State Codes and Statutes

Statutes > Vermont > Title-24-appendix > Chapter-15 > 65

§ 3-65. Source of funds for appropriations; operating expenses for departments; creation of special funds

(a) All money received from taxation, assessments, fines and other lawful sources, except revenues and income of the water, waste water/solid waste and traffic divisions of the public works department and of the electric light department, shall constitute the entire sum from which appropriations and payments are to be made by and under the authority of the city council. The necessary operating expenses and the cost of repairs, improvements and additions to the property and equipment of such divisions and of the light department shall be paid from the receipts of said divisions and department, respectively. The electric light department, the water division and the waste water division shall every fiscal year make a contribution to the city in lieu of taxes in the form of a cash payment and/or the equivalent in free services and municipal rate benefits in an amount equaling the amount of money which would be received by the city in ad valorem real estate taxes and personal property inventory taxes were such divisions and department privately owned utilities. In order to determine the amount of contribution in lieu of taxes to be received from each such division and department, the city assessor shall annually make an assessment of their respective properties in the same manner as and at the same time that assessments of taxable properties are made. Each division and department shall likewise file with the city assessor inventory forms at the time and in the manner required by state law of taxable persons. Each division and department shall have the same right of grievance and appeal as is afforded to taxpayers. However, the determination of the board of civil authority shall be final. The specific level of the contribution shall be fixed in the same manner as the amount of tax on taxable properties and inventories are determined, immediately upon the setting of the annual tax rate by the city council. The city council, with the prior approval of the board of light commissioners and/or the board of public works commissioners, shall have authority to create and establish, maintain, build up and increase from year to year from the earnings of such department and divisions, special reserve funds for such department and divisions, to be kept by the city treasurer in a separate bank deposit and in a separate account for each department and division and to be used only to pay for such permanent improvements, extensions, and additions to the property and equipment of such department and divisions, from time to time, as the electric light and public works departments may recommend and the city council may approve and authorize. Appropriations and payments from the earnings of said department and divisions to said reserve funds shall be made only during the first thirty days of a fiscal year from the earnings of said department and division for the previous year and when authorized by separate resolution of the city council for each department and division. The total amount of such reserve funds shall be limited to such sum as the city council may by resolution from time to time determine and prescribe. All portions of all appropriations remaining unexpended at the close of the fiscal year, except in the case of appropriations to the school department and the streets division of the public works department, shall then become part of the general fund, unless the city council provides otherwise by resolution.

(b) In addition to the reserve funds for the electric light department and for such divisions of the public works department authorized above, the city council may by resolution create and establish a reserve fund for any city department or division thereof, and, in the case of any department and division for which such reserve fund shall have been established, may maintain, build up and increase the same from year to year by appropriating thereto during the first thirty days of a fiscal year such portion, or all, of its unexpended appropriation for the preceding fiscal year as the city council may deem advisable. Such reserve fund shall be used only to pay for such permanent improvements, extensions or additions to the property and equipment of the particular department or division thereof as the city council may from time to time authorize.

State Codes and Statutes

Statutes > Vermont > Title-24-appendix > Chapter-15 > 65

§ 3-65. Source of funds for appropriations; operating expenses for departments; creation of special funds

(a) All money received from taxation, assessments, fines and other lawful sources, except revenues and income of the water, waste water/solid waste and traffic divisions of the public works department and of the electric light department, shall constitute the entire sum from which appropriations and payments are to be made by and under the authority of the city council. The necessary operating expenses and the cost of repairs, improvements and additions to the property and equipment of such divisions and of the light department shall be paid from the receipts of said divisions and department, respectively. The electric light department, the water division and the waste water division shall every fiscal year make a contribution to the city in lieu of taxes in the form of a cash payment and/or the equivalent in free services and municipal rate benefits in an amount equaling the amount of money which would be received by the city in ad valorem real estate taxes and personal property inventory taxes were such divisions and department privately owned utilities. In order to determine the amount of contribution in lieu of taxes to be received from each such division and department, the city assessor shall annually make an assessment of their respective properties in the same manner as and at the same time that assessments of taxable properties are made. Each division and department shall likewise file with the city assessor inventory forms at the time and in the manner required by state law of taxable persons. Each division and department shall have the same right of grievance and appeal as is afforded to taxpayers. However, the determination of the board of civil authority shall be final. The specific level of the contribution shall be fixed in the same manner as the amount of tax on taxable properties and inventories are determined, immediately upon the setting of the annual tax rate by the city council. The city council, with the prior approval of the board of light commissioners and/or the board of public works commissioners, shall have authority to create and establish, maintain, build up and increase from year to year from the earnings of such department and divisions, special reserve funds for such department and divisions, to be kept by the city treasurer in a separate bank deposit and in a separate account for each department and division and to be used only to pay for such permanent improvements, extensions, and additions to the property and equipment of such department and divisions, from time to time, as the electric light and public works departments may recommend and the city council may approve and authorize. Appropriations and payments from the earnings of said department and divisions to said reserve funds shall be made only during the first thirty days of a fiscal year from the earnings of said department and division for the previous year and when authorized by separate resolution of the city council for each department and division. The total amount of such reserve funds shall be limited to such sum as the city council may by resolution from time to time determine and prescribe. All portions of all appropriations remaining unexpended at the close of the fiscal year, except in the case of appropriations to the school department and the streets division of the public works department, shall then become part of the general fund, unless the city council provides otherwise by resolution.

(b) In addition to the reserve funds for the electric light department and for such divisions of the public works department authorized above, the city council may by resolution create and establish a reserve fund for any city department or division thereof, and, in the case of any department and division for which such reserve fund shall have been established, may maintain, build up and increase the same from year to year by appropriating thereto during the first thirty days of a fiscal year such portion, or all, of its unexpended appropriation for the preceding fiscal year as the city council may deem advisable. Such reserve fund shall be used only to pay for such permanent improvements, extensions or additions to the property and equipment of the particular department or division thereof as the city council may from time to time authorize.


State Codes and Statutes

State Codes and Statutes

Statutes > Vermont > Title-24-appendix > Chapter-15 > 65

§ 3-65. Source of funds for appropriations; operating expenses for departments; creation of special funds

(a) All money received from taxation, assessments, fines and other lawful sources, except revenues and income of the water, waste water/solid waste and traffic divisions of the public works department and of the electric light department, shall constitute the entire sum from which appropriations and payments are to be made by and under the authority of the city council. The necessary operating expenses and the cost of repairs, improvements and additions to the property and equipment of such divisions and of the light department shall be paid from the receipts of said divisions and department, respectively. The electric light department, the water division and the waste water division shall every fiscal year make a contribution to the city in lieu of taxes in the form of a cash payment and/or the equivalent in free services and municipal rate benefits in an amount equaling the amount of money which would be received by the city in ad valorem real estate taxes and personal property inventory taxes were such divisions and department privately owned utilities. In order to determine the amount of contribution in lieu of taxes to be received from each such division and department, the city assessor shall annually make an assessment of their respective properties in the same manner as and at the same time that assessments of taxable properties are made. Each division and department shall likewise file with the city assessor inventory forms at the time and in the manner required by state law of taxable persons. Each division and department shall have the same right of grievance and appeal as is afforded to taxpayers. However, the determination of the board of civil authority shall be final. The specific level of the contribution shall be fixed in the same manner as the amount of tax on taxable properties and inventories are determined, immediately upon the setting of the annual tax rate by the city council. The city council, with the prior approval of the board of light commissioners and/or the board of public works commissioners, shall have authority to create and establish, maintain, build up and increase from year to year from the earnings of such department and divisions, special reserve funds for such department and divisions, to be kept by the city treasurer in a separate bank deposit and in a separate account for each department and division and to be used only to pay for such permanent improvements, extensions, and additions to the property and equipment of such department and divisions, from time to time, as the electric light and public works departments may recommend and the city council may approve and authorize. Appropriations and payments from the earnings of said department and divisions to said reserve funds shall be made only during the first thirty days of a fiscal year from the earnings of said department and division for the previous year and when authorized by separate resolution of the city council for each department and division. The total amount of such reserve funds shall be limited to such sum as the city council may by resolution from time to time determine and prescribe. All portions of all appropriations remaining unexpended at the close of the fiscal year, except in the case of appropriations to the school department and the streets division of the public works department, shall then become part of the general fund, unless the city council provides otherwise by resolution.

(b) In addition to the reserve funds for the electric light department and for such divisions of the public works department authorized above, the city council may by resolution create and establish a reserve fund for any city department or division thereof, and, in the case of any department and division for which such reserve fund shall have been established, may maintain, build up and increase the same from year to year by appropriating thereto during the first thirty days of a fiscal year such portion, or all, of its unexpended appropriation for the preceding fiscal year as the city council may deem advisable. Such reserve fund shall be used only to pay for such permanent improvements, extensions or additions to the property and equipment of the particular department or division thereof as the city council may from time to time authorize.