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HomeMy WebLinkAbout2008-15Town of Pulaski, Virginia Resolution 2008-15 ADOPTING A BUDGET ESTABLISHING APPROPRIATIONS FOR THE TOWN OF PULASKI, VIRGINIA FOR THE FISCAL YEAR BEGINNING JULY 1, 2008 AND ENDING JUNE 30, 2009 WHEREAS, the Town Manager has presented to Pulaski Town Council a proposed budget for Fiscal Year 2008-2009; and, WHEREAS, a summary of the proposed budget for Fiscal Year 2008-2009 was published for informative and fiscal planning purposes, as well as to give notice of a public hearing subsequently held June 17, 2008; 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 special session this 24th day of June 2008 that the amended proposed budget, as summarized by category in Attachment A, titled Town of Pulaski Adopted Annual Budget FY 2008-2009, is hereby adopted. This resolution is effective upon adoption and is hereby adopted this 24th day of June 2008 by the duly recorded vote of the Town Council of the Town of Pulaski, Virginia, as follows: Jeffrey S. Worrell -Aye Dan Talbert, Jr. -Aye Lane R. Penn -Aye Joel B. Burchett, Jr. -Aye David L. Clark -Aye Larry G. Clevinger, II -Absent T SKI, VIRGINIA By: Lae n, Vice-Mayor ATTEST: Patricia Cruise, Clerk of Council Attachment A Town of Pulaski Adopted Annual Budget FY 2008-2009 Adopted Budget FY 2008-2009 General Fund Revenues Property Taxes Total $ 1,958,371 Local Taxes Total 2,715,893 Permits Total 27,850 Fines and Forfeitures Total 37,990 Recreational Charges Total 105,700 State Non-Categorical Aid 97,134 State Categorical Aid 1,935,474 Misc. Revenue Total 196,304 Rental of Property Total 49,831 Transfer from Other Fund Total 750,318 Recovered Cost Total 28,380 Other Financing Sources Total 93.127 Total General Fund Revenues $ 7,996,372 General Fund Expenditures Town Council $ 43,678 Clerk of Council 54,063 Mayor's Office 8,709 Town Manager's Office 210,850 Economic Development 120,455 Finance 434,891 Administrative Services 212,916 General Engineering 198,130 Contributions 106,528 Data Processing 208,906 Police Department 2,015,182 Fire Department 568,992 Building Inspection 183,113 Highways Streets Bridges 220,536 Highways Streets Bridges-Eligible 1,227,803 Refuse Disposal 1,800 General Property Maintenance 154,774 National Guard Armory 21,700 Cemeteries 47,993 Parks and Facilities 219,280 Gatewood Park 178,140 Senior Center 76,042 Motor Vehicle Maintenance 97,281 Debt Service 830,136 Inter-fund Transfers 7,500 Capital Outlay 63,527 Train Station 8,300 Communications System 324,667 Town Wide Projects-Capital 1,500 Other Financing Uses 93,127 Calfee Park 55.853 Total General Fund Expenditures $ 7,996,372 Adopted Budget FY 2008-2009 Water Fund Revenues Miscellaneous Revenue $ 5,240 Transfers from Other Funds 7,500 Utility Collections 1,377,457 Total Water Fund Revenues $ 1,390,197 Water Fund Expenditures Administrative Services $ 0 Debt Service 113,250 Transfers 188,680 Capital Outlay 0 Water Trans. & Distribution 373,931 Water Filtration 683,908 Other Financing Uses/Fund Balance 30,428 Total Water Fund Ex enditures $1,390,197 Sewer Fund Revenue Miscellaneous Revenue Total $ 8,700 Transfer from Other Fund Total 7,500 Utility Collections Total 2,428,458 Other Financing Sources 93,853 Total Sewer Fund Revenues $ 2,538,511 Sewer Fund Expenditures Administrative Services $ 0 Debt Service 752,715 Transfers 146, 546 Capital Outlay 0 Sewer Collection 205,989 Pepper's Ferry RWT Authority 1,339,408 Other Financing Uses 93,853 Total Sewer Fund Expenditures $ 2,538,511