HomeMy WebLinkAbout01-248 CITY OF LAKEVILLE
• RESOLUTION
.Date December 17, 2001 Resolution 01-248
Motion By Rieb Seconded By Mulvihill
RESOLUTION ADOPTING THE 2002
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, 2002...
2002
REVENUES
General property taxes $ 8,762,117
Licenses and permits 2,280,838
Intergovernmental revenue. 1,031,904
Charges for services 1,536,743
Court fines 184,755
. Miscellaneous 277,486
Interfund transfers 403,443
Total Revenues 14,477,286
EXPENDITURES
Mayor and Council 92,670
Public Communications 142,325
City Administration 259,732.
.City Clerk 125,984
Legal 84,960
Committees/Commissions 72,274
Community Development 616,279
Inspection 732, 732
GeneraLGovernment Building 346,135
Finance 589,659
Human Resources 218,630 '
Insurance 206,002
Police 5,038,275
Fire 777,885
(continued)
RESOLUTION ADOPTING THE 2002
GENERAL FUND BUDGET
2002
EXPENDITURES (continued)
Ambulance $ 21,564
Engineering 720,735
Streets. 2,052,838
Parks 1, 512,661
Recreation 358,753
.Arts Center 228,626
Other 251,379
Total Expenditures 14,450,098
Net Increase/(Decrease) 27,188
Fund Balance, January 1 5,999,394
Transfer to Employee Benefit Fund (50,000)
Fund Balance, December 31 $ 5,976,582
APPROVED AND ADOPTED by the City Council of the City of Lakeville, Minnesota,
this 17th day of December, 2001.
CITY OF L KEVILLE
BY:
Robert D, J nson, Mayor
...EST:
harlene Friedges, City rk
GENERAL FUNb
SCHEDULE OF REVENUES
•
2002
TAXES
Property taxes -current $ 7,408,.955
Property taxes -delinquent 50,957
Fiscal disparities 1,230,345
Mobile home tax 31,851
Gravel tax 40,009
Total Taxes $ 8,762,117
LICENSES AND PERMITS
Trash removal $ 450
Dog 14, 025
Signs 4,350
Dances (cabaret) 100
On-sale liquor 25,200
Sunday liquor 1,600
Club special business 1,150
• Non-intoxicating liquor on 1,500
Non-intoxicating liquor off .600
Wine 1,500
Tree removal 450
Tattoo/piercing 600
Arcade (amusement device) 1,470
Miscellaneous 1,085
TotaF Licenses 54;080
Plan review fees 753,638
Building 1,254,227
Plumbing 83,612
Water and sewer 51,486
Mechanical.. 65,465
Fence 5,480
Moving 300
Street cutting 4,450.
Grading/Filling 900
Gravel 6,275
Driveway 750
Fire. burning 25
Miscellaneous ' 150
Total Permits 2,226,758
Total Licenses and Permits $ 2,280,838
GENERAL FUND
SCHEDULE Of REVENUES
2002
INTERGOVERNMENTAL REVENUE
Local government aid $ 499,096
State-aid police 224,312
State-aid fire relief 123,323
State-aid streets 64,395
State-aid pensions 29,137
:Police grant -POST 19,008
Police grant- COPS FAST 9,500
Police grant -SRO 41,700
Police grant - CPSO 7,183
Police grant -Drug Task Force 14,050
Snowmobile trail maintenance grant 200
Total Intergovernmental $ 1,031,904
CHARGES FOR SERVICES
General Government
Rezoning fees $ 2,000
Platting fees 13,005-
Variance fees 1,000
PUD application fees 1,000
CUP fees 3,800
Home occupation fees 900
Planner fees 37,941
Inspection fees 11,750
General government service charge 965
Tree escrow fund administration 28,738
Lodging tax fee 6,133
Investment management fees 21,626
Sale of maps/copies 2,055
Sale of history books/resident guidebook fees 30
Sale of printed material 700
Finance. charges 500
Total General Government 132,143
GENERAL FUND
SCHEDULE OF REVENUES
2002
Public Safety
Police department charges $ 35,706
Police dispatching 136,108
DARE -ISD 194/196 contributions 49,265
DARE -Donations 1,250
SRO -ISD 194 contribution 39,928
.Animal pickup 3,045
Animal storage 5,765
Animal rabies 2,920
Restitution 400
Forfeiture -sale of assets 9,200
Fire contracts 23,509
ALF Ambulance -Administrative 33,020
Total Public Safety 340,116
Public Works
Engineering platting -preliminary 48,000
Engineering platting -final 7,.500
Engineering plan review fees 8,000
Engineering drawing/base maps 23,040
Engineering developer inspection fees 10,225
Engineering. developer contract administration 214,170
Engineering improvement project design variable 70,000
Engineering improvement project construction inspection 78,750
Special assessment admin charge 107,971
Special assessment searches 250
Document/map sales 2,300
Bid plans/specs deposits 1,100
Street department charges 500
Street lights 306,952
Credit River -Judicial road maintenance 3,610
Developer street signs install 16,997
Total Public Works 899,365.
GENERAL FUND
SCHEDULE OF REVENUES
2002
Parks and Recreation
Recreation activities
Youth activities $ 13,621
Youth activities donations 325
Youth special events 11,375
Youth special events donations 75
Adult activities 40,260
Adult activities donations 500
Puppet wagon donations 3,600
Safety Camp 2,000
Safety Camp donations 2,250
Senior Center donations 400
Manufactured home program. 720
Ritter Farm Park ELC 5,645
Excursions 8,400
Tennis lessons 4,400
Total Recreationactivities 93,571
Park rental/maintenance/tournament fees 13,000
Senior Center 2,113
Total Parks and Recreation 108,684
Arts Center
Program fees 32,855
Facility rental 23,580
Total Arts Center 56,435
Total Charges for Services $ 1,536,743
•
GENERAL FUND
SCHEDULE OF REVENUES
2002
COURT FINES
Court fines $ 181,808
Court fines -DARE 2,947
Total Fines $ 484,755
MISCELLANEOUS
Interest on investments $ 136,743
Sale of assets 86,720
Park rental farming - Berres 250
Donations 2,800 "
Rentals Dakota Heights water tower 50,973
Total Miscellaneous $ 277,486
i~ INTERFUND TRANSFERS
Cable TV Fund $ 10,781
G.I.S. Fund 4,077
Surface Water Management Fund 31,740
E-911 Fund 20,680
Economic Development Revolving Loan Fund 15,000
.Municipal Reserves Fund 32,988
Liquor Fund (Police Patrol) 33,914
Liquor Fund (IS) 22,014
Liquor Fund (DARE Program) 38,728
Liquor Fund (HR) 38,626
Utility Fund. 128,974
Utility Fund (IS) 13,045
. Utility Fund (HR) 12,876
Total Interfund Transfers $ 403,443
Total General Fund $ 14,477,286
GENERAL FUND
• SCHEDULE OF EXPENDITURES
2002
Mayor and Council
Personnel services $ 51,354
Commodities 500
Other charges and services 40,816
Total 92,670
Public Communications
Personnel services 108,928
Commodities 840
Other charges and services 31,280
Capital outlay 1,277
Total 142,325
City Administration
.Personnel services 240,893
Commodities 1,065
Other charges and services 16,608
Capital outlay 1,166
Total 259,732
City Clerk
Personnel services 74,703
Commodities. 4,125
Other charges and services 40,865
Capital outlay 6,291
Total 125,984
Legal 84,960
Committees/Commissions
Personnel services 38,956
Commodities 1,450
Other charges and services 31,868
Total 72,274
Community Development
Personnel services 477,437
Commodities 4,090
Other charges and services 133,424
• Capital outlay 1,328
Total 616,279
.GENERAL FUND
SCHEDULE OF EXPENDITURES
2002
Inspection
Personnel services $ 651,213
Commodities 17,215
Other charges and services 46,696
Capital outlay 17,608
Total 732, 732
General Government Building
Personnel services 92,175
Commodities 44,820
Other charges and services 209,140
Total 346,135
Finance
.Personnel services 456,288
Commodities 12,146
Other charges and services 110,469
Capital outlay 10,756
Total 589,659
Human Resources
Personnel services 165,709
Commodities 2,763
Other charges and services 49,892
Capital outlay 266
Total 218,630
Insurance 206,002
Police
Personnel services 4,294,191
Commodities 175,478
Other charges and services 568,606
Total 5,038,275
Fire.
Personnel services 536,968
Commodities 75,690
Othercharges and services 165,227
Total 777,885
Ambulance
Other charges and services 21,564
GENERAL FUND
SCHEDULE OF EXPENDITURES
•
2002
Engineering
Personnel services $ 577,393
Commodities 17,860
Other charges and services 73,130
Capital outlay 52,352
Total 720, 735
Streets
Personnel services 943,933
Commodities 438,924
Other charges and services 667,702
Capital outlay 2,279
Total 2, 052, 838
Parks
Personnel services 1,077,242:
Commodities 159,492.
Other charges and services 273,323
Capital outlay 2,604
Total 1,512,661
Recreation
Personnel services 233,639
Commodities 21,164
Other charges and services 98,033
Capital outlay 5,917
Total 358,753
Arts Center
Personnel services 113,068
Commodities 11,426
Other charges and services 91,494
Capital outlay 12,638
Total 228,626
Contingency
Salaries and benefits -Non-union 141,015
Patrol Officer 35, 364
Unallocated expenditures (e.g., emergencies) 75,000
Total 251.,379
Total General Fund $ 14,450,098