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HomeMy WebLinkAbout06172002•
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HARNETT COUNTY BOARD OF COMMISSIONERS
Minutes of Regular Meeting
June 17, 2002
The Harnett County Board of Commissioners met in regular session on Monday, June 17,
2002, in the Commissioners Meeting Room, County Administration Building, 102 East
Front Street, Lillington, North Carolina.
Members present: Beatrice B. Hill, Vice Chairman
Dan B. Andrews
Walt Titchener
Tim McNeill
Chairman Teddy J. Byrd was absent due to being out of town for Airforce Reserves
obligations.
Staff present: Neil Emory, County Manager
Wm. A. (Tony) Wilder, Assistant County Manager
Dwight W. Snow, County Attorney
Kay S. Blanchard, Clerk to the Board
Vice Chairman Hill called the meeting to order at 7:00 p.m. and Commissioner Andrews
led the pledge of allegiance and prayer.
Commissioner McNeill moved to approve the agenda as published with the following
changes:
Add to consent agenda:
- Easement to complete Titan Sewer Project
- Juvenile Crime Prevention Plan
- Additional budget amendments
Delete from regular agenda:
Item 8. Request from John Willoughby to address the Board
Commissioner Andrews seconded the motion and it passed unanimously.
Upon motion by Commissioner McNeill and seconded by Commissioner Titchener, the
Board unanimously approved the following items on the consent agenda:
1. Minutes: Regular meeting, June 3, 2002
Special meeting (budget workshop), June 6, 2002
Special meeting (budget workshop), June 12, 2002
2. Budget Amendments:
475 EMS (Fund 110-General
Code 110-0000-346.54-00 Ambulance
40,000. decrease
110-0000-346.54-03 Benhaven
25,000. increase
110-0000-346.54-04 Boone Trail
14,000. increase
110-0000-346.54-05 Buies Creek
16,000. increase
110-0000-346.54-06 Coats
20,000. increase
110-0000-346.54-07 Dunn
6,000. increase
110-0000-346.54-08 Erwin
16,000. increase
110-5400-420.62-01 Anderson Creek
6,000. increase
110-5400-420.62-04 Boone Trail
9,000. increase
110-5400-420.62-06 Coats
2,000. increase
110-5400-420.62-07 Dunn
10,000. decrease
110-5400-420.62-08 Erwin
3,000. increase
110-0000-399.00-00 Fund Balance Appropriated
47,000. decrease
480 Aging (Fund 110-General)
Code 110-0000-353.15-00 Contributions & Donations 560. increase
110-7500-441.32-13 RSVP Special Projects 560. increase
481 Mastemlan Courthouse Capital Project (Fund 341-"COURTH")
Code 341-8341-410.45-74 Capital Outlay 50,000. increase
341-8341-410.45-80 Contingency 50,000. decrease
%D6
486 Harnett Wake Transmission Project (Fund 542-"WAKETR"
Code 542-0000-314.50-00 Sales Tax Refund
176,137. decrease
542-0000-334.42-00 State Government Grants
3,000,000. decrease
542-0000-353.78-00 Town of Fuquay
2,294,566. decrease
542-0000-353.79-00 Town of Holly Springs
4,396,389. decrease
542-0000-361.10-00 Interest on Investments
64,296. decrease
542-0000-370.73-00 Loan Proceeds
864,047. decrease
542-0000-389.50-00 Interfund Transfer/PU
1,550,474. decrease
542-9101-431.45-01 Construction
6,258,177. decrease
542-9101-431.45-02 Construction -Contract 2
2,785 129. decrease
542-9101-431.45-03 Construction -Contract 3
210,161. decrease
542-9101-431.45-20 Legal & Administrative
65,000. decrease
542-9101-431.45-30 Technical
800,000. decrease
542-9101-431.45-40 Land & Right -of Way
228,950. decrease
542-9101-431.45-70 Interest During Construction
177,588. decrease
542-9101-431.45-74 Capital Outlay
3,000. decrease
542-9101-431.90-73 PU0101 18 MGD Expansion
103,755. decrease
542-9101-431.90-30 Public Utilities
1,291,122. decrease
542-9101-431.45-80 Contingency
423,027. decrease
487 Patterson Bailey CDBG Capital Project (Fund 363-"PATTER"
Code 363-0000-334.30-63 CDBG Patterson Bailey
440,750. decrease
363-0000-353.30-00 Owner's Contributions
36,974. decrease
363-0000-353.31-00 Sewer Access
1,628. decrease
363-0000-389.10-00 Interfund Transfer -General Fund
100,000. decrease
363-8363-465.85-01 Rehab of Privately Owned
416,124. decrease
363-8363-465.85-02 Relocation -Other County
10,000. decrease
363-8363-465.85-20 Housing Project/Administration
55,000. decrease
363-8363-465.85-32 Public Water local C-1
5,000. decrease
363-8363-465.85-41 Housing Project Sewer C-1
6,000. decrease
363-8363-465.85-42 Sewer Other County
85,000. decrease
363-8363-465.85-63 Sewer Assessment Program
1,628. decrease
494 Wellons Acquisition Project (Fund 542-"WELLON")
Code 542-0000-314.50-00 Sales Tax Refund
17,693. decrease
542-0000-361.10-00 Interest
19,147. decrease
542-0000-353.42-00 Board of Education
150,000. decrease
542-0000-370.00-00 Loan Proceeds
3,825,000. decrease
542-0000-389.50-00 Public Utilities
456,316. decrease
542-0000-361.40-00 Interest -First Union
154,925. decrease
542-9101-431.45-02 Construction -Contract 2
100,000. decrease
542-9101-431.45-03 Construction -Contract 3
395,066. decrease
542-9101-431.45-20 Legal & Administrative
27,477. decrease
542-9101-431.45-30 Technical
97,800. decrease
542-9101-431.45-33 Materials
147,023. decrease
542-9101-431.45-40 Land & Right of Way
20,000. decrease
542-9101-431.45-61 Meters
27,000. decrease
542-9101-431.45-70 Interest during Construction
485,252. decrease
542-9101-431.45-74 Capital Outlay
2,776,408. decrease
542-9101-431.45-01 Construction -Contract 1
7,500. decrease
542-9101-431.45-80 Contingency
139,555. decrease
495 Shawtown Revitalization Capital project (Fund 361-"SHAWTO")
Code 361-0000-334.30-61 Capital Projects-CDBG 850,000. decrease
361-0000-353.30-00 Owner's Contribution 26,826. decrease
361-0000-389.10-00 Interfund Transfer -General Fund 150,000. decrease
361-0000-389.30-62 Interfund Transfer-NCHFA 100,000. decrease
361-8361-465.85-02 Relocation -Other County 16,228. decrease
361-8361-465.85-03 Housing Project -Relocation 27,621. decrease
361-8361-465.85-04 Housing Project -Rehab Ll 74,128. decrease
361-8361-465.85-05 REHAB -Other NCHFA 70,000. decrease
361-8361-465.85-06 Housing Project -REHAB C1 336,597. decrease
361-8361-465.85-20 Housing Project Administration 62,021. decrease
361-8361.465.85-21 Administration L-1 8,180. decrease
-- - - _ 361-8361-465.85-40 Sewer CDBG County Local 34,500. decrease
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361-8361-465.85-41 Housing Project -Sewer CDBG Cl 292,022. decrease
361-8361-465.85-42 Sewer Other County
104,981. decrease
361-8361-465.85-50 Clearance CDBG Cl
31,350. decrease
361-8361-465.85-51 Clearance CDBG Ll
10,405. decrease
361-8361-465.85-52 Clearance Other County
28,793. decrease
361-8361-465.90-62 Other Financing Uses-NCHFA
30,000. decrease
496 Western Harnett & Johnsonville Project (Fund 547"WH SCH")
Code 547-0000-370.81-00 COPS 2002
401,134. increase
547-0000-370.80-00 Bond Premium
4,603. increase
547-0000-361.50-00 Interest -First Citizens
•
566. increase
547-9106-431.45-01 Construction
399,933. increase
547-9106-431.45-22 Bond Issuance cost
5,422. increase
547-9106-431.45-80 Contingency
948. increase
497 Harnett Fuauay-Varina Wastewater Proiect (Fund 542-"PU0102"
Code 542-0000-370.81-00 COPS 2002
1,905,804. increase
542-0000-370.81-00 Bond Premium
21,868. increase
542-0000-361.50-00 Interest -First Citizens
2,687. increase
542-9101-431.45-01 Construction
1,900,098. increase
542-9101-431.45-22 Bond Issuance Cost
25,760. increase
542-9001-431.45-80 Contingency
4,501. increase
498 Southwest Regional Transmission Project (Fund 542-"REGIII")
Code 542-0000-370.81-00 COPS 2002 1,033,062. increase
542-0000-370.80-00 Bond Premium 11,854. increase
542-0000-361.50-00 Interest -First Citizens
542-9101-431.45-01 Construction
542-9101-431.45-22 Bond Issuance Cost
542-9101-431.45-80 Contingency
• 500 Public Utilities (Fund 531-HCDPU)
Code 531-0000-399.00-00 Fund Balance Appropriated
531-0000-340.20-01 Capacity Use -Water Fees
531-0000-340.30-10 Sewer Fees
531-0000-340.40-00 Reconnection Fees
531-0000-356.30-00 Insurance Claim
531-9000-431.30-08 Bank Fees-Lockbox
531-9000-431.34-02 Chemicals
531-9000-431.60-31 Gas, Oil & Auto
531-0000-340.30-01 Capacity Use -Sewer Fees
531-9000-431.44-21 Bldg. & Equipment Rent
502 Riverside Water & Sewer Project (Fund 542-"RIVERS")
Code 542-0000-356.80-03 Reimbursement -Linden
542-9101-431.45-80 Contingency
503 Education (Fund 110-General)
Code 110-0000-379.10-00 Fines & Forfeitures-BOE
110-8600-480.31-09 Fines & Forfeitures-BOE
1,456. increase
1,029,969. increase
13,963. increase
2,440. increase
306,500. decrease
100,000. increase
185,000. increase
55,000. increase
6,700. increase
6,000. increase
52,000. increase
5,200. increase
25,000. increase
2,000. increase
7,474. increase
7,474. increase
50,000. increase
50,000. increase
504 Western Harnett & Johnsonville School Project (Fund 547--"WH SCH")
Code 547-0000-314.50-00 Sales Tax 1,692. increase
• 547-9106-431.45-80 Contingency 3,692. increase
547-0000-361.50-00 Interest -First Citizens 2,000. increase
505 Southwest Wastewater plant Expansion Project (Fund 547-"SW WW")
Code 547-0000-361.10-00 Interest 350. increase
547-9106-431.45-80 Contingency 350. increase
506 Southwest Regional Transmission Project Fund 542-"REGIII")
Code 542-0000-314.50-00 Sales Tax Refund 33,820. increase
542-0000-361.40-00 Interest -First Union 1,400. increase
542-9101-431.45-80 Contingency 40,220. increase
542-0000-361.50-00 Interest -First Citizens 5,000. increase
507 Titan Wastewater Extension Project (Fund 5 42-"PU0201 ")
Code 542-0000-314.50-00 Sales Tax 7,872. increase
542-9101-431.45-80 Contingency 7,872. increase
508 Harnett Fuauay-Varina Wastewater Project (Fund 542-"PU0102")
Code 542-0000-361.40-00 Interest -First Union 8,333. increase
542-0000-361.50-00 Interest -First Citizens 10,000. increase
542-9101-431.45-80 Contingency 18,333. increase
509 Public Utilities 18MGD Expansion Project (Fund 542-"PU0101")
Code 542-0000-314.50-00 Sales Tax 14,006. increase •
542-9101-431.45-80 Contingency 14,006. increase
511 COPS 2000 Schools Capital Project and 310-"CP0201" j
Code 310-0000-361.50-00 Interest on Investment 43,670. increase
310-8310-410.90-41 Transfer to Courthouse Project 43,670. increase
512 COPS 2000 Schools Ca ital Project (Fund 310-"CP0201" )
Code 310-0000-361.50-00 Interest on Investment 570,000. decrease
310-8310-410.90-41 Transfer to Courthouse Project 22,451. decrease
310-0000-361.10-00 Interest on Investment - 592,451. increase
514 Library (Fund 110-General
Code 110-8100-450.26-08 Worker's Compensation
985. decrease
110-8100-450.64-25 Books & Publications
8,344. decrease
110-8100-450.60-33 Materials & Supplies
4,547. decrease
110-8100-450.32-78 Special Programs
1,500. decrease
110-8100-450.60-50 Audio Visuals
1,000. decrease
110-8100-450.30-04 Professional Services
450. decrease
110-8100-450.58-14 Audio Visuals
1,200. decrease
110-8100-450.58-01 Training & Meetings
922. decrease
110-8100-450.41-11 Telephone & Postage
4,853. decrease •
110-8100-450.12-00 Salaries & Wages-p.t.
985. increase
110-0000-331.81-01 NC State Aid to Libraries
25,471. decrease
110-0000-348.10-00 Copy Fees -Library
1,400. increase
110-0000-348.20-00 Fines -Library
700. increase
110-0000-354.02-00 ABC Profit Distribution
55. increase
110-0000.353.07-00 Donations -Library
500. increase
523 Ajzin2 (Fund 110-General
Code 110-7500-441.11-00 Salaries & Wages 200. increase
110-7500-441.21-00 Group Insurance 100. increase
110-7500-441.23-00 Retirement 25. increase
110-7500-441.26-08 Worker's Compensation 325. decrease
524 Veteran's Services (Fund 110-General)
Code 110-7800-441.11-00 Salaries & Wages 20. increase
110-7800-441.26-08 Worker's Compensation 20. decrease
525 Youth Services One -on -One (Fund 110-General
Code 110-7931-441.11-00 Salaries & Wages
5. increase
110-7931-441.26-08 Worker's Compensation
5. decrease
526 Register of Deeds (Fund 110-General)
•
Code 110-4800-410.11-00 Salaries & Wages
1,030. increase
110-4800-410.23-00 Retirement
55. increase
110-4800-410.21-00 Group Insurance
1,085. decrease
527 General Services (Fund 110-General)
Code 110-4600-410.11-00 Salaries & Wages 3,595. increase
110-4600-410.23-00 Retirement 180. increase
110-4600-410.23-01 Supplemental Retirement 336. decrease
110-4600-410.26-08 Worker's Compensation 565. decrease
110-4600-410.43-21 Auto Repair & Maintenance 2,874. decrease
528 Economic Development (Fund 110-General
Code 110-7100-465.11-00 Salaries & Wages 1,780. increase
110-7100-465.21-00 Group Insurance 420. increase
110-7100-465.23-00 Retirement 87. increase
110-7100-465.12-00 Salaries & Wages, p.t. 160. decrease
110-7100-465.30-04 Professional Services 2,127. decrease
529 E911 (Fund 240-E911)
Code 240-5900-420.11-00 Salaries & Wages 500. increase
240-5900-420.22-00 FICA Tax Expense 50. increase
• 240-5900-420.23-00 Retirement 50. increase
240-5900-420.23-01 Supplemental Retirement 15. increase
240-5900-420.60-33 Materials & Supplies 615. decrease
530 EMS Fund 110-General
Code 110-5400-420.12-00 Salaries & Wages, p.t. 5,000. increase
110-5400-420.2 1 -00 Group Insurance 9,000. increase
110-5400-420.23-00 Retirement 1,100. increase
110-5400-420.11-00 Salaries & Wages 8,496. decrease
110-5400-420.22-00 FICA 2,000. decrease
110-5400-420.26-08 Worker's Compensation 4,604. decrease
534 COPS 2002 Schools Capital Project (Fund 311-"CP0202"
Code 311-8311-410.45-01 Construction
34,300,000. increase
311-8311-410.45-22 Bond Issuance Cost
544,836. increase
311-8311-410.45-80 Contingency
29,925. increase
311-8311-410.45-20 Legal & Administrative
30,000. increase
311-0000-370.81-00 2002 COPS Issue
31,325,000. increase
311-0000-370.80-00 Bond Premium
221,631. increase
311-0000-361.50-00Interest
58,140. increase
311-0000-370.75-00 State Bond funds
3,300,000. increase
• 535 Social Services (Fund 110-General
Code 110-7700-441.11-00 Salaries & Wages
65,500. increase
110-7700-441.23-01 Supplemental Retirement
600. increase
110-7700-441.21-00 Group Insurance
22,500. decrease
110-7700-441.22-00 FICA Tax Expense
13,000. decrease
110-7700-441.26-08 Worker's Compensation
7,376. decrease
110-7710-441.83-20 Medicaid
23,224. decrease
536 Social Services (Fund 110-General
Code 110-0000-334.55-05 RGP Transportation
3,825. increase
110-0000-334.77-04 Work First Transportation
3,825. decrease
110-4650-410.12-00 Salaries & Wages, p.t.
3,532. increase
110-4650-410.22-00 FICA Tax Expense
293. increase
110-7710-441.88-20 Work First Transportation
3,825. decrease
537 Social Services (Fund 110-General)
Code 110-0000-349.10-00 Adoption Placement Fees
1,300. decrease
110-0000-349.20-00 Adoptions Report to the Court
400. increase
110-0000-349.40-00 NC Health Choice
3,600. increase
110-0000-354.14-00 Public Assistance Refund
11,000. increase
110-0000-354.15-00 AFCD Collections IV-D
26. increase
• 110-0000-354.16-00 Foster Care IV-D
11,000. increase
110-0000-356.10-00 Hospital - DSS Employee
5,000. increase
110-0000-399.00-00 Fund Balance Appropriated
29,726. decrease
110-0000-353.06-00 Social Services Donations
1,123. increase
110-7710-441.89-50 Elderly Assistance Donations
1,123. increase
110-0000-349.30-00 3rd Party CAP-C & At -Risk
25,000. increase
110-0000-354.17-00 Program Integrity
25,000. decrease
538 Special Districts (Fund 242-Special Districts)
Code 242-8001-420.82-10 Current -Special School
10,761. increase
242-8001-420.82-20 Delinquent
2,327. increase
242-8014-420.82-10 Current -Flat Branch
4,475. increase
242-8014-420.82-20 Delinquent
400. decrease
242-8015-420.81-10 Current-Flatwoods
2,000. decrease
242-8015-420.82-20 Delinquent
1,000. decrease
242-8116-420-82-10 Current -Grove
19,864. decrease
242-8016-420.82-20 Delinquent
2,500. decrease
242-8019-420.82-10 Current -Spout Springs
3,500. decrease
242-8019-420.82-20 Delinquent
2,000. decrease
242-8020-420.82-10 Current -Summerville
3,800. decrease
242-8020-420.82-20 Delinquent
250. decrease
242-8002-420.82-10 Current -Anderson Creek
8,580. increase
242-8002-420.80-20 Delinquent
2,500. decrease
242-8008-420.82-10 Current -Boone Trail
5,000. decrease
242-8008-420.82-20 Delinquent
2,000. decrease
242-8004-420.82-10 Current-Averasboro fire
12,905. increase
242-8004-420.82-20 Delinquent
300. decrease
242-8005-420.82-10 Current-Benhaven
6,325. increase
242-8005-420.82-20 Delinquent
900. decrease
242-8011-420.82-10 Current -Cypress Creek
314. decrease
242-8011-420.82-20 Delinquent
84. decrease
242-8017-420.82-10 Current -Northwest Fire
15,000. decrease
242-8017-420.82-20 Delinquent
1,500. decrease
242-8007-420.82-10 Current -Black River
869. increase
242-8007-420.82-20 Delinquent
2,500. decrease
242-8022-420.82-10 Current-Crains Creek
500. decrease
242-8022-420.82-20 Delinquent
274. increase
242-8009-420.82-10 Current-Buies Creek
11,885. increase
242-8009-420.82-20 Delinquent
1,467. increase
242-8023-420.82-10 Current-Bunnlevel
585. increase
242-8023-420.82-20 Delinquent
1,500. decrease
242-8013-420.82-10 Current -Erwin
6,927. increase
242-8013-420.82-20 Delinquent
22. increase
539 Tax Collections-DMV (Fund 722-Tax Collections
Code 722-8030-419.82-01 Current -Town of Lillington
6,000. increase
722-8030-419.82-02 Delinquent
4,300. increase
722-8029-419.82-01 Current -Town of Erwin
2,500. decrease
722-8029-419.82-02 Delinquent
500. decrease
722-8027-419.82-01 Current -Town of Coats
25,000. increase
722-8027-419.82-02 Delinquent
1,500. increase
722-8026-419.82-01 Current -Town of Angier
55,000. increase
722-8026-419.82-02 Delinquent
1,500. decrease
722-8028-419.82-01 Current -City of Dunn
2,000. increase
722-8028-419.82-02 Delinquent
5,000. decrease
722-0000-311.10-00 Ad Valorem Taxes -Current
84,300. increase
540 Sheriff (Fund 110-General
Code 110-0000-322.43-02 Fingerprint Fees
600. increase
110-0000-322.44-01 Permit & Fingerprint Fees
3,800. increase
110-0000-336.18-00 Local Jail Fees
6,255. increase
110-5100-420.11-00 Salaries & Wages
25,000. decrease
110-5100-420.12-00 Salaries & Wages, p.t.
2,100. decrease
110-5100-420.32-48 Safe Keepers
50,000. increase
110-0000-322.43-01 Application -Concealed Gun
3,120. increase
110-0000-399.00-00 Fund Balance Appropriated
9,125. increase
541 Governing Body (Fund 110-Genera
Code 110-0000-318.70-00 Occupancy Tax 50,000. increase
110-4100-410.31-78 Occupancy Tax 50,000. increase
542 Solid Waste (Fund 580-Solid Waste)
Code 580-0000-318.58-00 Solid Waste Tire Tax 8,000. increase
580-0000-399.00-00 Fund Balance Appropriated 8,000. decrease
•
•
543 E911 (Fund 240-E911)
Code 240-0000-318.12-00 E911 Surcharge 10,000. increase
240-0000-399.00-00 Fund Balance Appropriated 10,000. decrease
546 GoverningBody ody (Fund 110-General)
Code 110-5120 420.41-13 Utilities 654. increase
110-5100-420.41-13 Utilities 654. decrease
547 Social Services (Fund 110-General]
Code 110-7710-441.80-65 Title IV-E Foster Care
25,000. decrease
• 110-7710-441.80-72 TEA Foster Care
25,000. increase
110-0000-331.77-08 Foster Care TEA
25,000. increase
110-0000-330.77-03 Foster Care IV-E
20,000. decrease
110-0000-399.00-00 Fund Balance Appropriated
5,000. decrease
549 Concealed Weapon Fund Fund 243-Concealed Weapon Fund
Code 243-0000-322.43-00 Concealed Weapon Fund
1,000. increase
243-5100-420.32-53 Concealed Weapon Fund
1,000. increase
550 Automation & Enhancement (Fund 230-Automation & Enhancement)
Code 230-0000-322.40-03 Automation & Enhancement 15,000. increase
230-4800-410.32-03 Automation & Enhancement 15,000. increase
555 Titan Wastewater Extension Project (Fund 542-"PU0201")
Code 542-0000-361.10-00 Interest 1,700. increase
542-9101-431.45-80 Contingency 1,700. increase
556 South Central Wastewater Project (Fund 542-"PU0104"
Code 542-0000-361.10-00 Interest 500. increase
542-9101-431.45-80 Contingency 500. increase
• 557 Emergency Telephone System (Fund 240-E911)
Code 240-0000-347.12-00 Road Sign Sales 400. increase
240-0000-3 5 1. 00-00 Miscellaneous Revenue 315. increase
240-0000-399.00-00 Fund Balance Appropriated 715. decrease
558 Solid Waste (Fund 580-Solid Waste
Code 580-0000-341.10-00 Landfill Fees
200,000. increase
580-0000-341.11-00 Delinquent Fees
5,000. increase
580-0000-341.12-00 User Fees
35,000. increase
580-0000-341.13-00 Recycled Goods
2,000. increase
580-0000-361.10-00 Interest Income
40,000. decrease
580-0000-399.00-00 Fund Balance Appropriated
202,000. decrease
559 Airport Runway Extension Capital Project (Fund 360-"RUNWAY')
Code 360-0000-361.10-00 Interest on Investments 2,400. increase
360-8360-465.58-14 Contingency 2,400. increase
560 Public Utilities (Fund 531-Public Utilities)
Code 531-0000-340.20-02 Tap on Fees 15,000. increase
531-0000-399.00-00 Fund Balance Appropriated 9,148. decrease
531-9000-431.41-13 Operating Utilities 12,000. increase
531-9000-431.90-57 Interfund Transfer -Riverside Proj. 6,148. decrease
561 Anderson Creek Water Acquisition Project (Fund 542- PU0103 )
Code 542-0000-361.10-00 Interest on Investments 3,000. increase
542-9101-431.45-80 Contingency 3,000. increase
562 Revenues (Fund 110-General)
Code 110-0000-322.40-02 Register of Deeds
68,000. increase
110-0000-322.50-00 County Fire Inspections
400. increase
110-0000-322.43-02 Fingerprint
100. increase
110-0000-322.74-00 Animal Control
800. increase
110-0000-331.75-52 Aging -Nutrition HCCBG
421. increase
•. 110-0000-336.22-00 Court Facilities Fees
28,000. increase
110-0000-345.10-12 Medicaid Cost Settlement
54,221. increase
110-0000-345.16-00 Family Planning -Clinic
9,000. increase
110-0000-345-17-00 Home Health
150,000. increase
110-0000-346.54-02 Angier Black River
13,000. increase
110-0000-347.10-00 Copy Fees-Bd. of Elections
120. increase
110-0000-347.14-00 Project Income -Aging
550. increase
110-0000-346.54-03 Benhaven
10,000. increase
110-0000-346.54-04 Boone Trail
5,500. increase
110-0000-346.54-05 Buies Creek
6,700. increase
110-0000-334.86-03 Public School Bldg. Capital
489,208. increase
110-8702-470.86-02 2000 COPS Courthouse
1,000. increase
110-0000-334.86-02 ADM
278,000. increase
110-0000-353.21-00 Donations -Aging
515. increase
110-0000-336.14-00 Civil License
2,500. increase
110-4800-410.23-09 Retirement ROD Special
2,500. increase
110-5700-420.32-14 Medical Examiner
4,000. increase
110-4100-410.31-63 Mid -Carolina
6,099. increase
110-4100-410.31-82 Senior Citizens
3,080. increase
110-5400-420.31-17 Special Appropriations
L increase
110-0000-311.20-00 Prior Year
65,000. increase
110-0000-311.30-00 Overages & Shortages
2,879. increase
110-0000-3 12. 10-00 Motor Vehicles
2,000. increase
110-0000-322.20-00 Planning
5,098. increase
110-0000-322.30-01 Inspection
133,000. increase
110-0000-322.30-02 Recovery Fund
1,200. increase
110-0000-351.31-10 Medicaid Cost Refund
20,501. increase
110-0000-353.07-00 Donations -Library
100. increase
110-0000-353.17-00 Donations -United Way CCR&R
2,000. increase
110-0000-356.30-00 Insurance Claim
5,024. increase
110-0000-356.90-02 Miscellaneous Reimbursement
600. increase
110-8600-480.31-09 BOE-Fines & Forfeitures
35,000. increase
110-0000-3 79. 10-00 Fines & Forfeitures
35,000. increase
110-0000-311.90-00 Tax Penalties & Interest
14,000. increase
110-0000-311.91-00 Charged Off Taxes
130. increase
110-4100-410.30-04 Professional Services
35,000. increase
110-0000-356.50-00 Inmates Confined
800. increase
110-0000-399.00-00 Fund Balance Appropriated
1,317,687. decrease
563 Emergency Response (Fund 263-Emergency Re�ponse)
Code 263-5251-420.11-00 Salaries & Wages
9,558. increase
263-5251-420.21-00 Group Insurance
1,539. increase
263-5251-420.22-00 FICA Tax Expense
813. increase
263-5251-420.23-00 Retirement
588. increase
263-5251-420.23-01 Supplemental Retirement
259. increase
263-5251-420.33-45 Contracted Services
445. increase
263-5251-420.41-11 Telephone & Postage
9,104. increase
263-5251-420.43-16 Maintenance & Repair
724. increase
263-5251-420.58-14 Travel
648. increase
263-5251-420.60-33 Materials & Supplies
3,399. increase
263-5251-420.60-57 Miscellaneous Expense
505. increase
263-0000-353.62-00 Emergency Response
24,840. increase
263-0000-399.00-00 Fund Balance Appropriated
2,742. increase
262-5251-420.11-00 Salaries & Wages
9,558. decrease
262-5251-420.21-00 Group Insurance
1,539. decrease
262-5251-420.22-00 FICA Tax Expense
813. decrease
262-5251-420.23-00 Retirement
588. decrease
262-5251-420.23-01 Supplemental Retirement
259. decrease
262-5251-420.33-45 Contracted Services
445. decrease
262-5251-420.41-11 Telephone & Postage
9,104. decrease
262-5251-420.43-16 Maintenance & Repair
724. decrease
262-5251-420.58-14 Travel
648. decrease
262-5251-420.60-33 Materials & Supplies
3,399. decrease
262-5251-420.60-57 Miscellaneous Expense
505. decrease
262-0000-353.62-00 Emergency Response
24,840. decrease
262-0000-399.00-00 Fund Balance Appropriated
2,742. decrease
•
•
•
641
3. Tax refunds and releases (Attachment 1)
4. Agreement with Mid -Carolina Area Agency on Aging for the Home and Community
Care Block Grant. Each year the County approves this block grant which
encompasses several programs related to seniors. Along with the agreement is the
funding plan for each program.
5. Schedule public hearing on Implementation of the Third One -Half Cents Local
Option Sales Tax by Resolution of the Board of County Commissioners at 9:00 a.m.,
July 1, 2002 at the Commissioners regular meeting.
• 6. Approved waiver of one half of the Solid Waste tipping fees associated with the
disposal of a home located at 400-402 Lemon St., Coats contingent upon the Town of
Coats assuming responsibility for the balance.
7. Authorized purchase by Spout Springs Emergency Services of a Katolight 80 KW
3 phase 120/208 generator, LP gas GM engine with weather proof enclosure and
complete installation by County Line Equipment at the cost of $26,550.
Authorization by the Board was required due to the cost being over $20,000.
8. Endorsement of a Civil War Preservation Trust TEA-21 application for the
preservation of historical land and viewsheds in Harnett County. The request was
made by the Civil War Preservation Trust. This support does not require any
financial contribution on the part of the County.
9. Resolution recognizing the Carolina Hurricanes Hockey Team on its success this year
(Attachment 2)
10. Settlement agreement for condemnation of easement to complete the Titan Sewer
Project (Attachment 3)
11. Annual North Carolina Juvenile Crime Prevention Plan for intervention/prevention
• services for FY 2002-2003 (Juvenile Justice Reform Act) (Attachment 4)
In the informal comment period, Don Godfrey, Barbecue Township, told the Board that
he disagreed with its decision not to allow citizens to vote on sale of alcohol in Western
Harnett County. He asked the Board to reconsider the matter at the appropriate time.
Commissioner Titchener moved for the appointment listed below. Commissioner
McNeill seconded the motion and it passed unanimously.
Mid -Carolina Workforce Development Board
Mary J. Greene re -appointed for a 2-year term to expire 07/31/04
nominated by Commissioner Hill
Al Bain, Chairman, Harnett County Democratic Party, informed the Board that there is a
General Statute that allows the Board of Elections office to have additional locations in
order to serve citizens in a timely manner for one -stop voting. He asked the Board to
give consideration to this matter as it would affect the budget if implemented. The Board
of Elections office would require adequate staffing and funds for training the staff for the
additional locations. Sherre Toler, Director, Board of Elections, explained
improvements that have taken place in the Board of Elections office operation. She stated
that the Board of Elections voted not to have additional one -stop locations for this year's
election. The Board of Commissioners took no action on the issue.
• Vice Chairman Hill called to order a public hearing on a proposed text amendment to the
Communications Tower Ordinance, Article VI, Section 6.10. George Jackson, Planning
Director, presented the proposed amendment. The current ordinance states that a report
is required biannually to note that a tower is still in normal operation. Staff feels that
biannually (once every six months) is not realistic and propose to change the text to
biennially (once every two years). The Planning Board recommended approval of the
proposed text amendment to change the wording to biennially. Vice Chairman Hill
opened the meeting for comments from the public. No comments were offered and Vice
Chairman Hill closed the public hearing. Commissioner McNeill moved to adopt the
amendment as presented. Commissioner Andrews seconded the motion and it passed
unanimously. (Attachment 5)
&4-Z
Vice Chairman Hill called to order at public hearing on a proposed text amendment to the
Communications Tower Ordinance, Article VII, Section 7.0. George Jackson presented
the amendment regarding a procedure to obtain scientific and engineering assistance and
a method for payment of these services. Vice Chairman Hill opened the meeting for
comments from the public. No comments were offered and Vice Chairman Hill closed
the public hearing. Commissioner McNeill moved to adopt the amendment as presented.
Commissioner Titchener seconded the motion and it passed unanimously. In addition,
Commissioner Andrews moved to implement a fee of $3,500 per tower permit isapplication. Commissioner Titchener seconded the motion and it passed unanimously.
(Attachment 5)
George Jackson, Planning Director, reviewed a bid tabulation and presented for the
Board's consideration, award of a contract for Shawtown FY 2000 CDBG Sewer System
Improvements. Commissioner Andrews moved to award the contract to ES&J
Enterprises, Inc., Autryville, NC, contingent upon receipt of State permits that are
currently being processed. Commissioner McNeill seconded the motion and it passed
unanimously. (Attachment 6)
Vice Chairman Hill called to order a public hearing on the proposed FY 2002-2003
Harnett County Budget. Neil Emory, Budget Officer, presented the proposed Budget
Ordinance. Vice Chairman Hill opened the meeting for comments from the public. No
comments were offered and Vice Chairman Hill closed the public hearing.
Commissioner Titchener moved to adopt the Budget Ordinance contingent upon keeping
certain expenditures (noted in the County Manager's Budget Message) frozen until the
General Assembly adjourns. Commissioner Andrews seconded the motion and it passed
unanimously. (Attachment 7)
Departmental reports were filed with the Board from General Services, Animal Control,
Economic Development, Sheriff's Department, and Revenues & Expenditures Report.
(Attachment 8) •
There being no further business, Commissioner McNeill moved for adjournment.
Commissioner Andrews seconded the motion and it passed unanimously. The Harnett
County Board of Commissioners regular meeting, June 17, 2002, duly adjourned at
7:55 p.m.
Tecj'dy/i - Byrd, Varirman
,��n i � /1�A�ZC:fiLCJZQ
Kay S4 Blanchard, Clerk to the Board
B atrice B. Hill, ice airman
0
•
•
Attachment 1.
M0NTHLYREFUND REPORT
,
10,1un-02
BILL NUMBER NAME REASON
AMOUNT
YEAR MONTH TOWN
19985182 BRESHEARS, WILBUR SOLD MOBILE HOME
COUNTYWIDE - 12,764 X .68 = 86.80
1998 061022
FLOYD
ERWIN FIRE - 12,764 X .09 =11.49
370 RAYMOND AVERY
TOTAL - 98.29
RD
ERWIN, NC 28339
20005473 BRESHEARS, WILBUR SOLD MOBILE HOME
COUNTYWIDE - 27,156 X .73 = 198.24
2000 06/02 2
FLOYD
ERWIN FIRE - 27,156 X .05 = 1358
370 RAYMOND AVERY
TOTAL - 211.82
RD
ERWIN, NC 28339
19995301 BRESHEARS, WILBUR SOLD MOBILE HOME
COUNTYWIDE - 27,710 X .73 = 202.28
1999 Q&02 2
FLOYD
ERWIN FIRE - 27,710 X .05 -13.86
370 RAYMOND AVERY
TOTAL - 216.14
RD
ERWIN, NC 28339
2001658267 AVERY, RONALD FRANKLIN CORRECTION IN
CI03 - 4.49 n/a
2001 06/02 2 COATS
P.O. BOX 418 DISTRICTS
FR14 - .07
COATS, NC 27521
TOTAL - 4.56
2000704238 BARNES, BEATRICE CORRECTION IN CI01- 5.36
P.O. BOX 2003 DISTRICTS TOTAL-5.36
LILLINGTON, NC 27546-2003
2001610631 BASS, KENNETH EDWIN
200 KNOTTINGHAM CT
DUNN, NC 28334-8234
2001646907 BB&T LEASING CORP
P.O. BOX 4404
GREENSBORO, NC 27404
2001640558 BROWNS INTERIOR TRIM
P.O. BOX 61
BUNNLEVEL, NC 28323
SOLD COUNTY - 5.40
VEHICLE/TURNED FR22 - .43
IN LICENSE SC20 - .14
TOTAL - 5.97
PERSONAL VALUE COUNTY - 306.18
CORRECTION
FR22 - 24.17
SC20 - 8.05
TOTAL - 338.40
SOLD VEHICLE
COUNTY -10.94
/TURNED IN
FR12 - 2.16
LICENSE
TOTAL - 13.10
2001600996 BURCH, JERRY LEE SOLD COUNTY -1.71
P.O. BOX 2419 VEHICLE/TURNED FR18 - .16
LILLINGTON, NC 27546-2419 IN LICENSE TOTAL - 1.87
2000695813 CONNER, TRAVIS SCOTT
473 BUCHANNON ROAD
LILLINGTON, NC 27546
2001646329 DENNING, GARY WAYNE
P.O. BOX 1139
ANGIER, NC 27501-1139
SOLD COUNTY - 26.30
VEHICLE/TURNED FRi8 - 2.52
IN LICENSE TOTAL - 28.92
SOLD COUNTY - 63.16
VEHICLE/TURNED FR40 - 5.82
IN LICENSE TOTAL - 68.98
2001644402 FIRST UNION NATIONAL BANK
TURNED IN
COUNTY - 83.03
P.O. BOX 50010
LICE14SEISOLD
FR30 - 8.74
ROANOKE, VA 24045-0001
VEHICLE
TOTAL - 91.77
2001630295 HOWARD, STEVEN RAY
SOLD
COUNTY- 18.59
81 CARNATION CIRCLE
VEHICLE/TURNED
FR20 - 2.69
SPRING LAKE, NC 28390-7727
IN LICENSE
TOTAL - 21.28
2001653286 IRWIN, THOMAS CRAIG
364 IRWIN LANE
LILLINGTON, NC 27546
PERSONAL VALUE COUNTY - 58.21
CORRECTION FR24 - 5.36
TOTAL - 63.57
n/a
2000
06/02 2 LILLING
8
2001
I
06/02 2
n/a
2001
06/02 2
4
2001
06/02 2
9
2001
06/02 2
4
2000
06/02 2
3
2001
06/02 2
2
2001
06/02 2
4
2001
06/02 2
n/a
2001
06/02 2
8
2001753778
JOHNSON, PAUL GRAHAM
SOLD VEHICLE,
COUNTY - 4.00
10
2001
06/02 2
2076 BAILEY RD
TURNED IN LICENSE
FR14 - .44
COATS, NC 27521-9641
TOTAL - 4.44
2001633355
JONES, DANNY RAY
SOLD
COUNTY - 61.82
6
2001
06/02 2
11387 NC 42
VEHICLE/TURNED
FR30 - 6.51
HOLLY SPRINGS, NC 27540
IN LICENSE
TOTAL - 68.33
20016545I9
JORDAN; JUNE BARBOUR
SOLD
COUNTY - 34.55
4
2001
06/02 2
2524 CHRISTIAN LIGHT RD
VEHICLE/TURNED
FR30 - 3.64
•
FUQUAY VARINA, NC 27526-6084
IN LICENSE
TOTAL- 38.19
2001646325
MERIAL SELECT, INC
PERSONAL VALUE
COUNTY - 136.02
n/a
2001
06/02 2
894 COBB RD
CORRECTION
FR14 - 14.31
BENSON, NC 27504-6205
TOTAL - 150.33
1996581530
MOUNTFORD, FRANK TODD
MILITARY
COUNTY - 132.93
n/a
1996
06/02 2
199 CATTLE DRIVE
EXEMPTION
FR16 - 18.99
CAMERON, NC 28326-8901
RS60 - 4.75
TOTAL - 156.67
1997580203
MOUNTFORD, FRANK TODD
MILITARY
COUNTY - 121.79
n/a
1997
06/02 2
199 CATTLE DRIVE
EXEMPTION
FR16 - 16.12
CAMERON, NC 28326-8901
RS60 - 4.48
TOTAL-142.39
1998700206
MOUNTFORD, FRANK TODD
MILITARY
COUNTY - 110.98
n/a
1999
06/02 2
199 CATTLE DRIVE
EXEMPTION
FR16 - 14.69
CAMERON, NC 28326-8901
RS60.4,08
TOTAL - 129.75
1999550190
MOUNTFORD, FRANK TODD
MILITARY
COUNTY-108.33
n/a
1999
06/02 2
199 CATTLE DRIVE
EXEMPTION
FR16 - 13.36
CAMERON, NC 28326.8901
TOTAL - 121.69
•
2000670170
MOUNTFORD, FRANK TODD
MILITARY
COUNTY - 78.99
n/a
2000
06/02 2
199 CATTLE DRIVE
EXEMPTION
FR16 - 10.82
CAMERON, NC 28326-8901
TOTAL - 89.81
2001809096
MOUNTFORD, FRANK TODD
MILITARY
COUNTY-126.07
n/a
2001
06/02 2
199 CATTLE DRIVE
EXEMPTION
FR16 - 17.27
CAMERON, NC 28326-8901
TOTAL-143.34
2001606150
PURVIS, TIMOTHY BRIAN
SOLD
COUNTY - 10.01
9
200I
06/02 2
ANGIER
261 LII,LINGTON ST, E
VEHICLE/TURNED
CI04 - 5.80
ANGIER, NC 27501-8527
IN LICENSE
FR40 - .92
TOTAL - 16.73
2001621364
RAYNOR, KEVIN EARL
PERSONAL VALUE
COUNTY - 24.85
n/a
2001
06/02 2
139 SUMMERVILLE CT
CORRECTION
FR18 - 2.28
LILLINGTON, NC 27546-7451
TOTAL - 27.13
2001645573
SATTERFIELD, SHELTON MILES
SOLD
COUNTY - 50.63
5
2001
06/02 2
131 CREEKSIDE DR
VEHICLE/TURNED
FR40 - 4.66
ANGIER, NC 275014428
IN TAG
TOTAL - 55.29
2001506879
SAUNDERS, DEBRA LAMAR
SOLD
COUNTY - 12.18
9
2001
06/02 2
•
995 BULLARD ROAD
VEHICLE/TURNED
DARN. FEE - 2.50
SANFORD, NC 27330-1757
IN LICENSE
FR24 - 1.12
TOTAL -15.80
2001613208
SELLERS, JR HORACE CLAYTON
SOLD
COUNTY - 8.69
8
2001
06/02 2
5150 OLD U.S. 421
VEHICLE/TURNED
FR21 - .80
LILLINGTON, NC 27546-9279
INLICENSE
TOTAL - 9.49
2001754436
SMITH, SHAWN PATRICK
MILITARY
COUNTY - 60.44
n/a
2001
06/02 2
ERWIN
C BTRY 507ADA
EXEMPTION
CI02 - 39.74
UNIT 20239
FR02 - 4.14
BOX 399
TS02 - 3.00
APO, AE 09165
TOTAL - 107.32
2001754699 STRICKLAND, JR FRED WAYNE SOLD COUNTY - 2.35 11
7387 N 27 EAST VEHICLEnIMNED FR14 - .26
COATS, NC 27521 IN LICENSE TOTAL - 2.61
2001505687 STRICKLAND, WILLIAM
ARTHUR
14 MARTHAS LANE
•
SPRING LAKE, NC 28390-7633
2001642174 WOODS, JR SAM EVINS
69 MICRO TOWERRD
LILLINGTON, NC 27546-7242
Attachment 2.
SOLD COUNTY - 9.29
VEHICLE/TURNED FR20 - 1.35
IN LICENSE TOTAL - 10.64
VALUE APPEALED COUNTY - 12.24
FR24 - 1.13
TOTAL - 13.37
2001 06/02 2
11 2001 06/02 2
n/a 2001 06/02 2
RESOLUTION
Carolina Hurricanes
WHEREAS, the Carolina Hurricanes, a National Hockey League team whose home is in
• Raleigh, North Carolina, has attained unprecedented success this year; and
WHEREAS, their success during the regular season resulted in the team playing in the
Stanley Cup playoffs; and
WHEREAS, the Stanley Cup is heralded as the most prestigious trophy in sports
throughout North America; and
WHEREAS, their outstanding playoff play resulted in defeats of the New Jersey Devils,
the Montreal Canadiens, and the Toronto Maple Leafs before falling to the Detroit Redwings in
the finals; and
WHEREAS, their skills and exuberance have created a new-found love of ice hockey in
a basketball domineering area called "Tobacco Road" and now named "Mayberry" by its loyal
hockey fans.
NOW THEREFORE, BE TT RESOLVED that the Harnett County Board of
Commissioners does hereby recognize and commend the Carolina Hurricanes, as well as coach
Paul Maurice and owner Peter Karmanos Jr., for their accomplishments during the 2002 ice
hockey season.
BE IT FURTHER RESOLVED that the Board expresses its appreciation and thanks to
the team for the recognition and benefits it has brought statewide.
Adopted this 17a' day of June,, 2002.
HARNETT 4UNTY BOARD,0F COMMISSIONERS
e B. ��I, c Tai
Harnett County does not discriminate dli ��, r� " i V origin, sex, religion, age or
disability in emplo` ices.
Attachment 3.
SETTLEMENT AGREEMENT
THIS AGREEMENT has been entered between C a & 4 �� a F �16 vn`
("PLAINTIFF") and A/ i o y l / /q 929e v (Jai '/ •
A C Doh,)d
("DEFENDANT") as a result of a mediated settlement conference completed upon the date subscribed below.
PLAINTIFF and DEFENDANT agree as follows:
1. Cc vn � o aYne wall pay to�F
the sum of r . i7u J oh d d u i /h o no)-ed DOLLARS ($ 00 on or before
Q�, 200� by check payable to PLAINTIFF and Plaintiff s attorney.
2. PLAINTIFF and DEFENDANT agree that the proceeds of the check will not be disbursed by Plaintiff's attorney
until such time as a release and dismissal with prejudice, or consent judgement have been executed and the
dismissal or consent judgement filed with the appropriate court, and the release and filed copies of the dismissal
or consent judgement forwarded to Defendant's attorney.
3. Any and all claims which PLAINTIFF and DEFENDANT may have against one another, described in the
litigation pending in the 110me #/ County Superior Court, Case Number ©lCV��0 will, after
distribution of funds and execution, filing, and delivery of the appropriate release and dismissal with prejudice or
consent judgment, be settled and discharged completely.
w , • •-T- - --- - - _,_— -, I - - -
5. The parties shall be separately responsible for their own attorneys' fees and the costs of the case.
6. PLAINTIFF AND DEFENDANT ACKNOWLEDGE THAT ALL OF THEIR AGREEMENTS REACHED IN
THE MEDIATED SETTLEMENT CONFERENCE, AND EVERY PART OF EVERY AGREEMENT SO
REACHED, ARE SET OUT ABOVE. •
This the 3 day of June , 200a .
fI
Plaintiff Attorney for Plain
�.e Attorney for Plain '
Defendant Attorney for Defendant
County of Harnett
BY
is
0
Attachment 4.
North Carolina Juvenile Crime Prevention Plan
INTERVENTION/PREVENTION SERVICES
Annual Plan
For
Fiscal Year 2002-2003
(Juvenile Justice Reform Act)
G.S. 143E 543-550
DJJDP.County Funding Plan
Available Funds: $ 238,398 Local Match $ 38,657 Rate 10 %
A Program Agreement Form for each program listed below is included as an attachment to the Community
Prevention and Intervention Plan.
!.
Woodrow Scoggins Trans. Living
,{�
15,000
y
1,500
-0-
391,287
407,797
2,
Specialized Foster Care
45,000
13,582
9,547
30,434
98,563
3.
Hillcrest Shelter
35,100
3,900
-0-
-0-
39,000
4.
Juvenile Restitution/Comm.Ser
73,540
1,200
7,200
7,000
88,940
s.
Youth Issues
10,000
18,475
-0-
-0-
28,475
6
Intensive Home -Based Services
38,000
-0-
3,800
-0-
41,800
Kid's-R-Us
9,118
-0-
1,750
-0-
10,868
8.
Court Psychologist
7,140
-0-
1,428
-0-
8,568
9.
JCPC Administration
5,500
-0-
-0-
-0-
5,500
TOTALS: 1
239,3981
38,657
23, 725 ,
428,731
729, 511
The above plan was derived through a planning process by the Harnett County
Juvenile Crime Prevention Council and represents the County's Plan for use of funds in FY 2002-2003
•
Chairperson, Juvenile grime Prevention Council (Date)
L�� 6-/q-oz
0 of umy Commissioners (Date)
6/11/02 2
Attachment 5.
HARNETT COUNTY, NORTH CAROLINA
A RESOLUTION AMENDING
THE HARNETT COUNTY COMMUNICATIONS TOWER ORDINANCE
WHEREAS, the Board of Commissioners of Harnett County adopted the Harnett County
Communications Tower Ordinance on December 4, 2000; and •
WHEREAS, this Ordinance was adopted under authority granted by the General
Assembly of the State of North Carolina, particularly G.S. 153A-340; and
WHEREAS, the Harnett County Planning Board has reviewed the proposed amendment
to Article VI, Section 6.10 and Article VII, Section 7.0 of the Harnett County
Communications Tower Ordinance and recommends the adoption of the following
amendment.
NOW, THEREFORE BE IT RESOLVED BY THE BOARD OF COMMISSIONERS OF
HARNETT COUNTY, NORTH CAROLINA that Article VI, Section 6.10 and Article
VII, Section 7.0 of the Harnett County Communications Tower Ordinance be amended as
follows:
Article VI, Section 6.10 — delete the word "biannual" in the title and in two places in the
text and insert the word "biennial" in the title and in two places in the text.
Article VII, Section 7.0 — add the following to the end of the current text: The County
may through contract, secure the professional services of telecommunications consultants
to assist County staff in the implementation of this Ordinance. Such professional services
include, but are not limited to, review and evaluation of permit applications,
determination of compliance with existing and proposed Federal regulations,
minimization of the aesthetic impact, review of the technical data and expert testimony as
needed.
Duly adopted this 17`h day of June, Two Thousand Two and effective upon adoption.
HARNETT COUNTY BOARD OF COMMISSIONERS
.Ci •
atrice B. Hill, Vice Chair r ,<�, Kay S lanchard, Clerk to the Board
r�
Attachment 6
BID TABULATION
Shawtown FY 2000 CDBG Sewer System Improvements
Harnett County, North Carolina
BID DATEMME: June 11 2002 @ 2:00 P.M. TWC No. 2703-AC
CONTRACTORS LICENSE BID TOTAL BID REMARKS
NO. I BOND
156 Hwy Constructors Road 12459-U 5% $357,005.00
Marston, NC 28363
BILLY D. JOHNSON CONTRACTORS, INC.
402 Pine Dr. 46788=U No Bid
Four Oaks. NC 27524
INC.
2504 Whistling Quail Run
E.L.J., INC.
4571 Gum Branch Rd.
Jacksonville, NC 28540
H. G. REYNOLDS COMPANY, INC.
312 South Chestnut Street
Henderson, NC 27536
HBWEST, INC.
3460 Hwy 301 South
PO Box 183, 10710 Chapel Hill Road
Morrisville. NC 27560
32393 1 1 No Bid
47340 1 1 No Bid
14149
5%
$380,734.00
34948
5%
$307,465.00
4499
5%
$452,716.50
3139 DocBennett Road
No Bid
r
MECKLE UN GRB UTILITIES, INC. -
PO Box 1582
Oxford, NC 27565
NORTEC CONSTRUCTION SERVICES,
44039
5%
$349,214.00
INC.
2480 Companion Court
Fa jetteville, NC 28306
20989
5%
$323,395.00
R. H. MOORE CO., INC.
10601 Hwy 707
Murrell's Inlet, SC 29576
15276
No Bid
RALPH HODGE CONSTRUCTION
Lamm Road
•6318
Wilson, NC 27896
6271
5%
$361,794.80
SANDHILL GRADING AND PIPE
2835 Farrington Point Rd.
Cha el Hill, NC 27517
31589
5%
$299,580.95
SANDHILLS CONTRACTORS, INC.
2616 Lemons Springs Road
Sanford NC 27331
25707
5%
$317,873.00
SANFORD CONTRACTORS, INC.
628 Rocky Fork Church Road
Sanford, NC 27330
6301
5%
$358,695.02
T. A. LOVING COMPANY
400 Patetown Rd.
Goldsboro, NC 27530
325
5%
$388, 985.00
TEMPLE GRADING & CONSTRUCTION, INC.
907 East McNeil Street
Lillin ton, NC 27546
21654
5%
$342,333.75
UTILITIES PLUS
8611 Hair's Chapel Church Road
Linden, NC 28356
47898-U
5%
$307,155.68
EL WLONS CONSTRUCTION, INC.
510 Powell Avenue
This
Dunn, NC 2833$
is to certify that the bids tabulated
25357
5%
$376,087.50
herein will be publicly
Harnett County Administration Building, Lillington, North Carolina
except as otherwise noted.
opened and read aloud at 2:00 PM the 11th day'of June, in the Ass
and that all said bids
were accompani �, ,
� �N 1,gertified check or
THE WOOTEN COMPANY
OEESS.4• C
S3 L 82 )~:
•
UK E T-L KWONG, P.
6 ��G F •-
'�S, 4`F•+�BjW •0�0 .'
T,• WO a
Page 2 of 2
Attachment 7.
BUDGET ORDINANCE
FOR
FISCAL YEAR 2002-2003
BE IT ORDAINED by the Board of Commissioners of Harnett County, North Carolina:
Section I. The following amounts are hereby appropriated in the General Fund for the
operation of the county government and its activities for the fiscal year beginning July 1, 2002,
and ending June 30, 2003, in accordance with the chart of accounts heretofore established for the
county:
Governing Body
568,716
Administration
276,390
Personnel
92,305
Board of Elections
333,523
• Finance
492,611
Insurance/Cobra and Retiree
35,488
Facility Fees
53,189
Tax Department
1,147,117
General Services
297,539
Transportation
872,398
Public Buildings
1,730,176
Register of Deeds
701,426
MIS
511,322
GIS
314,155
Sheriff
- - _
3,943,689
Room of the
"s bond
650
Campbell Campus Deputies 350,461
Communications 710,797
Jail 1,612,936
Emergency Services 421,553
Emergency Medical Services 4,438,841
Animal Control 246,207
Medical Examiner 30,000
Airport 40,730
Soil & Water Conservation 95,452
Economic Development 450,902
•
Planning & Inspections 797,622
Cooperative Extension 338,806
CCR&R 39,746
Golden Eagles 46,000
Kid's World 41,045
UPC 33,079
Village Kids 40,533
CCR&R(United Way) 6,498
Parents as Teachers 128,633
Family Home Care Licensure 19,788
Teens as Parents 105,313
WIA One -Stop 517,252
Department on Aging 250,687
CAP 221,307
Volunteer Center 3,500
Nutrition for Elderly 329,010
Health 4,475,889
Mental Health 183,907
•
Social Services 5,446,929
Public Assistance 11,930,778
Veterans Service 67,325
Restitution 150,885
One -On -One 39,807
Library 595,795
Parks & Recreation 250,436
Education 12,232,944
Intra-fund Transfers 2,420,592
Debt Service 7,316,785
16,785
TOTAL $67,798,544
Section 2. It is estimated that the following revenues will be available in the General
Fund for the fiscal year beginning July 1, 2002, and ending June 30, 2003:
Current Year's Property Tax $26,446,915
Prior Year's Taxes 1,350,000
Tax Penalties & Interest 325,000
Other Revenues 36,663,926
Fund Balance 3,012,703
_
$67,798,544
•TOTAL
Section 3. It is estimated that the following amounts are hereby appropriated in the
E-911 Fund for the implementation of and maintenance of E-911 for fiscal year 2002/2003.
Expenditures $917,062
Section 4. It is estimated that the following revenues will be available in the E-911 Fund
for fiscal year 2002/2003.
Revenues $917,062
--- Section 5. The appropriations to the Board of Education shall be made from any funds
which are dedicated to the use of the schools from general county revenues to the extent
necessary. Projects utilizing county funds shall be approved by the Harnett County Board of
Commissioners.
a
Section 6. Reimbursement for use of private owned vehicles by county employees for
official county business will be thirty-one cents (.31) per mile or as otherwise stated in the travel
policy.
Section 7. The following amounts are hereby appropriated for the DMV Distribution
Fund for the fiscal year beginning July 1, 2002, and ending June 30, 2003:
Angier DMV Distribution & Tax Collection $705,771
Coats DMV Distribution & Tax Collection $422,656
Dunn DMV Distribution $317,087
Erwin DMV Distribution $129,875
• Lillington DMV Distribution $78862
Section 8. It is estimated that the following revenues will be available in the DMV
Distribution Fund for the fiscal year beginning July 1, 2002, and ending June 30, 2003:
Angier DMV Distribution & Tax Collection $705,771
Coats DMV Distribution & Tax Collection $422,656
Dunn DMV Distribution $317,087
Erwin DMV Distribution $129,875
Lillington DMV Distribution $78,862
Section 9. It is estimated that the following amounts are hereby appropriated in the
Harnett County Gun Permits for fiscal year beginning July 1, 2002, and ending June 30, 2003:
Expenditures $7,000
Section 10. It is estimated that the following revenues will be available in the Harnett
County Gun Permits Fund for the fiscal year beginning July 1, 2002, and ending June 30, 2003:
Revenue $7,000
Section 11. It is estimated that the following amounts are hereby appropriated in the
Harnett County Public Utilities Fund for the fiscal year beginning July 1, 2002, and ending June
30, 2003:
Expenditures $11,392,290
Section 12. It is estimated that the following revenues will be available in the Harnett
• County Public Utilities Fund for the fiscal year beginning July 1, 2002, and ending June 30,
2003:
Revenues $11,392,290
Section 13. It is estimated that the following amounts are hereby appropriated in the
Northeast Metropolitan Water Fund for the debt service obligations of the district for the fiscal
year beginning July 1, 2002, and ending June 30, 2003:
Expenditures $1,102,522
Section 14. It is estimated that the following revenues will be available in the Northeast
Metropolitan Water Fund for the fiscal year beginning July 1, 2002, and ending June 30, 2003:
Revenues $1,102,522
Section 15. It is estimated that the following amounts are hereby appropriated in the
Buies Creek/Coats Sewer Fund for the debt service obligations of the district for the fiscal year
beginning July 1, 2002, and ending June 30, 2003:
Expenditures $162 980
Section 16. It is estimated that the following revenues will be available in the Buies
Creek/Coats Sewer Fund for the fiscal year beginning July 1, 2002, and ending June 30, 2003:
Revenues $162,980
Section 17. It is estimated that the following amounts are hereby appropriated in the
• South Central Water & Sewer Fund for the debt service obligations for the fiscal year beginning
July 1, 2002, and ending June 30, 2003:
Expenditures $397,104
Section 18. It is estimated that the following revenues will be available in the South
Central Water & Sewer Fund for the fiscal year beginning July 1, 2002, and ending June 30,
2003:
Revenues $397,104
Section 19. It is estimated that the following amounts are hereby appropriated in the West
Central Water & Sewer Fund for the debt service obligations for the fiscal year beginning July 1,
2002, and ending June 30, 2003:
Expenditures $170,250
Section 20. It is estimated that the following revenues will be available in the West
Central Water & Sewer Fund for the fiscal year beginning July 1, 2002, and ending June 30,
2003:
Revenues
$170,250
Section 21. It is estimated that the following amounts are hereby appropriated in the
Northwest Water & Sewer Fund for the debt service obligations for the fiscal year beginning July
1, 2002, and ending June 30, 2003:
Expenditures $196,496
Section 22. It is estimated that the following revenues will be available in the Northwest
Water & Sewer Fund for the fiscal year beginning July 1, 2002, and ending June 30, 2003:
Revenues $196,496
Section 23. It is estimated that the following amounts are hereby appropriated in the
Southwest Water & Sewer Fund for the debt service obligations of the district for the fiscal year
beginning July 1, 2002, and ending June 30, 2003:
Expenditures $306,167
Section 24. It is estimated that the following revenues will be available in the Southwest
Water & Sewer Fund for the fiscal year beginning July 1, 2002, and ending June 30, 2003:
Revenues $306,167
Section 25. It is estimated that the following amounts are hereby appropriated in the
Bunnlevel/Riverside Sewer Fund for the debt service obligations of the district for the fiscal year
beginning July 1, 2002, and ending June 30, 2003:
Expenditure $11,500
Section 26. It is estimated that the following revenues will be available in the
Bunnlevel/Riverside Sewer Fund for the fiscal year beginning July 1, 2002, and ending June 30,
2003:
Revenues $11,500
Section 27. It is estimated that the following amounts are hereby appropriated in the
Southeast Water & Sewer Fund for the debt service obligations of the district for the fiscal year
beginning July 1, 2002, and ending June 30, 2003:
Expenditures $90,649
Section 28. It is estimated that the following revenues will be available in the Southeast
Water & Sewer Fund for the fiscal year beginning July 1, 2002, and ending June 30, 2003:
Revenues $90,649
Section 29. It is estimated that the following amounts are hereby appropriated in the East
Central Water & Sewer Fund for the debt service obligations of the district for the fiscal year
beginning July 1, 2002, and ending June 30, 2003:
Expenditures $231,140
Section 30. It is estimated that the following revenues will be available in the East
Central Water & Sewer Fund for the fiscal year beginning July 1, 2002, and ending June 30,
2003:
Revenues $231,140
Section 31. It is estimated that the following amounts are hereby appropriated for the
Solid Waste Management Fund for the fiscal year beginning July 1, 2002, and ending June 30,
2003;
Expenditures $2,824,785
Section 32. It is estimated that the following revenues will be available in the Solid
Waste Management Fund for the fiscal year beginning July 1, 2002, and ending June 30, 2003:
Revenues $2,824,785
Section 33. The following amounts are hereby appropriated for the Harnett County
Housing and Urban Development Program for the fiscal year beginning July 2, 2002, and ending
June 30, 2003:
Expenditures $922,264
Section 34. It is estimated that the following revenues will be available in the Housing
and Urban Development Program for the fiscal year beginning July 1, 2002, and ending June 30,
2003:
•
•
•
a. He may transfer amounts between line item expenditures within
a department without limitation with an official report on such
transfers at the next regular meeting of the Board of
Commissioners as in accordance with G.S. 159-15. These
changes should not result in changes in recurring obligations
such as salaries.
b. He may not transfer between departments of the same fund
except in the event of a disaster. During such occurrences, the
Budget Officer may transfer appropriations within a fund as
long as such transfers do not change total fund appropriations.
Such transfer shall be reported to the Board at its next regularly
• scheduled meeting.
c. He may not transfer any amount between funds not from any
contingency appropriation within a fund.
Section 40. There is hereby levied a tax at the rate of two cents (.02) per hundred dollars
($100) valuation of property listed for taxes as of January 1, 2002, located within the Special
Averasboro School District for the raising of revenue for said Special School District. This rate
of tax is based on an estimated total valuation of property for the purposes of taxation of
$763,686,450 and an estimated collection rate of approximately 92.50 percent.
There is appropriated to the Special Averasboro School District the sum of $181,882 for
use by the Special School District in such manner and for such expenditures as is permitted by
law from the proceeds of this tax and any other revenue otherwise accruing to said Special
School District.
Section 41. There is hereby levied the following tax rates per hundred dollars ($100)
valuation of property listed for taxes as of January 1, 2002, located within the Special Fire &
Rescue District, as follows:
Anderson Creek Fire District Eleven cents .11
Angier/Black River Emergency Ambulance -0-
& Rescue, Inc.
•
Averasboro Fire District
Six cents
.06
Benhaven Fire District
Seven cents
.07
Benhaven Rescue District
-0-
Black River Fire District
Seven cents
.07
Boone Trail Emergency Services, Inc.
Seven cents
.07
Buies Creek Fire District
Ten cents
.10
Bunnlevel Rural Fire District
Eleven cents
.11
Crains Creek Fire District
Ten cents
.10
Coats -Grove Emergency Ambulance/Rescue
-0-
District
Coats -Grove Fire District
Eight cents
.08
Cypress Creek Fire District
Eight and 1/2 cents
.085
Dunn-Averasboro Emergency Ambulance/
-0-
Rescue District
Erwin Fire District
Seven cents
.07
Flat Branch Fire District
Twelve cents
.12
Flatwoods Fire District
Fifteen cents
.15
Northern Harnett Rescue District
-0-
Northwest Harnett Fire District
Eight cents
.08
.
Spout Springs Fire District
Ten cents
.10
Summerville Fire District
Seven cents
.07
Section 42. The Board of Commissioners has authorized Colonial Life Insurance
Company and AFLAC to offer a variety of insurance policies to the employees of Harnett
County
on a voluntary basis for the fiscal year beginning July 1, 2002, and ending June 30, 2003.
Revenues
$922,264
Section 35. The following amounts are hereby appropriated for the Special Revenue
Fund for the fiscal year beginning July 1, 2002, and ending June 30, 2003:
Special School District
$181,882
Anderson Creek. Fire District
307,988
Averasboro Fire District
198,504
Benhaven Fire District
209,476
Black River Fire
406,534
Boone Trail Emergency Services
177,312
Buies Creek Fire
198,561
Bunnlevel Fire Department
90,233
Crains Creek Volunteer Fire
19,220
Cypress Creek Fire District
23,502
Erwin Fire Department
106,033
Flat Branch Fire Department
150,535
Flatwoods Fire Department
103,705
Grove Fire District
244,261
Northwest Harnett Fire District
235,257
Spout Springs Fire Department
437,584
Summerville Fire District
126,703
$3,217,290
Section 36. It is estimated that the following revenues will be available in the Special
Revenue Fund for the fiscal year beginning July 1, 2002, and ending June 30, 2003:
Special School District
$181,882
Anderson Creek Fire District
307,988
Averasboro Fire District
198,504
Benhaven Fire District
209,476
Black River Fire
406,534
Boone Trail Emergency Services
177,312
Buies Creek Fire
198,561
Bunnlevel Fire Department
90,233
Crains Creek Volunteer Fire
19,220
Cypress Creek Fire District
23,502
Erwin Fire Department
106,033
Flat Branch Fire Department
150,535
Flatwoods Fire Department
103,705
Grove Fire District
244,261
Northwest Harnett Fire District
235,257
Spout Springs Fire Department
437,584
Summerville Fire District
126,703
$3,217,290
Section 37. The following is the salary schedule for the Harnett County Board of
Commissioners for the fiscal year beginning July 1, 2002, and ending June 30, 2003, as in
accordance with G.S. 153A-28 and G.S. 153A-92:
Chairman $6,628 per year
$437 per month (Travel)
Commissioner $5,534 per year
$437 per month .(Travel)
In addition, the Board shall receive $30 per special meeting as defined in the Board's Rules of
Procedure.
Section 38. There is hereby levied a tax at the rate of seventy-six cents (.76) per one
hundred dollars ($100) valuation of property listed as of January 1, 2002, for the purpose of
raising revenue listed as Ad valorem Tax - Current Year in the Harnett County General Fund in
Section 2 of this ordinance. The rate of tax is based on an estimated total valuation of property
for the purpose of taxation of $3,762,007,822 and an estimated collection rate of 92.50 percent.
Section 39. The Budget Officer is hereby authorized to transfer appropriations within a
fund as contained herein under the following conditions:
•
r
•
•
•
Section 43. Copies of this Budget Ordinance shall be furnished to the Clerk to the Board
of Commissioners and to the Budget Officer and Finance Officer to be kept on file by them for
their direction in the disbursement of funds.
Adopted June 17, 2002.
HARNETT COUNTY BOARD OF COMMISSIONERS
F 1•
_ Beatrice B. Hill, Vice Chairman
t
ATTEST�^�
Ad &a4l�d
K# S. Blanchard, Clerk to the Board
- HARNETT COUNTY
ANIMAL CONTROL
CURRENT FEE SCHEDULE
TYPE OF FEE 2001- 2002 2002 - 2003
Animal pick-u ` 10:00 10.00
Animal boarding per day 3.00 3.00
Civil Summons - First Offense 50.00 50.00
Civil Summons - Second Offense lon'0 ` 1K00
Civil Summons - Third Offense 200.00 200.00
HARNETT COUNTY
BOARD OF ELECTIONS
CURRENT FEE SCHEDULE
TYPE'OP FEE 200i - 2002 2002;- 2003'
1,ioter
t up fee for. computer'print-out (can rio longer charge, el.98
9) $0. 0.00
Registration Disk $1.8$ 1.88
for registration, list Label Cost Label Cost
abstracts $1:00 1.00
HARNETT COUNTY
E911
CURRENT FEE SCHEDULE
S
HARNETT COUNTY
EMERGENCY MEDICAL SERVICE
CURRENT FEE SCHEDULE
TYPE OF F>rE
2001- 2002
2002-:2003
•
base rate.
VL-SS
25
0.00
base rate
150.00
0.00LS
Non -Ewer enc
0.00
150.00
BLS Emer a
0.00
190.00
ALS 1, Non -Ewer enc
O.OQ
160:00
ALS 11inagMey
0.00
250.00
ALS 2 Emergency
0.00
325.60
Loaded Patient Mileage
7.50
8.25
HARNETT COUNTY
EMERGENCY SERVICES
CURRENT FEE SCHEDULE
TYPE_ OF FEE
2001- 2002
2002 - 2003
tial
o
0:0o
0.00
owl6 alleys
0:00
0.00
Compressed gases
2,000-5,000 cubic feet facilities
000
0.00
,001-cubic feet and above
0.00
0.00
Ty dear facilities
II fa�ities
0.00
0.00
III facilities
r
0.00
0.00
IV facilities
0.00
0;00
inamroable%mbustible liquid bulk storage
Small-20.000 gallon or less
0.00
Ono
Auto gmges
IF
Single occupancy
0.00
0.00
Mixed occupancy
0.001
0.00
Body shops
With spray booths
0.00
0.00
Without spray booths
0.00
0.00
Every 3 years
General mercantile
Single use
0.00
0.00
Multiple use
0.00
0.00
Service stations
0.00
0.00
marts
rConvenience
Small-2,000 square feet and less
0.00
0.00
Larize-2,001 square feet and above
0.00
0.00
2p
Ir y
use
use
HARNETT COUNTY
EMERGENCY SERVICES
CURRENT FEE SCHEDULE
•
very 3
•
•
•
Every
[General business
0.00
0.00
Annual
Day cares
6-25 children
0.00
0.00
26 children and more
0.00
0.00
IiARNETT COUNTY
EMERGENCY SERVICES
CURRENT FEE SCHEDULE
3 .ears
With seating that includes drive-in windows
0.00
O:OQ
50 ea : % 4r loss in scated'restauratits
0:00
O.00i
Iartve:ia a PCs seatin .. '.
0:00
Q.OQ
HARNETT COUNTY
EMERGENCY SERVICES
CURRENT FEE SCHEDULE
a
tidal Test, Inspections and Services
Sprinkler certification test
25.00
25,00
Fke alarm testing
25.00
25,00
Stand ' es
2500
25.00
fixed fire suppression system
25.00
25.00
Day Care Inspection
25.00
25.00
Residential custodial care and nursing homes
25.00
25.00
Certificate of occupancy certification
20.00
20.00
Underground storage tanks
- Removal r tank
50.00
50.00
- New installations (per tank)
50.00
50.00
Reins ection (per visit)
10.00
10.00
Pipe Inspection
50.00
50.00
Plans Review
Up to 5,000 sq. ft.
25.00
25.00
5,001 to 10,000 sq. ft.
50.00
50.00
10,001 to 25,000 sq. ft.
75.00
75.00
Over 25,000 sq. ft.
100.00
100.00
HARNETT COUNTY
HEALTH DEPARTMENT
CURRENT FEE SCHEDULE
HARNETT COUNTY
LIBRARY
CURRENT FEE SCHEDULE
•
•
•
r
•
•
•
HARNETT COUNTY
PLANNING DEPARTMENT
CURRENT FEE SCHEDULE
TYPE OF FEE
2001- 2002
2002 - 2003
oard of Adjustments.
$
$
Conditional use rmits
$150.00
$150.00
or.-inte relation
$_l .00
variance
$.15fl.00:
$150.1)<1
tao�; )soard
Rezoning first 10 acres
$15000
$150.00
onin each additional acre
$25.00
$25. .
h Max. of $700 ,
$700.00
$700.00
inance text amendment
$100.00
$1.00.fl0
d ienatniri tition
$125.00
$125.00
ile Home Park Plan
$150:00
$150.
lot charge
[e,r
$15.00
$15:00
or subdivision plat
$150.00
$150.,
lot cbar e
$15.00
$15.60
or subdivision plat w/o improvements
$75.00
$75.00
lot charge
$15.00
$15.00
Minor subdivision plat w/o improvements
$150.00,
$150.00
Per lot charge
$15.00
. $15.00
ermits & Licenses
Land Use perinit
$20.00
$20.00
Land Use permit renewal
$20.00
$20.00
Si2 pernift
$45.00
$45.00
Site plan review
$150.00
$150.00
Mobile home park privilege license plus per lot charge
$100.00
$100.00
Per lot charge
$4.00
$4.00
Mobile home re -inspection for privilege license per trip
$35.00
$35.00
Ordinances
Zoning
$15.00
$15.00
Subdivision
$15.00
$15.00
Mobile home park
$10.00
$10.00
Flood dama a prevention
$10.00
$10.00
Telecommunications Town
$10.00
$10.00
Watershed
$10.00
$10.00
a s
lor - Zonin Ma s 11" x 17"
$5.00
$5.oies
lopereviously
Issued Permit (per Page)
$3.00
$3.00
HARNETT COUNTY
PLANNING DEPARTMENT
CURRENT FEE SCHEDULE
INSPECTIONS
1 .cal Permit .
Lleetrinal ern t`(minitaum
$4fl:00
$40 U0
etn o service `o1e
$30.00
$30:00
em o ' ower certificate
$35.00
$35.00
200 amps
$60.00
W.
Over 200 am s
$75.00
$75.
Service thane
$35.00
$35.0Q
Service Reconnection
$35.fl0
;,
$35.,
Swittiinin o01" oundin Under round'` ool)
$35.00
;:
$35.
ulk barns, Electrical fences, misc.
$35.00
`
$35.-
Signs
$35.,
$35'
Modular Electrical Service
$30.00
:
$30.0Q
Electric baseboard heat
$30.00
,;
$3Q.OQ
.,y-:a�_..-, _,.. Az__ �� a_... _
ctan nn
Permit
Min. Plumbing Permit - 2 Fixtures Only
$35.00
$35.
One Bath
$55.00
$55.One
& One-half bath
$60.00
$60.Two
Baths
$65.00
$65.wo
& One -Half baths
$70.00
$70.r
Baths
$75.00
$75.&
I
One -Half Baths
$80.00
$80.Baths
$85.00
$85.
four baths $100+ $5.00 for each fixture over five
new
new
lar ater, Sewer connections
new
new
All Water Districts All Sewer Districts
IFId Rate Water, Res, tat 2,000 gal St4.$0
So'
gal
joi
F Wt
RSwwoft
Flat
Par u.
Flat peram is
F let
latSwer,Two + Person housWold
Flat Rate OfterCom
$tow flat,
PerTisousoutsmoar, Commercial
$100 Octal $d�0%
W#K Top Oil No, 1* Sm + CAP
35so gow"I"
WaterTaiuou oa 1Jr'jt7 L
+CAP
$1250 (botal $1115%
WiturTssOii 6c r
slillo
Meter Faes
$70
SprinmerTap
$200
WaterTapAmOt"anstradan
4100
Water Capacity Use Reserve
$500
SawarTap on Fee, Res, AN DWMS%
SeSg "1 $1450)
Sewer Capacity Fee, All Districts
600.00
S—Tap-Graft Tank, Bumnlovel
00 Potal $2800)
Sewer Tap -Stop Tank, Riverside
$2500 $3100)
Sewer Tap safes, Commercial
Based an Capacity Usefilesuienlial equivalent ---
Sewer Tap Fees: All Residential, $1450, Bunnievel: $28D0, Riverside: $3100, Commerical, refer to Stew
Deposits, Owner, Water
_F$10
Deposit, Owner, Sewer
Deposits, Rental, Water
lDoposb. Rental, Sewer
$50
Set Up Fees. $10
Note: Deposits as above with good
After Hours Call Out $35
cmdlt Denied credit doubles deposit.
Transfer fee $10
Owner deposit goes to $50.
Water Samples $30 up
Reconnect Fan $25
Damage Fees as Advised
Wake County (Buddiom Duncan Rd, Burt Rd, or Cass Holt Rd only (refund developer Up cost)
jur Service, simisse Steve
314" meter = $70
1 " meter= see Donny/Richard
1 1/2" meter = see Donny/Richard
2" meter= see Donny/Richard
c.ftexce0dnicirates72001
HARNETT COUNTY
PLANNING DEPARTMENT
CURRENT FEE SCHEDULE
0
6i
0
r
•
•
•
HARNETT COUNTY
REGISTER OF DEEDS
CURRENT FEE SCHEDULE
HARNETT COUNTY
RESTITUTION
CURRENT FEE SCHEDULE
TYPE OFFEE
2001 - 26961,
1602 -1:2603
Jnvenfle Restitution Service Fees
I Juvenile per hour
$5.00
$5. 00
2 Juveniles per hour
00
$10.00
00
$10.00
3 Juveniles pq how
$11661
$15-60
Juveniles per hour
$144
$10.00
5 Juveniles per hour
$25.001
$25-00
HARNETT COUNTY
SHERIFF'S DEPARTMENT
CURRENT FEE SCHEDULE
'irl", MAP
2002 .6003
Service fee'P& Oerson m state
5.00
5 - 0 0
5100'
Serviee,f pet person - out of state
15�.00
Pistol permits
5.00
00
5.00
Fingerprints
5.00
5.04
copyofi*poits
0-00 i
0.00
Lx4gf6o
State 4bria fees j*r da
2.00
I
oncealed handgun application - new
80,00
80.00
onceaIed hand gun application - renewal
85.00
85�00
2n—ce,aled t22qM fing2anLnt process
[cc
10--0011
.
10.00
.00
HARNETT COUNTY
SOLID WASTE MANAGEMENT
CURRENT FEE SCHEDULE
TYPE OF FEE . 20(11- 2002 2b02 - 2003
Household solid waste fee (annually)
37.50
37 50
Landfill tipping fee Construction & Demolition per, ton
25.00
, 23.
Laftdfil1.!j)ftfe&-LandClearin'& Inert Debris 'per ton
2106
25.60
Landfill tipping fee Other Non-household/recycling items per
ton
30.00
30.00
' in fee Uncertified tires r ton
65.00
65.00
' fee me al Waste Per Ton
Edl
100i00
100.
HARNETT COUNTY
DEPARTMENT OF SOCIAL SERVICES
CURRENT FEE SCHEDULE
TYPE OF FEE
2001- 2002
. 2002 - 2003
C Health Choice Annual Fees - One Child
$50.00
$50.00
- Multiple Children
$100.00
$100.00
Ado tion- preplacement.assessments
$1,300.00
$1'300.00
Ado tion - report to court
$200.001
$200.00
Home Stud
$400,001
$400.00
HARNETT COUNTY
TAX DEPARTMENT
CURRENT FEE SCHEDULE
TYPE OF FEE
200i - 2002
. `2062 - 2003. ;
8.5 x 11 & 8.5 x 14 Co ict & deed plots
0.50
,, 0.50
18 x 24 Bond
3.00
3.06
24 x 36
3.00
3.00
Xerox copies over 6 square feet ($ per foot)
0.50
. 0.50
30 x 42 Ortho Xerox
10.00
,. 10.00
18' x 24 & 24 x 36 Bluelu p
3.0(1,.
3.00
30`x42Blueline5.00'
30 x 42 Blueline cadastral
5.00
5.00
30 x 42 Ordla blueline
8.00
` 8.00
Ortho photo
5.00
5.1 1
Ortho index pia 18 x 24
3.00
; 3A0
Count ma (DO- :
2:00
2.
Coup ma road names (small)
3.00
3.00
Count ma road names (large)
6.00
6.00
Processing time for reports ($ ner hour)
35.00
35 M
HARNETT COUNTY
TRANSPORTATION DEPARTMENT
CURRENT FEE SCHEDULE
•
TYPE:'O FEE
2001- 2002
2002 2003
Van use fee rpT,, mile Harnett C.!!pa a encies only)
1.10 1;io
•
u
•
Attachment 8.
Fund Balance Changes - General Fund
Fiscal Year 2001- 2002
As of June 17, 2002
I-
v�'
2
-, ti>_� , i s;
. ' s 't�F.;��us.e
7/16/2001
Y3 � '�+
'
. ,^
Finance
�, 5 � s_ �G��
'' i � .;�
)
$2,421.00
_ S. � 'r-
jx �.�.
110
.,� 1g,nai uuagetea r and Batance Appropriated
M 3 x
M� asex-+• -s
. sic 'y' �;<.a"�T"ih`'>�i�efi ,.,i� �;";�i;�c•5.3„ " -
{• �� �<L3,� y�3�;'��E. f�`,' z ���a>;>„a,�n„>s, ",'^'jAI��,,' Y a � - y� 3 --
i1 i f S� ,y' iY'eE��Y't����i�A>x % -.3�<- f- X•�',':
To re -encumber purchase orders from the 2000-2001 fiscal
year.
To budget funds which were received during the 2000-2001
fiscal year.
3
7/16/2001
Health
$5,510.00
110
To adjust the Tap Duke Endowment revenue to reflect the
8
7/16/2001
Teens As Parents
$117,271.00
110
amount of reimbursement which will be received from the
Duke Endowment fund.
9
17
7 /6/20 01
8/6/2001
Cooperative Extensio
Aging
$31,422.00
$2,495.00
110
110
To setup the remaining budget for the Child Care Resource
Referral Block Grant for the Fiscal Year 2001-2002
To increase RSVP Special Projects.
18
8/6/2001
Aging
$556.00
110
To increase expenditure to purchase fans for the elderly.
Reduce Fund Balance Appropriated due to additional revenues
22
8/6/2001
Revenues
($2,000.00)
110
received from the Social Security Administration for inmates
confined locally.
23
8/6/2001
Finance
$11,670.00
110
Increase budgeted expenditures to cover Contracted Services
for the Pitney Bowes machine.
28
8/6/2001
Health
$500.00
110
Increase budget due to donations received too late in the fist
year 2000-2001 to be budgeted.
Increase budget to return unspent grant funds & program
35
8/6/2001
Cooperative Extensiot
$1,340.00
110
income for fiscal year 2000-2001 for Outdoor Learning
Environment Grant.
Increase budget to return unspent grant funds & program
36
8/6/2001
Cooperative Extensior
$1,415.00
110
income for fiscal year 2000-2001for Parents As Teachers
Grant.
Increase budget to return unspent grant funds & program
37
8/6/2001
Cooperative Extensio
$610.00
110
income for fiscal year 2000-2001 for Family Home Care
Licensure Grant.
38
8/6/2001
Human Resources
($27,243.00)
110
To adjust the WIA One Stop budget to reflect accrual grant
revenue.
39
8/6/2001
Cooperative Extensior
$29,520.00
110
Increase the 4-H program expenditure & revenues & to
budget for funds which were not used last fiscal year.
Increase the Family & Consumer Science expenditure &
40
1 8/6/2001
Cooperative Extensiot
$264.00
110
revenues for the current fiscal year & to also budget for
revenue which was unspent from fiscal year 2000-2001.
41
8/6/2001
Social Services
$88,964.00
110
To move prior year unexpended donated and grant funds to
the current fiscal year.
46
8/20/2001
Emergency Services
($11,610.00)
110
Increase revenue line for the Emergency Management
Program Grant for the period 10/01/00 through 09/30/01.
50
8/20/2001
Health
($500.00
110
To decrease Fund Balance Appropriated due to the receipt of
donations for the Health Department.
53
8/20/2001
Revenues
($49,000.00)
110
To increase the budgeted revenues from the clerk of court.
64
9/4/2001
Health
$27,134.00
110
To increase Contracted services due to unspent Medicaid
Earnings.
To increase Capital Outlay due to unspent Local Law
78
9/17/2001
Sheriff
$55,816.00
110
Enforcement Block Grant funds received during the prior
fiscal year.
85
9/17/2001
Governing Body
$10,000.00
110
To increase budget for the Johnsonville Senior Center projec .
98
10/1/2001
Governing Body
$7,100.00
110 1
To budget the County's match for fiscal year 2001-2002 for
the Lee -Harnett Criminal Justice Alliance.
To increase Maintenance & Repairs due to insurance
100
10/1/2001
Sheriff
$6,380.00
110
reimbursements for damages caused by lightning to the Fire
Alarm System
105
10/15/2001
General
$1,219.00
110
To setup the budget for fiscal year 2001-2002 and to roll
forward funds from fiscal year 200-2001.
110
11/5/2001
Revenues
($3,516.00)
110
To adjust Intangibles Tax to reflect the actual amount
received at the NC Capital Management trust.
119
11/5/2001
Youth Services
($5,000.00)
110
To increase budgeted revenues for the CBA Juvenile
Restitution grant for fiscal year 2001-2002
124
11/5/2001
Governing Body
$8,000.00
110
To increase expenditure line due to the final settlement of tw
worker's compensation.
132
11/5/2001
Sheriff
($6,000.00)
110
To increase handgun purchase permits and fees due to
projected revenues for the fiscal year.
135
11/19/2001
Revenues
$49,566.00)
110
To increase budgeted revenues for the Domestic Violence
Grant.
$3,050,135
budget a portion of the Country's con tnbution to the
136
11/19/2001
Interfimd Transfer
$50,000.00
JTo
110
Shawtown Infrastructure Capital Project.
To budget donation for the Jr. ROTC at Western Harnett, the
Johnsonville -Spout Springs conummity development club for
the Cameron Hill Cemetery and band uniforms for Western
140
11/19/2001
Governing Body
$19,500.00
110
Harnett.
144
11/19/2001
Cooperative Extensior
$8,580.00
110
To setup budget for CCR&R.
To increase Jail & Innate fees received for fiscal year 2001-
146
11/19/2001
Revenues
($7,000.00)
110
2002.
To budget funds to pay the 2001 property taxes on all county
153
12/3/2001
MIS
$2,067.00
110
computer rentals.
To budget grant funds for the fiscal year 2001-2002 for the
155
12/3/2001
Revenues
($5,682.00)
110
Senior. Center Area of Aging.
To increase bad debt expense for write-offs of account
157
12/3/2001
EMS
$220,388.00
110
balances which are five years older.
To budget the return of unspent grant funds for fiscal year
158
12/3/2001
Youth Services
$59.00
110
2000-2001 for CBA Juvenile Restitution.
To increase budget for the Governing Body the Tax
179
1/7/2002
Governing Body
$85,000.00
110
Department Professional services.
To reduce Fund Balance Appropriated due to additional
revenues received from the Social Security Administration fo
180
1/7l2002
Revenues
($2,400.00)
110
inmates confined locally.
To budget additional revenues for adoptions, donations and
181
1!712002
Social Services
$229093.00)
110
case management.
To setup the budget for the program funding for congregate
202
1/7/2002
Aging
$4,203.00
110
and home delivered nutritional meals for the elderly.
206
7/7/2002
EMS
$33,000.00
110
to increase budget for bad debt expense.
Insurance & Bonds to cover the cost of insurance
210
1/22/2002
Public Buildings
$21,170.00
110
FToincarease
rker s compensation.
To adjust Intangibles Tax to reflect the actual amount
212
1/22/2002
Revenues
($1.00)
110
received at the NC Capital Management trust.
To increase Capital Outlay for the purchase of Law
Enforcement equipment due to the receipt of Substance Abus
216
i/22/2002
Sheriff
$1,279.00
110
Tax.
To budget for tax refunds from Fiscal Year 1999 - 2000 that
228
1/22/2002
Tax
$716.00
110
were not paid.
To budget additional part-time wages to continue the service
the MIS Department provides to the various County
238
1/22/2002
MIS
$4,000.00
110
departments for programming services.
To increase line item due to the receipt of insurance proceeds
239
1/22/2002
General Services
($6,950.00)
110
for a wrecked van.
To budget funding from Central Electric Membership
239
1/22/2002
Social Services
$1,900.00
110
Corporation for heating.
To budget interest for the COPS 2000 School & Courthouse
241
2/4/2002
Debt Service
$2,834.00
110
debt.
To increase the revenue earned by the county for collecting
taxes from residents who reside in Harnett County but owe
283
3/4/2002
Revenues
$100.00)
110
1 taxes in another county.
To increase Fund Balance Appropriated due to decrease in the
amount of funding received from several Department Of
291
3/4/2002
Transportation
$1,204.00
110
transportation grants.
To increase Fund Balance Appropriated for TEA -Foster Care
& State Foster Home Funds due to a change in the eligibility
criteria set forth by the state as well as the increase of children
292
3/4/2002
Social Services
$36,560.00
110
taken into foster care.
To decrease Fund Balance Appropriated due to the receipt of
299
3/4/2002
Revenues
($5,701.00
110
insurance reimbursement.
To increase Fund Balance Appropriated to carry unspent
funds forward from a prior year for the LEPC Implementation
302
3/4/2002
Emergency Services
$1,199.00
110
Grant.
To increase Fund Balance Appropriated for After School
Enrichment Program contributions for Golden Eagles which
303
3/4/2002
Cooperative Extensioi
$950.00
110
were not used from the prior fiscal year.
To reduce Fund Balance Appropriated due to the receipt of
333
4/l/2002
General Services
($518.00)
110
One -on -One Donations.
To reduce fund balance appropriated due to Board Of
Elections - Town Reimbursements and Filing & Registration
344
4/l/2002
Revenues
($23,500.00)
110
Fees which were not originally budgeted.
To increase fund balance appropriated to cover county's
donation to the Colorado Trust for the purchase of a van to b
350
4/15/2002
Governing Body
$2,500.00
110
used to transport veterans.
To increase Fund Balance Appropriated to cover the short
374
4/15/2002
EMS
$ 86,120.00
110
falls of initial budget allocation of salaries and wages.
To increase fund balance to reflect the county's 50150 match
383
5/6/2002
Social Services
$2,000.00
110
for food stamp in employment training.
To reduce Fund Balance Appropriated due to the receipt of
384
5/6/2002
Social Services
($29,180.00)
110
grant funds for the Hillcrest Youth Shelter.
To reduce Fund Balance Appropriated for Incentives which
405
5/20/2002
1 Cooperative Extensio
($2,421.00)
110
were re -encumbered from fiscal year 2000-2001.
•
•
C
To adjust budgeted accounts to reflect actual activity and to
408 5/20/2002 Revenues ($599,175.00) 110 reduce Fund Balance Appropriated.
year-to-date Fund Balance Appropriated:
Fund Balance Changes
Public Utilities
Fiscal Year 2000-2001
As of May 21, 2002
C:'••::: ;`;:.:
., ll+.. .cg. <, • � M::'Ei2a�'�.,
:`Co':4 E«.:
:%.2..:, ...k.... „
+'f' .�:... `�
`F!'�i.�::';"::;ii..'�;'r
,.+,1
..L;T::.
,n..�j,Y�
.:cF.s... .,�
.;e.F•. .ti.`,i n' ::'�.'`.e D:+cn
To budget the interfund transfer of funds to the Titan
5
8/20/2001 Public Utilities
$479,000,00
531
Wastewater Extension project.
To budget interfund transfers to the Wastewater
SCADA improvements, Riverside & Southwest
95
10/1/2001
Public Utilities
$171,944,00
531
Regional Transmission Projects for debt service.
To budget the interfund transfer of funds to the HWY
99
10/1/2001
Public Utilities
$75,000.00
531
87 Sewer Improvements Project.
133
11/5/2001
Public Utilities
($631,376.00)
531
To adjust budget for miscellaneous revenue items.
To budget the interfumd transfer of funds to the
174
1 12/3/2001
Public Utilities
$75,000.00
531
Southwest Regional III design Phase Project.
204
1/7/2002
Public Utilities
($19,101.00)
531
To increase budget revenue received over budget.
To budget funds to pay for continuing pump and haul
expenses associated with Coats -Erwin School Sewer
229
1/22/2002
Public Utilities
$10,000.00
531
Project.
To decrease Fund Balance Appropriated due to the
receipt of insurance proceeds for lightning damage to
321
3/18/2002
Public Utilities
($538.00)
531
a Modu-Pro Telemetry unit.
To increase fund balance for an additional
maintenance position and to purchase a sewer pump
322
3/18/2002
Public Utilities
$107,448.00
531
truck.
To increase Fund Balance for debt service payments
434
5/20/2002
Public Utilities
$170,607.00
531
due this fiscal year.
year-to-date Fund
RESOLUTION
Casandra C. Carroll
WHEREAS, Casandra C. Carroll served her community and her fellow citizens
• as a member of the Dunn Rescue Squad for over twenty—two years; and
WHEREAS, during her service she responded to over three thousand incidents
and participated in over fifteen hundred hours of training; and
WHEREAS, in addition, during her service to the Squad she held several offices
including Sergeant, Secretary, and Team Leader; and
WHEREAS, her dedicated service to her community is to be commended and has
been of benefit to citizens throughout the Dunn area.
NOW, THEREFORE, BE IT RESOLVED that the Harnett County Board of
Commissioners does hereby recognize and congratulate Ms. Carroll upon her retirement
and does hereby thank her for her dedicated service to her community.
Adopted this 17`h day of June, 2002.
$3,185,815
$0.00
$437,984.00
NAte►"
A
HARNETT COUNTY BOARD OF CO