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• • <br />C> <br />TWENTY MAJOR TAXPAYERS <br />Taxpayer <br />PPG Industries <br />La Porte Chemicals/B.F. <br />Goodrich <br />National Distillers <br />E. I. du Pont <br />Houston 'Lighting b Power <br />Arco Chemicals <br />Upjohn Co. <br />Lextar <br />Deer Park Inc. <br />Soltex Polymers <br />Syngas fdu Pont) <br />Air Products <br />Trammel Crow <br />Petrolite <br />USS Novamont <br />Diamond Shamrock <br />Rexene Corp. <br />Atlantic Richfield <br />F.M.C. <br />Armak Co. <br /> 1984 <br /> Assessed <br />Type of Property Valuation <br />Chemical Plant S 44,365,390 <br />Chemical Plant 37,999,220 <br />Chemical Plant 31,752,720 <br />Chemical Plant 31,666,740 <br />Utility 26,101,000 <br />Chemical Plant 19,287,560 <br />Chemical Plant 17,270,110 <br />Chemical Plant 11,792,730 <br />Chemical Plant 11,340,200 <br />Chemical Plant 10,693,500 <br />Chemical Plant 7,442,660 <br />Chemical Plant 6,434,730 <br />Commercial 6,295,670 <br />Chemical Plant 5,855,250 <br />Chemical Plant 5,000,610 <br />'Chemical Plant 3,611,510 <br />Chemical Plant 3,477,660 <br />Acreage, Pipeline 3,124,650 <br />Chemical Plant 2,869,070 <br />Chemical Plant 2,828,560 <br />Total Assessed Valuation of Principal Taxpayers ........................ $289,209,540 <br />Principal Taxpayers as percent of City's Total Assessed Valuation ............. 436 <br />GENERAL FUND REVENUES, EXPENDITORES AND BALANCES - FOUR YEAR RISTORY <br />The following summary of Revenues, Expenses and Balances of Cash and Temporary Invest- <br />ments for the City of La Porte General Fund operation were taken from audits prepared <br />by Eugene Hovey, CPA, La Porte, Texas. <br />Revenues <br />Taxes* <br />Licenses & Permits <br />Intergovernmental Revenues <br />Charges for Services <br />Fines & Forfeitures <br />Miscellaneous Revenues <br />Total Revenues <br />Expenses <br />Fire <br />Police <br />Administration <br />Public works <br />Engineering <br />Parks S Recreation <br />Total Expenses <br />Excess of Revenue over Expenses <br />Balances of Cash ~ Temporary <br />Investments <br />Fiscal Year Ended 9/30 <br />1984 1983 1962 1981 <br />$7,916,186 $7,263,411 $6,702,936 $5,691,515 <br />187,357 128,402 108,844 73,902 <br />270,429 213,491 177,191 176,342 <br />956,750 555,269 437,405 476,584 <br />249,094 210,057 209,152 127,376 <br />399,812 377,036 768,647 607,657 <br />$9,969,628 $8,747,666 $8,404,175 $7,153,376 <br />$ 807,104 $ 565,331 $ 581,872 $ 470,229 <br />1,982,333 1,626,099 1,300,460 1,141,110 <br />1,808,598 2,237,745** 1,838,168 1,194,460 <br />3,214,207 2,524,390 2,877,990 2,175,520 <br />597,933 969,301 437,026 350,333 <br />780.811 637,555 722,400 556,584 <br />$9,190,986 $8,060,421 $7,757,866 $5,888,236 <br />$ 778,642 $ 687,245 $ 646,309 $1,265,140 <br />$3,847,199 $1,870,478 $2,421,362 $3,897,000 <br />* Includes ad valorem, industrial district in-lieu payments, franchise and City sales <br />taxes. <br />** Includes $341,790 expenditure for a fire truck. <br /> <br />