MS-7 Budget - Town/City of  TUFTONBORO FY   2007
1 2 3 4 5 6
ACCT.# SOURCE OF REVENUE Warr.
Art.#
Estimated Revenues
Prior Year
Actual
Revenues
Prior Year
Estimated
Revenues
Ensuing Year
TAXES  xxxxxxxxxxxxxxx   xxxxxxx   xxxxxxxxx 
3120 Land Use Change Taxes                           8,600.00             8,600.00           5,000.00
3180 Resident Taxes        
3185 Timber Taxes                         20,000.00          19,278.87         20,000.00
3186 Payment in Lieu of Taxes                           8,793.00          11,263.41         11,250.00
3189 Other Taxes (Boat Registrations)                         30,000.00          29,859.82         10,000.00
3190 Interest & Penalties on Delinquent Taxes                         25,000.00          29,365.84         25,000.00
  Inventory Penalties        
3187 Excavation Tax ($.02 cents per cu yd)                           3,636.00             3,635.62           3,636.00
LICENSES, PERMITS & FEES  xxxxxxxxxxxxxxx   xxxxxxx   xxxxxxxxx 
3210 Business Licenses & Permits                         24,000.00          30,834.76         25,000.00
3220 Motor Vehicle Permit Fees                       525,000.00        514,410.81       510,000.00
3230 Building Permits                         27,500.00          34,620.64         30,000.00
3290 Other Licenses, Permits & Fees                           5,800.00             6,552.50           6,200.00
3311-3319 FROM FEDERAL GOVERNMENT FEMA                         9,710.00             9,710.40                        -  
FROM STATE  xxxxxxxxxxxxxxx   xxxxxxx   xxxxxxxxx 
3351 Shared Revenues                         10,327.00          18,546.00         18,546.00
3352 Meals & Rooms Tax Distribution                         89,482.00          89,481.84         89,482.00
3353 Highway Block Grant                         67,709.00          67,709.21         65,298.00
3354 Water Pollution Grant        
3355 Housing & Community Development        
3356 State & Federal Forest Land Reimbursement        
3357 Flood Control Reimbursement        
3359 Other: Grants & Reimburse (NH Farmland Grant) Cheney                     215,000.00        215,000.00  
3379 FROM OTHER GOVERNMENTS Bridge                     173,250.00        173,250.48  
CHARGES FOR SERVICES  xxxxxxxxxxxxxxx   xxxxxxx   xxxxxxxxx 
3401-3406 Income from Departments                         36,000.00          40,158.44         40,000.00
3409 Other Charges        
MISCELLANEOUS REVENUES  xxxxxxxxxxxxxxx   xxxxxxx   xxxxxxxxx 
3501 Sale of Municipal Property                           2,621.00                701.00         50,000.00
3502 Interest on Investments                         14,000.00          14,695.28         14,000.00
3503-3509 Other                         49,000.00          45,940.56         40,000.00
INTERFUND OPERATING TRANSFERS IN  xxxxxxxxxxxxxxx   xxxxxxx   xxxxxxxxx 
3912 From Special Revenue Funds        
3913 From Capital Project Funds        
MS-7
Rev. 08/05
MS-7 Budget - Town/City of   TUFTONBORO FY   2007
1 2 3 4 5 6
ACCT.# SOURCE OF REVENUE Warr.
Art.#
Estimated Revenues
Prior Year
Actual
Revenues
Prior Year
Estimated
Revenues
Ensuing Year
INTERFUND OPERATING TRANSFERS IN cont.  xxxxxxxxxxxxxxx   xxxxxxx   xxxxxxxxx 
3914 From Enterprise Funds        
  Sewer - (Offset)           
  Water - (Offset)        
  Electric - (Offset)        
  Airport - (Offset)        
3915 From Capital Reserve Funds        
3916 From Trust & Agency Funds Lib/Cem                         5,636.00             5,636.00         65,880.00
3917 From Conservation Funds                         11,000.00          11,000.00  
OTHER FINANCING SOURCES  xxxxxxxxxxxxxxx   xxxxxxx   xxxxxxxxx 
3934 Proc. From Long Term Bonds & Notes       6,555,252.00
  Amounts VOTED From F/B ("Surplus")   194,977.00 194,977.00  
  Fund Balances ("Surplus") to Reduce Taxes                       110,000.00        110,000.00  
  TOTAL ESTIMATED REVENUE & CREDITS                   1,667,041.00     1,685,228.48   7,584,544.00
** BUDGET SUMMARY **
PRIOR YEAR
ADOPTED BUDGET
SELECTMEN'S
RECOMMENDED BUDGET
BUDGET COMMITTEE'S
RECOMMENDED BUDGET
SUBTOTAL 1 Appropriations Recommended (from pg. 5)                   2,225,004.00     2,472,819.00   2,472,819.00
SUBTOTAL 2 Special Warrant Articles Recommended (from pg. 6)                     465,000.00     6,615,252.00   6,615,252.00
SUBTOTAL 3 "Individual" Warrant Articles Recommended (from pg. 6)                     594,080.00        467,700.00       467,700.00
TOTAL Appropriations Recommended                   3,284,084.00     9,555,771.00   9,555,771.00
Less:  Amount of Estimated Revenues & Credit (from above)                   1,812,430.00     7,584,544.00   7,584,544.00
Estimated Amount of Taxes to be Raised                   1,471,654.00     1,971,227.00   1,971,227.00
Maximum Allowable Increase to Budget Committee's Recommended Budget per RSA  32:18:   _$955,577_______
(See Supplemental Schedule With 10% Calculation
MS-7
Rev. 08/05