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CITY OF FARMINGTON
2010 SUMMER TAX STATEMENT
PUBLIC NOTICE
The City of Farmington Summer 2010 Property Tax Statement is payable from July 1, 2010 through August 31, 2010 without penalty. Thereafter, a 1% collection fee will be added and interest charged on delinquent taxes at 1% per month.
City Hall offices will be open for payment of taxes 8:30 A.M. to 4:30 P.M. Monday through Friday except for the following:
Monday, July 5, 2010
Monday, September 6, 2010
For your convenience, a depository is located in the City Hall lobby.
Applications for deferment of 2010 taxes are available at the City of Farmington Treasurer's office. You are eligible for the deferment of 2010 taxes if your income for 2009 did not exceed $40,000 and you are totally or permanently disabled, blind, a paraplegic, quadriplegic, or hemiplegic, an eligible serviceperson, an eligible veteran, or an eligible widow or widower, or are 62 years of age or older, including the non-remarried surviving spouse of a person who was 62 years of age or older at the time of death. To qualify for deferment your application must be filed with the City of Farmington Treasurer's office not later than September 15, 2010. Deferred Summer Taxes may be paid without penalty until February 28, 2011.
By law, if the last day for payment falls on a Saturday, Sunday, or legal holiday, the last day will be extended to include the next day which is not a Saturday, Sunday, or legal holiday.
CHRISTOPHER M. WEBER
TREASURER
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City of Farmington
Financial Report, June 30, 2009 (For PDF version go here >>>)
Financial Report for Fiscal Year
2008-2009
GENERAL FUND |
Revenues |
Expenditures |
| Local Taxes |
$4,526,381 |
General Government |
$1,668,286 |
| Licenses & Permits |
83,718 |
Court |
440,158 |
| Federal Grants |
26,568 |
Public Safety |
3,030,608 |
| State Shared Revenues |
702,351 |
Public Services |
1,075,847 |
| Charges for Services |
1,730,831 |
Health & Welfare |
17,938 |
| Fines & Forfeitures |
485,653 |
Community & Econ.
Development |
37,033 |
| Other Revenues |
266,346 |
Recreation & Culture |
423,331 |
| Transfers |
217,366 |
Retirement and Retiree Health |
1,602,784 |
| Total Revenues |
$8,039,214 |
Total Expenditures |
$8,295,985 |
| |
|
Rev/Other Sources Over
(Under) |
(256,771) |
| |
STREET FUNDS |
Revenues |
Expenditures |
| Local Taxes |
$408,765 |
Construction |
$636,305 |
| State Sources |
608,654 |
Maintenance |
451,050 |
| Others |
18,768 |
Debt Service |
139,915 |
| Total Revenues |
$1,036,187 |
Total Expenditures |
$1,227,270 |
| |
|
Rev/Other Sources Over
(Under) |
(191,083) |
| |
DEBT SERVICE FUNDS |
Revenues |
Expenditures |
| Property Taxes |
$193,565 |
Debt Service |
$379,331 |
| Special Assessments |
31,179 |
|
|
| Other |
15,784 |
|
|
| Transfers |
139,915 |
|
|
| Total Revenues |
$380,443 |
Total Expenses |
$379,331 |
| |
|
Rev/Other Sources Over
(Under) |
1,112 |
| |
DOWNTOWN
CAPITAL PROJECTS FUND |
Revenues |
Expenditures |
| Miscellaneous |
$100,979 |
Construction |
$26,911 |
| |
|
Transfers |
134,253 |
| Total Revenues |
$100,979 |
Total Expenses |
$161,164 |
| |
|
Rev/Other Sources
Over
(Under) |
(60,185) |
| |
GRAND RIVER STREETSCAPE |
Revenues |
Expenditures |
| Other Revenue |
$21,221 |
Construction |
$615,166 |
| Bond Proceeds |
1,000,000 |
|
|
| Transfers |
$584,253 |
|
|
| Total Revenues |
$1,605,474 |
Total Expenses |
$615,166 |
| |
|
Rev/Other Sources
Over
(Under) |
990,308 |
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WATER & SEWER FUND |
Revenues |
Expenditures |
| Operating |
$3,046,080 |
Operating |
$4,000,247 |
| Non-Operating |
769,665 |
Non-Operating |
69,556 |
| Total Revenues |
$3,815,745 |
Total Expenses |
$4,069,803 |
| Capital Contributions |
0 |
Change in Net Assets |
(254,058) |
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COMMUNITY
THEATRE FUND |
Revenues |
Expenditures |
| Operating |
$257,515 |
Operating |
$359,253 |
| Non-Operating |
540 |
Non-Operating |
$24,091 |
| Transfers |
252,875 |
|
|
| Total Revenues |
$510,930 |
Total Expenses |
$383,344 |
| |
|
Change in Net Assets |
127,586 |
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(Financial reports are updated
in late November or early December
for the previous June 30th fiscal year-end.)
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Telephone Numbers
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| Main Number |
248-474-5500 |
| Department Directory |
Press 1 |
| Property
Taxes/Assessing |
then
Press 3 |
| Water Billings/Taxes |
then
Press 4 |
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Clerk's Office |
Press 225 |
| Water Service Repair |
248-473-7250 |
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Payment
Policies and
Procedures
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If a payment due date
falls on a weekend or legal holiday, by law, the due date is
extended to the next regular business day. A depository is located in
the City Hall lobby for payments after hours. Payments are receipted
when physically received by the Treasurer, during business hours, and not on the date
postmarked.
Postdated checks will not be
accepted and will be returned to the sender. |
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Tax payments are due on the following dates. Late payments are
assessed a penalty.
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- August 31, 2010 --- 2010 Summer Tax Due
- February 14, 2011 --- 2010 Winter
Tax Due
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2009 Tax Rates, in Mills, Are:
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| City |
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| City Operating |
10.5421 |
| Debt |
2.2742 |
| Street Improvement Program |
1.0000 |
| City Total |
13.8163 |
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| Oakland County |
5.3361 |
| Oakland Intermediate School District |
3.3690 |
| Oakland Community College |
1.5844 |
| Farmington Community Library |
1.5856 |
| Farmington Public Schools |
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| Homestead |
16.1442 |
| Non-Homestead |
25.8000 |
Christopher M. Weber, Treasurer
City of Farmington
23600 Liberty Street
Farmington, MI 48335
248-474-5500, ext 247
cweber@ci.farmington.mi.us
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The City of Farmington • 23600 Liberty Street • Farmington, MI • 48335 • 248-474-5500
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