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CITY OF OMEGA
SCHEDULE OF SPECIAL PURPOSE LOCAL OPTION
SALES TAX EXPENDITURES FOR THE YEAR ENDED DECEMBER 31, 2016
SPECIAL PURPOSE LOCAL OPTION SALES TAX – 2006 REFERENDUM
Project Prior Year Current Year Total
Equipment $123,764.06 $123,764.06
Road Improvement & Sidewalks $531,851.97 $37,131.14 $568,983.11
Wastewater Treatment Improvements and Land Acquisition $702,165.08 $702,165.08
Total $1,357,781.11 $37,131.14 $1,394,912.25
SPECIAL PURPOSE LOCAL OPTION SALES TAX – 2012 REFERENDUM
Project Prior Year Current Year Total
Capital Outlay for Motorized Vehicles $170,040.75 $170,040.75
Recreation Capital Outlay & Facility Improvements $76,092.18 $76,092.18
Renovations & Improvements to Municipal Buildings
Road, Street, & Bridge Projects $121,973.25 $121,973.25
Water & Sewer System Capital Outlay & Improvements $29,113.63 $29,113.63
Total $275,246.56 $121,973.25 $397,219.81