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City Council Resolution 2014-124CITY OF MONTICELLO WRIGHT COUNTY, MINNESOTA RESOLUTION NO. 2014 -124 ADOPTING THE 2015 BUDGET AND AUTHORIZING SPECIFIC FINANCE - RELATED ACTIVITIES WHEREAS, the budget is the fiscal blue print for the entire year where the City Council has considered and incorporated all foreseeable spending plans for 2015; and WHEREAS, the City, through sound fiscal policy, establishes that current revenues will be used to finance current expenditures and regularly - occurring capital expenditures; and WHEREAS, the City Council shall by this resolution set forth the total expenditures and uses, excluding depreciation, and the total revenues and other sources for each budgeted fund. NOW THEREFORE, BE IT RESOLVED, by the City Council of the City of Monticello the following is hereby approved: SECTION 1. AUTHORIZATION OF APPROPRIATIONS: Fund 2015 Budget General Fund $ 7,246,000 Special Revenue Funds Economic Development 755,114 Deputy Registrar 343,429 Minnesota Investment - Monticello Community Center 2,808,050 Park & Pathway Dedication 817,000 Total Special Revenue Funds 4,723,593 Debt Service Funds 2007A G.O. 1 mprovement Bond 621,800 2008A G.O. Sewer Refunding 1,048,942 2008A G.O. Revenue Refunding 1,001,260 2010A G.O. Improvement Bond 302,899 2011A G.O. Refunding Bond 2,4601750 2014A G.O. Judgment Bond 185,000 Total Debt Service Funds 5,620,651 Capital Project Funds Capital Project 4,821,000 Closed Bond Fund - Stormwater Access - Street Lighting Improvement 125,000 Street Construction 1,500,000 Total Capital Project Funds 6,446,000 Enterprise Funds Water 1,645,811 Sewage 6,191, 555 Liquor 4,979,859 Cemetery 30,623 Fiber Optics 2,100,956 Total Enterprise Funds 14,948,804 Internal Service Funds IT Services (Authorized) 278,100 Central Equipment (Authorized) 367,260 Total Internal Service Funds 645,360 Total All Funds $ 39,630,408 SECTION 2. ESTIMATED REVENUES FROM ALL SOURCES: Fund 2015 Budget General Fund $ 7,246,000 S12ecial Revenue Funds Economic Development 1,046,475 Deputy Registrar 401,100 Minnesota Investment 25,000 Monticello Community Center 2,808,050 Park & Pathway Dedication 72,000 Total Special Revenue Funds 4,352,625 Debt Service Funds 2007A G. O. Improvement Bond 536,114 2008A G. 0. Sewer Refunding 845,000 2008A G. 0. Revenue Refunding 1,005,500 2010A G. 0. Improvement Bond 213,009 2011A G. 0. Refunding Bond 2,091,738 2014A G.O. Judgment Bond 1,000 Total Debt Service Funds 4,692,361 Capital Project Funds .......... Capital Project 4,401,000 Closed Bond Fund 214,000 Stormwater Access 70,000 Street Lighting Improvement 90,000 Street Construction 25,000 Total Capital Project Funds 4,800,000 Enterprise Funds Water 1,331,500 Sewage 5,494,950 Liquor 4,878,000 Cemetery 25,608 Fiber Optics 2,101,584 Total Enterprise Funds 13,831,642 Internal Service Funds IT Services (Authorized) 278,201 Central Equipment (Authorized) 158,710 Total Internal Service Funds 436,911 Total All Funds $ 35, 359, 539 SECTION 3. TRANSFERS: By resolution, the Council can amend or rescind this section as the year progresses. The following list does not include any transfers for projects that have not received formal council authorization. a. To 2011 A GO Improvement Bond Fund from Sewage Fund - $175,000, Water Fund - $500,000, and EDA /TIF - $271,900 (Total - $946,900). b. To 2008A GO Sewer Revenue Refunding Bond Fund from Sewage Fund - $340,000. c. To 2008A Revenue Refunding Bond Fund from Community Center Fund - $1,005,000. d. To 2010A GO Improvement Bond Fund from Sewage Fund - $84,672 and Water Fund $33,264 (Total - $117,936). e. To EDA Fund from General Fund - $94,900. f. To Capital Projects Fund from the Street Reconstruction Fund - $1,500,000. g. To FiberNet Fund from Liquor Fund - $450,000. SECTION 4. CAPITAL EQUIPMENT AND IMPROVEMENT ACQUISITION: a. Amends the list of reimbursable equipment in Resolution 2013 -018, later amended by Resolution 2013 -101, to include with approximate costs as follows: 1) speed trailer - $12,500; 2) blacktop roller - $30,000; 3) forklift (used) - $15,000; 4) Parks truck - $25,000; 5) overseeder - $12,000; 6) Cushman Truckster - $35,000. b. Approves purchase of truck and accessories for $60,000 from Water and Sewage Funds. SECTION 5. OTHER BUDGET AUTHORIZING ACTIONS: a. Removes prior commitments and assignments, except those required by GASB, from fund balance classifications. b. Approves Senior Center annual subsidy of $55,000. c. Approves a 3% cost -of- living adjustment to full -time, part-time (excluding MCC staff and volunteer fire personnel) and seasonal employees for the pay period commencing on January 10, 2015. d. Establishes the monthly standard health insurance benefits at $1,012 and $1,060 with effective dates of January 1 and March 1, respectively. Premium contributions are required from family /dependent plan participants for the difference between the standard benefit and coverage costs. No contribution is required from single- and non -plan participants. ADOPTED BY the Monticello City Council this 81h day of December, 2014. CITY OF MONTICELLO /W- .7A4-' �__' Clint Herbst, Mayor ATTEST: 0'__' 6��' -e- I Jeff OA_ r , , City Administrator