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HomeMy WebLinkAbout1995-05-25 Council (Regular) MinutesCounty of Newell No. 4 Minutes of Council Meeting May 25, 1995 The regular Council Meeting of the County of Newell No. 4 was held in the County Office at Brooks, Alberta on Thursday, May 25, 1995 commencing at 10:00 a.m. Members Present Reeve W. Rommens Councillors W. Daniels N. Berg E. Stobbs B. Baxter M. Loewen B. Scheuerman M. Douglass P. Barg Administrator M. Bowen 1. Excused from Meeting Moved by Councillor Barg that we excuse Councillor Fabian from this meeting. Carried. 2. Minutes Minutes of the May 11, 1995 meeting were presented. Moved by Councillor Daniels that we adopt these minutes as circulated. Carried. Minutes of the May 16, 1995 Special Meeting were presented. Moved by Councillor Loewen that we adopt these minutes as circulated. Carried. 3. Call for Post Agenda Items The Chairman called for post agenda items. 4. Adoption of Agenda Moved by Councillor Douglass that we adopt the agenda as amended. Carried. May 25, 1995 Page 88 5. Business from Minutes 10- Municipal Library Board Representative - Div. 5 & 10 Administration is to do further checking on this item. 6.3 Alberta Environmental Protection - Lake Newell Resort Utility Corporation A letter advising that the Lake Newell Resort Utility Corporation would be operating the utility system in the Jager Subdivision was presented. After discussion, it was moved by Councillor Stobbs that we advise Alberta Environmental Protection that we have no objections to this Utility Corporation operating these systems. Carried. 7-9 Meeting - Town of Brooks Annexation - June 28195 @ 2:30 p.m. - County Office This was presented to Council for information. 6. Correspondence 1. Hamlet of Patricia - Unsightly Lots Administration provided information on what has been done to date and plans for the future clean-up of lots. 2. Town of Brooks - Sustainable Community Initiative Workshop - June 13195 - 1:00-4:00 p.m. After discussion, it was moved by Councillor Berg that Councillor Daniels be allowed to attend this Workshop. Carried. 3. Village of Rosemary - Annexation The Administrator advised that a letter from E. & R. Braun, advising that they have no objections to this annexation, and verbal approval from Grasslands Regional Division No. 6, had been received. Moved by Councillor Loewen that we advise the Village of Rosemary that we have no objections to this proposed annexation. Carried. May 25, 1995 Page 89 7. Other Business 1. Policy - By-law Control Officer The Policy for the By-law Control Officer and a copy of the job description was presented to Council. Moved by Councillor Daniels that we approve this Policy as presented. Carried. 2. Tax Cancellation -Roll #81045.00 (13.6-16-11), 85290.00 (16.1.16-12) 1512.11 (16-1-16-12) Administration presented a letter advising that Southridge Petroleum Consultants would not be responsible for arrears of taxes before June 17, 1994. Moved by Councillor Douglass that we cancel the taxes up to June 17, 1994. Carried. 8. Treasurer's Report Moved by Councillor Scheuerman that we approve the Treasurer's Report for April, 1995. Carried. 9. Committee Reports Municipal Councillor Scheuerman gave this report. A.S.B. Councillor Daniels gave this report. Senior Citizens' Home Councillor Baxter gave this report. Salary Negotiating Committee No report. May 25, 1995 Page 90 Airport Commission Councillor Barg gave this report. Disaster Services Councillor Scheuerman gave this report. Municipal Library Board Councillor Douglass gave this report. Moved by Councillor Douglass that a plaque be presented to Joyce Rose & Lori Lunseth on their retirement from the Board. Carried. Foothills Little Bow Association Councillor Stobbs gave this report. Municipal Budget Committee \J�b No report. M.P.C. No report. D.A.B. Councillor Daniels gave this report. Brooks & District Ambulance Association Councillors Loewen & Berg gave this report. May 25, 1995 Page 91 County Tourism Committee Councillor Berg gave this report. Newell Regional Solid Waste Management Authority Councillor Daniels gave this report. Urban Fringe Committee No report. Newell Mini -bus Committee Moved by Councillor Douglass that we accept the report for April. Carried. Town of Brooks Environmental Advisory Committee Councillor Daniels gave this report. Policy Committee No report. Supervisor's Meeting Administration gave a report on the Supervisor's Meeting. Lunch Council recessed for lunch from 12:00 - 1:15 p.m. May 25, 1995 Page 92 10. Delegations 1. R.C.M.P. - Sergeant Springer Sergeant Springer was in attendance and presented a report to Council and gave an up -date on the present operation of the R.C.M.P. within the County of Newell. 2. George Virtue - Auditor Our auditor, George Virtue, presented the Financial Statement to Council and answered questions regarding the Statement. 11. Post Agenda Items 1. Emergency Public Warning System A letter requesting that three senior municipal officials be appointed to take a 112 day of training in the operation of the Emergency Public Warning System was presented. After discussion, it was moved by Councillor Barg that we appoint our Special Constable, Rob Goldade, as Deputy Disaster Services Director. Carried. Moved by Councillor Barg that the Reeve, Councillor Scheuerman and the Special Constable attend a meeting of their choice on the Emergency Public Warning System. Carried. 2. Pesticide Container Site - E'/2 28-17-14-4 - .03 acres Administration presented a letter from Alberta Public Works Supply and Services advising that this land has become surplus to Government requirements and that they are prepared to sell this site to the County. Administration is to write a letter advising that we may be interested in purchasing this property and asking what future responsibility the Province is taking on these issues. 3. Road Oil Tenders The Administrator presented a list prepared by the P.W. Supervisor for the 1995 MC250 road oil tenders. After discussion, it was moved by Councillor Berg that we accept the tender from Imperial Oil for .203U/litre, plus G.S.T. Carried. May 25, 1995 Page 93 4. S.H. 876 Paving Moved by Councillor Berg that a letter be sent to Alberta Transportation advising them that the drainage and curve on S.H. 876 have now been completed and that we expect pavement on this highway to commence, as previously discussed, in conjunction with S.H. 873 or early in the spring of 1996. Moved by Councillor Douglass that this item be referred to the next Municipal Committee Meeting. Carried. 5. S.H. 873 - Dirt Acquisition Councillors Scheuerman and Barg presented information on the Acquisition of Dirt for the S.H. 873 Project. Other Business (Cont'd.) 3. Municipal Budget The Assistant Administrator, Alan Martens, presented the Municipal Budget to Council. After review, it was moved by Councillor Stobbs that we adopt the 1995 Municipal Budget as presented. Carried. 4. Total County Budget The Assistant Administrator presented the total County Budget to Council. After review, it was moved by Councillor Loewen that we adopt the 1995 total County Budget as presented. Carried. Post Agenda Items (Cont'd.) 6. Amendments to Land Use By-law Cliff Longpre was in attendance to go over some amendments to the Land Use By-law. By-law 1137-95 By-law 1137-95, being a By-law to amend Land Use By-law 1004-90 by adding definitions for the Solid Waste Management Site, was presented to Council. Moved by Councillor Loewen that By-law 1137-95 receive first reading. Carried. May 25, 1995 Page 94 By-law 1138-95 By-law 1138-95, being a By-law to amend Land Use By-law 1004-90 by adding a new section for Solid Waste Management Districts, was presented to Council. Moved by Councillor Scheuerman that By-law 1138-95 receive first reading. Carried. By-law 1139-95 By-law 1139-95, being a By-law to amend Land Use By-law 1004.90 by adding a new section for Solid Waste Transfer Site Districts, was presented to Council. Moved by Councillor Barg that By-law 1139-95 receive first reading. Carried. By-law 1140-95 By-law 1140-95, being a By-law to amend Land Use By-law 1004-90 designating the S'/z of the SE and SW 34-19-15-4 as a Solid Waste Management District, was presented to Council. Moved by Councillor Daniels that By-law 1140-95 receive first reading. Carried. Excused from Meeting Reeve Rommens asked to be excused from the meeting at 3:50 p.m. Deputy Reeve Barg took over the chair. 7. Recreation & Fire By-laws By-law 1141-95 By-law 1141-95, being a By-law to set up tax rates or requisitions to be charged for Recreation Areas, and rescinding By-law 949-87 and amendments thereto, was presented to Council. Moved by Councillor Douglass that By-law 1141.95 receive first reading. Carried. Moved by Councillor Daniels that By-law 1141-95 receive second reading. Carried. Moved by Councillor Berg that consent of Council be given for third and final reading of By-law 1141-95. Carried Unanimously. May 25, 1995 Page 95 Moved by Councillor Loewen that By-law 1141-95 receive third and final reading. Carried. By-law 1142.95 By-law 1142-95, being a By-law to set up tax rates or requisitions to be charged for Fire Areas, and rescinding By-law 950-87 and amendments thereto and amending By-law 1050-92, was presented to Council. Moved by Councillor Douglass that By-law 1142-95 receive first reading. Carried. Moved by Councillor Berg that By-law 1142.95 receive second reading. Carried. Moved by Councillor Daniels that consent of Council be given for third and final reading of By-law 1142-95. Carried Unanimously. Moved by Councillor Stobbs that By-law 1142-95 receive third and final reading. Carried. 8. Mill Rate By-law 1143-95 By-law 1143-95, being a By-law to authorize the various tax rates for taxation purposes in 1995, was presented to Council. Moved by Councillor Stobbs that By-law 1143-95 receive first reading. Carried. ��- Moved by Councillor Loewen that By-law 1143-95 receive second reading. Carried. Moved by Councillor Berg that consent of Council be given for third and final reading of By-law 1143-95. Carried Unanimously. Moved by Councillor Douglass that By-law 1143-95 receive third and final reading. Carried. 9. Road Ban Tests Councillor Scheuerman reported on the recent testing done by Alberta Transportation. May 25, 1995 Page 96 10. Special Meeting - May 16, 1995 Councillor Baxter withdrew this item from the agenda. 12. Question Period/Notice of Motion A question period was held. Councillor Daniels gave notice that he will be bringing information to the next meeting for the covering of loads to prevent littering. 13. Information Items 1. A.A.M.D. & C. - News Highlights 2. A.A.M.D. & C. - Executive Highlights 3. A.A.M.D. & C. - Standing Policy Committee on Agriculture & Rural Development 4. A.A.M.O. & C. - Agreement on Internal Trade 14. Adiourn Moved by Councillor Baxter that the meeting adjourn at 4:20 p.m. Carried. REEVE COUNTY ADMINISTRATOR May 25, 1995 Page 97 1,�J,41- Al��-buq 1-7- Y X- 5'/ 9 -5 - Account 1994 1994 1995 Number Description Budget Actuals Budget TAXES 1-1-111-00 Residential (472,600) (471,557.95) (12,290,019) 1-1-112-00 Commercial (411,350) (411,338.26) 1-1-113-00 Industrial (1,836,110) (1,836,104.12) 1-1-114-00 Farmland (1,559,580) (1,559,241.39) 1-1-115-00 Machinery & Equipment REAL PROPERTY TAXES (4,279,640) (4,278,241.72) (12,290,019) 1-1-131-00 Mobile Home Licences (24,000) (28,024.83) MOBILE HOMES (24,000) (28,024.83) 0 1-1-191-00 Electric Power Line Tax (634,800) (634,722.23) 1-1-192-00 Pipeline Taxes (6,472,300) (6,463,400.52) 1-1-193-00 T.V. Cable Taxes (215) (214.96) OTHER TAXES (7,107,315) (7,098,337.71) 0 1-1-230-00 Federal 1-1-240-00 Provincial (111,423) (111,189.68) GRANTS IN -LIEU -OF TAXES (111,423) (111,189.68) 0 TOTAL TAXES (11,522,378)(11,515,793.94) (12,290,019) GENERAL MUNICIPAL LEVIES 1-1-511-00 Penalties (50,000) (46,517.77) (45,000) 1-1-512-00 Costs (600) (525.00) (600) PENALTIES & COSTS (50,600) (47,042.77) (45,600) 1-1-528-00 Oilwell Drilling (50,000) (115,531.30) (75,000) LICENCES & PERMITS (50,000) (115,531.30) (75,000) 1-1-551-00 Interest on Investments (116,000) (149,812.62) (120,000) 1-1-559-00 Other Revenue (Misc.) (9,000) (6,266.28) (5,000) RETURN ON INVESTMENTS (125,000) (156,078.90) (125,000) 1-1-599-00 Other (3,600) (10,711.68) (6,000) OTHER REVENUE FROM OWN SOURCES (3,600) (10,711.68) (6,000) 1-1-741-00 Municipal Assistance (253,013) (253,013.01) (158,133) 1-1-742-00 Alberta Local Employment Transfer 0 0 1-1-743-00 Debenture Shielding 0 0.00 0 1-1-745-00 Fines & Costs (25,000) (27,968.00) (25,000), 1-1-749-00 Other 0 (120,269.00) (679,731) PROVINCIAL UNCONDITIONAL GRANTS & TRANSFERS (278,013) (401,250.01) (862,864) TOTAL GENERAL MUNICIPAL REVENUES (507,213) (730,614.66) (1,114,464) GENERAL ADMINISTRATION 1-1-411-12 Tax Certificates, Search Fees, Photocopies (2,400) (4,594.60) (3,000) 1-1-412-12 Maps (4,000) (5,047.00) (4,000) 1-1-419-12 other 0 (12.75) 0 SALE OF GOODS & SERVICES (6,400) (9,654.35) (7,000) 1-1-561-12 Rentals - Buildings (21,434) (21,434.00) (13,240) RENTAL REVENUES (21,434) (21,434.00) (13,240) 1-1-591-12 H.O.D. Commissions 0 (1,277.00) 0 1-1-599-12 Other 0 (322.86) 0 OTHER 0 (1,599.86) 0 OTHER REVENUE FROM OWN SOURCES (21,434) (23,033.86) (13,240) 1-1-841-12 Assessment Grant (102,421) (113,536.37) (40,000) 1-1-849-12 Other 0 0 PROVINCIAL CONDITIONAL GRANTS (102,421) (113,536.37) (40,000) 1-1-911-12 Allowance for Uncollectable Taxes 0 0 1-1-912-12 Allowance for Uncollectable Receivables 0 0 1-1-919-12 Other 0 0 DRAWN FROM OPERATING ALLOWANCES 0 0.00 0 1-1-921-12 Prior Years' Surplus 0 0 1-1-922-12 Reserves used in Current Year (210,000) (211,320.63) 0 1-1-929-12 Other 0 0 DRAWN FROM OPERATING RESERVES (210,000) (211,320.63) 0 1-1-930-12 Contributed from Other Operating Functions 0 0 CONTRIBUTED FROM OTHER OPERATING FUNCTIONS 0 0.00 0 1-1-940-12 Contributed frm Capital Sources by Function 0 0 CONTRIBUTED FRM CAPITAL SOURCES BY FUNCTION 0 0.00 0 OTHER TRANSACTIONS (210,000) (211,320.63) 0 TOTAL GENERAL ADMINISTRATION (340,255) (357,545.21) (60,240) PROTECTIVE SERVICES - FIRE 1-1-121-23 Division 1 (8,135) (8,135.00) (8,135) 1-1-123-23 Division 3 (11,260) (11,260.00) (11,260) 1-1-124-23 Division 4 (16,100) (16,100.00) (16,100) 1-1-125-23 Division 5 & 10 (29,800) (29,800.00) (29,800) 1-1-126-23 Division 6 (6,730) (6,730.00) (6,730) 1-1-127-23 Division 7 (5,300) (5,300.00) (5,300) 1-1-128-23 Division 8 (4,275) (4,275.00) (4,275) 1-1-129-23 Division 9 (20,145) (20,145.00) (20,145) SPECIAL MUNICIPAL LEVIES (101,745) (101,745.00) (101,745) 1-1-922-23 Reserves Used in Current Year DRAWN FROM OPERATING RESERVES 0 0.00 0 1-1-930-23 Contributed from Other Operating Functions 0 CONTRIBUTED FROM OTHER OPERATING FUNCTIONS 0 0.00 0 1-1-940-23 Contributed frm Capital Sources by Function 0 CONTRIBUTED FRM CAPITAL SOURCES BY FUNCTION 0 0.00 0 OTHER TRANSACTIONS 0 0.00 0 TOTAL PROTECTIVE SERVICES - FIRE (101,745) (101,745.00) (101,745) ROADS & STREETS 1-1-431-32 Sale of Gravel (30,000) (56,934.60) (20,000) 1-1-432-32 Sale of Culverts & Grader Blades (500) (2,187.68) (500) 1-1-439-32 Other (4,500) (4,065.00) (3,000) SALE OF GOODS & SERVICES (35,000) (63,187.28) (23,500) 1-1-530-32 Fines & Costs (1,690.00) (10,000) FINES & COSTS 0 (1,690.00) (10,000) 1-1-551-32 Interest on Investments (Hardsurface Res.) (49,300) (71,536.82) (52,000) RETURN ON INVESTMENTS HELD FOR FUNCTION (49,300) (71,536.82) (52,000) 1-1-562-32 Road Allowance Leases (Land) 0 (1,372.50) 0 RENTAL REVENUES 0 (1,372.50) 0 1-1-599-32 Other (100) (1,030.48) (15,500) OTHER (100) (1,030.48) (15,500) OTHER REVENUE FROM OWN SOURCES (49,400) (75,629.80) (77,500) 1-1-831-32 Gas Tax Rebate (20,000) (43,715.79) 0 FEDERAL CONDITIONAL GRANTS (20,000) (43,715.79) 0 1-1-842-32 Alta Transport - Regular Road Grant (361,376) (361,376.00) (325,238) 1-1-843-32 Alta Transport - Bridge & Culvert Grant 0 (29,268.00) 0 1-1-849-32 Other 0 0 PROVINCIAL CONDITIONAL GRANTS (361,376) (390,644.00) (325,238) CONDITIONAL GRANTS -FEDERAL & PROVINCIAL (381,376) (434,359.79) (325,238) 1-1-922-32 P.W. Rds & St Reserves used in Current Yr (618,439) (731,670.27) (1,613,901) DRAWN FROM OPERATING RESERVES (618,439) (731,670.27) (1,613,901) 1-1-930-32 Contributed from Other Operating Functions 0 0 CONTRIBUTED FROM OTHER OPERATING FUNCTIONS 0 0.00 0 1-1-940-32 Contributed from Capital Sources by Function 0 0 CONTRIBUTED FRM CAPITAL SOURCES BY FUNCTION 0 0.00 0 OTHER TRANSACTIONS (618,439) (731,670.27) (1,613,901) TOTAL ROADS & STREETS (1,084,215) (1,304,847.14) (2,040,139) SANITARY SERVICES 1-1-120-42 Frontage Tax (20,378) (20,377.65) (20,378) SPECIAL MUNICIPAL LEVIES (20,378) (20,377.65) (20,378) 1-1-744-42 Interest Stabilization (1,076) (1,076.04) (1,020) PROVINCIAL UNCONDITIONAL GRANTS & TRANSFERS (1,076) (1,076.04) (1,020) 1-1-930-42 Contributed from Other Operating Functions 0 0 CONTRIBUTED FROM OTHER OPERATING FUNCTIONS 0 0.00 0 1-1-940-42 Contributed from Capital Sources by Function 0 0 CONTRIBUTED FROM CAPITAL SOURCES BY FUNCTION 0 0.00 0 OTHER TRANSACTIONS 0 0.00 0 TOTAL SANITARY SERVICES (21,454) (21,453.69) (21,398) GARBAGE DISPOSAL 1-1-922-43 Drawn from Operating Reserves (14,029) (5,000) DRAWN FROM OPERATING RESERVES (14,029) 0.00 (5,000) 1-1-930-43 Contributed from Other Operating Functions 0 0 CONTRIBUTED FROM OTHER OPERATING FUNCTIONS 0 0.00 0 OTHER TRANSACTIONS (14,029) 0.00 (5,000) TOTAL GARBAGE DISPOSAL (14,029) 0.00 (5,000) MUNICIPAL PLANNING COBMISSION 1-1-521-61 Development Control Permits (1,900) (4,083.35) (2,500) LICENCES & PERMITS (11900) (4,083.35) (2,500) 1-1-930-61 Contributed from Other Operating Functions 0 0 CONTRIBUTED FROM OTHER OPERATING FUNCTIONS 0 0.00 0 1-1-940-61 Contributed frm Capital Sources by Function 0 0 CONTRIBUTED FRM CAPITAL SOURCES BY FUNCTION 0 0.00 0 OTHER TRANSACTIONS 0 0.00 0 TOTAL MUNICIPAL PLANNING COMMISSION (1,900) (4,083.35) (2,500) AGRICULTURAL SERVICE BOARD 1-1-433-62 Sale of Chemicals (200) (385.59) (200) 1-1-434-62 Bacterial Ringrot (750) (780.00) (500) 1-1-435-62 Weed Control (2,750) (4,038.84) (3,000) 1-1-436-62 Deposits - Magpie & Skunk Traps (30) (229.00) (200) 1-1-439-62 Other (1,200) (11018.60) (800) SALE OF GOODS & SERVICES (4,930) (6,452.03) (4,700) 1-1-563-62 Rental of Equipment (7,500) (15,302.75) (10,000) RENTAL REVENUE (7,500) (15,302.75) (10,000) 1-1-599-62 Other 0 (1,336.56) (11000) OTHER 0 (1,336.56) (1,000) OTHER REVENUE FROM OWN SOURCES (7,500) (16,639.31) (11,000) 1-1-830-62 Federal (9,450) (7,512.00) (14,000) FEDERAL CONDITIONAL GRANTS (9,450) (7,512.00) (14,000) 1-1-843-62 Alta Agriculture -Indian Res Weed Control 0 0.00 0 1-1-844-62 Alberta Agriculture - Fieldman's Salary (16,102) (14,847.00) (16,250) 1-1-845-62 Alberta Agriculture - Grants - Memorandum Agreement (42,348) (43,603.00) (42,200) 1-1-846-62 Alberta Agriculture - Weed Control 0 0 1-1-847-62 Alberta Agriculture - Rabies 0 0 1-1-849-62 Other (3,120) (6,198.00) (7,078) PROVINCIAL CONDITIONAL GRANTS (61,570) (64,648.00) (65,528) CONDITIONAL GRANTS - FEDERAL & PROVINCIAL (71,020) (72,160.00) (79,528) 1-1-930-62 Contributed from Other Operating Functions 0 0 CONTRIBUTED FROM OTHER OPERATING FUNCTIONS 0 0.00 0 SUBDIVISIONS 1-1-419-66 Other SALES OF GOODS & SERVICES 1-1-940-66 Contributed from Capital Sources by Function CONTRIBUTED FROM CAPITAL SOURCES BY FUNCTION TOTAL SUBDIVISIONS RECREATION BOARDS 1-1-121-71 Division 1 1-1-122-71 Division 1-1-940-62 Contributed from Capital Sources by Function 0 3 0 Division CONTRIBUTED FROM CAPITAL SOURCES BY FUNCTION 0 0.00 0 1-1-126-71 OTHER TRANSACTIONS 0 0.00 0 7 TOTAL AGRICULTURAL SERVICE BOARD (63,450) (95,251.34) (95,228) Division COMMUNITY SERVICES (37,820) (37,820.00) (17,756) 1-1-415-63 User Fees (4,000) (3,851.00) (3,500) (5,110) SALE OF GOODS & SERVICES (4,000) (3,851.00) (3,500) 1-1-551-63 Interest on Investments (4,000) (5,358.00) (5,200) 0 RETURN ON INVESTMENTS HELD FOR FUNCTION (4,000) (5,358.00) (5,200) 1-1-749-63 Other (19,185) (19,185.00) (19,185) PROVINCIAL UNCONDITIONAL GRANTS & TRANSFERS (19,185) (19,185.00) (19,185) 1-1-850-63 Other Gov't. Conditional Grants (3,624) (2,597.00) (2,597) CONDITIONAL GRANTS FROM OTHER LOCAL GOV'TS (3,624) (2,597.00) (2,597) j 1-1-923-63 Public Transportation Reserve (32,150) (30,786.57) (35,253)• DRAWN FROM OPERATING RESERVES (32,150) (30,786.57) (35,253) 1-1-930-63 Contributed from Other Operating Functions 0 0 CONTRIBUTED FROM OTHER OPERATING FUNCTIONS 0 0.00 0 1-1-940-63 Contributed from Capital Sources by Function 0 0 CONTRIBUTED FROM CAPITAL SOURCES BY FUNCTION 0 0.00 0 OTHER TRANSACTIONS (32,150) (30,786.57) (35,253) TOTAL COMMUNITY SERVICES (62,959) (61,777.57) (65,735) SUBDIVISIONS 1-1-419-66 Other SALES OF GOODS & SERVICES 1-1-940-66 Contributed from Capital Sources by Function CONTRIBUTED FROM CAPITAL SOURCES BY FUNCTION TOTAL SUBDIVISIONS RECREATION BOARDS 1-1-121-71 Division 1 1-1-122-71 Division 2 1-1-123-71 Division 3 1-1-124-71 Division 4 1-1-125-71 Division 5 1-1-126-71 Division 6 1-1-127-71 Division 7 1-1-128-71 Division 8 1-1-130-71 Division 9 SPECIAL MUNICIPAL LEVIES 1-1-930-71 Contributed from Other Operating Functions 0 (16,224.02) 0 0 (16,224.02) 0 0 0.00 0 0 0.00 0 0 (16,224.02) 0 (6,960) (6,960.00) (6,960) (29,602) (29,602.00) (29,602) (7,165) (7,165.00) (7,165) (1,770) (1,770.00) (1,770) (37,820) (37,820.00) (17,756) (6,730) (6,730.00) (6,730) (5,110) (51110.00) (5,110) (3,240) (3,240.00) (3,240) (9,266) (9,266.00) (9,266) (107,663) (107,663.00) (87,599) 0 0 I CONTRIBUTED FROM OTHER OPERATING FUNCTIONS 0 0.00 0 1-1-940-71 Contributed from Capital Sources by Function 0 0 CONTRIBUTED FROM CAPITAL SOURCES BY FUNCTION 0 0.00 0 OTHER TRANSACTIONS 0 0.00 0 TOTAL RECREATION BOARDS (107,663) (107,663.00) (87,599) PARKS & PROGRAMS 1-1-599-72 Other 0 (8,100.00) 0 OTHER REVENUE FROM OWN SOURCES 0 (8,100.00) 0 1-1-930-72 Contributed from Other Operating Functions 0 0 CONTRIBUTED FROM OTHER OPERATING FUNCTIONS 0 0.00 0 1-1-940-72 Contributed from Capital Sources by Function 0 0 CONTRIBUTED FROM CAPITAL SOURCES BY FUNCTION 0 0.00 0 OTHER TRANSACTIONS 0 0.00 0 TOTAL PARKS & PROGRAMS 0 (81100.00) 0 LIBRARY 1-1-125-74 Division 5 & 10 (4,059) (4,059.00) (4,262) SPECIAL MUNICIPAL LEVIES (4,059) (4,059.00) (4,262) 1-1-930-74 Contributed from Other Operating Functions 0 0 CONTRIBUTED FROM OTHER OPERATING FUNCTIONS 0 0.00 0 1-1-940-74 Contributed from Capital Sources by Function 0 0 CONTRIBUTED FROM CAPITAL SOURCES BY FUNCTION 0 0.00 0 OTHER TRANSACTIONS 0 0.00 0 TOTAL LIBRARY (4,059) (4,059.00) (4,262) OPERATING CONTINGENCY 1-1-551-97 Interest on Investments (137,300) (203,440.87) (197,000) RETURN ON INVESTMENTS HELD FOR FUNCTION (137,300) (203,440.87) (197,000) 1-1-922-97 Reserves used in Current Year (1581000) (158,000.00) (146,200) DRAWN FROM OPERATING RESERVES (1581000) (158,000.00) (146,200 1-1-930-97 Contributed from Other Operating Functions 0 0 CONTRIBUTED FROM OTHER OPERATING FUNCTIONS 0 0.00 0 1-1-940-97 Contributed from Capital Sources by Function 0 0.00 0 CONTRIBUTED FROM CAPITAL SOURCES BY FUNCTION 0 0.00 0 OTHER TRANSACTIONS (158,000) (158,000.00) (146,200) TOTAL OPERATING CONTINGENCY (295,300) (361,440.87) (343,200) TOTAL REVENUE (14,146,620)(14,690,598.79) (16,231,529) D Account 1994 1994 1995 Number Description Budget Actuals Budget LEGISLATIVE 1-2-131-11 Employee Benefits (CPP, London Life, Etc) 3,300 2,378.80 6,300 1-2-151-11 Reeve's Fees 1,200 1,200.00 1,200 1-2-152-11 Council & Mun. Mtgs & Supv. 55,000 53,123.00 55,000 1-2-153-11 M.P.C. & D.A.B. Meetings 2,200 1,775.00 2,200 1-2-154-11 A.S.B. Mtgs & Supv. 3,800 2,905.00 7,000 SALARIES, WAGES & BENEFITS 65,500 61,381.80 71,700 1-2-211-11 Council & Municipal Mileage 17,000 16,490.64 17,000 1-2-212-11 M.P.C. & D.A.B. Mileage 500 327.89 500 1-2-213-11 A.S.B. Mileage 4,000 1,244.88 4,000 1-2-214-11 Regular Mtg Meals 3,500 3,403.96 4,000 MILEAGE & SUBSISTENCE 25,000 21,467.37 25,500 1-2-925-11 G.S.T. 0 0.00 0 OTHER TRANSACTIONS, DISCOUNTS & ADJ 0 0.00 0 TOTAL LEGISLATIVE 90,500 82,849.17 97,200 GENERAL ADMINISTRATION 1-2-111-12 Salaries 263,000 251,764.72 327,120 1-2-121-12 Wages - S.T.E.P. 1,100 552.49 0 1-2-129-12 Labour - Other (Caretakers) 29,300 26,295.69 11,700 1-2-131-12 Employee Benefits (CPP,WCB,AHC, etc.) 25,000 24,658.88 33,240 1-2-132-12 Pension - L.A.P. 13,000 14,594.85 18,130 SALARIES, WAGES & BENEFITS 331,400 317,866.63 390,190 1-2-215-12 Travel & Subsistence 2,500 1,139.29 2,000 1-2-216-12 Postage, Freight, Express 8,500 2,394.01 7,000 1-2-217-12 Conventions, Seminars, Courses (Office) 4,500 2,548.30 4,500 1-2-221-12 Advertising 7,000 3,761.54 6,000 1-2-231-12 Legal Services 9,000 2,233.84 7,000 1-2-232-12 Auditors 7,200 6,360.26 7,200 1-2-251-12 Office Maintenance 8,000 6,378.06 10,000 1-2-252-12 Office Equipment Maintenance 19,000 19,225.26 30,000 1-2-291-12 Taxes 0 0.00 0 1-2-292-12 Insurance 7,000 7,915.05 5,000 1-2-293-12 Frontage Tax - County Property (Scandia) 3,880 3,655.94 3,656 1-2-294-12 Frontage Tax - County Property (Patricia) 0 0.00 0 1-2-295-12 Land Titles Fees 2,000 1,296.24 2,000 1-2-296-12 A.A.M.D. & C. Fees 6,000 6,112.85 7,000 1-2-299-12 Other 2,000 1,822.83 4,000 CONTRACTED & GENERAL SERVICES 86,580 64,843.47 95,356 1-2-501-12 Assessment Expense 10,000 31,197.32 34,000 1-2-501-12-01 General Assessment Expense 210,000 219,751.71 60000 1-2-502-12 Ground Maintenance Supplies 1,500 642.84 1,500 1-2-503-12 Public Relations 4,000 2,134.42 4,000 1-2-504-12 Janitor Supplies 1,500 487.70 1,500 1-2-510-12 Tourism Committee Expenses 0 0.00 0 1-2-513-12 Safety Supplies & Training 100 0.00 100 1-2-515-12 Office Supplies 18,000 8,206.62 15,000 1-2-550-12 Utilities 20,000 23,934.55 28,000 1-2-590-12 Expense Recovery 0 0.00 0 1-2-599-12 Other 7,000 3,763.56 7,000 MATERIALS, GOODS, SUPPLIES & UTILITIES 272,100 290,118.72 151,100 1-2-761-12 Contributions to Other Operating Functions 0 0 ,,,,� CONTRIBUTIONS TO OTHER OPERATING FUNCTIONS 0 0.00 0 1-2-762-12 General Government - Capital 6,000 6,314.94 18,500 1-2-762-12-01 Transfer to Capital Reserves 0 0.00 0 CONTRIBUTED TO CAPITAL PROGRAMS 6,000 6,314.94 18,500 1-2-764-12-12 Transfer to Reserve -Uncollectible Taxes 0 0 1-2-764-12-13 Transfer to Res - Other Doubtful Receivables 0 0 1-2-764-12-14 Transfer to Reserve - Forfeited Taxes 0 0 1-2-764-12-15 Transfer to Reserve -Renovations & Equipment 0 0 1-2-764-12-18 Transfer to Reserve - General Admin - Other 75,000 75,000.00 0 ADDED TO FUNCTION OPERATING RESERVES 75,000 75,000.00 0 1-2-785-12 Charitable Grants (Donations) 13,000 5,676.50 124,000 GRANTS TO INDIVIDUALS & ORGANIZATIONS 13,000 5,676.50 124,000 TRANSFER PAYMENTS 94,000 86,991.44 124,000.00 1-2-811-12 Interest on Short Term Borrowings 45,000 79,399.29 80,000 1-2-812-12 Bank Service Charges 50 18.81 50 FINANCIAL SERVICE CHARGES 45,050 79,418.10 80,050 1-2-920-12 Cancellation of Uncollectible Accounts 200 200 1-2-925-12 G.S.T. 0 0.00 0 1-2-991-12 Cancellations 1,000 0.00 81,000 1-2-992-12 H.O.D. Payments 0 0.00 0 1-2-993-12 U.I.C. Refunds - Municipal 1,680 1,612.47 1,590 1-2-994-12 Elections 0 103.06 10,000 1-2-999-12 Other 0 0.00 0 OTHER TRANSACTIONS, DISCOUNTS & ADJ. 2,880 1,715.53 92,790 TOTAL GENERAL ADMINISTRATION 832,010 840,953.89 951,986 FIRE PROTECTION 1-2-761-23 Contributions to Other Operating Functions 0 0 CONTRIBUTIONS TO OTHER OPERATING RESERVES 0 0.00 0 1-2-764-23 Transfer to Res -Future Fire Truck Replacement 0 0 ADDED TO FUNCTION OPERATING RESERVES 0 0.00 0 1-2-771-23 Division 1 Requisition 8,135 8,135.00 8,135 1-2-773-23 Division 3 Requisition 11,260 11,260.00 11,260 1-2-774-23 Division 4 Requisition 16,100 16,100.00 16,100 1-2-775-23 Divisions 5 & 10 Requisitions 29,800 29,800.00 29,800 1-2-776-23 Division 6 Requisition 6,730 6,730.00 6,730 1-2-777-23 Division 7 Requisition 5,300 5,300.00 5,300 1-2-778-23 Division 8 Requisition 4,275 4,275.00 4,275 1-2-779-23 Division 9 Requisition 20,145 20,145.00 20,145 1-2-780-23 Fire Truck Replacement Grant 0 0 GRANTS TO INDIVIDUALS & ORGANIZATIONS 101,745 101,745.00 101,745 TRANSFER PAYMENTS 101,745 101,745.00 101,745 TOTAL FIRE PROTECTION 101,745 101,745.00 101,745 AMBULANCE SERVICES Ambulance Requisitions 87,043 83,779.17 87,043 1-2-786-25 GRANTS TO INDIVIDUALS & ORGANIZATIONS 87,043 83,779.17 87,043 TOTAL AMBULANCE SERVICES 87,043 83,779.17 87,043 ROADS & STREETS 1-2-111-32 Salaries 980,888 870,457.42 980,000 1-2-131-32 Employee Benefits (CPP, WCB, AHC, etc.) 125,000 112,596.84 127,400 1-2-132-32 Pension - L.A.P. 38,500 37,835.02 39,200 SALARIES, WAGES & BENEFITS 1,144,388 1,020,889.28 1,146,600 1-2-215-32 Travel & Subsistence 500 204.49 500 1-2-216-32 Postage, Freight, Express 5,000 3,846.48 5,000 1-2-217-32 Conventions, Seminars, Courses 1,500 874.74 2,000 1-2-221-32 Advertising 2,500 2,390.36 3,000 1-2-231-32 Legal Services 5,000 1-2-233-32 Engineering Services (Road Surveys) 25,000 43,105.16 45,000 1-2-251-32 Repairs to P.W. Buildings 16,000 3,806.22 16,000 1-2-253-32 Maintenance of Railway Crossings 22,500 16,093.25 22,500 1-2-254-32 Hire of Machinery 230,000 400,429.90 266,000 1-2-255-32 Road Surfaces - Gravel Crushing 210,000 227,290.74 236,000 1-2-256-32 Road Surfaces - Gravel Haul (Truckers) 527,000 460,233.91 500,000 1-2-257-32 Road Surfaces - Oil, Asphalt & Dust Control 550,000 336,486.81 550,000 1-2-258-32 S.H. Projects - Contracted 107,440.89 1,831,670 1-2-291-32 Taxes 0 0.00 0 1-2-292-32 Insurance 47,000 42,698.63 43,000 1-2-297-32 Damage Claims 2,500 0.00 2,500 1-2-299-32 Other 250,000 22,543.01 25,000 CONTRACTED & GENERAL SERVICES 1,889,500 1,667,444.59 3,553,170 1-2-503-32 Public Relations 2,000 1,207.02 2,000 1-2-504-32 Janitor Supplies 3,000 616.42 3,000 1-2-513-32 Safety Supplies & Training 3,000 2,799.55 3,000 1-2-515-32 P.W. Office Supplies 5,000 2,867.66 5,000 1-2-516-32 Material - Iron & Other Supplies 10,000 8,544.05 10,000 1-2-517-32 Repairs - Machinery 185,000 166,157.57 185,000 1-2-518-32 Repairs - Service Vehicles 30,000 45,485.89 40,000 1-2-520-32 Fuel & Lubricants - Machinery 190,000 138,696.97 150,000 1-2-521-32 Fuel & Lubricants - Service Vehicles 65,000 45,177.92 65,000 1-2-522-32 Small Tools & Equipment 8,900 5,728.73 9,300 1-2-523-32 Survey Supplies 1,500 4,729.71 6,000 1-2-524-32 Culverts 30,000 22,104.14 30,000 1-2-525-32 Grader Blades 75,000 69,401.49 80,000 1-2-526-32 Road Signs 58,000 31,560.71 35,000 1-2-527-32 Fencing 8,000 16,777.88 15,000 1-2-528-32 Bridges 16,000 28,958.01 30,000 1-2-529-32 Purchase of Road Allowance 30,000 11,445.40 6,000 1-2-530-32 Power & Telephone Line - Moving Expenses 15,000 2,117.85 8,000 1-2-531-32 Hamlet Streets 0 24,962.97 0 1-2-550-32 Utilities 28,800 27,633.65 32,000 1-2-551-32 Street Lighting 18,000 16,869.35 18,000 1-2-590-32 Expense Recovery 0 (133,283.50) 0 1-2-599-32 Other 20,000 18,371.84 20,000 MATERIALS, GOODS, SUPPLIES & UTILITIES 802,200 558,931.28 752,300 1-2-761-32 Contributions to Other Operating Functions 0 0 CONTRIBUTIONS TO OTHER OPERATING FUNCTIONS 0 0.00 0 1-2-762-32 P.W. Capital 404,000 410,059.49 339,000 1-2-762-32-34 Transfer to Res -Machinery & Equip Replacement 0 0 1-2-762-32-35 Transfer to Reserve - Vehicle Replacement 0 0 1-2-762-32-37 Transfer to Reserve - Purchase of Gravel Pits 0 0 CONTRIBUTED TO CAPITAL PROGRAMS 404,000 410,059.49 339,000 1-2-764-32-30 Transfer to Reserve - Hard -surface 30,552 41,963.31 40,000 1-2-764-32-31 Transfer to Reserve - Roadwork 0 693,901.87 0 1-2-764-32-32 Transfer to Reserve - Gravelling 0 0 1-2-764-32-33 Transfer to Reserve - Gravel Crushing 0 0.00 0 1-2-764-32-36 Transfer to Reserve - S.R. 873 9,318 416,986.95 9,000 1-2-764-32-38 Transfer to Reserve - P.W. Other 9,430 12,855.56 3,000 1-2-764-32-39 Transfer to Reserve - Sec Special 862 0 0 ADDED TO FUNCTION OPERATING RESERVES 49,300 1,165,707.69 52,000 TRANSFER PAYMENTS 453,300 1,575,767.18 391,000 1-2-920-32 Cancellation of Uncollectible Accounts 500 0.00 500 1-2-923-32 Gas Inventory Adjustment 0 388.31 0 1-2-924-32 Parts Inventory Adjustment 0 896.20 0 1-2-925-32 G.S.T. 0 0 OTHER TRANSACTIONS, DISCOUNTS & ADJ. 500 1,284.51 500 TOTAL ROADS & STREETS 4,289,888 4,824,316.84 5,843,570 SANITARY SERVICES 1-2-299-42 Other 10,000 6,829.90 0 CONTRACTED & GENERAL SERVICES 10,000 6,829.90 0 1-2-513-42 Safety Supplies & Training 0 0.00 0 MATERIALS, GOODS, SUPPLIES & UTILITIES 0 0.00 0 1-2-764-42 Transfer to Reserve-Interest Stabilization 2,260 2,260.01 2,210 CONTRIBUTED TO CAPITAL PROGRAMS 2,260 2,260.01 2,210 1-2-831-42 Principal 4,962 4,962.06 5,500 1-2-832-42 Interest 14,232 14,231.62 13,700 DEBENTURE DEBT CHARGES 19,194 19,193.68 19,200 FINANCIAL SERVICES & CHARGES 19,194 19,193.68 19,200 1-2-925-42 G.S.T. 0 0.00 0 OTHER TRANSACTIONS, DISCOUNTS & ADJ. 0 0.00 0 TOTAL SANITARY SERVICES 31,454 28,283.59 21,410 GARBAGE DISPOSAL 1-2-559-43 Regional Landfill Site 9,025 0.00 10,000 1-2-560-43 Brooks Pit 52,800 39,589.61 40,000 1-2-561-43 Rosemary Pit 12,000 6,524.46 10,100 1-2-562-43 Duchess Pit 24,000 24,917.52 29,000 1-2-563-43 Tilley Pit 6,000 10,249.73 12,500 1-2-564-43 Bow City Pit 7,500 4,875.85 7,500 1-2-565-43 Bassano Pit 5,000 2,725.04 4,000 1-2-566-43 Gem Pit 6,100 5,299.78 5,700 1-2-567-43 Patricia Pit 17,000 6,811.87 28,000 1-2-568-43 Rolling Hills Pit 10,500 4,852.74 6,500 1-2-569-43 Bow Slope Pit 5,700 4,147.93 5,500 MATERIALS, GOODS, SUPPLIES & UTILITIES 155,625 109,994.53 158,800 1-2-764-43 Transfer to Reserve - Garbage Pits 0 50,000.00 0 ADDED TO FUNCTION OPERATING RESERVES 0 50,000.00 0 1-2-925-43 G.S.T. 0 0.00 0 OTHER TRANSACTIONS, DISCOUNTS & ADJ. 0 0.00 0 TOTAL GARBAGE DISPOSAL 155,625 159,994.53 158,800 MUNICIPAL PLANNING , ZONING & DEVELOPMENT 1-2-111-61 Salaries 9,400 6,857.88 10,800 1-2-131-61 Employee Benefits (CPP, WCB, AHC, etc.) 650 617.89 970 1-2-132-61 Pension - L.A.P. 0 168.51 120 1-2-155-61 Fees - M.P.C. & D.A.B. Representatives 3,500 2,484.31 3,500 SALARIES, WAGES & BENEFITS 13,550 10,128.59 15,390 1-2-215-61 Travel & Subsistence 3,000 475.57 3,000 1-2-217-61 Conventions, Seminars, Courses 100 0.00 500 1-2-221-61 Advertising 2,800 3,235.80 3,500 1-2-222-61 Contracted Planning Services 38,000 1-2-231-61 Legal Services 4,000 1,872.89 4,000 CONTRACTED & GENERAL SERVICES 9,900 5,584.26 49,000 1-2-515-61 Office Supplies 300 203.94 300 MATERIALS, GOODS, SUPPLIES & UTILITIES 300 203.94 300 1-2-920-61 Cancellation of Uncollectible Accounts 0 0 1-2-925-61 G.S.T. 0 0.00 0 OTHER TRANSACTIONS, DISCOUNTS & ADJ. 0 0.00 0 TOTAL MUNICIPAL PLANNING, ZONING & DEV. 23,750 15,916.79 64,690 AGRICULTURE SERVICES 1-2-111-62 Salaries 101,500 102,275.33 121,590 1-2-121-62 Wages - S.T.E.P. 1,560 1-2-131-62 Employee Benefits (CPP, WCB, AHC, etc.) 16,000 13,800.46 16,300 1-2-132-62 Pension - L.A.P. 5,400 4,641.99 6,000 SALARIES, WAGES & BENEFITS 122,900 120,717.78 145,450 1-2-215-62 Travel & Subsistence 700 343.06 500 1-2-216-62 Postage, Freight & Express 2,000 362.16 500 1-2-217-62 Conventions, Seminars, Courses 4,000 1,925.36 3,000 1-2-218-62 Weed Inspectors 10,000 7,938.63 10,000 1-2-221-62 Advertising 600 371.26 1,600 1-2-251-62 Repairs to Building 2,000 1,149.42 2,000 1-2-292-62 Insurance 6,050 7,425.50 7,400 1-2-299-62 Other 1,000 507.93 1,000 CONTRACTED & GENERAL SERVICES 28,350 20,023.32 26,000 1-2-503-62 Public Relations (coffee, booth, tours) 700 1,086.52 1,200 1-2-510-62 Displays & Promotion 2,000 414.01 2,000 1-2-513-62 Safety Supplies & Training 1,000 1,118.76 1,000 1-2-515-62 Office Supplies (10a) 1,400 454.81 1,400 1-2-517-62 Machinery Repairs 9,000 7,667.16 9,000 1-2-518-62 Service Vehicle Repairs 7,000 5,888.97 6,000 1-2-520-62 Fuel & Lubricants - Machinery 2,000 1,726.45 2,000 1-2-521-62 Fuel & Lubricants - Service Vehicles 8,000 6,158.48 8,000 1-2-522-62 Small Tools & Equipment 2,400 2,569.52 2,000 1-2-550-62 Utilities 5,500 4,581.44 5,500 1-2-564-62 Extension Fund (D.A., A.S.B., Home Ec.) 1,500 138.11 1,500 1-2-565-62-01 Pest Control - Warbles 0 0.00 0 1-2-565-62-02 Pest Control - Magpies, Coyotes, Gophers 500 136.94 500 1-2-565-62-03 Pest Control - Bacterial Ringrot 1,000 0.00 1,000 1-2-565-62-04 Pest Control - Insects 400 6.15 500 1-2-565-62-05 Pest Control - Rabies 450 165.03 450 1-2-565-62-09 Pest Control - Other 250 787.89 500 1-2-566-62-01 Soil Control - Trees 600 0.00 0 1-2-566-62-02 Soil Control - Forage Seed (Roadside) 1,500 79.75 500 1-2-566-62-09 Soil Control - Other 3,000 0.00 3,000 1-2-567-62-01 Weed Control - Roadside Spraying 40,000 34,866.93 50,000 1-2-567-62-02 Weed Control - Mowing 0 0.00 0 1-2-567-62-09 Weed Control - Other 7,000 2,236.24 7,000 1-2-567-62-10 Weed Control - Indian Reserve 0 0.00 0 1-2-590-62 Expense Recovery 0 (13,223.93) 0 1-2-599-62 Other 1,000 796.49 1,000 MATERIALS, GOODS, SUPPLIES & UTILITIES 96,200 57,657.72 104,050 1-2-761-62 Contributions to Other Operating Functions 0 0 CONTRIBUTIONS TO OTHER OPERATING FUNCTIONS 0 0.00 0 1-2-762-62 A.S.B. - Capital 5,300 38,084 CONTRIBUTED TO CAPITAL PROGRAMS 5,300 0.00 38,084 TRANSFER PAYMENTS 5,300 0.00 38,084 1-2-920-62 Cancellation of Uncollectible Accounts 0 0.00 100 1-2-925-62 G.S.T. 0 0.00 0 OTHER TRANSACTIONS, DISCOUNTS & ADJ. 0 0.00 100 TOTAL AGRICULTURE SERVICES 252,750 198,398.82 313,684 COMMUNITY SERVICES 1-2-111-63 Salaries 24,000 26,021.51 27,000 1-2-131-63 Employee Benefits (CPP, WCB, AHC, etc.) 1,600 2,169.87 2300 1-2-132-63 Pension L.A.P. 800 SALARIES, WAGES & BENEFITS 25,600 28,191.38 30,100 1-2-221-63 Advertising 500 140.69 500 1-2-252-63 Equipment Maintenance 0 0.00 200 1-2-292-63 Insurance 2,400 2,147.75 1,900 1-2-299-63 Other 0 0.00 100 CONTRACTED & GENERAL SERVICES 2,900 2,288.44 2,700 1-2-503-63 Public Relations 0 0.00 0 1-2-518-63 Repairs - Vehicles 4,000 2,189.83 3,000 1-2-521-63 Fuel & Lubricants 4,200 3,875.90 4,200 1-2-550-63 Utilities 450 316.41 450 1-2-599-63 Other 100 372.61 1,000 MATERIALS, GOODS, SUPPLIES & UTILITIES 8,750 6,754.75 8,650 1-2-761-63 Contributions to Other Operating Functions 0 0 CONTRIBUTIONS TO OTHER OPERATING FUNCTIONS 0 0.00 0 1-2-762-63 Community Services - Capital 54,000 58,231.57 0 CONTRIBUTED TO CAPITAL PROGRAMS 54,000 58,231.57 0 1-2-764-63 Transfer to Res -Transportation Assistance 26,809 24,543.00 24,385 ADDED TO FUNCTION OPERATING RESERVES 26,809 24,543.00 24,385 TRANSFER PAYMENTS 80,809 82,774.57 24,385 1-2-920-63 Cancellation of Uncollectible Accounts 0 0.00 0 1-2-925-63 G.S.T. 0 0.00 0 OTHER TRANSACTIONS, DISCOUNTS & ADJ. 0 0.00 0 TOTAL COMMUNITY SERVICES 118,059 120,009.14 65,835 TOURISM 1-2-599-64 Other 3,200 2,950.00 500 MATERIALS, GOODS, SUPPLIES & UTILITIES 3,200 2,950.00 500 TOTAL TOURISM 3,200 2,950.00 500 SUBDIVISIONS 1-2-231-66 Legal Services i 325.84 1,000 -1-2-779-71 DaAis= _ si-kion 916.28 26,000 CONTRACTED & GENERAL SERVICES 0 1,242.12 27,000 TOTAL SUBDIVISIONS 0 1,242.12 27,000 RECREATION BOARDS 1-2-761-71 Contributions to Other Operating Functions 0 0 CONTRIBUTIONS TO OTHER OPERATING FUNCTIONS 0 0.00 0 1-2-771-71 Division 1 Requisition 6,960 6,960.00 6,960 1-2-772-71 Division 2 Requisition 29,602 29,602.00 29,602 1-2-773-71 Division 3 Requisition 7,165 7,165.00 7,165 1-2-774-71 Division 4 Requisition 1,770 1,770.00 1,770 1-2-775-71 Division 5 Requisition 37,820 37,820.00 17,756 1-2-776-71 Division 6 Requisition 6,730 6,730.00 6,730 1-2-777-71 Division 7 Requisition 5,110 5,110.00 5,110 1-2-778-71 Division 8 Requisition 3,240 3,240.00 3,240 1-2-779-71 Division 9 Requisition 9,266 9,266.00 9,266 REQUISITIONS 107,663 107,663.00 87,599 TRANSFER PAYMENTS 107,663 107,663.00 87,599 TOTAL RECREATION BOARDS 107,663 107,663.00 87,599 PARKS & PROGRAMS 1-2-502-72 Grounds Maintenance 17,000 11,988.62 6,500 MATERIALS, GOODS, SUPPLIES & UTILITIES 17,000 11,988.62 6,500 1-2-925-72 G.S.T. 0 0.00 0 OTHER TRANSACTIONS, DISCOUNTS & ADJ. 0 0.00 0 TOTAL PARKS & PROGRAMS 17,000 11,988.62 6,500 CULTURE & LIBRARY 1-2-780-74 Municipal Library Grant 16,418 16,418.22 16,418 1-2-782-74 Brooks & District Municipal Library Grant 4,059 4,059.00 4,262 GRANTS TO INDIVIDUALS & ORGANIZATIONS 20,477 20,477.22 20,680 TOTAL CULTURE & LIBRARY 20,477 20,477.22 20,680 REQUISITIONS 1-2-741-81 Trans of Taxes Collected - ASFF ADDITIONAL 2,135,978 2,135,978.06 0 1-2-742-81 Trans of Taxes Collected - ASFF 8,103,621 1-2-745-81 Trans of Taxes Collected-Planning Fnd Req. 37,925 37,925.00 0 1-2-751-81 Trans of Taxes Collected -Brooks S.D. Req. (ASFF) 211,560 211,560.00 0 1-2-752-81 Trans of Taxes Collected -County Sch. Req. (ASFF) 1,631,428 1,631,428.00 0 1-2-753-81 Trans of Taxes Collected - Home for Aged 57,720 57,719.51 57,728 1-2-754-61 Trans of Taxes Collected -Brooks Hospital 0.00 0 1-2-755-81 Trans of Taxes Collected - Nursing Home 0.00 0 1-2-756-81 Trans of Taxes Collected - Bassano Hospital 0.00 0 1-2-757-81 Trans of Taxes Collected-Aquaduct S.D. (ASFF) 178,077 178,077.00 0 ,...,, 1-2-758-81 Trans of Taxes Collected-EP&PL (ASFF) 3,615,880 3,615,880.00 0 TOTAL REQUISITIONS 7,868,568 7,868,567.59 8,161,349 FISCAL SERVICES 1-2-764-82 Current Year Surplus 9,588 0.00 24,938 ADDED TO FUNCTION OPERATING COSTS 9,588 0.00 24,938 1-2-921-82 Previous Years' Deficit Recovered 0 0.00 0 1-2-925-82 G.S.T. 0 0.00 0 OTHER TRANSACTIONS 0 0.00 0 TOTAL FISCAL SERVICES 9,588 0.00 24,938 OPERATING CONTINGENCY 1-2-761-97 Contributions to Other Operating Functions 0 CONTRIBUTIONS TO OTHER OPERATING FUNCTIONS 0 0.00 0 1-2-764-97-90 Transfer to Reserve - Contingency 1,400 7,317.91 325 1-2-764-97-91 Transfer to Reserve - Debt Reduction 45,900 65,189.52 67,000 1-2-764-97-92 Transfer to Reserve - Municipal Surplus 90,000 130,933.44 129,675 ADDED TO FUNCTION OPERATING RESERVES 137,300 203,440.87 197,000 TRANSFER PAYMENTS 137,300 203,440.87 197,000 TOTAL OPERATING CONTINGENCY 137,300 203,440.87 197,000 TOTAL EXPENDITURES 14,146,620 14,672,576.36 16,231,529 TOTAL REVENUE & EXPENDITURES 0 (18,022.43) 0