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03-03-10 Public Hearing/2010-2011 Budget
EAST HARTFORD TOWN COUNCIL
PUBLIC HEARING
WEDNESDAY, MARCH 3, 2010



        Public notice is hereby given that pursuant to Section 6.4(a) of the Town Charter, a Public Hearing will be held on Wednesday, March 3, 2010 at 7:00 p.m. in the Council Chamber to hear and consider the Town’s and Board of Education budget for the 2010-2011 fiscal year.
        Any person(s) wishing to express opinions on this may do so at the Public Hearing.  The summary of the proposed budget estimates are attached to this notice.

Angela Attenello
Town Council Clerk




ORIGINAL
FY 2010
FY 2008
FY 2009
FY 2010
(7/1/09-12/31/09)
FY 2011
$$$
%
GENERAL FUND REVENUE
ACTUAL
ACTUAL
BUDGET
ACTUAL
RECOMMENDED
INC(DEC)
INC(DEC)
Property Tax
    97,594,565
   100,647,984
         97,572,673
             59,161,053
         105,751,753
    8,179,080
8.38%
Licenses and Permits
      1,486,999
          541,734
              628,850
                  271,483
                622,150
          (6,700)
-1.07%
Intergovernmental
    47,490,125
     50,118,739
         49,996,640
               9,785,715
           44,052,375
   (5,944,265)
-11.89%
Charges - Town Clerk
      1,404,239
          810,601
           1,080,000
                  462,845
                940,000
      (140,000)
-12.96%
Charges - Public Safety
         734,203
          699,511
              611,000
                  197,520
                761,000
       150,000
24.55%
Charges - Building
           41,628
            35,194
                30,500
                    12,845
                  30,500
                 -   
0.00%
Charges - Public Works
         174,451
          152,095
              163,500
                    81,252
                163,500
                 -   
0.00%
Charges - Library
             9,209
            15,120
                16,000
                      7,544
                  16,000
                 -   
0.00%
Charges - Recreation
           91,162
            97,101
                87,000
                    33,995
                  87,000
                 -   
0.00%
Charges - Cemeteries
           87,530
          173,190
              132,256
                    88,230
                165,000
         32,744
24.76%
Fines
           81,912
            63,089
                50,000
                    19,433
                  50,000
                 -   
0.00%
Other Miscellaneous
      2,363,880
       1,614,432
              880,000
                  238,390
                480,000
      (400,000)
-45.45%
Other Transfers
         320,026
            85,634
                60,010
                           70
                  10,010
        (50,000)
-83.32%
GRAND TOTAL - GENERAL FUND REVENUE
  151,879,929
   155,054,424
       151,308,429
             70,360,375
         153,129,288
    1,820,859
1.20%
REVISED
FY 2010
FY 2008
FY 2009
FY 2010
(7/1/09-12/31/09)
FY 2011
$$$
%
GENERAL FUND APPROPRIATIONS
ACTUAL
ACTUAL
BUDGET
ACTUAL
RECOMMENDED
INC(DEC)
INC(DEC)
Legislative
         568,336
          499,306
              499,306
                  260,038
                504,103
           4,797
0.96%
Executive
      2,373,035
       2,437,933
           2,437,933
               1,266,355
             2,462,835
         24,902
1.02%
Finance
    18,717,874
     18,278,517
         18,278,517
             16,057,051
           21,639,872
    3,361,355
18.39%
Development
         253,176
          220,925
              220,925
                  107,870
                228,016
           7,091
3.21%
Public Safety
    23,893,566
     23,419,822
         23,419,822
             12,447,666
           24,204,954
       785,132
3.35%
Inspections and Permits
         743,573
          655,903
              655,903
                  342,131
                668,275
         12,372
1.89%
Public Works
    13,115,383
     12,557,085
         12,557,085
               5,896,648
           12,693,122
       136,037
1.08%
Parks and Recreation
      2,656,097
       2,585,075
           2,585,075
               1,239,951
             2,764,687
       179,612
6.95%
Health and Social Services
      1,230,744
       1,281,729
           1,281,729
                  590,633
             1,331,289
         49,560
3.87%
Debt Services
      7,471,975
       8,607,603
           8,607,603
               2,434,784
             8,127,897
      (479,706)
-5.57%
Contingency
                   -   
       2,205,000
              205,000
                            -   
                611,000
       406,000
198.05%
Capital Improvement
      1,287,678
       1,450,464
           1,450,464
               1,300,336
             1,232,083
    (218,381)
-15.06%
Boards and Commissions
         110,953
          109,067
              109,067
                    26,096
                112,918
           3,851
3.53%
Education
    79,935,936
     77,000,000
         76,548,237
             27,282,974
           76,548,237
                 -   
0.00%
GRAND TOTAL - GENERAL FUND APPROPRIATIONS
 152,358,326
   151,308,429
       148,856,666
             69,252,533
         153,129,288
    4,272,622
Angela Attenello
TOWN COUNCIL CLERK