BUDGET 2019Actual 2019BUDGET 2020Actual 2020Budget 2021Budget 2022actual 2022/Oct 6 2022Proposed Budget 2023
Receipts
Town Of New Albion
Village of Catt
Town of Otto
Town of East Otto
Catt-LV Central School $                                 75,000.00
Local Library Services $                                    1,400.00
Cash Grant $                                       250.00
Marketing Grant
Materials Grant $                                    2,149.00
State Senate Bullet Aid
Covid reopening grant
Collaboration Grant
Outreach Grant
Penquin Random Grant
Nora Roberts Grant
Walmart Grant
Summer Reading Grant
Cullen Foundat Grant
Construction Grant
Interest Earned $                                       100.00
Memorials
Donations General
Raffles
DonationsPrograms
Donations Letter
Donations Improvement
Copies $                                       800.00
Lost or Damaged Books
Fax $                                          50.00
Misc-erate,recycled ink
Fundraising
Uncategorized Income $                                          20.00
Book Sales $                                       150.00
Laminations $                                            5.00
Total Receipts $                                 79,924.00
Disbursements
Gross Payroll $                                 45,000.00
Employers SS and Med $                                 10,000.00
Workman’s Comp & Dis $                                    1,200.00
Magazines $                                          80.00
Books $                                    3,938.00
Videos $                                    1,312.00
Replacement Bks & video’s $                                       250.00
Cleaning Supplies/Covid $                                       350.00
ILL Book Fines
Building Repairs general $                                    1,000.00
Building – Covid Expense
Building – Furnishings
Building – Maintenance
Building-Upstairs
Building- New Roof
Building – Construction
Building – Update $                                    3,500.00
Heat $                                    2,000.00
Electric $                                    2,200.00
Insurance $                                    2,000.00
Water & Sewer $                                       800.00
Library Supplies $                                       500.00
Office Supplies $                                       500.00
Software & Internet $                                       700.00
Phone $                                    1,000.00
Software License $                                       800.00
Movie License $                                       300.00
New Equipment $                                    2,000.00
Postage $                                       300.00
Computer and Copier $                                    1,000.00
Interest Exp – Roof Loan
Programs $                                       600.00
Advertising $                                       500.00
Miscellaneous (milage) $                                       200.00
Accountant $                                       700.00
Trash Removal $                                       400.00
CCLS Overdrive $                                       300.00
Safe Deposit Box $                                          15.00
Bank Charges
Meals (Annual Meeting)
Annual Letter $                                       600.00
Ins Bonding – Treasurer $                                       400.00
Membership Fee NYSLA $                                       250.00
Total Disbursements $                                 84,695.00