Page 364 - CityofKellerFY25Budget
P. 364

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 2024-25 from the Wastewater
                                 Impact Fee Fund:

                                              N/A $ -
                                                                   Total $ -




                                 PARKS CAPITAL IMPROVEMENTS FUND: Resources and associated
                                 expenditures are restricted for parks capital improvements.  The
                                 following capital projects costs are hereby appropriated to be transfer in
                                 fiscal year 2024-25 from the Parks Capital Improvements Fee Fund:


                                              N/A $ -
                                                                  Total  $ -






               Section 8:        THAT,  expenditures on behalf of the City of Keller,  Texas for the
                                 following funds are expressly limited or restricted to specific uses by
                                 other provisions in the City of Keller Code of Ordinances or State law;
                                 therefore,  they are considered non-operating funds and no specific
                                 annual appropriation, except for interfund (intragovernmental) transfers
                                 are provided:


                                 LIBRARY SPECIAL REVENUE FUND:  Revenues are derived primarily
                                 from donations and contributions specifically designated for library
                                 related expenditures.   Because of the uncertainty of annual revenues,
                                 no annual appropriation budget is prepared.

                                 PUBLIC SAFETY SPECIAL REVENUE FUND:   Revenues are derived
                                 from various sources,  in particular grants and donations,  and are
                                 specifically designated for public safety.  Because of the uncertainty of
                                 annual revenues, no annual appropriation budget is prepared.


                                 PUBLIC ARTS SPECIAL REVENUE FUND:  Revenues are derived from
                                 various sources,  in particular donations and developer contributions,
                                 and are specifically designated for public art displays.  Because of the
                                 uncertainty of annual revenues,  no annual appropriation budget is
                                 prepared.





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