Loading...
RES 2009-33 - 14611RESOLUTION NO. 2009 - 33 A RESOLUTION ADOPTING THE PROPOSED BUDGET FOR THE FISCAL YEAR 2010 WHEREAS, Chapter 7, Section 7.04 of the City Charter provides that the City Manager shall prepare an annual budget; and WHEREAS, the City Manager has prepared such document and the City Council has met several times for the purpose of discussing the budget; and WHEREAS, Chapter 275.065, subd. 6 of Minnesota Statutes requires that the City shall hold a public hearing to adopt its final budget; and WHEREAS, the City Council will hold a public hearing on December 7, 2009 before determining a final budget; NOW THEREFORE, BE IT RESOLVED that the following proposed budget be adopted and approved: ESTIMATED REVENUE GENERAL FUND APPROPRIATIONS Taxes Legislative: Current Ad Valorem $ 9,280,966 City Council $ 116,215 Deliquent, Penalties, City Management: Forfeited 93,500 General Management 280,067 Licenses and Permits Human Resources 203,794 Licenses 190,300 Legal 377,400 Permits 348,700 Finance: Intergovernmental: Elections 53,703 Federal 7,000 Accounting 694,757 State: Local Government Aid 759,414 Assessing 195,237 All Other 627,282 MIS 227,552 Charges for Services: City Clerk/Records 169,073 General Government 1,121,800 Police: Public Safety 181,900 Police 4,978,708 Public Works 47,000 Emergency Management 21,965 Community Development 6,000 Fire: Recreation 262,000 Fire 1,287,419 Fines and Forfeits 270,000 Rental Inspections 144,081 Special Assessments 23,000 Public Works: Interest on Investments 90,000 Municipal Center 280,434 Miscellaneous Revenues 174,500 Engineering 515,078 Other Financing Sources: Lighting 249,800 Sales of General Fixed Assets 0 Park Maintenance 978,641 Liquor Fund 350,000 Street Maintenance 1,189,194 Closed Debt Service Fund 250,000 Garage 442,745 Recreation: Recreation 940,709 Community Development TOTAL REVENUES AND OTHER Building Inspection 308,933 FINANCING SOURCES 14,083,362 Planning 443,440 Reserve: Fund Balance: Emergency 105,000 General Fund Reserve 155,683 Nondepartmental: 35,100 TOTAL GENERAL FUND $ 14,239,045 $ 14,239,045 SPECIAL REVENUE FUNDS Cable TV Fund $ 261,000 Cable TV Fund $ 143,873 Grant Management Fund 116,348 Grant Management Fund 116,348 Solid Waste Abatement Fund 426,277 Solid Waste Abatement Fund 426,277 Police Activity Fund 0 Police Activity Fund 94,992 Springbrook NC Fund 402,100 Springbrook NC Fund 379,268 Fund Balance (44,967) Fund Balance 0 TOTAL SPECIAL REVENUE FUNDS $ 1,160,758 $ 1,160,758 CAPITAL PROJECTS FUND Capital Improvement Fund General Capital Improvement Streets Capital Improvement Parks Capital Improvement Fund Balance TOTAL CAPITAL PROJECTS FUND AGENCY FUND Six Cities Watershed Fund Taxes - Current Ad Valorem TOTAL AGENCY FUND TOTAL ALL FUNDS $ 14,127 613,547 71,204 249,122 $ 948,000 General Capital Improvement Streets Capital Improvement Parks Capital Improvement 6,200 Six Cities Watershed $ 6,200 $ 16,354,003 $ 86,000 795,000 67,000 $ 948,000 6,200 $ 6,200 $ 16,354,003 PASSED AND ADOPTED BY THE CITY COUNCIL OF THE CITY OF FRIDLEY THIS 24TH DAY OF AUGUST 2009. 0409Y ofaml�' Cott J. Lund, Mayor Attest: bd.41zie Debra A. Skogen, Ci Clerk