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COVID-19 Response City of Salisbury

Salisbury City Council approves its Fiscal Year 2024 budget

Salisbury City Council approves its Fiscal Year 2024 budget

The Salisbury City Council adopted the city budget for the fiscal year 2023-2024 (FY24). A fiscal year is the city’s annual financial period beginning July 1 through June 30. 

 
The adopted city budget of $108,695,411 includes a balanced general fund budget of $54,665,939. The balanced budget includes a property tax of $0.616 per $100 of valuation and 3.6 cents above the revenue-neutral tax rate following Rowan County’s revaluation. An additional 0.6 cents was added to the recommended $0.61 tax rate presented last month to provide city employees with a 3 percent cost of living adjustment instead of the 2 percent adjustment originally proposed.

Salisbury City Council approved $325,000 from the fund balance for windows in the City Office Building at 132 N. Main St. City staff will return to Council mid-year to review other projects not included in the budget.

Additional items adopted in the budget include:
$75,000 for crime reduction initiatives 
$100,000 for in-park cameras
Debt service for the construction of a new fire station
Stormwater and water/sewer projects
$353,000 for street lighting and traffic safety improvements
$200,000 for neighborhood revitalization
$30,000 for small business entrepreneur development

Salisbury-Rowan Utilities (SRU) has been impacted by significant cost increases as well as staffing shortages. The projected growth of the customer base will help absorb these cost increases and SRU’s fund balance remains strong to cover emergencies and match grants for system improvements. There was no increase in the water and sewer rates as a result of growth in revenues and strong reserves.

The Transit Fund’s budget for FY24 is $3,108,936. The majority of funding for Transit is provided through federal and state grants, but the budget includes a General Fund transfer of $630,000, and an appropriation of $88,831 in Transit fund balance.

The Stormwater Fund budget for FY24 is $2,337,601. Stormwater fees make up $2,287,601 of the total revenues for this fund. The two major projects targeted in this budget for FY2024 and funded through Stormwater’s 15-year Capital Improvement Plan (CIP) are:
• The Jackson Street watershed drainage improvement construction at a projected cost of $916,000
• The North Long Street watershed drainage improvement construction at a projected cost of $2,281,000

The Stormwater CIP calculated the estimated fee levels necessary to fund the full plan endorsed by Council. The new rate of $4.81 per Equivalent Residential Unit -- an increase of 40 cents per month to support plan implementation.

The approved budget will be available on the city website beginning Friday, June 30, at salisburync.gov/budget.

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Whom To Call

Public Safety Emergencies: 911

Non-Emergencies: (704) 638-5333 or (704) 216-8500

Bill Pay Questions: (704) 638-5300

Code Enforcement: (704) 216-7574

Salisbury Rowan Utilities (water concerns): (704) 638-5390 After hours:(704) 638-5399

Salisbury Transit: (704) 638-5252

Downtown Salisbury: (704) 637-7814

Traffic Signal Outages: 911

Solid Waste Collection: (704) 638-5256

Other Public Works needs (voicemail): (704) 638-5260

Information

The City encourages the community to stay informed, practice good hygiene, be aware, and be prepared.

As a community we are in this together; stay calm and help each other by staying home if you are sick, check in on your neighbors, and continue to slow the spread of COVID-19 by using best practices.


Stay Informed
Stay Healthy
Need Help?
Resources For Business

CDBG & COVID-19

Staff Liaison

Hannah Jacobson
(704) 638-5230
Hannah.Jacobson@salisburync.gov

Current COVID-19 Restrictions

Executive Order 185:

  • Lifts the Modified Stay at Home Order established under Executive Order 181
  • Still requires face coverings in all public indoor settings
  • Allows many businesses to operate at 50% capacity
  • Extends onsite service of alcohol until 11 p.m.
  • Lifts the 100-person cap on some businesses that were operating at 30% capacity
  • Allows some indoor businesses – including bars and taverns, indoor amusement parks, movie theaters and indoor sports arenas – to open at 30% capacity (with a cap of 250 people)
  • Allows larger indoor arenas with a capacity of more than 5,000 people to open at 15% capacity with no cap (as long as additional safety protocols in place)
  • Increases the indoor mass gathering limit to 25 people (the outdoor mass gathering limit remains at 50 people)

Transit Schedules During Upcoming Holidays

Monday, December 25, 2023 (Christmas Day)
  • NO bus or ADA Paratransit service
  • The Administration Office will be closed
Tuesday, December 26, 2023
  • Regular bus service
Monday, January 1, 2024 (New Year’s Day)
  • No bus or ADA Paratransit service
Monday, January 15, 2024 (Martin Luther King, Jr. Day)
  • Regular bus service
Friday, March 29, 2024 (Good Friday)
  • Regular bus service
Monday, May 27, 2024 (Memorial Day)
  • No bus or ADA Paratransit service
Wednesday, June 19, 2024 (Juneteenth)
  • Regular bus service

Each of these routes arrives and departs from the central Transfer Site on Depot St. Any bus you board can take you to the Transfer Site. Any member of the public may ride on the bus. The buses do not operate on holidays.

Please note that the last time listed for a stop indicates the last bus will be traveling to that location and no further transfers are available.


If you leave home, practice your Ws: Wear, Wait, Wash

Covid-19: What are the 3 w's for COVID-19? 1 Wear a cloth mask over your nose and mouth. 2 Wait 6 feet apart. Avoid close contact. 3 Wash your hands or use hand sanitizer.

Stay safe. When outside, stay at least 6 ft. apart.

Covid-19: social distancing in public parks and trails

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