Resolution 25-40 2026 Budget

A RESOLUTION ADOPTING THE 2026 BUDGET

FOR THE TOWN OF ST. CROIXFALLS

WHEREAS, the Town Board of the Town of St. Croix Falls, Polk County, Wisconsin, did propose a budget for the Calendar Year 2026, and

WHEREAS, on November 19, 2025, there was a public hearing on the proposed budget as required by Wis.Stats. 65.90.

THEREFORE BE IT RESOLVED, that the Town Board of the Town of St. Croix Falls, Polk County, Wisconsin, does hereby adopt the 2026 budget for the Town of St. Croix Falls in the amount of $1,087,356.00 for revenues and $1,087,356.00 for expenditures.

BE IT FURTHER RESOLVED that hereby follows the 2026 Budget Summary for the Town:

2025 2026 Percent
Budget Budget Change
Revenues:
Taxes:
General Property Taxes
Levy $ 764,181.00 $ 769,888.00 0.75
Equipment Loan Repayment $ 68,496.00 $ 68,496.00
Other Taxes $ 8,210.00 $ 8,210.00
Special Assessments $ 0.00 $ 0.00
Intergovernmental Revenues $ 192,386.00 $ 204,807.00
Licenses & Permits $ 25,210.00 $ 25,065.00
Fines, Forfeitures, Penalties $ 0.00 $ 0.00
Public Charges for Services $ 200.00 $ 240.00
Intergovernmental Charges for Services $ 1,000.00 $ 1,000.00
Miscellaneous Revenue $ 7,750.00 $ 9,650.00
REVENUES $ 1,067,433.00 $ 1,087,356.00 1.87
Funds from the General Fund $ $
Funds from Loan Proceeds
TOTAL REVENUES $ 1,067,433.00 $ 1,087,356.00 1.87
Expenditures:
General Government $ 131,790.00 $ 134,540.00
Public Safety $ 94,046.00 $ 102,944.00
Public Works (Highway) $ 731,500.00 $ 726,775.00
Health & Human Services $ 3,800.00 $ 3,800.00
Culture, Recreation & Education $ 8,000.00 $ 8,000.00
Conservation & Development $ 5,300.00 $ 5,300.00
Capital Outlay $ 14,000.00 $ 27,000.00
Debt Obligation $ 68,497.00 $ 68,497.00
Other Financing Uses & Refunds $ 500.00 $ 500.00
TOTAL EXPENDITURES $ 1,057,433.00 $ 1,077,356.00 1.88
Reserve for Contingencies $ 10,000.00 $ 10,000.00
Reserve for Capital Purchases $ 0.00 $ 0.00
Reserve for Hwy Equipment $ 0.00 $ 0.00
TOTAL EXPENDITURES & RESERVES $ 1,067,433.00 $ 1,087,356.00 1.87
Fund Balances:
Estimated Fund Balances 1/1/2026
General Fund $ 175,000.00
Highway Equipment Fund $ 0.00
Anticipated Revenues $ 1,087,356.00
Anticipated Expenses $ (1,087,356.00)
Estimated Fund Balances 12/31/2026
General Fund $ 175,000.00
Highway Equipment Fund $ 0.00

Dated this 19th day of November, 2025