Official website of New Albany Borough, Bradford County, Pennsylvania

Document number
BUDGET-2016-ADOPTED
Version
1.0
Issued or effective
—
Download Current PDF

Creates one print packet with this page’s readable description followed by the attached official PDF, then opens it in a new tab for printing.

New Albany Borough
Adopted 2016 Budget
General Fund Highway Fund Water Fund Sewer Fund Total
Revenue
300-Real Estate & Occupation Taxes 16,934 – 16,934
310-Local Taxes 14,000 14,000
320-Licenses & Permits – –
330-Fines & Forfeits – –
340-Interest, Rents & Royalties 1,729 1,729
350-Intergovernmental Revenues 14,000 10,581 24,581
360&370-Charges for Services – 49,251 60,687 109,938
380-Special assessments – –
390-Other Financing Sources – –
Total Revenue 46,663 10,581 49,251 60,687 167,181
Page 1

New Albany Borough
Adopted 2016 Budget
General Fund Highway Fund Water Fund Sewer Fund Total
Expenditures
400-General Government 18,501 150 10,197 9,122 37,970
410-Public Safety 3,250 3,250
426-429-Public Works-Sanitation – 32,622 32,622
430-Public Works-Highways, Streets – 12,327 12,327
440-Public Works-Other Services – 35,962 35,962
450-Culture/Recreation 1,776 – 1,776
460-Community Development – – –
470-Debt Service – 1,703 14,880 16,583
481-484-Employer Paid Benefits 3,674 1,077 4,751
486-488-Insurance 1,278 848 2,073 4,200
492-Interfund Transfers 6,000 – (3,000) (3,000) –
Total Expenditures 34,479 12,477 45,710 56,774 149,440
Surplus(Deficit) 12,184 (1,896) 3,541 3,913 17,742
Page 2

New Albany Borough
Adopted 2016 Budget
GENERAL FUND
Total 2016
Revenues
R/E, PC & Occ Taxes – current @ 6.00 mills $15,055.56
R/E, PC & Occ Taxes – delinquent $1,878.37
Total R/E Tax Revenue $16,933.93
Earned Income Tax Revenue $14,000.00
Act 13 Impact Fee $14,000.00
Natural Gas Royalties $1,728.86
Total Revenue $46,662.78
Cost of Collections
403 Tax Collector Commission $752.78
403 County Tax Claim Fees $300.00
Total Cost of Collections $1,052.78
Gross Surplus $45,610.01
Operating Expenses
409 Building Rent (to Water & Sewer) $1,536.00
409 Phone $696.00
406 Admin-Supplies $600.00
406 Admin-Postage $120.00
406 Admin-Advertising $600.00
486 Admin-Insurance $1,278.45
405 Personnel-Admin Wages $14,400.00
481 Personnel-Admin Taxes $1,728.00
484 Personnel-Admin Workers Comp $360.00
405 Personnel-Admin to Water -$4,122.00
405 Personnel-Admin to Sewer -$4,122.00
409 Personnel-Maint Water $3,240.00
484 Workers Comp-Fire Department $8,200.00
484 Workers Comp-Fire Dept from Twps -$6,614.34
454 Park-electricity $276.00
454 Park-supplies $300.00
454 Park Maintenance $1,200.00
404 Prof Svcs-Legal $3,000.00
402 Prof Svcs-Audit $1,500.00
411 Fire Hydrant Rental $2,250.00
411 Fire Department Support $1,000.00
438 Road Repairs $5,600 from Act 13 funds $0.00
492 Act 13 Impact Fee-Interfund Transfer $6,000.00
Total Expenses $33,426.11
Surplus(Deficit) $12,183.89
$0.00
492 Repay Sewer Fund Loan -$7,499.58
Capital Project Reserve -$1,500.00
3

New Albany Borough
Adopted 2016 Budget
WATER FUND
Total 2016
Revenues
Water bills-Base @$15.00 $21,600.00
Water bills-Gallons @$5.75 $28,980.00
Water Fees (Late, Certified, Notices, etc.) $1,200.00
Allowance for Uncollected -$2,529.00
Total Revenue $49,251.00
7,433
448 Cost of Water $24,900.55
Gross Surplus $24,350.45
Operating Expenses
448 Water-Supplies $0.00
406 Water-Postage @50% + Certifieds $660.00
448 Water-Meter Readings $360.00
486 Water-Admin Insurance $848.20
409 Water-Maint Personnel $3,240.00
405 Water-Admin (from General) $4,122.00
448 Water-Testing costs $300.00
404 Water-Legal Fees $1,500.00
402 Water-Audit Fees $675.00
449 Water-Maintenance & Repairs $3,000.00
448 Water-Electricity-Well #2 $151.20
448 Water Hydrant Repairs ($4,500-2,250 from General)$2,250.00
Act 13 Impact Fee -$3,000.00
448 Replace Water Meters-32/yr for 3 yrs $5,000.00
470 Water-PennVest Loan payments $1,703.40
Total Expenses $20,809.79
Surplus(Deficit) $3,540.66
4

New Albany Borough
Adopted 2016 Budget
SEWER FUND
Total 2016
Revenues
Sewer bills-Base @$27.00 $37,260.00
Sewer bills-Gallons @$5.25 $25,357.50
Sewer Fees (Late, Certified, Notices, etc.) $1,200.00
Allowance for Uncollected -$3,130.88
Total Revenue $60,686.63
Gross Surplus $60,686.63
Operating Expenses
429 Sewer-Supplies $3,600.00
406 Sewer-Postage @50% + Certifieds $945.00
429 Sewer-Meter Readings $360.00
409 Sewer-Phone $480.00
409 Sewer-Heating/Generator Fuel $1,400.00
429 Sewer-Electricity $8,426.62
486 Sewer-Admin Insurance $2,073.35
405 Sewer-Admin (from General) $4,122.00
429 Personnel-Sewer Wages $5,475.00
481 Personnel-Sewer Taxes $657.00
484 Personnel-Sewer Workers Comp $420.00
429 Sewer-Testing costs $1,800.00
429 Sewer-Waste Disposal $960.00
429 Sewer-Management (Shane) $9,000.00
404 Sewer-Legal Fees $1,500.00
402 Sewer-Audit Fees $675.00
429 Sewer-Equipment Repairs $3,000.00
492 Act 13 Impact Fee -$3,000.00
470 Sewer-USDA Loan Payments $14,880.00
408 Sewer Permit-Engineer $0.00
Total Expenses $56,773.96
Surplus(Deficit) $3,912.66
5

New Albany Borough
Adopted 2016 Budget
HIGHWAY FUND
Total 2016
Revenues
Liquid Fuels tax allotment $10,580.88
$0.00
Total Revenue $10,580.88
Operating Expenses
432 Highway-Supplies $2,000.00
434 Highway-Electricity $4,526.55
$0.00
432 Highway-Snow Removal $5,800.00
$0.00
402 Highway-Audit Fees $150.00
Total Expenses $12,476.55
Surplus(Deficit) -$1,895.67
6

Current official document PDF

The official PDF is embedded below for convenient viewing. The readable HTML on this page remains the accessible version of the public information.

Open the official PDF in a new tab (opens in a new tab)

Website account

Create your account

Step 1 of 3: Account type

Choose your account type

Account type