Summary 2026 Proposed Budget

 

 

 

TOWN OF WHITEWATER

PROPOSED 2026 BUDGET SUMMARY

FOR TOWN OF WHITEWATER, WALWORTH COUNTY

 

Notice is hereby given that on Wednesday, November 12, 2025 at 5:30 PM at the Whitewater Town Hall, W8590 Willis Ray Road, Whitewater, Wisconsin 53190 a Public Hearing on the Proposed Budget for 2026 for the Town of Whitewater, Walworth County, Wisconsin will be held. The proposed budget in detail is available for inspection at the Town Clerk’s Office from 8:30 AM – 1:30 PM, Mondays, Tuesdays and Wednesdays and on the Town’s website. (townofwhitewaterwi.gov) A following is a summary of the Proposed budget:

 

Expenditures

Legislative/legal                                                  35,534.00

General Administration                                    58,750.00

Financial Administration                                  47,100.00

General Building                                                  12,521.00

Insurance/withholding                                        9,846.00

Employee Benefits                                              19,053.00

Safety Patrol                                                         42,500.00

Fire/EMS                                                             242,771.00

Public Safety                                                            1,890.00

Road Repair/construction                              300,000.00

Public Works                                                        171,670.00

Trash/Recycle                                                      234,386.00

Capital Outlay                                                         75,232.00

Other                                                                         15,100.00

 

Total Expenses                                                   1,266,403.00

 

 

Revenue

General Real Estate Tax                                   641,395.00

Intergovernmental                                            251,966.00

Licenses/Permits                                                   9,770.00

Fines/Penalties                                                         200.00

Public Services                                                        5,100.00

Trash/Recycle                                                     234,385.00

State Park Rd                                                           5,000.00

Interest/Banking                                                  30,000.00

Miscellaneous                                                           3,650.00

Carry over                                                                84,937.00

 

Total Revenue                                                    1,266,403.00