Information summarized from the Town of Madrid 2022 adopted budget
Library Fund
Revenue
Raised by Taxes
Interest
Gifts and Donations
Library Grant
Misc Revenue
Total Revenue
$78,191.00
$ 10.00
$ 1,200.00
$ 1,000.00
$ 500.00
$ 80,901.00
Expenses
Personnel
Equipment
Contractual Expense
State Retirement
Social Security
Debt Service -Principle
Debit Service-Interest
Transfer to Capital Funds
Total Expenses
$35,329.00
$ 2,000.00
$29,910.00
$ 559.00
$ 2,703.00
$ 7,000.00
$ 1,400.00
$ 2,000.00
$ 80,901.00