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1980-11-06 SP DEPUTY CHIEF OF POLICE OF THE TOWN OF QUEENSBURY POLICE DEPARTMENT HAS BEEN ESTABLISHED AT A SALARY OF $69 . 23 PER DAY AND WHEREAS, CHARLES A. JUDKINS IS WELL QUALIFIED TO FULFILL THE DUTIES OF THE POSITION OF DEPUTY CHIEF OF POLICE PENDING APPOINTMENT OF A CHEIF OF POLICE OF THE TOWN OF QUEENSBURY POLICE DEPARTMENT . NOW, THEREFORE, BE IT RESOLVED, THAT CHARLES A. JUDKINS BE AND HE HEREBY IS APPOINTED DEPUTY CHIEF OF POLICE OF THE TOWN OF QUEENSBURY POLICE DEPARTMENT AT A SALARY OF $69 . 23 PER DAY ON A TEMPORARY BASIS PENDING THE APPOINTMENT OF A CHIEF OF POLICE OF THE TOWN OF QUEENSBURY POLICE DEPARTMENT. DULY ADOPTED BY THE FOLLOWING VOTE : AYES : MR. OLSON, DR. EISENHART, MR. MORRELL, MR. ROBERTSON, MRS . WALTER NOES : NONE ABSENT : NONE ON MOTION THE MEETING WAS ADJOURNED. RESPECTFULLY SUBMITTED, DONALD A. CHASE TOWN CLERK TOWN OF QUEENSBURY SPECIAL TOWN BOARD MEETING NOVEMBER 6, 1980 MEMBERS PRESENT: MRS. FRANCES WALTER-SUPERVISOR MR. DANIEL OLSON-COUNCILMAN DR. CHARLES EISENHART-COUNCILMAN MR. DANIEL MORRELL-COUNCILMAN MR. HAMMOND ROBERTSON-COUNCILMAN ABSENT: MR. JOSPEH BRENNAN-TOWN COUNSEL MEETING OPEND 7 : 30P. M. PLEDGE OF ALLEGIANCE LED BY COUNCILMAN MORRELL DEPUTY SUPERVISOR HAMMOND ROBERTSON-OPENED THE MEETING . . .ANNOUNCED THAT SUPERVISOR WALTER WILL BE A FEW MINUTES LATE . . . PUBLIC HEARING 7 : 32 P.M. NOTICE SHOWN RE : SUBMISSION OF A PRE-APPLICATION FOR A NON-METROPOLITAN SINGLE PURPOSE GRANT UNDER THE HUD SMALL CITIES PROGRAM PAT TATICH-WARREN COUNTY DEPT. OF PLANNING AND COMMUNITY DEVELOPMENT- (PASSED OUT INFORMATION BULLETIN REGARDING SMALL CITIES GRANT-TOWN OF QUEENSBURY-ON FILE) REVIEWED THE HISTORY OF THE GRANT THAT WAS GIVEN TO WEST GLENS FALLS TARGET AREA. . . 1 . REHABILITATE 100 HOMES THOSE OF . . LOW OR MODERATE INCOME . . . 2 . IN-STALL A WATER LINE IN THE UPPER SHERMAN AVENUE AREA 3 . REHABILITATE JOHN BURKE APTS . NOW WISH TO CONTINUE PROGRAM IN THIS AREA SEEKING A SINGLE PURPOSE GRANT IN THE AMOUNT OF $500, 000 . 00. THE GRANT WILL BE PROVIDED TO UNDERTAKE AN ACTIVITY OR ACTIVITIES TO MEET ONE PARTICULAR PROBLEM AREA OF THE COMMUNITY. THE GRANT MUST ADDRESS ONE OF THE THREE PROBLEM AREA: HOUSING, DEFICIENCIES IN PUBLIC FACILITIES, OR ECONOMIC CONDITIONS . . . REVIEWED THE SELECTION SYSTEM USED IN APPROVING GRANTS . . . SPOKE ON THE RATE SYSTEM USED. . . SPOKE TO THE BOARD ON THE ELIGIBILE ACTIVITIES AND NON ELIGIBLE ACTIVITES G TATED IN THE HANDOUT) APPLICATION PROCESS 1 . PREPARATION AND SUBMISSION OF PREAPPLICATION 2 . HUD REVIEW 3 . SUBMIT FULL APPLICATION UPON HUD REQUEST. . . MR. BILL BODENWEISER- CAN THE GRANT MONIES BE USED FOR DEMOLITION OF HOUSES AND CLEAN UP? PAT TATICH- YES NOTED THAT A HOUSING SURVEY HAS BEEN DONE IN THE PROJECT AREA. . . INFORMATION SHOULD BE FORTHCOMING AT THE NEXT PUBLIC HEARING. . . SURVEYING WHAT REPAIRS NEED TO BE DONE. . . INCOME . . .ANY HANDICAP PERSONS RESIDING IN HOME . . . ETC . COUNCILMAN MORRELL- WHAT ARE THE POSSIBILITIES OF HUD EXPANSION IN E OTHER AREAS? PAT TATICH- THIS IS THE FIRST LEG OF RECEIVING HUD GRANT DOLLARS, HUD WOULD NOT APPROVE AN APPLICATION FOR ADDITIONAL AREAS OF THE TOWN THAT ARE NOT MEETING THE CURRENT NEEDS AND DEMANDS OF THE STRATEGY AREA THAT HAS BEEN IDENTIFIED. COUNCILMAN OLSON- WOULD THE NEW GRANT BE AN EXPANSION OF THE TARGET AREA? PAT TATICH- IT IS A CONTINUATION OF THE SAME AREA. . . DANIEL OLSON- I WAS LED TO BELIEVE THAT AFTER WE HAD SUCCESS IN THE `- FIRST AREA WE COULD APPLY FOR A SECOND GRANT AND DO ANOTHER SECTION - IN TOWN. . . I AM UNHAPPY THAT WE CANNOT GO INTO OTHER AREAS . . . PAT TATICH- NOTED IN THE FIRST GRANT IT WAS UNDERESTIMATED THE SUBSTANDARD HOUSING IN THE AREA. . .WE ESTIMATED 130 BUILDINGS IN THAT AREA THAT REQUIRED RENOVATION, BASED ON THE SURVEY THERE ARE 200 TO 250 . . . DANIEL OLSON- IT IS POSSIBLE, THAT EVEN WITH THE SECOND GRANT WE MAY NOT REHABALITATE ALL THE HOUSES . . . PAT TATICH- IT DEPENDS ON THE AVERAGE COST PER HOUSE . . . COUNCILMAN OLSON- CAN YOU APPLY FOR DPW PROJECTS OUTSIDE THE TARGET AREA? PAT TAI-ICH- NO, IT HAS TO BE WITHIN THE TARGET AREA. . . COUNCILMAN MORRELL- HOW DO WE CONVINCE THEM THERE ARE OTHER TARGET AREAS? PAT TATICH-WE DO JUST WHAT WE HAVE JUST DONE IN THE WEST GLENS FALLS AREA, WE CONDUCT SURVEYS OF THOSE SATELITE AREAS THAT THE TOWN FELT HAS SUB- STANDARD HOUSING AND PROVE THAT THOSE SUBSTANDARD HOUSES ARE OCCUPIED BY LOW AND MODERATE INCOME FAMILIES, THAT WOULD SERVE AS A BASIS FOR GETTING THOSE AREAS FUNDED . J COUNCILMAN MORRELL- ARE YOU CONSIDERING THAT IN THE FUTURE, AFTER THIS ONE? PAT TATICH- YES . . . COUNCILMAN OLSON- CAN WE APPLY FOR TWO SEPERATE GRANTS AT ONE TIME? PAT TATICH- NO MR. LASHWAY- HOW LONG MUST YOU WAIT BEFORE YOU CAN APPLY FOR ANOTHER GRANT AFTER YOU HAVE RECEIVED ONE? PAT TATICH- YOU HAVE TO HAVE EXPENDED 50% OF THE PRIOR GRANT . . . COUNCILMAN MORRELL YOU CAN' T APPLY FOR ANOTHER GRANT UNTIL HALF OF THE MONEY IS SPENT, IS THERE ANY WAY OF DOING IT BASED ON THE JOBS DONE? PAT TATICH- REVIEWED THE PROCEDURE FOR THE USAGE OF GRANT MONIES . . . j NOTED THAT THEY WERE REVIEWED PER PROJECT BY REPRESENTATIVES FROM HUD. . . COUNCILMAN OLSON- IF WE ARE APPROVED FOR THE SECOND GRANT CAN WE USE THE SECOND GRANT BEFORE THE FIRST GRANT IS USED UP? PAT TATICH-THE GRANTS CAN OVERLAP . . . COUNCILMAN OLSON- IS IT POSSIBLE TO PUT ON ANOTHER INSPECTOR TO SPEED UP THE WORK. . . ? PAT TATICH- THAT WOULD BE UP TO THE TOWN BOARD. . . DEPUTY SUPERVISOR HAMMOND ROBERTSON- ASKED FOR FURTHER INPUT-HEARING NONE THE HEARING WAS DECLARED CLOSED . . . SUPERVISOR WALTER- THANKED MR. ROBERTSON FOR HIS ASSISTANCE IN HER ABSENCE. . . NOTED THAT SHE HAD ATTENDED A DINNER;-THAT HER DAUGHTER RECEIVED AN AWARD. . . i I, 300 WELCOMED THE WEBLOW PACT 18 OF QUEENSBURY TO THE TOWN BOARD MEETING THEY ARE WORKING TOWARD THEIR CITIZEN BADGE . . .WELCOMED THE LEADERS MR. BALLARD, MR. AIKEN AND MR. LASHWAY. . . (NAMES ON FILE) ' PUBLIC HEARING- FEDERAL REVENUE SHARING- 7 : 58 P.M. NOTICE SHOWN SUPERVISOR WALTER- FRS FUNDS $158, 000 . . PROPOSED USE $5, 500 . 00 TO ASSESSOR $14, 000 TO THE POLICE DEPT. $5, 500 . 00 TO FIRE MARSHAL $95, 500 . 00 HIGHWAY REPAIR AND $40, 000 IN DRAINAGE EQUALS $160, 500 WE ANTICIPATE RECEIVING FROM THE FEDERAL GOVERNMENT $158, 000 THAT IS BASED ON THE INFORMATION WE HAVE RECEIVED FROM OUR CONGRESSMAN ' S OFFICE, CONGRESS HAS NOT ACTED ON THE FUNDING FOR FRS-IF THEY DO NOT ACTS OUR BUDGET WILL BE $158, 000 SHORT. MR. BODENWEISER- WILL THOSE FUNDS BE USED FOR THE PLACEMENT OF A ; BIKE PATH ON AVIATION ROAD? I SUPERVISOR WALTER-WE ARE HOPING TO GET THE BULK OF THE MONEY FOR THE BIKE LANE ON AVIATION ROAD FROM THE BOND TRANSPORTATION ACT MONIES . . . COUNCILMAN MORRELL- ASKED THAT THE SENIOR CITIZENS BE CONSIDERED FOR SOME FUNDING . . . SUPERVISOR WALTER- WE DO HAVE A CATEGORY WHERE THE SENIOR CITIZENS ARE BEING FUNDED. . . .WOULD LIKE TO USE FEDERAL REVENUE SHARING FOR ONE SHOT DEALS, IN PREVIOUS YEARS IT WAS USED FOR SALARIES FOR VARIOUS DEPARTMENTS BECAUSE WE ARE ALWAYS UNDER THE THREAT OF LOSING THOSE FUNDS I REALLY THINK THEY WOULD BE USED FOR CAPITAL PROJECTS OR FOR EXPENDITURES OF A ONE TIME NATURE . I WOULD NOT LIKE TO GET INTO THE HABIT OF USING THESE FUNDS TO CONTINUALY FUND SENIOR CITIZENS HOWEVER IF YOU HAVE A PARTICULAR PROJECT. . . i COUNCILMAN MORRELL- TO PLACE A SENIOR CITIZENS,YOUTH BUILDING ACROSS FROM THE QSBY. HIGH SCHOOL OR SOME PLACE ELSE . . . SUPERVISOR WALTER- THERE ARE SOME THINGS THAT FRS FUNDS CAN NOT BE USED FOR. I DO NOT KNOW WHETHER YOU CAN ESTABLISH A CAPITAL ACCOUNT WITH IT. . I WILL LOOK INTO THIS . . . COUNCILMAN OLSON- IN THE POLICE-ASSESSORS AND FIRE MARSHAL ACCOUNT WHAT IS THE FRS FUNDS GOING FOR? SUPERVISOR WALTER- VEHICLES . . . I B. J . MAGNES-FROM THE VOLUNTARY ACTION CENTER DIRECTOR- REQUESTED 2, 000 DOLLARS FROM THE FRS FUNDS . . . NOTED THE USE OF THE SERVICE BY QUEENSBURY RESIDENTS . . . . CITY OF GLENS FALLS USES FRS FUNDS TO SUPPORT THE ACTION CENTER IN THE AMOUNT OF $2, 000 DOLLARS COUNCILMAN EISENHART- NOTED THAT PART OF THE VOLUNTARY ACTION CENTER SUPPORT COMES FROM THE UNITED WAY, WHICH SOME OF THE FUNDS DO COME FROM RESIDENTS OF QUEENSBURY. . . SUPERVISOR WALTER- NOTED THATnCITY RECEIVES ALMOST TWICE AS MUCH FRS FUNDING THAN THE TOWN OF QUEENSBURY. . . NOTED THAT THE BOARD WILL NOT BE MAKING ANY DECISIONS THIS EVENING BUT WILL TAKE THE INFORMATION FROM THE PUBLIC HEARING AND REVIEW IT AT WORKSHOP SESSIONS . . . THE BUDGET SHOULD BE ADOPTED ON THE 18TH OF NOVEMBER . . . THE TOWN BOARD RECEIVED TWO LETTERS ONE FROM WARREN,WASHINGTON CO. BIG BROTHERS - BIG SISTERS PROGRAM REQUESTING ASSISTANCE FROM THE TOWN AND ONE FROM THE ADIRONDACK PREVENTION SERVICES REQUESTING FRS FUNDS . . . COUNCILMAN EISENHART- I SUPPORT YOUR IDEA THAT FRS FUNDS SHOULD i BE USED FOR ONE TIME PROJECTS . . . i SUPERVISOR WALTER- ASKED FOR FURTHER COMMENTS, HEARING NONE THE PUBLIC HEARING WAS CLOSED. . . 8 : 12 P .M. PUBLIC HEARING 1981 QUEENSBURY TOWN BUDGET NOTICE SHOWN 8 : 13 P.M. HEARING OPENED. . . SUPERVISOR WALTER- OUR TOTAL APPROPRIATIONS ARE $5, 676, 980 . 00 WITH THE TOTAL AMOUNT TO BE RAISED BY TAXES AT $1, 286, 766 . 00 . . . IN REGARD TO THE GENERAL TOWN FUND THE AMOUNT WILL BE ZERO, WE WILL USE SALES TAX, REVENUES FROM THE VARIOUS DEPT. , FUND BALANCE SO THAT OUR RESIDENTS HAVE A ZERO TAX BASE . WE WILL BE RETURNING MONEY FROM THE i 301 Kxm SALES TAX TO THE COUNTY TO REDUCE THE TOWN OF QUEENSBURY RESIDENTS SHARE OF THE COUNTY TAX. MR. BODENWEISER- ASKED THE SUPERVISOR TO EXPLAIN THE HISTORY OF THE DIVISION OF THE SALES TAX MONIES . . . SUPERVISOR WALTER- THE STATE OF NEW YORK COLLECTS A FOUR PERCENT SALES TAX, THERE ARE VARIOUS COUNTIES AND CITIES THAT CHARGE AN ADDITIONAL TAX, IN WARREN COUNTY IT 'IS THREE PERCENT. THE TOWN OF QUEENSBURY SEVERAL YEARS AGO CHOSE TO TAKE THEIR SALES TAX AS IT CAME FROM THE STATE ON THE THREE PERCENT AND TAKE IT INTO OUR OWN FUNDS. THAT PAYES FOR THE SERVICES SUCH AS POLICE, HIGHWAY AND GENERAL ADMINISTRATION OF THE TOWN. WE ARE CURRENTLY PROVIDING THOSE SERVICES FOR LESS THAN THE MONIES THAT THE TOWN RECEIVES IN SALES TAX THEREFORE WE TAKE THE REMAINDER OF SALES TAX AND TURN IT BACK TO THE COUNTY SO THAT THE COUNTY TAX OF THE RESIDENTS OF THE TOWN ARE SOMEWHAT REDUCED. COUNCILMAN EISENHART- OUT OF THE THREE PERCENT HOW MUCH COMES TO THE TOWN AND HOW MUCH TO THE COUNTY. . . SUPERVISOR WALTER- SPOKE ON THE SALES TAX RATES, CITY VS . TOWN . . . THE COUNTY SHARE OF THE 3% IS 112% MR. LASHWAY- ISN' T IT CORRECT TO SAY THAT THE TOWN OF QUEENSBURY SALES TAX SUPPORTS THE REST OF THE COUNTY. . . COUNCILMAN ROBERTSON- NO, SPOKE ON THE TAXES VARIOUS INDUSTRIES PAY THAT ARE NOT-IN THE TOWN OF QUEENSBURY . . . A LOT OF TAXES ARE PICKED UP BY TOURISM FROM LAKE GEORGE. . . BUT THERE IS NO QUESTION THAT A LARGE SHARE DOES COME FROM THE TOWN (F QUEENSBURY MRS . MONAHAN- WHAT KIND OF A FORMULA DO THEY USE TO DETERMINE WHAT PROPORTION QUEENSBURY WILL RECEIVE FROM SALES TAX MONIES? SUPERVISOR WALTER- SUGGESTED THAT, THAT QUESTION BE ASKED OF MR. WERTIME. . . NOTED THAT THERE IS A FLUCTUATING PERCENTAGE THAT IS USED. . . v MRS . MONAHAN- ON PAGE 17 OF THE BUDGET J2390 IN THE AMOUNT OF $69, 205 . 00 IS THAT WHAT YOU ARE RECEIVING FROM GLENS FALLS? SUPERVISOR WALTER-YES MRS . MONAHAN- QUESTIONED THE LOWER FIGURE FOR LANDFILL REVENUES . . . SUPERVISOR WALTER- EXPLAINED THE FIGURES THAT THE AUDITORS USED FOR THE YEAR 1979. . . IT WAS DONE ON AN ACCRUAL BASIS . . . THE TOWN BOARD HAS MET WITH VARIOUS DEPT. HEADS AND COMMITTEES, THE BOARD HAS NOT MADE ANY CHANGES AS OF YET IN THE BUDGES-THIS MAY BE DONE BEFORE THE BUDGET IS FINALIZED. . . MRS . MONAHAN - ISN' T THE JUMP IN PERSONAL SERVICES IN JUSTICES AND POLICE DEPT. DUE TO THE FACT THAT THEY WERE COMING FROM THE FRS FUNDING IN LAST YEARS BUDGET? SUPERVISOR WALTER- YES THE HIGHWAY DEPT. ------- IN THE 1981 BUDGET REFLECISA MANAGEMENT POSITION THAT WAS CREATED THIS YEAR . NOTED THAT THERE IS A DECREASE IN�THE ELECTION BUDGET. . .CUT DOWN ON REGISTRATION LOCATIONS, THIS YEARAHAD TWO PRIMARIES NEXT YEAR POSSIBLY ONE. . . MRS . MONAHAN- QUESTION WHERE THE $100, 000 IN RECREATION WENT? SUPERVISOR WALTER- THE $100, 000 WAS PLACED IN A SPECIAL ACCOUNT SO IT WILL STILL GO FOR SOME KIND OF YOUTH ACTIVITY. . . DRAINAGE-WE ARE LOOKING FOR SOME MONIES THROUGH THE SMALL CITIES GRANT. . . THE BOARD REALIZES THIS HAS TO BE CLOSE TO THE TOP OF THE PRIORITY LIST. . . FOR THE 1981 BUDGET REVIEWED THE REVENUES, ESTIMATED LOW, WE ARE LOOKING AT IT MORE REALISTICALLY, I WOULD LIKE TO SEE MORE REVENUES COME IN THEN WHAT I HAVE BUDGETED FOR, IF THEY DO WE WILL HAVE A LITTLE BIT OF GRAVY' IF THEY DO NOT1 WE WILL NOT BE IN ANY TROUBLE . PERCAPITA INCOME- THRE IS A $20, 000 . 00 REDUCTION THAT IS THE PER CAPITA AID WE RECEIVE FROM NEW YORK STATE, GOVERNOR CAREY HAS CHOSEN TO REDUCE THAT AMOUNT TO THE LOCAL COMMUNITIES, I WOULD HOPE THAT WOULD BE RESTORED, WE HAVE WRITTEN TO OUR LOCAL LEGISLATORS ABOUT i l THIS. . . MOST OF THE OTHER ACCOUNTS HAVE BEEN INCREASED DUE TO THE INCREASE IN FUEL, UTILITIES, AND INSURANCE. . . COUNCILMAN DANIEL MORRELL- I WANT TO EXPRESS MY OPPOSITION TO THE SALARY RAISES THAT ARE PROPOSED FOR THE SUPERVISOR AND THE FOUR COUNCILM 04', I DO NOT THINK THAT IT IS PROPER�'THOSE WHO VOTE ON THE BUDGET, CAN VOTE THEMSELVES A RAISE . THE OTHER. ELECTED OFFICIALS DO NOT VOTE THEMSELVES A RAISE, SUPERVISOR WALTER THANKED THE SCOUTS FOR COMING TO THE TOWN BOARD MEETING . . . COUNCILMAN EISENHART- I FEEL IN THIS COUNTRY WE ARE FACING EXCESS TAXING GOING ON AND MY FEELING IS, ONE OF THE PLACES WE CAN START WITH OUR OWN SALARIES, HOLD THOSE DOWN. COUNCILMAN OLSON- I THINK THAT YOU HAVE TO LOOK AT THE SIZE OF THE ..J SALARY AND THE AMOUNT OF TIME THAT IS REQUIRED TO DO THE JOB, AGAIN I MAKE A COMPARISON WITH THE CITY OF GLENS FALLS . . . THRE IS NO COMPARISON . . NOTED THAT HE HAD BEEN ASKED BEFORE IF HE WOULD VOTE HIMSELF A RAISE MY COSTS OF MATERIALS IS GOING UP LIKE ANYONE ELSES . . . SUPERVISOR WALTER- A COUNCILMAN IS A FOUR YEAR TERM, SO THAT YOU WOULD NOT WISH TO SEE AN INCREASE IN THE COUNCILMANS TERM, BUT THE COUNCILMAN TURN OVER IS EVERY TWO YEARS SO THAT MEAN3TWO WOULD HAVE DIFFERENT SALARIES THEN THE OTHER TWO. . . HIGHWAY SUPT. DANIEL GEALT- IN THE EVENT THAT THE COUNCILMAN AND SUPER- VISOR DO RECEIVE A RAISE NEXT YEAR I HOPE THAT THOSE WHO DISAPPROVE WILL CONTRIBUTE THE ADDITIONAL AMOUNT THAT THEY RECEIVE BACK TO THE TOWN. . . AS OUR CONGRESSMAN HAS DONE. . . COUNCILMAN MORRELL- IF YOU ARE AGAINST THE MANDATE OF TUESDAY YOU REFUSE TO ACCEPT THE GOVERNMENT OF THIS COUNTRY? HIGHWAY SUPT. DANIEL GEALT- I DO NOT SEE THAT, THAT IS RELEVANT. . . COUNCILMAN MORRELL- YOU GO BY THE WILL OF THE MAJORITY, IF THE MAJORITY WANTS ME TO TAKE MORE MONEY, I FEEL THAT I AM COMPELLED TO TAKE IT. . . . SUPERVISOR WATER- THE SCHEDULE OF SALARIES OF ELECTED TOWN OFFICIALS APPEARED IN THE LEGAL SECTION OF THE NEWSPAPER ALONG WITH THE NOTICE OF THE PUBLIC HEARING OF THE BUDGET. IT IS INTERESTING TO ME THAT THERE IS NOBODY HERE FROM THE PUBLIC THAT REALLY OBJECTS TO THE SMALL AMOUNT OF INCREASES FOR EACH OF THOSE POSITIONS THAT WERE LISTED. THE PURPOSE OF THESE NUMBERS APPEARING IN THE LEGAL ADS IS THAT WE AT NO TIME CAN RAISE THE SALARIES HIGHER THAN THAT WHICH WAS PUBLISHED HOWEVER WE CAN LOWER THEM, SALARIES ARE SET BY THE TOWN BOARD ON ORGANIZATIONAL DAY WHICH IS CLOSE TO THE FIRST OF JANUARY, AT THAT TIME I WILL ASK MR. MORRELL IF HE WISHES TO INTRODUCE A RESOLUTION TO SINGLE THOSE OUT AND WE WOULD HAVE A SEPERATE VOTE ON THAT. . . SUPERVISOR WALTER- ASKED FOR FURTHER COMMENTS ON THE BUDGET, HEARING NONE THE PUBLIC HEARING WAS CLOSED. RESOLUTION OF APPOINTMENT BESaLUTTON N0. 316. INTRODUCED BY MRS . FRANCES WALTER WHO MOVED FOR ITS ADOTPION, SECONDED BY MR. HAMMOND ROBERTSON : WHEREAS, THERE IS A VACANCY ON THE QUEENSBURY POLICE FORCE, AND { .WHEREAS, MR. CHARLES JUDKINS HAS RECOMMENDED THE PROVISIONAL APPOINTMENT OF MR. SHANE L. ROSS OF 2B QUEENSBURY ARMS APTS . GLENS FALLS, NEW YORK, TO FILL THIS VACANCY, NOW, THEREFORE BE IT RESOLVED, TO APPOINT MR. SHANE L. ROSS AS PROVISIONAL PATROLMAN, EFFECTIVE NOVEMBER 10, 1980 AT AN ANNUAL SALARY OF $9, 264 . 00 DULY ADOPTED BY THE FOLLOWING VOTE : AYES : MR. OLSON, DR. EISENHART, MR. MORRELL, MR. ROBERTSON, MRS . WALTER NOES : NONE ABSENT:NONE 3�'y►, � COUNCILMAN EISENHART- WHO IS HE REPLACING? it SUPERVISOR WALTER- MR. BENWARE COUNCILMAN MORRELL- I HAD THE PRIVILEGE OF RIDING IN THE QUEENSBURY PATROL CAR ON HALLOWEEN NIGHT WITH MR. L4VINE'', A NEW APPOINTMENT THAT MR. JUDKINS HAD RECOMMENDED, IF HIS RECOMMENDATIONS ARE ANYTHING LIKE MR. LAVINE ' S THEN I WOULD NEVER QUESTION MR. JUDKINS RECOMMENDATION. OPEN FORUM 8 : 54 P.M. MR. BILL BODENWEISER- ANNOUNCED THAT THERE IS A BABYSITTING COURSE BEING CONDUCTED AT THE TOWN OFFICE BUILDING ON THE NEXT THREE SATURDAYS, THE AREA GIRL SCOUTS ARE IN ATTENDANCE, THANKED i THE TOWN FOR THE USE OF THE BUILDING . . . SUPERVISOR WALTER- I HAVE HEARD VERY GOOD REPORTS ON THE COURSE BEING OFFERED. ON MOTION THE MEETING WAS ADJOURNED. RESPECTFULLY, DONALD A. CHASE TOWN CLERK TOWN OF QUEENSBURY I ( - 10. GENERAL FUND ESTIMATED REVENUE 1979 Actual, 1980 Budget Budget Officer TAX ITEMS Revenues Revenues Tentative 1981 Preliminary Adopted A1090 Interest & Penalties 5,538. 4,490. 5,100. A1120 Sales Tax Non-property tax distributed by Cnty 1,492,103. 1,475,000. 1,600,500. DEPARTMENTAL INCOME A1170 Cable TV 18,842. 16,000. 13,000. A1232 Tax Collection 1,085. 1,000. 1,000. A1255 Clerk Fees 4,352. 5,375. 9,130. A1520 Police Fees 2,7631 6,000. 3,000. A1570 Demolition Permits 110. 100. 100. A2001 Park & Recreation Fees 4,593. 5,465. 5,090. A2110 Zoning Fees 1,375. 2,000. 2,000. TOTAL 33,120. 5,940. —T33,320. USE OF MONEY &PROPERTY A2401 Interest & Earnings 58,806. 40,000. 55,000. LICENSE AND PERMITS A2540 Bingo Licenses 3,340. 2,000. 4,450. A2544 Dog Licenses 4,099. 15,000. 8,600. A2545 Other Licenses 857. 600. 800. A2555 Building Permits 21,965. 22,000. 20,000. A2590 Junk Yard Permits 5. 125. 200. s TOTAL 30, 266. 39,725. 34,050. PUBLIC EMPLOYMENT PROGRAMS A 76 Title IIA 30, 374. 29,247. 52,728 . A2766 Title VI _ 43,710. 39,975. 42,707. TOTAL —69,22 95,435. INCOME �Fines & Forf. Bail 56,119. 48,000. 50,000. A26 A2655 Minor Sales 162. 100. 100. A2660 Sale of Real Prop. 7,500. -0- -0- A2665 Sale of Equipment 1,058. -0- 3,000. TOTAL 64, 839. 48,100. 53,100. 0 • o� GENERAL FUND ESTIMATED REVENUES 1979 Actual 1980 Budget Budget Officer Revenues Revenues Tentative 1981 Preliminary Adopted __ INCOME A2701 Refund Pr.Yr.Sewer 37,199. 27,073. -0- A2710 Refund Ins. Prem. 1,425. -0- 500. A3001 Per Capita 221,283. 200,000. 181,410. - A3005 Mortgage Tax 109,820. 90,000. 90,000. A3090 Fnvir. Cons. 1,122. -0- -0- s A3803 Pro. for Aging 4,968. 6,504. 6,500. A3820 Youth Programs 16,955. 13,779. 15,000. A4089 Other Aid 1. -0- -0- A4320 Crime Control (Federal Grant) 38,518. 37,000. -0- TOTAL REVENUES 431,291 -3740,356. 293,410. 2,190,047. 2,086,333. 2,169,915. } 12• GENERAL FUND ENTERPRISE - CEMETERY 1979 Actual 198,0 Budget Budget Officer Expenditures Appropriations Tentative 1981 Preliminary Adopted C• 8810 APPROPRIATIONS M 0 Personal Services 45, 351. 50,305. 51,500. .200 Equipment 2,809. 1,500. 3,000. .410 'Telephone 289. 350. 300. .420 Insurance 2,052. 2, 148. 2,582. .430 Utilities 202. 291. 320. .440 Contractual 4,562. 4,00(1. 5,600. . 450 Fuel Oil 785. 1,314. 1,650. TOTAL 56,050. 59,908. 64,952. C 900 EMPLOYEE BFNFFITS 9010. 8 State Retirement 4,803. 6,096. 5,834. 9030.8 Social Security 3,083. 3,n00. 3,477. 9040. 8 Worker's Comp. 3,452. 3,727. 3,582. 9050. 3 Unemploy. Insurance 1,717. 1,320. 1,0()0. 9055. 8 DBL 198. 312. 316. 9060.8 Hospitalization 4,43 . 5,045. 5,038. TOTAL 1-7,683. 19,5011. 19,247. TOTAL CEMETERY APPROPRIATIONS 73,683. 79,408. 84,199. y C2190 Sale of Cemetery Lots 10,916. 9,00 . 11,000. C2192 Cemetery Service 14,572. 13,000 . 13,00(1. C2401 Interest 7,370. 8,500. 2,600. C2701 Ref. Prior Yr. Exp. 3. -0- -0- C2810 Gen. Fund Transfer 43,935. 48,908. 57,599. TOTAL ESTIMATED REVENUES 76,796. 79,408. 84,199. W • V t ..___ 13 HIGHWAY FUND APPROPRIATIONS 1979 Actual 1980 Budget Budget Officer REPAIRS & IMPROVEMENTS Expenditures Appropriations Tentative 1981 Preliminary Adopted Item IT- DR 5110.1 Personal Services 107,000 108,952. 116,701. DR 5110.440 Contractual 44,918. 35,000. 1,000. DR 5110.461 Patching Mix 10,300. 13,000. 15,000. DR 5110. 462 Paving Materials 283, 604. 130,000. 150,000. TOTAL 445,822. 286,952. 282,701. ; EMPLOYEE BENEFITS DR 9010. 9 State Retirement 13,085. 18,062. 14,471. DR 9030. 8 Social Security 6,200. 6,679. 7,762. DR 9040. 8 Workers Compensation 5,448. 4,126. 9,697. DR 9050. 8 Unemployment Insur. -0- 1,500. 1,500. DR 9055. 8 DBL 740. 750. 960. DR 9060.8 Hospitalization 10,505. 14,782. 10,840. TOTAL 35,978. 45,899. 45,230. TOTAL APPROPRIATIONS (ITEM 1) 481,800. 332, 851. 327,931. HIGHWAY FUNDS - ESTIMATED REVENUES REPAIRS & IMPROVEMENTS (ITEM 1) 1979 Actual 1980 Budget Budget Officer Revenues Revenues Tentative 1981 ` Preliminary Adopted Local Sources DR 2300 Public Work Ser. -0- -0- -0- DR 2401 Int. & Earnings 262. -0- 500. DR 2810 Transfer from Ceneral 466,716. 322,851. 317,431. { DR 3507 State Aid - Mil. and Valua. Aid 10,251. 10,000. 10,000. TOTAL ESTIMATED RFVFNUE 477,229. 332,851. 327,931. 14. HIGHWAY FUND APPROPRIATIONS 1979 Actual 1980 Budget Budget Officer MACHINERY ITEM III Expenditures Appropriations Tentiave 1981 Preliminary Adopted DM 5130. 1 Personal Services 32,343. 30,510. 38,795. DM 5130.2 Equipment 161,112. 98,000. 96,000. DM 5130.420 Insurance 15,085. 15,000. 20,400. DM 5130. 440 General Contractual 38,728. 35,000. 38,000. DM 5130.441 Gas -0- -0- 81,815. TOTAL 247,268. 178,510. 275,010. EMPLOYEE BENEFITS DM 9010. 8 State Retirement 3,627. 4,295. 4,627. , DM 9030. 8 Social Security 2,827. 1,891. 2,580. DM 9040. 8 Workers Compensation 1,522. 1,898. 2,064. DM 9050.8 Unemployment. Insurance -0- 500. 500. DM 9055.8 DBL 95. 198. 202. DM 9060. 8 Hospitalization 2,291. 2,638. 3,930. TOTAL 10,362. 11,420. 13,903. DEBT SERVICE PRINCIPAL ITEM III DM 9720.6 „ Statutory Bond 11,367. -0- -0 DM 9730. 6 BAN 14,140. -0- 28,00-0. TOTAIA 25,507. -0- 28,000. INTEREST DM 9720.7 Statutory Bond 258. -0- -0- DM 9730. 7 BAN 597. -0- 9,100. TOTAL 855. -0- 9,100. TOTAL APPROPRIATIONS (ITEM III) 283,992 189,930. 326,013. W 1 - 4 a. HIGHWAY FUND - ESTIMMATED REVENUES MACHINERY (ITEM III) 1979 Actual 1980 Budget Budget Officer Local -Sources C Revenues Revenues Tentative 1981 Preliminary Adopted DM 2300 Public Work Ser. 22, 376. 10,000. 45,000. DM 2401 Int. & Earnings 344. -0- 2,000. DM 2665 Sale of Equipment -0- -0- 1,000. s DM 2701 Ref. Pr. Yr. Exp. 903. -0- -0- DM 2810 Transfer from Gen. 287,625. 179,930. 278,013. TOTAL ESTIMATED REVENUES 311,248. 189,930. 326,013. 15. HIGHWAY FUND APPROPRIATIONS 1979 Actual 1980 Budget Budget Officer MISCELLANEOUS (Brush & Expenditures Appropriations Tentative 1981 Preliminary Adopted Weeds) DS 5140.440 Contractual 4,000. 4,000. 4,000. TOTAL - 4,000. 4,000. 4,000. SNOW REMOVAL ITEM IV DS 5142. 1 Personal Services 95,433. 99,000. 116,701. DS 5142.440 Contractual 17,033. 18,000. 2,000. DS 5142.461 Patching Mix 1,264. 2,000. 2,300. DS 5142.464 Salt 12,728. 15, 000. 18,000. TOTAL 126,458. 134,000. 138,001. EMPLOYEE BENEFITS DS 9010. 8 Retirement 13,084. 14,991. 14,471. DS 9030. 8 Social Security 6,114. 6,058. 7,762. DS 9040. 8 Workers Compensation 4,994. 3,425. 9, 697. DS 9050.8. Unemployment -0- 1,500. 1,500. DS 9055. 8 DBL -0- 375. 960. DS 9060.8 Hospitalization 10,390. 14,782. 10,840. TOTAL 34,582. 41,131. 45,230. TOTAL APPROPRIATIONS ITEM IV 165,040. 175,131. 188,231. S , HIGHWAY FUND - ESTIMATED REVENUES SNOW & MISCELLANIF:OUS (ITEM IV) 1979 Actual 1980 Budget Budget Officer Revenues Revenues Tentative 1981 Preliminary Adopted Local Sources DS 2300 Public Work Ser. 20,110. 20,000. 20,110. DS 2401 Int. & Earnings -0- -0- -0- DS 2701 Ref. Prior Year Exp. 965. -0- -0- DS 2810 Transfer from General 133,994. 159,131. 168,121. TOTAL ESTIMATED REVENUES 155,069. 179,131. 188,231. i ESTIMATED REVENUES - HIGHFIAY IMPROVEMENT PROGRAM ACCOUPITS 1979 Actual 1980 Budget Budget Officer RFVFNUES REVENUES Tentative 1981 Preliminary Adopted - DR 2401 Int. & Earnings 968. 600. 600. DE 2810 Trans. from General 21,000. 21,(100. 21,000. DE 3521 State Aid 12,744. 14,400. 14,400. TOTAL 34,712. 36,000. 36,000. 1979 Actual 1980 Budget Budget Officer EXPFNDITURES APPROPRIATIONS Tentative 1981 R DONOVAN PLAN DE 5150. 1 Personal Services 7,354. 9,000. 91000. DE 5150. 4 Contractual 11, 358. 27,000. 27,000. TOTAL 18,712. 36,000. 36,000. FEDERAL RFVENUE SHARING APPROPRIATIONS CF 1110. 1 Justice -0- 19,178. -0- CF 1355. 2 Assessor -0- -0- 5,500. CF 3120.1 Police 25,360. 40,222. -0- CF 3120. 2 Police -0- -0- 14,000. CF 3410. 2 Fire Marshall -0- -0- 5,500. CF 5110.4 Highway Repair 96,500. 96,500. 95,500. CF 8450. Drainage -0- -0- 40,000. TOTAL 121,860. 158,000. 160,500. ESTIMATED RFVFNUFS & UNEXPFNDED BALANCE - REVENUE SHARING CF 2401 Int. & Earnings 1,928. -0- 2,500. CF 4001 Fed. Rev. Sharing 133,876. 158,000. 158,000. ESTIMATED UNEXPENDED BALANCE 135,804. 158,000. 160,500. JOINT BUS OPERATION APPROPRIATIONS J2 5630. 3 Capital Outlay -0- 5,54 7,957. ESTIMATED REVENUES J2 2810 Trans. from General -0- 15,543. 7,957. JOINT ACTIVITY - QUEENSBURY/GLENS FALLS 17. LANDFILL 1979 Actual 1980 Budget Budget Officer ESTIMATED REVENUE Revenue Revenue Tentative 1981 Preliminary Adopted J2130 Refuse Fee 148,210. 158,304. 145,000. J2390 Share of Jnt. Act. - Oth. Govt. Glens Falls 27,070. 9,747. 69,205. J2401 Interest •190. -0- -0- J2650 Sale of Scrap 2,815. 600. 2,500. J2701 Ref. Pri. Yr. Exp. 6,063. -0- -0- J2762 CETA Title II J 16,051. 10,554. -0- J2810 Trans. from Gen. 25.000, 6,198. 46,136. TOTAL REVENUE 225,399. 185,403. 262.841 1979 Actual 1980 Budget Budget Officer ESTIMATED EXPENDITURES Expenses Appropriations Tentative 1981 Preliminary Adopted CETA Title II J J6220.100 Personal Ser. 13,434. 6,988. -0- . 800 Employee Ben-. 2,408. 3,566. -0- LANDFILL J8160. 00 Personal Ser. 63,735. 73,634. 85,370. . 200 Equipment 5,689. 6,000. 45,000. .410 Telephone 960. 1,200. 1,200. .420 Insurance 566. 2,000. 2,500. . 430 Utilities 2,000. 2,000. . 440 Contractual 89,811. 56,698. 88,819. .450 Fuel Oil 7,379. 8,000. 10,000. TOTAL 183,982. 149,532. 234,889. EMPLOYEE BENEFITS 9010. 8 Retirement 6,389. 8,285. 9030. 8 Social Security 4,703. 5,678. 9040. 8 Workers Comp. 6,908. 5,844. 9050.8 Unemploy.. Ins. 15,050. -0- 1,000. 9055. 8 DBL 436. 490. 9060. 8 Hospitalization 6,881. 6,655. 15,050. 25,317. 27,952. TOTAL 199,032. 185,403. 262.841. ' W v ►� SL 1 FORT AMHERST GARRISON ROAD LIGHTING, DISTRICT CONTRACTUAL EXPENSE 1979 Actual 1980 BUDGET Budget Officer EXPFNSF:S APPROPRIATIOITS MNTATIVE 1981 PRELIMINARY ADOPTED 5182.4 30 3,447. 4,250. 4,250. TOTAL 3,447. 4,250. 4,250. SL 2 CLEVEPMALE LIGHTING DISTRICT CON'T'RACTUAL EXPENSE 1,254. 1,380. 1,596. TOTAL 1,254. 1,380. 1,596. S SL 3 PINEWOOD LIGHTING DISTRICT CONTRACTUAL EXPENSE 5182.430 153. 184. 195. TOTAL 153. 184. 195. SL 4 SOUTH OUEENSBURY LIGHTING DISTRICT CONTRACTUAL EXPENSE 5182.430 10,239. 11,500. 13,082. TOTAL 10,239. 11,500. 13,082. SL 5 WEST QUEFNSBURY LIrHTINr, DISTRICT CONTRACTUAL EXPFNSE 5182.430 10,731. 12,075. 13,560. TOTAL 10,731. 12,075. 13,560. SL 6 QUEFMSBURY LIGHTING DISTRICT CONTRACTUAL FXPFNSF 5182.43n 40,400. 43,769. 51,090. TOTAL 40,400. 431769. 51,090. 19 SF 1 nUFFNSBURY FIRE PROTECTION DISTRICT 1979 Actual 1980 Budget Budget Officer ACCOUNTS EXPENDITURFS APPROPRIATIONS - TENTATIVE' 1980 PRELIMINARY ADOPTED Pavment of Fire Contracts SF 3TI-O-.-4,f-U 176,677. 181,159. 216,000. Payment on Ambulance Cont. SF 3410.4 18,500. 20,000. 30,000. Insurance SF 3410.420 22,373: 20,680. 24,965. TOTAL 217,550. 221,839. 270,965. SP -1 OUEFNSBURY- FIRP PROmFCT2ON DISTRICT FSTIMAI TED REMTUFS Interest SP2401 4, 503. 3,500. 5,500. TOTAL 4,503. 3,500. 5,500. z ' SS 1 PERSHING - ASHLEY - COOLIDGE SEWER DISTRICT ACCOUNTS . 1979 Actual 1980 Budget Budget Officer EXPENDITURES APPROPRIATIONS TENTATIVE 1981 PRELIMINARY ADOPTED Sewa a Treatment & Disposal SS1 8130.440 Contractual 2,015. 1,950. 2,145. TOTAL 2,015. 10,950. 2,145. RESERVOIR PARK SETTER DISTRICT Sewage Treatment SS3 8540. 440 Contractual 1,013. 1,550. 1,705. TOTAL 1,013. 1,550. 1,705. SD 1 QUEENSBURY DRAINAGE Drainage SD 8540. 440 Contractual -0- 500. 500. TOTAL -0- 500. 500. Pershing/Ashley/Coolidge Sewer - This budget determines that '31 property owners as shown on the benefit assessment roll of the district, are equally benefited and that T 2,145. to be raised by taxes - shall be levied as a benefit assessment in equal amount of $ 69.20 each upon the 31 owners or real property within this district thereby benefited. Reservoir Park - This budget determines that the 25 property owners, as shown on the benefit assess- ment roll of the district are equally benefited an that the $ 1,705. to be raised by taxes shall be levied as a benefit assessment in equal amounts of $ 68. 20 each upon the 25 owners of real property • ' within the Reservoir District in exactly the same manner as was used in preparation of the 19 80. assessment roll of said district. Queensbury Drainage - This budget determines that the $ 500. to be raised by taxes shall be levied as a benefit assessment upon the real property within the district on a "front foot" basis and in the same manner as was used in the preparation of the 19 80assessment roll of said district. SW 1 OUEENSBURY P?ATER DISTRICT 1979 Actual 1980 Budaet Budaet Officer ADMINISTRATION EXPFNDITURES - APPROPRIATIONS Tentative 1981 PRELIMINARY - ADOPTED SW1-8310.100 Personal Services 30,304. 35,074. 37,746. .200 Equipment 25. 200. -0- .410 Telephone 3,472. 4,500. 4,500. .420 Insurance 16,118. 19,200. 20,736. .440 Contractual Gen. 5,774. 7,100. 13,200. TOTAL 55,693. 66,074 76,182. SOURCE OF POWER & SUPPLY SW1 8320.100 Personal Services 59,993. 71,508. 76,476. . 200 Equipment 156. 800. 2,100. .430 Utilities 64,881. 66,700. 72,000. . 440 Contractual Gen. 14,378. 12,700. 13,000. .450 Fuel Oil 8,633. 23,000. 24,000. i TOTAL 148,041. 174,708. 187,576. PURIFICATION SW1 8330.100 Personal Services 13,378. 14,250. 15,890. .200 Equipment 2,529. 250. 125. .440 Contractual Gen. 15,514. 24,550. 31,550. TOTAL ' 31,421. 39,050. 47,565. TRANSMISSION & DISTRIBUTION SW1 8340.100 Personal Services 77,020. 102,522. 110,522. .200 Equipment 10,994. 15,200. 9,900. .400 Contractual,Capital 161,324. 193,969. 132,176. .44.0 Contractual, Gen. 86, 378. 60,000. 69,600. TOTAL 335,716. 371,691. 322,198. M SW 1 QUEFNSBURY WA .R DISTRICT ` 1979 Actual 1980 Budget Budget Officer - Expenditures Appropriations Tentative 1981 Preliminary Adopted EMPLOYEE BENEFITS 9010. 8 Retirement 19,931. 26,788. 29,700. 9030.8 Social Security 13,015. 12,721. 15,396. 9040. 8 Workers Comp. 6,541. 7,500. 9,851. 9050. 8 Unemploy. Ins. 2,879. 4,000. 4,000. 9055. 8 DBL 610. 1,351. 1,382. 9060.8 Hospitalization 15,685. 21,498. 24,419. - TOTAL 58,661. 74 ,858. 84,748 TOTAL OPERAT. APPROP. 629.,532. 726,381. 718,269. Debt Service-Principal 9710. 6 Serial Bond 220,000. 220,000. 220,000. 9720. 6 Statutory Bond 3,760. -0- -0- 9730.6 BAN 18,924. 18,924. 13,060. TOTAL 242,684. 238,924. 233,060. Debt Service-Interest 9710.7 Serial Bonds 448,650. 432, 350. 416,050. 9720. 7 Statutory 165. -0- -0- 9730:7 BAN 2,467. 1,602. 1,045. TOTAL 451,282. 433,952. 417,095. II - 9710.4 Fiscal Agent Fee 205. 250. 250. 205. 250. 250. TOTAL TOTAL 1? 323r703. 1,39-2x509. 1068,674. _ 4 23 ' SW 1 OUEENSBURY WATER DISTRICT 1979 Actual 1980 Budget Budget Officer Revenues Revenues Tentative 1981 Preliminary Adopted SW 2140 Metered Sales 280,497. 275,000. 275,000. SW 2142 Unmetered Sales 310217. 25, 000. 25,000. SW 2144 Water Connection 17,537. 8,000. 8,000. SW 2148 Int. & Penalties on Water Rents 4,465. 2,500. 2,500. SW 2378 Water Service - Other Gov't. 7,909. 60,000. 50,000. SW 2401 Int. & Earninas 1,262. 24,000. 30,000. , SW 2416 Rental -0- 500. 500. SW 2650 Sale of Scrap 7,295. 400. 400. SW 2660 Sale of Real Prop. 22,800. -0- -0 SW 2665 Sale of Equipment 50. -0- -0- SW 2680 Ins. Recoveries 562. 500. 500. SW 2701 Ref. Prior Yr. Exp. 1,666. 1,000. 1,000. SW 2710 Supervision 6,643. 3,650. 3,650. SW12801 Interfund Reimb. 8,203. 4,000. 9,000. TOTAL WATER DISTRICT ESTIMATED WATER REVENUES 390,106. 404,550. 405,550. t 6' SW 3 WEST GLENS FALLS WATER DISTRICT 1979 Actual 1980- Budget Budaet Officer Expenses Appropriations Tentative 1981 Preliminary- Adopted Administration 310. 440 Contractual 3,000. 3,000. 3,292. Source of Supply Power & Pumping 8320.440 Contractual 4,377. 7,000. 7,000. t Transmission & Distrib. 8340.440 Contractual 170. 15,750. 18,000-. TOTAL DISTRICT APPROPRIATIONS 7,547. 25,750. 28,292• SW 3 WEST GLENS FALLS WA'T'ER DISTRICT REVENUES. Metered Sales _0 338. 200. 200. Unmetered Sales 11,078. 10,000. 10,000. Interest & Penal.' 214-16— 229. 200. 200. Interest T44-01- 378. 500. 1,000. TOTAL 12,023. 10,900. 11,400. 5. SW 4 SHORE COLONY WATER DISTRICT APPROPRIATIONS 1979 Actual 1980 Budget Budget Officer Preliminary Adopted Expenses Appropriations Tentative 1981 Administration 8310. 440 Contractual 1,000. 1,000. 1,792. Power��& supply 8383 0.440 Contractual 56. 100. 100. Purification 8330.440 Contractual -0- 25. 25. Transmission & Dist. 8340.440 Contractual -0- 31567. 3,593. TOTAL 1,056. 4,692. 5,510. a SW 4 SHORE COLONY WATER DISTRICT ESTIMATED REVENUES Unmetered Sales SW 4 2142 1,725. 1,725. 1,725. y Interest & Penalt. SW 4 2148 7. 10. 10. Interest SW 4 2140 380. 450. 450. TOTAL 2,112. 2,185. 2,185. i SW 5 WEST GLENS FALLS - EXT. #1 EXPENDITURES Debt Service SW5 9710. 600 525. 525. 525. 9710. 700 189. 173. 158. TOTAL 714. 698. 683. SW 6 SHFRMAN AVENUE SW6 9730.6 -0- -0- 47,800. 9730.7 -0- -0- 3,346. TOTAL 51,146. W f . 4 SCHEDULE OF SALARIES OF ELECTED A*1D "_'OWN OFFICIALS kw (Article 8 of Town Law) SUPERVISOR 13,000. COUNCILMAN 4,320. COUNCILMAN 4, 320. COUNCILMAN 4, 320. a COUNCILMAN 4,320. TOWN CLERK 14,475. j HIGHWAY SUPERINTENDENT 18,100. TOWN JUSTICE 8, 640. TOWN JUSTICE 8,640. DEPUTY SUPERVISOR 350. � . 9. GENERAL FUND APPROPRIATIONS 1979 Actual 1980 Budget Budget Officer Fxpenditures Appropriations Tentative 1981 Preliminary Adopted INTERFUND TRANSFERS A9514.9 Pine View 4.3,935. 48,908. 57,599. A9541. 9 Highway Dept. Repairs & Improve- ments 466, 716. 322, 851. 362,431. A9542. 9 Highway Machinery 287, 625. 179,930. 278,013. A9543. 9 Hwy. Snow Removal 135,126 . 159,131. 164,121. A2544. 9 Hwy. Improvements 21,000. 21,000. 21,000. A9626. 9 Landfill 25,000. 6,198. 46,136. A9627.9 Bus Operation -0- -0- 7 ,957. TOTAL 979 , 402 . 689, 110. 937, 257 . DEBT SERVICE PRINCIPAL A9720.6 Statutory Bonds ..4 ,205. 4,205. 4,2.0.5. A9730. 6 Bond Ant. Notes 12,450. 3,000. -0- TOTAL 16, 655. 7,205. 4,205. DEBT SERVICE (INTEREST) A9720. 7 Statutory Bonds 599. 400. 219. A9730. 7 Bond Antic. Notes 610. 150. -0- TOTAL 1, 209 . 550. 219 . TOTAL GENERAL FUND APPROPRIATIONS 2, 127, 874 . 2,489 , 333. 2, 469 ,915. 4 � 8. GFNERAL FUND APPROPRIATIONS 1979 Actual 1980 Budget Budqet Officer Expenditures Appropriations Tentative 1981 Preliminary Adopted A900 EMPLOYEE BENFFITS . 9010. 8 State Retirement 25, 114 . 33, 879. 30,841. . 9030. 8 Social Security 18,954. 19, 475. 22,906. . 9040. 8 Workers Comp. 8, 134 . 7 , 486. 6,727. . 9050. 8 Unemploy. Ins. -0- 2, 500. -0- . 9055. 8 Disability 970. 1,912. 3,036. . 9060. 8 Hospitalization 22,994 . 28 , 818. 28,921. TOTAL 76,166. 94,070. 92,431. Uj s { �► 7. GENERAL FUNL n�L-e.KOPRIATIONS 1979 Actual 1980 Budget Budget Officer Expenditures Appropriations Tentative 1981 Preliminary Adopted A7550 CELEBRATIONS . 440 Contractual 21748. 2,400, 21400. TOTAL 2,743 . 2,400. 2,400 A7620 SENIOR CITIZENS . 441 Cont.-Glens Falls 2,700, 5,000 5rQ00. - .442 Cont.-Queensbury •-0 2,500 . 2,500. TOTAL 2, 700. 7,500, 7,500. A8010 ZONING 00 Personal Services 311337. 35, 322. 36, 137, . 200 Equipment 5,275. 2,122. 145. . 300 Capita17- -0- -0- 1 X 200 . . 420 Insurance'.-_ 656. 600. 615. . 440 Contractual 3,088. 2,930.. 31550. TOTAL 39 . 41,b4f.f.- A8020 PLANNING . 100 Personal Services -0- 1,140. 1,020. . 200 Eauipment -0- -0- -0- . 440 Contractual 3,952. 1,200. 2, 600. TOTAL 3,952. 2,340. 3,620. A8510 COMMUNITY BEAUTIFICATION . 440 Contractual 51. 100. 100. TOTAL 51. 100. 100 . A8540 DRAINAGE . 440 Contractual 13,001. 20, 000. -0- TOTAL 13,001. 20, 000. -0- A8730 CONSERVATION COUNCIL . 440 Contractual 98. 450. 300. TOTAL 98. 450. 300. T 6. GENERAL FUND APPROPRIATIONS 1979 Actual 1980 Budget Budget Officer Expenditures Appropriations Tentative 1981 Preliminary Adopted A6420 PROMOTION/NFW INDUSTRY . 440 Contractual 500. 2, 500. 2 , 500. TOTAL 500 . 2,500 . 2 ,500. A6510 VETERANS SERVICES . 440 Contractual 600. 600. 600. TOTAL 600. 600. 600 . A6722 PROGRAMS FOR AGING . 440 Contractual 7, 235. 8,008 , 8 ,840 . TOTAL 7,235. 8, 008. 8,840. A7310 YOUTH PROGRAMS . 100 Personal Services 51, 902. 62, 157 . 70,663. . 200 Equipment 7,482. 6, 330. 2, 330. . 300 Capital Exp. -0- 108,000. 8,000. . 410 Telephone 415 . 449 . 420 Insurance 391. 950. . 430 Utilities 1,606. 2, 160. . 440 Contractual 7, 553. 9, 505. 14,747. TOTAL ' 66 ,937. 188 , 404. 99,299. A7320 JOINT YOUTH . 440 Contractual -0- 1,500. -0- TOTAL -0- 1, 500. -0- A7410 LIBRARY . 440 Contractual 31, 350. 40 ,000. 44, 800. TOTAL 31, 350. 40,000. 44,800. A7520 . 0 HISTORICAL PROPERTY . 440 •(Assoc. ) Contractual -0- 1,000 . 11000. TOTAL -0- 1 .000. 1.000 . ., S GENFRAL FUND APPROPRIATIONS 1979 Actual 1980 Rudoet Budget Officer A5010 SUPERINTENDENT OF Expenditures Appropriations Tentative 1981 Preliminary Adopted HIGH @IAYS . 100 Personal Services 29,963. 31,800 . 46,500. . 200 Equipment -0- -0- -0- .440 Contractual -0- -0- 750. TOTAL 29, 963. 31,800. 47,250. A5132 HIGHWAY GARAGE . 410 Telephone 11109 . 1,400 . 1,400 . . 430 Utilities 12,748. 13, 102. 13,737. . 440 Contractual -0- -0- 225. .450 Fuel Oil 4 , 573. 7 , 344 . 7 , 300 . TOTAL 18,430. 21, 846. 22, 662. A5182 STREET LIGHTING . 430 Contractual 24,254. 23, 584 . 26,676 . TOTAL 24, 254. 23,584 . 26,676 . A6220 TITLE II CETA . 100 Personal Services 25, 434 . 23, 372. 142, 182. . 800 Employee Benefits 4, 605. 5,875. 10,546 . TOTAL 30, 039 . 29 , 247. 52,728 . A6260 TITLE VI CETA . 100 Personal Services 36, 620. 32, 032 . 34,165. . 800 Employee Benefits 15, 025. 7 ,943 . 8, 542. TOTAL 51,645. 39 , 975 . 42, 707. A6410 PUBLICITY . 440 Contractual 3,000. 5, 000 . 5,000 . TOTAL 3,000 . 5, 000 . 5,000 . 4 . GFNFPAL FUND APPROPRIATIONS - 1979 Actual 1980 Budget Budget Officer Expenditures Appropriations Tentative 1981 Preliminary Adopted A3150 JAIL . 400 Contractual 39 . 450. 450. A3310 TRAFFIC CONTROL . 430 Utilities 421. 800. 450. . 4.40 Contractual 2,912 . 5, 000. 5,600 . TOTAL 3, 333. 5, 800. 6,050. A3410 FIRE MARSHALL . 100 Personal Services 80,226. 8, 800. 9 , 500. . 200 Equipment -0- 350. -0- . 440 Contractual 1,911. 2 , 176. 2, 500 . TOTAL 10,137. 11, 326. 12, 000. A3510 DOG CONTROL . 100 Personal Services 9, 495. 10, 500. 9, 000. . 200 Equipment -0- -0- -0- . 420 Insurance 150. 250. 250 . . 440 Contractual 4, 758. 5,725. 5,400. TOTAL 14, 403. 16,475. 14 ,650. A4010 BOARD OF HEALTH . 100YPersonal Services 3, 150. 3,400. 3, 400. . 200 Equipment -0- -0- -0- . 440 Contractual 800. 600. 600 . TOTAL 3,950. 4,000. 41000. A4020 REGISTRAR OF VITAL STATISTICS . 100 Personal Services 77. 100. 120. . 440 Contractual -0- -0- -0- TOTAL 77. 100. 120. W U R j R 1 GENERAL FUND APPROPRIATIONS 1979 Actual 1980 Budget Budget Officer SPECIAL ITEMS Expenditures Appropriations Tentative 1981 Preliminary Adopted A1910 UNALLOCATED INSURANCR .440 Contractual 23,261. 18,521. 28,300. A1920 MUNICIPAL ASSOC. DUES . 440 Contractual 400. 400. 400. A1972 TO COUNTY TREASURER TO REDUCE TAXES ` .440 Contractual 132,068. 520,533. 257,023.. A1990 CONTINGENT ACCOUNT . 440 Contractual 29,949. 25,000. 25,000. A3120 POLICE .100 Personal Services 174,026. 181,696. 247,932. .200 Equipment 16,388. 16,500. 6,260. .410 Telephone 1, 357. 1,374. 1,550. .420 Insurance 4,115. 4,526. 6,449. .430 Utilities 1,412. 1,587. 1,560. .440 Contractual 39,062. 36,850. 54,150. A SO Fuel Oil 1,875. 2,790. 3,100. .810 Retirement 18,439. 26,577. 28,000. .830 Social Security 14,770. 13,613. 16,488. .840 Compensation 6,571. 10,642. 10,371. .860 Hospitalization 14,048. 17,450. 19,957. TOTAL 292,563. 313,605. 395,817. j 2. GENERAL FUND APPROPRIATIONS 1979 Actual 1980 Budget Budget Officer Expenditures Appropriations Tentative 1981 Preliminary Adopted A1355 ASSESSOR . 100 Personal Services 10,360. 14,809. 12,420. .200 Equipment -0- 3,600. -0- • .410 (Instirante s -0- -0- 300. . 440 Contractual 896. 3,150. _ 9,500. TOTAL �5 21,559. 22,220. A1410 TOWN CLERK } . 100 Personal Services 21,063. 22,900. 24,610. .200 Equipment 1,159. 100. -0- g .440 Contractual 2,400. 3,675. 3,900. TOTAL 24,622. 26,675. 28,510. A1420 TOWN ATTORNEY .440 Contractual 19,973. 19,500. 19,500. TOTAL 19,973. 19,500. 19,500. i 1 TOTAL A1450 ELECTIONS . 00 Personal Services 11,812. 14,752. 7,205. .200 Equipment 4,400. -0- -0- C .440yContractual 644. 1,000. 1,250. _ TOTAL 16,856. , . A1620 BUILDINGS . 100 Personal Services 6,540. 16,870. 18,133. .200 Equipment 8,702. 5,125. 2,500. .410 Telephone 5,439. 5,832. 6,100. . 420 Insurance 500. 550. 700. . 430 Utilities 3,983. 3,864. 4,500. . 441 General, Contr. 12,996. 23,100. 12,875. .442 Bdg.Grn. Contr. 6,483. .443 Hgy.Bldg. Contr. 7,200. .444 Police B1dg.Contr. 1,000. .450 Fuel Oil 2,709. 6,432. 5,000. � 0 TOTAL 40,869. 61,773. '64,491. _ R � GENERAL F 7D AP1 x(OPRIATIONS 1979 Actual 1980 Budget Budget Of€ider Expenditures Appropriations Tentative 1981 Preliminary Adopted A1010 TOWN BOARD . 100 Personal ervices 14,401. 16,000. 17,280. . 200 Equipment -0- -0- -0- .440 Contractual 226. 1,000. 1,000. TOTAL 14,627. 170000. 18,280. A1110 TOWN JUSTICES .100 Personal Services 25,581. 18,210. 38,028. .200 Equipment -0- 200. -0- .440 Contractual 4,186. 6,075. 7,000. TOTAL 29,767. 24,485. 45,028. A1220 SUPERVISOR .100 Personal Services 35,664. 38,425. 47,000. . 200 Equipment -0- 300. -0- .440 Contractual 237. 750. 750. TOTAL 35,901. 39,475. 47,750. A1320 ANNUAL CPA AUDIT . 449 Contractual 8,500. 80,500. 8,500. TOTAL 8,500. 8,5no. 8,500. A1330 TAX COLLECTION . 00 Personal Services 9,972. 11, 300. 12,000. .200 Equipment 101. -0- -0- .440 Contractual 4,632. 50,490. 5,200. TOTAL 14,705. 16,790. 17,200. A1345 PURCF'►ASING Persona Services 1,000. 1,000. 1,580. .440 Contractual 300. 500. 850. TOTAL 1, 300. 1,500. 2, 430. 1981 APPLIED AMOUNT TO BE APPROPRIATIONS REVrNUF.S FUND BALANCE RAISED BY TAXES GFNFRAL FUND A 2,469,915. 2,169,915. 300,000. -0- HIGHWAY DR 327,931. 327,931. -0- DM 326,013. 326,013. -0- DS 188,231. 188,231. -0- DE 36,000. 36,000. -0- RFVENUE SHARING CF 160,500. 160,500. -0- PINFVIEW C 84,199. 84,199. -0- LANDFILL J1 262, 841. 262,841. -0- BUS OPERATIONS J2 7,957. 7,957. -0- TOTAL GENERAL 3,863,587. 3,563,587. 300,000. OUEENSBURY WATER SW1 1,368,674. 405,550. 80,000. 883,124. - W. GLENS FALLS SV3 28,292. 11,400. 16,892. -0- SHORE COLONY SW4 5,510. 2,185. 2,500. 825. W. rLFNS FALLS EXT. 1 SW5 683. -0- -0- 683. SHERMAN AVENUE SW6 51,14`. -0- -0 - 51,146. TOTAL WATER 1,454 ,305. 419,135. 99,392. 935,778. ALL OTHER DISTRICTS f FT. AMHERST LIGHTING SU 4,250. -0- -0- 4,250. CLFVFRDALE LIGHTING SI,2 1,596. -0- -0- 1,596. PINEWOOD LIGHTING SL3 195. -0- -0- 195. S. OUEENSBURY LIGHTINn SL4 13,082. -0- -0- 13,082. W. OUEENSBURY LIGHTING SL5 13,560. -0- -0- 13,560. ! ()UEENSBURY LIGHTING ' SL6 51,090. -0- -0- 51,090. PERSHING ASHLEY COOLIDGE SEWAGE SS1 2,145. -0- -0- 2,145. RFSFVOIR PARK SEWAGE SS3 1,705. -0- -0- 1,705. nRAINA,F SD 500. -0- -0- 500. FIRE PROTECTION SF 270,965. 5,500. 2,600. 262,865. TOTAL ALL OTHER DISTRCTS 355,088. 5,500. 2,600. 350,988. TOTAL ALL FUNDS 5,676,980. 3,988,222 401,992 1,286,766. co Z