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1964 Financial Statements ! CITY OF FRIDLEY, MINNESOTA FINANCIAL STATEMENTS DECEMBER 31, 1964 CITY OF FRIDLEY, MINNESOTA ELECTED AND APpOTNTED OFFICIALS DECEMBER 31� 1964 Term of office expirea JanuarY Elected Mayvr - William J. Nee 1966 Councilmen Raymond E. Sheridan 1968 Glen Johanson 1966 Jack 0. Kirkham 1967 John C. Wright 1967 Effective January 2, 1965 Mayor - Will iam J. Nee 1.966 Councilmen Raymond E. Sheridan 1968 Glenn W. �hompson 1966 Jack 0. Kirkham 1967 John C. Wright - 1967 I�unicipal Judge - Elmer 3ohnson 1970 Appointed Manager - Farl P. Wagner Clerk-1'ueasurer - Marvin C. Brunsell. Attorney - Wyman Smith Assessox - Mervin Iierrm�nn Engin�er - N,�sim Qu�esl�i CITY QF FRIDLEY, MINI3ESOTA TABLE 4F CONTENTS Pa e Independent certified public accountant's opinion 1 CommenCs 2 Balance sheets - all funds b General E�nd Balance sheet �p Ana].ysis of changes in unappropriated surplus 11 Statement of revenue - actual compared with budget estimaCes 12 S�atesnent of expenditur.es - actual campared wfth budget estimates 13 I�unicipaX State Ai.d �nd Balance sheet 20 Statement of cash receipts and disbursements 20 Band funds Balance sheets 21 Statements of cash recefpts and disbursements 21 Special Improvements Revolving Et�nd Ba.lance sheet 22 Statement of cash receipts and disbursements 23 Special assess�iex�t funds Balance sheets 25 Construct3.on Balance sheets 26 Statements of cash receip�s �nd disbursements 32 Debt service Balance shee�s 40 Statements of cash receipCs ansi disbursements 44 Debt service requirements 49 General debt service funds Balance sheets Sp 5tatements of cash receipts and disbursements 50 Debt service requireuaents S1 Trust and agency funds Balance sheets 52 Statem�nts of ca�h receipts and di�bursements 52 CITY OF FRIDLEY, MINNESOTA TABLE OF CONTENTS (CONTINUED) Pa�e Municipal liquor funds Balance sheezs 53 Operating Balance sheet 54 St�tement of income and retained earnings 55 Statement of income for individual stores 56 Statement of gross profit 58 Statement of operating expenses 59 Statements of operating expenses for individual off sale stores 60 Stateanents of operating expenses for individual o� sale stores 63 Debt service Balance sheets 64 Statements of casYa receipts and disbursements 64 Debt service requirements 65 5ewer and water utility funds � Balance sheets 67 Operating Balance stneet 6$ Analysis of claanges in surplus 71 St�tement of incame 73 St�tetnent of operating �xpenses 74 Debt service Balance sheets 78 Statements of �asla receipts and disbursements 78 Debt service r�quirements 79 Statement of gener�l fiased assets 81 Miscellaneous infoxmation Summ�ry st�.tement of Treasurer cash receipts and disbursements 82 S�atement of cash $4 Statement of United St�tes Government securities placed in escrow by depository banks for the safeguarding of City funds 85 Investment in City of Fridley temporary bonds 86 Bonds payable - all funds 87 Debt service requirements - all funds 92 Assessed valuations� tax levies and mill rates 93 Tax levies and t�x collections 94 Insurance covex�g� 95 Finplcayees sure�y bonds 96 Escrow agent accc�unt - Decemlaer Z5, 1964 Description 97 Balanc� sheet 9$ Statement of. cash receipts and distsursements March 25, 19b4 to December 15a 196G� 98 Bonds payable 99 Debt service requirements 101 GEORGE M. HAN5EN COMPANY Cert'�'ied Public Accountants aao� EXCELBIOR BLVD. MINN6APOLIB 16, MINNESOTA WALNUT 7-6709 May 6, 1965 To the City Council of Fridley, Mi.nnesota We have examined the accompanying financial statements of the respective funds of the City of Fridley, Minnesota for the year ended December 31, 1964. Our examination was made in accordance with generally accepted auditing standards and accordingly included such tests of the accounting records and such ather auditing procedures as we considered necessary in the cireumstances. Tize Eserow Agent A�count (Pages 97 to 101) is not included as part of the financial staCemeats of the City, but included only as supplemental informaCion. Information contained in the Es.crow Agent Account was obtained fram the eserow agent. On January 1, 1964, the City changed from the accrual basis for recording property tax revenue to the modified cash basis whereby prop.erty tax r�venues are recorded when actually received. Zhe City con�inued to record other revenue and all expenditures on an accrual basis. In our opinion, these statements (Pages 2 to 96) present fairly Che £inancial position of the City of Fridley, Minnesota at De,cember 31, 1964 and the re- sults of their operations for the year then ended, in conformity with generally accepted governmen�al accounting principles. /; � �, - �/C. [,�. . ` � (_�. // f ./�{'L� 4 C. %sl_.t �. �_._ ; G�_. c.�G L . /��L'l.. c G. • }/ " / � � ' 2 CITY OF FRIDLEY, MINNESOTA COMMENTS The Village of Fridley attained City status in accordance with a charter approved by the electorate September 10, 1957. The Charter provides for a fonn of government designated as the "Council-Manager Plan." Under this plan as set forth in the Charter, "All discretionary powers of the city, both legislative and executive shall vest in and be exercised by the city council. It shall have complete control over the city administration, but shall exercise this control exclusi�ely through the city manager and shall not itself attempt to perform any ackninistrative work." The counCil is elected by popular vote and consists of five members, including the mayor who is chairman. The city manager is appointed by the council. The following comments explain the purposes of respective City funds and give pertinent information concerning operations, revenues, expenditures, budgetary con- trols and other significant matters. General Fund Zhe General F1ind is used to account for all revenues, and the activities financed by them, which are not accounted for in some special fund. The principal sources af revenue are (1) general property ta�es, (2) licenses and permits, (3) fines and .for- feitures, (4) shared State taxes (mainly cigarette and liquor) and (5) transfers fram the Minicipal Liquor Operating FLnd. k�cpenditures are for (1) general government, (2) public safety, (3) highways, (4) sanitation and waste removal, (5) parks and recreation and (6) other functions. A plan of financial operation of the General Fund is set forth in the annual budget adopted by the Council. The following summary shows the major variances of actual revenue and expenditures £rom budget estimates for the year ended December 31, 1964. Actual over &tdget (under) Actual estimates estimates Revenue: General property taxes $377,331 $372,011 $ 5,320 Lfcenses and pernaits 46,178 S3,955 (7,777) Fines and torfeitures 21,341 18,500 2,841 Revenue from other agencies 63,510 61,000 2,510 Other _ 87,883 87,967 84) Total revenue $596L243 593 433 $ 2,810 F�penditures: General government $156,981 $151,493 $ 5,488 Public safety 211,181 214,303 (3,122) Highways 150,858 149,552 1,306 Sanitation and waste xemoval 6,262 9,100 (2,838) Other 95,�271 96i562 1 291) Total expenditures $620,553 $621,010 $( 457) The contract payable to the City of Fridley Volunteer Firemen' s Relief Association • represents the balance of a five-year contract at four per cent interest which began in July 1964 for construction of the new ffre station. 3 l�unicinal State Ai.d �snd This �und was established in 1961 to account for gasoline tax collectioas apportioned to the City from the StaCe of Mi.nnesota for street construction and maintenance. Bond Funds Park Construction F'und - Park Bonds totaling $30Q,000 were issued in 1962 and 1963 for the purposes of acquiring land and developing park facilities in various areas of the City. This fund accounts for proceeds from these bond issues. City Ha.11 Construction Ft�nd - This fund was established in 1964 to account for the bond proceeds �or construction of additional city ball facilities. Temporary bonds totaling $�+S,OOO were issued in 1964 to start construction. A bond issue of $500,000 was approved by the electorate in 1964. Tl�ese bonds were issued on May 1, 1965. Special ?inprovement Revolving Fund Zhe purpose of this fund is to provide temporary financing for small improvement projects. It has been used also to provide cash to special assessment debt service funds which have incurred cash deficits due to bond and interest maturities in advance of collection of corresponding special assessments receivable. Money for these purposes has been provided mainly from balances in old inactive construction and debt service funds, water and sewer conneetion assessments aad improvement escrow deposits. Special Assessment Fuads Special assessment funds are establ.ished to aceount for special assessments levied to finance improvements or services deemed to benefit the propertfes against which the assessments are levied. Primarily, the transactions accounted for in special assessmeat construction funds are receipt of bon.d proceeds and disbursement of bond proceeds for construction work do�e. Special assessmeat debt service funds account mainly for collection of assessments against benefited prop�rty owners and disburse- me�t ot assessment collections for the payment of bonds and interest. Several special a�sessment eonstruction funds showed cash deficits as of December 31, 196�+. Thes�e deficits mean, in effect, that monies belonging to othex City funds have bee�n used as a means of temporary financing until sufficient bonds are sold and special assessments receivable eollected to p�y current expenditures aad eliminate the d�ficits. �he debt service fund for Improvement Bonds of 1963 shows a de�erred tax levy of $7558500 to pay costs of water and sewer system expansion not asesssed aga�inst benefited praperty. Tt is anticipated that a substantial portion of the uuassessed costs will be paid from earnings of the WaCer and 5ewer UtiLities Operating �nd and tha.t annual collecCible amounts of the levy will be cancelled or rechic�d accordingly. _.,� Refunding bonds in the amount of $2,025,000 were issued during 1964. The proce�ds from this bond issue were paid to the esarow agent to be used for the retirement of the following bond issues: Iffiprovement Bonds of 1961, 3ewer and Water Project No. 13 and Sewer and Water Projects Nos. 21 and 22.: 4 The debt service fund for the Refunding Bonds of 1964 shows a deferred tax levy of $2,242,237. Zhis tax levy was set up in the bond resolution for payment of the total bond issue; no consideration was given to the deferred special assessments receivable. The collections by the City of deferred special assessments, as well as the transfers from the Sewer and Water Utilities Operating F`und, could be used to cancel or reduce the annual collectible amount of the deferre�, tax levy. The balance sheets for the debt service funds show future interest on both special assessments receivable and related bonds payable. It should be noted that prospect- ive interest receivable or payable becames an actual asset or liability, respectively, strictly as a function of time. Prepayments of special assessments have the effect of reducing the amount of interest callectible. Conversely, redemption of bonds before maturity would reduce the amount of interest to be paid. General Debt Service Funds Zhese funds are used to account for the accumulation of resources for payment o£ general obl�gation bonds and interest thereon. ° 1he City has three funds of this nature. ' Building Bonds of 1951 - the last of these bonds matured and were paid durfng the year 1962. The unappropriated surplus of $2,168 may be used for other City fTznctions as directed by the city council. Park Bonds of 1962 and 1963 - Z'his fund is used to accumulate the monies received from a general property tax levy for the retirement of the bonds and payment of interest. City Hall Bonds - This fund was established during 1964 to account for the retirement of the temporary bonds issued during 1964 and the City Hall Bonds issued May 1, 1965. Trust and A�ency Funds ZYust and agency funds are established to account for cash or other assets held by the municipality as a trustee or agent. Ci.ty funds of this nature i.nclude (1) Fire- men°s Relief Association k'und, (2) Public IInployees' Retirement Association Fund and (3) Drivers License Fund. The Firemen' s Relief Association Fund and the Public F3mployees' Retirement Association Flznd account for collection of general property taxes levied for the benefit of these associations and subsequent remittance of such collections to them. The Drivers License Fund was used during the year to account for sales of drivers licenses. Proceeds from the sale of drivers licenses were remitted to Anoka County. Municipal Liquor Funds Zhese funds were established to account for the operations and financing of the City owned liquor stores. Prior year amounts are shown on the Operating Fund balance sheet and statement of income and retained earnings for purposes of comparison. Percentages and detailed statements by stores are included as additional aids in reviewing the results of operations. Sales increased from $898,987 in 1963 to $959,184 in 1964. Gross profit in relation to sales increased percentagewise from 34.82% to 35.01%. Debt service funds are being maintained in accordance with bond sal�s agreements. Of an original bond issue of $230,000 sold in 1956 and 1957 to be paid for from revenues of liquor stores, $125,000 was payable after December 31, 1964. Zhese bonds ware issued to pay for (1) a liquor store building, (2) an addition to the City Ha.11 building and (3) an equipment garage. A schedule of debt service re- quirements by years is included in this report. � S Sewer and Water Utilities Funds ?4hese funds account for the operations and �inancing of the City owned sewer and water systems. In 1956 revenue bonds in the amount of $170,000 were issued to finance construction of a reservo3r and a well. As of December 31a 1964 $140,000 of these bonds were payable in tuture years. Debt serviee funds for this boad issue are being maintained in accordance with the bond sales agreement. Unassessable construction costs totaling approximately $1,100,000 as of December 31, 1964 had been financed from proceeds of general obligation and special assessment bonds. Transfers are being made to the respective debt service funds to pay the bonds. and related interest. General Fixed Assets In the general �izced assets group of accounts were carried all Eixed assets of the City other than those shown in the l�nicipal Liquor Operating Et�nd and the Sewer and Water Utilities Operating k'und. General �ixed assets were carried at cost, except that fixed assets f,or which cost iAfoxmation .was not available were priced at appraised values. Th� financial statements which follow laave been prepared to set foxth (1) individual fund balance sheets, (2) analys�s of changes in unappropriated surplus, (3) revenue- actual eompared with budget estimatesa (4) expenditure�-actual compared with budget estimates and (5) other information. General On May 6, I965, several tornadoes caused exteczsive damage to several municipalities including Fridley. City o�ficials estimate the da.mage dc�ne to City property to be about $758004 and hope to recover this expense either from insurance or Federal aid. 6 CITY OF FRIDLEY, MINNESOTA BALANCE SHEET5 - ALL FUNDS DECEMBER 31, 1964 Municipal General State Aid Bond Fund Fund funds Cambined (Page 10) (Pa�e 20) (Pa e ) ASSETS Cash $ 1,704,092 $ 97,534 $(11,033) $ 4,478 Cash with fiscal agents 553,751 Investments, at cost - City of Fridley bonds (Page $6} 937,000 Accounts receivable Other City funds 73,572 State of Minnesota 121,951 25,498 96,453 other 82,884 1,488 Accrued interest receivable 49,445 10� 13 Taxes receivable Delinquent 30,689 26,132 Deferred 3,393,037 Special assessments receivable Delinquent 462,450 958 Deferred Principal 4,325,478 645 Interest 1,712,097 Inventories, at cost 1�+6,478 212 Prepaid expen5es and construction costs 40,1+63 711 18,427 Amounts to be provided by future revenue 1,030,604 86,869 Bonds authorized - unissued 500,000 500,000 Fixed assets, at cost or appraised values General 11,543,044 Other, less accumulated depxeciation 1,445,960 Total assets $2$,152,995 $240y154 $103,847 504 491 7 Special 7mprove- General Sewer ments Special debt Trust and Municipal aad water General R�volving as�essment service ageucy liquor , utilities Fixed Fund funds funds funds funds funds Assets (��e 22) 4Pa�e 25) (Pa e 50 (Pa e 2) (Page S3) (Pa�e 67) (Pa�e 8I) $ 32,902 $ 1,219,�19 $ 16,688 $ 7,356 $152,483 $ 1$3,765 538,824 8,370 6,557 937,000 17,222 45,000 11,350 9,572 100 71,724 462 47,297 725 8�+1 9$3 1,559 2,OlS 3,0469 337 346,700 11,877 �+4.99615 271,386 4,053,/�47 1,712,097 1469 266 198492 633 1,200 64�+,O1�2 4,O50 24,664 110,l+79 160,500 $11a543,044 --- � ZS4,6$� 1„�191.272 336 119 $12fl6769355 22 367 4S 3�5 6�1 931 1 609 302 $11A5�3,044 , 8 CITY OF FRIDLEY, MINNESOTA BALANCE SHEETS - ALL FUNDS DECEMBER 31, 1964 l�unicipa�. General State Aid Bond Plsnd Fund funds Combined (Page 10) (PaQe 20) (Pa e 2 ) LIABILITIES, RESERVES AND SURPLUS Liabilities Accounts payable Other City funds $ 73,572 $ 8,647 $ 45,000 Public F�nployees' Retirement Association 43,370 Other �+7,830 $ 16,342 Contracts payable 149,209 69,336 1,000 Retained percentage on contracts 31,978 Deposits payable 207,206 6,221 Bonded indebtedness Matured bonds and interest 14,631 Future maturities Bonds <Page 91) 8,952,000 Interest 2,124,939 Reserves for Contingencies 32,039 Unrealized revenue 32,292 27,735 Retirement of bonds and interast 2,137,485 Encumbrances 151,137 15,208 Municfpal State aid road Construction 87,806 87,806 Maintenance 6,394 6,394 Retirement of revenue bonds 191,904 Unencumbered appropriation balances 482,821 459,491 Deficit (construction costs not financed) { 113,110) General tixed assets 1�.,543,044 Investment in fixed assets 1,254,056 Current surplus 330,505 Unappropriated surplus 371,887 105,312 Total liabilities, reserves and surplus $28,152,995 $240�54 $103,847 $504�491 9 Special Improve- Gener�l Sewer ments Special debt Trust and Municipal and wat�r General Revolving assessment service a�ency liquor utilities Fixed Fund funds funds funds funds funds Assets (Pa„�E 22) Pa e ) (Pa�e 5d) (Pa e ) (Pa e ) (Pa�e 67) (Pa�e 81) $ 8,575 $ 6,998 $ 4,352 $ 43,370 $ 2,603 5,764 6,590 - 16,53I 78,$73 31,978 - 69,966 131,019 7,224 $ 850 6,557 8,347,000 34A,000 125,000 140,000 1,998,748 5$,470 21,721 46,000 32,039 9$3 1,559 2,015 2,118,165 19,320 135,929 759329 116,575 23,330 < 113,110) $11,543,044 179,359 1,074,697 250,377 $0,128 263,550 857 2q168 336 119 $�;2;:��8�� 22 367 45 385 671 931 $1,609,302 �11,543,044 10 CITY OF FRIDLEY, MINNESOTA GENEFAL FUND BALANCE SHEET - DECEMBER 31, 1964 ASSETS Cash $ 97,534 Accounts receivable State of Minnesota Cigarette and liquor taxes $ 24,732 Civil defense reimbursements ��i6 Other 1,48$ �6,98b Accrued interest receivable 107 Delinquent taxes receivable ��i;132 Special assessments receivable DelinquenC 958 Deferred 645 Prepaid insurance 711 Inventories, at cost 212 Amount to be provided by future revenue 86,869 Total assets 240 154� LIABILITIES, RESERVES AND SURPLUS Liabilities A�ccount$ payable $ 16,342 Contracts payable �ity of Fridley Volunteer �iremen's Relief Associat3on $ 56,19U Other ' 13,146 69,336 Deposits payable Park deposits $ 5,751 Other 47 U 6,221 Reserves for Unrealized revenue $ 27,735 �cumbrances 15,208 42,943 Unappropriated surplus 1@5,312 Total liabilities, resexves and surplus 244 154 11 CITY OF FRIDLEY, MINNESOTA GENERAL FUND ANAZYSIS OF CHANGES IN UNAPPROPRIATED SURPLUS YEAR ENDED DECEMBER 31, 1964 Actual 8udget over (under) Actual estimate estimate Unappropriated surplus January 1, 1964 $157,766 Prior year's ad,justmenCs 1. To set up reserve for unrealized rev�nue and account for revenues from property taxes and special assessments on a ca�h basis (27,247) 2. Other ( 897) Unappropriated �urplus January 1, 1964 after adjustment $129,622 $129,622r Add revenue (Page 12) 596,243 593,433 2 810 Total $725,865 $723,OS5 $ 2,810 Deduct expenditures (Page 19) 62p,553 621,010 457) Unappropriated �urplus Dece�ber 31, 1964 105 31B 102 0[�5 3 267 12 CITY OF FRIDLEY, MINNESOTA GENERAL FUND STATEMEN� OF REVENUE - ACTUAL COMPARED WITH BUDGET ESTIMATES YEAR ENDED DECEMBER 3I, 1964 Ac Cual over Budget (under� Actual estitnate estimate General property taxes Current ad valorem $370,730 $368,011 $ 2,719 Delinquent ad valorem 6,573 4,000 2,573 Forfeited tax sale apportionments 28 28 Total general groperty taxes 377 331 372 O11 5 320 Licenses and permits �siness regulatory licenses $ 10,131 $ 12,275 $( 2,.144) Nonbusiness licenses and permits 36,047 41,680 5 633) Total licenses and permits 46 178 53 955 7 777) Fines and forfeitures - I�iunicipal Court 21 341 18 500 2 841 Revenue from use of money and property Interest earned $ 2,715 $ 2,000 $ 715 Rents 122 122 Total revenue from use of money and property 2 837 2 000 837 Revenue from other agencies Shared State taxes Cigarette and liquor $ 46,733 $ 48,000 $( 1,267) Nbbile home regiatration fee 8,529 7,000 1,529 l�brtgage registry $,248 6,000 2,248 Total revenue from other agencies 63 510 61 000 2 510 Charges for current services General Government $ 6,135 $ 6,465 $( 330) Public Safety 5,163 4,575 588 xighways 40 40 Conservation of Iiealth 275 ( 275) Recreation 3,708 4,652 ( 9�+�+) Total charges for current services 15 046 15 967 921) Transfer from Municipal. Liquor Operating Flind 70 000 70 000 Total. revenue 596 243 593 433 $ 2,810 13 CITY OF FRIDLEY. MINNESOTA GENERAL FUND STATEMENT OF EXPENAITURES - ACTUAL COMPARED WITH �UDGET. ESTIMATES YEAR ENDED DECEMBER 31. 1964 Actu�l over Budget (under) Actual est3.mate estimate General government Mayor and Couacil Perso�aal sexvices $ 13,929 $ 13,700 $ 229 Coatractu�l services 4,919 4,85q 69 Co�uodities 921 700 221 Other charges 535 600 < 65) Capital outlay 102 500 398) Tota1 20 406 20 354 56 Manager Personal servfees $ 17,229 $ 17,240 $( 11) Contractual 1,237 1,300 ( 63) Cammodities 682 525 157 Other cha�ges 148 200 < 52) Capital outlay 99 12� 26) �Q�a,1 L9 395 19 390 � 5 Municip�l Caurt PersoYaal se�ri�es $ 20,74�4 $ 20y 516 $ 22E� Con�ractu��. serviees �2 18890 ( 1,448) Ca�maoditi.e� 606 500 106 , Otlaex ckaarges 790 60 730 Capital �uCl�.y 132 150 ,� 1�) ����,1 22 71� 23 116 4Q2) Ele�t3.offis and, V�ters' Registxation Persoaal service� $ 9,497 $ 11,100 $< 1,603) Cs�ntra�tu�l se�rr3.�es 278 330 ( 52) Ca�noditie� 2,600 700 18900 (Dth�r �h�,�ges 30 25 5 Capital �utlay 250 250) Tc�t�.l 12 405 12 �Q5 ^�, "p" Finance Glerk�Treasurer Person�l �ervices $ 15,190 $ 16,6�4 $( 1,�94) Cont�actu�.�. sexvices 2,].58 3,390 ( 1�232� Cau�modities 2a 618 3'900 ( 19 282� Other charges 499 765 � 266) Capit�l outla:y 5m 981 19 685 4s 296 Total 26 4�+6 26 42,�a S � 22 14 CITY OF FRIDLEY� MINNESOTA GENERAL FUND STATEMENT OF EXPENDITURES - ACTUAL COMP6RED WITH BUDGET ESTIMATES (CONTIN[1ED) YEAR �HDED DECEMBER 31, 1964 Ac tual ovex Budget (under) A�ctual estimate es�fmate General Government (continued) Financs (continued) Assessor Personal services $ 16,650 $ 16,680 $( 30) Contractual services 1,218 1,435 ( 217) Commodities 648 700 ( 52) Other charges 406 6S 341 Capital outlay 750 825 75) Total 19 672 19 705 33} Independent audi,ting and accounting 3 800 3 800 Total Finance 49 918 49 929 11) Legal Personal services $ 6,227 $ 6,600 $( 373) Contractual sexvices 283 2$3 Commodities 11 11 Total 6 52I 6 600 79) Admfnistrative Of£ices Charter Comanission - Contractua2 services $ 50 $( 50) Civil Service - ContractuaZ services $ 33 250 ( 217) Board of Appeals - Contractual services 54 50) Total Administrative Offices 33 350 317) Planning and Zoning Personal services $ 3,412 $ 3,400 $ 12 Contractual services lF4 25 19 Cammodities 131 150 ( 19) Other charges 3 15 12) Total 3 590 3 590 $ _0_ General Government Buildings Persona.l services $ 433 $ 400 $ 33 Contractual services 7,692 7,918 ( 226) Com4nodities 806 925 ( 119) Other charges 3,626 4,420 ( 794) Rental of Fire Statfon 6,778 6,77g Ca.pital outlay 2,664 2�100 564 Total 21 999 15 763 6 236 Total General Government 156 9$1 151 493 5 488 15 CITY OF FA�DLEY, MINNESOTA GENERAL FUND STATEMENT OF EXPENDIT{JRES - ACTUAL COMPARED WYTH BUDGET ESTIMATES {CONTINUED) YEAR ENDED DECEMBER 3T, 1964 A�ctual over Budget (under) Actual estimate estimate Public Sa.fety Police ProCection Personal services $103,201 $105,098 $( 1,897) Contractual services 9,137 5,500 3,637 Commodities 9,544 10,900 ( 1,356) Other charges 2,$30 3,575 < 745) Capital ontlay 7,016 6,700 316 Tc>tal 131 728 131 773 45) Fire Protection Personal services $ 26,936 $ 28,506 $( 1,570) Contractual services 5,235 4,300 935 Com�aodities 4,106 2,525 1,581 Other ch�rges 2,555 3,145 ( 590) Ca.pital autlay 2;237 5g 225 2 988) T��al 41 069 43 701 2 632) Protectiv� I�aspection Personal se�vices $ 20,655 $ 20,[�38 $ 217 Contr�c;�ual services �,078 8,600 ( 522) Cognnodities 4�+1 825 ( 384) Otla�r ch�rg�s 4��+ 1�5 359 Ca.pi�al ou�lay 89 110 21) Tca�a4 29 7°�7 30 098 351) Cieil I��en�se P�rsoaa�l ���v��e� $ 4,684 $ 4y 716 $( 32) Gantr��tu�,l $earvices 569 450 119 ' G�auaoditi�s 71 300 ( 229) O�her ��a�ges 22 25 ( 3) Ca.�:ital c�utlay 60 60 T°c��al 5 �a06 S �+91 85) Anim�l C�ntract Contr�,ctua�l services $ 3,000 $ 3,000 Co�nmodities 231 200 $ 31 Otk�er charges �+� ( �+0) �atal 3 231 3 2�0 $� 9) To�a�l Publi� Sa.fety. 211 181 21� 303 3 122) 16 CITY OF FRiDLEY, MINNESOTA GENERAL FUND STATEMENT OF EXPENDITURES - ACTUAL GOMPARED WITH BUDGET ESTIMAT$S�CONTxNt1ED) YEAR ENDED DECEMBER 31, 1964 Ac,tual over Budget (under) Actual estima.te estimate Highways Engineering Personal services $ 19,143 $ 11,868 $ 7,275 ConCractual services 2,269 7,050 ( 1+,7$1) Commodities 1,798 2,700 ( 902) Other charges 458 2,600 ( 2,142) Capital outlay 1,379 82S 554 Total 25 047 25 043 �4 Street and Alley Personal servi.ces $ 33,163 $ 24,014 $ 9,149 Contractual services 4,550 18,275 (13,725) Commodities 1:4,557 17,250 ( 2,693) Other charges 12,761 9,250 3,511 Ca.pital outlay 13.831 2,950 10,$81 Total 78 862 71 739 7 12� Snow and Ice Removal Personal services $ 3,779 $ 8,100 ${ 4,321) Contractual services 910 2,325 ( 1,4�.5) Commodities 3,771 1,SS0 2,221 Other charges 240 , 1,200 ( 960) Capital outlay 1,696 1�600 96 Total 10 39E� 14 775 4 379) Traffic Signs, Signals and Markings Personal services $ 1,833 $ 3,060 $( 1,227) Contractual services i,183 1,325 ( 142) Coma►odities 2,455 1,000 1,455 . Other charges 35 460 ( 425) Capital. outlay 1,743 3,000 1 257) Total 7 249 8 845 1 596) Equipment Maintenance Personal services $ 2,013 $ 3,05Q $( 1,037) Contractual services $73 1,400 ( 527) Commodities 2,172 1,450 722 Other charges 17 l+50 ( 433) Capital outlay 619 300 319 Total 5 694 6 650 956) Street Lighting - Contractual services 23 610 22 500 1 110 Total Highways 150 858 1�9 552 i 306 17 CITY OF FRIDLEY9 MINNESOTA GENERAL FUND STATEMENT OF EXPENDxTURES - ACTUAI. COMPARED WITH BUDGET ESTIMATES (CONTTNUED) ^ YEAR ENDED AECFd�ER 31, 1964 Actual oaer Budget (under) Actual estimate estimate Sanitation and Waste Removal Stoxm 5awers Personal services $ 3,251 $ 2,750 $ 501 Contractual services 1,032 2,150 ( 1,118) Commodities 1,272 1,200 72 Other charges 226 500 ( 274) Ca.pital outlay 2,000 2 000) TaCal 5 781 8 600 2 819) Weed Eradication Contractual services $ 321 $ 300 $ 21 Cammodities 4 25 21) Total 325 325 $ _0_ Pest Control - Contractual services 156 175 19) Total Sanitation and Waste Removal, 6 262 9 100 2 838) Conservation of Health Personal ser�rices $ 3,672 $ 3,672 Contractu�l serviees 645 1,000 355) To�al Conservation of Health 4 317 4 672 355) Library Contractual ��r�ices $ L00 $( 100) Other charges 1 500 1,500 ���al Library 1 500 1 600 100) CiCy Band Persc�x�l se�vi�es $ 850 $ 850 Contr�ctual se�vic�s 32 $ 32 Ccrosn�di�3es 864 67� L86 Other cha�ges 45 380 ( 335) To�al C3.ty Band l 791 1 908 117) Recreation Admia�is�xative $ 48787 $ 4,722 $ 65 Baseball 2,6�+ 2s950 ( 306) Pla�gx�ounds 49014 48980 ( 966) Winter Program 29570 39650 ( 1,080) Youth Center 138 138 Adult Progxam 1�04�9 1s150 ( 101) Beach Program 5�7�1 Sa000 771 �,y ��p 300 300) Total Recreation 20 973 22 752 1 ��9) 19 CITY OF FRIDLEY, MINNESOTA GENERAL FUND STATII�ENT OF EXPENDITURES - ACTUAL COMPARED WITH BUDGET ESTIMATES (CONTINUED ~ T YEAR ENDED DECEMBER 31, 1964 A�c tual over Budget (under) Actual estimate estimate Municipal Parks Personal serv3.ces $ 24,707 $ 22,772 $ 1,935 Contractual services 9,643 9,400 243 CoAnnodities 1,974 900 1,074 Other charges 10,216 4,988 5,228 Capital outlay 15,771 23,190 7 419) Total Minicipal Parks 62 311 61 250 1 061 City contribution - Hospitalization 3,nsurance 4 379 4 3$0 $( 1) Total expenditures 620 S53 621 O10 $( 457) zo CITY OF FRIALEY, MINNESOTA MUNICIPAL STATE AID FUND BALANCE SHEET - DECEMBER 31, 1964 ASSETS Cash $(11,033) Account receivable from the State of Mfnnesota (ga�oline tax allotment for construction) 96,453 Prepaid construction costs 1g,427 Total assets 103 847 LIABILITIES AND RESERVES Liabilities Other City fund - Storm Sewer Project No. 5 Special Assessment Construction Fund $ 8,647 Contracts payable 1,OQ0 Reserves for municipal State aid road Construction $ 8,7�$p� Maintenance 6,394 94;20U Total lfabilitfes and xeserves 103 847 STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS YEAR ENDED DECEMBE�t 31, 1964 Cash balance January 1, 1964 $ 51,111 Receipts - Gasoline tax apportioned by the State of Minnesota �.42,058 Total beginning cash and receipts $193,169 Disbursements Maintenance $ 14,10�i� Construction 112,2Z1 Transfer to Storm Sewer Project No. 5 Special Assessment Constructian Fund 77,$27 Total disbursements 204i202 Cash balance December 31, 1964 (11 033) 21 CITY OF FRIDLEY, MINNESOTA BOND FUNDS BALA.NCE SHEETS - DECF�ER 31, 1964 Park City Hall Cambined Construction Construction ASSETS Cash $ 4,478 $ 7,999 $( 3,521) Accrued interest receivable 13 13 Bonds avthari.zed - unissued 500,000 500,000 Total assats 50[� 491 8 012 96 479 LIABILITY AND SURPLUS Liability - Account payable - City Hall Bonds Debt Service Fund $ 45,000 $ 45,000 Unencumbered appropriatian balance 459,491 8 012 451,479 Total liability and surplus 504 491 8 012 , 96 479 STATEMENTS OF CASH RECEIPTS AND DISBURSEMENTS YEAR ENDED DECEMBER 31, 1964 Cash balance January 1, 1964 $ 23,280 $ 23,280 Receipt - Bond proc�eds 45s OOQ 45 000 Total beginning cas�i and rec�ipt� 68 280 23 280 4�5 000 Disbursements Profession�l services $ 1,255 $ 1,255 Contractua�l. services 469 469 Commadities 27 27 Iand purchases 53,414 $ 12,912 40,502 Building and stru�tures 8�637 2,369 6,268 ToC�.l disbursements 63 802 15 2$1 48 521 Ca.sh balance December 31, 1964 4 4�78 7 999 3 521) 22 CITY OF FRIDLEY, MINNESOTA SPECIAL IMPROVEMENTS REVOLVING FUND BALANCE SHEET - DECEMBER 31., 1954 ASSETS Cash $ 32,90? Accrued interest receivable 462 Special assessments receivable Delinquent 1Z,$77 Deferred - Principal 271,386 Prepaid construction costs 19,442 Total. assets 336 119 LIABILITIES AND SURPLUS Liabilities Accounts payable $ 2,b03 Deposits payable 69,966 Unappropriated surplus 263�SS0 Total liabilities and surplus 336 119 23 CITY OF FRIDLEY, MINNESOTA SPECTAL IMPROVEMENTS REVOLVING FUND STATEMENT OF CASH RECEIPTS AND AISBURSEMENTS YEAR ENDED DECEMBER 31, 1964 Cash balance January 1, 196�+ $ 8,536 Receipts Special assessments $ 57,623 InCerest 1,146 Escrow deposits transferred from Regular Special Assessment Debt Service Fund 81,561 Total receipts 140,330 Total beginning cash and receipCs $148,866 Disbursements Capital outlay $ 68� Net decrease in escrow deposits 23,912 Transfers to other funds Special assessment construction 5,935 Special �ssessment debt service 85,434 Tota1 disbursements 115,964 Cash balance Deeember 31, 1964 $ 32,902 25 CITY OF FRIDLEY� MINNESOTA SPECIAL ASSESSMENT FUNDS BALANCE SHEETS - DECEMBER 31, 1964 Con- Debt struction service Combined Pa e 26 Pa e 40 ASSETS Cash $ 1,219,919 $186,016 $ 1,033,903 Cash with fiscal agents 538,82�i 538,824 Investments, at cost - City of Fridley bonds (Page $6) 937,000 937,000 Accounts receivable Other City funds 17,222 8,647 8,575 Other 9,572 9,572 Accrued interest receivable 47,297 47,297 Taxes receivable Delinquent 983 983 Deferred 3,046,337 3,046,337 Special assessments rece3.vable Delinquent 449,615 449,615 Deferred Principal 4,053,447 4,053,4�+7 Interest 1,712,097 1,7 12,097 Amounts to be provided by future revenue 644,042 ___,_,__ 6440042 Tota1 assets $12,676,355 $20�+,235 �12,472,120 LIABILITIES, RESERVES AND SURPLUS Liabilities Aecounts pay�ble Other City funds $ 8,575 $ 8,575 Other 5,764 5,764 Contracts payable 78,873 78,873 Retained percentage on contxacts 31,978 31,978 Bonded indebtedness Matured bonds and interest 7,224 $ �a22�+ k�.iture maturities Bonds (Page 90) 8,347,000 8,347,000 Interest 1,998,748 1,998,7/�8 Reserves for ConCingenci.es 32,039 32,039 Unrealized revenue 983 983 Encumbrances �.35,929 135,929 Retirement of bonds and interest 2,118,165 2,118,165 Uraencumbered appropriation balances 23,330 23,330 D�ficit (construction costs not financed) ( 113,110) (113,110) Unappropriated surplus 857 857 Total liabilities, reserves and surplus $129676,355 $204,235 $12,4729120 26 CITY UF FRIDLEY, MINNESOTA SPECIAL ASSESSMENT CONSTRUCTIO� FUNDS BALANCE SHEETS - DECEMBER 31, 1964 Sanitary Sewer, Sewer and Storm Sewer Water Water and Water P�oject Project Combined 1'roiect No. 58 No. 34 No. 48 ASSETS � Cash $186,016 $( 400) $48,730 $ T,902 Accounts receivable Other City fund - Municipal State Aid Fund 8,647 Other 9, 572 2,089 Total assets 204 235 1 689 48 730 1 902 LIABILITIES, RESERVES AND SURPLUS Liabilities Accounts payable Other City funds - Special assessment debt service funds Sanitary Sewer, Storm Sewer and Water Project No. 58 $ 100 $ 100 Sewer and Water Project No, 67 2,194 Sewer and Water Project No. 69 900 Storm Sewer Proj ect No. 5 4,162 1964 Street Improvement Project 1,219 Other 5,764� $ 2,412 Contracts payable 78,873 13,312 Retained percentage on contracts 31,978 2,424 Reserves Contingencies 32,039 692 5,421 $ 1,31.4 �ncumbrances 135,929 50,063 Unencumbered appropriation balance 23,330 897 Deficit (construction costs nat financed) (113,110) (24,902) Unappropriated surplus $57 588 Total liabilities, reserves and surplus $2Q4,235 1 689 8 730 $ 1,902 27 Sewer and Sewer and Sewer and Sewer and Sewer and Sewer and Sewer and Water Water Wa,ter Water Water Water Water Project Project Pz�oject Project Project ProjecC Project 130. 50 No. 55 No. 59 No. 61 No. 63 No. 65 No. 66 $ 7,893 $ 987 $ 639 $ 691 $ 1,675 $ 277 $ 731 7 893 987 639 691 $ 1,675 277 731 $ 7,893 $ 987 $ 614 $ 691 $ 1,675 $ 277 $ 731 25 7 893 9$7 639 $ 691 1 675 277 $ 731 28 CITY QF FRIDLEY, MINNESOTA SPECIAL ASSESSMENT CONSTRUCTION FUNDS (CONTIANED) BALANCE SHEETS - DECEMBER 31, Z964 Sewer and Sewer and Sewer and Sewez and Water Water Water Water Project Project Project Froject No. 67 No. �i9 No.;70 1Vo. 73 ASSETS Cash $ 82,037 $ 6,692 $(2,241) $( $1) Account receivable Other City funds - Niinicipal State Aid �nd Total assets 82 037 6 692 $(2,241) S1) LIABILITIES, RESERVES AND SURPLUS Lfabilities Accounts payable Other City funds - 3pecial assessment debt service funds Sanitary Sewer, Storm Sewer and Water Project No. 5$ Sewer and Water Proj ect No, 67 $ 2,194 Sewer and Water Project No. 69 $ 90Q St orm Sewer Fro j ec t No. 5 1964 Street Improvement Project Other L,Sb9 $ 3S3 Contracts payable 3$,332 9,977 Retained percentage on contracts 14,733 998 Reserves Contingencies Encumbrances 8,568 18,422 Unencumbered appropriation balance 16,b41 5,792 Deficit (construction costs not £inanced) (31,991) $( 81) Unappropriated surplus Total liabilities, reserves and surplus 82 037 6 692 2 241) $( 81) 29 Sewer and Storm Storm Storm Stoxm Storm Storm Water Sewer Sewer Sewer Sewer Sewer Sewer Froj�ct Project Project Project Pro�ect Project Project No. 74 No. 5 No. 12 No. 43 No. 49 No. 52 No. 53 $( 51) $14,232 $(1,324) $ 1,107 $ 606 $ 412 $ 865 8,647 51) 22 879 1 324) 1 107 $ 606 412 865 $ �,162 1,OC10 2,391 4,815 $ 1,107 $ 606 $ 412 $ 865 51,844 $( 51) E41,333) $(1,324) $ 51) 22 879 1 324) $ 1,107 606 �412 $ 865 30 CITY OF FRIDLEY, MINNESOTA SPECIAL ASSESSMENT CONSTRUCTION FUNDS (CONTINUED) BALANCE SHEETS - DECEMBER 31, 1964 Storm Sewer 1960 Street Project Improvement No, 71 Pro.iect ASSETS Cash $19,159 $ �,166 Accounts receivable Other City funds - Municipal State Aid Fund Other Total assets $19,159 $ 1,166 LIABILITIES, RESERVES AND SURPLUS Liabilities Accounts payable Other City funds - Special assessment debt service funds Sanitary Sewer, Storm Sewer and WaCer Project No. 58 Sewer and Water Project No, 67 Sewer and Water Project No. 69 Storm Sewer Project No. 5 1964 Street Improvement Project other $ 430 Contracts payable 14,861 Retained percentage on contracts 4,222 Reserves Contingencies $ 922 Encumbrances 977 Unencumberea appropriation balance Deficit (construction costs not financed) (1,331) Unappropriated surplus z1+4 TotaZ liabi.lities, reserves and surplus $19y159 $ 1,166 31 1961 Street 1962 Street 1963 Street 1964 Street 1965 Street Improvement �nprovement Improvement 7mprovement Improvement Pro�ect Proiect Proiect _ Proiect _ Proiect $ 1,839 $(5,099) $ 3,609 $ 8,711 $(8,748) 7,483 1 839 2 384 3 609 8 711 8 748) $ 1,219 4,786 $ 1,839 $ 2,384 $ 3,609 6,OS5 (3,349) $(8,748) 1 839 2 384 3 609 $ 8,711 $(8,748) 32 GITY OF FRIDLEY, MINNESOTA SPECIAL ASSESSMENT CONSTRUCTION FUNDS STATEMENTS OF CASA RECEIPTS ANA DISBURSEMENTS YEAR ENDED DECEMBER 31, Z9b4 Sanitary Sewer, Sewer Storm Sewer a�td and Water Water Project Project Combined R�e�ular No. 58 No. 26 Cash balance January 1, 1964 $ 131,863 13 393 33 490 3 912 Receipts Bond pro�eeds $ 743,000 Investments matured (cost) 16,000 $16,000 Interest on cert3ficates of deposit and temporary bonds 12,015 600 $ 1,600 Refunds 87 State and County share of improvement costs 31,719 Transfer from Municipal State Aid k�nd 77,827 Transfers from special assessment debt service funcis 16,577 Transfers of costs to Sewer and Water Utilities Operating �nd 7,055 7,055 Transfer of costs to other construction funds 54,534 Transfer from Special Iinprovements Revolving k'und 5,935 5,88Z Total receipts $ 964,749 22 481 8 655 Total beginning cash and receipts $1,096,612 35 874 42 1�45 3 912 Disbursements Ca.pital outlay $ 755,221 $ 497 $( 29) $ 3,907 ZYansfer of costs from other construction funds 54,534 Transfers to corresponding debt service funds To pay interest �pplicable to construction periods 15,630 3,741 Unexpended balance 85,21I 35�377 38,833 5 Total disbursements 910 596 35 874 2 545 3 912 Cash balance December 31, 1964 $ 186,016 $ -0- �( 400) $ -0- 33 Sewer Sewer Sewer Sewer Sewer Sewer and and and and and and Water Wat�r Water Water 4�ter Water Water Project Project Project 1'roject Project Project Proje�t No. 29 No,T34 No. 36 No. 38 No. 41 No. 48 No. 50 S 9S8 41 617 2 902 . 339 1 967 3 236 7 893 $115,OQ0 4,718 $ 87 $ 1,100 $ 710 �_____46 $ 46 119 71.s 1 lo0 710 � s7 1 004 161 335 4 002 1 049 1 967 � 3,323_ � 7L893 $ 1,004 $112,174 $ 4,002 $ 1,049 $ 284 $ 1,421 431 1,683 1 004 112 605 4 002 1 0l+9 1 967 1 421 � -0- r 48 730 $ "0_ $ _0_ $_�- 1 902 7 893 34 CITY OF FRIDLEY, MINNESOTA SPECIAL ASSESSMENT CONSTRUCTION FUNDS STATEMENTS OF CASH RECEIPTS AND DISBURSEMENTS (CONTINUED) YEAR ENDED DECEMBER 31z 1964 Sewer Sewer Sewer Sewer and and and and Water Water Water Water Project Project Project Project No. 55 No. 59 No. 61 No. 63 Cash balance January 1, 1964 2 275 1 521 �, • -16 486) 2 892 Receipts Bond proceeds $ 41,000 Investments matured (cost) Interest on certificates of deposit and temporary bonds Refunds State and County sha.re oP improvement costs ZYansfer from I�nicipal State Ai.d F1xnd Transfers frrnn special assessment debt service funds 56 $ 958 Transfers of costs to Sewer and Water Utilities Operating �nd TYansfer of costs to other _ construction funds 1Yansfer from Special Improvements Revolving Fund Total receipts 41 0S6 9S8 Total b�ginning cash and receipts 2 275 1 521 24 570 3 $5Q Disbursement� Capital outlay $ 1,288 $ $64 $ 22,803 $ 1,342 Transfer of costs from other - construction funds 18 Transfers to corresponding debt s�rvice funds To pay interest appli.cable to constru�tion peric�ds 1,076 833 Unexpended b�lance Total disbursements 1 288 882 23 $�9 2 175 Cash balance December 32, 1964 987 639 691 1 675 35 Sewer Sewer Sewer Sewer Sew�r Sewer and and and and and and Storm Storm Water Water Water Water Water Water Sewer Sewer Project Project Project Project Project Project Project Project No. 65 No. 66 No. 67 No. 69 No. 70 No. 74 No. S No. 6 1 057 26 891) 1 796) $12,000 $195,000 $80,000 $185,000 31,719 77,827 $ 1,796 12 000 195 Q00 �0 000 294 546 -1 796 1 057 '1� 000 195 000 $4 000 267 655 $ -0- $ 4�0 $�.ln 134 $ 638 253 $7�,308 $ 29 2�a1 $ 51 $2538423 �a9 a 7�.0 300 l�5 780 $119269 $112s9E�3 $73�308 $ 2,2�+Y $ Sl $253,423 $ 277 331 $2 037 � 6 692 �2 2�1) 51) $ 14,232 $, �0- 36 CITY OF FRIDLEY, MINNESOTA SPECIAL ASSESSMENT CONSTRUCTION FUNDS STATENSENTS OF CASH RECEIPTS AND DISBURSEMENTS (CONTINUED) YEAR ENDED DECEMBER 31, 1964 Storm Storm Storat Storm Sewer Sewer Sewer Sewer Project Project Pro3ect Project No. 12 No. 40 No. 43 No. 49 Cash balance January 1, 1964 1 324) 362 745 634 Receipts Bond proceeds Investments matured (cost) Interest on certificates of deposit and temporary bonds Refunds State and County share c�f improvement costs Transfer from Municipal State Aid F1�nd Transfers from special assessment debt service funds $ 826 $ 1,235 T`ransfers of costs to Sewer and Water Utilities Ope�cating �t.ind 1Yansfer o£ costs to other construction funds Transfer from Speci�l Irnprovements Revolving Fund Tot�l receipts 826 1 235 Tota1 beginning cask� and receipts 1 324) 1 1$8 1 980 634 Disbursements Capi.tal outlay $ 1,188 $ 36 $ 28 Transfer �f costs fxom csthex° ca�nstruction funds Transfers to cmr���ponding debt sea-vi�e funds To pay intexest �pplicable to construction periods 837 Unexpended balan�e Total disbursements 1 188 873 28 Cash balance December 31s 1964 $ 1 324) $ _0_ 1 107 606 37 Storm Storm Storm Storm SCorm Stcarm Storm Sewer Sewer Sewer Sewer Sewer 3ewer Sewer Project Project Project Project Project Project Project No. 52 No. �3 No. 56 No. 62 Nca. 64 No. 68 No. 71 422 2 05�+ $,( 8) 18) 7�) $50,000 $ 4a 021 $ 3,209 $ 18 $49,710 �� 4 02Z ,� 8 18 3 209 49 710 50 000 422 6 075 $ —p° $ —0— 3 134 9 710 50 000 $ 10 $ 501 $ 2993G� $49,710 $299045 3s(�10 1s796 1a�99 200 10 5 210 3 134 9 710 30 841 412 ffi65 $ �0_ $ mOp � -q_ $ —0_ 19 159 38 CITY OF FRIDLEY, MINNESOTA SPE�IAL ASSESSMENT CONSTRUCTION FUNDS STATEMENTS OF CASH RECEIPTS AND DISBURSEMENTS (CONTINUED) YEAR ENDED DECEMBER 31, 1964 Storm 1959 Sewer Street Project Improvement No. 73 Proiect Cash balance January 1, 1964 3 675 Receipts Bond proceeds Investments matured (cost) Interest on certificates of deposit and temporary bonds Refunds State and County share of improvement costs Transfer from Municip�.l State Aid Fund Transfers £rom special assessment debt service funds 7.Yansfers of costs to Se�er and Water Utilities Operating Fund Transfer of costs to other constructic�n funds Transfer fraaa Special Improvements Revolving Ftxnd Total receigts Tot�al beginning cash and receipts 3 675 Aisbursem�nts Capital outlay $ 81 $ 3,583 Transfer of cost� from cather construction fund� Transfers to ccarresponding debt service funds To pay intere�t appl3.cable to construction pexiods Unexpended balance 92 Total disbursements 81 3 675 Cash balance December 31, ,1964 81) $ _0_ 39 1960 1961 1962 1963 1964 1965 Street Street Street Street Street Street 7mprovement 7mprovement Improvement Improvement Improvement ?mprovement Proiect_._._ P�oject Praiect ProiecC Pro7ect ___ Proiect 1 666 1 905 39 656 9 890 $65,000 $ 5,097 $ 4,462 I,856 1,154 6 953 5 616 65 000 1 666 1 905 6 609 15 506 65 000 $ 500 $ 66 $389492 $ 98514 $56,289 $ 8,748 38995 2,383 9�2�1 500 66 51 708 11 897 56 289 8 748 1 166 1 39 S 499) 3 609 s aii 8 748) 40 CITY OF FRIDLEY, MINNESOTA SPECIAL ASSESSMENT DEBT SERVICE FUNDS BALANCE SHEETS - DECEMBER 31, 1964 Improvement 7mprovemenC Bonds of Bonds of Combined Re�ular 1960 1962 ASSETS Cash $ 1,033,903 $ 223,324 $ 245,776 $( 5,800) Cash with fiscal agents 538,824 2,889 109,178 44,663 Investments, at cost - City of Fridl.ey Bonds (Page 86) 937,000 937,000 Accounts receivable - Otb:er City funds, special assessment con- struction funds Sa.nitary Sewer, Storm Sewer and Water Project No. 58 100 Sewer and Water Project No. 67 2,194 Sewer and Water Project No, 69 900 Storm Sewer Project No. 5 4,162 1964 Street Improvement Project 1,219 Accxued interest receivable 47,297 20,951 8,358 354 Taxes receivable Delinquent 983 Defexred 3,046,337 Special assessments receivable Delinquent 449,615 106,776 68,814 56,399 Deferred Principal 4,053,447 940,822 960,314 150,248 Interest 1,712,097 283,919 539,002 57,946 Amount to be provided by future revenue 644_,042 1,140 139 Total assets $�.2,472,120 �2,515,681 $1,932�,582 $303,949 L?ABILITY, RESERVE AND SURPLUS Liability Bonded indebtedness l�tured bonds and interest $ 7,224 $ 2,889 $ 441 Future maturities Bonds (Page 90) 8,347,004 1,720,000 $1,410,000 255,000 Interest 1,998,7�+8 416,265 522,582 48,508 Reserve for unre$lized revenue 983 Reserve for retirement of bonds 2,118,165 376,527 Total liability, reserve and surplus $12,472,120 $2,515,681 $1,932,582 303 949 41 SaniCary Sewex, Sewer Sewer Sewer Sewer Stozm Sewer and and and aad Improvement 7anprovement and Water Water Water Water Water Bonds of Bonds of Pro3ect Project Project Project Project 1963 1964 No. S8 . No. 4$ No. 55 No. 59 No. 61 $ 120,908 $ 109,035 $( 127) $ 301,896 $15,733 $ 4,777 $ 2,220 46,808 19i,172 144,Z14 100 3,575 3,325 10,734 983 755'S00 2a 2l+29 237 48�600 54,829 117,689 30,338 10,071 S24 S31,292 610,,561 12,153 623,222 45,748 10,140 38,954 137,586 280,664 4,386 300,169 25,343 6,085 17,111 2�,488 $1,650�498 $3,555,666 $41�000 $1,459�7 3 $96�,895 21 52b $58,285 $ la�b75 $ 2,�19 $ 975,OOp 2,0259 000 $4.09 000 1,070,000 $70,000 $15,000 $4�1,000 277,238 47�,792 1,000 194,815 1,750 37S 2,768 983 _ 3989 260 1 0�53,�16 1919 839 25s 1/�5 6,251 149 517 �1,650949$ $3,555,666 1 000 $1�l+59,073 96 895 $21�526 58 285 42 CITY OF FRIDLEY,. MINNESOTA SPECIAL ASSESSMENT DEBT SERVICE FUNDS (CONTINUED) BALANCE SHEETS - DECEMBER 31� 1964 Sewer and Sewer and Sewer and Sewer and Water Water Water Water Project Project Project Project No. 63 No. 65 No. 66 No. 67 ASSETS Cash $(I.,375) $< 150) $ 3,348 Cash with fiscal agents Tnvestments, at cost - City of Fridley Bonds (Page 86) AccounCs receivable - Other City funds, special assessmenti con- struction funds Sanitary Sewer, Storm Sewer and Water Proj ect No. 58 Sewer and Water Project No. 67 $ 2,194 Sewer and Water Project No. 69 Storm Sewer Project No. 5 1964 Street Isnprovement Project Accrued interest receivable Taxes receivable Aelinquent Deferred Special assessments receivable Delinquent Deferred Principal 25,961 8,899 8,330 InteXest 17,201 5,873 5,373 Amount to be provided by future revenue 210,356 Total assets 1 7�7 14 622 17 051 $212LS50 ZIABILITY, RESERVE AND SURPLUS Liability Bonded indebtedness Nt�tured bonds and interest Future matuxities Bonds (Page 90) $25,000 $ 9,000 $12,000 $195,000 Interest 1,250 450 1,080 17,550 Reserve for unrealized revenue Reserve f�r retirement of bonds 15,537 5,172 3 971 Total liability, reserve and surplus 1 787 14 622 17 051 212 S50 43 Sewer and Storm Storm Storm Storm 1963 1964 Water Sewer Sewer Sewer Sewer Street Street ProjecC Project Project Project Project Lnprovement Improvement No. 69 No, 5 No. 53 No. 64 No. 71 Pro9ect Pro_iect $11,350 $( 97S) $ 3,963 $ 90p $ 4,162 $ 1,219 4,175 30,074 8,942 47,787 18,$29 1,409 11,201 86,300 197,488 54 500 69�631 87 200 201 650 64 428 9 376 54 500 62 951 $70,850 $80,000 $1$5,000 $4�5,000 $ 8,000 $50,000 $52,000 $65,000 7g2p0 16,650 1,125 400 4,500 2,600 5,850 � 18,303 976 $,351 $$7,2Q0 201 65Q 64 428 9 376 54 500 62 951 70 854 44 CITY OF FRIDLEY� MINNESOTA SPECIAL ASSESSMENT DEBT SERVICE FUNDS STATEMENTS OF CASH RECEIPTS AND DISBURSEMENTS J YEAR ENDED DECEMBER 31? 1964 Improvement Bonds Combined Regular of 1960 Cash balance January 1, 1964 $1,661,934 $ 748,589 188 563 Receipts Special assessments $1,058,330 $ 225,84b $188,898 General property taxes 25,553 Interest on certificates of deposit and temporary bonds 77,058 46,516 3,712 Escrow deposits 2,375 2,375 Investments matured (cost) 247,000 247,000 Transfers from Special Improvements Revolving �1znd Service connection assessment collections 31,�+40 Amount to be assessed in future years 3,859 To close debt service funds 50,135 Transfers fram corresponding construction funds To pay bond principal To pay interest applicable to construction periods 15,630 To close construction funds (unexpended balances) 49,834 S Transfer from Regular Special Assessment Construction Fund - to close fund 35,377 35,377 Transfers from debt service funds - bond issues refunded �05,120 Transfers from Sewer and Water Utilities Operating �nd 51,137 5,312 Total receipts $1,852,848 $ 557,114 197 927 Total beginning cash and receipts $3,514,782 $1,305,703 386 490 Disbursements Bonds $ 969,000 $ 141,000 $ 80,000 Intexest 355,610 71,387 58,355 Miscellaneous (including fiscal agents service charges) 1,721 431 246 Purchase of investments 788,000 788,.000 Bond sale expenses 9,086 Refunds of special assessments 518 330 Costs for defense of assessments 1,783 1,783 1`ransfer to escrow agent 51,903 , Transfer of escrow deposits to Special Improvements Revolving Fund $1,561 81,561 Transfers Co corresponding construction funds to finance construction 16,577 Transfers to Refunding Bonds of 1964 205,120 Total disbursements �2,480,879 $1,082,379 140 714 Cash balance December 31, 1964 $1,033,903 $ 223,324 $245,776 45 Sewer and Sewer Water Sewer Sewer Sewer Iunprovement Improvement Refunding and Water Projects and Water and Water and Water Bands Bonds Bonds Project Nos. 21 Project Project Project af 1962 0£ 1963 of 1964 No. 13 and 22 No. 48 No. 50 No. 55 13 608 352 492 45 336 2 353 261 447 (2 016) 11 490 $ 73,422 $186,732 $11Q,171 $ 2,253 $14�,280 $191,776 $23,118 3,582 21,971 1,875 5,$7� 6,596 12,484 31�440 $22,058 837 431 3,99� 1a775 9n22I 205�120 29 A 6�+4 16 g 181 77 909 �26 26�a 0� 695 2 253 1� 280 204 260 22 058 23 118 91 517 578 d�6 0� 6�5 �7 5�9 16 633 465 707 20 0�+2 34 608 $ 809000 $2558000 $145�000 $120,000 $20,000 $15,000 1�92�� 61a71$ 89,250 438390 42 3,875 133 232 �21 258 9 8 086 2S 163 51,903 3,871 140��98 47 589 16 633 97 317 57 ��8 295 660 G�7 �89 16 633 163 $11 20 0�2 18 �75 �5,�00) 120 908 109 035 � "p- $ -0- 301 $96 $, -0- $15�733 46 CITY OF FRIDLEY, MINNESOTA SPECIAL ASSESSMENT DEBT SERVICE FUNDS STATEMENTS OF CASH RECEIPTS AND DISBURSEMENTS (CONTINUED) YEAR ENDED DECEMBER 31, 1964 Sanitary Sewer, Sewer Sewex Storm Sewer and Water and Water and Water Project Project Proyect No. 58 No. 59 No. 61 Cash balance January 1, 1964 6 261 Receipts Special assessments $ 2,690 $ 5,416 $ 2,122 General property taxes Interest on certificates of deposit and Cemporary bonds Accrued interest on bonds sold Investments matured (cost) Transfers from Special Improvements Revolving �nd Cost of .service connection assessments Amount to be assessed in future years 3,859 To close debt sexvice funds Transfers from corresponding construction funds To pay bond principal To pay interest applicable to construction periods 3,741 1,076 To close construction funds (unexpended balances) 38,833 ZYansfer from Regular Special Assessment Construction Ftund - to close fund 7.Yansfers from debt services funds - bond issues refunded TYansfers from Sewer and Water Utilities Operating Fhnd Total receipts 49 123 5 416 3 198 Total beginning cash and receipts 49 123 11 677 3 198 Disbursements Bonds $ 45,000 $ 6,000 Interest 4,250 900 $ 922 Miscellaneous (including fiscal agents service charges) Purchase of investments Net decrease in escrow deposits Refunds of special assessments , Costs for defense of assessments Transfer to escrow agent Transfer of escrow deposits to Special Improvements Revolving Fund Transfers to corresponding construction funds to fintance construction 56 firansfers to Refunding Bonds of 1964 Total disbursements 49 250 6 900 978 Cash balance December 31, 1964 ( 127) 4 777 2 220 �a 1963 Sewer Sewer Sewer Storm Storm Storm Storm Street and Water and Water and Water Sewer Sewer Sewer Sewer Improve- Project Project Project Project Project Project Project ment No. 63 No. 65 No. 66 No. 49 No. 52 No. 53 No. 64 Proiect 2 197 2 259 29 355 $ 3,213 $17,317 $ 2,434 $ 8,642 $14,203 $13,874 $ 833 $ 300 135 1,699 200 2,383 833 300 3 348 14 203 13 874 19 016 2 634 11 025 833 300 3 348 16 400 16 133 48 371 2 634 11 025 $16,900 $16,000 $30,000 $ 1,250 $ 450 400 133 3,000 $ 400 $ 2,600 958 4s021 3,209 4,462 2 208 450 16 400 16 133 37 021 3 609 7 062 1 375) 150) 3 348 $ _0_ $ _0_ 11 350 975) 3 963 49 CITY OF FRIDLEY� MINNESOTA SPECIAL ASSESSMENT DEBT SERVTCE FUNDS DEBT SERVICE REQUIREMENTS DECEMBER 31, 19b4 Bond Year principal InCerest ToCa1 1965 $ 830,000 $ 316,761 $ 1,146,761 1966 1,257,Op0 273,412 1,530,412 1967 629,000 223,73Q 852,730 Z968 614,000 201,543 815,543 1969 5$9,Q00 179,785 768,785 1970 589,000 15$,342 747,342 1971 579,Q00 I36,$50 715,850 1972 584,000 115,132 699,132 1973 539,000 93,930 632,930 1974 407,400 76,043 483,043 1975 370,000 61,433 431,433 1976 275,400 48,347 323,347 1977 225,Q00 37,410 262,410 1978 220,000 29,070 249,070 I979 220,000 20,820 240,820 1980 160,000 13,580 173,580 1981 110,000 $,230 118,230 1982 115,000 3,665 11$,665 19�3 35,400 665 35,665 $8,347,000 $1,998,748 $10,345,748 50 CITY OF FRIDLEY, MINNESOTA GENERAT� DEBT SERVICE FUNDS BALANCE SHEETS - DECEMBER 31i 1964 Building Park Bonds City Bonds of 1962 Hall Combined of 1951 and 1963 Bonds SA SETS Treasurer cash $ 16,688 $2,168 $ 14,520 Cash with fiscal agent 8,370 8,370 Account receivable - City Ha11 Bond Fund 45,000 $45,000 Taxes receivable Delinquent 1,559 40 1,519 Deferred 346,700 346,700 Amount Co be provided by future revenue 4,050 4,050 Total assets 22 367 $2,208 $371,1,09 9 050 LIABILITIES. RESERVES AND SURPLUS Liabilities - Bonded indebtedness Matured interest $ 850 $ 850 Future maturities Bonds (Page 91) 340,000 295,000 $45,000 Interest 58,470 54,420 4,050 Reserves Unrea3.ized revenue 1,559 $ 40 1,519 Retirement of bonds and interest 19,320 19,320 Unappropriated surplus 2,168 2,168 Total liabilities, reserves and surplus $422,367 2 20$ 371 109 9 050 STATEM�NTS OF CASH RECEIPTS ANA DISBURSEMENTS YEAR ENDED DECEMBER 31 1964 Treasurer cash balance January 1, 1964 3 903 2 015 1 88$ Receipts Current property taxes $ 32,376 $ 32,37b Delinquent property taxes 222 153 69 Total receipts 32 598 153 32 445 Total beginning cash and receipts 36 501 2 168 34 333 Disbursements Bonds $ 10,000 $ 10,000 Interest 9,765 9,765 Fiscal agents service charge 48 48 Total disbursements 19 813 19 813 'Treasurer cash balance pecember 31, 1964 16 688 2 168 $ 14,520 51 CITY OF FRIDLEX, MINNESOTA GENERAL DEBT SERVTCE FUNDS DEBT SERVZC� REQUIREMENTS DECEMBER 31, 1964 Bond Year principal Interest Zbtal 1465 $ 15,000 $ 9,460 $ 24,460 1966 70,000 12,895 82,895 1967 25,000 8,075 33,075 1968 30,000 7,225 37,225 1969 30,000 6,295 36,295 1970 30,000 5,335 35,335 1971 35,004 4,237 39,237 197x 40,OOfl 2,945 42,945 1973 40,000 1,565 41,565 1974 25,000 438 25,438 340 000 58 47.0 398 470 52 CITY OF FRIDLEY,� MINNESOTA TRUST AND AGENCY FUNDS BALANCE SHEETS - DECEMBER 31, 1964 Publ ic Firemen's bnpZoyees' Relief Retirement Drivera Aesociation Association License Combined F1ind F1ind �nd ASSETS Cash $ �,356 $ 7,356 Accounts receivable Other City funds Munfcipal Liquor Opexating �nd 6,998 6,998 Sewer and Water Utilities Operating FLnd 4,352 4,352 Delinquent taxes receivable 2,015 $ 864 1,151 To be provided by future revenues 24,664 24,664 Total assets 5 385 864 44 S21 LIABZLITX AND RESERVE Account payable Public F�nployees' Retirement Associat�on $43,370 $43,370 Reserve for unrealized revenue _2 015 864 1,151 Total liability and reserve $45,385 $ 864 44 521 STATEMENTS OF CASH RECEIPTS AND DISBURSEMENTS YEAR ENDED DECEM$ER 31, 1964 Cash balance January 1, 1964 2 506) 2 506) Receipts Current taxes $30,517 $11,896 $18,621 Delinquent taxes 450 202 248 State 2% insurance premium tax 4,809 4,809 License fees 1,504 $ ].,504 Transfers from other City funds Nbanicipal Liquor Operating Fund 9,998 9,998 Sewer and Water Utilities Operating �Lnd b,446 6,,4G6 Total receipts 53 724 16 907 35 313 1 504 Total beginning cash and receipts 51 218 16 907 32 8Q7 1 504 Disbursements Firemen's Relief Association $16,907 $I6,907 Public k�nployees' Retirement Association 25,451 $25,451 Anoka County 1,504 1 504 Total disbursements 43 862 16 907 2S 451 1 504 Cash balance December 31, 1964 $ 7 356 $ -0- 7 356 $ _0- 53 CITY OF FRIDLEY, MINNESOTA MUNICIPAI. LIQUOR FUNDS BALANCE SHEETS - DECEMBER 31, 1964_ Deb t Operating service Combined Pa e 5�+ (Page 64) ASSETS Cash $152,483 $116,241 $ 36,242 Cash with fiscaZ agents 6,557 6,557 Account receivable 100 - lOQ Accrued interest recea.vable 725 72S Inventories, at cost 146,266 146,266 Prepaid expenses b33 633 Amount to be provided by future revenue 110,479 110,479 Fixed assets, at cost or appraised value, less accumulated depreciation 254,688 254,688 Total assets $671,931 518 653 153 278 I�IABILI`TIES RESERVES AND SURPLdJS Liabilities Accounts payable Othex City fund� $ 6,998 $ 6,99$ Other 6,S90 6,590 Bonded indebe�dne�s Matux��d bo?ads a�d interest 68 557 $ 6,557 Futur� m�tu�°ities Bor�ds �T'ag� 9l.} I25y 000 Z25,000 Ittt��°�sr 21a 721 21'721 Reserve f�r reti�°ean��at �f revenu� bc�nd� 759329 75,329 Gurr�nt sur�alu� 2509 3?7 250,377 Investa�en� in ��x�d assets 1�9,359 179s359 ����1 ��.ab�,Zities9 res�rv�s and surplus $671,931 518 653 153 278 54 CITY 0� FRIDLEY, MINNESOTA MUNICIPAL LIQUOR OPERATING FUND BALANCE SHEET - DECEMBER 31, 1964 (with prior year amounts for comparison) 1964 1963 ASSETS CURRENT ASSETS Cash $116,241 $ 94,863 Account receivable 100 Accrued interest receivable 725 816 Inventories, at cost 146,266 133,764 Prepaid expenses 633 1J104 Total current assets 263 965 230 547 FIXED ASSETS, at cost Land and improvements $ 21,427 $ 17,852 Bufldings 209,194 20$,418 Sa.gns 8,414 8,716 �rniture and equipment 87,421 74,246 Automobile 2,070 2,Q70 Total cost $328,526 $311,302 Less - accumulated depreciation 73,838 63,303 Total �ixed assets (net) 254 688 247 999 TOTAL ASSETS 518 653 $478,546 LIABILITIES AND RETAINED EARNINGS CURRENT LIABILITIES Accounts payable Public Ea►ployees' RetiremenC Association Fund $ 6,998 $ 9,998 Other 6,590 4,$45 Total current liabilities 13 588 14 843 RESERVE FOR RETIREMENT OF REVENUE BONDS IS 329 90 651 RETAINED EARNINGS AND CURRENT SURPLUS Retained earnings $�+29,736 $373,052 Less invesCmenC in fixed assets (net fixed assets less reserve for retirement of revenue bonds) 179,359 157,348 Total current surplus 250 377 215 704 INVESTMENT IN FIXED ASSETS 179 359 157 348 �OTAL LIA$ILITIES, RESERVE AND RETAINED EARNING5 518 653 478 546 55 CITY OF FRIDLEY, MYNNESOTA MUNICIPAL LIQUOR OPERATING. FUND STATEMENT OF INCOME AND RETAINED EARNINGS YEAR ENDED DECEM$ER 31, 1964 (with prior year amounts for camparison) 1964 1963 Percent Percent of sales of sa2es Sa.les Off sale $689,981 71.93 $648,341 72.12 On saZe 269,243 28.47 250,646 27.88 Total sales $959,184 100.00 $898,987 100.00 Cost of sales 623,378 64.99 585,969 65.18 Gross prafit $335,806 35.01 $3I3,018 34.82 Operating expenses 209,�630 21.$6 197,995 22,02 Operat3.ng profit $126,176 13.I5 $115,023 12.80 Other incame (including vending machine sales� 7,823 .82 4,438 .49 Other expenses 1 416) � .15) 1 304) .15) Net in�c�nne $132,5�3 13.82 $118,157 13.14 R+etained earnings beginning of year 373,052 320,389 Prior ye�rs adjustments 1. Adju�tment �f fixed asset� and accumulated depreciatic�n as de� texttbined by a comple�e physical 3nventoz�y of fixed assets owned ( 4,340) 2. Cox��°�cCi�an csf erxo�s in prior ye�.r� utility bills ( 1,947} App�ropria�ivn transfers to other Cit� £unds Genera�. �ind (�0,Q00) (50,000) Nlunicipal I�iquor Debt Service Fu�.d (21,220) (16,976) Equity in�rea��e in f�,xed assets acquir�d by issu�n�e of revenu� bonds 15,321 7,769 �tetained earnings end of year �29 736 373 052 56 CITY OF FRIDLEY, MINNESOTA MUNICIPAL LIQUOR OPERATING FUND STATEMENTS OF INCOME FOR INDIVIDUAL STORES YEAR ENDED DECEMBER 31, 1964 Total all Off sale stores Total I�* Sales $959,184 $689,981 $ 6,022 Cost of sales 623,L378 523,970 4,594 Gross profir $335,806 $166,011 $ 1,428 PercenC of sales 35.01% 24.Ob% 23.71°/, Operating expenses $2Q9,630 $ 79,381 $ 2,630 Percent of sales 21.8b% 11.50°Io 43.67° ) operating income $126,176 $ 86,630 $( 1,202) Percent of sales 13.15% 12.56% 19.96%) Other income Cash discounts $ 2,313 $ 1,903 $ 23 Check cashing fees 916 Vending machine commissions 2,546 65 Interest 2,048 1,397 Total oCher income 7 $23 3 365� 23 Other expenses - Loss (Gain) on dis- position of fixed assets 1 416 1 416 l+28 Net income $132,583 $ $8,579 $( 1,607� Percent of s�.les 13.82°Jo 12.84% 26.69%) �' Operations at Store No. 1 were discontinued on February 15, 1964 57 Stores On Sale Stares 2 3 4 Total 22 33 $253,013 $160,457 $270,489 $269,203 $121,315 $147,888 185.480 122n723 211,173 , 99,408 48,251 51,157 $ 67,533 $ 37,734 $ 59,316 $169,795 $ 73,064 $ 96,731 26.69% 23.52% 21.93rya 63.07°1, 60.23% 65.41% $' 26,�630 $ 21,010 $ 29,111 $130,249 $ 54,789 $ 75,460 10.53% 23,09% Z0.7b% 48.38% 45.16% 51.03% $ 40,903 $ 16,724 $ 30,205 $ 39,546 $ 18,275 $ 21,271 16.16% 10.43% 11.17% 14.69% 15.07% 14.38% $ 766 $ 409 $ 745 $ 410 $ 191 $ 219 916 649 267 65 2,481 1,126 1,355 623 305 469 651 3�a1,_ 310 1 389 7T�+ 1 239 4 458 2 307, 2 151 $2) 1 070 $ 42,37�+ $ 17,438 $ 30,374 $ 44,004 $ 20,582 $ 23,422 16.75% 10.87% 11.237e 16.35% 16.97% 15.$4% 58 CITY OF FRIDLEY, MINNESOTA MUNICIPAL LIQUOR OPERATING FUND STATEMENT OF GROSS PROFIT YEAR ENDED DECEMBER 31, 1964 Mix and Tatal Li uor Beer miscellaneous Off sale Sales $689,981 $449,430 $222,907 $ 17,644 Cost of sales 523,974 338,057 173,379 12,534 Gross profit 166 O11 111 .373 49 528 5 110 Percent of sales ��- �'+�`T$- -^� ��b-' On sale Sa.les $269,203 $175,046 $ 89,038 $ 5,119 Cost of sales 99,I+08 44314$ 50,777 4,483 Gross profit 169 795 1�0 $98 38 261 636 Percent of sales ��:ZST-" -`"�+:T$- "�- �;1+�'" Combined aff and on sale Sales $959,184 $624,476 $311,945 $ 22,763 Cost of sales 623,378 382s 205 224,156 17,017 Gross profft 335 806 242 271 87 789 S 746 Percent of sales ��' �'$`� �'g;�T- �`�;'�T�" 59 CITY OF FRIDLEY, MINNESOTA �ItJNICIPAL LIQUOR OPERATING FUND STATEMENT 0�' OPERATING EXPENSES YEAR ENDED DECII�IBER 31, 1964 (with prior year amounts for comparison) 1964 1963 Percent PercenC of sales of sales Salaries and wages Managers $ 1$,084 1.89 $ 9,593 1.07 Clerical 8,380 .87 7,059 .79 Bartenders, waitresses, and off sale clerks 102,749 10.71 108,797 12.11 Janitor $,874 ,93 7,794 .87 Contributions to Fublic Hmployees' Retirement Association 6,999 .73 7,733 .$6 Hospitalization insurance 1,438 .15 1,466 .16 Glassware, ice and bar supplies 7,24b .76 3,005 .33 Laundry 1,816 .19 1,722 .19 Cleaning and waste:_ removal 833 .09 796 .09 Itent 3,958 .41 3,360 .37 Utilities 9,471 .99 10,374 1.15 Maintenance and repairs 6,175 .6�+ 5,542 .62 Insurance 9,618 1.Q0 9,709 7..08 Depreciation 13,328 1.39 12,778 1.42 Te�ephone 1�167 .12 1,251 .14 Nlileage 776 .0$ 599 .07 Independent accounting and auditing 1,150 .12 1,250 .14 Licenses 107 .O1 287 .Q3 Alaxm service 3,104 .32 1,960 .22 Ca.sh register expenses 805 .08 66$ .07 Office suppl3es 246 .03 218 .02 CZeaning supplies 2,263 .24 1,197 .13 Cash short (over) 36 ( 1S4) ( .02) Miscellaneous 196 .02 S25 .06 Uncollectible checks 542 .06 466 .05 Breakage 269 .03 Total 209 630 21.86 $197L995 22.02 60 CITY OF FRIDLEY� MINNESOTA MUNICIPAL LIQUOR OPERATING FUND STATEMENTS OF OPERATING EXPENSES FOR INDIVIDUAL OFF SALE STOltES YEAR ENDED DECEMBER 31, 1964 Total Percent of eales Salaries and wages Managers $ 6,030 .87°!, Clerical 4,848 .70 Off sale clerks 37,317 5.41 Janitor 2,466 .36 Contributians to Public l�ployees' Retirement Association 2,557 .37 Hospitalization insurance 599 .09 Glassware, iee and bar supplies 1,282 .19 Laundry 308 .OS Cleaning and waste. removal 156 .02 Rent 3,958 .57 Utilities 3,800 .55 Maintenance and repairs 1,953 .28 Insurance 5,718 .$3 Depreca.ation 4,029 .58 Telep.hone 7 58 .lJ. Mi.leage and automobile expenses 156 .02 Independent accounting and audiCing 750 .11 Licenses 81 .O1 Alarm service 1,551 .22 Cask► register expenses 258 .04 Office supplies 144 .02 Cleaning supplies 479 .07 ��la _Fover) ( 118) ( .OZ) M�scellaneous 172 .Q3 Uncollectible checks 39 .O1 Breakage 90 .O1 Total $79,381 11.50% 61 Stores i 2 3 4 Percent Percent Percent Percent of sales af sales of �sales ,.of sales $ 234 3.89� $ 1,932 .76% $ 1,932 1.20% $ 1,932 .71% 210 3�4�:N 1,581 .63 1,603 1.00 1,454 .54 ,. 890 14.78 14,566 5.76 9,127 5.69 12,734 4.71 100 1..66 973 .38 1,174 .73 219 .08 79 1.31 960 .38 698 .43 820 .30 11 .18 261 .10 142 .09 185 .07 551 .22 299 .19 432 .16 14 .23 51 .02 96 .06 147 .05 156 .06 200 3.32 3,758 1.39 55 .91 876 .35 1,420 .8$ 1,449 .54 32 .53 1,04$ .41 159 .10 714 .26 343 5.70 1,768 .70 1,889 1.17 1,718 .64 138 2,29 1,054 .4.2 1,425. .89 1,412 .52 53 .88 15$ .06 249 .16 298 .11 5 .08 50 .02 50 .03 51 .02 150 2.49 200 .08 200 .12 200 .07 27 .O1 27 .02 27 .O1 15 .2S 415 .16 384 .24 737 .27 6� .03 122 .08 68 .03 7 .12 41 .02 55 .03 .41 .02 38 .02 3 438 .16 ( 2) ( .03) ( 7) ( 65) ( .0�►) ( 44) ( .02) 90 1.49 I2 12 .O1 58 .02 . 6 .10 33 .O1 7 9 .O1 74 ,03 2 630 43,67% 26 630 10.53% 21 O10 13.09°/0 29 111 10.76% 63 CITY OF FRIDLEY, MINNESOTA MUNICIPAL LIQUOR OPERATING FUND sTATEMENTS OF OPERATTNG EXPENSES FOR INDIVIDUAL ON SALE STORES YEAB ENDED DECEMBER 31, 1964 Stores Total 22 33 Percent Percent Percent of sales of saZes of sales Salaries and wages Managers $ 12,054 4.48% $ 6,027 4.97% $ 6,027 4v08% Clerical 38532 1.31 1,724 1.42 1,808 1.22 Bar�ende�s and waitresses 65,432 24.30 28,121 23.18 37,311 25.23 Janit�r 6,408 2.38 2,860 2.36 3,548 2.40 Contribu��,ons to Public gnpl�yees� Retirement , Assoc�ation 4,442 1.65 1,968 1..62 2,474 1.67 Hospitaliza�fon insurance �39 .31 325 .27 514 .35 Gla.s�ware, ice and bar supp2ies Sy964 2.21 1,52$ 1.26 4,436 3.00 Laundary 1,S0� .56 681 .56 827 .56 Cleani�cg and w�ste reu��v�l 677 .25 335 .28 342 .23 U�ili,ti,e� 5,671 2.11 2,245 1.85 3,426 2.32 l�i�tea�azc� �.�d �°ep�i�'� a'+,222 1.S7 19468 1.21 2,754 1.86 ��ur�sz�� 3,900 1.�5 1,770 1.46 2,130 1.44 Depreciata.on 9,299 3.�5 3,163 2.61 6,136 4.15 �el�pkas�x�e 409 .15 15� .12 257 .17 kLtl�a�g� and. �.���an�lail� expe�i��� 6�0 .�� 310 .26 310 .21 �d���raclent ���ouaa��.ng �.nd �ud�.��,�.g 4.00 .15 200 .16 200 .14 L3.��aas�� 26 .O1 13 .QI 13 .Ol Al�r� se�ra,�� 1,5�3 .S� 645 .53 908 .61 �sh ��g��t�r ���en��s 5�3 .20 122 .10 425 .29 ' Offi�e �u�p1��s 102 .04 51 .04 51 .03 �lean��.g �A�z��I��� 19�$4 .66 �89 .48 1,195 .81 ���a ��a��t 15� .O�a �6 .04 10$ .07 Mis�ell�ne�us 2�+ .O1 12 .O1 12 .O1 Unc�ll��tital� ��ae��s 503 .19 365 .30 138 .09 Breakage 179 .07 69 .06 110 .07 Tot�.l $13092�9 4$.38% 5�a 789 45.16°!0 $75,460 51.02% 64 CITY OF FRIDLEY� MINNESOTA MUNICIPAL LIQUOR DEBT SERVICE FUNDS BALANCE SHEETS - DECEMBER 31, 1964 Principal Combined and interest Reserve ASSETS Treasurer cash $ 36,242 $ 8,554 $27,688 Cash with fiscal agent 6,557 6,557 Amount to be provided for debt retirement �110,479 110�479 Total assets 153 278 $125,590 27 688 L��BILTTIES Bonded indebtedness Matured bonds and interest $ 6,557 $ 6,557 �iture maturities Bonds .(Page 91) 125,000 119,033 $ 5,967 Interest 21,721 21,721 Total liabilities 153 278 125 594 $27,688 5TATEMENT5 OF TREA.SURER CASH RECEIPTS AND DI5BURSEMENTS YEAR ENDED DECEMBER 31. 1964 Treasurer cash balance January 1, 1964 37 065 10 417 26 6G8 Receipts Transfers from Municipal Liquor Operating F1ind $ 21,220 $ 21,220 Interest income 1,040 1 040 Tota1 receipts 22 260 21 220 1 040 Total beginning cash and receipts 59 325 31 63� 27 688 e Disbursements Bond principal $ 17,000 $ 17,000 Bond interest 6,044 6,044 Fiscal agent service charge 39 39 Total disbursements 23 083 23 083 1Yeasurer cash balance December 31, 1964 $ 36z242 8 554 27 688 65 CITY OF FRIDLEY, MINNESOTA MUNICIPAL LIf,�,UOR DEBT SERVICE FUNAS DEBT SERVICE REQUIREMENTS DECEI�ER 31, 1964 � Bond Year principal Interest Total 1965 $ 17,000 $ 5,348 $ 22,348 1966 18,000 4y651 22,651 1967 18,000 3,908 21,908 1968 189000 3,126 21,126 1969 18,000 2,344 20,344 1970 18,000 1,563 19,563 1971 18,000 781 18,781 125 000 21 721 146 721 r ' 67 CITX OF FRIDLEY. MINNESOTA SEWER AND WATER UTILITIES FUNDS $ALANCE SHEETS - DECEMBER 31, 1964 Debt OperaCing service Combined Pa e 68 Pa e 78 ASSETS Cash $ 183,765 $ 158,745 $ 25,020 Accounts receivable 71,724 71,724 Accrued interest receivable 841 361 480 Prepaid expenses 1,200 1,200 Amount to be provided by future revenue 160,500 160,500 Fixed assets, at cost or appraised values, less accumulated depreciation 1�191;272 1,191,272 Total assets $1,609,302 $1,423�302 186 000 ��LL�;�IES, RESERVES AND SURPLUS Liabilities Accaunts payable Other City funds $ 4,352 $ 4,352 Other 16,531 16,531 Deposits payable 131,019 131,019 Bonded indebtedness - Future maturities Bonds (Page 91) 140,000 $140,000 Intexest 46,000 46,000 Reserve for reti�°ement of revenue bonds 116,575 116,575 Investment in fixed assets 1,074,697 1,074,697 Curren� su�°plus 80,128 80,128 Total liabilities, reserves and surplus 1 609 302 $1,423,302 $186,000 • 68 CITY OF FRIDLEY, MINNESOTA SEWER AND WATER UTILITIES OPERATING FUND BALANCE SHEET - DECEMBER 31, 1964 (with prior year amounts restated for comparison) 1964 1963 AS3ETS CURRENT ASSETS Cash $ 158,745 $ 93,849 Accounts receivable Water Project No. 34 Special Assessment Construction Fund 416 North Suburban Sa�nitary Sewer Di.strict 2,000 Customers 71,724 61,795 Accrued interesti receivable 361 759 Prepaid expenses 1,200 4 Total current assets $ 232,�030 $ 158�823 FIXED ASSETS, at cost (See note below) Land and land improvement $ 83,133 $ 6Z,929 Buildings and structures 411,988 209,100 Meters 142,323 130,414 Machinery and equipment 595,821 168,254 Work in progress 62,799 714,193 Office equipment S,222 4,821 Total cost $1,301,286 $1,289,70? Less accumulated depreciation _ 11Q�14 _ 66:850 Net fixed assets ,�1,191,272 $1,222,857 TOTAL ASSETS $1,423,302 $I,381,A6$0 Note - 1he City follows the practice of not including as parC of fixed assets in this fund the cost of the distri,bution system, which is paid f�or by assess- ment against benefited prap�rty or defgxred tax levies, and which is included in General Fixed Assets. Although the Utility 4perating Fund has transferred monies to the special assessment debt service funds to pay principal and in- terest on some bond issues, Che fund does not have an obligation to do so. lherefore, the City considers sucYt transfers as direcit charges against current surplus and not against income. In accordance with the �bove practices, 1963 amounts have been restated in this report for compar�bility with the 1964 staCement. These changes consisted of removing $494,485 represenCing the portion of the cost of the distri.bution sysCem and relafied depreciation of $2,786 from fixed assets and depreciation expense along with a reduction of $38,796 fro� 3.nterest expense which represented a portion of the firansfer to the special assessment debt service funds. 69 1964 1963 LIABILITIES, CONTRIBUTION AND RETAINEA EARNINGS CURRENT LIABILITIES Accounfis payable Other City funds - Public Fmployees' Retirement Association Fund $ 4,352 $ b,445 Other 16,531 1,156 Total current liabilities $ : 20,883 $ 7,601 OTHER LIABILITY - Customers deposits � 131,019 � 120,085 RESERVE FOR RETIREMENT 4F REVENUE BONDS $ 116,575 $ 121,949 CONTRIBUTION AND INVESTMENT TN FIXED ASSETS City' s contribution in sid of construction $ 954,084 $ 913,745 Investment in fixed asaets Z24,613 187.163 Total contribution and investment in fixed assets $1,074,697 $1�100,908 RETAINED EARNINGS AND CURRENT SURPLUS Retained earnings $ 321,316 $ 340,249 Deduct: Reserve for retirement of revenue bonda ( 116,575) ( 121,949) Investmeat in fixed asseta ( 124,613) ( 1$7,163) Current surplus $ 80,128 $ 31,137 TOTAL I:IABILITIES, CONTRIBUTION AND RETAINED EARNiNGS 1 423L302 1 381 680 7I � CITY OF FRIDLEY. MINNESOTA SEWER AND WATER UTILITIES OPERATING FUNA ANALYSIS �F CHANGES IN SURPLUS YEAR ENDED DECEMBER 31, 1964 Cuzrent surplus Balance January 1, 1964 $ 31,137 Additions Net income from aperations $ 73,255 Depreciation charged to investment in fixed assets 44,002 Loss on disgosal of fixed asset, transferxed to investment in �ixed assets 389 Total additions $ 117.646 Balance and additions $ 148,783 Deductions Aquisition of fixed assets from current year's revenue recorded in investment in fixed assets $ 13,016 Transfer to sewer and water uti],ities debt service funds, ut3,Iities share �f improvement c�sts 5,374 1Yansfer to special assessment debt service funds 50,265 Tota1 deductions $ 68,655 Balance December 31, 1964 $ gp,�,28 City contribution and investment in fixed assets Balance Januaxy 1, 196�+ �1,100,908 Additimns Acquisition c�f fixed assets froui current year's revenue $ 1.3,016 Utili.ties equity invesCed i.n existing fixed assets by transfer to sewer and water utilities debt service £unds 5,374 Total additions S 18,390 Balance and additians $1,119,298 Aeductions Depreciation of fixed asse�s charged to operations $ 44,002 Book value of fix�d assets removed 599 T�tal deducttion� $ 44,601 Balance December 31, 1964 $1,074 697 72 CITY OF FRIDLEY, MINNESOTA SEWER AND WATER UTILITIES OPERATING FLTND STATEMENT OF II3COME YEAR ENDED. DECEMBER 31, 1964 (with prior year amounts restated for comparison) 1964 Combined Water Sewer Operating revenue Water sales and sewer rents $354,355 $243,223 $111,132 Less discounts " 6 570) 3 285) 3 285) $347,785 $239,938 $107,847 Permits 9,770 3,270 b,500 Sales of materials and miscellaneous services 3,�321 3,225 96 Total operating revenue 360 876 246 433 114 443 Operating expenses Source of supply $ 93,067 $ 35,573 $ 57,494 Power and pumping 27,715 17,484 10,231 Puxification 13,382 13,382 Transmission and distr3bution 80,987 41,501 39,486 (�ustiomer accounting and collecting 17,801 12,549 5,252 Administrative and general 9,255 5,193 4,062 Depreciatfon 44,002 41,980 2,022 Total operating expenses 2$b 209 167 662 118 547 Operating income $ 74,667 78 771 4 104) Other income and (expenses) Interest income $ 4,$77 Interest expense ( 5,900) Niiscellaneous 389) Net income $ 73 255 See note on b�lance sheet. 73 1963 Combitted Water Sewer $297,140 $196,519 $100,621 b 085) 3 0�+3) 3 042) $291,OS5 $193,476 $ 47,579 11,320 3,820 � 7,500 _ 3,893 3,736 1S7 306 268 201 Q32 105 23b $ 75,847 $ 12,336 $ b3,511 35,994 10,325 25,069 3,922 3,422 84,812 4.4,07$ 40,7�4 9,916 6,274 3,642 11,200 5,668 5,532 22,193 17,766 4,427 243 284 100 369 142 R15 $ 6299$4 100 663 $ 37 679) $ 3,715 ( 6958I) 334 60 512 74 CITY OF FRIDLEY� MINNESOTA SEWER AND WATER UTILITIES OPERATING FUND STATEMENT OF OPERATING EXPENSES YEAR ENDED DECEMBER 31, 1964 (with prior year amounts restated for comparison) 1964 Comb�ned Water Sewer Source of supply Water purchased $32,634 $32,b34 Sewer rental 57,107 $57,107 Maintenance and repair 3,180 2,813 367 Other 146 126 20 Total source of supply 93 067 35 573 57 494 Power and pumping Operation and maintenance $10,160 $ 1,591 $ 8,569 Eguipment rental 1,777 1,777 Electr3.city 13,162 11,500 1,662 Fuel - heating Slb 516 Pump repairs 1,937 1,937 Other 163 163 Total power and pumping 27 715 17 484 10 231 Purification Operation and maintenance $ 916 $ 916 I,�bor 6,873 6,873 Supplies 1,949 1,949 Building repairs and maintenance 527 527 Electricity 260 260 Fuel - heating 1,633 1,633 Telephone 289 289 Insurance 859 $59 Otlaer ?6 76 Total purification 13 382 13 382 ' 75 1963 Combined Water Sewer $12,165 $12,165 63,Sl l $b3,511 171 17I 7 5 8�+7 12 336 63 511 $23,549 $ 356 $23,193 11,445 9,569 1,876 226 226 17�a 174 35 394 10 325 25 069 $ 36S $ 365 1,918 1,91$ 423 423 124 124 573 57� 154 154 291 291 74 74 3 922 3 922 76 CITY OF FRIDLEY, MINNESOTA SEWER AND WATER UTILITIES OPERA.TING FUND STATEMENT OF OPERATING EXPENSES (CONTINUED) YEAR ENDED DECEMBER 31, 1964 (with prior year amounts restated for comparison) 19b4 Combined Water Sewer Transmission and distribution Labor $49,055 $22,3�5 $26,680 4peration and maintenance of equipment 3,800 1,324 2,476 Consulting fees 2,308 2,308 Supplies 4,142 3,490 652 Repair and mainCenance of services 7,911 2,052 5,859 Repair and maintenance of mains and lift station 9,690 9,690 Meter repairs 1,468 1,468 Sma11 tools 556 314 242 Insurance 1,762 753 1,009 Other 295 35 260 Special project Total transmission and distribuCion 80 987 1 501 39 486 Customer accounting and collecting Labor $10,438 $ 6,981 $ 3,457 Office supplies and postage 5,362 4,086 1,276 Maintenance of equipment 28S 144 141 Teleptxone 244 122 122 Bank service charges 420 210 210 Consulting fees 1,035 989 46 Otlaer 17 17 Total customer accounting and collecting 17 801 12 549 5 252 Administ�°ative and gener�l Labar � $ 2,269 $ 1,182 $ 1,0$7 Consulting fess and audit 1,702 1,058 6�+4 General office expenses 429 330 99 Hospit�lization insurance contributions 503 251 252 Public F�nployees' Retirement Association contribution 4,352 2,372 1,9$0 Total administrative and general 9 255 5 193 4 062 Depreciation 44 256 42 234 2 022 Total operating expenses 286 463 167 916 $118,547 �� 1963 Combined 4�.ter Sewer $60,254 $31,447 $28,807 49199 1,733 2,466 2s528 1,632 896 69 825 5,018 1,807 1,118 1,118 892 892 439 91 348 3,75$ 1,819 1,939 1,271 328 91+3 3,528 3,528 84 $12 e'+ 078 0 �34 $ 7,913 $ 5,150 $ 2,763 1n22A 719 501 213 109 109 240 115 125 �60 '�30 130 65 51 14 9 9�.6� 6 2��o- � 6�2 $ 380�2 $ 1yS15 $ 1,527. 1a6.�3 6�5 4$$ �+7� 361 113 - �50 225 225 5,581 2s902 2n679 11 200 5 668 5 S32 22 193 1� 766 4 �a27 24�3 2�� 100 369 142 915 78 CITY OF FRIDLEY, MINNESOTA SEWER AND WATER UTILITIES DEBT SERVICE FUNDS BALANCE SHEETS - DECEMBER 31, 1964 Principal Combined and interest Reserve ASSETS Cash $ 25,020 $ 8,862 $16,158 Accrued interest receivable 480 480 Amount to be provided for debt retirement fram futuxe revenuea 160,500 160,500 Total assets 186 000 1G9 362 16 638 LIABILTTIES Liabilities - Bonded indebtedness (future maturities) Bonds {Page 91) $],l+0,000 $140,000 Interest 46,000 29,362 16 638 Total liabilities 186 000 169 362 16 63$ STATEMFNTS OF CASH RECEIPTS AND DISBURSF,MENTS YEAR ENDED AECEM$ER 31, 1964 Cash balance January 1, 1964 25 193 9 035 ` 16 158 Receipts - T`ransfer from Sewer and Wa.ter Utilities Operating Fund 11 27S 11 275 Total beginning cash and receipts 36 468 20 310 16 158 Disbursements Bond principal $ 5,000 $ 5,000 Bond interest 6,425 6,�+25 Fiscal agent service charges 23 23 Total d�sbursements 11 448 11 448 Cash balance December 31, 1964 $ 25,020 8 862 16 1S8 79 CITY OF FRIDLEY, MINNESOTA SEWER AND WATER UTILITIES DEBT SERVICE FUNDS DEBT SERVICE REQUIREMENTS DECEMBER 31, 1964 Bond Year principal Interest Total 1965 $ 5,000 $ 6,225 $ 11,225 1966 10,000 6,025 16,025 1967 10,000 5,625 15,625 1968 10,000 5,175 15,175 1969 10,000 4,725 14,725 1970 10,000 4,275 14,275 1971 10,000 3,825 13,825 1972 15,000 3,375 18,375 1973 15,000 2,700 17,700 1974 15,000 2,025 17,025 1975 15,000 1,350 16,350 1976 159000 675 15,675 140 000 4$ 6,000 186 000 81 CITY OF FRIDLEY, MINNESOTA STATEMENT OF GENERAL FIXED ASSETS DECEMBER 31, 1964 GENERAL FIXED ASSETS Land $ 365,508 Buildings and structures 214,695 Improvements other than buildings 10,062,845 FLirniture, fixtures and office equipment 57,473 Machinery and equipment 208,429 Construction work in progress _ 634,094 Total general fixed assets $11,543,�044 INVESTMENT IN GENERAL FIXED ASSETS From general obligation bonds $ 381,786 From current revenues 533,854 From assessments against benefited property 10,494,365 From State aid 74,240 From Municipal Liquor 4perating Fund 38,570 From Sewer and Water Utilities Operating Fund 686 From contributions 19,543 ToCal investment in general fixed assets $119543,044 General fixed assets were priced at cos� except that fixed assets for which cost information was not available were priced at appraised values. �2 CITY OF FRIDLEY, MINNESOTA SUMMARY STATEMENT OF TREASURER CASH RECEIPTS AND DISBURSEMENTS ALL FUNDS Y,EAR ENDED DECEM$EP. 31, 1964 Receipts Cash - . balance Investment January 1, Maturities Interfund 1964 (cost Z transfers Other Total Fund General Fund $ 108,014 $ 70,000 $ 856,304 $ 926,304 Municipal State Aid F'und 51,111 142,058 142,058 Bond funds 23,280 45,000 45,000 Special Improvements Revolving Fund 8,536 81,561 58,769 140,330 Special assessment funds Construction 131,863 $ 16,000 161,928 786,821 964,749 Debt service 1,661,934 247,000 442,532 1,163,316 1,852,848 General debt service funds 3,903 32,598 32,598 Trust and agency funds ( 2,506) 16,444 37,280 53,724 Municipal liquor �unds Operating 94,863 972,092 972,092 Debt service 37,065 21,220 1,040 22,264 5ecaer and water utilities funds Opera�ting 93,849 421,121 421,121 Debt service 25,193 �„ 11,275 11,275 Total $2,237,105 $263,000 804 960 $4,516,399 $5,584,359 83 Disbursements Cash balance Inveatment Interfund December 31, �urchases traasfers Other Total 1964 $ 936,784 $ 936,784 $ 97,534 $ 77,827 126,375 204,202 ( 11,033) 63,802 63,802 4,478 91,369 24,595 115,964 32,902 155,375 755,221 910,596 186,016 $788,000 303,258 1,389,621 2,480,879 1,033,903 19,813 19,813 16,6$8 43,862 43,862 7,356 101,218 849,496 950,714 116,241 23,083 23,083 36,242 75,913 280,312 356,225 158,745 11,448 11�,448 259020 1$8 000 $04 960 �4,524,412 $6,117,372 $1,704,092 � �4 CITY OF FRIDLEY, MINNESOTA STATEMENT OF CASH DECEMBER 31, 1964 Treasurer cash Cash in banks Checking accounts Camden Northwestern SCate Bank, Minneapolis, Minnesota $ 78,883 Fidelity Bank and ZYust Company, Minneapolis, Minnesota (64,19b) Fridley State Bank, Fridley, MinnesoCa 24,580 Total checking accounts $ 39,267 Certificates of deposit Camden Northwestern State Bank, Minneapolis, Minnesota $906,000 Fidelity Bank and Trust Company Minn�apolis, Mi.nnesota 350,000 Fridley State Bank, Fridley, Minnesota 395,000 Total certificates of deposit 1,651,000 Total cash in banks $1,690,267 Petty cash and change funds Clerk's office $ 125 Municipal Court 25 Public Utilities Operating Fund 75 Municipal Liquor Operating �nd 13,600 Total petty cash and change funds 13,$25 Total treasurer cash $1,704,092 Cash with fiscal agents Aanerican Na.tional Bank, St. Paul, Minnesota $300,350 Ennpire Trust Campany, New York, New York 54,328 Fidelity Bank and �Yust Company, Minneapolis, Minnesota 44,663 First National Bank, St. Paul, Minnesota 144,114 Northwestern National Bank, Minneapolis, Minnesota 10,296_ Total cash with fiscal agents $ 553 751 , 85 CITY OF FRIDLEY, MINNESQTA STATEMENT OF UNITED STATES GOVERNMENT SECURITIES PLAGED IN ESCROW BX DEPOSITORX BANKS FOR THE SAFEGUARDING OF CITY FUNDS DECEMBER 31, 1964 Face amount of Depository bank Escrow bank securities Camden Northwestern State Ba.nk, Northwestern National Bank, $1,200,000 Minneapalis, Minnesota Minneapolis, Minnesota Fidelity Ba.nk and Trust Company, Federal Reserve Ba.nk, $ 631,000 Minneapolis, Minnesota Mi.nneapolis, Minnesota Fridley State Bank, Northwestern National Bank, $ 500,000 Fridley, Minnesota Minneapolis, Minnesota Additional coverage of $10,000 is provided at each depository bank by the Federal Deposit Insurance Corporation. Note - Minnesota statutes require a depository to pledge sufficient collateral to cover funds on deposit. The amount pledged by the Fridley State Ba.nk was $218,071 short of requirement at December 31, 1964. 86 CITY OF FRIDLEY, MINNESOTA INVESTMENT IN CITY OF FRIDLEY TEMPORA.RY BONDS- DECEMBER 31, 1964 Interest Maturity � rate date Amount O�med b� Re�ular Special Assessment Debt Service Fund Issued by Sanitary Sewer, Storm Sewer and Water Project No. 58 5.00% 12/1/64 $ 40,000 Sewer and Water Project No. 55 5.00 10/1/64 70,000 Sewer and Water Project No. 59 5.00 1/1/65 15,000 � Sewer and Water Pro�ect No. 61 4.50 3/1/66 41,040 Sewer and Water Project No. 63 5.00 10/15/65 25,000 Sewer and Water Pro�ect No. 65 5.00 11/1/65 9,000 Sewer and Water Project No. 66 4.50 7/1/66 12,000 Sewer and Water Project No. 67 4.50 10/1/66 195,000 Sewer and Water Project No, 69 4.50 10/1/66 80,000 Storm Sewer Pro,ject No. 5 4.50 7/1/66 185,000 Storm Sewer Project No. 53 5.00 1/15/65 45,000 Storm Sewer Pro�ect No. 64 5.00 11/1/65 $,000 Storm Sewer Pro,ject No. 71 4.50 12/30/66 50,000 1963 Street Improvement Project 5.00 10/15/65 52,000 1964 Street Improvement Project 4.50 8/1/66 65,000 City Hall Bonds Debt Service Fund 4.50 12/1/66 45,000 Total investment in City of Fridley Temporary Bonds 937 000 87 CITY OF FRIDLEY, MINNESOTA BONDS PAYABLE - ALL FUNDS DECEMBER 31, 1964 D�te Maturity Inte�-est Principal of issue date rai:e amount S1�ecial Assessmen.t Debt Service Funds Regular Sewer Improvement Bonds maturing $4,000 per year S/1/54 5/1/65-73 2,00% $ 36,000 May 1, 1974 5/1/54 5/1/74 3.00 2,000 Wa.ter and Sewer Improvement Bonds of 1954 maturing $15,000 per year 8/1/54 8/1/65-70 3.`i0 90,000 $15,000 per year 8/1/54 8/1/65-70 4.00 90,000 $20,000 per year 8/1/54 8/1/71-71+ 3.`i0 80,000 $20,000 per year 8/1/54 $/1/71-74 4.00 80,000 Storm Sewer Improvement Bonds maturing November 1, 1965 11/1/54 11/1/65 3.:i0 22,000 Water and Sewer Improvement Bonds maturing $15,000 p�r year 11/1/54 11/1/65-67 3.:i0 45,000 $15,000 per year 11/1/54 11/1/68-70 4.()0 45,000 $20,000 per year 11/1/54 11/1/71-74 4.00 SQ,000 Water and Sewer �mprovement Bonds maturing $15,000 per year 5/1/55 2/1/65-71 3.Ei0 105,000 $15,000 per year 5/1/55 8/1/65-71 3.Ei0 105,000 $20,000 per year 511/55 2/1/?2-75 3.Ei0 80,000 $20,000 per year S/1J55 2/1/72-75 3.Ei0 80,000 General Obligation Improvement Bonds maturing February 1, 1965 10/1/55 2/1/65 3.Ei0 10,000 August 1, 1965 10/1/55 8/1/65 3.Ei0 10,000 $15,000 per year 10/1/55 2/1/66-72 3.Ei0 105,000 $15,000 per year 10/1/55 8/1/66-72 3.Ei0 105,000 $20,000 per year 10/1/SS 2/1/73-75 3.fi0 60,000 $20,000 per year 10/1/55 8/1/73-75 3.fi0 60,000 Improvement Bonds maCuring August 1, 1965 8/1/56 8/1/6S 4.:>0 30,000 $35,000 per year $/1/56 8/1/66-70 4.`i0 175,000 $30,000 per year 8/1/56 8/1/71-74 4.i'S 120,000 August 1, 1975 $/1/56 8/1/75 4.i'S 50,000 August 1, 1976 $/1/S6 8/1/76 4.i'S 55,000 Total Regular Special Assessment Debt Service �nd $1,720,000 88 CITY OF FRIDLEY, MINNESUTA BONDS PAYABLE - ALL FUNDS (CONTINUED) DECIIKBER 31, 1964 Uate Maturity Interest Principal of issue date rate amount Special Assessment Debt Service �nds �continued) Improvement Bonds of 1960 maturing January 1, 1965 10/1/60 1/1/65 4.50% $ 80,000 $80,000 per year 10/1/60 1/1/66-68 4.00 240,000 January 1, 1969 10/1/60 1/1/69 4.00 75,000 January 1, 1970 10/1/60 1/1/70 4.00 80,000 $80,000 per year 10/1/60 1/1/71-73 4,10 240,000 January 1, 197k 10/1/60 1/1/74 4�10 75,000 $80,000 per year 10/1/60 1/1/75-78 4.10 320,000 January 1, 1979 10/1/60 1/1/79 4.10 75,000 January 1, 1980 10/1/60 1/1/80 4.10 80,000 January 1, 1981 10/1/60 1/1/81 4.10 70,000 January 1, 1983 10/1/60 1/1/82 4.10 75,000 Total Improvement Bonds of 1960 Special Assessment Debt Service Fund $1,410 000 Improvement Bonds of 1962 lst series maturing $40,000 per year 5/1/62 2/1/65-67 3.10 $ 120,000 February l, 1968 5/1/62 2/1/68 3.10 35,000 February 1, 1969 5/1/62 2/1/69 3.10 10,000 February 1, 1970 S/1/62 2/1/70 3.50 5,000 February 1, 1971 5/1/62 2/1/71 3.50 10,000 February l, 1972 5/1/62 2/1/72 3.50 5,000 February 1, 1973 5/1/62 2/1/73 3.50 10,000 February l, 1974 5/1/62 2/1/74 3.80 5,000 February 1, 1975 5/1/62 2/1/75 3.80 10,000 February la 1976 5/1/62 2/1/76 3.80 5,000 February 1, 1977 5/1/62 2/1/77 3.80 10,000 February 1, 1978 5/1/62 2/1/78 3.80 5,000 February 18 1979 5/1/62 2/1/79 3.80 ' 10,000 $5,000 per year 5/1/62 2/1/80-82 3.80 15,000 Total Improvement Bonds of 1962 Special Assessment Debt Service Fund $ 255,000 Improveanent Bonds of 1963 maturing January 1, 1965 1/1/63 1/1/65 3.20 $ 30,000 $80,000 per year 1/1/63 11/1/66-68 3.20 240,000 $$5,000 per year 1/1/63 11/1/69-70 3.20 170,000 $60,000 per year 1/1/63 11/1/71-73 3.50 180,000 January l, 1974 1/1/63 1/1/74 3.50 50,000 January 1, 1975 1/1/63 11/1/75 3.70 45,000 $30,000 per yea� 1/1/63 1/1/76-77 3.70 60,000 $30a000 per year 1/1/63 1/1/78-79 3.80 60,000 $359000 per year 1/1/63 1/1/80-83 3.80 140,000 Total Improvement Bonds of 1963 Special Ass�ssment Debt Service �nd �S 975,000 89 CITY OF .FRIDLEY. MINNESOTA BONDS PAXABLE - ALL FUNDS (CONTINUED)_ - DECEMBER 31, 1964 Date Maturity Interest Principal of issue date rate amount �ecial Assessment Debt Service Funds (continued) Sewer and Water Project No. 48 Improvement Bonds maturing $120,000 per year 10/1/61 1/1/65-68 4.00°!0 $ 480,000 $120,000 per year 10/1/61 1/1/69-72 4.10 480,000 January 1, 1973 10/1/61 1/1/73 4.10 110,000 Total Sewer and Water Project No, 48 $1,070,000 Refunding Bonds maturing February 1, 1965 2/1/64 2/1/65 *3.10';. $ 145,Q00 $165,000 per year 2/1/64 2/1/66-67 *3.10 330,000 $155,000 per year 2/1/65 2/1/68-71 *3.10 620,000 February 1, 1972 2/1/64 2/1/72 *3.30 155,000 $105,000 per year �/1/64 2/1/73-75 *3.30 315,000 $105,000 per year 2/1/64 2/1/76-79 *3,40 420,000 Febr,uary 1, 1980 2/1/64 2/1/80 *3.40 40,000 Total Refunding Bonds Specfal Assessment Debt Service F�nd � $2,D2S,000 * Additional interest at the annual rate of 1.20% from April 1, 1964 to February 1, 1965. Sanitary Sewer, Storm Sewer and Water Project l�o. 58 Temporary Bonds 12/1/62 12/1/64 S.C►0 . � 40,000 3ewer and Water Project No. 55 Tewparary Bonds 10/1/62 10/1/64 5.(►0 $ 70,000 Sewer and Water Project No. 59 Temporary Bonds 1/2/63 1/1/65 S.(10 �, 15,000 Sewer and Water Project No. 61 Temporary Bonds 3/1/64 3/1/66 4.;'>0 $ 41,000 Sewer and Water Project No. 63 Temporary Bonds 10/15/63 1OJ15/b5 5.O0 $ 25,000 Sewer and Water Project No. 6S Temporary Bonds . 11/1/63 11/1/65 5.t)0 $ 9,000 Sewer and Wa.ter ProjecC No. 66 Temporary Bonds 7/1/64 7/1/66 5.�)0 $ 12,D00 Sewer and Water Project No. 67 Temporary Bonds 10/1/64 lOjl/66 4.;i0 $ 195,000 90 CITY OF FRIDLEY� MINNESOTA BONDS PAYABLE - ALL FUNDS (CONTINUEDZ DECEMBER 31, 1964 Lhte Maturity Intexest Principal of issue date rate amount Special Assessment Debt Service �nds (continued) - Sewer and Water Project No. 69 Temporary Bonds 10/1/64 10/1/66 4.50% $ 80,000 Storm Sewer Pro j ec t No. 5 Temporary Bonds 7/1/64 7/1/66 4.50> � 185,000 Sborm Sewer Pro�ect No. 53 Temporary Bonds 1/15/63 1/15/65 5.00 $ 45,000 Storm Sewer Project No. 64 Temporary Bonds 11/1/63 11/1/65 5.00 $ 8,000 Storm Sewer Project No. 71 Temporary Bonds: 12/30/64 12/30/66 4.50 $ 50,000 1963 Street Improvement Project Temporary Bonds 10/15/63 10/15/65 5.00 $ 52,�000 1964 Street Improvement Project Temporary Bonds 8/1/64 8/L/66 4.50 $ 65,000 Total Special Assessment Debt Service Funds $8,347,000 91 CITY OF FRIALEYA MINNESOTA BONDS PAYABLE - ALL FUNDS (CONTINUED)_ DECEMBER 31, 1964 D�te Nhturity Intez�est Princ3pal of issue date rat:e amount General Debt Service �nds Park Bonds of 1962 and 1963 maturing February 1, 1965 5I1/62 2/1/65 3.00% $ 10,000 $15,000 per year S/1/62 2/1/66-69 3.b0 60,000 February 1, 1970 5/1/62 2/1/70 3.EF0 15,000 $20,000 per year 5/1/62 201/71-73 3.�►0 60,000 January 1, 1965 1/1/63 1/1/65 3.20 5,000 $10,000 per year 1/1/63 1/1/66-67 3,��0 20,000 $15,000 per year 1/1/63 1/1/68-70 3.;?0 45,000 January l, 1971 1/1/b3 1/1/71 3.'i0 15,000 $20,000 per year 1/1/63 1/1/72-73 3.:i0 40,000 January 1, 1974 1/1/63 1/1/74 3.:i0 25,000 Total Park Bonds of 1962 and 1963 $ 295,000 City Hall Bonds Tempora�ry Bonds 12/1/6� 12/1/66 4.'i0 $ 45,000 Total General Debt Service kl�nds $ 340,000 Municipal Liquor Debt Service Fund (Principal and �nter�st) Municipal Bui.lding Revenue Bonds maturing $15n000 per year 9/1/56 9/1/65-66 �.��0 $ 30,000 $15,000 per year 9/1/56 9/1/67-71 4�.:Z5 75,000 September l.9 1965 12/1J57 9/1/65 4.�30 2,000 $3,000 per year 12/1/57 9J1/66�71 4.�30 18g000 7C���1. Municipal L,iquor Deb� Service �nd $ 125s 000 Public Utilities T1ebt Service Fund (Princip�l and Ixzterest) Wat�r and Sew�r Revenue Bcands maturing September 19 1965 9/1/56 9/1/65 4.00 $ 5,000 September ls 1966 9/1/56 9/1/66 4.00 10,000 $109404 per year 9/1/56 9/1/67-71 4.50 509000 $158000 per year 9/1/56 9/1/72P76 4.50 75,000 To��l Public Utilities Debt Serv�.�e Fund $ 140,000 Total Bo�ds Payable - all funds $8,9529000 92 CITY OF FRIDLEX, MINNESOTA DEBT SERVICE REQUIREMENTS - ALL FUNDS DECEMBER 31, 1964 Bond Year principal Interest Total 1965 . $ 867,000 $ 337,794 $ 1,204,794 1966 1,355,000 296,983 1,651;983 1967 682,000 241,338 923,338 1968 672,000 217,069 889,069 1969 647,000 193,149 840,149 1970 647,000 169,515 816,515 1971 642,000 145,693 787,693 1972 639,000 121,�+52 760,452 1973 594,000 9$,195 692,195 1974 447,000 78,506 525,506 1975 385,000 62,783 447,783 1976 29Q,000 :49,022 339,022 1977 225,000 37,410 262,410 1978 220,000 29,070 249,070 1979 220,000 20,820 240,820 1980 160,000 13,5$0 173,580 1981 110,000 8,230 118,230 1982 115,000 3,665 118,665 1983 35z000 665 35,665 $8,952,000 $2,124,939 $11 076,939 93 CITY OF FRIDLEY, MINNESOTA ASSESSED VALUATIONS, TAX LEVIES AND MILL RATES (shown by year of tax collectibility)_ 1962 1963 1964 1965 Assessed valuatians Rea1 estate $6,743,312 $ 8,879,133 $ 9,795,002 $11,656,588 Persanal property 2,150,430 2,292,$27 2,391,G14 2,488,612 Total $89893,742 $11,171,960 12 186 �i16 �514,145,200 Tax levies General �nd $ 334,$1$ $ 365,589 $ 379,�7b8 $ 444,159 Public Hnployees' Retire- ment Assaciation �nd 12,282 14,050 19,:147 17,682 Firemenos Relief Associa- tion Fund 89 894 11,172 7.2,:196 14,145 Gener�l debt servi�e funds 16,532 33,�+16 36,919 Improvement bonds 26,.568 52,762 T�tal $ 355,99�+ $ 407�3�3 . G�71 ��95 $ 565,667 Mill �ates General Fund 37.64 32t72 31.16 31.40 Public Employeese Retire- ment As�o�iation Fund 1.3� 1.26 1.57 1.25 Fireamen's Relief As�o�ia- ��.Otl T'11T1C1 1 e Q� 1..�0 1.'�Q 1•0� General d�b� service funds 1.48 2.74 2.61 Improvemen� bonds 2.18 3.73 Tc�t�l �+0.02 36��6 38.�65 39,99 94 CITY OF FRTDLEY� MINNESOTA TAX LEVIES AND TAX COLLECTIONS YEARS 19$0 THROUGH 1964 Collections Percentage Collection of current of levy of prior Ratio years' taxes collected years' taxes of total Year Total during fiscal during fiscal during fiscal ToCal collections collected tax levy period �,�riod period collections to tax levy 1960 $205,608 $202,592 98.53% $ 3,806 $206,398 1.0038:1 1961 250,182 243,007 97.13 3,970 246,977 .9$71 :1 1.962 355,994 351,707 98,79 3,828 355,535 .9987 :1 1963 407,343 394,611 96.87 5,011 399,622 .9810:1 1964 471,095 456,350 96.87 7,243 463,593 .9840:1 95 CITY OF FRIDLEY, MINNESOTA INSURANCE COVERAGE DECEMBER 31, 1964 Majar insurance coverage at December 31, 1964 is su�rnmarized below. Fire and ezctended coverage City Hall Building $136,000 Contents 35,OOp Bennett Building Buildi.ng 12,000 Contents 2,000 Madsen Building - Contents Sa000 Anan Building - Building 15,000 Pump H�uses Building 30,000 Contents 29,500 Equipment building and contents 24,000 Wa,ter tanks 187,500 Municipal Liquor Store No. 2 Building 60,000 Cc�ntent� 20,000 Stock 7 5,000 l�nieipal Liquor Store No. 3 Building 1579000 ��t���� 30,000 Stock 1008000 Municip�l Liquc�r Store No. �+ Content� 16,000 Stock 60,000 Iron remov�l pZ�nt �nd pump Iaouse Bqailding 180a 000 ����n�� 1�5s000 Comprelaensive liabili�y Bc�dily injury Autoano�iles 100/300,000 �ce�pt sutomcsbiles 100/3Q0,000 T�.quor li�.bili�y 100/300s 000 Prc�perty damage Autaau�biles 50,000 �cegt autoa�eobiles 50/100a000 Money �md se�uri�iesa inside/outside pse�ises - all locati�ns 15/ 12,000 Burgla�y l�nicipal Liquor Store No. 2 10,000 Municipal Liquor Stare No. 3 108000 Municipal Liquor Store No. 4 10a000 96 CITY OF FAIDLEY, MINNESOTA INSU_RANCE COVERAGE (CONTINUED) DECEMBER 31, 1.964 Business interruption Municipal Liquor Store No. 2 $ 57,000 l�nicipal Liquor Store No. 3 62,000 Municipal Liquor Stoxe No. 4 50,000 Depositors forgery bond - all locations 10,000 P1ate glass breakage repl�cement Workmen's compensation . statutory Equipment floater 60,719 Neon sign 2,000 Motor truck cargo 500 1Yaffic signals ($50.00 deductible) 12,000 90% Co-insurance is applicable to all buildings and 40% Co-insurance is applicable to all lfquor store stock. EMPLOYEES SURETY BONDS DECEMBER 31, 1964 Surety Name Pos i t ion bond Marvin C. Brunsell Clerk $ 1,000 Marvin C. Brunsell Treasurer 25,0�0 Mervin Herrmann Assessor 1,000 Virgil V. Wills Clerk of Municipal CourC 1,000 All employees of the City are covered by a blanket faithful performance bond of 15,000 97 CITY OF FRIDLEY, MINNESOTA ESCROW AGENT ACCOUNT During 1964 refunding bonds in the amount of $2,025,000 were sold by the City for the advance payment of the remaining bonds outstanding of three Ci1:y bond issues. Z�ie proceeds from the refunding bonds were paid directly to the esc,row agent, FirsC National Bank of Minneapolis, along with $50,903 from the Ci1.y. Zhe escrow agent is to use the bond proceeds, interest earned on fizvestments and other receipts for the payment of bond principal and interest, and for the payment of the ca11 costs when the callable bonds are redeemed. Bond issues refunded by the CiCy are, Sewer and Water Pro�ect No. 13 Intprovement Bonds issued 1/1/59 $ 270,Q00 Sewer and Water Project Nos. 21 and 22 Improvement Bonds issued 12/1S/59 505,000 Improvement Bonds of 1961 issued S/1/61 ,�1 250,000 �2,025,000 98 CITY OF FRIDLEY, MINNESOTA ESCROW AGENT ACCOUNT BALANCE SHEET DECEMBER 15, 1964 ASSETS Cash with escrow agent $ 25,582 Ca.sh with fiscal age�ts 41,310 Investments, at cost 2,034,454 Accrued interest receivable 10,521 Amount to be provided 356,256 Total assets $2,468,123 LIABILITIES AND RESERVES Bonded indebtedness Matured bonds and interest $ 41,310 �'uture maturities Boads 2,000,000 Interest 402,843 Reserves for Future call costs 20,375 Fiscal agents service charges 3,595 Total liabilities and reserves $2,46$,123 STATEMENT OF RECEIPTS AND DISBURSEMENTS MARCH 25, 1964 to DECEMBER 15, 1964 Receipts Proceeds fram sale of bonds $2,025g000 Aeccrued interest on bonds sold 9,76t� 7nvestmene maturities, at cost 217,814 Interest 48,062 Gity of Fridley 51 903 Total receipts $2,352,543 Disbursements Investm�ent purchases $2,252,268 $OridS 25a��0 7nterest 49,538 Fiscal agents service charges 155 Total disbursements $2,�326,961 Cash balance December 15, 1964 $ 258582 99 CITY OF FRZDLEY, MINNESOTA ESCRQW AGENT ACCOUNT BQNDS PAYABLE DECEMBER 31, 1964 Ihte 2�turity Tnte��est Principal of issue date rat:e amount S�ewer and t�ater Project No. 13 Improvement Bonds maturing $15�000 per year 1/1/59 1/I/65-69 4..00°!� $ 75,000 January 19 1969 1/1/59 1/1/69 4.�?0 195,000 Sewer and Water Project Nos. 21 and 22 Tmprovement Bonds matu�ing $30,000 per year 12/15/59 12/15/65-69 4.30 $ 150,000 December 15, 1969 12/15/59 12/15/69 4.:i0 330,000 Iinprovement Bonds of 1961 maturing $110,000 per year 5/1/61 2/1/65-67 /.�)0 $ 330,�40 $ 95,OOQ per year S/1/61 2/1/68-71 k�.��0 380,000 Febru�,ry 18 1972 5/1/61 2/1/72 4.:L0 13�9 000 February 1, 197Z S/1/61 2,/1��2 �a..20 �a05,000 Tota1 bonds payable $2,000;,000 101 CYTY OF FRIDLEY, MINIVESOTA ESCROW AGENT ACCOUNT DEBT SERVICE REQUIR�MENTS DECEMBER 15, 1964 Bond Year Principal Int�rest Total 1965 $ 155,000 $ 80,935 $ 235,935 1966 155,000 74,6/5 2299645 1967 155,000 68,355 223,355 1968 140,000 62,365 202,365 1969 665a000 52,580 717,580 1970 95,000 28,245 123,245 1971 95,000 24,445 119,�t45 1972 540s 000 11,273 551,273 �2�0009 000 02 8�t3 �2,�02,8�3