HomeMy WebLinkAboutRevenue Budget WorksheetTOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 1
GENERAL FUND WHOLE TOWN
REAL PROPERTY TAXES
REAL PROPERTY TAXES
REAL PROPERTY TAXES
TOTAL
PAYMENTS IN LIEU OF RE TAXES
A .1081.00
P.I.L.O.T. PAYMENTS
PAYMENTS IN LIEU OF RE TAXES
TOTAL
INT & PENALTIES RE TAXES
A .1090.00
INT & PENALTIES RE TAXES
INT & PENALTIES RE TAXES
TOTAL
SALES TAX
SALES TAX
SALES TAX
TOTAL
DATA PROCESSING FEES
A .1230.00
DATA REQUESTS
DATA PROCESSING FEES
TOTAL
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
16205,911.00 17391,288.00 20,165,953.00 20,165,953.00 21,532,952.00
16205,911.00 17391,288.00 20,165,953.00 20,165,953.00 21,532,952.00
27,484.85 29,504.07 10,281.37 26,100.00 11,000.00
27,484.85 29,504.07 10,281.37 26,100.00 11,000.00
65,121.43 64,609.07 53,304.37 63,000.00 54,000.00
65,121.43 64,609.07 53,304.37 63,000.00 54,000.00
683,873.00 751,073.00 0.00 818,273.00 885,000.00
683,873.00 751,073.00 0.00 818,273.00 885,000.00
6,075.00 4,050.00 2,025.00 6,000.00 2,500.00
6,075.00 4,050.00 2,025.00 6,000.00 2,500.00
CLERK FEES
A .1255.10
MARRIAGE LICENSE/CERTIFIC 2,936.00 2,763.50 2,247.00 3,200.00 2,500.00
A .1255.20
SEARCH & CERTIFIED COPIES 3,310.29 4,001.20 3,904.93 5,000.00 4,000.00
A .1255.30
RETURNED CHECK CHARGES 740.00 880.00 740.00 750.00 1,000.00
A .1255.40
PASSPORT FEES 3,150.00 1,425.00 1,225.00 2,000.00 1,500.00
CLERK FEES
TOTAL 10,136.29 9,069.70 8,116.93 10,950.00 9,000.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 2
GENERAL FUND WHOLE TOWN
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
OTHER DEPARTMENTAL INCOME
A .1289.10
HISTORICAL RESEARCH 4.00
A .1289.20
FILMING FEES 4,475.00
OTHER DEPARTMENTAL INCOME
TOTAL 4,479.00
POLICE FEES
A .1520.00
POLICE DEPARTMENT FEES 4,216.25
POLICE FEES
TOTAL 4,216.25
AGING PARTICIPANT INCOME
A .1840.10
NUTRITION PROGRAM INCOME 34,081.85
A .1840.20
DAY CARE PROGRAM INCOME 64,260.00
A .1840.25
DAY CARE TRANSPORT INCOME 0.00
A .1840.30
TRANSPORTATION PROGM INCO 3,002.00
A .1840.40
SNAP PROGRAM INCOME 81,769.15
A .1840.50
RESIDENTIAL REPAIR INCOME 1,160.00
A .1840.60
TRIPS AND EXCURSIONS FEES 0.00
AGING PARTICIPANT INCOME
TOTAL 184,273.00
PARK AND RECREATION FEES
A .2001.10
REC FEES,YOUTH PROGRAMS
PARK AND RECREATION FEES
TOTAL
SPECIAL RECREATION FACILITY
A .2025.00
PARK & RECREATION
SPECIAL RECREATION FACILITY
TOTAL
87.00 387.00 0.00
600.00 430.85 2,000.00 500.00
687.00 817.85 2,000.00 500.00
3,475.00 4,351.50 9,000.00 4,000.00
3,475.00 4,351.50 9,000.00 4,000.00
36,536.00 38,473.00 47,200.00 46,000.00
80,650.00 63,472.50 80,000.00 75,000.00
0.00 3,065.00 10,000.00 6,000.00
3,015.00 2,575.50 8,800.00 5,000.00
64,492.28 66,184.64 85,000.00 76,000.00
1,400.00 871.36 3,500.00 1,500.00
186,093.28 174,642.00 234,500.00 209,500.00
73,234.00 92,821.38 82,793.00 90,000.00 90,000.00
73,234.00 92,821.38 82,793.00 90,000.00 90,000.00
88,631.26 267,771.69 88,683.47 203,700.00 42,700.00
88,631.26 267,771.69 88,683.47 203,700.00 42,700.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 3
GENERAL FUND WHOLE TOWN
ZONING FEES
A .2110.40
SEQRA REVIEW REIMBURSEMEN
ZONING FEES
TOTAL
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
0.00 0.00 2,950.00
0.00 0.00 2,950.00
2,950.00 * *
2,950.00 0.00
ALARM FEES
A .2116.10
ALARM PERMITS 18,245.00 15,940.00 13,975.00 15,000.00 15,000.00
A .2116.20
FALSE ALARM CHARGES 22,500.00 31,690.00 27,600.00 22,500.00 22,500.00
ALARM FEES
TOTAL 40,745.00 47,630.00 41,575.00 37,500.00 37,500.00
SERVICES OTHER GOVERNMENTS
A .2210.20
COUNTY YOUTH SERVICES
A .2210.30
SHELTER ISLAND FIRE ALARM
A .2210.35
PSAP GRANT
A .2210.40
COUNTY DWI ENFORCEMENT
A .2210.60
SHELTER ISLAND DISPATCH
A .2210.70
COUNTY INTERPRETOR REIMBU
A .2210.90
PEP PROJECT
SERVICES OTHER GOVERNMENTS
TOTAL
INTEREST AND EARNINGS
A .2401.00
INTEREST AND EARNINGS
INTEREST AND EARNINGS
TOTAL
RENTAL OF REAL PROPERTY
A .2410.00
RADIO TOWER RENTAL
RENTAL OF REAL PROPERTY
TOTAL
10,316.00
2,500.00
82,483.00
18,765.00
40,705.00
7,850.00
1,635.00
164,254.00
10,449.00 5,298.00 26,000.00 10,585.00
2,500.00 0.00 2,500.00 2,500.00
40,000.00 0.00 40,000.00 40,000.00
18,464.65 0.00 19,000.00 18,500.00
41,865.00 43,473.00 42,000.00 43,000.00
6,970.00 5,700.00 10,000.00 5,000.00
120,248.65 54,471.00 139,500.00 119,585.00
567,465.99 332,872.13 65,462.35 400,000.00 60,000.00
567,465.99 332,872.13 65,462.35 400,000.00 60,000.00
147,654.76 153,082.82 138,437.86 155,000.00 150,000.00
147,654.76 153,082.82 138,437.86 155,000.00 150,000.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 4
GENERAL FI/ND WHOLE TOWN
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
BINGO LICENSES
A .2540.10
BINGO PROCEEDS 657.51 753.80 267.43 200.00 200.00
A .2540.20
GAMES OF CHANCE PROCEEDS 30.00 20.00 10.00 30.00 30.00
BINGO LICENSES
TOTAL 687.51 773.80 277.43 230.00 230.00
TOTAL
DOG LICENSES
A .2544.10
DOG LICENSES
A .2544.20
DOG REDEMPTIONS
DOG LICENSES
PERMITS
A .2590.10
SHELLFISH PERMITS
A .2590.20
BEACH PERMITS
A .2590.30
CONSERVATION LICENSES
A .2590.40
TRUSTEE PERMITS
A .2590.50
FI MOORING FEES
A .2590.60
LANDOWNER FEES
PERMITS
TOTAL
FINES & FORFEITURES OF BAIL
A .2610.00
NYS AUDIT & CONTROL
FINES & FORFEITURES OF BAIL
TOTAL
FORFEITURE OF DEPOSITS
A .2620.00
FORFEITURE OF BID DEPOSIT
FORFEITURE OF DEPOSITS
TOTAL
7,157.86 6,746.87 6,074.40 7,000.00 7,000.00
2,090.00 1,050.00 920.00 1,000.00 1,000.00
9,247.86 7,796.87 6,994.40 8,000.00 8,000.00
10,350.00 13,410.00 10,080.00 10,000.00 13,000.00
112,444.00 117,200.02 114,910.00 125,000.00 172,000.00
553.06 1,075.86 941.00 500.00 1,000.00
111,548.42 94,613.76 58,595.99 111,000.00 65,000.00
8,525.00 9,355.00 8,750.00 8,525.00 * *
138.00 684.00 734.00 133.00 500.00
243,558.48 236,338.64 194,010.99 255,158.00 251,500.00
150,852.30 168,558.70 98,485.00 170,000.00 150,000.00
150,852.30 168,558.70 98,485.00 170,000.00 150,000.00
4,625.00 560.00 575.00 2,500.00 500.00
4,625.00 560.00 575.00 2,500.00 500.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 5
GENERAL FUND WHOLE TOWN
SCDA FORFEITURES, RESTRICTED
A .2626.10
SUFF CTY DISTRICT ATTORNE
SCDA FORFEITURES, RESTRICTED
TOTAL
SALE OF SCRAP & EXCESS MATRL
A .2650.00
SALE OF SCRAP & EXCESS MA
SALE OF SCRAP & EXCESS MATRL
TOTAL
MINOR SALES, OTHER
A .2655.30
OTHER SALES
A .2655.40
ZONING MAPS
MINOR SALES, OTHER
TOTAL
INSURANCE RECOVERIES
A .2680.00
INSURANCE RECOVERIES
INSURANCE RECOVERIES
TOTAL
REIMB MEDICARE PART D EXPENS
A .2700.10
REIMB OF MEDICARE D EXPEN
REIMB MEDICARE PART D EXPENS
TOTAL
REFUND PRIOR YR EXPENDITURES
A .2701.20
OTHER REFUNDS
REFUND PRIOR YR EXPENDITURES
TOTAL
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
0.00 0.00 9,000.00 0.00 * *
0.00 0.00 9,000.00 0.00 0.00
283.69 2,217.00 3,077.50 2,500.00 2,500.00
283.69 2,217.00 3,077.50 2,500.00 2,500.00
338.89 424.34 22.79 1,000.00 500.00
560.00 200.00 120.00 500.00 100.00
898.89 624.34 142.79 1,500.00 600.00
143,795.27 156,885.08 110,283.63 75,000.00 75,000.00
143,795.27 156,885.08 110,283.63 75,000.00 75,000.00
9,416.62 8,056.23 14,047.30 13,000.00 13,000.00
9,416.62 8,056.23 14,047.30 13,000.00 13,000.00
18,346.20 18,001.99 2,555.31 10,000.00 10,000.00
GIFTS Ai~D DONATIONS
A .2705.30
TREE COMMITTEE DONATIONS 0.00 4,500.00 0.00
A .2705.40
OTHER DONATIONS 3,170.00 3,850.00 18,943.87
A .2705.50
ADULT DAY CARE DONATIONS 470.00 0.00 880.00
GIFTS AND DONATIONS
TOTAL 3,640.00 8,350.00 19,823.87
26,813.87 0.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 6
GENERAL FUND WHOLE TOWN
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
SUFFOLK COLINTY AGING GRANTS
A .2750.10
NUTRITION PROGRAM GRANT 6,259.11 14,008.60 55,959.75 75,933.00 74,500.00
A .2750.20
DAY CARE PROGRAM GRANT 0.00 0.00 0.00 0.00 * *
A .2750.30
TRANSPORTATION GRANT 9,315.81 8,633.79 8,529.58 10,000.00 5,000.00
A .2750.40
SNAP PROGRAM GRANT 91,698.20 107,328.36 123,525.89 165,745.00 162,822.00
A .2750.60
OTHER AGING GRANTS 23,874.77 12,756.93 13,469.36 20,400.00 20,400.00
SUFFOLK COLrNTY AGING GRANTS
TOTAL 131,147.89 142,727.68 201,484.58 272,078.00 262,722.00
OTHER UNCLASSIFIED REVEA~3E
A .2770.10
MISCELLAi~EOUS
A .2770.20
NATURE CONSERVANCY GRANT
A .2770.30
MENTAL HEALTH INTEGR GRAN
A .2770.40
GERIATRIC EDUC CENTER GRA
A .2770.50
NF WOMEN FOR WOMEN FUND
OTHER UNCLASSIFIED REVEN/3E
TOTAL
STATE AID, MORTGAGE TAX
A .3005.00
MORTGAGE TAX
STATE AID, MORTGAGE TAX
TOTAL
ST AID REAL PROPERTY TAX ADM
A .3040.10
STAR PROGRAM AID
ST AID REAL PROPERTY TAX ADM
TOTAL
41.00 3,724.47 5,222.09 0.00 * *
9,000.00 18,000.00 13,500.00 18,000.00 18,000.00
0.00 1,000.00 1,000.00 2,000.00 2,000.00
0.00 0.00 0.00 0.00 1,200.00
21,541.00 22,724.47 19,722.09 20,000.00 21,200.00
2293,263.35 1551,445.05 484,533.14
2293,263.35 1551,445.05 484,533.14
8,283.53 5,429.21 0.00
8,283.53 5,429.21 0.00
1,350,000.00
1,350,000.00
1,200,000.00
1,200,000.00
MISCELLANEOUS STATE AIDE
A .3089.00
RECORD ARCHIVES GP~T 0.00 15,228.00 1,692.00
A .3089.10
SALES TAX COLLECT CREDIT 32.04 15.59 25.02
A .3089.20
EMERGENCY SERVICES GRANT 0.00 0.00 0.00
A .3089.25
RT 25 DRAINAGE PROJECT 3,500.00 0.00 0.00
0.00 0.00
15.00 15.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 7
GENERAL Fl/ND WHOLE TOWN
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
MISCELLANEOUS STATE AIDE
A .3089.35
NYS PARKS LAUREL LAKE GP~ 0.00 0.00 0.00
A .3089.55
GTSB TP~FFIC SAFETY 7,176.00 11,778.43 10,114.30
A .3089.70
OFFICE OF REAL PROPERTY T 0.00 2,827.47 0.00
A .3089.75
NYS DEPT OF TRANSPORTATIO 0.00 0.00 0.00
A .3089.80
DEFT OF STATE GRANT 67,219.37 23,127.10 15,983.47
A .3089.85
NYS PUMPOUT BOAT GRANT 6,000.00 0.00 10,000.00
MISCELLANEOUS STATE AIDE
TOTAL 83,927.41 52,976.59 37,814.79
10,000.00 10,000.00
109,100.00 10,015.00
STATE AID, YOUTH PROGRAMS
A .3820.10
JAB/YOUTH GRANT
STATE AID, YOUTH PROGRAMS
TOTAL
27,395.00 46,909.00 38,563.00
27,395.00 46,909.00 38,563.00
30,000.00 * *
30,000.00 0.00
ST AID EMERG. DISASTER ASST.
A .3960.00
SEMO AID
ST AID EMERG. DISASTER ASST.
TOTAL
0.00 0.00 0.00
0.00 0.00 0.00
0.00 0.00
FEDERAL AID PUBLIC SAFETY
A .4389.20
DOJ BUREAU OF JIJSTICE ASS 0.00 346.50 0.00
A .4389.30
HOMELAND SECURITY GRA~TS 2,649.37 0.00 4,731.02
FEDERAL AID PUBLIC SAFETY
TOTAL 2,649.37 346.50 4,731.02
12,020.00 * *
12,020.00 0.00
FEDERAL AID ISTEA GRANT
A .4597.10
ORIENT CAUSEWAY STUDY TEA 20,000.00 0.00 0.00
A .4597.20
INTERPRETIVE SIGNAGE TEA 0.00 35,999.80 0.00
FEDERAL AID ISTEA GRANT
TOTAL 20,000.00 35,999.80 0.00
0.00 0.00
TOWN OF SOUTHOLD
11/17/2009 13:55:38
GENERAL FUND WHOLE TOWN
FEDERAL AID, AGING PROGRAMS
A .4772.10
FEDERAL AIDE, USDA
A .4772.20
FEDERAL AIDE, C1 CONGREGA
A .4772.30
FEDERAL AIDE, C2 HOME DEL
FEDERAL AID, AGING PROGRAMS
TOTAL
FED. EMERGENCY DISASTER AID
A .4960.00
FEMA AID
FED. EMERGENCY DISASTER AID
TOTAL
APPROPRIATED FI/ND BALANCE
A .5990.00
APPROPRIATED FI/ND BALANCE
APPROPRIATED FI/ND BALANCE
TOTAL
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
25,255.75 25,621.00 0.00
56,332.02 50,711.40 0.00
41,330.99 35,031.64 0.00
0.00 0.00 0.00
0.00 0.00 0.00
0.00 0.00
0.00 0.00
0.00 0.00 0.00
0.00 0.00 0.00
651,076.43
651,076.43
100,000.00
100,000.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 8
GENERAL FI/ND WHOLE TOWN
TOTAL 21570,032.96 22032,360.78 22,139,986.54 25,373,402.30 25,313,504.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 9
GENERAL FI/ND PART TOWN
REAL PROPERTY TAXES
REAL PROPERTY TAXES
REAL PROPERTY TAXES
TOTAL
PAYMENTS IN LIEU OF RE TAXES
B .1081.00
PAYMENT IN LIEU OF RE TAX
PAYMENTS IN LIEU OF RE TAXES
TOTAL
INT & PENALTIES RE TAXES
B .1090.00
INTEREST ON REAL ESTATE T
INT & PENALTIES RE TAXES
TOTAL
FRANCHISES
B .1170.10
CABLEVISION FRANCHISE
FRANCHISES
TOTAL
CLERK FEES
B .1255.00
YARD SALE PERMITS
B .1255.10
DGEIS/LWRP COPIES
CLERK FEES
TOTAL
SAFETY INSPECTION FEES
B .1560.00
BUILDING INSPECTION FEES
SAFETY INSPECTION FEES
TOTAL
PUBLIC HEALTH FEES
B .1601.10
BIRTH TRANSCRIPTS
B .1601.20
DEATH TRANSCRIPTS
PUBLIC HEALTH FEES
TOTAL
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
407,539.00 809,977.00 713,928.00 713,928.00 904,014.00
407,539.00 809,977.00 713,928.00 713,928.00 904,014.00
727.50 1,443.89 382.80 1,400.00 380.00
727.50 1,443.89 382.80 1,400.00 380.00
554.21 750.35 145.15 750.00 150.00
554.21 750.35 145.15 750.00 150.00
234,091.00 256,296.00 131,925.00 248,000.00 251,000.00
234,091.00 256,296.00 131,925.00 248,000.00 251,000.00
6,705.00 6,930.00 7,440.00
33.00 32.00 19.00
6,738.00 6,962.00 7,459.00
12,000.00 12,000.00
12,000.00 12,000.00
543,811.26 480,096.87 364,665.26 500,000.00 450,000.00
543,811.26 480,096.87 364,665.26 500,000.00 450,000.00
190.00 180.00 91.00 200.00 200.00
15,800.00 14,065.00 11,303.00 13,200.00 13,200.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 10
GENERAL FI/ND PART TOW~
ZONING FEES
B .2110.10
ZONING APPEALS
B .2110.20
CHANGE OF ZONES
ZONING FEES
TOTAL
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
52,100.00 61,850.00 31,575.00
1,000.00 0.00 0.00
53,100.00 61,850.00 31,575.00
PLANNING BOARD FEES
B .2115.10
PLANNING APPLICATIONS 47,575.90 44,495.40 26,248.00
B .2115.15
MORATORIUM WAIVER FEES 250.00 250.00 0.00
B .2115.20
PLANNING INSPECTION FEES 0.00 0.00 6,310.00
B .2115.30
PLANNING SEQR REIMBURSEME 2,470.42 24,477.50 3,862.50
B .2115.40
CONSULTANT REIMBURSEMENTS 0.00 0.00 0.00
PLANNING BOARD FEES
TOTAL 50,296.32 69,222.90 36,420.50
INTEREST AND EARNINGS
B .2401.00
INTEREST AND EARNINGS
INTEREST AND EARNINGS
TOTAL
PERMITS
B .2590.10
HOUSE TRAILER PERMITS
B .2590.30
PEDDLING PERMITS
B .2590.40
OTHER PERMITS
PERMITS
TOTAL
MINOR SALES, OTHER
B .2655.00
ORDINANCE BOOKS
MINOR SALES, OTHER
TOTAL
55,000.00 70,000.00
55,000.00 70,000.00
80,000.00 60,000.00
15,000.00 15,000.00
50,000.00 20,000.00
145,000.00 95,000.00
44,654.21 20,352.29 1,929.69 25,000.00 2,000.00
44,654.21 20,352.29 1,929.69 25,000.00 2,000.00
4,700.00 4,500.00 3,700.00 5,000.00 4,500.00
200.00 1,000.00 1,600.00 1,000.00 1,000.00
250.00 0.00 275.00 0.00 * *
5,150.00 5,500.00 5,575.00 6,000.00 5,500.00
2,164.08 4,140.50 133.00
2,164.08 4,140.50 133.00
3,000.00 * *
3,000.00 0.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 11
GENERAL FI/ND PART TOW~
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
INSURANCE RECOVERIES
B .2680.10
INSURANCE RECOVERIES
INSURANCE RECOVERIES
TOTAL
0.00 782.00 0.00 0.00 * *
0.00 782.00 0.00 0.00 0.00
REFLIND PRIOR YR EXPENDITURES
B .2701.20
OTHER REFUNDS
REFI/ND PRIOR YR EXPENDITURES
TOTAL
0.00 0.00 0.00 0.00 * *
0.00 0.00 0.00 0.00 0.00
STATE AID, REVENUE SHARING
B .3001.00
STATE REVEN~E SHARING
STATE AID, REVENUE SHARING
TOTAL
93,135.00 95,929.00 95,929.00 96,000.00 96,000.00
93,135.00 95,929.00 95,929.00 96,000.00 96,000.00
STATE AID
B .3089.80
DEPT OF STATE GRANT
STATE AID
TOTAL
B .4389.30
HOMELAND SECURITY GRA~TS
0.00 51,373.48 24,973.66
0.00 51,373.48 24,973.66
0.00 0.00 5,934.21
120,000.00 65,000.00
120,000.00 65,000.00
APPROPRIATED FI/ND BALANCE
B .5990.00
APPROPRIATED FI/ND BALANCE
APPROPRIATED FUND BALANCE
TOTAL
0.00 0.00 0.00 292,000.00 119,000.00
0.00 0.00 0.00 292,000.00 119,000.00
GENERAL FI/ND PART TOWN
TOTAL 1457,760.58 1878,741.28 1,432,278.27 2,231,278.00 2,083,244.00
TOWN OF SOUTHOLD
11/17/2009 13:55:38
COMMUNITY DEVELOPMENT FUND
REFUND PRIOR YR EXPENDITURES
CD .2701.00
PRIOR YEAR REFUNDS
REFUND PRIOR YR EXPENDITURES
TOTAL
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
0.00 0.00 0.00 0.00 * *
0.00 0.00 0.00 0.00 0.00
COMMUNITY DEVELOPMENT GRANT
CD .2743.22
YEAR 22 (N) 0.00 0.00 0.00
CD .2743.27
YEAR 27 {S) 20,000.00 0.00 0.00
CD .2743.29
YEAR 29 {U) 4,024.89 10,000.00 0.00
CD .2743.30
YEAR 30 {V) 20,828.31 14,699.54 0.00
CD .2743.31
YEAR 31 {W) 83,684.17 38,264.00 0.00
CD .2743.32
YEAR 32 {X) 60,537.33 37,842.67 0.00
CD .2743.33
YEAR 33 {Y) 21,100.00 15,431.33 36,540.00
CD .2743.34
YEAR 34 {Z) 0.00 28,600.00 0.00
CD .2743.35
YEAR 35 {A) 0.00 0.00 13,000.00
CD .2743.36
YEAR 36 {B) 0.00 0.00 0.00
COMMUNITY DEVELOPMENT GRANT
TOTAL 210,174.70 144,837.54 49,540.00
APPROPRIATED FI/ND BALANCE
CD .5990.00
APPROPRIATED FI/ND BALANCE
APPROPRIATED FUND BALANCE
TOTAL
0.00 0.00 0.00
0.00 0.00 0.00
99,468.67 * *
81,400.00 * *
110,500.00 * *
0.00 130,000.00
308,721.90 130,000.00
0.00 0.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 12
COMMUNITY DEVELOPMENT FI/ND
TOTAL 210,174.70 144,837.54 49,540.00 308,721.90 130,000.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 13
RISK RETENTION FUND
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
INTERFUND TRANSFERS
CS .5031.00
INTERFUND TRANSFERS
INTERFUND TRANSFERS
TOTAL
416,453.63 505,205.10 254,887.80 554,500.00 554,500.00
416,453.63 505,205.10 254,887.80 554,500.00 554,500.00
APPROPRIATED FUND BALANCE
CS .5990.00
APPROPRIATED FI/ND BALANCE
APPROPRIATED FUND BALANCE
TOTAL
0.00 0.00 0.00 0.00 * *
0.00 0.00 0.00 0.00 0.00
RISK RETENTION FUND
TOTAL 416,453.63 505,205.10 254,887.80 554,500.00 554,500.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 14
HIGHWAY FUND PART TOWN
REAL PROPERTY TAXES
REAL PROPERTY TAXES
REAL PROPERTY TAXES
TOTAL
PAYMENTS IN LIEU OF RE TAXES
DB .1081.00
PAYMENT IN LIEU OF RE TAX
PAYMENTS IN LIEU OF RE TAXES
TOTAL
INT & PENALTIES RE TAXES
DB .1090.00
INT & PENALTIES RE TAXES
INT & PENALTIES RE TAXES
TOTAL
INTEREST AND EARNINGS
DB .2401.00
INTEREST AND EARNINGS
INTEREST AND EARNINGS
TOTAL
PERMITS
DB .2590.00
HIGHWAY EXCAVATION PERMIT
PERMITS
TOTAL
SALE OF SCRAP & EXCESS MATRL
DB .2650.00
SALE OF SCRAP & EXCESS MA
DB .2650.10
TRADE IN ALLOWANCE
SALE OF SCRAP & EXCESS MATRL
TOTAL
INSURANCE RECOVERIES
DB .2680.00
INSURANCE RECOVERIES
INSURANCE RECOVERIES
TOTAL
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
4045,195.00
4045,195.00
4311,595.00
4311,595.00
4,028,675.00
4,028,675.00
7,220.75 7,685.85 2,215.97 7,700.00 2,200.00
7,220.75 7,685.85 2,215.97 7,700.00 2,200.00
5,500.99 4,087.36 840.30 4,000.00 850.00
5,500.99 4,087.36 840.30 4,000.00 850.00
10,361.70 13,190.30 7,108.00 10,000.00 7,500.00
28,712.75 0.00 0.00 3,000.00 3,000.00
500.00 0.00 0.00 0.00 * *
29,212.75 0.00 0.00 3,000.00 3,000.00
0.00 7,416.00 246.00 0.00 * *
0.00 7,416.00 246.00 0.00 0.00
TOWN OF SOUTHOLD
11/17/2009 13:55:38
HIGHWAY Fl/ND PART TOWN
REFI/ND PRIOR YR EXPENDITURES
DB .2701.20
OTHER REFUNDS
REFI/ND PRIOR YR EXPENDITURES
TOTAL
UNCLASSIFIED
DB .2770.00
REIMBURSEMENTS
UNCLASSIFIED
TOTAL
CONSOLIDATED HIGHWAY AID
DB .3501.00
CHIPS CAPITAL PAYMENTS
CONSOLIDATED HIGHWAY AID
TOTAL
APPROPRIATED Fl/ND BALANCE
DB .5990.00
APPROPRIATED Fl/ND BALANCE
APPROPRIATED Fl/ND BALANCE
TOTAL
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
0.00 0.00 106.13 0.00 * *
0.00 0.00 106.13 0.00 0.00
0.00 13,703.04 0.00 0.00 0.00
296,262.79 326,819.64 318,906.24 326,819.00 326,819.00
296,262.79 326,819.64 318,906.24 326,819.00 326,819.00
0.00 0.00 0.00 281,000.00 265,000.00
0.00 0.00 0.00 281,000.00 265,000.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 15
HIGHWAY Fl/ND PART TOW~
TOTAL 4535,896.37 4745,813.71 4,468,726.75 4,835,705.00 4,640,044.00
TOWN OF SOUTHOLD
11/17/2009 13:55:38
ORIENT BY THE SEA ROAD IMPRO
REAL PROPERTY TAXES
REAL PROPERTY TAXES
REAL PROPERTY TAXES
TOTAL
INT & PENALTIES RE TAXES
INT & PENALTIES RE TAXES
INT & PENALTIES RE TAXES
TOTAL
INTEREST AND EARNINGS
INTEREST AND EARNINGS
INTEREST AND EARNINGS
TOTAL
APPROPRIATED FI/ND BALANCE
DB1.5990.00
APPROPRIATED FI/ND BALANCE
APPROPRIATED FI/ND BALANCE
TOTAL
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
0.00 4,500.00 4,560.00 4,560.00 3,750.00
0.00 4,500.00 4,560.00 4,560.00 3,750.00
0.00 3.95 0.93 0.00 * *
0.00 3.95 0.93 0.00 0.00
0.00 58.10 8.99 0.00 * *
0. O0 58 . 10 8.99 0. O0 0 . O0
0.00 0.00 0.00 20.00 * *
0.00 0.00 0.00 20.00 0.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 16
ORIENT BY THE SEA ROAD IMPRO
TOTAL 0.00 4,562.05 4,569.92 4,580.00 3,750.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 17
CAPITAL PROJECTS ACCOUNT
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
INTEREST AND EARNINGS
H .2401.10
AIR VAC CAPITAL INTEREST 9,323.28 73.64 0.00
H .2401.11
TRACTOR MOWER CAP INTERE 249.18 0.00 0.00
H .2401.12
EXCAVATOR CAPITAL INTERE 80.02 0.00 0.00
H .2401.15
BRUSHES CREEK BRIDGE CAP 6.53 0.00 0.00
H .2401.16
REC CENTER CAP INTEREST 6,808.02 1,786.10 3.20
H .2401.17
PECONIC SCHL CAP INTERES 0.00 3,199.52 1,850.11
H .2401.18
TAX RECEIVR SPTWR INTERE 0.00 128.84 98.91
H .2401.19
STANKOVICH PRPRTY INTERE 0.00 63.30 33.41
H .2401.20
GENERATORS INTEREST 938.22 2.04 0.00
H .2401.21
NYS DEC SETTLEMENT 1.95 0.00 0.00
H .2401.25
GRIPPING ST PARKING LOT 0.62 0.00 0.00
H .2401.35
HIGHWAY DUMP TRUCK 0.00 62.31 19.20
H .2401.40
ANIMAL SHELTER 40,777.21 41,430.03 1,084.74
H .2401.45
STRAWBERRY FIELDS 3,830.43 1,728.58 247.89
H .2401.50
ORIENT BY THE SEA 2,634.27 2,096.54 77.10
H .2401.55
TIME MANAGEMENT 83.90 23.63 0.00
H .2401.60
PI SEWER PROJECT 321.78 1,674.20 25.92
H .2401.85
TOW~ HALL IMPRVMTS CAPIT 0.00 743.36 31.34
H .2401.95
LA/~DPILL EQUIPMENT 0.00 505.18 197.21
INTEREST AND EARNINGS
TOTAL 65,055.41 53,517.27 3,669.03
GIFTS A/~D DONATIONS
H .2705.10
ANIMAL SHELTER DONATIONS
GIFTS AND DONATIONS
TOTAL
2.74 * *
29.89 * *
840.71 * *
227.25 * *
3,110.00 0.00
288,103.78 0.00 0.00
288,103.78 0.00 0.00
0.00 0.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 18
CAPITAL PROJECTS ACCOI/NT
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
PREMIUM ON OBLIGATIONS
H .2710.00
PREMIUM & ACCRUED INTERE 0.00
PREMIUM ON OBLIGATIONS
TOTAL 0.00
MISCELLANEOUS STATE AIDE
H .3089.30
NYS DOS STORMWATER GRAiqT 0.00
MISCELLANEOUS STATE AIDE
TOTAL 0.00
MULTI MODAL PROGRAM
H .3505.10
MATTITUCK CREEK MULTI MO
MULTI MODAL PROGRAM
TOTAL
100,000.00 0.00 0.00 0.00 * *
100,000.00 0.00 0.00 0.00 0.00
CAPITAL GRANT FEDERAL GOV'T
H .4097.00
US FISH & WILDLIFE SERVI 0.00
CAPITAL GRANT FEDERAL GOV'T
TOTAL 0.00
0.00 0.00
0.00 0.00
INTERFUND TRANSFERS
H .5031.10
COMPUTER APPLICATIONS 32,562.06 4,372.75 0.00
H .5031.15
ASSESSMENT BOOK MOLD REM 1,718.85 0.00 0.00
H .5031.20
HI~MAiq SERVICES VEHICLES 12,707.00 0.00 0.00
H .5031.30
STORMWATER MITIGATION 83,583.65 79,500.00 0.00
H .5031.31
VAC ALL DRAIN CLEAiqER 668.00 0.00 0.00
H .5031.35
PERSONAL COMPUTERS 17,472.45 50,977.13 4,123.00
H .5031.36
RESTORE EARLY TOWI~ RECOR 5,500.00 5,111.00 0.00
H .5031.40
ANIMAL SHELTER 130,000.00 0.00 0.00
H .5031.50
ROAD END RESTORATIONS 0.00 5,757.12 0.00
H .5031.55
POLICE HQ ELECTRIC SERVI 0.00 2,887.60 0.00
H .5031.60
C & D PROCESSING SLAB 39,187.00 0.00 0.00
H .5031.85
PICKUP TRUCK {SOLID WAST 29,985.00 74.25 0.00
40,000.00 0.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 19
CAPITAL PROJECTS ACCOUNT
INTERFUND TRANSFERS
H .5031.90
LIGHTPATH PROJECT
INTERFUND TRANSFERS
TOTAL
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
0.00 0.00 0.00
353,384.01 139,785.85 4,123.00
SERIAL BOND PROCEEDS
H .5710.10
EMERGENCY GENERATORS 0.00 0.00 0.00
H .5710.11
EMINENT DOMAIN PROPERTY 0.00 0.00 0.00
H .5710.15
RECREATION CENTER IMPRVM 0.00 0.00 0.00
H .5710.20
ORIENT BY THE SEA ROAD I 0.00 0.00 0.00
H .5710.21
SOLID WASTE EQUIPMENT 20 0.00 0.00 0.00
H .5710.22
STRAWBERRY FIELDS FAIRGR 0.00 0.00 0.00
H .5710.23
POLICE IN CAR CAMERA SYS 0.00 0.00 0.00
H .5710.24
ANIMAL SHELTER PROJECT 0.00 0.00 0.00
H .5710.25
RECORDS MGT/TAX RECEIVER 0.00 0.00 0.00
H .5710.26
PECONIC LANE SCHOOL 0.00 1350,000.00 0.00
H .5710.27
TOWN HALL ANNEX II 0.00 0.00 0.00
H .5710.28
TOWN HALL IMPROVEMENTS 0.00 0.00 0.00
H .5710.29
SOLID WASTE EQUIPMENT 20 0.00 0.00 0.00
H .5710.45
BRUSHES CREEK BRIDGE 0.00 0.00 0.00
H .5710.50
HIGHWAY TP~CTOR MOWER 52,100.00 0.00 0.00
H .5710.55
TERP PARKING LOT PROJECT 0.00 0.00 0.00
H .5710.60
HIGHWAY AIR VAC DRAIN CL 0.00 0.00 166,000.00
H .5710.65
SWEEPER/PAYLOADER CAPITA 0.00 0.00 0.00
H .5710.70
HIGHWAY EXCAVATOR 95,000.00 0.00 0.00
H .5710.85
HIGHWAY TRUCKS/PAVING EQ 0.00 0.00 0.00
H .5710.90
FI SEWER DIST IMPROVEMEN 0.00 0.00 117,000.00
40,000.00 * *
45,900.00 0.00
400,000.00 * *
232,000.00 * *
135,000.00 * *
18,000.00 * *
2,880,000.00 * *
75,000.00 * *
20,000.00 * *
95,000.00 * *
590,000.00 * *
222,000.00 * *
19,000.00 * *
110,000.00 * *
121,300.00 * *
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 20
CAPITAL PROJECTS ACCOUNT
SERIAL BOND PROCEEDS
H .5710.99
NYSDEC GAS SPILL CAPITAL
SERIAL BOND PROCEEDS
TOTAL
B.A.N. REDEEMED FROM APPROP.
H .5731.00
BAN REDEEMED FROM APPROP
B.A.N. REDEEMED FROM APPROP.
TOTAL
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
315,000.00 0.00 0.00
462,100.00 1350,000.00 283,000.00
5,179,300.00 0.00
746,721.93 538,596.22 699,750.39 0.00 * *
746,721.93 538,596.22 699,750.39 0.00 0.00
APPROPRIATED FI/ND BALANCE
H .5990.10
DIGITAL AERIAL PHOTOS 0.00 0.00
H .5990.15
PECONIC LANE SCHOOL 0.00 0.00
H .5990.20
EMINENT DOMAIN PROPERTY 0.00 0.00
H .5990.26
STREET SWEEPER/PAYLOADER 0.00 0.00
H .5990.27
TIME MANAGEMENT 0.00 0.00
H .5990.28
TOWN HALL ANNEX II 0.00 0.00
H .5990.31
2004 LAi~DFILL EQUIPMENT 0.00 0.00
H .5990.32
POLICE CAMERAS 0.00 0.00
H .5990.33
SOLID WASTE DIST PICKUP 0.00 0.00
H .5990.34
FI SEWER IMPROVEMENTS 0.00 0.00
H .5990.35
CUTCHOGUE PARKING LOT 0.00 0.00
H .5990.36
REC CENTER IMPROVEMENTS 0.00 0.00
H .5990.37
AIR VAC DRAIN CLEANER 0.00 0.00
H .5990.38
ORIENT BY THE SEA ROAD I 0.00 0.00
H .5990.40
TAX RECEIVER SOFTWARE 0.00 0.00
H .5990.42
ANIMAL SHELTER 0.00 0.00
H .5990.50
GENERATOR CAPITAL 0.00 0.00
H .5990.55
STRAWBERRY FIELDS 0.00 0.00
0.00 379,479.23 * *
0.00 19,000.00 * *
0.00 15,537.90 * *
0.00 20,000.00 * *
0.00 135,000.00 * *
0.00 18,000.00 * *
0.00 120,163.01 * *
0.00 226,118.98 * *
0.00 222,000.00 * *
0.00 139,949.88 * *
0.00 21,644.01 * *
0.00 2,375,108.24 * *
0.00 84,999.97 * *
0.00 54,532.94 * *
TOWN OF SOUTHOLD
11/17/2009 13:55:38
CAPITAL PROJECTS ACCOI/NT
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
APPROPRIATED FI/ND BALANCE
H .5990.60
STORMWATER MITIGATION 0.00 0.00 0.00
H .5990.65
TOWN HALL IMPROVEMENTS 0.00 0.00 0.00
H .5990.70
SOLID WASTE EQUIP 2008 0.00 0.00 0.00
H .5990.74
RESTORE EARLY TOWN RECOR 0.00 0.00 0.00
H .5990.75
TOWN CLERK COMPUTER ITEM 0.00 0.00 0.00
H .5990.95
HIGHWAY EQUIPMENT 0.00 0.00 0.00
APPROPRIATED FI/ND BALANCE
TOTAL 0.00 0.00 0.00
328,298.86 * *
102,854.67 * *
3,810,898.96 0.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 21
CAPITAL PROJECTS ACCOLINT
TOTAL 2015,365.13 2209,939.91 990,542.42 1,591,515.88 0.00
TOWN OF SOUTHOLD
11/17/2009 13:55:38
OPEN SPACE CAPITAL FUND
INTEREST AND EARNINGS
H2 .2401.00
INTEREST AND EAgNINGS
INTEREST AND EARNINGS
TOTAL
PREMIUM ON OBLIGATIONS
H2 .2710.00
PREMIUM & ACCRUED INTERE
PREMIUM ON OBLIGATIONS
TOTAL
INTERFUND TRANSFERS
H2 .5031.10
GENERAL FUND WHOLE TOWN
INTERFUND TRANSFERS
TOTAL
SERIAL BOND PROCEEDS
H2 .5710.10
SERIAL BOND PROCEEDS
SERIAL BOND PROCEEDS
TOTAL
APPROPRIATED FUND BALANCE
H2 .5990.00
APPROPRIATED FUND BALANC
APPROPRIATED FUND BALANCE
TOTAL
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
145,864.48 13,522.72 13,483.79
145,864.48 13,522.72 13,483.79
0.00 11,918.92 0.00 0.00 * *
0.00 11,918.92 0.00 0.00 0.00
3,397.04 0.00 0.00 0.00 * *
3,397.04 0 . 00 0.00 0.00 0 . 00
7500,000.00
7500,000.00
5,000,000.00
5,000,000.00
9987,900.00
9987,900.00
19,000,000.00 0.00
0.00 0.00 0.00 21.78 * *
0.00 0.00 0.00 21.78 0.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 22
OPEN SPACE CAPITAL FUND
TOTAL 10137,161.52 7525,441.64 5,013,483.79 19,012,180.51 0.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 23
COMMUNITY PRES FUND (2% TAX)
OTHER NON PROPERTY TAXES
H3 .1189.10
2% LAND TRANSFER TAXES
OTHER NON PROPERTY TAXES
TOTAL
INTEREST AND EARNINGS
H3 .2401.00
INTEREST AND EAENINGS
INTEREST AND EARNINGS
TOTAL
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
6071,436.46
6071,436.46
1,927,335.04
1,927,335.04
3,600,000.00
3,600,000.00
2,107,000.00
2,107,000.00
377,945.67 209,081.84 12,387.01 75,000.00 10,000.00
377,945.67 209,081.84 12,387.01 75,000.00 10,000.00
SALES, OTHER
H3 .2655.10
SANITARY FLOW CREDITS 0.00
SALES, OTHER
TOTAL 0.00
REFI/ND PRIOR YR EXPENDITURES
H3 .2701.10
OTHER REFUNDS
REFUND PRIOR YR EXPENDITURES
TOTAL
0.00 0.00 0.00 0.00
0.00 0.00 0.00 0.00 * *
0.00 0.00 0.00 0.00 0.00
GIFTS A/~D DONATIONS
H3 .2705.10
MISCELLANEOUS DONATIONS 250.00
GIFTS AND DONATIONS
TOTAL 250.00
CAPITAL GRANT NYS
H3 .3097.10
NYS AG & MARKETS GRANT 794,079.00
H3 .3097.20
NYS PARKS LAUREL LK GRAN 0.00
H3 .3097.30
NYS DOS BITTNER GRANT 0.00
H3 .3097.40
NYS DEC PIPES COVE GRANT 0.00
CAPITAL GRANT NYS
TOTAL 794,079.00
CAPITAL GRANT FEDERAL GOV'T
H3 .4097.10
NATURAL RESOURCE CONSERV 924,966.10
H3 .4097.20
US FISH & WILDLIFE SERVI 0.00
332,020.00
332,020.00
0.00 0.00 0.00
431,868.00 0.00
0.00 0.00
0.00 0.00
0.00 0.00
431,868.00 0.00
96,415.00 * *
195,000.00 *
30,000.00 * *
321,415.00 0.00
0.00 0.00
0.00 0.00
TOWN OF SOUTHOLD
11/17/2009 13:55:38
COMMUNITY PRES FUND (2% TAX)
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
CAPITAL GRANT FEDERAL GOV'T
H3 .4097.30
NOAA COASTAL ZONE MGMT A 0.00
CAPITAL GRANT FEDERAL GOV'T
TOTAL 924,966.10
APPROPRIATED FUND BALANCE
H3 .5990.00
APPROPRIATED FUND BALANC
APPROPRIATED FUND BALANCE
TOTAL
1464,735.00 1,996,822.00 0.00 0.00
0.00 0.00 0.00 0.00 5,000,000.00
0.00 0.00 0.00 0.00 5,000,000.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 24
COMMUNITY PRES FUND (2% TAX)
TOTAL 8168,677.23 7688,962.85 3,936,544.05 3,996,415.00 7,117,000.00
TOWN OF SOUTHOLD
11/17/2009 13:55:38
NEW LONDON TERMINAL PROJECT
INTEREST AND EARNINGS
H7 .2401.00
INTEREST & EARNINGS
INTEREST AND EARNINGS
TOTAL
NYS TRANSPORTATION CAP GRANT
H7 .3597.00
OTHER PASS THROUGH GRA~T
NYS TRANSPORTATION CAP GRANT
TOTAL
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
10,414.23 4,290.99 152.50 152.50 * *
10,414.23 4,290.99 152.50 152.50 0.00
0.00 0.00 0.00 2,000,000.00 * *
0.00 0.00 0.00 2,000,000.00 0.00
FEDERAL AID TRANSPORATION
H7 .4597.00
OTHER PASS THROUGH GRA~T 0.00
H7 .4597.10
CON~ DOT PASS THROUGH GR 112,981.58
H7 .4597.20
HOMELAND SECURITY GRANT 0.00
FEDERAL AID TRANSPORATION
TOTAL 112,981.58
INTERFUND TRANSFERS
H7 .5031.00
TRANSFER FROM FERRY DIST
INTERFUND TRANSFERS
TOTAL
0.00 0.00
148,234.88 149,885.27
0.00 0.00
148,234.88 149,885.27
0.00 0.00 0.00
0.00 0.00 0.00
SERIAL BOND PROCEEDS
H7 .5710.00
SERIAL BOND PROCEEDS 0.00
SERIAL BOND PROCEEDS
TOTAL 0.00
B.A.N. REDEEMED FROM APPROP.
H7 .5731.00
BAN REDEEMED FROM APPROP
B.A.N. REDEEMED FROM APPROP.
TOTAL
APPROPRIATED FI/ND BALANCE
H7 .5990.00
APPROPRIATED FUND BALA/~C
APPROPRIATED FI/ND BALANCE
TOTAL
235,275.00 * *
1,687,439.98 0.00
0.00 0.00
125,000.00
125,000.00
0.00
0.00
0.00
0.00
300,000.00
300,000.00
0.00
0.00
0.00 1,200,000.00 * *
0.00 1,200,000.00 0.00
3,716.07 0.00 0.00
0.00 1,118,342.45 0.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 25
NEW LONDON TERMINAL PROJECT
TOTAL 248,395.81 452,525.87 153,753.84 394,370.07 0.00
TOWN OF SOUTHOLD
11/17/2009 13:55:38
TRANSFER STATION EXPANSION
INTEREST AND EARNINGS
H9 .2401.00
INTEREST & EARNINGS
INTEREST AND EARNINGS
TOTAL
SERIAL BOND PROCEEDS
H9 .5710.00
SERIAL BOND PROCEEDS
SERIAL BOND PROCEEDS
TOTAL
B.A.N. REDEEMED FROM APPROP.
H9 .5731.10
BAN REDEEMED FROM APPROP
B.A.N. REDEEMED FROM APPROP.
TOTAL
APPROPRIATED FI/ND BALANCE
H9 .5990.00
APPROPRIATED FUND BALAlqC
APPROPRIATED FI/ND BALANCE
TOTAL
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
524.21 35.83 0.29 0.29 * *
524.21 35.83 0.29 0.29 0.00
3000,000.00 0.00 0.00 0.00 * *
3000,000.00 0.00 0.00 0.00 0.00
125,000.00 0.00 0.00 0.00 * *
125,000.00 0.00 0.00 0.00 0.00
0.00 0.00 0.00 2.78 * *
0.00 0.00 0.00 2.78 0.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 26
TRANSFER STATION EXPANSION
TOTAL 3125,524.21 35.83 0.29 3.07 0.00
TOWN OF SOUTHOLD
11/17/2009 13:55:38
EMPLOYEE HEALTH BENEFIT PLAN
INTEREST AND EARNINGS
MS .2401.00
INTEREST AND EAP~INGS
INTEREST AND EARNINGS
TOTAL
INSURANCE RECOVERIES
MS .2680.00
INSURANCE RECOVERIES
INSURANCE RECOVERIES
TOTAL
REIMB MEDICARE PART D EXPENS
MS .2700.00
REIM OF MEDICARE D EXPEN
REIMB MEDICARE PART D EXPENS
TOTAL
REFUND PRIOR YR EXPENDITURES
MS .2701.00
REFUND PRIOR YR EXPENDIT
REFUND PRIOR YR EXPENDITURES
TOTAL
PARTICIPAi~T CONTRIBUTIONS
MS .2709.00
RETIREE,COBRA CONTRIBUTIO
MS .2709.20
EMPLOYEE CONTRIBUTIONS
PARTICIPANT CONTRIBUTIONS
TOTAL
INTERFUND TRANSFERS
MS .5031.00
INTERFLTND TRANSFERS
INTERFUND TRANSFERS
TOTAL
APPROPRIATED FI/ND BALANCE
MS .5990.00
APPROPRIATED FI/ND BALANCE
APPROPRIATED FI/ND BALANCE
TOTAL
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
49,791.13 10,440.13 1,090.29 15,000.00 750.00
49,791.13 10,440.13 1,090.29 15,000.00 750.00
3,305.64 0.00 64,920.34 0.00 * *
3,305.64 0.00 64,920.34 0.00 0.00
32,388.82 39,724.20 46,618.79 40,000.00 40,000.00
32,388.82 39,724.20 46,618.79 40,000.00 40,000.00
866.99 4,253.22 877.83 0.00 * *
866.99 4,253.22 877.83 0.00 0.00
99,745.01 89,398.42 54,076.46 147,197.00 59,057.00
0.00 306.64 3,705.71 0.00 137,940.00
99,745.01 89,705.06 57,782.17 147,197.00 196,997.00
2321,895.42
2321,895.42
2987,852.17
2987,852.17
0.00 0.00 0.00
0.00 0.00 0.00
3,354,675.00
3,354,675.00
3,759,813.00
3,759,813.00
0.00 0.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 27
EMPLOYEE HEALTH BENEFIT PLAi~
TOTAL 2507,993.01 3131,974.78 3,060,300.72 3,556,872.00 3,997,560.00
TOWN OF SOUTHOLD
11/17/2009 13:55:38
E W FIRE PROTECTION DISTRICT
REAL PROPERTY TAXES
REAL PROPERTY TAXES
REAL PROPERTY TAXES
TOTAL
INT & PENALTIES RE TAXES
SF .1090.00
INT & PENALTIES RE TAXES
INT & PENALTIES RE TAXES
TOTAL
INTEREST AND EARNINGS
SF .2401.00
INTEREST AiqD EARNINGS
INTEREST AND EARNINGS
TOTAL
APPROPRIATED FI/~D BALANCE
SF .5990.00
APPROPRIATED FI/~D BALANCE
APPROPRIATED FI/ND BALANCE
TOTAL
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
499,000.00 541,463.00 589,163.00 589,163.00 652,565.00
499,000.00 541,463.00 589,163.00 589,163.00 652,565.00
678.58 474.96 119.78 0.00 * *
678.58 474.96 119.78 0.00 0.00
6,055.47 3,228.63 576.56 3,000.00 500.00
6,055.47 3,228.63 576.56 3,000.00 500.00
0.00 0.00 0.00 5,700.00 6,900.00
0.00 0.00 0.00 5,700.00 6,900.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 28
E W FIRE PROTECTION DISTRICT
TOTAL 505,734.05 545,166.59 589,859.34 597,863.00 659,965.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 29
FISHERS ISLAND FERRY DIST.
REAL PROPERTY TAXES
REAL PROPERTY TAXES
REAL PROPERTY TAXES
TOTAL
INT & PENALTIES RE TAXES
SM .1090.00
INT & PENALTIES RE TAXES
INT & PENALTIES RE TAXES
TOTAL
FERRY OPERATIONS
SM .1760.10
FERRY OPERATIONS FREIGHT
SM .1760.20
FERRY OPERATIONS TRAFFIC
SM .1760.30
FERRY OPERATIONS UPS
FERRY OPERATIONS
TOTAL
CHARTERS
SM .1765.00
CHARTERS
CHARTERS
TOTAL
ELIZABETH AIRPORT
SM .1770.00
ELIZABETH AIRPORT
ELIZABETH AIRPORT
TOTAL
U. S. MAIL
SM .1789.00
U. S. MAIL
U. S. MAIL
TOTAL
THEATER
SM .2089.00
THEATER
THEATER
TOTAL
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
590,000.00 590,000.00 590,000.00 590,000.00 750,000.00
590,000.00 590,000.00 590,000.00 590,000.00 750,000.00
802.33 517.54 119.95 0.00 * *
802.33 517.54 119.95 0.00 0.00
65,965.80 73,035.69 56,312.80 185,000.00 99,000.00
737,548.53 629,353.72 1,928,061.59 2,520,000.00 1,954,000.00
3,027.32 21,785.19 19,272.18 0.00 22,000.00
806,541.65 724,174.60 2,003,646.57 2,705,000.00 2,075,000.00
16,014.00 14,112.00 19,966.00 0.00 14,000.00
16,014.00 14,112.00 19,966.00 0.00 14,000.00
0.00 0.00 1,700.00
0.00 0.00 1,700.00
8,000.00 0.00
18,474.51 20,970.41 19,447.67 24,000.00 24,000.00
18,474.51 20,970.41 19,447.67 24,000.00 24,000.00
13,382.32 10,771.30 9,233.93 15,000.00 10,000.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 30
FISHERS ISLAND FERRY DIST.
SERVICES OTHER GOVERNMENTS
SM .2210.00
SERVICES OTHER GOVERNMENT
SERVICES OTHER GOVERNMENTS
TOTAL
INTEREST AND EARNINGS
SM .2401.00
INTEREST AlqD EARNINGS
INTEREST AND EARNINGS
TOTAL
COMMISSIONS
SM .2450.10
ATM COMMISSIONS
COMMISSIONS
TOTAL
FORFEITURE OF DEPOSITS
SM .2620.20
FORFEITURE OF BID DEPOSIT
FORFEITURE OF DEPOSITS
TOTAL
INSURANCE RECOVERIES
SM .2680.00
INSURANCE RECOVERIES
INSURANCE RECOVERIES
TOTAL
REFUND PRIOR YR EXPENDITURES
SM .2701.00
REFUND PRIOR YR EXPENDITU
REFUND PRIOR YR EXPENDITURES
TOTAL
GIFTS AlqD DONATIONS
SM .2705.00
GIFTS AND DONATIONS
GIFTS AlqD DONATIONS
TOTAL
OTHER UNCLASSIFIED REVENUE
SM .2770.10
DOCK FEES
SM .2770.20
OTHER UNCLASSIFIED REVEN
OTHER UNCLASSIFIED REVENUE
TOTAL
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
45,590.00 48,090.00 51,412.00 50,000.00 73,000.00
45,590.00 48,090.00 51,412.00 50,000.00 73,000.00
12,064.69 5,253.72 776.27 13,000.00 1,000.00
12,064.69 5,253.72 776.27 13,000.00 1,000.00
6,543.00 6,490.00 5,445.00 7,000.00 6,000.00
6,543.00 6,490.00 5,445.00 7,000.00 6,000.00
0.00 0.00 0.00 0.00 * *
0.00 0.00 0.00 0.00 0.00
0.00 1,650.00 0.00 0.00 * *
0.00 1,650 . 00 0.00 0.00 0 . 00
447.93 385.23 14,106.02 0.00 * *
447.93 385.23 14,106.02 0.00 0.00
0.00 0.00 0.00 0.00 * *
0.00 0.00 0.00 0.00 0.00
0.00 250.00 0.00
0.00 0.00 135.93
0.00 250.00 135.93
0.00 0.00
TOWN OF SOUTHOLD
11/17/2009 13:55:38
FISHERS ISLAND FERRY DIST.
CAPITAL GRANT NYS
SM .3097.00
NYS CAPITAL GRANT
CAPITAL GRANT NYS
TOTAL
CAPITAL GRANT FEDERAL GOV'T
SM .4097.00
CAPITAL GRANT FEDERAL GOV
CAPITAL GRANT FEDERAL GOV'T
TOTAL
APPROPRIATED FI/ND BALANCE
SM .5990.00
APPROPRIATED FI/ND BALANCE
APPROPRIATED FI/ND BALANCE
TOTAL
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
27,365.38 18,593.22 4,042.65
27,365.38 18,593.22 4,042.65
1107,762.00 157,258.00 75,193.00
1107,762.00 157,258.00 75,193.00
42,750.00 0.00
0.00 0.00 0.00 0.00 * *
0.00 0.00 0.00 0.00 0.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 31
FISHERS ISLA/~D FERRY DIST.
TOTAL 2644,987.81 1598,516.02 2,795,224.99 3,455,875.00 2,953,000.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 32
REFUSE & GARBAGE DISTRICT
REAL PROPERTY TAXES
REAL PROPERTY TAXES
REAL PROPERTY TAXES
TOTAL
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
1907,062.00
1907,062.00
INT & PENALTIES RE TAXES
SR .1090.00
INT & PENALTIES RE TAXES 2,593.39
INT & PENALTIES RE TAXES
TOTAL 2,593.39
REFUSE AND
SR .2130.00
GARBAGE 1446,829.61
SR .2130.10
MSW TIP 0.00
SR .2130.20
MSW TIP 0.00
SR .2130.25
MSW TIP 0.00
SR .2130.30
C & D TIP FEES 0.00
SR .2130.35
C & D TIP FEES TOWN 0.00
SR .2130.40
TOWN GARBAGE BAG FEES 0.00
SR .2130.50
SINGLE ENTRY FEE COMMERCI 0.00
SR .2130.60
SINGLE ENTRY FEE RESIDENT 0.00
SR .2130.70
YARD DEBRIS PUBLIC 0.00
SR .2130.80
YARD DEBRIS TOWN 0.00
SR .2130.90
TOWN LEAF BAG FEES 0.00
REFUSE AND GARBAGE C~LARGES
TOTAL 1446,829.61
GARBAGE C~LARGES
REMOVAL & DISP CH
FEES COMMERCIAL
FEES RESIDENTIAL
FEES TOWN
SERVICES OTHER GOVERNMENTS
SR .2210.00
OTHER GOV'T SERVICES
SERVICES OTHER GOVERNMENTS
TOTAL
1506,945.00
1506,945.00
1,507,540.00
1,507,540.00
1,507,540.00
1,507,540.00
2,184,244.00
2,184,244.00
1,321.86 306.49 2,600.00 300.00
1,321.86 306.49 2,600.00 300.00
1462,148.65 586,721.90 0.00
0.00 7,656.45 425,000.00 365,000.00
720.00 81,037.50 225,000.00 210,000.00
0.00 0.00 0.00 20,000.00
0.00 66,255.60 300,000.00 235,000.00
0.00 0.00 0.00 10,000.00
244,084.19 456,405.94 740,000.00 620,000.00
1,350.00 1,230.00 3,000.00 3,500.00
6,190.00 19,720.00 30,000.00 27,000.00
0.00 32,995.40 100,000.00 75,000.00
0.00 0.00 20,000.00 50,000.00
5,750.88 5,577.44 10,000.00 10,000.00
1720,243.72 1,257,600.23 1,853,000.00 1,625,500.00
904.50
904.50
854.00 0.00 0.00
854.00 0.00 0.00 0.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 33
REFUSE & GARBAGE DISTRICT
INTEREST AND EARNINGS
SR .2401.00
INTEREST AND EARNINGS
INTEREST AND EARNINGS
TOTAL
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
30,022.81 13,428.87 3,489.94 15,000.00 3,000.00
30,022.81 13,428.87 3,489.94 15,000.00 3,000.00
PERMITS
SR .2590.00
PERMITS 164,187.50 133,255.00 0.00
SR .2590.10
PERMITS RESIDENTIAL 0.00 21,175.00 112,839.00
SR .2590.20
PERMITS COMMERCIAL 0.00 7,830.00 25,965.00
PERMITS
TOTAL 164,187.50 162,260.00 138,804.00
SALE OF SCRAP & EXCESS ~TRL
SR .2650.00
SALE OF RECYCLABLES
SR .2650.10
SALE OF COMPOST & MULCH
SR .2650.30
SALE OF EQUIPMENT
SALE OF SCRAP & EXCESS MATRL
TOTAL
INSURANCE RECOVERIES
SR .2680.00
INSURANCE RECOVERIES
INSURANCE RECOVERIES
TOTAL
REFI/ND PRIOR YR EXPENDITURES
SR .2701.00
OTHER REFUNDS
REFI/ND PRIOR YR EXPENDITURES
TOTAL
MISCELLANEOUS STATE AIDE
SR .3089.30
STOP PROGRAM ASSISTANCE
MISCELLANEOUS STATE AIDE
TOTAL
135,000.00 135,000.00
30,000.00 30,000.00
165,000.00 165,000.00
214,273.16 183,383.89 55,078.54
0.00 24,349.49 154,373.51
0.00 0.00 10,675.25
214,273.16 207,733.38 220,127.30
177,000.00 80,000.00
250,000.00 200,000.00
427,000.00 280,000.00
12,576.46 0.00 2,136.00
12,576.46 0.00 2,136.00
0.00 0.00
706.51 888.89 0.00
706.51 888.89 0.00
0.00 0.00
0.00 68,970.73 262.50
0.00 68,970.73 262.50
27,500.00
27,500.00
29,500.00
29,500.00
TOWN OF SOUTHOLD
11/17/2009 13:55:38
REFUSE & GARBAGE DISTRICT
APPROPRIATED FI/ND BALANCE
SR .5990.00
APPROPRIATED FI/ND BALANCE
APPROPRIATED FI/ND BALANCE
TOTAL
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
0.00 0.00 0.00 0.00 * *
0.00 0.00 0.00 0.00 0.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 34
REFUSE & GARBAGE DISTRICT
TOTAL 3779,155.94 3682,646.45 3,129,741.46 3,997,640.00 4,287,544.00
TOWN OF SOUTHOLD
11/17/2009 13:55:38
SOUTHOLD WASTEWATER DISTRICT
REAL PROPERTY TAXES
REAL PROPERTY TAXES
REAL PROPERTY TAXES
TOTAL
INT & PENALTIES RE TAXES
INT & PENALTIES RE TAXES
INT & PENALTIES RE TAXES
TOTAL
GARBAGE REMOVAL & DISP CHGS
GARBAGE REMOVAL & DISP CH
GARBAGE REMOVAL & DISP CHGS
TOTAL
INTEREST AND EARNINGS
INTEREST AND EARNINGS
INTEREST AND EARNINGS
TOTAL
APPROPRIATED FI/ND BALANCE
SS1.5990.00
APPROPRIATED FI/ND BALANCE
APPROPRIATED FI/ND BALANCE
TOTAL
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
18,296.00 3,245.00 4,500.00 4,500.00 4,375.00
18,296.00 3,245.00 4,500.00 4,500.00 4,375.00
24.88 2.85 0.91 0.00 * *
24.88 2.85 0.91 0.00 0.00
20,997.41 7,070.00 855.00 3,000.00 3,000.00
20,997.41 7,070.00 855.00 3,000.00 3,000.00
11,721.32 4,952.98 530.06 5,000.00 5,000.00
11,721.32 4,952.98 530.06 5,000.00 5,000.00
0.00 0.00 0.00 75,000.00 225,000.00
0.00 0.00 0.00 75,000.00 225,000.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 35
SOUTHOLD WASTEWATER DISTRICT
TOTAL 51,039.61 15,270.83 5,885.97 87,500.00 237,375.00
TOWN OF SOUTHOLD
11/17/2009 13:55:38
FISHERS ISLAND SEWER DIST.
INT & PENALTIES RE TAXES
SS2.1090.00
INT & PENALTIES RE TAXES
INT & PENALTIES RE TAXES
TOTAL
UNPAID SEWER RENTS
SS2.2129.00
UNPAID SEWER RENTS
UNPAID SEWER RENTS
TOTAL
GARBAGE REMOVAL & DISP CHGS
SS2.2130.00
GARBAGE REMOVAL & DISP CH
HOOK UP FEES
GARBAGE REMOVAL & DISP CHGS
TOTAL
INTEREST AND EARNINGS
SS2.2401.00
INTEREST AND EARNINGS
INTEREST AND EARNINGS
TOTAL
APPROPRIATED FI/ND BALANCE
SS2.5990.00
APPROPRIATED FI/ND BALANCE
APPROPRIATED FI/ND BALANCE
TOTAL
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
2.19 1.42 0.49 0.00 * *
2.19 1.42 0.49 0.00 0.00
1,614.38 2,421.56 2,421.56 0.00 * *
1,614.38 2,421.56 2,421.56 0.00 0.00
0.00 0.00 3,000.00
8,315.00 27,495.00 34,331.25
30,000.00 30,000.00
30,000.00 30,000.00
1,907.80 972.73 97.62 705.00 100.00
1,907.80 972.73 97.62 705.00 100.00
0.00 0.00 0.00 0.00 7,100.00
0.00 0.00 0.00 0.00 7,100.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 36
FISHERS ISLAlqD SEWER DIST.
TOTAL 11,839.37 30,890.71 36,850.92 30,705.00 37,200.00
TOWN OF SOUTHOLD ACCOUNTING & FINANCE DEPT.
11/17/2009 13:55:38 Revenue Budget Worksheet GL7A1R V06.81 PAGE 37
SUPERVISORS TAX ACCOI/NT
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
SCHOOLS
OYSTERPONDS UFSD 4695
TAX.1000.02
FISHERS ISLA/qD UFSD 2710
TAX.1000.03
GREENPORT UFSD 8834
TAX.1000.04
MATTITUCK CUTCHOGUE UFSD 27145
TAX.1000.06
NEW SUFFOLK COMMON SCHOOL 672
TAX.1000.07
SOUTHOLD UFSD 19204
SCHOOLS
TOTAL 63263
TOWN AND SPECIAL DISTRICTS
TAX.2000.01
ORIENT MOSQUITO DISTRICT
TAX.2000.02
FI REFUSE & GARBAGE DIST
TAX.2000.03
FISHERS ISLAND FERRY DIST
TAX.2000.05
HIGHWAY FUND PART TOWN
TAX.2000.06
GENERAL FUND WHOLE TOWN
TAX.2000.07
GENERAL FUND PART TOWN
TAX.2000.08
SOUTHOLD WASTEWATER DIST
TAX.2000.09
E W FIRE PROTECTION DIST
TAX.2000.10
SOUTHOLD PARK DISTRICT
CUTCHOGUE NEW SUFF PARK D
TAX.2000.12
MATTITUCK PARK DISTRICT
TAX.2000.13
ORIENT EAST MARION PARK D
TAX.2000.14
FISHERS ISLAND FIRE DIST
TAX.2000.15
ORIENT FIRE DISTRICT
TAX.2000.16
EAST MARION FIRE DISTRICT
600.55 5088
926.48 2776
421.26 9228
970.30 29576
881.44 688
036.57 20481
836.60 67839
727.71 5,758,428.51
500.26 2,923,786.84
196.83 9,713,216.58
333.76 30,896,397.70
290.34 710,330.08
512.55 21,404,506.66
561.45 71,406,666.37
30,896,397.70 * *
710,330.08 * *
21,404,506.66 * *
71,406,666.37 0.00
82,235.00 86,900.00 70,000.00
512,300.00 563,800.00 399,800.00
590,000.00 590,000.00 590,000.00
4045,195.00 4311,595.00 4,133,186.00
16205,911.00 17391,288.00 20,165,953.00
407,539.00 809,977.00 713,928.00
18,296.00 3,245.00 4,500.00
499,000.00 541,463.00 589,163.00
315,000.00 315,000.00 315,000.00
145,000.00 145,000.00 145,000.00
467,527.00 481,229.00 477,178.00
30,695.00 34,780.00 35,583.00
354,004.10 356,406.17 356,406.58
399,043.18 438,672.33 464,517.11
478,406.33 523,183.43 520,966.07
399,800.00 * *
590,000.00 * *
20,165,953.00 * *
713,928.00 * *
4,500.00 * *
589,163.00 * *
315,000.00 * *
145,000.00 * *
477,178.00 * *
35,583.00 * *
356,406.58 * *
520,966.07 * *
TOWN OF SOUTHOLD
11/17/2009 13:55:38
SUPERVISORS TAX ACCOUNT
TOWN AND SPECIAL DISTRICTS
TAX.2000.17
SOUTHOLD FIRE DISTRICT
TAX.2000.18
CUTCHOGUE FIRE DISTRICT
TAX.2000.19
MATTITUCK FIRE DISTRICT
TAX.2000.20
SOUTHOLD SOLID WASTE DIST
TAX.2000.25
AG PENALTY/DEMO C~ARGES
TAX.2000.26
ORIENT BY THE SEA ROAD IM
TAX.2000.27
FISHERS ISLAND SEWER DIST
TOWN AND SPECIAL DISTRICTS
TOTAL
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
1479,354.73 1598,050.45 1,694,059.85
1857,983.93 1978,793.21 1,881,872.91
1907,062.00 1506,945.00 1,507,540.00
0.00 8,231.05 34,742.44
0.00 4,500.00 4,560.00
1,614.38 1,614.38 2,421.56
31207,283.12 33082,679.42 34,989,989.20
1,507,540.00 * *
34,742.44 * *
4,560.00 * *
2,421.56 * *
34,989,989.20 0.00
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 38
SUPERVISORS TAX ACCOLINT
TOTAL 94471,119.72 100922,240.87 106,396,655.57 106,396,655.57 0.00
TOWN OF SOUTHOLD
11/17/2009 13:55:38
GRAND TOTAL
Revenue Budget Worksheet
ACTUAL DOLLARS BUDGETS
12 31 2007 12 31 2008 11 30 2009 Current Budget Adopted Budget
ACCOUNTING & FINANCE DEPT.
GL7A1R V06.81 PAGE 39
TOTAL NI~MBER OF RECORDS PRINTED 358