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RES 1991-70 - 00003729RESOLUTION NO. 70 - 1991 ' A RESOLUTION AUTHORIZING CHANGES IN APPROPRIATIONS FOR THE GENERAL FUND, GRANT MANAGEMENT FUND, BRA REIMBURSEMENT FUND, CAPITAL IMPROVEMENT FUND, AND THE MUNICIPAL CENTER REMODELING FUND FOR THE YEAR 1990 WHEREAS, the Government Finance Officers Association requires that all line items within divisions reflect favorable account balances in the Annual Report; and WHEREAS, the City of Fridley has involved itself in initiatives that provide for future charges and modifications that will provide for a better delivery of service, and WHEREAS, the City of Fridley had not incorporated these and other necessary changes into the adopted budget for 1990. NOW, THEREFORE BE IT RESOLVED, that the budgets of the following divisions and funds be amended as follows: GENERALFUND ' REVENUE ADJUSTMENTS 22,765 CURRENT AD VALOREM TAXES 5,417 HOMESTEAD CREDIT 4,068 CHARGES FOR SERVICES WORKER'S COMP PREMIUM TRANSFERS FROM OTHER FUNDS (5,417) TOTAL ESTIMATED REVENUE ADJUSTMENTS PERSONNEL FINANCE FIRE MUNICIPAL CENTER CODE ENFORCEMENT ' PLANNING PUBLIC WORKS & PARKS PERSONAL SERVICES PERSONAL SERVICES PERSONAL SERVICES SUPPLIES/CHARGES SUPPLIES/CHARGES 39,793 (39,793) 461,000 RECLASSIFICATION OF (461,000) ADMINISTRATIVE TRANSFERS $0 544 EMPLOYEE LEAVE 206 WORKER'S COMP PREMIUM 22,765 WORKER'S COMP PREMIUM 5,417 SWAP FROM PUBLIC WORKS 4,068 ARTWORK 112 PERSONAL SERVICES 1,025 EMPLOYEE LEAVE PERSONAL SERVICES 4,972 EMPLOYEE LEAVE PERSONAL SERVICES 7,224 WORKER'S COMP PREMIUM SUPPLIES/CHARGES (5,417) SWAP WITH MUNICIPAL CENTER 113 RESOLUTION NO. 70, 1991 GENERAL FUND (CONT) ' NATURALIST PERSONAL SERVICES RESERVE FOR CONTINGENCY TOTAL APPROPRIATION ADJUSTMENT SPECIAL REVENUE FUNDS GRANT MANAGEMENT FUND REVENUE ADJUSTMENTS INTERGOVERNMENTAL -STATE INTERGOVERNMENTAL- FEDER DONATIONS MISCELLANEOUS FUND BALANCE APPROPRIATION ADJUSTMENTS PERSONAL SERVICES SUPPLIES/ CHARGES CAPITAL OUTLAY ' HRA REIMBURSEMENT FUND REVENUE ADJUSTMENTS INTERGOVERNMENTAL APPROPRIATION ADJUSTMENTS REVENUE ADJUSTMENTS SUPPLIES/ CHARGES CAPITAL PROJECTS FUNDS CAPITAL IMPROVEMENT FUND 1,890 WORKER'S COMP PREMIUM (42,694) $0 $71,179 RECYCLING GRANT (23,433) CDBG 100 500 425 $48,771 6,242 96,279 (53,750) $48,771 $57,197 57,197 CAPITAL OUTLAY (157,360) SUPPLIES /CHARGES 157,360 $0 MUNICIPAL CENTER REMODELING FUND MISCELLANEOUS REVENUE 3,593 FUND BALANCE 14,409 $18,002 APPROPRIATION ADJUSTMENTS SUPPLIES/ CHARGES 1,377 CAPITAL OUTLAY 16,253 FUND BALANCE DEFICIT 372 $18,002 RESOLUTION NO. 70 - 1991 PASSED AND ADOPTED BY THE CITY COUNCIL OF THE CITY OF FRIDLEY THIS 9TH DAY OF SEPTEMBER, 1991 d� It-g-( WILLIAM J. NEE MAYOR ATTEST: SHIRLEY AX HAAPALA CITY CLERK 1 114