Section 26.18, Texas Tax Code

      PLUM CREEK CONSERVATION DISTRICT

Information Required by Section 26.18, Texas Tax Code Date: 1-7-2021

  1. The name of each member of the governing body of the taxing unit:

President – James A. Holt, Jr.

Vice-President – Peter Reinecke

Secretary – Lucy Knight

Vacant

Fred Rothert

Tom Owen

2. The mailing address, e-mail address, and telephone number of the taxing unit:

1101 W. San Antonio St.

P.O. Box 328

Lockhart, Texas 78644

E-mail: info@PCCD.org

Telephone: (512) 398-2383

Facsimile: (512) 398-7776

3. The taxing unit’s budget for the preceding two years:

FY2018-2019

Income

 

 

Description

20182019

Budget

Taxes

             2,090,902.00

Delinquent Taxes

      14,000.00

Interest Income

     15,000.00

Miscellaneous Revenue

          300.00

Permit Application Fee

         500.00

Other Income

                       10,000.00

Grant Income

         0.00

Total Income

              2,130,702.00

 

Expenses

Salaries and Wages          338,450.00
Operations and Maintenance          160,000.00
Directors’ Expenses             44,500.00
Professional Fees           294,000.00
Tax Collection/Appraisal Fees             42,000.00
Travel           32,5000.00
Liability Insurance             17,000.00
Office Supplies and Expenses           138,620.00
Plum Creek Watershed Partnership             22,000.00
Capital Outlay           954,000.00
Total Expenditures       2,043,070.00

 

FY2019-2020

Income

 

 

Description

20192020

Budget

Taxes

2,324,215.00

Delinquent Taxes

14,000.00

Interest Income

                 112,000.00

Miscellaneous Revenue

      300.00

Permit Application Fee

    500.00

Other Income

                   20,000.00

Grant Income

          0.00

Total Income

              2,471,015.00

 

Expenses

Salaries and Wages          313,650.00
Operations and Maintenance          160,000.00
Directors’ Expenses            44,500.00
Professional Fees          336,000.00
Tax Collection/Appraisal Fees            42,000.00
Travel            34,500.00
Liability Insurance            25,000.00
Office Supplies and Expenses          165,620.00
Plum Creek Watershed Partnership            22,000.00
Capital Outlay       1,199,680.00
Total Expenditures       2,342,950.00

 

 

4.  The taxing unit’s proposed or adopted budget for the current year:

FY2020-2021

Income

 

 

Description

20202021

Budget

Taxes

2,362,439.00

Delinquent Taxes

14,000.00

Interest Income

50,000.00

Miscellaneous Revenue

      300.00

Permit Application Fee

    500.00

Other Income

                   10,000.00

Grant Income

          0.00

Total Income

              2,437,239.00

 

Expenses

Salaries and Wages          335,350.00
Operations and Maintenance          160,000.00
Directors’ Expenses            44,500.00
Professional Fees          346,000.00
Tax Collection/Appraisal Fees            42,000.00
Travel            38,500.00
Liability Insurance            25,000.00
Office Supplies and Expenses          167,020.00
Plum Creek Watershed Partnership            22,000.00
Capital Outlay       1,180,661.00
Total Expenditures       2,361,031.00

 

 

5. The change in the amount of the taxing unit’s budget from the preceding year to the current year, by dollar amount and percentage:

 

There was a reduction in the District’s current budget from the preceding year of   $33,776 or 0.73%.

                    

 

6. The amount of property tax revenue budgeted for maintenance and operations for the preceding two years and the current year:

 

FY2018-2019 $2,090,902.00
FY2019-2020 $2,324,215.00
FY2020-2021 $2,362,439.00

 

7. The amount of property tax revenue budgeted for debt service for the preceding two years and the current year:

 

FY2018-2019    None
FY2019-2020    None
FY2020-2021    None

 

8. The tax rate from maintenance and operations adopted by the taxing unit for the preceding two years:

 

FY2018-2019            Groundwater: $0.021400/$100 Flood Control: $0.023200/$100.00

FY2019-2020            Groundwater: $0.020700/$100 Flood Control: $0.022500/$100.00

 

9. The tax rate for debt service adopted for the preceding two years:

FY2018-2019                None

FY2019-2020                None

 

10. The interest and sinking fund rate adopted by the district for the preceding two years:

Applicable only to school

 

11. The tax rate for maintenance and operations proposed by the taxing unit for the current year:

FY2020-2021             Groundwater: $0.021600/$100 Flood Control: $0.021800/$100.00

 

12. The tax rate for debt service proposed by the taxing unit for the current year:

FY2020-2021                   None

 

13. The interest and sinking fund tax rate proposed for the current year:

Applicable only to school districts.

 

14. The most recent financial audit of the taxing unit:

 

Year 2022-2023 audit from Jansen and Gregorczyk.       Click here to open……

 

 

 

 

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