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HomeMy WebLinkAbout1990NOTICE OF PUBLIC HEARING BUDGET FOR FISCAL YEAR 1990-91 CITY OF CHUBBUCK, IDAHO lotice is hereby given that the City Council of the rill hold a public hearing for consideration of the :he fiscal period October 1, 1990 -September 30, 1991 >rovisions of Section 50-1002, I.C., said hearing t :hubbuck, Idaho at 5:00 p.m. on September 4, 1990. interested persons may appear and show cause, if an )roposed budget should not be adopted. PROPOSED EXPENDITURES City of Chubbuck, Idaho proposed budget for pursuant to the o be held at City Hall At said hearing all y they have, why said The following is an estimate set forth in said proposed budget of the total )roposed expenditures and accruing indebtedness of the City of Chubbuck, Idaho .or the fiscal period October 1, 1990 - September 30, 1991. GENERAL FUND General& Administration Law Enforcement Fire Control Street Fund Total General Fund ENTERPRISE FUND Waterworks Fund Sanitation Fund Sewer Fund Central Garage Fund Total Enterprise Fund Bond & Interest Funds Capital Improvements Funds Special Revenue Fund Total Bond, Capital Improvement Funds, & special Revenue Proposed Expenditures $551,303.00 $531,194.00 $266,940.00 $473,000.00 $1,822,437.00 $642,312.00 $361,340.00 $531,363.00 $74,168.00 $1,609,183.00 $90,200.00 $159,383.00 $66,700.00 $316,283.00 THE ESTIMATED REVENUE for the City of Chubbuck, Idaho, for fiscal Period October 1, 1990 - September 30, 1991 as follows: REVENUE FROM TAX LEVY: General Fund Levy $333,322.00 Fire Control Levy $147,490.00 Law Enforcement $228,750.00 Tort Claim Insurance $44,155.00 Total Tax Levy $753,717.00 Gas Franchise $17,000.00 TCI $18,000.00 Property Tax Interest $10,000.00 License & Permits $27,150.00 State Liquor Apportionment $20,000.00 ,Highway User's Revenue $310,000.00 Magistrate Court $40,000.00 Road & Bridge $25,000.00 Inventory Sales Tax Sales Tax Revenue State Grant - Cotant Park Fire Protection Services Recreation Programs Services Fees (Land Use) General Fund Interest Earnings Interfund Transfer Fund Balance & Other Misc. Total General Funds ENTERPRISE FUNDS Sanitation Revenue Sanitation Fund Balance Water Revenue Waterworks Fund Balance TCD Interest Sewer Revenue Sewer Fund Balance Central Garage Revenue Total Enterprise Funds BOND & CAPITAL IMPROVEMENT FUNDS Water & Sewer Bond & Interest fund Water & Sewer Bond Reserve Fund Revenues Fund Balance Revenues Fund Balance Sewer System Repair & Replacement fund Revenues Fund Balance HS&R Capital Improvement Fund Revenues Fund Balance Enterprise Depreciation Fund Revenues Fund Balance Special Revenue Funds Revenues Fund Balance $8,000.00 $262,000.00 • $56,000.00 $44,100.00 $850.00 $15,000.00 $14,120.00 $183,000.00 $18,500.00 $1,822,437.00 $261,340.00 $100,000.00 $442,312.00 $180,000.00 $20,000.00 $481,363.00 $50,000.00 $74,168.00 $1,609,183.00 $92,900.00 $76,321.00 $14,000.00 $190,000.00 $9,000.00 $103,762.00 $9,000.00 $126,877.00 $76,640.00 $156,000.00 $13,000.00 $67,006.00 I, Ron Conlin, City Clerk of the City of Chubbuck, Idaho do hereby certify that the above is a true and correct statement of the proposed expenditures and revenues for fiscal year 1990-91, all of which have been tentatively approved and entered at length in the Journal of Proceedings. I further certify that the City of Chubbuck, Idaho, did give notice for said hearing with notice having been published twice at least seven days apart prior to the adoption of the budget by the City Council. Citizens are invited to attend the budget hearing on September 4, 1990, at 5:00 P.M. and have the right to provide written or oral comments concerning the entire City Budget. A copy of the proposed City Budget in detail is available at City Hall for inspection during regular office hours, 8:00 a.m. - 5:00 p.m. Dated this 23rd Day of August, 1990. Publish August 27 & Sept. 3rd, 1990 \./ ACTUAL 1990 FUND BALANCES GENERAL FUND 1989-90 Carry-over $ 104,636.37 1990 Revenue 1,206,245.41 Less 1990 Expenditures 1,183,362.05 1990 Fund Balance $ 127,519.73 HIGHWAY. STREETS AND ROADS DEDICATED 1989-90 Carry-over $ 104,153.51 1990 Revenue 376,962.20 Less 1990 Expenditures 287,003.42 1990 Fund Balance $ 194,112.29 WATERWORKS FUND 1989-90 Carry-over $ 176,314.05 1990 Revenue 436,343.01 Less 1990 Expenditures 394,682.36 1990 Fund Balance $ 217,974.70 SANITATION FUND 1989-90 Carry-over $ 113,596.06 1990 Revenue 200.113.79 Less 1990 Expenditures 235,223.32 1990 Fund Balance $ 78,486.53 SEWER FUND 1989-90 Carry-over $ 17,803:91 1990 Revenue 364,365.86 Less 1990 Expenditures 358,025.70 1990 Fund Balance $ 24,144.07 TOTAL FUND BALANCE $ 314,737.20 CENTRAL GARAGE 1989-90 Carry-over $ -791.14 1989-90 Revenue 73,386.00 Less 1990 Expenditures 78,462.96 1990 Fund Balance $ -5,868.10