Ju-13

?PUBLIC NOTICE
The Cameron Parish Sheriff will conduct a proposed budget hearing on June 20, 2024 at 9:00 a.m. in the Sheriffs’ Office, Law Enforcement Complex, Cameron, Louisiana. The purpose of the hearing is to invite public cornment in the budget process of the sheriffs’ office and the operation of same. All persons are invited to attend regardless of sex, race, religion, handicapped
The following report is a summary only. Detailed financial records are available and on file in the Sheriffs’ office . Interested persons may examine the budget document between the hours of 8:00 – 4:00 Monday through Friday. This pot ice is prepared and published in compliance with Louisiana’ Revised Statutes 39: 1301 – 1314
/s/ Ron Johnson, Sheriff
Ron Johnson, Sheriff
Parish of Cameron
CAMERON PARISH
SHERIFF
PROPOSED BUDGET
2024 – 2025
BEGINNING FUND BALANCE $17,966,413
REVENUE:
SELF GENERATED FEES, SERVICE $13,632,600
STATE & PARISH APPROPRIATION$1,060,000
TOTAL $14,705,600
FUNDS AVAILABLE $32,672,013
EXPENDITURE:
PERSONAL SERVICE $9,044,000
CONTRACTED SERVICES $2,719,121
OPERATION & MAINTENANCE $1,221,200
CAPITAL OUTLAY $1,046,659
TOTAL $14,046,980
OTHER MEANS OF FINANCE $1,500
EXCESS OF REVENUE OVER EXPENDITURE $658,620
ENDING FUND BALANCE $18,626,533
PUBLIC NOTICE
The Cameron Parish Sheriff has adopted his final budget amendments for fiscal 2023-2024. The amended budget is available for public inspection in the Sheriffs’ office during regular office hours, Monday through Friday (8:00 – 4:00)
The following report is a summary only. Detailed financial records are on file in the Sheriffs’ Office, Law Enforcement Center Building, Cameron, Louisiana.
/s/ Ron Johnson, Sheriff
Ron Johnson, Sheriff
Parish of Cameron
CAMERON PARISH
SHERIFF
AMENDED BUDGET
FISCAL 2023 – 2024
BEGINNING FUND BALANCE $16,645,447
REVENUE:
SELF GENERATED FEES, TAXES COMMISSIONS ETC. $16,560,505
STATE & PARISH APPROPRIATION $1,045,681
TOTAL $14,619,186
FUNDS AVAILABLE $31,264,633
EXPENDITURE:
PERSONAL SERVICE $8,840,344
CONTRACTED SERVICES $2,689,984
CAPITAL OUTLAY $600,000
OPERATION & MAINTENANCE $1,199,381
LONG TERM DEBT $0
TOTAL $13,345,209
OTHER MEANS OF FINANCE $46,989
EXCESS (DEFICIT) FOR THE YEAR $1,273,976
EDING FUND BALANCE $17,966,413
RUN: June 6 (Ju 13)