Orange County NC Website
11 <br /> • The County has adopted a policy to fund no interest loans to Non-Profit organizations <br /> that meet certain financial criteria, as adopted on September 20, 2018. <br /> • The County will include in its Travel Policy that travel expenses for Commissioners and <br /> County Staff will include the purchase of carbon offsets for any airfare and the miles <br /> traveled by Car Share vehicles. <br /> Section X. Internal Service Fund - Health and Dental Insurance Fund <br /> The Health and Dental Insurance Fund accounts for receipts of premium payments from the <br /> County and its employees, employees for their dependents, all retirees and the payment of <br /> employee and retiree claims and administration expenses. Projected receipts and fund <br /> reserves from the County and employees for fiscal year 2020-21 will be $14,085,214, and <br /> projected expenses for claims and administration for fiscal year 2020-21 will be $14,085,214. <br /> Section XI. Agency Funds <br /> These funds account for assets held by the County as an agent for other government units, and <br /> by State Statutes, these funds are not subject to appropriation by the Board of County <br /> Commissioners, and not included in this ordinance. <br /> Section XII. Encumbrances <br /> Operating funds encumbered by the County as of June 30, 2020 are hereby reappropriated to <br /> this budget. <br /> Section XIV. Capital Projects & Grants Fund <br /> The County Capital Improvements Fund, Schools Capital Improvements Fund, Proprietary <br /> Capital Funds, and the Grant Projects Fund are hereby authorized. Appropriations made for the <br /> specific projects or grants in these funds are hereby appropriated until the project or grant is <br /> complete. <br /> The County Capital Projects Fund FY 2020-21 budget, with anticipated fund revenues of <br /> $11,188,082 and project expenditures of$11,188,082 is hereby adopted in accordance with <br /> G.S. 159 by Orange County for the fiscal year beginning July 1, 2019, and ending June 30, <br /> 2020, and the same is adopted by project. <br /> The School Capital Projects Fund FY 2019-20 budget, with anticipated fund revenues of <br /> $21,387,313, and project expenditures of$21,387,313 is hereby adopted in accordance with <br /> G.S. 159 by Orange County for the fiscal year beginning July 1, 2020, and ending June 30, <br /> 2021, and the same is adopted by project. <br /> The Proprietary Capital Funds FY 2020-21 budget, consisting of Water and Sewer Utilities, <br /> Solid Waste, and Sportsplex, with anticipated fund revenues of$2,427,952, and project <br /> expenditures of$2,427,952 is hereby adopted in accordance with G.S. 159 by Orange County <br /> for the fiscal year beginning July 1, 2020, and ending June 30, 2021, and the same is adopted <br /> by project. <br />