Full Text
Beginning Balance $879,183 Local Funding Sources $657,772 State Funding Sources $934,458 Federal Funding Sources $0 Total Receipts $1,592,230 New Construction $0 Reconstruction/Replacement $11,050 Routine Maintenance $520,674 Equipment $96,141 Administration $288,452 Other $142,657 Total Disbursements $1,058,974 Receipts Over Disbursements $533,256 Adjustments $0 Closing Balance $1,412,439 Obligated for Specific Future Projects $1,412,439 New Construction Lane Miles 0 Reconstruction Lane Miles 4.00 Deferred Maintenance Over Last Five Years $6,237,000 Attest: Grahm Anderson, City Treasurer City of Blackfoot Annual Road and Street Financial Report For Fiscal Year Ending September 30, 2022 This certified report of dedicated funds was submitted to the State Auditor as required by Idaho Code 40-708.