Page 375 - Keller Budget FY21
P. 375

Section  5:       THAT,    remaining   balances   of all  capital  project  appropriations  at
                                 September    30,    2020 shall be automatically re- appropriated into the
                                 respective capital project in the 2020-21 fiscal year in accordance with
                                 the Financial Management policy regarding project life budgeting.


               Section 6:        THAT,  in addition  to the amounts   provided  above  in Section  3 through
                                 Section 5,  the following capital projects costs are hereby authorized to
                                 be funded   in fiscal year 2020- 21 from new debt obligations:


                                              2021  SWIFT                                         4, 060, 000
                                              Total                                               4, 060, 000


               Section 7:        THAT,  impact fee funds of the City of Keller, Texas are considered non-
                                 operating funds and are expressly limited or restricted to specific uses
                                 in the City of Keller Code of Ordinances or State law,  therefore,  no
                                 specific  annual  appropriation  is provided;  transfers  of impact  fees  to
                                 capital improvement projects are hereby appropriated in fiscal year
                                 2020- 21 for the following purposes:


                                 ROADWAY       IMPACT   FEE FUND:     Revenues are derived from roadway
                                 impact   fees  assessed    on  new   development     within  the  City,    and
                                 expenditures are restricted to roadway capital improvement projects
                                 and/ or  debt   service   costs   related  to   specific  roadway    capital
                                 improvement projects.  The following capital projects costs are hereby
                                 appropriated to be transferred in fiscal year 2020- 21 from the Roadway
                                 Impact Fee Fund:

                                              N/ A
                                                                  Total
                                 WATER IMPACT       FEE FUND:   Revenues are derived from water impact
                                 fees assessed on new development within the City,  and expenditures
                                 are restricted  to water capital  improvement  projects  and/ or debt service
                                 costs   related  to  specific  water  capital  improvement   projects.   The
                                 following capital projects costs are hereby appropriated to be transferred
                                 in fiscal year 2020- 21 from the Water Impact Fee Fund:


                                              N/ A

                                                                   Total
                                 WASTEWATER         IMPACT    FEE   FUND:     Revenues are derived from
                                 wastewater impact fees assessed on new development within the City,
                                 and   expenditures   are  restricted  to  wastewater  capital  improvement
                                 projects and/ or debt service costs related to specific wastewater   capital
                                 improvement projects.  The following capital projects costs are hereby
                                 appropriated    to  be  transferred   in  fiscal  year  2020- 21  from   the
                                 Wastewater Impact Fee Fund:




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