Publication Date
2023-05-23
Subcategory
IBERIA PARISH SHERIFF'S OFFICE
4701 WEST ADMIRAL DOYLE DRIVE
NEW IBERIA, LA 70560
Tele: 337.321.4507
NOTICE OF PUBLIC HEARING / MEETING
Notice is hereby given that Thomas S. Romero, Sheriff and Ex Officio Tax Collector and Chief Executive Officer of the Iberia Parish Law Enforcement District, will hold a public hearing and public meeting to consider the adoption of the 2022 - 2023 Amended General Fund Budget for the fiscal year ending June 30, 2023.
The public hearing will be held at the Iberia Parish Sheriff’s Office located in the Law Enforcement Center, 4701 West Admiral Doyle Drive, New Iberia, Louisiana, at 11:00 a.m. on Friday, June 23, 2023. Persons attending the hearing may provide comments concerning the amended general fund budget.
Copies of the amended general fund budget for the fiscal year ending June 30, 2023, are available for public inspection at the Iberia Parish Sheriff’s Office, 4701 West Admiral Doyle Drive, New Iberia, Louisiana, between the hours of 8:30 a.m. and 4:30 p.m.
The public meeting will be held at the Iberia Parish Sheriff’s Office located in the Law Enforcement Center, 4701 West Admiral Doyle Drive, New Iberia, Louisiana, immediately following the adjournment of the public hearing at approximately 11:15 a.m. on Friday, June 23, 2023. The Agenda for the hearing/meeting is as follows:
Call to Order
Roll Call
Approval of Minutes from last meeting
Old Business:
New Business:
Adjournment
THOMAS S. ROMERO, Iberia Parish Sheriff
In accordance with the Americans With Disabilities Act, if you need any special assistance, please contact Chief Civil Deputy Edward Fremin at (337) 321-4580 so that appropriate assistance may be rendered.
Iberia Parish Sheriff
Amended Summary Budget General Funds
Year Ended June 30, 2023
FUND Revenues
Ad Valorem Tax Revenue $ 5,868,000
Intergovernmental Revenues 1,422,000
Fees, Charges and
Commissions for Services 3,915,200
1/4% Sales Tax 3,649,000
Interest Income 85,000
Miscellaneous 228,125
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Total Revenues $ 15,167,325
Expenditures
Personal Services $ 9,945,552
Operating Services 3,701,705
Materials and Supplies 232,550
Travel and Other Charges 34,750
Miscellaneous 1,500
Debt Service 460,000
Capital Outlay 1,684,000
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Total Expenditures $ 16,060,057
Excess Revenue (Expense) (892,732)
Beginning Fund Balance 10,459,496
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Ending Fund Balance $ 9,566,764
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Date of publication: May 23, 30, 2023