Resolution No. 77-68`
4t CITY OF TIGARD, OREGON
RESOLUTION No. 77-
A RESOLUTION APPROVING THE BUDGET, DECLARING THE All VALOREM TAX LEVY FOR THE
GENERAL FUND AND MAKING APPROPRIATIONS FOR THE FISCAL YEAR ENDING JUNE 30, 1978
WHEREAS, the budget for the City of Tigard for the year beginning July 1,
1977 was duly approved by the regularly constituted budget committee at its
meeting of May 16, 1977, after proceedings in accordance with Chapter 294, Oregon
Revised Statutes; and
WHEREAS, a summary of the budget document as required by Chapter 294.416,
Oregon Revised Statutes, was duly published in the Tigard Times, a newspaper of
general circulation in the City in accordance with Chapter 294.421, Oregon Revised
Statutes; and
WHEREAS, a hearing by the City Council on the budget document as thus approved
by the budget committee was duly called and held on the 15th day of June, 1977,
whereat all interested persons were afforded an opportunity to appear and be heard
with respect to the said budget; and
WHEREAS, the total operating fund budget as thus approved anticipated a
property tax levy in the total sum of $144,$94:in excess of the tax base of the
City of Tigard, and by Ordinance No. 77-47 an election was duly called,publicized
and held within the city on the 12th day of July 1977 whereat the total votes cast
for measure 53 (Aged Services), 401 favored the levy, and 249 voted against the
levy and that the measure therefore passed; and measures 51 and 52 were defeated,
resulting in voter approval of a. total property tax levy of $5,000 in excess of the
tax base; and
WHEREAS, unanticipated funds are available from actual cash carryover in the
General Fund and from proceeds from State Revenue Sharing and from voter approval
of measure 53 to meet the obligations projected in the budget as approved by the
Budget Committee with the exception of support for Tigard Community Youth Services
in the amount of $22,000.
f
NOW, THEREFORE, IT IS HEREBY RESOLVED AS FOLLOWS:
(1) That a total General Fund ad valorem tax levy in the sum of $188,227,
which consists of the tax base plus the $5,000 levy for Aged Services as approved by
the voters, is hereby declared and approved and appropriations for all funds are
hereby approved and made in accordance with the finalized budget hereto c.:tached and
transfer. from all funds to program elements in the amounts indicated and depicted
in the attachment identified as Exhibit A of the hereby approved Budget are hereby
approved and made.
(2) That the City Recorder be, and she is, hereby authorized and directed
to certify a copy of this Resolution together with a copy of the Budget document
of the City of Tigard, to the Department of Revenue and Taxation of Washington
County, and further to file a true copy of the Budget of the City with the Department
of Revenue of the State of Oregon, as provided in 9 294.555 ORS.
PASSED: This &,-day of July, 1977.
ATTEST: Mayor - City of Tigard
Recorder - City of Tig "
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Resolution No. 77-GAS
EXHIBIT "A"
OPERATIONAL BUDGET
1, COMMUNITY PROTECTION
C.1 POLICE SERVICES: a in costs results from the addition
inflation and negotiated salary adjustments. Additional
Provides basic, safety and security services. The Chang 7 days a week to f
�f 2 patrolmen and 1 clerk/dispatcher,
e of 1.9 patrolmen available 24 hours a day, €
manpower will allow an averag INCREASE
respond to rapid increase in criminal activity. PROPOSED ADOPTED
BUDGET 77-78 77-78 (DECREASE)
POLICE SERVICES 76-77
336,670 336,670
261,758 90,056 90,056
Patrol 84,445 95,332 95,332
Investigation 78,498 58,687
Communication & Records 52,498 58,657 103,984
Administration 476,761 580,745 580,745 E
TOTALS
ees $503,219
Personnel Requirements 24 employ =
Funding Sources
76-77 77-78 77-78
441,737 522,843 522,843
General Fund 14,849 14,849
13,682 27;053 27,053
State Tax St. 11,998 _p_
Rev. Sharing '0'
,344
LEAA (General Fund) 9-0- 16,000 16,000 ------
Sewer Fund -------------------------------------------------------
------
;;::
n Of
PUBLIC WORKS: The change in cost results from addiiioadditional
negotiated salary adjustments and partial funding
;;Program for traffic and neighborhood safety.
street lights, inflation, g TED INCREASE
' Engineeri'ng BUDGET g Technician. -PROPOSED ADOPTED
77-78 (DECREASE)
PUBLIC WORKS 76-77
42,440 42,440
Street Lighting 33,450 17,575
Traffic Signing, Maiking 16,049 17,575
pals 37,883 37,883
and Sig 20,473 16,849 16,849
Engineering 114,747 32,297
Administration and Clerical 82450
114,747
,
TOTALS 56,257
Personnel Requirements -- 3.25 employees - $
Funding Sources 77-78 77-78
76-7719 z1 8 97,898
9-,n5 _ -0-
11,
General Fund 651 -0
sewer Fund 16,849 16,849
61,609
State Tax St. 325,
25 -0_ _0_
Rev. Sharing
;1
1.3 MUNICIPAL COURT:
ProR-am provides local night court for convenience of residents cited for traffic violations.
Reduction in cost results from charging only actual costs of the court clerk to this program.
The remainder of the court clerk's time is charged to Fiscal Administration.
MUNICIPAL COURT BUDGET PROPOSED ADOPTED INCREASE
76-77 77-78 77-78 (DECREASE)
Arraignments & Trials 24,173 11,867 11,867
TOTALS 24,173 11,867 11,867 (12,306)
Personnel Requirements -- I part-time and .33 113 of full time regular
empl,)yee $9,117
Funding Sources
76-77 77-78 77-78
General Fund 24,173 11,867 11,867
---------------------------------------------------------------------------------------------•--
1.4 PLANNING & ZONING:
Program provides planning services to community including Neighborhood Planning Program,
future planning and processing of land use proposals. Activity is projected to be 50;;
' greater than last year. The change in cost results primarily from negotiated wage increase
and the addition of one position in current planning to handle increased workload which is
partially off set by reduction of one position in advance planning.
} PLANNING & ZONING BUDGET PROPOSED ADOPTED INCREASE
76-77 77-78 77-78 (DECREASE)
Current Plann9ng 19,849 37,685 37,685
Advance Planning 61,089 54,939 54,939
Enforcement -0- -0- -0-
Support Services 13,550 12,984 12,984
Program Administration 13,818 16,551 16,551
TOTALS 108,306 122,159 122,159 13,853
Personnel Requirements -- 6.25 employees - $100,099
Funding Sources
76-77 77-78 77-78
General Fund 55,996 79,202 79,202
H.C.D. (General Fund) 5,050 5,050 5,050
L.C.D.C. " 39,395 37,907 37,907
701 Grant " " 6,186 -0- -0-
Revenue Sharing 1,679 -0- -0-
I'.5 BUILDING INSPECTIOC ENFORCEMENT: (7
Provides fire, life, safety protection to buyers/users of buildings through plan review
and on-site inspection of new construction. Services are fully supported by fees. The
change in cost results from replacement of a Code Enforcement Officer by a Building Inspector
and negotiated salary adjustments.
BUILDING INSPECTION & ENFORCEMENT BUDGET PROPOSED ADOPTED INCREASE
76-77 77-78 77-78 (DECREASE)
Plan Checking 10,866 13,731 13,731
Field Inspection 33,293 45,652 45,652
Support Service 10,062 8,733 8,733
Program Administration 10,108 10,482 10,482
TOTALS 64,329 78,598 78,598 14,269
Personnel Requirements -- 3.75 employees - $64,827
Funding Sources
76-77 77-78 77-78
General Fund 64,329 47,598 47,598
Sewer Fund -0- 31,000 31,000
-----------------------------------------------------------------------------------------------
2. HOME AND COMMUNITY QUALITY
2.1 PUBLIC WORKS:
These program elements represent all Public Works functions except those related to traffic
safety. Overall reductic..i results primarily from completion of Hunziker Street L.I.D., and
completion of special street storm drainage and pathway projects authorized by special levy
during 76-77 fiscal year. Significant changes include sanitary sewer maintenance improvements
by purchase of equipment, storm water control program and additional manpower for improved
maintenance.
PUBLIC WORKS BUDGET PROPOSED ADOPTED INCREASE
41
76-77 77-78 77-78
Weed Control 3,000 3,000 3,000
Sanitary Service 65,778 94,157 94,157
Streets & Roads 99,923 89,875 89,875
Parks 43,241 44,443 44,443
Storm Water Control 29,525 45,669 45,669
Special Projects 191,513 30,088 30,088
Ancillary Service 33,207 38,684 38,684
Engineering 22,299 35,894 35,894
Administration & Clerical 12,277 15,649 15,649
Solid Waste Collection -0- -0- -0-
Insect Control 3,500 3,500 3,500
TOTALS 504,263 400,959 400,959 (103,304)
Personnel Requirements -- 13.25 employees - $205,999
Funding Sources
76-77 77-78 77-78
General Fund 247,793 119,715 119,715
Sewer Fund 110,599 146,157 146,157
State Tax Street 93,360 135,087 135,087
Revenue Sharing 52,511 -0- -O-
i
3. SOCIAL SERVICES
3.1 LIBRARY:
Provides Library services to City/County residents. While total costs remain similar to
previous year, book purchases and services have been increased significantly and cost of
rent and utilities are to be charged to City-wide Support Services rather than to Library.
INCREASE
LIBRARY BUDGET PROPOSED ADOPTED
76-77 77_78 77-78 (DECREASE)
Technical Service 17,244 24,444 24,444
Community Service 17,372 12,673 12,673
3,870 3,870
Operations & Maintenance 9'652 14,314 14,314
Administration 9,960 1,073
TOTALS 54,228 55,301 55,301
Personnel Requirements -- 3 employees - $38,789
Funding Sources
76-77 77-78 77-78
7 628 29,312 29,312
General Fund 989 25,989 25,989,
Co. Library Levy (G.F.) 25 -0- _0_
Revenue Sharing 20,611
3.3 AGED SERVICE:
Provides financial support to Loaves & Fishes program. Voters approved tax levy for
Increase is amount requested by Loaves & Fishes Board of Directors and funding is solely
predicated upon voter approval at a special election. City exercises no supervision of INCREASE
AGED SERVICE BUDGET PROPOSED ADOPTED (DECREASE)
76-77 77-78 77-78 (
2,000 5,000 5,000
Support To Loaves & Fishes 5 000 5 000 3,000
TOTALS 2,000 > >
Personnel Requirements -- none
Funding Sources
76-77 77-78 77-78
Special Levy 2,000 5,000 5,000
3.4 YOUTH SERVICE:
Provides financial support ountto Treard Community uested by T.C.Y.SY. Board cof•Directors Voters aand funding ispproved tax
for 76-77. Increase q y
solely predicated upon voter approval at a special election. City exercises no supervision
of program. INCREASE
YOUTH SERVICE BUDGET PROPOSED ADOPTED (DECREASE)
76-77 77-78 77-78 (
Support to Tigard Community 5,000 22,000 -0-
Youth Service 22 000 -0- (5,000)
TOTALS :5`��000 �
Personnel Requirements -- none
"i Funding-Sources
76-77 77-78 77-78
Levy
5.000 22.000 -U-
,,Special , _ -
4. POLICY AND ADMINISTRATION
4.1 MAYOR & COUNCIL
Mayor and Council are the elected policy and decision making body of the City. The change
in cost results from payment of stipend of $15 for more meetings per month and increase:in
materials and services accounts.
MAYOR & COUNCIL BUDGET PROPOSED ADOPTED INCREASE
76-77 77-78 77-78 (DECREASE)'
Policy and Direction 9,223 13,812 13,812
TOTALS 92223 13,812 13,812 42589
Personnel Requirements - none - City Council consists of Mayor and 4 Councilmen
- $5,417
Funding Sources
76-77 77-78 77-78
General Fund 9,223 13,812 13,812
-----------------------------------------------------------------------------------------------
4.2 CITY ADMINISTRATION
City Administration provides full time management of City affairs under direction of City
Council. The change in cost results from s, lary adjustments off-set by more accurately
reflecting percentage of time of subordinate staff assigned to Administrator.
CITY ADMINISTRATION BUDGET PROPOSED ADOPTED INCREASE
76-77 77-78 77-78 (DECREASE)
Management- Functions 22,600 25,178 25,178
Staff Functions 14,389 11,625 11,625
Ancillary Functions 2,837 3,164 3,164
TOTALS 39,826 39,967 39,967 141
Personnel Requirements - 1.50 employees - $34,792
Funding Sources
76-77 77-78 77-78
General Fund 39,530 39,967 39,967
Revenue Sharing 296 -0- -0-
-----------------------------------------------------------------------------------------------
4.3 FISCAL ADMINISTRATION & RECORDS
This program element,which provides critical financial control, accounting, records preparation
and retention, and support services to all other City functions, is increased as a result of
more accurately reflecting the percentage of subordinate staff time assigned to thse functions,
salary adjustments, purchase of automated data processing services and other increases due
to inflation.
FISCAL ADMINISTRATION & RECORDS BUDGET PROPOSED ADOPTED INCREASE
76-77 77-78 77-78 (DECREASE)
Finance Program 28,760 42,308 42,308
.' City Records 10,769 19,223 19,223
Management Support Service 61222 79414 7,414
TOTALS 45,751 68,945 68,945 23,194
s
Personnel Requirements - 3.66 employees - $61,576
i ',
4.:3 rISCAL ADMINISTRATE & RECORDS - Cont.
Funding Sources
76-77 77-78 77-78
Sewer Fund -0- 14,000 14,000
Revenue Sharing 45,751 54,945 54,945
-----------------------------------------------------------------------------------------------
5. CITY-WIDE SUPPORT FUNCTIONS
5.1 NON-DEPARTMENTAL FUNCTIONS:
These program elements consist of costs not properly charged to departments and which provide
for the operation of the City. Increase results from several areas including the charging of
all utility costs and rent costs to this program, institution of a microfilming program,
insurance:: cost increase, the creation of an unemployment reserve account to allow for self
insurance of these costs; and other inflationary factors.
NON-DEPARTMENT FUNCTIONS BUDGET PROPOSED ADOPTED INCREASE
76-77 77-78 77-78 (DECREASE)
Legal Services 15,600 18,500 18,500
Insurance 29,731 35,650 35,650
Utilities 6,603 64,150 64,150
Rent 500 6,525 6,525
Postage 5,125 6,625 6,625
Audit 5,400 5,400 5,400
Membership 6,347 8,153 8,153
CGodification of Ordinances 1,200 1,300 1,300
Stationery & Supplies 1,000 1,100 1,100
BUilding & Equipment
Maintenance & Repair 1,400 1,800 1,800
Contractual Service 4,300 5,875 5,875
Unemployment Reserve -0- 13,000 13,000
Donations -0- 2,000 2,000
Publicity & Community Relations 500 2,500 2,500
Materials & Supplies 650 650 650
Microfilm -0- 12,500 12,500
Unclassified Personnel Service 269 -0- -0-
Contingency 93,520 143,723 143,723
TOTALS 172,145 229,451 329,451 157,306
Personnel Requirements - None
Funding Sources
76-77 77-78 77-78
General Fund 95,727 144,503 144,503
Sewer Fund 40,394 145,497 145,497
State Tax Street 29,421 -19,651 19,651
Revenue Sharing 6,603 19,800 19,800
CAPITAL BUDGET
6. COMMUNITY PROTECTION
6. CAPITAL PROJECT:
This element contains the major improvement projects scheduled for the next fiscal year.
Change in costs are primarily the result of a federal grant for storm drainage and pathways,
and the creation of the Major Streets Capital Project Fund which is entirely funded by the
newly enacted System Development Charge ($220,000). This element also includes street
overlays and park improvements.
CAPITAL PROJECT BUDGET PROPOSED ADOPTED INCREASE
76-77 77-78 77-78 (DECREASE)
Sidewalk/Pathway Const. 16,214 26,214 26,214
Road Acquisition & Dev. -0- 314,000 314,000
Park Acquisition & Dev. -0- 31,584 31,584
Storm Drainage 109,736 109,736 109,736 g
Donations -0- 2,000 2,000
TOTALS 125,950 483,534 483,534 357,584
Personnel Requirements -- none
Funding Sources 76-77 77-78 77-78
General Fund - H.C.D. Grant 125,950 125,950 125,950
General Fund -0- 137,584 137,584
Major Roads Capital Improv. Fund -0- 220,000 220,000
DEBT SERVICE
t
7. OUTSTANDING DEBT
-:.7. OUTSTANDING DEBT:
".,.This element provides for the payment of outstanding General Obligation Bonds and Bancroft
Bonds. All outstanding debt is self-supported and requires no general city-wide tax levy.
r'OUTSTANDING DEBT ACTUAL ACTUAL BUDGET PROPOSED ADOPTED INCREASE
74-75 75-76 76-77 77-78 77-78 (DECREASE)
Genera! Obligation 44,815 26,292 45,862 48,318 48,318
Bancroft Improvement 38,368 165,873 176,946 163,191 163,191
TOTALS 83,183 192,165 222,808 211,509 211,509 (11,299)
'f==> Funding Sources 76-77 77-78 77-78
General Debt Fund 45,862 48,318 48,318 `
Special Assessment Debt Fund 176,946 163,191 163,191
:^--------------^----^------------------------^-----------------^--------------------------------
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FORM LB•7 NOTICE OF BUDGET HEARING
The budget for —City of Tigard for the fiscal year 19 197$
beginning July 1, 1971,as detailed and sumarized below, was prepared by the 0 Cash, O Accrual, LR Modified Accrual
accounting basis, and C3 is, ® is not consistent with the accounting basis used during the last two years. Major changes,
if any, and their effects on this budget are set forth in an accompanying statement. A copy of the budget document
may be inspected or obtained between the hours of 8:00 A.M. and 5:00 P.M. Daylight Savings
Time
at Tigard City Hall, 12420 S.W. Main, Tigard, Ore. A meeting of the City Council
(Governing BOUy) YYY
will be held June 16 19„17, at 8:00 pm.
at Fowler Junior High School - Lecture for the purpose of holding a public hearing on this budget. Any
Room, 10865 S.W. Walnut, Tigard, Oregon
person may appear to discuss the budget, or any part of it.
(Chairman of Governing Body)
Wilbur A. Bishop - Mayor
TrfnP 1 7977Wa-1+ing tr+n Ti arrl
(Date) (County) (City)
SUMMARY OF TAX LEVY AND OTHER BUDGET RESOURCES- FtscAL YEAR 19 77 - 19 l$
Item 75 Last Year 76 76 This Year 77* 77 Next Year 78
Levy Within 67o Limitation . . . . 152,740 171,674 183,227
Levy Outside 6% limitation(LoaveS & Fishes) -0- 152,292 5 _020
Levy Outside 6% Limitation (Serial Levy)• • . • • • -0- -0- - -
Not Subject to Limitation . . . . . . . . . . . -0- -0- -0-
TOTAL PROPOSED LEVY(To be certified to Assessor) . 152,740 323.966 188,227
Total Budget Resources from LB-2 °0- -0- 695
Total Resources Except Tax to be Levied from LB-3. . 753,366 856,251 1 651646
LESS:Estimated Tax Not to be Received. . . . . . < >< 31,696 >< 18 322 >
TOTAL BUDGET ALL FUNDS. . . . . . . . . 1 .57��$$_2_, 17 213 SL6 X4.4_
*S al Rudzet Included --
SUMMARY OF INDEBTEDNESS
Debt Outstanding Debt Aut:—ized,Not Incurred
Thls Ycar Next Year This Year Next Year
as of as of as of as of
Type of Debt
July 1, 19.]7 3ut 1 1918 July 1 1971, JuI 1 1918
Bonds . . . _ . . . . . . . 248,000 199,000 -0- -0-
Interest Bearing Warrants 85,650 -0-
Short Term Notes . . . -O- -0-
Loan from Sewer,Fund , . _ -0- 85,000
TOTAL INDEBTEDNESS. . . 333,650 284 000 -0-- -Q-
OREGON DEPT.OF REVENUE
1S0.504-001 (Rev. 12(76)
FUNDS REQUIRING AN AD VALOREM TAX TO BE LEVIED r
FORM LB-3 PUBLISH ONLY COMPLETED PORTION OF THIS PAGE
Operational—Budge_t-----------FUND OR PROGRAM
75 Last Year 76 76 This Year77 77 Next Year 78
Total Personnel Services (Includes all Payroll Costs). . . 508,667 839,153 1,080,092
Total Materials and Services. . . . . . . . . . . . . . . . 75,194 419,726 486,196
Total Capital Outlay . . . . . . . . . . . . . . . . . . . . 179,196 2z9,056 106,540
Total All Other Requirements. . . . . . . . . . -0- 1 100,520 148,723
Total Requirements (Including Transfers). . . . . . . . . 763,057 1,588,455 1,821,551
Total Resources Except Tax to be Levied. . . . . . . . 573,769 1,296,185 1,656,646
Ad Valorem Taxes Received. . . . . . . . . . . . . . 137,517 /
Ad Valorem Tax Required to Balance . . . . . . . . . . 292,270 164,905
Estimated Tax Not to be Received. . . . . . . . . . . . 31,696 18,322
Total Ad Valorem Tax to be Levied. . . . . . . . . . . 323.966 183.227
Levy Within 6 Percent Limitation . . . . . . . . . . . . 171,674 183,227
Special levy outside 6 percent limitation* 152,292 5,000
Levy Outside 6 Percent Limitation (Serial Levy). . . . . -0- -0-
Not Subject to Limitation. . . . . . . . . . . . . . . . . -0- -0-
Loaves & Fishes
I
---------------------------FUND OR PROGRAM
Last Year Th:a Year Next Year
Total Personnel Services(Includes all Payroll Costs) . . .
Total Materials and Services . . . . . . . . . . . . . . . .
Total Capital Outlay . . . . . . . . . . . . . . . . . . . .
Total All Other Requirements. . . . . . . . . . . .
Total Requirements(Including Transfers). . . . . . .
Total Resources Except Tax to be Levied. . . . . . . . . .
Ad Valorem Taxes Received. . . . . . . . . . . . . . . . . MOM=
Ad Valorem Tax Required to Balance. . . . . . . . . . . .
Estimated Tax Not to be Received. . . . . . . . . . . . . .
Total Ad Valorem Tax to be Levied. . . . . . . . . . . . .
Levy Within 6 Percent Limitation. . . . . . . . . . . . . .
Levy Outside 6 Percent I.imitation . . . . . . . . . . . . .
Levy Outside 6 Percent Limitation(Serial Levy) . . . . . . j
Not Subject to Limitation. . . . . . . . . . . . . . . . . . IS
F
f
--------------------------- FUND OR PROGRAM
Last Year This Year Next Year
Total Personnel Services (Includes all Payroll Costs). . . j
Total Materials and Services. . . . . . . . . . . . . . . . ?
Total Capital Outlay . . . . . . . . . . . . . . . . . . . . i.
Total All Other Requirements. . . . . . . . . . . . . . . i
Total Requirements (Including Transfers). . . . . . . . . ►I
Total Resources Except Tax to be Levied. . . . . . . . 1
Ad Valorem Taxes Received. . . . . . . . . . . . . . . . 4
Ad Valorem Tax Required to Balance . . . . . . . . . .
Estimated Tax Not to he Received. . . . . . . . . . . . I
Total Ad Valorem Tax to be Levied. . . . . . . . . . .
Levy Within 6 Percent Limitation. . . . . . . . . . . . .
Levy Outside 6 Percent Limitation . . . . . . . .
Levy Outside 6 Percent Limitation (Serial Levy). . . . .
Not Subject to Limitation. . . . . . . . . . . . . . . . .
OREGON DEPT. OF REVENUE {-
150.504-003 (Rev. 12/76) f
FUNDS NOT REQUIRING AN AD VALOREM TAX TO BE LEVI
FORM LB-2 PUBLISH ONLY COMPLETED PORTION OF THIS PAGE
OPERATIONAL BUDGET
1._CotnmunitX_Frotection
--------}E}UMYZX PROGRAM
Last Year 76 76This Year 77 77 Next Year 78
Total Personnel Services (Includes all Payroll Costs). Prior years 593,180 733,519
Total Materials and Services. . . . . . . . . . . . . . . budget not 137 893 140,327
Total Capital Outlay . . . . . . . . . . . . . . . . . . . Com arable due 24,946 34,270
Total All Other Acquirements. . . . . . . . . . . . . . . to revised -0-
Total Budget Requirements . . . . . . . . . . . . . . . . format 756,019 908,116
Total Budget Resources . . . . . . . . . . . . . . . . . . SEE LB-3
2.-Home_& _Community_4ualitX-----XMMN= PROGRAM
75 Last Year7 7 6 This Year 7 7 77 Next Year
Total Personnel Services (includes all Payroll Costs). . . Pri!2r ar 128,935 209,999
Total Materials and Services. . . . . . . . . . . . . . . -buiftet not _ 182,,-640.
Total Capital Outlay . . . . . . . . . . . . . . . . . . . . comparable due 192,688 58.50
Total All Other Requirements. . . . . . . . . . . . . . to revisgd -0- -o-
Total Budget Requirements . . . . . . . . . . . . . . . . f 263
400..959
Total Budget Resources . . . . . . . . . . . . . . . . . .
3.-SQc!,U-.Ser-v-ceS-------------KXQ;U(W PROGRAM
Last Year 2 f2 7 6 This Year-j-7— Next Year 79
Total Personnel Services (Includes all Payroll Costs). . 35-768
Total Materials and Services. . . . . . . . . . . . . . . . _t dgfl"Q 3.25
Total Capital Outlay . . . . . . . . . . . . . . . . . . . . .. omgarabl _ _M 13 260
Total All Other Requirements. . . . . . . . . . . . . . . to lay'gam 7,00Q 5 000
Total Budget Requirements . . . . . . . . . . . . . . . . format 61.228 60,30
Total Budget Resources . . . . . . . . . . . . . . . . . . SEE LB-3
4._Eo_Licy_anclAdminis.tration___-)PLINT13M PROGRAM
75 Last Year 76 76 This Year 77 71Vext Year 78
Total Personnel Services (Includes all Payroll Costs). � Q�ygS RI nol 101,783
20,429
Total Materials and Services. . . . . . . . . . . . . . . bALd&et not 12.172
Total Capital Outlay . . . . . . . . . . . . . . . . . . . . cQmpar ble due 1-62 510
Total All Other Requirements. . . . . . . t rgvi_, I_ - - - -
Total Budget Requirements . . . . . . . . . . . . . . . . format 94,800
22+Z24—
Total Budget Resources . . . . . . . . . . . . . . . . . -
5._�yYy_�13de�slppQrt ervice____} R PROGRAM
75 Last Year 76 76 This Year 77 77 Next Year 18
Total Personnel Services (Includes all Payroll Costs). . . Prior years 269 -0-
Total Materials and Services. . . . . . . . . . . . . . . . budget not 78.356 1852728
Total Capital Outlay . . . . . . . . . . . . . . . . . . . . _comparable due -0- -0-_
Total All Other Requirements. . . . . . . . . . . . to revised 93,520 143.723
Total Budget Requirements . . . . . . . . . . . . . . . . format 172,145 329,451
Total Budget Resources . . . . . . . . . . . . . . . . . . SEE LB-3
6.--Capital Budget*-------------*X)PWW PROGRAM
75 Last Year 76 76 This Year 7 77 Next Year
Total Personnel Services (Includes all Payroll Costs). . . Prior years -0-
Total Materials and Services. . . . . . . . . . . . . . . . budget not -0-
Total Capital Outlay . . . . . . . . . . . . . . . . . . . . comparable due 125,950 483,534
Total All Other Requirements. . . . . . . . . . . . . . . to revised -0- -0-
Total Budget Requirements . . . . . . . . . . . . . . . . format 125 950 483 534
=3 Total Budget Resources . . . . . . . . . . . . . . . . . . 125,950 I 483, 534
OREGON DEPT. OF REVENUE
150-504-002 (Rev. 12/)6)
*Includes Supplemental Budget
4,
' FUNDS NOT REQUIRING AN AD VALOREM TAX TO BE LErD
FORM LB-2 PUBLISH ONLY COMPLETED PORTION OF THIS PAGE
7. Debt Service
------------ --------------- FUND OR PROGRAM
Last YcatIm
Total Personnel Services (includes all Payroll Costs). .
Total Materials and Services. . . . . . . . . . . . . . . .Total Capital Outlay . . . . . . . . . . . . . . . . . . . .Total All Other Requirements. . . . . . . . . . . . . . .Total Budget Requirements . . . . . . . . . —Total Budget Resources . . . . . . . . . . . . . . . . . • --- 1 2 1
----------------------------- FUND OR PROGRAM
Total Personnel Services (Includes all Payroll Costs). Last Year This Year Nest Year
Total Materials and Services . . . . . . . . . . . . . . ------ --"------
Total Capital Outlayy . . . . . . . . . . . . . . . . . . . ----`-- -- ----
Total All Other Requirements. . . . . . . . . . . . . . . -- ""
Total Budget Requirements . . . . . . . . . . . . . . . . - �-
Total Budget Resources . . . . . . . . . ---- ---- --------
-----------------------------FUND OR PROGRAM
Total Personnel Services (includes all Payroll Costs). Last Year This Year Next Year
Total Afarerials and Services . ----------- --- ,_---- --._-.-----
-----
Total Canital Outlay _ - -`----.---
Tota1 All Other Requirements. -
Total Budget Requirements . . . . . . . . . . -- -------- ------"�--�-
Ttnal Budnet Resources . . . . . -- r---- -" -----
- ------------------------ FUND OR PROGRAM
Last Year This fear Next }'car -
Total Personnel Services (includes all Payroll Costs). .
Total Materials and Services . . . . . . . . . . — -------- '--`
Total Capital Outlayy . . . . . . . . . --- --
Toiai .AII Other Requirements. . . . . . . . . . . . . ----�- ---- ---
't - --------- ------ ------- - -----.-_.._..------------
Tnta1 Budget Requirements
Total Budget Resources . . . . . . . . . . . . . . . . . -------- ------------ --------- - --
--- -- --- --- -- --------- FUND OR PROGRAM
Last Year This }'gar Next }'ear
Total Personnel Services (includes all Payroll Costs). -
Total Materials and Services . .
Tota] Capital Outlay -- _
Tatal All Other Requirements. . . - -- - -- -- --- ------ - - ---
Total Budget Requirements . . . . . . . . . . . . . . ----- -- ,_---
Total Budget Resources . . . ----- - --------
------------ --------- FUND OR PROGR.AAI
Last Year t This. Year \ext Year
Total Personnel Services (Includes all Payroll Costs). -- -
Total Afarerials and Services. .
Total Capital Outlay . . . . . . . . . . . . . . . . . . . . ----�-- -- -� -- ----
Total .All Othe. Requirements. ---'--- -- ----------
Total Budget Requirements ----. -- ---------- - -- ------'-
'. Tota; Budget Resources . . . . . . . . . . . . . . . . . ----- -_-�-- ----1--- ------
i OREGON DEPT. OF REVENUE — -
]305()9.007 lRev. :7/76)