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HomeMy WebLinkAbout1981NOTICE OF PUBLIC TEARING BUDGET FOR FISCAL YEAR 1981-82 City of Chubbuck, Idaho Notice is hereby given that the City Council of the City of Chubbuck, Idaho will hold a public hearing for consideration of the proposed budget for the fiscal period October 1, 1981 -September 30, 1982, all pursuant to the provisions of Section 50-1002, I.C., said hearing to be held at City Hall, Chubbuck, Idaho at 8:00 p.m., on September 8, 1981. At said hearing all interested persons may appear and show cause, if any they have, why said proposed budget should not be adopted. PROPOSED EXPENDITURES The following is an estimate set forth in said proposed budget, of the total proposed expenditures and accuring indebtedness of the City of Chubbuck, Idaho for the fiscal period October 1, 1981 -September 30, 1982. Proposed Proposed Proposed Revenue Sharing Gross Expenditures Expenditures Expenditures GENERAL FUND General & Administration $951,958.00 Law Enforcement 294,035.00 Fire Control 104,000.00 Street Fund 172,500.00 TOTAL GENERAL FUND 1,522,493.00 Waterworks Fund 448,000.00 Sanitation Fund 158,300.00 Sewage Fund 387,650.00 Central Garage Fund 42,500.00 TOTAL ENTERPRISE FUNDS 7;036,450.00 Bond & Interest Funds 99,630.39 Capital Improvement Funds 144,691.88 Local Improvement District 14,830.12 TOTAL BOND & CAPITAL IMPROVEMENT FUND $12,000.00 24,072.00 20,000.00 56,072.00 ESTIMATED REVENUE $963,958.00 318,107.00 124,000.00 172,500.00 ,578,565.00 448,000.00 158,300.00 387,650.00 42,500.00 1,036,450.00 99,630.39 144,691.88 14,830.12 259,152.39 The estimated revenue for the City of Chubbuck, Idaho, for the fiscal period October 1, 1981 -September 30, 1982 is as follows: REVENUE FROM TAX LEVY: General Fund Levy Fire Control Levy Street Fund Levy Law Enforcement Levy Liability Insurance L.I.D. Guarantee Fund TOTAL TAX LEVY Federal Revenue Sharing Gas Franchise Teleprompter Cable TV License & Permits State Liquor County Liquor Highway User Fund Magistrate Court Road and Bridge Inventory Sales Tax Fire Protection Service Recreation Program Service Fee Interest Earnings (General Fund) Inter Fund Transfer Fund Balance & Other (General Fund) Sale of Land TOTAL GENERAL FUND ENTERPRISE FUND Sanitation Service Charge Sanitation Fund Balance Water Service Charges Water Misc. & Fund Balance T.C.D. Interest Sewer Service Charges Sewer Fund Balance Central Garage Service ( Tnterfund TOTAL ENTERPRISE FUNDS Transfer) Water Revenue Bond & Interest ( Tnterfund Transfer) Water Revenue Bond Fund Balance 93,032.00 20,000.00 25,000.00 227,535.00 365,567.00 11,785.00 3,500.00 380,852.00 56,072.00 13,000.00 200.00 26,550.00 23,000.00 13,500.00 120,000.00 30,000.00 24,500.00 8,500.00 47,000.00 9,000.00 700.00 25,000.00 73,791.00 226,900.00 500,000.00 1 578. 565.00 120,800.00 37,500.00 228,000.00 82,000.00 20,000.00 233,000.00 154,650.00 42,500.00 1,036,450.00 22,962.00 5,175.26