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122 <br /> <br /> CABARRUS COUNTY <br />BUDGET ORDINANCE <br />FISCAL YEAR 1996-1997 <br /> <br /> BE IT ORDAINED by the Board of Commissioners of Cabarrus County, North <br />Carolina: <br /> <br />Section I. General Fund <br /> <br /> A. It is estimated that the following revenues will be available in the <br />General Fund for the fiscal year beginning July 1, 1996, and ending June 30, <br />1997: <br /> <br />Current Ad Valorem Tax Levy <br />Other Taxes and Penalties <br />Intergovernmental Revenue <br />Licenses and Permits <br />Sales and Services <br />Investment Earnings <br />Other Revenue <br />Fund Balance Appropriated <br />TOTAL REVENUES <br /> <br />36,372,775 <br />14,260,550 <br />14,298,043 <br />1,720,100 <br />11,692,432 <br />1,000,000 <br />209,300 <br />3,531,384 <br />83,084,584 <br /> <br /> B. The following appropriations are made in the General Fund for the <br />operation of the county government and its activities for the fiscal year <br />beginning July 1, 1996, and ending June 30, 1997: <br /> <br />Board of Commissioners <br />County Manager <br />Personnel <br />Tax Administration <br />Board of Elections <br />Register of Deeds <br />Finance <br />Information Services <br />Non-Departmental <br />Courts <br />Cannon Memorial Library <br />Contributions to Other Funds <br />CCSchools-Current Expense <br />KCSchools-Current Expense <br />Rowan-Cabarrus Community College-Current Expense <br />Schools Capital Outlay <br />Contributions to Other Agencies <br />Debt Service <br />Sheriff's Department <br />Emergency Services <br />Emergency Medical Services <br />Planning & Development <br />General Services Administration <br />Property Maintenance <br />SWGD-Watershed <br />Cooperative Extension Service <br />Veterans Service <br />Department of Social Services <br />Department of Aging <br />Public Health Department <br />Home Health <br />Mental Health <br />Recreation <br />Cabarrus Rowan Parks Commission <br />TOTAL EXPENDITURES <br /> <br />513 888 <br />285500 <br />187 212 <br />1,797 241 <br />288.483 <br />342 949 <br />610 906 <br />1,145,221 <br />3,425,375 <br />317,655 <br />489,069 <br />409,834 <br />12,420,101 <br />2,363,974 <br />372,177 <br />4,566,308 <br />626,839 <br />8,755,272 <br />7,168,387 <br />210,877 <br />2,633,029 <br />1,302,537 <br />1,743,485 <br />246 835 <br />142 516 <br />374 455 <br />132 160 <br />17,498 874 <br />926 121 <br />4,307 568 <br />5,333 889 <br />682 609 <br />1,290 300 <br />172 938 <br />83,084 584 <br /> <br />Section II. Water and Sewer Utility Fund <br /> A. It is estimated the following revenues will be available in the Water <br />and Sewer Utility Fund for the fiscal year beginning July 1, 1996, and ending <br />June 30, 1997: <br /> <br />Investment Earnings <br />Fund Balance Appropriated <br />TOTAL REVENUES <br /> <br /> 20,000 <br />480,330 <br />500,330 <br /> <br /> <br />