TOWNSHIP OF WOODBRIDGE

PUBLIC NOTICE

FIRE DISTRICT NO.1, WOODBRIDGE, NJ

2002 BUDGET

 

Notice  is  hereby given  to  the legal  voters  of  Fire  District No.  1  that  an election will be held on Saturday,  February 16,  2002,  between the hours of 2 p.m. and 9 pm., at the following polling places:   #1 - Woodbridge Fire House, 416  School Street,  Woodbridge,  NJ;  and #2 - The Sewaren Free Public Library located at  546 West Ave,,  Sewaren,  NJ.   Said election is  for  the  following purposes:

 

 

1.       The election of one (1) fire commissioner for a one (1) year unexpired term

2.       The election of two (2) fire commissioners for a three (3) year term.

3.        To vote on the 2001 budget for the period of January 1 to December 31, 2002

4.        Such other matters as may be required.

 

OPERATING / CAPITAL APPROPRIATIONS

                 Paid Positions                                                                                     $ 1,719,487

                 Employee Benefits                                                                                    761,679

                 Fire Hydrant Rentals or Service                                                                  314,313

                 Insurance Premiums                                                                                   33,000

                 Joint Mutual Services Agreement                                                                  11,000

                 911 Dispatch - First Aid and Fire                                                                  52,500

                 Professional Services                                                                                  45,560

                 Outside Services                                                                                         34,500

                 Elections and Notices                                                                                   6,000

                 Membership, Dues and Subscriptions                                                               500

                 Training and Education                                                                                10,000

                 Uniforms and Personnel Equipment                                                              18,000

                 Utilities and Related Services                                                                       35,000

                 Office Supplies and Postage                                                                          8,000

                 Maintenance and Repairs                                                                            90,000

                 Uniform Fire Safety Act (PL 1983, CHP 383):

                    Total Paid Positions                                                                               336,111

                    Other Expenses                                                                                      36,000

                 Supplemental Fire Services Act (PL 1985, SM? 295)                                       8,889

                 Reserve for Truck                                                                                           -------

                 Length of Service Award Program

                    Contribution (PL 1997 C388)                                                                       1,000

                 Medical Transport                                                                                            500

                 Fuel                                                                                                             5,000

 

                             Total Operating Appropriations                                                     3,527,059

 

Debt Service:

                        Principal Payments of Bonds                                                                 60,000

                        Interest Payments on Bonds                                                                 27,700

 

Total Appropriations and Other Charges                                     $ 3,614,759

REVENUES

                 Reserved Fund Balance Utilized                                                          $       85,000

                 Supplemental Fire Services Act (PL 1985, CHP 295)                                       8,889

                 Uniform Fire Safety Act (PL 1983, CHP 383)

                    Annual Registration Fees                                                                          64,116

                 Interest on Investments and Deposits                                                            28,000

                 Other Revenue                                                                                              1,000

                 Amount to be Raised by Taxation                                                             3,427,754

 

                             Total Revenues                                                                        $ 3,614,759