The Town Council of Mayodan held a public hearing for the FY 2022-2023 budget at the regular meeting on June 13, 2022. This budget will go into effect on July 1, 2022 and ends June 30, 2023. The budget addresses the needs of the Town by focusing on improving the infrastructure of the Town with monies put towards resurfacing roads, replacing lead and asbestos pipes, and outdated fire hydrants. The budget also addresses concerns regarding the impact of fuel prices and supply chain issues, such as delayed delivery of necessary chemicals for the water plant and replacement fire hydrants, on the services provided by the Town. The budget includes a tax increase of 3 1/2 cents bringing the tax rate to 66.5 cents, a fuel surcharge of $2.11 per month per customer on solid waste service, and a rate increase on outside water/sewer service.