WHEREAS, Montezuma. County adopted operating and capital budgets for the General Fund, Road &Bridge Fund, Conservation Trust Fund, Clara Ormiston Fund, Em6rgency Telephone Service Fund, Sheriff’s Forfeiture Fund, Revolving Loan Fund, Lodgers Tax Fund, Law Enforcement Authority Fund, Capital Fund, Landfill Enterprise Fund, TABOR Emergency Reserve, Contingency Fund, and unallocated General Fund Reserve, on December 29, 2020, for the ensuing budget-year 2021; and
WHEREAS, Montezuma County, after adoption of the 2021 budget, received unanticipated revenues or revenues not assured at the time of the adoption of the budget other than the local government property tax mill levy.
NOW THEREFORE BE IT RESOLVED that the Board of County Commissioners of Montezuma County, Colorado, the governing board, authorizes the expenditure of such funds by enacting a supplemental budget and appropriation as follows:
General Fund
Total General Fund Additional Appropriations and Expenditures
$ 24,721
Beginning General Fund Balance as of 1/1/2021
$18,289,825
Road & Bridge Fund
Total Road and Bridge Fund Additional Appropriations and Expenditures
$ 30,000
Beginning Road & Bridge Fund Balance as of 1/1/2021
$ 5,638,616
Public Health Fund
Beginning Public Health Fund Balance as of 1/1/2021
$ 917,484
Conservation Trust Fund
Beginning Conservation Trust Fund Balance as of 1/1/2021
$ 488,189
Clara Ormiston Fund
Beginning Clara Ormiston Fund Balance as of 1/1/2021
$ 52,651
Emergency Telephone Service Fund
Beginning Emergency Telephone Service Fund Balance as of 1/1/2021
$ 496,103
Sheriff’s Forfeiture Fund
Beginning Sheriff’s Forfeiture Fund Balance as of 1/1/2021
$ 23,307
Revolving Loan Fund
Beginning Fund Balance as if 1/1/2021
$ 42,228
Lodgers Tax Fund
Beginning Lodgers Fund Balance as of 1/1/2021
$ 224,243
Law Enforcement Authority Fund
Beginning Law Enforcement Authority Fund Balance as of 1/1/2021
$ 1,200,144
Capital Fund
Beginning Capital Fund Balance as of 1/1/2021
$ 663,726
Landfill Enterprise Fund
Beginning Landfill Enterprise Fund Net Assets as of 1/1/2021
$ 1,674,540
TABOR Emergency Reserve
Beginning TABOR Emergency Reserve Fund Balance as of 1/1/2021
$ 722,119
Contingency Fund
Beginning Contingency Fund Balance as of 1/1/2021
$ 595,335
Unallocated General Fund Reserve
No Amendment Required
Adopted this 25th day of January, 2022
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