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1979 Budget CITY OF FRIDLEY 1879 13000ET OVERVIEW s INTRODUCTION January, 1979 This is an attempt to give a simple overview of the final budget for the calendar year 1979 as adopted by the City Council of Fridley. The budget as adopted represents maintenance of a reasonable level of municipal services by all departments of the City to the citizens of Fridley. These resource allocations are based on a careful evaluation by the City Council and administration in terms of community needs, operational efficiency and Fridley's ability to pay for the services. The budget represents a financial plan approved by the City Council to guide the admini- strative staff in managing the municipal activities for the year 1979. BUDGET PROCESS The department heads prepare their departmental requirements based on the input,they have received from the public, the employees and the supervisors of the department on the community need and the operational requirements for the services delivered by the department. Then these recommendations are submitted to the City Manager who reviews these requests based on the input he has received from the public and direction from the Council on different needs and emphasis of the services delivered by the City. Then the City Manager adjusts the different departmental requests and sees that the total budget recommendations equal the expected potential revenue. The budget recommendations are submitted to the Council for their review, modification and approval based on the public input, community needs, and desire for change in empha- sis for different services delivered by the City. The budget background and the recom- mendations were presented to and discussed by the City Council at numerous public meetings starting in March, 1978. The administrative public hearing for the use of revenue sharing funds was held on July 24, 1978. "he City Council held a public hearing on the revenue sharing and the rest of the budget on September 18, 1978. The first reading of the ordinance adopting the budget was held on September 25, 1978 and the second reading on October 2, 1978. The adopted ordinance was published in the Fridley Sun Newspaper on October 11,1978. The budget as submitted by the City administration, reviewed, modified and then.adopted by the City Council, is a balanced budget. It was prepared and then adopted with the goal of setting a tight departmental budget the City can live with and not creating any new major funding areas, but only providing a greater emphasis on public safety and on the human and recreational services. II u CITY OF FRIOLEY 9979 6LJOGET OVERVIEW l CHARTS AND GRAPHS PROPERTY TAX COMPARISON 120 Mill 1977 ACTUAL 1978 ACTUAL 1979 ACTUAL 95.07 96.85 80 Mill Dist #14 Dist #14 89.87 Dist #14 54.65 Mills 54.26 Mills 47.17 Mills 11111 57.48% 56.03% 52.49% Other 3.43 Mills 0th 3.14 Mills Other 3.35 Mill 40 Mill 3.61% Co6nnttyy% 24.40 Mills County 24.28 M1 County 22.21 Mills 25 19% 23.36% 27.03% City 14.78 Mills C� y5� .05 Mills City 15.05 Mill 0 Mills 16.76% 1977 ACTUAL 1978 ACTUAL 1979 ACTUAL OPERA- BONDED OPERA BONDED OPERA- BONDED TING DEBT TOTAL * TING DEBT TOTAL * TING DEBT TOTAL MILL MILL MILL PERCEN- MILL MILL MILL ERCEN- MILL MILL MILL PERCEN- FISCAL YR. RATE RATE RATE TAGE RATE RATE RATE TAGE RATE RATE RATE TAGE City 14.51 .27 14.78 15.55% 14.77 .28 15.05 15.54% 14.80 .26 15.06 16.76% County 22.21 - 22.21 23.36% 24.40 - 24.40 25.19% 24.29 - 24.29127.03% N.S.H.D. .13 - .13 .14% .12 - .12 .12% .10 - .10 .11% Metro Transi 1.75 .51 2.26 2.37% 1.70 .42 2.12 2.19% 1.64 .34 1.99 2.21% Metro Counci l .30 .21 .51 .54% .30 .06 .36 .37% .32 .07 .39 .43% Metro Mosq Control .23 - .23 .24% .25 - .25 .26% .28 - .28 .31% Rice Creek Watershed .30 - .30 .32% .29 - .29 .30% .60 - .60 .66 Sub Total 2.71 .72 3.43 3.61% 2.66 .48 3.14 3.24% 2.94 .41 3.35 3.72% SchDist #11 39.12 19.28 58.40 38.28 17.56 55.84 36.49 11.22 47.71 Sch.Dist #13 39.91 7.35 47.26 38.92 7.61 46.53 37.92 7.12 45.04 ch Dist #14 38.64 16.01 54.65 57.48% 37.41 16.85 54.26 56.03% 35.82 11.35 47.17 52.49% rh Dist #1 44.94 18.68 63.62 42.36 19.32 61.68 41.40 20.85 62.25 TOTAL 100.0% 100.0% 100.0% * Percentages are based on total using School District #14 FISCAL YEAR 1976 VALUE FOR 1977 TAXES 1977 VALUE FOR 1978 TAXES 1978 VALUE FOR 1979 TAXES Assessed Value $144,039,477 $152,553,962 $163,331,036 Affect of Fiscal Disparities Law -( 4,812.211) -( 6,271,738) - (7,376,217) Net Taxable lblue $139,227,266 $146,282,224 $155,954,819 Increase Over $ 13,583,642 $ 7,054,958 $ 9,672,595 Previous Year 10.8% 5.07% 6.61% Increase Due $ 9,566,168 $ 2,219,794 $ 4,296,974 to Revaluation 7.6% 1.60% 2.94% Increase Due to $ 4,017,474 $ 4,835,164 $ 5,375,621 _ ., New Constructio 3.2% 3.47% 3.67% III I CITY OF FAIOLEY 907E BUDGET OVERVIEW REVENUE Budgeted revenue of $5,010,628 for all the funds shown in the budget for 1979 show a rise of $678,251 or 15.7%increase over the budgeted revenues of $4,332,377 for the year 1978. A combined mill rate of 15.057 mills is required to fund the difference of the total revenue needed less the revenue from other sources; that is, 45.9% of the total revenue needed is to be funded by the City local taxes. This mill rate is composed of 14.523 mills for the general fund which accounts for the 51.0% of the revenues necessary to provide basic government services of the City such as, general government, public safety, public works, parks and recreation, etc; .256 mills for the debt requirement of the construction of the civic center; and .278 mills for the capital improvement fund designed to accumulate monies for future large capital improvement projects. For the taxes payable in 1979 by the residents of Fridley, in School District #14 area of Fridley, the total mill rate is 89.866 mills, of which the school rate is 47.171, Anoka County 24.287 the City 15.057, and miscellaneous composed of NSSHD .102, Metro Transit 1.985, Metro Council .389, Metro Mosquito Control .278 and Rice Creek Watershed District .597. The City's mill rate of 15.057 for the general property tax revenue for the year 1979 remained essentially the same as the 15.05 actual mill rate for 1978. The overall mill rate of 89.866 in School District #14 area is 6.984 mills lower than the 96.85 mills for 1978. The bulk of the drop is due to the bonds for certain school buildings being paid off. The overall mill rate in the City of Fridley for 1978 was one of the lowest in the metro area, especially in our City's population range. I am sure that with the City, county and schools all taking a hard look and keeping the taxes down, we can continue to retain the position of having one of the Aowest property taxes in the metro area. TAXABLE EVALUATION The assessed value for 1979 is estimated to be $163,331,036, with the net negative effect of fiscal disparity law amounting to $7,376,217, making the net taxable value equal to $155,954,819. This amounts to an increase of $9,672,595 or 6.61% increase over 1978. Out of this increase $4,296,974, or 2.94%, is attributable to reevaluation and $5,375,621, or 3.67%, to the new construction. The assessed value is more than last year in spite of the fact that the state changed the percentage of assessed value on limited market value for homestead property from the first $15,000 at 22% to the first $17,000 at 20% and the balance of each property value from 36% to 33-1/3%. In addition, more of a net contribution to Fiscal Disparities affected the net taxable value. For total taxes homeowners will find a decrease if they live in School District #14 area, even considering an increase in market value. For a home in District #14 valued at $50,000 for tax purpose, the net total taxes after homestead credit of $325 in 1978 was $1214.92, of which City taxes were $188.80. For the same value home, the 1979 total net tax will be $969.08 and the City tax $162.32. Even if the same $50,000 valued house in 1978 is raised in value 10%, i.e. $55,000--the maximum allowed value increase under state law--the net total taxes for 1979 will be $1118.88 and City taxes $187.42. IV CITY OF FRIOLEY 1979 SUOOET OVERVIEW CHARTS AND GRAPHS BUDGETED REVENUE ... 1977 1978 1979 FISCAL YEAR BUDGETED BUDGETED BUDGETED BUDGETED General Fund ;3,285,318 $3,:781,342 $3,962,664 $4,351,005 State Aid Fund 231,324 282,434 287,000 548,021 Civic Center Bond Fund 36,750 35,868 40,180 40,102 Capital Project Fund 45,664 41,,000- 42,533 71$00 Total Adopted Budget $3,599,056 $3,944,704 $4,332,377 $5,010,628 Increase Over Previous $ 453,344 $ 345,648 $ 387,673 $ 678,251 Year 14.4% 9.6%, 9.8% 15.7% Dollars Below Mill Levy Limit $ 201,733 $ 96,327 $ 5,676 $ 268,537 1979 TOTAL ESTIMATED PROPERTY TAX School District 1114 52.49% '3. No.Sub.Hospital Dist. Qtiher Metro Transit Comm. city city Metro Council Metro Mosquito Control County Rice Creek Water hed 27,03% 1979 ESTIMATED REVENUE FOR ALL BUDGETED FUNDS IKKASE OVEN 1979 RCVEmH--ALL FUNDS 1978 RIIOGE7 Property Tucs $2.301,160 15.9% — State 6 Fed.Aid 1,591.773 71.8: 10.0% Fines 6 OMer Receipts 757,550 15.1% 79.9% Property Tax ,Li t°ar"' y Licenses%Pe,atit, 277,115 S.SZ 21.0$ 45.9% L14uoY Store T07AL $�10 628 TW.-K' TS.7's 1979 REVENUE BY FUND Li .Story Fees,Charges,Lic., and Permits 5.5% State and Fed. Aid 31.8% Fines and Other Receipts 15.1% General Fund 86.8% apita rojeet - 1979 REVENUE OY FUND �- Teneral Fund $4,351,005 86.81 Civic Center ,N Civic Center Bond Fund 40.102 .81 capital Project Fund 71,500 1.4% BoOd F A ro State Aid Fund 544.021_ 11.CG ti 3s,olc.e2a 100.Ou V CITY OF FRIOLEY 9979 BUOOET OVERVIEW EXPENDITURES The budget as submitted, modified, and adopted is a balanced budget; that is, estimated revenue equals expected expenditure for City government services for 1979. The budget provides a total expenditure of $5,010,628, which equals the expected revenue and is $678,251 or 15.7% over the 1978 budgeted expenditure level. I i INFLATION IMPACT The July to July consumer price index has increased 7.7% for the nation and 8.4% for the Minneapolis/St. Paul area. The October to October consumer price index has increased 8.8% for the nation and 10.2 for Minneapolis/St. Paul area. In the last few years the budget expense has remained pretty stable if the cost of inflation is taken into considera- tion. What modest increase has been made in the budget is due to greater emphasis on public safety, recreation and the addition of nature interpretive and shade tree disease control programs. i The expense side of the budget is composed of general fund expenditures and the other funds expenditures. i I GENERAL FUND The general fund is established to account for revenue and expense necessary to provide basic government services for the City; such as, general government, public safety, public works, parks and recreation, etc. The general fund budget provides an expenditure of $4,351,005 compared to the 1978 budget of $3,962,664 which is an increase of $388,341 or 9.8%. VIII CITY OF FRIOLEY 9979 9000ET OVERVIEW CHARTS AND GRAPHS GENERAL FUND EXPENDITURES BY OBJECT Personal Services 62.1% Reserve 2.9% capital Outlay �.5x Other Expenses 27.5% Expenditures by Object Personal Services $2,702,728 62.1% Other Expenses 1,194,574 27.5% Capital Outlay 328,703 7.5% Reserve -125-0.0Q 2.9% 4,351,005 100.0% GENERAL FUND EXPENDITURES BY OBJECT DOLLAR FIGURES AND PERCENTAGE OF GENERAL FUND 1974 1975 1976 1977 1978 1979 $1,386,714 $1,830,323 $2,094,224 $2,267,743 $2,462,804 $2,70.2,728 Personal Services 59,1% 63.6% 63.8% 63.0% 62.2% 62.1% 629,011 702,895 809,370 889,433 1,040,419 1,194,574 Other Expenses 26.8% 24.4% 24.6% 25.0% 26.2% 27.5% Capital Outlay 228,501 267,249 306,724 324,166 359,441 328,703 9.8% 9.3% 9.3% 9.0% 9.11 7.5% 101,828 76,811 75,000 100,000 100,000 125,000 Reserve 4.3% 2.7% 2.3% 3.0% 2.5% 2.9% ^ � 1 $2,346,054 $2,877,278 $3,285,318 $3,581,34?. $3,962,664 $4,351,005 TOTAL 100.0% 100.0% 100.0% 100.0% 100.0% 100.0% IX �j CITY OF fRIOLEY 9979 EIJOOET OVERVIEW The major categories of expense of the general fund are: PERSONAL SERVICES The 1979 budget provides for total personnel services in the amount of $2,702,728 com- pared to $2,462,804 in 1978, an increase of 9.74%. The above figure includes all permanent and temporary employee salaries, leaves, insurance, pension costs. Personal services in the budget represent 62.1% total general fund budget. It is the single greatest expense of City resources. The City has taken a hard look at controlling the increase in expenses in this area, as it has been done in the past. There will be continued reliance upon citizen volunteer help, students, work study programs, and state and federally funded programs to complement the City's permanent personnel resources and to control costs. There are no additional permanent positions budgeted in 1979 except for allocating one additional office position in police and one position in the recreation area and reducing one position in special assessments and one in the liquor stores. Also, greater emphasis has been placed on shared use of personnel among departments on an as needed basis. This way we hope to more effectively utilize the personnel capabilities available to the City. OTHER EXPENSES The 1979 general fund budget provides a total of $1,194,574 in other expenses compared to $1,040,419 in 1978. This represents an increase of $154,155. This section of the general fund constitutes 27.5% of the general fund budget in 1979 as compared to 24.8% in 1978. The fuel, utility, asphalt and other such material price raises have been greater than the rate of price increases for general consumer products. Since the City uses a dispro- portionately large amount of fuel, the costs have climbed higher for the City than the general consumer price index increases. CAPITAL OUTLAY The 1979 budget provides a total capital outlay of $328,703 compared to $359,411 in 1978. This is a decrease of 8.5% as compared to the 1978 increase of 10.9% and the 1977 increase of 5.7%. This section of the general fund composed of major equipment and capital costs represents 7.5% of the general fund budget in 1979 as compared to 9.1% in 1978 and 9.1% in 1977. We will continue acquiring needed equipment through the federal government military surplus or civil defense program whenever it is available to us to minimize the City's needed equipment costs. RESERVE FOR CONTINGENCIES The reserve for contingencies has been allocated in the amount of $125,000 in 1979, an increase from 1978. This money is provided to cover some of the uncertainties in the estimates of the revenues and potential unexpected costs to the City. The reserve for contingencies fund is 2.9% of the general fund budget in 1979 as compared to 2.5% in 1978 and 2.8% in 1977. X CITY OF FRIOLEY 997E SUOOET OVERVIEW CHARTS AND GRAPHS GENERAL FUND EXPENDITURES BY FUNCTION General Fund Public Safety Expenditures by Function 34.1% General Gov't. $ 725,254 16.6% Public Works Public Safety 1,482,536 34.1% Public Woks 1,082,415 24.9% Reserve 2.9% 24.9% Recreation 935,800 21.5% Reserve 125,000 2.9% 4,351,005 100.0% General Government 16.6% Recreation 21.5% GENERAL FUND EXPENDITURES BY DEPARTMEW i Public Works General Fund 27.7% Police Expenditures by Department Legislative $ 120,828 2.8% 26.7% Management 217,195 5.0% Finance 262,911 6.0% Reserve 2.9% 8 Police 1,161,498 26.7% t��e 2• Fire 321,038 7.4% ,e9isla Public Works 1,206,735 27.7% Parks & Rec. tne�� off' Parks and Recreation (Including Nat) 935,800 21.5% oa°'e Reserve 125 000 2.9% �a ,351,005 00 0% coe a 21.5% z� n XI CITY OF FRIOLEY 9979 BUCKET OVERVIEW The budget has been prepared within the legal restraint imposed by the mill rate limita- tions required by the State of Minnesota. The levy limitation requires that the municipality cannot levy property taxes in excess of 6% over the amount levied in the previous fiscal year except for certain exemptions plus adjustment due to population increase or decrease. But additionally last year the state legislature allowed a one- time 10% upward adjustment to the levy limit. For this reason the total levy for the budget as adopted is approximately $268,537 under the maximum allowable if all the exemptions allowable were used in full as compared to the 1978 budget in which case we were $5,676 under the maximum allowable. Even though the City Council had the dis- cretion of raising additional money through taxes, they chose to continue the tight budget policy for existing services and taking a hard look at adding or expanding any new programs or areas of service. The City will receive about 16.76% of the total revenue raised by the local property tax. School District #14 will receive 52.49%, County of Anoka 27.03% and other 3.72% composed of North Suburban Hospital District receiving .11%. Metro Transit Commis- sion 2.21%, Metro Council .43%, Metro Mosquito Control .31%, Rice Creek Watershed District .66% where applicable. The property tax will contribute$2,301,160 toward the total revenue required by all budgeted funds. The federal aid co-Vused of federal revenue sharing dollars in the amount of $220,112 and Section 8 Grant in the amount of $7,000 will contribute a total or $227,112 making 4.5% of the total revenue. The federal sharing funds are incorporated in the general fund and are spread throughout the general fund to provide extension of the City's program, which would not have been possible through local resources, in the areas of public information, public safety, public works and parks and recreation. For state aids we will get $988,765 as state shared taxes, $326,909 for state aid road funds, $26,205 for state aid streets, $17,262 for state tree subsidy, and $11,020 for civil defense, making a total of $1,370,161 for 27.3% of budgeted revenue. So the total budget revenue for federal and state aid will contribute $1,593,773 or 31.8% of the revenue, which is 10.0% higher than the 1978 budget revenue. Fines and other receipts amount to $757,550 or 15.1% of total estimates revenue, which is an increase of $336,382 or 79.9% over 1978. The greatest percentage of the increase is due to the use of greater amounts from state aid and general fund surpluses. The revenue from licenses, permits, fees and charges contribute $273,145 or 5.5% of the total, which is an increase of $51,080 or 23.0% over 1978. Fee charges are reviewed in the early part of the year to see that they closely reflect actual costs incurred by the City. The transfer from liquor store revenge is estimated to be $85,000 the same as in 1978, which amounts to 1.7% of the total revenue. The general fund revenue contributes $4,351,005 or 86.8% of the total revenue, which is $5,010,628 or an increase of $388,341 or 9.8% as compared to 1978. The civic center bond fund contributes $40,102 or over .8% of revenue, which is a decrease of $78 or .2% under 1978. The capital project fund amounts to $71,500 or 1.4% of the total revenue compared to 1.0% in 1978, which is an increase of $28,967. State aid funds revenue consist of $326,909 or 6.5% of total revenue, which is $39,906 or 13.9% above the 1978 level. VI CITY OF FRIDLEY 1979 BUDGET OVERVIEW CHARTS AND GRAPHS INFLATION EFFECT Millions 5 i i 4 Eea 2 :: ..........:•:•::• Actual Budge t F;i3 .... ... figures _ Budget figures 1 —-- in 1973 dollars Cost of inflation ' 1 73 74 75 76 77 78 79 GEMERAL FUMD ESTIMATED RFVEMUES Property Tax 51.0% -9% store �� 6 �y �Se�Q fees e`e�Q Federal/State Aid General Fund ice Cher Estimated Revenue aid ° t 31.8% o � Property Tax $2,219,558 51.0% Federal/State Aid 1,382,252 31.8% c�1° Fines, Other Receipts 385,450 8.9% Licenses, Permits and Other Fees 278,745 6.4% Liquor Store 85,000 1.9% $4,351,005 100.0% VII BUDGET INDEX . 1979 City of Fridley, parts Minnesota Allocation Plan City of Fridley 1979 Budget Overview I - XXVII City Organization for Service XXVIII City Administrative Organizational Structure XXIX - XXX Adopting Ordinance . . . . . . . . . . . . . . . . . . . . . . . . . . 1 Revenue Summary . . . . . . . . . . . . . . . . . . . . . . . . . 2 - 3 Expense Summary . . . . . . . . . . . . . . . . . . . . . . .4 - 5 Expense Detail General Fund . . . . . . . . . . . . . . . . . . .6 - 41 Legislative Department 6 - g City Council . . . . . . . . . . . . . . . . . . . . . . 7 Planning Commission. . . . . . . . . . . . . . . . . . . 8 Other Commissions. . . . . . . . . . . . . . . . . . . . 9 City Management Department 10 - 13 General Management . . . . . . . . . . . . . . . . . . . 11 Personnel. . . . . . . . . . . . . . . . . . . . . 12 Legal. . . . . . . . . . . . . . . . . . . . . . . . . . 13 Finance Department 14 - 17 Elections. . . . . . . . . . . . . . . . . . . . . . . 15 Accounting . . . . . . . . . . . . . . . . . . . . . . . 16 Assessor . . . . . . . . . . . . . . . . . . . . . . . 17 Police Department 18 - 19 Police Service . . . . . . . . . . . . . . . . . . . 19 Fire Department 20 - 22 Fire 21 Civil Defense. . . . . . . . . . . . . . . . . . . . . . 22 Public Works Department 23 - 29 Public Works Maintenance . . . . . . . . . . . . . . 24 - 25 Code Enforcement . . . . . . . . . . . . . . . 26 Planning . . . . . . . . . . . . . . . . . . . . . . . 27 Engineering. . . . . . . . . . . . . . . . . . . . . . . 28 Civic Center . . . . . . . . . . . . . . . . . . . . . . 29 Parks and Recreation Department 30 - 36 Naturalist . . . . . . . . . . . . . . . . . . . . . . . 31 - 32 Parks. . 33 - 34 Recreation . . . . . . . . . . . . . . . . . . . . . . . 35 - 36 Reserve for Contingencies . . . . . . . . . . . . . . . . . 37 - 38 Revenue Sharing Detail. . . . . . . . . . . . . . . . . . . . 39 - 40 Mill Levy Computation . . . . . . . . . . . . . . . . . . . . 41 Revenue and Expense Summary - Misc. Funds. . . . . . . . . . . . 42 - 48 Appendix "A" Planning Commission and Member Commission Detail Al - A6 Appendix "B" Other Commissions--Police, CATV and Charter Comm. Bl - B3 Appendix "C" Personal Service Cl - C39 s CITY OF FRIOLEY 1879 BUOOET OVERVIEW CHARTS AND GRAPHS BUDGET PROCESS PUBLIC SERVICES 14EEDS DELIVERED INPUT DEPARTMENTAL RECOMMENDATION CITY 1'1 ADOINIS T RATIOfl IMPLEMENTATION CITY MANAGER CITY COUNCIL RECOMMENDATION REVIEW MODIFICATION AND ADOPTION BALANCED BUDGET REVENUE = EXPENDITURE I 1 CITY OF FAIOLEY 'W79 BUDPLIT OVERVIEW' 1 The general fund expenditures by function are 34.1% for public safety in 1979, 33.6% in 1978 and 34.0% in 1977. The public works for 1979 is 24.9%, 25.9% in 1978 and 26.0% in 1977. Recreation amounts to 21.5% in 1979, 21.1% in 1978 and 20.0% in 1977. General government costs in 1979 are 16.6%, 16.9% in 1978 and 17.0% in 1977. The division of general fund expenditure by department is shown on the other side of the sheet, and further detailed analysis is shown department by department on the following sheets. XII CITY OF FAIOLEY 1979 ®UOOET OVERVIEW CHARTS AND GRAPHS LEGISLATIVE DEPARTMENT COSTS 1,000,000 900,000 800,000. 700,000 600,00 OOOL 400,00 300,00 200,00 100,00 1975 1976 1977 ACTUAL ACTUAL BUDGET BUDGET BUDGET TOTAL DEPARTMENT COST: l.Od/person/day DEPARTMENT: Legislative 1979 ACTUAL ACTUAL ACTUAL BUDGET City Council $ 70,025 $ 57,284 $ 60,001 $ 73,926 $ 76,230 Planning Commission 14,934 19,692 20,893 26,334 30,944 Other Commissions 4,443 8,570 11,624 12,278 13,654 TOTAL 89,402 85,546 92,518 112,538 120,828 % Change +7.4% PERCENTAGE OF GENERAL FUND BUDGET 3.1% 1 2.6% 2.6% 2.8% 2.8% 1979 PROGRAMS INCLUDE: CITY COUNCIL PLANNING COMMISSION OTHER COMMISSIONS 001 General 004 Planning Commission 012 Police Commission 002 Agenda & Resources 005 Community Development 015 CAN 006 Appeals Commission 016 Charter Commission 008 Parks & Recreation 009 Environ Quality Comm. 010 Human Resources XIII CITY OF FRIOLEY 997E ®IJOOET OVERVIEW LEGISLATIVE D6gARTMENT The legislative department is the policy making and public input section of the City government. The Mayor and City Council, City Commissions and the services of City Staff (information and support) are included under this department. The program groups within this department are City Council, Planning Commission and Other Commissions. City Council Objective: To provide policies and direction for the functioning of the City of Fridley government based upon public input, data, background and information provided to the City Council by the city staff to aid in making the policy decisions. Description: The City Council has two regular, one public hearing and one conference meeting per month (barring holidays which change the schedule). The Council makes policy decisions within the guidelines of the City Charter, approves the City Budget, appoints citizen advisory committees and provides general direction to the City Manager for implementation of policy decisions and management of the municipal activities of the City departments. The City staff provide resource and records services as needed. Planning Commission Objective: To assist and advise the City Council in providing the citizens of Fridley the utmost in service and development of a high quality of municipal government in areas of planning and development. This is accomplished by the Planning Commission and its five subcommis- sion--the Community Development Commission, Appeals Commission, Parks and Recreation Commission, Environmental Quality Commission and Human Resources Commission. Description: The Planning Commission and its sub-commissions review and recommend planning and develop- ment policies to the City Council. The Planning Commission hears requests and makes recommendations to the City Council concerning zoning, platting, and vacations and the City Code in the areas of community planning and comprehensive development. The Community Development Commission promotes and maintains high quality community standards to ensure well-balanced and orderly development, rehabilitation and revitalization of the areas of the City of Fridley. Some areas of special study are: industrial and economic develop- ment, housing,transportation and other community development projects. The Appeals Commission provides a process by which the public may appeal the literal provisions of the zoning ordinance, sign ordinance, and building code, for exceptional circumstances. The Parks and Recreation Commission promotes the systematic comprehensive development of park facilities and recreational activities to meet the great diversity of recreational needs of Fridley citizens. The Environmental Quality Commission promotes awareness of and interest in environmental concerns among the citizens of Fridley and serves as a resource and advisory body to the Planning Commission in this area. This commission studies envir- onmental problems, laws, policies and regulations of other governmental bodies and their impact on our City. The Human Resources Commission concerns itself with communication and protection of just and equitable rights among all residents of the City of Fridley and seeks to promote harmonious relationships among individuals and groups within the City. Special areas of concern are equal opportunity in employment, housing, public accomo- dations plus promotion of cultural and educational services within the City. Other Commissions Objective: To assist and advise the City Council in providing the citizens of Fridley the utmost in service and developing a high quality of municipal government in areas of police officer employment, telecommunications and charter changes. Description: The commissions within this program group are the Police, CAN and Charter Commissions. The Police Commission prescribes basic conditions for employment and establishes classi- fications within the Police Department. The CATV Commission makes recommendations on the broad range of interests and disciplines related to the telecommunication needs of the City and continually reviews the operations of the Cable TV system. The Charter Commis- sion reviews and recommends suggested amendments to the City Charter. XIV CITY OF FAIOLiEY '�� 04.100111T OVERVIEW CHARTS AND GFIAP 48 CITY MANAGEMENT DEPARTMENT COSTS 1,000,000 900,000 800,000. 700,000 600,00 500,000. 400,00 300,0 200,00 100,00 1975 1977 1978 ACTUAL ACTUAL BUDGET BUDGET BUDGET TOTAL DEPARTMENT COST: 1.84/person/day DEPARTMENT: City Management 1976 9 ACTUAL ACTUAL ACTUAL BUDGET General Management $ 99,054 $122,618 $113,418 $129,670 $138,950 Personnel 15,927 14,717 13,404 22,470 25,329 Legal 38,509 39,011 44,177 50,056 52,916 TOTAL $153,490 $176,346 $170,999 202,196 $217,195 % Change +7.4% PERCENTAGE OF GENERAL FUND BUDGET 5.3% 1 5.4% 1 4.8% 1 5.1% 5.0% 1979 PROGRAMS INCLUDE: GENERAL MANAGEMENT PERSONNEL LEGAL 018 Management 022 Personnel Practices 028 Gen. Legal Services 019 Public Information 023 Labor Relations 029 Prosecution 020 Purchasing 024 Employee Safety (OSHA) � 1 Xv CITY CF FAICLEY 9879 BUCOET CVifiV#NW CITY MANAGEMENT The City Management Department serves as the link between the policy-making of the City Council and the actual operation of the City services. The City Manager, appointed by the Council, is the chief administrative officer of the City. City 'administration provides the implementation of Council policies and direction regarding the City operations through the City departments. City activities regarding personnel matters and the legal needs of the City (which are met by the two contractual attorneys) are carried under this department. Program groups in this department are Management, Personnel and Legal. General Management Objective: To coordinate and direct the activities of the City's departments in an efficient implementation of Council policies and direction; to provide recommendations based on data, information, and background material for areas requiring policy decisions by the City Council; to provide for the efficient day-to-day operations of the City using cost productive mechanisms. Description: The City Manager provides direction for the City departments, through staff meetings and individual consultations with Department Heads and other staff. This department provides public information to the citizens of Fridley through various instruments including a City newsletter. Purchasing of supplies and contractual services for all City departments is done through the City Manager's staff. Personnel. Objective: To establish and maintain an equitable and uniform personnel system; to provide improved personnel policies; to provide for labor negotiations and employee safety. Description: This program group covers all functions related to personnel from the recruitment of new employees through the maintenance of services, benefits and guidelines for existing personnel. These activities include labor negotiations and OSHA conformance. Legal Objective: To provide legal advice to th'e City Council, city staff, commissions and the general public on municipal matters and to prosecute criminal offenses. ;Description: The City Attorney attends Council meetings, provides legal opinions on City policy, aids with the development of City resolutions and ordinances, and provides legal counsel. The prosecuting attorney provides prosecution services for criminal /1 offense on behalf of the City. XVI CITY OF FRIOLEY 1879 9IJOGIET OVERVIEW i CHARTS AND GRAPHS FINANCE DEPARTMENT COSTS 1,000,000 900,000 800,00 700,00 600,00 OOOL 400,00 300,OOD 200,00 100,00 1975 1976 1977 ACTUAL ACTUAL BUDGET BUDGET BUDGET n TOTAL DEPARTMENT COST: 2.2¢/person/day DEPARTMENT: Finance 1976 9 ACTUAL ACTUAL ACTUAL BUDGET Elections $ 7,601 $ 15,348 $ 8,835 $ 17,499 $ 11,669 Accounting 107,471 110,611 121,973 129,514 142,349 Assessor 78,068 88,435 90,338 97,659 108,893 TOTAL $ 193,140 $ 214,394 $221,146 $ 244,672 $ 262,911 % Change + 7.5% PERCENTAGE OF GENERAL FUND BUDGET 6.7% 6.5% 6.1% 6.2% 6.0% 1979 PROGRAMS INCLUDE: ELECTIONS ACCOUNTING ASSESSOR 03 oter Registration 035 Amin/Fiscal Planning 049 rop Tax Adminis. 032 Elections 036 Non-Payroll Accounting 050 Appraisal of Prop. 037 Pavroll Accounting 051 Spec Assess Admin 040 'Investment/Revenue Col- (To be allocated to lection- construction projects) 041 Licensing 042 Data Processing 043 Auditing XVII Y, CITY OF FRIDLEY W78 ERJOOET OVERVIEW FINANCE CIERALIRTIVIENT The Finance Department provides a broad range of financial services to the City including management of City investments, accounting and payroll services for all City operations, tax assessment services for the City, administration of special assessment rolls for public improvement projects, supervision of elections, and overall management of municipal liquor stores. Program groups within this department are Elections, Accounting, and Assessing. Elections Objective: To encourage and facilitate registration of voters; to conduct elections in such a manner that every registered voter has an opportunity to vote with a minimum of delay; to facilitate the counting of ballots as expediciously and accurately as possible; to act as an impartial authority for the purpose of counting and certifying signatures on various types of petitions. Description: Personnel in the Finance Department register voters, design and print ballots, train election judges, set up voting equipment and oversee elections on election day and authenticate signatures. Accounting: Objective: To provide financial management for the City; to provide accounting records which may be required by charter, state statute or federal laws or regulations for all City funds; to prepare periodic financial reports as may be required by the City Manager, Council , City Charter or other laws or regulations; to maximize the quality and speed of information flowing from the accounting division. Description: The Finance Director and other staff in the Accounting group advise the City Manager on financial policy matters, develop financial reports for auditing or other purposes, process all financial transactions with the City, administer the payroll system, purchase and sell investments, collect revenue due the City, license businesses, contracts, etc., within the City as provided by City Ordinance, and implement the data processing system. Assessing Objective: To plan, coordinate and administer a program to implement the property tax laws of the State of Minnesota as they apply to the jurisdiction of Fridley; to prepare and administer the special assessment rolls for the public improvement projects in the City. Description: The Assessing staff determines and implements assessing standards to be used in appraisal of real properties, delineate those areas to be appraised according to State Statutes, and classify and value all taxable property within the City. Assessing also computes the special assessments cost for each property for public improvement projects, posts all new approved assessment rolls and certifies them to the county, records and posts prepayment monthly. n Xviii CITY CW FAIDLEY 9979 ELMNIET OVERVIEW CHARTS AND C3RAPHS POLICE DEPARTMENT COSTS 1,000,000 900,000 800,00 700,00 1 600,00 500,00 400,00 300,OOD 200,00 100,00 1975 1976 1977 ACTUAL ACTUAL BUDGET BUDGET BUDGET TOTAL DEPARTMENT COST: 9.5d/person/day DEPARTMENT: Police 1976 ACTUAL BUDGET 9 Police Service $792,665 $874,390 $942,655 $l,G17,678 $1,161,498 Animal Control 11,979 11,642 12,427 16,212 (Consoli- dated into Police Ser. vices) TOTAL $804,644 $886,032 955,082 $1,033,890 $1,161,498 % Change I I I 1 1 +11.3% PERCENTAGE OF GENERAL FUND BUDGET J ' 28.0% 1 27.0% 1 26.5% 1 26.1% 1 26.7% 1979 PROGRAMS INCLUDE: POLICE 993 Administration/Management 105 Animal Control 096 Information Services 097 Special Projects 098 Field Operations 099 Investigation A 100 STEP 102 Volunteer Services XIX CITY OF FRIDLEY 1979 E!UDOET OVUNVIEW PUBLIC WOAKB DUrep"R BIII'P The Public Works Department performs activities in Public Works, Planning, Code Enforce- ment and Engineering. Specific duties include: street, sewer and water maintenance, building inspection, city planning and provision of engineering expertise for various City functions. The program groups in this department are Civic Center and Grounds Maintenance, Engineering, Public Works Maintenance, Planning and Code Enforcement. Planning Objective: To administer the planning projects for continual improvements and for the development of a healthy urban environment in Fridley. Description: Activities include developing and administering growth within the City and administering federal housing and revitalization programs. Code Enforcement Objective: To assure safe housing for all residents of Fridley, to prevent health hazards, and to insure the quality of the environment. Description: Activities revolve around providing City code information to the homeowners, builders and businesses. Reviewing building plans and providing coordination inspection. Pro- viding housing maintenance inspection of existing rental units. Civic Center and Grounds Maintenance Objective: To maintain the City of Fridley's Civic Center and grounds at a desirable standard in order to ensure attractive appearance and reduce the depreciation on the building. Description: The Parks Department performs landscaping and grounds maintenance. The Public Works Maintenance Division maintains the streets and parking lot. The custodial staff main- tains the structure and interior with major repairs and mechanical problems falling within the responsibility of the Community Development Division. Engineering Objective: To provide the technical functions to initiate, prepare, implement, supervise and inspect the capital improvement and safety programs throughout the City; to provide all other departments with the technical assistance on any engineering related problem (surveys, drafting, research, utility locations, etc.); to continually review the work performed by the City and others within the corporate limits to ensure a high quality of service and safety. Description: The Engineering Staff draws up plans, specifications and estimates for capital improve- ments and safety programs; initiates, administers and maintains programs such as construc- tion of streets, sewers, water, street lighting, signalization, traffic control devices, and sidewalks; maintains up-to-date records, reports, maps, and files of the various projects and assists in the location of existing services; cooperates with the state and Anoka County to initiate and administer traffic safety programs. Public Works Maintenance Objective: To maintain the City of Fridley's streets, alleys, sidewalks, storm sewers,' municipal garage and municipal equipment at the desirable high standards of service and to reduce the depreciation of the original investment. Description: Activities within this group include maintenance of City streets, street sweeping, snow and ice control, installation and maintenance of traffic safety devices and lighting, storm sewer maintenance, repair and maintenance of City-owned vehicles and equipment, and maintenance of the municipal garage and yard. XXIV CITY ew PRIMMY 9070 0L1 MET 0VOAVIOW CHARTS AND OA AP, a PARKS AND RECREA7ION DEPARTMENT COSTS 1,000,000 900,000 800,00 700,00 600,00 500,OOOL 400,00 300,OOD 200,00 100,00 9 6 ACTUAL ACTUAL BUDGET BUDGET BUDGET 1 TOTAL DEPARTMENT COST: 7.7t/person/day DEPARTMENT: Parks and Recreation 1976 ly/7 1979 ACTUAL ACTUAL ACTUAL BUDGET Naturalist $ 77,248 $103,685 $152,275 $131,800 $ 71,281 Parks 294,925 363,460 426,256 387,306 563,639 Recreation 210,809 232,159 260,620 316,475 300,880 TOTAL $582,982 $699,304 839,151 $835,581 $935,800 % Change +12.0% PERCENTAGE OF GENERAL FUND BUDGET 20.4% 21.3% 23.3% 21.1% 21.5% 1979 PROGRAMS INCLUDE: PARKS NATURALIST 228 Tree Removal Subsidy RECREATION ature Interpretation 237 Park Administration 266 Recreation Administration 227 North Park Nature Center 251 Athletic Areas 292 Athletics/Sports 252 Buildings/Structures 293 Aquatics 253 Grounds/Turfs 294 Cultural Arts 254 Ice Area Maint. 295 Hobbies Clubs 255 Landscape Trees 296 Instructional Activities 256 Beach/Water Area 297 Playgrounds 257 Weed Abatement 297 Special Events XXv CITY OF FRIDLEY 9079 9UDOET OVERVMW POLICE DEPAPTFASIVIr The Police Department is responsible for traffic enforcement, criminal prevention and apprehension, and animal control in the City. Program groups in this depart- ment are Police Service and Animal Control. POLICE SERVICE Objective: To promote community safety and to maintain an atmosphere of reasonable security by providing an efficient public safety emergency service for the protection of life and property. n Description: The uniformed officers and supervising personnel, with clerical and techncial support staff, enforce the state and local laws. A twenty-four hour day, seven days per week operation of the police facility is provided to serve the citizens. Three teams with two sergeants and seven officers in each team are available to provide law enforcement, police protection and emergency services around the clock on three eight-hour shifts. Police staff conduct follow-up investigations into crimes that have occurred in the City, through interviewing and interrogating witnesses and suspects, coordinating investigation with other law enforcement and governmental agencies and providing crime scene investigation which includes photography and other specialized services at the scene. This department provides services in the areas of specialized crime prevention and public information, traffic and accident problem analysis, public safety activities records and bicycle safety. ' l XX CITY OF FAIOLEY Iwo 9NODET OVERVIEW CHARTS AND GRAPHS FIRE DEPARTMENT COSTS 1,000,000 900,000 800,00 700,000 600,00 OOOL 400,000. 300,0 200,00 100,00 1975 1976 1 1977 ACTUAL ACTUAL BUDGET BUDGET BUDGET TOTAL DEPARTMENT COST: 2.6Q/person/day DEPARTMENT: Fire I 97F- 1976 1977 BUDGET 1979 Fire $ 195,663 $ 243,841 $266,394 $ 278,665 $ 297,193 Civil Defense 16,467 16,308 18,254 17,015 23,845 TOTAL $ 212,130 $ 260,149 $284,648 $ 295,680 $ 321,038 % Change +8,6% PERCENTAGE OF GENERAL FUND BUDGET 7.4% 1 7.9% 7.9% 1 7.5% 7.4% 1979 PROGRAMS INCLUDE: FIRE CIVIL DEFENSE T-2 T— Fire Administration 136 Civil Defense 122 Training 123 Prevention A 124 Suppression ' l XXI CrrY of FRIOLAY 9079 euo v oviRIVIEW FIFA pEP1ARTMENT The Fire Department provides fire protection and prevention as well as Civil Defense preparedness. The program groups within this department are Fire and Civil Defense. Fire Objective: To prevent fires through code enforcement, inspection, training, public education programs, and promotion of smoke detectors; to save lives and property from fire, accidents and natural disasters; to maintain good public relations. Description: Activities within this group include fire prevention, training of personnel, maintenance of equipment, suppression of fires, and coordination and admini- stration of fire department activities. Under the fire prevention function, Fire Department staff develop and employ a fire inspection program for pre- vention and/or detection and elimination of fire hazards in commercial, in- dustrial and multiple dwelling occupancies within the City of Fridley. Fire safety education is provided to citizens, industry, and commerce through school programs, "in-plant fire brigade training," and assistance in special hazard problem-solving. Fires and explosions are investigated to determine causes and origins. Fridley firefighters and administrative staff in the department respond to fires within the City using their prior training and knowledge of the type of structure involved, weather conditions, building contents, numbers of people involved, possible on-sight fire protection such as built-in sprinklers, etc., to effectively extinguish or control the fire and to protect life and property. Fire training provides the Fire Department staff with the necessary knowledge and skills, including emergency medical training, necessary to effectively perform their duties. Civil Defense Objective: To provide and maintain a viable organization to interface the functions of local government with other governmental agencies, federal and state; to develop plans meeting approval of the various governmental agencies to protect the City's eligibility for participation in the many participatory programs of the Federal and State Civil defense programs. Description: Civil Defense staff develop and maintain up-to-date plans for meeting disasters, train personnel assigned to Civil Defense functions, and provide and maintain an adequate outdoor warning system. In addition, an emergency operations center is provided in the event of natural or man-made disaster. XXII CITY OF IMMOLEY Wye nucx=T OVERVIEW CHARTS AND GRAPHS PUBLIC WORKS DEPARTMENT COSTS 1,000,000 900,000 800,000. 700,00 600,00 500,00 400,00 300,OOD 200,00 100,00 1 976 9 ACTUAL L ACTUAL BUDGET BUDGET BUDGET TOTAL DEPARTMENT COST: 9.9d/Person/day 1976 1979 DEPARTMENT: Public Works ACTUAL ACTUAL A BUDGET RunaFT Civic Center $ 77,753 $ 80,067 $109,647 $ 110,206 $ 124,320 Planning 39,811 47,131 66,774 71,279 97,136 Engineering 79,716 85,107 86,192 93,658 93,654 Public Works Maintenance 525,162 612,125 617,650 690,400 730,994 Code Enforcement 111,215 135,263 158,126 172,564 160,631 TOTAL $833,657 $959,693 $1,038,389 $1,138,107 $1,206,0%5 % Change PERCENTAGE OF GENERAL FUND BUDGET 29.1% 29.2% 28.8% 28.7% 27.7% 1979 PROGRAMS INCLUDE: CODE ENFORCEMENT ENGINEERING PUBLIC WORKS MAINTENANCE 141 Building Code Enforcement 141 Engineering 181 Street Maintenance 142 City Code Enforcement 183 Street Sweeping 150 Housing Maint. Enforcement PLANNING 196 Snow & Ice Control 138 Mandatory P1an.Grant 202 Traffic Safety Devices CIVIC CENTER. 143 Planning 211 Storm Sewer Mtnc. 148 Civic Center & Grounds Mtnc. 144 Section 8 Housing 216 Shop Operations 146 Critical Areas Grant 218 Mun. Garage Maintenance XXIII CITY OF FRIDLEY 99yg EIJDOET OVERVIEW PAFws.AND RrscReAT10N oeRARTMENT The City of Fridley Park, Recreation and Natural Resource Department, while having several functions, has but one common goal: to provide safe, healthful, creative leisure time programs and facilities to meet the needs and interests of the City's residents, regardless of race, age or physical condition. This department provides year-round recreation activities for all residents and maintains over 500 acres of park lands, including 44 parks and natural history areas. Natural Resource Division Objective: To plan, develop and provide a wide range of environmental interpretive programs utilizing any available natural area within the City; to develop and maintain these areas in cooperation with other departments and agencies; and to provide interpretive services for all age groups on a public demand basis; to plan and provide a complete Shade Tree Disease Control Program under guidelines set forth by the Minnesota Department of Agriculture and related state statutes. Description: The Natural Resources staff provides assistance to local school districts in an effort to promote environmental interpretive programs for students and teachers. This service is also extended to all age groups of the general public through special classes offered by the staff. By identification and assistance in the disposal of diseased trees on public and private lands, the staff carries out a complete shade tree disease control program. In related activities, the staff is also responsible for the maintenance and construction of interpretive trails, signs and other physical elements of natural areas within the City. On a reimbursement basis, the staff is available to local groups and organizations to provide general extension and advisement activities related to the natural environment. Park Division Objective: To provide well-planned and well-maintained active and passive park areas for the public's benefit. Description: The Park staff provide general maintenance on a year-round schedule with special maintenance where required. The Park Division also operates an active nursery for transplanting tre s and shrubs on City-owned property. Weed abatement has qe n taken over by Parks lit was formerly handled by Public Works). This new acquisi- tion increased this years budget by $18,575. Recreation Division i Objective: To assess the varied recreation needs and interests of City residents and to plan, develop and provide activity programs to meet the needs and interests of all. Description: The Recreation staff plan,develop, and provide a wide variety of activity offerings on a year-round basis in an attempt to meet the needs and interests of all residents. Where possible, the staff provides leadership to promote cooperation and coordination among other agencies and organized groups in an effort to produce a total community recreation program. Recreation has taken over Community Celebrations and the Community Service Contribution from Public Works. This has increased their budget by $9,000, which is spread throughout their supplies and services accounts. XXVI CITY ORGANIZATION FOR SERVICE City of Fridley, 1979 Minnesota CITIZENS OF FRIDLEY CITY COUNCIL PLANNING COMMISSION OTHER COMMISSIONS Planning Commission Police Commission Community Development Commission CATV Commission Appeals Commission * Charter Commission Parks & Recreation Commission Human Resources Commission Enviornmental Quality Commission * Independent Commission Only Funding Provided by Ci ty, CITY ADMINISTRATION & GENERAL MANAGEMENT CITY MANAGER PUBLIC PARKS & PUBLIC FIRE FINANCE WORKS RECREATION SAFETY XXVIII City of Fridley, CITY ADMINISTRATIVE Mianesot� ^ CITY MANAGER Administrative Assistant City Manager's Secretary Clerk Typist PARKS AND PUBLIC WORKS (42) RECREATION (12) 1 Public Works Director Parks and Recreation Director Operations �Analyst Public Works Secretary Parks & Rec. Custodian - Civic Community Develo nt Division Secretary Center Asst. P.Wks. Director (13) Naturalist/Resource Coordinator Recreation Engineering Tech. Supervisor Eng. Aide/Adman. Projram Eng. Aide/Inspection Supervisor Clerk Typist Chief Building Official (5) Environmental Officer Foreman (7) Code Enforcement Officer Plumbing Inspector Senior Parkkeeper Clerk/Secretary 2 Opr. & Maint. Spec. City Planner (3) 3 Opr. & Maint. Persons Associate Planner Clerk/Secretary Public Works Maintenance Division Supt. of Public Works (25) Clerk/Secretary Stree Foreman (13) Water F reman (5) Sewer Foreman (5) Sr. Street Operator Sr. Water Operator 2 Sr. Sewer Operators 3 Heavy Equip. Opr. 2 Opr. & Maint. Spec. 2 Opr. & Maint..Persons Opr. & Maint. Spec. Opr. & Maint. Person 4 Opr. & Maint. Persons Chief Mechanic Mechanic Opr. & Maint. Spec. XIX P,.1 ORGANIZATIONAL STRUCTURE 1979 (126) Management Analyst Purchasing Agent Clerk Typist PUBLIC SAFETY (49) FIRE (6) FINANCE-(19) Assistant City Manager/ Assistant City Manager/ Public Wet Director Fire Chief Finance Director Police Secretary I Finance secretary Deputy Chief & Civil Def. Dir. Cashier Captain 2 Firefighters 11 Lieutenant Clerk Typist II (C.D.) 6 Sergeants ** 24 Police Officers 5 Police Technicians 2 Office Assistants Accounting Division Property Tax Division Acctg.&Budget Officer (7) Assessor (5) Gen. Accountant 2 Appraisers PayableV Data .Proces- Tax Assessment Clerk sing Clerk Liquor Accounting Clerk Senior Assmt. Clerk Receptionist/Lic. Clerk Sr. Utility Billing Cler Utility Billing Clerk Liquor Division Liquor Store Manager (4) Assistant Liquor Store Manager 2 Liquor Store Clerks ** Included two Police Officer funded by STEP Program ( ) = Number of Full Time Employees XXX 1/1/1979 PROGRAM BUDGET 1979 City of Fridley, Pllum Page Minnesota Mioeatioa Plan ORDINANCE NO. 688 AN ORDINANCE ADOPTING THE BUDGET FOR THE FISCAL YEAR 1979 THE CITY COUNCIL OF THE CITY OF FRIDLEY HEREBY ORDAINS: .SECTION 1: That the annual budget of the City of Fridley for the fiscal year beginning January 1, 1979 which has been submitted by the City Manager and modified and approved by the City Council is hereby adopted; the total of the said budget and the major divisions thereof being as follows: ESTIMATE OF REVENUE GENERAL FUND APPROPRIATIONS General Property Tax $2,219,558 General Government Special Assessments 5,600 Legislative $ 120,828 Licenses City Management .0 217,195 Contractors 8,300 Finance Election Business 78,239 Accounting, Assessor) 262,911 Other 5,800 Civic Center 124,320 Permits 82,750 Public Safety Grants and Shared Taxes 1,050,252 Police .o 1,161,498 Charges for Services 98,056 Fire and , Fines and Forfeitures 79,000 Civil Defense -,321,038 Interest Earnings 89,000 Public Works Other Misc. Revenue 34,100 Code Enforcement and Insurance Refund (Police Planning 257,767 and Fire Pensions 88,100 Engineering and Public Transfers Works Maintenance 824,648 Seal Coating 0 000 9 , Recreation State Aid Surplus 65,000 Naturalist and Revenue Sharing Fund 217,000 Parks & Recreation 935,800 Liquor Fund 85,000 Other 500 General Fund Surplus 94,750 Reserve 125 000 TOTAL: GENERAL FUND r4-,351,005 $4 3 1 005 OTHER FUNDS SPECIAL REVENUE FUNDS Teen Center Fund 1,000 1,000 State Aid Funds 326,909 326,909 Revenue Sharing Funds 220,112 220,112 DEBT SERVICE FUNDS Civic Center Bond Fund 40,102 40,102 CAPITAL PROJECT FUNDS Capital Improvement Fund 71,50 71,500 TOTAL: OTHER FUNDS 659,62 659,623 TOTAL: ALL FUNDS $5,010,628 $5,010,628 SECTION 2: That the City Manager be directed to cause the appropriate accounting entries to be made in the books of the City. PASSED AND ADOPTED BY THE CITY COUNCIL OF THE CITY OF FRIDLEY THIS 2ND DAY OF OCTOBER , 1978. OR - WL EE ATTEST: CITY-CLERK - MA VIN BRUNS- ELL Public Hearing: September 18, 1978 First Reading: September 25, 19;1 Second Reading: October 2, 1978 Publish: October 11, 1978 PROGRAM BUDGET 1979 �.� City of Fridley, REVENUE SUMMARY Reaonrce Paget Minnesota Allocation Plan ACC'T. ACTUAL ACTUAL BUDGETED ESTIMATED ESTIMATED NO. REVENUE REVENUE REVENUE REVENUE REVENUE REVENUE BUDGET 1976 1977 1978 1978 1979 1979 GENERAL FUND: General Property Tax 3011 Tax Levies-Current 1,449,317 1,658,196 1,716,017 1,716,017 1,840,918 1,863,500 3012 Tax Levies-Delinquent 30,588 37,904 31,092 31,092 31,000 31,000 3013 Tax Forfeit Sale Apportion 1,069 -O- 5,407 5,407 5,000 5,000 3015 Homestead Credit 281,231 292,518 320,103 320,103 320,058 320.058 Subtotal 1,762,205 1,988,618 2,072,619 2,072,619 2,196,976 2,219,558 3J33 Special Assessments 4,553 5,116 7,857 6,500 5,600 5,600 Licenses 3110 Contractors 7,900 9,520 8,050 8,825 8,300 8,300 3111 Business 46,225 62,485 57,045 77,170 61,989 78,239 3112 Other 8,188 4,831 6,500 4,000 5,800 5,800 Subtotal 62,313 76,836 71,595 89,995 76,089 92,339 3120 Permits 82,138 114,407 78,175 78,220 62,750 82,750 Intergovernmental 3314 C.E.T.A. 92,912 147,757 206,616 -0- -0- 3315 Civil Defense 7,523 10,933 6,700 6,700 7,000 11,020 3320 Other Federal Grants 3,023 17,085 8,040 5,586 7,000 7,000 3341 State Aid Streets 29,253 26,625 26,625 26,625 26,205 26,205 3350 State Shared Taxes 676,695 752,170 900,071 900,071 953,397 988,765 3355 Other State Grants -O- 51,591 -0- 19,225 -0- -0- 3360 State Tree Subsidy -O- 45,733 17,820 16,285 16,285 17,262 3370 Local Grants 2,000 2,000 2,000 -0- Subtotal 811,406 1,053,894 961,256 1,181,108 1,009,887 1,050,252 Charges for Services 3510 eneral 8,874 12,418 7,085 10,380 7,875 11,210 3520 Public Safety 11,598 15,938 12,220 14,940 15,624 15,624 3530 Conservation of Health 12,212 19,160 17,040 21,042 18,520 19,665 3580 Recreation 30,516 52,239 35,950 43,830 46,832 51,557 Subtotal 63,200 99,755 72,295 90,192 88,851 98,056 3610 Fines and Forfeitures 66,453 79,166 75,004 72,000 79,000 79,000 Revenue From Use of Money and property 3810 Interest Earned 73,000 85,069 75,500 78,800 82,000 85,000 3820 Rents 10,939 10,237 11,000 5,500 51000 4,000 Subtotal 83,939 95,306 86,500 84,300 87,000 89,000 Miscellaneous 3840 Sale of Property 13,620 28,346 10,020 9,800 14,550 18,600 3860 Donations 17,043 14,549 500 6,000 5,000 8,000 3950 Police/Fire Pension Refunds 56,801 88,101 56,800 87,800 88,100 88,100 3950.001 Miscellaneous Refunds 3,780 11,598 3,500 1,200 5,000 7,500 Subtotal 91,244 142,594 70,820 104,800 112,650 122,200 Transfers From Other Funds 3962.010 State Aid Seal Coating 28,000 36,000 40,000 40,000 40,000 50,000 <P 3962.011 State Aid Surplus 38,000 40,000 65,000 65,000 60,000 65,000 3962.012 Federal Revenue Sharing 229,043 200,505 186,520 186,520 217,000 217,000 3962.014 Anti-Recession -0- 23,063 14,036 12,107 -0- -0- 3962.035 Liquor 85,000 85,000 85,000 85,000 .85,000 85,000 3962 Other - S.A. 5.345 175 3,000 110001 1 000 500 olow Subtotal 385,388 384,743 393,556 389,627 403,000 417,500 2600 General Fund Surplus 7-219,87 100,000 94,750 TOTAL - REVENUES - GENERAL FUND 3,412,839 4,040,435 3,962,664 4,169,361 4,241,803 4,351,005 PROGRAM BUDGET 1979 City of Fridley, REVENUE SUMMARY RoaoYrh -3 Minnesota Allocation Plea ACCT. ACTUAL ACTUAL BUDGETED ESTIMATED ESTIMATED N0. REVENUE REVENUE REVENUE REVENUE REVENUE BUDGET 1976 1977 1978 1978 1979 1979 OTHER FUNDS SPECIAL REVENUE FUNDS Teen Center Fund 3860 Donations -0- 1,000 -0- 11000 11000 11000 Community Development Fund 3320 Federal rants -0- 3,073 -0- 136,927 -0- _O_ State Aid Fund 3340 State Apportionment 110,826 132,644 211,000 211,000 211,909 211,909 3810 Interest Earned 55,092 64,267 50,000 50,000 64,000 64,000 3962 Transfers from Other Funds 167,781 50,286 -0- -0- -0- -0- 2600 From Retained Earnings- -0- -0- 26,000 26,000 1 -n- 51,000 Subtotal 333,699 247,197 287,000 287,000 275,909 326,909 Revenue Sharing Fund 3320 Federal Grants 198,863 194,979 -0- 216,612 216,612 216,612 3810 Interest 5,237 3,733 -0- 3,500 3,500 3,500 Subtotal 204,100 198,712 -0- 220,112 220,112 220,112 Anti-Recession Fund 3320 Federal Grant 23,063 11,446 -0- -0- -0- -0- 3810 Interest -0- 662 -0- -0- -0- -0- Subtotal 23,063 12,108 -0- -0- -0- -0- TOTAL SPECIAL REVENUE FUNDS 560,862 462,090 287,000 645,039 497,021 548,021 / DEBT SERVICE FUNDS Civic Center Bond Fund 3011 Taxes 37,486 37,936 40,180 40,180 39,102 39,102 3810 Interest 1,211 1,475 -0- 1.000 , 1 000 1.000 Subtotal 38,697 39,411 40,180 41,180 40,102 40,102 CAPITAL PROJECT FUNDS Capital Improvement Fund 3011 Taxes 45,449 46,120 42,533 42,533 42,500 42,500 3810 Interest 454 4,094 -0- 4,000 4,000 4,000 3962 Transfers From Other Funds -0- 31,435 -0- 25.000 25,000 Subtotal 45,903 81,649 42,533 46,533 71,500 71,500 , r TOTAL OTHER FUNDS 645,462 583,150 369,713 732,752 608,623 659,623 •� TOTAL ALL FUNDS 4,508,301 4,623,585 4,332,377 4,902,113 4,850,426 5,010,628 PROGRAM BUDGET 1979 City of Fridley, Rseures page 4 Minnesota EXPENSE SUMMARY Allocation Plan ACTUAL ACTUAL DEPT. EXPENSE EXPENSE EXPENSE BUDGET ESTIMATE REQUEST BUDGET 1976 1977 1978 1978 1979 GENERAL GOVERNMENT 01 City Council 57,284 60,001 73,926 69,148 77,070 76,230 02 Planning Commission 19,692 20,893 26,334 27,184 30,944 30,944 03 Other Commissions 8,570 11,624 12,278 11,717 25,769 13,654 05 General Management 122,618 113,418 • 129,670 137,478 177,984 138,950 06 Personnel 14,717 13,404 22,470 22,846 23,329 ?5,329 08 Legal 39,011 .44,177 50,056 50,044 54,945 52,916 10 Elections 15,348 8,835 17,499 17,515 17,337 11,669 11 Accounting 110,611 121,973 129,514 138,894 142,742 142,349 12 Assessor 38,435 90,338 97,659 122,012 124,098 108,893 Total General Government 476,286 484,663 559,406 596,838 674,215 600,934 CIVIC CENTER 30 Civic Center 80,067 109,647 110,206 112,113 125,320 124,320 PUBLIC SAFETY 19 Police 874,390 942,655 1,017,678 1,038,876 1,163,071 1,161,498 20 Animal Control 11,642 12,427 16,212 22 Fire 243,841 266,394 278,665 321,430 261,138 297,193 25 Civil Defense 16,308 18,254 17,015 17,373 25,845 23,845 Total Public Safety 1,146,181 1,239,730 1,329,570 ,377,679 1,450,054 1,482,536 PUBLIC WORKS 27 Community Development 135,263 158,126 172,564 156,392 163,987 160,631 28 Planning 47,131 66,774 71,279 67,325 70,644 97,136 36 Engineering 85,107 86,192 93,658 83,421 93,654 93,654 37 Public Works Maintenance 612,125 617,650 690,400 661,026 784,806 730,994 Total Public Works 879,626 928,742 1,027,901 968,164 1,113,091 1,082,415 RECREATION 45 Naturalist 103,685 152,275 131,800 199,378 100,594 71,281 47 Parks 363,460 426,256 387,306 411,505 808,333 563,639 48 Recreation 232,159 260,620 316,475 305,402 281,835 300,880 Total Recreation 699,304 839,151 835,581 916,285 1,190,762 935,800 RESERVE 49 Reserve for Contingencies 100,000 125,000 125,000 TOTAL - EXPENSE - GENERAL FUND 3,281,464 3,601,933 3,962,664 3,971,079 4,678,449 4,3 5 1,005 PROGRAM BUDGET 1979 City of Fridley, EXPENSE SUMMARY Resource Page 5 Minnesota Allocation Plan ACTUAL ACTUAL DEPT. EXPENSE EXPENSE EXPENSE BUDGET ESTIMATE REQUEST BUDGET 1976 1977 1978 1978 1979 1979 OTHER FUNDS SPECIAL REVENUE FUNDS Teen Center Fund -0- -0- -0- 1,000 11000 11000 Community Development Block Grant Fund -0- 3,073 -0- 157,327 -0- State Aid Fund 202,575 203,935 287,000 287,000 316,909 326,909 Revenue Sharing Fund 229,043 200,505 186,520 186,250 220,112 220,112 Anti-Recession Fund -0- 23,063 14,036 12,108 -0- -0- UEGT SERVICE FUNDS Civic Center Bond Fund 36,133 35,306 40,180 39,518 40,102 40,102 CAPITAL PROJECTS FUNDS Capital Improvement Fund -0- -0- 42,533 42,533 71,500 71,500 TOTAL OTHER FUNDS 467,751 465,882 570,269 725,736 649,623 659,623 TOTAL ALL FUNDS 3,749,215 4,067,815 4,532,933 1,969,815 5,328,068 5,010,628 I PROGRAM BUDGET 1979 City of Fridley, Departmental Summary Resource Page 6 Minnesota Allocation Plan rw�o coot DEPMTWNT GENERAL 01 ACTUAL ACTUAL DEPT DIV PROGRAM GROUP EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ADOPTED 1976 1 BUDGET CITY COUNCIL PERSONAL SERVICES 42,581 43,352 48,556 OTHER EXPENSES 14,703 16,649 CAPITAL OUTLAY -0- -0- -0- -0- -0- -0- SUBTOTAL 57,284 60,001 73,926 69,148 1 77,070 76,230 PLANNING COMMISSION PERSONAL SERVICES 15,351 16,415 18,844 20,518 23,336 23,336 OTHER EXPENSES 4,216 4,478 7,490 6,666 7,608 7,608 CAPITAL OUTLAY 125 -0- -0- -0- -0- -0- SUBTOTAL 19,692 20,893 26,334 27,184 30,944 30,944 OTHER COMMISSIONS I PERSONAL SERVICES 4,772 4,455 6,394 5,992 7,427 7,427 OTHER EXPENSES 3,750 7,169 5,884 5,725 6,443 6,227 CAPITAL OUTLAY 48 -0- -0- -0- 10,000 -0- SUBTOTAL 8,570 11,624 12,278 11,717 23,870 13,654 Department Total 85,546 92,518 112,538 108,049 131,884 120,828 ' i PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Raaowes Page 7 Minnesota Allocation Plan ROD coos GENERAL 01 LEGISLATIVE 01 CITY COUKIL 01 ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. NO 1976 1977 1 1978 1978 1979 1979 4100 SALARIES REGULAR EMPLOYEES— 9,073 S 9.620 $10.863 $10,500 $11,515 4FOO-'$11.515 S EE ULU EMPLOYEES �y3� .135. 1,805 ,A ff ARIES 6T REGULAR MIMS 114 _38 1 u - H UUT R GU R EMPLOYEES 15 _ a 4120 W — IES TES Y EMPLOYEE!E:_:j:7_,.E5E 27 702 29,184 28,900 30,984 4120 RY EMPLORES 0624 10 58 11,068 10,960 11-069 H SALARIES HOUR9 ffW_ffC _E 1 4W EMPLOYEES J 1- _ INSURANCE C) TM E14PLOYEE -- T32T ,�65 0 5 2 0 26-7 4 L PEN S16115 - , 65 2 713 3,777 3,3�0 TOTAL nOUles 1 940�28 12 88 12 7 5 12 411 12 411 2001OFFI#Wff1vICn_SUN TOTAL 22 2.000 1,053 1,103 1,103 0 N ICE SUPPLIES 375 92 _ 300 300 324 324 j 2111 FUELS 1tR6TOBIr$----- 16 CHEMICA MY LS CLOTHIC ALLMNCE -- - 4220 REPAIR iEU L - EN _ 50 50 54 54 2 1 REPAIR MAY fNT SUPFLI�ES-E UIP 42211 4 MINT.SUPPLIES-OTHER IMP 2221 - ! __ rll�Cl 230 SMALL TOOLS-- - -- w M PR ESS L SERVICES 1,000 1,000 1,000 4300 * 6 000 r -7 0 08 99 1{ W = ---- _ 3 200 310 3,210 3,210 W = N N _ LNG _ f, 81 3'.000 2,500 3,240 3.000 t1kANCEr- _ 599 720 825 990 3501 99 0 r B 436 UTIL T E _ _ 4370 REPAIR 8 MAINTENANCE-GENERAL _ 43701 O a REPAIR N EN NC -E U EN 83 400 300 330 330 3721 REP & - THER IMP E _ _____ 43 3 REP 8-M INT-BUILDINGS G ND 3 3 14AINT-SEAL COATING 43741 4M OTHER CONTIFACTUAL SERVICES o $ Y 4W DUES I_AENTAL CRIffINS— * aff SAFE E� _ 000 1,000 2 000 4403 2,000 114491LAUNDRY 4404 OTHER 1 4500 1 AND 1EXP 0 TOTAL ZT0 BUILDINGS AND STRUCTURES i 45 0 URN TORE FIXTURES __- 0 MACHINEWT& A S '0 4540 ETHER EMP ROVEMtENTS 56' CAPITAL OUTLAY -SUM TOTAL Program Group Total 657.284 L-001 B73,926 148 7 RIO CCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 *Labor Relations portion of League of City fee is now budgeted under personnel and cost of City Attorney's attendance at City Council meetings is budgeted now under City Council. PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 8 Minnesota Allocation Plan FWD GENERAL c c 01 LEGISLATIVE 01 PLAMNING COMM 0 ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC 1976 1977 1978 1978 1979 1 NO 1979 4100 SALARIES REGUL R EMPLOYEES 1_7,908 8 622 4100 H URS REGULAR EMPLOYEES 1463 _1,399 1 383 1.7 19 2 312 2 132 4-i'f6 SALARI S OT-EGULAR EMPLOYEES­ 11495 836 8 Im u - HOU�OT RE�UL�LOYEES-_ 175 _81 80 101 94 94 4120 L RTES TEMPORARY EMPLOYEES 3,072 3 8 0 W --- URS TEMPO EMPLOY _ 976 1,30n h _ 1 2 1 225 CR S TEMPORARY 4 _ — ., HOURS-OT fEMPORRiFY E LOYEES_ cL -MME— 1,2 5 336 1,673 1 827 2 360 360 i 0 -IA3U-W ---- _ X75 547 603 6 9 X94 4 L-Y€E RI�f6N� �6 1,184 1,840 TOTAL HOURS 451 P - T 484 4 4 0 NON OFFICE SUPPLIES 76- 109 109 2111 FUELS 42 6 CHEMICALS CAL THHI ��CE -8 MIIINT SUPPLTE GENE 42 1 REP IR & MAAINT SUPPLIES-E 11IP 4 EP 6 N SU PL ES-OTHER IMF 4222 N SUlW -8�7i.ofi� 4230 SMALL TOOLS _ _ 0 W 4300 PROFESSIONS SERVICES , 0 ,0 2,024 a 1,202 1$P W = 3301 ADVE RT I SINO-- -- —` 88 339 .,339 W ° N ING 8 C0�_YING_i__ ,4 ,000 1,494 1,681 0 1 6E31_ INSURANCE — - - - - ------ s 436 UTIL TIES _ _ 0 F 4370 REPAIR 8MAINTENANCE-GENERAL _ _ 57 200 65 200 4370 200 0 : WTNTE-UNC --EQUIWEEN __ _ 4371 ►' 4W REP I�TNT-W-9-TIVRO E _ __ _ 4373 REP 6-MINT-BUILOINCaS GR�l1ND 43-7-3 - ° 4WF OTHER CONTWACWC-n'KVrM- 5 120 4380 ENE TAL __— 60 _ 0 — B WES-B3ZIBSCRZPff6N _ _ __ 4W T EZ C�ERENCES SZ`H_O�LS— ?jZ— _ 350 350 360 W 360 [FUNDS REIMBURSE 4404 OTHER Ex 78 $ 7,490 S 6,666 4500 LAND 0 BUILDINGS AND STRUCTURES ------ - ------- - i i 45 0 URNITURE AND FIXTURES __- KACHI•NERY 6 AUTO E UI_Pl_#_ NT - S o 4540 OTHER IMPROVEMENTS -- 4540 CAPITAL OUTLAY -SUB TOTAL leb Program Group T0181,$19,692 $20,893 1$26,334 $27,184 $30,944 $30.944 RIO CCT IN SERV DEPT ItUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 19/9 Note: The Planning Commission Program Group budget is subdivided into the Planning Commission and member Commissions program budgets as follows: Planning Commission $12,234 Conmunity Development Conm. 2,642 Appeals Commission 10,635 Parks & Recreation Comm. 1,496 Environmental Quality Conin. 1,807 Human Resources Conrmission 2,130 $30,944 PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 9 Minnesota Allocation Plan cow maw GUM Koo GENERAL c01[ LEGISLATIVE Ol THER COMMISSIONS 03 ACTUA ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 SALARIES REGUL R EMPLOYEES_ 2 752 2 518 3 591 3 400 00 4 324 WOW 4,3 4 S LAR EM-F OYEES _ 349 _ 318 3 AU 451 �_Tf0 R ES 0- HOUR - WE_aVL�iP�ES 40L- _ys5. 9 731 73 OT REI U�COY�__ __37 41 4 56 1 61 41 S L R ETEMORARY EMPLOYES_ __U4 797 0 797 W — U� 1Y V4P 1iE _ 209 134 2 ' 14 199 199 w R E RY E I - KOU S�PORJWY'EMIT EE _ = 425 390 _ 4131 BU(T MFINFEWIR9111MV -- _ 143 4 233 -- ffff L r EE P N fdN_ - 424 389 524 529 54 3 341 TOTAL HOURS 59b 4 930 640 711 7 P VICES-SUM T + + i _ 722 13 105 226 2001 -2 1 0 N NONCE SUPPLIES— 10 11 FUELS-W-Ufff- 1 Z111 4 16 C EMICA S_ _ _ _- CLO H M L� -_ REAM NNAIN SUOI ES-GENERAL - _ 3 221 REPAIR 6 MAAINT SUP?LIES�-E IP 4222 REP T NT UPPL ES-OTHER TM-NIFTAW�t�6�fl` au ft�fi�c - T2_30'SNALL TOOLS _ w 0�0 PRO ESSIGNTL SERVICES 4 388 3,000 3 3,175 43 Z,� w . 73 424 744 776 4310 776 w S -__ 42 526 500 2.500 7�a ^ W 3-101PRINTING I8 COPYING 164 0 t Tw 4360 UT LITIES _ _ WO _ 4370 REPAIR 6 MAINTENANCE-GENERAL _ 4370 o : EP MICIN'rEENN NCT-EQUI EN -� '► N - THE LN MPR01fE _ e 4M 4M OTHER CONT REP _MEE�UC-MATVNG DS - -- - - 3 3 - - RENTAL 38 4380 -M MT E U-8-RATPTT6W _ 50 _ 4w 5f) MEENI,ECt�6b — �� 84T 80 0 900 TW 900 UNDRY 4404 OTHER 1 4500 1 LAND EXPENSES —SUB TOTAL 4 0 BUILDIN6S1ND_ STRUCTURES _ _._- -_._— 46 0 uRN —E AND FIXTURES _ ±48 ___._ ___ _l0 A O MIICHTNERY�i AUTO 4--- - -- S o' 4540 (�T►IER IMPROVEMENTS 540 CAPITAL OUTLAY -sue TOTALI 48 1 1D 000 Program Group Total 1 $8,570 $11,624 $12,278 $11.717 25 769 1$13,654 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 19/9 PR GRAM BUDGET 1979 City of Fridley, spartmentel Summary Resource Page l o Minnesota Allocation Plan NND com copmTmara GENERAL 01 CITY MMAGEMENT ACTUAL ACTUAL DEPT DIV PROGRAM GROUP EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ADOPTED 1976 197 BUDGET GENERAL MANAGEMENT PERSONAL SERVICES 91,928 1,836 88,964 98,513 98,803 99,047 OTHER EXPENSES 30,471 8,904 38,581 36,840 68,281 37,253 CAPITAL OUTLAY 219 ,678 2,125 2,125 10,900 2,650 SUBTOTAL 122,618 113,418 129,670 137,478 177.984 138.950 PERSONNEL PERSONAL SERVICES 11,866 12,320 18.645 19.239 18.903 18,903_ OTHER EXPENSES 2,851 1,084 3,700 3,482 4.426 6,426 CAPITAL OUTLAY -0- -0- 125 125 -0- -0- SUBTOTAL- 14,717 13.404 22.470 846 23.329 LEGAL PERSONAL SERVICES -0- 261 2,660 2,650 2,816 2,816 OTHER EXPENSES 39,011 43.916 47.396 47,394 52,129 50,100 CAPITAL OUTLAY -0- -0- -0- -0- -0- -0-- SUBTOTAL 39,011 44,177 50,056 44 1 54.945 52,916 Department Total 176,346 170,999 202,196 210,368 256,258 217,195 PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 1I Minnesota Allocation Plan off cm cm vwuw MID coo[ GENERAL O1 GENERAL MANAGEMENT 02 1MANAGMEN 05 ACTUAL ACTL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET S 1976 1977 1978 1978 1979 N 1979- _ AL ARIES REGULAR EMPLOYEES 8 4 Z HOURS WEGUL�LO� 10 178 _.8,849 4Ti0 R ES REGULAR EMPLOYEES _ so 1 4110 u OT REGULAR EMPLOYEES _ X56 i _4_1 FO L IES TER Y MPL YEE _1.066 890 2,500 1,332 8,130 W - U EMPLOYEES 2 1,897 4 LUGS- �Ff�OR�FY-E� L E ,2 _ _ 0570 9,386 11 �1�2 0 TM P* 2,98 3,352 4,407 14 EMPLOYEE N Gam- 8.612 7 7IN TOTAL NOUNS 10.464 9.650 56 135 3 135 4 2101N ON ICE SUPPLIES _ 2,000 1,500 2,660 2 000 j 'jWf___ 0 100 130 10 I FUELS 16 CHEMICALS _ _ L ALLOWANCE- 0 187 225 3 U L - ENE 924 924 700 42 1 REPAIR I MAI-NT SUPPLIES-E IP 187 847 800 700 800 80_0 4 6 NT SUPPLIES-OTHER IMP _WI 2231 4230 LL TOOLS 4 „ 4300 PR ESSI L SERVICES 00 2 339 3.000 3.000 30 0 0 400 3 QQ a N =-,-11:8 4 910 7,500 7,296 7,975 43101 7.500 u N -`- _ 323 933 . 1.000 1,000 1,100 3301 1,100 12.245 43401 loM W INTING i C YING 7,T53 8,107 12,000 12,708 �' - _ _ 664 1,096 5 _j 2,M e 3601UTILITIES 3601 4370 REPAIR 8 MAINTENANCE-GENERAL _ 37 4370 _ c : N EN NC - I EN 67 1 636 1 480 1,410 N - THEI�T6IFE _ - 43 3 REP 3�M TNT-BUILDINGS GROUND 49 4 3 3741 REP & PAINT-SEAL COATI NG 4374 E 1.252 277 1.500 1204 i-Ann 4375 1 1080 1 RENTAL 412 59 4380. 44011DUES It Su C tIPTf rte- 7.18 -fiZL R_3n oar, 44011 qnn TRAVEL,j 4403 CM€RENCES, 3,723 A inn 3-655 44031 i-A5S LAUNDRY R A 0 N - 4500 It 4 0 BUILDINGS ND STRUCTURES i 45 O TIIRN TU E- TIXTURES k$l22,618,$113,418,$129,670 219 2 678 2.1 5 2.125 10,900 2 530 CH NERD USE EQUIPMENT_o 4540 ETHER IMEROVEMENTS 540 2,678 2,125 2�125 in-Qnn CAPITAL OUTLAY -SUe AL 2 Program Group Total $137,478 $177,984 $138,950 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 *Includes Unemployment Comp. Acct. #4134 in the amount of $1,000 for 1979. 1 t520 Davenport $ 600 $ -0- 2 Two File Cabinets 9/1/79 300 150 3 Wall Treatment - Manager's Office 3/31/79 11000 500 4 Camera Equipment for Public Information 5/1/79 2,500 2,000 5 Video Tape Equipment 6,500 -0- $10,900 $ 2,650 � 1 PROGRAM BUDGET 1979 City of Fridley, Program Group Oxtail Resource Page 12 Minnesota Allocation Plan _ FWD C00! M cow GENERAL Ol GENERAL MANAGEMENT 02 PERSOTIEL 06 ACTUAI ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET $ 1976 1977 1978 1978 1 1979 NO 1979 _41001SALARIES REGULAR EMPLOYEES $14.3311$13.858 400 13.858 HOURS REGULAR EMPLOYEES 1-262 _1.086 H 4Tf0 SALARIES OT REGULAR b�EE EMPL 156 u HST REGULAR EMPLOYEES 22 --- _4TTO SALARIES TE;POR RY EMPLOYEES----- 22 W HOURS TEM I R EMPIORES 5 OT TEMPORARY R L _ — HOURS c L 1,367 1,441 7 507 2,252 2.564 WW _ 6 j TA�URANCtr 379 424 739 865 748 748 4-M MLOYEE NSr6NE— 1.126 1 162 1,711 1.791 1.733 1.733 TOTAL MouRS 1.294 6 1 394 1 459 1 617 1,617 —'---_ 29 1 4 31411 0 N FFICE SU PLIES 34 42 100 100 109 TM 109 2111 FUELS AND LUBE TVT 4 2161 CHEMICALS _ CLOTH CLOTHIO ALLOWANCE 4220 REPAIR 3 MAINT SUPPLIES-GENERAL _ 42 1 REP IR 8MAMA1NT SUP IES-E IP _ - 4 P NMAI T SUPPLIES-OTHER IMP _ -- N EUPPLIES_-BUILOf- _ 4230 SMALL TOOLS „ 300 PRO ESSI tIAL SERVICES _ 17 1,500 1,500 1,650 4 00 4 a 31 1COMMUNICATI R 24 100 50 55 3101 55. w Q N ----- 42 200 1 100 110 43301 Ila x ° 43401PRINTING & COPYING _ - - 123 297 1,000 1, go, ijog 4340 ^ W N U - _ 40 61 1 s4360UTLTE 0 i 43 0 REPAIR 3 MAINTENANCE-GENERAL _ _ 43 0 _ o E MAINTENANCE-EUI E EP �M ITN --ONER IMPROVEMENTS _ __ ■' 437-3 REP 6_M INT-BUILDINGS G NDS 3 3 ed - EL COATING 4M OTHER L 162 WW RENTAL 380 DUE tRrPT�- 2 31�$� 429 d�13 Z:6R1�E S� C 4� 0 200 200 835 4 04 L UNDRY 40 OTHER EXPENSES -SUBTOTAL' A 3 7 3 4500 AND 0 BUILDINGS AND STRUCTURES __ _ _ 45 0 URN TURE AND FIXTURES _ 125 125 0 CH NERY b�I EQU IPIIENT _ _ _ - -" 0 540 OTHER�ROVEMENTS 540 CAPITAL OUTLAY —SUB TOTAL 1 Z 1 Program Group Total 1$14,717 1$13,404 $22,470 2 329 )RIO-ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 { 1 PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 13 Minnesota Allocation Plan FIKID cou ~ cow WOW c mom cow GENERAL 01 GENERAL MANAGEMENT 02 r LEGAL 08 SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. NO 1976 1977 1978 1978 1979 NO 1979 SALARIES REGULAR EMPLOYEES _ 4100, - - RS I EGUTAW EW OYEES 18 a 4Tf0 LAS 6T�tELfPLEE_ -- -- — - HOURS ROT REGUL R MPLOYEET __ _ 'a 4120 SALARIES TEMPOR7CiFY EMPLOYEE_ 67 2,600 2,600 2,756 0 _2.75E_ ; W UREEM T E�f6LOi�EE 28 520 520 518 51 LjKR�6fi fi R-f ---- �S- T T[WWR_iE1T E_ - = L Ti�AV€ ----- --- 22 ifff ZA31lRAliCE — 4Q 4 TW PrN3`TNNE—- -- 8 3 TOTAL HOURS 46 — 520 518 518 Agn t 9 Qir Al A i 4200 FFIR frVICES 50 _12DL 12o 126 200 100 0 CE NON DI SUPPLIES _ 11 FUELS llA6TU�S ------ 4 161 CHEMICALS — _- CL TH N __ LAS M1 CE --- _ _—. ZZOIREFAIR A M7iI�iTSiI KIES-GENERAL 42211 REPAIR MATNT SUPPLIES-EQUIP 4 2221 REP & INT SUPPLIES-OTHER I - 231 REP & MAINT IC BT1fLNI -- 3 S LL TOOLS -- 0 W 300 PROFESS INFL SERVICES _ $52,003 4300 50,000 a . ICATION 3101 zs ------- -- s --- 3 W ° N 6 C PIT NG __ _- r 4360 UTIL T ES z 4310 REPAIR iMAINTENANCE-GENERAL _— — _ _ 43 0 O : E igiN�ENWNCE- U EN -- _ 3 ._—. 4373 REP 8 MINT-BUILDINGS/GROUNDS e 4V4 �TriT-SEAL COATS _4M OTHER _ACTUAL 1TRVrM_ 4375 -- 380 RENT— — _ 4380 E3_�_ UaSCRTPTfb�----_ _ __ — 4404 L UND Y 4404 4 1 I 4 0 BUILDIN6S�16-STRUCTURTS_ _ _ — —__— r 45O 45 0 FURNITURE.1TND FIXTURES _-_ _.__.___— _ __liACHINERY 6 AUTO EQUIPPiENT _. . - °� o' 4540 OTHER IMPROVEMENTS - 4540 CAPITAL OUTLAY -SUB IMAL Program Group Total $39,011 $44,177 $50,056 $50,044 $54,945 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 19/9 PROGRAM BUDGET 1979 City of Fridley, Departmental Summary IfaanaNg page 14 Minnesota Allocation Plan FUND coo[ WPMTNSNT GENERAL 01 FINANCE ACTUAL ACTUAL DIV PROGRAM GROUP EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ADOPTED 1976 197 BUDGET ELECTIONS PERSONAL SERVICES 13,209 5,994 13,892 13,855 OTHER EXPENSES 2,139 1,792 3,507 3,560 CAPITAL OUTLAY -0- 1,049 100 100 200 200 SUBTOTAL 15.348 8.835 ACCOUNTING PERSONAL SERVICES 71,651 80,480 85.315 87 510 R5.315 87,289 OTHER EXPENSES 37,352 38,645 49,148 52,329 51,300 CAPITAL OUTLAY 1,608 2,848 2,236 SUBTOTAL 110,611 121,973 138,894 ASSESSOR PERSONAL SERVICES OTHER EXPENSES 6,633 8,802 9.200 9.720 12.910 11,285 CAPITAL OUTLAY 961 417 246 246 600 20 0 SUBTOTAL 88,435 Department Total 214,394 221,146 244,672 278,421 2284,177 262,911 PROGRAM BUDGET 1979 City of Fridley, Program Group Dated Resource Page 15 1�m Minnesota Allocation . Plan MID 000!Folourmw cow cow maw C GENERAL oil FINANCE 03 F1 FrTing in KTUA ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET C 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGULREMPLOYEES 4100 L.7_,jn7 H S if—EGULAR EI LOYEES 1 278 . 41Y0 SALARIES 6T REGULAR EMPLOYEES _ -�� - HOUR Of REGULAR EMPLOYEE 113 45 10 100 100 1 41 0 5 L ES�PORIGFYL01Ef _ ,�_ — R3rTENi�iAIE�EiM6L�1 EE _ 2 ,933 2,933 2,933 1.251 W ffK-SJURIES E R L _ U T EMMIMY ElWl EE _ 0 aPLOYE�ZN3IIliAA�€---_. —T45 9 —T6 465 4 2 26-'$ LYEPN Oq-9-- TOTAL HOURS 32 3 643 3 4 5 3 433 1 751 4200 OFF I ffs$b An __ _ 711 53 750 765 700 600 4 0 N N FILE SUPVL ES __ _603 954 _ 650 900 1 000 900 OEC571A6TWS'--- '— 4216 CHEMICCAA15 CL HIM LA L� NMA-CE --- _ _ �8UP6L -GENE _ 42 1 REP IR i MAINE SUP IES-E 11IP _ _ 4 + 4 EP VANUN S�LEES-OTHER I _- N UPpCM_ BUIrU _ 4230 S LL T LS _ 4 0 „ 300 PR ESS L SERVICES 4300 4 N + 72 26 100 75 10 100 W ; N '----_ _ 104 209 20 j x ° N NG 6 COPYING _ 133 201 0 400 40 4QQ A W KUWN-CE _ _ 150. 286 34 45, r 36 UTLTE — _ 30 _ = 43 0 REPAIR 8 MAINTENANCE-GENERAL _ 4370 o IgiN ANC-EE�UI EN _ 50 50 3 372. REP A N - THE�FI IMPROVE N 43 3 REP A wNT4UILDINGS GR NO 3 3 e4M E MAINT-SEAL COATING 4M OTRER CONTRACTUAL SERVICES 375 380 RENT— _ 00 50 50 4380 50 : W E 6 UB$CATPff6Nf _ TRA E Z` WREBI_.`_E:TOH6bCS 30 52 45 55 60 __6 4404 L UND�tY— 4404 R E - T A 4500 LAND 4 0 BUILDINGS PNO TRUCTURES _ _ _ _ _ 5 __ F J 45 0 URNITURE �D FIXTURES ____ _1049_ 10Q _1 ZQ� 5 2QQ. ,. 30HTNERV.1� S c 4540 6-NER IMPROVEMENTS 5 0 ' CAPITAL OUTLAY -SUa OTAL Program Group Total $15,348 $ 8,835 $17,499 $17,515 $17 337 11 669 PRIG ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT ADOPTED RITY NO DATE REQ BUDGET 1 4520 Curtains for Voting Booths (Replace worn curtains) 2/15/79 $200 $200 ' 1 PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 16 Minnesota Allocation Plan .Wo coot cow MUM c GENERAL 01 1 FINANCE 03 AQUNTING ACTUAI JACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. NO 1 1976 1977 1978 1978 1 1979 NO 1979 _ R ES REGULAR EMPL YEE ,000 60,890 4100 5 61,522 HOURS N—EGMAR EMPLOYED _8,797 _ 9.196 9,350 8-492 IMA2 InS9014 4T10 SALARIES T REGULAR EMPLOYEES_ _227 _ 600 TM — 400 HOU OT REGULAR EMPLOYEES 41 72 50 108 11 V434 41 0 SALARIES TEMPORARY Y EMPL 1�EES 621 1 i N U E EE __162 468 4M SALARIES R E _ HOURS T TEMffWY_EMPL EE _ _ o 8L2 L8 5 �E- N - TOTAL Moues 36 9 650 9-624 0 847 10.80T $_71 80,113 87 tit 42OOOFFI#WfflVICn-sum 21" ____ 8 2 08 4 500 4 230 4 725 4 500 UFO N ICE SU PLIE_ 80 500 500 500 500 WT FUELS 11A6T011WS— �- 4 16 CHEMICA S_ CL ALLOWANCE 325 393 400 400 REPAIR BSUPPLIES-GENERAL _ 30 200 200 3 2 1 REPAIR l&M1 �T SUPPLIES-E IP _ 5 4 P MAINT SUPPLIES-OTHER IMP 1]0 -MYM B-UILDI --4-2:FO SMALL TOOLS-- - -- -- 0 W M PROFESSIML SERVICES 5 000 6 500 6,500 6,500 4300 6.500 5,868 6.000 000 a _ 32 65 1 0 50 400 4330 W = 3401PRINTING 88 CWTWI — 1 811 1,626 3.000 4 B 501INS U _ _ 293 1,027 �. s 4360 UTIL TIE _ 0 MAI i 43 0 REPAIR 8 NTENANCE-r,ENERAL _ 4370 c E MAINTENANCE- -FE—NT' 9_39 3,459 3,000 -Con • 3721 REP & MAINT-ONER IMPROVEMENTS' _ 3 3731 REP B�fNT_BUILDINGS G NDS 373 —19,914 17,946 20,Dan 20-000 22-W 4M 22-000 80 RENTAL 4380 g DUES & S U S CRTPTrWK__ 193 374 6.15 600 62s 4401 625 s Uff TRAVEL,Z`6 ERENCES,C 2,850 2,850 2,979- 2.9 5 d4'f0 R FUNDS REIMBURSE 49 137 200 200 200 4404 200 R P E - A 3 4 4_XS N _S 49,148 1 52,329 4500 t 51-3on 49FO BUILDINGS AND STRUCTURES _ —_ i 4570-TURN ITURE FIXTURES 2-608 _X027 2.7.36 2,236 5.098 0 4 0 M�CH2NERY 6 1CUT�EQUIPMENT _ 1,821 _ '0 45 0 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB AL 1 608 2 848 2.236 Program Group TOW 110,611 121,973 129,514 $138,8941$142,742 142,349 PRIG ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT ADOPTED RITY NO DATE REQ BUDGET 1 4520 1 Postage Machine (Replace broken '69 machine) 2/15/79 $1,800 $1,800 2 1 Mail Sorting Rack 2/15/79 100 100 3 1 Mail Distribution Center (Replace rack & table by Ct )2/15/79 250 250 4 1 Full-size Calculator (Replace '65 calculator) 2/15/79 400 250 5 2 Typewriters @ $850 (Replace '64 & '68 typewriters) 2/15/79 1,700 850 6 1 Desk (Replace '63 desk) 2/15/79 310 310 7 2 Secretarial Chairs @ $150 2/15/79 300 150 8 1 Table 2/15/79 50 50 9 1 Five Drawer File 188 -0- $5,098 $3,760 PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 17 Minnesota Allocation Plan c GENERAL CODE 01 FINANCE 03 ASSESSMENTS 1.2 UAL AG JUAL SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. No 1976 1977 1978 1978 1979 NO 1979 4 E REGULAR EMPLOYEES 59 097 57 843 $61,900 4 00 R 65,637 S REGULAE EMPLOTEES g L 8,023 8,730 3 3 8,749 #A 4W ARCS OT REGULAR EMPLOYE NOUN REGUL R LOY-E -- -� � - 1 4 66 41 L ES TE-MPER�C MPL Y j,826 a 41 —y b — ?fin 643 1 R R - J EMPO!AR1�E L E _ i _ 4W,VMPLOYEKS LEAVE-- 9,147 9 631 11,348 12.608 14,310 a i 0 Tfl�ilRlifiC€�—_ -- -- 3 016 3 ,& 14 L E P 6N�- 7.421 7.785 TOTAL HOURS + isffl + TW1841 24S1 12.046 r-9r--"0 T _ _ _ 600 075 950 1471-1 FUELS 4 0 NON �ICRE6_S� E---- 14 - 200 250 -ino 4210 300 4Z I 4216 CHEMICALS _ C CLO N N L A NMIi-CE-- __ 50 156 200 150 _._. AIR MAINT 3U LTA EN -4-22T REPAIR iMAMl INY SUP IL EES-E_IP -10 211 _-_ 4 E P & MAINT SUPPLIES—OTHER IMP 2221 _- Nti1�CiE BTiTCaT— —_230 SMALL T LS _ M 300 POFESSIWL SERVICES 4 1,560 1,000 300[37 -'--- 500 N N `AY1011 04 1,539 1,300 300 Q W = ADVERTISING------- _ 33 1 W " N NG 6 TO TEN6 42 391 0 1SURANCCE — 161 481 _5. i 3 0 UTIL ES 4370 REPAIR 6 MAINTENANCE-GENERAI -0 . E N E NC�E- �UI N 232 597 375 375 4371 3 E AINY-ONER I ROVE 4�3 REP 6 M�fNT_BUILDINGS GRbUNDS 3 Ttf_AETUAL-ERVIM 00 00 00 38 RENAL __EUBTCWfT 500 535 650 50 : VEL €kEr�E6iOalS- 4,148 4 326 5,000 4 950 4TU L CENSFS & TAXES 13 4404 4500 LAND R EXPEN 193 -SUA TOTAL 8,802 S 9,200 4 0 BUILDINGS-MD STRUCTURES _ _ i < 4-52-6 URNTTURE�D TIXTURES _ 961 __417 246 _ 246 600 2QQ �. J 0 OWNTNERf I ICUTO E UIPM�ENT _ __ _ ___ o' 4540 OTHER IMPROVEMENTS i 4540 CAPITAL OUTLAY -SUB TOrALj 961 IS 417 S 246 Program Group Teal 1188.435 IS90-11A 197.Q& Upd-nCl. PRIG ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT ADOPTED RITY NO DATE REQ BUDGET 1 4520 1 Five Drawer Legal File for increased record needs 1/2/79 $200 $200 2 1 Electronic Calculator for new appraiser position 1/2/79 400 -0- $600 $200 PROGRAM BUDGET 1979 City of Fridley, Departmental Summary Resource Page 18 Minnesota Allocation Plan FWD CON copmrugNf ACTUAL ACTUAL DEPT DIV PROGRAM GROUP EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ADOPTED 1976 1977 BUDGET POLICE SERVICE PERSONAL SERVICES 747,604 801,855 853,880 853,923 955,445 964,445 OTHER EXPENSES 85,609 93,775 115,924 115,905 145,706 140,1333 CAPITAL OUTLAY 41,177 47,025 47,874 52,741 61,920 56,220 SUBTOTAL 874,390 942 655 1,017,678 1,022,569 1,163,071 1,161,498 ANIMAL CONTROL PERSONAL SERVICES 103 301 1 312 1 3121 Consolid ted into OTHER EXPENSES 11,539 12,126 15,900 15,995 Police S rvices CAPITAL OUTLAY -0- -0- -0- -0- SUBTOTAL 11,642 12,427 16,212 16,307 PERSONAL SERVICES OTHER EXPENSES CAPITAL OUTLAY SUBTOTAL Department Total 886,032 955,0112 1,033,890 1,038,876 11,163,071 1,161,498 PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 19 Minnesota Allocation . Plan PWO COD! 001MTw9kr em con cum GENERAL 01 POLICE 05 ACTUAI ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET 1976 1977 1978 1978 1979 NO 1979 SALARIES REGULAR EM L YEES T49974T$933,808 5 W,974 , 6 6 RS REGULAR E LOY ES 70 690 81 120 81 145 79.79 3 4ff ES REGULAR . PLOY€E - t327 8 14,327 u HOU REGULAR LOYEE� 950 909 1.102 1 1 1 190 j > 41 0 ES TEMPOR I EMPLOYEES _ , --r,-03-5 6,750 6 793 4 350 4 350 D EE 1.580 201 1,928 W N - U SALARIES YREII E s __ 78 L637 84,541 103.505 103,505 115,861 116 905 EMPLOYEE U C_ 29 812 33.196 48.555 4 1 723 L E Gam- 126,328 139. 13 1 1 TOTAL Noun 78 18 00 84 150 8 184 82.306 TOTAL VICES-SUN 4200 OFFI# 2,546 3 4,600 5 173 0 N ICE SUPPLIES_ 4.350 4,836 _ 8 7 517 lxR1T=f__ 23,269 29,539 32,678 Z11 J 2171 6 CHEM S _ _ C L NII�CE- 6 429 7 5 9 7 2 7 225 201REPAIR IN U L - ENE 3 4 1 REPAIR 1 MA Nf UE IE�S-E I1�P 5 623 4,338 6,300 300 7,410 6 410 4 221 REP a MAINT SUPPLIES-OTHER IMP _ 2231 REP A -WCfl`S_`- _48 99 400 400 400 4223 400 230ISMALL TOOLS 37 TM a 3001PROFESSION AL SERVICES _589 496 700 7001 700 700 a 3101CONNUMICATION__ 3 8 8 338 8,700 8.700 9.937 064 W = N _ 10 692 3 3 4 x "IMMINTINd ACPYNG 3,563 4.149 6,300 W TM TNTUM _ 4,723 13,412 s 4360 UTILITIES = 4370 EDWIN ENAINTENANCE-GENERAL 410 _ o MAINTENANCE- UI N 18,953 17,076 20,300 20,300 2 • _MAINT-OTRER-INPRDVE14ENTS 43 EP EfNT-BUILDINGS G NDS 70 25 3 e REP A - L COATING 438 RENTAL 180 213 18 0 200 4380 4W DUES & U CRUTfb-K- 691 1.209 700 685 855 4401 855 4W 7RAVEL. E FOR 7`-A SCHOOLS 5,123 5,377 8,000 51440411LAUNORY 3 13 440 1 R T A 4500 LAND __ 49-0 BUILDINGS ND STRUCTURES 22 i -4-9ff FURNITURE NDFIXTURES 2,962 3 5D 2.1 400-MACHINER-ETUYU EQUIP ENT_ 38,215 43,475 c 540- ERER IM�ROYEMENTS CAPITAL OUTLAY -SUB TOTAL 41 177 47 2 Program Group TSUI M886,032 95 PRIG ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT ADOPTED RITY NO DATE REQ BUDGET 2 4520 Shotguns (Replacement) 6 @ $150 6/7/79 $ 900 $ 900 3 Automated Record Storage 4/19/79 10,000 10,000 4 Tear Gas (Replacement) 2/23/79 350 350 5 2 Smith and Wesson Revolvers @ $200 6/7/79 400 400 7 Night Sights 42 @ $35 6/7/79 1,470 1,470 9 Overfile 200 -0- 10 Safe 3/2/79 200 200 1 4530 Vehicles (Replacement) 6 Marked @ $6,000 6/21/79 36,000 36,000 2 Unmarked @ $5,500 6/21/79 11,000 5,500 6 Portable Alarm Varda 3/30/79 1,000 11000 8 Pagers 2 units @ $200 3/25/79 400 400 $61,920 $56,220 i PROGRAM BUDGET 1979 City of Fridley, Departmental Summary Resource Pao@ 20 Minnesota Allocation plan FUND cow wNATMENT GENERAL Ol FIRF ACTUAL ACTUAL DEPT DIV PROGRAM GROUP EXPENSE EXPENSE ]BUDGET ESTIMATE REQUEST ADOPTED 1976 1977 BUDGET FIRE PERSONAL SERVICES 214,522 227,606 255,549. 209,135 OTHER EXPENSES 27,264 36,328 39,523 55,93 CAPITAL OUTLAY 2,055 2,460 7,131 10,788 8,283 1.400 SUBTOTAL 243.841 2 321,430 CIVIL DEFENSE PERSONAL SERVICES 12,219 13.218 12.545 1 13,880 14.4W- 14,480 OTHER EXPENSES 3,371 4,594 4,470 3,493 5.365 5.365 CAPITAL OUTLAY 718 442 -0- -0- 6,000 4 000 ^ SUBTOTAL 16,308 18,254 17,015 17,373 25,845 23,845 r PERSONAL SERVICES OTHER EXPENSES _- --- CAPITAL OUTLAY SUBTOTAL Department Total 260,149 284,648 295,680 338,803 286,983 321,038 PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 21 Minnesota Allocation Plan FUND CODL M CD C om I wow can - GENERAL O1 FIRE 06 �ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET C No 1976 1977 1978 1978 1979 NO 1979 4M-SALARIES REGULAR EMPLOYEES_ 400 5 S REGULAR EMPLOYEES 12-1 638 _12,993 13,267 h 4Tf0 SAFARI -0-T-RIEGULAR E. PTWff5_ HOU Of REWL R EMPPLOYEEC--_ -- - - --- .5 4120 SALARIFS TEMPO Y EMPLOYEES � 5, V 64, 65,000 > > 0 W -- H E WEE-f _l�, 818 13,354 13.636 SALARIES E RY EMPL E TS EMPO-W E EE _ _ _ _14 40.1. i 0 X3'0 (,`EV - - T1 X623 -11.950 18078 22� 35 1 .54 3 .1171 4 L Y E PUN3`�6NK - > > TOTAL mouRs'-27 062 27.671 25.085 P - T "ng _ 700 66 800 0 4 0 MON_f CE TUT L_ES - �,6 4 688 _ 8 400 9 482 8 650RM 8,650 [S 1SA6T06ES- -1.307 1,371 1.700 2 75 1!700 1. 00 4 16 CHEMICALS ___ d�TT CLOTfITI LACE _2_043 1 838 2,500 2,800 2,500 2�500 PAIR M�TN P ES-GENE 9 5 - 42-211 REPAIR NT SUPPLIE�S-EWIP 2 133 1 375 2.500 2,000 2,550 4 2,550 4 E1EEPP A R N U PL ES-OTHER I P __ _13 150 150 _15_0 2231 RIFTIR N_3rllP6CI�_=BUILOINt; _98 _ 55 250 250 4230 S! LL TOOLS _ 54 162 250 200 250 4 0 _ 250 w PRO-PESEI L SERVICES 71 400 4300 _ _- _- 2,230 2�877 2 400 2 550 4 490 3 490 W N 6 Ca�YING 967 1,658 1,000 650 1.015 3 1,015 N _ _ = 2,86 -4 893 5 033 6 8. 5 875 __5 87 t 4360 UTILITIES 0 W 4370 REPAIR 6MAINTENANCE-GENERAL 50 4370 _ _ 7,000 19 724 0 EP mT�NIINCE- UI EN T, 8,100 TW 8,100 E 1 MAINT-0 THE _._ 443 EP 8�T�ALDINGS GROIINDS 2,42 500 - 240 500 4373 500 CONTII_14ET[jKL S1I5 _ _ 150 100 4375 - 380 RENTAL _ _ 25 84 40 40 4o 38 -_4 RU E !f_TUUECATP' M_W 746 879 _ 700 878 850 UMUT 85Q- 4403 1RES, 6I0 __ 4,782 4.880 6 0 404 L UND Y1 223 204 250 149 25 4404 ITHER P TOTAL 42,720 4500 LAND 4500 4 KM BUILDINGS STRUCTURES 53._ ___ -- -_ - - -- -- -- '< C5 URNTT_URE �D. FIXTURES _ --_ ._ 32fi _ riACHINERd t AUTO EQUI�I4ENT ___ 1 45 0 ETHER IMPROVEMENTS 540 CAPITAL OUTLAY -SUB TVrAL1 2,055 2,460 7 131 10 788 t 8.283. Program Group Total $243,£141 $266,394 $278,665 $321,430 $261,138 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY t NO DATE REQ 1919 I 1 4530 40 Unit Pagers (11 $200 $ 11,000 -0- (10 Scanners 0 $140) :3/31/79 1,400 1, 00 $ 9,400 $ 1,400 PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Rosoures Page 22 Minnesota Allocation . Plan ROD Oooc GENERAL Ol 1 FIRE 06 CIVIL DEFENSE 25 ACTUAL ACTUAL ULF SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT -BUDGET SEC. No 1 1976 1977 1978 1978 1979 NO 1979 _41OWSALARIES REGULAR L PEES 9 155 9 86 9 206 10 280 T10,430 4106 110, Sl ULA17W O- NU 2:144 2,084 2,338 2,594 2,346 2,346 4T( S OT REGULAR R EMPLOYEE H39KY REGULAR MPLOYEES > _41116' SALARMS TEMPORARY NPLO 19 22 14120 W EMPLOYEES 12 R OT TEWORARY — J HOURS OT OR _ ffff INKMES LEAVE _ X409 1.528 1,689 1,600 1 927 1,921 455 521 500 700 729 4132 729 4-M EMPLOYEE PERMNS 81 1 287 1 150 1 300 1 3 41 W 1 394 TOTAL MOURS 2-14 A 2001OFFIffIft-l'"C"t 9b 1bu 150 200 N OFFICE SUPPLIES 1 124 100 150 200 210 200 FUELS liA6ZUBE� 22 116 Z1111 4 161 CHEMICAL _ _ LALLOWANCE _1040 1,393 1.050 1.500 1.250 1,750 �i�ATNT SUPPLIES-GENERAL _ 2211 REPAIR T LIES-E (11-P 461 300 80 300 300 2221 REP a MAIN MAINT SUPPLIES-OTHER I P 2231 REP a WW SUPPLIES-BUILDINGS LL T LS — —— 0 a 3001 P S L SERVICES E31 _j.171 1.000 618 1.100 W i 3301ADVERTISING 43301 W 3401PRINTING I C Y NG —290 77 200 20 2oo 3401 2oo 3501INSURANCE 227 300 800 Roo 4 50 Roo_ r 3601UTILITIES 227--- 271 S = 43 0 3 EPAIR & MAINTENANCE-GENERAL 0 _ c U9143721 E N N�NC�EE�U_I E 265 657 80 4373 EP 8 MAINT-BUILDINGSRGR NDS 43731 4374 REP &4W OTHER CONTRACTUAL SERVICES 4375 " L ATING 4374 TW RENTAL WT DUES & ClfTPT Imo— 40 40 MY TRAVEL. 1[j4 CONFERENCES, 58 276 350 35 350 350 LAUNDRY T A 0 BU L INGS AND STRUCTURES __ _ '< 5ff FURNITURE AND FIXTURES 417 F H NER_O_ df�T 301 _442_ 6,000 4530 0 BTU OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY —SUB TOTAL 718 442 • Program Group Total 16 308 1$18,254 1$17,015 PRIG ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT ADOPTED RITY NO DATE REQ BUDGET 1 4530 Local Activation Equipment for outdoor warning system 3/31/79 $ 6,000 $ 4,000 PROGRAM BUDGET 1979 City of Fridley, Departmental Summary Raoures Page 2 _ Minnesota Allocation Pion SAO coo[ o[MNTM[NT ACTUAL ACTUAL DEPT G E ERAL 01 PUBLIC WORKS DIV PROGRAM GROUP EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ADOPTED 1976 1 BUDGET PUBLIC WORKS MAINTENANCE PERSONAL SERVICES 208,106 225,391 259.625 55,500 OTHER EXPENSES 249,538 270,082 310,225 304,939 330.490 329,490 CAPITAL OUTLAY 154,481 122,177 120,550 100,587 178,537 125.725 - SUBTOTAL 612,125 617,650 690,400 661,026 784,806 730,994 CODE ENFORCEMENT PERSONAL SERVICES 112,391 123,268 133,489 1 127,690 128,612 133,806 OTHER EXPENSES 22,675 34,009 38,875 28,502 35,150 25,600 CAPITAL OUTLAY 197 849 200 200 1,225 1,225 SUBTOTAL 135,263 158,126 172,564 156.392 164.987 160,631 Y PLANNING PERSONAL SERVICES 40,531 59,859 61,744 56,180 58,236 60,318 OTHER EXPENSES 6,077 6,562 9.025 10.635 12,058 36.818 CAPITAL OUTLAY 523 353 510 510 35 -07- SUBTOTAL 47,131 66,7ZI 71,279 67,325 70,644 97�136 ENGINEERING PERSONAL SERVICES 66,063 68,186 71,593 1 58,600 67,050 67.050 OTHER EXPENSES 13,984 15,759 14,825 17,581 19,954 19,954 CAPITAL OUTLAY 5,060 2,247 7 240 7,240 6,650 6,650 SUBTOTAL 85,107 86.192 93.658 83.421 93.654 93.654 CIVIC CENTER PERSONAL SERVICES 35,248 37,050 41,656 40,790 43.970 3 70 OTHER EXPENSES 36.933 48.779 9 CAPITAL OUTLAY 7,886 3 16-600 SUBTOTAL 80,G67 109,647 110,206 112.113 12 32 4 3 Department Total 959,693 1,038,389 ,138,107 1,080,277 1,239,411 1,206,735 PROGRAM BUDGET 1979 City of Fridley. Program Group Detail Raaoures Page 24 Minnesota Allocation . Plan FWD COOS Cm can I rw WOW cow GENERAL O1 PUBLIC WORKS 11 PH t ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE =ACCT C, 1976 1977 1978 1978 4 L E GU EM L E S 183 617 188 706 204 427 RSULAI�EM�LOYEES 715 7 4T(0 ES T REGULAR E PTtf9i ES _5 606 6.603 7.900 7,450 8,06 HOU�Of R GUL E LOYEE� _600 _JUL 1,300 1,225 648 1 648 WTI FO_ HOURS E EMPLOYEES -_2 67 4 1,132 1-750,496 7 i UR9 OT T€"fs6R7iQ`I fNW EE _ 4MMKMES LEAVE- _ 28.487 a28.4813 i TAE-- 14.727 15.5 24,413 Y�ffN� 23.764 26,83a ?A-Qqn 4133. ?A_Q201 TOTAL Ilouns 28,2 31,674 T_ 50 550 615 600 4� ,so 4 0 N �IC�E SUPPLIES - _ 9 000 6 300 18.790 18,790 13,500 12,300 14 175 14,175 4 6 CHEMI S 6 232 7,500 _ 7,000 7,500 7 500 CLOTH LL NC NCE-��- - 53 75 4220 f T3U PLIES-GENERAL 1 273 100 8 _ 2 1 RE IR i MAINT SU PLIES-E9UIP ,817 27.700. 25.800 27 300 4 27.300 N UPPL ES_OTHER I ,1T4 j338 16.50 16,837 17.000 X15 4M-WFVMW 3`(166[ B f_ A 894 900 900 1,000 0 L LS _ T$21 2 604 1.8001 1,600 1,700 J�0 PR ST L SERVICES 8 3 W4001.8091 00 _ h . 5 2 2 0 72 15 150 0 N tiYfNG .- 728 50!) j � 28 12 3 16,,3 436 UT L E r- T1 9 938 95 0 43 0 REPAIR 8 MAINTENANCE-NENERAL 2,875 23 4370 c : E M rNTENANCE- IR EN �a3 'f4 0 29,000 27,600 4 3721 REP & N - ER I VE 6 12 000 12,10 1 _.1Z,20O 4373 REP 3_M fHT-BUILDING_GR 11NDS X42 6,000 6,034 6 0 4373 as T 1 AINT-S ICl 96 48 000 48 r E ACTUA[ SERVICES 12,889 _8 0 8.45 9,140 4375 3 REND- 3 0 1-RA TT6iu?; - 100 170 00 200 _ aff"TRAVEL, ZRFEWU �E�- 1 917 1,38L ** See Note Below 2_ 2,477 2,427 2 600 2 6 4 R lAm T A , 3 5330,490 - 4500 LAND __ �00 7 000 7,DM 7,000 7-000 4500 7-Q00 45 0 BUILDINGS�IiD STRUCTURES__ Z,/76 _27,627_ 37 0�0 �4,J _16.73 0 URN�TURE TN_D FI XTURES 700 _ _395_ 4 CHTNERY 3 Al1T6E�UI�_PiENT � 52,870 41,65 1J19.tiIlD _82.300 �7 a 4540 tj`fFIER IMPROVEMENTS 71 135 5 0 CAPITAL OUTLAY -SUS AL 154 481 1 r r Program Group Total 612 125 617 650 690 RIO CCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 The actual Total is 323,779; this represents the actual hours worked by Public Works personnel. An estimated $48,000 of this total will be charged to other departments for vehicle maintenance. thus, leaving the above listed amount of $275,779. ** Includes the following accounts for 1979: #4404 Laundry $2,600 #4457 Alarm Service $ 200 See next sheet for Capital Outlay Detail PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 25 Minnesota location ow Pion cum RM0 cow � GENERAL 01 1 PUBLIC WORKS 11 MATNTFNANr PRIG ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT ADOPTED RITY NO DATE REQ BUDGET 1 4500 Municipal Garage Land Payment 4/1/79 7,000 $ 7,000 2 4510 Municipal Garage Mortgage Payment 5/1/79 16,737 16,737 3 4530 Front End Loader - 1k Cu. Yd. (Replace '70 Case) 9/1/79 38,000 38,000 Front End Loader #748; new loader cost: $44,000 less trade of $6,000 for Case Loader 4 Brake Washer for Shop Operations 2/l/79 300 300 5 Engine Analyzer(Replace obsolete '71 Marquette Analyzer 6/1/79 5,500 5,500 6 Sign Truck - 1 ton truck with sign cabinets & 32 ft. 7/1/79 24,500 24,500 aerial bucket for signal maintenance 7 Highway Paving Machine(Replace '68 Overlay Paving Mach. 6/1/79 6,500 6,500 8 Heated Oil Storage Tank (Replace old distributor tank) 4/1/79 8,000 8,000 9 Hydraulic Blade Gate for Grader 4/15/79 2,000 -0- 10 Leaf Loader 5/1/79 11,500 -0- 11 Tire Changing Machine 6/15/79 6,000 -0- 12 Brake Lathe 6/15/79 7,500 -0- 13 4540 Signal Installations: Fridley's Share 1979 1980 E.Riv.Rd and 51st(FMC) $43,250 $26,000 $17,250 10/1/79 26,000 9,475 E.Riv.Rd and 44th $19,000 $19,000 -O- 10/1/79 19,000 9,713 178,537 $125,725 PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 26_ Minnesota Allocation Plan nwo coot F5FFWfN-tW CODE GENERAL 01 I PUBLIC WORKS 11 a ODE ENFORCEMENT 27 ACTUAL ALTUAL SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC, NO 1976 1977 1978 1 1978 1979 NO 1979 4100 SALARIES REGULAR EMPLOYEES 83,081, 90,621 L96,264 1_93,200 T 92 971 4100 94,117 H RS PEGULKR- EMPLOYEES �0 143 3864 11,478 5,374 11 J42 4_TI O LAS T REGULAR E, PL 'EES 08 _1 411 _200 150 150 150 u HOURS OT REGULAV—EKPLOYEES--_- --_--8 5 16 1 12 41 O SALARIES TEMPOR�EMPLOYEES­OYES 1 37 1 858 2,05_Q 300 1,300 0 6 867 W HOURS TEMPO EMPLOYEE 826 _r,4rs 421 79 1.857. 4 L RTES OT- E�RARY EMPO E __ HOURS OT TE140 EMS EE _ _ EMPLOYEES - _- 12,657 14,047 17 1 14 6fi2 0 4132 L CE _ 4,301 4,922 5,_ 9 41 L E P N ONE-- 1 9 0` TOTAL HOURS 5351. 5974 10,333 13 81 P - TOTAL ILU_ 652 900 690 800 800 21O.NON _OFFICE SUPPLIES , 39 4,900 725 2,750 2,500 7fMFUR S�------- 92 _ 00 120 00 00 42161 CHEMICALS 68 CL H LA L� NN�CE— 50 53 50 4217 WFAM 8 MIT 11 T SUPPL -GENE 17 42 1 REPAIR 8 MST SUPPLIES-E UIP T _ 8 300 150 100 1 _ 10_0 4 EP NMAT T SUPPLIES-OTHER _ 1€P A MAINfi §UjWf -BUlLD1NG -- —_ 42 30IS14ALL LS —llf4 — 50 50 50 —4 O— _50 a - PROFESS L SERVICES 00 21500 4300 2 x'00 z ADVERTISING 20----- - MU WrN-TI-N-G 8 C_PYING _ - 4 000 800 800 340 800 4W MU-M MN - 65 602 700 1090 1.300 4350 1.300 z G 4360 UTILITIES _ _ 354 4360 _ 4310 REPAIR 8 MAINTENANCE--ENERAL _ _ 11 43 0 ENT 330 _ 689 9 3 REP MAINTENANCE- UI o 600 3711 E N - TH�i�E _ _ _ 4373 REP 6�M INT-BUILDINGS GGR UNDDSS 43 3 a37T REP & MAINT-SEAL COATING 4M OTHER CONTRACTUAL 38 RENTWL— 300 4380 : 4W DUES UB CitTPfiT6NE___ 226 362 3 350 _ a 4401 APEL DER fE�ES�CH'O�L�— 4,206 4,866 5 4420 REFUNDS REIMBURSE 195 200 200 200 4404 R EXPEOISES -IWLT TA LAND _ _ _ _ _ _ 0 BUILDINGS AND STRUCTURES 45 _ i 0 URNI TURE VN F IXTURES __ _ 131 -_849 _200 __ 200 1,225 _1,2 5 J 0 hiACHfNERY b V0 co UIPMENT _ __ Q-- ---- — .°� o' 4540 6THER IMPROVEMENTS — 540 CAPITAL OUTLAY -SUB AL 49 200 200 1 225 IS 1.225 Program Group Total i$l35,263 $158 126 $172.56 $156.392.$164.987 PRIG ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT ADOPTED RITY NO DATE REQ BUDGET 1 4520 Portable Receivers to reach Inspectors 3/1/79 $ 825 $ 825 2 Polaroid Camera 3/1/79 50 50 3 New Chair for Plumbing Inspector's Office 6/1/79 100 100 4 Electronic Thermometer - Code Enforcement 3/1/79 250 250 $1,225 $1,225 �1 PROGRAM BUDGET 1979 ��}r City of Fridley, Program Group Detail ' sftms Minnesota AIR IocatioA Pte '` plan i •� FWD COD! EN coal DI C GENERAL Ol PUBLIC WORKS 11 A ACTUAL U L DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT 8000 FT SEC. I NO 1976 1977 1978 1973 1979 00 1979 ' -'41001SALARIES REGULAR EMPL PEES 25 765 36 722 S 9 142 29 ie t R �p ' HOURS REGULAR EMPLOYEES 111932 12,691 3 589 a A39 B a W dTf SALARIES T REGULAR E. PL�'EES 65 69 200 100 �i +>: U HOW TT REGUL�LOYEES _ , 8 1 41 0 SALARIES TEMPORARY EMPLOYEES 5,945 6 515 19 919 15,00 1 nnn W HOURS E E YEE 4 854 n 4 7 0 L RIES RYEMPLOYEES 3 J HOU S T EMPOR�1' EMPL EE Zim z L 89 �57 5 345 5 a o°0, LU�CE -- 1 264 2 900 it -L YEE P ONTS 420 4 23$ q e �t TOTAL HOURS 12 477 13 2 5 PERSONAL vIcEs-sum T OTAL$4U.531 4 ' O N N FIC SUPPLIES� --� 104 281 100 nt) MT_TUlTTTR5_ f_ 16 CHEMICA S_ CLOTH CLOTHINQ ALL NW Cam— - 50 5.3 ' 4W REPAIR A KAINT SUPPLIEg'-GENERAL 15, 10 4ZZO 1 REPAIR I MA INT SUPPLIES-E UIP 2 1 DO inn Uff EP I KAINT SUPPLIES-OTHER IMP ' . W W : WN SMALL TOOLS N 81-7 s ` 351 14 C PNG j 9 W t 360 UTILITIES 1 ­6_11t, 6_1 , z 4370 REPAIR A MAINTENANCE-GENERAL 4 70 : o F Un REPAIR & 14AINTENAP - UIPME 54 N33 4374 MY tE �FiEIMPROVEMENTS' 100 IDO 3 3 REP AMAINT-BUILDINGS G OUNO V EL N _ . . 380 RENTAL RU 0 I EUBECl�TPTNS-- 224 177 400 0 : 11�EZ`QREERPH�EiCH 1 191 1 503 1 250 1 LAUNDRY s OTHER P N E -SUD TOTAL SQ 5001L AND 451 0 BUILD UR NGS ND STRUCTURES — � t N TURE ND FIXTURES —523- 0 - 30 CNI 1,11' 111-E UIPMENT — —— 60 160 45401 bTHER IMPROVEMENTS CAPITAL OUTLAY -sun OrAL O 51 O 350 _ z, Program Group Total 47,131 $66,774 1$71.279 1$67.325 IS70.644 27,136 _8 RIO-ACCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 Li *Includes Unemployment Comp. Acct. #4134 in the amount of $500 for ?W9. x*� ** i�th a 400 increase t contracting onsulting rm fito performa CenterCity w �M.4 revitalization feasibility study in 1979. w ,�. PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 28 Minnesota Allocation . Plan GROUP GUIP FUND cool M CO 1 C N I PRO GENERAL Ol 1 PUBLIC WORKS 11 ENGI NEE P,ING 36 ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC, No 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGUL R EMPLOYEES $46,982 41001 142,672 H URS REGULAR EMPLOYEES __ _6,118, 6,000 4,460 5,796 5.79 U 4170 SALARIES OT E EMPLO ion inn inn 4110 inn (ii HOURS OT REGULAR E PLOYEE3_ 16 722 30 10 8 8 i 41 0 SALARIES TEMPOR RY EMPLOYEE �, 0 y — HOURS E EM YEE _ 6 1,810 1,840 1 75 1,150 4 R ES TE RY EMPLOYEES --IM 100 loo 4130 loo HOURS T ENPO-W EMPL EE _ 18 17 17 `z 4M'EMPLOYEES _ 7a474 i 4M-EMPLOYEE *_ 000 3,550 411 3,550 9 4 L E P N 6NS 5 8 33 5,800 TOTAL HOURS 7.715 TA i SU@ 4200 OFF,#fftA0v1cES__ 9 ,950 1,940 ,900 zoo 1,900 4 0 NON OFFICE SUPPLIES 900 MT 11AffLwf__-- 4 16 CHEMICALS_ _ _ 7 Tff 5 CL TH ALLOW N CE __ 128 100 4217 220,REPAIR 8 N SUPPLIES-GENERAL _ 3 42211 REPAIR 8 MAINT SUPPLIES-EQUIP 311 536 600 600 600 2211 X00 EP & INT SUPPLTE -OTHE IMP __ 2221 - REP s� iATNT_3UPPLIES-BU NG __ _ 230 S LL TES 1 42301 100 W 300 PROFESSI L SERVICES 2.150 705 4300 2�0 a ___ 1 716 2,694 8 3,080 z SN 7 1 W = IL R N ING 6 COPYING 1,067 34 W = N URA- _ a t; 4360 UTILITIES _ _ 3 0 = 4370 REPAIR A MAINTENANCE-GENERAL _ _ 4370 _ c REPAIR NTEN NC -E UIEMEN 1,421 3 3 E -N THER IMPROVEMENTS 4373 REP 8�M INT_BUILDINGS GROUNDS 373 E L SERVICE9__ 426 qQrl 9rn 400 TM 450 4380 RENTAL 32 50 43 4W'DUES A SUBStRrP_TT6_N§_ 490 324 350 3 350 4401 350 E ER NCUa 2,151 54404 LAUNDRY 4404 'THER EXPENSES -SUB ToTAL,$13.984 9 $14,825 $17,851 $19.957- 99 LAND __ _ _ 4510 BUILDINGS AND STRUCTURES _ _ i 45 0 FURN TURE N FIXTURES 524 11307_ 400 774 5 -J 4-610— CH NERYY A�-EQUIPMENT 4,494 940 6 840 6 466 6 650 4530 6.6sn 0 4540 OTHER IMPROVEMENTS 540 CAPITAL OUTLAY —SUB TOTA L 5 060 2 Program Group Total 1$85.107 1$86.192 $93.6581 183.421k93-654 _tq1_r.!4 PRIO ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT ADOPTED RITY NO DATE REQ BUDGET 1 4530 Automobile (Replace 1974 Matador #818) 5/1/79 $59750 $5,750 2 Mobile Radio 5/1/79 900 900 *Includes $1,000 unemployment compensation $6,650 $6,650 PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 29 Minnesota Allocation . 10� Plan FUND CBFET-00ATMIMT CO OIVU CO GENERAL 01 PUBLIC WORKS 11 ACTUAL JACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. NO 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGULAR EMPLOYEES $20,051 20,626 1-22,392 22,400 4100 5 24,197 H URS REGULAR EMPLOYEES -.3-67.7 3,459 4,075 4 4T10 SALARIES OT REGULAR EMPLOY' 746 _113 300 250 300 2 HO-Ult OT R GULAV-EMPLOYEE-_ _jE 12 50 26 a 4120 SALARIES TEMPORARY EMPLOYEEf 6,_880 8,270 9,000 8,200 H HOURS TEMPORARY EMPLOYEE 2,594 2,400 2,187 2,250 SALARIES E R EMPLOYEES 9 10 5 HOURS OT TEMPORARY EMPLOY-EE-F- 2 2 10 EMPLOYEES LEAVr__c __ 3 104 3.197 4 4,303 Ir EMPLOYEE L CE _ � , 2 169 2 200 2 320 2.320 9 413 PEN 6NS 43 3 637 3,640 3,850 TM3 3,850 TOTAL nouns 6.03Z 6,535 6_3 4 6.439 6.424 .656 PERSONAL 3T 4200 OFFICE L / 1 131 50 50 50 50 i 210 NON OFFICE SUPPLIES ,853 4,017 2,000 1,900 2,000 2 000 TST j �{MTrW�__ 51 29 5 40-6 WT CHEMICALS CLOTH _ __ 89 6 RLLi5-MIN�E _ 50 50 50 50 50 4217 50 0 REPAIR 8 WNT SUPPLIES-GENEUL 289 Is 4221 REPAIR 8 MAINT SUPPLIES-EQUIP 56 _ 19 100 100 100 W1 100 4 222, REP & MAINT SUPPLIES-O-HRIMP TM 1 223 REP A N SUPPLiES-BUTf-NGS 83 600 590 600 MY 600 4230 SMALL TOOLS 100 50 50' 4230 50 300 PROFESSIONAL SERVICES 1,6501 3,000 4300 24500 a M MOUfflUTWN ,bT 0 1,200 1.200 1 350 4312 1,350 W = ADVERTISING _ __ x 0 PRINTING 3 CO YTS ING 3 0 350 INS W U NSA CE _ _ P-2 2 655 2.043 0 0 4360 UTILIT ES 7 24,545 26,000 60 = 4370 REPAIR b MAINTENANCE-GENERAI 4370 _ c E N EN NCE-E UI EN 2,500 2,400 2 500 3 EP N - THEIF-TM� VEM TS 4,000 4,000 4,000 _ 4373 REP 3�CM fNT-BUILDINGS GR UNDS 6,000 7,000 8,000 4373 1 o P38 N - EL COATING CONTRACTUAL OTHER , 000 4,000 RENT L X282 298 4 80 E b UBSCUPTTINW- _EL N ER N ES, CH 3 LAUNDRY 1,956 4404 R EXPENSES - TTA J L ND _ 45-1-0 BUILDINGS AND STRUCTURES _ 6 147 17,700 17 7 i 45 0 URNITURE AND FIXTURES 7;30 3,750 0 45 0 CH NERY 3 -EQUIPMENT_ _586 1 799 AUTO o' 4540 THER IMPROVEMENTS 7 4540 CAPITAL OUTLAY -sue T AL 7 886 23 81 Program Group Total g0 067 109 647 11 2 L125-3201 10? -1 PRIO ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT ADOPTED RITY NO DATE REQ BUDGET 1 4510 New Roof in Fire Dept. (Existing roof built in 1952) 10/1/79 $ 7,500 $10,000 2 Storm Windows on north wall - Fire Department 6/1/79 2,000 2,000 3 4520 Chairs for Council Chambers 6/1/79 3,750 -0- 4 4540 New Carpet - Council Chambers 4/1/79 2,600 2,600 5 Humidifying - Civic Center 7/1/79 2,000 2,000 $17,850 $16,600 PROGRAM BUDGET 1919 City of Fridley, Departmental Summary Resource Page 30 Minnesota Allocation Plan FUND coo[ DLPMTY[NT GENERAL 01 ACTUAL ACTUAL DEPT DIV PROGRAM GROUP EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ADOPTED 1976 1977 BUDGET NATURALIST PERSONAL SERVICES 50,116 61,664 37.860 120,236 53.914 45.701 OTHER EXPENSES 53,088 77,703 74,090 71,342 22,145 22,345 CAPITAL OUTLAY 481 12,908 19,350 7,800 5 SUBTOTAL 103,685 152,275 131,800 199.378 100.594 71.281__ PARKS PERSONAL SERVICES 138,757 154,356 160,975 1 134,783 291.258 235 100 OTHER EXPENSES 84,078 101,862 99,742 112,355 216,747 225,436 CAPITAL OUTLAY 140,625 170,038 126,589 164,367 300.328 103,103 SUBTOTAL 363,460 426,256 387,306 411 505 808,333 RECREATION PERSONAL SERVICES 178,071 195,591 230,833 219,550 185,911 214,767 OTHER EXPENSES 40,969 63,560 79,577 81.724 91.349 82,378 CAPITAL OUTLAY 13,119 1,469 6,065 4 128 4,5.7.& 3.73 5 S)BTOTAL 232,159 260,620 316,475 305,402 281,835 300,880 Department Total 699,304 839,151 835,581 916,285 1,190,762 935,800 PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 32 Minnesota Allocation Plan FUND CODE DEPMTMENT CODI OrMON C GENERAL Ol PARKS NATURALIST PRIG ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT ADOPTED RITY NO DATE REQ BUDGET 1 4510 Room Addition to A-Frame $12,000 $ -0- 10 Display Tables 4/1/79 200 200 11 Display Cases 4/1/79 525 525 14 Shelving 350 -0- 2 4520 Freezer 200 -0- 3 Telescope 6/1/79 310 310 4 Office Desk 475 -0- 5 Selectric II Typewriter 6/1/79 825 825 13 Folding Chairs (25) @ $10 250 -0- 15 10' Wall Screen 150 -0- 6 1530 Camera Equipment 700 -0- 8 Vacuum Sweeper 175 -0- 9 Audio Visual Equipment 3,050 -0- 16 Mobile Nature Wagon and Equipment 2,800 -0- 7 540 Plantings and Landscaping 6/1/79 2,200 1,000 12 Trail and General Signing 6/1/79 375 375 $24,585 $ 3,235 PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 34 /ON Minnesota Allocation Plan FUND CODE T Coo[ DWMI C GENERAL O1 PARKS & REC. 13 PRIG ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT ADOPTED RITY NO DATE REQ BUDGET 2 4500 Special Assessments 2/31/79 12,500 $ 12,425 21 Land Purchase 2/31/79 32,000 10,000 1 4510 City Garage Payment 1/15/79 6,243 6,243 14 Open Air Park Shelters 8,000 -0- 19 Permanent Park & Recreation Buildings 65,000 -0- 20 Green House (1st Stage) 6,000 -0- 12 4520 Playground Equipment for Edgewater Gardens, Sylvan, 9/1/79 10,200 10,200 Craig, Terrace,Hackmann 15 Calculator 3/1/79 250 130 16 Cabinets 500 -0- 17 Bookcase 150 -0- 3 4530 Mower - Weed Abatement 4/1/79 475 475 4 Replace Unit 529--1971 one-ton Dodge Stake Truck 5/1/79 7,000 7,000 5 Replace Chain Saws 5/1/79 1,200 600 6 Replace Unit 521--1972 Chev. Step Van 5/1/79 8,500 8,500 7 Tree Cart 4/1/79 250 250 13 Riding Mower Replacement 4/1/79 3,200 3,200 22 Replace Spraying Rig 4/1/79 400 700 23 Tree Removal Truck with aerial attachment 41,000 -0- 8 4540 Meadowlands Development Study 6,500 -0- 9 Lighting Replacements 2/31/79 10,000 8,000 10 Irrigation Additions 0/31/79 15,000 10,000 11 Addition to Nursery 0/31/79 3,300 3,300 18 Replace Hockey Boards 2/31/79 12,000 10,000 24 Fencing - Springbrook, Craig and other areas 2/31/79 8,000 8,000 Landscaping & Other Improvements--Meadowlands 7/31/79 0 1,880 Landscaping & Other Improvements--Harris Lake Park 7/31/79 0 2,200 257,668 $103,103 PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 35 Minnesota Allocation Plan FWD cone a * � c GENERAL 01 PARKS AND REC. cam ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC NO 1976 1977 1978 1 1978 1979 NO 1979 41 00 SALARIES REGUL EMPLOYEES 62.612,$ 89,850 4 00 HUU—RS-R—EGULAR EMPLOYEES 10,599 _15,025 11 365 12,652 a W TL R ES T REGULAR PL 4 1 540 4110 - HOU�TO REGULAR'EMPLOYE_ 87 31 147 L RI S > 4120 ES TEMPOR Y EMPLOYEE 90 O 141,419 D'W H U� M Y EMPLOYEES lb,518 22,760 19,363 16,666 Ifi-SR6 36.586 430 RIE TE R RYE L 1Z j H UTtS T MPOO IEY EMI'L EE _ 32 4131 - 4M EMPLOYEES LEAVE 4 L E INSURANCE 9.677 3 33 TOTAL HOURS 2 37.816 30.875 29.444 44-171 4200 OFFIff%$bA0v'Cn _ 547 970 2,655 4,155 2,100 2,100 4 2101NON OFFICE SUPPLIES 14,999 22,474._19,897 21,829 24,639 4210 24,639 11 FUELS�(R6TDBI'�---- 2,185 1,814 2,031 2,140 R90 Q11 890 42161 CHEMICALS _ _ CLOTH L NMI CE 128 — 315 315 54o 42171 250 2201REPAIR 8 RWNf SUPPL ES-GEN 17 125 125 135 220 2$ 3 2211 REPAIR 6 MAINT SUPPLIES-E UIP 322 1 1 �4 4 EP 6 NT SUPPLIES-OTHER IM 614 870 2,025 1,740 25o 4222 25 2231 REP & NT 9U I- -8-UM-DIN _188 _ 3 4230 LLB 103 135 135 146 4 230 14 a 300 PROF SS OVAL SERVICES 208 600 525 650 300 _50 , 291 1 7 8 • 0 E N _ _ 6 301 400 125 6,25o 4330 25 X B 3401PRINTING 8 C_PYING 8 O W OlINSU - - - r 4360 UTILITIES _ _ 0 2,260 i 4370 REPAIR b MAINTENANCE-GENERAL _ _ 4370 _ 0 3711 E N -N HEAR VE ENT 7 Z5D 4373 REP 8 MAINT-BUILDINGS GR UNDS TRY STN REP & MAINT-SEAL COATING 0 4M OTHER L 4380 RENTAL A 71RI A179; 7_171; g,72g 4380 6-900 B 4W DUES b SUBSCRIPTIONS l.,Uj SCH ** See Note Bel 4404 OTHER P E —SUB TOTAL 4500 l N 45 0 BUILDINGS AND STRUCTURES _ __ __ 1 i 45 0 FURNITURE AND FIXTURES _3 L.3 1_f, 0 CH NERY& AU TUE UIPMENT_ 13.119 _ '0 4540 THER IMPROVEMENTS 540 7 Al CAPITAL OUTLAY -SUB TOTAL Program Group Total $232,159 $260,620 $316,475 $305,402 $281.835 $300,88 RIO CCT IN SERV DEPT BUDGET IT NO CAPITAL OUTLAY DETAIL DATE REQ 1979 * Acct. No. 4132 includes Acct. No. 4134 - Unemployment Compensation in the amount of $2000 for 1979 ** This includes the following Accts for 1979: #4404 Laundry $ 150 #4420 Refunds/Reimburse $ 640 #4453 Misc. Mdse. for Resale $2000 See next sheet for Capital Outlay Detail. r1 PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 33 Minnesota Allocation . Plan Koo Coo[I WIRWITUM CO I C GENERAL 01 PARKS AND REC. 13 PARKS 47 ACTUAL ACTUAL BUDGET FSUB ACCT ACCOUNT DESCRIPTION EX9PE6NSE EXP9ENSE BUDGEBT ES19IMATE REQUUE�ST ANOCT 1979 4M SALARIES REGUL R EMPLOYEES 77 454 88 289 85 59 77 1 1 00 111,366 ffiFU_RS_1_EGUCA­R EMPLOYEES 1 _1.2.709 10.485 A 16,099 4T10 WEARIES 6T REGULAR EMPLOYEES 287 _247 720 150 1.070 1 Q,70 HOURS OT REGULAR-EMPLO E 28 _2L 75 16 86 > 4120 SALARIES TEMPORARY EMPLOYEES 33,164 26 982 38,455 24,025 55,124 4120 72,434 R HOURS EM EM L YEES _8,613 9 4,70 0 L R ES E R E L _ ., HOURS T MPORAIfY EM L YEE _ _ = ES 11�8� 13 13 17,373 O 1•R N U NCE* _ 5.403 2 1 2 3€ L YEE PEN O E- 33 TOTAL HOURS 14 222 37 414 36 880 4_I P - TOTAL , , , 10 NON FICE SUPPLIES 17,066, l�RffTOBES--- 4216 CHEMICALS_ - _� 4 LO H L� NWT CE 55 4220 0 6 MSUPPLIES-GENERAL _ 78 500 gna 560 3 42 1 REPAIR & MAINT SUPPLIES-EQUIP 8,898- 8,391 fi.nfis g,770 7,266 221 7 w 4 2 EP 6 N SUPPLIES-OTHER IMP 59 2.050 231 REP I N SUPPLIES-B11fLDfN y5 g9 4230 SMALL TM-LS 0 a 300 PR ESSIU L SERVICES 4300 M w � W = O S N _ _ zsR 149 348 X " 0 N ING 3 COEYING 0 W . 0 U�- _ _ 7-619 A-018 t; 4360 UT LITIES 0 4370 REPAIR b MAINTENANCE-GENERAL 4370 nn c R N EN NC -E UI EN 13 692 16 653 11 950 12 525 12 747 3 12 747 9 3721 E N - NER IMPR VEM 362 260 1 150 2 025 2 420 L32,250 4373 REP A MINT-BUILDINGS GROUNDS 603 2 812 4 500 2 425 4 770 373 4 770 `: 4374 NT-SEAL COATING 4374F- 3 L 4,030 4,058 9,lnO 93.150 4375 74,150 380 REN L 3,539 2,432 6,035 3.210 4380 4,800 g b UB CRTPTIONS- = E RNE�IH L * ee ote Be ow , 4 404 R N E - T TA 1 6 OLN _ 3 04.4 41 3 5 4510 BUILDINGS ND STRUCTURES lj_,5_�3 1 L i 45 0 URN TURE-FIXTURES __ _ 0 0 CH NERY 6�EQUIP ENT 3.4,76 3n.805 -43.450 _47,845 58,825 c 4540 THER IMPROVEMENTS 5 0 80 CAPITAL OUTLAY -sUa TOTAL Program Group Tout $363,460 $426,256 $387,306 $411,505 $808,333 $563,639 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 * Includes Unemployment Comp. Acct. #4134 in the amount of $6,975 for 1979 ** Includes following AccountsJor 1979: #4402 Licenses & Taxes $300; #4404 Laundry $1,157 #4456 Bags & Wrapping $50; #4457 Alarm Service $632 # Account 4372 contains $30,000 for Moore Lake Restoration Proqram. See Next Sheet for Capital Outlay Detail. PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 31 Minnesota Allocation Plan FWD C0DE TWPWfM ENT CODE I DIMION C GENERAL 01 NATURALIST 13 TURALIST 45 ACTUAL ACTUAL BUDGET SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT SEC. No 1976 1977 1978 1978 1979 NO 1979 SALARIES REGUL R EMPLOYEES 33,506 43 340 $-T&912 82 JDL$ 30,100 4100 S 22.942- H URS REGULAR EMPLOYEES 5,692 -.7.789 2,268 4 4T L RIES OT REGULARIMPLOYEES__ HOURS OT REGU� EMPLOYEES 41 O SALARIES TEMPORA Y EMPLOYEES -2F,-64T 3,346 9,992 7,750 12,558 4120 12,628 W HOURS Y EMPLOYEES _1 119 1 446 3 2 341 4,186 4,186 LARIE TEMPORARY E L Y 1 - HOURS OT TEMO-OWTICH-PLUEES_ ffff-EMPLOYEES !),Zbt5 6,718 3,469 12,390 4,695 4131 4,130 i 0 OYEE TNSu CE - 2,1i�i ,747 1 874 7 310 2,618 3 057 9 4 3 L V E P N 10M 9 5,513, 3,613 10,486 3,943 3 2.944 TOTAL HOURS 6.811 87 1092 7,226 p - T ____ 172 497 880 900 50 950 2 O NON FFICE SUPPLIES 5,382 1.974 1.365 1,571 3,675 2101 3,675 AAU-[WS-- 681 623 1 850 750 950 Zlll 950 Ml_6 CHEMICA S_ _ _ 23 200 _ 100 4215 200 CL TH LLW NW1� CE 446 549 375 125 40 400 2201REPAIR 8 MINT SUPPLIES-GENERAL 3 1,100 300 450 4220 450 3 42 211 REPAIR 6 MAINT SUPPLIES-E UIP 217 295 450 350 300 4221 300 4 2221 REP 8 I NT sulFREWS--OTHER IMP 150 45 2.100, 700 550 Wff 550 E N_-UEpCfEff-BUAL­fffNG 103 1.216 300 200 400 4223 400 423OISMALL TOOLS 213 40 400 440 650 4230 650 300]PROFESSIONAL SERVICES 556 4 400 675 1,475 4300 1.475 vW, . JOICOMMUNICATION _ 563 553 1,215 5 1.370 43101 1.370, W ; 3301ADVERTISIN6 103 221 250 120 loo 330.- 100 IL ° 0 PN URGE-OPYING - - 191 2 340 1,012 1.000 1.661L 1-7nn 4350 l,700 s 4360 UTILITIES 1 4 - 4360 = 4370 REPAIR A MAINTENANCE-GENERAL 100 100 j5k 4370 Ia 0 1 REPAIR & MAINTENANCE-EgUIPMENT 1,257 1 43 REP & WrNT--OTHER IMPROVE 4373 REP A NT-BUILDINGS GROUNDS 314 350 4on 4373 00 4374 E PAINT-SEAL COATING L SERVICES 85 63 523 55 400 55,020 1.25 1 25 s 380 RENTAL 774 489 350 1,650 4380 DUES & SUBSCR PTTOHS- 1.¢7 x.87 250 175 01 275 TRAVEL, N ER NCES, SNORT- 1,075 2,2Q5 2,300 1,900 1.5 4403 1,575 5 * See Below) 609 534 65n 2fin 4404 R EXPENSES -SUB TOTAL LAND __ 0 BUILDINGS AND STRUCTURES ---85- 13, 4M _7 i 45 0 FURNITURE AND FIXTURES - Z99 45 0 CH NERY & AUTO E U3PMMENT_ 356 45301 17S c 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL 4RI 12-909 19-R95 7-Ann 2 Program Group Total 1 103,685 152,275 131,800 $199,378 $100,594 71,281 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 * Includes following Accounts for 1979: #4453 Misc. Mdse for Resale $ 50 #4456 Bags & Wrapping $125 #4457 Alarm Service $350 See next sheet for Capital Outlay Detail PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 36 t� Minnesota Allocation Plan FUND CODE MEN7 CO C cool GENERAL 01 PARKS & REC. 13 RECREATION 48 PRIG ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT ADOPTED RITY NO DATE REQ BUDGET 1 4520 Office Desks (2) @ $225 9/20/79 $ 450 $ 225 2 Movie Projectors - 16 mm 3/1/79 850 850 9 Filing Cabinets (2) @ $125 3/1/79 250 125 10 Book Case (1) 125 -0- 3 4530 Calculator 3/1/79 250 125 4 4540 Picnic Kits (5) @ $20 6/1/79 100 100 5 Volleyball Referee's Stand (2) @ $155 9/1/79 310 310 6 Stop Watches (12) @ $40 6/1/79 480 240 7 Playground Storage Boxes (12) @ $50 6/1/79 600 600 8 Sign Making Kit 6/1/79 200 200 11 Playground Water coolers (12) @ $30 6/1/79 360 360 12 Tents (4) @ $150 6/1/79 600 600 $4,575 $3,735 PROGRAM BUDGET 1979 e01N City of Fridley, Departmental Summary Resource Page 37 Minnesota Allocation Wan Fv"o Cow w/MTN[NT GENERAL 01 R —ACTUAL ACTUAL DEPT DIV PROGRAM GROUP EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ADOPTED 1976 1977 BUDGET EMERGENCY RESERVE PERSONAL SERVICES - -n_ -n- -0- -0- -0- OTHER EXPENSES -0- -0- 100,000 -n- CAPITAL OUTLAY -0- -0- -a- -0- - - -n- SUBTOTAL -0- 100,000 -0- 125,000 125,000 PERSONAL SERVICES OTHER EXPENSES CAPITAL OUTLAY SUBTOTAL PERSONAL SERVICES OTHER EXPENSES CAPITAL OUTLAY SUBTOTAL Department Total PROGRAM BUDGET 1979 City of Fridley, Program Group Detail Resource Page 38 Minnesota Allocation . Plan FWD COD[ GENERAL 011 RESERVE [ RESERVE Liq ACTUAL JACTUAL SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. NO 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGULAR EMPLOYEES 4100, H RS_FE_GULA'9 EMPLOYEES ^ 4 SALARIE9 OT REGULAR EMPLOYEES HOU OT RE,,U LAR EMPLOYEES > 4120 SALARI ES T MPR Y EEMPLOYEES _ R — U EM EE W N -- SALARIES R EMPLOYEES- — z HOURS T EMPOO EL EE L - — --- - o f 4_M EMPLOYEE N 6NF_ 4133 TOTAL HOURS T 0 N N ICE SUPPLIES 111 FUELS IMRWS--- 4Z11 161 CHEMICALS _ _- CLOTHI NYK CE —_ 3 42211 REPAIR MAINT SUPL IESS-EQUIP 4 w 4 221 REP & MAINT SUPPLIES-OTHER IMP 2231 REP & 9"N 9UPPLIES-BUILDINgS 2 0 LLI TLS —— — 423 0 W 300 PRO ESS NAL SERVICES — 300 3101COMMUlNICATION 3101 3301ADVERTISrNT--- 43301 N w W NICOPYING 30 3501 INSJW RNT___ 3501 e: 4360 UTIL T ES — 0 _ = 43 0 REPAIR 6 MAIN TENNN -GENERAL _ — 370 UI EN E MAINTENANCE-1. E ER IMP E 3 REP 6M INT-BUIL UNOS 373 dT - L COATING 4 _ V WM OTHER CONTUCTUAL SERVICE 4375 80 RENTAL Uff TRAVEL, R ES, vu 4600 EMERGENCY RESERVE 4 OTHER TOTAL 5001LAND — — — 0 BUILDING NO STRUCTURES _— _MW i -4-S TO- U N TORE AND FIXTURES _ —— j 406 MACHINERY DOEQUIPMENT o' 4540 THER IM ROVEMENTS 540 CAPITAL OUTLAY -SUS TMAL Program Group Total $1001000 $125.000. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Revenue Sharing Detail Resource Page 39 Minnesota Allocation Plan PERSONNEL OTHER DEPARTMENT SERVICES EXPENSES CAPITAL OUTLAY CITY MANAGEMENT For improved communications $ -0- $ 14,900 $ 2,500 Audio Visual Equipment channels with the public. (Part of Public Information Program) POLICE For improved crime prevention 23,780 7,200 -0- and public awareness (Part of Police Special Projects Program) To Supplement Traffic Enforce- 10,907 -0- 12,000 Two Squad Cars ment Program (Part of STEP Program) FIRE For better fire suppression -0- -0- 1,300 Ten Scanners (Part of Fire Suppression) PUBLIC WORKS PUBLIC WORKS MAINTENANCE For improved efficiency and -0- -0- 5,500 Engine Analyzer fuel saving program (Part of Shop Operations Program) For improved street sign -0- -0- 24,500 Sign Truck program (Part of Traffic Safety Devices Program) CIVIC CENTER For improved energy conservation -0- -0- 2,000 Humidifier (Part of Civic Center and Grounds Maintenance) PARKS AND RECREATION NATURALIST For community nature interpre- 20,450 12,200 525 Display Case tation (Part of Nature 200 Display Table Interpretation Program) 300 Telescope 1,025 PARKS For sustaining tree disease 10,200 8,000 600 2 Chain Saws control (Part of Landscaping/ 250 Tree Cost Nursery/Reforestation Program) 850 For improving environmental 8,500 7,500 -0- aesthetics of public lands (Part of Landscaping/Nursery/ Reforestation-Program) For Improving parks playground -0- -0- 2,400 Playground Equipment facilities (Part of Park Building and Structures) PROGRAM BUDGET 1979 City of Fridley, Revenue Sharing Detail Resource Page 40 Minnesota Allocation Plan PERSONNEL OTHER CAPITAL SERVICES EXPENSES OUTLAY PARKS AND RECREATION (CONTINUED) RECREATION For improving culture and arts $ 4,000 $ 3,100 $ -0- (Part of Cultural and Arts Program). For improving services to 8,800 4,200 -0- senior citizens, teens (Part of Hobbies/Clubs) a q S For providing basic instructions 9,200 6,800 -D- in leisure activities (Part of Instructional Activtj�e Program) For annual community c``iielebration 900 4,900 -0- (Part of Special Events Program) (' TOTALS $95,737 $68,800 $52,075 GRAND TOTAL $216,612 PROGRAM BUDGET 1979 City of Fridley, Resource Page 41 Minnesota Allocation Plan CITY OF FRIDLEY DETAILED COMPARATIVE MILL LEVY 1978 1979 GROSS NET MILL GROSS NET MILL AMOUNT AMOUNT LEVY AMOUNT AMOUNT LEVY GENERAL FUND $2,114,917• $2,072,619 14.47 $2,264,856 $2,219,558 14.523 OTHER FUNDS Deb t rvice- Civic Center $ 41,000 $ 40,180 .28 $ 39,900 $ 39,102 .256 Capital Improvement Fund $ 43,401 $ 42,533 .30 $ 43,368 $ 42,500-_ .278 TOTAL: OTHER FUNDS $ 84,401 $ 82,713 .58 $ 83,268 $ 81,602 .534 TOTAL: ALL FUNDS $2,199,318 $2,155,332* 15.05 $'2,348,124 $2,301,160 15.057 Estimated Taxable Value 1.55,954,819 January 1, 1978. This estimated taxable valuation is based on the latest information available. The Assessed Value is estimated at $ 163_,331_,036 . It is estimated this will be reduced because of the Fiscal Disparities Law on Commercial and Industrial properties, by $ 712376,217 for a net taxable valuation of $ 155.•951.819 Estimated Mill Value $ 155.955 X 98 % _ $ 152,836 *Based on a net value of $ 146,282,224 PROGRAM BUDGET 1979 City of Fridley, REVENUE R EXPENSE DETAIL Resource Page 42._ Minnesota MISC. FUNDS Allocation Plan ACTUAL ACTUAL DEPT. REVENUE/EXPENSE EXPENSE EXPENSE BUDGET ESTIMATE REQUEST BUDGET 1976 1977 1978 1978 1979 1979 SPECIAL REVENUE FUND TEEN CENTER LC9) Revenues 3860 Donations -0- 1,000 -0- 1,000 1,000 1,000 Total -0- 1,000 -0- 1,000 1,000 1,000 Expenses 4120 Temporary Employees 1,000 1,000 1,000 Salary Total 1,000 1,000 1,000 PROGRAM BUDGET 1979 City of Fridley, REVENUE & EXPENSE DETAIL Resource Page_ Minnesota MISC. FUNDS Allocation Plan ACTUAL ACTUAL DEPT. REVENUE/EXPENSE EXPENSE EXPENSE- BUDGET ESTIMATE REQUEST BUDGET 1976 1977 1978 1978 1979 1979 SPECIAL REVENUE FUND COMMUNITY DEVELOPMENT_ BLOCK GRANT 10 Revenues 3320 Federal Grants -0- 3,073 -0- 136,927 Total -0- 3,073 -0- 136,927 -0- -0- Expenses Administration (137) 4100 Regular Employees Salary 2,222 16,692 4131 Leave 344 50 4132 Insurance 98 20 4133 Pensions 278 50 4310 Communication 2 4340 Printing 1 4403 Travel 131 Housin Maintenance Grant 347 4375 Other Contractual 20,40 Home Rehabilitation_ Grant 34II 4375 Other Contractual 93,50 Tool Loan Grant 349 4230 Tools 25,50 Total 3,073 157,32 -0- -0- PROGRAM BUDGET 1979 City of Fridley, REVENUE & EXPENSE DETAIL Resource Page 44.._ Minnesota MISC. FUNDS Allocation Plan ACTUAL ACTUAL DEPT. REVENUE/EXPENSE EXPENSE EXPENSE BUDGET ESTIMATE REQUEST BUDGET 1976 1977 1978 1978 1979 1979 SPECIAL REVENUE FUND STATE AID (11) Revenues 33,40 State Aid Apportion- ment 110,826 132,644 211,000 211,000 211,909 211,909 3810 Interest Earned 55,092 64,267 50,000 50,000 64,000 64,000 3962 Transfers from Other Funds 167,781 50,286 -0- -0- 2600 From Retained Earnings -0- -0- 26,000 26,000 51,000 Total 333,699 247,197 287,000 287,000 275,909 326,909' Expenses 4700 Transfers to S.A. Construction Funds 110,826 127,935 211,000 211,000 211,909 211,909 4700 Transfer to General Fund 66,000 76,000 76,000 76,000 105,000 115,000 4700 Transfers to S.A. Principal & Interest Funds 25,749 -0- -0- -0- -0- Total 202,575 203,935 287,000 287,000 316,909 326,909 PROGRAM BUDGET 1979 City of Fridley, REVENUE & EXPENSE DETAIL Resource Page 45 Minnesota MISC. FUNDS Allocation Plan ACTUAL ACTUAL DEPT. REVENUE/EXPENSE EXPENSE EXPENSE BUDGET ESTIMATE REQUEST BUDGET 1976 1977 1978 1978 1979 1979 SPECIAL REVENUE FUND REVENUE SHARING (12) Revenues 3320 Federal Grant 198,863 194,979 -0- 216,612 216,612 216,612 3810 Interest 5,237 3,733 -0- 3,500 3,500 3,500 Total 204,100 198,712 -0- 220,112 220,112 220,112 Expenses 4600 Emergency Reserve -0- -0- -0- -0- 3,112 3,112 4700 Transfers 229,043 200,505 186,520 186,250 217,000 217,000 ^ Total 229,043 200,505 186,520 186,250 220,112 220,112 PROGRAM BUDGET 1979 City of Fridley, REVENUE & EXPENSE DETAIL Resource Page 46 Minnesota MISC. FUNDS Allocation Plan ACTUAL ACTUAL DEPT. REVENUE/EXPENSE EXPENSE EXPENSE BUDGET ESTIMATE REQUEST BUDGET 1976 1977 1978 1978 1979 1979 SPECIAL REVENUE FUND ANTI-RECESSION (14) Revenues 3320 Federal Grant 23,063 11,446 -0- -0- -0- -0- 3810 Interest 662 -0- -0- -0- -0- Total 23,063 12,108 -0- -0- -0- -0- Expenses 4700 Transfers -0- 23,063 14,036 12,108 -0- -0- Total -0- 23,063 14,036 12,108 -0- -0- PROGRAM BUDGET 1979 City of Fridley, REVENUE & EXPENSE DETAIL Resource Page 47 Minnesota MISC. FUNDS Allocation Plan ACTUAL ACTUAL DEPT. REVENUE/EXPENSE EXPENSE EXPENSE BUDGET ESTIMATE REQUEST BUDGET 1976 1977 1978 1978 1979 1979 DEBT SERVICE FUND CIVIC CENTER BOND FUND 16 Revenues 3011 Taxes 37,486 37,936 40,180 40,180 39,102 39,102 3810 Interest 1,211 1,475 -0- 1,000 1,000 1,000 Total 38,697 39,411 40,180 41,180 40,102 40,102 Expenses 2350 Debt Service-Principal 25,000 25,000 30,000 30,000 30,000 30,000 4610 Debt Service-Interest 11,073 10,248 9,423 9,418 8,500 8,500 4620 Debt Service - Paying Agent 60 58 100 100 100 4630 Contingencies -0- -0- 757 -0- 1,502 1,502 Total 36,133 35,306 40,180 39,518 40,102 40,102 PROGRAM BUDGET 1979 City of Fridley, REVENUE & EXPENSE DETAIL Resource Page 48 Minnesota MISC. FUNDS Allocation Plan ACTUAL ACTUAL DEPT. REVENUE/EXPENSE EXPENSE EXPENSE BUDGET ESTIMATE REQUEST BUDGET 1976 1977 1978 1978 1979 1979 CAPITAL PROJECTS FUNDS CAPITAL IMPROVEMENT FUND 25 Revenues 3011 Taxes 45,449 46,120 42,533 42,533 42,500 42,500 3810 Interest 454 4,094 -0- 4,000 4,000 4,000 3962 Transfers from Other Funds -0- 31 ,435 -0- -O- 25,000 25,000 Total 45,903 81,649 42,533 46,533 71,500 71,500 Ex enses 4540 Other Improvements -0- -0- 42,533 42,533 71,500 71,500 Total -0- -0- 42,533 42,533 71,500 71,500 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource Page A 1 Minnesota Allocation ""MON ? Plan FIND COOS N GO ION wow GENERAL 01 LEGISLATIVE 01 PLANNING COMM. 02 PLANNING COMM. 004 ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. NO 1976 1977 1978 1978 1979 NO 1979 4W SALARIES REGUL R EMPLOYEES_$ 3,6247 3, H URS REGULAR EMPLOYEES _�g� _ 531_ 569 295 6 4310 SALARIES OT REGULAR E, PL�YEES 417. - 75. 50. 8. 50. . W HO0 OT REGULAR EMPLOYEES _ 62 10 u a 4120 S L RIES TEMPORARY EMPLOYEES 987. 1,715. 1,750. 1,319. 1,855. 4120 1,855 H HOURS TEMPORARY EMP[�YEES _ 279 1 ;N-EM RYE LO E PORARY EM L EE 14 V __ 561. 515. 614. 505. 699. 624.0 4132 CE 181. 193. _275. 208. 204. 4133 EMPLOYEE PENSIONS 4M3 TOTAL HOURS TOTAL SUB I L _ 470. 250. 300. 175. 275. 4210 NON FFICE SUPPLIES 21. 24. 50. 50. 54. 4211 FUELS IA6T[18E ­-- - 4216 CHEMICALS_ _ _ WIT CL TH LLW NWI CE 0 REPAIR 6 MAINT SUPPLIES-GENERAL _ 3 4221 REPAIR 8 MAINT SUPPLIES-EQUIP WT _ 42221 REP 8 INT SUPPLIES-OTHER IMP __ 2 2231 REP & NT_ SUM►L E -BUNG _ 4230 SMALL TOOLS 4 2301 4300 PROFESSIONAL SERVICES 1 1.840. 1,840. 2,024. 4300 2,024. a N - 1 0 _ 4ffO-ADVERTISING _ _�$ L u 4W6 PAIN NG 6 COPYING 1,106, 3 0 O INSURANCE- _ TM o: 4360 UTILITIES _ _ 3 0 _ = 4370 REPAIR 6 MAINTENANCE-GENERAL _ _ 4370 _ c RE ENT 57 3 4-3V REP & MAINT-OTHER IMPROVE T _ T43�73 REP & MAI HT-BUILDINGS GR UNDS 373 `sy374 REP & MAINT-SEAL COATING 0 4W OTHER L SERVICES TM 4380 RENTAL 4380 5 4W DUES b UBSCR PT-f - 03 E ERENCECH 49. 43. 75. 75. 75. P75* 5 p 235. 4404 OTHER EXPENSES - TOTAL, 2,591.0 LAND __ _ 10 BUILDINGS AND STRUCTURES _ 0 i -45 TO- FURNITU E AND FIXTURES 125. __ 4520 _ -J 4530 CH NERY 6 AUTO EQUIPMENT 0 4540 OTHER IMPROVEMENTS 540 IS CAPITAL OUTLAY -SUB OrAL Program Group Total $ 8,753. $ 8,832. $13,004. $10,199. $12,234. $12,234. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource Page_ Minnesota Allocation . Plan .woo coot o GENERAL Ol 1 LEGISLATIVE 01 1 PLANNING COW. 02 ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGULAR EMPLOYEES 4 645 900. 800. 954. 4100 H URS REGULMPLOYEES -8� _. 10g 5 a 4�0 L R ES OT -E L E, PL�I€ES $ _�4y 189. 200. 0 • . uj HOURS OT REGULAR EMPLOYEES 10 72 a 4120 S RIES TEMPOR IY EMPLOYEES _ 600. 600. y HOURS E EMPLOYEES 98 133 269 45 150 4 L R ES T E R EMPLOYEES OU S OT TEMFOWT EMPLOYEES _ _7r,r .150. 148. 176. I TM L N CE 4 _ 75. 52. 52. 4M 52. 4 L YEP N 50. 123. 145. 4133 15. I TOTAL HOURS SUN L TOTAL L _ 46. 50. 50. 52. 4ZOO 52. � 2101NON OFFIff SUPPLIES 18. 12. _ 11 FUELS rW§'-- 4211 161 CHEMICALS _ CL TH ALLOWANCE 8 N SUPPLIES-GENERAL _ 3 42211 REPAIR 6 MAINT SUPPLIES-EQUIP 4 4 EP 8 NT SUPPL ES-O�IMP _ N TUEPtES-BUf�G SOS LLT S -- _ 42301 300 PR FESSIONAL SERVICES 4300 a w 23. 84. 1 1 110. 4310 110. 3301ADVERTISING 50. 50., 54.. 54. X u 0 N NG 6 COPYING 6 40 W = U�NCE- _ _ a t; 4360 UTILITIES _ _ 0 - = 4370 REPAIR 8 MAINTENANCE-GENERAL _ 4310 _ c 3711 REPAIR N EN NCE- UI ENT E M N - ER IMPR VE - 4� REP 8 IAIT_BEILDINGS NR UNDS 373 8 4M OTHER CONTIFACTUAL 4'58-0 RENT L 4 WW DUES b UBSCRTPT N 50. 50. 55. 440111 55 E R N ES NCH 3. 50. 50. 55. 55 UND 6 04 L Y �- 4 4 R NE TOTAL LN 475 -0 BUILDINGS AND STRUCTURES 45 0 URNITURE NDFIXTURES 4 30 CH NERY 6 AUTO-EQUI-EMEHT _ o' 4540 THER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUa T AL Program Group Total $ 1,804. $ 1,744. $ 2,825. $ 2,287.1 $ 2,642. $ 2,642 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource Page A 3 Minnesota Allocation Plan uQue �N coo win? GENERAL 01 aLEGISLATIVE 01 PLANNING COW. 02 APPEALS COMM. 006 ACTUAL JACTUAL SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC No 1 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGUL R EMPLOYEES 2,505 3,081 473. 5 627. 5 965. 4100 1 5965. H 6U RS REGULAR EMPLOYEES _ 427 _ 483 385 348 IOHL 94 4�Y0 SALARIES OT REGULAK E4PL-6YEES 683. 668. 700. 706. 748 _748. HOU S OT REGUL�LOYEES _ _ 73 62 74 3 71 71 a 4120 S RIES­TEMPO my EMPLOYEES 377. 41201 W — HOURS TEM EMPLOYEES _ 11 1 28 228 �I 4 L RIES TE R E L EE — HOURS OT TEMPORARY EMPL EE _ = 4MYRFEWES LEAVE _— _ 8$ 4 1,104 TM LLuff- A3'l1lfAACE — 158. 207. _123. 472. 22. — 322. 4--Iff EMPLOYEE P N ONE 398. 469. 240. 91 746, 4133 746. TOTAL HOURS 619 710 1 qQ 96 P -sue TOT 78. i 4200 FFICE SUPPLIES 8. 15. 5 0 NON OFFICE SUPPLIES _ _ 0 ------ 4216 CHEMICALS _- CLOTH _ALLOWANCE 4220 REPAIR 8 MAINT—SUPPL E -GENE — _ ! 42211 REPAIR 6 MAINT SUPPLI�ES-E_QU_IP __ 42YI 42221 REP & MAINT SUPPLIES-OTHER IMP Tff —__ N_OU-P Ln-BUfLOfl 42301 SMALL TOOB — 4230 _ 4300 PROFESS ON L SERVICES 4300 _ d'3Ta L2 W g 0 bYEi S N ----- -- 3 _ x 0 IN ING 8 C_PYING — 4340 m = N URAHCE _ _ t; 4360 UTILITIES _ T36'0 4370 REPAIR 6 MAINTENANCE-GENERAL G REP N ESN NCE-EQUI ENT 3 E M N - THER IMPROVEMENTS _ _ _ ' 4373 REP 8 M�fNT-BUILDINGS�GR UNMDS 4373 �'3T4 N - L COATING E ffrVCONTRACTUAL SUff Cff _ _ — 4380 RENTAL _ 4380 6 DUE 6 UBSCRTPT� — _ 25. 25. 257 25. E C�P11 HOOLS — 25. 25. 2 5 4404 L UNDRY 4404 1 4500 1 LAND R P N E -SUB T TA 45 0 BUILDING�NO STRUCTURES — _ 5 4520 FURNITURE VD FIl(TURES - —_ __ — — 5 0 4-0-0 MRCHTNERY 6 AUTO E UIPMTENT —__— _— _ 5 '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL Program Group Total,$ 4,734. $ 6,127. ,$ 5,365. $10,107. $10,635. $10,635. RIO CCT CAPITAL OUTLAY DETAIL IN SERVI DEPT BUDGET ITY NO DATE I REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource Page A 4 Minnesota Allocation . ?0**S Plan .uNO cone cc -1 low coos CODE GENERAL 01 LEGISLATIVE 01 PLANNING COMM. 02 PARKS/REC, COMM- 003 ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4 SALARIES EMPLOYEES 499. 350 3 4100 530. H URS-ITEGULA 'EMPL:YEES --JJDD_ _.-6n 60 4110 SALARIE S T REGULAR E. PL YEES 12. HOU a 4120 SALARIES TEMOR Y EMPLOYEES 80. 31 0 W HOURS EMPLOYEES EMPLOYtES _ 160 91 1,15 72 93 La3_ 413 L R E" T TE RARY EMPLOYEES _ HOURS OT 0 EMPL EE _ 4 4w o L CEO —IL J i CUT EMPLOYEE P UE— 3 TOTAL HOURS a _222_ TOTAL i 25. 4 4 2101NON OFFICE SUPPLIES_ 19. _ 2111 FUELS XRUTWf--- 42 1 42161 CHEMICALS _ 4 217 CL TH L� NW CE 4M REPAIR 8 MAINT SUPPLIES-GENERAL _ 3 _4_2T1_ REPAIR 8 MAINT SUPPLIES-:E UIP _ 1 42T2_ REP & RAINT RAIN SUPPLIES-OTHER IMP _ SUES_-BUTLIN --_ _ 4230 SMALL TLS 4 O 4300 PROFESS ON L SERVICES 4300 a ___ T67. 54. 50. 50. 55. 310 55. A. ° 3401PRINTING 8 C PYING 126. 82. 100. 90. 108. 340 108. at 8 4360 UTILITIE _ _ 0 _ Ui 4370 REPAIR 8 MAINTENANCE-GENERAL _ 4370 _ S a 3711 REPAIR MAINTENANCE_-EgUIPMENT 3721 REP A 14AINT-OTHER IMPROVEMENTS 4372 _ 4373 REP 6�fNT-BUILDINGS GROUNDS 4373 REP & MAINT-ML COATING 0 4W OTHER CONTRACTUAL SERVICES 4375 Y a 4380 RENTAL 4380 `: 4W'DUES 6 SUBSCRTp–TUNW— E Z`WRMEES, CH L 40. 60. 75. 75, 8 5 4404 LAUND Y 4404 t 241 R E — TOTAL N _ 4510 BUILDINGS AND STRUCTURES __ _ _ i s BTU FURN TU END FIXTURES __ 5 0 _j 4 0 MACHINE AUTO E UIPMENT _ o' 4540 OTHER IMPROVEMENTS 540 CAPITAL OUTLAY -SUB TOTAL Program Group Total $ 1,525. $ 1,010. $ 1,475. $ 1,270. $ 1,496. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, program Detail Resource page A 5 Minnesota Allocation . Plan HIND C00[ MENT CO DIVMI CO GENERAL 01 1 LEGISLATIVE Ol PLANNING COMM. 02 ENVIRON .QUALITY 009 ACTUAL ACTUAL DEPT BUDGET SUB ACCT ACCOUNT DESCRIPTION EX�PE6NSE EXP9ENSE BUDGEBT ESTIMATE REQ9UESST ACCT SEC. 1979 SEC. 4100 SALARIES REGUL R EMPLOYEES 461. 639. 600. 657. 677. 4100 673. HOURS REGULAR EMPLOYEES _ 88 _. 113. 71 50 123 4TT SALARIES OT REGULAR EMPLOYEES 271. _47_ 85. HOU OT REGUL R EMPLOYEES _ 2 -4 > 4120 S L RIES TEMPORARY EMPLOYEES _416. 444. 500. 323. 500. 4120 500. N - HOURS TEMPORARY EMP YEES L RIES OT TEMPORARY PLOYEE _ ` HOU S T TEMP-URY EMPL EE _ = 4W TM-VI EE L 72. 99. 100 104. 125. 4131 125. C L N U CE _ 2 _ 37 9 4133 InYEE PENSIONS 33 li TOTAL HOURS 8 438 p VICiEs-SUB TOTAL ?nnlOFF _ 4. 50. 50. 55. 4200 55. 4 0 N N OFFICE SUPPLIES 37. 2. _ 50. 50. 55. 557 AND LUBE9 4216 CHEMICALS_ _ _- 4 CLOTHI ALLOWANCE TM REPAIR 6 MST 3UPPL ES-GENER L _ 1 42 1 REPAIR 6 MAINT SUPPLIES-E UIP _ -- 4 2 EP b M NT SUPPLIES-OTHER IMP _ I N_ SJ LL1 BUILDING _ 230 SILL T LS 4 0 4300 PROFESSIONAL SERVICES 4300 _ W N - _ 0 ER S N _ 4 30 x 3 0 INTING b COPYING 43 0 W N UUNCE - _ 4360 UTILITIES 43 0 _ 4370 REPAIR & MAINTENANCE-GENERAL 4370 _ o REP N EN NCE-EQ�UIPMENT 3 3 E N - THE�hi�ROVEMENTS - 43 3 4373 REP 6 MAINT-BUILDINGS GROUNDS 4J I -: u L 4380 RENT L 380 DUES b SUBSC RTPT N _ 25. 25. 25. 25. 5 4404 E , C R NOE 130. 60. 60. LAUNDRY 4404 OTHER EXPENSES -SUB T TA LAND 4510 BUILDINGS AND STRUCTURES __ _ - i i 45 FURNITURE AND FIXTURE 0 S - __ - 0 4-9-3-0 CH NERY &A EQUIPMENT _ _ _ 4540 '0 4540 OTHER IMPROVEMENTS CAPITAL OUTLAY -SUB TOTAL Program Group Total $ 1,473. 1$ 1,681. 1$ 1,835. $ 1,536. $ 1,807.1 $ 1 ,807. RIO CCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource page 6 Minnesota Allocation . Plan FUND COOS DE ENT CODE I DIVIII11014 CODE GENERAL 01 LEGISLATIVE 01 PLANNING COMM. 02 HUMAN RESOURC S 010 ACTUAL UL DEPT SUB ACCT ACCOUNT DESCRIPTION F19 NSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 6 1977 1978 1978 1979 NO 1979 4 SALARIES REGUL EMPL YEES 332. 588. 650. 806. 854. 4100 854. HOURS REGULAR EMPLOYEES _iZ _ ina 5 142 4T10 L R ES OT REEHPLbYEES _30. _ 2_ u HO-U-� REGULAR EMPLOYEES _ 0 0 0 0 0 > 4126 S L R ES TEMPORARY EMPLOYEES 523. 341. 500. 319. 50Q., 41ZO 500. W HOURS E P Y EMPLOYEES _ 179 99 13.1; 47 12r, 125 ffZ SALARIES T TEMPORARY E L YEE _ J HOUR TEMPORARY EMPL EE M L E 0 4132 52. 1. 1 z EMPLOYEE CE 126, iss, 4131 158,3 3450. 1 413 EMPLOYEE ONS- TOTAL HOURS p - T O 19. 27. 50. 50. � 42 0 NON OFFICE SUPPLIES 18. 42 0. j 2111 FUELS liR6l §___- 2111 - 42161 CHEMICALS_ _ - 2161 CLOTH ALLOWANCE 2201REPAIR PKATU SUPPLIES-GENERAL _ 3 42211 REPAIR 6 MAINT SUPPLIES-EQUIP 4 4 2221 REP & INT SUPPLIES-OTHER IMP 2231 REP & NT SU LI-ET--STINGS _ 42-30ISMALL-TLS-- 4 0 h 300 PROFESSIONAL SERVICES 4300 TION _ 39. 95. 75. 100. 100. 10. - . _ 3301ADVERTISI NG _ 330 x 0 RRINTING & COPYING 10 340 W N UR Nl�E 4360 UTILITIES 4360_ _ F 4370 REPAIR 8 MAINTENANCE-GENERAL _ _ 4370 _ O 3711 REPAIR & MAINTENANCE-EqUIPMENT 43 C 3721 REP & MAINT-OTHER IMPROVEMENTS _ 3721 - 4373 REP 3 MAINT-BUILDINGS GROUNDS 4373 d 7� EP & 14AINT-SEAC MATING N L 15. a 4380 RENTAL 60, 4380 1 4W D1 ES b UBSCRIPTIONS- • MY E N E NCE§as L 60. 6 65 65. 65. 3 65. 4404 LAUNDRY 4404 R N E - T TA 465• 4500 LAND 40-0 BUILDINGS AND STRUCTURES _ __ _ 5 45 0 FURNITURE AND FIXTURES __ - _ 4.5 YO 453-0-MACHINERY 6 AUJO EQUIPMENT o' 4540 OTHER IMPROVEMENTS T540 CAPITAL OUTLAY -SUS TOTAL Program Group Total $ 1,403. $ 1,499.,$ 1,830. $ 1,785. $ 2,130. $ 2,130. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource Page B 1 Minnesota Allocation Plan nWD cooFFOROMMM C009 I of VM ION COD[ swum awl GENERAL 011 LEGISLATIVE 01 OTHER COMMISSIONS 03 POLICE COMM. 0 ACTUAL ACTUAL SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 47 00 SALARIES REGUL R EMPLOYEES 341. $ 5757-r-70-0. 0 00 H URS REGULAR EMPLOYEES 37 -._47 31 is 47 7 4 LAR ES OT REGULAR EMPLOYEES__ _ 15. u HOU OT REGUL�LOYEES _ - 9 0 41 O L RTES S TEMPORARY EMPLOYEES - 100. 200. 20 200. W y I HQTEMPORARY R _ 00 . UR EM Y EMPL YE29 79 n 90 n 4 SALARIES TEMPORARY 0 HOURS OT TEMPO�EMPL EE 3. 80. 100.z L EES V TM ° '4TV EMPLOYEE INSURANCE 23 I 4-T35 EMPLOY E PENSION 9 4.IT3-3 494 TOTAL MOO 8 - TOTAL-E 87. 15. 15. 1 00 TM ; 4 10 NON OFFICE SUPPLIES 10. AA6TOBE�--- 01-6 CHEMICALS_ CLOTH ALLOWANCE 0 REPAIR b MAINT SUPPMUDG-E-N-EIRF_ _ _ 3 4221 REP IR & MAINT SUPPLIES-EQUIP 4221 4 2 REP b NM�f T SUPPLIES-OTHER IMP P NT_ SUPPLI�-BTIi ___ _ TM 4230 SMALL TOOLS 4 0 W 300 PROFESSION L SERVICES 1 028. 2,959. 1,350. 1.350. 1.485, 4300 1.485 . y TM tMUMUM _ 305. 544, 544, W = 0 ADVERTISING _ __ 4330 °x ° 4 0 PRINTING b COPYING 340 W = 3 0 N U�27(NCE _ _ Tyff o G 4360 UTILITIES _ _ 4360' = 4370 REPAIR b MAINTENANCE-GENERAL _ _ 4370 _ 0 3 EP N EN NCE-E UIPMEN � 7 EP & M N -UTHEMPROVE _ _ 43 3 REP & MINT-BUILDINGS GR UNDS 373 4374 EP N -SEAL COATING 13 4VT G OTHER C L 4380 RENTAL 380 B 4W DUES b SUBStRIPTIONS — _ 3 V C , �qHOOLS 4404 LAUNDRY 4404 HER PN E — TTA 2,739 0 LAND _ 4510 BUILDINGS AND STRUCTURES _ __ _ _ i '< 520 FURNITURE AND FIXTURES __ 5 0 4 30 CHINERY b AUTO EQUIPMENT_ _ _ o' 4540 OTHER IMPROVEMENTS 540 CAPITAL OUTLAY —SUS TOTAL Program Group Total $ 1,521. $ 5,349. $ 3,329. .$ 3,329. $ 3,963. $ 3,963 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource Page R 2- Minnesota Allocation Plan FUND CODE Oh TNENT CODIE DI VMION COD! GUM GENERAL 01 LEGISLATIVE 01 OTHER COMMISSIONS 03 177TV COMM. 015 U BUDGET SUB ACCT ACCOUNT DESCRIPTION EX9PE6NSE EXPENSE LBUDGET B ES19MATE REQ979ST ANOCT 1979 SEC, NO 1 4 S REGUL R EMPL YEES ,86 2 ,125 ,000. 2,5 00 , URStEGULAR EMPLOYEES _ 9"1 _. 2nn 83 266 66 4T10 SALARIES OT REGULAR E. P YEES 404. 450_ 600. 690. 731. 731. v HOU OT REGULAR EMPLOYEES _ 61 61 a 4120 SALARIES TEMPOR Y EMPLOYEES 374. 273. 387. 149. 385. 4120 385. 1 N - HOURS TEMPO EMPL EE _ 192 92 104 27 96 96 ff 0 ARIES 0-T TEWWRY E LYE _ i H U T EMPO RY EM L EE E� L E 287. 25 72. j 9 4 L YEE PENU ONCB- 33 TOTAL HOURS Aqn 121 364 423 OF - TOTAL _ 2. 35. 100. 75. 110. 100. � 4 2101NON OFFICE SUPPLIES _ 11 FUELS TR6Z-Mg- _J - 42111 42161 CHEMICALS _ 6 E CLOTH I LL LLW NM CE EP b Mf�UPPL ES-GENE L _ 3 42211 REPAIR 3 MAINT SUPVLIES-E UIP 4 1 w 4 2 EP NT SUPPLIES-OTHER IMP _ 231 REP a N_ SUE6LIE UILDING _ 230 S LL LS 4 0 a 300 PROFESSIONAL SERVICES 1,218. 1.039. 1,250. 1,250. 1.250. 4300 1.000 N w 101COMMUNICATION 41. 55. 100. 60. 110. 4310 110 I=u s S NG _ _ _ 152. 0 x 01PRINTING 6 COPYING 4 43401 W = NUNE-- _ _ e ti 4360 UTIL TIES _ 360 = 4370 REPAIR 8 MAINTENANCE-GENERAL _ _ 43701 _ c 3711 REPAIR & MAINTENANCE-QUIPMENT C 3721 REP N - THER IMPROVEMENTS 372 - 4373 REP 8 M�INT_BUI`DCNGS G ROU N D S 43731 y 3 WF OTHER CONTIZACTUAL SERVICES 2 4380 RENTAL 4380 Tw DU R PTIONS 50. 5 ` 5 . 5 55. 4401 50 E CONFERENCES, SCHOOLS 215. 6Z2. 75 7 80 3 800 4404 4404 LAUNDRY LAND OTHER EXPENSES - TOTAL 45001 - 4 10 BUILDINGS AND STRUCTURES F4530 i 45 0 FURNITURE AND FIXTURES 48. __ 10,000. -' 30 MACHINERY AUTO EQUIPMENT _ _ _4540 OTHER IMPROVEMENTS CAPITAL OUTLAY -SUB TOTAL 48. $10.000. Program Group Total $ 5,643. $ 5,041. $ 6,801. $ 6,283. $19,470. $ 7,355 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY f NO DATE REQ 1979 f1 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource Page B 3 Minnesota Allocation . em"I"A Plan nwlo CODE oc of f co M wow con GFNERAL O1 LEGISLATION O1 OTHER MM ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EX9PE6NSE EXPENSE BUDGEBT ESTIMATE REQUEST ANOCT BU9DGEET S 4 SALARIES REGUL R EMPL YEES 7 966. 900. 1,02 00 , H RS tTEGULAR EMPLOYEES _�� �^ 4T10 L ES OT REGULAR EMPLOYEES �5 179• 2 0. u HOU 0 REGULAR EMPCOYEE� 0 16 _0 a 4120 S R ES TEMP R RY E14PLOYEES __. 212 4120 112 HOURS E P EMPLOYEES _ 1 LRE E RYE L L i H U S OT TEM9RARY EMP E _ 78. 58. _100. 167. 189. 4131 189. E EMPLOYEE 0 AM INSURANCE 28. 21. _ 31. 49 55. 4-1-T3 MLOYEE PENSIONS 63. 47. 136. 113. 128,TM3 128. 1 TOTAL HOURS -L&^ P - T . _ 15. 15 -42-FO NON FICE SU PLIES _ WO rff _AR61Jffi€9—_� 4216 CHEMICALS_ _ L TH LLW N1w> CE 0 8 M N U L ES-GENE L _ _ S 4221 REPAIR 8 MAINT SUP?LI�ES-E UUIP —_ 4 2 REP M NT SUPPLIES-OTHER IMP REP & INfi_§U3FCi€ BUILDIN 230 LL TOOLS 4230 „ 3001PROFESSIONAL SERVICES 250. 390. 400. 400. 440. 4300 s ___ _ ll. 122. fu = 0 N 50 50.TM 50 f� W = 4 Su IN�G OPY N6 1 10 40 100 N 4360 UTILIT ES _ _ 360 _ i 370 REPAIR 3 MAINTENANCE-GENERAL — 4370 _ I.. : d'371 RE MAINTENANCE- EN '• 3721 REP N - THER 114PROVEM 4373 REP NT-BU ILDINGS/GROUNDS 3731 REP & MAINT-SEAL COATING U79' OTHER CONTKACTUAL SERVICES 4375 0 V 4380 RENTAL 4380 WW DUES Ea -OWEAE�,SCH 1. TTff i.4404.LAUNDRY S 715. 676: 728.4404 R N E - T TA LAND _ _ — 4 0 BUILDINGS ND STRUCTURES- — __ _ — 4520 FURN TUBE AND FIXTURES 30 MACHINE RY df AUTO E UIPMENT 0 4540 OTHER IMPROVEMENTS 540 CAPITAL OUTLAY -SUBTOTAL Program Group Total $ 1.347. $ 1,233. $ 2,148. $ 2,105 $ 2,336 $ 2,336 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Personnel Service Detail Administrative Page—C-1 Minnesota Budget FUND CODE DEPARTNEN7 CODE MMOM CODE I PROGRAM GROUP CODE General O1 Legislative 01 City JOBETITLE 1968 1969 JOB CLASSIF. NO BASE LONGEV MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY C.I. TOTAL YEARLY HRS MO SALARY C.I. TOTAL YEARLY HRS Mayor 12 550.00 550.00 6,600.00 12 550.00 550.00 6,600.00 2080 Councilperson 12 450.00 450.00 5,400.00 12 450.00 450.00 5,400.00 At Large 2080 2088 Councilperson 12 400.00 400.00 4,800.00 12 400.00 400.00 4,800.00 Ward I 2080 Councilperson 2 400.00 400.00 4,800.00 12 400.00 400.00 4,800.00 Ward II 2080 2088 Councilperson 12 400.00 400.00 4,800.00 12 400.00 400.00 4,800.00 Ward III 2080 2088 Contingency -0- -0- j•� Permanent Employees-Yrly.Salary(Accts.#4100 $26,400.00 $26,400.00 and #4131) Permanent Employees-Yrly Hours 10,400 10,440 No Mo = Number of Months Cr = Credits Longev = Longevity Yearly Sal = Yearly Salary (C.I.) = College Incentive Yearly Hrs = Yearly Hours PROGRAM BUDGET 1979 G'O City of Fridley, Minnesota • Personnel Service Detail Page C-2 FUND CODE DEPARTMENT CODE DIVISION CODE PROGRAM GROUP CODE General O1 Legislative O1 City Council 01 SERVICES RENDERED ACCT. 4131 PERM TEMP TEMP 4131 PERM TEMP 14130 TEMP AND RECEIVED TITLE PERM-REG O.T. REGULAR O.T. TOTAL PERM-REG O.T. REGULAR O.T. TOTAL A Pro ram Group. City Council $ 26,400 26,400 26,400 26,400 Hrs. 10,400 10,400 10,440 10,440 Other Temp Empl $ 2,784 2,784 3,428 3,428 Hrs. 668 668 628 628 Regular Empl. $ 100 100 -0- -0- Hrs. 9 9 -0- -0- Personal Servicis Received From: General Mgmt. $ 8,254 8,254 6,435 6,435 Hrs. 1,401 1,401 789 789 Accounting $ 1,387 1,387 2,353 2,353 Hrs. 104 104 167 167 Assessing $ -0- -0- 247 247 Hrs. -0- -0- 42 42 Police $ 268 268 -0- -0- Hrs. 54 54 -0- -0- Planning $ -0- -0- 655 655 Hrs. -0- -0- 97 97 Engineering $ 2,633 2,633 3,955 3,955 Hrs. 216 216 248 248 Parks $ 313 313 -0- -0- Hrs. 30 30 -0- -0- B Personal Sery 'ces •Recr d from $ 12,855 12.855 13,645 13,645 Depts. Total Hrs. 1,805 1,805 1,343 1,343 I (C)Personal Serv. ices Rendered to $ -0- -0- -0- Dept. Total Hrs. -0- -0- -0- (D)Personal Serv. $ 2,855 100 29,184 42,139 M3,645 29,828 43,473 ices(A+B-C)Total Hrs. 1,805 9 11,068 12,882 1,343 11,068 12,411 I Employee Insurance (Acct #4132) 2,652 2,677 Employee Pension (Acct #4133) 3,765 3,760 PERSONAL SERVICES GRAND TOTAL $48,556 149,910 12,882 12,411 Hrs. Hrs. I I II 'NOTE: Includes Salaries of Permanent Employees (Acct #4100) and Leave (Acct $4131) 1978 1979 Salaries - Regular Employees Salaries - Regular Employees T� Employees Leave Employees Leave Acct #4100 Acct #4131 Acct #4100 Acct #4131 $10,863 + $1,992 = $12,855 $11,515 + $2,130 = $13,645 PROGRAM BUDGET 1979 Qd City of Fridley. Minnesota personnel Service Detail Page C-3 FUND CODE DEPARTMENT CCIDE DIVISION CODE PROGRAM GROUP CODE General O1 Legislative Ol Planning Commission 02 4100 & 4110 4120 413C 4100 & 4110 4120 4130 SERVICES RENDERED ACCT. 4131 PERM TEMP TEMP 4131 PERM TEMP TEMP AND RECEIVED TITLE PERM-REG O.T. REGULAP O.T. TOTAL PERM-REG O.T. REGULAR O.T. TOTAL (A)Program Grou Planning Comm. $ 835 4,770 5,605 998 4,898 5,896 Hrs. 80 1,330 1,380 94 1,225 1,319 Contingency Total $ Personal Service Received From: General Mgmt. $ 1,708 1,708 Hrs. 87 87 Police $ 91 91 Hrs. 7 7 Code Enf. $ 3,917 3,917 Hrs. 553 553 Planning $ 10,796 10,796 8,364 8,364 Hrs. 1,383 1,383 1,183 1,183 Engineering $ 1,445 1,445 Hrs. 254 254 Parks 597 597 48 48 (B)Personal Serv- ices Recv'd fro $ 10,796 10,796 15,122 15,122 : Depts. Total Hrs. 1,383 1,383 2,132 2,132 (C)Personal Serv- ices Rendered $ -O- -0= -0- Depts. Total Hrs. -0- -0- -0- (D)Personal Ser $ 10,796 835 4,770 16,401 *15,122 998 4,898 21,018 ices A+B-C Total Hrs. 1,383 80 1,33 2,763 2,132 94 1,225 3,451 Employee Insurance (Acct #4132) 603 690 Employee Pension (Acct #4133) 1,840 1,,628 PERSONAL SERVICES GRAND TOTAL $18,844 23,336 2,763 3,451 Hrs. Hrs *NOTE: Includes Salaries of Permanent Employees (Acct #4100) and Leave (Acct #4131) 1978 1979 Salaries-Regular Employees Salaries-Regular Employees Employees Leave Employees Leave Acct #4100 Acct #4131 Acct #4100 Acct #4131 $9,123 + $1,673 = $10,796 *$12,762 + $2,360 = $15,122 PROGRAM BUDGET 1979 Q° City of Fridley, Minnesota Personnel Service Detail Page C-4 FIND CODE DEPARTMENT CODE I DIVISION CODE PROGRAM GROUP CODE General O1 Legislative 01 Other Commissions 03 79 0 4130 SERVICES RENDERED ACCT. 4131 PERM TEMP TEMP 4131 PERM TEMP TEMP AND RECEIVED TITLE PERM-REG O.T. REGULAR O.T. TOTAL PERM-REG O.T. REGULAR T._ TOTAL (A)Program Grou Other Commission $ 600 787 1,387 731 797 1,528 Hrs. 49 212 261 61 199 260 Contingency Tota ersonal Service eceived From: eneral Mgmt. $ 816 816 Hrs. 69 69 olice $ 783 783 832 832 Hrs. 157 157 66 66 Engineering $ 3,467 3,467 482 482 Hrs. 222 222 60 60 Planning $ 2,960 2,960 Hrs. 250 250 Public Works $ 34 34 Maint. Hrs. 6 6 (B)Personal Sery ices Recv'd from $ 4,250 4,250 5,124 5,124 Depts. Total Hrs. 379 379 451 451 (C)Personal Serv- ices Rendered $ -0- -0- -0- Depts. Total Hrs. -0- -0- -0- (D)Personal Ser $ *4,250 600 787 5,637 *5,124 731 797 6,652 ices(A+B-C)Total Hrs. 379 49 212 640 451 61 199 711 Employee Insurance (Acct #4132) 233 234 Employee Pension (Acct #4133) 524 541 PERSONAL SERVICES GRAND TOTAL $6,394 $7,427 640 711 Hrs Hrs *NOTE:. Includes Salaries of Permanent Employees (Acct #4100) and Leave (Acct #4131) 1978 1979 Salaries-Regular Employees Salaries-Regular Employees Employees Leave Employees Leave Acct #4100 Acct #4131 Acct #4100 Acct #4131 *$3,591 + $659 = $4,250 *$4,324 + $800 = $5,124 �1 PROGRAM BUDGET 1979 City of Fridley, Personnel Service Detail Administrative Page C-5 Minnesota Budget FUND ° CODE D&M CODE eneral anagement rff General O1 City Mana ement 02 Personnel --.2fL NAME 1978 JOB TITLE 1979 JOB CLASSIF. NO BASE LONGEVI MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY C.I. TOTAL YEARLY HRS MO SALARY C.I. TOTAL YEARLY HRS 'Nasim M. Qureshi 12 3104.17 N/E 3104.17 37,250.00 12 3304.17 N/E 3304.17 39,650.0 City Manager Administrative 20 Peter Fleming 12 1485.42 N/E 1485.42 17,825.00 12 1589.58 N/E .1589.58 19,075.0 Admin. Assist. Administrative 91377 2080 2QRF Bruce Goodman 4 1265.00 N/E 1265.00 15,684.00 12 1416.67 N/E 1416.67 17,000.0 Management Analyst Administrative 8 1328.00 1328.00 9/19Z77 May Lu Strom 12 1055.00 69.23 1124.23 13,491.00 12 1132.44 69.23 1201.67 14,420.0 ecretary,C.M. 73-2% 7h% Grade F Elaine Tibbetts 12 739.00 N/E 738.00 8,856.00 Clerk Typist Grade B (Transf rred t Finance /17/78) 8/27/75-5/10/76 2080 Linda Aasen 2 622.00 N/E 622.00 Clerk Typist Grade B (Replac s Elai a Tibbett ) Se are ed 5/1 78 Pam Hagen 8 622.00 N/E 622.00 10 699.0 N/E 699.00 8,422.0 Clerk Typist Grade B (Replaces Linda Aasen) 2 733.00 733.00 5/12/78 2 Gordon Middag 2 1479.00 33.33 1512.33 18,481.00 12 1570.84 66.66 1637.5 19,650. Purchasing Agent 21--% 5% i Grade M 10 66.66 1545.66 3/2/70 5% 2 Judith Welch 12 773.00 N/E 773.00 9,276.00 Purchasing Clerk Grade B (Transf rred to Finance /3/78) 6/17/74 2080 Vacant Position 6 666.0 N/E 666.00 8,190.00 Clerk Typist Grade B 6 699.00 699.0 Contingency (-2,028) -0- Permanent Employees-.Yrly.Salary(Accts.#4100 120,863 126,407 Permanent Employees-Yrly. Hours & #4131) 14,560 14,616 No Mo = Number of Months Cr = Credits Longev = Longevity Yearly Sal = Yearly Salary (C.I.) College Incentive Yearly Hrs = Yearly Hours , PROGRAM BUDGET 1979 Q° City of Fridley, c� Minnesota Personnel Service Detail Page r.-6 FUND CODE DEPARTMENT CODE I DIVISION CODE PROGRAM GROUP CODE General O1 City Management 02 General Management 05 979 4100 & 4110 4120 413C 4 IV SERVICES RENDERED ACCT. 4 30 AND RECEIVED TITLE 4131 PERM TEMP TEMP 4131 PERM TEMP TEMP PERM-REG O.T. REGULAR O.T. TOTAL PERM-REG O.T. REGULAR O.T. TOTAL (A)Program Grou General Mgmt. $ 120,863 800 2,500 124,163 Q14, 803 7,589 134,83 Hrs. 14,560 37 867 15,464 99 1,897 16,61 Contingency Total $ (2,028 (2,028) -0- -0- -0- Personal Service Received From: Accounting $ -0- -0- -0- -0- Hrs. -0- -0- -0- -0- Assessing $ -0- -0- -0- -0- Hrs. -0- -0- -0- -0- Planning $ 2,026 2,026 1,994 1,99 Hrs. 120 120 291 291 Engineering $ 1,515 11515 1,400 1,400 Hrs. 246 246 97 97 Public Wks Maint $ 1,500 1,500 1,400 1,400 Mrs. 335 335 1.84 184 (B)Personal Serv- ices Recv'd from $ 5,041 5,041 4,794 4,794 Depts. Total Hrs. 701 701 572 572 Personal Service;, Rendered to: City Council $ 8,254 _ 8,254 6,435 6,435 Hrs. 1,401 1,401 789 789 Other Comm. $ 816 816 Hrs. 69 69 Personnel $ 13,194 13,194 13,846 13,846 Hrs. 1,102 1,102 1,387 1,387 Accounting $ -0- -0- 1,201 1,201 Hrs. 225 225 Police $ .3,479 3,479 3,414 3,414 Hrs. 92 92 508 508 Planning $ 7,158 7,158 1,509 1,509 Hrs. 332 332 216 216 Code Enforcement $ -0- -0- 1,200 1,200 Hrs. -0- -0- 172 172 Civic Center $ -0- -0- 2,773 2,773 Hrs. -0- -0- 433 433 Public Wks Main $ -0- -0- 5,105 5,105 Hrs. -0- -0- 688 688 Parks $ 1,467 1,467 5,316 5,316 Hrs. 229 229 644 644 Utilities $ -0- -0- 3,466 3,466 Hrs. -0- -0- 271 271 Other Depts. $ 16,920 16,920 -0- -0- Hrs. 3,359 3,359 -0- -0- Planning Comm. $ -0- -0- 708 708 Hrs. -0- -0- 87 87 Fire $ -0- -0- 2,709 2,709 Hrs. -0- -0- 388 388 Engineering $ -0- -0- 1,514 1,514 Hrs. -0- -0- 254 254 Naturalist $ -0- -0- 1,421 1,421 S� Hrs. -0- -0- 158 15 Recreation $ -0- -0- 1,739 1,739 Hrs. -0- -0- 278 278 Liquor $ -0- -0- 344 378 Hrs. -0- -0- 22 22 (C)Personal Ser ices Rendered $ 50,472 50,472 53,516 53,55 Depts. Total firs, 6,515 6;515 6,589 6,58 PROGRAM BUDGET 1979 Q° City of Fridley, Minnesota Personnel Service Detail Page C-7 FUND CODE DEPARTMENT CODE I DIVISION CODE PROGRAM GROUP CODE General 01 City Management 02 General Management 05 978 1 7 4100 4110 4120 SERVICES RENDERED ACCT. 4130 AND RECEIVED TITLE 4131 PERM TEMP TEM 4131 PERM TEMP TEMP PERM-REG O.T. REGULAR O.T. TOTAL PERM-REG O.T. REGULAR O.T. TOTAL j . (D)Personal Serv. $ *73,404 800 2,500 76,704 77,68 803 7,589 86,077 ices +8-C Total Hrs. 8,746 37 867 9,650 99 99 1,897 10,595 Employee Insurance (Acct #4132) 4,407 4;583 Employee Pension (Acct #4133) 7,853 8,387 PERSONAL SERVICES GRAND TOTAL $88,964 q�'5 9,650 Hrs. -t— *NOTE: Includes Salaries of Permanent Employees (Acct#4100) and Leave (Acct #4131) 1978 1979 Salari @s-Regular Employees Salaries-Regular Employees Employees Leave Employees Leave Acct #4100 Acct #4131 Acct #4100 Acct #4131 $62,026 + $11,378 = $73,404 $65,771 + $11,914 $77,685 **Includes $1,000 unemployment compensation. PROGRAM BUDGET 1979 Q° City of Fridley, Minnesota Personnel Service Detail Page C-8 FUND CODE DEPARTMENT CODE DIVISION CODE PROGRAM GRDUP CODE General Ol City Management 02 jPersonnel 06 97 SERVICES RENDERED ACCT. 4130 4131 PERM TEMP TEMP 4131 PERM TEMP TEMP AND RECEIVED TITLE PERM-REG O.T. REGULAR O.T. TOTAL PERM-REG O.T. REGULAR O.T. TOTAL A)Pro ram Group Personnel $ -0- -0- Hrs. -0-. -0- Contingency $ (628) (628) -0- -0- Personal Services Received From: General Mgmt. $ 13,194 13,194 • 13,846 13,846 Hrs. 1,102 1,102 1,387 1,387 Accounting $ 3,629 3,629 2,329 2,329 Hrs. 292 292 188 188 Assessing $ -0- -0- 247 247 Hrs. -0- -0- 42 42 (B)Personal Sery ices Recv'd fro $ 16,823 16,823 16,422 16,422 Depts. Total Hrs. 1,394 1,394 1,617 1,617 (C)Personal Sery ices Rendered $ -0- -0- -0- -0- T� Depts. Total Hrs. -0- -0- -0- -0- (D)Personal Sery $ *16,195 16,195 16,422 16,422 ices(A+B-C)Tota Hrs. 1,394 1,394 1,617 1,617 Employee Insurance (Acct #4132) . 739 748 Employee Pension (Acct #4133) 11711 1,733 PERSONAL SERVICES GRAND TOTAL $18,645 R8,903 1,394 1,617 Hrs. Hrs. *NOTE: Includes Salaries of Permanent Employees (Acct #4100) and Leave (Acct #4131) 1978 1979 Salaries-Regular Employees Salaries-Regular Employees Employees Leave Employees Leave Acct #4100 Acct #4131 Acct #4100 Acct #4131 $13,688 + $2,507 = $16,195 $13,858 + $ 2,564 = $16,422 11 PROGRAM BUDGET 1979 r„ City of Fridley, Personnel Service Detail Administrative Page C_9 Minnesota Budget (Continued) RMO CODE DEPARTNEW CODE MV7t1 CODE maw General O1 Finance 03 ecti ns 10_0 U NAME 1 JOB TITLE 978 1979 JOB CLASSIF. NO BASE LONGEV MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY C.I. TOTAL YEARLY HRS MO SALARY C.I. TOTAL YEARLY HRS Marvin Brunsell 12 2312.50 N/E 2312.50 27,750.00 12 2458.33 N/E 2458.33 29,500.00 Asst. Mgr/Fin.Dr. Administrative Randy Fury 12 1416.67 N/E 1416.67 17,000.00 Accounting Offic. Administrative (Separat 6/14/78 - Repl ed by Sidney Inman) 10/14/74 qnRn Sidney Inman 3 1560.00 N/E 1560.00 3 1653.60 N/E 1653.60 20,587.00 Acct &Budg.Office Administrative (Randy Fury's P sition) 9 1736.28 N/E 1736.28 Harriet Buechner 12 1216.00 80.33 1296.33 15,556.00 Gen. Accountant 73-,% Grade I (Separated 2/3/ - Rdpla d by Barbara Ridout) 1/18/60 r B rbara Ridout 1 1040.00 41.95 1092.00 2 1124.00 41.95 1165.95 13,991.00 en. Accountant 5% 5% Grade I (Harriet uechn 's Positi n) Shirley Haapala 12 995.00 66.08 1061.08 12,733.00 12 1065.00 66.08 1131.08 13,573.00 Secretary V-2% 7k% Grade E 1/18/65 MAR Betty Okerstrom 12 919.00 61.43 980.43 11,765.00 2 984.00 61.43 1045.43 12,545.00 Sr-Utl.B1g.Clk. 7h% 7z% Grade D 4/20/64 2080 Patricia Sykes 5 917-00 40.95 957.95 11,639.00 Sr. Assmt. Clerk 5% Grade D 7 917.00 61.43 978.43 (Shown Under sessing) 5/23/66 7 -% I • 2080 Barbara Ridout 1 930.00 41.95 971.95 11,663.0 Payroll/D.P.Clk 5% Grade D ( Promot ) 10 6 69 2080 y e c 08.00 N/E 808.00 12 863.00 N/E 863.00 10,356.00 Pyb/Data Proc.Clk (Barbara Ridou 's Positio - Judy Grade D Formerl in Pu chasing) 1/17/74-4/3/78 F. Engelbrecht 2 856.00 36.26 892.26 10,707.00 12 916.00 36.26 952.26 11,427.00 Liq.Acct'g.Clk. 5% 5% Grade C 8/14/68-1 /l/69 Elsie Hanscom 12 812.00 N/E 812.00 9,744.00 12 869.00 N/E 869.00 10,428.00 Cashier Grade B 6/3/74-2/20/78 Telaine Dimatteo 2 734.00 N/E 734.00 8,808.00 L2 785.00 N/E 785.00 9,420.00 Recept./Lic.Clk. Grade B 5/18/76 Sharon Schuldt 1 734.00 N/E 734.00 8,808.00 Util.Blg.Clk. Grade B (Separated 1/2 /78 - Replaced by 51675 Elaine Tibbetts 10 733.00 H/E 733.00 12 789.00 N/E 789.00 9,468.00 Util. B1g. Clk. Grade B (Sharon Schuld 's Positi )n- Elaine 5/10/76-2/20/78 --Formerly in No Mo = Number of Months Cr = Credits Longev = Longevity Yearly Sal = Yearly Salary (Continued) (C.I.) = College Incentive Yearly Hrs =.Yearly Hours. PROGRIAM BUDGET 1-075 City of Fridley, Personnel Service Detail Administrative Page C-10 U� Minnesota Program Breakdown Budget M0 CODE W"THEW cOOE OrvM10N CODE General Ol Finance 03 ecti�os (� ccoun in NAME 197 197 JOB TITLE JOB CLASSIF. NO BASE LONGEV MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY C.I. TOTAL YEARLY HRS MO SALARY C.T. TOTAL YEARLY HRS Sp. Assess. Clk. 12 622.00 N/E 622.00 7,464.00 Grade B VACANT 2080 (Di contin ed) Contingency 724 -0- Permanent Employees-Yrly.Salary(Accts.#4100 153,637 141,295 Permanent Employees-Yrly.Hours & #4131) 24,960 20,880 No Mo = Number of Months Cr = Credits Longev = Longevity Yearly Sal = Yearly Salary (C.I.) = College Incentive Yearly Hrs = Yearly Hours PROGRAM BUDGET 1979 Q° City of Fridley, r1 � Minnesota • Personnel Service Detail Page C-11 FUND CODE DEPARTMENT CODE I DIVISION CODE PROGRAM GROUP CI)DE General Ol Finance 03 Elections 10 1q7A 1Q79 4130 SERVICES RENDERED ACCT. 4131 PERM TEMP TEMP 4131 PERM TEMP TEMP AND RECEIVED TITLE PERM-REG O.T. REGULAR O.T. TOTAL PERM-REG O.T. REGULAR TOTAL (A)Program Grou Elections $ 800 8,800 9,600 848 4,000 4,848 Hrs. 100 2,933 3,033 100 1,257 1,357 Contingency Total $ -0- -0- Personal Servic Received From: Public Wks Main $ 677 677 1,094 1,094 Hrs. 112 112 ' 150 150 Accounting $ 2,869 2,869 1,636 1,636 Hrs. 498 498 250 250 (B)Personal Serv- ices Recv'd from $ 3,546 3,546 2,730 2,730 Depts. Total Hrs. 610 610 400 400 (C)Personal Serv- ices Rendered $ -0- -0- -0- -0- Depts. Total Hrs. -0- -0- -0- -0- (D)Personal Ser $ *3,546 800 8,800 13,146 * 2,730 848 4,000 7,578 ices(A+B_C)Total Hrs. 610 100 2,933 3,643 400 100 1,257 1,757 Employee Insurance (Acct #4132) 285 257 Employee Pension (Acct #4133) 461 268 PERSONAL SERVICES GRAND TOTAL $13,892 $8,103 3,643 1,757 Hrs. Hrs *NOTE: Includes Salaries of Permanent Employees (Acct #4100) and Leave (Acct #4131) 1978 1979 Salaries-Regular Employees Salaries-Regular Employees Employees Leave Employees Leave Acct #4100 Acct #4131 Acct #4100 Acct #4131 $2,996 + $550 = $3,546 $2,307 + $423 = $2,730 338 hours = 62 = 400 Hrs. PROGRAM BUDGET 1979 Q° City of Fridley. c� Minnesota Personnel Service Detail Page C-12 FUND CODE DEPARTMENT CODE DIVISION CODE PROGRAM GROUP CODE General 01 Ffnance 03 Accounting 11 78 1 1979 SERVICES RENDERED ACCT. 4131 130 PERM TEMP TEM 4131 PERM TEMP TEMP AND RECEIVED TITLE PERM-REG O.T. REGULAR O.T. TOTAL PERM-REG O.T. REGULAR O.T. TOTAL LA Pro ram Group ccounting $ 153,637 300 1,000 154,937 141,295 400 1,200 142,895 Hrs. 24,960 50 250 25,260 20,880 74 434 21,388 Contingency Tota 727 727 -0- -0- Personal Service eceived from: ssessing $ -0- -0- 497 497 Hrs. -0- -0- 84 84 eneral Mgmt. $ 714 714 1,201 1,201 Purchasing Hrs. 266 266 225 225 (B)Personal Serv- ices Recv'd from $ 714 714 1,698 1,698 Depts. Total Hrs. 266 266 309 309 ersonal Service Rendered to: Parks $ 1,351 1,351 2,995 2,995 Hrs. 291 291 606 606 City Council $ 1,387 1,387 2,353 2,353 Elections 2,869 2,869 1,636 1,636 Hrs. 498 ssessing $ 1,684 498 250 1,684 1,019 019 j 1,019 Hrs. 481 481 63 63 eneral Mgmt. $ 3,629 3,629 2,329 I 2,329 Labor Relations Hrs. 292 292 188 188 Civic Center $ 6,691 6,691 3,601 i 3,601 Hrs. 1,349 tility Fund $ 35,372 1,349 877 877 Hrs. 5,802 35,372 39,975 1 39,975 L 6,802 6,658 6,658 iquor $ 11,656 11,656 10,922 } 10,922 Hrs. 2,120 2,120 1,775 Sp. Assessments $ 20,679 20,679 4,887 1,775 Hrs. 3,606 4,887 Public Wks.Maint $ 1,390 3,606 208 ; 208 1390 469 469 , C Personal Serv . Hrs. 333 333 104 104 ices Rendered $ 86,708 86,708 70,186 70,186 e ts. Total Hrs. 15,876 15,876 10,896 10,896 D Personal Se ry $ *68,370 300 11000 69,670 *72,807 400 1,200 74,407 ices A+B-C Total Hrs. 9,350 50 250 9,650 10,293 74 434 10,801 Employee Insurance (Acct #4132) 3,171 Employee Pension (Acct #4133) 4,832 1,272 8,050 PERSONAL SERVICES GRAND TOTAL $80,113 87,28 9,650 10,80 Hrs. Hrs *NOTE: Include salaries of Permanent Employees (Acct #4100) and Leave (Acct #4131) t� 1978 1979 Salaries-Regular Employees Employees Leave Salaries-Regular Employees Acct #4100 Acct #4131 Employees Leave $57,789 + $10,581 = $68,370 $61t522100 + Acct #4131 $11,285 = $72,807 8,698 Hours + 1,595 = 10,293 Hrs PROGRAM BUDGET 1979 , City of Fridley, Personnel Service Detail Administrative Page-C-1.3 Minnesota Budget FUND CODE DEV GO gVMI COgE GROUP cwz General O1 Finance 03 Assessor 12 NAME 1978 1979 JOB TITLE JOB CLASSIF. NO BASE LONGEVI MONTHLY YEARLY SA NO BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY C.I. TOTAL YEARLY HRS MO SALARY C.I. TOTAL YEARLY HRS Mervin Herrmann 12 1912.50 N/E 1912.50 22,950.00 12 2045.84 N/E 2045.83 24,550.0 Assessor Administrative -5.492,463 gnqn 1 2088 Leon Madsen 2 1572.00 68.35 1640.35 20,026.00 12 1682.0 102.5 1784.5 21,414.0 Appraiser % V-2% . Grade N 10 1572.00 102553 1674.53 9491466 K� 2ogn 2088 Walt Mulcahy 12 1559.00 68.35 1627.35 19,528.00 12 1676.00 68.35 1744.35 20,932.0 JAppraiser 5% 5% Grade N Patricia Sykes 12 974.00 61.43 1035.43 12,425.00 r. Assmt. Clerk 7k% Grade•D (Listed under Finance in 1978) 5/23/66 2088 Ferne Insley 12 869.00 39.95 908.95 10,907.00 12 929.00 39.95 968.95 11,627.00 Tax Assmt. Clk. 5% 5% Grade C 11/12/69-11/29/711 2080 2088 Contingency -0- -0- Permanent Employees-Yrly.Salary(Accts.#4100 73,411 90,948 Permanent Employees-Yrly.Hours & #4131) 8,320 10,440 l'1 No Mo = Number of Months Cr = Credits Longev = Longevity Yearly Sal = Yearly Salary (C.I.) = College Incentive Yearly Hrs,- Yearly Hours OGRAM BUDGET 1979 eo*N City of Fridley, 0� Minnesota Persot03 SelVic it Page C-14 FUND CODE DEPARTMENT DE DIVISION CO., ROGRAM GROUP CODE General 01 Finance ,,;,_77gg 19 8 ED 413 SERVICES RENDERS ACCT. 41 AND RECEIVED TITLE 4131 PERM TEMP rTEi 4131 PERM TEMP TEMP PERM-REG O.T. REGULA . TOTAL PERM-REG O.T. REGULAR TOTAL (A)Program Grou ssessor $ 73,411 700 3,000 77,111 90,948 742 4,500 96,190 Hrs. 8,320 66 519 8,905 10,440 66 643 11,149 Contingency Total $ -0- -0- Personal Service Received From: Accounting $ 1,684 1,684 11019 11019 Hrs. 481 481 63 63 (B)Personal Serv- ices Recv'd from $ 1,684 1,684 1,019 1,019 Depts. Total Hrs. 481 481 63 63 Personal Services Rendered to: Sp.Assess.Project $ 1,847 1,847 12,926 12,926 Hrs. 71 71 1,525 1,525 Accounting $ -0- -0- 497 497 Hrs. -0- -0- 84 84 Utility Fund $ -0- -0- 373 373 Hrs. -0- -0- 61 61 Council $ -0- -0- 247 247 Hrs. -0- -0- 42 42 Labor Relations $ -0- -0- 247 247 iHrs. -0- -0- 42 42 (C)Personal Serv- ices Rendered $ 1,847 1,847 14,290 14,290 Depts. Total Hrs. 71 71 1,754 1,754 (D)Personal Ser $ *73,248 700 3,000 76,948 *77,677 742 4,500 82,919 ices A+B-C Total Hrs. 8,730 66 519 9,315 8,749 66 643 9,458 Employee Insurance (Acct #4132) 3,426 5,286 Employee Pension (Acct #4133) 7,839 9,203 PERSONAL SERVICES GRAND TOTAL $88,213 $97,408 9,315 9,458 Hrs Hrs *NOTE: Includes Salaries of Permanent Employees (Acct #4100) and Leave (Acct #4131) 1978 1979 Salaries-Regular Employees Salaries-Regular Employees Employees Leave Employees Leave Acct #4100 Acct #4131 Acct #4100 Acct #4131 $61,900 + $11,348 = $73,248 $65,637 + $12,040 = $77,677 7,393 Hours + 1,356 = 8,749 Hrs PROGRAM BUDGET 1979 City of Fridley, Personnel Service Detail Administrative Page C15 Minnesota Budget FUND CODE DEPARTMENT GOD: aval CODE I PRONAM GROUP CODE Municipal Liquor 35 Finance 03 Liquor Operation 25 Liquor Operation 56,59,6 NAME 1 JOB TITLE 978 1479 JOB CLASSIF. NO BASE LONGEVI MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY C.I. TOTAL YEARLY HRS MO SALARY C.I. TOTAL YEARLY HRS obert L. McGuire 12 1675.00 N/E 1675.00 20,100.00 12. 1787.50 N/E 1787.50 21,450.00 Liquor Store Mgr. Administrative 8/15/62 2080 2088 ,Kathleen Schmitz 12 1050.00 N/E 1050.00 12,600.00 12 1133.33 N/E 1133.33 13,600.00 Asst.Liq.St.Mgr. Administrative 3/22/65-11/11/75 2080 2088 Evelyn c erer .0 Liq. Store Clerk Union (Retired 12/31/78) 3/21/61 2080 Vacant 12 Li . Store Clerk (Replac Evely Scherer) Pending Settlement of on Union AgreenlEnt 2088 Mary B. No—v-a-F- 897.87 N/E 897.87 110,774.00 12 iq. Store Clerk Pending Settlement of Union Union oreem nt 5/8/61 2080 2088 Contingency -0- Contingency $22,995 Permanent Employees-Yrly.Salary (Accts. #410C $54,248 Regular Salary 35,050 & #4131 Permanent Employees-Yrly. Hours 8320 Regular Hours 8352 No Mo = Number of Months Cr = Credits Longev - Longevity Yearly Sal = Yearly Salary (C.I.) = College Incentive Yearly Hrs = Yearly Hours PROGRAM BUDGET 1979 City of Fridley, Personnel Service Detaii Administrative Page C-1.6 Minnesota Budget (Continued) FUND 000E DEP NT E CODE DIM CODE GROUP CODIF General O1 Police 05 Police Service 019- NAME 1 978 JOB TITLE 1979 JOB CLASSIF. NO BASE LONGEV MONTHLY YEARLY SAL 0 BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY C.I. TOTAL YEARLY HRS MOI SALARY C.I. TOTAL YEARLY HRS \ James P. Hill 12 2345.83 N/E 2345.83 28,150.00 12 2500.0 N/E 2500.0 30,000.0 A t.Mgr/P.S.Dir. dministrativex UJ/79 - 2080 208E \ Howard Rick 12 1933.33 N/E 1933.33 23,200.00 12 2125.0 N/E 21-S.00 25,500.0( ieutenant Supervisory 5/1/61 2080 208 Robert Cook 12 1766.67 N/E 1766.67 21,200.00 12 1953.33 N/E 1953.33 23,440.00 Sergeant Supervisory L , 5 208 2088 Hilbert Voigt 12 1766.67 N/E 1766.66 21,200.00 12 1953.33 N/E 1953.33 23,44 .0 Sergeant Supervisory 2080 2088 Thomas Kennedy 12 1766.67 N/E 1766.67 21,200.00 12 1953.33 N/E 5 , /Sergeant Supervisory 2080 2088 Ronald Allard 12 1766.67 N/E 1766.67 21,200.00 12 1953.33 N/E 953. , .0. ergeant f Supervisory 2080 2088 James Sprungman 12 1766.67 N/E 1766.67 21,200.00 12 1953.33 N/E 1953.33 ,4 0. Sergeant Supervisory 4 2080 2088 Kenneth Wilki-n-soi 12 1766.67 N/E 1766.67 21,200.00 12 , Sergeant Supervisory 4/15/68-5/10/74 2080 2088 1 Duncan 6 1520.00 85.00( v 19,816.00 1 \ Patrol Officer 50.00( y 1655.00 Pending Settle ent of Union 1520.00 85.00(I nv Union C ntract 06.40 1520.00106.40(.g)1626.40 2080 Waldemar Olsen 6 1520.00 50.0 1570.00 19,178.00 Patrol Officer" Union 6 1520.00 106.40 1626.40 2080 208 Fred Bebensee 6 1520.00 50.00 1570.00 19,178.00 1 Patrol Officer Union 6 1520.00 106.40 1626.40 2080 208 Arthur Groinus 6 1520.00 50.00 1570.00 18,966.00 12 Patrol Officer Union. 6 1520.00 76.00 1596.00 2080 208 Robert Rehard 6 1520.00 25.00 1545.00 19,229.00 12 Patrol Officer 1. 1520.00 76.00 1596.00 " Union y1il70 4. 1520.00 76.00 85.001160 1 1. 2080 208 Thomas Sauer 6 1520.00 25.00 1545.00 18,846.00 12 Patrol Officer I Union 6 1520.00 76.00 1596.0 2080 208h I/I ffig 208 No Mo = Number of Months Cr = Credits Longev = Longevity Yearly Sal = Yearly Salary (Continued) (C.I.) College Incentive Yearly Hrs - Yearly Hours PROGRAM BUDGET 1979 City of Fridley, Personnel Service Detail Administrative Page a-17 Minnesota Budget (Continued) FUND ' DEPAD N 7 CODE CO General 01 Police 05 Police Service X19 NAME 1.978 JOB TITLE 1979 JOB CLASSIF. NO BASE LONGEY MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY C.I. TOTAL YEARLY HRS MO SALARY C.I. TOTAL YEARLY HRS erbert Zimmerman 6 1520.00 15.00 1535.00 18,786.00 12 atrol Officer Cr. 1' A 72 6 1520.00 76.00 1596.00 2080 2088 fiarles Hanson 6 1520.00 N/E 1520.00 18,514.00 12 Patrol Officer , nion 6 1520.00 45.60 1565.60 ary Lenzmeier 6 1520.00 72.00 1592.00 18,946.00 12 Patrol Officer Cr. nion 6 1520.00 45.60 1565.00 1119/73 2080 2088 Phillip Salewski 6 1520.00 68.50 1588.50 18,925.00 12 Patrol Officer Cr. Union 6 1520.00 45.60 1565.60 avid Younkin 6 1520.00 54.00 1574.00 18,838.00 12 atrol Officer Cr. Won 6 1520.00 45.60 1565.60 3/26/73 pffi() 2088 obert Friegang 6. 1520.00 13.00 1533.00 18,592.00 12 atrol Officer Cr. nion 6 1520.00 45.60 1565.60 5/30/71 1 awrence Chubb 6 1520.00 21.00 1541.00 18,640.00 12 atrol Officer Cr. nion 6 1520.00 45.60 1565.60 i/5/73-8/20/73 2080 2088 ames Bankston 6 1520.00 8.50 1528.50 18,565.00 12 atrol Officer Cr. � nion 6 1520.00 45.601 1565.60 ' /20/73 2080 2088 obert Friis 6 520.00 23.50 1543.50 18,518.00 12 atrol Officer Cr. nion 6 1520.00 22.80 1542.80 2080 2088 avid Keding 6 1520.00 N/E 1520.00 18,377.00 12 Patrol Officer nion 6 1520.00 22.80 1542.80 2080 2088 ayne Pfuhl 6 152.0.00 45.50 1565.50 18,787.00 12 atrol Officer Cr. � nion 6 1520.00 45.60 1565.60 2080 2088 Michael Trancheff 6 1520.00 35.00 1555.00 18,587.00 12 Patrol Officer Cr. Union 6 1520.00 22.80 1542.80 2080 2088 Brook Schaub 2 1026.00 N/E 1026.00 14,724.00 12 Patrol Officer 6 1228.00 1228.00 Union 4 1326.00 1326.00 8/29/77 1 2080 1 208 David Sailman 2 1026.00 N/E 1026.00 14,724.00 12 Patrol Officer 6 1228.00 1228.00 Union 4 1326.00 1326.00 9113/77 2080 1 2088 Roger Standal 2 1026.00 N/E 1026.00 14,724.00 12 Patrol Officer 6 1228.00 1228.00 Union 4 1326.00 1326.00 9114/77 2080 1 20881 No Mo = Number of Months Cr = Credits Longev Longevity Yearly Sal = Yearly Salary (Continued) College Incentive Yearly Hrs a Yearly Hours PROGRAM BUDGET 1979 City of Fridley, Personnel Service Detail Administrative Page C-18 Minnesota Budget (Continued) FUND CODE 1 DEPAR ENT CODE CODE I PROGRAW- OUP CODE General O1 Police 05 Police Service 019 NAME 1978 1979 JOB TITLE JOB CLASSIF. NO BASE LONGEV MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY C.I. TOTAL YEARLY HRS MO SALARY C.I. TOTAL YEARLY HRS David Pecchia 3 1026.0 N/E 1026.00 14,724.O C12 Patrol Officer 6 1228.00 1228.0 Pending Settlement of Union 3 1326.00 1326.00 Union Agreement 208C 2088 John Oden 6 1520.0 75.0 1595.0 ,511.0 Patrol Officer Union 6 1520.0 136.8 1656.8 7/11-57 (Rptirpd 3/16/7F) David Sorensen 6 1 1026.0 N/E 1026.00 121 Patrol Officer 3 1228.0 1228.0 /4,7 3 Union 2088 Mike Burke 2 1026.0 N/E 1026.0 1 332.0 Patrol Officer Union 0 1228.0 1228.0 a 08 Thorne Helgesen 1 1326.0 N/E 1326.00 12 Patrol Officer , 5� 2 Union 2088 Mary Kuhn 12 977.00 N/E 977.00 11,724.0 11 1052.62 N/E 1052.62 2,631.00 Technician Grade F 2 8 2088 Lani Gartner 121 997.00 N/E 997.00 11,964.0 Technician Grade F 11-1-73 Se arat d 7/14/78) 1 208 Lori Anderson 5 816.00 N/E 816.00 1 8 873.00 10,949,00 Technician Grade F 11 916.00 916.00 2088 Laurel Anderson 5 816.00 N/E 816.00 10,072.0 5 916.00 N/E 916.00 71,314.00 Technician Grade F 7 856.00 856.00 7 962.00 962.00 208 2088 Julie Fling 5 816.00 N/E 816.00 10,072.0 5 916.00 N/E 916.00 11,31 .00 Technician Grade F 7 856.00 856.00 7 962.00 962.00 1]12 1 208 2088 David Sorensen 5 816.00 N/E 816.00 10,072.0 Technician Grade F 7 856.00 856.00 208 78 Hired a Patrol Officer 10 78 Jayne Rasmussen 5 816.00 N/E 816.00 873.00 N/E 873.00 10,949.00 Technician Grade F 11 916.00 916.00 7 Patricia Ranstroni12 920.00 N/E 920.00 11,040.0 12 984.40 N/E 984.40 11,813.000 Secretary Grade E 2 Jayne Rasmussen 12 726.00 N/E 726.00 8,712.0 Recept/Typist Grade B Vacant 6 712.00 N/E 712.00 8,760.00 Office Assistant Grade C 6 748.On 748.00 No Mo = Number of Months Cr = Credits Longev Longevity Yearly Sal = Yearly Salary (Continued) (C.I.) = College Incentive Yearly Hrs - Yearly Hours PROGRAM BUDGET 1979 City of Fridley, Personnel Service Detail Administrative Page C-1.9 Minnesota Budget i 1 FUND CODE DEPARTNENT CODE DIMON CO General 01 Police 05 Police Service 019 AML 1978 1979_ JOB TITLE JOB CLASSIF. NO BASE LONGEV MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY C.I. TOTAL YEARLY HRS MO SALARY C.I. TOTAL YEARLY HRS New Position 6 712.00 N/E 712.00 8,760.00 Office Assistant Grade C 6 748.00 748.00 2088 Contingency -0- 450,121 • Permanent Employees-Yrly.Salary(Accts.#4100 684,233 282,630 Permanent Employees-Yrly.Hours & #4131) 81,120 83,520 >3 E No Mo = Number of Months Cr = Credits Longev = Longevity Yearly Sal = Yearly Salary (C.I.) = College Incentive Yearly Hrs - Yearly.Hours PROGRAM BUDGET 1979 G'd City of Fridley, Minnesota Personnel Service Detail Page C-20 FUND COOS DEPARTMENT CODE I DIVISION CODE PROGRAM GROUP CODE General 01 Police 05 Police Service 019 - 1978 4100 & 4110 4120 41JU SERVICES RENDERED ACCT. 4130 AND RECEIVED TITLE 4131 PERM TEMP TEMP 4131 PERM TEMP TEMP PERM-REG I O.T. REGULA O.T. TOTAL PERM-REG O.T. REGULAR T. TOTAL (A)Program Grou Police Service $ 684,233 13,228 6,750 704,211 282,630 14,327 4,350 301,307 Hrs. 81,120 1,102 1,928 84,150 83,520 1,190 1,323 86,033 Contingency Tota 1 (39,940 (39,940 450,121 450;121 Personal Service eceived From: General Mgmt. $ 6,236 6,236 3,414 3x414 Hrs. 236 236 508 508 Parks $ -0- -0- 119 119 Hrs. -0- -0- 14 14 (B)Personal Serv- ices Recv'd from $ 6,236 6,236 3,533 3,533 Depts. Total Hrs. 236 236 522 522 Personal Service Rendered to: City Council $ 268 268 -0- -0- Hrs. 54 54 -0- -0- Planning Comm. $ 782 782 91 91 f� Hrs. 157 157 7 7 Other Commission $ -0- -0- 832 832 Hrs. -0- -0- 66 6 Animal Control $ 235 235 -0- -0- (C)Personal Sery Hrs. 25 25 -0- -0- ices Rendered $ 1,285 1,285 923 92 Depts. Total Hrs. 236 236 73 7 (D)Personal Sery $ 649,244 13,228 6,750 669,222 735,361 14,327 4,350 754,03 ices A+B-C Total Hrs. 81,120 1,102 1,928 84,150 83,969 1,190 1,323 86,48 Employee Insurance (Acct #4132) 48,539 51,72 Employee Pension (Acct #4133) 136,119 158,68 PERSONAL SERVICES GRAND TOTAL $853,880 $ 964,44 84,150 86,48 Hrs. Hrs *NOTE: Includes Salaries of Permanent Employees (Acct #4100) and Leave (Acct #4131) 1978 1979 Salaries-Regular Employees Salaries-Regular Employees Employees Leave Employees. Leave Acct #4100 Acct #4131 Acct #4100 Acct #4131 $545,774 + $103,470 = $649,244 $618,456 + $116,905 = $735,361 �1, PROGRAM BUDGET 1979 City of Fridley, Personnel Service Detail Administrative page C-21 Minnesota Budget i FUND CODE DEPM MENT Cool DIVitl C oo' General 01 Fire 06 2 NAME 1978 JOB TITLE 1979 JOB CLASSIF. NO BASE LONGEVI MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY _CLI.1 TOTAL YEARLY [IRS MO SALARY (C.I.j TOTAL YEARLY HRS Robert Hughes 8 1937.50 N/E 1937.50 23,250.00 4-I'M95'Chief Retired 8/31/7 strative ( ) 2080 Chief 12 2066,67 N/E 2066.67 1 24,800,00 Administrative VACANT 2088 Robert Aldrich 12 1624.25 N/E 1624.25 19,491.n0 12 1733.75 N/E 1733.75 20,8115.00 D1% Fire Cf&CDD (Balance of sal ry is in ivil Defen a (Balanc of•sal ry is in civil 0ef. Administrative budget. rotal 1 )78 Salary is 22,250. 0) budget. Total 1979 salar is 23,750) 7/1/63 1822 1 183n Dennis M. Ottem 12 1490.00 72.00 1562.99 18.7A4.00 1? 159n.00 p , /,Captain Union 6/11/62 1 3120 1 3016 Howard Simonsom 12 1400.00 24.00 1424.00 17,088.00 1 1493.52 24.00 1517.52 *18,474.On Firefighter 11 1493.52 48.00 1541.52 LV Union 1/19/69 3120 3016 4 1- ary E. Larson 1] , .Firefighter ' 1 Union 5/16/60-3/11/70 3120 3016 * Figu ed on i base est mated 7% cost of liv ng increase. But if tie cost of living between July 1, 197 to u y is d fferen than 7%, these would be adjusted as Per labor cont act. Contingency 3,347 -0- Permanent Employees-Yr1y.Salary(Accts.#4100 96,237 102,809 Permanent Employees-Yrly.Hours & #4131) 13,262 1 12,966 I No Mo = Number of Months Cr = Credits i Longev Longevity Yearly Sal = Yearly Salary College Incentive Yearly Hrs = Yearly Hours l PROGRAM BUDGET 1979 Q° City of Fridley, r� t� Minnesota Personnel Service Detail Page C-a? FUND CODE DEPARTMENT CODE DIVISION CODE PROGRAM GROUP CODE General 01 fire 06 Fire 22 1 t4 IX 1Q7Q SERVICES RENDERED ACCT. 4130 AND RECEIVED TITLE 4131 PERM TEMP TEMP 4131 PERM TEMP TEMP PERM-REG O.T. REGULA O.T. TOTAL PERM-REG O.T. REGULAR O.T. TOTAL (A)Program Group: Fire $ 96,237 65,000 161,237 102,809 86,287 189,0,96 Hrs. 13,262 11,818 25,080 12,966 15,689 28,655 Contingency Tot $ 3,347 3,347 -0- -O- Personal Servic Received From: General Mgmt $ 916 916 2,709 2,709 Hrs. 137 137 388 388 Engineering $ 404 404 302 302 Hrs. 80 80 39 39 Community Dev. $ 305 305 439 439 Hrs. 50 50 44 44 Public Wks Maint $ 2,500 2,500 1,155 1,155 Hrs. 258 258 126 126 (B)Personal Serv- ices Recv'd fro $ 4,125 4,125 4,605 4,605 Depts. Total Hrs. 525 525 597 597 Personal ServicEs Rendered to: Community Dev. $ 1,063 1,063 698 698 Hrs. 110 110 63 63 (C)Personal Ser - ices Rendered $ 1,063 1,063 698 698 Depts. Total Hrs. 110 110 63 63 (D)Person Ser - $ *102,646 65,00 167,646 *106,716 86,287 93,003 ices A+B=C Total Hrs. 13,677 11,81 25,495 13,500 15,689 29,189 Employee Insurance (Acct #4132) 18,078 13,161 Employee Pension (Acct #4133) 46,287 46,90 PERSONAL SERVICES GRAND TOTAL $232,011 $ 253,073 25,495 29,189 Hrs Hrs *NOTE: Includes Salaries of Permanent Employees (Acct #4100) and Leave (Acct #4131) 1978 1979 Salaries-Regular Employees Salaries-Regular Employees Employees Leave Employees Leave Acct #4100 Acct #4131 Acct #4100 Acct #4131 $86,734 + $15,912 $102,646 $92,315 $14,401 = $106,716 , � I I PROGRAM BUDGET 1979 City of Fridley, Personnel Service Detail Administrative Page C-23 Minnesota Budget { FUND C0KF5ffA-ftTNEW COD[ 91 WAR CODE General Ol 1 Fire 061 Civil Defense 25 NAME 1978 1979 JOB TITLE JOB CLASSIF. NO BASE LONGEVI MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY C.I. TOTAL YEARLY HRS MO SALARY C.I. TOTAL YEARLY HRS Robert Aldrich 12 229.92 N/E 229.92 2,759.00 12 245.42 N/E 245.42 2,945.00 Director, D.C. Supervisory 7/l/63 Evelyn Loomis 2 726.00 N/E 726.00 18,712.00 2 766.00 N/E 766.00 9,192.00 Clerk Typist II Merit System Empl 8/30/73 2080 2088 Contfngency (-5761 220 Permanent Employees-Yrly.Salary(Accts.#4100 11,471 12,137 Permanent Employees-Yrly.Hours & #4131) 2,338 2,346 r • r No Mo a Number of Months Cr = Credits Longev = Longevity Yearly Sal - Yearly Salary (C.I.) = College Incentive Yearly Hrs = Yearly Hours PROGRAM BUDGET 1979 Q° City of Fridley, Minnesota Personnel Service Detail Page CCU_ FUND CODE DEPARTMENT CODE DIVISION CODE PROGRAM GROUP CODE General 01 Fire 06 Civil Defense 25 1978 4100 & 4110 4120 413U 4 1UU SERVICES RENDERED ACCT. 4130 AND RECEIVED TITLE 4131 PERM TEMP TEMP 4131 PERM TEMP TEMP PERM-REG O.T. REGULAR O.T. TOTAL PERM-REG O.T. REGULAR O.T. TOTAL A Pro ram Grou : Civil Defense $ 11,471 11,471 12,137 12,137 Hrs. 2,338 2,338 2,346 2,346 Contingency Total $ -576 -576 220 220 (B)Personal Serv- ices Recv'd fro $ -0- -0- -0- -0- Depts. Total Hrs. -0- -0- -0- -0-1 (C)Personal Serv- ices Rendered $ -0- -0- -0- -0- Depts. Total Hrs. -0- -0- -0- -0- (D)Personal Sery $ *10,895 10,895 *12,357 12,357 ices(A+B-C)Total Hrs. 2,338 2,338 2,346 2,346 Employee Insurance (Acct #4132) 500 729 Employee Pension (Acct #4133) 1,150 1,394 PERSONAL SERVICES GRAND TOTAL $12,545 14,480 2,338 2,346 Hrs. Hrs *NOTE: Includes Salaries of Permanent Employees (Acct #4100) and Leave (Acct #4131) 1978 1979 Salaries-Regular Employees Salaries-Regular Employees Employees Leave Employees Leave Acct #4100 Acct #4131 Acct #4100 Acct #4131 $9,206 = $1,689 = $10,895 $10,430 + $1,927 = $12,357 PROGRAM BUDGET 1979 City of Fridley, Personnel Service Detail Administrative Page C-25 Minnesota Budget (Continued) 1 FUND CODE I DEPARTMENT CODE DIVNI CO General 01 Public Works ll Public Works Maint. 37 NAME 1978 1979 JOB TITLE JOB CLASSIF. NO BASE LONGEV MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY (C.Ij TOTAL YEARLY HRS MO SALARY C.I. TOTAL YEARLY HRS Ralph Volkman 12 1795.83 N/E 1795.83 21,550.00 1 1925.00 N/E 1925.00 23,100.00 Sdpt.Public Wks. dministrative - - - Robert Nordahl 12 1491.00 32.55 1523.55 189283.00 Operations Analy t 22% (Shown under ngineerin for 1979)' Grade M 2080 Arthur J. Olson 12 1604.17 N/E 1604.17 19,250.00 1 1720.83 N/E 1720.83 20,650.00 Street Foreman Supervisory 4/l/57 Merle Longerbone 12 1604.17 N/E 1604.17 19,250.00 1 1720.83 N/E 1720.83 20,650.00 Water Foreman Supervisory 11/27/57 2080 088 /Arthur Silseth 12 1604.17 N/E 1604.17 19,250.00 1 1720.83 N/E 1720.83 20,650.00 Sewer Foreman Supervisory 5/25/58 20 2088 ohn B. Wright 9 1334.67 67.00 1401.67 16,919.00 12 1418.10 106.00 1524.10 18,289.00 Chief Mechanic 5% 72% >� Union 3 1334.67 100.00 1434.67 9/23/63 2080 2088 Ronald Mortenson 12 1300.00 33.00 1333.00 15,996.00 12 1383.30 35.00 1418.30 17,020.00 Mechanic 22% 22% Union 5/4/70 2080 2088 Robert Anderson 12 1261.87 95.00 1356.87 16,282.00 1 1345.02 101.00 1446.02 17,352.00 Opr.&Maint.Spec. 72% 72% Union (Gar.) 5/21/59- 2080 1 2088 James Bates 12 1300.00 98.00 1398.00 16,776.00 1 1383.30 104.00 1487.30 17,848.00 ` - Sr. Street Opr. 72% 72% Union 6/11/62 2080 2088 Richard Bloom 12 1300.00 98.00 1398.00 16,776.00 1 1383.30 104.00 1487.30 17,848.00 Hvy.Equip.Opr. 72% 72% Union 6/11/62 2080 2088 Harlan Hanscom 5 1300.00 33.00 1333.00 16,220.00 1 1383.30 69.00 1452.30 17,428.00 Hvy.Equip.Opr. 22% 5% / O.Union 1300.00 65.00 1365.00 6/10/68 5% 2080 2088 Joseph Gonsior 12 1300.00 33.00 1333.00 15,996.00 3 1383.30 35.00 1418.30 17,326.00 Hvy.Equip.Opr 22% 22% Union 9 1383.30 69.00 1452.30 4/14/69 2080 5% 2088 Rex Sackett 12 1261.87 32.00 1293.87 15,526.00 4 1345.02 34.00 1379.02 76,812.00 / Opr.&Maint.Spec. 22% 22% �/ Union 8 1345.02 67.00 1412.02 4/22/69 2080 5% 2088 Donald Stiller 12 1222.00 31.00 1253.00 15,036.00 12 1305.00 33.00 1338.00 16,056.00 i \ Opr.& Maint.Pers 22% 22% ✓ V Union 4/27/70 2080 2088 Richard Cameron 12 1222.00 31.00 1253.00 15,036.00 12 1305.00 33.00 1338.00 16,056.00 Opr.&Maint. Pers 22% 22% Union 12/7/70-5122/73 2080 2088 No Mo = Number of Months Cr = Credits Longev = Longevity Yearly Sal .= Yearly Salary (Continued) (C.I.) = College Incentive Yearly Hrs = Yearly Hours, PROGRAM BUDGET 1979 City of Fridley, Personnel Service Detail Administrative page C-26 r"\ et Minnesota Budget FUND CODE I DEPARTMENT CODE I DIVISI CODE AM GROUP CODE General 01 Public Works 11 NAME 1 JOB TITLE 978 1979 JOB CLASSIF. NO BASE LONGEV MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL STARTING nATE MO SALARY (C.I.) TOTAL YEARLY HRS MO SALARY (C.I.) TOTAL YEARLY HRS Anthony Mack 12 1222.00 N/E 1222.00 14,664.00 12 1305.00 N/E 1305.00 15,660.00_/ Opr.& Plaint. Per Y j Union 8/26475-5416/77 2080 n Kenneth c Strom 12 1222.00 N/E 1222.00 14,664.00 12 1305.00 N/E 1305.00 15,660.00 / Opr.a iNaint. Per. y Union 2080 2088 11/3/75 James Brindley 12 1300.00 65.00 1365.00 16,380.00 12 1383.30 69.00 1452.30 17,428.00 Sr. Sewer Opr. 5% 5% Union 9567 Chester Swanson 12 1300.00 98.00 1398.00 16,776.00 12 1383.30 104.00 1487.30 17,848.00 Sr. Sewer Opr. 7j-2% 7k% Union 7/2/62 2080 ?nRR Arthur Paulson 12 1222.00 .31.00 1253.00 15,036.00 12 1305.00 33.00 1338.00 16,056.00 Opr. & Maint.Per 2k% 2k% Union 6/14/71 Bruce Mathison 12 1099.80 N/E 1099.80 13,198.00 12 1239.75 N/E 1239.75 14,877.00 Opr.& liaint. Per. V/ V Union (Replaces positi)n vacated by 1/3/78 Clarion astama Donald Carrigan 4 1300.00 65.00 1365.00 16,644.00 L2 1383.30 104.00 1487.30 17,348.00 Sr. Water Opr. 5% 7k% Union 8 1300.00 98.00 1398.00 V 5/8/63 73-% Edwin Saefke 3 1261.87 32.00 1293.87 15,805.00 L2 1345.02 67.00 1412.02 16,944.00 Opr.& Maint. Spec 22% 5% Union 1261.87 63.00 1324.87 3/19/68 5% 2080. panes Saefke 61.87 N/E 1261.87 15,142.00 2 1345.02 N/E 1345.02 16,140.00 Opr.& Maint. Spec Union V 7/9/73 2080 era ong 0 N E 1222.00 14,664.00 2 1305.00 N/E 1305.00 15,660.00 Opr.& Maint. Per v Union 3/27/73 2080 Inez J. Kapala 1 926.00 41.95 967.95 11,846.00 L2 993.00 62.93 1055.93 12,671.00 Clerk/Secretary 5% 7h% Grade D 11 926.00 62.93 988.93 Contingency (-1,485 -0- Permanent Employees-Yrly.Salary(Accts.#4100 422,965 433,877 Permanent Employees-Yrly.Hours & #4131) 54,080 1 52,200 No Mo = Number of Months Cr = Credits Longev = Longevity Yearly Sal = Yearly Salary (C.I.) = College Incentive Yearly Hrs = Yearly Hours PROGRAM BUDGET 1979 City of Fridley, c� Minnesota Personnel Service Detail Page CCU_ FUND CODE DEPARTMENT CODE I DIVISION CODE PROGRAM GROUP COOS General Ol Public Works 11 Public Works Maint. 37 979 SERVICES RENDERE ACCT. 4130 AND RECEIVED TITLE 4131 PERM TEMP TEM 4131 PERM TEMP TEMP PERM-REG O.T. REGULA j O.T. TOTAL PERM-REG O.T. REGULAR Q.T. TOTAL (A)Program Grou Public Works $ 422,965 7,90 9,900 440,765 433,871 8,060 9,500 451,43 aintenance Hrs 54,050 1,300 1,750 57,130 52,200 648 2,375 55,22 ontingency.Tota $ (1,485 -0- -0- (1,485) -0- -0- -0- -0- ersonal Service eceived from: eneral Mgmt. $ 2,470 2,470 5,105 5,10 Hrs. 304 304 688 68 %ccounting $ 1,390 1,390 469 46 Hrs. 333 333 104 10 j ngineering $ 711 711 11,730 11,73 Hrs 91 91 1,296 1,29 arks $ 500 500 -0- -0- B)Personal Sery Hrs 60 60 -0- -0- ices Recv'd from $ 5,071 5,071 17,304 17,30 e ts. Total Hrs. 788 788 2,088 2,08 Personal Service endered to: ther Commission $ -0- -0- 34 34 Hrs -0- -0- 6 neral Mgmt. $ 1,500 1,500 1,400 1,40 Hrs 335 335 184 184 Engineering $ 711 711 -0- -0- Hrs 91 91 -0- -0- Elections $ 677 677 1,094 1,094 Hrs 112 112 150 15 ire $ 2,500 2,500 1,155 1,155 Hrs. 258 258 126 126 livic Center $ -0- -0 4,064 4,064 Hrs -0- -0- 490 490 Parks $ 4,000 4,000 550 550 Hrs 500 500 69 69 Tanning $ 2,000 2,000 -0- -0- Hrs 155 155 -0- -0- tilities $ 173,326 173,326 190,912 190,912 Hrs 22,390 22,390 20,971 20,971 p. Assessments $ -0- -0- 372 372 Hrs. -0- -0- 41 41 hop Salaries $ 51,000 51,000 48,000 48,000 (Transferred to Hrs. 3,786 3,786 3,600 3,600 371 Acct. in ther depts.) (C)Personal Serv- ices Rendered to $ 235,714 235,714 247,581 247,581 Depts. Total Hrs. 27,627 27,627 25,637 25,637 (D)Personal Sery $ 190,837 7,900 9,900 208,637 203,600 8,060 9,500 21,160 ices(A+B-C)Total Hrs. 27,241 1,300 1,750 30,291 28,651 648 2,375 31 ,674 Employee Insurance (Acct #4132) 24,413 25,629 Employee Pension (Acct #4133) 26,575 28,990 PERSONAL SERVICES GRAND TOTAL 259,625 $P75,779 - 30,291 31,674 Hrs. nc udes Salaries of Permanent Employees (Acct 04100)and Leave (Acct 04131) - 1978 1979 Salaries-RegT Employees Salaries-Regular Employees Employees Leave Employees Leave Acct 04100 Acct$4131 Acct 84100 Acct 04131 _ $153,427 + $37,410•$190.837 E212.390 $39.210- S48,000•$203.600 . PROGRAM BUDGET 1979 ' City of Fridley, Personnel Service Detail Administrative Page C-28 Minnesota Budget FOND CODE I DEPARTMENT CODE DIVIiION CODE General 01 Public Works 07 Code Enforcement NAME 1978 1979 JOB TITLE JOB CLASSIF. NO BASE LONGEV MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY (C.I.1 TOTAL YEARLY HRS MO SALARY C.I. TOTAL YEARLY HRS Darrel Clark 12 1908.33 N/E 1908.33 22,900.00 12 2033.33 N/E 2033.33 24,400.00 47/15Cf.Bldg.Official /56 2080 PnAR Administrative Ron Holden 12 1463.00 N/E 1463.00 17,556.00 .. Building Insp. Grade 0 (Separat d" 10/.20/78) Vacant 12 1352.00 N/E 1352.00 16,224.00 Code Enforcement (Replace Ron H lden's Po ition) Officer Grade 0 2088 William Sandin 12 1543.00 99.98 1642.98 19,716.00 12 1643.00 99.98 1742.98 20,916.00 Plumbing Insp. 72% 72% Grade 0 Steven Olson 12 1485.00 N/E 1485.00 17,820.00 12 1582.00 N/E 1582.00 18,984.00 Environmental Of Grade 0 14/l/74 qnRn 2n,98 Mary Hintz 23 923.00 41.95 964.95 11,579.00 12 988.00 41.95 1029.95 12,359.00 Clerk/Secretary 5% 5% Grade D 6/30/68 L 20801 PnRR. Contingency -0- -0- Permanent Employees-Yrly.Salary(Accts.#4100 89,571 92,883 Permanent Employees-Yrly.Hours & #4131) 10,400 10,440 No Mo = Number of Months Cr = Credits Longev = Longevity Yearly Sal = Yearly -Salary (C.I.) = College Incentive Yearly Hrs = Yearly Hours City of Fridley, PROGRAM BUDGET 1979 Q° c� Minnesota Personnel Service Detail Page C-29 a FUND CODE DEPARTMENT CODE DIVISION CODE PROGRAM GROUP CODE General 01 Public Works 07 Code Enforcementr____ 19/8 __ ._-_T979..- __ SERVICES RENDERE ACCT. 4130 AND RECEIVED TITLE r431 PERM TEMP TEM 4131 PERM TEMP TEMP RM-REG O.T. REGULA O.T. TOTAL PERM-REG O.T. REGULAR TOTAI, (A)Program Grou Code Enforcement $ -0- -0- 92,883 150 6,867 99.1900 Hrs. -0- -07 10,440 12 1,857 12,309 ontingency Tota $ -0- -0- -0q -O- -1)- -p- ersonal Service eceived from: eneral Mgmt. $ -0- -0- 1,200 1,200 Hrs. -0- -0- 172 172 ire $ -0- -0- 698 698 Hrs. -0- -0- 63 63 lanning $ -0- -0 4,608 4,608 Hrs. -0- -0- 347 347 Engineering $ -0- -0- 14,721 14,721 Hrs. -0- -0- 1,627 1,627 (B)Personal Serv. ices Recv'd from $ -0- -0- 21,227 21;227 j e ts. Total Hrs. -0- -O- 2,209 2,P09 i Personal Service Rendered to: ity Council $ -O- -0- 655 655 Hrs. -0- -0- 97 97 tanning Comm. $ -0- -0- 3,917 3,917 Hrs. -0- -0- 553 553 ire $ -0- -0- 439 439 Hrs. -0- -0- 44 .44 ivic Center $ -0- -0- 300 300 Hrs. -0- -0- 33 33 %C)Personal Serv- ices Rendered to $ -0- -0- 5,311 5,311 e ts. Total Hrs. -0- -0- 707 707 (D)Personal Ser $ -O- -0- *108,799 150 6,867 15,816 ices A+B-C Total Hrs. -0- -0- 11,942 12 1,857 13,811 Employee Insurance (Acct #4132) -O- 5,082 Employee Pension (Acct #4133) -0- 12,908 PERSONAL SERVICES GRAND TOTAL -0- 3,806 -0- 13,811 Hrs. *NOTE: Includes Salaries of Permanent Employees (Acct #4100) and Leave (Acct #4131) 1979 Salaries-Regular Employees Employees Leave Acct #4100 Acct #4131 $94,117 + $14,682 = $108,799 �1 PROGRAM BUDGET 1979 City of Fridley, Personnel Service Detail Administrative Page C-30 Minnesota Budget FUND CODE I DEPARTMENT CODE DIVNI CODE MOUP CODE General 01 Public Works 11 Planning 28 NAME 1 JOB TITLE 978 1979 JOB CLASSIF. NO BASE LONGEV MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY C.I. TOTAL YEARLY FIRS MO SALARY C.I. TOTAL YEARLY HRS Jerrold Boardman 12 1685.42 N/E 1685.42 20,225.00 12 1795.83 N/E 1795.83 21,550.00 City Planner Administrative 6427172 2080 jk4y Leek 3 1135.00 N/E 1135.00 14,133.00 12 1268.00 N/E 1268.00 15,216.00 Associate Planner Administrative t 9 1192.00 1192.00 2080 2088 Dorothy Evenson 12 916.00 19.98 935.98 11,232.00 8 981.00 19.98 1000.98 12,092.00 Clerk/Secretary 2z% 23-,% Grade D 4 981.00 39.96 1020.96 8/30/71 2080 5% 2088 Contingency -0- -0- Permanent Employees-Yrly.Salary(Accts.#4100 45,590 48,858 Permanent Employees-Yrly.Hours & #4131) 6,240 6,264 No Mo = Number of Months Cr = Credits Longev = Longevity Yearly Sal = Yearly Salary (C.I.) = College Incentive Yearly Hrs = Yearly Hours PROGRAM BUDGET 1979 City of Fridley, G� Minnesota Personnel Service Detail Page C-31 FUND CODE DEPARTMENT CODE DIVISION CODE JPROGMM GROUP CODE General 01 Public Works Planning tpiqk 197 s et D 4100 & 4110 41LU 4100 & 411 413U U 4M 1 4130 SERVICES RENDERED ACCT. 4131 PERM TEMP TEMP 4131 PERM TEMP TEMP AND RECEIVED TITLE PERM-REG O.T. REGULA O.T. TOTAL PERM-REG O.T. REGULAR O.T. TOTAL (A)Program Group: anning $ -0- -0- 48,858 100 17,082 66,040 Hrs. -0- -0- 6,264 12 3,750 10,026 Contingency Total $ -0- -0- -0- -0- Personal Service; Received from: Gen.Mgmt.-Purch $ -0- -0- 1,509 1,509 Hrs. -0- -0- 216 216 Engineering $ -0- -0- 4,075 4,075 Hrs. -0- -0- 450 450 (B)Personal Serv- ices Recv'd from $ -O- -0- 5,584 5,584 Depts. Total Hrs. -0- -0- 666 666 Personal Service Rendered to: Planning Comm. $ -0- -0- 8,364 8,364 'Hrs. -0- -0- 1,183 1,183 Other Commission $ -0- -0- 2,960 2,960 Hrs. -0- =0- 250 250 General Mgmt. $ -0- -0- 1,994 1,994 Hrs. -0- -0- 291 291 Code Enforcement $ -0- -0- 4,608 4,608 Hrs. -0- -0- 367 367 (C)Personal Serv- ices Rendered $ -0- -0 17,926 17,926 Depts. Total Hrs. -0- -0- 2,091 2,091 (D)Personal Sery $ -0- -0- 1,36,516 100 17,082 53,698 ices(A+B-C))Tota Hrs. -0- -0- 4,839 12 3,750 8,601 Employee Insurance (Acct #4132) -0- *2,570 Employee Pension (Acct #4133) -O- 4,050 PERSONAL SERVICES GRAND TOTAL -0- 60,318 =0- 8,601 Hrs *NOTE: Includes Salaries of Permanent Employees (Acct #4100) and Leave (Acct #4131) 1979 Salaries-Regular Employees Employees Leave Acct #4100 Acct #4131 $30,820 + $5,696 = $36,516 **Insurance plus Workmens Compensation $2,070 + $ 500 = $2,570 PROGRAM BUDGET 1979 City of Fridley, Personnel Service Detail Administrative page C-32 Minnesota Budget ; FUND CODE DEPARTMENT CODE DIVUNON CODE PRO GROUP COOL General 01 Public Works 11 En ineerin 36 NAME 1978 1979 JOB TITLE JOB CLASSIF. NO BASE LONGEV MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL ,STARTING DATE MO SALARY C.I. TOTAL YEARLY HRS MO SALARY C.I. TOTAL YEARLY HRS Richard Sobiech 12 2375.00 N/E 2375.00 28,500.00 12 2533.33 N/E 2533.33 30,400.00 Public Works Dir. Administrative 8/l/72-8/5/74 2080 2088 Robert Nordahl 12 1594.00 32.55 1626.55 19,519.00 Operations Analyst (Shown u der Pu)lic Works 22% Grade M Mainten nce in 1978) 10/11/72 2088 Juel Mercer 9 991.00 44.05 1035.05 12,487.00 12 1061.00 66.08 1127.08 13,525.00 Secretary 5% 72% Grade E 3 991.00 66.08 1057.08 9/19/66-11/20/72 714 2080 2088 Gail Skaaden 12 733.00 N/E 733.00 8,796.00 Clerk Typist Grade B (Separa ed' 6/23/78)- 3 29 76 1 2080 Vacant 6 666.00 N/E 666.00 8,190.00 Clerk Typist Grade B (Gail Slaaden's Position) 6 699.00 N/E 699.00 2088 Vacant 23 1875.00 N/E 1875.00 22,500.00 12 2006.58 2006.58 24,079.00 Asst. Public Wks. Director. Adm. 2088 Gerald Nordlund 12 1417.00 97.65 1514.65 18,176.00 12 1519.00 97.65 1616.65 19,400.00 Engr. Technician 72% 72% Grade L 12/4/61 2080 2088 Clyde Moravetz 12 1420.00 6 4 . 5 17,783.00 12 1518.00 6 5 9.95 18,959.ou Engr.Aide/Admn. 5% 5% Grade L 5/15/69-3/1/71 1 2080 1 2088 Del Zentgra 1 1318.00 N/E 1318.00 15,816.00 12 1416.00 --ffT 6.00 16,992.60 Eng.Aide/Insp. Grade L 1/1/74 2080 2088 Contingency -0- -0- Permanent Employees-Yrly.Salary(Accts.#4100 124,058 151,064 Permanent Employees-Yrly.Hours & #4131) 14,560 16,704 i r ` I 11 i No Mo = Number of Months Cr = Credits Longev = Longevity Yearly Sal = Yearly Salary (C.I.) = College Incentive Yearly Hrs = Yearly Hours PROGRAM BUDGET 1979 e City of Fridley, Minnesota Personnel Service Detail Page C FUND CODE DEPARTMENT CODE WASION CODE PROGRAM GROUP CODE _General 1 Public Works SERVICES RENDERE ACCT. 4130 opering 19/8 19/9 AND RECEIVED TITLE 4131 PERM TEMP TEM 4131 PERM TEMP TEMP PERM-REG O.T. _REGULAF O.T. TOTAL PERM-REG O.T. REGULAR Q.T. TOTAL (A)Program Group Engineering $ 124,058 300 7,000 100 131,458 151,064 100 7,000 100 158,26 Hrs. 14,560 30 1,840 18 16,448 16,704 8 1,750 17 18,47 ontingency Total $ -0- -0- -0- -0- Personal Service Received From: en.Mgmt.-Purch. $ 1,530 1,530 1,514 1,51 Hrs. 443 443 254 254 ommunity Devel. $ 507 507 -0- -0- Hrs. 60 60 -0- -0- ublic Wks. Mai . $ 711 711 -0- -0- Hrs. 91 91 -0- -0- B Personal Serv. ices Recv'd from $ 2,748 2,748 1,514 1,514 e ts. Total Hrs. 594 594 254 254 ersonal Service endered to: ity Council $ 2,633 2,633 3,955 3,955 Hrs. 216 216 248 24 Planning Comm. $ -0- -0 1,445 1,445 Hrs. -0- -0- 254 254 ther Commission $ 3,467 3,467 482 482 Hrs. 222 222 60. 60 eneral Mgmt. $ 1,515 1,515 1,400 1,400 Hrs. 246 246 97 97 Fire $ 305 305 302 302 Hrs. 50 50 39 39 Civic Center $ -0- -0- 1,372 1,372 Hrs. -0- -0 174 174 Code Enforcement $ -0- -0- 14,721 14,721 Hrs. -0- -0- 1,627 1,627 Planning $ 17,023 17,023 4,075 4,075 Hrs. 11091 11091 450 450 Public Wks. Main $ 711 711 11,730 11,730 Hrs. 91 91 1,296 1,296 Parks $ 203 203 1,030 1,030 Hrs. 30 30 114 114 Utilities $ 15,446 15,446 19,771 19,771 Hrs. 2,402 2,402 2,185 2,185 Sp. Assessments $ 30,679 30,679 41,795 41,795 Hrs. 4,806 4,806 4,618 4,618 (C)Personal Serv- ices Rendered to $ 71,982 71,982 102,078 02,078 e ts. Total Hrs. 9,154 9,154 11,162 119'162 (D)Personal Sery $ 54,824 300 7,000 100 62,224 *50,500 100 7,000 1,00 0 57,700 ices(A+B-C)Total Hrs. 6,000 30 1,840 18 7,888 5,796 8 1,75 17 7, 57 Employee Insurance (Acct #4132) 3,669 3,669 Employee Pension (Acct #4133) 5,700 5,700 PERSONAL SERVICES GRAND TOTAL $71,593 $67,050 7,888 7,571 Hrs. Hrs *NOTE: Includes Salaries of Permanent Employees (Acct 1`4100) and Leave (Acct #4131) 1978 1979 Salaries-Regular Employees Salaries-Regular Employees Employees Leave Employees Leave Acct #4100 Acct #4131 Acct #4100 Acct #4131 $46,400 + $8,424 = $54,824 $42,672 + $7,828 $50,500 PROGRAM BUDGET 1979 City of Fridley, Personnel Service Detail Administrative Page C-34 Minnesota Budget FUND CODE OEPARTNENT CODE DIMI N CODE PR CODE General O1 Public Works 07 Civic Center 30 NAME 1978 1979 JOB TITLE JOB CLASSIF. NO BASE LONGEV MONTHLY YEARLY SAL NO BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MO SALARY C.I. TOTAL YEARLY HRS MO SALARY C.I. TOTAL YEARLY HRS Paul Paulson 12 1216.00 26.77 1242.77 14,913.00 5 1289.00 26.77 1315.77 15,977.00 Custodian 2z% 22% Grade I 2080 7 1289.00 53.54 1342.54 2088 Contingency -0- -0- . Permanent Employees-Yrly.Salary(Accts.#4100 14,913 15,977 Permanent Employees-Yrly.Hours & #4131) 2,080 2,080 No Mo = Number of Months Cr = Credits Longev = Longevity Yearly Sal = Yearly Salary (C.I.) - College Incentive Yearly Hrs = Yearly Hours_ PROGRAM BUDGET 1979 Q° City of Fridley, Minnesota Personnel Service Detail Page C-35 FUND CODE DEPARTMENT CODE I DIVISION CODE PROGRAM GROUP CODE General 01 Public Works 07 Civic Center 30 19/8 1979 SERVICES RENDERE ACCT. 4131 4130 PERM TEMP TEM 4131 PERM TEMP TEMP AND RECEIVED TITLE PERM-REG O.T. REGULA O.T. TOTAL PERM-REG O.T. REGULAR 0.1. TOTAL (A)Program Grou Civic Center $ 14,913 300 9,000 50 24,263 15,977 300 9,000 25,277 Hrs. 2,080 50 2,400 10 4,540 2,088 26 2,250 4,364 Contingency Tot $ -0- -0- -0- -0- -0- -O- -0- -0- -0- Personal Services Received From: General Mgmt. $ 499 Ogg 2,773 2,773 Hrs. 57 57 ' 433 433 Accounting $ 6,691 6,691 3,601 3,601 Hrs. 1,349 1,349 877 877 Code Enforcement $ 1,450 1,450 300 300 Hrs. 201 201 33 33 Engineering $ -0- -0- 1,372 1,372 Hrs. -0- -0- 174 174 Public Wks.Main $ -0- -0- 4,064 4,064 Parks Hrs. 2,939 -0- 490 490 2,939 554 554 Hrs. 388 388 68 63 (B)Personal Serv- ices Recv'd from $ 11 ,579 11,579 12,664 12,664 Depts. Total Hrs. 1,995 1,995 2,075 2,075 Personal Service Rendered to: Utilities $ -0- -0- 141 141 Hrs. -0- -0- 15 15 (C)Personal Serv. ices Rendered to $ -0- -0- 141 141 Depts. Total -0- -0- 15 15 (D)Personal Serv. $ 26,500 300 9,000 50 35,850 *28,500 300 9,000 37,800 ices A+B-C Total Hrs. 4,075 50 2,400 10 6,535 4,148 26 2,250 6,424 Employee Insurance (Acct #4132) 2,169 2,320 Employee Pension (Acct #4133) 3,637 3,850 PERSONAL SERVICES GRAND TOTAL $41,656 $1,11,970 6,535 6,424 Hrs. Hrs. *NOTE: Includes Salaries of Permanent Employees (Acct #4100) and Leave (Acct #4131) 1978 1979 Salaries-Regular Employees Salaries-Regular Employees Employees Leave Employees Leave Acct #4100 Acct #4131 Acct #4100 Acct #4131 $22,392 + $4,108 = $26,500 $24,197 + $4,303 = $28,500 i�1 PROGRAM BUDGET 1979 City of Fridley, Personnel Service Detail Administrative Page C-36 Minnesota Budget i CODE KPAN RENT CODE WI co" a Ural 1St 4 8 General O1 Parks & Recreation 13 NAME 1978 JOB TITLE 1979 JOB CLASSIF. NO BASE LONGEVI MONTHLY YEARLY SAL Noi BASE LONGEV MONTHLY YEARLY SAL STARTING DATE MOI SALARY C.I. TOTAL YEARLY HRS MOI SALARY C.I. TOTAL YEARLY HRS P C ck Boudreau 6 2000.00 N/E 2000.00 24,500.00 12 2229.17 N/E 2229.17 26,750.00 irector Administrative 6 2083.33 2083.33 Siah St. Clair 9 1541.67 N/E 1541.67 18,500.00 12 1634.17 N/E 1634.17 19,610.00 Naturalist Administrative (Replaces Dan uff) 2080 2088 John Kirk 12 1125.00 N/E 1125.00 13,500.00 12 1250.00 N/E 1250.00 15,000.00 Recreation Supv. Supervisory 3/28/77 2088 New Position 12 1125.00 N/E 1125.00 13,500.00 Program Supv. Supervisory 2088 Curtis Dahlberg 12 1604.17 N/E 1604.17 19,250.00 12 1720.83 N/E 1720.83 20,650.00V Park Foreman Supervisory 4/15/59-10/29/73 2nAn 2088 Roy Scherer 12 1300.00 65.00 1365.00 16,380.00 3 1383.30 69.00 1452.30 17,743.0 / \ Sr. Park Keeper 5% 5% tr V Union . 9 1383.30 104.00 1487.30 3/28/64 2080 � 2088 Emmett Gosselin 12 1261.87 32.00 1293.87 15,526.44 2 1345.02 34.00 1379.02 16,878.0 Opr.&Maint.Spec. 22% 22% v Union 10 1345.02 67.00 1412.02 2080 5% 1 2088 Donald USUSM liz 1261.87 32.00 1293.87 15,526.44 2 1345.02 34.00 1379.02 16,878.00 Opr.& Maint.Spec 22% 22% Union 10 1345.02 67.00 1412.02 3/3/69 2080 1 5% 208 David Lindquist 12 1222.00 N/E 1222.00 14,664.00 12 1305.00 N/E 1305.00 15,660.0 Opr.& Maint.Pers / Union V 2080 1 2088 Ronald Fields 12 1222.00 N/E 1222.00 14,664.00 12 1305.00 N/E 1305.00 15,660.0 Opr.& Maint.Pers Union 1 1 74 2080 208 Garry J. Volk 12 1222.00 N/E 1222.00 14,664.00 12 1305.00 N/E 1305.00 15,660.00 Opr.& Maint.Pers Union 1 74 2080 2088 Joan Anderson 2 818.00 N/E 818.00 10,226.00 12 919.13 N/E 919.13 11,030.00 Secretary Grade E 10 859.00 859.00 812317§ 2080 1 2 88 Contingency 25,918 -0-- Permanent Employees-Yrly.Salary(Accts. #4100 177,400 205,019 Permanent Employees-Yrly.Hours & #4131) 22,880 25,056 �1 • No Mo = Number of Months Cr = Credits Longev = Longevity. Yearly Sal = Yearly Salary (C.I.) College Incentive Yearly Hrs = Yearly Hours PROGRAM BUDGET 1979 Qd City of Fridley, Minnesota Personnel Service Detail Page C-37 fI�ND CODE DEPARTMENT CODE DIVISION CODE PROGRAM GROUP CODE General O1 Parks & Recreation 13 Naturalist 46 1978 1979- 4130 SERVICES RENDERE ACCT. 4131 PERM TEMP TEMP 4131 PERM TEMP TEMP AND RECEIVED TITLE PERM-REG O.T. REGULAF O.T. TOTAL PERM-REG O.T. REGULAR O.-J.- TOTAL (A)Program Grou Naturalist $ 9,992 9,992 12,628 12,628 Hrs. 3,020 3,020 4,186 4.,186 Contingency Tota $ -0- -0- -0- -0- i Personal Service i Received from: General Mgmt. $ 1,392 1,392 1,421 1,421 Hrs. . 258 258 158 158 arks $ 20,989 20,989 25,651 25,651 Hrs. 2,010 2,010 2,882 2,882 (B)Personal Sery ices Recv'd from $ 22,381 22,381 27,072 27,072 e is Total Hrs. 2,268 2,268 3,040 3,040 (C)Personal Serv- ices Rendered to $ -0- -0- -0- -0- e ts.. Total Hrs. -0- -0- -0- -0- (D)Personal Sery $ *22,381 9,992 32,373 27,072 12,628 39,700 ices A+B-C Total Hrs. 2,268 3,020 5,288 3,040 4,186 7,226 Employee Insurance (Acct #4132) 1,874 1,874 Employee Pension (Acct #4133) 3,6.16 2,944 ERSONAL SERVICES GRAND TOTAL $37,860 45,701 5,288 7,226 Hrs. Hrs *NOTE: Includes Salaries of Permanent Employees (Acct #4100) and Leave (Acct #4131) 1978 1979 Salaries-Regular Employees Salaries-Regular Employees Employees Leave Employees Leave Acct #4100 Acct #4131 Acct #4100 Acct #4131 $18,912 + $3,469 = $22,381 $22,942 + $4,130 = $27,072 PROGRAM BUDGET 1979 Q° City of Fridley, Minnesota Personnel Service Detail Page C-38 FIND CODE DEPARTMENT CODE DIVISION CODE PROGRAM GROUP CODE Gener 1 01 Parks & Recreation 13 Parks 47 i 4130 0 4120 413C 4100 & 411U 4120 SERVICES RENDERE ACCT. AND RECEIVED TITLE 4131 PERM TEMP TEMP 4131 PERM TEMP TEMP PERM-REG O.T. REGULA O.T. TOTAL PERM-REG O.T. REGULAR 0. TOTAL :(A)Program Grou +Parks $ 177,243 720 38,455 216,418 205,019 1,070 72,434 278,523 Hrs. 22,880 75 9,349 32,304 25,056 86 205695 45,837 Contingency Tota $ 25,918 25,918 -0- -0- Personal Service Received from: General Mgmt. $ 55769 5,769 5,316 5,361 Hrs. 928 928• 644 644 Accounting(Weeds $ -0- -0- 2,995 2,995 Hrs. -0- -0- 606 606 Engineering $ 203 203 1,030 1,630 Hrs. 30 30 114 114 Public Wks.Maint $ 4,000 4,000 550 550 Hrs. 500 500 69 69 (8)Personal Sery ices Recv'd from $ 9,972 9,972 95891 9,891 Depts. Total Hrs. 1,458 1,458 1,443 1•,443 Personal Service Rendered to: City Council $ 313 313 -0- -0- Hrs. 30 30 -0- =0- Planning -Comm. $ -0- -0- 597 597 Hrs. -0- -0- 48 48 Civic Center $ 25939 2,939 554 554 Hrs. 388 388 68 68 Naturalist $ 89,536 89,536 25,651 25,651 Hrs. 11,365 11,365 3,040 3,040 Recreation $ 20,989 20,989 57,626 57,626 Hrs. 2,010 2,010 6,953 6,953 Public Wks.Maint $ 500 500 -0- -0- Hrs. •60 60 -0- -0- Police $ -0- -0- 119 - 119 Hrs. -0- -0- 14 14 Sp. Assessments $ -0- "0- 1,624 1,624 Hrs. -0- -0- 277 277 (C)Personal Sery ices Rendered to $ 114,277 114,277 86,171 86,171 Depts. Total Hrs. 13,853 13,853 10,400 10,400 (D)Personal Servi $ *98,856 720 389455 138,031 128,739 1,070 72,434 02,243 ices A+8-C Total Hrs. 105485 75 9,349 19,909 16,099 86 20,695 36,880 Employee Insurance (Acct #4132) 12,245 * 18,268 Employee Pension (Acct #4133) 10,699 14,589 PERSONAL SERVICES GRAND TOTAL $160,935 $235,100 19,909 36,880 Hrs. Hrs *NOTE: Includes Salaries of Permanent Employees (Acct #4100) and Leave (Acct #4131 1978 1979 Salaries-Regular Employees Salaries-Regular Employees Employees Leave Employees Leave Acct #4100 Acct #4131 Acct #4100 Acct #4131 $85,590 + $13,266 = $98,856 $111,366 + $17,373 = $128,739 **Includes $6,975 unemployment compensation a PROGRAM BUDGET 1979 G'O City of Fridley, Minnesota Personnel Service Detail Page a-39 FUND CODE DEPARTMENT CODE DIVISION CODE PROGRAM GROUP CODE General 0 1 Parks & Recreation 13 Recreation 48 1?�%$ 1979 4100 &SERVICES RENDERED ACCT. I 4130 AND RECEIVED TITLE 4131 PERM TEMP TEMP 4131 PERM TEMP TEMP PERM-REG O.T. REGULAR O.T. TOTAL PERM-REG O.T. REGULAR 0,T. TOTAL (A)Program Grou : Recreation $ 1,540 108,698 110,238 141,419 141 ,419 Hrs. 147 19,363 19,510 36,586 36,586 Contingency Total $ 11,156 11,156 Personal Services Received from: Gen.Mgmt.-Purch. $ -0- -0- 1,739 1,739 Hrs. -0- -0- 278 278 Parks $ 89,536 89,536 57,626 57,626 Hrs. 11 ,365 11,365 6,953 6,953 (B)Personal Ser ; ices Recv'd fro $ 89,536 89,536 59,365 59,365 Depts. Total Hrs. 11,365 11,365 7,230 7,230 (C)Personal Serv- ices Rendered to $ -0- -0- -0- -0- Depts. Total Hrs. -0- -0- -0- .-0- D Personal Serv• $ 100,692 1,540 108,698 210,930 *59,365 141,419 00,784 ices A+B-C Total Hrs. 11,365 147 19,363 30,875 7,230 36,586 43,816 Employee Insurance (Acct #4132) 9,135 *7,222 Employee Pension (Acct #,4133) 10,768 6,761 PERSONAL SERVICES GRAND TOTAL $230,833 $ 14,767 30,875 43,816 Hrs. Hrs. *NOTE: Includes Salaries of Permanent Employees (Acct #4100) and Leave (Acct #4131) 1978 Salaries-Regular Employees Salaries-Regular Employees Employees Leave Employees Leave Acct #4100 Acct #4131 Acct #4100 Acct #4131 - $87,341 + $13,351 = $100,692 $51,349 + $8,016 = $59,365 **Includes $2,000 unemployment compensation �1 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource Page Minnesota Allocation . Plan IRMO CODE I ow"TWINT coca CODE GUM GENERAL 01 LEGISLATIVE O1 CITY COUNCIL 01 CITY COUNCIL - GEN. 001 ACTUAL UL SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET C. NO 1976 1 1977 1978 1978 1979 NO 1 1979 4100 S L R ES REGULAR EMPLOYEES 4,129. 4 667. 4100 HOURS REGULAR EMPLOYEES _463 457 h W T SALARIES OT REGULAR EMPLOYEES _53.4 _�5.v HOU OT REGULAR EMPLOYEES _ 5 5 rc 4120 SALARIES TEMPORARY EMPLOYEES 27,257 2 0 W HOURS EMP Y EM L YEES 10,524 10,565 ILD 12 a 4130 SALARIES OT TEMPORARY EMPL EE ., HOURS OT TEMPOP)FRY­EMPLOYEE = ffff EMPLOYEES LEAVE 647. 723. TnT 0 TM EMPLOYEE N U CE -- 1 112. ,197. 2,ObT , 2 12 413 L YEE PENSI N6 S 2 4133 TOTAL HOURS 10 992 11 027- 10,021 5 488 10 067 9179 P A R T T > 4200 OFFICE U L E 5 53. 0-0 NON OFFICE SUPPLIES 324. �Ab�C�ES- 4216 CHEMICALS _ _ 4216 4 17 CLOTHIN ALLO NW C� 2201REPAIR b MAINT UPPLIES-GENE L IL 142211 REPAIR 6 MAINT SUPPLIES-EQUIP 4221 42221 EP 8 MA NT SUPPLIES-OTHER IMP 23 EP&M INT_ SUPS_ BUILDINGS _ 4230 SMALL TOOLS 4 230 W 4300 PROFESSIONAL SERVICES 4300 m M COMMUNICATION _ T3-T0-ADVERTISING 1952. 2,382. 3,200. 3,000. 3,210. 4 30 x ° 43 0 PRINTING b CNG 1.24 700. 4340 1q = 0 URANCE 45, 599, 720. 8?.5. T3W 990. m 4360 UTILITIES 4360 _ F 4370 REPAIR & MAINTENANCE-GENERAL 4370 0 < 3 REP INTEN NCE-EQUIPMENT 492. 83. 400. 300. 330. 43 330. 443 REP M NT- THERIMPROVEMENTS 3 4373 REP 3 M NT-BUILDINGS GROUNDS 4373 `s 4W E N -SE L TING ANT L 853. 900. 900. 990. 437 990. 4380 RENTAL 2 4380 4 0 DUES UBSCR�PTIONS ] 1. 12,000. 12,600. = 3 TRAVEL, CONFERENCES: CH00 2,000. 2,000. 5 4404 LAUNDRY 440: OTHER_EXPENSES - UBTTA 4,519. H9,570. $19,486. 4500 LAND _ _ 45 0 BUILDINGS AND STRUCTURES _ _ 5 _ i < -4-5-2-0 FURNITURE AND FIXTURES 45 O j 4530 MACHINERY UTO EQUIPMENT _ 53 '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY —SUB TOTAL O O Program Group Total $49,345.1$50,070. 50,277. $48,794. $54,020. $37,927. 'RIO-ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 �� i Y ` PROGRAM BUDGET 1979 i City of Fridley, Program Detail Resource' Page Minnesota Allocation . Plan n Wino Coot w Co i ca GENERAL 01 LEGISLATIVE O1 CITY COUNCIL O1 AGENDA PREP/RES. 002 ACTUAL AUIUAL F453 ___.. SUB ACCT ACCOUNT DESCRIPTION EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1978 1978 1979 NO 1979 4 SALARIES EGUL R EMPLOYEES 4,9L4. 10 863. 0 0 4100 H RS E�GULAR EMPLOYEES �3L 4 4170 L R ES T EGUL�EMPL YEES 61. HOU T REGULAR EMPLOYEES_ 1 _ O> 41 0-SALARIES TEMPORARY EMPLOYEE _395. 1.209. 4 O a HOURS Y EMPLOYEE 0 293 1,056 188 linni 1279 I -SALARIES EM RY EM LO EE i HOURS OT TEMPORARY EMPL EE = M L E __ 765. 768. 1-,9-92-.,- 1 924. 2.130. 2,130. c N 1tANCE 215. 248. 651. 567. 622. 776. 4-73Y EMPLOYEE PENSIONS 6 5 1 33 2.150. TOTAL HOURS 47 97 2,861 629 2 344 2, P A R TOTAL 8 U 50. 4 0 NON FFICE SUPPLIES 2111 FUELS11M_1W9__ TM - 4216 CHEMICALS _ 2 7 CLO HIN ITTL 6W NCB 0 EP f T UPPL ES-GENE L 3 4221 REPAIR & MAINT SUPPLIES-EQUIP 4 J 4 21 REP 5 MAINT SUPPLIES-OTHER IMP E M(TNT SUPPL E_-B LDINGS _ 4230 S LL TOOLS 4230 W 300 PROFESSIONAL SERVICES 4300 6,000. N w 3101 COMMU I CATra- 4310 _ W 0 E S NG 0 W " 0 PRINTING GE3 COPYING 583. 11481 3,000. 2,500.- 3,240. -4-3-40- 3,0 b 4360 UTILITIES 43 0 _ = 4370 REPAIR 8 MAINTENANCE-GENERAL 4370 _ c 3711 REPAIR & MAINTENANCE-EqUIPMENT EP 6 N - THER IMPROVEMENTS t 4373 REP & M INT-BUILDINGS GROUNDS 4373 : � REP & MAINT-SEAL COATING ° 4W OTHER CONTRACTUAL SERVICES V a 4380 RENTAL 4380 WT DUES & SUBSCRIPTIONS _ 8 200. 3 ERN ES, _ 4404 LAUNDRY EXPENSES 9 440 TH R LAND 49TUBUILDINGS AND STRUCTURES _ _ i 4520 FURNITURE AND FIXTURES 45 0 F 530 19CHINERY I AUTO EQUIPMENT '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY —SUB TOTAL S O O O O O O Program Group Total S 7,939. 1$ 9,931. $23,649. $20,354. $23,050. $38,303. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 1 PROGRAM BUDGET 1979 - City of Fridley, Program Detail Resource Page A 1 4 Minnesota Allocation . Plan FUNO COO! DIEPARTMIENT C009 I DIM C GENERAL 01 LEGISLATIVE 01 PLANNING COMM. 02 1 PLANNING COMM. 004 ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. No 1 1976 1977 1978 1978 1979 NO 1979 4 S L R ES REGULAR EMPLOYEES 3,624. 3 319. 000. 3,257 3,782. 4100 3, HOURS REGULAR EMPLOYEES fig6_ __53' 569 295 6 ff(Y SALARIES OT REGULAR EMPLOYEES 417. _75_ 50. 8. 50. 507 HOURS TT REGUL R EMPLOYEES _ 62 1 > -4-1-2-0 SALARIES TEMPORARY EMPLOYEES 987. 1,715. 1,750. 1,319. 1,855. 4126 1,855 W HOURS TEMPORARY EMPLOYEES 279 a 4130 SALARIES OT T-E-MT6R-TR-YEMPLOYEES i HOURS OT EMP0fY EMPLOYEE 14 = 4M EMPLOYEES E VE 561. 515. 614. 505. 699. 4M 699. LOYEE N U CE __ 181. 193. 275. 208. 204. 2047 4133 EMPLOYEE PENSIONS 505, 9 9 4133 479. TOTAL HOURS P A R T T P 20010 FICE U L E 470. 250. 300. 175. 275. 4200 275. 4210 NON OFFICE SUPPLIES 21. 24. 50. 50. 54. 4210 547 _Affff_1w9__ 2161 CHEMICALS _ _ 42 6 4 17 CLOTHIN ALLOWANCE 2 0 EP R b NT SUPPLIES-GENE L _ 0 's 4221 REPAIR & MAINT SUPPLIES-EQUIP T221 42T2- REP & MAINT SUPPLIES-OTHER IMP __ 3 EP NT SUPPLIES_-BUILDING _ 4230 SMALL T LS 4 0 W 300 PROFESSIONAL SERVICES _ 1.840. 1.840. 2.024. 4300 2.024. COMMUNICATION 125. 50. IL = 30 DER SNG 5�$ 33 IL 0 43 O PRINTING & COPYING 1,106. 4340 3j 3�0 NSU�R INCE - T360- 0 4360 UTILITIES _ 43 O _ J 4370 REPAIR & MAINTENANCE-GENERAL 4370 _ c 3711 REPAIR & MAINTENANCE-E QUIPMENT 57. 20 43 3721 REP & NT- THER IMPROVEMENTS 4372- r 4373 REP A M1 NT-BUILDINGS GROUNDS 4373 4374 REP & MAINT-SEAL COATING OTHER R U L SERVICES a 4380 RENTAL 4380 `: O1 DUES & SUBSCRTPTI NS 50, 50. 5 03 R EAITL,C�NEERENCE SCHOOL 49. 43. 75. 75. 75.14403 75. W44201REFUNDSLREIMBURSEMENTS 235. 4404 OTHER _ENSES -SUB T TA 3 3. 2 9 4500 L NO 431-0 BUILDINGS AND STRUCTURES _ _ 5O i '< 45 0 FURNITURE AND FIXTURES 125. 45201 t I_j 4-0-0 CHINERY & AUTO EQUIPMENT 4530 '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL 125 Program Group Total $ 8,753.1$ 8,832.1$13,004. $10,199. $12,234. $12,234. )RIO-ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 � City of Fridley, Program Detail Resource' Page AZ_ ` Minnesota Allocation . Plan III AN WOUP COOL I NPARTMENT CODE pIVNI CODL I'm GENERAL 01 LEGISLATIVE 01 PLANNING COMM. 02 V ACTUAL UL I DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPEENSE BUDGEBT ESTIMATE REQUEST ANCOT BUDGET 1979 SEC. 4 SALARIES REGUL R EMPLOYEES 4 645 900. 800. 954. 4100 9 HOURS REGULAR EMPLOYEES 85 109 5 4Tf0 SALARIES OT REGULAR PL�YEES -8 A4 189. 200. 0 . u_ HOURS OT RErULAR EMPLOYEES _ 10 6 19 0 6 600. 4 0 600. > 4120 SALARIES TEMPORARY EMPLOYEES _ H URS TEMPORARY EMPLOYEES 98 133 269 45 150 150 a 4130 3 L RIES T-TEMPORARY EMPLOYEES ,, HOURS OT TEMP-OgRY EMPLOYEE _ = EM L EE E _7� 150. 148. 176. -EMPLOYEE INSURANCE 29. 43 75. 52. 52. 12 4133 E14PLOYEE PENSIONS 71, 86, 150. 123. 145. 4133 f45. TOTAL HOURS ° P A RV - T T 0 3. 1 68. . E SUPPLIES 46. 50. 50. 52. 42 0 0 52. 4210 NON OFFICE SUPPLIES 18. 12. WT FUELS INFWS-- 4211 4216 CHEMICALS _ _ 42 4217 CLOTHIN ALLOWANCE CE 4220-VEPAIR & MAINT_SUPPLIES-GENERAL A 3 4221 REPAIR & MAINT SUPPLIES-EQUIP 42 1 4222 REP &'M NT SUPPLIES-OTHER IMP NT SUPPLIES-BUILDINGS 230 S LL T OLS 4 0 w 4300 PROFESSIONAL SERVICES 4300 a N 84. 10 100. 11 110. W = 430 DERTSING - 3 x " 43 0 PRINTING & COPYING 68 3401 18 W 371 0 INSURANCE 4360 UTILITIES _ 360 _ = 4370 REPAIR & MAINTENANCE-GENERAL 4370 _ c : 43 REP INTEN -EQUIPMENT 43 4371 REP & M IN - THE-R-T-WOVEMENTS 14373 REP 6-AM INT-BUILDINGS GROUNDS 4373 4-374-WE-P-A-MAINT--SEAL COATING 3 TS' OTHER CONTRACTUAL SERVICES g 4380 RENTAL 4380 `: O1 DUES & UB CRIPT- IONNSr- 50. 50. 55. 1 55 0 EL, -CONFER ENCES, 'CHOOL 3. 50. 50. 55. 3 55 5 4404 LAUNDRY 4404 OTHER EXPENSES__-SUB TOTAL 500 L ND - 4510 BUILDINGS AND STRUCTURES __ _ 5 4520 FURNITURE AND FIXTURES __ 45 0 -j 4530 MACHINERY & AUTO NT '0 4540 bTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL Program Group Total $ 1,804. $ 1,744. $ 2,825. $ 2,287.1 $ 2,642. $ 2,642 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 r , PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource' Page A 3 M Plantation Minnesota . , mom O COOS oEr ENT GUM 1i CODE GENERAL 01 LEGISLATIVE Ol 1 PLANNING COMM. 02 IFRA"PPEALS COMM. 006 ACTUAL ACTUAL DEPT_ SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET S 1976 1977 1978 1978 1979 NO 1979 4 SALARIES REGUL R EMPLOYEES 2, 05 3 081 473. 5 627. 5 965. 4100 5 965. - HOURS REGULAR EMPLOYEES 427 _ 483 385 348 W 410 SALARIES OT REGUL EMPLOYEES 6E—3. 668. 700. 706. 748 748. u HOURS OT REGULAR EMPLOYEES _ 73 2 74 36 71 41 0 71 4120 S L RIES TEMPORARY EMPLOYEES 377 g 228 228 W H URS�EMP Y EMPL YEES 119 140 h 30 L RIES T TEMPORARY EMPLOYEE HOURS OT TEMPORARY-EMPLOYEE 4 o. �T�T EM L EES VE _ _— _ 3'F PL EE INSURANCE — 58. 207. 123. 472. 322. 322. 4133 EMPLOYEE PENSIONS 398. 469. 240. 791. 7 . 4133 746. TOTAL HOURS 6 9.798. 1 9 76 A - TOTAL 5 D P U E 8. 50 200 OFF I 0 42 0 NON OFFICE SUP� IES� 4216 CHEMICALS _ _ 42 4217 CLOTHIN ALLOW NCB —_ 2 4 0 REPAIR 3 NT SUPPLIES-GENERAL — 0 4221 REP IR b MAINT SUPPLIES-E UIP 4221 4222 REP b MA NT SUPPLIES-OTHER IMP 4-92 3 3 EP b—AM ANT SUPPLIES_-BUILDINGS _— 4 0 4230 SMALL TOOLS 4300 PROFESSIONAL SERVICES 4300 UA 3 COMMUNICATION 2 3 Q z 330 ADVERTISING --x " 43 0 PRINTING b COPYING m 3 NSU NCR6 E _ 0 4360 UTILITIES — 4370 _ F4370 REPAIR b MAINTENANCE-GENERAL 437 c < 43 REP INTEN NCE-E_YUIPMENT T3-7-2 4372 REP b MINT—OTHER IMPROVEMENT 4373 4373 REP 3 hM INT-BUILDINGS GROUNDS 4W REP NT-SE L CUAT.114G OTHER U L 4380 4380 RENTAL DUES b UBSCRIPTI NS _ 25. 25. 25. 25• 03 R EL, C N ERENCE_ S�CN0 25' 25' 2 4404 it r 4404 LAUNDRY —OTHER PENSES —SUB TOTAL 4500 LAND — — 50 4510 BUILDINGS AND STRUCTURES _ - e 4520 FURNITURE AND FIXTURES —— 4530 CHINERY b AUTO EQUIPMENT — '0 4540 OTHER IMPROVEMENTS CAPITAL OUTLAY -SUB TOTAL Program Group Total $ 4,734. 1$ 6,127. $ 5,365. $10,107. $10,635. $10,635. RIO CCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 e PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource Page A 4 Minnesota Allocation . Plan • FUND 109PARTMKKY CODE I OMMON CODE CODI GENERAL 01 1 LEGISLATIVE 01 PLANNING COMM. 02 PARKS/REC. COMM, 003 - -- SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGULAR EMPLOYEES 499. 350 0 530- 4100 - HOURS REGULAR EMPLOYEES �� _ 6n 6Q W 41 0 L RIES OT REGULAR E PLUEES 12. u HOUR OT REGULAR EMPLOYEES _ 0 _0 4120 S L RIES TEMPORARY EMPLOYEES 480. 319 W HOURS TEMPORARY EMPL YEE 160 93 135 4 0 L RIES T TEMPORARY EMPLOYEE HOURS OT TEMPOR EML EE = 4M EMPLOYEES LEAVE 71, __ _7L EMPLOYEE N U CE — 4133 EMPLOYEE PENSIONS 4133 _ TOTAL HOURS a 222 P A R TA U L E 25. 4 4210 NON OFFICE SUPPLIES 19, 42TO- WM 79FEWS- 4216 CHEMICALS _ _ 42 17 CLOTHINGNA LLOW NCB 0 REPAIR tti M NT UPPLIES-GENER _ 0 M.42 1 REPAIR b MAINT SUPPLIES-E UIP 4221 42221 REP 8 MAINT SUPPLIES-OTHER IMP EP & MAINT SUPPLIES_-BUILDINGS 4230 SMALL TOOLS 4 0 �► 4300 PROFESSIONAL SERVICES 4300 T N 167. 54. 50. 50. 55. 55. : W = 43 0 DER S NG _ 33 W ° 43 0 PRINTING & COPYING 126. 82. 100. 90. 108. 4340 108. ! 3 0 NSURANNCE 3 a 4360 UTILITIES _ 4 60 _ F 4370 REPAIR b MAINTENANCE-GENERAL 4370 _ c 3 REP NTEN NCE-EQUIPMENT 43 3 2 REP 6 M NT- THE�RROVEMENT 4373 REP 6 MINT-BUILDINGS GROUNDS 373 o d REP NT- E L COATING `TFCONTRACTUAL 4380 380 RENT L 4 0 DUES b UBSCR PT�NS I 03 E , C N EREN ES,9CH LS 40. 60. 75. 75. 8 3 5 4404 LAUNDRY 4404 ! OTHER EXPENSES -SUB TOTAL 450 LAND 510 BUILDINGS ANO STRUCTURES _ _ 4510 i c 4520 FURNITURE AND FIXTURES 5 0 5 0 MACHINNY & AUTO EQUIPMENT 30 '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL Program Group Total $ 1,525. $ 1,010. $ 1,475. $ 1,270. $ 1,496. $ 1 496. , RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 I PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource' Page A 5 Minnesota Allocation Plan DEPARTMENT to" CODE I Pw A'FVND GENERAL O1[ LEGISLATIVE 01 PLANNING COMM. 02 ENVIRON. QUALITY 009 _ ACTUAL UL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. . NO 1 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGUL R EMPLOYEES 461. 639. 600. 657. 677. 4100 $ 677. HOURS REGULAR EMPLOYEES 88 _ 113 rin 2 11.3 H 4T10 S RIES OT REGULAR E PLUYEES 271. 47_ 85. HOURS OT REGULAR EMPLOYEES _ ?5 5 4120 SALARIES TEMPORARY EMPLOYEES _416. 444. 500. 500 4120' 500 W HOURS EMP RY EMPLOYEES w 30 SALARIES T TEMPORARY EMPL YEE Tm J HOURS OT TEMPORARY EMPLOYEE z 4131 EMPLOYEES LE VE 72. 99. _j 0O. 104. 125. VW 125. 0 4W EMPLOYEE NSU CE 42. 43. 40. 45.- 37. 2 __a7._ 12 4133 EMPLOYEE PENSIONS 4133 TOTAL HOURS Z.4$ 38 P A R TOTAL, 4200 0 U L E 4. 50. 50. 55. 4200 55. ! 4210 NON OFFICE SUPPLIES 37. 2. 50. 50. 55. 0 55. ' _(Nb=9__ 4216 CHEMICALS _ _ .4 4 17 CLOTH IN ALLOWANCE _ J 0 EP R 6 M�UPPL�ENER L _ 42211 REPAIR & MAINT SUPPLIES-EQUIP 4221 42221 REP & MAINT SUPPLIES-OTHER IMP _ 2 3 REP & MAINT SULLIES_-BUILDINGS _ 4230 SMALL TOOLS 42301 W 4300 PROFESSIONAL SERVICES 4300 z ' N --- 1 W ADVERTISING _ _ 330 x " 4-3-4-0 PRINTING & COPYING 4340 m = 3 0 NUR N�K CE _ 3 rc t 4360 UTILITIES 4360 _ = 4370 REPAIR & MAINTENANCE-GENERAL 4370 _ c 43 711 REPAIR & MAINTENANCE-EQUIPMENT 43 3721 REP && MAINT-OTHER IMPROVEMENTS 3721 4373 REP & INT-BUILDINGS GROUNDS 4373 o 4374 RE NT-SE L COATING OTHER CONTRACT L i 4 4380 RENTAL 4380 i 01 DUES & SUBSCRIPTIONS 25. 25. 25. 25. 03 EL N ERENCE SCHOOLS 130. 60. 60. 60. 60. 5 4404 LAUNDRY 4404 TH R PME -SUB TOTAL 4500 L ND _ _ 4510 BUILDINGS AND STRUCTURES __ 5 - Q) 4520 FURNITURE AND FIXTURES 45 0 j 4530 MACHINERY & AUTO EQUIPMENT 5 j '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL Program Group Total $ 1,473. $ 1,681. $ 1,835. $ 1,536. $ 1,807. $ 1,807. , )RIO-ACCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 i r PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource' Page A 6 Minnesota Allocation . Plan ►uND CODE of MINT COK I OWH" coo[I PRO AM GROUP COOK GENERAL 01 LEGISLATIVE 01 PLANNING COMM. 02 NU1 N RESOURCES 010 ACTUAL UL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGUL R EMPLOYEES 332. 588. 650. 806. 854. 4100 854. HOURS REGULAR EMPLOYEES _� Ana 5� 142 TM V) 4-f'(0 S L RIES OT REGUUL EMPLOY-EES _30. 2. �_ HOU OT REGULAR EMPLOYEES _ 0 0 0 0 0 4120 S L RIES TEMPORARY EMPLOYEES 523. 341. 500. 319. 500. 0 500. W HOURS TEMPORARY EMPLOYEES H 41 0 L RIES T TEMPORARY EMPL YEE _ HOURS OT TEMPOR�EMPLOYEES z 3 EMPLOYEES EVE __ 52. 91. c EMPLOYEE NSUWKf 30 - _4.6. 9 4133 LOYEE PENSIONS 46 4133 TOTAL HOURS 2 67 P A A TOTAL 3. 20010 F1 P E __ 19. 27. 50. 50. 0 50. 4210 NON OFFICE SUPPLIES 18. 0 �ZS- 4216 CHEMICALS __ 4M 4217 CLOTHIN ALLOW NCB __ 2 0 REP R 6 M NT SUPPLIES-GENER L _ 3 4221 REPAIR & MAINT SUPPLIES-E UIP 42 1 _ 4222 REP & MA NT SUPPLIES-OTHER IMP __ 42Y2 23 REP �fl INT SUPFLIES_-BUILDINGS _ MY 4230 SMALL TOOLS _ 4 0 N 4300 PROFESSIONAL SERVICES 4300 W N T N _____ 39. 95. 75. 100. 100. 00. _ + 330 D ER7 S N6 _ P4370 W = IL " 43 0 PRINTING & COPYING 10 W 3 0 INSURANCE o 4360 UTILITIES _ _ F 4370 REPAIR & MAINTENANCE-GENERAL _ _ o a 4�1 REP A MA INTEN�NCE-EQUIPMENT 37 W_3 T2_ REP & INT-OTHER IMPROVEMENTS 372 4373 REP 3 MAINT-BUILDINGS GROUNDS 4373 REP & MAINT-SEAL COATING H :ONTRACTUAL SERVICES 15. 11 4380 RENTAL 60, 4380 WO-1 DUES & SUBSCRTPTI N S 97. 7, 508 = 03 _T RAN EL, N ERENCESCHOOL 60. 63. 65.1 65. 65. 3 65. 6 4404 LAUNDRY 4404 T R PENSE -SUB I TOTAL 39 T 3-65, $ 440.1 S 382. $ 465. 465. 4500 L ND _ _ - 4510 BUILDINGS AND STRUCTURES _ _ 5 0 _ c 4520 FURNITURE AND FIXTURES __ _ 5 O � 4530 CHINERY & AUTO EQUIPMENT 53 '0 4540 OTHER IMPROVEMENTS 540 CAPITAL OUTLAY -SUB TOTAL Program Group Total $ 1,403. $ 1,499. $ 1,830. $ 1,785. $ 2,130. $ 2,130. RIO CCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource' Page B 1 Minnesota Allocation Plan FUND C00[ O[P MENT CODE III SION CO GENERAL 011 LEGISLATIVE 01 1 OTHER COMMISSIONS 03 POLICE COMM. 012 _ ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE *EST REQUEST ACCT BUDGET SEC. 1976 1977 1979 NO 1979 4 SAL R ES REGULAR EMPLOYEES 34 . 5 . 4100 HOURS REGULAR EMPLOYEES _4 '10 LARI ES OT REGULAR EMPLOYEES �. HOURS OT REGULAR EMPLOYEES __4120 S L RIES TEMPORARY EMPLOYEES 10 . 200.AILO 200 w HPURS TEMPORARY EMPL YEES _ 0 29 79 99 50 I 4130 SALARIES OT TEMPORARY EMPLOYEE ,, HOURS OT TEMPOR7RY EMPLOYEE = 3 EMPLOYEES LEAVE 53. 80. 100. 100, 139, 4131 139 0 4133 EM PL N U NCE __ 23 -Al. 12 EMPLOYEE PENSIONS 9 4133 94 TOTAL HOURS 8 P A R TOTAL S 490, E UP L E 687. 15. 15- 100.14200 100 421-0 NON OFFICE SUPPLIES 10. 4210 4216 CHEMICALS _ _ 4216 4217 CLOTHIN AL�W NCB 0 EP R MSUPPLIES­-­GENER L _ 0 3 42211 REPAIR A MAINT SUPPLIES-EQUIP 4221 42221 REP A MAINT SUPPLIES-OTHER IMP 4 223 REP A MAINT SUPPLIES_-BUILDINGS _ 4230 SMALL TOOLS 4 230 W 4300 PROFESSIONAL SERVICES 1,028. 2,959. 1,350. 1,350. 1,485. 4300 1.485.1 y 47316 COMMUNICATION 305. 5 544. W = 4330 D ERTIS NNG 450, 450, 330 43 0 PRINTING A COPYING 10, 10, 4340 = 3501INSURANCE o 4360 UTILITIES i 4370 REPAIR A MAINTENANCE-GENERAL 4370 _ c 371 REPAIR & MAINTENANCE—EQUIPMENT 437 C 4372 REP A M INT- THER IMPROVEMENTS 3 t 4373 REP ABM INT-BUILDINGS GROUNDS 4373 437T REP MAINT-SEAL COATING OTHER C L R s 4380 RENTAL 38, 4380 ;< 4401 DUES A SUBSCRIPTION�— 03 V EL,-C-(TN-F E R E N C E S CN00LS 3 6 4404 LAUNDRY 4404 OTHER EXPENSES -SUB TOTAL, O $ 4,517.1 2,73 9 4500 LAND 4510 BUILDINGS AND STRUCTURES 5 0 _ i a 4520 FURNITURE AND FIXTURES __ 5 0 4530 MACHINERY A AUTO EQUIPMENT 4530 o' 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL Program Group Total $ 1,521.1$ 5,349. $ 3,329. $ 3,329. $ 3,963. $ 3,963 RIO CCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 PROGRAM BUDGET 1979 a City of Fridley, Program Detail Resource Page_ Minnesota Allocation Plan FUND COOS TWENT CODE ' CODE GROUP C Owl) GENERAL 01 LEGISLATIVE Ol OTHER COMMISSIONS 03 1 CATV COMM. 015 ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET S 1976 1977 1978 1978 1979 NO 1979 4_ S L R ES REGULAR EMPLOYEES 0. ,6 9. ,125 2,000. 2,550. 4100 HOURS REGULAR EMPLOYEES _ 2,11 _spa 83 266 266 N 43f0 LAS OT REGULAR EMPLOYEES 404. 450_ 600. 690. 731. 73i- 0 HOURS OT REGULAR EMPLOYEES _ 61 61 > 4120 SALARIES TEMPORARY EMPLOYEES _ 374. 273. 387. 149. 385. 4 O 385. H - H URS TEMPORARY EMPL YEES 6 96 I 41 0 -SALARIES OT TEMPORARY EMPLOYEES 4130 .j H-OURS OT TEMPOR RY EMPL YEES 't Tff EMPLOYEES LEAVE 287. 25 472• 0 L EE INSURANCE 90 13$ 4133 EMPLOYEE PENSIONS 1 3 TOTAL HOURS 9 423 P A R ToTAL $ 3,298. 2 4 5 9 4200 OFFICE UP L E 112. 35. 100. 75. 110. 4200' 42 0 NON OFFICE SUPPLIES O 111 FUELS 1Wff_rW5,_ 4211 42161 CHEMICALS_ _ _ 4 4 171 CLOTHIN LLO NCE 2 4 O REP R 6 MINT SUPPLIES-GENER L_ _ 0 & 42211 REPAIR & MAINT SUPPLIES-E UIP 4221 _ 42221 REP & MAINT SUPPLIES-OTHER IMP 4 22 231 REP & MAINT-SUPPLIES-BUILDINGS __ 3 42- 30ISMALL TOOLS 4 0 W 4300 PROFESSIONAL SERVICES 1,218. 1,039. 1.250. 1.25D.E71.2fi. 4300 11000. N T N 41. 55. 100. 60. 110. 4310 110. m Cl. 4 0 DER S NG 152. 33 200. W ° 43 0 PRINTING & COPYING 438 4340 ail 0 NSUR N�1C CE - 50 0 4360 UTILITIES _ 4360 _ = 4370 REPAIR & MAINTENANCE-GENERAL _ 4370 _ c 3711 REPAIR A MAINTENANCE-EQUIPMENT 437 3721 REP & INT- THER IMPROVEMENTS _ 4373 REP & MINT-BUILDINGS GROUNDS 4373 REPS-SSE L COATING OTHER 0 4W CUL SERVICES 2 4380 RENTAL 4380 4401 DUES 6 B TIONS 50. 50. 50. 55. 4401 50, R•V� CONFERENCES SCHOOLS 215. 672. 750 750. 800. 4403 80 4404 LAUNDRY 4404 OTHER EXPENSES -SUB TOTAL, 9 $ 2,097. 2 750.TT,630. 4,875. 6 r451 LAND _ _ - BUILDINGS AND STRUCTURES 510 e FURNITURE AND FIXTURES 48. __ 10 000. 45 0 t r''- CHINERY & AUTO E UIPMENT 530 I 0 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL 48. lO OOO. • Program Group Total 1$ 5,641 $ 5,041.1 $ 6,801. $ 6,283.1 $19,470. $ 7,355 )RIO-ACCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 PROGRAM BUDGET 1979 r City of Fridley, Program Detail Resource' Page B 3 /'1 Minnesota Allocation , Plan /UNO COOS WENT Co 1 co CODE GENERAL 01 LEGISLATION 01 OTHER COMMI ACTUAL U L DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET C. 1976 1977 1978 1978 1979 NO 1979 4 SA_L R ES REGUL R EMPLOYEES 3 966. 900. 1,024. 4100 1,024. HOURS REGULAR EMPLOYEES 7 71 in 41Y0 SALARIES OT REGULAR EMPLOY ff 250. _179. 00. 200. W HOURS OT REGULAR EMPLOYEES _ 0 16 n 4 0 4120 S L RIES TEMPORARY EMPLOYEES W HOUR TEMPORARY EMPLOYEES R7 r y 130 SALARIES OT TEMPORARY EMPLOYEE 1 ., HOURS OT TEMPO�R R-V EMPLOYEE EM PLTEES LEAVE 78. 58. 100. 167. 189. 41 3 189. L E INSURANCE 28. 21. _ 31. 49. 5 _ 55. 4133 EMPLOYEE PENS ONS 63. 47. 136. 113. 128. 4133 128. TOTAL HOURS P A R - TOTAL �^ 608• . UP L E 15. 15 16. 4m 0 4210 NON OFFICE SUPPLIES MT =W_mg 0_6 CHEMICALS _ 42 6 J 42 71 CLOTHIN LANCE __ 4217. 4 2201REPAIR 6 M NT SUPPLIE -GENER L _ 0 3 42211 REPAIR A MAINT SUPPLIES-E UIP 4221 42 221 REP A MAINT SUPPLIES-OTHER IMP 2 2231 REP 6 MAINT SUPT�LIES_-BUILDINGS _ 4230 SMALL TOOLS 4 0 y 4300 PROFESSIONAL SERVICES 250. 3A0. 400. 400. 440. 4300 40. m 0 kTION 0 1. 122. 2 W = 4330 D ERT S NG _ 50, 50. 50. 330 50 x ° 43 0 PRINTING A COPYING 98, 70, 150. 100. 190. 4340 100 W 3 INSURANCE G 0 4360 UTILITIES _ 360 _ i 4370 REPAIR A MAINTENANCE-GENERAL 4370 _ c 37 T REPAIR MAINTENANCE-EQUIPMENT 437 437T REP A M NT- THER IMPROVEMENTS 4372 t 4373 REP NT-BUILDINGS GROUNDS 373 374 REP & MAINT-SEAL COATING E L E :` 440 DUES & UBSCRTPTIONS- R444 Tjf0_3 fT2AVEL, ONPERENCE5,SCHOOL 1. 5 4404 LAUNDRY OTHER EXPENSES -SUB T TA 500 LAND _ 5 - 4510 BUILDINGS AND STRUCTURES _ _ 0 i a 4520 FURNITURE AND FIXTURES 4520 ;j 4530 CHINERYO EQUIPMENT T5 30 '0 4540 OTHER IMPROVEMENTS - 4540 CAPITAL OUTLAY -SUB TOTAL Program Group Total $ 1.347. $ 1,233.1 $ 2,148. $ 2,105. $ 2,336 $ 2,336 " )RIO-ACCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 i PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource' Page Minnesota Allocation . /-1 Plan GROUP coot FUND CODE DE NE T DIVISION CITY MANAGER 05� MANAGEMENT 018 GENERAL 01 GENERAL MGMT. 02 ACTUAL UL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. - 1976 1977 1978 1978 1979 NO 1979 4 SALARIES REGUL R EMPLOYEES 54 406. 4100 HOURS REGULAR EMPLOYEES J.,841- -7,367 a 4Tf0 SLR ES OT REGUL EMPL YEES 24. _ 15. w HOURS OT REGUL R EMPLOYEES _ 4 2 4120 S L RIES TEMPORARY EMPLOYEES _ 707. 540. 2,211 . 1 000. 7 344. 4 0 6,209. w HOURS 72 124 767 39 1 ,836 1 553 W _ -4-T3-6 SALARIES OT TEMPORARY EMPL YEE r 5. a' HOURS OT TEMPORNRY EMPL EE 1 Z M L EE VE _ 8,451. 8 059. 10 L003. 11 595. 10,366. 10,447. 0 TM EMPLOYEE INS CE * 2,322. 2,896, 3.385. 4.026. 4133 4.085. 12 4133 EMPLOYEE PENSIONS 6,828. 6,566, TOTAL HOURS 7.979 493 4 P A R - TOTAL 2 3 7 4. U L E 30. 2,173 42 0 NON LS OFFICE TWUW9__ - O 4216 CHEMICALS __ _ 6 4 17 CLOTHIN LLOWANCE __ 50. 187. 150. 1 4 0 E�6 NT SUPPLIES-GENE L 924. 924. 4220 700. 3 4221 REPAIR b MAINT SUPPLIES-E[ES-EQUIP 4222 REP 8 M NT SUPPL ES-OTHER IMP __ 22 3 ?EP & NT SUPPLIES_-BUILDINGS __ 3 4230 SMALL T LS 42301 W 4300 PROFESSIONAL SERVICES 800. 2,339. 3,000. 3,000, 0 000 4300 4,065- 43101 3,590, N N __ _ 2.455. 2,632. 5 W = 4330 D ERT S NG -176 ] 3301 1.100 'XL " _4_3T0_ RINTING b COPYING 2Q 50 W 4-3-9-0--INSURANCE 4360 _ 4360 UTILITIES - 4370 4370 REPAIR & MAINTENANCE-GENERAL -19• - c < 43 REP INTEN7�NCE-EQUIPMENT 107. 133. 60. 60. 70. 4371 2 70. 43 REP NT- THER IMPROVEMENTS 4373 4 4373 REP & MINT-BUILDINGS GROUNDS o W EP NT- E L C ING L 36. 46. 1,100. a 4380 TENT AL 26 4380 4401 DUES b SUBSCRIPTIONS 709. �60$, 87 8 3 2,892 03 AVE L, C fERCES3_SCH 0 S 053 S 4404 LAUNDRY 4404 OTHER P N Es -s e T TA 0 739. 4 758. 19 281. 17 376. 48 2 3 $20.085:, 4500 LAND - - 510 _ - 4510 BUILDINGS AND STRUCTURES __ - -- 520 i < 4520 FURNITURE AND FIXTURES 219• 2651• 2 1 4 530 IS -j 4530 MACHINNY & AUTO EQUIPMENT 4540 '0 4540 OTHER IMPROVEMENTS CAPITAL OUTLAY -SUB TOTAL t 21 Program Group Total $83,701. 87,475.1$96,294. $105,192. 134,907. 105,159. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 * includes Unemployment Comp. Account # 4134 PROGRAM BUDGET 1979 i Program Detail Resource' Page City of Fridley, Allocation Minnesota . Plan FUND CODE DEIRAWIWNT COD 9 ION CODE pw CODE GENERAL 01 GENERAL MGMT. 02 CITY MANAGER 05 1 PUBLIC INFO. 019 ACTUAL UL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET C. NO 1976 1977 1978 1978 1 1979 NO 1979 4W SALARIES REGUL R EMPLOYEES $11,536. 7,469. 7.499. 7,499. ' 7,949. 4100 7,949. HOURS REGULAR EMPLOYEES 21068 _1,335 1,057 1,093 1,039 1,039 4- f0 SALARIES OT REGULAP EMPLOYEES 502. _ 750. 750. 750. HOURS OT REGUL R EMPLOYEES _ 46 35 92 92 -4-I TO- SALARIES TEMPORARY EMPLOYEES _.167. 98. 219. 219. 4 0 813. N H UR EM Y EMPLOYEES 49 29 76 55 203 4 30 SALARIES OT TEMP RARY EMPLOYEES 4130. i HOURS OT TERROR. RY EMPLOYEE = 4M EMPLOYEES V __ 1,788. 1,159. 1125. 1,162. 1,232. 1.23 27 O .RPEffEE- INSURANCE 563. 402.--- 75. 405. 429, 429. 12 4133 LOYEE PENSIONS 133 088. TOTAL HOURS 2 1,334 P A a - T T 63. 10 4 9 2. 0 667. 2 U L E ___ 174. 1 804. 300. 275. 300. 300. 4210 NON OFFICE SUPPLIES 1,501. 408. 900. 1,000. 1.472. 0 900. 50. 30 100. 100. 100. 4211 100. 42161 CHEMICALS_ _ _ 42 42 171 CLOTHIN L NCB 42201REPAIR b MAINT_SUPPLIES-GENERAL 42211 REPAIR & MAINT SUPPLIES-EQUIP 187. 847. 800. 700. 800. 4221 800. w 42-221 REP & MAINT SUPPLIES-OTHER IMP 4 E & NT SU LIES-BUILDINGS __ 4230 SMALL TOOLS 4 O i 4300 PROFESSIONAL SERVICES 4300 m N T N __ 2.669. 2,206. 3,800. 3 500. 3 800. _J,800 y w W = 433 D ERT SING _ 62 30 j x " 4340 PRINTING & COPYING t43700 W = 3 0 N U NCE 12. o: fs 4360 UTILITIES = 4370 REPAIR & MAINTENANCE-GENERAL 43 REP NTEN NCE-EQUIPMENT 494. 1 442. 1 370. 1 300. 1 300. 1 300.3 EP & MAIM-�ER IMPROVEMENTS 4373 REP &�f NG GROU INT-BUILDIS NDS 49. 4373 `: mod N - SEAL COATING 0 700.4375 4375 H C L 4380 RENT L 4380 : 4 0 DUES & SUBStROTIONS _ 5• 03 TRAVEL, CONFERE CHOOL6 75. 75. 175. 4ff 4404 LAUNDRY 4404 OTHER EXPENSES -SUB TOTAL, 87 313.577. 119,062. 116,190 4500 LAND _-45-7T_-0 BUILDINGS AND STRUCTURES __ _ _ 5 e 4520 FURNITURE AND FIXTURES 9,600. 45 0 =000-. F 4530 CHINERY & AUTO E UIPMENT 5 '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL 0 O O Program Group Total 1$27,933. $23,651.1$29,202. $28,572. $39,729. $30,451 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource Page Minnesota Allocation . Plan , FWD coos KIM THINT CODE D"I CO Wow coo GENERAL 01 GENERAL MGMT. 02 CITY MANAGER 05 PURCHASING 020 ACTUAL ACTUAL SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ES1IMAATE REQ�UESST ANOCT BUDGET SEC. 1976 9 4 SALARIES REGUL R EMPLOYEES $._ 1,82 1 086. 665. 1 200. 1,272. 4100 , HOURS REGULAR EMPLOYEES 232 147 236 49- 167 167 y ff L R ES OT REGUL EMPLOYEES r_70. 50. 50. 53. 53. u HOU S OT REGUL R EMPLOYEES 6 2 120 L RIES TEMPORARY EMPLOYEES �49. 252. 70. 332. 567 4120 567. y HOURS EMP Y EMP YEES 11 84 24 63 142 T43 I 4T3-6 L RIES OT TEMPORARY EMPLOYEE HOURS OT TEMPORARY EMPL EE 235. 7T�T M L E1TE�VE- 281, 168 0 L E N U CE 9 4133 EMPLOYEE PENSIONS 4133 TOTAL HOURS 211 262 115 P A A — T TA 4200 OFFI U L E 773. 200, 2 0. 2 . 210. 4210 NON OFFICE SUPPLIES UP 4 100. 1 0 100. TZTT 4216 CHEMICALS _ _ 2 4 1 CLOTH N AL-L NWA CE— _ 50 75 42201 2 0 EPATV3 NT SUPPLIES-GENERAL 4221 J S 4221 REPAIR b MAINT SUPPLIES-E UIP -4T2-2 REP d NT SUPPLIES-OTHER IMP 22 3 EP NT SUPPLIES_-BUILDINGS _— 4 0 4230 SMALL TOOLS 4300 4300 PROFESSIONAL SERVICES a T _ 12. 72. 2 0• = 30 DER S NG 1 330 x " 43 0 PRINTING 6 COPYING 4340 W = W-390- NSU NCE 3 4360 UTILITIES _ — 360 _ 4370 REPAIR 6 MAINTENANCE-GENERAL 4370 _ < 3 REP MAINTENANCE-E-QUIPMENT 37 o L 3 REP & M NT- THER IMPROVEMENT 4373 REPAINT-BUILDINGS GROUNDS RE N - E L TING ATHER CONTRA L 380 RENTAL O1 DUE b UBSCRTPTI NS _2, _1 .03 E , N ER NCES`CH L 4404 LAUNDRY OTHER EXPENSES -SUB TOTAL LAND — _ 50 45 0 BUILDINGS ND STRUCTURES i i 4520 FURNITURE AND FIXTURES — 2 800 800 4520 -j 4530 CHINERY & AUTO E UIPMENT 530 c 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL O 27• 800 $00 Program Group Total $ 3,753.$ 2,292.$ 4,174 $ 3,7141$ 3,348 $ 3,340. RIO CCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 i i PROGRAM BUDGET 1979 City a of sota Fridley, Program Detail Allocation Page - Minnesota Plan •. noD COD[ O[ M CO CODE WOUP COVE GENERAL 01 GENERAL 14GMT. 02 PERSONNEL 06 IrKPOEIR"'SONNEL PRACTICES 022 - ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET -SEC NO 1 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGUL R EMPLOYEES 4.654. 6,407. 8 101. 10 151. 8,911. 4100 $8,911.1 H URS REGULAR EMPLOYEES 736 838 825 725 1.040 1,040 y 4T'10 L ARIES OT REGULAR MPLOYEES _ HOU SOT REGULAR EMPLOYEES > 4120 RIES TEMPORARY EMPLOYEES 22 0 H HOURS TEMP Y EMPLOYEES 4130 SALARIES OT TEMPORARY EMP1'0_fE__U_ 4130 HOURS OT TEMPO RY EMPLOYEE EMPLOYEES LEV 72 1.547, 1.57 5 1,649 TM 1 649. It 0 4M EMPLOYEE N U CE 35 481 481. 12 4133 EMPLOYEE PENSIONS 4133 114. TOTAL HOURS O4O P "AL R - TA 6 75, 9 2 E UE 29 117 200 200 210 2 42 0 NON OFFICE SUPPLIES 42. 2101 111 FUELS AWffTW5-- 42111 — 161 CHEMICALS _ 42161 4-171 CLOTHIN ALLOW NCB 2171 42ZOIREPAIR b N UPPLI ES-GENERAL' — 3 42211 REPAIR 6 MAINT SUPPLIES-EQUIP 4221 42-221 REP 8 M INT SUPPLIES-OTHER IMP 2221 EP NT SUPPLIES_-BUILDINGS __ 4230 SMALL TOOLS 4230 W 4300 PROFESSIONAL SERVICES — 1 500 1 .500 1,650 4300 1,65 N 24 00 50 55 55. s r 330 DER S NG _— 0 33Q 110. W = W ° T4-3--40--- PRINTING 8 COPYING 4340 3 0 NSUR�- 360 _ D: 4360 UTILITIES — 4370 _ i 4370 REPAIR A MAINTENANCE-GENERAL 437 o < 4E71 REPAIR INTEN NCE-EQUIPMENT -43-7-2 REP 6 NT- THE�ROVEMENTS 3 4373 REP b INT-BUILDINGS GROUNDS 4373 : � EP NT- E L COATING OTHER ou 4M L SERVICES 100. 4380 WENT AL J44 -44F1 DUFS & UBSCRTPTION 5. 122 0 COMER NCES�CH L 35. 36 5 4404 LAUNDRY OTHER EXPENSES - B T TA 606. 3 75.g 00 L NO — 4510 BUILDINGS AND STRUCTURES a 4520 FURNITURE AND FIXTURES 125.-j 4530 CHINERY 6 AUTO E UIPMEN4540 OTHER IMPROVEMENTS CAPITAL OUTLAY -SUB TOTAL O O Program Group Total $ 6,523. $ 9,105. $14,379. $16,713..$16,019. 15,419. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 I i e PROGRAM BUDGET 1979 City of Fridley, Resource' Page Minnesota Program Detail Allocation . Plan i WHO CODE OE MENT CODE I Of ION CODE CODD - GENERAL 01 GENERAL MGMI 02 PERSONNEL 06 1 LABOR RELATIONS 023 — ACTUAL UL SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC, 1976 1977 1978 1978 1979 NO 1979 4 S L R ES REGULAR EMPLOYEES 4100 H URS REGULAR EMPLOYEES 184 373 ill 453 4S.1 _ H 4710 SALARIES OT REGULAR EMPLOYEES _ HOURS OT REGUL R EMPLOYEE _ 7 > 41 0 SALARIES TEMPORARY EMPLOYEES 0 HOURS TEMPORARY EMPLOYEES 4130 SALARIES OT TEMPORARY EMPLOYEES HOU S T TEMPORARY EMPLOYEES _ 4M EMPLOYEES — —_ 312.. 366. 66 2 19. 0 TM L E N U NCE 83. X10• 4133 LOYEE PENSIONS 252 4133 TOTAL HOURS P A A — T T AL U L ES 50. 50. 51. 42 1 51. 210 NON OFFICE SUPPLIES 12. 30. 30, 33. 33. MT 42-161 CHEMICALS_ _ _ 4 4 17 CLOTHIN LLOW NCB 0 EP R b NT SUPPL ES-GENE L — 4220 3 4221 REPAIR b MAINT SUPPLIES-EQUIP 4221 422-2 REP b M NT SUPPLIES-OTHER IMP ___ 2 3 EP b NT SUPSLIES-BUI�NGS 4230 S LL T LS 4 0 a 4300 PROFESSIONAL SERVICES _ 4300 2,600. m N T N z ~ ` W = 4330 ADVERTISING 330 W ° 43 0 PRINTING b COPYING 50. 50. 55. 4340 55. 4190- INSURANCE o 4360 UTILITIES 4360 _ 4370 REPAIR b MAINTENANCE-GENERAL 4370 _ c 43 REPAIR INTEN NCE-EgUIPMENT 43 3 2 REP b NT�HE�MPROVEMENTS 4372 - 43-3 REP ABM LINT-BUILDINGS GROUNDS 4373 `: �37� EP NT- E L TING w U79' OTHER CONTRACTUAL 49. e 4380 -RENTAL 4380 4401 DUE b SUBSCRIPTIONS 2,250, 44 03 EL, C ERENCES, SCH i 4404 LAUNDRY ;-4-5-W 04 OTHER EXPENSES —S TOTAL Z 370. 9 20 00 L NO _ - 4510 BUILDINGS AND STRUCTURES i a 4520 FURNITURE AND FIXTURES 0 -j 4530 MACHINERY b AUTO EQUIPMENT 53 c 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL 0 j• Program Group Total,$ 5,035. $ 3,515. $ 5,191. $ 4,449. $ 5,521. $8,121. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource• Page Minnesota Allocation . /-� Plan O9 PRO COOK Mmo coos oc we coot avuI co GENERAL O1 GENERAL MGMT. 02 PERSONNEL 06 IPREOMPLOYEE SAFETY 024 - ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4 S L R ES REGULAR EMPLOYEES 28. ,920. 1 000. 1 060. 4100 1,060. HOURS REGULAR EMPLOYEES _ 6 196 21 124 124 ff6 SALARIB OT REGULAR EMPL YEES -1� HOURS OT REGULAR EMPLOYEES _ a 41 0 L RIES TEMPOR RY EMPLOYEES 4 0 H HOURS TEMPORARY EMPLOYEES i 4130 SALARIES OT TEMPORARY EMPLOYEES HOURS OT TEMPOWR-Y EMPLOYEE = M L EE __ 332. 82. 300. 185. 196. 196. 0 4W EMPLOYEE N CE _ 104. 25. 100. 54. _5 57, K 4-T-33 LOYEE PENSIONS 290. 66. 260. 125. 33, 4133 133. TOTAL HOURS 349 64 196 121. P A A T TA O1. 2 58 46 U L E _ 50. 50. 53. TO 53. 4210 NON OFFICE SUPPLIES 72. 70. 70. 76. 0 76. 2111 FUELS-AND-E 13t 5-- TM 42161 CHEMICALS _ _ 42 4 171 CLOTHIN LANCE _ 21 4 2201REPAIR 6 MAINNT SUPPLIES-GENER L _ 0 3 4221 REPAIR & MAINT SUPPLIES-EQUIP 4221 4 2221 REP & MAINT SUPPLIES-OTHER IMP 4 2 2231 REP b NT SUPGL EES_-BUILDINGS _ 4-2301SMALL TOOLS 4230 W_ 001PROFESSIONAL SERVICES 4300 3101COMMUNICATION Z 3301ADVERTIS N6 4330 x ` 4 3401PRINTING & COPYING 48. 14. 50. 50, 54. 4340 W 9 3501INSURANCE 4350 it 4360 UTILITIES _ 4W- w _ i 4370 REPAIR & MAINTENANCE-GENERAL _ 4370 _ I.. 3711 REPAIR & MAINTENANCE-EQUIPMENT 37 3721 REP & M NT- IMPROVEMENTS 4372, 4373 REP d.-MAINT-BUILDINGS GROUNDS 4373 4374 EP & MAINT-7EAL COATING OTHER C L SERVICES 4375 = 4380 RENTAL F4404 0 O1 DUE & SUBSCRUPTI N 63. 63. 100. 00 05 0 C�V11`ERENCESCHOOL 6. 50 3 It 4404 LAUNDRY OTHER EXPENSES_-SUB T TA 343. 343. 4500 L ND _ - 4510 BUILDINGS AND STRUCTURES _ _ 45 4520 FURNITURE AND FIXTURES 4520 'j 530 CHINERY 6 AUTO EQUIPMENT _ 530 c 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL O 0 Program Group Total $ 3,159. $ 784. ,$ 2,900. $ 1,684. $ 1,789. $ 1,789. RIO CCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 n r PROGRAM BUDGET 1979 \ City of Fridley, Program Detail Resource, Page Minnesota Allocation . • Plan fUNO CODE ME CO DIVIfI C GENERAL 01 GENERAL MGMT. 02 LEGAL SERVICES 08 GEN. LEGAL SERVICES 028 AL I UAL JACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4100 SA L R ES REGULAR EMPLOYEES t IS 145. 1 S 4100 HOURS REGULAR EMPLOYEES 18 4310 SALARIES OT— REEULl1if-EMPLOYEES HOURS OT REGUL R EMPLOYEES _ 4-1-FO SALARIES TEMPORARY EMPLOYEES 67. 2 600. 2 600. 2 756. 14120 2.756. H HOURS TEMPORARY EMPL YEES 8 36 518 I 30 SALARIES TEMPORARY EMPLOYEES J HOURS T TEMPOOR RY EMPLO EE _ ff EMPLOYEES __ 22 0 4M L E N'URA 9. 60. 50. 60. TM 7 4-1-3-5 E14PLOYEE PENSIONS 18. 4133 TOTAL HOURS 46 520 36 518 P A R TA U L E 50. 120. 120. 126. 100. 4210 NON OFFICE SUPPLIES MT -AN6TQBt'S� 4216 CHEMICALS_ 4 7 CLOTHIN LA LAW NCB _ 2201REPAIR i M NT UPPL ES-GENE L 3 42211 REPAIR & MAINT SUPPLIES-E UIP 221 42221 REP A INT SUPPLIES-OTHER IMP 2 2231 REP 3 MAINT INGS _ TM 4230 S LL T LS 4230 v, 4300 PROFESSIONAL SERVICES 19,799. 20,887. 21.274. 21,274. 23,401 4300 21.400. 3101COMKJNICATION in 0 DER S NG ___ __ 43301 IL ` 43 0 PRINTING & COPYING — 340 1tl = 3 0 N U NBC so W t; 4360 UTILITIES _ 4360 _ = 4310 REPAIR b MAINTENANCE-GENERAL 4370 c < 43 REP MAINTENANCE-EQUIPMENT 43 a 43 2 REP 6 M N - THE-R IMPROVEMENTS i 4373 REP� MAIINT-BUILDINGS GROUNDS 4373 OM EP N -SEAL COATING OTHER CONTR U L SERVICES TM- 1 4380 RENTAL 4380 0 DUES b SUBSCRIPTIONS _ _ Wall 03 TUVE , C N SCH00 LS W5 4404 LAUNDRY 4404 OTHER EXPENSES -SUB T TA 1 9J99,t 20.937.t 21,394S 21.394 52 21,500. 4500 LAND -- 4510 BUILDINGS NOD STRUCTURES i < 4520 FURNITURE AND FIXTURES __ _ 4530 CHINERY & AUUTO E UIPMENT _ 53 '0 4540 OTHER IMPROVEMENTS 4540 0 CAPITAL OUTLAY -SUB TOTAL O O O i Program Group Total $19,799. $21,1981 $24,054 $ 24,044 $ 26,343 24,316. RIO CCT IN SERV DEPT BUDGET ITV NO CAPITAL OUTLAY DETAIL DATE REQ 1979 i PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource' Page n Minnesota Allocation . Plan FWD DIEWTHuff C004 awi a oc I PRO GENERAL 01E GENERAL MGMT. 02 LEGAL SERVICES 08 PROSECUTION 029 ACTUAL UL DEPT SUB ACCT ACCOUNT DESCRIPTION EX�P7GNSE EXP9ENSE BUDGET ESTIMATE REQUU79T ANCOT BU9�9T ' SEC. 4100 4 SALARIES REGUL R EMPLOYEES -- H URS REGULAR EMPLOYEES a 4`ff0 SALARIES OT REGULAR EMPL YEES HOURS OT REGULAR EMPLOYEES _ — 0 4120 S RIES TEMPORARY EMPLOYEES y HOURS TEMPORARY EMPL PEES 1 4 0 SALARIES-OT TEMPORARY EMPLOYEES HOURS OT TEMPORARY EMPLOYEE 1 4W-EMPLOYEES LF TM 0 TM EMPL6YEE INS_UVN_ff___ 133 4133 EWLOYEE PENSIONS TOTAL HOURS P A R — T TA U L _ 210 NON OFFICE SUPPLIES 0 AND LUBES 2111 42161 CHEMICALS 2 6 l 4 1 CLOTHIN L� NCB 2 42201REPAIR INT UPPL ES-GENE L 3 42211 REPAIR b MAINT SUPPLIES-E UIP 4 2 42221 REP b M INT SUPPLIES-OTHER IMP 231 REP b MMAAINT_SUE -LIES_-BUILDING 4230 SMAL—LL TLS 4 0 W 300 PROFESSIONAL SERVICES , , , 4300 H `�JNIC N 431(f _ 0 D E S NG _ 330 3 X 0 PRINTING b COPYING 3 0 0 NSU NCE s 4360 UTILITIES 360 _ = 4370 REPAIR b MAINTENANCE-GENERAL r4373 —f- 373 c REP NTENILNCE-EgUIPMENT N - THER MPROVEMENTS REP 6 hICINT-BUILDINGS GROUNDS EP N -EAE L COATING W OTHER L 4380 380 _RENTAL 1 DUE3 b UBSCR PTI N _ _ T401- 90-3 TM E , ER NCES, CH 6 4404 LAUNDRY 4404 OTHER EXPENSES — B T TA 00 LAND _ -451-6 - 510 BUILDINGS AND STRUCTURES _ _ _ i < 0 45 FURNITURE AND FIXTURES 5 0 4 F 4530 CHINERY b AUTO EQUIPMENT 53 '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY —SUB TOTAL O O O O O Program Group Total $19,212. $22,979. $26,002. $26,000. $28,602. $28,600. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 i . 1 PROGRAM BUDGET 1979 r City of Fridley, Program Detail Resource• Page Minnesota Allocation . Plan FUND CODE NPARTMENT CODE ION CODE PRO GENERAL 01 FINANCE 03 1 ELECTIONS 10 1 VOTER REGISTRATION 031 ACTUAL ACTUAL SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. - NO 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGUL R EMPL YEES 37. 150. 150. 150. 4100 150. H URS REGULAR EMPLOYEES 11 30 26 26 26 W 4Tf0 SALARIES OT REGULAR EMPLOYEES 40. 48 48. 4110 48. HOURS OT REGULAR EMPLOYEES _ _2 6 4120 SALARIES TEMPORARY EMPLOYEES — 0 W HOURS TEMPORARY EMPLOYEES 4 SALARIES OT TEMPO R EMPLOYEES HOURS OT EMPOOWY EMPLOYEES WM EMPLOYEES V 6. 8. _ -- - . 0 4132 EMPLOYEE 3. 14. 0. 0. K CINON EMPLOYEE PEN U693— 25. 23. 27. 27. -413-3 2T TOTAL Nouns 38 182 36 32 3 P A R TOW 262. 4200 OF, U L 15. 25. 25. 25. OFFICE SUPPLIES 13 25 25. 0 25. :142161 CHEMICALS _ _ 1 496 4217 CLOTHIN NCB 0 REPAIR I RAINT SUPPL ES- -N-E- L _ B 42 1 REPAIR & MAINT SUPPLIES-EQUIP 4221 4222 REP & MAINT SUPPLIES-OTHER IMP Uff 4ff3__FE_P­&_1VT_NT SUPPLIES-BUILDINGS 4230 S LL T LS 4 O W 4300 PROFESSIONAL SERVICES _ 3J 4300 z N -- 2. e 330 ER T S- NG 0 30 x ° 4340 PRINTING 6 COPYING is, 25 25, 4340 W 4350 NSU NCE 49 4356 i 0 4360 UTILITIES _ _ 43 0 4370 REPAIR 6 MAINTENANCE-GENERAL 4370 c : -4-37T REPAIR & MAI NTEN NCE-EQUIPMENT i 43 REP b NT- THERIMPROVEMENTS 4373 REP INT-BUILDINGS GROUNDS 4373 4 E N - EULL COATING 4380 RENT L 2 4380 -4 TOT DUES & UBSCRTPTI-44-03 TRAVIF, C ERENCE SCH L 0 i >; 4404 LAUNDRY 4404 OTHER EXPENSES - B TOTAL 6 65 2 5 4500 LAND _ — 45 0 BUILDINGS AND STRUCTURES _ _ 5 i 45 0 FURNITURE AND FIXTURES —_ 4 0 4530 CRINERY�E UIPMENT 0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL Program Group Total $ 294. $ 6. $ 760 $ 387,$ 387. $ 387. RIO-ACCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 i PROGRAM BUDGET 1979 4 City of Fridley, Program Detail Resource' Page � Minnesota 9 Allocation . Plan CODE rvui CODE TME ROD GENERAL 01E FINANCE Q$ ELECTIONS 10 ELECTIONS 032 - Ato I UAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXP9ENSE BUDGET ESTIMATE REQUEST ANCOT BUDGET 19 SEC. 4100 ' 1979 4 S L R ES REGUL R EMPL YEES 2 664. 1,670. 2,846. 8 HOURS REGULAR EMPLOYEES 502 _ 278 580 374 y 4-f'f0 SALARIES OT REGULAR EMPLOYEES 555. 318. 760. 752 u HOURS OT RESULkR EMPLOYEES _ 45 95 90 94 94 a 4120 SALARIES TEMPORARY EMPLOYEES ,M , 05. 8,360. 81800. 9,328. 0 4,000. a HOURS TEMPORARY EMPL YEES _ 973 2 786 2 933 2 901 1.2 51 1 4-T3-6 SALARIES T TEMPORARY EMPLOYEE9 4130 HOURS T EMPOR�EMPL YEE EMPLOYEES LEAVE __ 413. 259. 522. 523. 96. 0 4M EMPLOYEE N U_lNCE 142. 93. 2 4133 EMPLOYEE PENSIONS 402. 2 33 TOTAL HOURS 644 1,296 3,461 3.31S 169 1.719 P A RVICES-SUB TOTAL LE _ 4210 NON CE �9IES! 6 O VTT 4216 CHEMICALS_ _ 42 IN LLOWA 7 CLOTH NCE 0 REPAIR & M NT SUPPLIES-GENE L �15 _ 150. 50. 50. 0 50. IL 1 2211 REPAIR & MAINT SUPPLIES-EQUIP 11. 15. 50. 4221 50. 4222 REP & M NT SUPPLIES-OTHER IMP 22 3 EP 6 NT SU L ES-BUILDINGS _ TM 14230ISMALL T LS 4 0 4300 PROFESSIONAL SERVICES 137. 135. 400, 4300 400. H ., N 26. 98. 75. 100. 100. Z 0- 4330 E S N _ _ 92. 203. 196. 165. 2 30 /1 W ° 4-3-Co PRINTING & COPYING 133. 201. 482. 75 4340 W3-SO--INSURANCE 101. 286. 339 5 5 0 4360 UTILITIES _ _ 4360 _ 4310 REPAIR & MAINTENANCE-GENERAL 4370 _ c < 437 REP NTEN NCE-EQUIPMENT 50. 50. T3ff 43 2 REP & MAI NT- THER TW OVEMENT WE 4373 REP 61M IHT-BUILDINGS GROUNDS 4373 o T EP N -SEAL COATING OTHER-CONTRACTUAL 475. 450. 4380 RENT L 98. 50 5 4380 4 01 DUES & SUBSCRIPTIONS - 03 VEL, C N ERENCES aiHOOL 3 3 6 4404 LAUNDRY 4404 OTHER EXPENSES -SUB TOTAL' 78 442. 3J35. 5 3 4500 LAND _ 50 4510 BUILDINGS AND STRUCTURES __ _ - i 4520 FURNITURE_ND- FIXTURES 1049. 100. 100. 200. T5-FO 4530 MACHINERY & UT O E UIPMENT _ 53 o' 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL 1.04T 1.04TIT 100. 0 Program Group Total $15,054. $ 8,829. 1$16,739. $17,128. $16,950. $11,282 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 J PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource' Page Minnesota Allocation , Plan n FUND CODE DEPARTMENT-- E► w CODE N C DE GENERAL O1 FINANCE 03 ACCOUNTING 11 ADMIN/FISCAL PLANNING 035 - ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4 S L R ES REGUL R EMPLOYEES 14 887. 14 814. 7 721. 15 500. 15 700. 4100 15 881. HOURS REGULAR EMPLOYEES IA29 _1,551 2 867 752 2 625 2,657 a 4T10 LARIES OT REGUL EMPLOYEES 26. _ 98. 300. �_ HOURS OT REGULAR EMPLOYEES _ _4 16 4120 S L RIES TEMPORARY EMPLOYEES 3. 244. 200. 214. 4 0 174. y H URA-TEMPOR� Y EMPL YEES _ 1 62 15 78 64 1 413 L RIES T TEMP RARY EMPLOYEE HOU S T TEMPORARY EMPLOYEES _ = 3 EM L EES E E __ 2 304 9 2 87• 0 4M NCU LANCE 4133 LOYEE PENS ONS r 4133 TOTAL HOURS P A R TA 22 273. UPPL E 1L340. 1 644. 2 829. 2 200. 2 600. 2,375. 4210 NON OFFICE SUPPLIES 61. 69. 252. 425. 200. 0 200. mflunyw-=- CHEMICALS _ _ 42TC 4217 CLOTHIN A- LPL W NCB 50. 53. 4 0 EP R 6 M N� T SUPPLIES-GENE L _ 301. 200. 200. 0 200. 3 4221 REPAIR & MAINT SUPPLIES-E UIP 5. 4221 « 4222 REP & MAINT SUPPLIES-OTHER IMP 4222 4ff3___REP b INT_ SUPPLIES_-BUILDINGS _ 4230 SMALL TOOLS 4 0 4300 PROFESSIONAL SERVICES 163. 8. 20. 25. 4300 25. a N T N 157. 120. 1 000. 1 150. 1 250. 1 250. ! = 4330 D ERT S NG __ 5 450. 32 4330 25. x ° 43 0 PRINTING & COPYING 258 9 6 43401 70Q, W 3 0 NSUR N 35 o 4360 UTILITIES _ 4360 _ i 4370 REPAIR & MAINTENANCE-GENERAL 4370 _ ~ : 4371 REP NTEN LACE-EQUIPMENT 43 43 2 REP b INT- THER IMPROVEMENTS 3 2 4373 REP & MAIINT-BUILDINGS GROUNDS 4373 EP NT-SE L C TING WT HE N C U L V 4380 RENT L 4380 X401 DUES & UBSCRTPTIONS-- 48. 374. aff 03 VEL CONFER€NCE SCHO L 3 t 4404 LAUNDRY 4404 TH R PENSE -s B T TA 0 088 0 8 . 10 000 500 L ND - 4510 BUILDINGS AND STRUCTURES _ _ 5 0 _ < e' 4520 FURNITURE AND FIXTURES 1 608. _161_ _ 188. 45 0 F 4530 CHINERY&AUTO EQUIPMENT _ 530 c 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL 1 0 Program Group Total 27,411. $ 25,537. $ 29,823. $ 31,265. $ 32,834. $32,273. RIO CCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource* Page Minnesota Allocation . Plan ¢ PUNO COO f DfP NENT CO DIVNI CODE - .. GENERAL 01 FINANCE 03 ACCOUNTING 11 NON-PAYROLL ACCTG. 036 ACTUAL CTU DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. NO 1976 1977 1978 1978 1979 NO 1979 4 SALARIES REGUL R EMPLOYEES $23.82 $30,131, 2Z_3 8 4100 $32,257. HOURS REGULAR EMPLTYEES 4.3 L9 4.987 3,611 2,140 5,341 5.397 4f S L OT REGULAR EMPLYES W A 1 _443. _24 HOURS OT REGUL R EMPLOYEES _ _ 0 _3Z 4120 S L RIES TEMPORARY EMPLOYEES _610. W HOURS TEMPORARY EMPLOYEES _ 369 95 '446 336 262 H 4 30 SALK91ES OT TEMPORARY EMPLOYEE i HOURS T TEMPORR EMPLOYEES _ _ — __ 3,694. 4.670. 4,382. 5.660. 5 909. 3 5,9W. 0 4W L EE INSU NCE 988. 1 321. 1,316. 1 665. 1.756. 4132 2,532, IL 4133 EMPLOYEE PENSIONS 3,003. 3,822. 3,012.1 796. 4,247, 4133 4 219 TOTAL HOURS 4 6 P A R TOTAL E UP L E 4200 5 4210 NON OFFICE SUPPLIES O III FUELS7flZ_1W5_ 4211 4216 CHEMICALS _ _ 4216 4217 CLOTHIN6N LANCE 2 J 4220 REPAIR 3 MAINT SUPPLIES-GENERAL _ 0 3 4221 REPAIR b MAINT SUPPLIES-E UIP 4221 4222 REP & MAINT SUPPLIES-OTHER IMP 22 3 EP & HT_ SUPTLIES-BUILDINGS 3 4230 SMALL TOOLS 4 0 W 4300 PROFESSIONAL SERVICES _ 4300 3 AT ION W = 4330 D ERT S^T�fNG— 330 x " 43 0 PRINTING & COPYING 398. 1,343. 2.610* 1,450 1,750 4340 W 3 0 NSU NPt1i—CE — 147 5 50 o 4360 UTILITIES _ 360 _ = 4370 REPAIR & MAINTENANCE-GENERAL 4370 _ c 43 REP MAINTENANCE-EQUIPMENT 594. 2 537. 1 894. 2.500. 4371 T3_7_2 REP & M N - THER IMPROVEMENTS 4373 REPAINT-BUILDINGS GROUNDS 4373 � EP & NT-SE L COATING 3 HE CONTRACTUAL SERVICE 15376, Ig $ 4380 RENTAL 4380 O1 DU:S & UBSCRIPTI NS 45. 529. 225, 225.4401 3 5 03 V� CONFERENC_ES. SCHOOLS 276. 45 2,451 Lt 4404 LAUNDRY 4404 OTHER EXPENSES -SUB TOTAL 00 LAND _ — 4510 BUILDINGS AND STRUCTURES __ 45 0 i e 4520 FURNITURE AND FIXTURES 866. 1.710. 1. 710 2 360 45 0 1 360 -j 4530 MACHINERY & AUTO EQUIPMENT 1,821. 530 o' 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL 0 2 687. 1 710. 1 7 0 2 36 Program Group Total $ 37,067. $67,158. $64,422 $ 75,853 $ 76,013 $ 75,802 " )RIO-ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 i City of Fridley, PrOgrOm Detail Resource' Page Minnesota Allocation . Plan ►uN0 cooe MENT CO dvlrl CODE - GENERAL O1 FINANCE 03 ACCOUNTING 11 PAYROLL ACCOUNTING 037 ACTUAL UL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. _ No 1 1976 1977 1978 1978 1979 NO 1979 400 SAL R ES REGULAR EMPLOYEES 2,537. 2.568. $-r,859. 3,550. 3,700. 4100 3,737. HOURS REGULAR EMPLOYEES 511 _ 498 463 347 619 626 H 4 S L RIES OT REEMPLOYEES 121. _109. 14. 300. 4110 200. HOURS OT REGULAR EMPLOYEES _ 17 14 2 24 55 37 4120 S LARIES TEMPORARY EMPLOYEES _ 6. 55. 80. 320. 58. 14120 45. W HOURS TEMPORARY EMPLOYEES _ 3 15 20 41 21 1 16 y 4130 SALARIES OT TEMPORARY EMPLOYEES 4130 -, HOURS OT TEMPORARY EMPLOYEES = 413T EMPLOYEES LEAVE 392 398 42 604 522. 4M 688. �°, 3 EMPLOYEE NSU NCE 05 2 5 293. 4133 E14PLOYEE PENSIONS 332. 335. 293, 375, .4133 499, TOTAL MOURS P A R T TA 452. UP L E 150. 100. 100. 4210 NON OFFICE SUPPLIES 4210 MT—rffff-m-Twf-- 4216 CHEMICALS _ _ 4216 2171 CLOTHIN ALLOWANCE T 50. l 4 2201REPAIR 3 T M N71 T SUPPLIES-GENERAL _ 3 42211 REPAIR & MAINT SUPPLIES-E UIP 4221 42221 REP & MAINT SUPPLIES-OTHER IMP 2 23 REP b NT SUPTLIES_-BUILDINGS 3 4230 SMALL TOOLS 4230 W 4300 PROFESSIONAL SERVICES _ 4300 UTU COMMUNICATION 204. usi z 4330 ADVERTISING �i _ 330 X " 4-10- PRINTING & COPYING 4340 W 3501INSURANCE — 3 rc 4360 UTILITIES 4370 REPAIR 3 MAINTENANCE-GENERAL 4370 _ c < 3711 REPAIR MAINTENANCE-EQUIPMENT 134 437 43 721 REP 6 MAINT-OTHER- IMPROVEMENTS TPT 4373 REP T WINT-BUILDINGS GROUNDS 4373 413 4 EP NT-SE L TING E WPT OTHER CONTRACTUAL SERVICES 2,540. 1,500. 2,450. 2,800. 4375 2,800. ti 4380 RENTAL 4380 1 4401 DUES b SUBSCRIPTIONS 4403 EL, CTINFUENCESLAIZHOOU T4ff t 4404 LAUNDRY 4404 THEIR EXPENSES -SUB T TA 50. 2 879. 1,500. $2,730. 3,204. 3,050 4500 LAND _ _ 4510 BUILDINGS AND STRUCTURES _ _ 4510 a 4520 FURNITURE AND FIXTURES __ 526. .526. 45 0 _ � 4530 CHINERY & AUTO E UIPMENT 530 o' 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL O O 526. 526. 0 Program Group Total $ 3,543. $ 6,457. $ 5,828. $ 8,312. $ 8,314. $ 8,502 RIO CCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource Page Minnesota Allocation . Plan FUND c00E OE"W1 ENT CODE 01VN1 CODE 01our coo GENERAL 01 FINANCE 03 ACCOUNTING 11 INVEST & REV COLL 040 ACTUAL ACTUAL DEPT jW _TN_Pb`RJW ACCOUNT DESCRIPTION EX9PE6NSE EXP9ENSE BUDGET ES1IMAATE REQUU79ST ACCT SEC. BUDGET LR ES REGUL R EMPL YEES 2 956. 218. 4100 URS REGULAR EMPLOYEES 4$8 611 2 29 CARIES OT REGUL EMP�YEES U S OT REGUL R EMPLOYEES LARIES TEMPORARY EMPLOYEES 4 0 URS R EMPL PEES L RIES T TEM RARY EMPLOYEE OU S OT TEMPOR EMPLOYEES L EES EEAVE- 3 _�34 PLOYEE PENSIONSE 4133 24� TOTAL HOURS 489 611 549 92 523 529 P A R - TOTAL' TA E U L E S 50. 120. 12 5. 0 150 4210 NON OFFICE SSU�PPLIES r 8. 4ST FUELS 4216 CHEMICALS _ W IT 4217 CLOTHIN ALLOW NCB __ 50. 53. 1 0 REP R 5 M NT UPPLIES-GENE L 3 42211 REPAIR & MAINT SUPPLIES-E UIP 4 1 4222 REP & MAINT SUPPLIES-OTHER IMP _ 4 2 EP NT SUPPLIES-BUILDINGS 4230 SMALL TOOLS 4 0 W 300 PROFESSIONAL SERVICES _ 4300 W N mo- 310 Isu = 4330 D ERT S NG _ 330 X 340 PRINTING & COPYING 4340 W = 3 0 NSU NR� CE -- 3 4360 UTILITIES _ 4360 _ 4370 REPAIR & MAINTENANCE-GENERAL 4370 _ c � 43 REPAIR INTEN NCE-EQUIPMENT 93. 208. 125. 70. 37 4-37-2 REP & MAI NT- THER IMPROVEMENTS 4373 REP &�M INT-BUILDINGS GROUNDS 4373 —a E P & ! NT- E L C TING 4TN OTHER C AL SERVICES 4375 380 RENTAL 4380 O1 DUES & SUBS C. PTIONS _03 TRAVEL, CONFERENCE j H[OOLS T 37. 1 50. 3 5 B 4420 .REFUNDS REIMBURSEMENTS 26. 4404 OTHER EXPENSES -SUB T Ta 4500 LAND _ — 4510 BUILDINGS AND STRUCTURES 1- 4510 a 4520 FURNITURE AND FIXTURES __30 CHINERY & AUTO E UIPMENT '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY —SUB TOTAL 0 t 0 S O Program Group Total $ 3,380. $ 4,329. $ 4,647.$ 5,220.$ 5,001. $ 5,108. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 .`� City of Fridley, Program Detail Resource' Page Minnesota Allocation . Plan FUND CODE DE NENT CO DI I CODE GENERAL Ol FINANCE 03 ACCOUNTING 11 LICENSING 041 ACTUAL - UL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. No 1 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGU R EMPLOYEES 3,689. 3,153, - 44 178. 4 300. 3 700. 4100 3,73 . HOURS REGULAR EMPLOYEES 771 780 676 570 619 625 W 4TT0 SALARIES OT REGULAR EMPLOYEES _ 21. U HO-U�tS OT REGULAR EMPLOYEES _ 4 _ 4120 SALARIES TEMPORARY EMPLOYEES _� 44. 120. 75. 4 0 y HOURS TEMPORARY EMPLOYEES 22 30 4130 SALARIES OT TEMPORARY EMPLOYEES 4130 ., HOURS OT TEMPORARY EMPLOYEES _ c 3 M L YEES V __ 571. 48 6 0 685 3 j52 EMPLOYEE N U CE 4133 EMPLOYEE PENSIONS 4133 TOTAL HOURS P A R - TOTAL U L E 339. 195. 500. 500. 500. 0 4210 NON OFFICE SUPPLIES 60. 11 50. 0 50. 4216 CHEMICALS 4 6 07 CLOTHIN ALLOW NCB ___ 21 4 0 EP R & M NT SUPP -GENE L _ 0 4221 REPAIR 8 MAINT SUPPLIES-EQUIP 4221" 42221 REP & INMT T SUPPLIES-OTHER IMP __ 22 -- 3 EP & NT_ SU PPLIES_-BUILDINGS 3 4230 SMALL TOOLS — IM-0 W 4300 PROFESSIONAL SERVICES 54 4300 a T N ___ 22 5?.. 150. 150 I=u `: 4330 D ER T S NAG __ 30 x " 43 0 PRINTING & COPYING 4340 W 3 0 N U NICE— _ 350 w 4360 UTILITIES _ 4360 _ i 4370 REPAIR & MAINTENANCE-GENERAL 4370 _ c 43 REPAIR MAINTENANCE-EQUIPMENT 43 3 REP & IN - THER IMPROVEMENTS J4380 4373 REPAINT-BUILDINGS GROUNDS 4 EP��fN -SEAL COATING HER CONTRACTUAL E 1 4380 RENTAL DUES & SUBSCRIPTIONS— 03 � C�f�RENCES,SCHOOL 3 5 4420 .REFUNDS/REIMBURSEMENTS 23. 13 7 200. 200 200 4404 0 OTHER EXPENSES -SUB TOTAL 0. 1,002 .100 11100 4500 LAND _ _ 4510 BUILDINGS AND STRUCTURES __ __ N5O _ 4520 FURNITURE AND FIXTURES __ 2 4 4530 M CHINERY & AUTO E UIPMENT 4540 OTHER IMPROVEMENTS o' - 4540 CAPITAL OUTLAY -SUB TOTAL 0 2,550 2,400 Program Group Total 5,732.$ 4,680.$ 6,394.$ 6,812.$ 8,730 $ 8,707 )RIO-ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 ti City of Fridley, Program Detail Resource' Page Minnesota Allocation . Plan i ►LINO CODE 6WAATMENT Co OE DIVI�1 Coo[ __... GENERAL O1 FINANCE 03 ACCOUNTING 11 DATA PROCESSING 042 ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESf600. REQUEST ACCT BUDGET EC 1976 1977 1978 1979 NO 1979 4 SALARIES REGUL R EMPLOYEES 4,749. 4.124, 5,438, 937. 4100 946. HOURS REGULAR EMPLOYEES 63L 506 880 157 158 �^ 4- LAR ES OT REGULAR EMPLOYEES _ __ 5. w_ HOURS OT REGULAR EMPLOYEES _ 1 _4T2_0 SALARIES TEMPORARY EMPLOYEES 220. 25, 41 0 a HOURS TEMP RY EMPLOYEES 55 7 4130 L IE OT TEMPORARY EMPLOYEE 'WfT HOURS OT TEMPQffR_Y EMPLO EES _ s EMPLOYEES EVE 73�,. 1 4• o _ 68. 12 4133 PLOYEE PFNSIONSE 4133 4, d TOTAL HOURS P A RV TOTAL 6 UP L E _ 38. 7. 0 4210 NON OFFICE SUPPLIES _ 7. 10. 0 III UELS 7iF6-[mss 42161 CHEMICALS _ 42T_6 4217 CLOTHING ALLOWANCE _ 2 0 REP R 3 MST SUPPLIES-GENERAL _ 0 3 42211 REPAIR 6 MAINT SUPPLIES-E UIP 4221 42221 REP 8 MAINT SUPPLIES-OTHER IMP — 4 2 2231 REP & M NT_ SUPPLIES_-BUILDINGS _ 4230 SMALL TOOLS 4 0 W 4300 PROFESSIONAL SERVICES 4300 3 N T N 28 4330 D ERT SING 4330 W = 43 0 PRINTING b COPYING 4340 3 0 INSURANCE 3501 a 4360 UTILITIES _ _ 4360 _ i J 4310 REPAIR b MAINTENANCE-6ENERAL 4370 _ c 4-37-1 REPAIR M INTEN NCE-EQUIPMENT 437 437T REP 3 MAINT-OTHER IMPROVEMENTS 37 4373 REP 3 MAINT-BUILDINGS/GROUNDS 4373 EP & MAINT-SEAL COATING 3 3 47N OTHER CONTRACTUAL E a 4380 RENTAL 4380 4401 Dt7S & SUBSCRIPTIONS 440-3 TRAVEL, C N ERENCES,SCHOOL 3 lon- 4404.LAUNDRY 4404 TH S B 00 LAND 4510 BUILDINGS AND STRUCTURES _ _ 5 FO _ a 4520 FURNITURE AND FIXTURES s 4520 ;J 4530 MACHINERY $ AUTO EQUIPMENT _ _ 530 '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL O O 0 O O Program Group Total $26,818. $6,209. $ 8,600. $ 1,401. $2,378. $2,168. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 e PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource' Page Minnesota Allocation . Plan "D CODE DE ME T CODE OlVltI CODE GENERAL 01 FINANCE 03 ACCOUNTING 11 AUDITING 043 ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4 SALARIES REGUL R EMPLOYEES 1,459. 1 681. 2 057. 1 650. 782 4100 HOURS REGULAR EMPLOYEES 223 264 332 266 298 0 4IT0 S LARIES OT REGULAR EMPLOYEES HOURS OT REGULAR EMPLOYEES _ — 4120 SALARIES TEMPORARY EMPLOYEES 100. 4120 w HOURS TEMPORARY EMPL YEES 5 93 4130 SALARIES T TEMPO RARY EMPLOYEE J HOURS OT TEMPORARY EMPLOYEES c 3 EM L YEES EVE 2?5_ 261• 4 PL EE N U NCE 60. 9 141 9 4133 EMPLOYEE PENSIONS 182. 4133 4 TOTAL HOURS 22 9 P A R — TOTAL 3 E UPPL E 6. 107. 205. 200. 200. 4210 NON OFFICE SUPPLIES 0 2111 FUEL3_AffU_[M__ 4216 CHEMICALS _ _ 42 6 4217 CLOTHIN ALLOWANCE 0 REPAIR b M NT !ES-GENERAL _ 0 3 4221 REPAIR b MAINT SUPPLIES-E UIP _ 4221 42 2 REP b MA SUPPLIES-OTHER IMP 4 2 EP b INT SUPPLIES_-BUILDINGS r4:j0_.4230 SMALL TOOLS 4 0 W 4300 PROFESSIONAL SERVICES 4 992. 6 500. 6 0 4300 6.475 v► w N T N z = 4 30[ADVERTISING __ 330 x ° 43 0 PRINTING b COPYING 4340 w = 3 0 NSUR N�CE — T360 o 4360 UTILITIES 4360 _ F 4370 REPAIR b MAINTENANCE-GENERAL 4370 _ C 43711 REPAIR & INTEN NCE-EQUIPMENT 8 437 43721 EP b M INT- THER IMPROVEMENTS 4372 4373 REP 6 MAINT-BUILDINGS GROUNDS 4373 43—liV—IIEP MAINT-SEAL COATING TM OTHER NRC L 4380 RENTAL 4380 4 O1 DUES b SUBSCRIPTIONS 03 TRTVEL, CON RENCES�SCHO LS 03 5 4404 LAUNDRY 4404 OTHER EXPENSES —SUB TOTAL 5 382. 6 800. 6 98 025 25 4500 LAND _ — 4510 BUILDINGS AND STRUCTURES __ _ 45 0 - -' < 4520 FURNITURE AND FIXTURES __ 4520 z 4530 CHINERY b AUTO EQUIPMENT 530 o' 4540 ER IMPROVEMENTS 4540 OTHER CAPITAL OUTLAY —SUB TOTAL 0 • Program Group Total 6,660. 7,603. 9,800. $10,031. $ 9,472. 9,789. RIO CCT CAPITAL OUTLAY DETAIL IN SERY DEPT BUDGET ITY NO DATE REQ 1979 e PROGRAM BUDGET 1979 City of Fridley, Program Detail _ Resource' Page Minnesota Allocation . n Plan ". FUND - C00! 0EP MENT CODE OIVIBI CODE PRO AM GROUP GENERAL O1 FINANCE 03 ASSESSOR 12 PROPERTY TAX ADMIN 049 ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 41-00-SALARIES REGUL R EMPLOYEES $26 154. 27 50. 24 674. 29 000. 28 662. 4100 $28,662. HOURS REGULAR EMPLOYEES 3898 3,681 3,480 1,991 3,820 3,820 W 4 10 S LARIES OT REGUL EMPLOYEES 206. 14 . 270. 400. 00 400. U HOURS OT REGULAR EMPLOYEES _ 19 14 25 36 36 4120 SALARIES TEMPORARY EMPLOYEES 1 1 0 8 . W k URPfEMP� RRRY EMPLHYEES 5 54 54 4130 SALARIES T TEMMRARY EMPLOYEE HOURS T TEMPOR�Y EMPLOYEES _ = 3 EM L EES EVE 4,048 4 ,_5 5 5,23K, 0 4W EMPLOYEE NT SUitRNCE 4133 LOYEE PENSIONS 4133 �, TOTAL HOURS P A R T TA 3 3 5 4 05. 03 . 0 U L E 126. 383. 338. 425. 900. 0 775. 4210 NON OFFICE SUPPLIES 5. 34. 100. 200. 150. 42101 150. 1Nb=9 42161 CHEMICALS 4216 42171 CLOTHING ALL WANCE __ 50. 53. 200. 100. 2 2201REP R FM L _ 0 1, 42211 REPAIR b MAINT SUPPLIES-E UIP _ 10. 4221 42221 REP b MAINT SUPPLIES-OTHER IMP 4 2 2231 REP b MAINT_ SUPPLIES_-BUILDINGS _ " 3 4230ISMALL TOOLS 4230 W 4300 PROFESSIONAL SERVICES 4. 1 460. 1 000. 4300 500. = s 3 COMMUNICATION 934. 1,539. 350 909. 1,073. IL = 4330 ADDVE�R LTG 330 IL " 430- PRINTING b COPYING 4340 W 3 0 NSURNCE _ 350 o 4360 UTILITIES _ 4360 _ i 4370 REPAIR b MAINTENANCE-GENERAL _ 4370 c -9 4371 REPAIR A MAINTENANCE-EQUIPMENT 113. 119. 175. 160. 210. 43 210. 372 REP b MAINT-OTHER IMPROVEMENTS 3 2 4373 REP 6MMAINT-BUILDINGS/GROUNDS 4373 4W REP & MAINT-SEAL COATING Tw OTHERCONTRACTUAL 35. a 4380 RENTAL 4380 4401 DUES b SQB�5_ RTPTI NO S- 117. 352. 250. 150.1 180. 4401 180. 03 TR VEL, CON SCHOOL 3 5 AAU LICENSES & TAXES 13, 4404 OTHER EXPENSES -SUB TOTAL 4500 LAND 4510 BUILDINGS AND STRUCTURES _ 4510 i i 4520 FURNITURE AND FIXTURES 869. _256. 246. 200. 45 0 200 I- 4530 WHINERY b AUTO EQUIPMENT _ 530 0 4540 OTHER IMPROVEMENTS 4540 CAPITAL. OUTLAY -SUB TOTAL 869 5 Program Group Total $ 38,540.1$ 41 226.1$ 37,860. $ 45,565. $46,729. $46,546 )RIO-ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 e. 1 City of Fridley, Program Detail Resource• Page Minnesota Allocation n Plan = C00[ CODE COD! D[P CODE GENERAL 01 FINANCE 03 DASSESSOR 12 APPRAISAL OF PROP. 050 ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4 SALARIES REGUL R EMPLOYEES $26,395. $28,874, 0 5 4100 975. HOURS REGULAR EMPLOYEES �q x,345 254 2,712 4 4,396 4T(0 SALARIES OT REAL EMPLOYEES HOURS OT REGULAR EMPLOYEES _ _6 41 3 30 3,Q 4120 SALARIES TEMPORARY EMPLOYEES 1 820. 2 25 4 0 W IK HOURS TEMPORARY EMPLOYEES y 4130 SALARIES OT TEMPORARY EMPLOYEE HOURS OT TEMPO R R EMPL YEES = 4M EMPLOYEES VE 4 084. 5,39 C) PL E N RANC1E __ 4133 EMPLOYEE PENSIONS L62_ 5,161. 4133 4 617. ° TOTAL HOURS 3 652 3,791 4,814 2 715 5,971 5.015 P A R TOTAL 44 6 7. 60 997 36. U L E 9 3. 137. 75. 75. 40 77 4210 NON OFFICE SUPPLIES___ _ 5 0 RTT qU_1 Ers 4216 CHEMICALS_ _ _ 42T6 2171 CLOTHIN LANCE 0 REPAIR 3 M 9 NT SUPPLIES-GENER WL _ 0 3 4221 REPAIR & MAINT SUPPLIES-EQUIP 422 4222 REP & MINT SUPPLIES-OTHER IMP WE 3 EP b MAINT_ SUPPLIES_-BUILDINGS _ TM 4230 SMALL TOOLS _ 4256. U) 300 PROFESSIONAL SERVICES 4300 a 3101COMMUNICATION 107. 950. 150. 727. 4310 327. W 3301ADVERTISING 33. 4 30 CL x 3 0 PRINTING & COPYING 126. 187. 4340 W 3 0 NSUR N E 12 3 o S 4360 UTILITIES _ 4360 _ i 4370 REPAIR & MAINTENANCE-GENERAL 4370 _ o Tff REPAIR A MAINTENANCE-EQUIPMENT 119. 229. 105. 210, 43 3T2_ REPS M INT-OTHER IMPROVEMENTS 4373 REP 6�M INT-BUILDINGS GROUNDS 4373 dT� EP & KAINT-SEAL COATING ° WS' OTHER CONTRACTUAL a 4380 RENTAL 4380 4-40-1 DUES 6 SUBSCRIPTIONS _ 3 TRAVEL, C ER NCES T CHOOL 6 3.Q78. 3,000. 3,450. 4,150. 4403 4,000. 6 4404 LAUNDRY 4404 - TH R EXP ENSES -SUe T TA 3 721. 3 818. 4 899. 4 3 5. 5,832. 5 282. 4500 LAND _ 0 _ 4510 BUILDINGS AND STRUCTURES _ _ 510 _ 'e 4520 FURNITURE AND FIXTURES 92. _ 40. 246. 400. 4520 a 4530 CHINERY 6 AUTO EQUIPMENT 530 c 45 OTHER IMPROVEMENTS 4540 40 CAPITAL OUTLAY -SUB TarAL $ 92. 40, T 246. 400. 0 Program Group Total $41,082. $44,950. ,$49,762. $65,312. $65,868. $56,041. RIO-ACCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 PROGRAM BUDGET 1979 i Program Detail Resource Page City of Fridley, Minnesota Allocation . Plan FUND coo! OEP RE T CODE OIVDI C DE GENERAL Ol FINANCE 03 ASSESSOR 12 SPEC ASSESS ADMIN 051 ACTUAL TU DEP SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. N 1976 1977 1978 1978 1979 NO 1979 4 SAL R ES REGUL R EMPL YEES 6,548. 1,619. ,060. 6,800. 7,200. 4100 HOURS REGULAR EMPLOYEES 2,3_70 998 996 448 962 4110 SALARIES OT REGULAR EMPLOYEES u HO- URS OT REGULAR EMPLOYEES _ 41 __ _ 20 SALARIES RIES TEMPORARY EMPLOYEES _ 6. 14120 W HOURS TEMPO Y EMPLOYEES 2 H 4130 SALARIES OT TEMPORARY EMPLOYEE HOURS OT TEMPORARY EMPLOYEES _ c 3 EM L EES EVE 1�015. 917. 1,295. 1 654. 1,390. 7367 0' L EE INSU NCE 269. 244. 1 391. 764. 571. 320. 4133 MLOYEE PENSIONS 819. 739. 891. 1,332. 1,386. 133 560. TOTAL HOURS 2,372, 998 996 448 96 P A R T TA 0 U L E _ 170, 200, 100. 100. 4200 4210 NON OFFICE SUPPLIES loo. 4210 -WITTUN— TnT 2111 FUELS 161 CHEMICALS _ _ 4216 42 CLOTHIN ALLO NW CE _ 21 4220 EP R 6 NT SUPPLIES-GENER L _ 0 1 4221 REPAIR & MAINT SUPPLIES-EQUIP 4221 42 2 REP 8 MAINT SUPPLIES-OTHER IMP __ 3 EP & NT_ SUPPLIES-BUILDINGS P­_ 4230 SMALL TOOLS M-0 W 4300 PROFESSIONAL SERVICES 4300 z N T N m : 4 30 ADVERTISING _ 33 'XL W " 4340 PRINTING b COPYING 50 100 4340 0 . 4-33-0 NSURANCE -- 25 50. Ix 4360 UTILITIES _ _ 4360 _ 4370 REPAIR b MAINTENANCE-GENERAL _ 4370 _ c < 437T REPAIR A MAI NTEN NCE-EOU_IPMENT 249. 200. 110. 140, 437 3721 REP b NT- THER MPROVEMENT _ 2 4373 REP 6 MRIHT-BUILDINGS GROUNDS 4373 d3 REP & MAINT-SEAL COATING 3 OTHER CONTR C U l SERVICES 143. 4380 RENTAL 380 : 4 O1 DUES 6 SUBSCRIPTIONS _ 4 03 TRAVEL, CGNTRENCE SCHO L 1 3 5 4404 LAUNDRY 4404 OTHER EXPENSES_-SUB T TA 500 LAND _ 4510 BUILDINGS AND STRUCTURES __ _ 5 i 4520 FURNITURE AND FIXTURES _121. _ 4520 � 4530 MACH 6 AUTO EQUIPMENT 53 '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL S 01$ 121. $ O Program Group Total $ 8,813. $ 4,162. $10,037. $11,135. $119501. $ 6,306 RIO-ACCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, program Detail Resource' Page Minnesota Allocation . Plan FUND COD! Dt M COD[ IVNI CODE PRO AN wq GENERAL O1 PUBLIC SAFETY 05 POLLCE. {{DMIN./MGMT. 095 A�TUAC APT . SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST _ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4W SALARIES REGULAR EMPLOYEES t 48.,J87 $ 52 50%665 150,665 1 76,254 4100 H URS�LAR EMPLOYEES 4A di'f0 SALARIES OT E�UL EMPLOYEES _ 7 m HOURS OT REGUL R EMPLOYEES_ _ 0 0 4120 S L IES TEMPORARY EMPLOYEE _ HOURS TEMPORARY EMP YEES 12 0 H SALARIES OT TEMPORAR—YEMPLO EES I HOURS T TEMPORARY EMPLOYEES _ = M L E � . _1a2 q,lia- A71 4131 14.471 0 4W EMPLOYEE INSU t CE __ V4 33 L YEE PENSIONS 4133 TOTAL HOURS P A R TOTAL 4200 0 FlS 1.22, _ 1,298 906 906 r 4210 NO OFFICE SUPPLIES 1 2111 FUELS_AH0_[Wf_ 9 99 172 172 -378 TM 179 42161 CHEMICALS 472 -6 4 2171 CLOTHIN NCE 2201REPAIR d�M AINT SUPPLIES-GENERAL _ 42211 REPAIR 3 MAINT SUPPLIES-EQUIP 4221 42221 REP & MAINT SUPPLIES-OTHER IMP 22 REP 6 MAINT SUPPLIES_-6U LDINGS _ 40n Ann 4nn 223 Ann. 4230 S LM�A L TOOLS _ 37 4 0 H 4300 PROFESSIONA7L�SER�VICES 4300 W I NICA 1ON _ Y! M 4330 DER SING _ 330 x ° 4-3-4-0 PRINTING A COPYING 4340 W = UrO T-NNURANCE t I r, onp 4350 16 000 4360 UTILITIES _ 4360 _ 4370 REPAIR b MAINTENANCE-GENERAL 4370 _ c < 43 REP MAINTENANCE-EQUIPMENT 14 43 43 EP & NT- THER IMPROVEMENTS 3 4373 REP 6 MINT-BUILDINGS GROUNDS 4373 z 3741 REP & MAINT-SEAC COATING ° 4375 0 HER COWATTUL SERVICES 4375 u 4380 RENT L 4380 144-6-1 DU: 6 UBSCR PTION _5z5_ 44-OT EL C N ER NCES,jCH 4404 LAUNDRY 4404 TH R EXPENSES -SUB TOTAL, 796. 4500 LAND _ 4510 BUILDINGS AND STRUCTURES i 45 0 FURNITURE AND FFIXTURES 20 __237 _ 1 113 0 4530 MACHINERY & AUTO EQUIPMENT 59 4on 45 30 '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL Program Group Total 83,021 88,651 85,016 96,698 $146,412 44 RIO CCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 i J PROGRAM BUDGET 1979 City of Fridley, Program .Detail Resource' Page Minnesota Allocation . Plan _ rWrO coos o[ NE coot DlVltl CO GENERAL O1 PUBLIC SAFETY 05 POLICE 19 INFO. SERVICES 096 ACTUAL ACTUAL SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. . No 1 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGUL R EMPLOYEES 51,663. 60,126. ,7 . 33, . 4100 HOURS REGULAR EMPLOYEES 7,869 7,962 5,019 ,�1 -4.366 ;9�6 M6 SALARIES OT REFTPL YEES 901. 926. U ROUTS- OT REGULAR EMPLOYEES 81 82 4120 S L RIES TEMPOR RY EMPLOYEES! 5,264. 432. 2 750. 2 750. 2 750. 4 0 2,750 W H UR EMP EMP YEES !1, 82 785 7 836 836 SALARIES T TEMPORARY EMPLOYEL5 87 4130 HOURS T TEMPORARY EMPLOYEE _ = M L EE _ 8,006. 9 320. 6,4 6 433. 6 188. 7 232 0 4M LSE TNSU1�1 CE 2 489. 2 854. 2 899. 2 899. 1 807 1 944 IL 413 LOYEE PENS ONS 7 677. 7 632. 8 136. 8 36 4 385. 4 33 5 613 TOTAL HOURS 8 126 5 04 5 804 5 202 P A R T TA 2001 FFI U L 604. 1 110. 1 972 1 972 2 070 2 070 42 0 NON OFFICE SUPPLIES! 849. 1 084. 874 874 943 0 943 111 FUELS IW UK� 33. 62. 4216 CHEMICALS _ _ 42 6 17 CLOTHIN ALA- NWII CE 458. 545. 675 675 715 715 EP R b NT UPPL ES-GENER L _ 4220 4221 REPAIR 8 MAINT SUPPLIES-E UIP 4221 42 2 REP & MAINT SUPPLIES-OTHER IMP _ E & ►SAC NET SU�-BUILDINGS 35. _ 4230 S LL T OLS O W 4300 PROFESSIONAL SERVICES 320. 4300 N T N 2 834. 1 72. 2,179m 2,179 2_Rq 7 4310 2,397 z s 330 D ERT S NG 55. 330 x ° 43 0 PRINTING & COPYING 3 505 2 4340 W 3 0 NSUE NCE 3 o 4360 UTILITIES 4360 _ = 4370 REPAIR 6 MAINTENANCE-GENERAL 4370 _ o 3 REP NTECN NCE-EQIPMENT 437 1-120 3 2 REP E M NT- THER-IMPROVEMENTS 2 4373 REP 6�M INT-BUILDINGS GROUNDS 4373 T� EPFM1I NT-SEAL C T NG ° H OFT R L u = 4380 RENT L 15. 4380 `: 0 DUE & SUBSCREPTI N 34. 45. 03 EL, C N ERENCES L 3 5 4420 REFUNDS/REIMBURSEMENTS 3. 4404 TM R P NSE -SUB T TA 9 03 7 8. 1 550 9 4500 L ND _ - 4510 BUILDINGS ND STRUCTURES _ 1 i a 45 0 FURNITURE AND FIXTURES 1 411. - 1,372. 553 642 10 000 45 0 10 000 4530 M CHINERY 6 AUTO EQUI PRE- _ 53 c 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL 1 411. 1 372. 553 642 10 000 10 000 Program Group Total $86,535. $90,390. $ 66,098 $ 66,335 $ 71,072 $ 76,458 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 /1 K • PROGRAM BUDGET 1979 City of Fridley, Program Detail - Resource* 1 Page Minnesota Allocation . Plan n►no cooc I a w co avni cox UP C GENERAL O1 PUBLIC SAFETY 05 POLICE 19 SPECIAL PROJECTS 097 ACTUAL U SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. . NO 1976 1977 1978 1978 1979 1 NO 1979 4100 SALARIES REGUL R EMPLOYEES $272468. 9.907. T-28-147 28 147. 18 471. 4100 22 085. HOURS EEGULAR EMPLOYEES X183 1 312 8 , E,999 4Tf0 L R ES OT REGULAR EMPLOYEES 6_3_6. � . NOU S OT REGULAR EMPLOYEES a 4120 SALARIES TEMPORARY EMPLOYEES _ 0 y HOURS M Y EMPLOYEES 1 4M SALARIES TEMPORARY EMPLOYEES HOURS T EMPORRY EML EE _ 4 4w c M L V 3L5 4, . 1 539. 5,361. 5,361. 3,413. 3�3. 0' EMPLOYEE INS OE 1,584. 439. 2.415. 2.415. _ 997. 997. 9 4 LOY E PENSIONS 7.266. 1 369. 6 780. 6,780. 2_.4 19. 4 33 2 419. TOTAL HOURS 34 4.183 2.409 , P A R T 7 7TT7, 0T 42.703. $25 300 )28914 L _ 0 1 3. 86. 886. To 936. 4 2101NON OFFICE SUPPLIES 3 TM UELS 1A6-CfJ 5 42161 CHEMICALS 42 4 CLOTH IN ALLOWANCE 400. 0 0�. 220. 1 0. 0 P R I M NT UPPL E--T S-GENES __ _ 4220 - a 42 1 REPAIR 8 MAINT SUPPLIES-EQUIP 509. 50 9 9 5_4 4-2-2T 554. 4T2_2 REP & M INT SUPPLIES-OTHER IMP Uff E�PSTTNT� SUPPLIES_-BUILDINGS 230 S LLMA T5LS 4230 W 4300 PROFESSIONAL SERVICES 4300 a 43-M COWUNICATION __ 1. 73 735. 808.TM 908. x s 4 0 ER S NG _ 3 IL 3 0 PRINTING & COPYING 13. 1_8 TWO W = 43501INSURANCE o: 143601UTILITIES _ 4360 _ 4370 REPAIR & MAINTENANCE-GENERAL 4370 c .9 3 REP NTEN NCE-EQUIPMENT 156. 10. 1,200 1,200 1.320. 3 1 320. 3 EP 5 NT- THE IMPROVEMENTS 3 4373 REP LAM INT-BUILDINGS GROUNDS 4373 E N -SE L COATING H CONTRACTUAL SERVICES 4380 RENTAL 438^ I4�tl DUE b UBSCR PTI N 120. 270. 600 600 700 700. Uff TRAVEL, CONFERENCES, COOLS 1,002w 3,075. 5,000 5 000 5 250 5,250. t 4404 LAUNDRY 5. 4404 OTHER EXPENSES -SUB TOTAL , LAND 510 BUILDINGS AND STRUCTURES _ 45 i i -45 TO- FURNITURE ANU FIXTURES 45 0 4 0 CMS ERY 3 AUTO EQUIPMENT _ '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL 00. O 8O 18O Program Group Total $43,849. $17,144. $52,527 $52.527 $ 35,747 $39,251. )RIO-ACCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource• Page Minnesota Allocation - Plan AM GROUP COOR i FUND cove DolpaTNEXT coca DI l CODE PR GENERAL 01 PUBLIC SAFETY 05 POLICE 19 FIELD OPERATIONS 098 ACTUAL ACTUAL SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT EBUDGET S C • 1976 1977 1978 1978 1979 NO 4 S L R ES REGUL R EMPL YEES 348 874. 374 485. 356 76 9 45. 4100 45 HOURS-EGULAR EMPLOYEES ;x,137____49592_ 53,024 51.791 2] U 4�IO SALARIES OT REGULAR EMPLOYEES 8 960. 9 037. 10 37. 10 437 10 437. 10 437 u HOURS OT REGUL�LOYEES $,p 796 869 869 867 41 20 L RIES TEMPORARY EMPLOYS_ 0 _ 4 W HOURS EMP Y EMP YEES 71 WAVES TEM RY EM LOYEE RI 4130 HOURS T EMPO-AR RY EMPL EE = EMPLOYEES LEAVE- _ 55,451. 59 596. 731918. 73 918.g42 75 646 EMPLOYEE 0 4M N U CE _ 21 425. 23.986. 32.171. 32.171. 34 123 41 3 L E PEN IONS 96 511. 109 836. 91 212. 91 212. 4 33 110 107 TOTAL HOURS 50,388 53, 9 ,9 g P A R - T U E 220. 550. 343. 343. 4210 NON OFFICE SUPPLIES 2,3 2. 2, 32. ,950. ,9 o6 210, 2,106, �IA6-COg�$� 22 478. 21 205. 25 406. 25,406. 27,946. 2111 27, 42161 CHEMICALS 42 217 CLOTHIN LL N NCE _5 141. 6 394. 5 970. 5,970o 6,328 0010 4 0 REPAIR 3 M NAI SUPPL ES-GENE L _ Ii 4221 REPAIR b MAINT SUPPLIES-E UIP 5,615. 4,243. 3,865. 3,865 4,212 4221 4 062 4222 REP b M INT SUPPLIES-OTHER IMP __ WM REP & MAINT SUPPLIEE_-BUILDINGS _ 9. 79. 4230 SMALL TOOLS 4230 y 4300 PP,OFESSIONAL SERVICES 64. 4300 W 24. 212. 2,894. 2 894. 3.183. 4310 2.910 N /1 u=i `s 43 0 DER S Nom- _ 68. 32. 4330 x ° 4 0 PRINTING b COPYING 10. 35. 4340 W 0 INSURANCE 1 799 2 0 5 o 4360 UTILITIES _ 4360 _ 4370 REPAIR b MAINTENANCE-GENERAL 4370 c < 43 REP MAINTENANCE-EQUIPMENT 18 124. 16 041. 11,800. 11 800 1 980 43 11.986 4 W REP & M N1 UTTHER IMPROVEMENTS 3 4373 REP b�M INT-BUILDINGS GROUNDS 4973 EP & MAINT-SEAL COATING WT OTHER CO31TkACTU L SERVICES 564. 1,230a 1,230 1 353 1 353 4380 RENTAL 4380 WT DUES b SUBSCRIPTIONS 220. ¢. 03 E ,GONI ERENCES, CH00 1,273 S 4404 LAUNDRY 3 13. 100. 100 110 4404 110 OTHER EXPENSES -SUB T TA 5 6 64,646* 68,458 56,601 5 4500 LAND _ - 45 0 BUILDINGS AND STRUCTURES _ 5 i 4520 FURNITURE AND FIXTURES 784. _151. 8 820 5 0 8,820 4 4530 MACHINERY b AUTO EQUIPMENT 5.151. 7 466. 05 42 828 36 000 530 30,500 0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL , , 38,050, Program Group Total %25,018.$679,203.$671,122.$664,04 3 $730,856 $723,315 RIO CCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 PROGRAM BUDGET 1979 t { City of Fridley, Program Detaii Resource' Page Minnesota Allocation , Plan PUPID CODE OE N CO DlVltl CD _ GENERAL 01 PUBLIC SAFETY 05 POLICE, 19 INVESTIGATION 099 ACTUAL U SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4 S L R ES REGULAR EMPLOYEES 19,646, 484 39,40 9. 39 409. $52,260. 4100 ' 52, HOURS REGULAR EMPLOYEES —2,9 ,g 85-7 6,815 ' 4"iY0 L RIES OT REGULAR EMPLOYEES _ 1,390 u HOURS OT REGULAR EMPLOYEES _ 115 5: O L ES PORA 41 S RT TEMRY EMPLOYEES_ _ 0 W — HOURS TEMPORARY EMPLOYEES H 4130 3 L91ES OT TEMPORARY EMPLOYEES HOU S T ERP-0-9 EMPLO EES _ = EMPLOYEES — _3,126. 0 4'3'f EMPLOYEE INS01MU 4 1 4133 EMPLOYEE PENSIONS 4 4133 10.093 TOTAL HOURS 5 854 5.E57 6.930 7,210 ! P A — T TA 29.202. t 59 U L __ 41 5 4210 NON OFFICE SUPPLIES 518. 2481 80 0 1CN6—C 9_ 50 4216 CHEMICALS _ 42 4211 CLOTHIN L� NCB 200, 2201REPAIR 8 MAINT SUPPL ES-GENERAL — B 4221 REPAIR 6 MAINT SUPPLIES-EQUIP 1 ,0181_ 1,018 1 ,106 221 806 4222 REP 8 MAINT SUPPLIES-OTHER IMP 4 3 E NT SUPPLIES-BUILDINGS _ 20 4230 S LLMLS _ 4 O h 4300 PROFESSIONAL SERVICES 4300 a « N N _ — ,409 1,409 1 549 1—J1449 4330 D ERT S NG _ 3 0 x ° 43 0 PRINTING 6 COPYING 4340 W = d3-0 NSU NCE 5 a 4360 UTILITIES 360 = 4370 REPAIR & MAINTENANCE-GENERAL 4370 _ c < 43 REP IN EN NCE-EQUIPMENT 4 43 2 _41F2 REP T—OTHER IMPROVEMENTS _ 4373 REP & MAIINT-BUILDINGS GROUNDS 4373 4W EP N - E L COATING Tw 417T OTHER CONTRACTUAL a 4380 RENTAL 165 180 180 180 200 4380 44011DUES 3 SUBSCRIPTIONS 24. 13. Tw 03 T AVEL, CONFERENPES,�qHOUILS 5 4404 LAUNDRY 4404 OTHER EX PEN E -SUB T TA 98 t 2.321. 6,7974 6,797 7.221 6,//1 4500 L NO 4500 W5-1-0 -BUILDINGS AND STRUCTURES ___ r4540' 4520 FURNITURE AND FIXTURES 558 _ 42 -j 4530 CM�HINERY &AUTO E UIPMENT 2,964 6 500 6,500 :I 4540 OTHER IMPROVEMENTS CAPITAL OUTLAY -SUB TOTAL t 3.522 4 o Program Group Total $ 34,706. $ 27,4681$ 66,594 $ 66,594 $ 91,217 $ 90,767 )RIO-ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 /'1 r e PROGRAM BUDGET 1979 s City of Fridley, Program Detail Resource' Page Minnesota Allocation . Plan CODE rvlstl C MHO GENERAL OlE PUBLIC SAFETY p POLICE 19 1 STEP 100 ACTUAL— ACTUAL SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC.--. NO ---- 1976 1977 1978 1978 1979 NO 1979 4 SALARIES REGUL R EMPL 14 603. 36 900. 36 900. 33 096. 4100 ;33,096. _ HOURS REGULAR EMPLOYEES _ �� 5,483 5,483 4 1 4,494 �^ 4-M-91-ARIES OT REGULAR ---1-1-9. - 7 9 1 ci HOURS OT REGUL R EMPLOYEES .233 208 4 0 Q$ 4120 SALARIES TEMPORARY EMPLOYEES 6 ; H HOURS TEMPORARY EMPLOYEES 4 I '4-T-3-0 L RIES OT TEMPORARY EMPLOYEE HOURS OT TEMPORARY EMPLOYEE EMPLOYEES 0 TM EMPLOYEE INSUI CE -- -78. 9 4133 E14PLOYEE PENSIONS 3.720, 8,292. 8,292. 9,928. 4133. 9 928• TOTAL NO Uas 051 6-,8-5-9- 6 858 5 011 51189 P A R — TA 200 0 U L __ 53 56. 200. 4200 200. 42 0 NON FFICCEE SSUUPPPLIES 404. 2,000. 2,000. 2 160. 0 2,160. W27-FUELS 4216 CHEMICALS_ _ _ 42 4J-17 CLOTH IN LLW NCB 4 0 TE-P-9—RI-RAINT UPP- LIES-GENER L 5 4221 REP IR & MAINT SUPPLIES-E UI_P 6 2 4221 4222 REP & MA NT SUPPLIES-OTHER IMP 2 4ff3--REP 6 NT SUP LIES-BUILDINGS 4230 SMALL T LS 4 0 y 4300 PROFESSIONAL SERVICES 4300 u, . 4M-COKAUNWATINN W `: 330 U ERT 5 NG __ 30 el*s A. ° -43-50- PRINTING 6 COPYING 4340 W = 3�0 N U NNCE a 4360 UTILITIES _ 360 _ x 4370 REPAIR A MAINTENANCE-GENERAL 4370 _ c < -43-7T REPAIR & MAINTENTtfC E-EQUIPMENT 5. 2,500. 2.500. 371 2.750. 43 EP & NT- THER IRPROVEMENT 3 4373 REPAINT-BUILDINGS GROUNDS 4373 -Td REP & M N -SEAL C TING 0 U75' OTRER CONTRA UL 4 4380 RENT L 4380 40-1 DUE & SUBSCRIPTIONS _ 100. 85. 105 105. 03 E CTNFER -TN--C SCHOOL 15 . 1 00 ;4) 6 4404 LAUNDRY TH R PENSE —5 a T TA 4500 L ND -4510 BUILDINGS ND STRUCTURES —_ _ 4520 FURNITUREANND FIXTURES ,748. 1 278. 1,278. 4520 4530 MRCHINERY E.�TO EQUIPMENT 5,950. 7,700 7 700 4540 I" 4540 OTHER IMPROVEMENTS CAPITAL OUTLAY —SUB TOTAL 7,698. 8,978. 8,978 0 Program Group Total $31,123. $76,321. $76,372 $67,995 $67,483. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 �t r PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource' Page Minnesota Allocation . /'1 Plan FINID CODE N T GDDE VHI CODE PRO ORMP COOK GENERAL O1 PUBLIC SAFETY 05 POLICE 19 1 VOLUNTEER SERVICES 102 ACTUAL UL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGUL R EMPLOYEES 1,160. 4100 S 1 j 60. HOURS REGULAR EMPLOYEES _ 152 u 4T10 SALARIES T REGULAR EMPLOYEES u HOURS OT REGULAR EMPLOYEES 4120 SALARIES TEMPORARY EMPLOYEES _ 0 OURS EMPL YEES W a 4130 SALARIES OT TEMPORARY EMPLOYEE HOURS OT EMPO RY EMPLOYEE It ffff-FMPEUYEES LEAVE o L NSU E __ _ 1 4133 LOYEE PENSIONS 133 TOTAL HOURS 152 P A R TA 4200 OFFICE LE 4210 NON OFFICE SUPPLIES O rAT �A6-LwS- 4216 CHEMICALS _ 42 4 7 ­CLOTH IN ALLOWANCE 220,REPAIR 6 M NT UPPL ES-GENE _ 4221 REPAIR 6 MAINT SUPPLIES-E UIP 422 4222 REP & INT SUPPLIES-OTHER IMP __. 3 EP 6 NT SUPPLIES-BUILDINGS __ 4230 S LL TOOLS _ 4 0 W 4300 PROFESSIONAL SERVICES 4300 = g T N ---. 33 • 3 O D ERTISING _ x " 43 0 PRINTING & COPYING 0 4340 1,5 0. W = �0 NS UR NCE 3 0 o 4360 UTILITIES _ 4360 _ F 4370 REPAIR & MAINTENANCE-GENERAL 4370 _ o : 3 REP MAINTENANCE-EQUIPMENT 43 372, E 6 NT- THER IMPROVEMEN 3 2 r 4373 REP & MAIINT-BUILDINGS GROUNDS 4373 EP Nf T-9EAL COATING Tw 8 WT OTHER IA C L a 4380 RENTAL 4380 x 4401 DUES &SUBSCRIPTIONS— _ 0 50. 03 AN—EL,ESL�CHOOL un S 4404 LAUNDRY 4404 OTHER EX P NSE —SUB T TA 00 LAND _ — 4510 BUILDINGS AND STRUCTURES __ _ _ 510 a 45 0 FURNITURE AND FIXTURES 4520 4 -J 4530 MACHINERY 6 AUTO EQUIPMENT _ 530 c '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY —SUB TOTAL o Program Group Total V $ 3,060 $ 3,060. )RIO-ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 ` City of Fridley, Program Detail Resource' Page Minnesota Allocation . /1 Plan - FUND CODE DE NENT COOS DIVI ION CODE 61110up CODE ' GENERAL 01 PUBLIC SAFETY 05 POLICE 19 1 ANIMAL CONTROL 105 -ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ES1IMAATE REQUEST ANCOT BUDGET SFC. NO 4 SALARIES REGUL R EMPLOYEES 200. 200. 4100 HOURS REGULAR EMPLOYEES —1Q _26 30 W 4-T'10 S L RIES OT REGULAR EMPL PEES _ _ w HOURS OT REGULAR EMPLOYEES _ _ — a 41 0 S L RIES TEMPORARY EMPLOYEES _ 4 0 W _ H URS'TEMP RY EMPLOYEES 3 SALARIES T TEMPORARY EMPEO—YE-Eg 4130 J HOURS T TEMPORARY EMPLOYEES _ E 11. --3.L c EMPLOYEE NSUMNC __ 43 3 LOYEE -- PENSIONS 4133 it TOTAL HOURS in Z6 10 3 P A "Vices— TOTAL UP L E 249. 468 100. 100. 1 100. 42 0 NON OFFICE 145. 30. 300. 300. 300. 0 300, TZIT 4216 CHEMICALS _ 42 7 CLOTHIN ALLOWANCE __ 2 0 EP 6 R M NT SUPPLIES-GENER L S 42211 REPAIR & MAINT SUPPLIES-EQUIP 42 1 _ 42221 REP b MAINT SUPPLIES-OTHER IMP REP b MAINT_ SUPPLIES-BUILDINGS _ 4230 SMALL TOOLS E4340 4300 PROFESSIONAL SERVICES W A� w w 1111./111U1� ___ W = 4330 ADVERTISING — IL " 43 0 PRINTING & COPYING —3 0 NSUMNCE o: 4360 UTILITIES 4360 _ = 4370 REPAIR & MAINTENANCE-GENERAL _ 4370 _ c < 4 REP INTEN NCE-EQUIPMENT 43 9 43 2 REP IM�THER IMPROVEMENTS 4372 4373 REP &MINT-BUILDINGS GROUNDS 4373 `: RE N -SE L COATING WS" OTHER CONTRACTUAL 11 145. 1 4380 TENT AL 4380 4401 DUE & SUBSCPTIONS _ _ 03 N ERE_NC ES, CHOOL 3 >; 4404 LAUNDRY 4404 OTHER EXPENSES —SUB T TA 11 9 Soo 4500 LAND _--BTU BUILDINGS AND STRUCTURES —_ _ 45 _ 4520 FURNITURE AND FIXTURES __ 4520 ~ 4530 CHINERY & AUTO EQUIPMENT 530 '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY —SUB TOTAL Program Group Total $11,642.1$12,427.1$16,212. $16,307. $16,712 $16,712. RIO-ACCT , CAPITAL OUTLAY-DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 i r PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource' Page Minnesota Allocation Plan A i INWD CODE IMPAMENT CODE DIVI�I CODE con GENERAL 01 FIRE 06 FIRE 22 IFIFIGIORRE ADMINISTRATION 121 ACTUAL ACTUAL D EPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4 SALARIES REGUL R EMPLOYEES , • 21 129. $23 095. 23,Q95 2 4100021,430. HOURS REGULAR EMPLOYEES 2 153 2.144 3,533 1,137 4 W 4T10 S LAS OT REGUL EMPL YEES _ _ w HOURS OT REGULAR EMPLOYEES _ _ _ rc 4120 S L RIES TEMPORARY EMPLOYEES _ 52. 4 0 W HOURS EMP Y EMPL YEES 4130 L RIES T TEMP RARY EMPLOYEE i EMPLOYEES HOURS OT TEMPORARY EMPL YEES = EVE , $�S. ,2 5. 5-=225. 3,655. 4,425. 3,343. PL E E INSURANCE T5 R3. 1 619. 3,832. 2,625. 2,517. 4132 2 593. w 4133 LOYEE PENSIONS 36,652. 3 038. 2,629. 3,346. 2,955* 4133 3,043. d TOTAL HOURS 2,15 2 147 3 533 1,167 3,131 3 134 A TOTAL 7 P P R 4200 0 319. 533. 300, 300. 350. 4200 350. 4210 NON OFFICE SUPPLIES 127. 172 250.1 740, 500, 2101 500. 58, 4. 4Z111 4216 CHEMICALS _ _ 42 4217 CLOTHIN ALLOWANCE 8 00. 200. 200. 21 0. 4 0 REP R b MUPPLI'S-GENER L 0 3 42211 REPAIR & MAINT SUPPLIES-E UIP 38. 12. 50. 50. 4221 50. 42221 REP & MAINT SUPPLIES-OTHER IMP 4 F2 2231 REP & MAINT_ SUPPLIES_-BUILDINGS _ 250. 4223, 4230ISMALL TO LS 423011 rn 4300 PROFESSIONAL SERVICES 6. 4300 w 310 TTUN _ T) ,115. 375. 1 950.-2,325. 4310 1 325. I=u i 4330 D ERT SING _ 330 _ IL " 4340 PRINTING & COPYING 241. 288. 150. 150. 1 4340 Ir W = T31970- INSURANCE 1,666 5.54 3 a t 4360 UTILITIES _ 4360 F 4370 REPAIR & MAINTENANCE-GENERAL 50. 4370 _ c 4371 REP I INTEN NCE-E_QUIP=:., ' 91. 118. 24 . 437 372, REP & INT- THER IMPROVU1 3 2 4373 REP 3 M INT-BUILDINGS GROi, - i 145. 59. 100 4373 4-3-74 REP & MAINT-SETC COATING I 4 741 3 75' OTHER CONTUCTUAL SERVICES __.. 4380 RENTAL 4380 1 4401 DUES & SUBSCRIPTIONS 2 362 COOL 3 4 03 P: EL, C N ER NOES L G 4404 LAUNDRY 4404 OTHER EXPENSES -SUS TOTALS 5 708. 3 690. 11 683. 6,830 5 8 4500 LAND _ - 4510 BUILDINGS AND STRUCTURES _ 51 's 4520 FURNITURE AND FIXTURES __ 45 0 4530 CHINERY & AUTO EQUIPMENT 53 '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL O D D Program Group Total 68,120.$ 34,799.p 38,471.$ 44,554.$ 37,534 $36,239. )RIO-ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program •Detail Resource• Page Minnesota Allocation . Plan FUND CAE DEP KENT CODE gWSI CODE GENERAL 01 FIRE 06 FIRE 22 FIRE TRAINING 122 F76 U DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXP9ENSE BUDGET ES1IMAATE REQUEST ANCOT BUDGET SEC.SEC. 4100 4 SALARIES REGUL R EMPLOYEES 158. 6 HOURS REGULAR EMPLOYEES 20 40 4-tT0 S L RTES OTRE�UL7( PL PEE v HOURS OT REGULAR EMPCOYEES _ _ - 4120 S RIES TEMPORARY EMPLOYEES 4,903, 41201 11 W - H URS EMP RY EMPL YEES X81 47 4130 SALARIES OT TEMPORARY EMPLOYEE 1 J HOURS OT TEMPORARY EMPLOYEE = EM L EES EVE _ 4� _ EMPLOYEE CE 163. 147. _ 25. 120. 212. 232. 9 4133 EMPLOYEE PENSIONS 30. 20. 50. 81. 60. 4133 2,825. TOTAL HOURS 1,022 935 1,095 704 1,359 A P E U L E _ 16. 129. 200. 16 200.1420 200. 4210 NON OFFICE SUPIES T 63. _ 25 O 250. 4216 CHEMICALS_ _ _ 4216 4211 CLOTH IN L� NCB 11 4217 iff O REPAIR 6 M NT UPPLIES-GENER L 4220 IL 6 4221 REPAIR b MAINT SUPPLIES-E UIP 4221 _ 4222 REP 6 MAINT SUPPLIES-OTHER IMP 4 2 3 EP & NT SUPPLIES_-BUILDINGS -_ 3 4230 S LL TOOLS 4 0 a 4300 PROFESSIONAL SERVICES 4300 3 ,. N T N 25. 3. 25. 25, 4310 330 25. uu, = 4330 DV_FRT SING _ ^' x " 43 0 PRINTING 8 COPYING 19. 30. 250. 100. 2 0. 43400 250. W T3-90-INSURANCE� -- o 4360 UTILITIES _ 360 _ F 4370 REPAIR 5 MAINTENANCE-6QNERAL _ 4370 o < 43 REPAIR INTEN NCE-EQUIPMENT 156. 20. 55. 200. 437 200. 43 2 REP 5 NT- THER IMPROVEMENTS 4373 4373 REP b h�1 INT-BUILDINGS GROUNDS 360. `: 4W REP N -SE L COATING OTHER WT = 4380 RENTAL 4380 4401 DUES & SUBSCRIPTIONS 278. 327. 425. 425. 425. 425 03 TRRVEEL, C�ERENNE-S' SCHOOL 1,257. 1,644. 2,750. 2,750. G3 5 4404 LAUNDRY 4404 767 2.7 1 ER EXPENSE§ :St;B TOTAL 20. 4 250. 4 53 0 4 4 4500 - _ 450 4510 BUILDINGS AND STRUCTURES _ - i < 4520 FURNITURE AND FIXTURES _ 50. 75. 175. 45 0 4530 MACHINERY b AUTO EQUIPMENT 50. 530 0 4540 OTHER IMPROVEMENTS 4540 0 CAPITAL OUTLAY -SUB TOTAL 950. 175. 225. 0 Program Group Total $ 7,159. $ 8,592. $10,600. $11,504..$12.,235. 15,184. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 � r PROGRAM BUDGET 1979 { City of Fridley, Program Detail Resource' Page Minnesota Allocation . Plan ►UND CODE DEP NEN CODE CODE F110 IWOUP CODE GENERAL FIRE 06 FIRE 22 FIRE PREVENTIO 2 ACTUAL UL SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC, 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGUL R EMPLOYEES 12,624. 16 037. 13 591. 18 350. 11,700. 4100 E7. . HOURS REGULAR EMPLOYEES 1,3_46 _1,851 2,078 1,061 1.76 4Tf0 CARIES OT REGULAR E"1PL01EES HOURS OT REGULAR EMPLOYEES _4120 S L RIES TEMPORARY EMPLOYEES 4,000. 3 596. 5 000. 3 500. 24 . 41 0 . N HOURS TEMPORARY EMPLOYEES 796 692 909 285 1,317 1 4130 SALARIES T TEMPORARY EMPLOYEES 41.301 ., HOURS OT TEMPOR7 Y EMPLOYEES = EM L EES EVE __ 1,953. 2,364. 2,4 3 0 4M EMPLOYEE N U NCE 1,087. 1.308. 2 .aL 2 4133 LOYEE PENSIONS 1,829. 2,212. 4133 TOTAL HOURS 2,142 2 543 2 987 1 346 3.077 2,967 P A R TTA 2V,493. 2 24-678- 26.261 0 E U E 470. 265. 200. 150. 200. 200. 4210 NON OFFICE SUPPLIES 378. 55. 150. 0 �RD--C[I�1`S- 246. 320. 150.1 2 4216 CHEMICALS_ _ 4216 4 17 CLOTHIN LANCE 111. 46. 200. 200. 200. 21 200. 2201REPAIR 3 MAINT SUPPLIES-GENERAL _ 0 3 42211 REPAIR & MAINT SUPPLIES-EQUIP 4221 42221 REP & MAINT SUPPLIES-OTHER IMP 13. 2 EP & MAINT_ SUPPLIES_-BUILDINGS _ 4230 SMALL TOOLS 4M-0 0 4300 PROFESSIONAL SERVICES _ 65. 4300 W • 3101CO.WNICATION _ 146. 759. 0. Id = 43330 ADVERTISING IL ° 43 0 PRINTING A COPYING 696. 4340 W 43-FO NSURRANCE 43501 o t+ 4360 UTILITIES _ _ 43 0 F 4370 REPAIR & MAINTENANCE-GENERAL _ _ 4370 _ c < -4-37T REPAIR & MAIN TEN NCQUIPMENT 33. 121, 190, 150, 100, 437T 100 372, REP & MAINT-OTHER IMPROVEMENTS 37 0 14373 REP & MAINT-BUILDINGS/GROUNDS 4373 4W REP & MAINT-SEAL COATING 4S73' OTHER CONTRACTUAL SERVICES­ 4380 RENTAL 26 4380 `: 446T DUES & SUBSCRTPTIONS 91. 105. 75. 75. 03 RAVEL, 00WEERENCES, SCHOOLS 1,749. 1,413. 1,450. 1,450. 1,450. 4403 S 4404 LAUNDRY 4404 TH R EXPENSES -SUB TOTAL 3,920. 4,528. 3 37 3 2 4500 L NO _ _ 4510 BUILDINGS AND STRUCTURES _ 4510 _ e 4520 FURNITURE AND FIXTURES __ 45 0 4530 MACHINERY 3 AUTO EQUIPMENT_ 87. 530 0 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL 87.1$ 01$ O. 2,368.7- 0 0 Program Group Total $25,500.1$30,045.1$28,460. $35,168. $28,053. 29,636. RIO CCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 e PROGRAM BUDGET 1979 City of Fridley Program Detail Resource Page n Minnesota Allocation . Plan runo coos ME T CODE avnl CODE 9wour GENERAL 01 FIRE 06 FIRE 22 IFRFOIRE SUPPRESSION 124 ACTUAL TU L DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGUL R EMPLOYEES JAIS 667. 49 241. 49 788. 54 738. 56 796. 4100 59,0 HOURS REGULAk EMPLOYEES 9,099 8,978 7 616 4,674 8-,5-45-- 8,630 H 4�'f0 S L RIES OT REGUL EMPLOYEES _ 5 �_ HOURS OT REGULAR EMPLOYEES _ _ 4120 S L RIES TEMPORARY EMPLOYEES 56,955. 56,297. 54,200. 64,000. 60 755. 41 0 72 042. o: HOURS TEMPORARY EMPL YEES 12 648 13 069 9 854 6 801 11 046 W _ ,09 `1 4130 L RIES T TEMPORARY EMPLOYEES 4 HOURS OT TEMPORARY EMPLOYEES_ = M L YEES VE -_ 7 201. 7 632. X15 8 020. 12 082. 9 207. 0 4132 EMPLOYEE INSURANCL 8.8 81 87 0 83804.' 12 4133 EMPLOYEE PENSIONS 4133 6 TOTAL HOURS 21 747 22 047 17 470 11,475 19,591 P A R TOTAL > • > E U L E 14. 1 4. 50, 5o. 4200 50 4210 NON OFFICE SUPPLIES_ 0 900 �R1STl7 9 _ 987. 1,014. 1,200. 1,700. 1,200. 4211 1,200 4216 CHEMICALS 42 6 4217 CLOTHIN ALLOWANCE _1.805. 1,494. 2,100.. 2,400. 2_,1 0-0, 21 2000 4220 REPAIR 8 M NT UPPLIES-GENER _ 9. 50. 0 3 4221 REPAIR A MAINT SUPPLIES-EQUIP 2.095. 1,363. 2.500. 1,950. 2,500. 4221 23500 4222 REP A MAINT SUPPLIES-OTHER IMP 150. 150. 42 2 150 3 EP & M ANT SUPPLIES_-BUILDINGS _98. 28. 4230 SMALL T LS 54. 162. 250. 200. __250. 4 0 250 w 4300 PROFESSIONAL SERVICES 400. 4300 v '. N T N - 5. 1.400.1 1,540. 1 540 433 DART S NG 15. 330 x " 4340 PRINTING A COPYING 11. 4340 W 4-35'0- INSURANCE 1 199. 4,893. 03 1.30Q____5.000. 35 o 4360 UTILITIES 4360 _ = 4370 REPAIR A MAINTENANCE-GENERAL _ 4370 _ c < 437 REPAIR MAINTENANCE-EQUIPMENT 4 712. 7 472. 6 900. 2 437 T 7,600 43 2 REP A M NHER IMPROVEMENTS _ _ 2 r 4373 REP A�1lh INT-BUILDINGS GROUNDS 18. 2 004. 500. 40. 5011 4373 5 4�7d- REP N -SE L COATING C. 4175 HE CONTRACTUAL E 136. 111. 1006-4375 a 4380 RENTAL 25. 25. 25. 25. 25.4380 25 4401 DUES A SUBSCRIPTIONS 123. 85. 28. 03 TRAVEL, CONFERENCES SCHOOLS-- 3 S 4404 LAUNDRY 4404 OTHER PENSES -SUB T TA 14,727, 23 372. 28,208. 35 678. 9 6 9 4500 LAND - 4510 BUILDINGS AND STRUCTURES 53. __ 5 0 _ i a 4520 FURNITURE AND FIXTURES - 328. __ 5 0 r- -j 4530 WHINE RY A AUTO EQUIPMENT 1.587. 1 510. 956. 8.195 8,283!1530 1 400 c 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY - SUB TOTAL ,968. 1,5 0. 6,956. 8,195. 8,283 1,400 Program Group Total $143,062. $192,958.$201,134.$230,204.$183,316. 1$216,134 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 f�1 � PROGRAM BUDGET 1979 ; City of Fridley, Program Detail Resource' Page Minnesota Allocation . Plan �. PWID CODE IMP MENT CODE DOW 10 COD! MOW GENERAL 01 CIVIL DEFENSE 25 CIVIL DEFENSE 25 CIVIL DEFENSE 136 ACTUAL TU L DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4 SALARIES REGUL R EMPLOYEES 9,L55. 9,860 9 206 10,280 10, 3 4100 , HOURS REGULAR EMPLOYEES 2,144 _2,084 2,338 2,594 2,346 , W 4310 SALARIES-OT REGULAiE,MPLOYEES _ v_ HOURS OT REGULAR EMPLOYEES _ 4120 S L RIES TEMPORARY EMPLOYEES __19. 22. 4126 D: W HOURS TEMPORARY EMPLOYEES 10. 12. 4-F3-0 L RIES OT TEMPORARY EMPL6Y_EES 4130 HOU S OT TEMPOR EMPLOYEE _ = EMPLOYEE S LEAVE 1409 1,528. 1 689 1 600 1,927 41311 1,927. 4 3' EMPLOYEE INSU NCE 45 500 700 729 4132 729. 4133 E14PLOYEE PENSIONS 1,181. 1.2 1.15 0 300 1,394 4133 1,394. o TOTAL HOURS 2.154 2 096 2 338 2 594 2,346 2,346 PERSONAL R TOTAL 12,219 13:219-. 12 545 3 8 , 0 UPPL E _ 95 33 150 150 4210 NON OFFICE SUPPLIES__ 1 124 100 150 290 0 200. �CfTO-[[JI�E� 22 116 4216 CHEMICALS_ _ 42161 217 CLOTHIN LLOWANCE _1 040 1,393, 1,050 1,500 1,250 21 1 50. 4 0 REP R 8 M NT SUPPLIES-GENER L _ 0 3 4221 REPAIR & MAINT SUPPLIES-EQUIP 461 300 80 300 4221 300. 4222 REP & MINT SUPPLIES-OTHER IMP 4222 3 EP & MAINT_ SUPPLIES_-BUILDINGS TM 4230 SMALL TOOLS 4 0 rn 4300 PROFESSIONAL SERVICES 4300 W 3 T N 0. H u=, = 4330 DER SINT—G 330 W = 43 0 PRINTING & COPYING 290 77 200 20 200 4340 30UR�(NCE 227 300 800 800,4350 800 0 16 4360 UTILITIES 227 _ 271 175 290 175 4370 175 4370 REPAIR & MAINTENANCE-GENERAL _ c s 43 REP M NTEN—ANCE-ECU_IPME-NT 265 657 805 800,4371 800 4-37-2 —REP & NT-OTHER IMPROVEMENTS 4372 4373 REP 6 14INT-BUILDINGS GROUNDS 4373 `= 434 REP & MAINT-SEAL COATING 3 4_37T OTHER R C U L s 4380 RENTAL 4380 44011DUES & SUBSCRIPTIONS , 40 40 03 R VEL, C NFERENCES, SCHOOLS 3 O 4404 LAUNDRY 4404 OTHER EXPENSES -SUB TOTAL 3,371 4,594 4 470 3 493 5,365 5.365, 4500 L NO _ — 4510 BUILDINGS AND STRUCTURES 510 4520 FURNITURE AND FIXTURES 417 5 0 ; J 4530 CHINERY & UTO E UIPMENT 301 442 0 530 0 � 4540 '0 4540 OTHER IMPROVEMENTS CAPITAL OUTLAY -SUB TOTAL 1 Program Group Total 16,308 18,254 17,015 17,373 25,845 23,845 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET J ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource• Page Minnesota Allocation . Plan FUND CODE OE ATNENT CODE I DIVI ION CODE CODE GENERAL 01 PUBLIC WORKS CODE ENFORCEMENT 27 LDG CODE ENFORCEMENT 141 ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4 SAL R ES REGULAR EMPLOYEES JL6,85 5. $49,454. $53,509. $52,000. $54,260. 4100 L.54,260 HOURS REGULAR EMPLOYEES 2 087 2,807 2,148 3,171 3.136 6,886 W 4T10 L R ES OT REGULAR EMPLOYEES _89. 129_ 100. 100. 100. 100. HOURS Of REGUL R EMPCOYEES _ 7 2 8 8 8 4120 S LARIES TEMPORARY EMPLOYEES _ 24. 15. 100. 50. 50. 4 0 50. RS W HOURS TEMPORARY EMPLOYEES 24 7 315 3 H 4130 3ALARIES OT TEMPORARY EMPLOY-EN .; HOURS OT TEMPORPRY EMPLOYEES L0 4W OYEES LEAVE _ 466.z -EMPLOYEE INS 2,388. 930, 2 4133 LOYEE PENSIONS 4133 7,121. TOTAL HOURS 2 118 2 816 2 471 3 171 3 147 P A RV TA + ' SUPPLIES 663. 591. 700. 600. 700. 4200 700. 4210 NON OFFICE SUPPLIES 382. 583 500. 500. 500. 4210 500. TAD EM5 42161 CHEMICALS _ 42% 171 CLOTHIN ALLOWANCE __ 0 REP R MAC Nf-T SUPPLIES-GENE L _ 0 3 2211 REPAIR 8 MAINT SUPPLIES-EQUIP 6. 150. 1000 100. 4221 6 42221 REP 6 MAINT SUPPLIES-OTHER IMP 4222 3 EP b NT_ SUPPLIES_-BUILDINGS 3 4230 SMALL TOOLS 18. 50. 50. 50. 4 0 W 4300 PROFESSIONAL SERVICES 4300 VD COMMUNICATION ___ ' ' ' ' u, `z 330 ADVERTISING 330 x ° 4-3-40- PRINTING & COPYING 251. 425. 700. 600. 600, 4340 600. m = T3-50- NSU NCE 63. 587. 600. 990. 1 200. 50 1,200. o t; 4360 UTILITIES _ _ 4360 _ F 4370 REPAIR b MAINTENANCE-GENERAL 4370 o 3711 REP MAINTENANCE-EQUIPMENT 306. 416. 600. 500. 500. 437 500. 43 2 REP 6 M NT- THER IMPROVEMENT 8 395. 9,718. 8,700.. 16, 0 43721 4373 REP-& MINT-BUILDINGS GROUNDS 4373 EP & MAINT-SEAL COATING E CONTRACTUAL SERVICES a 4380 RENTAL 4380 440-1 DUE 6 UBSCRIPTIONS 187. 272. 200. 200. 250. 250. X403 _EL, CERENCES, SCH L 4,046. 4,117. 4,600. 4,550 4,600 3 4,600. 4420 REFUNDS REIMBURSEMENTS 195. 200. 200. 200. 4404 20900 TH R PEN E -SUB T TA 00 LAND _ _ - 4510 BUILDINGS AND STRUCTURES __ i s 4520 FOR AND FIXTURES _822. 200. 0 9 5 5 0 9�5. -j 4530 CHINERY b AUTO EQUIPMENT 530 o' 4540 OTHER IMPROVEMENTS - 4540 CAPITAL OUTLAY -SUB TOTAL 822. 2O 200. 975.1 975. • Program Group Total 78,640.$ 86,582.$ 92,627.$ 97,997.$107,287 $95,802. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 e � PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource' Page Minnesota Allocation . n Plan FUND GOOF DE N T CODE DIVgI CODE _... GENERAL 01 PUBLIC WORKS 11 CODE ENFORCEMENT 27 ICITY CODE ENFORCEMENT 142 ACTUAL UL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQ9UESST ANOCT BUDGET SEC. ' 1979 4 SALARIES REGUL R EMPLOYEES $35,349. 39,935. W,405. $41,200e $23,519. 4100 24,665. HOURS REGULAR EMPLOYEES 1,574_ 2,266 1,662 2,239 1,359. m 4T10 S L RIES OT REGULAR EMPLOYEES 19. 46. 100. 50. 50. 50. HOURS OT REGUL R EMPLOYEES _ _1 1 8 1 1 3 4 it 4120 SALARIES TEMPORARY EMPLOYEES _247. 4. 300. 250. 250. 4120 250. W H UR EMP RY EMPLOYEES 248 H 4130 SALARIES OT TEMP RARY EMPLOYEES_ HOURS OT TEMPOR Y EMPLOYEE _ i ffff EMPLOYEES LEAVE _ 547_ 5 3,846. 0 4M L`�TINSUUNCE 1_,Z33.. & 4133 LOYEE PENSIONS 4133 3.797. TOTAL HOURS P A R - TOTAL 4 2 36. . E UP L E _ 45. 13. 100. 90. 100. 100. 4210 NON OFFICE SUPPLIES 281. 258. 250. 225. 1 250. 0 250, UTTI FUELS BIRD LUBES- 132. 191. 200. 100. 1 100. 4Z11 100. 4216 CHEMICALS __ 14216 4 7 CLOTHIN ALLOW NCB -_ 0 REPAIR 8 MAIi NNTT S PLIES-GENERAL _ 0 3 4221 REPAIR b MAINT SUPPLIES-EQUIP 2. 100. 50. 4221 4222 REP b NT SUPPLIES-OTHER IMP __ 42 422-3 EP b INT_ SUPPLIES_-BUILDINGS - 4223 423-0 -SMALL TOOLS Y! w 6. 4 0 8 y ONAL SERVICES 4300 W T N w = 4330 D ERT S NG _- 330 x " 43 0 PR NTIN6 b COPYING 4340 0. W = 3 0 _NS URTNCE 15. 100. 100. 00. 0 0 4360 UTILITIES - 4360 _ w 4370 REPAIR b MAINTENANCE-GENERAL 11. 4370 o 43 REP INTEN NCE-EQUIPMENT 24. 273. 300. 200. 100. 437 100. 437-2 REP b INT- THER IMPROVEMENTS 4373 REP & MAINT-BUILDINGS GROUNDS 4373 oT4 EP NT-5 CL COATING 4W OTHER CONTRACTUAL 260. 260. 300. 300. 4380 RENUKE- 4380 O1 DUES b SUBSCRIPTIONS IIONS - 39. 90. 150. 150. 00. 0 03 _N ERENCES,SCHOOL 160. 705. 600. 600. 700. G t 4404 LAUNDRY 4404 OTHER EXPENSES -SUB TOTAL OO LAND _ - T 4510 BUILDINGS AND STRUCTURES __ s 4520 FURNITURE AND FIXTURES 197. -27. _ 250. 45 0 -�50. 4530 CHINERY b AUTO EQUIPMENT 530 '0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL 197. 27. 0 0 250. 250. Program Group Total 48,399. $55,574. $59,092. $58,395. $34,536. $36,041. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 i PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource• Page Minnesota Allocation . M Plan PuND CODE DEPARTMENT CODEJ DIVI ION CODEJ MOUP COD GENERAL 01 PUBLIC WORKS 11 CODE ENFORCEMENT 27 HOUSING, MAINT ENFORCE 150 ACTUAL UL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE 7REQUEST ACCT BUDGET SEC. 1 976 1977 1978 1978 NO 1979 4 S L R ES REGUL R EMPL YEES 4100 15 192. H URS REGULAR EMPLOYEES 1926 W 4110 L RIES OT REGULAR EMPLOYEES _ __ CIO HOU S OT REGULAR EMPLOYEES _ __ C5; 41 0 SALARIES TEMPORARY EMPLOYEES 1 000. 4120 6 567. W HOURS TEMPO Y EMPLOYEES h 4130 L RIES OT TEMPORARY EMPLOYEES 4130 .; HOURS OT TEMPORRY EMPLOYEES _ = EM L EE E VE 2 808. 2,370. 12�°, EMPLOYEE N U NCE __ 632. 919. 4133 EMPLOYEE PENSIONS 1 532. 4133 7T 990 TOTAL HOURS 940 3.702 P A R TOTAL /+ 4200 OFF UP L E 0 4210 NON OFFICE SUPPLIES DO. 4Mo AAb-T[16ES 4216 CHEMICALS T2-F6_ 42171 CLOTHIN ALL W NCB 4 2201REPAIR 6 MAINT SUPPL ES-GENER L _ 0 42211 REPAIR 8 MAINT SUPPLIES-E UIP 4221 42221 REP & MAINT SUPPLIES-OTHER IMP 2 2231 REP b MAINT SUPPLIES_-BUILDINGS _ TM 4230ISMALL TOOLS 4M-0 W 4300 PROFESSIONAL SERVICES 4300 N w 3 N T N ___ W = 43 0 D ERRTTISfNG 330 IL " 43 0 PRINTING 6 COPYING 4340 W = 3 0 NUR- NK CE 50 o t; 4360 UTILITIES 4360 _ z 4370 REPAIR & MAINTENANCE-GENERAL 4370 _ c -4-3-7T REPAIR & MAI NTEN NCE-EgUIPMENT 43 437T REP b INT-OTHER IMPROVEMENTS _ 3 4373 REP & MAINT-BUILDINGS/GROUNDS 4373 `: 4374 REP & MAINT-SEAL COATING 0 14M HER CONTRAUTUAL SERVICP�__ TM a 4380 RENTAL 4380 x 4 O1 DUES & SUBS CR PTI NS _ _ 4403 TRAVEL, CONTE-RENCES. SCHOOLS 3 O 4404 LAUNDRY 4404 500 L ND OTHER EX PENSES - e TOTAL , , 4510 BUILDINGS AND STRUCTURES _ _ 51 4520 FURNITURE AND FIXTURES 4520 _j M CHINERY & AUTO EQUIPMENT _ 530 o' 4540 OTHER IMPROVEMENTS _ 4540 CAPITAL OUTLAY -SUB TOTAL 0 Program Group Total $23,164.1 $28,788. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource Page Minnesota Allocation Plan FUND COD! DE MENT CODE D1vol COD! _ GENERAL 01 PUBLIC WORKS 11 PLANNING 28 PLANNING 143 ACTUAL DEPT T43 ET SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXP9ENSE BUDGET ES1IMAATE REQUUESST BUDGET SEC. NO 4 SALARIES REGUL R EMPLOYEES 23,720. 25 175. 29 142. 29 140. 30 820. 0. HOURS REGULAR EMPLOYEES-t 1_0984 _8,700 12 776 3,589 4.839 4.839 v, 4TT0 SALARIES OT REGULAR EMPL YEES 26. _65_ 200. 100. 100. 100. v HOURS OT REGUL R EMPLOYEES _ 5 16 17 8 12 12 4120 S L RIES TEMPORARY EMPLOYEES 5,945. 2 398. 19 919. 15.000. 15,000. 41 0 17,082. D: H UR TEMPORARY EMPL YEES _533 6' 664 4 854 3 750 3 750 TM Uj 4 30 L RIES T TEM R_Y EMPLO EE 83. i 4134 UNEMPLOYMENT COMO: _ 3,673.. 1,000, 500. 500. 500. = EM L YEES EF- 3 672.. _3-.902.- 5 .345. 5,400. 5,696. 5,696. 3 L�YER �URANCE 1 161. 1 4 1 070. 4133 LOYEE PENSIONS 3 4133 50. TOTAL HOURS 8.4.51 R-6ni 8.601 P A RV - T TA 7 7. 9 58 236. $60 318 U L E _ 1 069. 1 748. 1 400. 1 400. 1 500. 1,500. 4200 OFFI 4210 NON OFFICE SUPPLIES 104. 200. 100. 100. D TM lI$E� 156. 159. 200. 200. 300. 216 3 4216 CHEMICALS _ 21 f j 4 17 CLOTH IN ALLOWANCE __ 50- 53. 50. 0 0 tEP fR & M NT UPPLIES-GENER L 15. b 4221 REPAIR b MAINT SUPPLIES-E UIP 2. 100. 100. 200. 4221 200. 4222 REP b MAINT SUPPLIES-OTHER IMP 2 3 -VEP 6 MAIINT SUP LIES-BUILDINGS __ 4230 SMALL T LS 4 0 y 4300 PROFESSIONAL SERVICES 4. --.1.500. 1,500. 1.500. 4300 26,500. W N N 50 1.400. u=i = T 3-6 D ERT S N�G- __a5 1 330 x " 43 0 PRINTING b COPYING 4340 W 3 0 NSUP Nom- 3 0 o 4360 UTILITIES 4360 _ TM F 4370 REPAIR b MAINTENANCE-GENERAL _ 4370 _ c A 43 1 REP IR M INTENANCE-EQUIPMENT 43 3 2 REP b INT- THER MPROVEMENTS 3 4373 REP&NT-BUILDINGS GROUNDS 4373 `: 3 EP I M. NT- E L C TING H ZGZITRCUL SERVICES Y 4380 RENTAL 4380 4 Ol DUB b UBSCRIPTIONS 2 77. 00. 00. . 03 T EL, C N ERENCU. SCH00 1 153. 1 342. 1 250. 1 700. 1 700. 3 ,700. t 4404 LAUNDRY 4404 TH R PENISE - e T Ta 5 868. 5 513. 9 025. 10 635. 2 3 4500 L ND _ _ - 4510 BUILDINGS AND STRUCTURES 45 0 _ a 4520 FURNITURE AND FIXTURES 317. _353 350. 350. 350. 4530 _j 4530 CHINERY b AUTO EQUIPMENT _ 160. 160. c 4540 OTHER IMPROVEMENTS - 4540 CAPITAL OUTLAY -SUe TOTAL Program Group Total $43,952. 45,674. 71,279. $ 67,325. $ 70,644. $ 97,136.. RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 i PROGRAM BUDGET 1979 t City of Fridley, Program Detail Resource' Page /1 Minnesota Allocation . M Plan FUND CODE DEPAhtwENT CODE DIVI ION CO DE ._-. GENERAL 01 PUBLIC WORKS 11 CIVIC CENTER 30 CIVIC CTR/GRNDS MAIN 148 ACTUAL UL D PT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. 1976 1977 1978 1978 1979 NO 1979 4100 SALARIES REGUL R EMPLOYEES $20,051, 22,400, 2 197. 4100 24.197. HOURS REGULAR EMPLOYEES 3,677 _3,459 4,075 4,075 4,16-3 148 to 4110 SALARIES OT REGULAR EMPL YEES T,46. _113. 300. 250. 300. u HOURS Of REGULAR EMPLOYEES 79 12 50 42 26 26 > 41 RI 20 S L ES TEMPORARY EMPLOYEES 61880. 8,270. 9,000. 8,200. 9,000. 4 0 9,000. y H URS TEMPORARY EMPLOYEES 2,274 2,594 2,400 2.187 2.250 2,250 I 4130 -SALARIES OT TEMPORARY EMPLOYEE 9. 10. 50. - 4130 HOURS OT TEMPORARY EMPLOYEES• 2 2 10 i 3 EM L YEES E __ 3,104. 3,197, 3 0 4W EMPLOYEE N U NCE 5 2, 324 4133 LOYEE PENSIONS 3.163.1 4133 TOTAL HOURS A R TOTAL P 11.E 131. 50. 50. 50. 50. 4210 NON OFFICE SUPPLIES! 1,853. 4,017.. _ 2,000. 1,900. 2,000. 210 2,000. MT FUELS AND-CWS-- 51. 29.1 50. 40. 50. 4Z11 50. 4216 CHEMICALS _ _ 89. 42 J 4 2171 CLOTHIN AL-LOWANCE 50. 50. 50. 50. 507M7 50. EPAIR 6 MAINT SUPPLIES-GENE L 289. 3 42211 REPAIR b MAINT SUPPLIES-E UIP 56. 19. 100. 100. 100. 4221 100. 42221 REP b MAINT SUPPLIES-OTHER IMP 14222 2231 REP b NT SUPPLIES_-BUILDINGS 427. 83. 600. 590. 600. 600. 4230 SMALL TOOLS 100. 50. 50. 4 0 50. 4300 PROFESSIONAL SERVICES 1,650. 3 000. 4300 2.500. W M�UNICATION 2,613. 1,109. 1,200. 1,200, 50. W = 43301ADVERTISING _ 330 x ` 43 0 PRINTING b COPYING 4340 " 35 NSURANCE 350 o G 4360 UTILITIES 21,177 4360 g i 4370 REPAIR b MAINTENANCE-GENERAL _ 50. 4370 _ c < 43-7T REPAIR NTEN NCE-EgUIPME T 1 53 37 4377 REP b MAINT-OTHER IMPROVEMENTS 31 4373 REP b-MAINT-BUILDINGS/GROUNDS 4373 ��l :` 4374 REP & MAINT-SEKL-C-OATING HER CONTRACTUAL 35. a 4380 RENTAL _ 4380 am 4.453 MISC MDSE FOR RESALE 44. 03 T VEL, CONFERENCES,TCHOOLS 3 S 4404 LAUNDRY 4404 H R P NSE -S B T TA 4500 LAND 4510 BUILDINGS AND STRUCTURES _ 6,147. 17,700_17dOO. 1 0 WO 12,000 45 0 FURNITURE AND FIXTURES 7,300. 8,872 0.T5 T0_ ;j 4530 MACHINERY UTO EQUIPMENT 586. 1,799 53 '0 4540 OTHER IMPROVEMENTS • 4540 CAPITAL OUTLAY -SUB TOTAL Program Group Total $80,067. 109,647.P]10,206.$112,113.1$125,320. P124,320 )RIO-ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 . PROGRAM BUDGET 1979 .�.._. __��W. ......�.._._ i Program Detail Resource' City of Fridley, Page- Minnesota Allocation . Plan FUND CODE I DEPARTMENT CODE I DIVI ION GENERAL 01 1 PUBLIC WORKS 11 ENGINEERING 36 JENGINEERING tACCTBUDGET 51 ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION F76 EXPENSE BUDGET ESTIMATE REQUEST S 1977 1978 1978 1979 9 4 S L R ES REGUL R EMPLOYEES 4 75 46 400 38 0 42 672 HOURS REGULAR EMPLOYEES 6.118 6 000 4 460 5 796 796 v, 4110 L R ES OT— REGULAR EMPLOYEES _2-3Q 00 100 100 1 0 U w S OT REGULAR EMPLOYEES _ 30 10 8 8 4120 S L RIES TEMPORARY EMPLOYEES 5,905 7,000 0 0 7 000 4 7.000 W HOURS TEMPORARY EMPL YEES 50 1 750 H 4130 SALA91ES OT TEMPORARY EMPLOYEE 10 H 0 U R S OT TEMPOUR—Y EMPLOYEE 8 17 17 = EM L EES LEAVE — . $ 8 7 82 0 TM EMPLOYEE INSURAN9 CE 4133 L YEE PENSIONS a _5,7 4133 5 80 TOTAL HOURS 7.57' P A R T TA 66 063 68 86 93 58 00 ,6 0 0 6/ 050 U L E 90 4200 1 900 4210 NON OFFICE SUPPLIES! 0 900 4TI 4216 CHEMICALS _ _ 45 75 75 75 4216 75 421T CLOTHIN ALLOWANCE 10C 128 100 4217 4 0 REP b MAINT SUPPLIES-GENER L err 4220 9 4221 REPAIR 6 MAINT SUPPLIES-EQUIP _ 536 60U 600 - 221 REP & MAINT SUPPLIES-OTHER IMP 11272 EP 6 -MINT SUPPLIES_-BUILDINGS __ 3 ; 4230 SMALL TOOLS 100 100 100 4 0 100 H 4300 PROFESSIONAL SERVICES 2 150 705 900 900 2,000 4300 2,000 ` y 3 COMMUNICATION 1,716 2,694 2,100 2,800 3.080 3,080 aw = 4330 �T STING 79 139 150 50 150 4330 150 W ° 4340 PRINTING 5 COPYING 7 7 85 0 4340 1 ,000 4.3_5_0 NSUPA-NCE — _ _ 92Z 1,409 1.550 3&6-6- 4,399 4350 4,399 w 4360 UTILITIES _ 4360 _ 4370 REPAIR b MAINTENANCE-GENERAL _ 4370 _ o % 43 REP NTEN NCE-EQUIPMENT 4 2 7 5 437 2 00 43 2 REP S INT- THER IMPROVEMENTS 372 _ 4373 REP A INT-BUILDINGS GROUNDS 4373 z REP L COATING 0 3 OTHER CONTRACTUAL 420 396 250 00 4 450 s 4380 RENTAL 32 50 4380 01 DUFS & SUBSCRIPTIONS 490 324 350 350 350 4W 350 03 A1TEL, CbNI`ERENCES' SCONE— 2 LU 1 2.000 1 1,950 2,000 4403 2 000 6 4404 LAUNDRY 4404 OTHER EXPENSES -SUB TOTAL 9 5,7W 7577, 25 $17,851 $19,954 , 500 LAND _47 Z500 _ 4510 BUILDINGS AND STRUCTURES _ 45 TO i i 4520 FURNITURE AND FIXTURES 524 12307 400 5 0 A 4530 MACHINERY & AUTO EQUIPMENT 45494 940 6,840 6,466 4530 b,bb '0 4540 OTHER IMPROVEMENTS 1 1 4540 CAPITAL OUTLAY —SUB TOTAL 5.060 $2,M $7,240 $7,240 $6,650 $6,6!)U Program Group Total $85,1071 $86,192 $93,658 $83,421 $93,654 $93,654 )RIO-ACCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 PROGRAM BUDGET 1979 , City of Fridley, Program Detail Resource' Page Minnesota Allocation, Plan FUND CODE DEPNlTNENT CODE DIV1610N CODE IF%R 0 AM -GROUP GENERAL Ol PUBLIC WORKS 11 -P. W. MAINT. 371STRF5T MAIN ENANCE 181 ACTUAL ACTUAL DE PT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGETI SEC. NO 1976 1977 1 1978 1978 1979 1 NO 1979 i 400 SALARIES REGULAR EMPLOYEES 71,042 83 101 80,644 $ 80,600 81 900 4100 87 596. HOURS REGULAR EMPLOYEES _10634 1 765- 10_,746 10,347 12,436 11 817! 4110 SALARIES OT REGULAR EMPLOYEES _311 268 _ 500 400 500 0 500', HOURS OT REGULAR EMPLOYEES 33 26 82 66 40 40 0> 4120 S LARIES TEMPORARY EMPLOYEES _1 ,423 2,7521 5,000, 4,0 0 4 000 4120 4,000: W HOURS TEMPORARY EMPLOYEES 83 693 884 707 1 000 1 000 H 4130 LL RIES T TEMP RARY EMPLOYEE __ 30 HOURS OT TEMPORARY EMPLOYEES -� = 4W EMPLOYEES LE VE __ ,097 1 ,881 14,793 4,700 15 100 3 16,404 ° 3 .PL EE NSU KCE X556 6,539 9,732 9,700 9,776 _41�JT 11,43T re 4133 EMPLOYEE PENSIONS 8,990 10,669 10,144 10,200 10,795 4133 11,8$7 d TOTAL HOURS 1 11,7121 11020, 13,476 12�7 P A RVI� - TOTAL T8,41 $120,813 119.600 0 0 CE SUP"E 300 300 315 0 4210 NON OFFICE SUPPLIES 3 000 3 000 3 240 0 3,440! 4211 7if�6 �S [ 7 500 4216 CHEMICALS 42 6 �4217 CLOTHIN ALLOWANCE 75 21 1 422-0- REPAIR MA NT SUPPLIES-GENERAL _ 596 149 4 0 S 4221 REPAIR & MAINT SUPPLIES-EQUIP 7,088 4,131 9 000 9 000 9. 4221 10.50& 4222 REP & MAINT SUPPLIES-OTHER IMP 9 404 8,386 14,500 14,500 14,500 4222 14215: �ff 23 EP�t & F INT SUPPLIES_-BUILDINGS 173 4223 1 4230 SMALL TOOLS 132 1,574 600 600 600 4 30 600: '10 4300 PROFESSIONAL SERVICES 295 118 4300 1 �+ 3 ff EN4.1UN T N 885 1 ,688 1 000 1,200 1,500 1- w x 4330 ADVERTISING r 98 45 100 100 100 4330 00 X ° 4340 PRINTING & COPYING 473 314 600 500 600 4340 6001 W = 4-350- INSUR F- ICE 5,802 10,394 11 000 11 866 14,240 350 14,240 DC 4360 UTILITIES _ 1 692 _ 1 993 2 100 2 100 2 380 4360 2,380i 4370 REPAIR & MAINTENANCE-GENERAL 1 381 1,834 23 4370 o < 4371 REPAIR INTENANCE-EQUIPMENT 11,766 16,133 16,100 16,000 16,200 4371 17, 4372 REP & MAINT-OTHER IMPROVEMENTS 12,1001 4,388 7,400 7,500 7,500 4372 7,500 4373 REP & MAINT-BUILDINGS/GROUNDS 4373 4-3-7-4 REP & KAINT-SEAL COATING 31 308 35,996 48,000 48,000 4374 50,000, 43 79' OTHER CONTRACTUAL V E 1,075 5,120 1,500 1,500 1,500 1 500 a 4380 RENTAL 35 300 200 300 4380 300' x 4401 DUES & SUBSCRIPTIONS_ 100 165 200 200 250 4401 250 4403 TRAVEL, CONEERENCE�SCHOOLS 1.9171 1.546 1,800 1,850 2.000 3 2550, o LAUNDRY & TAXES 1.5511 1.584 1 200 1 600 1,700 1 700 OTHER EXPENSES -SUB TOTAL 95.436 1 3 42 $124,775 125 188 132 425 136 75. 500 LAND _ 0 4510 BUILDINGS AND STRUCTURES _ _ 4510 a 4520 FURNITURE AND FIXTURES _ 4520 4 30 MACHINERY & AUTO EQUIPMENT 29,495 3,900 32,600 32.600 52,500 453P 52,500 o' 4540 OTHER IMPROVEMENTS 7.600 4540 CAPITAL OUTLAY -SUB TOTAL 3,900 32,600 32,600 52,500 s bz,buu r Program Group Total 1223,539 $278,188 $227,388 $306,996 $320.501 BRIO ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET 11ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 f City of Fridley, Program Detail Resource• Page Minnesota Allocation Plan FUND COOL DEPARTMENT CODE DIMION CODE ' STREET SWEEPING 183 01 PUBLIC WORKS P_W_ MATNT .17 ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SKC. - NO 1976 1977 1978 1978 1979 NO 1979 41u0 SALARIES REGULAR EMPLOYEES 12 562 11,316 ,750 12,750 4100 14 350 HOURS REGULAR EMPLOYEES 11880 1 ,6 2 1,699 1,699 2,179 1 936 w ff( SALARIES OT REGUL R'�P YEES _ 76 _ 26 200 100 10 0 100 HOURS OT REGULAR EMPLOYEES _ 8 33 1 8 _8 0> 4120 SALARIES TEMPORARY EMPLOYEES 1 4120 H HOURS TEMP RY EMPLOYEES I 4130 St,L RIES T TEMPORARY EMPLOYEE _ 30 HOURS OT TEKIP0 1RRYY EMPLOYEES 3 EM L YEES EVE _ _1,4g7 -?-.2M 2 200 2,650 3 _2,650 3 EMPLOYEE INSURANCE- 1.044 977 525 1 50 1 710 3 11710 4133 ER4 QOYEE PENSIONS 1,580 1 430 ,620 1,6001 1,893 4133 1 .893 0' TOTAL HOURS 1.888, 1.6041 1 .732 1.653, 2,187 1,944 PFRSONAL SERMES-SUB T TA 20.703 00 OFPICE U PL ES 200 4210 NON OFFICE SUPPLIES__ 245 70 _ 2 0 Wnl E t —[-Ii3ES 1 133 1 342 1 900 1,900. 2,000 2 000 4216 CHEMICALS _ 42T6 w 4217 CLOTHING\ALLOKANCE _ 11 41 0 YEP AIR & MAINT SUPPLIES-GENERAL L 0 3 4221 REPAIR & NAINT SUPPLIES-E UIP 6,462 4,383 5,000 5 000 55,550-00 422.1 5,50_0 42121 REP & MAINT SUPPLIES-OTHER IMP 4222 2231 REP & M INT SUPPLIES_-BUILDINGS T.'2 T3_ 4230 SKALL TOOLS 99 4230 W 4300 PROFESSIONAL SERVICES _ 4300 w r 4-310 tOMMUNICATION 4330 ADVERTISING 4330 Ox-W " 4340 PRINTING & COPYING 4340 43 0 iNSUR Imo— 350 D: 4360 UTILITIES _ — 43 60 _ F 4370 REPAIR & MAINTENANCE-GENERAL _ 4370 c < 4371 REPAIR & I�ENANCE-EQUIPMENT 7.500 984 4,000 4.000 4.400 4371 4,400 3721 REP & M I� NT-OTHER IMPROVEMENTS 4372 4373 REP 6 I NT-BUILDINGS GROUNDS 4373 4374 REP & KAINT-SEAL COATING 3 E4-375- OTHER CONTRACTUAL SERVICEff— e 4380 RENTAL 4380 `r 7O1 DUES & SUBSCRIPTIONS _ 0 44-0-3 RAVEL, CONFERENCES FERENC_E SCH00L 03 U1 I a 4404 LAUNDRY 4404 OTHER EXPENSES -sus T TAL 500 LAND _ O 4510 BUILDINGS D STRUCTURES _ _ 4510 AN :4 a 4520 FURNITURE AND FIXTURES __ 4520 4530 MACHINERY & AUTO EQUIPMENT _ 530 o' 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL 1 O Program Group Total 1 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ;.2ITY NO DATE REQ 1979 f . 1 .. -__._._.__-___' ........_._..,..__......_.....�.._�.e._-..._.... .. ..._._-...�.—---------- 'PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource• Page Minnesota Allocation, Plan UND CODE DEPARTMENT CODE DIMION CODE GENERAL 01 z 11.. P.W. MAINT. 37 SNOW AND ICE 196 PT ACTUAL ACTUAL DE SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. N 1976 1977 1978 1978 1979 NO 1979 4_ 00 SALARIES REGULAR EMPLOYEES 22,847 $ 18 516 25,350 25,350 28,6 4100 , HOURS REGULAR EMPLOYEES 3-,420[__2 _Z 3,378 3,254 4,MT 3.103 1A 4110 S LARIES OT REGULAR EMPLOYEES 4,-604 5 796 6,000 6,000 6 3 0 0 6 360 HOURS OT REGULAR EMPLOYEES _ g 557 988 987 511 511 4120 S LARIES TEMPORARY EMPLOYEES _ 4120 W — HOURS TEMPS RYEES y 4130 STETVIES OT TEMPORARY EMPLOYEES _ 4T30 HOURS OT TEMPUffRY EMPLOYEES _ = 3 EK L YEES EVE __ 3,_493 2 870 4 65 4,600 04 3 4.000 H PL EE NSU NCE 1 974 1 .8171 25 3.200 2- 0 4133 EfiC'i LOYEE PENSIONS 3,420 3.030 919 3,900 4,592 4133 o TOTAL HOURS 3, 13 1 8 366 4 3 6-L4- P A TA. 0 050 615 00 FREE UP L E5 5 0 4210 NON OFFICE SUPPLIES 717 _ 2,500 800 1 000 4210 800 [ L TNT•TU Tl`S 3.031. 3.211 4.250 2 4.675, 4211 3.1751 4216 CHEMICALS _ _ 6,085 6,148 7,500 7,000 7,500 42 6 _7-4500 M 4217 CLOTHIN ALLOWANCE 21 42 0 REPAIR & MA NT SUPPLIES-GENER L _ 0 _ J i « 4221 REPAIR & MAINT SUPPLIES-EQUIP 4221 4222 REP & MAINT SUPPLIES-OTHER IMP 06 337 4222 23 REP & FAINT SUPPLIES_-BUILDINGS __ _ 3 4230 SMALL TOOLS _ 4230 4300 PROFESSIOfdAL SERVICES _ 4300 AT ION m 4330 Dl ERT—� NT G - _ 4330 GL ° 4340 PRINTING & COPYING _ 4340 W 3 0 INSURANCE 350 o 4360 UTILITIES _ _ 4360 _ * 4370 REPAIR & MAINTENANCE-GENERAL _ _ 4370 {o 4371 REPAIR N INTENANCE-EgUIPMENT 4 635 7,191 7,000 6,000 7 4371 —437-2 REP & MAINT-­OTHER IMPROVEMENTS _ 372 4373 REP & MAINT-BUILDINGS GROUNDS 4373 4374 REP I NT-SEAL COATING 3 3 OTHER CONTRACTUAL SERVICES yt 4.80 RENTAL 4380 x 4401 DUES & SUBSCRIPTIONS _ 29;n 300 1.050 x 4403 TR VEL, C N ERENCES,SCHOOL 0^ i; 4404 LAUNDRY 4404 TFiER EXPENSES -SUB TOTAL, 21 05 25.5431$ 29,500 6 2 25,275 500 LAND 0 4510 BUILDINGS AND STRUCTURES _ 4510 j4 a 4520 FURNITURE AND FIXTURES 4520 4-5-3-6 9 CHI H NERY & AUTO EQUIPMENT 5,616 600 600 2,000 4530 14 4540 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL 5 616 600 600 1 2.000 is 0 Program Group Total 1$ 63.01011 57.5721$ 73,270, S-ZO-IM It 64.135 iPRIO CCT IN SERV DEPT BUDGET •`R1TY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 r PROGRAM BUDGET 1979 i City of Fridley, Program Detail Resource' Page /1 Minnesota Allocation . Plan a runo coos oc we co avls, coot _ GENERAL 01 PUBLIC WORKS 1T P.W. MAINT. 371 TRAFFIC SAFETY 202 ACTUAL TU L DEPT FUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET . 1976 1977 1978 1978 1979 NO 1979 4 S L R ES REGUL R EMPLOYEES 14,613 26,292 ,970 27,000 ,9 4100 29 962 HOURS REGULAR EMPLOYEES 2 2 928 3 466 55 43f0 L RIES OT REGULMFEMPL PEE 149 _ 98 300 2 20 HOURS OT REGULAR EMPLOYEES _ 16 9 491 33 17 if - v 4120 SALARIES TEMPORARY EMPLOYEES _ 166 1 047 800 800 0 0 41 0 1 00 y HOURS TEMPURAA Y EMPLOYEES 10 263 141 141 250 25( 4 30 L RIES OT TEMPORARY EMPLFEES 4130 ., HOURS OT TEMPORRY EMPLOYEE _ M L EES VE i 6 f EMPLOYEE N U CE _ 3.57 5 4132 3,`Z 12 4133 LOYEE PENSIONS 4133 TOTAL HOURS ,21 4 3 118 3 640 4 817 P A A TOTAL, 7,208 32 4 33 — 4200 UPLE O 4210 NON OFFICE SUPPLIES 7,448 11,457 _ 0 t�i6-C !§ 42161 CHEMICALS _ 4216 J Y 42171 CLOTHIN ALLOW NCB 2 2201REPAIR 6 M AINT SUPPLIES-GENERAL _ 3 42211 REPAIR 6 MAINT SUPPLIES-EQUIP _244 2,212 4221 fina 42221 REP & MAINT SUPPLIES-OTHER IMP 2,58J 73 4ZZZ 2231 REP 6 MAINT SUPPLIES_-BUILDINGS 4230 SMALLLS- 42TO W 4300 PROFESSIONAL SERVICES _ 4300 ; T6 ! ;T ION W `: 4330jADVERTISING _ 330 IL ° 43 0 PRINTING & COPYING 4340 m = 3501INSURANCE o 4360 UTILITIES 77.488 _ 90 0 7 4360- 09 F 4370 REPAIR 6 MAINTENANCE-GENERAL 400 4370 _ o < 43711 REPAIR & MMINTENANCE-EQUIPMENT 1,517 117 800 80 90 4371. goo 3721 REP 6 NT- THER IMPROVEMENTS 583 42 600 60 70C 43721 700 4373 REP & MAINT-BUILDINGS/GROUNDS 4373 REP & MAIWT-SEAL COATING 3 79' OTHER CONTRACTUAL V a 4380 RENTAL 4380 `: _40-1 DUES 6 SUBSCRIPTIONS _ _ W. 03 R EL, CONFERENCES. SCHOOLS 3 0 4404 LAUNDRY 4404 TH R PENSE —S B T TA a 4500 LAND_ _ _ 4510 BUILDINGS AND STRUCTURES _ _ 10 i i 4520 FURNITURE AND FIXTURES _ 45 0 4530 MACHINERY 6 AUTO EQUIPMENT 3.732 530 0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY —SUB TOTAL Program Group Total RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource' Page ^ Minnesota Allocation . Plan ' FUND cone I DEPARTMENT Co Wvlt cox - 1 37 STORM SEWERS 211 ACTUAL UL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. NO 1976 1977 1978 1978 1979 1 NO 1979 4100 SALARIES REGUL R EMPLOYEES 9,500 7,078 EIZT85 10,500 11,400 4100 , HOURS REGULAR EMPLOYEES 1422 1,002 1,464 1,348 1,/Jl 1,538 H 4ff0 SALARIB OT REGULAR EMPLOYEES 211 _160 500 400 00 4110 buo HOU SOT REGULAR EMPLOYEES _ _ 23 15 82 66 4 4 0 L RI 0 41 S ES TEMPORARY EMPLOYEES 850 7 i 500 400 500 4120 W HOURS TEMPORARY EMPLOYEES 49 2 88 71 125 125 4116' SALARIES OT TEMPORARY EMPLOYEE HOURS OT TEMPORARY EMPLOYEES = 4TST EMPLOYEES LE E __ 1472 1 7 2.ioo 413 ° L E INSURANCE 58 ja & 4133 LOYEE PENSIONS 4133 IL TOTAL HOURS P A R TOTAL 4 E UPLE __ 9 4210 NON OFFICE SUPPLIES 308 79 200 200 200 TMO 200 2111 FUELS 284 90 350 200 250 4211 250 42161 CHEMICALS_ _ _ 84 4216 42 7 CLOTHIN L� NCB __ 2 4 0 REPAIR 3 MSUPPLIES-GENERAL _ 0 3 4221 REPAIR b MAINT SUPPLIES-EQUIP 100 100 100 4221 100 4222 REP b MAINT SUPPLIES-OTHER IMP 1,813 586 2,000 2,000 2,500 222 2,500 3 EP b NT SUPPLIES-BUILDINGS _95 4230 S LL TOOLS 4 O '1 300 PROFESSIONAL SERVICES _ 4300 a �3T0 N N _ 73 189 300 250 300 300 z = 4330 ADVERTISING — _ 330 x " 43 TO— PRINTING b COPYING 4340 W 3 0 NSUP NA CE 4350 o 4360 UTILITIES 5j 385 400 400 450 4360 450 s 4370 REPAIR b MAINTENANCE-GENERAL 550 4370 _ v 371 REPAIR & MAINTENANCE-EQUIPMENT 31 200 43 3 REP b M NT- THER IMPROVEMENTS 71 4.000 4-372— 4,0 4373 REP & INT-BUILDINGS GROUNDS 4373 T M REP A MAINT-SEAL COATING OTHER UL SERVICES ()C) Tug' 4380 RENTAL 4380 01 DUES b UBSCRIPTION _ _ 03 TR EL, C N ERENCES LSCH00 3 Lt 4404 LAUNDRY 4404 4500 LAND TH R PEN ES —$U9 TOTAL _ _ 45 0 BUILDINGS AND STRUCTURES __ _ _ 5 _ i i 4520 FURNITURE AND FIXTURES 4520 4530 MACHINERY b AUTO EQUIPMENT _3,300 5 0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY —SUB TOTAL I 13.1Q0 O O 0,$ Program Group Total $ 30,703 $17,041 $ 23,964 $ 22,820 $ 25,240 $ 25,24 ' )RIO-ACCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource Page Minnesota Allocation �. Plan FUND CODE M COOS Dt1M1 CODE CW1 GENERAL 01 1 PUBLIC WORKS 1, MAINT. 37 Shop Operations 216 ACTUAL UL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. No 1 1976 1977 1978 1978 1979 NO 1979 4100-SALARIES 00 S L R ES REGULAR EMPLOYEES 40,869 35,90 1-45,630 38.00 $38,824 4100 $38,824 HOURS REGULAR EMPLOYEES ��11J _ 5.23 H 4Tf0 SAL OT REGULAR MPL YEES _236 HOURS OT REGULAR EMPLOYEES _ __ 25 20 50 1 2 24 4120 SALARIES TEMPORARY EMPLOYEES _ 627 3,50 80 1 000 0 1,000 W HOURS TEMPORARY EMPLOYEES 1 58 50 U) Q 5 WORKORDER TRANSFERS , _ (51,000) (46.000) 48 000 , J = 3 M LOYEES LEAVE __ --5-,-5-6-5 8 37 77777 00 7,176 3 76 EMPLOYEE N U NCE 3 369 3,0521 _5.4421 4,500 4,655 4,655 12 4133 EMPLOYEE PENSIONS 5,177 4.592 5.7421 5.200 5.125 4133 5 125 TOTAL HOURS o 5.510 P A R TOTAL, B 420 OFF UP L E 152 197 25 250 300 300 4210 NON OFFICE SUPPLIES 3,731 2,642_ 4,00 3,000 4 000 0 4,000 E� 90 4 400 4216 CHEMICALS_ _ _ 42 42171 CLOTHIN LLOW NCE 2 2201REPAIR A MAINT SUPPLIES-GENERAL 12 1 3 42211 REPAIR b MAINT SUPPLIES-EQUIP 3,4F2 4.00 3,000 3 000 4221 3 000 « 42221 REP A MAINT SUPPLIES-OTHER IMP 42221 3 REP & NT SUPPLIES_-BUILDINGS _272 3 14230 SMALL TOOLS 1.33 835 1.10C 900 1,000 4 M 1 000 4300 PROFESSIONAL SERVICES 4300 ZM CO MINICATIO 71 92 10 300 400 400 w `: 4330 ADVERTISING _ _ 1 39 5 50 50 4330 50 x " 4-3-40- PRINTING 6 COPYING 34 116 5 150 200 4340 200 W O INSURANCE _ 8 2,120 3 2 120 CK 4360 UTILITIES 2.0 _ 2 4360 3 520 i J 4370 REPAIR b MAINTENANCE-GENERAL 4370 c < 4371 REPAIR INTEN NCE-EQUIPMENT 437 43 2 REP A MI—NT—OTHER IMPROVEMENTS T372 4373 REP b7M INT-BUILDINGS GROUNDS 4373 74- REP & MAINT-SEAL COATING CONTRACTUAL 4380 RENT -L- 4380 = 01 DUES 8 SUBStRIPTIONS 5 4401 44-03 EL, C N ER NCES SCHOOLS 1 20 00 25 3 G 812 782 80C 800 0 490-0 L ND OTHER EXPENSES —SUB TOTAL 14 980 10 360 $16,250 $15,233 $7796 $17,440 4510 BUILDINGS AND STRUCTURES _ 45 ff _ L- O 4520 URNITURE AND FIXTURES 700 _395 45 0 4530 CHINERY b AUTO EQUIPMENT 727 527 G 300 300 19 300 530 5 800 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY —SUB TOTAL 1 427 922 7,300 $19,300 5,800 Program Group Total 1 $21,726 1 $17,051 $41,534 $25,283 $45,820 $32,320 RIO-ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 C. • PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource' Page Minnesota Allocation Plan UND CODE DEPARTMENT CODE DIV161 N CODE ROOftAm NOW GENERAL 01 PUBLIC WORKS 11 P.W. MAINT. 37 Shop/Yard Maint. 218 ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST 7ACCT BUDGET SEC. N 1976 1977 1978 1978 1979 O 1979 4 00 5 L R ES REGULAR EMPLOYEES 2,729 5 388 7 098 7 100 7 258 00 7,25 HOURS REGULAR EMPLOYEES _ 408 _ 763 946 911 1,103 97 4110-SALARIES OT REGULAR EMPLOYEES _ 19 _ 51_ 100 100 100 0� HOURS OT REGULAR EMPLOYEES _ 2 5 16 L3� 8 9 4120 SALARIES TEMPORARY EMPLOYEES __ 63 100 3,000 4120 3 000 m HOURS TEMPORARY EMPLOYEES 16 18 750 75 I 4130 SALARIES T TEMPORARY EMPLOYEES 30 HOURS OT TEMP09RRY EMPLOYEES Z EMPLOYEES EVE _422 835 —1-.302 1,342 3 1 , 42 3 EV.PLO EE INSURANCE 226 393 1 _ 850 850 870 1W 870 12 4133 LOYEE PENSIONS 685 930 930 965 4133 965' TOTAL HOURS 410 784 980 945 1,861 1,73 PERZ0HAL c.EVI T Tk $ 3_740.S 7,415 S I =80 $ 13,535 $ 1j,bj 4200 OFFICE SUPPLIES 0 4210 NON OFFICE SUPPLIES__ _ 0 Jbu E TNb-Ta_E9 '33 10 200 50 50 IM —Td 4216 CHEMICALS_ _ U21 4217 CLOTHIN LANCE __42 0 REP IR & M�CEN7 SUPPLIES-GENER L 0 IL f 4221 REPAIR & FAINT SUPPLIES-EQUIP 00 200 TWO 4221 0" 42221 REP & MAINT SUPPLIES-OTHER IMP _ 4222 42231 REP & MAINT SUPPLIES_-BUILDINGS 309 891 900 900 000 221 1,00 4230 SKALL TOOLS — 13 — 4230 W 4300 PROFESSIONAL SERVICES _ > , 4300 ; p e 3101CO.", UNICATION w = 4330 ADVERTISING _ 4330 x 4340 PRINTING & COPYING 340 w s X50 NSUR- N-K CE — 500 350 a 4360 UTILITIES _ _ 549 600 660 4360 66 , x 4370 REPAIR& MAINTENANCE-GENERAL _ 200 200 200 4370 20 0 c 3 4371 REPAIR & INTENANCE-EQUIPMENT 189 64 300 200 250 4371 250 4372, REP & INT-OTHER IMPROVEMENTS 21 372 4373 REP & MAINT-BUILDINGS GROUNDS 4,361 8,081 6,000 6,000 6,000 4373 6,000 0 43 4 REP & KAINT-SEAL COATING 200 3 OTHER CONTRACTUAL SERVICff— 4375 4380 RENTAL 4380 r 4401 DUES & SUBSCRIPTIONS _ i x 4 03 R Y C( ERENCES`SCROOLS 3 0 4404 LAUNDRY 400 4404 OTHER EX PENSES -SUB TOTAL o- 9 500 LAND 7 QQO 7.000 7.000 7,000 7.000 0 7 OOOJ i 4510 _BUILDINGS AND STRUCTURES 22,Z7 6 27,627 37,000 16.737 16,737 510 16.737 i a 4520 FURNITURE AND FIXTURES 45 0 a 4530 CFf HINERY & AUTO EQUIPMENT _ 7 300 530 o' X40 OTHER IMPROVEMENTS 1 13,300 . 13,300 4540 CAPITAL OUTLAY -SUB TOTAL 29, ,6 1$57,300 , , , Program Group Total $38,589 $52,031 $80,580 $66,389 $46.282 $46,282 [RIO-ACCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET FITY NO DATE REQ . 1979 j i PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource• Page \ Minnesota Allocation . Plan NND CODE I DEPARTMENT CODE DIVISION CODE GENERAL O1 NATURALIST 45 NATURALIST 45 - ACTUAL ACTUAL DEPT 'SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC, NO 1976 1977 1978 1978 1979 NO 1979 400 SALARIES REGULAR EMPLOYEES q69 4100 HOURS REGULAR EMPLOYEES 16 W 4�1'�0 S LARIES OT REGU-LAREMPLOYEES _ O 2 HOURS OT REGULAR EMPLOYEES 4120 S.L RIES TEMPORARY EMPLOYEES 2 41 O o _. V) —' HOURS AMP RY EMPL YEES 10 145, 133 4T30 SALARIES OT TEMPORARY EMPLOYEES 30 ., HOURS OT TEKPOR RY EMPLOYEES _ 0 3 EMPLOYEES EVE __ 85 79 _ 3 4 3 EMPLOYEE NSU�CE 3 32 _ 12 4133 EMPLOYEE PENSIONS 69 64 170 164 4133 TOTAL HOURS 64 102 126 251 295 16� P R R e RVI — T TA 2 00 r E •UP L E - 2 4200 Ii 4210 NON OFFICE SUPPLIES_ 102 115 100 7 _472 -0 7 E Alb—LURES L 4216 CHEMICALS _ _ -4-21-6 4217 CLOTHIN6IRLLOWANCE __ 21 O 42 REPAIR A M NTf T SUPPLIES-GENE- L 0 4221 REPAIR & KAINT SUPPLIES-EQUIP 4221 4222 REP & MAINT SUPPLIES-OTHER IMP 4222 v- 4223 REP & MAINT SUPPLIES_-BUILDINGS _ 3 4230 SK�ALL TOOLS 4230 W 4300 PROFESSIONAL SERVICES _21 4300 _ N v, 4-- UH T N 115 50 220 w 430 DVERISING 0. _ 4330 V x 4340 PRINTING & COPYING - 230 In() Ion 4340 w r W150- _NS UR-ANCE - _ 350 o S 4360 UTILITIES _ 4360 _ 4370 REPAIR & MAINTENANCE-GENERAL. _ _ 4370 _ c r 4371 REP IRS IK� NTENANCE-EQUIPMENT 4371 _437-2 REP &�h INT-OTHER IMPROVEMENTS 4372 Z 4373 REP & M INT-BUILDINGS GROUNDS 4373 4374 REP MAfNT-SEAL COATING 3 3 HE C RCUL ERVICES r3 4380 RENTAL 89 4380 4 OT DUES & SUBSCRIPTIONS _ 42 1 rin 4401 03 REEL,-CONE ES,SCHOOLS 3 p 4404 LAUNDRY 4404 OTHER KXPENSES —SUB TOTAL 233 690 55 4500 L ND _ O 4510 BUILDINGS AND STRUCTURES _ _ 45 0 _ Q 4520 FURNITURE AND FIXTURES _ 45010 4530 CHINERY & AUTO EQUIPMENT 4530 4. o' 4540 THER IMPROVEMENTS 4540 CAPITAL OUTLAY —SUB TOTAL O O O O O O r Program Group Total , RIO-ACCT IN SERV DEPT BUDGET :CITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource• Page Minnesota Allocation Plan ruNO CODE I DEPAAT14ENT CODE I DIVI610N CODE GENERAL O1 PARKS & RECREATION ,13 PARKS 47 ATHLETIC AREAS 2511 ALWAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT 'BUDGET SEC. . NO 1 1976 1977 1978 1978 . 1979 NO 1979 400 SAL R ES REGULAR EMPLOYEES $ 14,946 4100 , HOURS REGULAR EMPLOYEES 1 ,789 �^ 4 SALARIES OT REGULAR EMPLOYEES _ 220 w_ HOURS OT REGULAR EMPLOYEES _ 18 T120 SALARIES TEMPORARY EMPLOYEES _ 6,525 4 20 9 525 W HOURS TEMPORARY EMPLOYE S _ 1-964 2.721 1 H 4130 3ALARIES OT TEMPORARY EMPLOYEES 4130 J HOURS OT TEFP-0R RY EMPLOYEES _ z 4T37 EMPLOYEES LEAVE 2,332 4131 1 931 ° 3 EMPLOYEE NSU NCE _ 1,300 1 296 12 4133 EMPLOYEE PENSIONS 1,958, 4133 1 6' TOTAL HOURS 52$ P. A RVI T TA 26.9 1 00 E UP L E 50 0 5 4210 NON OFFICE SUPPLIES 2,24-2 4 0 2, 4nT SRN I--LIDS 2,373 4211 2 371 4216 CHEMICALS _ _ 125 4216 11 42171 CLOTHIN ALLOWANCE __ 112 21 11 4220 EP R & MAINT SUPPLIES-GENER L _ 1,077 4220 1,0 $ 42211 REPAIR & MAINT SUPPLIES-E UIP 545 4221 34 42221 REP & MAINT SUPPLIES-OTHER IMP _ 116-08- 4222 ,34 2231 REP & MAINT SUPPLIES_-BUILDINGS _ 3 4230 SMALL TOOLS 4230 W 4300 PROFESSIONAL SERVICES _ 4300 N 3 5 ; N T N _ 4310 1 I=u : 4330 D ERT SING _ 330 x ° 4340 PRINTING & COPYING 4340 W = T3 NSURANCE 350 o 143601UTILITIES _ 8,22 360 802_2 i 4370 REPAIR & MAINTENANCE-GENERAL 4370 o < 437 REPAIR & INM NTEN NCE-EQUIPMENT 2,3 437'1 , 43721 REP & MAINT-OTHER IMPROVEMENTS 30 372 r 4373 REP St MAINT-BUILDINGS/GROUNDS 1 ,19 4373 1, 434 REP & MAINT-StAL COATING 4374 OTHER N CUL SERVICES 65 a 4380 RENTAL 62E 4380 62 x 4-4-0-1 DUES & SUBSCRIPTIONS _ i U 4403 T VEL, CONFERENCES SCHOOLS 3 0 4404 LAUNDRY 4404 THER E612ENSES -SUB TOTAL 2 4500 LAND M _ 4510 BUILDINGS AND STRUCTURES _ 5 0 a 4520 TURN TURE AND FIXTURES a 4530 CHINERY & AUTO EQUIPMENT _ 530 0 4540 OTHER IMPROVEMENTS 22 00 4540 8.000i CAPITAL OUTLAY - SUB TOTAL 22 OO $ 000' Program Group Total RIO N T CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY DATE REQ 1979 - e I PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource Page Minnesota Allocation . Plan FUND CODE I DEPARTMENT CODE DIVIfION COD! GRAM GROUP 1PARKS & RECREATION 13 PARKS 47 GROUNDS & TURF 253 IU ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDG_ SEC - N 1976 1977 1978 1978 1979 NO 197' 4 SALARIES REGULAR EMPLOYEES 16,658 4100 9 HOURS REGULAR EMPLOYEES __ 6 y 4'10 SALARIES OT P.E�aUL7� PL�YEES 0 15 HOURS OT REt;ULAR EMPLOYEES _ ___ J 41 20 SALARIES TEMPORARY EMPLOYEES 8 4120 2 39 H HOURS-TEMP RY EMPLOYEES _ 4 1 4130 SALARIES OT TEMPORARY EMPLOYEES 3 •, HOURS OT TERP-0- RY EMPLOYEES _ i 3 EMPLOYEES LEAVE _ _ p2m] 3 0 TM PL EE NSUCE ? 1 224 4, 4133 EMPLOYEE PENSIONS 4133 1 414 d TOTAL HOURS P A RVI - 12 TA 6 0 SUPPLIES 0 50 4210 NON OFFICE SUPPLIES 2,100 42111 FUELS_XN_ff_EWS 333 3373 4216 CHEMICALS _ 77 42 6 477 4217 CLOTH ING\ALLOY NCB Am 21 50 4 0 REP R b M NCI T SUPPLIES-GENER L _ 0 3 4221 REPAIR & MAINT SUPPLIES-EQUIP 4221 .27 J 4222 REP & MAINT SUPPLIES-OTHER IMP _ 4222 �4 223 EP & M NT SUPPLIES_-BUILDINGS __ 3 4230 SMALL TOOLS 4230 �^ 4300 PROFESSIONAL SERVICES _ 45 4300 m 3 N N N w w s 4330 D ENT SING 330 _ IL ° 43 C PRINTING & COPYING 4340 3 0 NSU Nt CE — T3 6 o: ti 4360 UTILITIES _ 4360 = J 4370 REPAIR & MAINTENANCE-GENERAL _ 4370 c 43711 REPAIR & 1— IT NTENANCE-E U PMENT 2 80 437 2 $0 3721 REP & INT-OTHER IMPROVEMENTS _ _ 3 2 __390 4373 REP & MAINT-BUILDINGS GROUNDS 1,193 4373 1193 REP & M NT-SEAL COATING 4374 3 75' OTHER CONTRACTUAL E E V 4380 RENTAL 7ss 4380 x -440-1 DUES & UBSCRIPTIONS -44-03 TRAVEL,—CONFERENCES, SCHOOLS 4403 914404 LAUNDRY 387 4494 7 OTHER EXPENSES -SUB T TA 4 500 LAND _ 0 _ 4510 BUILDINGS AND STRUCTURES __ _ 4510 a 4520 FURNITURE AND FIXTURES __ 45 O 4 4530 CHINERY & AUTO EQUIPMENT 530 .' 0 4540 OTHER IMPROVEMENTS 18,300 4540 CAPITAL OUTLAY -SUB TOTAL i 25.3(10 122.03 Program Group Total 76.46 $64,947 RIO CCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 PROGRAM .BUDGET. 1979_._ Uefaii ram City of Fridley, Program Resource' Page \ Minnesota Allocation . ^ Plan nwD CODE DEP MENT LODE $I ON CODE GENERAL O1 PARKS & RECREATION 13 PARKS 47 AREAS 56 -- ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. • NO 1976 1977 1978 1978 1979 NO 1979 400 SALARIES REGULAR EMPLOYEES 1 753 4100 1,456 HOURS REGULAR EMPLOYEES 21 H 41T0 SALARIES 0-T REG L CIT EMPLbYEES _ __ u HOURS OT REGULAR EMPLOYEES > 4120 S CARIES TEMPORARY EMPLOYEES _ 41 0 H HOURS TEMPORARY EMPLOYEES 1 4130 SALARIES OT T-E- RARY EMPLOYEE ., HOURS OT TEMPOO RY EMPLOYEES _ _ 0 3 EMPLOYEES NEUVE CE __ 153 3 12 4133 r LOYEE PENSIONS 230 4133 TST TOTAL HOURS 229 210 PE.212NA6 RVI -SUB TOTAL 409. 01 42001OFFICE SUPPLIES 12 5 42010 4210 N N OFFICE SUPPLIES 0 630 35Q 4Z11 2111 FUEL 350 42;6 CHEMICALS _ 4iI6 785 421T CLOTHIN NCE 2 2 0 REPAIR >�M UPPLIES-GENERAL _ l 3 422 1 REPAIR & MAINT SUPPLIES-E UIP «. �__ 1,677 42 1 1s 077 4222 . REP & MAINT SUPPLIES-OTHER IMP 545 4222 545 2231 REP & MAINT_ SUPPLIES_-BUILDINGS __ _ 3, 42301SMALL TOOLS 4230 y 4300 PROFESSIONAL SERVICES _ 6.O00. 4300 k.04 jw y COMMUN-ICAT N _ !! s 3301ADVER T SING ---- 43 x ° 4340 PRINTING & COPR W 4340 W 3 0 INSURANCE _ 3 o t; 4360 UTILITIES _ 43 0 _ F 4370 REPAIR & MAINTENANCE-GENERAL _ 4370 c 4371 REP 8 I INT- ESN NCE-EQUIPMENT 200 43 200 43-7-2 REP & INT-OTHER IMPROVEMENTS 72 30,000 4373 REP & t�T-BUILDINGS GROUNDS 4373 REP & MAINT-SEAL COATING OTHER N CUL SERVICES V 4380 RENTAL 43 0 1 4401 DUES & SUBSCRI PTIONS 4403 TRAVEL, CONFERENCES, SCHOOLS — O:; _:. 5 4404 LAUNORY 4404' QTH1jR EX PENSES -SUB TOTAL 35,7571 500 LAND _ O_ _ 4510 BUILDINGS AND STRUCTURES _ _ 4510 _ a 4520 FURNITURE AND FIXTURES _ -4-52-0- ►"'- 4530 M CHINERY 8 AUTO E UIPMENT -- 30 0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL O 0 Program Group Total 12.12 3 759 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 r� i PROGRAM BUDGET 1979'�y City of Fridley, Program Detail Resource• Page Minnesota Allocation . Plan IUNO CODE "P MENT CDIVISION CODE GENERAL O1 PARKS A RECREATION 1RECREATION 48 CULTURAL ARTS 294 ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET SEC. . N 1976 1977 1978 1978 1979 NO 1979 4_ 00 SALARIES REGULAR EMPLOYEES 4100 HO RS REGULAR EMPLOYEES _ _ _ 17 W 4310 CARIES OT R- EGULAR EMPLOYEES_ _ 0 U_ HOURS OT REGULAR EMPLOYEES _ 4120 SALARIES TEMPORARY EMPLOYEES! _ 4120 ,200 HOURS TEMPORARY EMPLOYEES 1.06Z 828 y 4130 SALARIES OT TEMPORARY EMPLOYEES30 A HOURS OT TEMPO RY EMPLOYEES 0 3 EM L YEES LEAVE _ 3 195 EMPLOYEE INSURANff- 144 4132 12 4133 1 LOYEE PENSIONS i ri 4133 a TOTAL HOURS 1 .243 1 ,004 PR a RVt ° - TOTAL 51 00 E UPPL E 5 0 50 4210 NON OFFICE SUPPLIES 1.85 a1O 1 ,850 ANb=E 4216 CHEMICALS _ _ 4216 4217 CLOTHI ALLOWANCE 21 IL -GENERAL 4220 42 3 4221 REPAIR A MAINT SUPPLIES-E UIP 5C 4221 5 42221 REP 3 MAINT SUPPLIES-OTHER IMP _ 4222 2231 REP A MAINT SUPPLIES_-BUILDINGS T93 42301SMALL TOOLS 4230 w 4300 PROFESSIONAL SERVICES __ 4300 a « 310 COMMUNICATION 210 4310 z % 4330 D ERT SING 4330 x " 4-30- PRINTa NG COPYING 4340 W 4-3'50--INSURANCE 350 M 4360 UTILITIES _ 4360 _ U.1 4370 REPAIR A MAINTENANCE-GENERAL _ 4370 c 4 REPCINTE�{N NCE-EQUIPMENT 437 43721 REP A MAINT-OTHER IMPROVEMENTS 4372 ' 4373 REP A MAIINT-BUILDINGS GROUNDS 4373 o 4-374 REP A MAINT-SEAL COATING 4374 4-315­ HNC UAL SERVICES 0 5 4380 RENTAL 450 4380 -44-oT DUES A SUBSCRIPTIONS _ 4 03 VEL, CERENCES,SCHOOLS 0 3 G 4404 LAUNDRY 75 4404 OTHER E PENSES -SUB T TAL 500 LAND _ 00 4510 BUILDINGS AND STRUCTURES _ 4510 Q 4520 FURNITURE AND FIXTURES 4520 4530 MACHINERY A AUTO EQUIPMENT _ 53 0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY -SUB TOTAL O • Program Group Total 8.587 $ 8.5 8 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ - 1979 �. .�P GRANC."900GE1` City of Fridley, Program Detail Resource Page Minnesota Allocation t Plan tl fU110 COD! pEPM NENT TODE DIVIlION CODE CAAM GENERAL 01 PARKS b RECREATION 13 RECREATIO INSTR. ACTIVITY 296 ACTUAL CTU L DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT -BUDGET SEC. 1976 1977 1978 .1978 1979 NO 1979 400 SALARIES REGUL R EMPLOYEES 2 1 W 4100 HOURS REGULAR EMPLOYEES _ 352 35 4_W(Y SALARIES OT REGULAR EMPLUYEES_ HOURS OT REGULAR EMPLOYEES 4120 S L RIES TEMPORARY EMPLOYEES _ 41 0 q N HOURS TEMP R Y ETP_ff EES 4130 SALARIES OT TEMPORARY EMPLOYEE HOURS OT TEMPO9R—Y EMPLOYEES _ i MT EMPLOYEtS VE _ _ ° M-31 EMPLOYEE INSURANCE Zi8 W 4133 EMPLOYEE PENSIONS -4-F3 3 TOTAL HOURS 2,94 P A E -RV - T TA 6 3.45, 00 CE SUPPL 200 4ZOO 200 4210 NON OFFICE SUPPLIES 3,50 0 3,500 79 -EW9— 4211 4216 CHEMICALS _ -4-2-F6 4217 CLOTHIN ALLOWANCE 75 4217 ­10 4220 REPAIR R MAIN•f UPPLS IES-GENER L _ ' O 3 4221 REPAIR b MAINT SUPPLIES-EQUIP 4221 J w 42221 REP b MAINT SUPPLIES-OTHER IMP 4222 -- 2231 REP b MAINT_ SUPPLIES_-BUILDINGS _ 3 4230 SMALL TOOLS 4_7j_0 W 4300 PROFESSIONAL SERVICES 4300 V! w 310 CUMUNICATION _ �q to s 433 D ERT FS ING �— 4330 m ° -4-3-TO- PRINTING b COPYING 822 4340 , 3�0 NSUR N 175 4350 US 4360 UTILITIES 43 0 _ x 4370 REPAIR b MAINTENANCE-GENERAL _ _ 4370 0 4371 REP b INTEN NCE-EQUIPMENT 4371 lR 3721 REP b INT-OTHER IMPROVEMENTS I 32 4373 REP b MAINT-BUILDINGS GROUNDS 4373 4 REP NT-SE L COATING o H CONTRACTUAL E V E , 8 4380 RENTAL 365 4380 36 4401 DUES b SUBSCRIPTIONS 0 4 0 TR VEL, CONFERENCES, SCHOOL — 3 li 4420 R• UND/REIMBUR-L 340 340 7HIER PEHSES=SUB T TAL , 500 LAND _ . _ 4510 BUILDINGS AND STRUCTURES_ 4510 _j a 4520 FURNITURE AND FIXTURES __ 45 O _j CHINERY & T E UIPMENT 450 530 0 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY —SUB TOTAL - 0 0 Program Group Total $22,031 $22,266 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979 i PROGRAM BUDGET 1979 City of Fridley, Program Detail Resource' Page Minnesota Allocation . \ Plan FUND CODE DEPARTMENT COOS OIV161 N CODE ~ GENERAL FUND 01 PARKS & RECREATION 13 RECREATION PLAYGROUNDS 297 TU CTU L DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST ACCT BUDGET EC. NO] 1976 1977 1978 1978 1979 NO 1979 400 SALARIES REGUL R EMPLOYEES t 2,500 4100 $ 2,560 HOURS REGULAR EMPLOYEES 352 w 43`10 LARIES OT REGULAR EMPL YEES _ _ u HOURS OT REGULAR EMPLOYEES _ > 4120 SALARIES_ TEMPORARY EMPLOYEES 4120 34,611 H HOURS TEMPORARY EMPLOYEES 7.650 8 954 4130 SALARIES OT TEMP RARY EMPLOYEES HOURS OT TEMPORARY EMPLOYEES z 4M EMPLOYEES VE __ 0 3 L EEE IN _U'97CE 418 4112 $6 4133 R LOYEE PENSIONS 328 4 33 3B$ TOTAL HOURS 8.002 9,306 P A R TA 0 E UPPL ES 350 4200 350 4210 NON OFFICE SUPPLIES , 0 00 t �S 4216 CHEMICALS _ _ 4216 4217 CLOTHIN ALLOWANCE 110 217 n 2 O REPAIR 8 M�A NT SUPPLIES-GENE _ O 3, 42211 REPAIR & MAINT SUPPLIES-EQUIP _ 140 4221 140 42221 REP & NAINT SUPPLIES-OTHER IMP _ 422 231 REP & INT SUPPLIES-BUILDINGS 100 T2F3 100 4230 SMALLS U30 _ �► 4300 PROFESSIONAL SERVICES 4300 W _ 347 7 N w � COMMUNICATION W = 4330 ADVERTISING - r _ 330 W " 4340 PRINTING & COPYING 2 4 4340 274 350 NSUR N—A CE — 0 4360 UTILITIES _ 4360 _ x 4370 REPAIR & MAINTENANCE-GENERAL _ 4370 o < 4371 REP I INTENANCE-EQUIPMENT 150 437 150 4372 REP & MAfNT-OT ER IMPROVEMENTS 4372 4373 REP A MAINT-BUILDINGS GROUNDS 4373 4-37-4 REP 9 MINT-SEAL COATING T3W 3 Ht C N C U L CE S 1,500 43.73 1,500 g 4380 RENTAL 1,540 4380 1,540 4401 DUES & SUBSCRIPTIONS _ _ 03 T _ VA EL, C�TERENC_ESCHOOLS 35 3 735 G LAUNDRY. REFUNDS & REIMBURSE 175 175 TH R IE4PENSE§ -SUB T TAL 9,671 9.566 4500 LAND _ 4510 BUILDINGS AND STRUCTURES _ 4510 a a 4520 FURNITURE AND FIXTURES __ MT le 4-91-0 CHINERY & AUTO EQUIPMENT _ 30 c 4540 OTHER IMPROVEMENTS ,160 4540 1 860 CAPITAL OUTLAY -SUB TOTAL 1,160 1 860 Program Group Total $37,167 49,741 RIO CCT IN SERV DEPT BUDGET ITY NO CAPITAL OUTLAY DETAIL DATE REQ 1979 PROGRAM- BUDGET-1979.. City of Fridley, Program Detail Resource' Page Minnesota Allocation . Plan FUND COD DLi TNEN CODE DIVISION CODE. --- ` GENERAL FUND O1 PARKS & RECREATION 131 RECREATION 48 SPECIAL EVENTS 298 ACTUAL ACTUAL DEPT SUB ACCT ACCOUNT DESCRIPTION EXPENSE EXPENSE BUDGET ESTIMATE REQUEST T 1 SEC. N 1976 1977 1978 1978 1979 4_00 SALARIES REGULAR EMPLOYEES HOURS REGULAR EMPLOYEES 20 41ti0 WARIES OT REGULAR EMPLOYEES _ w_ HOURS OT REGULAR EMPLOYEES _ > 41 0 SALARIES TEMPORARY EMPLOYEES 650 4120 65 H HOURS TEMP MPLOTCES 168 1 4 30 L RIES T TEMP RA EMPLO EE HOURS OT TEMPORARY-EMPLOYEES _ 0 3 EMPLOYEES LEAVE 232 232 O 3 E14PLOYCE INS 116 XM 116 a 4133 EMPLOYEE PENSIONS 07 4133 207 TOTAL HOURS 421 J PERSONAL R -aul TTA 0 E SUPPL ES 50 4 0 ' 50 4210 NON OFFICE SUUPPPLIES 2,900 0 2,900 42161 CHEMICALS _ 42 S 4217 CLOTHIN ALLOWANCE 4217 4 0 REP IR NMA3 T SUPPLIES-GENER L _ O 3 4221 REPAIR 8 MAINT SUPPLIES-E UIP 4221 4222 REP & MAINT SUPPLIES-OTHER IMP 4222 223 REP & INT SUPPLIES_-BUILDINGS 3 4230 SMALL TOOLS 4230 4300 PROFESSIONAL SERVICES 4300 ~' y 310 COMMUNICATION 0 _ w = 4330 D ERT SING __ , 330 1 x 3 0 PRINTIING & OPYING 43400 '9 a 4360 UTILITIES 4360 F4370 REPAIR & MAINTENANCE-GENERAL _ _ 4370 o 1 43 REP AI R INTERN NCE-EQUIPMENT T 43711 3b 43� REP b MAfNT-ETHER IMPROVEMENTS 3 2 4373 REP & MAINT-BUILDINGS/GROUNDS 4373 REP�6 MAINT-SEAL COATING 4374 4-3-7Y-UTHER CONTRACTUAL SERVICES-- b 0 43'0 RENTAL 4380 € 4401 DUES &SUBSCRIPT- INNSS 4103 T EL, C N ERENCE SCHOOLS 125 aO3 125 5 4404 LAUNDRY $ 11,739 14404 TH-R PENSES -S B T TA 500 L AND _ 4� 0 4510 BUILDINGS AND STRUCTURES _ _ 4510 i a 4520 FURNITURE AND FIXTURES 45 - � 530 CHINERY & AUTO EQUIPMENT --7b 530 o' 4540 OTHER IMPROVEMENTS 4540 CAPITAL OUTLAY —SUB TOTAL Program Group Total $15,094 $8,513 RIO CCT CAPITAL OUTLAY DETAIL IN SERV DEPT BUDGET ITY NO DATE REQ 1979