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Section 5:        THAT,  remaining  balances  of  all  capital  project  appropriations  at
                                 September  30,  2021  shall  be  automatically  re-appropriated  into  the
                                 respective capital project in the 2021-22 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 2021-22 from new debt obligations:

                                              N/A                                                         $-


               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
                                 2021-22 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  transfer  in  fiscal  year 2021 -22  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 transfer in
                                 fiscal year 2021-22 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 transfer in fiscal year 2021-22 from the Wastewater
                                 Impact Fee Fund:






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