Loading...
HomeMy WebLinkAboutOrd No 1264 Final FY22 Appropriation Ordinance Instrument # 444047 REXBURG,MADISON,IDAHO 9-23-2021 00:15:59 AM No.of Pages:5 Recorded for:CITY OF REXBURG KIM H.MUIR Fee:0.00 EX-Officio Recorder Deputy ;04 p,6%bU,p,i0 CITY O F REXBURG Amerfc4 Ban dly Community ORDINANCE NO. 1264 FISCAL YEAR 2022 BUDGET APPROPRIATION AN ORDINANCE ENTITLED THE ANNUAL APPROPRIATION ORDINANCE OF THE CITY OF REXBURG, IDAHO, FOR THE FISCAL, YEAR OCTOBER 1, 2021,TO SEPTEMBER 30, 2022,AND APPROPRIATING TO THE SEVERAL DEPARTMENTS, OFFICES AND FUNDS OF THE SAID CITY GOVERNMENT FROM THE REVENUE DERIVED FROM TAXES LEVIED FOR SAID FISCAL YEAR, AND ALL OTHER SOURCES, SUCH SUMS AS MAY BE NECESSARY OR DEEMED NECESSARY BY THE MAYOR AND CITY COUNCIL TO DEFRAY THE EXPENSES AND LIABILITIES OF SAID CITY FOR THE FISCAL YEAR ENDING SEPTEMBER 30, 2022; AND PROVIDING FOR THE EFFECTIVE DATE OF ORDINANCE. THIS ORDINANCE SHALL REPLACE ORDINANCE 1261. BE IT ORDAINED BY THE MAYOR AND COUNCIL OF THE CITY OF REXBURG, IDAHO: SECTION I. This ordinance shall be, and is hereby termed the Annual Appropriation Ordinance of the City of Rexburg, Idaho, for the fiscal year October 1,2021, to September 30,2022. SECTION II. The revenue, fund balance carry-overs and transfers of the City of Rexburg, Idaho, for the fiscal year October 1,2021,to September 30,2022, derived from taxes levied for said year,and all other sources,in the amount in total of$84,497,500, as shown below by the budget of the City of Rexburg,Idaho, adopted and approved by the City Council on the 15'"day of September, 2021,and duly printed and published as provided by law,is hereby appropriated to the several funds and purposes which are hereby declared to be necessary to defray all necessary expenses and liabilities of said City as shown by said Budget as hereinafter set forth. The City Treasurer is hereby authorized and directed to apportion all monies received on account of taxes on property within the City or Rexburg,Idaho,and from all other sources to the several funds as shown in said Budget and as hereinafter set forth. All other revenue of the City of Rexburg, Idaho, received during the fiscal year ending September 30,2022, not hereby otherwise appropriated, is hereby appropriated to the General Fund of the City. SECTION III. This ordinance shall take effect and be in force from and after its passage and publication as required by law. PASSED AND APPROVED this 15c1i day of September,2021. REke U: ORA a G � '`(@�`�� ATS' r i 0..i E i JL.d; r erry L.Yerrill,Mayor 1 ATTEST: 1 Deborah Lovejoy,City Clerk CITY OF REXBURG FINAL REVENUES AND EXPENDITURES 2020 2021 2022 ACTUAL BUDGET'S BUDGET GENERAL FUND PROPERTY TAX 5,253,536 4,152,200 5,867,100 OTHER REVENUE 7,573,530 13,934,000 14,912,300 TOTAL REVENUE: 12,827,066 18,086,200 20,779,400 TOTAL EXPENSE: 12,755,567 18,086,200 20,779,400 STREET OPERATION FUND TOTAL REVENUE: 4,175,811 3,878,400 4,171,300 TOTAL.EXPENSE: 4,175,811 3,878,400 4,171,300 RECREATION FUND TOTAL REVENUE: 274,597 323,500 377,100 TOTAL EXPENSE: 274,597 323,500 377,100 TABERNACLE OPERATIONS FUND TOTAL.REVENUE: 112,424 225,500 357,400 TOTAL EXPENSE: 111,853 225,500 357,400 REXBURG TABERNACLE ORCHESTRA FUND TOTAL REVENUE: 6,386 5,400 - TOTAL EXPENSE: 9,303 5,400 - POLICE IMPACT FEE CAPITAL FUND TOTAL REVENUE: 85,534 206,700 268,800 TOTAL EXPENSE: 1,810 206,700 268,800 D.A.R.E.ASSOCIATION FUND TOTAL REVENUE: 20,000 32,200 42,300 TOTAL EXPENSE: 12,338 32,200 42,300 DRUG ENFORCEMENT FUND TOTAL REVENUE: 2 9,200 5,600 TOTAL EXPENSE: 400 9,200 5,600 POLICE SMALL GRANTS FUND TOTAL REVENUE: 27,217 45,100 28,300 TOTAL EXPENSE: 27,217 45,100 28,300 ANIMAL CONTROL FUND TOTAL REVENUE: 199,742 199,300 - TOTAL EXPENSE: 203,106 199,300 - HIGH FIVE&OTHER GRANTS TOTAL REVENUE: 8,345 80,500 52,500 TOTAL EXPENSE: 14,500 80,500 52,500 FIRE DEPARTMENT OPERATIONS FUND TOTAL REVENUE: 3,826,780 3,898,500 4,110,200 TOTAL EXPENSE: 3,826,780 3,898,500 4,110,200 JOINT FIRE EQUIPMENT FUND TOTAL REVENUE: 451,201 1,176,800 1,518,500 2 TOTAL EXPENSE: 111,386 1,176,800 1,518,500 MADISON COUNTY FIRE DISTRICT TOTAL REVENUE: 917,163 1,948,100 2,337,700 TOTAL,EXPENSE: 773,913 1,948,100 2,337,700 FIRE IMPACT FEE CAPITAL FUND TOTAL REVENUE: 64,926 152,300 87,600 TOTAL EXPENSE: 71,810 152,300 87,600 FIRE DEPARTMENT EMPLOYEE FUND TOTAL REVENUE: 2,995 24,900 21,900 TOTAL,EXPENSE: 7,695 24,900 21,900 REVOLVING LOAN FUND TOTAL REVENUE: 49,224 43,200 41,800 TOTAL EXPENSE: 25,355 43,200 41,800 REXBURG RAPIDS FUND TOTAL.REVENUE: 399,900 582,500 590,600 TOTAL.EXPENSE: 644,427 582,500 590,600 LEGACY FLIGHT MUSEUM FUND TOTAL REVENUE: 70,563 147,000 208,200 TOTAL.EXPENSE: 61,907 147,000 208,200 SANITATION OPERATIONS FUND TOTAL REVENUE: 2,479,830 2,540,000 2,696,700 TOTAL EXPENSE: 2,361,543 2,540,000 2,696,700 WATER OPERATIONS FUND TOTAL.REVENUE: 6,827,617 5,697,100 5,453,700 TOTAL.EXPENSE: 5,665,939 5,697,100 5,453,700 WASTEWATER OPERATIONS FUND TOTAL REVENUE: 5,884,847 9,008,900 8,722,400 TOTAL EXPENSE: 4,987,022 9,008,900 8,722,400 COMMUNITY DEVELOPMENT FUND TOTAL REVENUE: 1,394,267 2,220,800 2,290,600 TOTAL.EXPENSE: 1,148,472 2,220,800 2,290,600 GEOGRAPHIC INFORMATION SYSTEMS TOTAL.REVENUE: 388,480 361,000 449,600 TOTAL EXPENSE: 388,480 361,000 449,600 JOINT CITY HALL/POLICE ADDITION RESERVE FUND TOTAL.REVENUE: - 400,000 400,000 TOTAL EXPENSE: - 400,000 400,000 STREET IMPACT FEE FUND TOTAL REVENUE: 440,008 2,085,700 2,065,200 TOTAL EXPENSE: 312,794 2,085,700 2,065,200 WATER CAPITAL RESERVE FUND TOTAL.REVENUE: 482,935 2,444,500 2,831,300 TOTAL EXPENSE: 24,414 2,444,500 2,831,300 SEWER CAPITAL RESERVE FUND TOTAL REVENUE: 1,468,485 2,288,700 3,617,900 TOTAL EXPENSE: 524,628 2,288,700 3,617,900 ARTS PROMULGATION FUND TOTAL REVENUE: 77,432 71,800 138,500 TOTAL EXPENSE: 73,331 71,800 138,500 ESD PARAMEDIC CARE UNIT FUND TOTAL.REVENUE: 847,444 845,100 688,800 3 TOTAL EXPENSE: 839,805 845,100 688,800 PARKS IMPACT FEE CAPITAL FUND TOTAL REVENUE: 365,055 638,600 592,200 TOTAL.EXPENSE: 513,130 638,600 592,200 TRAILS OF MADISON COUNTY FUND TOTAL REVENUE: 55,000 321,000 201,300 TOTAL EXPENSE: 7,491 321,000 201,300 ROMANCE THEATRE FUND TOTAL REVENUE: 194,781 433,600 114,600 TOTAL EXPENSE: 194,781 433,600 114,600 PARK CONSTRUCTION FUND TOTAL REVENUE: 723,400 1,608,600 50,000 TOTAL EXPENSE: 1,879,521 1,608,600 50,000 WATER CAPITAL CONSTRUCTION FUND TOTAL REVENUE: 2,684,609 1,838,000 1,530,000 TOTAL EXPENSE: 2,684,609 1,838,000 1,530,000 STREET REPAIR FUND TOTAL REVENUE: 1,705,771 2,599,600 2,125,900 TOTAL.EXPENSE: 1,913,344 2,599,600 2,125,900 STREET NEW CONSTRUCTION FUND TOTAL REVENUE: 935,199 5,045,800 3,381,500 TOTAL.EXPENSE: 1,015,164 5,045,800 3,381,500 MAYOR'S YOUTH COMMITTEE TOTAL.REVENUE: 1,792 9,200 - TOTAL EXPENSE: 650 9,200 - AIRPORT OPERATIONS FUND TOTAL REVENUE: 32,711 109,800 45,400 TOTAL EXPENSE: 33,773 109,800 45,400 AIRPORT CONSTRUCTION FUND TOTAL REVENUE: 152,503 630,000 289,700 TOTAL EXPENSE: 134,598 630,000 289,700 AIRPORT RELOCATION RESERVE FUND TOTAL.REVENUE: 60,053 43,000 22,600 TOTAL EXPENSE: - 43,000 22,600 GOLF COURSE FUND TOTAL REVENUE: 898,897 1,029,500 1,077,100 TOTAL EXPENSE: 893,786 1,029,500 1,077,100 GOLF COURSE CONSTRUCTION FUND TOTAL REVENUE: 100,096 174,600 115,800 TOTAL EXPENSE: 53,775 174,600 115,800 SEWER PLANT CONSTRUCTION FUND TOTAL.REVENUE: - - - TOTAL EXPENSE: - - - LID CONSTRUCTION FUNDS TOTAL REVENUE: 1,859,327 1,579,000 1,210,000 TOTAL.EXPENSE: 1,905,868 1,579,000 1,210,000 LID DEBT SERVICE FUNDS TOTAL REVENUE: 343,119 330,700 766,000 TOTAL EXPENSE: 592,099 330,700 766,000 REXBURG CULTURAL ARTS FUND TOTAL REVENUE: 70,250 119,500 93,100 4 TOTAL EXPENSE: 70,250 119,500 93,100 FIBER INITIATIVE CONSTRUCTION FUND TOTAL.REVENUE: 20,700 3,191,900 7,190,800 TOTAL EXPENSE: 186 3,191,900 7,190,800 REXBURG BUSINESS COMPETITION FUND TOTAL REVENUE: 41,599 42,100 36,300 TOTAL.EXPENSE: 8,793 42,100 36,300 NORTH 2ND EAST CONSTRUCTION FUND TOTAL REVENUE: 292,187 600,000 500,000 TOTAL EXPENSE: 292,187 600,000 500,000 COMMUNITY SAFETY LIGHTING FUND TOTAL REVENUE: 260,087 494,300 733,500 TOTAL EXPENSE: 159,077 494,300 733,500 VETERAN'S MEMORIAL TRUST FUND TOTAL REVENUE: 500 1,600 - TOTAL EXPENSE: 66 1,600 - SHOP-WITH-A COP FUND TOTAL REVENUE: 22,926 62,800 62,800 TOTAL EXPENSE: 13,488 62,800 62,800 CITY 501 C3 FOUNDATION FUND TOTAL REVENUE: - 23,800 5,000 TOTAL EXPENSE: - 23,800 5,000 GRAND TOTAL REVENUE: 54,631,783 79,955,900 84,497,500 GRAND TOTAL EXPENSE: 51,802,839 79,955,900 84,497,500 *2021 Proposed Amended Budget as of 7/31/2021 5