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CITY OF CULDESAC
ANNUAL ROAD AND STREET FINANCE REPORT
STATEMENT OF RECEIPTS AND DISBURSEMENTS
FISCAL YEAR ENDING SEPTEMBER 30, 2025
BEGINNING BALANCE
AS OF OCTOBER 1 PREVIOUS YEAR $47,145
RECEIPTS
LOCAL FUNDING SOURCES
Property tax levy (for roads, streets and bridges) $46,648
Interest Income $817
TOTAL LOCAL FUNDING $47,465
STATE FUNDING SOURCES
Highway user revenue $25,404
TOTAL STATE FUNDING $25,404
FEDERAL FUNDING SOURCES
All other FEDERAL receipts or transfers $0
TOTAL FEDERAL FUNDING $0
TOTAL RECEIPTS $72,869
ROUTINE MAINTENANCE
Winter Maintenance $3,246
Chip sealing or seal coating $851
Patching Streets $2,510
Other (Signs or traffic control) $2,670
TOTAL ROUTINE MAINTENANCE $9,277
EQUIPMENT
Equipment purchase - automotive, heavy, other $7,500
Equipment Maintenance $0
TOTAL EQUIPMENT $7,500
OTHER
Administrative salaries and expenses $651
Street Lighting $8,513
Professional Services - audit, clerical, and legal $384
TOTAL OTHER $9,548
TOTAL DISBURSEMENTS $26,325
RECEIPTS OVER DISBURSEMENTS $40,976
CLOSING BALANCE $88,121
FUNDS OBLIGATED
FOR SPECIFIC FUTURE PROJECTS $2,535,000
FUNDS RETAINED
FOR GENERAL FUNDS & OPERATIONS $15,121
ENDING BALANCE $0.00
This certified report of dedicated funds is hereby submitted to the State Controller as required by 40-708, Idaho Code.
Dated this 12th day of November, 2025.
Amy Connerley, Council President
Attest: Carol Spencer, City Clerk -Treasurer
Published on November 18, 2025