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CURRENT FUND· APPROPRIATIONS8. GENERAL APPROPRIATIONS AppropriatedExpended 2006
FCOAfor 2006 ByTotal for 2006
for 2007for 2006EmergencyAs Modified ByPaid or
AppropriationAll TransfersChargedReserved
(E) uererrea charges and 5tatutory Expenditures-XXXXXXXXXXX
XXXXXXXXXXXXXXMunicipal within "CAPS" (continued) xxxxxxxxxxxxXXXXXXXXXXXXXXXXXXXXxxxxxxxxxxxxxxxxxxxx xxxxxxxxxxxxxxxxxxxxXXXXXXXxxXXXXXXXX
(2) STATUTORY EXPENDITURES:
xxxxxxxxxxxxXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXxxXXXXXXContribution to: Public Employees' Retirement System
36-471
Social Security System (OAS.I.)
36-472300,000.00285,000.00 285,000.00277,951.577,048.43Consolidated Police and Firemen's Pension Fund
36-4744,450.004,450.004,450.00Police and Firemen's Retirement System of N.J.
36-475
Total Deferred Charges and Statutory
Expenditures-Municipal within "CAPS"
30004-00300,000.00289,450.00 289,450.00277,951.5711,498.43
(F) Judgments (G) Cash Deficit of Preceeding Year
46-885
(H-1) Total General Appropriations for Municipal
Purposes within "CAPS"
30005-0013,514,801.0011,090,974.0020,000.0011,091,974.0010,875,181.45216,792.55
Sheet 19
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CURRENT FUND - APPROPRIATIONS8. GENERAL APPROPRIATIONS AppropriatedExpended 2006
FCOAfor 2006 ByTotal for 2006
(A) Operations· Excluded from "CAPS"
for 2007for 2006EmergencyAs Modified ByPaid orAppropriation
All TransfersChargedReserved
xxxxxxxxxxxxxxxxxxxx
xxxxxxxxxxxxxxxxxxxxXXXXXXXXXXXXXXXXXXXXXXXXXxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxx
Length of Service Awards Program (LOSAP) Other Expenses
25-265-2010,000.0020,000.00 20,000.0020,000.00
"COAH" Housing Rehabilitation
42-300-2005,000.0040,000.00 40,000.005,000.0035,000.00
1--
--------
Sheet 20
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CURRENT FUND - APPROPRIATIONS
8. GENERAL APPROPRIATIONS AppropriatedExpended 2006FCOA
for 2006 ByTotal for 2006
(A) Operations· Excluded from "CAPS"
for 2007for 2006EmergencyAs Modified ByPaid or
Appropriation
All TransfersChargedReserved
Public and Private Programs Offsetby Revenues
xxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxAAAAAAAAAAAAAAAAAAAAAAAAAXXXXXXXXXXXXXXXXXXXXxxxxxxxxxxxxxxxxx
Community Development Block Grant
41·70327,897.6527,897.6527,897.65
Juvenile Justice Grant
40-7002,894.752,894.752,894.75
Department of Treasury· Municipal Building
40-70550,000.0050,000.0050,000.00
Statewide Livable Communities Program
40-706
Clean Communities Program
41-70717,829.45579.33 579.33579.33
Recycling Tonnage Grant
41-7087,812.957,812.957,812.95
Somerset County Municipal Alliance Grant C6unfyShare
..
41-700 19,071.0018,153.00 18,153.0018,153.00
Local Match
41-7004,767.007,790.00 7,790.007,790.00
DCA Domestic Violence Training
40-700
Emergency Management Exercise Imp.
41-7047,820.007,820.007,820.00
Safe & Secure Communities Program State Share
41·70190,000.0090,000.00 90,000.0090,000.00
Local Match
41·701226,862.00139,494.00 139,494.00139,494.00
Body Armor Fund
41-7024,499.684,305.28 4,305.284,305.28
Drunk Driving Enforcement Fund
41-706
Sheet 24
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CURRENT FUND - APPROPRIATIONS
8. GENERAL APPROPRIATIONS AppropriatedExpended 2006
FCOA
for 2006 ByTotal for 2006
(A) Operations· Excluded from "CAPS"
for 2007for 2006EmergencyAs Modified ByPaid or
Appropriation
All TransfersChargedReserved
Public and Private Programs Offset by Revenues
xxxxxxxxxxxxXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXxxxxxxxxxxxxxxxxxxxxXXXXXXXXXXXXXXXXX
Cool Cities Tree Planting
41-70925,000.0025,000.0025,000.00
Cross Acceptance Grant-Unapp
41-710
Smoking Prevention-Unapp
41-711
Parking Adjuidcation-Unapp
41-712
Drunk Driving-Unappropriated
41-71312,315.3112,315.3112,315.31
Alcohol Ed. & Rehab-Unappropriated
41-7141,703.501,703.501,703.50
Somerset County Youth Sevices
41-71515,000.0015,000.0015,000.00
Body Armor-Unapp
41-716
Emergency Mngmt-Unappropriated
41-7174,000.004,000.004,000.00
Historic Preservation Program
41-71827,800.00
Firefighter Grant
41-71988,770.00
Forestry Program
41-72025,000.00
Pedestrian Safety Grant
41-72117,828.504,800.00 4,800.004,800.00
EDIP - Singage Program
41-72225,000.0025,000.0025,000.00
Sheet 24a
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CURRENT FUND· APPROPRIATIONS
8. GENERAL APPROPRIATIONSAppropriatedExpended 2006
FCOA
for 2006 ByTotal for 2006
(A) Operallons-Excluded from "CAPS" (continued)
for 2007for 2006EmergencyAs Modified ByPaid or
Appropriation
All TransfersChargedReserved
Public and Private Programs Offset by Revenues (continued)
xxxxxxxxxxxxXXXXXXXXXXXXXXXXXXXXxxxxxxxxxxxxxxxxxxxxXXXXXXXXXXXXXXXXXXXXXXXXXxXXxxxXXXxxxxxxxxxxxxxxxxxxxxxxxxxxxx
Matching Funds for Grants
41-8992,000.002,000.00
Click It or Ticket
41-7234,000.004,000.004,000.00
Somerset County Youth Services Program Grant
41-724
Somerset County Youth Athletic & Recreation Facility
41-725
NJDOT Crab Brook Drainage Project
41-7265,000.005,000.005,000.00
Total Public and Private Programs Offset
by Revenues
522,427.63455,565.77 455,565.77453,565.77
Total Operations· Excluded from "CAPS"
60023-001,800,847.633,320,565.77 3,339,565.773,288,086.4349,479.34
Detail: Salaries & Wages
60023-11316,862.00229,494.00 229,494.00229,494.00
Other Expenses
60023·991,483,985.633,091,071.77 3,110,071.773,058,592.4349,479.34
Sheet 25
-
,",unnl::l'I I r-UNU - A•.••.•HUt-'HIATlON58. GENERAL APPROPRIATIONS AppropriatedExpended 2006
FCOAfor 2006 ByTotal for 2006
(C) Capital Improvements - Excluded from "CAPS"
for 2007for 2006EmergencyAs Modified ByPaid or
Appropriation
All TransfersChargedReserved
Down Payments on Improvements
44-900
Capital Improvement Fund
44-900100,000.00100,000.00XXXXXXXXXXX100,000.00100,000.00
Purchase of Shade Trees
44-90021,000.0021,000.00 21,000.0020,780.08219.92
Purchase of Capital Equipment
44-90062,100.00
..
. -- ......
Sheet 26
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l;UHHI::NT FUND· APPROPRIATIONS8. GENERAL APPROPRIATIONS AppropriatedExpended 2006
FCOAfor 2006 ByTotal for 2006
(C) Capital Improvements - Excluded from "CAPS"
for 2007for 2006EmergencyAs Modified ByPaid or
Appropriation
All TransfersChargedReserved
Public and Private Programs Offset by Revenues:
xxxxxxxxxxxxXXXXXXXXXXXXXXXXXXXXxxxxxxxxxxxxxxxxxxxxXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX
New Jersey Transportation Trust Fund Authority Act Johnson Drive Extension
41-727150,000.00
Somerset St, Streetscape Improv.
41-728250,000.00
.. ..
..
Total Capital Improvements Excluded from "CAPS"
60002-77583,100.00121,000.00 121,000.00120,780.08219.92
Sheet 26a
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l;UHRENT FUND - APPROPRIATIONS8. GENERAL APPROPRIATIONS AppropriatedExpended 2006
FCOAfor 2006 ByTotal for 2006
(D) Municipal Debt Service - Excluded from "CAPS"
for 2007for 2006EmergencyAs Modified ByPaid or
Appropriation
All TransfersChargedReserved
Payment of Bond Principal
45-920665,000.00665,000.00 665,000.00665,000.00xxxxxxxxxxxxxxxxx
Payment of Bond Anticipation Notes and Capital Notes
45-92590,000.00 xxxxxxxxxxxxxxxxx
Interest on Bonds
45-930200,658.76232,233.76 232,233.76223,233.76xxxxxxxxxxxxxxxxx
Interest on Notes
45-935225,552.97125,000.00 125,000.00124,453.33xxxxxxxxxxxxxxxxx
Green Trust Loan Program:
xxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxXXXXXXXXXXXXXXXXXXXXXXXXXxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxx
Loan Repayments for Principal and Interest
45-940 xxxxxxxxxxxxxxxxx
XXXXXXXXXXXXXXXXXxxxxxxxxxxxxxxxxx..
XXXXXXXXXXXXXXXXX. .---- .... -
XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXxxxxxxxxxxxxxxxxxXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXTotal Municipal Debt Service Excluded from "CAPS"
60003-001,181,211.731,022,233.76 1,022,233.761,012,687.09xxxxxxxxxxxxxxxxx
Sheet 27
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8. GENERAL APPROPRIATIONS AppropriatedExpended 2006FCOA
for 2006 ByTotal for 2006
(E) Deferred Charges· Municipal·
for 2007for 2006EmergencyAs Modified ByPaid orExcluded from "CAPS"
AppropriationAll TransfersChargedReserved
(1) DEFERRED CHARGES
xxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxXXXXXXXXXXXXXXXXXXXXXXXXXxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxx
EmergencyAuthorizations
46-870XXXXXXXXXXXxxxxxxxxxxxxxxxxxSpecial EmergencyAuthorizations- 5 Years (N.J.S. 40A:4-55)
46-8754,000.00 XXXXXXXXXXX xxxxxxxxxxxxxxxxxSpecial EmergencyAuthorizations- 3 Years (N.J.S. 40A:4-55.1 & 40A:5 5.1 3)
46·871 XXXXXXXXXXXxxxxxxxxxxxxxxxxx
Deficit in Dedicated Assessment Budget
46-8765,000.005,000.00XXXXXXXXXXX 5,000.00xxxxxxxxxxxxxxxxxXXXXXXXXXXX
xxxxxxxxxxxxxxxxx
XXXXXXXXXXX
xxxxxxxxxxxxxxxxx
XXXXXXXXXXXxxxxxxxxxxxxxxxxx
XXXXXXXXXXXxxxxxxxxxxxxxxxxx
XXXXXXXXXXXXXXXXXXXXXXXXXXXX
Total Deferred Charges· Municipal· Excluded from "CAPS"
60024·009,000.005,000.00XXXXXXXXXXX 5,000.005,000.00xxxxxxxxxxxxxxxxx
(F) Judgements
32711·00XXXXXXXXXXXXXXXXXXXXXXXXXXXX(N) Transferred to Board of Education for Use of Local Schools (N.J.S.A. 40:48-17.1 & 17.3)
62701-00XXXXXXXXXXXXXXXXXXXXXXXXXXXX
XXXXXXXXXXXXXXXXXXXXXXXXXXXX
(G) With Prior Consent of Local Finance Board: Cash Deficit of Preceeding Year.
62710-00XXXXXXXXXXXXXXXXXXXXXXXXXXXX
XXXXXXXXXXXXXXXXXXXXXXXXXXXX
(H-2) Total General Appropriations for Municipal Purposes Excluded from "CAPS"
60025-003,574,159.364,468,799.53 4,487,799.534,426,553.6049,699.26
Sheet 28
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8. GENERAL APPROPRIATIONS AppropriatedExpended 2006FCOA
for 2006 ByTotal for 2006
for 2007
for 2006EmergencyAs Modified ByPaid or
Appropriation
All TransfersChargedReservedFor Local District School Purposes - Excluded from "CAPS"
xxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxXXXXXXXXXXXXXXXXXXXXXXXXXxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxx
(1) Type 1 District School Debt Service
xxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxXXXXXXXXXXXXXXXXXXXXXXXXXxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxx
Payment of Bond Principal
48·920 XXXXXXXXXXXXXXXXX
Payment of Bond Anticipation Notes
48-925 xxxxxxxxxxxxxxxxx
Interest on Bonds
48-930 xxxxxxxxxxxxxxxxx
Interest on Notes
48·935 xxxxxxxxxxxxxxxxx
XXXXXXXXXXXXXXXXXTotal of Type 1 District School Debt Service - Excluded from "CAPS"
60006-00
(J) Deferred Charges and Statutory Expenditures - Local School - Excluded from "CAPS"
xxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxXXXXXXXXXXXXXXXXXXXXXXXXXxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxx
Emergency Authorizations - Schools
29·406 XXXXXXXXXXXxxxxxxxxxxxxxxxxxCapital Project for Land, Building or Equipment N.J.S. 18A:22-20
29-407 XXXXXXXXXXXXXXXXXTotalof DeferredChargesandStatutoryExpend- dltures-LocalSchool·Excludedfrom "CAPS'
60007-00 XXXXXXXXXXXXXXXXX(K)TotalMunicipalAppropriationsfor LocalSchool Disrlcl Purpoaes(llems(l)and(J)}-Excludedfrom "CAPS"
60008-00 XXXXXXXXXXXXXXXXX(0) Total General Appropriations - Excluded from "CAPS'
60010-003,574,159.364,468,799.53 4,487,799.534,426,553.6049,699.26(L) Subtotal General Appropriations 17,088,960.36
{Items (H-1)and (0» 30009-0015,559,773.5320,000.0015,579,773.5315,301 ,735.05266,491.81
(M) Reserve for Uncollected Taxes
50·8991,275,000.001,075,000.00XXXXXXXXXXX1,075,000.001,075,000.00xxxxxxxxxxxxxxxxx
9. Total General Appropriations
30000-0018,363,960.3616,634,773.5320,000.0016,654,773.5316,376,735.05266,491.81
Sheet 29
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CURRENT FUND - APPROPRIATIONS8. GENERAL APPROPRIATIONS AppropriatedExpended 2006
FCOA
for 2006 ByTotal for 2006
Summary of Appropriations
for 2007for 2006EmergencyAs Modified ByPaid or
Appropriation
All TransfersChargedReserved
(A) Operations: (a+b) Within "CAPS" -Including Contingent
30001-0013,214,801.0010,801,524.0020,000.0010,802,524.0010,597,229.88205,294.12
Statutory Expenditures
xxxxxxxxxxxx300,000.00289,450.00 289,450.00277,951.5711,498.43
(a) Operations - Excluded from "CAPS"
xxxxxxxxxxxxXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxx
Other Operations
xxxxxxxxxxxx1,018,920.002,609,000.00 2,624,000.002,580,154.8843,845.12
Uniform Construction Code
xxxxxxxxxxxx
Interlocal Municipal Service Agreements
xxxxxxxxxxxx259,500.00256,000.00 260,000.00254,365.785,634.22
Additional Appropriations Offset by Revs.
xxxxxxxxxxxx
Public & Private Progs. Offset by Revs.
xxxxxxxxxxxx522,427.63455,565.77 455,565.77453,565.77
Total Operations-Excluded from "CAPS"
60023-001,800,847.633,320,565.77 3,339,565.773,288,086.4349,479.34
(C) Capital Improvements
60002-77583,100.00121,000.00 121,000.00120,780.08219.92
(0) Municipal Debt Service
60003·001,181,211.731,022,233.76 1,022,233.761,012,687.09
(E) Total Deferred Charges (Sheet 18 + 28)
xxxxxxxxxxxx9,000.005,000.00 5,000.005,000.00
(F) Judgements
32711-00
(G) Cash Deficit
62710-00
(K) Local District School Purposes
60008-00
(N) Transferred to Board of Education
62701-00
(M) Reserve for Uncollected Taxes
50-8991,275,000.001,075,000.00 1,075,000.001,075,000.00
Total General Appropriations
30000-0018,363,960.3616,634,773.5320,000.0016,654,773.5316,376,735.05266,491.81 I
Sheet 30
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DEDICATED SEWER UTILITY BUDGET
10. DEDICATED REVENUES FROMAnticipatedRealized in
SEWER
UTILITY 20072006Cash in 2006._--------------Operating Surplus Anticipated
08-50121,356.21
Operating Surplus Anticipated with Prior Written Consent of Director of Local Government Services08-502
Total Operating Surplus Anticipated
08-50021,356.21
Sewer User Fees
08-1901,747,678.731,450,953.751,367,978.85
Special Items of General Revenue Anticipated with Prior
Written Consent of Director of Local Government Services
xxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxx
Additional Sewer Rents
08-19014,485.06379,699.88379,699.88
Interest on Delinquent Rents
3,460.63(3,460.63)
Interest on Investments and deposits
27,957.34(27,957.34)
Deficit (General Budget)
08-549
Total
SewerUtility Revenues 91 07-001,814,937.971,830,653.631,747,678.73--------
Sheet 34
Use a separate set of sheets foreach separate Utility.
-
Do Not
Interest on Notes
11. APPROPRIATIONS FOR
SEWER UTILITY
UTILITY BUDGET - (continued)
Appropriated Expended 2006......',~ '..-:~::·-:;=::",,-~·-·tr==0=:;-.:::...· •• -::....::::.- •. =::':.-:::~:=.-"==::::-"=_:"===~=-.:c"...: .~ f':- :....:.·-=:_o::.==-"=':::""'==::•..-"",'~~-.-=,;;===",=-,-,-";::;-="""":'-?---=::-'::===:~=.-.: . .. ...
Write In ! ! for 2006 By j Total for 2006 I, I, 'i I
!I This for 2007 Ii for 2006 !. Emergency I: As Modified By, Paid or:: Space....... ..._"._ ..t ...................._;i._'.'-.P.P!.~p.!!~~i~n! All Transfers __._ .. ~~!lr..$l~~._... Reserved::::=""=.,, ,"'·;·.:.:::::"·:c"".:.::..:::·:=-....::::.,=,, ":::::::",,,;:c;c="=;.:::; ;=-":':-CC::.="".;:::·.:.;'::~·.:·'::::;, ;':;::;':==CC:C::'::.: . • .•.._.... . .•.. .. .- •..••_ ••.. ••. . :::-::::':::":::;;.:"';7"' ••""';;:-:::,7.;::.:'::::-;:::-':::'7.:::::, ••• ':;-:.~-::;::;:::;.:;;;;,::;=:::c",.:::::i ..•····•··· ..·· ··•·.._..···..'1··..·.. ··..······ · : -.. -.. i !,' --.- ......•....• --- •.....•....••.;,-. -.
O~~~;~:~~-;~~es ;i~~:~.•~~x~~::~o~lix~~;;;~:~-!~~xxxx~XX~~!~~:~:::~:!~X~~~~~iF~~:1......-- ..-----.-..----.--------- - - - - -. i-----· ·····-----..-·-------1 r--· ·..·-_·-··- --·--··,:- -_..- -.- , - ----- ----.; i---------· ..- ·-·-·;r--..------- ···-·-·..;Other Expenses '! 55-502 . 46,829.61 Ii 55,500.00 I, j: 55,500.00 :, 34,611.85 d 20,888.15 :
...-..--.----- --.--.- - - - -----..- ---..----.~------. :--·-..·--·--·-·----·1 ,----.·-..·-------·1 - ..---·-·..··---..-..· ·1·..·----· -·----· ..·--· - ..-- - ..- ..--- ---.- ir-'---'''''- '---i~~infield ~.r:.~~_~~~!~~~!_~~~~!.~_uthC?~~_~.~!:J.~~~_~Co~~.__.. (_....~-5~_, ,_._. ~!~lQ~Q.Q.og_! L__ ~.!~~9!Q.QO·9.9.._:'__. ._. __"'_"_"_. I ...-_ ••-l..!~50,Q.QQ:"O..Q-.__...~!~~?..!_.g7.3~_!~_._._.~!.?_?_?:.~~_:.:" II I I ,,:
: 1 :, __ ,~.... _.~. " JIL~.~..._~-_._..._-.~._--_.·I! :.._. .,.__.__..__ .~..... ...~.. :,t i.. . . .~,._._ ....__...,__ ~_._ ..__ ..__ .;.:.I------ ..-~.._. __.__...u._.~,',.-.._..__...._-_.._-_ ..-.--.,---------.-.- ..--- ...---..--.---- ..-...-.-.....,----~ rv.-.-- ••.•. ---- .• -; ! . I . : . . .I I i I I , ~' : !I' q!: I
....-- .- ----.-.- - ..-------.- -.----- - [-- ..-' - ---------., i---..·--···--·-·---- -!:--_..- '''-''''-''-'1; --.-.-..--------- --., 1-·---·· ..------ ..·..- ····..··;~.~~!!~~.~mpro~~ment!.._.. ..__ __ ..__ _ _.. ._. :.!xxxxxxx~:..·1·_~!~~~~!~.~xxxx~!J1::!~_~~!~}C_~~~xxx~!.:;!~~~!~~~~_~~~~~~..j .~~x~xxxx~..~?'xxx~.. xxxxxxxxxxxxxxx :X~~~.XX~~~~~.J.C_~-lII.. I I'!, I'
Down Payments on Improvements ..1 55-510 !'. ... ". r . . i .: . . ,I . .:
~~~~:J~-:v~me;F:~==~~_~=-!15S.511.,=~==-~l[··=-~~==:i~~~,c==-=,'=-~=-~~-;f==:==~~~=j_~~pital_OU!!~l' ._._.._ _._ _ _- _._ --_.- .._) ~.~~~~~---.I--·-----·-------i-·-- -·-..---·---i '-.-----..- -.- ---..·i :---. --- .. !-.. ------- ..----., 1-----..---.-1
'··1 i.' '~II II' :L !: ;i II I! il ; !----.--....----...-----.-.-------------.il----"·--------i !. ._. __ -i. .!' . . , ,;, 11 I . I: Iii 1 I
Debt Service ----------txx.:; !-x-x-x-xx-x-x-x-x-x-x-x-x-x-x'Ixxxxxxxxx~xx!'~~Ii, xx~~ i~:-xxxxxx"';'xl!xxxxxxxxxxxxxx~_.-_. -----.- 'r I 1 ------.:, "',--' :i----·, i
_~ayme~~ BBondPrinciP.!~r.:==_=-_'__ ·~55-520:~ 125,786.27 i _}...3...?!_?8~..:_03 _~; ._._._._r __ ...!.~~587.03 .~....__.._ 132,587.03 .:xxxxxxxxxxxxxxx j•...ayment a' ond AntiCipation I'llotes anu " I ;: I: . I ICapital Notes I 55-521 i. I; I! Ixxxxxxxxxxxxxxx I
In~~r:s~":~-Bonds .....-........r 55-522 ..."-~~,~~;.~~-jl-·69,550.41 Ii ii' 69,550.41 ': 69,550.41 !~~~~~~~~~~~xxxx,-"--; r" ,; I i······· ..." ....
. ! 55-523_ j ;... . :: i" ; XXXXXXXXXXXXXXX
, i \ I .., ;xxxxxxxxxxxxxxx
Sheet 35
-
,I,I
6,527.30 :-..--.- - i500.00 I,
!
Reserved
Paid or
,~=.£~!~~!~:,c;'
SEWER
Do Not
55-542
DEDICATED
Social Security System (OAS.I.)Une-mpfoYme-nt CompEinsaffOnlnsurance- .
.J~.~~~~:~_~..~~:.~].:-.~.~.~~_S.~9:2_...__. ._..__...- ..
STATUTORY EXPENDITURES:.......ConfributforilO:' .
......~.~!>li_~._~f!lP...I().¥_~~~_~.ge.~~"-!~!I~...~y-s._~_~~
~urplu~ (~~l1eral~u~~et)TOTAL SEWER UTILITY APPROPRIATIONS
11. APPROPRIATIONS FOR
SEWER UTILITY
UTILITY BUDGET - (continued)
Appropriated ; Expended 2006. -''''''''.'.'c'-·'''''''''''.''·~''~'',:.='= '-'''i'F~'''='='''''''''-==~='C=''''''::c:",='=:~'''''':'=c=:"o=::.:",:,,=~"::.""=::."":.:=.,,,.·,.,;.:,,~,,,.""~':':""""=,--==,=:o-.:=,,.:.,·==,"0:__ _.,
Write In j i :. for 2006 By i Total for 2006
. ,ThiS for 2007 II for 2006 i ' Emergency 1 As Modified By,I Space . i! : Appropriation i All Transfers
.",.,==""=",=,=-.~"".::-"""""=.=-'C~,,,,,"'=.''C:-':-'C''-:-'" .--- .....;."...,....;;.-.. e;'C,;.--.=:=:- ..--"",,:.,.; ·'Ij==-: ..·,,=,··-:==:==':-, :"':..,.,0·,·· .. ;:==:-·=-·-···-1
....._~EF~_F!':!~!l_c::HAR~§~:...._._... .. .. _X_~~!XX_~~_X_~.!~~~Ji.!~X~!'5....~xxxxx~~: :~XX~~~~~!~!~~!j XXXXXXXXXXXXXXX XXXXXXXXXXXXXXX XXXXXXXXXXXXXXX! I) I
~*~~:~~~~-~~~~1~~~~~~-(N".IS:-4-(fA:4=5.5r"---:I'~~-~~--:---------"'-'-'''''--' ,1--·---·-·-------·---,1 :~X~XX?C_XX~~XX~~,'. -.---.-".- --.-- -----.--.-- ::~2'2'X!~~~ ..XX..?CX~'5....~_!I ,IDamage by Flood or Hur~icane . '1-------: ;. ._. 1 1-.---- ..--------...;· XXXXXXXXXXXXXXXj ! .. .:, .,iXXXXXXXXXXXX?,X,£ i
., ! I' I' "1 I
_______ • .__ ' I 55-5~~._~'-.-------.-----i !____ :'XXXXXXXXXXX~XXXi! . : ;_________ ',XXXXXXXXXXXXXXX i
I:::: , II 108,~-16.1~i=::~x::I:-108,516.19 108,516.19i::x:::.::f········ ··~~·~·~~~~~~xxxx~x···iI~X~~~~·~~·~~~~~~x·1:-~~~~~~·~~~~~·~·~~~l!·~~~·~~~~~~~~~X~~··,xx~~~x~~~~xxxxx 1xxxxxxxxxxxxxxx 1
···ii-···· . . ······-F . "'il
13,000,°0J 1- -~17,000,00l-. ---I !--1 ;'000.00i -1 ~:472.70 'III 500.00 i:"-F--- ---"~~~.~~--i----- ....../
11--- ---r ---- - rW-- -"---/[- - lII---!f -li--- -- - -I
il;l! -- --- - I
1 r :~~x~~~xxxxxx~~J ;xxxxxxxxxxxxxxxIi .-li· i~! . I : I
l! . .xxxxxxxxxxxx~~?'1 i iXXXXXXXXXXXXXXX
.,,_:.:1_'-,8~~,937.97 it '--'"--'-0''-''' __....__:: .. ~ ..,~~~,_653.63 .._. .. '_.. 65,719.86Sheet 36
-
AnticipatedRealized in14. DEDICATED REVENUES FROM
20072006Cash in 2006
Assessment Cash Fund BalanceDeficit (General Budget)
5,000,005,000,005,000,00
Total Assessment Revenues
5,000,005,000,005,000,00Appropriated
Expended 200615. APPROPRIATIONS FOR ASSESSMENT DEBT
20072006Paid or Charged
Payment of Bond Principal
5,000,005,000,005,000.00
Payment of Bond Anticipation Notes Total Assessment Appropriations
5,000,005,000,005,000.00
DEDICATED WATER UTILITY ASSESSMENT BUDGETAnticipatedRealized in
14. DEDICATED REVENUES FROM
20072006Cash in 2006
Assessment Cash
Deficit Water Utility Budget
Total Water Utility Assessment Revenues AppropriatedExpended 2006
15. APPROPRIATIONS FOR ASSESSMENT DEBT20072006Paid or Charged
Payment of Bond Principal Payment of Bond Anticipation NotesTotal Water Utility Assessment Appropriations
Sheet 37
-
DEDICATED ASSESSMENT BUDGET UTILITY
AnticipatedRealized in
14. DEDICATED REVENUES FROM
20072006Cash in 2006
Assessment Cash
(Deficit
Utility Budget)
Total
Utility Assessment Revenues
Appropriated
Expended 200615. APPROPRIATIONS FOR ASSESSMENT DEBT
20072006Paid or Charged
Payment of Bond Principal Payment of Bond Anticipation NotesTotal
Utility Assessment Appropriations
Dedication by Rider· (N.J.S. 40A:4·39) "The dedicated revenues anticipated during the year 2007 from Dog Licenses, State or Federal Aid for Maintenance of Libraries,
Bequest, Escheat; Federal Grant; Construction Code Fees due Hackensak Meadowlands Development Commission; Outside Employment of Off-Duty Municipal Police
Officers; Unemployment Compensation Insurance; Reimbursement of Sale of Gasoline to State Automobiles; State Training Fees - Uniform Construction Code Act:
Older American's Act - Program Contributions; Municipal Alliance on Alcoholism and Drug Abuse - Program income;
Solid Waste Management; Employee Benefit Trust Fund {NJSA 11:24A & 11:14-13}; Uniform Fire Code Enforcement and Dedicated Penalties (P.L. 1994, Ch. 135); Community Development Program;
Board of Recreation Commission;Recycling Program; Disposal of Forfeited Property (P.L. 1991, Ch. 489; Uniform Fire Safety Act Penalty Monies; Uniform Construction Code Enforcement Fees Third Party;
Parking Offenses Adjudication Act; Local Law Enforcement Block Grant; Law Enforcement Trust Fund; Parking Adjudication Act; Accumulated Absences; Snow Removal Trust (PL 2001,c. 138)
Municipal Public Defender P.L.1997c.256; Special Events Donations and Developer's Escrow Fund
are hereby anticipated as revenue and are hereby appropriated for the purposes to which said revenue is dedicated by statute or other legal requirement."
(Insert additional, appropriated titles in space above when applicable, if resolution for rider has been approved bv the Director)
Sheet 38
-
At"t"t:.NUIX I U tsUlJ(;iET STATEMENTCOMPARATIVE STATEMENT OF CURRENT FUND OPERATIONS AND CHANGE IN
CURRENT FUND BALANCE SHEET - DECEMBER 31, 2006 CURRENT SURPLUS
ASSETS
Cash and Investments
11101002,234,304.45
Due from State of N.J. (c.20, P.L. 1971)
1111000
Federal and State Grants Receivable
1110200
Receivables with Offsetting Reserves:
xxxxxxxXXXXXXXXXXXXXXX
Taxes Receivable
11103001,111,257.75
Tax Title Liens Receivable
11104009,423.43
Property Acquired by Tax Title Lien LiQuidation
1110500827,500.00
Other Receivables
11106003,470.00
Deferred Charges Required to be In 2007 Budaet
11107004,000.00
Deferred Charges Required to be In Budgets Subsequent to 2007
111080016,000,00
Total Assets
11109004,205,955.63
LIABILITIES, RESERVES AND SURPLUS
*Cash Liabilities21101001,190,350.35
Reserves for Receivables
21102001,951,651.18
Surplus
21103001,063,954.10
Total Liabilities. Reserves and Surplus
4,205,955.63
YEAR 2006YEAR 2005
Surplus Balance, Januarv 1st
2310100993,922,03846,309.03
CURRENT REVENUE ON A CASH BASISCurrent Taxes*( Percentage collected :2006
97.25 %,2005 97.51 %)231020042,221,158.7139,468,551.43
DelinQuent Taxes
2310300922,530.97725,642.02
Other Revenues and Additions to Income
23104004,450,703.644,874,044.79
Total Funds
231050048,588,315.3545,914,547.27EXPENDITURES AND TAX REQUIREMENTS: Municipal Appropriations
231060015,568,226.8615,213,866.87
School Taxes (Including Local and Regional)
231070026,191,766.0024,572,042.50
County Taxes (Including Added Tax Amounts)
23108005,784,117.915,134,715.87
Special Distict Taxes
2310900
Other Expenditures and Deductions from Income
2311000250.48
Total Expenditures and Tax Requirements
231110047,544,361.2544,920,625.24
Less: Expenditures to be Raised by Future Taxes
231120020,000.00
Total Adjusted Expenditures and Tax Requirements
231130047,524,361.2544,920,625.24
Surplus Balance - December 31 st
23114001,063,954.10993,922.03
'Nearest even percentage may be used
Pro osed Use of Current Fund Sur Ius In 2007 Bud et
School Tax Levy Unpaid22201000.00
Less: School Tax Deferred
2220200
*Balance Included in Above "Cash Liabilities"22203000.00
(Important: This appendix must be included in advertisement of budget.)
Sur Ius Balance December 31, 2006Current Surplus Anticipated in 2007Budget
Sur Ius Balance Remainin
Sheet 39
2311500
2311600
2311700
1,063,954.10
500,000.00
563,954.10
-
2007
CAPITAL BUDGET AND CAPITAL IMPROVEMENT PROGRAM
This section is included with the Annual Budget pursuant to N.J.A.C. 5:30-4. It does not in itself confer any authorization to raise or expendfunds. Rather it is a document used as part of the local unit's planning and management program. Specific authorization to expend funds for purposesdescribed in this section must be granted elsewhere, by a separate bond ordinance, by inclusion of a line item in the Capital Improvement Section of thisbudget, by an ordinance taking the money from the Capital Improvement fund, or other lawful means.
CAPITAL BUDGET
CAPITAL IMPROVEMENT PROGRAM
- A plan for all capital expenditures for the current fiscal year.
If no Capital Budget is included, check the reason why:
D Total capital expenditures this year do not exceed $25,000, including appropriations for Capital Improvement Fund,Capital Line Items and Down Payments on Improvements.
D No bond ordinances are planned this year.- A multi-year list of planned capital projects, including the current year.
Check appropriate box for number of years covered, including current year:
D 3 years. (Population under 10,000)~ 6 years. (Over 10,000 and all county governments)
D years. (Exceeding minimum time period)
D Check if municipality is under 10,000, has not expended more than $25,000 annually for capital purposes in immediatelyprevious three years, and is not adopting CAP.
Sheet 40 C-1
-
NARRATIVE FOR CAPITAL IMPROVEMENT PROGRAM
The Capital Budget for 2007 has been appended. This adoption of this document does not confer the authority to expend moneys. The Borough Council will be considering
the formal approval of ordinances which will create legal appropriations to expend the amounts so authorized. Public hearings will be held as each project is
considered for approval.
Sheet 40a C-2
-
CAPITAL BUDGET - (Current Year Action)2007
Local Unit Borough of North Plainfield, Somerset County, N.J.
123 4 PLANNED FUNDING SERVICES FOR CURRENT YEAR· 20076
ESTIMATED
AMOUNTS5a5b5c5d5eTO BE
PROJECT TITLE
PROJECTTOTALRESERVED2007 BudgetCapital 1m-CapitalGrants In AidDebtFUNDED IN
NUMBER
COSTIN PRIORAppropriationsprovement FundSurplusand OtherAuthorizedFUTURE
YEARS
FundsYEARS
Road & Parking Lot Overlays
525,00026,250498,750
Various Trucks & Vehicles
30,0001,50028,500
Purchase of Various Equipment
75.0003,75071,250
Building Improvements
275,00013,750261,250
Park Improvements
50,0002.50047,500
Revaluation of Properties Stormwater Maint. & Compliance
75,0003,75071,250
Sanitary Sewer Sys. Improvements
100,0005,00095.000
Total General Improvements
1,130,00056,5001,073,500
TOTALS - ALL PROJECTS
1,130,00056,5001,073,500
Sheet 40b C-3
-
6 YEAR CAPITAL PROGRAM - 2007 - 2012----- ------Anticipated Project Schedule and Funding Requirements
Local Unit Borough of North Plainfield, Somerset County, N.J,
1234 FUNDING AMOUNTS PER BUDGET YEAR
ESTIMATED
ESTIMATED
PROJECT TITLE
PROJECTTOTALCOMPLETIONSaSbSc5dSeSf
NUMBER
COSTTIME200720082009201020112012
Road & Parking Lot Overlays
2,900,000525,000475,000475,000475,000475,000475,000
Various Trucks & Vehicles
850,00030,000235,000140,000150,000150,000145,000
Purchase of Various Equipment
450,00075,00075,00075,00075,00075,00075,000
Building Improvements
1,000,000275,000135,000275,000105,000105,000105,000
Park Improvements
150,00050,00020,00020,00020,00020,00020,000
Revaluation of Properties
600,000120,000120,000120,000120,000120,000
Stormwater Maint. & Compliance
775,00075,000162,00050,00050,000338,000100,000
Sanitary Sewer Sys. Improvements
600,000100,000100,000100,000100,00010(1,000e··
100,000
Total General Improvements
7,325,0001,130,0001,322,0001,255,0001,095,0001,383,0001,140,000
40,000
15,000
TOTALS - ALL PROJECTS
7,325.0001,130,0001,322,0001,270,0001,135,0001,383,0001,140,000
Sheet 40c C-4
-
6 YEAR CAPITAL PROGRAM· 2007·2012------- -------SUMMARY OF ANTICIPATED FUNDING SOURCES AND AMOUNTS
Local Unit Borough of North Plainfield, Somerset County, N.J.
12BUDGET APPROPRIATIONS 456 BONDS AND NOTES
Estimated
3a3bCapitalCapitalGrants-In-7a7b7c7d
Project Title
TotalCurrent YearFutureImprove-SurplusAid andGeneralSelfAssessmentSchool
Cost
2007Yearsment Fund Other FundsLiquidating
Road & Parking Lot Overlays
2,900,000 145,0001,000,0001,755,000
Various Trucks & Vehicles
850,000 42,500807,500
Purchase of Various Equipment
450,000 22,500427,500
Building Improvements
1,000,000 50,000950,000
Park Improvements
150,000 7,500142,500
Revaluation of Properties
600,000600,000
Stormwater Main!. & Compliance
775,000 37,850737,150
Sanitary Sewer Sys. Improvements
600,000 30,000570,000
Total General Improvements
7,325,000600,000335,350 1,000,0005,389,650
TOTALS - ALL PROJECTS
7,325,000600,000335,350 1,000,0005,389,650
Sheet40d C·5
-
SECTION 2 - UPON ADOPTION FOR YEAR 2007(Only to be Included in the Budget as Finally Adopted)
RESOLUTION
Be It Resolved by the Borough Council of the __ B_o_ro_u_g_h _of North Plainfield , County of Somerset that the budget hereinbefore set forth Is herebyadopted and shall constitute an appropriation for the purposes stated of the sums therein set forth as appropriations, and authorization of the amount of:
(a) $ 12,429,451.41 (Item 2 below) for municipal purposes, and(b) $ (Item 3 below) for school purposes In Type I School Districts only (N.J.S.18A:9-2) to be raised by taxation and,(c) $ (Item 4 below) to be added to the certificate of amount to be raised by taxation for local school purposes In
Type II School Districts only (N.J.S. 18A:9-3) and certification to the County Board of Taxation ofthe following summary of general revenues and appropriations.
(d) $ (Sheet 43) Open Space, Recreation, Farmland & Historic Preservation Trust Fund Levy.------------
RECORDED VOTE(Insert last name)
{ Forbes{ Giordano{ Hitchcock
Ayes { Righetti{ Singleterry{ Soto{ Stabile
{{{
Nayes { None{{{
Abstained { None{
{Absent { None
{
SUMMARY OF REVENUES1. General Revenues
Surplus Anticipated
Miscellaneous Revenue Anticipated
Receipts from Delinquent Taxes
2. AMOUNT TO BE RAISED BY TAXATION FOR MUNICIPAL PURPOSES (Item 6(a), Sheet 11)
e eItem 6(b), Sheet 13 (N.J.S. 40A:4-14)
Total Revenues
Sheet 41
40003·10$500,000.0040004-10
$4,324,508.9541419-10
$1,110,000.0041415-10
$12,429,451.41
40010·10
$41416-10
$
41416-10
$40000-10
$18,363,960.36
-
SUMMARY OF APPROPRIATIONSnI $
5. GENERAL APPROPRIATIONS:
xxxxxxxxxxxxxxxxxxxxxxxxxxxxx
Within "CAPS"
xxxxxxxxxx$xxxxxxxxxxxxxxxxxxx
(a&b) Operations Including Contingent
$13,214,801.00
(e) Deferred Charges and Statutory Charges· Municipal
$300,000.00
(f) Judgements
$
Excluded from "CAPS"
xxxxxxxxxx$xxxxxxxxxxxxxxxxxxx
(a) Operations - Total Operations Excluded from "Caps"
$1,800,847.63
(c) Capital Improvements
$583,100.00
(d) Municipal Debt Service
$1,181,211.73
(e) Deffered Charges· Municipal
$9,000.00
(n) Transferred to Board of Education for Use of Local Schools (N.J.S. 40:48-17.1 & 17.3)
$
(g) Cash Deficit
$
(k) For Local District School Purposes
$
(m) Reserve for Uncollected Taxes (Include Other Reserves if Any)
$1,275,000.00
6. SCHOOL APPROPRIATIONS· TYPE I SCHOOLS DISTRICTS ONLY (N.J.S. 40A:4-13)
$
Total Appropriations
$18,363,960.36
=
, Clerk,2007August
Sheet 42
day of6thCertified by me this
It is hereby certified that the within budget is a true copy of the budget finally adopted by resolution of the Governing Body on the 6 th day of
August ,2007. It is further certified that eac~ item of ~evenue and appro~riation is set forth in the same amount and by the same title as appeared in the2007 approved budget and all amendments thereto, If any, which have been previously approved by the Director of Local Government Services.
-
Annual List of Change Orders ApprovedPursuant to N.J.A.C. 5:30-11
Contracting Unit: Borough of North Plainfield Year Ending: December 31,2006
The following is a complete list of all change orders which caused the originally awarded contract price to be exceeded by more than 20 percent. For regulatory details
please consult N.J.A.C. 5:30-11.1 et seq. Please identify each change order by name of the project.
1.
2.
3.
4.
For each change order listed above, submit with introduced budget a copy of the governing body resolution authorizing the change order and an Affidavit of Publication for
the newspaper notice required by N.J.A.C. 5:30-11.9(d). (Affidavit must include a copy of the newspaper notice.)If you have not had a change order exceeding the 20 percent threshold for the year indicated above, please check her
March 12, 2007Date
Sheet 44