Pre-launch preview — not yet public. Figures shown are the adopted 2026 budget. The 2027 budget is a working draft (proposed, not adopted) — see the 2027 Draft.

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🛣️ Special Highway / Street Fund

Governmental fund (tax-supported)

Dedicated to roads — funded largely by the City's share of state fuel tax.

$23,570
Annual revenue (2026)
$190,632
Budgeted spending (2026)

This fund budgets $167,062 more in spending than this year's revenue, drawing on its cash reserve. It started 2026 with about $187,092 in reserve (cash carried over from prior years).

Special Highway / Street Fund: 2026 vs 2027
Item 2026 adopted 2027 proposed Change
Revenue $23,570 TBD
Spending $190,632 TBD

2027 figures are not set yet. As the 2027 budget is built, this table fills in with each proposed amount and its change from 2026.

What this fund is

Kansas shares a portion of state motor-fuel (gas) tax with cities, and that money is restricted by law to street and road purposes. The 2026 budget puts accumulated fuel-tax dollars to work on street maintenance and repairs, drawing on the fund's reserve.

Where its money comes from (2026)

Revenue sources for the Special Highway / Street Fund. Total $23,570
  • State fuel tax (shared) & interest $23,570 (100.0%)
View the numbers as a table
CategoryAmountShare
State fuel tax (shared) & interest $23,570 100.0%
Total$23,570100%
Revenue lines: 2026 vs 2027
Item 2026 adopted 2027 proposed Change
State fuel tax (shared) & interest $23,570 TBD
Total $23,570 TBD

2027 figures are not set yet. As the 2027 budget is built, this table fills in with each proposed amount and its change from 2026.

How it's spent (2026)

Spending breakdown for the Special Highway / Street Fund. Total $190,632
  • Maintenance & repairs $154,132 (80.9%)
  • Capital outlay $35,000 (18.4%)
  • Utilities $1,000 (0.5%)
  • Roads $500 (0.3%)
View the numbers as a table
CategoryAmountShare
Maintenance & repairs $154,132 80.9%
Capital outlay $35,000 18.4%
Utilities $1,000 0.5%
Roads $500 0.3%
Total$190,632100%
Spending lines: 2026 vs 2027
Item 2026 adopted 2027 proposed Change
Maintenance & repairs $154,132 TBD
Capital outlay $35,000 TBD
Utilities $1,000 TBD
Roads $500 TBD
Total $190,632 TBD

2027 figures are not set yet. As the 2027 budget is built, this table fills in with each proposed amount and its change from 2026.

Unsure what a term means? See the glossary, or go back to all funds or the budget overview.