Proposed Budget. Laramie County Community Juvenile Services Joint Powers Board

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FY 7/1/18-6/30/19 Budget Laramie County Community Juvenile Services Joint Powers Board 320 W. 19th Street, suite 300 Cheyenne WY 82001 307-256-7092 Laramie County Budget Hearing Information Location: Cheyenne / Laramie County Health Dept., 100 Cen Date: 7/17/2018 Time: 10:00 a.m. Budget Prepared by: Tim Thorson S-A BUDGET MESSAGE W.S. 16-4-104(d) The board receives lease payments and expends bond payments relating to the financing of the Laramie County Juvenile Services Center. The board's operating budget consists of biennial contracts with the WY Department of Family Services. At the time of submission, it is uncertain what level of funding the board will receive. This proposed budget assumes level funding, which may require a budget amendment at some point. S-B RESERVE DESCRIPTION The board holds reserves for the bond issue in the amount of $192,640. This amount is determined by the bond trustee in accordance with procedures contained in the bond agreement. In the fiscal year ended June 30, 2017, the board established a reserve policy to determine the amount of cash in operating (not bond) accounts to be retained from prior year's operations of approximately $16,000. The Names of Board Members Dr. Richard Berry Ronn Jeffrey Date of End Does the district have regular office hours of Term exceeding 20 hours per week? No 6/30/21 6/30/21 The board's public records area available in the Laramie County Board of Commissioner's offices at 310 W. 19th Street, Cheyenne, WY 82001. Affadavit filed with Laramie County Clerk. If no above: Are the records on file with the County Clerk as required by W.S. 16-12-303(c)? No Where are the minutes of your board meeting available for public review? c/o Laramie County Board of Commissioners, 310 W. 19th Street, Cheyenne WY 82001 How and where are the notices of meeting posted for the public? The board advertises its regular meeting date and time and any special meetings in the Wyoming Tribune Eagle. Where are the public meetings held? Cheyenne / Laramie County Health Department, 100 Central Avenue, Cheyenne, WY 82001

PROPOSED BUDGET SUMMARY OVERVIEW S-1 Total Budgeted Expenditures $211,895 $162,758 $169,109 $169,109 S-2 Total Principal to Pay on Debt $150,000 $150,000 $150,000 $150,000 S-3 Total Change to Restricted Funds $199 $921 $0 $0 S-4 Total General Fund and Forecasted Revenues Available $370,518 $231,997 $349,000 $349,000 S-5 Amount requested from County Commissioners S-6 Additional Funding Needed : $0 $0 REVENUE SUMMARY S-7 Operating Revenues S-8 Tax levy (From the County Treasurer) S-9 Government Support $149,997 $159,704 $190,000 $190,000 S-10 Grants $112,720 $0 $110,000 $110,000 S-11 Other County Support (Not from Co. Treas.) S-12 Miscellaneous $52,180 $16,672 $33,000 $33,000 S-13 Other Forecasted Revenue S-14 Total Revenue $314,897 $176,376 $333,000 $333,000 FY 7/1/18-6/30/19 Laramie County Community Juvenile Services Joint Powers Board EXPENDITURE SUMMARY S-15 Capital Outlay S-16 Interest and Fees On Debt $87,785 $51,846 $51,000 $51,000 S-17 Administration $23,569 $25,468 $22,810 $22,810 S-18 Operations $100,041 $84,944 $94,799 $94,799 S-19 Indirect Costs $500 $500 $500 $500 S-20 Total Expenditures $211,895 $162,758 $169,109 $169,109 DEBT SUMMARY S-21 Principal Paid on Debt $150,000 $150,000 $150,000 $150,000 CASH AND INVESTMENTS S-22 TOTAL GENERAL FUNDS $55,621 $55,621 $16,000 $16,000 Summary of Reserve Funds S-23 Beginning Balance in Reserve Accounts S-24 a. Depreciation Reserve S-25 b. Other Reserve $191,521 $191,720 $192,641 $192,641 S-26 c. Emergency Reserve (Cash) S-27 Amount to be added Total Reserves (a+b+c) $191,521 $191,720 $192,641 $192,641 S-28 a. Depreciation Reserve S-29 b. Other Reserve $199 $921 $0 $0 S-30 c. Emergency Reserve (Cash) Total to be added (a+b+c) $199 $921 $0 $0 S-31 Subtotal $191,720 $192,641 $192,641 $192,641 S-32 Less Total to be spent S-33 TOTAL RESERVES AT END OF FISCAL YEAR $191,720 $192,641 $192,641 $192,641 End of Summary Budget Officer / District Official (if not same as "Submitted by") Date adopted by Special District DISTRICT ADDRESS: 320 W. 19th Street, suite 300 Cheyenne WY 82001 PREPARED BY: Tim Thorson DISTRICT PHONE: 307-256-7092 Prepared in compliance with the Uniform Municipal Fiscal Procedures Act (W.S. 16-4-101 through 124) as it applies. 1/29/18 Form approved by Wyoming Department of Audit, Public Funds Division

Budget Laramie County Community Juvenile Services Joint Po NAME OF DISTRICT/BOARD PROPERTY TAXES AND ASSESSMENTS R-1 Property Taxes and Assessments Received R-1.1 Tax Levy (From the County Treasurer) R-1.2 Other County Support FORECASTED REVENUE R-2 Revenues from Other Governments R-2.1 R-2.2 R-2.3 State Aid Additional County Aid (non-treasurer) City (or Town) Aid R-2.4 lease with county $149,997 $159,704 $190,000 $190,000 R-2.5 Total Government Support $149,997 $159,704 $190,000 $190,000 R-3 Operating Revenues R-3.1 R-3.2 R-3.3 Customer Charges Sales of Goods or Services Other Assessments R-3.4 Total Operating Revenues R-4 Grants R-4.1 Direct Federal Grants R-4.2 Federal Grants thru State Agencies R-4.3 Grants from State Agencies $112,720 $110,000 $110,000 R-4.4 Total Grants $112,720 $0 $110,000 $110,000 R-5 Miscellaneous Revenue R-5.1 Interest $271 $1,067 $1,000 $1,000 R-5.2 Other: Specify IRS bond interest rebate $51,909 $15,605 $32,000 $32,000 R-5.3 R-5.4 Other: Additional Total Miscellaneous $52,180 $16,672 $33,000 $33,000 R-5.5 Total Forecasted Revenue $314,897 $176,376 $333,000 $333,000 R-6 Other Forecasted Revenue R-6.1 a. Other past due-as estimated by Co. Treas. R-6.2 b. Other forecasted revenue (specify): R-6.3 accounts payable from DFS R-6.4 R-6.5 R-6.6 Total Other Forecasted Revenue (a+b)

Budget Laramie County Community Juvenile Services Joint Pow NAME OF DISTRICT/BOARD E-1 CAPITAL OUTLAY BUDGET E-1.1 E-1.2 E-1.3 E-1.4 E-1.5 E-1.6 E-1.7 Capital Outlay Real Property Vehicles Office Equipment E-1.8 TOTAL CAPITAL OUTLAY E-2 E-3 ADMINISTRATION BUDGET E-2.1 E-2.2 E-2.3 E-2.4 E-2.5 E-2.6 E-2.7 E-3.1 E-3.2 E-3.3 E-3.4 E-3.5 Personnel Services Administrator Secretary Clerical Travel Mileage E-3.6 E-4 E-4.1 Contractual Services Legal E-4.2 Accounting/Auditing E-4.3 E-4.4 General administration $23,569 $25,468 $22,810 $22,810 E-4.5 E-4.6 E-5 Other Administrative Expenses E-5.1 Office Supplies E-5.2 Office equipment, rent & repair E-5.3 Education E-5.4 Registrations E-5.5 E-5.6 E-5.7 E-5.8 Board Expenses E-6 TOTAL ADMINISTRATION $23,569 $25,468 $22,810 $22,810

Budget Laramie County Community Juvenile Services Joint Pow E-7 OPERATIONS BUDGET E-7.1 E-7.2 E-7.3 E-7.4 E-7.5 E-7.6 E-8 Travel E-9 E-10 E-8.1 E-8.2 E-8.3 E-8.4 E-8.5 E-9.1 E-9.2 E-9.3 E-9.4 E-9.5 E-10.1 E-10.2 E-10.3 E-10.4 E-10.5 Personnel Services Wages--Operations Service Contracts Mileage E-11 Contractual Arrangements (List) E-11.1 Contracts for services $100,041 $84,944 $94,799 $94,799 E-11.2 E-11.3 E-11.4 E-11.5 E-12 Other operations (Specify) E-12.1 E-12.2 E-12.3 E-12.4 E-12.5 Operating supplies (List) Program Services (List) E-13 TOTAL OPERATIONS $100,041 $84,944 $94,799 $94,799

Budget Laramie County Community Juvenile Services Joint Pow INDIRECT COSTS BUDGET E-14 Insurance E-14.1 Liability $500 $500 $500 $500 E-14.2 Buildings and vehicles E-14.3 Equipment E-14.4 E-14.5 E-14.6 E-14.7 E-15 Indirect payroll costs: E-15.1 FICA (Social Security) taxes E-15.2 Workers Compensation E-15.3 Unemployment Taxes E-15.4 Retirement E-15.5 Health Insurance E-15.6 E-15.7 E-15.8 E-15.9 E-16 Depreciation Expenses E-17 TOTAL INDIRECT COSTS $500 $500 $500 $500 DEBT SERVICE BUDGET D-1 Debt Service D-1.1 Principal $150,000 $150,000 $150,000 $150,000 D-1.2 Interest $87,785 $51,846 $51,000 $51,000 D-1.3 Fees D-2 TOTAL DEBT SERVICE $237,785 $201,846 $201,000 $201,000

Laramie County Community Juvenile Services Joint Po NAME OF DISTRICT/BOARD Budget GENERAL FUNDS End of Year Beginning Beginning C-1 Balances at Beginning of Fiscal Year C-1.1 General Fund Checking Account Balance $28,223 $28,223 $16,000 $16,000 C-1.2 Savings and Investments Account Balance $27,398 $27,398 C-1.3 General Fund CD Balance $0 C-1.4 All Other Funds $0 C-1.5 Reserves (From Below) $191,720 $191,720 $192,641 $192,641 C-1.6 Total Cash and Investments on Hand $247,342 $247,342 $208,641 $208,641 C-2 General Fund Reductions: C-2.1 a. Unpaid bills at FYE $25,571 $38,700 C-2.2 b. Reserves $191,720 $192,641 $192,641 $192,641 C-2.3 Total Deductions (a+b) $217,291 $231,341 $192,641 $192,641 C-2.4 Non-Restricted Funds Available $30,050 $16,000 $16,000 $16,000 DEPRECIATION RESERVE (CAPITAL OUTLAY - REPLACEMENT) C-3 C-3.1 Beginning Balance in Reserve Account (end of previous year) $0 $0 C-3.2 C-3.3 Date of Reserve in Minutes: Amount to be added to the reserve C-3.4 C-3.5 Date of Reserve in Minutes: SUB-TOTAL C-3.6 C-3.7 Identify the amount to be spent from "Reserve for Capital Outlay" a. C-3.8 b. C-3.9 c. C-3.10 C-3.11 Date of Reserve in Minutes: TOTAL CAPITAL OUTLAY (a+b+c) C-3.12 Balance to be retained in Depreciation Reserve Account OTHER RESTRICTED FUND BALANCES - RESERVE (LEGALLY ENFORCED) C-4 C-4.1 Beginning Balance in Reserve Account (end of previous year) $191,521 $191,720 $192,641 $192,641 C-4.2 Date of Reserve in Minutes: bond agreement 2010 C-4.3 Amount to be added to the reserve $199 $921 C-4.4 Date of Reserve in Minutes: per bond trustee C-4.5 SUB-TOTAL $191,720 $192,641 $192,641 $192,641 C-4.6 C-4.7 Identify the amount and project to be spent from "Other a. C-4.8 b. C-4.9 c. C-4.10 C-4.11 Date of Reserve in Minutes: TOTAL OTHER RESERVE OUTLAY (a+b+c) C-4.12 Balance to be retained in Other Reserve Account $191,720 $192,641 $192,641 $192,641 ASSIGNED FUND BALANCE (EMERGENCY RESERVE - NOT COMMITTED) C-5 C-5.1 Beginning Balance in Reserve Account (end of previous year) $0 $0 C-5.2 C-5.3 Date of Reserve in Minutes: Amount to be added to the reserve C-5.4 C-5.5 Date of Reserve in Minutes: SUB-TOTAL C-5.6 C-5.7 C-5.8 Amount to be spent from Emergency Reserve (Cash) Date of Reserve in Minutes: Balance to be retained in Assigned Fund Balance C-5.9 TOTAL TO BE SPENT