HomeMy WebLinkAbout07-220 5
CITY OF LAKEVILLE
RESOLUTION NO. 07-220
RESOLUTIONADOPTING THE 2008
GENERAL FUND BUDGET
NOW THEREFORE, BE IT RESOLVED that the General Fund. Budget
is hereby approved and adopted for the fiscal. year ending December 31, 2008.
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Revenues
General property taxes $ 15,404,995
Licenses and permits 1,478,390
.Intergovernmental revenue 799,139
Charges for services 2,345,286
Court fines 281,867
Miscellaneous 416,275
lnterfund transfers 778,539
Total Revenues 21,504,491
Expenditures
Mayor and Council 110,613
City Administration 361,854
Public Communications 188,534
City Clerk 178,258
Legal 81,244
Committees/Commissions 101,905
Planning 555,017
Community and Economic Development 292,685
Inspection 1,197,919
General Government Building 516,812
Finance 1,127,954
Human Resources 315,228..
Insurance 275,513
Police 7,520,.193
Fire 1,510,010
•
(continued)
RESOLUTIONADOPTING THE 208
GENERAL FUND BUDGET
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Expenditures (continued)
Ambulance $ 26,719
Engineering 1,113,128
Streets 2,804,402
Parks 2,257,795
Recreation 593,882
Arts Center 404,212
Other 150,000
Total Expenditures 21,683,877
Net Increase/(Decrease) (179,386)
Fund Balance, January 1 10,855,543
Fund Balance, December 31 10
BE IT FURTHER RESOLVED that the information delineating the revenue and
expenditures as shown above are shown on Exhibit A attached hereto.
APPROVED AND ADOPTED by the Lakeville City Council this 17th day of
December, 2007.
OF KEVILLE
l
Da I, Mayor
A T•• ~r
Charlene Friedges, Ci Clerk.
Exhibit A
GENERAL FUND
SCHEDULE OF REVENUES
2008
Taxes
Property taxes -current. $ 13,972,388
Property taxes -delinquent 77,388
Fiscal disparities 1,285,575
Penalties and interest 4,000
Mobile home tax 40,509
Mobile home tax credit 19,135
Gravel tax 6,000
Total Taxes $ 15,404,995
Licenses and Permits
Licenses
Cigarette $ 18,000
Trash removal 400
Dog 9,688
Signs. 6,500
On-sale liquor 78,500
Sunday liquor 3,000
Club special license 1,150
Non-intoxicating liquor on 1.,.500
Non-intoxicating liquor off 750
Wine 2,000
Arcade (amusement device) 1,455
Tattoo/piercing 175
.Fireworks 350
Message 1,025
Miscellaneous 225
Total Licenses 124,718.
Exh i bit A (cor?t.)
GENERAL FUND
SCHEDULE OF REVENUES
2008
Licenses and Permits (continued)
Permits
Plan review fees $ 284,985
Building. 746.,036
Plumbing 64,138
Water and sewer 33,394
Mechanical 71,328
Grading/Filling 900
Excavating/Gravel 750
Driveway 600
Zoning 3,000
Right of Way 25,000
Fire burning 500
Electrical 122, 541
Miscellaneous 500
• Total Permits 1,353,672.
Total Licenses and Permits $ 1,478,390
Intergovernmental
- State-aid police $ 354,182
State-aid fire relief 275,961
State-aid streets 86,130
State-aid pensions 21,303
State POST Board grant 19,663
State Drug TaskForce grant 12,000.
State snowmobile trail maintenance grant 200
Police protective vests grant 1,400
County recycling grant 28,300
Total Intergovernmental $ 799,139
Exhibit A (cont.)
GENERAL FUND
SCHEDULE. OF REVENUES
2008
Charges for Services
General Government
Rezoning fees $ 1,000
Platting fees. 10,000
Variance fees. 1,050
PUD application fees 1,050
CUP fees 1,500
Home occupation fees 550
Planner fees 64,063
Inspection fees 15,080
General government service charge 24,568
Tree. escrow fund administration 24,000
Lodging tax fee 6,965
Investment management fees 25,070
Sale of maps/copies 700
Sale of printed material 200
Finance charges 200
Dakota Communication Center (Accountant reimb.) 35,226
Total General Government 211:,222
Public Safety
Police department charges 57,715
SRO - ISD 194 contribution 145,934
Animal pickup 4,464
Animal storage 8,150
Animal rabies 3,059
Restitution 3, 000
Forfeiture -sale of assets 22,500
Fire contracts 29,270
Fire department charges 1,750
ALF -Administrative charge 44,477
Total Public Safety 320,319
Exhibit A~cor?t.)
i GENERAL FUND
SCHEDULE OF REVENUES
2008
Charges for Services (continued)
Public Works
Engineering platting -preliminary $ 9,000
Engineering. platting -final 5,000
Engineering plan review fees 10,000
Engineering developer contract administration 299,882
Engineering improvement project design variable 196,850
Engineering improvement project construction inspection 221,450
Engineering G.LS. fees 11,160
Special assessment admin charge 79,014
Special assessment searches 240
Document/map sales 2,056
Bid plans/specs deposits 2,136
Street department charges 1,000
Street lights 511,392
Credit River -Judicial road maintenance 3,400
Developer street signs installation 14,845
Total Public Works 1,386,175
Parks and Recreation
Recreation activities
Youth activities 70,233
Youth special events 18,264
Youth special events donations 200
Adult activities 72,073
Puppet wagon donations 3,660
Safety Camp 2,550
Safety Camp donations 1,100
Senior Center newsletter cost reimbursement 1,906
Senior Center donations 470
Senior Center excursion 25,000
Ritter Farm Park Environmental Learning Center 8,364
Excursions 7,920
Tennis lessons 17,708
Total recreation activities 229,448
Exhibit A (Cont.)
GENERAL FUND
SCHEDULE OF REVENUES
2008
Charges for Services (continued)
Parks and Recreation (continued)
Park rental/maintenance/tournament fees $ 25,057
Senior Center rental 440
Total Parks and Recreation 254,945
Arts Genter
Program fees 116,375
Facility rentaUevent admissions 56,250
Total Arts Center 172,625
Total Charges for Services $ 2,345,286
Court Fines $ 281,867
Miscellaneous
Interest on investments. $ 323,190
Sale of assets 28,748
Park rental farming Berres 400
Donations 21,500
Rentals .Dakota Heights water tower 42,407
Other 30
Total Miscellaneous $ .416,275
Exh i bit A (Cont.>
• GENERAL FUND
SCHEDULE OF REVENUES
2008
Interfund Transfers ,
Cable TV Fund $ 114,576
Surface Water Management Fund 75,726
Storm Sewer Fund (GIS) 38,867
Municipal Reserves Fund 40,663
Liquor Fund 223,055
Utility Funds 285,652
Total Interfund Transfers $ 778,539
Total Revenues $ 21,504,491
Exh i bit A ~~ont.>
GENERAL FUND
SCHEDULE OF EXPENDITURES
Expenditures 2008
Mayor and Council
Personnel services $ 50,769
Commodities 50
Other charges and services 59,794
Total 110,613
City Administration
Personnel services 336,673
Commodities 850
Other charges and services 21,831
Capital outlay 2,500
Total 361, 854
Public Communications
Personnel services 140,731
Commodities 415
Other charges and services 41,755
Capital outlay 5,633
Total 188, 534
City Clerk
Personnel services 101,871
Commodities 3,350
Other charges and services 62,965
Capital outlay 10,072
Total 178,258
Legal
Other charges and services 81,244
Committees/Commissions
Personnel services 45,088
Commodities 2,760
Other charges and services 54,057
Total 101,905
i
Exh~b~t /"(Cont.)
GENERAL FUND
SCHEDULE OF EXPENDITURES
Expenditures 2008
Planning
Personnel services $ .460,102
Commodities 21,100
Other charges and services. 73,242
Capital outlay 573
Total 555,017
Community and Economic Development
Personnel services 241,220
Commodities 650
Other charges and services 48,543
Capital outlay 2,272
Total 292,685
• Inspection
Personnel services 1,076,773
Commodities 31,116
Other charges and services 84,918
Capital outlay 5,112
Total 1,197, 919
General Government Building
Personnel services 190,682
Commodities 46,174
Other charges and services 270,428
Capital outlay 9,528
Total 516,812
Finance
Personnel services 813,305
Commodities 13,011
Other charges and services 212,289
Capital outlay 89,349
Total 1,127,954
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? 1 f
Exhibit A ccont.,
GENERAL FUND
SCHEDULE OF EXPENDITURES
Expenditures 2008
Human Resources
Personnel services $ 240,240
Commodities 2,110
Other charges and services 67,554
Capital outlay 5,324
Total 315,228
Insurance
Other charges and services 275,513
Police
Personnel services 5,788,999
Commodities 357,480
Other charges and services 1,368,737
Capital outlay 4,977
Total 7,520,193
Fire
Personnel services 1,056,280
Commodities 162,856
Other charges and services 290,874
Total 1,510,010
Ambulance
Other charges and services 26,719
Engineering
Personnel services 931,615
Commodities 17,636
Other charges and services 98,375
Capital outlay 65,502
Total 1,113,128
EXh~ bit /'1(Cont.)
GENERAL FUND
SCHEDULE OF EXPENDITURES
Expenditures 2008
Streets
Personnel services $ 1,392,722:
Commodities 626,005
Other charges and services 785,675
Total 2,804,402
Parks
Personnel services 1,374,847
Commodities 257,504
Other charges and services 620,640
Capital outlay 4,804
Total 2,257,795
• Recreation
Personnel services 355,784
Commodities 30,695
Other charges and services 201,246
Capital outlay 6,157
Total 593,882
Arts Center
Personnel services 206,999
Commodities 16,691
Other charges and services 176,378
Capital outlay 4,144
Total 404,212
Other 150, 000
Total Expenditures $ 21,683,877
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