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HomeMy WebLinkAboutANNUAL REPORT FOR LRS 12/31/2017 State Form 54400(8-10) City and Town Form Number 225 Prescribed by State Board of Accounts County Form Number 16 City of Jeffersonville, CLARK COUNTY, INDIANA City of Jeffersonville OF Indiana (City or Town) (Name of Unit) (City and Town Form 225 Only) ANNUAL OPERATIONAL REPORT FOR LOCAL ROADS AND STREETS (IC 8-17-4.1) FOR THE YEAR ENDED DECEMBER 31, 20_17 ANNUAL OPERATIONAL REPORT FOR LOCAL ROADS AND STREETS SECTION I-FINANCIAL STATEMENT Part of State Form 54400(8-10) Motor Local Total Vehicle Road& Cumulative Other All Highway Street Bridge Funds Funds Cash-January 1 $ 2,836,965.86 $393,860.36 $ $ $3,230,826.22 Operating Receipts': Taxes $1,702,260.30 $612,192.08 $496,790.25 $2,811,242.63 Intergovernmental Charges for Services $21,730.00 $21,730.00 Other $30.00 $30.00 Total Operating Receipts $1,724,020.30 $612,192.08 $496,790.25 $2,833,002.63 Refunds and Reimbursements $4,405.00 $4,405.00 Grant Proceeds $1,000,000.00 $1,000,000.00 Match Proceeds $1,000,000.00 $1,000,000.00 Lease/Rental Bond Proceeds $25,100,000.00 $25,100,000.00 Total Receipts $1,724,020.30 $616,597.08 $27,596,790.25 $29,937,407.63 Operating Disbursements2: Administration $809,101.94 $809,101.94 Maintenance and Repair Construction and Reconstruction $672,595.89 $308,293.71 $263,319.04 $1,244,208.64 General Undistributed $129,143.48 $17,441,224.78 $17,570,368.26 Debt Service Total Operating Disbursements $1,610,841.31 $308,293.71 $17,704,543.82 $19,623,678.84 Interfund Loan Payments Interfund Loans Made Investments Purchased Other: Total Disbursements $1,610,841.31 $308,293.71 $17,704,543.82 $19,623,678.84 Excess Over(Under)Total Disbursements $113,178.99 $308,303.37 $9,892,246.43 $10,313,728.79 Cash-December 31 $ 2,950,144.85 $702,163.73 $ $ 9,892,246.43 $ 13,544,555.01 Investments-December 31 Cash and Investments-December 31 $ $2,950,144.85 $$702,163.73 $ $ $9,892,246.43 $$13,544,555.01 Tax Rate Per Hundred(Counties Only) $ Note: 'Operating Receipts from Section la Operating Disbursements from Section Ila ANNUAL OPERATIONAL REPORT FOR LOCAL ROADS AND STREETS SECTION la-DETAIL OF OPERATING RECEIPTS FOR COMMON FUNDS Part of State Form 54400(8-10) Motor Local Total of All Total Vehicle Road& Cumulative Other All Highway Street Bridge Funds' Funds Operating Receipts: Taxes,list source(s) MVH Distribution $1,702,260.30 $1,702,260.30 Local Road and Street distribution $612,192.08 $612,192.08 EDIT $496,790.25 $496,790.25 Total Taxes2 $1,702,260.30 $612,192.08 $496,790.25 $2,811,242.63 Distribution from State Auditors Office Intergovernmental,list source(s) Total Intergovernmental2 Charges for Services,list service(s) Excavating permits $20,430.00 $20,430.00 Parking Receipts $1,300.00 $1,300.00 Other Charges for services Total Charges for Services2 $21,730.00 $21,730.00 Other,list sources(s) Refunds and Reimbursements $30.00 $4,405.00 $4,435.00 Grant Proceeds $1,000,000.00 $1,000,000.00 Match Proceeds $1,000,000.00 $1,000,000.00 Lease/Rental Bond Proceeds $25,100,000.00 $25,100,000.00 Total Other2 $30.00 $4,405.00 $27,100,000.00 $27,104,435.00 Total Operating Receipts $1,724,020.30 $616,597.08 $27,596,790.25 $29,937,407.63 Note. 'From Section lb 'Totals to Section I ANNUAL OPERATIONAL REPORT FOR LOCAL ROADS AND STREETS SECTION lb-DETAIL OF OPERATING RECEIPTS FOR OTHER FUNDS Part of State Form 54400(8-10) Total of All Community Crossing Redev. Bond Other Other Funds 444 EDIT Transportation Grant Proceeds Funds' Operating Receipts: Taxes,list source(s) EDIT $496,790.25 $496,790.25 Grant Proceeds Match Proceeds lease/Bond proceeds Total Taxes $496,790.25 $496,790.25 Distribution from State Auditors Office Intergovernmental,list source(s) Total Intergovernmental Charges for Services,list service(s) Other charges for services Total Charges for Services Other,list sources(s) Grant Proceeds $1,000,000.00 $1,000,000.00 Match Proceeds $1,000,000.00 $1,000,000.00 Lease/Rental Bond Proceeds $25,100,000.00 $25,100,000.00 Total Other $2,000,000.00 $25,100,000.00 $27,100,000.00 Total Operating Receipts $496,790.25 $2,000,000.00 $25,100,000.00 $27,596,790.25 Note: 'Totals to Section la;Total of All Other Funds column ANNUAL OPERATIONAL REPORT FOR LOCAL ROADS AND STREETS SECTION Ila-DETAIL OF OPERATING DISBURSEMENTS OF COMMON FUNDS Part of State Form 54400(8-10) Motor Local Total of All Total Vehicle Road& Cumulative Other All Highway Street Bridge Funds' Funds Administration: Personal Services $787,158.57 $787,158.57 Supplies $17,422.47 $17,422.47 Other Services and Charges $4,520.90 $4,520.90 Capital Outlay Total Administration2 $809,101.94 $809,101.94 Maintenance and Repair: Personal Services Supplies Other Services and Charges Capital Outlay Total Maintenance and Repair2 Construction and Reconstruction: Personal Services Supplies $380,217.08 $308,293.71 $688,510.79 Other Services and Charges Capital Outlay $292,378.81 $263,319.04 $555,697.85 Total Construction and Reconstruction2 $672,595.89 $308,293.71 $263,319.04 $1,244,208.64 General and Undistributed: Personal Services Supplies $60,100.42 $60,100.42 Other Services and Charges $69,043.06 $33,471.21 $102,514.27 Capital Outlay $17,407,753.57 $17,407,753.57 Total General and Undistributed2 $129,143.48 $17,441,224.78 $17,570,368.26 Debt Service: Payments of Principal and Interest2 Total Operating Disbursements $1,610,841.31 $308,293.71 $17,704,543.82 $19,623,678.84 Note: 'From Section Ilb 2Totals to Section I ANNUAL OPERATIONAL REPORT FOR LOCAL ROADS AND STREETS SECTION Ilb-DETAIL OF OPERATING DISBURSEMENTS FOR OTHER FUNDS Part of State Form 54400(8-10) Total of All Community Crossings 2017 Redev. L/R Other Other Funds 444-EDIT Grant Bond proceeds Funds' Administration: Personal Services Supplies Other Services and Charges Capital Outlay Total Administration Maintenance and Repair: Personal Services Supplies Other Services and Charges Capital Outlay Total Maintenance and Repair Construction and Reconstruction: Personal Services Supplies Other Services and Charges Capital Outlay $263,319.04 $263,319.04 Total Construction and Reconstruction $263,319.04 $263,319.04 General and Undistributed: Personal Services Supplies Other Services and Charges $33,471.21 $33,471.21 Capital Outlay $200,000.00 $1,262,419.38 $15,945,334.19 $17,407,753.57 Total General and Undistributed $233,471.21 $1,262,419.38 $15,945,334.19 $17,441,224.78 Debt Service: Payments of Principal and Interest Total Operating Disbursements $496,790.25 $1,262,419.38 $15,945,334.19 $17,704,543.82 Note: 'Totals to Section Ila;Total of All Other Funds column CON o CO N r CO CO r a c CO o / » e w = co Nt & 4 a « Q 2 N e * « N 9 * CO f o1�1 \ / / \ \ / \ cu-; & Q % ¢ \ / w_4nbbi .@ 1.--; . , - ,Gel Vdl .u) t § ( L m9ale a Vdl z \ § . f • § ƒ / ��I P Wog ® I- § / z 'W. 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O W a) Q, W U m d O c° O QF— ° m ai J U cn m a) m OO a (13Z Z Q• O < 0 E U > a) Z C) N 0 M N N 2 U W U U m a) L 'Q a) c a) a) a) 0• 0 (a CL • 0 a) CO •U F- UU (a U Z m C c Cl 0 U U N 0 C/) E < U) (a U) a) -_o (n 2 a U O -0 C > d a U OC ca OL N Q ° E - > E co U (a r+ 0 0 C '- C O CL I 00 CO 0 D F- mauamaS le uu IOONI Aq Red geQS PeJ 2 . _ . _ ° IOGNI o < m Ped \ To gown l�o \ I- \ % IOONI � % p gngwi a) 06 > T[ o / \ sumrsuog e ¢2 meed @a \ k CC uj § ) ) L''' OVA3 2 � 0 ® 0 E 13 �IIVPA R 2 % ) 7 � � � ¥ L. \ o -1 z de \ \ L. » O OBp,§ < < 2 \ = m o -a Z / \ V]1 dISa \ $ \ 0 LLu- \ /\ / \ SH-IS o « w o n u_ 0 cLui < R ¥ o o dIS � U Ce t o \ \ CL \ /k � �� , 0 Co ƒ b . s.- ƒ 03 \ / a) k a) M5 ' , 2 y Q.: / 0 o - w a. ]d � ° ° LU Q J .$ co \ o \ a z \ \ % § as o /� v / ƒ c .o t_ \ a a) _ / o & % / o L. \ ANNUAL OPERATIONAL REPORT FOR LOCAL ROADS AND STREETS AND BRIDGES SECTION 8-DEBT INFORMATION Part of State Form 54400(8-10) Description Description Description Description Description Total BONDS: of Debt of Debt of Debt of Debt of Debt Bonds Outstanding Principal at January 1 $ - $ - $ - $ - $ - $ - New Bonds Issued - - - - - - Principal Paid - - - - - - Interest Paid - - - - - - Total Principal&Interest Paid - - - - - - Outstanding Principal at December 31 $ $ - $ - $ - $ - $ - Description Description Description Description Description Total NOTES/LOANS: of Debt of Debt of Debt of Debt of Debt Notes/Loans Outstanding Principal at January 1 $ - $ - $ - $ - $ - $ - New Notes/Loans - - - - - - Principal Paid - - - - - - Interest Paid - - - - - - Total Principal&Interest Paid - - - - - - Outstanding Principal at December 31 $ - $ - $ - $ - $ - $ - 2017 Redev.L/R Description Description Description Description Total LEASES: 10th Bond of Debt of Debt of Debt of Debt Leases Outstanding Principal at January 1 $ - $ - $ - $ - $ - $ - New Leases 25,100,000.00 - - - - 25,100,000.00 Principal Paid - - - - - - Interest Paid - - - - - - Total Principal&Interest Paid - - - - - - Outstanding Principal at December 31 $ 25,100,000.00 $ - $ - $ - $ - $ 25,100,000.00 Part of State Form 54400(8-10) Submitted by: DATE: 20 Engineer/Director DATE: 20 County Highway Supervisor Approved: DATE: 20 Board of County Commissioners Submitted by: DATE: 20 City Engineer DATE: 20 Clark Miles- Street Commissioner o perviso Approved: DATE: 20 Mike Moore- Mayor or President f Town Council