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Hingham Massachusetts, Incorporated 1635, History & Pride
 

Town Government &
 Services:

 

Departments: Town Accountant

210 Central Street
Hingham, MA 02043-2759
Phone 781-741-1470
FAX 781-741-1454
Office Hours:
M-W-Th 8:30am - 4:30pm
Tues 8:30am-7:00pm
Fri 8:30am-1:00pm
Contact Us

Historical Budgets :

2012 Budget

Appropriated and Approved at Town Meeting, April 25, 2011

    

 

Fiscal 2010
Expended

 

Fiscal 2011
Appropriated

Advisory
Fiscal 2012
Recommended

     GENERAL GOVERNMENT

 

 

 

122 SELECTMEN

 

 

 

  Payroll

395,148

374,540

390,730

  Expenses

32,058

42,709

41,105

  Capital Outlay

0

0

0

  Total

427,206

417,249

431,835

 

 

 

 

132 RESERVE FUND

540,216

550,000

550,000

 

 

 

 

135 TOWN ACCOUNTANT

 

 

 

  Payroll

362,921

384,872

321,887

  Expenses

55,853

11,905

12,555

  Capital Outlay

0

150,325

108,500

  Audit

50,691

72,000

55,000

  Information Technology

94,061

110,868

136,026

  Total

563,526

729,970

633,968

 

 

 

 

141 ASSESSORS

 

 

 

  Payroll

280,953

275,129

277,888

  Expenses

9,261

11,587

11,587

  Capital Outlay

0

0

0

  Consulting

8,000

32,500

7,500

  Map Maintenance

6,000

6,000

6,000

  Total

304,214

325,216

302,975

 

 

 

 

145 TREASURER/COLLECTOR

 

 

 

  Payroll

281,283

286,201

286,441

  Expenses

36,289

43,867

47,808

  Capital Outlay

0

0

0

  Tax Titles

10,502

10,000

10,000

  Total

328,074

340,068

344,249

 

 

 

 

151 LEGAL SERVICES

219,401

225,000

232,000

 

 

 

 

159 TOWN MEETINGS

 

 

 

  Payroll

4,141

2,692

4,692

  Expenses

37,463

25,500

38,900

  Total

41,604

28,192

43,592

 

 

 

 

161 TOWN CLERK

 

 

 

  Payroll

160,315

158,739

163,368

  Expenses

6,077

6,957

6,957

  Total

166,392

165,696

170,325

162 ELECTIONS

 

 

 

  Payroll

6,789

17,350

16,850

  Expenses

8,390

15,855

24,060

  Capital Outlay

0

0

0

  Total

15,179

33,205

40,910

 

 

 

 

171 CONSERVATION

 

 

 

  Payroll

146,390

152,397

0

  Expenses

20,731

13,363

0

  Total

167,121

165,760

0

 

 

 

 

173 COMMUNITY PLANNING

 

 

 

  Payroll

0

0

572,697

  Expenses

0

0

53,941

  Total

0

0

626,638

 

 

 

 

175 PLANNING BOARD

 

 

 

  Payroll

102,176

108,763

0

  Expenses

16,366

27,296

0

  Total

118,542

136,059

0

 

 

 

 

176 BOARD OF APPEALS

 

 

 

  Payroll

85,056

88,845

0

  Expenses

5,593

5,794

0

  Total

90,649

94,639

0

 

 

 

 

177 BARE COVE PARK

 

 

 

  Payroll

15,510

15,511

15,606

  Expenses

5,006

5,333

5,333

  Capital Outlay

0

0

0

  Total

20,516

20,844

20,939

 

 

 

 

191 HERSEY HOUSE

 

 

 

  Expenses

0

0

0

  Total

0

0

0

 

 

 

 

192 TOWN HALL

 

 

 

  Payroll

168,721

167,018

171,431

  Expenses

346,990

374,687

377,593

  Capital Outlay

0

0

94,000

  Total

515,711

541,705

643,024

 

 

 

 

193 GRAND ARMY MEMORIAL HALL

8,297

12,395

12,491

 

 

 

 

TOTAL GENERAL GOVERNMENT

3,526,648

3,785,998

4,052,946

 

 

 

 

     PUBLIC SAFETY

 

 

 

 

 

 

 

210 POLICE DEPARTMENT

 

 

 

  Payroll (Overtime $354,521)

3,946,268

4,085,758

4,137,078

  Expenses

279,039

298,500

298,626

  Capital Outlay($118,000 from available reserves)

0

102,500

155,000

  Total

4,225,307

4,486,758

4,590,704

 

 

 

 

220 FIRE DEPARTMENT

 

 

 

  Payroll (Overtime $453,120)

4,010,878

3,958,723

3,967,478

  Expenses

311,352

327,868

322,029

  Capital Outlay ($368,500 from available reserves)

0

82,000

368,500

  Total

4,322,230

4,368,591

4,658,007

 

 

 

 

230 DISPATCH SERVICES

 

 

 

  Payroll (Overtime $71,868)

464,965

474,263

474,263

  Expenses

3,689

5,000

5,000

  Total

468,654

479,263

479,263

 

 

 

 

241 BUILDING COMMISSIONER

 

 

 

  Payroll

255,816

185,596

0

  Expenses

4,080

3,810

0

  Capital Outlay

0

12,000

0

  Total

259,896

201,406

0

 

 

 

 

244 WEIGHTS AND MEASURES

 

 

 

  Payroll

10,918

10,836

10,836

  Expenses

519

475

475

  Total

11,437

11,311

11,311

 

 

 

 

291 EMERGENCY MANAGEMENT

 

 

 

  Payroll

9,243

9,064

9,243

  Expenses

2,966

2,580

2,580

  Total

12,209

11,644

11,823

 

 

 

 

292 ANIMAL CONTROL

 

 

 

  Payroll

42,627

42,634

44,700

  Expenses

2,321

3,700

3,700

  Total

44,948

46,334

48,400

 

 

 

 

295 HARBORMASTER

 

 

 

  Payroll

110,161

105,860

109,145

  Expenses

26,901

23,320

34,266

  Total

137,062

129,180

143,411

 

 

 

 

299 PUBLIC SAFETY UTILITIES

 

 

 

  Emergency Water

243,923

320,000

326,500

  Street Lighting

136,011

136,000

136,000

  Total

379,934

456,000

462,500

 

 

 

 

TOTAL PUBLIC SAFETY

9,861,677

10,190,487

10,405,419

 

 

 

 

EDUCATION

 

 

 

 

 

 

 

300 SCHOOL DEPARTMENT

 

 

 

  Payroll

29,649,439

28,372,142

30,299,202

  Expenses

6,273,979

7,093,034

7,351,564

  Capital Outlay

10,814

321,000

329,327

  To be supplemented by $783,629 in
Federal grant money, for a total ‘FY’12
Operating budget, net of capital outlay, of $38,434,395

 

 

 

TOTAL EDUCATION

35,934,232

35,786,176

37,980,093

 

 

 

 

     PUBLIC WORKS AND FACILITIES

 

 

 

 

 

 

 

405 PROJECT ENGINEERING

 

 

 

  Payroll

0

0

199,013

  Expenses

0

0

19,000

  Capital Outlay($325,000 from available reserves)

0

0

325,000

  Road Building/Construction

0

0

150,000

  Total

0

0

693,013

 

 

 

 

410 SELECTMEN'S ENGINEERING

 

 

 

  Payroll

96,913

0

0

  Expenses

17,800

19,000

0

  Total

114,713

19,000

0

 

 

 

 

420 HIGHWAY/RECREATION/TREE & PARK

 

 

 

  Payroll (Overtime $38,142)

1,652,309

1,755,101

1,600,032

  Expenses

276,013

336,958

354,101

  Capital Outlay

0

240,000

321,000

  Snow Removal

557,683

500,000

500,000

  Resurfacing

342,279

353,835

277,835

  Total

2,828,284

3,185,894

3,052,968

 

430 LANDFILL/RECYCLING

 

 

 

  Payroll (Overtime $18,092)

402,886

413,533

423,721

  Expenses

988,613

987,663

845,241

  Capital Outlay

92,825

152,500

10,000

  Total

1,484,324

1,553,696

1,278,962

 

 

 

 

440 SEWER COMMISSION

 

 

 

  Payroll

310,694

314,058

314,458

  Expenses

231,266

237,526

240,376

  Capital Outlay

35,741

75,000

72,450

  Engineering

10,000

10,000

10,000

  MWRA Charges

1,368,516

1,505,368

1,508,713

  Debt Service

56,656

54,156

46,969

  Hull Intermunicipal Agreement

98,310

107,017

109,382

  Total

2,111,183

2,303,125

2,302,348

The sum of $ 2,302,348 shall

 

 

 

be funded from Sewer revenue.

 

 

 

 

 

 

 

TOTAL PUBLIC WORKS

6,538,504

7,061,715

7,327,291

 

 

 

 

     HUMAN SERVICES

 

 

 

 

 

 

 

510 HEALTH DEPARTMENT

 

 

 

  Payroll

262,423

273,587

268,853

  Expenses

23,808

17,646

18,135

  Total

286,231

291,233

286,988

 

 

 

 

541 ELDER SERVICES

 

 

 

  Payroll

182,535

182,807

183,207

  Expenses

32,855

58,608

20,774

  Capital Outlay

0

0

12,341

  Tax Work Off Program

11,000

12,000

40,000

  Total

226,390

253,415

256,322

 

 

 

 

543 VETERANS' SERVICES

 

 

 

  Payroll

48,272

50,150

41,200

  Expenses

2,556

6,700

6,300

  Benefits

225,087

223,000

218,000

  Total

275,915

279,850

265,500

 

 

 

 

545 WOMANSPLACE CRISIS CENTER

2,500

2,500

2,500

 

 

 

 

546 SOUTH SHORE WOMEN'S CENTER

0

3,500

3,500

 

 

 

 

TOTAL HUMAN SERVICES

791,036

830,498

814,810

 

 

 

 

     CULTURE AND RECREATION

 

 

 

 

 

 

 

610 LIBRARY

 

 

 

  Payroll

1,053,505

1,063,783

1,096,055

  Expenses

229,801

244,603

234,111

  Capital Outlay

0

20,000

20,000

  Total

1,283,306

1,328,386

1,350,166

 

 

 

 

630 RECREATION COMMISSION

 

 

 

  Payroll

61,091

61,263

67,738

  Expenses

0

0

0

  Capital Outlay

0

0

0

  Total

61,091

61,263

67,738

 

 

 

 

650 TRUSTEES OF BATHING BEACH

 

 

 

  Payroll

14,117

15,553

16,374

  Expenses

8,169

5,825

5,825

  Capital Outlay

0

0

0

  Total

22,286

21,378

22,199

 

 

 

 

691 HISTORICAL COMMISSION

 

 

 

  Payroll

35,866

43,991

0

  Expenses

3,846

4,578

0

  Capital Outlay

0

0

0

  Total

39,712

48,569

0

 

 

 

 

692 CELEBRATIONS

12,087

11,200

11,150

 

 

 

 

TOTAL CULTURE & RECREATION

1,418,482

1,470,796

1,451,253

 

 

 

 

     ENTERPRISE FUND

 

 

 

 

 

 

 

720 COUNTRY CLUB

1,790,887

1,801,473

1,919,861

The total sum of $1,919,861 shall be funded from Country Club revenue

 

 

 

 

 

 

 

TOTAL ENTERPRISE FUND

1,790,887

1,801,473

1,919,861

 

 

 

 

     DEBT SERVICE

 

 

 

710 DEBT SERVICE

7,780,775

7,544,207

7,387,903

  ($3,672,711 IS EXCLUDED FROM

 

 

 

   PROPOSITION 2 1/2)

 

 

 

TOTAL DEBT SERVICE

7,780,775

7,544,207

7,387,903

 

 

 

 

     EMPLOYEE BENEFITS

 

 

 

 

 

 

 

900 CONTRIBUTORY GROUP

5,496,039

6,754,462

7,200,000

    INSURANCE 

 

 

 

 

 

 

 

900 OTHER POSTEMPLOYMENT

0

905,216

975,997

   BENEFITS

 

 

 

 

 

 

 

910 CONTRIBUTORY RETIREMENT

2,850,254

2,953,736

3,527,568

 

 

 

 

911 NON-CONTRIBUTORY PENSIONS

12,077

15,257

15,437

 

 

 

 

912 WORKERS' COMPENSATION

300,000

300,000

300,000

 

 

 

 

913 UNEMPLOYMENT

98,687

92,744

25,000

 

 

 

 

914 MANDATORY MEDICARE

536,131

572,993

630,292

 

 

 

 

TOTAL EMPLOYEE BENEFITS

9,293,188

11,594,408

12,674,294

 

 

 

 

     UNCLASSIFIED

 

 

 

 

 

 

 

901 INSURANCE

381,000

381,000

381,000

  Fire, Public Liability, Property Damage,etc.

 

 

 

 

 

 

 

940 CLAIMS AND INCIDENTALS

 

 

 

   Claims and Incidentals

9,697

7,250

11,250

   Greenbush Legal and Consulting

 

 

 

   Total

9,697

7,250

11,250

 

 

 

 

TOTAL UNCLASSIFIED

390,697

388,250

392,250

 

 

 

 

GRAND TOTAL

77,326,126

80,454,008

84,406,120