196x Filetype XLSX File size 0.05 MB Source: www.princeedwardisland.ca
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 |
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. |
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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