Resolution 18-2021
A RESOLUTION TO APPROPRIATE SUMS OF MONEY FOR 2022
WHEREAS, the commissioners have adopted the annual budget in accordance with Local Government Budget Law on December 7, 2021 and;
WHEREAS, the commissioners have made provision therein for revenues and fund balances in an amount equal to or greater than the total proposed expenditures as set forth in said budget; and
WHEREAS, it is not only required by law, but also necessary to appropriate the revenues and fund balances provided in the budget to and for the purposes described below so as not to impair the operation of the County,
NOW THEREFORE BE IT RESOLVED by the Board of County Commissioners of Montezuma County, Colorado, that the following sums are hereby appropriated from the revenue and balance of each fund, to each fund, for current operating and capital expenses:
1. | General Fund | $15,990,735 |
2. | Road and Bridge Fund | $7,407,947 |
3. | Social Services Fund | $23,347,074 |
4. | Public Health Fund | $2,649,699 |
5. | Landfill Enterprise Fund | $2,131,850 |
6. | Capital Fund | $1,437,193 |
7. | Emergency Telephone Services | $340,965 |
8. | Lodger’s Tax Fund | $150,000 |
9. | Conservation Trust Fund | $95,450 |
10. | Law Enforcement Authority | $887,00 |
11. | Clara Ormiston Fund | $0 |
12. | Sheriff Forfeiture Fund | $0 |
13. | TABOR Emergency Reserve Fund | $0 |
14. | Contingent Fund | $0 |
15. | Revolving Loan Fund | $0 |
| Total | $54,437,913 |
Adopted this 7th day of December, 2021
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Montezuma County » Resolution No.18-2021: A Resolution To Appropriate Sums Of Money