Page 7 - CITY OF WATAUGA, TEXAS ANNUAL BUDGET PORTRAIT
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The City of Watauga’s Budget Document provides comprehensive information about City
               policies, goals, objectives, financial structure, operations, and an organizational
               framework that shows how City services are to be provided in FY2025-2026.  A main
               objective of the budget document is to communicate this information to readers in a
               manner that is clear, concise, and understandable.  At the front of the budget is a Table of
               Contents that will aid the reader in finding specific information quickly.  The budget is
               divided into the major sections as described below:

               Introductory Information

               The Table of Contents should aid a user of this document as a guide to the organization of
               this book.  The   City Manager’s Budget     Message should be read first      as it  provides an
               overview   of  policy decisions made during the preparation process that         influenced the
               FY2025-2026 budget.  The message summarizes the contents of the budget with goals and
               objectives clearing outlined.  The Introductory Section contains a City Organizational Chart
               followed by information about the City.  The reader can read about physical location of the
               City, the history of Watauga, services offered by the City and significant demographic and
               graphical information about the City.


               Long Term Strategic Plan

               This section details the long-term    strategic plans developed by the City    Council  and City
               Management.  The City Council is committed to setting priorities, values, and policies that
               are in the best   interest  of  the citizens of  Watauga.   Strategic planning is an   essential
               component of the annual budget and multi-year financial planning processes that allow the
               City to maintain a plan that addresses current and future economic impacts.  The multi-year
               financial  projections estimate revenues and     expenditures for   the major  operating  funds.
               Projections are made for    the  General  Fund,  General   Obligation Debt   Service  Fund,  and
               Water   and Sewer    Fund,  which  comprise   most   of  the City’s revenues and expenditures
               (excluding capital funds).  Other long-term financial plans included in this section are a Five-
               year  personnel   improvement    plan to identify  personnel  needs in the current   budget  and
               future years, and a Five-year capital outlay plan that identifies equipment and vehicles that
               will need to be replaced with the year of planned replacement and estimated cost.


               Budget Summary

               The budget    summary section for    all  funds discusses the budget   preparation process that
               begins   the  first  of  every year  and formally ends  in  September,  with numerous   steps  in
               between.    An explanation of   the financial  structure of  the City shows how   revenues and
               expenditures are reported by fund and their       uses.    A  summary of   all  funds draws the
               operating funds and capital funds together.

               Fund and Departmental Information


               The fund sections include a summary of each fund level and information on the departmental
               budgets within those funds.




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