Municipal Budget

The City of Woodbury budgeting process incorporates the analysis of need for services to our residents versus the costs to provide such services. The Chief Financial Officer, in cooperation with the City Clerk/Administrator and the City Department Heads, prepares the budget each year. The Mayor and City Council introduce the budget annually in March and finally adopt the budget after publication and a public hearing with the residents. Below is a snapshot of the City budget for the last five years.

To view the budget in full, please visit City Hall or the Woodbury Public Library. You may also purchase a copy of the budget by completing an open public records request and returning the form to the City Clerk’s office. To contact the Clerk’s Office, call 856.845.1300 ext. 121 or e-mail Ms. Fran Nigro at FNigro@woodbury.nj.us.

View or print a copy of the 2011 Adopted Municipal Budget (in Adobe .pdf format)
View or print a copy of the 2011 Municipal Budget Presentation 04-11-11 (in Adobe .pdf format)
View or print a copy of the 2011 Introduced Municipal Budget & Advertised Budget (in Adobe .pdf format)
View or print a copy of the 2010 Adopted Municipal Budget & Advertised Budget (in Adobe .pdf format)
View or print a copy of the 2009 Adopted Municipal Budget & Advertised Budget (in Adobe .pdf format)
View or print a copy of the 2008 Adopted Municipal Budget & Advertised Budget (in Adobe .pdf format)

City of Woodbury Budget Anticipated Revenues

2011 2010 2009 2008 2007
Fund Balance Appropriated $1,155,000 $1,075,000 $724,500 $437,000 $746,000
Local Revenues 848,000 784,000 697,360 881,225 586,567
State Aid
(not including grants)
1,432,199 1,432,199 1,703,985 1,712,548 1,883,082
Uniform Construction  Code 80,000 72,000 100,000 92,500 109,000
Interlocal  Services 161,042 149,000 140,000 135,000 135,150
Grants 290,242 217,148 1,488,611 378,034 580,820
Other 370,575 170,575 282,500 109,344 137,111
Receipts from Delinquent Taxes 530,000 530,000 530,000 530,000 500,000
Tax Revenue 8,989,942 8,771,766 8,400,221 7,920,829 7,170,150
Totals $13,857,000 $13,201,688 $14,067,177 $12,196,480 $11,847,880

Appropriated Expenditures

2011 2010 2009 2008 2007
Operations within “CAPS” $10,875,507 $10,359,342 $10,123,294 $9,106,918 $8,695,583
Operations outside the  “CAPS” 631,930 782,695 1,714,027 1,178,077 1,243,213
Capital Improvements 231,840 30,000 371,895 208,000 327,500
Debt Service 1,163,500 1,172,500 1,009,000 976,053 900,561
Deferred Charges 0 4,025 16,707 16,000 0
Judgments 0 0 0 10,000 0
Reserve for Uncollected  Taxes 954,223 853,126 832,254 701,432 681,023
Total $13,857,000 $13,201,688 $14,067,177 $12,196,480 $11,847,880