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HomeMy WebLinkAbout1996 HearingNOTICE OF PUBLIC HEARING PROPOSED BUDGET FOR FISCAL YEAR 1995-96 (FY96) CITY OF CHUBBUCK A public hearing, pursuant to Idaho Code 50-1002, will be held for consideration of the proposed budget for the fiscal year from October 1, 1995, to September 30, 1996. The hearing will be held at Chubbuck City Council Chambers, Chubbuck, Idaho at 7:30 p.m. on August 22, 1995. All interested persons are invited to appear and show cause, if any, why such budget should or should not be adopted. Copies of the proposed City Budget in detail are available at Chubbuck City Hall during regular office hours (8:00 a.m. to 5:00 p.m. weekdays). City hall is accessible to persons with disabilities. Anyone desiring accommodations for disabilities related to the budget documents or to the hearing please contact the City Clerk's Office, 237-2400 at least 48 hours prior to the public hearing. The proposed FY96 budget is shown below as FY96 proposed expenditures and revenues. PROPOSED EXPENDITURES FY94 FY95 FY96 Actual Budget Proposed Fund Name Expenditures Expenditures Expenditures General Fund Police Dept. 5 856,304. 5 1,051,942. S 1,081,909. Fire Dept. S 415,462. $ 386,357. S 406,147. Parks & Rec. 153,379. 170,564. 228,873. General and Administration 230,215. 223,450. 429,655. General Fund Total Street Fund Sewer Fund Water Fund Sanitation Fund Central Garage Fund Special Revenue Funds Grand Total $1,655,360. $ 394,842. $ 456,672. $ 494,776. $ 483,212. $ 62,075. $ 5,200. $ 1,832,313. $ 589,546. $ 932,304. $ 2,095,150. $ 551,438. $ 65,003. $ 25,200. $ 2,146,584. $ 563,546. $ 762,,385. $ 2,473,101. S 530,938. $ 67,500. $ 5,000. $3,552,137. $ 6,090,954. $ 6,549,054. PAGE 2 - PUBLIC HEARING NOTICE PROPOSED REVENUE The proposed expenditures and revenues for fiscal year 1995-96 have been tentatively approved by the City Council and entered in detail in the Journal of Proceedings. Citizens are invited to attend the budget hearing August 22, 1995, 7:30 p.m �• Ron C. Conlin, City Clerk Treasurer Please publish 2 times: August 14, 1995 and August 21, 1995. FY94 Actual Revenues FY95 Budget Revenues FY96 Proposed Revenues Property Tax Levy Police Dept. S 339,770. S 550,778. S 566,739. General Fund 323,590. 212,581. 220,398. Fire Control 145,615. 202,919. 244,069. Fire Station Bond 55,265. 56,265. 56,828. Highway, Streets 0 144,546. 144,546. Tort Claim Ins. 37,900. 37,900. 37,900. Total Property Tax Levy $ 902,140. $1,204,989. $1,270,480. Revenue sources other than property taxes General Fund $ 962,685. S 771,870. $1,020,650. Streets Fund $ 316,688. 445,000. 419,000. Sewer Fund S 614,274. 932,304. 762,385. Water Fund $ 568,788. 2,095,150. 2,473,101. Sanitation Fund$ 512,966. 551,438. 530,938. Central Garage $ 62,075. 65,003. 67,500. Special Revenue Funds $ 5,000. 25,200. 5,000. Grand Totals All Funds S 3,944,616. $6,090,954. $6,549,054. The proposed expenditures and revenues for fiscal year 1995-96 have been tentatively approved by the City Council and entered in detail in the Journal of Proceedings. Citizens are invited to attend the budget hearing August 22, 1995, 7:30 p.m �• Ron C. Conlin, City Clerk Treasurer Please publish 2 times: August 14, 1995 and August 21, 1995. \./ ACTUAL 1996-97 FISCAL YEAR FUND BALANCES GENERAL FUND HIGHWAY, STREETS AND ROADS, DED. WATERWORKS FUND SANITATION FUND SEWER FUND 1995-96 Carry over 1997 Revenue Less 1997 Expenditures 1997 Fund Balance 1995-96 Carry over 1997 Revenue Less 1997 Expenditures 1997 Fund Balance 1995-96 Carry over 1997 Revenue Less 1997 Expenditures 1997 Fund Balance 1995-96 Carry over 1997 Revenue Less 1997 Expenditures 1997 Fund Balance 1995-96 Carry Over 1997 Revenue Less 1997 Expenditures 1997 Fund Balance TOTAL FUND BALANCE $ 60,810.28 $ 2,376,829.01 $ 2,437,639.29 $ -0- $ 104,590.58 $ 467,411.32 $ 498,027.95 $ 73,973.95 $ 410,755.86 $ 944,019.28 $ 1,149,028.05 $ 205.747.09 $ 71.178.04 $ 567,754.90 $ 558,500.26 $ 80 432.68 $ 108,933.65 $ 590,298.80 $ 754 855.00 $ -55,622.55 $ 236.211.63 CENTRAL GARAGE 1995-96 Carry over $ 5,654.45 1997 Revenue $ 23,081.00 Less 1997 Expenditures $ 23 081.04 1997 Fund Balance $ 5,654.41 ACTUAL 1996 FUND BALANCES GENERAL FUND 1995-96 Carry-over $ 106,193.99 1996 Revenue 2,159,457.12 Less 1996 Expenditures 2,204,840.83 1996 Fund Balance $ 60,810.28 HIGHWAY, STREETS AND ROADS DEDICATED 1995-96 Carry-over $ 37,070.63 1996 Revenue 482,046.01 Less 1996 Expenditures 414,526.06 1996 Fund Balance $ 104,590.58 WATERWORKS FUND 1995-96 Carry-over $ 379,140.41 1996 Revenue 782,064.17 Less 1996 Expenditures 750,448.72 1996 Fund Balance $ 410,755.86 SANITATION FUND 1995-96 Carry-over $ 44,219.38 1996 Revenue 539,443.00 Less 1996 Expenditures 512,484.34 1996 Fund Balance $ 71,178.04 SEWER FUND 1995-96 Carry-over $ 164,936.97 1996 Revenue 497,340.37 Less 1996 Expenditures 626,296.44 1996 Fund Balance $ 35,980.90 TOTAL FUND BALANCE $ 523_,_569.25 CENTRAL GARAGE 1995-96 Carry-over $ -345.09 1996 Revenue 67,500.00 Less 1996 Expenditures 61,500.46 1996 Fund Balance $ 5,654.45