NOTICE OF TAXPAYERS Complete details of the Capital Projects Fund plan may be seen by visiting the office of this unit of government at the following address: 373 North Main Street, Montgomery, Indiana 47558. Notice is hereby given to taxpayers of Barr-Reeve Community Schools, Inc. that the proper officers of Barr-Reeve Community Schools, Inc. will conduct a public hearing on the year 2017 proposed Capital Projects Fund Plan pursuant to IC 20-46-6-11. Following the public hearing, the proper officers of the Barr-Reeve Community School Corporation, Inc. may adopt the proposed plan as presented or with revisions. Publlic Hearing Date: August 31, 2016 Public Hearing Time: 5:30 PM Public Hearing Place: Barr-Reeve Administrative Office, 373 North Main Street, Montgomery, IN 47558 Taxpayers are invited to attend the meeting for a detailed explanation of the plan and to exercise their rights to be heard on the proposed plan. If the proposed plan is adopted by resolution, such plan will be submitted to the Department of Local Government Finances for approval. The following is a general outline of the proposed plan: EXPENDITURES Dept. 2017 2018 2019 1) Land Acquisition and Development 4100 10,000 2) Professional Services 4300 3) Education Specifications Development 4400 4) Building Acquisition, Con. & Improvement 4510,4520,4530 210,000 5) Rental of Buildings, Facilities and Equipment 4550 35,000 6) Purchase of Mobile or Fixed Equipment 4700 45,000 7) Emergency Allocation 4900 90,000 8) Utilities (Maintenance of Buildings) 2620 120,000 9) Maintenance of Equipment 2640 140,000 10) Sports Facility 4540 40,000 11) Property or Casualty Insurance 2670 50,000 12) Other Operation and Maintenance of Plant 2680 100,000 13) Technology Instruction-Related Technology 2230 160,000 Admin Tech Services 2580 SUBTOTAL CURRENT EXPENDITURES 1,000,000 14) Allocation for Future Projects 15) Transfer From One Fund to Another 6010 TOTAL EXPENDITURES, ALLOCATIONS AND TRANSFERS 1,000,000 SOURCES AND ESTIMATES OF REVENUE 1) Projected January 1 Cash Balance 58,299 2) Less: Encumbrances Carried Forward from Previous Year 3) Estimated Cash Balance Available for Plan (Line 1 minus Line 2) 58,299 4) Property Tax Revenue 896,110 5) Estimated Property Tax Cap Credits (show as negative) (471) 6) Auto Excise, CVET and FIT receipts 46,062 7) Other Revenue TOTAL FUNDS AVAILABLE FOR PLAN (Add lines 3, 4, 5 and 6) 1,000,000 This notice contains future allocations for the following projects: Project - Location 2017 2018 2019 ___________________________________________ ________ _________ _________ ___________________________________________ ________ _________ _________ ___________________________________________ ________ _________ _________ Future allocations as specified above will be subject to objections during the period stated in the Notice of Adoption to be published at a later date. **************************************************************************************************** TO BE PUBLISHED IN YEARS AFTER THE FIRST YEAR This notice contains future allocations for the following projects, which have previously been subject to taxpayer objections. Project - Location 2017 2018 2019 ___________________________________________ ________ ________ ________ ___________________________________________ ________ ________ ________ ___________________________________________ ________ ________ ________ Future allocations as specified above are not subject to objections during the period stated in the Notice of Adoption to be published at a later date. **************************************************************************************************** hspaxlp August 13, 2016
↧