Page 125 - Haltom City Budget FY21
P. 125

CITY OF HALTOM CITY aNNUAL BUDGET, FY2021                CAPITAL PROJECT FUNDS






          CAPITAL PROJECTS FUNDS DESCRIPTION



          The City of Haltom City develops a multi-year financial plan for all capital projects in conjunction with the
          development of a multi-year operational plan.  These capital improvement plans (CIP) are developed during
          the budget process and are adopted by the City Council along with the proposed operating budget.

          Criterion for Selection and Budgetary Impact: Improvements to be included in the CIP are selected and
          prioritized according to the critical nature of the project and the timeliness of available financing for the proj-
          ect.  The following operation impacts are considered:
              •   Demolition and salvage costs

              •   Changes in city-wide utility costs, maintenance costs and personnel costs
              •   Impact of regulatory compliance upon operations

              •   Impact of avoided costs
              •   Impact of deferred maintenance
          All improvements completed in the CIP budget have a useful life that exceeds the life of the financing.  Cap-
          ital equipment considered for inclusion in the CIP must have an initial acquisition cost of at least $5,000 and
          a useful life of at least 2 years.
          Sources of funding for the capital projects include:
              •   Reserve funds or carryover balances from prior years

              •   Current resources from operations

              •   3/8 cents of sales tax for streets
              •   Grants and contributions
              •   Transfers from other funds

              •   Bond proceeds from tax and revenue supported debts



          Funding for the FY2021 capital projects are from fund balances, transfers, sales tax, and Certificates of
          Obligation issued for streets and parks.



                                                                                          Developers'
           Fund Capital Project Funds     Sales Tax    Interest  Transfers Bond Proceeds Contributions   Total
            31  Street Reconstruction      $2,720,057    275,000                $5,250,000             $8,245,057
            32  Capital Improvements                         120,000         400,000               730,000       1,250,000
            35  Equipment Replacement                          24,000         850,000                         874,000
            42  Water & Sewer Projects                         98,000      7,397,628                       7,495,628

            44  Water & Sewer Impact Fees                      35,000                               400,000         435,000
            46  Drainage Capital Projects                      23,000         250,000                         273,000
                          Total Revenues   $2,720,057   $575,000  $8,897,628    $5,980,000   $400,000 $18,572,685
                 Use of Fund Balance                                                                   $2,450,247
                           Total Funding                                                              $21,022,932






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