Township Budget
SYLVAN TOWNSHIP BUDGET FOR 2011-12
|
ADOPTED |
ADOPTED |
| PROPOSED INCOME |
10-11 |
11-12 |
|
|
|
| Interest on accounts |
$2,500.00 |
$2,500.00 |
| State Revenue Sharing |
171,700.00 |
175,000.00 |
| Fee schedule receipts |
10,400.00 |
10,000.00 |
| Property tax collection |
187,500.00 |
172,000.00 |
| Cable TV franchise |
10,200.00 |
10,600.00 |
| Administration fee |
75,000.00 |
66,100.00 |
| Rent (20/20) |
1,200.00 |
1,200.00 |
| City of Chelsea Electric |
3,650.00 |
3,650.00 |
| City of Chelsea Tax Revenue Sharing |
2,700.00 |
2,700.00 |
| Metro Act |
4,000.00 |
4,000.00 |
| Adams Outdoor Adv. |
1,200.00 |
1,200.00 |
|
------------- |
------------- |
| TOTAL |
$470,050.00 |
$448,950.00 |
LINE ITEMS FOR BUDGET 2010-11
|
|
ADOPTED |
ADOPTED |
|
|
10/11/11 |
11/12/11 |
| -------------------------------------------------------------------------------------------------------- |
| Insurance: Life, Liability, Workers Comp |
$14,500.00 |
$14,500.00 |
| Planning Commission |
|
1,760.00 |
2,200.00 |
| Zoning & Enforcement Officer |
|
7,000.00 |
7,000.00 |
| Zoning & Enforcement Office |
|
500 |
250 |
| Zoning Board of Appeals |
|
3,200.00 |
3,200.00 |
| Board of Review |
|
1,600.00 |
1,600.00 |
| Trustees salaries (2) |
|
5,160.00 |
5,160.00 |
| Assessors salary |
|
28,800.00 |
28,800.00 |
| Assessor office |
|
1,500.00 |
1,500.00 |
| Supervisor salary |
|
26,300.00 |
26,300.00 |
| Supervisor office |
|
100.00 |
100.00 |
| Treasurer salary |
|
24,100.00 |
24,100.00 |
| Treasurer office |
|
1,500.00 |
1,500.00 |
| Deputy Treasurer |
|
300 |
300 |
| Clerk salary |
|
24,100.00 |
24,100.00 |
| Clerk office |
|
2,500.00 |
2,500.00 |
| Deputy Clerk |
|
100 |
100 |
| Receptionist/Office help |
|
4,500.00 |
7,000.00 |
| Legal |
|
150,000.00 |
170,000.00 |
| Townhall Facility Expenses |
|
46,000.00 |
46,000.00 |
|
Heat & Lights 11000 |
|
|
|
Telephone 5000 |
|
|
|
Maintenance 25000 |
|
|
|
Office Supplies 5,000.00 |
|
|
| Elections |
|
4,500.00 |
2,000.00 |
| Audit & Accounting |
|
25,000.00 |
25,000.00 |
| Roads |
|
30,000.00 |
25,000.00 |
| MTA – dues |
|
4,000.00 |
3,600.00 |
| Training and Conferences |
|
1,500.00 |
500 |
| American Legion |
|
350 |
300 |
| Cemeteries (3) |
|
600 |
600 |
| WAVE |
|
350 |
200 |
| Nationwide Retirement & Payroll liabilities |
9,800.00 |
7,800.00 |
| Landfill monitoring |
|
2,700.00 |
2,700.00 |
| Postage |
|
3,500.00 |
3,000.00 |
| Consultant fees |
|
20,000.00 |
5,000.00 |
| Printing and publication |
|
2,500.00 |
2,500.00 |
| Codification of Ordinances |
|
15,000.00 |
-o- |
| Deposits (part of fee schedule receipts) |
3,500.00 |
3,500.00 |
| Contingent Fund |
|
3,230.00 |
1.040.00 |
|
|
--------------- |
--------------- |
| TOTAL |
|
$470,050.00 |
$448,950.00 |
| Fund Balance 3-31-07 |
$499,212.00 |
|
| Projected use of funds FY 2008 |
($65,000.00) |
|
| Projected fund balance 3-31-08 |
$434,212.00 |
|
| Budgeted use of funds FY 2009 |
($65,466.00) |
Budget amended $(108,866) |
| Projected fund balance 3-31-09 |
$368,746.00 |
Fund Balance 3-31-09 $ 325,346 |
|
|
|
| Projected use of funds FY 09-10 |
($69,772.00) |
Budget amended $( 1,240) |
| Projected fund balance 3-31-10 |
$255,574.00 |
Contingent Fund $(71,012) |
|
|
|
| Projected fund balance 3-31-10 |
$344,158.00 |
Budget amended $ 89,824 |
|
|
Contingent Fund 18,812 |
|
|
|
|
|
Budget amended $ 8,000 |
|
|
Contingent Fund $ 24,812 |
|
|
|
| Project use of fund FY 10-11 |
$3,230.00 |
|
| Projected fund balance 3-31-11 |
$347,388.00 |
Budget amended $62,404 |
| Projected fund balance 3-31-11 |
$284,984.00 |
| Projected fund balance 3-31-12 $286,024.00
This is printed from: http://twp-sylvan.org/boards/budget
on May 18, 2012 5:48 am
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