ORD 2002-16TOWN OF TROPHY CLUB, TEXAS
ORDINANCE NO. 2002 -16
AN ORDINANCE OF THE TOWN OF TROPHY CLUB, TEXAS, AMENDING
ORDINANCE NO. 2001-20, APPROVING AND ADOPTING THE BUDGET FOR
THE FISCAL YEAR BEGINNING OCTOBER 1, 2001 AND ENDING SEPTEMBER
30, 2002, AND MAKING APPROPRIATIONS FOR EACH DEPARTMENT,
PROJECT AND ACCOUNT; PROVIDING FOR THE ADOPTION OF THIS
ORDINANCE AMENDING THE FISCAL YEAR 20012002 BUDGET FOR THE
TOWN OF TROPHY CLUB, TEXAS, BY REALLOCATING FUNDS BE,
ACCOUNTS PURSUANT TO THE DESIGNATED EXHIBITS ATTACHED
HERETO AND INCORPORATED HEREIN, WITHOUT AFFECTING THE TOTAL
BUDGET AMOUNT FOR THE TOWN; PROVIDING FOR FILING OF THE
AMENDED BUDGET WITH THE TOWN SECRETARY AND COUNTY CLERK;
PROVIDING A CUMULATIVE CLAUSE; PROVIDING FOR SAVINGS;
PROVIDING SEVERABILITY; PROVIDING FOR PUBLICATION; PROVIDING
FOR ENGROSSMENT AND ENROLLIVIENT; AND PROVIDING AN EFFECTIVE
DATE.
WHEREAS, on August 27, 2001, the Town Council of the Town of Trophy Club, Texas (the
"Town") adopted Ordinance No. 2001-20 adopting and approving the budget for the fiscal year
beginning October 1, 2001 and ending September 30, 2002, and making appropriations for each
department, project and account:
WHEREAS, Section 102.010 of the Texas Local Government Code authorizes the governing
body of a municipality to make changes in the budget for municipal purposes; and
WHEREAS, the Town Council finds it in the best interest of the Town to make adjustments to
the allocation of funds within the budget;
WHEREAS, the Town Council has reviewed various line items within the budget and has
determined that a valid municipal purpose is served by reallocating funds between various budget line
items in order to provide additional resources as needed, without amending or affecting the total
budget amount for the Town as adopted by Ordinance No. 2001-20.
WHEREAS, such additional funding does not increase the total amount of the budget and is
merely a reallocation of funds to serve the needs of the Town; and
NOW, THEREFORE, BE IT ORDAINED BY THE TOWN COUNCIL OF THE
TOWN OF TROPHY CLUB, TEXAS:
SECTION 1.
INCORPORATION OF PRE, AHSES
The above and foregoing premises are incorporated into the body of this Ordinance as if copied
herein in their entirety.
SECTION 2.
AMENDMENT AND ADOPTION
The Town's budget for the fiscal year beginning October 1, 2001 and ending September 30,
2002, heretofore previously adopted by Ordinance No. 2001-20 and duly enacted by the Town Council
of the Town of Trophy Club on the 27'h day of August, 2001, is hereby amended as set out in the
following Exhibits:
Exhibit "A" — Budget Recap 2001/2002 Recommended Adjustments
Exhibit "B" — Proposed Budget / Public Works 2001/2002 Recommended Amendments
Exhibit "C" — Administration Budget Recommended Amendments
Exhibit "D" — Parks Budget 2001/2002 Recommended Amendments
Exhibit "E" — Planning Zoning Budget Recommended Amendments
Exhibit "F" — Projected Revenues 2001/2002 Recommended Amendments
Copies of which are attached hereto and incorporated herein_ The amendments to the Town's budget
for the fiscal year beginning October 1, 2001, and ending September 30, 2002, as set forth in the
above referenced Exhibits, are hereby, in all respects, finally approved and adopted as so changed; the
remainder of the budget being unchanged and remaining in full force and effect as originally adopted.
SECTION 3.
REALLOCATIONS
That the several amounts specified in Exhibits "A —F" are hereby appropriated and reallocated
as specified for those purposes designated in Exhibits "A— F", and such reallocation does not increase
the total amount of the budget.
SECTION 4.
FILING
That a copy of this Ordinance and the amended budget shall be filed with the Town Secretary
of the Town of Trophy CIub, Texas, and the office of the County Clerk in which the Town is located.
SECTION S.
CUMULATIVE
This Ordinance shall be cumulative of all provisions of Ordinances of the Town of Trophy
Club, Texas, except where the provisions of this Ordinance are in direct conflict with the provisions of
such Ordinances, in which event the conflicting provisions of such Ordinances are hereby repealed.
SECTION 6.
SAVINGS
All rights and remedies of the Town of Trophy Club, Texas, are expressly saved as to any and
all violations of the provisions of any Ordinances affecting budgets and budget approval or adoption,
which have accrued at the time of the effective date of this Ordinance; and, as to such accrued
violations and all pending litigation, both civil and criminal, whether pending in court or not, under
such Ordinances, same shall not be affected by this Ordinance but may be prosecuted until final
disposition by the courts.
SECTION 7.
SEVERABILITY
If any section, article, paragraph, sentence, clause, phrase or word in this Ordinance or
application thereof to any person or circumstance is held invalid or unconstitutional by a Court of
competent jurisdiction, such holding shall not affect the validity of the remaining portions of this
Ordinance, and the Town Council hereby declares it would have passed such remaining portions of
this Ordinance despite such invalidity, which remaining portions shall remain in full force and effect.
SECTION 8.
PUBLICATION
The Town Secretary of the Town of Trophy Club is hereby directed to publish, the Caption and
Effective Date of this Ordinance as required by Section 52.011 of the Texas Local Government Code.
SECTION 9.
ENGROSSMENT AND ENROLLMENT
The Town Secretary of the Town of Trophy Club is hereby directed to engross and enroll this
Ordinance by copying the exact Caption and Effective Date in the minutes of the Town Council and
by filing this Ordinance in the ordinance records of the Town.
SECTION 10.
EFFECTIVE DATE
This Ordinance shall become effective from and after its date of adoption and publication as
provided by law, and it is so ordained.
PASSED AND APPROVED by the Town Council -elle Town of Trophy Club, Texas, this
15`x' day of April, 2002. ,,%` /
n of Trophy
ATTEST•
Town Secretary
Town of Trophy Club, Texas ®F TFC
[SEAL]
EFFECTIVE DATE: April 24, 2002
APPRO`JED AS TO FORM:
(zaa ,
Town Attorney
Town of Trophy Club, Texas
Texas
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Texas
TOWN OF TROPHY CLUB EXHIBIT "A"
BUDGET RECAP
2001 12002
RECOMMENDED ADJUSTMENTS 03101!02
PROJECTED REVENUE
NET INCREASE IN REVENUE'S
TOTAL OPERATING EXPENSES
ADMINISTRATION
PUBLIC WORKS
PARKS & RECREATION
PLANNING & ZONING
TOTAL OPERATING EXPENSES
ADOPTED AMENDED
BUDGET BUDGET
2001 12002 4115102
3,453,744 4,972,317
1,518,573
1,169,690 1,651,665
1,399,660 2,042,491
723,700
1,112,278
83,843
89,033
3,376,893
4,895,467
NET INCREASE IN EXPENSES' 1,518,574
NET INCREASE IN GENERAL FUND 76,851 76,851
*$750,000 From Denton County for Marshall Creek Road
$156,713 Reimbursed from bond sales
$373,639 From Park Grant
$1,280,352
**$421,953 DPS True up fiscal 00101 and 01102
$708,296 for Marshall Creek Road
$401,328 increase in 10 Acre Park
$1,531,577
2:01 PM419102
4,.
REVISIONS TO TOWN BUDGET1-26-02
i-�
EXHIBIT "B"
TOWN OF TROPHY CLUB
Proposed Budget - Public Works
2001/2002
RECOMMENDED AMENDMENTS 03101/02
9:30 AM418102
PERSONNEL SERVICES
50010
SalarieslWages
180,626
205,148
Adjusted for plumb insp
50020
Employee Overtime
7,000
7,000
Merit Raises
3,300
-
Moved to next line
50030
Longevityfruitionlincentive & Merit Pay
3,600
6,900
Consolidated with Merit
50040
Employee Retirement
18,966
21,357
Adjusted based on actual
50050
Group Insurance
25,000
23,500
Adjusted based on actual
50060
Social Security
12,061
13,581
Adjusted based on actual
50070
Medicare Taxes
2,131
2,217
Adjusted based on actual
50080
Unemployment Taxes
1,050
1,050
50090
Worker's Compensation
3,930
4,500
Adjusted based on actual
50100
Auto Allowance
-
-
50120
Pre -Employment Testing
1,500
500
Adjusted based on actual
TOTAL PERSONNEL SERVICES
259,164
285,753
ADMINISTRATIVE EXPENSES
53400
IS Support
1,800
1,800
53650
Vehicle Maintenance
5,000
3,000
Adjusted based on actual
53700
Equipment Maintenance
600
600
54000
Cleaning Services
1,300
2,500
Adjusted based on actual
60010
Telephone
5,000
500
Adjusted based on actual
60100
CommunicatlonslPagerslMobils
300
2,000
Adjusted based on actual
60170
Rent
11,200
13,780
Adjusted Rased on YTD
60200
Postage
500
500
60300
Insurance
6,000
6,000
60350
Office Supplies
2,300
2,300
60400
Maintenance Supplies
1,000
1,000
60450
Caples
1,000
1,000
60500
Printing
1,000
1,000
60650
Dues & Memberships
1,000
1,000
60700
Meetings
100
100
60750
Schools & Continuing Education
3,500
3,500
60850
Travel & Per Diem
1,000
1,000
61150
Advertising
1,000
1,000
61200
Employee Relations
300
300
TOTAL ADMINISTRATIVE EXPENSES
43,900
42,880
PROFESSIONAL & CONTRACTUAL SERVICES
53010
Engineering Services
15,000
7,500
Unneeded bond funds
53150
Legal Fees
10,000
10,000
53450
Independent Labor
15,000
15,000
54050
Landscape Maintenance
138,436
130,000
Brought in houselmitigate DPS
54100
Trash Removal/Recycting
280,000
280,000
54150
Health Inspector Fees
2,500
5,000
Adjusted based on actual
TOTAL PROF & CONTRACTUAL SERVICE:
460,936
447,500
9:30 AM418102
53750
54300
54310
57010
57050
60150
60160
61850
61900
61950
62000
62050
62100
62150
63010
63050
63250
63300
63400
63910
64050
64100
62060
64600
COUNCIL RELATED ACTIVITIES
53160 Utility Franchise Services
TOTAL COUNCIL RELATED ACTIVITIES
15,000 15,000
15,000 15,000
TOTAL EXPENDITURES 1,399,660 2,042,491
-Zi
2:01 PM4/9/02
TOWN OF TROPHY CLUB
Proposed Budget - Public Works
2001 12002
RECOMMENDED AMENDMENTS 03101/02
PUBLIC WORKS OPERATING EXPENSES
Building Maintenance & Safety
10,000
10,000
Hardware
1,500
1,500
Training (Management & Safety)
1,700
1,700
Fuel & Lube
3,500
3,500
Uniforms & Accessories
1,500
1,500
Electricity
51,500
66,000
Adjusted based on actual
Water
20,160
45,000
Adjusted based on actual
Property Maintenance
15,000
15,000
Code Enforcement
-
-
Flags and Repairs
3,000
3,000
Irrigation Repairs
6,000
6,000
Street Repairs
150,000
150,000
Street Sweeping
9,000
9,000
Street/Traffic Signs/Crosswalks
25,000
25,000
TOTAL PUBLIC WORKS OPERATING EXI 297,860
337,200
TOTAL OPERATING EXPENSES
1,061,860
1,113,333
CAPITAL EXPENSES
Sand Spreader
7,500
2,756
Off Ice Furniture & Equipment
-
Vehicles
23,000
23,000
Vehicle Equipment
1,200
1,200
Mobile Radia
5,000
5,000
Trophy Club/Marshall Creek Road
-
708,295
Actual cost current year
Copier Lease
3,100
3,100
PW Building
3,000
3,000
Street Repairs (GASB 34)
280,000
116,535
Adjusted to mitigate DPS
Street Bond Program
-
51,271
Prebond exp, already refunded
TOTAL CAPITAL EXPENSES
322,800
914,157
COUNCIL RELATED ACTIVITIES
53160 Utility Franchise Services
TOTAL COUNCIL RELATED ACTIVITIES
15,000 15,000
15,000 15,000
TOTAL EXPENDITURES 1,399,660 2,042,491
-Zi
2:01 PM4/9/02
TOWN OF TROPHY CLUB
ADMINISTRATION BUDGET
RECOMMENDED AMENDMENTS
50010
Salaries[Wages
50200
DPS Administrative Reimb
53750
Net Wages
50020
Overtime
60050
Merit Raises
50030
Longevity /Tuition/ Incentive pay/ merit raises
50040
Retirement
50050
Group Insurance
50060
Social Security Taxes
50070
Medicare Taxes
50080
unemployment Taxes
50090
Worker's Compensation
60400
Employee Assistance Program
50100
Auto Allowance
50120
Pre -Employment Physicals
60500
TOTAL PERSONNEL SERVICES
331,637
(65,700)
265,937
10,000
13,633
35,107
27,400
22,324
5,221
1,200
1,000
3,000
4,800
500
390,122
2,501)
1,000
10,000
8,000
6,000
1,000
4,500
19,600
5,000
1,000
2,500
3,000
2,000
12,000
1,000
9,000
(6,600)
3,000
5,000
4,000
4,000
1,500
4,800
3,000
1,500
4,500
114,800
-2--Z-
EXHIBIT "C"
325,000
ADMINISTRATIVE EXPENSES
53700
Equipment Maintenance
53750
Building Maintenance
60010
Telephone
60050
Telephone -Mayor
60100
Comm unications/PagersIMobiles
60140
Electricity
60160
Water
60200
Postage
60250
Service Charges & Fees
60300
Insurance
60350
Office Supplies
60400
Maintenance & Supplies
60360
PapedCopier Supplies
60450
Copies
60500
Printing
60550
Newsletter
60600
Publications/Books/Subscriptions
60650
Dues & Memberships
60660
Dues & Memb reduced by EDC conbtribution
60700
Meetings
60750
Schools & Training
60850
Travel & Per Diem (Staff)
61050
Elections
61150
Advertising
61200
Employee Relations
61400
Special Events
62300
Miscellaneous Expenses
62850
Meals On Wheels
64050
Copier Lease
TOTAL ADMINISTRATIVE EXPENSES
331,637
(65,700)
265,937
10,000
13,633
35,107
27,400
22,324
5,221
1,200
1,000
3,000
4,800
500
390,122
2,501)
1,000
10,000
8,000
6,000
1,000
4,500
19,600
5,000
1,000
2,500
3,000
2,000
12,000
1,000
9,000
(6,600)
3,000
5,000
4,000
4,000
1,500
4,800
3,000
1,500
4,500
114,800
-2--Z-
EXHIBIT "C"
325,000
Adjusted based on actual
-
Moved to Revenue Budget
325,000
13,000
Adjusted based on actual
-
Moved to next line
93,633
34,752
27,400
22,099
5,168
1,200
1,107
Actual
3,000
4,800
500
451,659
2,500
-
Moved to PW
8,500
Adjusted based on actual
4,500
Adjusted based on actual
-
Moved to PW
-
Moved to PW
4,500
50
22,035
5,000
1,500
2,500
3,000
2,500
12,000
1,000
9,000
(6,600)
3,01)0
5,000
4,000
4,000
1,500
4.800
3,000
1,500
4,500
103,285
Adjusted based on actual
Actual Cost
Adjusted based on actual
Adjusted based on actual
9:35 AM4/8/02
REVISIONS TO TOWN BUDGET1-26-02
9:35 AM4/8/02
-2-'Ey REVISIONS TO TOWN SUDGET1-26-02
TOWN OF TROPHY CLUB
ADMINISTRATION BUDGET
RECOMMENDED AMENDMENTS
3101/02
PROFESSIONAL & CONTRACTUAL SERVICES
53150
Legal Fees
60,000
75,000
Increased due to DPS & CIA
53154
Legal-TCCIA
-
2,500
Reduced from 5000
53200
Audit
7,500
7,500
53250
Accounting Assistance
-
-
53300
Appraisal Fees
22,000
22,000
53350
Tax Administrative Fees
2,000
2,000
53400
Information Services Budget (Total)
24,421
24,421
53450
Independent Labor
500
500
53500
Records Retention
3,700
3,700
53550
Professional outside Services
4,000
-
Moved to IS Line
54400
DPS Joint Venture Contribution
427,954
427,954
Actual DPS True Up Fiscal OD -01
-
121,953
$121,953 fiscal 00101 true up
Anticipated DPS True up 01-02
-
300,000
$300,000 fiscal 01102 true up
57150
Small Equipment
2,000
1,000
Adjusted based on YTD
TOTAL PROF. & CONTRACTUAL SERVICES 554,075
988,528
TOTAL OPERATING COSTS
1,058,997
1,543,472
CAPITAL EXPENDITURES
63010
Capital Expenses
22,600
22,600
63020
Replentish 90 day fund Balance
63050
Office Furniture/Equipment
3,000
3,000
63100
Building Payment
35,000
35,000
63200
Systems -Computer Payment
15,093
15,093
TOTAL CAPITAL EXPENDITURES
75,693
75,693
COUNCIL RELATED PROGRAMS
62900
Public Relations
6,000
6,000
62950
4th of July Celebration
4,000
4,000
60900
Travel 1 Incidentals- Mayor
61450
Contingency
25,000
22,500
Altered at Council request TCCIF
Council related legal
Franchise Utility Task Force
TOTAL COUNCIL RELATED PROGRAMS
35,000
32,500
TOTAL EXPENDITURES
1,169,690
1,651,665
9:35 AM4/8/02
-2-'Ey REVISIONS TO TOWN SUDGET1-26-02
EXHIBIT "D"
PARKS BUDGET
2001/2002
RECOMMENDED AMENDMENTS 3101102
TOTAL REQUESTED EXPENDITURES
723,700 1,112,278
f 9:34 AM418102
PROFESSIONAL & CONTRACTUAL SERVICES
53150
Legal Park Land Dedication & Ordinances
5,000
5,000
53450
Independent Labor
10,000
10,000
54050
Landscape Maintenance
88,750
76,000
Functions brought in house
54200
Consultants
12,000
12,000
54250
Portable Toilets
6,750
6,750
TOTAL PROF & CONTRACTUAL SERVICE:
122,500
109,750
CONSUMABLE SUPPLIES
54300
Hardware
200
200
60400
Maintenance Supplies
750
750
TOTAL CONSUMABLE SUPPLIES
950
950
PARKS OPERATING EXPENSES
54350
Playground & Bail Field Materials
4,500
4,500
54360
Park Equipment Replacement Fund
7,000
7,000
60150
Electricity
5,500
5,500
60160
Water
25,500
25,500
61850
Property Maintenance
25,000
25,000
62000
irrigation Repairs
4,500
4,500
TOTAL PARKS OPERATING EXPENSES
72,000
72,000
TOTAL ON GOING PARKS EXPENSES
195,450
182,700
CAPITAL EXPENSES
Play Equipment & Sprinkler System
63640
Bleachers/Bench Seat
6,000
6,000
63650
Harmony Park ADA Renovation
-
63660
Soccer Field
18,800
18,800
63900
Carp Property - Misc Improvements
7,500
7,500
TOTAL CAPITAL EXPENSES
32,300
32,300
10 ACRE PARK PROJECTS
63850
10 Acre Park Construction Costs 01-02
172,730
897,278
Adjusted based on Actual
63851
Baseball Fields EDC 4B
20,000
-
Moved to revenue
63852
Baseball Fields MUDS
25,000
-
Moved to revenue
63853
Baseball Fields Carryover
40,950
-
Presentation adjustment
63854
Baseball fields Dev Carryover
137,270
-
Moved to revenue
63855
Baseball Fields Corp Funds
25,000
-
Presentation adjustment
63856
Tennis Courts
75,000
-
Included in total
TOTAL 10 ACRE PARK PROJECTS
495,950
897,276
TOTAL REQUESTED EXPENDITURES
723,700 1,112,278
f 9:34 AM418102
EXHIBIT "E"
TOWN OF TROPHY CLUB
PLANNING ZONING BUDGET
RECOMMENDED AMENDMENTS 03101/02
OPERATING EXPENSES
60200 Postage
60550 Newsletter/Publications
60650 Dues & Memberships
60700 Meetings
60750 Schools & Training
60850 Travel & per diem (staff)
61150 Advertising
62200 Plat Filing Fees
62250 Computer Mapping
62300 Miscellaneous Expenses
TOTAL OPERATING EXPENSES
TOTAL OPERATING EXPENSES
CAPITAL EXPENSES
63010 Fireproof lateral filing cabinet
TOTAL CAPITAL EXPENSES
200
FhKb(JNNEL SERVICES
450
450
50010
Salaries & Wages
16,451
16,451
50020
Overtime
2,000
2,000
50030
Long evity/Cerlification/Merit Raises
830
830
50040
Retirement
1,880
1,880
50050
Group Insurance
2,097
2,097
50060
Social Security Taxes
1,195
1,195
50070
Medicare Taxes
280
280
50080
Unemployment Taxes
225
225
50090
Workman's Compensation
200
200
TOTAL PERSONNEL SERVICES
25,158
25,158
PROFESSIONAL & CONTRACTUAL
53010
Engineering Services
3,260
10,000 Increased due to increase in projects
53050
Town Planner
12,000
12,000
Town Planner Ordinances
16,500
16,500
53150
Legal Fees
5,000
5,000
53170
Legal/Ordirnances
10,000
10,000
53300
Appraisal Fees
400
400
TOTAL PROFFESSIONAL & CONTRACTUAL
47,160
53,900
CONSUMABLE SUPPLIES
60350
Office Supplies
600
600
60450
Copies
500
500
60500
Printing
50
50
TOTAL CONSUMABLE SUPPLIES
1,150
1,150
OPERATING EXPENSES
60200 Postage
60550 Newsletter/Publications
60650 Dues & Memberships
60700 Meetings
60750 Schools & Training
60850 Travel & per diem (staff)
61150 Advertising
62200 Plat Filing Fees
62250 Computer Mapping
62300 Miscellaneous Expenses
TOTAL OPERATING EXPENSES
TOTAL OPERATING EXPENSES
CAPITAL EXPENSES
63010 Fireproof lateral filing cabinet
TOTAL CAPITAL EXPENSES
200
200
450
450
200
200
125
125
3,500
500 Mitigate DPS
350
1,800 increased do to increased activity
200
200
2,000
2,000
50
50
7,075
5,525
80,543 85,733
3,300 3,300
3,300 3,300
TOTAL EXPENDITURES 83,843 89,033
Z-5;
9:34 AM418102
PLANNING ZONING BUDGET0102
EXHIBIT "F"
TOWN OF TROPHY CLUB
PROJECTED REVENUES
2001 12002
RECOMMENDED AMENDMENTS 03101/02
TOTAL REVENUES 3,453,744 4,972,317
Z-0
9:51 AM418102
TAXES
40010
PROPERTY TAXES
1,976,224
1,976,224
40020
PROPERTY TAXES r PRIOR YEARS
9,500
16,000
Reflect YTD Revenues
40040
PENALTIES & INTEREST (TAX)
7,500
7,500
40060
MIXED BEVERAGE TAX
4,000
4,006
40070
CITY SALES TAX
250,000
294,000
Projected YTD
40060
EDC Sales Tax - Parks & Rec
100,000
-
EDC money goes directly to EDC
TOTAL TAXES
2,347,224
2,297,724
FRANCHISE FEES
40200
TU ELECTRIC COMPANY
256,000
250,000
40210
TELECOMMUNICATIONS
50,000
50,000
40220
CHARTER CABLE COMPANY
35,000
35,000
40230
TRINITY
12,000
12,000
40240
OTHER
-
18,000
Reflect YTD Revenues
TOTAL FRANCHISE FEES
347,000
365,000
PERMITS, LICENSES AND FEES
40110
DEVELOPER FEES
5,00()
5,006
40280
P & Z SCHEDULE OF FEES
21,000
21,000
40300
BUILDING PERMITS
150,000
150,000
40310
MISCELLANEOUS PERMITS
7,000
7,000
40340
ZONING FEES
2,500
2,500
40350
PLATTING FEES
-
-
40407
PLUMBING INSPECTIONS
-
29,500
Town taking over from MUD
TOTAL PERMITS, LICENSES, FEES
185,500
215,000
MISCELLANEOUS REVENUE
41040
CONTRIBUTIONS
41051
July 41h Revenue
41070
NEWSLETTER
-
1,840
YTD run out revenue
41020
INTEREST INCOME
50,000
30,000
Based on YTD and 3%
41030
MISCELLANEOUS INCOME
2,000
2,000
41000
TRASH SERVICE BILLINGS
280,000
280,000
43050
Reimb Denton CtylMarshatl Crk Road
-
750,000
Money fronted by Town
45070
Reimbursement of bond Expenses
-
156,713
Money fronted by Town
DPS Administrative Contract Payment
-
69,332
Moved from admin exp offset
INTERGOVERNMENTAL TNSFS EDC 4A
18,800
18,800
TOTAL MISCELLANEOUS REVENUE
350,800
1,308,685
10 ACRE PARK REVENUE
42000
INTERGOVERNMENTAL TNSFS EDC 4A
-
175,000
Anticipated actual
42050
INTERGOVERNMENTAL TNSFS MUD
25,000
25,000
10 acre park
43000
CARRYOVER
40,950
-
Not appropriate line
INTERGOVERNMENTAL TNSFS EDC 4B
20,000
20,000
10 acre park
MATCHING GRANT FROM TP&W
-
373,539
10 acre park current year
40110
DEVELOPER PAYMENTS FOR PARKS
137,270
137,270
CONTRIBUTION FROM .JEFF BECK
-
55,000
1 D acre park pledge
TOTAL 10 ACRE PARK REVENUE
223,220
785,909
TOTAL REVENUES 3,453,744 4,972,317
Z-0
9:51 AM418102