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RES 1992-68 - 00003518183 RESOLUTION N0. 66 - 1992 A RESOLUTION ADOPTING A '$PROPOSED" BUDGET FOR THE FISCAL YEAR 1993 WHEREAS, Chapter 7, Section 7.04 of the City Charter provides that the City Manager shall prepare an annual budget; and WHEREAS, Chapter 275, Section 065 of Minnesota Statutes requires that the City shall adopt a proposed budget before September 15; and WHEREAS, Chapter 275, Section 065 of Minnesota Statutes requires that such "proposed" budget be certified to the County Auditor; NOW THEREFORE, BE IT RESOLVED that the following "proposed" budget be adopted and approved: GENERALFUND REVENUE APPROPRIATIONS Taxes and Special Assessments: Legislative: Current Ad Valorem $3,598,640 City Council $107,520 Delinquent, Penalties, Planning Commissions 3,654 Forfeited 64,500 Other Commissions 5,937 Special Assessments 1,397 City Management: ' Licenses and Permits: General Management 305,375 Licenses 128,402 Personnel 86,520 Permits 209,746 Legal 206,000 Intergovernmental: Finance: Federal 5,595 Elections 0 State - Accounting 507,944 Homestead and Agriculture Assessing 163,629 Credit Aid 947,971 MIS 163,258 Local Government Aid 1,523,419 City Clerk/Records 91,457 All Other 419,713 Police: Charges for Services 214,200 Police 2,856,679 Housing and Redevelopment Authority 169,297 Civil Defense 8,614 Water Fund 121,549 Fire 691,255 Sewer Fund 88,208 Public Works: Storm Water Fund 28,125 Civic Center 186,581 Liquor Fund 63,492 Technical Engineering 424,722 Cable TV Fund 19,271 Traffic Engineering 73,835 Construction Funds 30,222 Street Lighting 150,565 Fines and Forfeits 246,634 Public Works Maintenance 1,664,556 Interest on Investments 419,165 Recreation: Miscellaneous Revenues 63,379 Recreation 534,363 Other Financing Sources: Naturalist 234,612 Special Assessment Community Development: Encumbrance Fund 12,286 Building Inspection 176,373 Employee Benefit Fund 100,000 Planning 242,552 Closed Debt Service Fund 300,292 Reserve: TOTAL REVENUES AND OTHER Emergency 150,000 FINANCING SOURCES 8,775,503 Nondepartmental 47,662 Fund Balance: ' General Fund Reserve 308,160 TOTAL GENERAL FUND $9,083,663 $9,083,663 Page 2 -- Resolution No. 68 - 1992 0 SPECIAL REVENUE FUNDS Cable TV Fund $103,000 $98,177 Grant Management Fund 151,936 151,936 Solid Waste Abatement Fund 158,512 158,512 TOTAL SPECIAL REVENUE FUNDS $413,446 $408,625 CAPITAL PROJECTS FUNDS - Capital Improvement Fund Taxes - Current Ad Valorem $85,550 General Capital Improvement $5,000 Interest on Investments 585,210 Streets Capital Improvement 751,000 Donations 10,000 Parks Capital Improvement 198,500 State Aid Construction 659,000 TOTAL CAPITAL PROJECTS FUNDS $1,339,760 $954,500 AGENCY FUND Six Cities Watershed Fund Taxes - Current Ad Valorem $3,500 $3,500 TOTAL AGENCY FUND $3,500 $3,500 0 J TOTAL $10,840,371 $10,450,288 PASSED AND ADOPTED BY THE CITY COUNCIL OF THE CITY OF FRIDLEY THIS 8TH DAY OF SEPTEMBER, 1992 ATTEST: SHIRLEY A. /HAAPALA —/CITY CLERK WILLIAM J. NEE —MAYOR