Page 12 - 2020 Annual Report
P. 12

2020 Actual and 2021 Proposed Budget
                                                                                                                          Proposed       Actual    Proposed
                                           Proposed        Actual   Proposed                                                 2020         2020        2021
                                               2020        2020         2021
                  ROAD DEPARTMENT                                                         118       Garage
                     Personnel                                                            119       Electricity              2,000.00    1,822.19    2,000.00
           020       Road Foreman            47,951.51    48,044.66    49,869.57          120       Heating Fuel             5,000.00    1,935.97    4,000.00
           021       Road Maintenance Worker    35,467.09    35,467.09    36,895.54       121       Telephone                1,100.00    1,194.42    1,000.00
           022       Road Maintenance Worker    35,467.09    35,467.09    36,895.54       122       Bldg. Maint. & Rep       1,000.00    1,758.22    3,000.00
           025       Overtime                12,000.00    8,466.43    12,000.00           123       Total Garage             9,100.00    6,710.80    10,000.00
           030       Social Security         10,012.76    11,514.29    10,378.04
           040       Retirement              14,561.03    14,303.39    15,092.25          124       Equipment
           050       Mileage                   200.00          -      200.00              125       Equipment Purchase      10,000.00    1,880.75    6,500.00
           060       Training                  200.00          -      200.00              126       Maint. & Repair         30,000.00    30,368.13    30,000.00
           070       Health & Life Ins.      43,385.94    34,006.88    43,402.08          127       Fuel                    25,000.00    18,033.81    25,000.00
           099       Total Personnel Costs    199,245.42    187,269.83    204,933.02      128       Equip. Reserve Fund     50,000.00    50,000.00    50,000.00

                                                                                          129       Truck payment           30,000.00    30,000.00    30,000.00
           100       Roads & Streets                                                      130       Total Equipment        145,000.00    130,282.69    141,500.00
           101       Salt & Chloride         10,000.00    11,091.85    11,000.00          131       TOTAL ROAD DEPT.       480,845.42    439,579.30    465,633.01
           102       Gravel                  15,000.00    13,746.50    15,000.00
           103       Sand, Stone & seed       6,000.00    5,244.75    7,000.00
                                                                                          200     TOWN CLERK & TREASURER
           104       Stone                    2,000.00         -          -
                                                                                          226       Clerk & Treasurer Salary    47,734.23    47,734.23    49,643.60
           105       Seed                     2,000.00     208.75         -
                                                                                          227       Asst. Clerk & Treasurer    28,986.88    25,178.10    30,146.36
           106       Asphalt Patch            1,000.00    1,114.54    1,200.00
                                                                                          230       Social Security          5,869.17    5,667.40    5,869.17
           107       Paving                  25,000.00    25,000.00    10,000.00
                                                                                          240       Retirement               8,535.22    7,963.21    9,076.11
           108       Culverts                 5,000.00    5,000.00    5,000.00
                                                                                          250       Mileage                   100.00       27.75     100.00
           109       Survey & Engineering     4,000.00    1,350.00    4,000.00
                                                                                          260       Telephone/FAX            1,000.00     966.56    1,000.00
           110       Bridge & Rd Cnstrct.     2,000.00               2,000.00             270       Training                  150.00                 150.00
           111       Sidewalks               10,000.00    10,000.00    10,000.00          296       Health Insurance        43,210.08    41,819.44    43,787.40
           112       Foot Bridge              4,000.00    2,417.91    3,000.00            299       TOTAL CLERK & TREAS.    135,585.58    129,356.69    139,772.63
           113       Supplies & Materials     4,000.00    4,555.64    4,500.00
           114       Street Signs              500.00       56.04     500.00
                                                                                          300     ADMINISTRATOR
           115       Contracted services     12,000.00    10,530.00    11,000.00
                                                                                          320       Salary                  34,740.45    34,744.32    36,130.07
           116       Infrastructure reserve Fund    25,000.00    25,000.00    25,000.00
                                                                                          330       Social Security          2,657.64    2,657.74    2,763.95
           117       Total Roads & Streets    127,500.00    115,315.98    109,200.00
                                                                                          350       Mileage                   500.00          -      500.00

      12  Town of Brighton, VT                                                                                                            2020 Annual Report  13
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