Resolution No. 3173-21Sewer Fund Budget 2021-221
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RESOLUTION NO. 3173-21
A RESOLUTION OF THE BOARD OF DIRECTORS
OF THE SOUTH TAHOE PUBLIC UTILITY DISTRICT
ADOPTING THE BUDGET FOR THE SEWER ENTERPRISE FUND
FOR FISCAL YEAR 2021 /22
WHEREAS, on April 6, 2021, the Board of Directors of the South Tahoe Public
Utility District held a public meeting and directed District staff to develop the proposed
budget for Fiscal Year 2021 /22 with a proposed sewer service charge rate increase of
0% to fund the 2021 /22 sewer capital improvement plan and operating budget of the
Sewer Enterprise Fund.
NOW, THEREFORE BE IT RESOLVED, by the Board of Directors of the South Tahoe
Public Utility District that:
The attached budget in the amount of $32,711,025 is adopted for the Fiscal Year
beginning July 1, 2021, and ending June 30, 2022.
WE THE UNDERSIGNED, do hereby certify that the above and foregoing
Resolution was duly and regularly adopted and passed by the Board of Directors of the
South Tahoe Public Utility District at a regular meeting duly held on the 3rd day of June
2021, by the following vote:
AYES:Cefalu, Romsos, Peterson, Sheehan, Exline
20 NOES: None
21 ABSENT: None
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ATTEST:
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Melonie Guttry, c1erkoftheoard
South Ta hoe Public Utility District
Kelly S hon, Board President
South Tahoe Public Utility District