City of Hartshorne, Oklahoma
Fiscal Year 2026–2027 Annual Budget
Budget Summary · All Funds
In accordance with Section 17-208, Title 11, Oklahoma Statutes, notice is hereby given that the
proposed City of Hartshorne Fiscal Year 2026/2027 Annual Budget will be considered at a
public hearing. Copies of the proposed budget are available for review at City Hall,
1101 Pennsylvania Ave., Hartshorne, OK 74547. The budget will be adopted during a meeting of the
City Council.
Public Hearing & Adoption: June 15, 2026 at 6:30 p.m. · Hartshorne City Hall
Total Revenues
$17,332,783
Total Expenses
$17,252,233
Year-End Balance
$1,256,324
General Fund
Day-to-day city services
▸ See where the money comes from & goes
Revenue Sources — $949,709
Spending by Department — $1,221,936
General Government
$533,93943.7%
Police Department
$362,34729.7%
Animal Control / Code Enf.
$75,4916.2%
Street & Alley
$49,0004.0%
Fire Department
$33,1682.7%
Recreation & Events
$11,0000.9%
Community Center
$1,5000.1%
Public Works Authority (PWA)
Water, sewer & sanitation · Enterprise Funds
▸ See where the money comes from & goes
This year’s large totals reflect grants and loan proceeds funding major water system capital improvements.
Revenue Sources — $16,065,804
Loan Proceeds
$7,048,00043.9%
Administration
$63,0000.4%
Spending — $15,852,272
Water (incl. capital)
$15,150,43095.6%
Administration
$187,3661.2%
Special Revenue Funds
Restricted-purpose funds
▸ See the funds in this category
Limited Purpose Sales Tax — Water Debt
Beginning$257,217
Revenues$102,600
Expenses($34,025)
Transfers+$68,575
Ending$325,792
Limited Purpose Sales Tax — Ambulance & Capital Equipment
Beginning$250,480
Revenues$214,469
Expenses($144,000)
Transfers$0
Ending$320,949
Cemetery Care Fund
Beginning$6,834
Revenues$200
Expenses$0
Transfers+$625
Ending$7,659