Page 15 - 2020 Annual Report
P. 15

Proposed   Actual   Proposed               Proposed       Actual   Proposed
 2020  2020  2021                              2020        2020         2021

 360      Telephone     1,000.00    966.60    1,000.00   682      Heating Fuel    8,500.00    7,254.63    8,500.00
 370      Training    300.00    -    300.00   683      Alarm System    1,800.00    1,613.62    1,800.00
 390      Health Insurance    156.24    195.30    156.24   684      Water    400.00    474.80    400.00
 396      Equipment    100.00    -    100.00   685      Sewer    432.00    564.88    432.00
 399      TOTAL ADMIN    39,454.33    38,563.96    40,950.26   686      Maint. & Repair    1,000.00    491.55    1,000.00
            687       Bldg heating system reserve fund               10,000.00
 400    POLICE DEPARTMENT   699      TOTAL RR STATION    15,332.00    13,270.42    25,332.00
 420      Record keeping    600.00    560.50    600.00
 430      Wages    37,091.08    38,612.52    38,574.72   700    RESCUE SQUAD CONTRACT    -    -    48,000.00
 435      Social security    2,837.47    2,953.84    2,950.97
 440      Retirement    4,126.38    4,295.38    4,291.44   705   EMERGENCY GENERATOR    5,000.00    5,000.00    -
 470      Car Expense     4,000.00    4,305.06    4,000.00
 490      Telephone     2,400.00    2,906.69    2,400.00   710    FIRE DEPT.
 491      Training    200.00    -    200.00   711      Wages    15,000.00    14,996.80    16,500.00
 497      Equip. Repair & Purchase    1,500.00    1,849.06    1,500.00   712      Officers    5,500.00    5,500.00    6,000.00
 498      Health insurance    8,378.28    8,401.64    8,500.08   713      Social Security    1,568.25    1,517.38    1,721.25
 499      TOTAL POLICE DEPT.    61,133.21    63,884.69    63,017.21   714      Records &Reporting    500.00    500.00    500.00

            715       Mileage                   500.00      105.45     500.00
 500    MUNICIPAL BUILDING   716      Electricity    2,000.00    1,455.84    2,000.00
 580      Supplies     4,000.00    3,433.43    4,000.00   717      Heating Fuel     7,000.00    5,166.95    7,000.00
 581      Electricity     6,000.00    5,334.79    6,000.00   718      Telephone     2,800.00    4,205.35    2,800.00
 582      Heating Fuel     8,000.00    7,328.10    8,000.00   719      Water     400.00    400.00    400.00
 583      Water     2,000.00    2,000.00    2,000.00   720      Sewer     432.00    432.00    432.00
 584      Sewer     2,160.00    2,160.00    2,160.00   721      Training     3,000.00    256.45    2,500.00
 585      Rubbish Removal     2,500.00    2,100.00    2,500.00   722      Equip. Purchase    10,000.00    8,899.41    10,000.00
 586      Bldg. Maint & Repair    7,500.00    12,860.79    16,860.00   723      Maint. & Repair Bldg.    6,000.00    6,299.08    6,000.00
 587      Bldg Paint fund    20,000.00   724      Equip. Maint. & Rep.     7,500.00    5,547.30    7,500.00
 588      Bldg. security    4,000.00    4,000.00    10,000.00   725      Equipment Fuel     150.00    -    150.00
 599      TOTAL MUN. BLDG.    36,160.00    39,217.11    71,520.00   726      Fire Watch    2,000.00    2,203.76    2,000.00
            727       Mutual Aid & VSFA dues    343.00      356.00     343.00
 600   RAILROAD STATION   728      Banquet & Awards    1,200.00    1,200.00    1,200.00
 680      Supplies    200.00    9.75    200.00   729      Forest Fire Warden    300.00    300.00    300.00
 681      Electricity    3,000.00    2,861.19    3,000.00   730      Fire Station Addition    25,003.26    25,003.26    25,003.26


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