View original file205578
South Latah Highway District Budget
October 1, 2026-September 30, 2027
Receipts FY2026/2027
General Property Taxes 440,497
HB 24âSales Tax Allocation 212,176
HB 312---HUR 250,189
S 1218---State Appropriations 61,805
Grant Income 490,000
Motor User Funds 842,588
Forest Service Funds 34,247
Interest 52,784
Total Anticipated Receipts 2,384,286
Bridge & Road Fund (minus S 1218) 1,587,023
Estimated Cash Balance 358,436
Total Receipts Budget 4,329,745
Disbursements
Administration 1,799,891
Supplies and Operation 1,821,435
Labor and Payroll Taxes 708,419
Total Budget 4,329,745
Budget hearing will be held August 24, 2026 at 7:00 p.m. at South Latah Highway District Office 154 W. Chestnut Street, Genesee, ID. The budget can be examined earlier at the same location.
Administration
Rent and Stockpile 400
Printing, Dues, and Office Supplies 5,000
Commissioners Per Diem 12,000
Telephone and Utilities 30,000
Avista Utilities Judgement 8,663
Insurance
(Building, Equipment, Vehicles, Workers Comp.) 50,000
Professional Services (Legal, Audit, Engineering) 45,000
Bridge and Road Fund (plus S 1218) 1,648,828
Total Administration Budget 1,799,891
Supplies and Operation
Fuel 170,000
Road Construction, Rock Seal Coating 807,435
Equipment Repair 90,000
Tires 35,000
Culverts, Signs, Tools, Etc. 45,000
Equipment Rental and Purchase 160,000
Contingency Fund 2,500
Weed Spraying 14,000
Building Maintenance 7,500
Grant Expenditure 490,000
Total Supplies and Operation Budget 1,821,435
Labor and Payroll Taxes
Salaries 541,521
Retirement Contribution 64,765
Medical Insurance (For Employees & HSA) 55,000
Payroll Taxes (medicare & ss) 47,133
Total Labor and Payroll Budget 708,419
TotalâAll Disbursements Budgets 4,329,745