Details for SUMMERSET FINANCE OFFICE - Ad from 2021-09-23

CITY OF SUMMERSET ORDINANCE 2022 AN ORDINANCE APPROPRIATING FUNDS FOR THE FISCAL YEAR 2022 SECTION ONE Be it ordained by the City of Summerset that the following sums are appropriated to meet the fiscal needs of the municipality for the fiscal year 2021. EXPENDITURES A B C D E F G I K L M O P Q R T 410 GENERAL GOVERNMENT 411 Legislative 411.5 Contingency 412 Executive 413 Election 414 Financial & Administration 419 Government Bldg & Engineering Total General Government 420 PUBLIC SAFETY 421 Police 422 Fire 423 Inspection Total Public Safety 430 PUBLIC WORKS 431 Streets & Drainage 432 Sanitation Total Public Works 440 HEALTH & WELFARE 441 Animal Control Total Health & Welfare 450 CULTURE & RECREATION 452 Parks Total Culture & Recreation CONSERVATION & DEVELOPMENT 465 Economic Development 465.2 Planning & Zoning Total Consv & Development General Fund (Fund 101) BBB Fund (Fund 211) $ $ $ $ $ $ $ 35,842 112,124 16,345 1,000 213,824 118,965 498,099 $ $ $ $ 709,088 35,257 15,500 759,845 $ $ $ 890,311 146,099 1,036,410 $ $ 250 250 $ $ 18,300 18,300 $ $ 21,889 21,889 $ 26,751 $ 26,751 $ $ 18,913 18,913 $ $ 500,200 500,200 $ $ 750 750 $ - $ - $ - $ 2,354,456 $ 26,751 $ 500,200 460 470 DEBT SERVICE 470 Debt Service Total Debt Service 490 MISCELLANEOUS OTHER 499 Liquor Total Miscellaneous 510 OTHER FINANCE USES 510 Transfer Out TOTAL 2021 APPROPRIATIONS TIF # 1 Fund (Fund 302) SECTION TWO The following designates the fund or funds to which the money derived from the following sources is applied. REVENUE 300 AA BB CC DD EE FF GENERAL GOVERNMENT Undesignated Fund Balance BBB Fund (Fund 211) TIF # 1 Fund (Fund 302) $ 322,024 $ - 310 Taxes $ 1,366,383 $ 27,608 320 Licenses & Permits $ 25,950 330 Intergovernmental Revenue $ 417,549 340 Charges for Goods and Services $ 500,000 $ 200 180,000 350 Fines & Forfeits $ - 360 Miscellaneous Revenue $ 42,700 390 Transfer $ - $ 2,354,606 $ $ $ $ $ 724,056 724,056 (514,437) 209,619 209,619 TOTAL MEANS OF FINANCE GG General Fund (Fund 101) $ 27,608 $ 500,200 ENTERPRISE FUNDS 604 SEWER ENTERPRISE FUND Estimated Revenue Total Available Less Estimated Appropriations Estimated Surplus Est Surplus to be Transferred to Debt Service Funds SECTION THREE That there is hereby levied upon all taxable property within the City of Summerset, for the fiscal year 2021, a tax sufficient to raise the following funds: For General Purposes $ 662,183 SECTION FOUR The City Finance Officer is hereby authorized and directed to certify said tax levy to the Meade County Auditor, of Meade County, State of South Dakota, to the end that the same may be spread and assessed as provided by law. Dated this 16th day of September, 2021 ATTEST: ___________________________ Candace Sealey, Finance Officer Vote: Kitzmiller: Lutz: Hirsch: Thurman: Butler: Aye Aye Aye Not Present Aye ___________________________ Melanie Torno, Mayor First Reading: Thursday, September 2, 2021 Second Reading: Thursday, September 16, 2021 Publication: (Published once at the approximate cost of $329.96)