Town of Emmitsburg
300A S. Seton Ave Emmitsburg, Maryland
21727
301-600-6300

Town Budget for Fiscal Year 2005

July 1, 2004 - June 30, 2005

GENERAL FUND BUDGET
   
  Real Estate taxes 397,611
  Real Estate tax discounts -4,500
  Real Estate tax interest 1,700
  Personal Property tax 33,000
  Public Utilities Pers Prop Tax 17,000
  Personal Prop interest 75
  Allowance for Doubtful Accts -2,000
  Shared Income Tax 120,000
  Admissions/Amusements Tax 4,000


Total Local Taxes 566,886
   
  Highway use tax 86,000
  State aid police protection 15,000
  POS reimbursement 0
  Grant Income 0


Total State Revenues 101,000
   
  Alcoholic beverages permits 5,800
  Franchise fees 18,000
  Traders license 5,500


Total Licenses and permits 29,300
   
  Tax equity 130,000


Total County revenue 130,000
   
  Zoning Permits/Review Fees 15,000
  Zoning Books, Maps 0
  Developers Parks Payments
  Developers' Costs Reimbursement 2,000
  Impact Fees 24,000


Total Service Charges 41,000
   
  Parking revenue 26,000


Total Transportation Revenue 26,000
   
  Pool - Memberships 1,500
  Pool - Admissions 8,000
  Pool - Concessions 1,000
  Pool - Miscellaneous Revenue 0


Total Recreation charges 10,500
   
  Garbage Revenue 163,000
  Garbage Interest 300


Total Garbage revenue 163,300
   
  Interest Revenue 8,000
  Rent Income 30,000
  Misc Income General 5,000
  Police Protection Reimbursement 11,640


Total miscallanous revenue 56,640


TOTAL REVENUES 1,122,626
   

EXPENDITURES

   
  Legislative Dept Salary Expenses 24,300
  State Unemployment Comp Tax 368
  Legislative Workmen's Comp 200
  Legislative Operating 25,930
  Legislative Miscellaneous 16,428
  Legislative Insurance 6,500
  Donations 1,500
  Legal 15,000
  Accounting/Auditing 18,000
  Election Expenses 1,000
  Legislative Capital Outlay 500
  Annexation 1,000
  After School Program 15,000
  Summer Camp Program 5,000


Total Legislative 130,726
   
  Executive salaries 24,000
  Executive FICA 1,800
  Executive workmen's comp 100
  Executive retirement 1,000
  Executive medical insurance 7,100
  Executive operating 43,000
  Executive miscellaneous 1,000
  Bad Debt Expense 1,200
  Executive Capital Outlay 1,500


Total Executive 80,700
   
  P&Z Department Salaries 60,000
  P&Z FICA Expense 4,500
  P&Z W/C 500
  P&Z Retirement 2,500
  P&Z Health Insurance 5,500
  P&Z Operating 10,000
  P&Z Contractual Services 0
  Developer Inspection Fees 0
  P&Z Capital Outlay 1,000


Total Planning & Zoning 84,000
   
  Meterperson Salary 16,500
  Meterperson FICA 1,200
  Meterperson W/C 1,000
  Pub Safety Retirement 500
  Pub Safety Medical Insurance 3,500
  Pub Safety Insurance, General 700
  Supplemental Police Contract 30,000
  Police Contract 164,000
  Public Safety Utilities 500
  Other Police Expenses 3,000
  Capital Outlay--Public Safety 1,000
  Ambulance Co. Donations 7,700
  Fire Co. Donations 5,500


Total Public safety 235,100
   
  Garbage Operating 500
  Trash Removal/Tipping Fee 156,500


Total Garbage 157,000
   
  Streets Dept. Salaries 57,500
  Streets Overtime 1,500
  Streets FICA 4,200
  Streets W/C 2,000
  Streets Retirement 2,500
  Streets Medical Insurance 13,500
  Streets Operating 2,000
  Streets Miscellaneous 2,000
  Streets Insurance General 6,000
  Streets Contractual Services 1,000
  Streets Vehicle Expenses 8,000
  Streets Utility Services 28,000
  Streets Repair & Maintenance 15,000
  Streets Capital Outlay 1,300


Total Streets 144,500
   
  Parks Dept Salary 61,000
  Parks Dept Overtime 1,000
  Parks Dept FICA 4,500
  Parks W/C 2,000
  Parks Retirement 2,500
  Parks Medical Insurance 15,500
  Parks Operating 3,000
  Pool Direct Operating 45,000
  Parks Insurance General 5,000
  Parks Vehicle Expenses 2,000
  Parks Utilities 500
  Parks & Rec Repairs & Maintenance 5,500
  Parks - Community Functions 3,000
  Parks Capital Outlay 600


Total Recreation and parks 151,100
   
  Property Expenses 50,000
  Debt Service 45,000


Total Other 95,000
   
  General Transfer to CIP 20,500
  Base Impact Fees to CIP 20,000
  Impact Fee increase to Warning System 4,000


Total GF Transfers to CIP 44,500


TOTAL EXPENDITURES 1,122,626
   
Revenues over (under) expenditures 0

WATER & SEWER

WATER

REVENUES
  Water Utility Revenue, Qrtly 400,000
  Water Utility Interest 500
  Water Service Chgs 20,000
  Water Taps 80,000
  Transfer from Genl Fund
  Timber Income 5,000
  Interest 8,000


  Total Water revenue 513,500
EXPENSES
  Water Department Salaries 90,000
  Water Department Overtime 11,000
  Water Department Fica 8,000
  Water Department W/C 3,500
  Water Department Retirement 4,000
  Water Department Medical Insur 15,500
  Water Department Operating 8,800
  Operating Supplies 30,000
  Water Department Insurance Gen 10,000
  Water Contractual Services 57,000
  Water Vehicle Expenses 3,000
  Water Utilities 23,000
  Water Repair & Maintenance 40,000
  Water Debt Svc 136,000
  Water Capital Outlay 10,000
  Mtn View Road Line 0
  So Seton Line 5,000
  Well Development 5,000
  Pressure Reducing Station 20,000


  Total Water Expenses 479,800


Revenues over (under) Expenses 33,700


SEWER


REVENUES
 
  Sewer Taps Revenue 80,000
  Sewer Tap Surcharge 70,000
  Sewer Utility Revenue 420,000
  Sewer Utility Interest 500
  Sewer Miscellaneous  
  Transfer from Genl Fund  
  *Silo Hill Front Foot Benefit Assessment 11,250
   
  Interest 8,000


  Total Sewer revenue 589,750
 
EXPENSES  
  Sewer Department Salaries 90,000
  Sewer Department Overtime 11,000
  Sewer Fica 8,000
  Sewer W/C 3,300
  Sewer Retirement 4,000
  Sewer Medical Insurance 15,500
  Sewer Operating 11,000
  Sewer Supplies 11,000
  Sewer Insurance General 8,000
  Sewer Contractual Services 57,000
  Sewer Vehicle Expenses 6,000
  Sewer Utility Services 46,000
  Sewer WWTP Repairs 20,000
  Sewer CRPS Repairs 10,000
  Sewer Coll System Repairs 5,000
  Sewer Debt Svc 67,000
  Sewer Capital Outlay 0
  Little Run Sewer Outfall 15,000
  Other Capital Project 70,000


 Total Sewer 457,800


Revenues over (under) Expenses 131,950
   
   

CAPITAL IMPROVEMENTS PROJECTS

 
REVENUES  
Transfer from General Fund 20,500
General Fund transfer - Impact fees 20,000
GF Transfer-Impact/Warning Sys 4,000
UpCounty maintenance deposits 7,200


Total Revenues 51,700
 
Other Sources  
Reserved Fund Balance Forward 290,829
 
EXPENDITURES & APPROPRIATIONS  
Streets - resurfacing 116,621
W Lincoln Ave Parking improvements 7,000
PARKS--Community Pavilion Restrooms - 10,047
Emergency Warning System Maintenance Reserve 4,000
Public Works Equipment Fund 18,000
Broadcast Equipment 11,640


Total Expenditures 167,308