Resolution 2008-13 District Budget

A resolution Adopting a budget for the period July, 2008 – June, 2009

BE IT RESOLVED BY THE BOARD OF directors of the sunny meadows Missoula county water and sewer district:

WHEREAS, the District must responsibly manage its revenue and expenses; and

WHEREAS, the District must provide a budget to the Missoula County Auditor; and

WHEREAS, the District must conform to TSEP requirements to include all project revenues and expenses in the current fiscal year; and

WHEREAS, the District has adopted a fiscal year beginning on July 1 and ending on the next June 30.

THEREFORE BE IT RESOLVED, that the District adopt the attached Budget for the fiscal period.

PASSED AND ADOPTED this 3rd day of July, 2008

Signed: _____

 

Name: Michael Lilley

 

Title: District President _____

 

Date: _____

 

Attested: _____


Main Obj Expenses  
430510 210 Office Supplies $200
430510 220 Operating Supplies $1,000
430510 230 Repair and Maintenance Supplies $400
430510 311 Postage $350
430510 321 Printing/Litho Costs $85
430510 324 Copy Costs $500
430510 331 Advertising/Legal Publications $800
430510 335 Dues & Memberships $720
430510 340 Heat, Light, Water $4,500
430510 343 Sewer $150
430510 345 Phone Basic $525
430510 348 Sewer Plant Maintenance and Repairs $1,000
430510 354 Audit Fees $2,900
430510 357 Contracted Services $6,400
430510 358 Consultants $920
430510 359 Architect/Engineering Svcs $31,841
430510 365 Grounds Maintenance and Repairs $220
430510 367 Water System Maintenance and Repairs $2,600
430510 391 Lab Services $1,200
430510 516 Other Insurance $1,520
430510 540 Special Taxes/Assessments $100
430510 610 Principal $6,000
430510 620 Interest $7,020
430510 951 Capital – Construction/Inst FA $0
430510 966 Construction/Engineering $547,814
430510 970 Capital – Contingency  
    Total Expenses $618,765
    Revenue  
334120   TSEP Grant Revenue $269,655
334121   DNRC Grant Revenue $100,000
343021   Metered Water Sales $38,130
343027   Miscellaneous Water Revenue $0
343031   Sewer Service Charges $2,112
343036   Miscellaneous Sewer Revenue $0
362016   Miscellaneous/Sales $0
371010   Investment Earnings $0
382032   State Revolving Fund Revenue $180,000
    Total Revenue $589,897