Full Text
City of Blackfoot Annual Road and Street Financial Report Beginning Balance $50,035 Local Funding Sources $765,889 State Funding Sources $1,353,812 Federal Funding Sources $66,339 Total Receipts $2,186,040 New Construction $116,624 Reconstruction/Replacement $918,103 Routine Maintenance $436,146 Equipment $106,265 Administration $112,799 Other $319,265 Total Disbursements $2,009,202 Receipts Over Disbursements $176,838 Adjustments $0 Closing Balance $226,873 Obligated for Specific Future Projects $226,873 New Construction Lane Miles 0 Reconstruction Lane Miles 3.06 HB312 Revenue $131,808 HB312 Expenses $1,035,007 Deferred Maint Over Last Five Years $5,680,693 This certified report of dedicated funds was submitted to the State Auditor as required by Idaho Code 40-708. Attest: Holly J. Powell, City Treasurer For Fiscal Year Ending September 30, 2018