HomeMy WebLinkAbout03-255 ~
CITY OF LAKEVILLE
RESOLUTION
Date December 15, 2003 Resolution 03-255
Motion By Luick Seconded By Rieb
RESOLUTION ADOPTING THE 2004
GENERAL FUND BUDGET
BE IT RESOLVED, by the City Council of the City of Lakeville, Minnesota, that the following
General Fund Budget is hereby approved and adopted for the fiscal year ending December 31, 2004.
.2004
REVENUES
General property taxes $ 9,900,557.
Licenses and permits 2,394,858
Intergovernmental revenue 567,095
Charges for services 1,581,387
Court fines 205,357
Miscellaneous 289,411
i Interfund transfers 1,214,869
Total Revenues °16,153,534
EXPENDITURES
Mayor and Council 113,251
Public Communications 143,659
City Administration 274,456
City Clerk 132,421
Legal 89,515
Committees/Commissions 79,248
Community Development 654,846
Inspection 926,321
.General Government Building 356,474
Finance 749,039
Human Resources 246,064
Insurance 176,208
Police 5,623,570
:Fire 972,965
(continued)
•
RESOLUTION ADOPTING THE 2004
GENERAL FUND BUDGET
2004
EXPENDITURES (continued)
Ambulance $ 22,829
Engineering 772,603
Streets 2,689,890
Parks 1,558,862
Recreation 398, 777
Arts Center 257,195
Other . 374, 384
Total Expenditures 16,612,577
Net {ncrease/(Decrease) (459,043)
Fund Balance, January 1 7,827,609
Transfer to Employee Benefit Fund- (50,000)
Transferto Building Fund (152,200)
Fund Balance, December 31 $ 7,166,366
•
APP~tOVED AND ADOPTED by the City Council. of the City of Lakeville, Minnesota,
this .15th day of December, 2003.
CITY OF L KEVILLE "
BY: ,
Robert D. J nson, Mayor
TTEST•
harlene Friedges, City CI
•
GENERAL FUND
SCHEDULE OF REVENUES
2004
TAXES.
Properly taxes -current $ 8,819,373
Property taxes -delinquent 85,903
Market value homestead credit 94,144
Fiscal disparities 821,024.
Mobile home tax 32,430
Mobile home tax credit 21,368
Gravel tax 26,315
Total Taxes $ 9,900,557
LICENSES AND PERMITS
Trash removal $ 450
Dog 14, 700
Signs 5,275
On-sale liquor 50,900
Sunday liquor 2,800
Club special license 1,150
Non-intoxicating liquor on 600
Non-intoxicating liquor off 600
Wine 500
Pedler 250
Tree removal 500
Arcade (amusement device) 1,665
Tattoo/piercing 900
Fireworks 500
Miscellaneous. 825
Total Licenses 81,615
Plan review fees 722,025
Building 1,206,653
Plumbing 92,277
Water and sewer, 63,973
Mechanical 90,.165
Street cutting 5,150
Grading/Filling 900
Gravel 4,800
Driveway 750
Zoning 6,200
Fire burning 250
Electrical 120,000
• Miscellaneous 100
Total Permits 2,313,243
Total Licenses and Permits $ 2,394,858
GENERAL FUND
SCHEDULE OF REVENUES
2004
INTERGOVERNMENTAL REVENUE
State-aid police $ 238,760
State-aid fire relief 194,250
State-aid streets 69,030
State-aid pensions 21,303
State POST Board grant 18,142
State Safe & Sober grant 5,510
Federal COPS (SRO) grant 17,300
Police protective vests grant 2,400.
Other grants 400
Total Intergovernmental $ 567,095
CHARGES FOR SERVICES
General Government
Rezoning fees $ 2,000
Platting fees 5,800
• Variance fees 1,200
PUD application fees 1,250
CUP fees 3,800
Home occupation fees 900
Planner fees 38,668
Inspection fees 14,400
General government service charge 2,255
Tree escrow fund administration 10,612
Lodging tax fee 5,650
Investment management fees 22,943
Sale of maps/copies 900
Sale of printed .material 200
Finance charges 1,000
City of Farmington (LS. Technician cost share) 21,499
Total General Government 133,077
GENERAL FUND
SCHEDULE OF REVENUES
2004
Public Safety
Police department charges $ 39,986
Police dispatching 151,883
SRO - ISD 194 contribution 111,950
Animal pickup 2,760
Animal storage 5,214
Animal rabies 2,645
Restitution 400
Forfeiture -sale of assets 12,000
Fire contracts 26,371
ALF -Administrative charge 59,819
Total Public Safety 413,028
Public Works
Engineering platting -preliminary 8,602
• Engineering platting -final 5,000
Engineering plan review fees 21,710
Engineering developer inspection fees 10,963
Engineering developer contract administration 248,798
Engineering improvement project design variable 12,420
Engineering improvement project construction inspection 11,040
Special assessment admin charge 95,562
Special assessment searches 250
Document/map sales 1,660
Bid plans/specs deposits 1,500
Street lights 365,630
Gredit River -Judicial road maintenance 3,380
Developer street signs install 28,000
.Total Public Works 814,515
GENERAL FUND
SCHEDULE OF REVENUES
•
2004
Parks ahd Recreation
Recreation activities
Youth activities $ 44,515
Youth activities donations 2.50
Youth special events 16,689
Youth special events donations 200
Adult activities 46,213
Puppet wagon donations 3,700
Safety Camp 2,375
Safety Camp donations 2.,250
Senior Center donations 400
Excursions 7,920
Tennis lessons 9,216
Total Recreation activities 133,728
Park rental/maintenance/tournament fees 13,000
Senior Center rental 400
Senior Center -newsletter reimbursement 1,433
•
Total Parks and Recreation 148,561
Arts Center
Program fees 40,206
Facility rental 32,000
Total Arts Center 72,206
Total Charges for Services $ 1,581,387
•
GENERAL FUND
SCHEDULE OF REVENUES
• 2004
COURT FINES
Court fines $ 205,357
MISCELLANEOUS
Interest on investments $ 180,908
Sale of assets. 25,638..
Park rental farming - Berres 250.
Donations 25,000
Rentals. Dakota Heights water tower 57,615
Total Miscellaneous $ 289,411
INTERFUND TRANSFERS.
Cable TV Fund $ 156,391
G.I.S. Fund (IS) 6,800
Surface Water Management Fund 92,410
E-911 Fund 33,797
Municipal Reserves Fund (Administration charge) 19,370
Municipal Reserves Fund (HR) 17,842
Liquor Fund (Police Patrol) 37,777
Liquor Fund (IS) 21,433
Liquor Fund (Chemical awareness) 41,377
Liquor Fund (HR) 37,965 '
Liquor Fund 572,916
Utility Fund 149,038
Utility Fund (IS) 14,877
Utility Fund (HR) 12,876
Total Interfund Transfers $ 1,214,869
Total General Fund $ 16,153,534
•
GENERAL FUND
SCHEDULE OF EXPENDITURES
2004
Mayor and Council
Personnel services $ 51,423
Commodities 50
Other charges and services 61,778
TotaF 113,251
Public Communications
Personnel services ` 107,674
.Commodities 430
Other charges and services 34,656
Capital outlay 899
Total 143,659
City Administration
Personnel services 259,558
Commodities 800
Other charges and services 12,364
Capital outlay 1,734
Total 274,456
• City Clerk
Personnel services 80,785
Commodities 2,975
Other charges and services 43,733
Capital outlay 4,928
Total 132,421
Legal 89,515.
CommitteestCommissions
Personnel services 33,568
Commodities 1, 320
Other charges and services 44,360
Total 79, 248
Community Development
Personnel services 578,549
Commodities 3,765
Other charges and services 69,976
Capital outlay 2,556
Total 654,846
GENERAL FUND
SCHEDULE OF EXPENDITURES
2004
Inspection
Personnel services $ 846,472
Commodities 13,866
Other charges and services: 57,779
Capital outlay 8,204
Total 926, 321
General Government Building
Personnel services 90,084
Commodities 46,939
Other charges and services 211,676
Capital outlay 7,775
Total 356,474
Finance
Personnel services 572,882
Commodities 13,386
Other charges and services 145,228
Capital outlay 17,543
Total 749,039
Human Resources
Personnel services 182,289
Commodities 4,130
Other charges and services 59,645
Total 246, 064
Insurance 176,208
Police
Personnel services 4,789,333
Commodities 203,685
Other charges and. services 630,552
Total 5,623,570
Fire
Personnel services 670,093
Commodities 82,783
Other charges and services 220,089
Total 972,965
Ambulance
.Other charges and services 22,829
+
GENERAL FUND
SCHEDULE OF EXPENDITURES
2004
Engineering
Personnel services $ 659,030
Commodities 16,880
Other charges and services 49,811
Capital outlay 46,882
Total 772,603
Streets
Personnel services 1,051,103
Commodities 424,546
Other charges and services 1,214,241
Total 2,689,890
Parks
Personnel services 1,135,665
Commodities 160,070
Other charges and services 260,939
Capital outlay 2,188
Total 1,558,862
Recreation
PersonneV services 260,304
Commodities 23,131
Other charges and services 109,816
Capital outlay 5,526
Total 398,777
Arts Center
Personnel services .152,909
Commodities 9,572
Other charges and services 94,714
Total 257,195
Other 374,384
Total General Fund $ 16,612,577