TOWN OF ENFIELD
ANNUAL BUDGET
FUNCTION: DEPT/AGENCY: ACTIVITY: CODE:
General Fund Non-Department Charges Misc Charges & Transfers 8030
2005-06 2006-07 2007-08
PROGRAM DETAIL ACTUAL BUDGET REVISED PROPOSED ADOPTED
0400 Purchased Property Services
0411 Water/Sewerage 745,074 725,000 725,000 725,000
0441 Rental - Land/Buildings 56,035 53,000 53,000 53,000
__________ __________ __________ ___________ ___________
801,109 778,000 778,000 778,000
0600 Supplies/Materials
0622 Electricity 596,569 447,500 447,500 447,500
0800 Other Objects
0840 Contingency 400,000 247,700 249,965
0900 Other Use of Funds
0930 Fund Transfers 6,555,896 5,779,045 5,779,045 7,151,346
_____________________________ __________ __________ __________ ___________ ___________
PROGRAM TOTAL 7,953,574 7,404,545 7,252,245 8,626,811
PROGRAM INFORMATION & DATA:
UTILITY CHARGES - Provides for the expenditures associated with Town-Wide
activity that is not specifically associated with a department.
CONTINGENCY - Funds to provide for unforeseen or unbudgeted needs during
the year. FUND TRANSFERS - General revenues required to balance the
proposed Capital Program, Water Pollution Control Fund, Social Services
fund, Dog Fund, Revaluation fund and others.