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NOTICE OF PUBLIC HEARING
PROPOSED BUDGET FOR FISCAL YEAR 2027
CITY OF PECK, IDAHO
A PUBLIC HEARING, PURSUANT TO IDAHO CODE 50-1002 WILL BE HELD FOR CONSIDERATION OF THE PROPOSED BUDGET FOR THE FISCAL YEAR FROM OCTOBER 1, 2026 TO SEPTEMBER 30, 2027. THE HEARING WILL BE HELD AT THE PECK COMMUNITY BUILDING MEETING ROOM, PECK, IDAHO AT 6:00 P.M. ON AUGUST 3, 2026. ALL INTERESTED PERSONS ARE INVITED TO APPEAR AND SHOW CAUSE, IF ANY, WHY SUCH BUDGET SHOULD OR SHOULD NOT BE ADOPTED. COPIES OF THE PROPOSED CITY BUDGET IN DETAIL ARE AVAILABLE AT CITY HALL DURING REGULAR OFFICE HOURS (MONDAY, TUESDAY, WEDNESDAY, 8:00 A.M. TO 4:00 P.M.) ANYONE DESIRING ACCOMMODATIONS FOR DISABILITIES RELATED TO THE BUDGET DOCUMENTS OR TO THE HEARING, PLEASE CONTACT CITY HALL (208-486-7791) AT LEAST 48 HOURS PRIOR TO THE PUBLIC HEARING.
PROPOSED EXPENDITURES
FY2025 FY2026 FY2027
PROPOSED PROPOSED PROPOSED
FUND NAME EXPENDITURES EXPENDITURES EXPENDITURES
GENERAL FUND
GENERAL ADMINISTRATION $ 56,482 $ 59,800 $ 61,594
GENERAL FUND TOTAL $ 56,482 $ 59,800 $ 61,594
CEMETERY $ 2,961 $ 2,961 $ 2,961
LIBRARY $ 15,857 $ 15,857 $ 15,857
STREET DEPARTMENT $ 30,175 $ 34,547 $ 35,824
PARK DEPARTMENT $ 6,728 $ 6,728 $ 6,728
COMMUNITY BUILDING $ 4,363 $ 4,363 $ 4,363
SANITATION DEPARTMENT $ 24,537 $ 24,537 $ 24,537
WATER DEPARTMENT $ 115,232 $ 115,232 $ 115,232
TOTAL OTHER EXPENDITURES $ 199,853 $ 204,225 $ 205,502
EXPENDITURES $ 256,335 $ 264,025 $ 267,096
PROPOSED REVENUES
FY2025 FY2026 FY2027
PROPOSED PROPOSED PROPOSED
REVENUES REVENUES REVENUES
PROPERTY TAX LEVY
GENERAL FUND $ 28,689 $ 28,689 $ 30,016
STREET DEPARTMENT $ 13,362 $ 15,000 $ 15,450
CEMETERY $ 2,049 $ 2,110 $ 2,173
PROPERTY TAX REPLACEMENT $ 117 $ 117 $ 117
TOTAL PROPERTY TAX LEVY $ 44,217 $ 45,648 $ 47,756
REVENUE SOURCES OTHER THAN PROPERTY TAX
GENERAL FUND $ 42,860 $ 42,860 $ 42,860
PARK DEPARTMENT $ - $ - $ -
STREET DEPARTMENT $ 16,349 $ 16,349 $ 17,750
LIBRARY $ 3,200 $ 3,200 $ 3,200
CEMETERY $ - $ - $ -
COMMUNITY BUILDING $ 425 $ 425 $ 425
SANITATION DEPARTMENT $ 25,200 $ 25,200 $ 25,956
WATER DEPARTMENT $ 124,084 $ 124,084 $ 132,089
TOTAL OTHER REVENUE $ 212,118 $ 212,118 $ 222,280
GRAND TOTAL ALL FUNDS $ 256,335 $ 256,335 $ 270,036
THE PROPOSED EXPENDITURES AND REVENUES FOR FISCAL YEAR 2027 HAVE BEEN TENTATIVELY APPROVED BY THE CITY COUNCIL AND ENTERED IN DETAIL IN THE JOURNAL OF PROCEEDINGS. PUBLICATION DATES FOR THE NOTICE OF THE PUBLIC HEARING ARE JULY 16, 2026 AND JULY 23, 2026 IN THE LEWISTON TRIBUNE.
SUBMITTED CHERYL CARSON, MAYOR