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FINANCE
2001 Budget Summary

The following figures were gleaned from the obtuse “data sheets” I received from the borough when I requested a copy of the town budget. I had hoped to be able to provide a complete, yet concise, accounting of the boroughs finances. Unfortunately the information I have been provided does not make that possible.


As a summary of Revenues the town provided these figures:

Surplus $900,000.00

As far as I could ascertain from a conversation with the town Administrator this is “not exactly” a real surplus but more like a giant can of budget fudge that is restirred every year but never eaten. Apparently the town “coincidentally” underestimates “Miscellaneous Revenues” by nearly 100% every year to regenerate this perpetual “surplus.”

Total Miscellaneous Revenues $1,055,768.00

According to the town Administrator the bulk of the $900,000.00 in “unanticipated” revenues needed to “create” next years surplus will be realized from these miscellaneous sources.

item AnticipatedRealized in 2000Surplus fudge
Alcoholic Beverage Licenses $6,300 $6,300 0
Interest on Taxes $10,000.00 $30,737.00 $20,737.00
Interest on Investments and Deposits $135,781.00 $300,646.00 $164,865.00
State Aid $717,803.00 $709,165.000
Uniform Construction Code $50,000.00 $158,551.00 $108,551.00
Burnardsville Township Uniform Construction Code Services $49,962.00 $43,719.000
Reserve for sale of Municipal Assets $75,000.00 $75,000.000
Totals $1,055,768.00 1,332,534.00 $276,766.00


Receipts from Delinquent Taxes $150,000.00 -- Realized in 2000: $130,788.00

Local Tax for Municipal Purposes $2,383,044 (anticipated) -- Realized in 2000: $2,488,121.00 (aprox. $1,700 per taxed property)
This number is stated to include the $335,000.00 "Reserve for Uncollected Taxes" collected the previous year.
There would appear to be at least $105,077.00 of budget fudge in this “anticipation.” This brings the “obvious” surprises that will create next years surplus to $381,843.00 --far short of the $900,000.00 expected to be realized.

Total General Revenues $4,488,812.00


As a summary of Appropriations the town provided these figures:
Total For Debt Service $428,470.00
Interest On Outstanding Municipal Debt (approximate) $97,000.00
Repaid Principal (approximate) $330,000.00

Operating Expenses
Salaries & Wages $1,904,577.00

General Administration $164,659.00
Mayor and Council $19,400.00
Municipal Clerk $50,500.00
Financial Administration $55,600.00
Tax Assessment $36,008.00
Tax Collection $44,300.00
Police $796,850.00
Fire $8,223.00
Road repairs and Maintenance $398,270.00
Public Building and Grounds $52,751.00
Waste Disposal $3,675.00
Board of Health $2,837.00
Welfare/Public Assistance $8,420.00
Recreation $25,437.00
Parks & Playgrounds $31,970.00
Construction Code $68,885.00
Zoning Code Enforcement $10,000
Historic Preservation $7,700.00
Planning Board $10,881.00
Board of Adjustment $10,881.00

.
Established Salaries
Personnel Listed Department Total Compensation
CLASS I - GENERAL GOVERNMENT
Administration
Mayor3,200.00
Council Members2,700.00
Administrator - Blakeslee40,000.00$80,000.00
Borough Clerk - Fuchs50,000.00
Administrative Secretary - Pugsley53,900.00
Clerk-Typist - Susco (3/26/01)12,500.00$25,000.00
Public Assistance Director - Durney8,420.00
Secretary - Board of Health - Cleary2,837.00$41,185.00
Fire Official - C. Bellamy33.70/hr.
Part-Time Office Help - K. Bellamy (4/16/01)10.00/hr.
Finance
Treasurer/Chief Financial Officer - Giordano55,000.00
Tax Collector - Hulse42,000.00$43,000.00
Tax Assessor - DelGuercio18,500.00
Secretary/Finance Assistant - Lauerman13,408.00$29,770.00
Tax Search Officer - Hulse1,000.00$43,000.00
Construction Code
Building Inspector and Sub Code Official - Alicino 71,500.00$78,300.00
Plumbing Sub Code Official - Alicino6,800.00$78,300.00
Building Dept. Control Person - Porter16,554.00$33,109.00
Electrical Inspector and Sub Code Official - Buchanan25.75/hr.
Electrical Inspector and Sub Code Official - Stefani 25.00/hr
Fire Sub Code Official - Miller25.00/hr.
Clerk Typist - Cleary15,602.00$41,185.00
Land Use
Secretary, Board of Adjustment - Lauerman8,181.00$29,770.00
Recording Secretary, Planning Board - Lauerman8,181.00$29,770.00
Zoning Officer - Snedaker9,999.00
Recreation
Recreation Director-part time - Garrison15,000.00
Recreation Office Clerical, Part-Time - Cleary7,144.00$41,185.00
Municipal Court
Magistrate - McMann15,600.00
CLASS II - PUBLIC WORKS
Roads, Buildings, Grounds, Parks
Superintendent of Public Works - Crotsley42,200.00$84,400.00
Asst. Superintendent of Public Works - Hoagland64,100.00
Foreman - Roads - Edwards45,000.00
Foreman - Parks & Grounds - Menagh40,440.00
Laborer - Pugsley26,000.00
Semi-skilled Laborer - Taquinto28,570.00
Semi-skilled Laborer - Heuneman28,570.00
Chief Mechanic - Nelson42,700.00
Building Maintenance - Conover50,852.00
Building Maintenance/Driver25,500.00
Skilled Laborer - Orgera31,570.00$60,070.00
Building Custodian - Thompson12.80/hr.
Building Custodian - Bellamy10.80/hr.
Building Custodian - Bohning (4/2/01)10.50/hr.
Wastewater Utility
Note: WRF salaries are not part of town budget.
Superintendent of Public Works - Crotsley42,200.00$84,400.00
Administrator - Blakeslee40,000.00$80,000.00
Sewage Treatment Operator Licensed - Miller63,650.00
Sewage Treatment Plant Foreman - Wright47,600.00
Semi-skilled Laborer - Brooks29,300.00
Laborer - Orgera28,500.00$60,070.00
Public Utilities Clerk - Porter16,555.00$33,109.00
Clerk-Typist - Cleary15,602.00$41,185.00
Clerk-Typist - Susco (3/26/01) 12,500.00$25,000.00
CLASS III - LAW ENFORCEMENT
School Crossing Guard14.00/hr.
Police Matron14.00/hr.
Special Police14.00/hr.
Police Secretary, Part Time - Sacco14.7l/hr.
Police Secretary - Full time - Andrus$34,000.00
Police Secretary - Part time - Haverkost$ 20.67/hr.
Police Chief - Cameron$81,500.00
Police Captain - Gaffney$79,000.00

Operating Expenses Other/non-salary $1,582,423.00

General Administration $31,850.00
Mayor and Council $1,050.00
Financial Administration $13,280.00
Annual Audit $20,000.00
Computerized Data Processing $20,000.00
Tax Assessment $11,663.00
Tax Collection $5,950.00
Legal Services $70,000.00
Engineering Services $16,400.00
Historic Preservation $6,250.00
Planning Board $22,400.00
Board of Adjustment $8,510.00
Police $73,850.00
Contractual Radio Dispatch $50,000.00
Aid to Volunteer Fire Company $48,850.00
Ambulance $5,000.00
Fire Hydrants $75,500.00
Municipal Prosecutor $10,000.00
Road Repairs and Maintenance $94,280.00
Public Building and Grounds $46,750.00
Shade Tree $10,000.00
Waste Disposal $134,900.00
Board of Health $41,674.00
Visiting Nurse $5,801.00
Environmental Commission $3,200.00
Animal Control $18,000.00
Welfare/Public Assistance $300.00
MASH Van $3,000.00
Recreation $25,500.00
Parks & Playgrounds $49,890.00
Construction Code $7,780.00
Zoning Code Enforcement

Electricity $40,000.00
Street Lighting $25,000.00
Telephone $18,500.00
Water 11,500.00
Gas $25,000.00
Gasoline $25,000.00

Lenght of Service Award Program $35,000.00
Workmen’s Compensation Insurance $25,000.00
Group Insurance Plan $234,000.00
General Liability Insurance $50,000.00

Deferred Charges & Other Appropriations $177,980.00
Social Security System $149,865.00
Police and Fire Pension Fund $28,115.00

Reserve for Uncollected Taxes $335,000.00

Capital improvements $60,362.00
Debt Authorized $523,969.00

Total Appropriations $4,488,812.00


Municipal Investment Capital: $1,000,000.00+
According to the town Administrator The town owns more than one million in investment assets Unfortunately he “does not have the time” to provide the actual figure. The fact that the town collected $300,646.00 in interest in 2000 has me believing it is substantially more than $1,000,000.00.

Municipal Debt: $1,985,400.00 as of the end of 2001 (From $2,128,714.00 in 2000)
According to the Chief Financial Officer the 2001 figure includes the $523,892.00 in new debt approved in 2001 for the following projects:

Street Overlays $52,000.00
Acquisition of DPW Equipment $49,231.00
Improvement to Parks $99,000.00
Improvements to Buildings $150,000.00
Acquisition of Fire Equipment $147,100.00
Sidewalk Repairs $80,000.00
Acquisition of Police Department Equipment $22,000.00

As we only paid off the books $330,000.00 of old debt in 2001, I find it difficult to understand how total debt decreased in 2001 if we added $523,892.00 of new debt-- It's enough to give you an ex-ENRON headache.

WHERE DO MY TAX DOLLARS GO?
Every tax dollar collected is divided into the following four parts: Municipal Tax, County Tax, Local School Tax, and Regional School Tax (Municipal and County include Open Space). The percentage that went to each entity in 1998 is represented in the chart.
Local Schools
38%
Regional Schools
27%
Municipal
18%
County
17%


WHAT ARE THE MUNICIPAL EXPENSES?
The Municipal portion (18%) of the tax dollar includes the expenses required to operate the Borough. They can be divided as seen in this chart for 1999:

Fire 3%

Administrative and Financial 8%

Engineering, Planning, and Construction Code 5%

Police 25%

Reserve for Uncollected Taxes 8%

Streets and Roads 13%

Parks, Recreation, and Library 6%

Recycling 4%

Debt Service 7%

Public Buildings and Grounds 4%

Other Departments 7%

Insurance and Social Security 10%


1999 Capial Projects
Due to their size, Capital Projects are paid for over a period of years, with only a portion included in each year's budget. Thje Borough plans to complete the following projects in 1999:
Street Overlays 148,360
Equipment Replacement 138,000
Park Improvements 420,800
Building Improvements 24,000
Fire Equipment 55,000
Sidewalk Repairs 50,000
Landfill Closure 225,000
Computer Equipment ___ 2,000
TOTAL1,063,160
Sewer
Clarifiers 120,000
Plant Improvements 600,000
TOTAL 720,000


AN EXPLANATION OF THIS YEAR'S TAX RATE
The 1999 Municipal Budget contains a tax increase of 2 cents per $100 of assessed value. In January of 1998, the Borough's municipal accountant recommended a tax increase in excess of 6 cents per $100 of assessed value as being the minimum figure necessary to maintain the financial stability of the Borough. The Finance Committee considered such a jump to have an unacceptable impact on the taxpayers of the Borough. Accordingly, it began nearly a year-long project to reduce the expenditures of the Borough in order to reduce the need for such a dramatic tax increase. The 1999 Municipal Budget, which was adopted April 5, 1999, was able to hold the projected 6 cents increase to only 2 cents per $100. The Finance Committee was very pleased that such a dramatic reduction in the projected tax could be achieved in a year where the capital budget exceeded one million dollars, including an ambitious overhaul of the Borough's recreational fields.

1999 also saw the establishment of an Open Space Trust Fund by the Borough. The establishment of the Trust Fund was overwhelmingly endorsed in a referendum in November of 1998. For the 1999 tax year, the Borough has chosen to fund the Trust Fund at a rate of 1.5 cents per $100 of assessed value. The balance of the Trust Fund in 1999 immediately after its funding will be $86,303.50. Each year, the Borough Council will decide on a funding figure between zero and 2 cents per $100 of assessed value. The Trust Fund can be used for the acquisition of open space or historical properties within the Borough, and the maintenance and development of passive or active recreational lands within the Borough.



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