TOWN OF NEW BALTIMORE HIGHWAY FUND APPROPRIATIONS
AMENDED TENTATIVE PRELIMINARY ADOPTED
    ACTUAL BUDGET BUDGET BUDGET BUDGET
2004 2005 2006 2006 2006
DEBT SERVICE
Statutory Bond Principal DA9720.6      18,127.00     100,456.00      96,138.00      96,138.00
Statutory Bond Interest DA9720.7        1,758.00        9,215.00        8,640.00        8,640.00
Capital Note Principal DA9740.6      12,850.00                  -                    -                    -  
Capital Note Interest DA9740.7           392.00                  -                    -                    -  
TOTAL      33,127.00     109,671.00     104,778.00     104,778.00
TRANSFERS
Capital Reserve DA9950.9      15,000.00      15,000.00      15,000.00
TOTAL APPROPRIATIONS     651,969.00     792,751.00     802,278.00     802,278.00  
HIGHWAY FUND ESTIMATED REVENUES
REVENUES
Property Taxes DA1001     567,327.00     590,271.00     645,378.00     645,378.00
Sales Tax DA1120                  -                    -                    -                    -  
Services Other Govts DA2300                  -  
Interest DA2401        3,169.00        3,200.00        5,500.00        5,500.00
Sale of Equpment DA2655        4,500.00                  -                    -                    -  
S/A - Chips DA3501      73,685.00      73,000.00      76,400.00      76,400.00
Federal Disaster Aid DA4960      35,280.00
Transfers in DA5031      41,500.00      56,000.00      60,000.00      60,000.00
Capital note proceeds DA5740                  -                    -                    -                    -  
TOTAL REVENUE     690,181.00     757,751.00     787,278.00     787,278.00
UNEXPENDED BALANCE      35,000.00      20,000.00      20,000.00
 
TOTAL REVENUE & BALANCE     690,181.00     792,751.00     807,278.00     807,278.00