OREGON DEPARTMENT OF TRANSPORTATION <br />` ~ In cooperation with The League of Oregon Cities and the Association of Oregon Counties <br />local Road and Street Questionnaire for the Fiscal Year Ending June 30, 2001 <br />I. RECEIPTS FOR ROAD AND STREET PURPOSES <br />ITEM AMOUNT <br />A. RECEIPTS FROM LOCAL SOURCES <br />1. Property Tax and Special Assessments <br />a. Levies within the 6~ fimitation ................................................................................... <br />b. Serial levies .................................................................................................................. <br />c. One year special levies ............................................................................................... <br />d. Local or other special benefit area assessments .................................................... 3 5 8 , 2 5 0 <br />(LID, EID, other area specific assessments) <br />2. General Fund and Other Non=Road Fund Transfer ........................................................ 1 , 2 7 2 , 2 21 <br />3. Local Road User Fees <br />a. Fuel taxes (indicate rate ) ............................................................................ <br />Collection Expense ............ <br />Net Fuel Tax ..................... <br />b. Motor Vehicle Registration Fees .................................................................................. <br />4. Other local Receipts <br />a. Interest income .......................................................................................................... <br />b. Traffic fines ................................................................................................................. <br />c. Parking meters and fines ........................................................................................... <br />d. Land sales and rentals ............................................................................................... <br />e. Traffic impact fees or system development charges .............................................. <br />f. Permits ....................................................................................................:................... <br />g. Hotel/Motel taxes ....................................................................................................... <br />h. Franchise fees ............................................................................................................ <br />i. Transportation Utility Fees ................................................................................ <br />j. Other ............................................................................................................................ <br />917,566 <br />9, 5 <br />1,805,504. <br />255,800 <br />5. Receipts from Other Local Governments <br />a. From Cities .................................................................................................................. <br />b. From Counties ................................................................................... ~ ....................... 1, 2 3 5, 6 2 0 <br />c. Other US PO GJN 3816 Willamette 100, 000 <br />6. Proceeds from Sale of Bonds and Notes <br />a. Bonds (Must equal item III, B.1) ................................................................................. <br />b. Notes (Must equal item III, 6.2) ................................................................................. 3 0 0 , 0 0 0 <br />g, PRIVATE CONTRIBUTIONS ................................................... <br />C. RECEIPTS FROM STATE GOVERNMENT <br />1. State Highway Fund Apportionment .............................................................................. <br />2. State Forestry ...................................................................... 5 , 8 7 5 , 713 <br />........................................... <br />- 3. State General Fund ......................................~............,................................... <br />.................... <br />4. Other State Funds (PleaseSpecify)GJN 3763 15th Ave/$,}gna1,,,Pro~„ <br />124, <br />5. Special County Program ........................................................ <br />. <br />. <br />........................................ <br />6. Fund Exchange Program ................................................................................................... <br />D. RECEIPTS FROM FEDERAL GOVERNMENT <br />1. Traffic Grants .............................................................................. <br />.......... <br />............................. <br />2. Housing and Urban Development ................................................................................ <br />... <br />3. Economic Development Administration ................................................................. <br />....... <br />4. National Forest Reserve Revenue .................................................................... <br />. <br />. <br />............. <br />5. Oregon-California Land Grant Revenue ......................... <br />................................................ <br />6. 5% Distribution of BLM Land Sales ........................................................... <br />........................ <br />7. Mineral Leases ................................................................ <br />' <br />....... <br />............................................ <br />8. U.S. Taylor Grazing Apportionment ...................................................................... <br />. <br />. <br />.......... <br />9. Federal Flood Control .................................................. <br />.................................................... <br />10. All other Federal Fund Receipts (Please Specify) ,,,,,,,,,,,,,,,,,,,,,,,, <br />11. Federal Receipts for Federally Declared Emergency Events: <br />a. FEMA -Public Assistance .... <br />....................................................................... <br />b. FHWA -Emergency Relief ........................................................................... <br />E. RECEIPTS FOR WORK FOR OTHER JURI~a{C710NS: <br />1. Non-road and street work .............................................................. <br />. <br />.. <br />............................. <br />2. Work for other jurisdictions .............................................................................................. <br />TOTAL RECEIPTS ........................................ <br />...................................................................... <br />........ <br />BEGINNING BALANCE(S) ..{See instructions on what should be Included} 1 2, 3 8 7. 1 2 8 <br />................... <br />TOTAL FUNDS AVAILABLE .. <br />. <br />. 15 080 789 <br />.. <br />.................... <br />................................................................... .. 2 7 , 4 6 7.917 <br />Prepared by Peggy Hamlin For City of Eugene <br />(rvame~ <br />( 541) 682-5834 Receipts ~~Wo <br />~ou~ry~bt fissue <br />(Telephone) Receipts 12,087, 128 <br />RETURN TO: Beg Bal 15,080,789 <br />Verne Deplois TELEPHONE: (503) 378-2058 $ 2 7 , 16 7 , 917 <br />ODOT, Costs Allocation A 550 Capitol St. NE, -- -- --_ Salem , OR 97301.2530 <br />Analysis Untt <br />Survey FY2lK)1 (I Receipts) <br />,~ <br />