 budget for Total General Appropriations certain 2014 budget figures are subtracted; including
the reserve for uncollected taxes, debt service, State and Federal aid, etc. Take the resulting figure and multiply it by 1.50% and this gives you the basic "CAP" or the amount of appropriations increase
allowed over the 2014 Total General Appropriations. The Total General Appropriations may also be increased by 3.5%, if prior, to the introduction of the 2015 budget an index rate ordinance is approved
by the governing body.
In addition to the increase allowed above, any increase funded by increase valuations from new construction or improvements is also allowed.
Also, the "CAPS" may be exceeded if approved by referendum. The actual "CAPS" for this municipality will be reviewed and approved by the Division of Local Government Services in the
State Department of Community Affairs, but the calculations upon which this budget was prepared are as follows:
SHEET 3B
Total General Appropriations for 2014
Add: Cap Base Adjustment
Adjusted Total General Appropriations for 2014
Less Exceptions:
Total Other Operations
Total Interlocal Service Agreements
Total Public & Private Programs
Total Capital Improvements
Total Municipal Debt Service
Deferred Charges to Future Taxation
Reserve for Uncollected Taxes
Total Exceptions
Amount on Which 3.50% is Applied
3.50% "CAP"
Allowable Operating Appropriations before Additional Exceptions
per (N.J.S.A. 40a: 4 - 45.3)
Add:
Increase in Ratables from New Construction & Improvements
Cap Bank
Maximum Allowable Appropriations After Modifications
EXPLANATORY STATEMENT - (CONTINUED)
BOROUGH OF STOCKΤΟΝ
"CAPS" CALCULATIONS
SHEET 3C
$31,240.00
4,408.00
38,000.00
59,137.00
$662,246.00
662,246.00
125,000.00
257,785.00
404,461.00
14,156.14
418,617.14
17,332.66
$435,949.80
EXPLANATORY STATEMENT - (continued)
BUDGET MESSAGE
Analysis of Compensated Absence Liability
Organization/Individuals Eligible for Benefit
NOT APPLICABLE
Gross Days of
Accumulated
Absence
Value of Compensated
Absences
TOTALS
0
Total Funds Reserved as of end of 2014:
Total Funds Appropriated in 2015:
Sheet 3d
$0.00
-0-
-0-
Legal basis for benefit
(check applicable items)
Approved
Labor
Agreement
Local
Ordinance
Individual
Employment
Agreements
EXPLANATORY STATEMENT (CONTINUED)
BOROUGH OF STOCKΤΟΝ
SUMMARY 2015 TAX LEVY "CAPS" CALCULATION
LEVY CAP CALCULATION
PRIOR YEAR AMOUNT TO BE RAISED BY TAXATION FOR MUNICIPAL PURPOSES
LESS: PRIOR YEAR DEFERRED CHARGES TO FUTURE TAXATION UNFUNDED
LESS: PRIOR YEAR DEFERRED CHARGES: EMERGENCIES
LESS: PRIOR YEAR RECYCLING TAX
LESS: CHANGES IN SERVICE PROVIDER: TRANSFER OF SERVICE/FUNCTION
NET PRIOR YEAR TAX LEVY FOR MUNICIPAL PURPOSES FOR CAP CALCULATION
PLUS 2% CAP INCREASE
ADJUSTED TAX LEVY
PLUS: ASSUMPTION OF SERVICE/FUNCTION
ADJUSTED TAX LEVY PRIOR TO EXCLUSIONS
EXCLUSIONS:
ALLOWABLE SHARED SERVICE AGREEMENTS INCREASE
ALLOWABLE HEALTH INSURANCE COST INCREASE
ALLOWABLE PENSION OBLIGATIONS INCREASES
ALLOWABLE LOSAP INCREASE
ALLOWABLE CAPITAL IMPROVEMENTS INCREASE
ALLOWABLE DEBT SERVICE AND CAPITAL LEASES INCREASE
RECYCLING TAX APPROPRIATION
DEFERRED CHARGES TO FUTURE TAXATION UNFUNDED
CURRENT YEAR DEFERRED CHARGES: EMERGENCIES
ADD TOTAL EXCLUSIONS
LESS CANCELLED OR UNEXPENDED EXCLUSIONS
ADJUSTED TAX LEVY AFTER EXCLUSIONS
ADDITIONS:
NEW RATABLES:
INCREASE IN VALUATIONS (NEW CONSTRUCTION AND ADDITIONS)
PRIOR YEAR'S LOCAL MUNICIPAL PURPOSE TAX RATE (PER $100)
NEW RATABLE ADJUSTMENT TO LEVY
2012 CAP BANK UTILIZED IN 2015
2013 CAP BANK UTILIZED IN 2015
2014 CAP BANK UTILIZED IN 2015
AMOUNTS APPROVED BY REFERENDUM
15,000.00
5,532.00
$357,443.00
357,443.00
7,149.00
364,592.00
364,592.00
20,532.00
2,074.00
383,050.00
MAXIMUM ALLOWABLE AMOUNT TO BE RAISED BY TAXATION
AMOUNT TO BE RAISED BY TAXATION FOR MUNICIPAL PURPOSES
$383,050.00
$374,166.14
SHEET 3E
Revenues at Risk
Non-recurring current appropriations
Future Year Appropriation Increases
Structural Imbalance Offsets
None Noted
Line Item.
Put "X" in cell to the left that
corresponds to the type of imbalance.
EXPLANATORY STATEMENT
BUDGET MESSAGE - STRUCTURAL BUDGET IMBALANCES
SHEET 3F
Amount
Comment/Explanation
CURRENT FUND - ANTICIPATED REVENUES
GENERAL REVENUES
"FCOA"
ANTICIPATED
REALIZED IN
2015
2014
CASH IN 2014
1. SURPLUS ANTICIPATED
08-101
163,000.00
163,000.00
163,000.00
2. SURPLUS ANTICIPATED WITH PRIOR WRITTEN CONSENT OF DIRECTOR OF LOCAL GOVERNMENT SERVICES
08-102
TOTAL SURPLUS ANTICIPATED
08-100
163,000.00
163,000.00
163,000.00
3.MISCELLANEOUS REVENUES SECTION A: LOCAL REVENUES
XXXXXXXXX
XXXXXXXXX
XXXXXXXXX
XXXXXXXX
LICENSES:
ALCOHOLIC BEVERAGES
OTHER
FEES AND PERMITS
XXXXXXXXX
XXXXXXXXX
XXXXXXXXX
XXXXXXXX
08-103
3,824.00
3,824.00
4,006.40
08-104
08-105
FINES AND COSTS:
MUNICIPAL COURT
OTHER
INTEREST AND COSTS ON TAXES
INTEREST AND COSTS ON ASSESSMENTS
PARKING METERS
INTEREST ON INVESTMENTS AND DEPOSITS
ANTICIPATED UTILITY OPERATING SURPLUS
XXXXXXXXX
XXXXXXXXX
XXXXXXXXX
XXXXXXXX
08-110
1,300.00
2,000.00
1,389.43
08-109
08-112
4,200.00
3,500.00
7,114.27
08-115
08-111
08-113
08-114
SHEET 4
CURRENT FUND - ANTICIPATED REVENUES - (CONTINUED)
GENERAL REVENUES
3.MISCELLANEOUS REVENUES - SECTION A: LOCAL REVENUES (CONTINUED):
"FCOA"
ANTICIPATED
2015
2014
REALIZED IN
CASH IN 2014
TOTAL SECTION A: LOCAL REVENUES
08-001
9,324.00
9,324.00
12,510.10
SHEET 4A
CURRENT FUND - ANTICIPATED REVENUES - (CONTINUED)
GENERAL REVENUES
"FCOA"
3. MISCELLANEOUS REVENUES - SECTION B: STATE AID WITHOUT OFFSETTING APPROPRIATIONS
TRANSITIONAL AID
CONSOLIDATED MUNICIPAL PROPERTY TAX RELIEF AID
ENERGY RECEIPTS TAX (P.L. 1997, CHAPTERS 162 & 167)
GARDEN STATE TRUST FUND AID
TOTAL SECTION B: STATE AID WITHOUT OFFSETTING APPROPRIATIONS
ANTICIPATED
2015
2014
REALIZED IN
CASH IN 2014
09-212
09-200
597.00
1,277.00
1,277.00
09-202
44,974.00
44,294.00
44,294.00
09-205
09-001
45,571.00
45,571.00
45,571.00
SHEET 5
CURRENT FUND - ANTICIPATED REVENUES - (CONTINUED)
GENERAL REVENUES
3.MISCELLANEOUS REVENUES - SECTION C: DEDICATED UNIFORM CONSTRUCTION CODE FEES
OFFSET WITH APPROPRIATIONS (N.J.S. 40A:4-36 AND N.J.A.C 5:23-4.17)
UNIFORM CONSTRUCTION CODE FEES
SPECIAL ITEM OF GENERAL REVENUE ANTICIPATED WITH PRIOR WRITTEN
CONSENT OF DIRECTOR OF LOCAL GOVERNMENT SERVICES:
ADDITIONAL DEDICATED UNIFORM CONSTRUCTION CODE FEES OFFSET WITH APPROPRIATIONS
(N.J.S. 40A:4-45.3H AND N.J.A.C. 5:23-4.17)
UNIFORM CONSTRUCTION CODE FEES
TOTAL SECTION C: DEDICATED UNIFORM CONSTRUCTION CODE FEES OFFSET WITH APPROPRIATIONS
"FCOA"
ANTICIPATED
2015
2014
REALIZED IN
CASH IN 2014
XXXXXXXXXXXX XXXXXXXXXXXXX
XXXXXXXXXXXXX
XXXXXXXXXXXXX
08-160
XXXXXXXXXXXX
XXXXXXXXXXXXX XXXXXXXXXXXXX
XXXXXXXXXXXXX
XXXXXXXXXXXX XXXXXXXXXXXXX XXXXXXXXXXXXX
XXXXXXXXXXXXX
08-160
08-002
SHEET 6
CURRENT FUND - ANTICIPATED REVENUES - (CONTINUED)
GENERAL REVENUES
3.MISCELLANEOUS REVENUES - SECTION D: SPECIAL ITEMS OF GENERAL REVENUE ANTICIPATED WITH
PRIOR WRITTEN CONSENT OF THE DIRECTOR OF LOCAL GOVERNMENT SERVICES -
SHARED SERVICE AGREEMENTS OFFSET WITH APPROPRIATIONS
"FCOA"
ANTICIPATED
2015
2014
REALIZED IN
CASH IN 2014
XXXXXXXXXX
XXXXXXXXXXX
XXXXXXXXXXX
XXXXXXXXXXX
TOTAL SECTION D: SHARED SERVICE AGREEMENTS OFFSET WITH APPROPRIATIONS
11-001
SHEET 7
CURRENT FUND - ANTICIPATED REVENUES - (CONTINUED)
GENERAL REVENUES
3. MISCELLANEOUS REVENUES - SECTION E: SPECIAL ITEMS OF GENERAL REVENUE ANTICIPATED
WITH PRIOR WRITTEN CONSENT OF DIRECTOR OF LOCAL GOVERNMENT SERVICES - ADDITIONAL
REVENUES OFFSET WITH APPROPRIATIONS (N.J.S. 40A:4-45.3H):
"FCOA"
ANTICIPATED
2015
2014
REALIZED IN
CASH IN 2014
XXXXXXXXXXXX XXXXXXXXXXXXX XXXXXXXXXXXXX XXXXXXXXXXXXX
TOTAL SECTION E: SPECIAL ITEM OF GENERAL REVENUE ANTICIPATED WITH PRIOR WRITTEN
CONSENT OF DIRECTOR OF LOCAL GOVERNMENT SERVICES - ADDITIONAL REVENUES
XXXXXXXXXXXX XXXXXXXXXXXXX XXXXXXXXXXXXX XXXXXXXXXXXXX
08-003
SHEET 8
CURRENT FUND - ANTICIPATED REVENUES - (CONTINUED)
GENERAL REVENUES
3. MISCELLANEOUS REVENUES - SECTION F: SPECIAL ITEMS OF GENERAL REVENUE ANTICIPATED WITH
PRIOR WRITTEN CONSENT DIRECTOR OF LOCAL GOVERNMENT SERVICES - PUBLIC AND
PRIVATE REVENUES OFFSET WITH APPROPRIATIONS:
"FCOA"
ANTICIPATED
2015
2014
REALIZED IN
CASH IN 2014
XXXXXXXXXXXX XXXXXXXXXXXXX XXXXXXXXXXXXX XXXXXXXXXXXXX
ALCOHOL EDUCATION AND REHABILITATION FUND
DELAWARE RIVER GREENWAY GRANT
CLEAN COMMUNITIES PROGRAM
PARK SERVICES GRANT
RECYCLING TONNAGE GRANT
SHEET 9
10-710
118.16
118.16
10-711
10-770
4,000.00
4,000.00
4,000.00
10-712
10-713
578.96
408.11
408.11
CURRENT FUND - ANTICIPATED REVENUES - (CONTINUED)
GENERAL REVENUES
3. MISCELLANEOUS REVENUES - SECTION F: SPECIAL ITEMS OF GENERAL REVENUE ANTICIPATED WITH
PRIOR WRITTEN CONSENT DIRECTOR OF LOCAL GOVERNMENT SERVICES - PUBLIC AND
PRIVATE REVENUES OFFSET WITH APPROPRIATIONS (CONTINUED) :
"FCOA"
ANTICIPATED
2015
2014
REALIZED IN
CASH IN 2014
XXXXXXXXXXXX XXXXXXXXXXXXX XXXXXXXXXXXXX XXXXXXXXXXXXX
TOTAL SECTION F: SPECIAL ITEM OF GENERAL REVENUE ANTICIPATED WITH PRIOR WRITTEN
CONSENT OF DIRECTOR OF LOCAL GOVERNMENT SERVICES PUBLIC AND PRIVATE REVENUES
XXXXXXXXXXXX XXXXXXXXXXXXX XXXXXXXXXXXXX XXXXXXXXXXXXX
10-001
SHEET 9A
4,578.96
4,526.27
4,526.27
CURRENT FUND - ANTICIPATED REVENUES - (CONTINUED)
GENERAL REVENUES
"FCOA"
3. MISCELLANEOUS REVENUES - SECTIONG: SPECIAL ITEMS OF GENERAL REVENUE ANTICIPATED WITH
PRIOR WRITTEN CONSENT DIRECTOR OF LOCAL GOVERNMENT SERVICES - OTHER SPECIAL ITEMS
UTILITY OPERATING SURPLUS OF PRIOR YEAR
08-116
UNIFORM FIRE SAFETY ACT
08-106
HOTEL AND MOTEL TAX
08-119
CELL TOWER RENTAL
GENERAL CAPITAL FUND BALANCE
RESERVE FOR DEBT/BRIDGE STREET
ANTICIPATED
2015
2014
REALIZED IN
CASH IN 2014
XXXXXXXXXXXX XXXXXXXXXXXXX
XXXXXXXXXXXXX
XXXXXXXXXXXXX
21,461.55
22,000.00
21,461.55
08-117
25,500.00
25,500.00
31,490.00
08-118
25,000.00
25,000.00
25,000.00
08-115
10,235.23
SHEET 10
CURRENT FUND - ANTICIPATED REVENUES - (CONTINUED)
GENERAL REVENUES
3. MISCELLANEOUS REVENUES - SECTION G: SPECIAL ITEMS OF GENERAL REVENUE ANTICIPATED WITH
"FCOA"
ANTICIPATED
2015
2014
REALIZED IN
CASH IN 2014
PRIOR WRITTEN CONSENT OF DIRECTOR OF LOCAL GOVERNMENT SERVICES - OTHER SPECIAL
ITEMS (CONTINUED):
XXXXXXXXXXXX
XXXXXXXXXXXXX XXXXXXXXXXXXX XXXXXXXXXXXXX
TOTAL SECTION G: SPECIAL ITEMS OF GENERAL REVENUE ANTICIPATED WITH PRIOR WRITTEN
XXXXXXXXXXXX XXXXXXXXXXXXX XXXXXXXXXXXXX XXXXXXXXXXXXX
CONSENT OF DIRECTOR OF LOCAL GOVERNMENT SERVICES - OTHER SPECIAL ITEMS
08-004
SHEET 10A
82,196.78
72,500.00
77,951.55
8800
GENERAL REVENUES
SUMMARY OF REVENUES
"FCOA"
ANTICIPATED
REALIZED IN
2015
2014
CASH IN 2014
XXXXXXXXXXX
XXXXXXXXXXX
XXXXXXXXXXX
XXXXXXXXXXX
1. SURPLUS ANTICIPATED (SHEET 4, #1)
08-101
163,000.00
163,000.00
163,000.00
2. SURPLUS ANTICIPATED WITH PRIOR WRITTEN CONSENT OF DIRECTOR OF LOCAL GOVERNMENT SERVICES (SHEET 4,#2)
08-102
3. MISCELLANEOUS REVENUES:
XXXXXXXXXXX
XXXXXXXXXXX
XXXXXXXXXXX
XXXXXXXXXXX
TOTAL SECTION A: LOCAL REVENUES
08-001
9,324.00
9,324.00
12,510.10
TOTAL SECTION B: STATE AID WITHOUT OFFSETTING APPROPRIATIONS
09-001
45,571.00
45,571.00
45,571.00
TOTAL SECTION C: DEDICATED UNIFORM CONSTRUCTION CODE FEES OFFSET WITH APPROPRIATIONS
08-002
SPECIAL ITEMS OF GENERAL REVENUE ANTICIPATED WITH PRIOR WRITTEN CONSENT OF
TOTAL SECTION D: DIRECTOR OF LOCAL GOVERNMENT SERVICES - SHARED SERVICE AGREEMENTS
11-001
SPECIAL ITEMS OF GENERAL REVENUE ANTICIPATED WITH PRIOR WRITTEN CONSENT OF
TOTAL SECTION E: DIRECTOR OF LOCAL GOVERNMENT SERVICES - ADDITIONAL REVENUES
08-003
SPECIAL ITEMS OF GENERAL REVENUE ANTICIPATED WITH PRIOR WRITTEN CONSENT OF
TOTAL SECTION F: DIRECTOR OF LOCAL GOVERNMENT SERVICES PUBLIC & PRIVATE REVENUES
10-001
4,578.96
4,526.27
4,526.27
SPECIAL ITEMS OF GENERAL REVENUE ANTICIPATED WITH PRIOR WRITTEN CONSENT OF
TOTAL SECTION G: DIRECTOR OF LOCAL GOVERNMENT SERVICES - OTHER SPECIAL ITEMS
TOTAL MISCELLANEOUS REVENUES
08-004
82,196.78
72,500.00
77,951.55
13-099
141,670.74
131,921.27
140,558.92
4. RECEIPTS FROM DELINQUENT TAXES
5. SUBTOTAL GENERAL REVENUES (ITEMS 1,2,3 AND 4)
15-499
10,000.00
10,000.00
26,909.25
13-199
314,670.74
304,921.27
330,468.17
6. AMOUNT TO BE RAISED BY TAXES FOR SUPPORT OF MUNICIPAL BUDGET:
A) LOCAL TAX FOR MUNICIPAL PURPOSES INCLUDING RESERVE FOR UNCOLLECTED TAXES
07-190
374,166.14
357,442.97 XXXXXXXXXXX
B) ADDITION TO LOCAL DISTRICT SCHOOL TAX
TOTAL AMOUNT TO BE RAISED BY TAXES FOR SUPPORT OF MUNICIPAL BUDGET
07-191
XXXXXXXXXXX
07-199
374,166.14
357,442.97
455,276.87
7. TOTAL GENERAL REVENUES
13-299
688,836.88
662,364.24
785,745.04
SHEET 11
CURRENT FUND - APPROPRIATIONS
8. GENERAL APPROPRIATIONS
"FCOA"
(A) OPERATIONS-WITHIN "CAPS"
FOR 2015
FOR 2014
APPROPRIATED
FOR 2014 BY
EMERGENCY
APPROPRIATION
TOTAL FOR 2014
AS MODIFIED BY
ALL TRANSFERS
EXPENDED 2014
PAID OR
CHARGED
RESERVED
GENERAL GOVERNMENT:
GOVERNING BODY:
Salaries & Wages
20-110-1
9,520.00
9,874.00
9,458.46
9,075.22
383.24
Other Expenses
20-110-2
1,200.00
1,200.00
240.00
239.47
0.53
MUNICIPAL CLERK (ADMIN & EXECUTIVE):
Salaries & Wages
20-120-1
42,750.00
41,666.00
41,666.00
41,665.36
0.64
Other Expenses
20-120-2
3,500.00
3,250.00
3,340.79
3,340.79
ELECTIONS:
Other Expenses
20-120-2
800.00
800.00
800.00
383.60
416.40
FINANCIAL ADMINISTRATION:
Salaries & Wages
20-130-1
17,000.00
17,319.00
18,408.00
18,407.14
0.86
Other Expenses
20-130-2
1,500.00
1,000.00
1,000.00
853.00
147.00
Audit Services
20-135-2
18,250.00
17,400.00
17,525.00
17,525.00
Computer Support
20-130-2
8,000.00
8,000.00
8,000.00
7,937.70
62.30
ADMINISTRATION:
Salaries & Wages
20-110-1
5,900.00
5,712.00
5,712.00
5,711.41
0.59
SHEET 12
8. GENERAL APPROPRIATIONS
CURRENT FUND - APPROPRIATIONS
APPROPRIATED
EXPENDED 2014
(A) OPERATIONS WITHIN "CAPS"-(CONTINUED)
"FCOA"
FOR 2015
FOR 2014
REVENUE ADMINISTRATION:
Salaries & Wages
Other Expenses
20-145-1
8,160.00
8,037.00
20-145-2
1,375.00
1,350.00
FOR 2014 BY
EMERGENCY
APPROPRIATION
TOTAL FOR 2014
AS MODIFIED BY
ALL TRANSFERS
PAID OR
CHARGED
RESERVED
8,003.00
7,959.36
43.64
1,350.00
964.64
385.36
TAX ASSESSMENT ADMINISTRATION:
Salaries & Wages
20-150-1
5,660.00
5,520.00
5,521.00
5,520.39
0.61
Other Expenses
20-150-2
550.00
550.00
550.00
302.04
247.96
LEGAL SERVICES:
Other Expenses
20-155-2
7,000.00
3,900.00
4,522.70
4,522.70
ENGINEERING SERVICES:
Other Expenses
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Apr 2, 2026
Last Info Update
Apr 30, 2026
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