Loading...
Res 2000-58 RESOLUTION NO.58-2000 A RESOLUTION ADOPTING THE PROPOSED BUDGET FOR THE FISCAL YEAR 2001 WHEREAS, Chapter 7,Section 7.04 of the City Charter provides that the City Manager shall prepare an annual budget;and WHEREAS,the City Manager has prepared such document and the City council has met several times for the purpose of discussing the budget;and WHEREAS,Chapter 275, Section 065 of the Minnesota State Statutes requires that the City shall hold a public hearing to adopt a budget;and WHEREAS,the City Council has held a public hearing and has concluded the budget as prepared is appropriate; NOW THEREFORE BE IT RESOLVED,that the following budget be adopted and approved: ESTRIMATED REVENUE APPROPRIATIONS GENERAL FUND Taxes and Special Assessments: Legislative: Current Ad Valorem $4,016,800 City Council $ 119,380 Deliquent,Penalties, Planning Commissions 1,76 Forfeited 54,000 Other Commissions 3,35 Special Assessments 6,00 City Management: Licenses and Permits General Management 286,552 Licenses 186,000 Personnel 140,973 Permits 653,000 Legal 296,298 Intergovernmental: Finance: Federal 5,00 Elections 1,02 State- Accounting 602,715 Local Government Aid 1,687,729 Assessing 149,686 Homestead and Agriculture MIS 272,445 Credit Aid 1,069,173 City Clerk/Records 148,641 All Other 535,782 Police: Charges for Services: Police 3,492,745 General Government 800,410 Civil Defense 15,629 Public Safety 150,525 Fire: Conservation of Health 12,500 Fire 873,361 Recreation 236,300 Rental Inspections 97,156 Fines and Forfeits 190,500 Public Works: Interest on Investments 435,000 Municipal Center 238,126 Miscellaneous Revenues 153,600 Engineering 508,822 Other Financing Sources: Lighting 203,600 Sales of General Fixed Assets 20,000 Park Maintenance 906,610 Liquor Fund 300,000 Street Maintenance 1,282,330 Closed Debt Service Fund 232,900 Recreation: Employee Benefit Fund 150,000 Recreation 818,617 Police Activity Fund 193,105 Naturalist 280,820 TOTAL REVENUES AND OTHER Community Development FINANCING SOURCES 11,088,324 Building Inspection 304,315 Planning 445,545 Fund Balance: Reserve: General Fund Reserve 575,698 Emergency 100,000 Nondepartmental: 73,520 TOTAL GENERAL FUND $ 11,664,02 $ 11,664,02 101 SPECIAL REVENUE FUNDS Cable TV Fund $ 151,000 $ 114,481 Grant Management Fund 432,530 432,530 Solid Waste Abatement Fund 277,500 314,700 IHousing Revitialization Fund 250,000 250,000 Police Activity Fund 115,000 193,105 Fund Balance 78,786 TOTAL SPECIAL REVENUE FUNDS $ 1,304,816 $ 1,304,816 CAPITAL PROJECTS FUND Capital Improvement Fund General Capital Taxes-Current Ad Valorem $70,550 Improvement $204,000 Streets Capital HACA 15,000 Improvement 830,000 Parks Capital Interest on Investments 417,225 Improvement 314,400 Park Fees 30,000 Fund Balance 815,625 TOTAL CAPITAL PROJECTS FUND $ 1,348,400 $ 1,348,400 AGENCY FUND Six Cities Watershed Fund Taxes-Current Ad Valorem 6,20 Six Cities Watershed 6,20 TOTAL AGENCY FUND $6,200 $6,200 TOTAL ALL FUNDS $ 14,323,43 $ 14,323,43 PASSED AND ADOPTED BY THE CITY COUNCIL OF THE CITY OF FRIDLEY THIS 28TH DAY OF AUGUST 2000. diti , . _ _ _ _. — NA�rY/'• .�JOR' /ON,MAYOR ATTEST: Le_k_ Q 4 d/ DEBRA A. SKOGEN,CITY ERK I I