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HomeMy WebLinkAbout37-06 Ordinance RECORD OF ORDINANCES Dayton Legal Blank, Inc. Form No. 30043 37-06 Passed 2~ Ordinance No. AN ORDINANCE ADOPTING THE PROPOSED TAX BUDGET FOR FISCAL YEAR 2007 WHEREAS, Section 5705.28 of the Ohio Revised Code requires that City Council adopt a tax budget for the following year on or before July 15; and I WHEREAS, the tax budget is required to be filed with the County Auditor(s), as secretary to the budget commission(s), on or before July 20. i HEREFORE BE IT ORDAINED b the Council of the City of Dublin, NOWT Y State of Ohio, of the elected members concurring that: Section 1. The proposed 2007 tax budget hereto attached as Exhibit A, be and hereby is approved. Section 2. This ordinance shall be effective upon the earliest date permitted by law. Passed this ~ fi~ day of , 2006 ~~i Mayor - esi ing Off er ATTEST: Clerk of Council I hereby certify that copies of this Ordinance/Resolution were posted in the City of Dublin in accordance with Section 731.25 of the Ohio Revised Code. De Clerk of Council, Dublin, Ohio I City Manager 5200 Emerald Parkway • Dublin, OH 43017 Phone: 614-410-4400 • Fax: 614-410-4490 CITY OF DUBLIN To: Members of Dublin City Council From: Jane S. Brautigam, City Manager Date: May 31, 2006 Initiated By: Marsha I. Grigsby, Director of Finance Michele M. Hoyle, Director of Fiscal Administration Re: Ordinance 37-06, Adopting the Proposed Tax Budget for Fiscal Year 2007 Summary Ordinance 37-06 authorizes the adoption of the proposed tax budget for Fiscal Year 2007. The tax budget represents the earliest step in the formulation of the annual budget. As stated in the ordinance, the Ohio Revised Code requires filing of the tax budget. Once adopted, it will be filed with the Delaware and Franklin County Budget Commissions. Union County does not require the tax budget to be filed with their County Budget Commission. Dublin's eligibility to receive local government funding from Delaware and Franklin counties is contingent upon filing of a tax budget with the respective County Budget Commissions. While the state legislature frequently proposes reductions to this source of funds, local government funding nonetheless represents an important revenue source for the General Fund. The Franklin County Budget Commission also reviews property tax levy assessments outside the ten-mill limitation to verify the appropriate millage for those obligations. The tax budget reflects conservative estimates of revenues and expenditures, including three percent growth in income tax revenues, no increase in local government funding, and minimal or no growth in most other revenue sources. Expenditure projections also reflect "worst case" assumptions; increases of 7.5% percent over 2006 budget levels for most operating categories are included in the tax budget. In the past, 100 percent of the property tax revenue generated by the City's inside millage was allocated to the Parkland Acquisition Fund. The 2007 Tax Budget reflects the City's intent to allocate a portion of the inside millage to the Capital Improvements Tax Fund for the improvement of the US 33/State Route 161/Post Road interchange. The improvement of the interchange will be important to the development of the Central Ohio Innovation Center area and the hospital that will open in late 2007. Recommendation Staff recommends passage of ordinance 37-06, adopting the proposed tax budget for fiscal year 2007 at second reading on June 19. ~ ~ o ~ ~ ~ o ~ c`o ~ o ~ ~ ~ ~ O o M ~ ~ U X X O ~ a? N ~ ~ O iq N O J " m C ~ O ~ Q f0 -O (V _7 U ~ ~ ~ } c ~ ~ U LL O ~ J U c a~ ~ ~ ~ X x ~ ~ O h ~6 M xx } ~ LL ~ C O ~ Z ~ _ ~ O J = cA m Q ~ ~ U ~ J O ~ h F- ~ W ~ ~ ~ N _ m fn ~ N O` o> ~ ~ C C ~ x p, O 'O ~XS ~ > _ Q~ Q N 07 Q m ~ N O X X xXx W ~ X X J O~~ m o~ U -c J U X ~ ~ ~ m Q 2 Q ~i U ~ ~ ~ W } ~ O O ~ O O ~ f- a' O a0 ~ O M Q N C`') f'") O O O W ~ _ :O O M ~ d ~ N O O ~ x ~ ~ X M Q C x Q' ~ } ~ ~ N C 'OO C Q ~ a} N O N 'd 'N w ~ ~ U1 ~ 7 ~ ~ w~ m a N m E Q Q x Z O ~ p W U U C9 ~ ~ Z O Q LL W ~ ~ ~ O ~ ~ ~ (n Z j Cn ~ O ~ It W Z ~ ~ ~ vOi w N ~ ~ ~ Z Z Z ~ N ~ x W Z ~ ~ u- ~ ~ ~ LL Ll ~ ~ Z T W ~ W Q Z ~ ~ Q Q ~ ~ ~ ~ o `m o Z a V cn ~ ~ U Q O ~ ~ a w O>> j d ~ ~ ~ ~ U 3 O 0~ W~ O ~ W ~ Q ~ c U ~ LWi. ~ Q a d ~ v ~ J Q H ~ `n ~ Q~ W Q J ri ~ w U ~ Y Fa- ~ ~ a O a U SCHEDULE B LEVIES OUTSIDE 10 MILL LIMITATION, EXCLUSIVE OF DEBT LEVIES Tax Year County Auditor's FUND Maximum Rate Estimate of Authorized to be Yield of Levy Levied (Carry to Schedule A, Column 3) GENERAL FUND: Current Expense Levy authorized by voters on / / not exceed years. Authorized under Sect. , R.C. Current Expense Levy authorized by voters on / / not exceed years. Authorized under Section. , R.C. Current Expense Levy authorized by voters on / / not exceed years. Authorized under Section. , R.C. Current Expense Levy authorized by voters on / / not exceed years. Authorized under Section. , R.C. Current Expense Levy authorized by voters on / / not exceed years. Authorized under Section. , R.C. not exceed years. Authorized under Section. , R.C. Current Expense Levy authorized by voters on / / not exceed years. Authorized under Section. , R.C. TOTAL GENERAL FUND OUTSIDE 10 MILL LIMITATION SPECIAL LEVY FUNDS POLICE/SAFETY FUND, Levy authorized by voters on 06/1976 1.2 not to exceed ONGOING years. Authorized under Section , R.C. FUND, Levy authorized by voters on / / not to exceed years. Authorized under Section , R.C. FUND, Levy authorized by voters on / / not to exceed years. Authorized under Section , R.C. FUND, Levy authorized by voters on / / not to exceed years. Authorized under Section , R.C. FUND, Levy authorized by voters on / / not to exceed years. Authorized under Section , R.C. FUND, Levy authorized by voters on / / not to exceed years. Authorized under Section , R.C. FUND, Levy authorized by voters on / / not to exceed years. Authorized under Section , R.C. FUND, Levy authorized by voters on / / not to exceed years. Authorized under Section , R.C. FUND, Levy authorized by voters on / / not to exceed years. Authorized under Section , R.C. FUND, Levy authorized by voters on / / not to exceed years. Authorized under Section , R.C. Taxbud07.xls 5/30/2006 FUND NAME: GENERAL FUND EXHIBIT I FUND TYPE/CLASSIFICATION: GOVERNMENTAL GENERAL This Exhibit is to be used for the General Fund Only Current Year Budget Year For 2004 For 2005 Estimated for Estimated for DESCRIPTION Actual Actual 2006 2007 (1) (2) (3) (4) (5) REVENUES XXXXXXXX XXXXXXXX XXXXXXXX XXXXXXXX Local Taxes General Property Tax Real Estate 0 0 0 0 Tangible Personal Property Tax 0 0 0 0 Municipal Income Tax 39,830,363 43,490,912 45,000,000 46,350,000 Other Local Taxes Total Local Taxes 39,830,363 43,490,912 45,000,000 46,350,000 Intergovernmental Revenues State Shared Taxes and Permits Local Government 1,258,011 1,292,922 1,218,475 1,218,475 Estate Tax 1,169,893 725,615 25,000 25,000 Cigarette Tax 664 620 500 500 Liquor and Beer Permits 43,605 46,092 44,500 35,000 Gasoline Tax 0 0 0 0 Library and Local Government Support Fun 0 0 0 0 Property Tax Allocation 0 0 0 0 Total State Shared Taxes and Permits 2,472,173 2,065,249 1,288,475 1,278,975 Federal Grants or Aid 0 7,548 9,879 0 State Grants or Aid 3,556 2,910 250,000 0 Other Grants or Aid 0 0 0 0 Total Intergovernmental Revenues 2,475,729 2,075,707 1,548,354 1,278,975 Special Assessments 0 0 0 0 Charges for Services 408,908 681,101 436,300 476,500 Fines, Licenses, and Permits 4,020,252 3,464,505 2,122,830 2,089,260 Miscellaneous 901,495 839,829 688,000 658,000 Other Financing Sources: Proceeds from Sale of Debt 0 0 0 0 Transfers 0 0 157,474 0 Advances 484,039 1,758,000 2,025,000 500,000 Other Sources 0 0 0 0 TOTAL REVENUE 48,120,786 52,310,054 51,977,958 51,352,735 Taxbud07.xis 5/30/2006 FUND NAME: GENERAL FUND EXHIBIT I FUND TYPE/CLASSIFICATION: GOVERNMENTAL GENERAL This Exhibit is to be used for the General Fund Only Current Year Budget Year DESCRIPTION For 2004 For 2005 Estimated for Estimated for (1) Actual Actual 2006 2007 (3) (3) (4) (5) EXPENDITURES XXXXXXXX XXXXXXXX X)CX)CXXXX XXXX~CXX Security of Persons and Property Personal Services 0 0 0 0 Travel Transportation 0 0 0 0 Contractual Services 162,871 161,732 153,000 164,475 Supplies and Materials 63,774 57,151 78,000 83,850 Capital Outlay 93 686 1,500 1,613 Total Security of Persons and Property 226,738 219,569 232,500 249,938 Public Health Services Personal Services 0 0 0 0 Travel Transportation 0 0 0 0 Contractual Services 150,624 153,496 186,500 200,488 Capital Outlay 0 0 0 0 Total Public Health Services 150,624 153,496 186,500 200,488 Leisure Time Activities Personal Services 3,410,922 3,406,090 3,752,350 4,033,776 Travel Transportation 27,817 27,480 42,725 45,929 Contractual Services 913,242 854,950 1,052,325 1,131,249 Supplies and Materials 368,756 380,125 416,850 448,114 Capital Outlay 321,649 259,971 282,025 303,177 Total Leisure Time Activities 5,042,386 4,928,616 5,546,275 5,962,245 Community Environment Personal Services 5,130,547 4,994,637 5,420,000 5,826,500 Travel Transportation 64,874 66,823 64,400 69,230 Contractual Services 792,063 1,246,187 1,043,450 1,121,709 Supplies and Materials 100,535 53,897 68,700 73,853 Capital Outlay 88,566 17,198 17,000 18,275 Total Community Environment 6,176,585 6,378,742 6,613,550 7,109,566 Basic Utility Services Personal Services 363,364 427,820 492,775 529,733 Travel Transportation 630 254 2,000 2,150 Contractual Services 15,196 23,944 1,911,825 2,055,212 Supplies and Materials 1,447,040 1,710,789 4,300 4,623 Capital Outlay 817 0 0 0 Total Basic Utility Services 1,827,047 2,162,807 2,410,900 2,591,718 Taxbud07.xls 5/30/2006 FUND NAME: GENERAL FUND EXHIBIT I FUND TYPE/CLASSIFICATION: GOVERNMENTAL --GENERAL This Exhibit is to be used for the General Fund Only Current Year Budget Year DESCRIPTION For 2004 For 2005 Estimated for Estimated for (1) Actual Actual 2006 2007 (2) (3) (4) (5) Transportation Personal Services 0 0 0 0 Travel Transportation 0 0 0 0 Contractual Services 0 0 0 0 Supplies and Materials 0 0 0 0 Capital Outlay 0 0 0 0 Total Transportation 0 0 0 0 General Government Personal Services 7,026,695 7,378,406 7,919,750 8,513,731 Travel Transportation 185,242 178,228 195,500 210,163 Contractual Services 4,516,155 4,818,506 6,630,740 7,128,046 Supplies and Materials 1,722,745 1,628,309 1,472,325 1,582,749 Capital Outlay 187,321 244,217 35,100 37,733 Total General Government 13,638,158 14,247,666 16,253,415 17,472,421 Debt Service Interest 0 0 0 0 Other Debt Service 0 0 0 0 Total Debt Service 0 0 0 0 Other Uses of Funds Transfers 14,551,300 18,312,500 17,425,000 17,940,000 Advances 45,000 6,638,000 35,000 0 Contingencies 99,090 55,028 150,000 150,000 Other Uses of Funds(Refunds/Incentives/Grants) 3,008,017 3,202,419 4,017,350 4,356,990 Total Other Uses of Funds 17,703,407 28,207,947 21,627,350 22,446,990 TOTAL EXPENDITURES 44,764,945 56,298,843 52,870,490 56,033,365 Revenues over/(under) Expenditures 3,355,841 (3,988,789) (892,532) (4,680,630) Beginning Cash Fund Balance 22,904,810 26,260,651 22,271,862 21,379,330 Ending Cash Fund Balance 26,260,651 22,271,862 21,379,330 16,698,700 Estimated Encumbrances (1,409,915) (1,833,868) 0 0 Estimated Ending Unencumbered Fund Balance 24,850,736 20,437,994 21,379,330 16,698,700 Taxbud07.xls 5/30/2006 FUND NAME: SAFETY/POLICE OPERATING EXHIBIT II FUND TYPE/CLASSIFICATION: SPECIAL REVENUE To be used for any fund receiving property tax revenue except the • General Fund. Current Year Budget Year DESCRIPTION For 2004 For 2005 Estimated for Estimated for (1) Actual Actual 2006 2007 (2) (3) (4) (5) REVENUE XX)<XXX>CX XXX)OOCXX XXX)CXXXXX X)CXXX)OCX Local Taxes 488,446 533,366 493,700 493,000 Intergovernmental Revenue 241,405 137,369 125,644 125,000 Charges for Services 370,439 588,554 409,851 409,000 Miscellaneous 15,499 21,570 11,150 11,150 Other Financing Sources: Transfers 7,200,000 7,800,000 8,725,000 8,500,000 Other Sources 0 0 0 0 TOTAL REVENUE 8,315,789 9,080,859 9,765,345 9,538,150 EXPENDITURES XXX)OCXXX XX)CXXX)CX XXX)OCXXX XXX)OCXXX (Identify each program and object XXX>O<XXX XX)CXXX)CX XXX~CXXX XXX)<XXXX code at the same level shown on XXXX)OOCX XX)CX)CXXX XXX)CXX)CX XX)CXXX>CX (PROGRAM) (OBJECT) Security of Persons and Property 0 Personal Services 7,622,156 8,189,651 8,856,200 9,520,415 Travel/Transportation 95,136 111,610 119,600 128,570 Contractual Services 336,945 283,739 423,525 455,289 Supplies and Materials 95,679 104,565 97,000 104,275 Capital Outlay 74,347 64,028 35,750 38,431 Other Uses(Refunds) 92 22 500 500 TOTAL EXPENDITURES 8,224,355 8,753,615 9,532,575 10,247,481 Revenues Over (Under) Expenditures 91,434 327,244 232,770 (709,331) Beginning Cash Fund Balance 183,032 274,466 601,710 834,480 Ending Cash Fund Balance 274,466 601,710 834,480 125,149 Estimated Encumbrances (outstanding at end of year) (107,792) (74,852) 0 0 Estimated Ending Unencumbered Fund Balance 166,674 526,858 834,480 125,149 Taxbud07.xls 5/30/2006 FUND NAME: GENERAL OBLIGATION BOND RETIREMENT EXHIBIT II FUND TYPE/CLASSIFICATION: DEBT SERVICE To be used for any fund receiving property tax revenue except the General Fund. Current Year Budget Year DESCRIPTION For 2004 For 2005 Estimated for Estimated for (1) Actual Actual 2006 2007 (2) (3) (4) (5) REVENUE XXXXXXXX XXXXXXXX XXXXXXXXX XXXXXXXX Local Taxes 13,950 14,891 13,858 13,858 Intergovernmental Revenue 2,328 2,366 1,225 1,225 Miscellaneous 19,402 23,945 16,200 16,200 Other Financing Sources: 0 0 Proceeds From Sale Of Debt 229,284 0 0 0 Transfers 7,231,135 7,639,884 7,677,655 7,543,340 TOTAL REVENUE 7,496,099 7,681,086 7,708,938 7,574,623 EXPENDITURES (Identify each program and object XXXXXXXX XXXXXXXX XXXXXXXX XXXXXXXX code at the same level shown on XXXXXXXX XXXXXXXX XXXXXXXX XXXXXXXX Exhibit I) XXXXXXXX XXXXXXXX XXXXXXXX XXXXXXXX Debt Service: Redemption of Principal 4,490,393 4,876,993 5,122,388 5,097,393 Interest 2,797,544 2,855,197 2,665,134 2,473,699 Other Debt Service 209,521 23,991 20,350 17,586 Advances 900 0 0 TOTAL EXPENDITURES 7,498,358 7,756,181 7,807,872 7,588,678 Revenues Over (Under) Expenditures (2,259) (75,095) (98,934) (14,055) Beginning Unencumbered Fund Balance (Use Actual Cash Balance in Col. 2 and 3) 792,515 790,256 715,161 616,227 Ending Cash Fund Balance 790,256 715,161 616,227 602,172 Estimated Encumbrances (outstanding at end of yea 0 0 0 0 Estimated Ending Unencumbered Fund Balance 790,256 715,161 616,227 602,172 Taxbud07.xls 5/30/2006 FUND NAME: PARKLAND ACQUISITION EXHIBIT II FUND TYPE/CLASSIFICATION: CAPITAL PROJECTS To be used for any fund receiving property tax revenue except the General Fund. Current Year Budget Year DESCRIPTION For 2004 For 2005 Estimated for Estimated for (1) Actual Actual 2006 2007 (2) (3) (4) (5) REVENUE X)CX)CXXXX XXX>OOOCX XX)CXXX~UCX ~WCXX)CX Local Taxes 2,441,251 2,606,049 2,560,850 1,510,500 Intergovernmental Revenue 294,622 310,825 290,100 290,100 Fines, Licenses, and Permits 24,865 75,945 0 Miscellaneous 33,323 72,611 25,000 15,000 Other Financing Sources: Transfers 0 0 0 Other Sources-Advances 1,500,000 0 Proceeds from Bonds 1,500,000 0 0 TOTAL REVENUE 5,794,061 3,065,430 2,875,950 1,815,600 EXPENDITURES XXX)OOOCX XXX)CXXXX XX)CXXXXX XX)CXXXXX (Identify each program and object XXX)OOCXX XXX)OCXXX XX)OCXX)CX XXX)CXX)CX code at the same level shown on XX)CXXXXX X)CXXX)OCX XXX>OOOCX XXXXX~CX (PROGRAM) (OBJECT) Contractual Services 21,889 32,296 25,000 26,875 Capital Outlay 3,555,769 1,560,065 3,072,000 1,420,000 Transfers 255,818 528,816 587,065 584,406 Advances 1,500,000 0 5,333,476 2,121,177 3,684,065 2,031,281 TOTAL EXPENDITURES 460,585 944,253 (808,115) (215,681) Revenues Over (Under) Expenditures Beginning Unencumbered Fund Balance 1,178,638 1,639,223 2,583,476 1,775,361 (Use Actual Cash Balance in Col. 2 and 3) Ending Cash Fund Balance 1,639,223 2,583,476 1,775,361 1,559,680 Estimated Encumbrances (outstanding at end of year) (500,000) 0 0 Estimated Ending Unencumbered Fund Balance 1,139,223 2,583,476 1,775,361 1,559,680 Taxbud07.xls 5/30/2006 .O ~ ~ N O O O O ~ tC) O O O O ~ O O O O O O O M N N f~ O h t~ I~ N ~ O M M M O O N O GO O M (O O? 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X ~ N O ti X X X X ~ ~j X X O O O ~ O O O O O O O N ~ X X °0 00 ~ ~ X o o X o 0 0 0 0 ~ ~ X X X Q X X~ N o cv ~ X N ° X M~ aa0o ~ rn a~ ~ ~ X X~ N ~ N ~ .N ~ x X N M X~ v X v m W X X X X ~ v X X d' rn~ ° X° ° X° o N~ a00o rn a m c ti X X rn~ ~ rn X °o °o_ X co ti co rn~ a> o X X M ao o N X uS ~ cfl Sri ~n ti M E~ m o X X N~ M X rn rn X ~ w~ ~ -a r X X o X X r~ W c~ o X X~~ N X X N ~ W N ~ ~ Z ~ ~ ~ U ~ ~ LL ~ _ cn ~ m w p m U~ a~ Z Z~ ~ ~ W D Z~ W lL N W ~ j Q Q o ~ ~ W cn c ~ U U~ ~ O ~ ~ j: W ~ a~ ~ Z ~ m a~ ~ W W a ~ W W W aci ~ ~ Q a~i ~ N p (n ~ (n ~ W a ~ W Q ~ ~ Z Q C ~ U O p ~ O J ~ ~ C U J J J ~ IW- ~ U ~ W ~ H ~ ~ E ~ N F- ~ ~ ~ Z N ~ ~ ~ ~ ~ 0 ~ i ~ 7 m ~ ~ (d d W > fn ~ F- Z W J H I-- ~ 0 0 0 H H f- STATEMENT OF PERMANENT IMPROVEMENTS EXHIBIT IV (Do Not Include Expense to be Paid from Bond Issue) (Section 5705.29. Revised Code) Estimated Cost Amount to be DESCRIPTION of Permanent Budgeted Durin Name of Paying Fund Improvement Current Year Leisure Time Activities Various park improvements 4,539,000 1,655,000 Capital Improvements Tax Fund Transportation Annual street maintenance 2,197,000 2,197,000 Capital Improvements Tax Fund Various roadway improvements 13,648,000 4,650,000 Capital Improvements Tax Fund General Government Various City Equipment 2,323,000 2,323,000 Capital Improvements Tax Fund Other capital improvements 9,518,000 4,000,000 Capital Improvements Tax Fund TOTAL 32,225,000 14,825,000 For the year being budgeted, list each contemplated disbursement for permanent improvements,exclusive of any expense to be paid from bond issues, by the fund from which the expenditure is to be made. Taxbud07.xls 5/30/2006 STATEMENT OF AMOUNTS REQUIRED FOR EXHIBIT V PAYMENT OF FINAL JUDGEMENTS (Section 5705.29. Revised Code) DESCRIPTION AMOUNT OF FUND PAYING JUDGEMENT JUDGEMENT TOTAL List the amounts required for the payment of each judgement expected to be paid during the year being budgeted. Taxbud07.xls 5/30/2006 N O O O EA ~ ~ U N p O U C ~ X ~ ~ N M Q U Cn d ~ cD ~ ~ N d O ~ O ~ H C L Q n O ll~ 7 O O M F J!XSS m ? Q EO ~ ~ N X m o w ~ ~ °o °o ~ a ~ M O O ~ U ~ .N- Ef3 C C c d ~ 0 o m E Q °c~ m n ~ °o_ °o_ ~ a~ °0 0 0 O Y _ ~ N M ~ N N 7 r O O =p O N p C O7 C ~ ~ c ~ 0 o u> 'c ~ ~ Z c Q ~ ~ a~i X ~ m } ~ o y u~ o E n ~ ~ ~ ~ ~ o o - c ~ ~ _o a~ m X m m E X . in O H ~ in ~ o x n E CS X ~p 7 SS f~ ~ ~ C p C O O )C (D O ~ ~ ~ T O ~ X ~ m a~ ~ ~ r _ i 00 ~ ~ U L m o d o o m 3 ~ ~ X ~ ~ ~ o ~ -a t c ~ C ~ ~ ~ ~ 3 d _ N ~ ~ ~ N ~ O p N ~ ~ ~o Y c T O 1] O > a N N N ~ 'd U X O C ~6 o ~ 3 ~ r .o o g .E ~ ~ ~ ~ L p w T Or J x n C .Um.~ ~ J C (9 3 O N ~ 'O ~ N N T ~ '6 ~ ~ O Q) N > p C ~ (U ~ N 7 ~ ~ f0 LL- O fn C ~ L .N-. Z ~ o ~3 o X O ~ ~ ~ ~ H a~ ~ - ~'L... O O a' J -moo N c W 'O J p - y ~ ~ C J_ j 0 N N O Z m ~ ° ~ d Q ~ N Y f]. 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O r- ~ O ~ O ~ O V O 0 ~ o ° N O M N Vl N U O o m a~ N X E ~ ° 0 o a .n x y ~ E Y ~ a m v a o w ~ a a 0 c ~ E ~ U C C J O L d 3 C C o m U c ~ o o ~ w a a` U d' O y w ~ ° 0 cD T C Q W ~ ~ a 0 a` ti w LL W a U ~ r ° o LL O ~ N ~ U N Q' (0 E C w E ° ~ U - ~ ~ m J W N m 7 c c ~ ~ L C C d ~ E ~ c w ~ -o ~ ~ ~ a7 ~ W ~ z z <ii E ~ ~ LL N ~ d Z d' > C LL ~ tai ~ c°~ ~ ~ Z c N Z Z j ~ ° ° ~ a~ ~ LL > F m E O w w -o ~ a ti ~c LL ~ ~ W aci N c y ~ ~ ~ li ~ ti N u' ~ W Z ~ ~ d ~ E E N a z LL o E N ~ O a to ~ ~ N w E a ~ ~ ~ o° •y ~ d > c a w m a~'i ayi m a LL 3~ ~ d° ~ a o ~ w ~y c ~ ~ y vi m ~ U cn ~ W LL r ~ c F- m a~ W a a a a ~ a ~ W ~ m'E ° ti E w z Q ~ z ~ io m m ~ d~~~ c ~ a~ w z o o X U a°° t Q W m~ m 3 t Q L a ° W UJ O H I- ~ cn W d i~ 7~ O H K O H D ~ O w OF z OF 0 F o 0 N O M f/1 L U O o (9 N N X O N I- O o a ~ .a = N Y ~ a ~ U Q. ~ lL (0 a d O C N (p ~ T U C C O ~ O J O d 7 C C O V c ~ X O O (9 N ~ Q ~ W a d U 0' O w o ~ W N T C Q W a ~ ~ ~ O F- N ~ ~ W LL 0 W Q U o w ~ ~ ~ O N U (6 C ~ L=j ~ ~ N C m 3 w C N U ~ ~ LL IL O (0 O ~ N p ~ Z UJ ~ W (n } ~ Z Z Z ~ ~ ~ W fn tL ~ C7 W } Q U p p `Z Z w C7 Q Q Q ~ ~ Z ~ In ~ Q ~ W x ~ F- F a ~ O O F ~ X CO 0 0 ~ X °o ~ ~ N ~ ~ c X o ~ _ ~ X ~ o w ~ X U X ~ X ~ ~ X o i a~ X Q "d ~ X X m E X E m U X ~ Q c~ _a U w I- Q H iL ~ ~ O H ~ o " N _ L Z o z ~ ~ ~ ~ U ~ o Q o ~ ~ w ~ ~ Q ~ O H ~ ~ ~ J J ~ ~ X J O d ~ J ~ J ~ ~ ~ J 0 Q O LLI Q' Z ~ ~ H ~ Q j ~ w o o a~ Q~~ c o~ N Q ~ ~ W U H to > U ~ j U H i~ > U in o ~ ~ ~ ~ FRANKLIN COUNTY BUDGET OF City FOR FISCAL YEAR BEGINNING JANUARY 1, 20 20 County Auditor Deputy Auditor Taxbud07.xls 5/30/2006