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FY2023 Resolution & Budget

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FY2023 BUDGET REVENUES

COUNTY COMMISSIONERS' BUDGET

GENERAL FUND REVENUE

FY22 Approved FY23 Approved FY22-FY23 FY21 Actual Budget Budget $ Change Revenue Sources - By Type Taxes Real & Personal Prop Taxes 7 2,662,359 7 1,934,144 73,475,000 1,540,856 Income Taxes 6 7,985,531 6 1,238,067 68,845,000 7,606,933 Public Utility Tax 2,070,039 1,850,000 2,060,600 210,600 Admission & Amusement Tax 183,601 155,000 1 85,000 30,000 Hotel Tax 596,806 500,000 6 50,000 150,000 Franchise Fee 473,507 485,000 4 85,000 -

Recordation Taxes 1 0,641,852 7,000,000 9,715,250 2,715,250 Transfer Taxes 4,000,090 2,600,000 3,757,964 1,157,964 State Shared Taxes/Highway User 1,174,931 1,000,000 1,253,000 253,000 Licenses & Permits 934,967 557,375 7 45,875 188,500 Intergovernmental 1,786,650 1,774,641 2,172,218 397,577 Service Charges 3,074,968 2,562,937 2,880,212 317,275 Miscellaneous Interest & Insurance Income 273,063 200,000 1 75,000 (25,000)

Rents 154,626 145,300 1 60,300 15,000 Fines 8 0,749 7 1,500 70,500 (1,000) Other Income 784,579 358,389 4 11,289 52,900 Transfers In 1,833,980 1,947,088 2,857,792 910,704 Fund Balance - 1,525,829 1,500,000 (25,829)

TOTAL REVENUES 168,712,298 155,905,270 171,400,000 15,494,730

TAX RATES:

1. Real Property Tax revenue for FY23 is based on a rate of $.8300 per $100 of assessed valuation for all

properties in Queen Anne's County

2. Railroad and Public Utilities Tax and operating personal property used to generate electricity for sale

for FY23 is based on a rate of $2.075 per $100 of assessed valuation

3. Local Income Tax revenue for FY2023 is based on a rate of 3.20% of the Maryland Taxable Income

4. Recordation Tax revenue for FY23 is based on a rate of $4.95 per $500 of the value of the recorded transaction

5. Transfer Tax revenue for FY23 is based on a rate of .5% of the dollar consideration presented for recording

The rate drops to .25% for First time Maryland Homebuyers who occupy the property as their principal residence

6. Hotel tax revenue for FY23 is based on a rate of 5% of the value of the rental of rooms for sleeping

accommodations provided to transients

7. Admissions and Amusement Tax revenue for FY23 is based on a rate of 5% of the value of the

amusement or admission

QUEEN ANNE'S COUNTY

FY2023 EXPENDITURES

COUNTY COMMISSIONERS' BUDGET

FY22 Approved FY23 Approved FY22-FY23 % FY21 Actual Budget Budget $ Change Change County Administration County Commissioners 431,298 490,251 524,838 34,587 7.1% Executive 239,587 241,616 257,236 15,620 6.5% Legal 309,664 501,700 504,307 2,607 0.5% Budget & Finance 1,440,765 1 ,383,280 1 ,593,877 210,597 15.2% Information Technology - GOV 1,829,946 2 ,229,851 2 ,621,577 391,726 17.6% Information Technology - DES* - - 677,893 677,893 100.0%

Human Resources 636,125 578,055 668,914 90,859 15.7% Economic & Tourism Development 562,165 810,939 893,083 82,144 10.1%

QAC-TV 394,831 408,631 479,763 71,132 17.4%

Community Affairs 99,368 192,279 215,564 23,285 12.1%

TOTAL 5,943,749 6,836,602 8,437,052 1,600,450 23.4%

Community Services Area Agency on Aging 1,187,072 2 ,061,226 2,160,261 99,035 4.8% Housing & Community Services 509,734 618,612 602,822 (15,790) -2.6% Local Management Board 409,452 436,825 466,117 29,292 6.7%

TOTAL 2,106,258 3,116,663 3,229,200 112,537 3.6%

Planning & Zoning 1,941,381 2,147,137 2,461,150 314,013 14.6% Public Safety Detention Center 4,731,597 5 ,343,957 6 ,413,540 1,069,583 20.0% Emergency Services* 9,945,415 11,061,936 12,415,398 1,353,462 12.2%

TOTAL 14,677,012 16,405,893 18,828,938 2,423,045 14.8%

Public Works Administration 459,892 567,403 601,083 33,680 5.9% Animal Services 813,635 847,180 1,201,552 354,372 41.8% Engineering 813,083 965,577 1 ,085,565 119,988 12.4% General Services 2,392,884 2 ,604,233 2 ,923,651 319,418 12.3% Roads 4,491,327 5 ,248,165 5 ,953,637 705,472 13.4% Solid Waste 1,520,704 1 ,598,609 1 ,806,438 207,829 13.0% Property Management 297,757 321,871 375,923 54,052 16.8%

TOTAL 10,789,282 12,153,038 13,947,849 1,794,811 14.8%

Parks and Recreation Parks 3,889,900 4 ,324,645 4 ,653,414 328,769 7.6% Recreation 666,365 1 ,044,509 1 ,113,972 69,463 6.7% Airport 59,669 59,594 59,455 (139) -0.2% Golf Course 122,276 195,001 175,000 (20,001) -10.3%

TOTAL 4,738,210 5,623,749 6,001,841 378,092 6.7%

SUBTOTAL GENERAL COUNTY GOVT: 40,195,892 46,283,082 52,906,030 6,622,948 14.3% *Note: For FY23, previous DES-Support Services department was transferred to Information Technology - DES

QUEEN ANNE'S COUNTY

FY2023 EXPENDITURES

COUNTY COMMISSIONERS' BUDGET

FY22 Approved FY23 Approved FY22-FY23 % FY21 Actual Budget Budget $ Change Change Board of Education 61,033,559 6 2,559,389 64,085,219 1,525,830 2.4% Other Agencies State's Attorney's Office 1,381,073 1,439,901 1,560,063 120,162 8.3% 4-H Park 75,354 96,500 129,600 3 3,100 34.3% Sheriff's Office 8,359,691 9,408,969 1 0,839,754 1,430,785 15.2% Orphans' Court 86,502 88,446 9 9,001 1 0,555 11.9% Circuit Court 690,234 7 10,124 885,990 175,866 24.8%

Fire Protection & Rescue 4,030,683 4,155,087 4,408,510 253,423 6.1% Chesapeake College 2,009,418 1,991,406 2,094,097 102,691 5.2% QAC Free Library 1,957,600 2,038,528 2,312,786 274,258 13.5% Board of Elections 865,635 9 69,448 1,228,694 259,246 26.7% Health Department 2,437,604 2,451,468 2,767,669 316,201 12.9% Social Services 180,556 1 79,497 174,408 ( 5,089) -2.8% Soil Conservation Service 176,862 1 97,834 229,147 3 1,313 15.8%

UMD Extension Service 346,234 3 52,378 387,657 3 5,279 10.0%

TOTAL 22,597,446 2 4,079,586 27,117,376 3,037,790 12.6%

Debt Board of Education 6,016,545 6,368,111 6,400,432 32,321 0.5% General County Government 5,747,525 6,006,317 6,750,024 743,707 12.4%

TOTAL 11,764,070 1 2,374,428 13,150,456 776,028 6.3%

Other Intergovernmental 516,792 7 18,010 785,787 67,777 9.4% General Insurance 598,536 8 00,000 820,000 20,000 2.5% Benefits/OPEB 4,279,993 4,716,560 4,787,624 71,064 1.5% Local Grants 767,440 5 93,979 669,066 75,087 12.6% Transfer to Capital/Other 16,433,689 2,533,933 5,467,988 2,934,055 115.8% Non-Departmental 333,912 5 46,300 540,300 (6,000) -1.1% Salary Lapse - (1,000,000) ( 1,378,310) (378,310) 37.8%

Contingency 854,336 1,700,003 2,448,464 748,461 44.0%

TOTAL 23,784,698 1 0,608,785 14,140,919 3,532,134 33.3%

TOTAL GENERAL FUND: 1 59,375,665 155,905,270 171,400,000 15,494,730 9.9% Queen Anne's County Budget: FY2023 Department of Aging FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Transfer In $ 1,187,072 $ 2,061,226 $ 2,160,261 $ 99,035 4.8% Intergovernmental 1,495,068 1,142,469 1,141,906 (563) 0.0% Charges for Services 37,025 111,100 111,100 - 0.0% Miscellaneous 47,131 71,000 71,000 - 0.0%

Total Revenue 2,766,296 3,385,795 3,484,267 98,472 2.9% Expenditures Salaries & Wages 1,501,338 1,755,034 1,837,386 82,352 4.7% Contracted Services 301,756 289,696 290,212 516 0.2% Supplies & Materials 224,864 374,136 397,197 23,061 6.2% Benefits 688,589 833,788 825,362 (8,426) -1.0% Other Charges 37,849 118,141 119,110 969 0.8% Capital Outlay 11,665 15,000 15,000 - 0.0% Total Expenditures 2,766,061 3,385,795 3,484,267 98,472 2.9%

Operating Surplus (Deficit) $ 235 $ - $ - $ - Queen Anne's County Budget: FY2023 Bay Bridge Airport FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Transfer In $ 59,669 $ 59,594 $ 59,455 $ (139) -0.2% Intergovernmental - - - - 0.0% Charges for Services 24,920 23,500 23,500 - 0.0% Miscellaneous 707,514 561,822 576,199 14,377 2.6% Total Revenue 7 92,103 6 44,916 6 59,154 14,238 2.2%

Expenditures Salaries & Wages 118,197 119,079 133,371 14,292 12.0% Contracted Services 40,082 45,000 45,650 650 1.4% Supplies & Materials 134,262 149,480 149,656 176 0.1% Benefits 41,282 40,600 40,582 (18) 0.0% Other Charges 281,947 290,757 289,895 (862) -0.3% Capital Outlay - - - - 0.0% Total Expenditures 6 15,770 6 44,916 6 59,154 14,238 2.2% Operating Surplus (Deficit) $ 176,333 $ - $ - $ - Queen Anne's County

Budget: FY2023 Blue Heron Golf Course FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Transfer In $ 1 22,276 $ 195,001 $ 175,000 $ (20,001) -10.3% Charges for Services 637,576 424,000 452,671 28,671 6.8% Miscellaneous 2,650 1,800 - (1,800) -100.0% Total Revenue 7 62,502 6 20,801 6 27,671 6,870 1.1% Expenditures Salaries & Wages 131,799 146,752 151,226 4,474 3.0% Contracted Services 242,620 311,880 312,480 600 0.2%

Supplies & Materials 34,382 67,900 66,950 (950) -1.4% Benefits 19,517 20,811 20,703 (108) -0.5% Other Charges 64,235 73,458 76,312 2,854 3.9% Total Expenditures 4 92,553 6 20,801 6 27,671 6,870 1.1% Operating Surplus (Deficit) $ 269,949 $ - $ - $ - Queen Anne's County Budget: FY2023 Housing & Community Services FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Transfer In $ 5 09,734 $ 618,612 $ 602,822 $ (15,790) -2.6%

Other Taxes 332,558 200,000 200,000 - 0.0% Intergovernmental 622,422 408,881 839,300 430,419 105.3% Charges for Services 864,667 400,000 400,000 - 0.0% Miscellaneous (1,538) - - - 0.0% Total Revenue 2,327,843 1,627,493 2,042,122 4 14,629 25.5% Expenditures Salaries & Wages 328,107 343,890 359,652 15,762 4.6% Contracted Services 147,363 113,500 253,500 140,000 123.3% Supplies & Materials 3,909 15,874 66,373 50,499 318.1%

Benefits 137,823 141,417 159,166 17,749 12.6% Other Charges 515,123 887,612 1,098,231 210,619 23.7% Capital Outlay - 125,200 105,200 (20,000) -16.0% Total Expenditures 1,132,325 1,627,493 2,042,122 4 14,629 25.5% Operating Surplus (Deficit) $ 1,195,518 $ - $ - $ - Queen Anne's County Budget: FY2023 Community Partnerships for Children FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change

Revenues Transfer In $ 4 09,452 $ 436,825 $ 466,117 $ 29,292 6.7% Intergovernmental 619,224 636,386 652,718 16,332 2.6% Miscellaneous 166 - - - - Total Revenue 1,028,842 1,073,211 1,118,835 45,624 4.3% Expenditures Salaries & Wages 208,142 207,317 204,842 (2,475) -1.2% Contracted Services 350,552 347,957 364,225 16,268 4.7% Supplies & Materials 51,816 46,902 47,059 157 0.3% Benefits 62,250 61,781 62,865 1,084 1.8%

Other Charges 356,040 409,254 439,844 30,590 7.5% Capital Outlay - - - - - Total Expenditures 1,028,800 1,073,211 1,118,835 45,624 4.3% Operating Surplus (Deficit) $ 42 $ - $ - $ - Queen Anne's County Budget: FY2023 Public Landings & Marinas FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Intergovernmental $ 23,950 $ 15,000 $ 25,000 $ 10,000 66.7% Charges for Services 555,627 465,750 530,604 64,854 13.9%

Miscellaneous 34,453 20,500 28,000 7,500 36.6% Transfer In - - - - - Prior Year Fund Balance - - - - - Total Revenue 6 14,030 5 01,250 5 83,604 82,354 16.4% Expenditures Salaries & Wages 167,569 178,381 218,361 39,980 22.4% Contracted Services 63,617 74,239 77,539 3,300 4.4% Supplies & Materials 32,285 39,800 41,800 2,000 5.0% Benefits 60,211 61,748 67,300 5,552 9.0% Other Charges 131,577 136,782 141,304 4,522 3.3%

Capital Outlay 1,379 10,300 37,300 - 262.1% Total Expenditures 4 56,638 5 01,250 5 83,604 82,354 16.4% Operating Surplus (Deficit) $ 157,392 $ - $ - $ - Queen Anne's County Budget: FY2023 Grants Fund FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Transfer In $ 20,287 $ 10,598 $ 36,000 $ 25,402 239.7% Intergovernmental 7,781,988 727,189 817,129 89,940 12.4% Charges for Services 4,925 27,500 27,500 - 0.0%

Miscellaneous 6,398 46,000 48,000 2,000 4.3% Total Revenue 7,813,598 8 11,287 9 28,629 1 17,342 14.5% Expenditures Salaries & Wages 648,303 460,803 509,808 49,005 10.6% Contracted Services 329,179 1,000 2,500 1,500 150.0% Supplies & Materials 181,010 26,994 29,500 2,506 9.3% Benefits 180,656 129,728 132,725 2,997 2.3% Other Charges 4,119,909 83,000 152,469 69,469 83.7% Capital Outlay 2,354,541 109,762 101,627 (8,135) -7.4%

Total Expenditures 7,813,598 8 11,287 9 28,629 1 17,342 14.5% Operating Surplus (Deficit) $ - $ - $ - $ - Queen Anne's County Budget: FY2023 Agricultural Transfer Tax Fund FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Ag Transfer Tax $ 1 11,443 $ 125,000 $ 125,000 $ - 0.0% Transfer In 850,577 300,000 - (300,000) -100.0% Prior Year Fund Balance - - 1,072,394 1,072,394 100.0%

Total Revenue 9 62,020 4 25,000 1,197,394 7 72,394 181.7% Expenditures Other Charges 761,912 425,000 1,197,394 - 181.7% Total Expenditures 7 61,912 4 25,000 1,197,394 7 72,394 181.7% Operating Surplus (Deficit) $ 200,108 $ - $ - $ - Queen Anne's County Budget: FY2023 Law Library FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Charges for Services $ 9,424 $ 10,000 $ 10,000 $ - 0.0%

Miscellaneous 26,327 15,500 15,500 - 0.0% Total Revenue 35,751 25,500 25,500 - 0.0% Expenditures Supplies & Materials 3,157 25,000 25,000 - 0.0% Other Charges - 500 500 - 0.0% Total Expenditures 3,157 25,500 25,500 - 0.0% Operating Surplus (Deficit) $ 3 2,594 $ - $ - $ - Queen Anne's County Budget: FY2023 Inmate Welfare Fund FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues

Intergovernmental $ - $ 10,890 $ 10,890 $ - 0.0% Charges for Services 144,089 125,000 125,000 - 0.0% Miscellaneous 13,350 16,310 16,310 - 0.0% Prior Year Fund Balance - 10,950 10,950 - 0.0% Total Revenue 1 57,439 1 63,150 1 63,150 - 0.0% Expenditures Contracted Services 76 150 150 - 0.0% Supplies & Materials 150,975 140,000 140,000 - 0.0% Other Charges - 5,000 5,000 - 0.0% Capital Outlay 4,993 18,000 18,000 - 0.0%

Total Expenditures 1 56,044 1 63,150 1 63,150 - 0.0% Operating Surplus (Deficit) $ 1,395 $ - $ - $ - Queen Anne's County Budget: FY2023 Kent Narrows Special Revenue Fund FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Special Assessments Property Tax $ 36,818 $ 38,000 $ 38,000 $ - 0.0% Miscellaneous 173 - - - 0.0% Prior Year Fund Balance - - - - 0.0% Total Revenue 36,991 38,000 38,000 - 0.0%

- Expenditures Other Charges 35,000 38,000 38,000 - 0.0% Total Expenditures 35,000 38,000 38,000 - 0.0% Operating Surplus (Deficit) $ 1,991 $ - $ - $ - Queen Anne's County Budget: FY2023 Narrows Point Shore Erosion FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Benefit Assessment $ 29,223 $ 27,391 $ 27,391 $ - 0.0% Miscellaneous 244 - - - 0.0% Total Revenue 29,467 27,391 27,391 - 0.0%

Expenditures Debt Service - Principal 27,391 27,391 27,391 - 0.0% Other Charges - - - - 0.0% Total Expenditures 27,391 27,391 27,391 - 0.0% Operating Surplus (Deficit) $ 2,076 $ - $ - $ - Queen Anne's County Budget: FY2023 Grove Creek Dredging Fund FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Benefit Assessment $ 19,914 $ 20,425 $ 20,425 $ - 0.0% Miscellaneous 359 - - - 0.0%

Total Revenue 20,273 20,425 20,425 - 0.0% Expenditures Debt Service - Principal 20,425 20,425 20,425 - 0.0% Total Expenditures 20,425 20,425 20,425 - 0.0% Operating Surplus (Deficit) $ (152) $ - $ - $ - Queen Anne's County Budget: FY2023 Economic Development Incentive Fund FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Transfer In $ 85,680 $ - $ - $ - 0.0% Prior Year Fund Balance - 97,900 97,900 - 0.0%

Miscellaneous 14,000 27,100 27,100 - 0.0% Total Revenue 99,680 1 25,000 1 25,000 - 0.0% Expenditures Other Charges 124,940 125,000 125,000 - 0.0% Total Expenditures 1 24,940 1 25,000 1 25,000 - 0.0% Operating Surplus (Deficit) $ (25,260) $ - $ - $ - Queen Anne's County Budget: FY2023 Rural Legacy Fund FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Intergovernmental $ 1,612,662 $ - $ 1,650,321 $ 1,650,321 100.0%

Miscellaneous 784 - - - 0.0% Transfer In - - 1,650,321 1,650,321 100.0% Total Revenue 1,613,446 - 1,650,321 1,650,321 100.0% Expenditures Other Charges 2,292,285 - 1,650,321 1,650,321 100.0% Total Expenditures 2,292,285 - 1,650,321 1,650,321 100.0% Operating Surplus (Deficit) $ (678,839) $ - $ - $ - Queen Anne's County Budget: FY2023 KNS&G Wastewater FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change

Revenues User Revenues $ 6,426,171 $ 6,238,947 $ 6,647,671 $ 408,724 6.6% Inspection Fees 225,283 200,000 200,000 - 0.0% Interest 17,512 30,000 15,000 - -50.0% User Interest 74,931 90,000 65,000 - -27.8% Transfer In (for Debt Service) 1,059,710 1,059,711 1,059,710 (1) 0.0% Developer Review & Exactions - 5,000 4,241 (759) -15.2% Other Revenues 170,679 93,600 143,600 50,000 53.4% Total Revenue 7,974,286 7,717,258 8,135,222 4 57,964 5.4%

Expenditures Admin & Inspections 2,589,088 2,614,180 1,991,504 (622,676) -23.8% Collection 3,506,101 3,218,981 3,988,139 769,158 23.9% Treatment 1,518,401 1,711,597 1,945,579 233,982 13.7% Shop 208,472 172,500 210,000 37,500 21.7% Total Expenditures $ 7,822,062 $ 7,717,258 $ 8,135,222 $ 417,964 5.4% Operating Surplus (Deficit) $ 152,224 $ - $ - $ - Queen Anne's County Budget: FY2023 KNS&G Water FY22 Approved FY23 Approved

FY21 Actual Budget Budget $ Change % Change Revenues User Revenues $ 2,736,665 $ 2,477,474 $ 3,095,289 $ 617,815 24.9% Inspection Fees - - - - 0.0% Interest 41,662 55,000 40,000 - -27.3% User Interest 37,644 55,000 40,000 - -27.3% Other Revenues 193,387 175,000 193,723 18,723 10.7% County Funds - - - - 0.0% Total Revenue 3,009,358 2,762,474 3,369,012 6 36,538 22.0% Expenditures Admin & Inspections 811,683 433,808 582,905 149,097 34.4%

Distribution 317,742 314,450 576,030 261,580 83.2% Treatment 1,252,595 1,928,216 2,116,577 188,361 9.8% Shop 105,273 86,000 93,500 7,500 8.7% Total Expenditures 2,487,293 2,762,474 3,369,012 6 06,538 22.0% Operating Surplus (Deficit) $ 522,065 $ - $ - $ - Queen Anne's County Budget: FY2023 SKI Wastewater FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Transfer In (for Debt Service) $ - $ 1,226,459 $ 1,254,422 $ 27,963 2.3%

User Revenues 190,432 232,136 252,136 20,000 8.6% Miscellaneous 5,007 - - - 0.0% Total Revenue 1 95,439 1,458,595 1,506,558 47,963 3.3% Expenditures Admin & Inspections - 1,285,469 1,283,770 (1,699) -0.1% Collection 255,631 98,126 126,277 28,151 28.7% Treatment - 75,000 96,511 21,511 28.7% Shop 31 - - - 0.0% Total Expenditures $ 255,662 $ 1,458,595 $ 1,506,558 $ 4 7,963 3.3% Operating Surplus (Deficit) $ (60,223) $ - $ - $ -

Queen Anne's County Budget: FY2023 Sudlersville Wastewater FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Miscellaneous $ 1 20,091 $ 152,175 $ 171,212 $ 19,037 12.5% Total Revenue 1 20,091 1 52,175 1 71,212 19,037 12.5% Expenditures Treatment 123,482 152,175 171,212 19,037 12.5% Total Expenditures $ 123,482 $ 152,175 $ 171,212 $ 1 9,037 12.5% Operating Surplus (Deficit) $ ( 3,391) $ - $ - $ -

Queen Anne's County Budget: FY2023 Sudlersville Water FY22 Approved FY23 Approved FY21 Actual Budget Budget $ Change % Change Revenues Miscellaneous $ 16,530 $ 48,896 $ 50,000 $ 1,104 2.3% Total Revenue 16,530 48,896 50,000 1,104 2.3% Expenditures Treatment 17,226 48,896 50,000 1,104 2.3% Total Expenditures $ 1 7,226 $ 4 8,896 $ 5 0,000 $ 1,104 2.3% Operating Surplus (Deficit) $ (696) $ - $ - $ -

QUEEN ANNE'S COUNTY

IMPACT FEE FUND

FISCAL 2023 BUDGET

BOARD OF EDUCATION VOLUNTEER FIRE DEPARTMENT PARKS & RECREATION

FY21 FY22 FY23 FY21 FY22 FY23 FY21 FY22 FY23

PRIOR APPROVED APPROVED PRIOR APPROVED APPROVED PRIOR APPROVED APPROVED

ACTUAL BUDGET BUDGET ACTUAL BUDGET BUDGET ACTUAL BUDGET BUDGET

REVENUES

IMPACT FEE REVENUE 3,383,580 1,500,000 2,000,000 518,866 200,000 266,500 433,141 199,600 299,600

INTEREST 1 0,354 - - 448 500 500 393 400 400

PRIOR YEAR FUND BALANCE - 447,088 857,792 - - - - - -

TRANSFER IN FROM GENERAL FUND - - - 6 2,825 9 0,000 90,000 - -

TOTAL REVENUE 3,393,934 1,947,088 2,857,792 582,139 290,500 357,000 433,534 200,000 300,000

EXPENDITURES

TRANSFER TO GENERAL FUND 1,833,980 1,947,088 2,857,792 - - - - - -

TRANSFER TO CAPITAL PROJECTS - - - - - - - 200,000 300,000

VOLUNTEER FIRE DEPARTMENTS - - - 416,486 290,500 357,000 - - -

TOTAL EXPENDITURES 1,833,980 1,947,088 2,857,792 416,486 290,500 357,000 - 200,000 300,000

NET INCOME/(LOSS) 1,559,954 - - 165,653 - - 433,534 - -

QUEEN ANNE'S COUNTY

CAPITAL BUDGET BY YEAR

FY 2023

CC PROPOSED

DESCRIPTION PAYGO GRANTS BONDS OPERATING FUND BALANCE OTHER TOTAL

ALLOCATION TO VOLUNTEER FIRE DEPARTMENTS 625,000 - - - - - 625,000

4-H PARK IMPROVEMENTS (QAC Park Board) 230,000 - - - - - 230,000

QACTV EQUIPMENT - - - - - 52,560 52,560

CHESAPEAKE HERITAGE & VISITORS CENTER - - - - 350,000 - 350,000

BLUE HERON GOLF COURSE IMPROVEMENTS - - - - 470,000 - 470,000

TOTAL OUTSIDE AGENCIES AND OTHER 855,000 - - - 820,000 52,560 1,727,560

HISTORIC COURTHOUSE - - - - 2,000,000 - 2,000,000

COUNTY FACILITIES - - - - 360,000 - 360,000

CRUMPTON BUILDING - - - - 100,000 - 100,000

LIBERTY BUILDING RENOVATION - - - - 225,000 - 225,000

WETLAND MITIGATION - - - - 250,000 - 250,000

MS4 STORMWATER MANAGEMENT - - - - 200,000 - 200,000

TRAFFIC STUDY - - - - 50,000 - 50,000

RAILROAD AVE BUILDING RENO - - - - 70,000 - 70,000

EMS STATON 100 RENOVATIONS - - - - 35,000 - 35,000

HOUSING AUTHORITY FACILITY RECAP - - - - 250,000 - 250,000

YMCA 529,000 8 00,000 - - 1,471,000 - 2,800,000

SUDLERSVILLE SENIOR CENTER RENOVATION - - - - 75,000 - 75,000

CLOVERFIELDS FLOOD MITIGATION - 1 75,000 - - 50,000 - 225,000

BOE ATHLETIC TRACKS - - - - 355,000 - 355,000

TOTAL ADMINISTRATION & GENERAL SERVICES 529,000 9 75,000 - - 5,491,000 - 6,995,000

TOTAL PROPERTY MANAGEMENT - - - - - - -

CAT KENNELS - - - - 50,000 - 50,000

HVAC UPGRADES - INFIRMARY - - - - 30,000 - 30,000

TOTAL ANIMAL SERVICES - - - - 80,000 - 80,000

QUEEN ANNE'S COUNTY

CAPITAL BUDGET BY YEAR

FY 2023

CC PROPOSED

DESCRIPTION PAYGO GRANTS BONDS OPERATING FUND BALANCE OTHER TOTAL

TOTAL SHERIFF - - - - - - -

EMERGENCY PLAN UPDATES - - - - 40,000 - 40,000

SCBA & PROTECTIVE GEAR - - - - 85,000 - 85,000

CARDIAC CARE EQUIPMENT - 14,000 - - 61,868 - 75,868

PUBLIC SAFETY NETWORK - - - - 190,000 - 190,000

RADIO SUBSCRIBER REPLACEMENT - - - - 200,000 - 200,000

TOTAL DEPARTMENT OF EMERGENCY SERVICES - 14,000 - - 576,868 - 590,868

DETENTION CENTER RENOVATION 791,988 - - - 643,012 350,000 1,785,000

TOTAL DETENTION CENTER 791,988 - - - 643,012 350,000 1,785,000

STRATEGIC PLANNING INITIATIVES - - - - 50,000 - 50,000

COMMUNITY & COMPREHENSIVE PLAN UPDATES - - - - 50,000 - 50,000

TOTAL PLANNING & ZONING - - - - 100,000 - 100,000

IT INFRASTRUCTURE 425,000 - - - - - 425,000

CENTRALIZED HARDWARE AND APPLICATIONS - - - - 150,000 - 150,000

PUBLIC FIBER INFRASTRUCTURE 600,000 - - - - - 600,000

ERP PROJECT - - - - 250,000 - 250,000

TOTAL IT 1,025,000 - - - 400,000 - 1,425,000

TRANSFER STATION - MAINTENANCE - - - - 50,000 - 50,000

CAPITAL EQUIPMENT - HEAVY & CONSTRUCTION 245,000 - - - - - 245,000

CAPITAL EQUIPMENT - SMALL & NON-MOTORIZED - - - - 130,000 - 130,000

TOTAL SOLID WASTE 245,000 - - - 180,000 - 425,000

QUEEN ANNE'S COUNTY

CAPITAL BUDGET BY YEAR

FY 2023

CC PROPOSED

DESCRIPTION PAYGO GRANTS BONDS OPERATING FUND BALANCE OTHER TOTAL

TOTAL PUBLIC LIBRARY SYSTEM - - - - - - -

TOTAL RECREATION - - - - - - -

CAPITAL EQUIPMENT - HDM LIGHT VEHICLE - 60,501 - - 9,499 - 70,000

LARGE TRANSIT VEHICLE - 2 25,000 - - 25,000 - 250,000

SENIOR CENTER SOFTWARE SYSTEM - 40,334 - - 29,666 - 70,000

KRAMER CENTER RENOVATIONS 200,000 - - - - - 200,000

KENT ISLAND SENIOR CENTER 265,000 - - - - - 265,000

TOTAL AGING 465,000 3 25,835 - - 64,165 - 855,000

BOE ADMIN BUILDING - - 3 ,000,000 - - - 3,000,000

CENTRAL OFFICE BUILDING ENVELOPE 441,000 2 50,000 - - 309,000 - 1,000,000

SECURITY VESTIBULES 175,000 - - - - - 175,000

QUEEN ANNE'S HS - PARTIAL ROOF REPLACEMENT - - 3 ,580,000 - 1,372,000 - 4,952,000

FIRE ALARM REPLACEMENT - - - - - - -

TOTAL BOARD OF EDUCATION 616,000 2 50,000 6 ,580,000 - 1,681,000 - 9,127,000

TRAIL DEV/MAINT/AMENITIES - - - - 30,000 - 30,000

ATHLETIC FIELD WORK - - - - 70,000 - 70,000

ARTIFICAL TURF - - - - 220,000 - 220,000

PARKS LANDSCAPING - - - - 100,000 - 100,000

PARKS PREVANTIVE MAINTENANCE - EXP - - - - 100,000 - 100,000

MAJOR MAINTENANCE - CAP - - - - 111,000 - 111,000

PAVILION/CONCESSION/COMFORT - - - - 180,000 - 180,000

CAPITAL EQUIPMENT - PARKS 265,000 - - - - - 265,000

WHITE MARSH SEWER - - - - 100,000 - 100,000

TOTAL PARKS 265,000 - - - 911,000 - 1,176,000

TOTAL GENERAL CAPITAL PROJECTS 4,791,988 1 ,564,835 6 ,580,000 - 10,947,045 402,560 24,286,428

QUEEN ANNE'S COUNTY

CAPITAL BUDGET BY YEAR

FY 2023

CC PROPOSED

DESCRIPTION PAYGO GRANTS BONDS OPERATING FUND BALANCE OTHER TOTAL

CENTREVILLE LANDINGS BULKHEAD & PARKING LOT PA V I N G - 2 50,000 - - - - 250,000

DEEP LANDING BULKHEAD - 2 50,000 - - - - 250,000

JACKSON CREEK SHORELINE PROTECTION - 10,000 - - - - 10,000

KENT NARROWS DREDGING - 1 ,000,000 - - - - 1,000,000

LITTLE CREEK LANDING IMPROVEMENTS - 10,000 - - - - 10,000

MATAPEAKE BOAT RAMP - 2 50,000 - - - - 250,000

TOTAL PUBLIC LANDINGS ENTERPRISE - 1 ,770,000 - - - - 1,770,000

RUNWAY

11-29 REHABILITATION - 5 ,830,000 4 20,000 - - 1,600,000 7,850,000

TOTAL BAY BRIDGE AIRPORT ENTERPRISE - 5 ,830,000 4 20,000 - - 1,600,000 7,850,000

CAPITAL EQUIPMENT - LIGHT VEHICLES - - - - 100,000 - 100,000

CAPITAL EQUIPMENT - HEAVY & CONSTRUCTION - - - - 365,000 - 365,000

CAPITAL EQUIPMENT - MISC. EQUIPMENT - - - - 60,000 - 60,000

PARKING LOT OVERLAYS 550,000 - - - 50,000 - 600,000

ASPHALT OVERLAYS - - - - 1,000,000 - 1,000,000

BRINE SOLUTION STATION - - - - 142,000 - 142,000

THOMPSON CREEK CONNECTOR - 1 50,000 - - - - 150,000

LITTLE KIDWELL EXTENDED - - - - 625,000 - 625,000

NICHOLS MANOR/ACKERMAN BRIDGES - 7 20,000 - - 180,000 - 900,000

WORCESTER ROAD - - - - - 97,325 97,325

TOTAL ROADS BOARD CAPITAL PROJECTS 550,000 8 70,000 - - 2,522,000 97,325 4,039,325

QUEEN ANNE'S COUNTY

CAPITAL BUDGET BY YEAR

FY 2023

CC PROPOSED

DESCRIPTION PAYGO GRANTS BONDS OPERATING FUND BALANCE OTHER TOTAL

CAPITAL EQUIPMENT REPLACEMENT - - - 90,000 - - 90,000

DISCHARGE PUMP - - - 72,000 - - 72,000

SYSTEMIC REPLACEMENT OF MECHANICAL COMPONEN T S - - - 100,000 - - 100,000

SOUTHERN KENT ISLAND - PHASE II STEP - - - - - 1,200,000 1,200,000

SOUTHERN KENT ISLAND - PHASE III STEP - - - - - 3,050,000 3,050,000

SOUTHERN KENT ISLAND - PHASE III COMMUNITY MAINS - - - - - 3,000,000 3,000,000

SOUTHERN KENT ISLAND - PHASE 4 STEP - - - - 150,000 - 150,000

COUNTY WIDE ORTHO/PLANIMETRIC MAPPING - - - 5 ,000 - - 5,000

TOTAL SEWER ENTERPRISE - - - 267,000 150,000 7,250,000 7,667,000

CAPITAL EQUIPMENT REPLACEMENT - - - 150,000 - - 150,000

RESIDENTIAL METER REPLACEMENT - - - - - 1,000,000 1,000,000

SUPERVISORY CONTROL & DATA ACQUISTION (SCADA) - - - 100,000 - - 100,000

STEVENSVILLE BOOSTER STATION UPGRADE - - - 100,000 - - 100,000

COUNTY WIDE ORTHO/PLANIMETRIC MAPPING - - - 5 ,000 - - 5,000

TOTAL WATER ENTERPRISE - - - 355,000 - 1,000,000 1,355,000

TOTAL ALL CAPITAL PROJECTS 5,341,988 1 0,034,835 7 ,000,000 622,000 13,619,045 10,349,885 46,967,753 *Note: FY23 Capital Budget for General Capital Projects = $24.3 million

QUEEN ANNE'S COUNTY

CAPITAL BUDGET SUMMARY BY EXPENDITURE

FY 2023 - 2028

DESCRIPTION FY23 FY24 FY25 FY26 FY27 FY28 TOTAL

ALLOCATION TO VOLUNTEER FIRE DEPARTMENTS 625,000 625,000 625,000 6 25,000 6 25,000 625,000 3 ,750,000 4-H PARK IMPROVEMENTS (QAC Park Board) 230,000 180,000 180,000 1 80,000 2 00,000 - 9 70,000

QACTV EQUIPMENT 52,560 52,560 52,560 52,560 52,560 5 2,560 3 15,360

CHESAPEAKE HERITAGE & VISITORS CENTER 350,000 80,000 20,000 30,000 - - 4 80,000

BLUE HERON GOLF COURSE IMPROVEMENTS 470,000 - - - - - 4 70,000

TOTAL OUTSIDE AGENCIES AND OTHER 1,727,560 937,560 877,560 8 87,560 8 77,560 677,560 5 ,985,360

HISTORIC COURTHOUSE 2,000,000 2 ,000,000 2,000,000 - - - 6 ,000,000

COUNTY FACILITIES 360,000 370,000 380,000 3 90,000 4 00,000 400,000 2 ,300,000

CRUMPTON BUILDING 100,000 75,000 75,000 - - - 2 50,000

LIBERTY BUILDING RENOVATION 225,000 110,000 110,000 - - - 4 45,000

WETLAND MITIGATION 250,000 275,000 10,000 10,000 10,000 4 0,000 5 95,000 MS4 STORMWATER MANAGEMENT 200,000 200,000 200,000 3 00,000 3 00,000 300,000 1 ,500,000

TRAFFIC STUDY 50,000 - - - - - 50,000

RAILROAD AVE BUILDING RENO 70,000 - - - - - 70,000

EMS STATON 100 RENOVATIONS 35,000 - 50,000 - - - 85,000

EMS STATION 400 RENOVATIONS - - 350,000 - - - 3 50,000

HOUSING AUTHORITY FACILITY RECAP 250,000 250,000 250,000 2 50,000 2 50,000 250,000 1 ,500,000

YMCA 2,800,000 - - - - - 2 ,800,000

SUDLERSVILLE SENIOR CENTER RENOVATION 75,000 350,000 - - - - 4 25,000

CLOVERFIELDS FLOOD MITIGATION 225,000 1 ,050,000 1,050,000 1 ,050,000 1 00,000 100,000 3 ,575,000

BOE ATHLETIC TRACKS 355,000 330,000 - - - - 6 85,000

TOTAL ADMINISTRATION & GENERAL SERVICES 6,995,000 5 ,010,000 4,475,000 2 ,000,000 1 ,060,000 1,090,000 20,630,000

TOTAL PROPERTY MANAGEMENT - - - - - - -

CAT KENNELS 50,000 - - - - - 50,000

HVAC UPGRADES - INFIRMARY 30,000 - - - - - 30,000

TOTAL ANIMAL SERVICES 80,000 - - - - - 80,000

TOTAL SHERIFF - - - - - - -

QUEEN ANNE'S COUNTY

CAPITAL BUDGET SUMMARY BY EXPENDITURE

FY 2023 - 2028

DESCRIPTION FY23 FY24 FY25 FY26 FY27 FY28 TOTAL

EMERGENCY PLAN UPDATES 40,000 70,000 30,000 - 75,000 - 2 15,000

AMBULANCE - 318,150 334,057 4 30,760 3 68,298 386,713 1 ,837,978

SCBA & PROTECTIVE GEAR 85,000 89,610 92,298 95,067 97,919 100,856 5 60,750 CARDIAC CARE EQUIPMENT 75,868 75,868 75,868 75,868 75,868 7 5,868 4 55,208

ROUTE 50/301 TOWER - 500,000 - - - - 5 00,000

PUBLIC SAFETY NETWORK 190,000 170,000 180,000 1 90,000 1 70,000 210,000 1 ,110,000 RADIO SUBSCRIBER REPLACEMENT 200,000 200,000 200,000 2 00,000 2 00,000 200,000 1 ,200,000

RADIO TOWER INSPECTION/REPAIR - - - 10,000 1 47,000 - 1 57,000

911 PHONE CENTER - - 1,700,000 - - - 1 ,700,000

VOICE RECORDING SYSTEM - - - - 1 80,000 - 1 80,000

EMERGENCY SERVICES BUILDING RENOVATIONS - 1 ,775,000 1,765,000 - - - 3 ,540,000 TOTAL DEPARTMENT OF EMERGENCY SERVICES 590,868 3 ,198,628 4,377,223 1 ,001,695 1 ,314,085 973,437 11,455,936 DETENTION CENTER RENOVATION 1,785,000 2 4,734,500 8,434,000 4 ,793,500 - - 39,747,000 TOTAL DETENTION CENTER 1,785,000 2 4,734,500 8,434,000 4 ,793,500 - - 39,747,000 STRATEGIC PLANNING INITIATIVES 50,000 50,000 50,000 50,000 50,000 5 0,000 3 00,000

COMMUNITY & COMPREHENSIVE PLAN UPDATES 50,000 350,000 50,000 50,000 50,000 5 0,000 6 00,000 TOTAL PLANNING & ZONING 100,000 400,000 100,000 1 00,000 1 00,000 100,000 9 00,000 IT INFRASTRUCTURE 425,000 250,000 250,000 2 50,000 2 50,000 250,000 1 ,675,000 CENTRALIZED HARDWARE AND APPLICATIONS 150,000 150,000 150,000 1 50,000 1 50,000 150,000 9 00,000 COUNTY FIBER INFRASTRUCTURE - 100,000 100,000 1 00,000 1 00,000 100,000 5 00,000

PUBLIC FIBER INFRASTRUCTURE 600,000 600,000 600,000 6 00,000 6 00,000 600,000 3 ,600,000

ERP PROJECT 250,000 50,000 50,000 50,000 50,000 5 0,000 5 00,000

GIS & CURRENT PLANNING INITIATIVES - 50,000 50,000 50,000 50,000 5 0,000 2 50,000 COUNTY WIDE ORTHO/PLANIMETRIC MAPPING - 90,000 90,000 90,000 90,000 9 0,000 4 50,000 TOTAL IT 1,425,000 1 ,290,000 1,290,000 1 ,290,000 1 ,290,000 1,290,000 7 ,875,000 TRANSFER STATION - MAINTENANCE 50,000 50,000 50,000 50,000 50,000 5 0,000 3 00,000 CAPITAL EQUIPMENT - HEAVY & CONSTRUCTION 245,000 245,000 150,000 1 50,000 - 245,000 1 ,035,000

CAPITAL EQUIPMENT - SMALL & NON-MOTORIZED 130,000 130,000 130,000 1 30,000 1 30,000 130,000 7 80,000 TOTAL SOLID WASTE 425,000 425,000 330,000 3 30,000 1 80,000 425,000 2 ,115,000

CENTREVILLE LIBRARY IMRPOVEMENTS - 280,000 110,000 - - - 3 90,000

TOTAL PUBLIC LIBRARY SYSTEM - 280,000 110,000 - - - 3 90,000

QUEEN ANNE'S COUNTY

CAPITAL BUDGET SUMMARY BY EXPENDITURE

FY 2023 - 2028

DESCRIPTION FY23 FY24 FY25 FY26 FY27 FY28 TOTAL

RECREATION CENTER - - 100,000 - - - 1 00,000

TOTAL RECREATION - - 100,000 - - - 1 00,000

CAPITAL EQUIPMENT - HDM LIGHT VEHICLE 70,000 - - 70,000 - - 1 40,000

LARGE TRANSIT VEHICLE 250,000 250,000 250,000 2 50,000 2 50,000 250,000 1 ,500,000

SENIOR CENTER SOFTWARE SYSTEM 70,000 - - - - - 70,000

GRASONVILLE SENIOR CENTER RENOVATIONS - 295,000 - - - - 2 95,000

KRAMER CENTER RENOVATIONS 200,000 - - - - - 2 00,000

KENT ISLAND SENIOR CENTER 265,000 150,000 320,000 - - - 7 35,000

TOTAL AGING 855,000 695,000 570,000 3 20,000 2 50,000 250,000 2 ,940,000

BOE ADMIN BUILDING 3,000,000 1 1,000,000 - - - - 14,000,000

CENTRAL OFFICE BUILDING ENVELOPE 1,000,000 - - - - - 1 ,000,000

CENTREVILLE MIDDLE SCHOOL - 5 ,268,000 9,500,000 - - - 14,768,000

SECURITY VESTIBULES 175,000 - - - - - 1 75,000

QUEEN ANNE'S HS - PARTIAL ROOF REPLACEMENT 4,952,000 - - - - - 4 ,952,000

FIRE ALARM REPLACEMENT - 741,000 441,000 - - - 1 ,182,000

TOTAL BOARD OF EDUCATION 9,127,000 1 7,009,000 9,941,000 - - - 36,077,000 TRAIL DEV/MAINT/AMENITIES 30,000 1 ,250,000 300,000 7 00,000 3 00,000 - 2 ,580,000 CROSS COUNTY CONNECTOR - PHASE II - 200,000 200,000 2 ,500,000 2 ,500,000 - 5 ,400,000 ATHLETIC FIELD WORK 70,000 1 ,250,000 50,000 68,000 5 10,000 5 0,000 1 ,998,000

ARTIFICAL TURF 220,000 2 ,600,000 220,000 2 ,600,000 - - 5 ,640,000

PARKS LANDSCAPING 100,000 - - - - - 1 00,000

PARKS PREVANTIVE MAINTENANCE - EXP 100,000 - - 40,000 - - 1 40,000

MAJOR MAINTENANCE - CAP 111,000 80,000 40,000 40,000 - - 2 71,000

COURT WORK - 160,000 150,000 1 50,000 1 50,000 150,000 7 60,000

PARKS PARKING LOT PAVING - - - - 70,000 - 70,000

PAVILION/CONCESSION/COMFORT 180,000 - 150,000 - 5 80,000 - 9 10,000

CAPITAL EQUIPMENT - PARKS 265,000 333,000 273,000 3 12,000 3 00,000 330,000 1 ,813,000

PLAYGROUND - - - 1 ,015,111 - - 1 ,015,111

LAND PRESERVATION P&R PLAN-POS - - - 35,000 - - 35,000

BLUE HERON NATURE PRESERVE - 250,000 90,000 40,000 1 50,000 - 5 30,000

WHITE MARSH SEWER 100,000 - - - - - 1 00,000

TOTAL PARKS 1,176,000 6 ,123,000 1,473,000 7 ,500,111 4 ,560,000 530,000 21,362,111 TOTAL GENERAL CAPITAL PROJECTS 24,286,428 6 0,102,688 32,077,783 18,222,866 9 ,631,645 5,335,997 149,657,407

QUEEN ANNE'S COUNTY

CAPITAL BUDGET SUMMARY BY EXPENDITURE

FY 2023 - 2028

DESCRIPTION FY23 FY24 FY25 FY26 FY27 FY28 TOTAL

CENTREVILLE LANDINGS BULKHEAD & PARKING LOT PAVING 250,000 - - - - - 2 50,000

DEEP LANDING BULKHEAD 250,000 - - - - - 2 50,000

FISHING PIER IMPROVEMENTS - 100,000 - - - - 1 00,000

JACKSON CREEK SHORELINE PROTECTION 10,000 100,000 - - - - 1 10,000

KENT NARROWS DREDGING 1,000,000 - - - - - 1 ,000,000

LITTLE CREEK LANDING IMPROVEMENTS 10,000 60,000 - - - - 70,000

MATAPEAKE BOAT RAMP 250,000 - - - - - 2 50,000

THOMPSON CREEK BULKHEAD - 250,000 - - - - 2 50,000

TOTAL PUBLIC LANDINGS ENTERPRISE 1,770,000 510,000 - - - - 2 ,280,000

S APRON SAFETY ENHANCEMENT - - 265,000 3 ,775,000 - - 4 ,040,000

RUNWAY

11-29 REHABILITATION 7,850,000 - - - - - 7 ,850,000

5 YEAR CAPITAL IMPROVEMENT PROGRAM - - - - 3 25,000 - 3 25,000

PKG 4 N APRON EXPANSION - - - - - 265,000 2 65,000

TOTAL BAY BRIDGE AIRPORT ENTERPRISE 7,850,000 - 265,000 3 ,775,000 3 25,000 265,000 12,480,000 CAPITAL EQUIPMENT - LIGHT VEHICLES 100,000 200,000 - 2 00,000 - 200,000 7 00,000 CAPITAL EQUIPMENT - HEAVY & CONSTRUCTION 365,000 355,000 500,000 3 40,000 4 55,000 405,000 2 ,420,000 CAPITAL EQUIPMENT - MISC. EQUIPMENT 60,000 60,000 60,000 60,000 60,000 6 0,000 3 60,000 PARKING LOT OVERLAYS 600,000 50,000 50,000 50,000 50,000 5 0,000 8 50,000

ASPHALT OVERLAYS 1,000,000 2 ,364,000 2,435,000 2 ,508,000 2 ,583,000 2,660,490 13,550,490

BRINE SOLUTION STATION 142,000 - - - - - 1 42,000

TAYLOR MILL ROAD BRIDGE - - 200,000 2 00,000 1 ,500,000 - 1 ,900,000

THOMPSON CREEK CONNECTOR 150,000 3 ,250,000 - - - - 3 ,400,000

LITTLE KIDWELL EXTENDED 625,000 - - - - - 6 25,000

NICHOLS MANOR/ACKERMAN BRIDGES 900,000 1 ,500,000 - - - - 2 ,400,000

WORCESTER ROAD 97,325 - - - - - 97,325

KENT NARROWS PUBLIC PARKING - - 300,000 1 ,000,000 6 ,900,000 - 8 ,200,000 TOTAL ROADS BOARD CAPITAL PROJECTS 4,039,325 7 ,779,000 3,545,000 4 ,358,000 11,548,000 3,375,490 34,644,815

QUEEN ANNE'S COUNTY

CAPITAL BUDGET SUMMARY BY EXPENDITURE

FY 2023 - 2028

DESCRIPTION FY23 FY24 FY25 FY26 FY27 FY28 TOTAL

CAPITAL EQUIPMENT REPLACEMENT 90,000 150,000 - 1 80,000 - - 4 20,000

SKI - UTILITY TRUCK - 75,000 - - 1 00,000 - 1 75,000

VACUUM PUMP - 60,000 - 60,000 - 6 0,000 1 80,000

DISCHARGE PUMP 72,000 - 72,000 - 72,000 - 2 16,000

PROSPECT LIFE STATION REHABS - - - 1 00,000 - 100,000 2 00,000

PUMP STATION 2 - STAND BY DIESEL PUMP - - - 1 25,000 - - 1 25,000

SYSTEMIC REPLACEMENT OF MECHANICAL COMPONENTS 100,000 125,000 125,000 1 50,000 1 50,000 150,000 8 00,000

FORCE MAIN REHABILITATION - GENERAL - - - - 2 50,000 250,000 5 00,000

SOUTHERN KENT ISLAND - PHASE II STEP 1,200,000 - - - - - 1 ,200,000

SOUTHERN KENT ISLAND - PHASE III STEP 3,050,000 3 ,000,000 3,300,000 - - - 9 ,350,000 SOUTHERN KENT ISLAND - PHASE III COMMUNITY MAINS 3,000,000 300,000 - - - - 3 ,300,000 SOUTHERN KENT ISLAND - PHASE 4 STEP 150,000 1 ,000,000 4,000,000 1 ,200,000 - - 6 ,350,000 SOUTHERN KENT ISLAND - PHASE 4 COMMUNITY MAINS - 65,000 2,000,000 2 00,000 - - 2 ,265,000 COUNTY WIDE ORTHO/PLANIMETRIC MAPPING 5,000 5,000 5,000 5,000 5,000 5 ,000 30,000

TOTAL SEWER ENTERPRISE 7,667,000 4 ,780,000 9,502,000 2 ,020,000 5 77,000 565,000 25,111,000

CAPITAL EQUIPMENT REPLACEMENT 150,000 - 165,000 - - 100,000 4 15,000

REHABILITATION OF WATER TREATMENT PLANT STRUCTURES - 50,000 - 50,000 - 5 0,000 1 50,000

GRASONVILLE WTP UPGRADE - - - 2 50,000 - 350,000 6 00,000

RESIDENTIAL METER REPLACEMENT 1,000,000 3 ,000,000 - - - - 4 ,000,000

SUPERVISORY CONTROL & DATA ACQUISTION (SCADA) 100,000 - - - - - 1 00,000

STEVENSVILLE BOOSTER STATION UPGRADE 100,000 - - - - - 1 00,000

CRITICAL INTERCONNECTIONS - - - - 4 ,000,000 - 4 ,000,000

KENT NARROWS TOWER - - - - 2 ,550,000 - 2 ,550,000

COUNTY WIDE ORTHO/PLANIMETRIC MAPPING 5,000 5,000 5,000 5,000 5,000 5 ,000 30,000 TOTAL WATER ENTERPRISE 1,355,000 3 ,055,000 170,000 3 05,000 6 ,555,000 505,000 11,945,000 TOTAL ALL CAPITAL PROJECTS 46,967,753 76,226,688 45,559,783 28,680,866 28,636,645 10,046,487 236,118,222

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