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HomeMy WebLinkAbout1978NOTICE OF PUBLIC HEARING CITY OF CHUBBUCK ANNUAL BUDGET PUBLIC NOTICE IS HEREBY GIVEN, that in accordance with Section 50-1002 Idaho Code, the Mayor and Council of the City of Chubbuck, Bannock County, Idaho will hold a public hearing on Tuesday the 5th day of September, 1978, at the hour of 8:00 o'clock p.m., in the Municipal Builidng, 5160 Yellowstone at Chubbuck, Idaho, for the purpose of considering and fixing a final budget and making appropriations to each department or fund for the fiscal year commencing on the first day of October, 1978 and ending on September 30, 1979, including interest and principal due on bonded debt and sinking funds, for which appropriation is made, that same be entered at length upon the minutes of the Council and published in two issues at least seven days apart in the Idaho State Journal. This hearing will also include the intended use of federal revenue sharing funds. The following table sets forth the fund balances, estimated revenues and estimated expenditures to be appropriated for the 1979 fiscal year. Interested parties, may appear and submit oral or written comments, if any they have, to the council, or offer any objection why they should not establish the above-mentioned budget. CHUBBUCK CITY COUNCIL John 0. Cotant, Jr., Mayor ittee Vera C. Armstrong, Clerk-Tre urer Publish August 29, September 5, 1978 Cash On Hand Revenue Expenditures 10-1-78 GENERAL FUNDS General Government $ 80,520.00 $ 524,680.00 $ 605,200.00 Law Enforcemnt -0- 190,960.00 190,960.00 Fire Control 16,980.00 74,000.00 90,980.00 HSR - Streets 41,500.00 136,110.75 177,610.75 Parks -0- 97,000.00 97,000.00 139,000.00 1,022,750.75 1,161,750.75 WATERWORKS, SANITATION & SEWAGE FUNDS Waterworks Fund 108,352.00 170,950.00 279,302.00 Sanitation Fund 25,173.00 80,600.00 105,773.00 Sewage Fund 133,844.00 165,800.00 299,644.00 267,369.00 417,350.00 684,719.00 ABOVE APPROPRIATIONS INCLUDE Federal Revenue Sharing Funds 11,326.00 44,384.75 55,710.75 Anti -Recession Funds 480.00 -0- 480.00 11,806.00 44,384.75 56,190,75 INTENDED USE OF FEDERAL REVENUE SHARING FUNDS Fire Control 10,000.00 Sanitation 10,000.00 Waterworks - Waterworks Transmissions 10,000.00 Parks Construction 10,000.00 Health & Welfare 480.00 Highway, Streets & Roads 15,710.75 56,190.75 SEWER BOND CONSTRUCTION 14,979.09 -0- 14,979.09 WATER REVENUE BOND CONSTRUCTION (transfer) 3,000.00 3,000.00 WATER REVENUE BOND & INTEREST (transfer) 19,404.00 19,404.00 WATER REVENUE BOND RESERVE (transfer) 6,800.00 -0- SEWER REVENUE BOND & INTEREST (Transfer) 67,900.00 67,900.00 LOCAL IMPROVEMENT DISTRICT #1 -0- 98,500.00 98,500.00 Interested parties, may appear and submit oral or written comments, if any they have, to the council, or offer any objection why they should not establish the above-mentioned budget. CHUBBUCK CITY COUNCIL John 0. Cotant, Jr., Mayor ittee Vera C. Armstrong, Clerk-Tre urer Publish August 29, September 5, 1978