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File #: 25-995    Version: 1 Name:
Type: Informational Report Status: Consent Agenda
File created: 8/13/2025 In control: Public Works
On agenda: 8/26/2025 Final action:
Title: Supplemental Budget for Fiscal Year (FY) 2024-25 Public Works, Roads Maintenance Budget, 1200325; and Appropriation Transfer for FY 2024-25 Public Works Budgets, Roads Maintenance, 1200325, Roads Right-of-Way, 1200322 and Roads Administration/Business, 1200320. (4/5 Vote Required)
Attachments: 1. Staff Report, 2. Supplemental Budget 1200325.pdf, 3. Appropriation Transfer 1200320 and 1200322 to 1200325.pdf

To: Board of Supervisors

From: Public Works

Agenda Section: Consent

Vote Requirement: 4/5th

SUBJECT:
title
Supplemental Budget for Fiscal Year (FY) 2024-25 Public Works, Roads Maintenance Budget, 1200325; and Appropriation Transfer for FY 2024-25 Public Works Budgets, Roads Maintenance, 1200325, Roads Right-of-Way, 1200322 and Roads Administration/Business, 1200320. (4/5 Vote Required)
end

RECOMMENDATION(S):
Recommendation
That the Board of Supervisors:
1. Approve the supplemental budget (Attachment 1) for FY 2024-25 in the amount of $276,000 in Roads Maintenance (1200325) (4/5 Vote Required); and
2. Approve the appropriation transfer (Attachment 2) for FY 2024-25 to decrease Services and Supplies in Roads Administration/Business (1200320), decrease Services and Supplies and Other Charges in Roads Right-of-Way (1200322) and increase Services and Supplies in in Roads Maintenance (1200325) the amount of $227,140.

Body
STRATEGIC PLAN:
This action supports the following areas of your Board's Strategic Plan.

Area of Focus: Workforce & Operational Excellence
Strategic Plan Category: 9999 - Core Services/Other

DISCUSSION:
Public Works experienced storm damage expenditures for Services and Supplies that were over the appropriation in Roads Maintenance budget, 1200325. Public Works is requesting that your Board approve the supplemental budget and appropriation transfer to balance the Roads Maintenance budget, 1200325.

Public Works would like to supplemental budget to increase the Road Maintenance budget (1200325) to reflect actual revenues received for Charges for Services in FY 2024-25. Additionally, Public Works would like to do an appropriation transfer to transfer funds between Services and Supplies in Roads Administration/Business (1200320), Services and Supplies and Other Charges in Roads Right-of-Way (1200322) and Services and Supplies in Road Maintenance (1200325) in FY 2024-25.

SOURCE OF FUNDING:
Road Fund (1200)

FINANCIAL IMPACT:
Ex...

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