Page 374 - CityofHasletFY25AnnualBudget
P. 374

Capital Project Fund                          City of Haslet
        Funded by Street/Facilities CO Debt Issue 2022  Summary
        Fund 26                                        FY 2024-2025




                                                                           FY2024       FY 2025
                                                    CURRENT    PROJECTED   PROPOSED
                                                    BUDGET   YEAR END   BUDGET
            Account Name
       Beginning Resources                          $   4,331,854   $     4,331,854   $     3,725,875
       Revenues
       CO Proceeds                                 $               -                       -
       Interest Income                             $               -               267,000             200,000
       Transfer from General Fund                  $               -               400,000
       Tarrant County Bond Reimb Keller Haslet Road Ext                       1,700,000
       City of Fort Worth Reimb Keller Haslet Road Ext                           800,000
       Developer Contribution Keller Haslet Road Ext                             600,000
       Total Revenues                              $               -    $         667,000  $      3,300,000

       Expenditures
            Bond Issue Costs                        $                -                       -                     -
            Fire Station Admin Expansion Design and Construction         3,027,457             132,947          3,482,110 26-9300-01-00
            PW 1/2 Ton Truck                                         -                     -                     -  26-9301-01-00
            Building Services Pickup                                 -                     -                     -  26-9302-01-00
            Keller Haslet Roadway Extension to FM 156 City Portion            145,160             238,491               51,671 26-9303-01-00
            Keller Haslet Roadway Extension to FM 156 Partner Portion                    -                     -          3,100,000
            Ashmore Farms Repairs and Slurry Seal            818,405             818,405                     -  26-9304-01-00*
            Traffic Mitigation, signage and markings plan implementation              83,136               83,136                     -  26-9305-01-00**
            Haslet Parkway Construction Engineering            100,000                     -             100,000 26-9306-01-00

            Total  Projects                        $     4,174,158  $      1,272,979  $      6,733,781


       Ending Balance                              $        157,696  $      3,725,875  $         292,094

       * The balance of the Ashmore project is in the Transportation Tax Fund ( $584,108)
       ** Includes Change order 1 and 2.  Total contract $278,537.





































            Haslet Adopted Budget FY 2024-2025                                                         372
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