--- OCR page 1 of 20 --- ~ = OCT 3 22 19 ~ Slate Aug HOF & inspect EMERGENCY MEDICAL SERVICE BOARD ae 2019-2020 Fr ESTIMATE OF NEEDS AND FINANCIAL STATEMENT OF THE FISCAL YEAR 2018-2019 EMERGENCY MEDICAL SERVICE BOARD STATE OF OKLAHOMA Two copies of this Financial Statement and Estimate of Needs should be filed with the County Clerk not later than August 17 for all Counties. After approval by the Excise Board and the levies are made, both statements should be signed by the Z appropriate Board Members. One complete signed copy must be sent to the State Auditor and Inspector, Suite 106, 4200 N. Lincoln Blvd., Oklahoma City, OK 73105-3453. If publication may not be had by date required for filing, affidavit and proof of publication are required to be attached within five days after date of filing, THE 2019-2020 ESTIMATE OF NEEDS AND FINANCIAL STATEMENT OF THE FISCAL YEAR 2018-2019 PREPARED BY Tumer & Associates, PLC = SUBMITTED TO THE OTTAWA COUNTY EXCISE BOARD THIS DAY OF 2019 - ) EMERGENCY MEDICAL SERV} OD Chairman pudhe rnd al Member — r : OD / We Member i Member gE Membera ead eS x [> fvatiatas eecnisiies ies 7 veda --- OCR page 7 of 20 --- EMERGENCY MEDICAL FUND ACCOUNTS COVERING THE PERIOD JULY 1, 2018, to JUNE 30, 2019 = eee ESTIMATE OF NEEDS FOR 2019-2020 : (Cash Balance June 30, 2018 2 se et [_TO1AL ASS8T§ ABILITIES AND RESERVES: is | : [s______— [s_____ [s_—__———J] : ’ a ; J CS J [_____TOTALREVENUEC™~—SOCOCCLCNC(NW.C(‘#édA Ss) Ey es [s__ J a | ee ee eT SSG is - | [is ‘| DEDUCTIONS: —C——SY [is | Py ee S.A.&1. Form 268BR98 Entity: Ottawa EMS. Board, $8 See Accountant's Report Monday, October 07, 2019 --- OCR page 8 of 20 --- " EMERGENCY MEDICAL FUND ACCOUNTS COVERING THE PERIOD JULY 1, 2018, to JUNE 30, 2019 ; ESTIMATE OF NEEDS FOR 2019-2020 na EXHIBIT "E" ‘Schedule 4, Miscellaneous Revenue STIS OnISACCOUNT SOURCE ACTUALLY ESTIMATED COLLECTED 1000 CHARGES FOR SERVICES es | ee | 111 Service Fees [ss 1112 Service Fees es Total Charges For Services [s_ sd INTERGOVERNMENTAL REVENUE po 2000 INTERGOVERNMENTAL REVENUE - LOCAL SOURCES: [| t™t~“—~*dYSC‘“‘CNCCNC#C#®dS 2111 Local Contributions | 2112 Local Governmental Reimbursements [ss 2113 Local Payments in Lieu of Tax Revenue es re 2114 Other - Protest Tax [ss 2118 Other ~ ee Total - Local Sources GE Dee 3000 INTERGOVERNMENTAL REVENUES - STATE SOURCES: a | 3111 County Sales Tax - OTC [ss Sub-Total - OTC es [8211 State Grants 3212 State Payments in Lieu of Tax Revenue ls - fs -~*'| 3213 Homestead Exemption Reimbursement is CCW SCC™~“—*S~C~*~S~*@* 3214 Additional Homestead Exemption Reimbursement ee ee 3215 Other - 5 year exempt [so 3218 Other - es ee [3222 Other 9S Total - State Sources ee Continued on page 2b ‘See Accountant's Report Monday, October 07, 2019 S.A.&I. Form 268BR98 Entity: Ottawa EMS Board, 58 --- OCR page 9 of 20 --- EMERGENCY MEDICAL FUND ACCOUNTS COVERING THE PERIOD JULY 1, 2018, to JUNE 30, 2019 5 ESTIMATE OF NEEDS. FOR 2019-2020 Page 2a eee [noise nccomnt ee °C over usar oF exsumne abe) |__esmiqate | income | Govemnina noun _[- ar a ee ee SS snes $< rs ee ee ps 00s 0 0.009 $s ps 0001s [sso 0 ss 2 SS 50.0094 § hh a a | a Ce [$a 0 ss ss 9 $s CC a [sso 009d ss Sf 02s fs [ss 009s? [| OS oh a at or SS 009 § i sf § sr ie GE ee Pe Fe a 0008 i [S009 § Sy) PE ES [oS [ET (S900 § [SS ss | | | SS EET (| FS FT a s 90009| § a 7 0.009 § t's i SS 90.09 § ss [90009 § [sO 90000 $8 ps 9000 3 5 ps 9000 3 5 0009S SS 0002'S 7 Se SE Le LT] [S000 a 7 a eC [ss 0054 § Ys a a S.A.&L Form 268BR98- Entity: Ottawa EMS Board, 58 See Accountant's Report Monday, October 07, 2019 --- OCR page 10 of 20 --- EMERGENCY MEDICAL FUND ACCOUNTS COVERING THE PERIOD JULY 1, 2018, to JUNE 30, 2019 ESTIMATE OF NEEDS FOR 2019-2020 EXHIBIT "E" a SOURCE Continued from page 2a | 4000 INTERGOVERNMENTAL REVENUES-FEDERALSOURCES: fC [4 FedelGens Sg [4112 Reimbursement=Federd dis * (lari Federal Payments in Liew ofTax Revenue 3's [atime tg [suis omer fs [suiéomers gg [at17 Oberg [au Omer fs [$119 OMmer= Ts ts [4120 Ome = [$124 ower [2122 Omer oh [4123 Otero oS [4124 Ober sg oh [4125 Omer oh [4126 Ones = se [$127 Oe [$28 Omer > [__Total Federal Sourees Tf [3000 MISCELLANEOUS REVENUE! [3111 Inereston ovesmmenss 0g 1 ir] [3112 Renal or Lease of Proper tp [3103 Sale ofPropery Og [5114 Subseiton Sales Member) 3 [311s Inswance Recovers tg [$116 insurance Reimbursement tg [S17 Retwrn Check Charges [S18 Waly Reimbursemenis [5119 Vending Machine Commissions 3 3 [3120 Other Concessions [Sia Otero oh [5828 Omer oh [3123 oer th [3124 Other Ts [5125 omer [$126 Omer [127 omer os [3128 nee oh [3129 wee [$130 Ober oh [3131 Omer [3192 0tbe [__Total Miscellaneous Revenue 8 rs] | 6000 NON-REVENUERECEIPTS: SY [sires foot}; a [____Grand Total Emergency Medical Fund id] S.A.&L Form 268BR98 Entity: Ottawa EMS Board, 58 ‘See Accountant's Report Monday, October 07, 2019 --- OCR page 11 of 20 --- i L EMERGENCY MEDICAL FUND ACCOUNTS COVERING THE PERIOD JULY 1, 2018, to JUNE 30, 2019 = ESTIMATE OF NEEDS FOR 2019-2020 Page 2b = BASIS AND 2019-2020 ACCOUNT | over) uimmrorensunc [__(UNDER)___—i| ESTIMATE [__INCOME | GOVERNING BOARD | EXCISE BOARD —] ;-——____| ee = ee re Ce Ce ee a YC CS Ee 0001s $$] S$ sco § 5 pS 0.04 § fs = $0.0 § 5 (7 [sso 009 § 5 ef 002 § fh ps 0.003 $s i a 7 Fe fs 0.0084 $s 0009 sh [soa 00:df $s a RS 1” ST p00 ss ES [So SSS dd eS (| | fs 135.09 [00rd Ss DE) EE S| [on | sn 02 ss is fs 50.0096 ss fs 90.0096 ss Ss 90.0096 sss [S809 Ss [so 90.0096 Ss pfs ee 0 00% $s [ss 001 fs ss [so 00086 sss Sa | | | | [sO 90.0096 ss [sO 0009's [s_ s0.009df' sss ’ ps 0.0054 s SY [sO 50.0024 § ss Se | Yon [| PRS (ee 0 S c0.002df' 8s ps 0 00: $s gs [sr c0 0094's gs fz pf 90.0094 $s fs [$35.09 Ss fs (S(O | | SS 000 sh a (| | | [S$ _5.09 Ps oh ; S.A.&I, Form 268BR98 Entity: Ottawa EMS Board, 58 See Accountant's Report Monday, October 07, 2019 --- OCR page 12 of 20 --- ® , EMERGENCY MEDICAL FUND ACCOUNTS COVERING THE PERIOD JULY 1, 2018, to JUNE 30, 2019 . ESTIMATE OF NEEDS FOR 2019-2020 3 EXHIBIT "E” = — | 156 [s ‘| [fs | [s [is [fs [is] [S| [s___sisoa.a] [TOTAL [$511,322.48] [fs | [fs [s_ | BALANCE WARRANTS OUTSTANDING JONE 30,2019 c [S| [is ee [s——_- | ' S.A.&I. Form 268BR98 Entity: Ottawa EMS Board, 58 See Accountant's Report Monday, October 07, 2019 --- OCR page 13 of 20 --- EMERGENCY MEDICAL FUND ACCOUNTS COVERING THE PERIOD JULY 1, 2018, to JUNE 30, 2019 ia ESTIMATE OF NEEDS FOR 2019-2020 : Schedule 5, (Continued Poge 3 r = 20 ns = 2016-2017 2015-2016 2014-2015 2013-2014 2012-2013 TOTAL | [sss 305,756.93 | [305,756.93 | $__105.18698 $__ 30575698 | $s ss arses — — a eC r [sss ts ts 05653 ES SC CC [sss ts ts 135.09 r a ee ee ee Ce ee $s ea35.07 S__6435.07 — — — — — s_6a3so7['s sis ss Ys Ts a1, 70838 [sss ss i rt ES CS Se | (CC - [fs - Is. |s - |s__-|s -|s |s _si,mas $ 643so7[$ SCC CdS SCC CdS SC CdS SCSC~«C*dCS 299,426.90, : [ss sss ss [ss ts dts ss is = [s____- [sss fs ss] [fs fs fs ‘is sss [sss fs fs fs fs = s___easor[s_- _[Is___- ls__-_s___-_s____- Is _29542650 Schedule 6, (Continued) 7 2018-2019 2017-2018 2016-2017 2015-2016 2014-2015 2013-2014 2012-2013 Sa ES | | | $__siismae[s__-_] ss. ]s__-]s-_[s | [$511,322.48 | [s- = $_sui3224gfs_ SS TS = S$ sui3224s[s_ Ss sss [s—- | Js ]s__-]s_-]s_- Is | [sss ss ]s- Is ___ | J [fs ___|s__- |s_]s___- Js. Is. fs - | S$ susa4ss OS SC OS OS CS Ss id a Schedule 9, Emergency Medical Fund Investments = Investments LIQUIDATIONS Barred Investments INVESTED IN on Hand Since By Collections Amortized by on Hand June 30, 2018 Purchased of Cost Premium Court Order June 30, 2019 = Welch StaeBank |[$ = ~O[s CS Os SO - - ss ss ss ss fs ts ss ss fs ss : ss hs fs ss fs os ss ss ls ss a A EN [ 2 Ee Ge Po Kon |G HT HS SC CdS SC CdS S—~“CC*d S (“<$$SC(S$§W- [Ss —CS ST r S.A.&1. Form 268BR98 Entity: Ottawa EMS Board, 58 See Accountant's Report Monday, October 07, 2019 --- OCR page 14 of 20 --- EMERGENCY MEDICAL FUND ACCOUNTS COVERING THE PERIOD JULY 1, 2018, to JUNE 30, 2019 ESTIMATE OF NEEDS FOR 2019-2020 i , EXHIBIT "E" «YY SCAT YEARENDINGTONESOO@ [i issue [arrrormiarions | ee ed es (S2EMERGENCY MEDICALBUDGETACcounT: [CC feapenonslSenics SS dS Sd «dS ac fap PanTimeHep iS ss Se a ES CS 2d Moinenance and Operaion ————SSSSS—*dS SS sds ds a faeCepialoutey dS ds ss CY forauitEspene dS sds i SY lag Revaluation Ss dis | 2h Ower gs ss a CS SP peteal tS Ss I re a | Bsetaved Sg rs [sa Mainenance and Operon id's ss fseCepialOutay is psttmergovemmenad Sts 3s P3g0mer ss oS 3h Omer ss a Cs es Ce ee [SEMERGENCY MEDICAL AUDIT BUDGET ACCOUNT Ps DSbinergovermenal SS psconer ss ts psa Omer fs fp fs Semmes ss pstotier= fg fg pss omer ss psn omer ss fs Sow Ss sr] psomuERUSES. ——_ a | | S| | ee fae [TOTAL GENERAL FOND ACCOUNT [$$ Js ar] [99 Provision for Interest on Warrants SC C*dS SSCSCSC~C*dS SSCS eT [PURPOSES OOS [CumentExpense RTA aes ea] S.A.&L Form 268BR98 Entity: Ottawa EMS Board, 58 See Accountant's Report Monday, October 07, 2019 --- OCR page 15 of 20 --- EMERGENCY MEDICAL FUND ACCOUNTS COVERING THE PERIOD JULY 1, 2018, to JUNE 30, 2019 ™ ESTIMATE OF NEEDS FOR 2019-2020 Page 4 Governmental Budget Accounts = FISCAL YEAR ENDING JUNE. 30, 2019 FISCAL YEAR 2019-2020 |} —__T ver aviounr’ | warrants"[ RESERVES | — Taps es APPROVED BY | —suppuemental [7 or | issusp |} “patanoe By|_ COUNTY |__abjusrments — |"approrniaions |] ——] KNOWN TO BE| GOVERNING | EXCISE BOARD = ADDED [CANCELLED] |) J owecusenes| BOARD =] es | | a $ 3,000.00|[$_ 1,500.00 s Is 1.50000] 1.50000] $1,500.00 js sss fs [sss $22,266.48 [5 - | $_495,72430[$- | ls - | $__gi2278[s = Ws 9.500.00]s 9,500.00] s 8,126.50 $_33,26648]]$ = (TS 765,800.05 [s_-_ | A es es * | | a | [s__ [sss sss iS iS” [sls ss sss [sss sss is Sd ss ss [ss ss ES ES | | SC (| a | | (| | "fs st [s | [s_ fs ss ss ss CS [ss sss ss [ss ts sss sss Osi Sd js ss sss is js fs sss ss es | E_+-— > js ts ss sd TS es ee is_ | $ 31,000.00 || $__ 35,639.18 : | | (SS | | Cc] [ses sss [s_ ss ss Ss | a | | (| | | J $_33,266.48|[$___- ‘(i$ 805,939.59 is - | —————— ls - is id [s_ = is dS C=S ’ $33,266.48 $805,939.59 Ba nn an ed a T_T 5 95500.00 a 000 |S 77539 | " S.A.&1. Form 268BR98 Entity: Ottawa EMS Board, 58 ‘See Accountant's Report Monday, October 07, 2019 --- OCR page 16 of 20 --- Exhibit “y" Page 1 CERTIFICATE OF EXCISE BOARD . ESTIMATE OF NEEDS FOR 2019-2020 COUNTY OF OTTAWA, STATE OF OKLAHOMA We, the members of the Excise Board of said County and State, do hereby certify that we have examined the foregoing estimates of Proposed current expenses for the ensuing fiscal year as filed with the Emergency Medical Service Board, and those directly under, or in contractual relationship with, the Emergency Medical Service Board; we have ascertained from the Financial Statements submitted therewith the amount of, Surplus Balances of Cash on Hand; we have considered the uncollected ad valorem taxes of the previous year or years; and we have ascertained that the probable Income estimated to be collected from all sources other than ad valorem taxation may reasonably be expected as a revenue for the ensuing fiscal year, and that the same does not exceed 90% of the actual collection from such sources for the previous fiscal year. In so doing, we have diligently performed the duties imposed upon the Excise Board by 68 O.S. 1991 Section 3007, (1) ascertaining that the financial statements, as to statistics therein contained reflect the true fiscal condition at the close of the fiscal year, or caused the same to be corrected so to show; (2) struck from the estimate of needs so submitted any items not authorized by law and reduced to the sum authorized by law any items restricted by statute as to the amount lawfully expendable therefore; (3) supplemented such estimate, after proper Publication, by an estimate of needs prepared by this Excise Board to make provision for mandatory governmental functions where the estimate submitted wholly failed or was deemed inadequate to fulfill the mandate of the Constitutions or of the Legislature; (4) computed the total means available to each fund in the manner provided; and (5) then and only thereafter. - Accordingly, we have and do hereby appropriate the Surplus Balances of Cash on Hand, and the Revenues and Levies hereinafter set forth for each Fund to the several and specific Purposes named in such estimates, by each, to the intent and Purpose that CONSTITUTIONAL GOVERNMENTAL FUNCTIONS shall be first assured and Provided for, and subsequently to provide for Legislative Governmental Functions insofar as to the available Surpluses, Revenues and Levies will permit; and we have provided also that the Levies are in excess of | the amount appropriated to needs after deducting the surplus cash balance on hand, and Estimated Revenues other than tax, by the Percentage and amount or reserve for delinquent tax as hereinafter set forth, which we have determined in the manner provided by law. We further certify that we have examined the within statements of ‘account and estimated needs or requirements of the Governing Board of 2018 County, in relation to the Sinking Fund or Funds thereof, and after finding the same correct or having caused the same to be corrected Pursuant to 68 O. S. 1991 Section 3009, have approved the Tequirements therefor to fulfill the conditions of Section 26 and 28 of Article 10, Oklahoma Constitution, and have made and certified a tax levy therefor to the extent of the excess of said total requirements over the total of ] items 2, 3, 6, and 12 of Exhibit "Y" (Page 2) and any other legal deduction, including a reserve of 10% for delinquent taxes. See Accountant's Report §.A.&I. Form 268BR98 Entity: Ottawa EMS Board, 58 Monday, October 07, 2019 --- OCR page 17 of 20 --- CERTIFICATE OF EXCISE BOARD ESTIMATE OF NEEDS FOR 2019-2020 vane? SXHIBIT"Y" — | . = = EMS: ‘Sinking Fund fi County Excise Board's Appropriation cae (Gis Heresies) of Income and Revenue SEE Appropriation Approved & Provision Made 3__775,396.67 Appropriation of Revenues ae Excess of Assets Over Liabilities $292,991.83 Unclaimed Protest Tax Refunds [ss Miscellaneous Estimated Revenues Est. Value of Surplus Tax in Process Sinking Fund Contributions [sos Surplus Builing Fund Cash a Total Other Than 2018 Tax S292,99183[$ | Balance Required $ 482,404.84/$ i Add 10% for Delinquency $ 43240485 Total Required for 2018 Tax S$ 530,64522 [5 =| L307 We further certify that the net assessed valuation of the Property, subject to ad valorem taxes, after the amount of all Homestead Exemptions have been deducted in the said County as finally equalized and certified by the State Board of Equalization for the current year 2019-2020 is as follows: VALUATION AND LEVIES EXCLUDING HOMESTEADS [Tort 7 S_117,486,842.00][$ _28,638,681.00 | $ _26,723,114.00 |[$_172,848,637.00 and that the assessed valuations herein certified have been used in computing the rates of mill levies and the proceeds thereof appropriated as aforesaid; and that having ascertained as aforesaid, the ageregate amount to be raised by ad valorem taxation, we thereupon made the levies therefor as provided by law as follows: EMSFund 3.07 Mills; Building Fund 0.00 Mills; Sinking Fund 0.00 Mills; Sub-Total 3.07 Mills; Free Fair Budget Account (Levy Per Applicable Statute) 0.00 Mills; Free Fair Improvement Budget Account (Net Proceeds of 1.00 Mill) 0.00 Mills; Free Fair Additional Improvement Budget Account (Net Proceeds of 1.00 Mill) 0.00 Mills; Library Budget Account (Net Proceeds of 1/2 of 1.00 Mill) 0.00 Mills; Cooperative County/City-County Library Budget Account (1.00 to 4,00 Mills) 0.00 Mitis; County Cemetery (Prior To Aug. 15, 1933) Budget Account (Net Proceeds of 1/5 of 1.00 Mill) 0.00 Mills; Public Buildings Budget Account (Not To Exceed 5.00 Mills) 0.00 Mills; County Health Fund (Not To Exceed 2.50 Mills) 0.00 Mills; Emergency Medical Service ( Not To Exceed 3.00 Mills) 0.00 Mills; Total County Levies 3.07 Mills; County Wide Levy For Schools (4.00 Mills) 0.00 Mills; Total County Wide Levy 3.07 Mills; and we do hereby order the above levies to be certified forthwith by the Secretary of this Board to the County Assessor of said County, in order that the Assessor may immediately extend said levies upon the Tax Rolls for the year 2020 without regard to any protest that may be filed against any levies, as required by 68 O. S. 1991, Section 2869 Dated at {Yen's > Oklahoma, this \EP*day of G yop lbec +2019. af Bo; rear 4 ER Feise Board Chairman L697 7, fete [yy a EXcist Board Member Eile) WA ¥ xcise BoarthSecretary E+ Say Ps S.A.&1. Form 268BR98 Entity: Ottawa EMS Board, 58 cy * 0 , ° Ses A€dountant's Report Monday, October 07, 2019 --- OCR page 18 of 20 --- aT OTTAWA COUNTY, 58 a STATISTICAL DATA FISCAL YEAR 2018-2019 : Total Valuation Total Gross Valuation Real Property $ 125,587,136.00 ] Total Homestead Exemption $ 8,100,294.00 21 00,294.00 Total Real Property $ 117,486,842.00 Total Personal Property $ 28,638,681.00 Total Public Service Property $ 26,723,114.00 8114.00 Total Valuation of Property $ 172,848,637.00 — ee See Accountant's Report --- OCR page 19 of 20 --- EMERGENCY MEDICAL SERVICE BOARD PUBLICATION SHEET - OTTAWA COUNTY, OKLAHOMA -INANCIAL STATEMENT OF THE VARIUS FUNDS FOR THE FISCAL YEAR ENDING JUNE 30, 2019, AND ESTIMATE OF NEEDS FOR THE FISCAL YEAR ENDING JUNE 30, 2020, OF THE EMERGENCY MEDICAL SERVICE BOARD OF OTTAWA COUNTY, OKLAHOMA } IT "Z" Page 1 STATEMENT OF FIN: R L__—Ms.__]| AS OF JUNE 30, 2019 v estments TOTAL ASSETS, CITIES AND RESERVES: I; | ats Outstanding e for Interest on Warrants es From Schedule 8 TOTAL LIABILITIES AND RESERVES [so] CASHFUND BALANCE (Detien) JUNESO 09S STS ESTIMATED NEEDS FOR FISCAL YEAR ENDING JUNE 30, 2019 ACORN GENERAL FUND ][__ SINKING FUND BALANCE SHEET [SINKING FUND J it Expense [s_-| ¢ for Int. on Warrants & Revaluation ial Required NCED Total Liguig Assets ES ‘und Balance | 35,57 SS [Deter Matured Indebiednesss xied Miscellaneous Revenue ist el [st tal Deductions ce to Raise from Ad Valorem Tax MATED MISCELLANEOUS REVENUE: fer el [3 Charges for Services [se Local Sources of Revenue = State Sources of Revenue [ss Federal Sourees of Revenié [3 aance of Assets Subject to Neomals_—_—_S Miscellaneous Revenue [so ft Contributions from Other Funds [ss iS = | tal Estimated Revenue, [sd iss | === IBINKING FUND REQUIREMENTS FOR 2019-202 [| Pso= s : 5 : s : $ : po Fr | rare nneaa ese aaa eS) — eae _ S$ Z [ Deduct: $ = &1. Form 268BR98 Entity: Ottawa EMS Board, 58 Monday, October 07, 2019 --- OCR page 20 of 20 --- = EMERGENCY MEDICAL SERVICE BOARD PUBLICATION SHEET - OTTAWA COUNTY, OKLAHOMA. FINANCIAL STATEMENT OF THE VARIUS FUNDS FOR THE FISCAL YEAR ENDING JUNE 30, 2019, AND ESTIMATE OF NEEDS FOR THE FISCAL YEAR ENDING JUNE 30, 2020, OF THE EMERGENCY MEDICAL SERVICE BOARD OF OTTAWA COUNTY, OKLAHOMA = EXHIBIT "Z" line 121s less than line To after omitting "h” deduct the following each in turn from line 4, "Total Liquid Assets". FUND. ___ |[13c. i. Unmatured Coupons Due 4-1-2020 14d. k. Unmatured Bonds So Due +d I5d_1. Whatever Remains is for Exhibit KK Line E. Sd wm» |[17d. Less Cash Requirements for Current Fiscal Year in Excess of Cash on Hand (From Line 15d Above 18d. Remaining Deficit is for Exhibit KK Line F. = CERTIFICATE - GOVERNING BOARD | STATE OF OKLAHOMA, COUNTY OF OTTAWA, ss: - We, the undersigned Emergency Medical Service Board of Ottawa County Oklahoma, do hereby certifythat at a meetingof the Emergency Medical Service Board of the said County, begun at the time provided by law for Counties and pursuant to the provisions of 68 O. S. 1991 Sec. 3002, the foregoing statement was prepared and is a true and correct condition of the Financial Affairs of said Emergency Medical Board as reflected by the record of the Clerk and Treasurer. We further certify that the forgoing estimate for current expenses for the fiscal year beginning July 1, 2019, and m] ending June 30, 2020, as shown are reasonably necessary for the properconduct of the affairs of the said Emergency Medical Service Board, that the Estimated Income to be derived from sources other than ad yalorem taxationdoes not exceed the lawfully authorized ration of the revenue derived from the same sources during the preceding fiscal year. [ Chel Ablasdle> al Zul Ve Viens jairman of Board Member Member Member Member ys Member 4] Keo Ey [3K fin * 5 erPEnt 5 OP gy ae SOY PuGSOD cs ieee g Coun Clerk’ Seal = FSS ov “OL 3 Ba ee et BY f pb Sizam: & py NK SP NAND ij Sa x FOR [O$ F Soe oth “AWA CONS mina , > Subscribed grdfSwornto hits 20 day of June, 2019. = y ry Notary Public Required 1 be published in a legally-qualified newspaper printed in the County, or one issue published in a legally-qualified newspaper of general circulation in the County, S.A.&L. Form 268BR98 Entity: Ottawa EMS Board, 58 Monday, October 07, 2019