Notice of Hearing/Ordinance - An amendment to the General Fund Budget Fiscal Year 2021-2022

NOTICE IS HEREBY GIVEN that a Public Hearing will be held by the City Council of the City of Monroe, Louisiana, at its regular meeting place, the Council Chamber, City Hall Building, Monroe, Louisiana, Tuesday, March 22, 2022, beginning at 6:00 p.m., to hear and consider all comments, protests and objections relative to the following proposed General Fund Budget Amendment of the City of Monroe’s Operating Budget for the Fiscal Year 2021-2022.

    

                                City of Monroe, Louisiana

   

 

    

                             General Fund Budget Amendment

   

 

    

                             For the Year Ending April 30, 2022

   

 

        

 

     

BUDGET AS

  

 

     

PREVIOUSLY

 

BUDGET AS

 

 

 

 

 

 

AMENDED

CHANGE

AMENDED

 

REVENUES:

      

 

      TOTAL REVENUES

   

 $ 59,541,884

$4,472,582

$64,014,466

 

        

 

EXPENDITURES:

      

 

      TOTAL EXPENDITURES

  

    57,315,430

  3,999,921

  61,315,351

 

        

 

EXCESS OF REVENUES OVER EXPENDITURES

   

 

      BEFORE OTHER FINANCING SOURCES (USES)

 

       2,226,454

     472,661

    2,699,115

 

        

 

OTHER FINANCING SOURCES (USES)

    

 

      TOTAL OTHER FINANCING SOURCES (USES)

 

    (2,226,454)

(1,417,623)

  (3,644,077)

 

        

 

NET CHANGE IN FUND BALANCE

  

                     -

   (944,962)

     (944,962)

 

        

 

FUND BALANCE - BEGINNING

  

    18,696,281

 

  18,696,281

 

        

 

FUND BALANCE - ENDING

  

 $ 18,696,281

   (944,962)

 $17,751,319

 

        

 

*Details of the above totals are available in the Clerk of Council's office.

  

 

        

 

    

                                City of Monroe, Louisiana

   
    

                            Special Revenue Funds Budget Amendment

   
    

                             For the Year Ending April 30, 2022

   
        

 

     

BUDGET AS

  

 

     

PREVIOUSLY

 

BUDGET AS

 

 

 

 

 

 

AMENDED

CHANGE

AMENDED

 

REVENUES:

      

 

      TOTAL REVENUES

   

 $ 27,891,308

$13,661,533

$41,552,841

 

        

 

EXPENDITURES:

      

 

      TOTAL EXPENDITURES

  

    15,364,163

    6,798,673

  22,162,836

 

        

 

EXCESS OF REVENUES OVER EXPENDITURES

   

 

      BEFORE OTHER FINANCING SOURCES (USES)

 

    12,527,145

    6,862,860

  19,390,005

 

        

 

OTHER FINANCING SOURCES (USES)

    

 

      TOTAL OTHER FINANCING SOURCES (USES)

 

  (11,872,688)

       184,572

(11,688,116)

 

        

 

NET CHANGE IN FUND BALANCE

  

          654,457

    7,047,432

    7,701,889

 

        

 

FUND BALANCE - BEGINNING

  

    36,870,620

 

  36,870,620

 

        

 

FUND BALANCE - ENDING

  

 $ 37,525,077

 $ 7,047,432

 $44,572,509

 

        

 

*Details of the above totals are available in the Clerk of Council's office.

  

 

        

 

                 

NOTICE IS FURTHER GIVEN that copies of the proposed Operating Budget is on file in the City Clerk’s Office, 2nd floor, City Hall Building and can be examined by the public during regular business hours Monday through Friday.

 

All persons who wished to comment, protest or object to any portion of the above mentioned proposed amendments are urged to attend this meeting.

 

NOTICE PUBLISHED IN THE MONROE NEWS-STAR ON MARCH 11TH, 2022.

                                                                     CAROLUS S. RILEY,CMC/MMC

City Clerk