Orange County NC Website
ORD- 2018 -024 <br />Fiscal Year 2018 -19 <br />Budget Ordinance <br />Orange County, North Carolina <br />Be it ordained by the Board of Commissioners of Orange County <br />Section I. Budget Adoption <br />There is hereby adopted the following operating budget for Orange County for this fiscal <br />year beginning July 1, 2018 and ending June 30, 2019, the same being adopted by fund <br />and activity, within each fund, according to the following summary: <br />Current Interfund 1 Fund Total <br />Fund Revenue Transfer Balance Appropriation <br />..............._- ......... <br />:Appropriated <br />......_ ._. . .... .. <br />General Fund $216 297 <br />..... ......... ..._......._........... ..254 ..... ............$.......1......,. .6.......3......7....... 600: $8, 820, 099 $226, 754, 953 <br />........:............................... ............................ ................. ........................................ ........................................ <br />Emergency Telephone Fund $595,350 ' $0 $323,795 $919 145 <br />:.._ _._ -. -_ ......., ..._._._........__.. ........_. _. <br />Fire Districts Fund $6,059,874 $0 $0 $6,059,874 <br />— -- <br />Section 8 (Housin Fund $4,201,264: $264 245 $0 $4,465,509 <br />Community Development <br />Fund <br />................................................................................................................................................................... ..............................$ 458,. 830... ..:...................._$612, 526............... ..........................._$6, 500 $1, 0......7.. . 7,85 <br />6 <br />.... ....................................................... ............................... <br />Efland Sewer Operating Fund $102,250: $0 $54 500 $156750 <br />- .- ......... ........ . <br />Visitors Bureau Fund $1,580,244 $0 $302,517 $1,882,761 <br />School Construction Impact <br />Fees Fund $ 0 <br />........................................................................................................................................................................................................................................................ ............................... .................... $600, 000 $1 ..600, 000 <br />.... <br />Solid Waste Operations <br />Enterprise Fund $10,040,421: $0 $0 $10,040,421 <br />Sportsplex Operations <br />Enterprise Fund $3,884,471 $0 $0 $3,884,471 <br />Community Spa /Neuter Fund $49,300 $0 $19,050 $68,350 <br />Article 46 Sales Tax Fund $3,651,952 $0 $0 $3,651,952 <br />Section II. Appropriations <br />1 <br />