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picture1_Spreadsheet For Expenses 41023 | Template Municipal Operating Budget 1 Final 2021 22


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File: Spreadsheet For Expenses 41023 | Template Municipal Operating Budget 1 Final 2021 22
sheet 1 index name of municipality budget year ending mmdyyyy 3132021 comparative forecast year ending mmdyyyy 3132020 sheet 2 operating budget 0 budget of revenues and expenses of the general ...

icon picture XLSX Filetype Excel XLSX | Posted on 14 Aug 2022 | 3 years ago
Partial file snippet.
Sheet 1: Index
Name of Municipality






BUDGET YEAR ENDING (MM/D/YYYY)

31/3/2021




COMPARATIVE FORECAST YEAR ENDING (MM/D/YYYY)

31/3/2020

Sheet 2: OPERATING BUDGET
0




BUDGET OF REVENUES AND EXPENSES OF THE GENERAL OPERATING FUND
















Year ending
Year Ending


For the fiscal year ending
31/3/2021
31/3/2020



Line Budget
Forecast


OPERATING REVENUE Number





Assessable municipal property taxes 0011000 0




Tax credits (as per MOU - street maintenance, police, development control) 0012000





Equalization grant from provincial government 0018000





Gas tax fund allocations for operations 0012100





Municipal Capital Expenditure Grant 0018001





Services provided to other governments 0013000





Sales of services 0014000





Other revenue from own sources 0015000





Other unconditional transfers from other governments for operations 0016000





Other conditional transfers from other governments or agencies for operations 0017000





Fire Department revenues 0019000





TOTAL OPERATING REVENUE
0
0


OPERATING EXPENSES






General Administration 0021000 0
0


Facilities and public property 0025000 0
0


Transportation services 0023000 0
0


Fire protection services 0022000 0
0


Other municipal services 0024000 0
0


Police protection services 0022001 0
0


Recreation and parks 0027000 0
0

Depreciation/amortization






TOTAL OPERATING EXPENSES
0
0










NET OPERATING SURPLUS (DEFICIT)
0
0


















BUDGETED OPERATING SURPLUS (DEFICIT), NOT INCLUDING DEPRECIATION/AMORTIZATION
0




Budget meets requirements of MGA 153 (1).


















OPTIONAL RECONCILIATION OF OPERATING BUDGET TO ANNUAL SURPLUS (DEFICIT)


NET REVENUE (EXPENSES) OF OTHER FUNDS






Net electric fund revenues/expenses






Net water/sewer fund revenues/expenses 0029030





Other - please describe






TOTAL NET REVENUE (EXPENSES) OF OTHER FUNDS
0
0










TRANSFERS AND OTHER NON-OPERATING REVENUE (EXPENSE)






Government transfers for capital (including Gas Tax for capital)






Transfers from (to) Reserve Funds 1066000





Extraordinary items not considered operating revenue (expense)






TRANSFERS AND OTHER REVENUE (EXPENSE)
0
0










ANNUAL CONSOLIDATED SURPLUS (DEFICIT)
0
0










Note: When forecasting cash flow, remember to consider principal debt repayment and transfers to reserves or agencies.



Sheet 3: EXPENSE DETAIL
0

SCHEDULE OF BUDGETED EXPENSES OF THE GENERAL OPERATING FUND










Year Ending
Year Ending
For the fiscal year ending
31/3/2021
31/3/2020


Budget
Forecast
ADMINISTRATION



Advertising



Bank charges and interest



Elections



Public meetings



Grants to other organizations and individuals



Insurance



Interest on long term debt



Mayor and council remuneration



Chief Administrative Officer compensation



Mayor and council expenses



Miscellaneous



Office expenses



Professional fees and memberships



Training (staff)



Travel (staff)



Other wages and benefits



*Emergency Management Program - Development and Management



*Official Plan, Planning Bylaws, Development and Administration








TOTAL ADMINISTRATION
0
0





FACILITIES AND PUBLIC PROPERTY



Fuel



Insurance



Libraries



Maintenance



Miscellaneous



Museums, Art galleries, ect.



Property taxes



Sewer and water charges



Skating rinks



Utilities (electricity/furnace oil etc.)



Wages and benefits








TOTAL FACILITIES AND PUBLIC PROPERTY
0
0





FIRE PROTECTION



Fee for service



Firefighters honorarium



Firefighters life insurance



Maintenance



Miscellaneous



Training



Utilities



Vehicle operation



Wages and benfits



Water and sewer








TOTAL FIRE PROTECTION
0
0





OTHER MUNICIPAL SERVICES



Administration



Community Development



Consultant fees



Pest control



Planning



Special events



Wages & benefits



Welcome Centre








TOTAL OTHER MUNICIPAL SERVICES
0
0





POLICE PROTECTION SERVICES



Contract fee



Maintenance



Miscellaneous



Training



Utilities



Wages and benfits








TOTAL POLICE PROTECTION SERVICES
0
0





TRANSPORTATION SERVICES



Administration



Engineering services



Hydrants



Liability insurance



Maintenance



Miscellaneous



Street lights



Street signs



Training



Utilities



Vehicle operation



Wages and benfits








TOTAL TRANSPORTATION SERVICES
0
0





RECREATION AND PARKS



Administration



Grants



Office



Maintenance



Insurance



Miscellaneous



Programs



Property taxes



Utilities



Vehicle operation



Wages and benfits








TOTAL RECREATION AND PARKS
0
0





TOTAL EXPENSES
0
0

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...Sheet index name of municipality budget year ending mmdyyyy comparative forecast operating revenues and expenses the general fund for fiscal line revenue number assessable municipal property taxes tax credits as per mou street maintenance police development control equalization grant from provincial government gas allocations operations capital expenditure services provided to other governments sales own sources unconditional transfers conditional or agencies fire department total administration facilities public transportation protection recreation parks depreciationamortization net surplus deficit budgeted not including meets requirements mga optional reconciliation annual funds electric revenuesexpenses watersewer please describe nonoperating expense reserve extraordinary items considered consolidated note when forecasting cash flow remember consider principal debt repayment reserves detail schedule advertising bank charges interest elections meetings grants organizations individual...

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