Page 10 - CityofWataugaAdoptedBudgetFY24
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HOW TO USE THIS BUDGET DOCUMENT


               General Fund – This major section of the budget will show the reader how the General
               Fund receives a greater variety of revenues and finances a wider range of governmental
               activity than any other fund.

               Enterprise  Funds  –  This  section  includes  the  major  Water  and  Wastewater  Fund  that
               encompasses  the  operations  of  the  City’s  water  and  wastewater  system.    Much  like  a
               private business, the revenues generated are to cover all operating and capital expenses
               of  the  fund.    The  Storm  Drainage  Utility  Fund  operates  in  the  same  manner;  however,
               capital  improvements  are  budgeted  in  this  fund  versus  a  separate  fund.    The  Storm
               Drainage Utility fund will provide significant improvements to the City’s drainage system in
               the  current  and  future  years.  The  Internal  Service  Fund  is  used  as  an  equipment  and
               vehicle replacement fund for capital outlay items identified for replacement in the current
               year.   These items are further described in the City’s long-term strategic plan section in
               the Five-Year Capital Outlay Plan.

               Special Revenue Funds – This section provides information on the special revenue funds
               that provide an extra level of accountability and transparency that the revenues are being
               used  for the  intended  purpose.    These  funds  include  the  Crime Control and  Prevention
               District  Fund,  the  Economic  Development  Fund,  Municipal  Court  Revenue  Funds,  the
               Library Donation Fund, the PEG fund, and the Grant Funds

               Capital  Improvement  Funds  –  The  reader  can  obtain  an  overview  of  all  City  capital
               improvement projects that have been approved and planned future projects as part of the
               City’s Capital Improvement Program (CIP).  Additional information is provided to the reader
               primarily  on  current  year  projects  that  are  generally  managed  by  the  Public  Works
               department  or  Parks  and  Community  Services.    The  funding  source  for  each  project  is
               identified,  including  cash  (pay-as-you-go),  grants,  and  sale  of  long-term  bonds.    Future
               years identify proposed funding, but do not provide a guarantee as all projects, even in the
               current budget, will require additional council approval.

               Debt Service Funds

               This section summarizes current debt issuances and their purpose, as well as payment
               schedules  for current and  future  years for the  General  Obligation  Debt  Service  and  the
               Utility Debt Service.

               Appendix

               The appendix contains ordinances adopting the tax rate and revenue, including the Truth
               in Taxation Calculation.  The appendix also includes the budget glossary to aid the reader
               in verbiage used throughout the budget document.

               This document should serve as a policy document, a financial plan, and an operations
               guide to our City, as well as a communication device to our readers. We designed this
               document to be a reference for a wide variety of users. As approved by the City Council
               for the fiscal year, City Management may use this document as a guide for operations.
               The City Council may use this document as a communication medium to staff and citizens
               to describe objectives, goals, and mission of the City. City staff may use this document to
               inform  City  Council  and  citizens  of  accomplishments  and  services.  Current  and
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