Page 107 - City of Watauga FY22 Adopted Budget
P. 107

BUDGET OVERVIEW





             CITY OF WATAUGA FUND/DEPARTMENT RELATIONSHIP


                                                                    FUNDS

                                  GENERAL            SPECIAL REVENUE                 PROPRIETARY        CAPITAL
                                                                                            INTERNAL         ECONOMIC
                                                                                            SERVICE   GENERAL  UTILITY  DEV.
                                           CRIME   ECONOMIC   STREET  PEG   LIBRARY   GRANT  COURT   STORM  FLEET   (EQUIPMENT   CAPITAL  CONSTR.  CAPITAL
             DEPARTMENT/FUNCTION  GENERAL STRATEGIC CONTROL DEVELOPMENT  MAINT  FEE  DONATIONS FUNDS FUNDS UTILITY DRAIN INTERLOCAL REPLACEMENT) PROJECTS FUND  PROJECTS
             CITY MANAGER         X
             CITY SECRETARY       X
             NON-DEPARTMENTAL     X                                            X
             HUMAN RESOURCES      X                                    X
             DEVELOPMENT SERVICES  X   X
             ECONOMIC DEVELOPMENT  X   X           X                                                            X
             FINANCE              X                                    X   X
             FINANCE COURTS       X                                        X
             INFORMATION TECHOLOGY  X                         X        X       X               X
             LIBRARY              X                               X
             PARKS/RECREATION     X
             POLICE DEPARTMENT    X          X                         X
             ANIMAL CONTROL (POLICE)  X
             FIRE/EMS DEPARTMENT  X                                    X
             PUBLIC WORKS         X                      X             X       X    X          X     X    X
             FLEET                X                                                     X      X
             FACILITIES           X                                                            X
             UTILITY BILLING/FINANCE                                           X
             WATER                                                             X                          X
             WASTEWATER                                                        X                          X
             DEBT SERVICE         X                                            X

             LEGEND:
                      GENERAL FUND

                      SPECIAL REVENUE FUNDS
                      PROPRIETARY FUNDS
                      CAPITAL FUNDS

               BUDGETARY SYSTEM AND PROCESS

               The City Charter requires the City Manager to submit a proposed budget for the fiscal
               year, which begins October 1, to the City Council by August 1 each year, and provides
               for Council adoption of the budget by September 15; Article IX Section 9.02 F states
               "The budget shall be finally adopted not later than the last regular Council meeting of
               the last month of the fiscal year." Prior to August 1, the Finance department prepares a
               forecast  of  expected  revenues  from  property  taxes,  sales  taxes,  and  other  fees  and
               transfers. The City Manager and City department heads prepare expenditure estimates
               for the remainder of the current fiscal year and for the ensuing fiscal year, and these are
               compared to estimates of revenue for the same periods. Adjustments are made to the
               departmental expenditure estimates as necessary to ensure that the proposed budget is
               balanced  within  total  estimated  income  as  required  by  the  City  Charter.  A  balanced
               budget can include a planned drawdown of fund balance within guidelines discussed
               on the following pages.




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