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RES 1993-61 - 00003251RESOLUTION NO. 61 - 1993 ' A RESOLUTION ADOPTING A "PROPOSED" BUDGET FOR THE FISCAL YEAR 1994 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: 1994 DRAFT BUDGET RESOLUTION a REVENUE APPROPRIATIOI GENERAL FUND Taxes and Special Assessments: Legislative: Current Ad Valorem $3,531,569 City Council $92,892 Delinquent, Penalties, Planning Commissions 3,523 Forfeited 66,547 Other Commissions 7,099 ' Special Assessments 1,896 City Management: Licenses and Permits: General Management 305,814 Licenses 132,270 Personnel 90,884 Permits 288,356 Legal 160,000 Intergovernmental: Finance: Federal 5,803 Elections 29,801 State - Accounting 483,624 Homestead and Agriculture Assessing 167,347 Credit Aid 1,015,042 MIS 144,409 Local Government Aid 1,558,917 City Clerk/Records 95,468 All Other 432,532 Police: Charges for Services 313,676 Police 3,057,836 Housing and Redevelopment Authority 174,376 Civil Defense 8,784 Water Fund 125,195 Fire: 742,508 Sewer Fund 90,854 Public Works: Storm Water Fund 28,969 Civic Center 192,207 Liquor Fund 65,397 Technical Engineering 442,608 Cable TV Fund 19,849 Traffic Engineering 80,545 Construction Funds 31,129 Street Lighting 144,700 Fines and Forfeits 242,392 Public Works Maintenance 1,594,180 Interest on Investments 430,000 Recreation: Miscellaneous Revenues 96,886 Recreation 559,825 Other Financing Sources: Naturalist - 243,608 Employee Benefit Fund 200,000 Community Development: Closed Debt Service Fund 248,414 Building Inspection 195,906 TOTAL REVENUES AND OTHER Planning 255,455 FINANCING SOURCES 9,100,069 Reserve: Emergency 185,000 Nondepartmental: 55,701 Fund Balance: General Fund Reserve 239,655 ' TOTAL GENERAL FUND 59.339.724 $9.339.724 Page 2 -- Resolution 61 - 1993 SPECIAL REVENUE FUNDS Cable TV Fund $111,475 Grant Management Fund 189,454 Solid Waste Abatement Fund 218,056 TOTAL SPECIAL REVENUE FUNDS $518,985 CAPITAL PROJECTS FUNDS Capital Improvement Fund Taxes — Current Ad Valorem - $85,550 Interest on Investments 416,672 Donations 10,000 State Aid Construction 600,000 Fund Balance 453,778 TOTAL CAPITAL PROJECTS FUNDS $1,568,000 AGENCY FUND Six Cities Watershed Fund Taxes — Current Ad Valorem $3,500 TOTAL AGENCY FUND $3,500 TOTAL $11,430 ,209 1 General Capital Improvement Streets Capital Improvement Parks Capital Improvement RN $111,475 189,454 218,056 $518,985 $340,000 1,034,000 194,000 $1,568,000 $3,500 $3,500 $11,430,209 PASSED AND ADOPTED BY THE CITY COUNCIL OF THE CITY OF FRIDLEY THIS 13TH DAY OF SEPTEMBER, 1993 / A l VV wt WILLIAM J. N MAYOR ATTEST: WILLIAM A. CHAMPA - CITY ERK