Previous Page  55 / 104 Next Page
Information
Show Menu
Previous Page 55 / 104 Next Page
Page Background

53

SCHEDULE A (CONTINUED)

TOWN OF BUXTON, MAINE

SCHEDULE OF DEPARTMENTAL OPERATIONS – GENERAL FUND

FOR THE YEAR ENDED JUNE 30, 2015

Original

Budget

Final

Variance

Budget

Adjustments

Budget

Actual

Positive (Negative)

EXPENDITURES

Public Works:

Public Works:

Salaries

278,987

-

278,987

251,241

27,746

Gas & oil

51,750

-

51,750

54,767

(3,017)

Equipment rental

12,000

1,600

13,600

9,200

4,400

Culverts/sand & gravel/patching

29,000

6,464

35,464

19,185

16,279

Uniforms/signage/misc

21,611

224

21,835

15,109

6,726

Snow Removal:

Equipment rental

1,000

-

1,000

840

160

Salt/sand

157,500

15,459

172,959

116,554

56,405

Other

18,260

-

18,260

15,995

2,265

Blacktop

250,000

727

250,727

247,108

3,619

Town Equip/Repair:

Salaries

44,304

-

44,304

35,250

9,054

Occupancy

30,000

-

30,000

30,610

(610)

Parts

30,000

-

30,000

25,662

4,338

Other

20,900

-

20,900

20,088

812

General Highway:

Road stripping

15,500

736

16,236

15,791

445

Spruce swamp Road

-

983

983

-

983

960,812

26,193

987,005

857,400

129,605

Health and Welfare:

Transfer Station:

Salaries

125,129

-

125,129

124,861

268

Occupancy

9,000

-

9,000

5,760

3,240

Telephone/supplies/admin. exp.

5,700

-

5,700

5,086

614

Gas & oil

3,750

-

3,750

4,218

(468)

New/repaired equipment

7,050

-

7,050

10,466

(3,416)

Hazardous waste day

15,000

-

15,000

14,034

966

-