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RES 2003-45 - 00002344RESOLUTION NO. 45 - 2003 A RESOLUTION ADOPTING THE PROPOSED BUDGET FOR THE FISCAL YEAR 2004 WHEREAS, Chapter 7, Section 7.04 of the City Charter provides that the City Manager shall prepare an annual budget; and WHEREAS, the City Manager has prepared such document and the City Council has met several times for the purpose of discussing the budget; and WHEREAS, Chapter 275, Section 065 of Minnesota Statutes requires that the City shall hold a public hearing to adopt a budget; and WHEREAS, the City Council has held a public hearing and has concluded the budget as prepared is appropriate; NOW THEREFORE, BE IT RESOLVED that the following budget be adopted and approved ESTIMATED REVENUE APPROPRIATIONS GENERAL FUND Taxes Legislative: Current Ad Valorem $ 6,372,785 City Council $ 106,226 Deliquent, Penalties, Planning Commissions 205 Forfeited 40,500 Other Commissions 13 Licenses and Permits City Management: Licenses 215,050 General Management 255,184 Permits 260,100 Personnel 150,418 Intergovernmental: Legal 319,537 Federal 4,000 Finance: State- Elections 32,785 Local Government Aid 942,038 Accounting 642,285 All Other 598,282 Assessing 157,672 Charges for Services: MIS 241,573 General Government 846,350 City Clerk/Records 132,255 Public Safety 103,050 Police: Public Works 18,570 Police 3,868,464 Community Development 8,840 Civil Defense 15,567 Recreation 208,900 Fire: Fines and Forfeits 176,720 Fire 912,666 Special Assessments 4,500 Rental Inspections 123,795 Interest on Investments 200,000 Public Works: Miscellaneous Revenues 153,400 Municipal Center 234,760 Other Financing Sources: Engineering 463,417 Sales of General Fixed Assets 25,000 Lighting 193,600 Liquor Fund 450,000 Park Maintenance 875,315 Closed Debt Service Fund 232,900 Street Maintenance 1,221,546 Employee Benefit Fund 0 Recreation: Police Activity Fund 478,393 Recreation 776,203 Naturalist 5,835 TOTAL REVENUES AND OTHER Community Development FINANCING SOURCES 11,339,378 Building Inspection 277,093 Planning 334,610 Resolution No. 45 -2003 Fund Balance: General Fund Reserve 101,646 TOTAL GENERAL FUND $ 11,441,024 SPECIAL REVENUE FUNDS Cable TV Fund $ 182,000 Grant Management Fund 80,032 Solid Waste Abatement Fund 274,808 Housing Revitialization Fund 0 Police Activity Fund 50,000 Fund Balance 396.068 TOTAL SPECIAL REVENUE FUNDS $ 982,908 CAPITAL PROJECTS FUND Capital Improvement Fund Taxes - Current Ad Valorem $ 95,860 Interest on Investments 128,097 Park Fees 10,000 Fund Balance 16( 8,957) TOTAL CAPITAL PROJECTS FUND $ 65,000 Page 2 Reserve: Emergency 100,000 Nondepartmental: 0 General Capital Improvement Streets Capital Improvement Parks Capital Improvement $ 11,441,024 $ 115,979 80,032 308,504 0 478,393 $ 982,908 $ 15,000 50,000 0 $ 65,000 AGENCY FUND Six Cities Watershed Fund Six Cities Taxes - Current Ad Valorem 6,200 Watershed 6,200 TOTAL AGENCY FUND $ 6,200 $ 6,200 TOTAL ALL FUNDS $ 12,495,132 $ 12,495,132 PASSED AND ADOPTED BY THE CITY COUNCIL OF THE CITY OF FRIDLEY THIS 8th DAY OF SEPTEMBER 2003. SCOTT J. LUND -MAYOR ATTEST: DEBRA A. SKUGEN6fCITY CLERK