24 Sep
NOTICE OF PUBLIC HEARING
NOTICE IS HEREBY GIVEN, in accordance with Idaho Code 63 - 1311A, by the City of Georgetown, Idaho, that the Georgetown City Council will meet at 7:00 pm on October 7, 2008, at the Georgetown City Hall, 382 Main St., Georgetown, Idaho to consider public comment regarding the increase in the monthly water and sewer utility rates. Said increase is to help defray maintenance costs to the water and sewer utilities and to help match funds for the sewer feasibility study grant being done by Keller Engineering. Information about the proposed rates may be obtained from the office of the City Clerk at Georgetown City Hall during regular business hours.
City of Georgetown
Marty Nate, City Clerk
Published: September 24, & October 1, 2008 - Legal No. 1041.
Published 24 September 2008 in The News-Examiner
Posted in City of Georgetown by: rolandksmith
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20 Aug
NOTICE OF PUBIC HEARING PROPOSED BUDGET FOR FISCAL YEAR 2008-2009 (FY 2009)
CITY OF GEORGETOWN, IDAHO
A public hearing, pursuant to Idaho Code 50-1002, will be held for consideration of the proposed budget for the fiscal year from October 1, 2008 to September 30, 2009. The hearing will be held at City Hall, Georgetown, Idaho at 7:00 pm on September 2, 2008. All interested persons are invited to appear and show cause, if any, why such budget should or should not be adopted. Copies of the proposed City budget in detail are available at the City Hall during regular office hours. The proposed FY 2009 budget is shown below as FY’09 Proposed Expenditures and Revenues.
| PROPOSED EXPENDITURES |
| |
‘07 FY Actual |
‘08 FY Actual |
‘09 FY PROPOSED |
| GENERAL FUND |
| General and Administration |
$23,993.00 |
$25,197.00 |
$27,197.00 |
| Public Safety |
$15,109.00 |
$17,070.00 |
$19,670.00 |
| Streets |
$22,127.00 |
$29,545.00 |
$31,895.00 |
| Parks/Cemetery |
$20,127.00 |
$17,590.00 |
$34,390.00 |
| TOTAL GENERAL FUND |
$81,546.00 |
$89,402.00 |
$113,152.00 |
| |
| SEWER FUND |
$58,242.00 |
$43,215.00 |
$63,865.00 |
| WATER FUND |
$66,785.00 |
$80,778.00 |
$83,628.00 |
| GRAND TOTAL ALL FUND EXPENDITURES |
$206,573.00 |
$213,395.00 |
$260,645.00 |
| |
| PROPOSED REVENUES |
| |
‘07 FY Actual |
‘08 FY Actual |
‘09 FY PROPOSED |
| PROPERTY TAX LEVY |
| General Fund |
$16,889.00 |
$17,575.00 |
$17,900.00 |
| TOTAL PROPERTY LEVY |
$16,889.00 |
$17,575.00 |
$17,900.00 |
| |
| REVENUE SOURCES OTHER THAN PROPERTY TAX |
| General Fund |
$87,773.00 |
$74,299.00 |
$79,201.00 |
| Sewer Fund |
$40,456.00 |
$42,000.00 |
$55,800.00 |
| Water Fund |
$81,972.00 |
$78,000.00 |
$ 85,000.00 |
| TOTAL OTHER REVENUE SOURCES |
$210,201.00 |
$194,299.00 |
$220,001.00 |
| GRAND TOTAL ALL FUND REVENUE |
$227,090.00 |
$211,874.00 |
$237,901.00 |
Publish August 20 and 27, 2008 - Legal No. 1015.
Published 20 August 2008 in the News-Examiner
Posted in City of Georgetown by: rolandksmith
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