PC file occasions | Public announcement No. 10959

PUBLIC HEARING NOTICE

The city of Wheatland will hold a public hearing on June 14, 2021 at 6:30 p.m. on the following draft budget. Copies of the proposed budget are available from Wheatland City Hall.

BUDGET PROPOSAL

July 1, 2021 – June 30, 2022

Section 1: The total revenue the city of Wheatland, Wyoming will collect during the fiscal year July 1, 2021 through June 30, 2022 is estimated to be $ 12,572,790.41

REVENUES

GENERAL FUND

Property Tax $ 350,000.00

Licenses 140,400.00 Shared State Revenue 2,951,280.85

Fees for services 26,000.00 Other income 48,850.00

General increase / (decrease) in fund 548,466.09

State and government grants 5,200

Subtotal $ 4,070,196.94

ELECTRIC FUND $ 4,312,735.00

SANITARY FUND 883,000.00

WATER FUND 675,000.00

Sewer Fund 379,000.00

Subtotal $ 6,249,735.0

SECTION TAX FUND

Government Revenue / Interest $ 133,959.76

Cash reserves (35,088.35)

State and federal grants 1,203,517.06

Subtotal $ 1,302,388.47

SPECIAL PURPOSE

EXCISE TAX $ 930,470.00 Subtotal $ 930,470.00 AMERICAN RESCUE

PLAN FUND $ 265,000.00

Subtotal $ 265,000.00 CAPITAL FACILITIES FUND 20,000.00

Subtotal $ 20,000.00

TOTAL SALES $ 12,837,790.41

Section 2: That the following amounts of money will be used for the respective purposes from all resources of the City of Wheatland that have not been used elsewhere to settle all necessary expenses and liabilities of the City of Wheatland for the fiscal year beginning July 1, 2021 and ending on June 30th June 2022.

EXPENDITURE

GENERAL FUND

Administration $ 1,904,141.40

Airport 92,500.00

Building inspector / planner 129,167.34

Emergency management 3,400

Fire brigade 76,500.00

Vehicle fleet 166,565.68

Cemetery section 148,180.53

Park administration 274,484.80

Parks & Leisure 78 006.00

Police service 651,605.44

Road section 580,522.04

Social services 45,750.00

Optional 1% capital projects 1,184,827.00

Sub-total $ 5,335,650.23

ELECTRIC FUND $ 3,580,097.05

SANITARY FUND 782,938.34

WATER FUND 290,384.01

Sewer Fund 330.862.31

Sub-total $ 4,984,282.71

SECTION TAX FUND

Runway Rebuild Project $ 469,855.47

Airport: AWOS 6,700.00

Airport: CARES Act O&M 30,000.00

Airport: Coronavirus

Answer grant 13,000.00

Airport: runway seal

Coat & Markings 186,000.00

Airport: Fly-In 3,500.00

Airport: hangars / land acquisition 333,333.00

Pickleball Court 50,000.00

Path 75,000.00

Landfill closure – air burner 135,000.00

Subtotal $ 1,302,388.47

SPECIAL PURPOSE

EXCISE TAX $ 930,470.00

$ 930,470.00

AMERICAN RESCUE PLAN FINDS $ 265,000.00

Subtotal $ 265,000.00

CAPITAL FUND $ 20,000.00

Subtotal $ 20,000.00

TOTAL EXPENSES $ 12,837,791.41

Public Announcement # 10959. Published in Platte County Record – Times June 2, 2021.

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