|
~ ~ OREGON DEPARTMENT OF TRANSPORTATION
<br />in cooperation with The League of Oregon Cities and the Association of Oregon Coun~
<br />Local Road and Street Ques ' O
<br />
<br />tionnaire for the Fiscal Year Ending June 30, 2000 p
<br />'. .
<br />I. RECEIPTS FOR ROAD AND STREET PURPOSES
<br />ITEM
<br /> AMOUNT
<br />
<br />A. RECEIPTS FROM LOCAL SOURCES
<br />1. Property Tax and Special Assessments
<br />a. Levies within the 6% limitation .........
<br />.......................
<br />............................................... .
<br />b. Serial levies .:.......................................................
<br />....................................................
<br />c. One year special levies ......................
<br />..............
<br />. .......................................................
<br />d. Local or other special benefit area assessments ...
<br />...............................
<br />..................
<br />(LID, EID, other area specific assessments) ( 303 , 305 )
<br />2. General Fund and Other Non-Road Fund Transfer
<br />...................... 1 , 269, 966
<br />3. Locai Road User Taxes
<br />a. Fuel taxes (indicate rate ) .......
<br />..............................................................
<br />.....
<br />b. Registration fees ......................................................................................................
<br />4. Other Local Receipts
<br />a. Interest income ...
<br />....................................................................................................
<br />b. Traffic fines ............................................. 757,353
<br />.................................................................
<br />c. Parking meters and fines ........................
<br />.................................................................
<br />d. Land sales and rentals ..
<br />.
<br />.
<br />.
<br />.
<br />.........................
<br />..............................................................
<br />e. Traffic impact fees or s
<br />stem d
<br />l 25 , 482
<br />y
<br />eve
<br />opment charges ...............................................
<br />f. Permits
<br />...........................
<br />. 5 91 4 98
<br />..............................................................
<br />g. Hotel/Motel taxes ............................................... 360,160
<br />.........
<br />.............................................
<br />h. Franchise fees ..............:........................
<br />..................................................................
<br />i. Other ................................
<br />...
<br />.
<br />........................................
<br />............................................
<br />8
<br />4 , 660
<br />S. Receipts from Other Local Governments .
<br />a. From Cities .......................................
<br />...
<br />..................................................................... .
<br />b. From Counties .................................................
<br />.........................................................
<br />c. Other
<br />b. Proceeds from Sale of Bonds and Notes
<br />a. Bonds (Must equal item III, B.1) ..............
<br />.......................................
<br />............................
<br />b. Notes (Must equal item III, B.2) ................
<br />. 970,000
<br />.
<br />.................. , . 502,
<br />B. PRIVATE CONTRIBUTIONS ..................................................................:.
<br />.................................
<br />C. RECEIPTS FROM STATE GOVERNMENT
<br />1. State Highway Fund Apportionment ................................
<br />2. State General Fund ........................
<br />...... ......................
<br />3. Other State Funds (Please Specify) FSB/Wllth/15th/WEP/St Lights
<br />4. Special County Program ........................
<br />5. Fund Exchange Program .....................................................................................
<br />D. RECEIPTS FROM FEDERAL GOVERNMENT
<br />1. Traffic Grants ......................................................................................
<br />2. Housing and Urban Development .................
<br />...............................................................
<br />3. Economic Development Administration ...............
<br />.......................................................
<br />4. National Forest Reserve Revenue ...........................
<br />5. Oregon-California Land Grant Revenue .......................................................................
<br />b. 5% Distribution of BLM Land Sales .................................................................................
<br />7. Mineral Leases ..........................
<br />.....................................................................................
<br />8. U.S. Taylor Grazing Apportionment ,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,
<br />.................................
<br />9. Federal Flood Control ................
<br />10. Federal Highway Administration Enhancement Projects .......
<br />.......................................
<br />1 l . All other Federal Fund Receipts (Please Specify)
<br />........................
<br />. Federal Receipts for Federally Declared Emergency Events:
<br />u. uiic. i~yciic~y" ~w~cii i.i - r~" nn .
<br />, i , i i v ................................ .....
<br />b. Emergency Events - F'i 1997 .......................................................................
<br />c. Emergency Events - FY1998 ................
<br />.......................................................
<br />TOTAL RECEIPTS ............................
<br />......................................................
<br />............................
<br />BEGINNING BALANCE(S) ..................................................
<br />TOTAL FUNDS AVAIIABLE ...............................................................................................
<br />Prepared by Peggy Haml i n
<br />(Name)
<br />(541) 6R7-SR'~a -
<br />(Telephone)
<br />RETURN T0:
<br />Verne Deplois
<br />ODOT, Financial Services
<br />Survey FY2000 (I Receipts)
<br />6,031,333
<br />> >
<br />_.?7,f~66
<br />-__~~ 744
<br />_ 1 428
<br />~ 14 240 489
<br />17 , 4 9 lT-'-'"-
<br />~ 31, 3 ,
<br />For City Of Eugene
<br />(City or County)
<br />Receipts W/0 Debt Issue
<br />Receipts $12,767,989
<br />Beg Balance 17,497,577
<br />TELEPHONE: (503) 986-3913 $30,265,566
<br />1178 Chemeketa NE, Salem , OR 97301-2528
<br />
|