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HomeMy WebLinkAbout2021-27RESOLUTION 2021-27 Resolution Adopting a Budget Establishing Appropriations for The Town of Pulaski, Virginia General Fund for the Fiscal Year Beginning July 1, 2021 and Ending June 30, 2022 WHEREAS, the Town Manager has presented to Pulaski Town Council a proposed General Fund budget for Fiscal Year 2021-2022; and, WHEREAS, a summary of the proposed General Fund budget for Fiscal Year 2020-2021 was published for informative and fiscal planning purposes, as well as to give notice of a public hearing subsequently held June 1, 2021; and, WHEREAS, Pulaski Town Council has conducted a duly noticed public hearing in which public comments were considered; NOW, THEREFORE, BE IT RESOLVED by the Town Council of the Town of Pulaski, Virginia sitting in regular session this 15th day of June 2021 that the proposed budget, as summarized by category in Attachment A -Resolution 2021-28, titled Town of Pulaski Adopted General Fund Annual Budget and Capital Improvements Plan forFY-2021-2022 attached hereto and expressly made part of this resolution, is hereby adopted. This ordinance shall be effective July 1, 2021 and is hereby adopted this 15th day of June 2021 by the duly recorded vote of the Town Council of the Town of Pulaski, Virginia as follows: Lane R. Penn -Aye James A. Radcliffe -Aye Brooks R. Dawson -Absent G. Tyler Clontz -Aye Gregory C. East -Aye Michael P. Reis -Aye THE TOWN OF PULASKI, VIRGINIA By: 1//�'/ W. Shannon Collins Mayor David N. Quesenberry Clerk of Council Attachment A -Resolution 2021-27 Town of Pulaski Adopted General Fund Annual Budget and Capital Improvements Plan for FY 2021-2022 General Fund Revenues Total Property Taxes $ 2,947,931.00 Total Local Taxes 3,397,000.00 Total Permits 28,700.00 Total Fines and Forfeitures 12,500.00 Total Recreational Charges 10,000.00 Total State Non -Categorical Aid 10,000.00 Total State Categorical Aid 2,512,504.00 Total Federal Aid 0.00 Total Miscellaneous Revenue 23,400.00 Total Rental of Property 20,240.00 Total Transfer from Other Fund 0.00 Total Recovered Cost 47,500.00 Total Other Financing Sources 36,000.00 Total General Fund Revenues $ 9,045,775.00 General Fund Expenditures Total Town Council $ 45,303.20 Total Clerk of Council 80,294.29 Total Mayor's Office 7,259.00 Total Town Manager's Office 306,241.28 Total Community Development 224,292.44 Total Finance 550,128.26 Total Administrative Services 923,341.00 Total General Engineering 298,130.27 Total Contributions 189,671.00 Total IT Department 157,000.00 Total Police Department 2,404,931.06 Total Fire Department 831,494.23 Total Building Inspection 146,547.84 Total Highways, Streets, Bridges -Ineligible 223,697.58 Total Highways, Streets, Bridges -Eligible 1,669,058.52 Total Refuse Disposal 3,200.00 Total General Property Maintenance 197,237.20 Total Cemeteries 24,571.00 Total Gatewood Park 9,000.00 Total Senior Center 90,221.24 Total Motor Vehicle Maintenance 67,114.86 Total Debt Service 265,640.73 Total Inter -fund Transfers 0.00 Total Capital Outlay 0.00 Total Train Station 15,400.00 Total Ratcliffe Museum 0.00 Total Town Wide Projects -Capital 316,000.00 Total Other Financing 0.00 Total EPA Brownfields 0.00 Total Downtown Rev. 0.00 Total General Fund Expenditures $ 9,045,775.00 General Fund Capital Improvements Plan FY 2021-2022 *General Fund Repair to 72 E. Main $ 30,000.00 Dump Truck 97,000.00 Total General Fund Projects $ 127,000.00 *The projects listed above are already included in the proposed budget totals and do not constitute spending in addition to the proposed budget.