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HomeMy WebLinkAbout1982 HearingNOTICE OF PUBLIC HEARING BUDGET FOR FISCAL YEAR 1982-83 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 fiscal period October 1, 1982 - September 30, 1983, all pursuant to the provisions of Section 50-1002, I.C., said hearing to be held at City Municipal Building, Chubbuck, Idaho at 7:30 p.m., on August 31, 1982. 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 accruing indebtedness of the City of Chubbuck, Idaho for the fiscal year period October 1, 1982 - September 30, 1983. THE ESTIMATED REVENUE for the City of Chubbuck, Idaho, for the fiscal period October 1, 1982 - September 30, 1983 is as follows: REVENUE FROM TAX LEVY: General Fund Levy $ 146,995.00 Fire Control Levy 30,000.00 Law Enforcement Levy 250,000.00 426,995.00 Tort Claim Insurance 11,150.00 Total Tax Levy 438,145.00 Federal Revenue Sharing 84,416.00 Proposed Proposed Teleprompter Cable TV Proposed Revenue Sharing Gross GENERAL FUND Expenditures Expenditures Expenditures General & Administration $1,027.637.00 $ 45,200.00 $ 1,072,837.00 Law Enforcement 336,760.00 26,000.00 362,760.00 Fire Control 91,584.00 13,416.00 105,000.00 Street Fund 148,820.00 11,800.00 700.00 Total General Fund 1,604,801.00 96,416.00 _160,620.00 1,701.217.00 Waterworks Fund 528,129.00 Sale of Lands 528,129.00 Sanitation Fund 156,492.00 156,492.00 Sewage Fund 466,821.00 466,821.00 Central Garage Fund 45,500.00 45,500.00 Total Enterprise Fund 1,196,942.00 1,196,942.00 Bond & Interest Funds 87,887.50 87,887.50 Capital Improvements Funds 152,672.10 152,672.10 Local Improvement District 13,570.00 13,570.00 Total Bond & Capital Imp. F. 254,129.60 254,129.60 ESTIMATED REVENUE THE ESTIMATED REVENUE for the City of Chubbuck, Idaho, for the fiscal period October 1, 1982 - September 30, 1983 is as follows: REVENUE FROM TAX LEVY: General Fund Levy $ 146,995.00 Fire Control Levy 30,000.00 Law Enforcement Levy 250,000.00 426,995.00 Tort Claim Insurance 11,150.00 Total Tax Levy 438,145.00 Federal Revenue Sharing 84,416.00 Gas Franchise 13,000.00 Teleprompter Cable TV 200.00 Property Tax Interest 2,500.00 License & Permits 24,650.00 State Liquor Apportionment 25,000.00 State -County Liquor Appr`t 8,000.00 Highway User's Fund 124,320.00 Magistrate Court 30,000.00 Road and Bridge 24,500.00 Inventory Sales Tax 7,500.00 Fire Protection Service 48,000.00 Recreation Program 10,000.00 Service Fees (Land Use) 700.00 Interest Earnings (Gen. F) 30,000.00 Interfund Transfers (Personnel Ben.) 77,467.00 Fund Balance & Other (Gen F.) 252,819.00 Sale of Lands 500,000.00 Total General Funds 1,701,217.00 ENTERPRISE FUNDS Sanitation Service 128,000.00 Sanitation Fund Balance 28,492.00 Water Service 228,000.00 Water Fund Balance & Misc. 270,129.00 TCD Interest 30,000.00 Sewer Service 235,000.00 Sewer Fund Balance 231,821.00 Central Garage Service 45,500.00 Total Enterprise Funds 1,196.942.00 Page 2 - Budget Public Hearing Notice BOND & CAPITAL IMPROVEMENT FUNDS Water Revenue Bond & Interest Fund (Transfer) 22,388.00 Water Revenue Bond Fund Balance 5,307.22 Sewer Revenue Bond & Interest Fund'(Transfer) 65,500.00 Sewer Revenue Bond Fund Balance 5,825.52 Capital Improvement Fund (Transfer) 10,000.00 Capital Improvement Fund Balance & Interest 152,672.10 Local Improvement District (Transfer) 12,466.88 Local Improvement District Fund Balance 9,137.48 TOTAL BOND & CAPITAL IMPROVEMENT FUNDS 283,277.20 1, Vera C. Armstrong, 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 1982-83, 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 and hold a hearing upon the proposed uses of the City's General Revenue Sharing Funds with notice having been published at least seven days prior to the adoption of the tentative budget by the City Council. Citizens are invited to attend the budget hearing on August 31, 1982 at 7:30 p.m., and have the right to provide written or oral comments concerning the entire City Budget and its relationship to the Revenue Sharing Funds, and that a copy of the proposed City Budget in detail is available at City Hall for inspection during regular office hours. Dated this 18th day of August, 1982 -/4 Ci ty Clerk t Publish August 23, and August 30, 1982. Sewer Revenue Bond & Interest (Interfund Transfer) 66,102.00 Sewer Revenue Bond Fund Balance 5,391.13 Capital Improvement Fund (Interfund transfer) 50,000.00 Capital Improvement Fund Balance 94,691.88 Local Improvement District (assessment transfer) 14,377.48 L.I.D. Fund Balance 452.64 TOTAL BOLD & CAPITAL IMPROVEMENT FUNDS 259,152.23 I, Vera C. Armstrong, 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 1981-82, 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 and hold a hearing upon the proposed uses of the City's General Revenue Sharing Funds with notice having been published at least seven days prior to the adoption of the tentative budget by the City Council. Citizens are invited to attend the budget hearing on September 8, 1981, at 8:00 p.m., and have the right to provide written or oral comments concerning the entire City Budget and its relationship to the Revenue Sharing Funds, and that a copy of the proposed City Budget in detail is available at City Hall for inspection during regular office hours. Dated this 26 day of August, 1981. Publish Aug. 31 & Sept. rl, 1981 j City Clerk