Page 304 - Hurst Budget FY21
P. 304

TRAFFIC SIGNAL SAFETY FUND


               The Traffic Signal Safety Fund was established in fiscal year 2008-2009. RedFlex Group was selected to
               manage traffic signal safety cameras at a few intersections in the City. Intersections were selected based
               upon the historical number of accidents and traffic counts. The cameras capture images of vehicles
               running red lights. The owner of the subject vehicle is notified by mail and is able to view the violation on
               the Internet. The fine per violation is $75 and may be appealed through the City. RedFlex collects all
               revenue associated with violations, keeps the amount necessary to operate the cameras and remits the
               remaining funds to the City. The City is then allowed to pay its associated costs from the available funds
               and retains 50% of dollars remaining for public safety use only. The remaining 50% of post-expense
               dollars is paid to the State of Texas. On June 2, 2019, Governor Abbott signed House Bill 1631 which
               immediately discontinued the Red Light Camera program. Any funds remaining will be used for eligible
               one time expenses.


                                                     CITY OF HURST
                                           2020-2021 APPROVED BUDGET

                                           TRAFFIC SIGNAL SAFETY FUND
                                           REVENUE AND EXPENDITURES



                 FUND BALANCE OCTOBER 1, 2020                                                       $375,028
                 REVENUES

                          Traffic Fines                                                       $0

                 TOTAL REVENUES                                                                           $0

                 TOTAL FUNDS AVAILABLE                                                               $375,028

                  EXPENDITURES
                          Materials and Supplies                                           10,883
                          Miscellaneous Capital Outlay                                     74,500





                 TOTAL EXPENDITURES                                                                   $85,383






                 ESTIMATED FUND BALANCE AT SEPTEMBER 30, 2021                                        $289,645















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