City Council Agenda Packet 08-28-1995 SpecialAGENDA
SPECIAL MEETING - MONTICELLO CITY COUNCIL
Monday, August 28,1995 - 5:30 p.m.
Mayor. Brad Fyle
Council Members: Shirley Anderson, Clint Herbst, Brian Stumpf, Tom Perrault
Call to order.
1996 Proposed Budget and Ta: Levy Workshop.
Adjournment.
1996 BUDGET BUXURY
• includes $404,395 Depreciation- -contributed assets sewer
•• includes $191,900 Depreciation- -contributed assets water
A
1235
1gC6
FUND
$�' IR
RXPENDITLIRF.S
REVEMIR
=F MTTMPi
General
$2,456,785
$2,456,785
$2,840,575
$2,840,575
Library
31,865
31,865
31,945
31,945
Transportation
67,479
67,229
70,243
70,322
Shade Tree
32,960
32,960
20,385
20,385
UDAG
11,695
-0-
11,120
-0-
OAA
29,800
29,800
1,700
1,700
HRA
414,700
321,771
508,040
321,727
EDA
118,770
201,440
117,445
202,120
SCERG
63,100
33,300
7,805
-0-
CMIF
13,3 20
13,320
195
-0-
Debt Service
1,266,1 15
1,419,712
1,759,511
1,566,430
Liquor
1,540,9 00
1,483,625
1,675,750
1,612,240
Water
182,350
411,000••
192,950
384,850
Sewer
505,900
862,575•
522,260
926,655
Capital IrV.
493,468
493,468
489,665
725,600
Water Access
24,400
-0-
82,080
20,500
Sewer Access
_11 -Sm
-n-
I ql t u
2A. o00
TOTAL
$7,287,157
$7,859,850
$8,524,769
$8,753,049
• includes $404,395 Depreciation- -contributed assets sewer
•• includes $191,900 Depreciation- -contributed assets water
A
OPTION #2
1996 BUDGET SUMK RY
FUND
1 m
RXRzNDIRiM=
1.92.6
RYPRNnT MJRRS
General
Bma2m
$2,456,785
$2,456,785
REMM
$2,840,575
$2,840,575
Library
31,865
31,865
31,945
31,945
Transportation
67,479
67,229
70,243
70,322
Shade Tree
32,960
32,960
20,385
20,385
UDAG
11,695
-0-
11,120
-0-
OAA
29,800
29,800
1,700
1,700
HRA
414,700
321,771
508,040
321,727
EDA
118,770
201,440
117,445
202,120
SCERG
63,100
33,300
7,805
-0-
CMIF
13,320
13,320
195
-0-
Debt Service
1,266,115
1,419,712
1,759,511
1,566,430
Liquor
1,540,900
1,483,625
1,675,750
1,612,240
Water
182,350
4111000••
192,950
384,850
Sewer
505,900
862,575•
522,260
926,655
Capital InV.
493,468
493,468
569,665
805,600
Water Access
24,400
-0-
82,080
20,500
Sewer Access
-4-4. -%92
-n-
193.100
29.000
TOTAL
$7,287,157
$7,859,850
$8,604,769
$8,833,049
• includes $404,395 Depreciation --contributed assets sewer
•• includes $191,900 Depreciation --contributed assets water
GENERAL FUND SUMMARY
1996 BMXM
Current Ad Valorem
$1,884,015
$2,203,730
Penalty/ Interest
11000
11000
Tax Increments --Kmart
99.600
99 1g,Q
$1,984,615
$2,303,830
t.ic nR a nd .-it-- - R+Rin RR
Liquor
20,950
25,150
Beer
1,445
1,550
Set Ups
3?S
32�
$ 22,720
$ 27,025
i.i PnR a wnd Paan; h 4 - Nnri-A ,i a�inpsa
Building Permits
80,000
110,000
variances/ conditional Uses
11800
2,500
Dog Licenses
150
150
Others
3.60Q
i - (%.n (I
$ 85,550
$ 116,250
Zn r-( nv rnmPnt'al
Fire Department Aid
31,125
32,685
Police Department Aid
20,000
22,000
State Highway Aid
ao_000
ao =
$ 91,125
$ 94,685
� C`a;Qes for Service a_
General Government
11150
11000
Public Safety (Township Contract)
60,020
59,600
Streets - C.S.A.H. Mtnc.
51050
51800
Deputy Registrar
93,750
100,000
Other
3,200
350
Subdivision Fees
91000
11000
Special Processing Fee (Garbage)
81500
12,000
Recycling incentive
7,500
81000
Inspection Fees
3,000
4,000
Garbage Cart Rental
3.700
4 50A
$ 194,870
$ 196,250
FinAn
Animal impoundment
ao.oee
i5 nQQ
$ 20,000
$ 15,000
M;A Al1anP0 ,R RRVPTILP
Interest on Inveotmento
50,555
62,060
Sale of Property
350
275
Other 6 Rental 6 Property
2 rlu
11 'QII
Rnf RPim►,,,rarmnntn
$ 53,405
$ 73,535
+ndn and
IDC Roimbursement
2,000
2,000
Other Reimbursements
2 -Ann
12_nnn
f
$ 4,500
$ 14,000
TOTAL GENERAL FUND REVENUE
$2,456,785
$2,840,575
i
GENERAL FOND SUMM RY
1996 BUDGET
8"RUDITQR88 im
Mayor and Council
$
29,750
$
30,225
Administration
232,120
237,365
Finance
97,960
99,320
Insurance
66,825
65,000
Audit
13,500
13,500
Legal
23,775
27,300
Planning & Zoning
81,290
72,935
Inspections --Bldg. Official
96,550
156,240
Assessing
12,525
13,625
Deputy Registrar
85,685
94,895
City Hall
50,260
39,950
Computer
29,840
38,020
Elections
o.
F. I-)5
'DOTAL GENERAL GOVERNMENT
$
820,080
$
894,500
Law Enforcement
$
293,635
$
302,810
Fire
132,400
133,475
Civil Defense
9,405
8,740
Animal Control
38.075
IS, ciao
TOTAL PUBLIC SAFETY
$
473,515
$
480,525
Inspection
$
39,800
$
42,340
Admin. & Engineering
102,795
116,260
Streets & Alleys
243,685
361,680
Snow & Ice
17,735
87,810
Street Lighting & Parking Lots
64,490
65,750
Shop & Garage
35,500
73,350
Refuse Collection
260.070
286.270
TOTAL PUBLIC WORKS
$
773,075
$1,033,460
Senior Citizens Center
$
36,500
$
55,000
YMCA/Community Ed.
25,000
25,000
Information Center/Museum
_
1.795
1.740
'DOTAL HEALTH & WELFARE
$
63,295
$
81,740
Parks & Rec./Cemetery
S
181.275
S
203.980
'DOTAL PARKS & RECREATION
$
181,275
$
203,980
Community Development
S
136.870
TOTAL COMMUNITY DEVELOPMENT
$
135,045
$
136,870
Misr.--Severence Benefits
s
le_son
%
o SgIl
TOTAL MISCELLANEOUS
$
10,500
$
91500
TOTAL GENERAL FUND EXPENDITURES
$2,456,785
$2,840,575
fsMr
General
Library
Transportation
Shade Tree
OAA
HRA
Debt Service
Capital Imp. Revolving
'DOTAL
TAX LM SUMMARY
1996 BUD(i8T
ALL 806D8
$2,841,185 $3, 358,187 $3, 065 , 657'
Net Certified Levy Increase - $224,472 (+7.98)
Payable 1989
Tax Capacity Rate
Net Payable"
Adjusted
Levy Before
1996 Adjusted
Levy
PayahlP 199S
HACA Adj.
PaYAhlw 1996
Levy After
nedurh i nn HArA
$1,696,139
$2,203,730
$2,009,987
30,735
30,745
30,745
15,178
17,000
15,508
23,425
13,135
11,965
26,544
1,300
1,183
16,088
19,090
17,423
637,098
651,187
593,939
$2,841,185 $3, 358,187 $3, 065 , 657'
Net Certified Levy Increase - $224,472 (+7.98)
Payable 1989
Tax Capacity Rate
14.283
Payable 1990
Tax Capacity Rate
16.187
Payable 1991
Tax Capacity Rate
15.511
Payable 1992
Tax Capacity Rate
16.492
Payable 1993
Tax Capacity Rate
16.313
Payable 1994
Tax Capacity Rate
17.527
Payable 1995
Tax Capacity Rate
18.228
Est. Payable
1996 Tax Capacity Rate. 19.220
(+5.38)
�D8
Tax
; i VA1 L8 �Dfl
Tax
ltY A A
TAX -IQ=
'88/Payable 1989 $
15,405,139
14.283
$2,198,008
189/Payable 1990
15,873,242
16.187
2,568,106
'90/Payable 1991
16,161,043
15.511
2,506,132
'91/Payable 1992
15,513,574
16.492
2,558,554
'92/Payable 1993
15,490,500
16.308
2,526,216
193/Payable 1994
15,154,786
17.527
2,652,527
'94/Payable 1995
15,586,930
18.228
2,841,185
'95/Payable 1996 (est)
15,967,298
19.200
3,065,657 (+5.3%)
• Actual levy collected
from taxpayers --balance received from state in
HACA aid payments ($292,530
is eat. State Aid for 1996).
•• Did not deduct HACA
from library levy,
but deducted
library portion of
HACA from general fund
levy.
I
s
I
Fltnd
General
Library
Transportation
Shade Tree
OAA
HRA
Debt Service
Capital IrW. Revolving
'DOTAL
OPTION 62
TAE LSV! SUMMARY
1996 BUDGET
ALL PONDS
$2,841,185 $3,438,187 $3,145,657•
Net Certified Levy Increase - $304,472 (+10.78)
Payable 1989
Tax Capacity Rate .
Net Payable* •
Adjusted
Levy Before
1996 Adjusted
Levy
PAVhla w 1995
HACA Adj.
wahlw 1006
Levy After
T)Pduntina HArA
$1,696,139
$2,203,730
$2,014,551
30,735
30,745
30,745
15,178
17,000
15,537
23,425
13,135
11,994
26,544
1,300
1,183
16,088
19,090
17,452
637,098
651,187
595,285
$2,841,185 $3,438,187 $3,145,657•
Net Certified Levy Increase - $304,472 (+10.78)
Payable 1989
Tax Capacity Rate .
. . . 14.283
Payable 1990
Tax Capacity Rate .
. . . 16.187
Payable 1991
Tax Capacity Rate .
. . . 15.511
Payable 1992
Tax Capacity Rate .
. . . 16.492
Payable 1993
Tax Capacity Rate .
. . . 16.313
Payable 1994
Tax Capacity Rate .
. . . 17.527
Payable 1995
Tax Capacity Rate .
. . . 18.228
Est. Payable
1996 Tax Capacity Rate. . 19.701
(+8.18)
�e^�Y
Tax
Values dna
Tax
i y Rw w
Tax Lew .
188/Payable 1989 $
15,405,139
14.283
$2,198,008
'89/Payable 1990
15,873,242
16.187
2,568,106
'90/Payable 1991
16,161,043
15.511
2,506,132
191/Payable 1992
15,513,574
16.492
2,558,554
192/Payable 1993
15,490,500
16.308
2,526,216
193/Payable 1994
15,154,786
17.527
2,652,527
'94/Payable 1995
15,586,930
18.228
2,841,185
195/Payable 1996 (eat)
15,967,298
19.701
3,145,657 08. M
• Actual levy collected from taxpayers --balance received from state in
HACA aid payments ($292,530 is est. State Aid for 1996).
•• Did not deduct HACA
from library levy,
but deducted
library portion of
HACA from general fund levy.
F
SUMMARY
DR" SERVICE FUNDS
1996 BUDGET FOREC118T
mlkyl
Current ad valorem 706,400 651,187
Interest 80,165 63,245
Special asmt --county 150,900 730,229
Transfer in --tax increment 32A_650 11 4.ASo
TOTAL REVENUE AA&W6= 61.7SL=
•ffff•f•fffff�f�f�f•�f••fffff♦►ftf •f •�ff•••�ffff •��fff •1f •f•
EXPENDITURES
Principal
Interest
Paying agent fees
Interest exp.
TOTAL EXPENDITURES
925,000
456,851
8,661
-)o ?U
61. d 19 _ 719
950,000
597,762
9,543
9.15
G
SUMMARY OF PROJECTED REVENUES, EXPENDITURES
AND FUND BALANCES (CASH 6 INVESTMENTS)
PROJREV: 0822195
PROJECTED
1996
1996
PROJECTED
FUND
BALANCE
12131195
PROJECTED
RFVENLE
PROJECTED
EXPENDITURES
BALANCE
12t3l
General
$1,999,931
$2,840,575
$2,840,575
$1,999,931
Library
$8,250
$31,945
$31,945
$6250
Tree
$123,242
$20,385
$20,385
$123,242
OAA
$8,742
$1,700
$1,700
$8,742
Water
$125,958
$195,950
$192,950
$125,958
Water Access
$201,730
$82.080
$20.500
$263,310
Sewer
$99,425
$522,260
$522260
$99,425
Sewer Access
$195,430
$193,1 DO
$28,000
$360,530
Transportation
$7,650
$70,243
$70,322
$7571
Liquor
$125,850
$1,675,750
$1,612,240
$189,360
Capital Outlay Revolving
$680,450
$489,665
$725.600
$444,515
HRA
$488,250
$508,040
$321,727
$674563
UDAG
$168,420
$11,120
$0
$179,540
EDA
$157,794
$117,445
$202,120
$73,119
SCERG
$65,100
$7,80.5
$0
$72,905
CMIF
SZIl
5195
Sfl
5265
SUBTOTALS
$4,454,292
$6,765,258
$6,590.324
$4,629226
Debt Service
General Obligation Bonds
$521205
$374,086
$372200
$523,091
Special Assessment Bonds
$1,861,530
$1,066,500
$865,025
$2,065,005
Tax Increment Bonds
9350329
5319.925
Q29205
5342.049
SUBTOTALS
$2,737,064
$1,759,511
$1.566,430
$2.930,145
TOTALS
$7,191,356
$8,524,769
$8,156,754
$7,559,371
PROJREV: 0822195
OPTION 82
SUMMARY OF PROJECTED REVENUES, EXPENDITURES
AND FUND BALANCES (CASH 8 INVESTMENTS)
PROJREV: 08/2M
PROJECTED
1996
1996
CPROJECTED,
BALANCE
PROJECTED
PROJECTED
BALANCE
am
12131(95
REVENUE
FXPENDITLrRFq
103INS
General
$1,999,931
$2,840,575
$2,840,575
$1,999.931
Library
$6250
$31,945
$31.945
$6,250
Tree
$123242
$20,385
$20,385
$123,242
OAA
$8,742
$1,700
$1,700
$8,742
Water
$125,958
$195,950
$192,950
$125,958
Water Access -
$201,730
582,080
$20,500
$263,310
Sewer
$99,425
5522260
$522.260
$99.425
Sewer Access -
$195,430
$193,100
$28.000
$360,530
Transportation
$7,650
$70243
$70,322
$7,571
Liquor
$125,850
$1,675,750
$1,612,240
$189,360
Capital Outlay Revolving
5680,450
$569,665
$805,600
$444,515
HRA
$488250
5508,040
$321,727
$674,563
UDAO
$168,420
$11,120
$0
$179,540
EDA
$157.794
$117,445
$202.120
$73,119
SCERG
$65,100
$7,8D5
$0
$72.905
CMIF
sm
1185
SD
5255
SUBTOTALS
$4,454292
$6,845258
$6.670.324
54,629226
Debt Service
General Obligation Bonds
$521,205
S374,D86
$372,200
$523,091
Special Assessment Bonds
$1,661,530
$1,068,500
$865,025
$2,065,005
Tax Increment Bords
$354328
S31&925
5328105
5342015
SUBTOTALS
$2,737,064
$1,759,511
$1,566,430
$2,930,145
TOTALS
$7,191,356
$8,524,849
$8.236.754
$7,559,371
PROJREV: 08/2M
CAPITAL OUTLAY ITMS
1996 HUDUT
FUND/
n PPF ARTMENT
AMOUNT
F[iNn7NG
gQTJR_CF
Admin.:
Copy machine (2nd half)
$
6,000
General
Fund
Deputy
Registrar:
Shredder
$
210
General
Fund
Steel shelving
115
General
Fund
Computer table
1Sn
General
Fund
$
475
Data
Processing:
(2) Personal computers
$
5,000
General
Fund
(PW & city hall)
Color printer (PW)
2,500
General
Fund
GIS pilot project
(with Wright County)
7.6nn
General
Fund
$
15,100
City Hall:
(75) Council chamber chairs
$
9,375
General
Fund
Less: prev. budgeted
(3.25n)
$
6,125
Conference table
900
General
Fund
Brick sealant/repairs
5.000
General
Fund
TOTAL CITY HALL
$
12,025
Animal
Control.
New animal shelter (partial)
$
75,000
Capital
Outlay
Sr. Center:
New building roof
$
18,000
General
Fund
PW Admin.:
Filing cabinet(s)
$
800
General
Fund
PW/
Inspections:
Plan file cabinet
$
1,500
General
Fund
Streets:
Sealcoating
$
27,500
General
Fund
Small loader
50,000
General
Fund
and trailer
4,000
General
Fund
Less: 195 budget amt.
(21, Mini
$
32,500
Street sweeper
$
95,000
General
Fund
Less: trade-in
i2n_ann)
$
75,000
TOTAL STREETS
$135,000
Snow;Ice:
Snowplow hookup for
h
big loader
$
5,500
General
Fund
Snow blower
bn_nnn
General
Fund
$
65,500
IN
CAPITAL OUTLAY ITMS
1996 BUDOST
Shop &
Garage: Paving between shops
& expanding parking
$ 20,000
Locking main toolbox
1,500
Lubrication system:
(2) for motor oil
(1) for hydraulic
(1) for grease
(1) for gear oil
91900
Frame jack
2,500
Misc. furniture - shop
1.500
$ 35,400
Planning: Balance of comp plan
update ($15,000
budgeted in 1995
$ 7,500
Parks: (2) hockey rinks, move
lights & hydrant -
4th Street Park
$ 20,000
Pathway - Middle School to
Meadow Oak Park
30,000
Pathway - Middle School to
CR 75 along CR 118
15,000
Meadow Oak Park Imp (Outlot A)
Fencing
15,000
1/3 of parking lot paving
13.000
$ 93,000
Trees
15,000
Picnic tables
4,000
Security camera & recorder
2,500
Annual pathway maint. /
contracted services
20.000
$ 41,500
TOTAL PARKS
$134,500
Building
Inspection:
Phone & radio for new
vehicle $ 700
Addll vehicle for new
inspector position i2•oon
$ 12,700
Fire Dept.: Unallocated $ 10,000
Water Dept.: Remove & inspect wells
01 and 03
Misc. furniture -
training room
Upgraded locator
-2-
General Fund
General Fund
General Fund
General Fund
General Fund
General Fund
Capital Outlay
Capital Outlay
Capital Outlay
Capital Outlay
Capital Outlay
General Fund
General Fund
General Fund
General Fund
Capital Outlay
Capital Outlay
Capital Outlay
$ 20,500 Water Access
11000 Water Fund
3.n0Il Water Fund
$ 24,500
1i�
i
CAPITAL OUTLAY ITWO
1996 BUDGET
Sewer Dept.: Rodder hose - 20,
$ 565
Sewer Fund
200' - 41 discharge hose
for portable pump
800
Sewer Fund
Insulate/winterize Sunny
Fresh chemical blg.
2,000
Sewer Fund
Reserve for interceptor
sewer (4th yr)
Sewer Fund
$ 83,365
WWTP: Balance for original
facilities plan
($35,000 prev. budgeted)
$ 10,000
Sewer Access
Facilities plan revisions/
modifications
1fl.IIIIII
Sewer Access
$ 28,000
WWTP design fees - partial
estimate:
$508,000
Capital Outlay
prev. budgeted in
1994 6 1995
12oe.=
$300,000
TOTAL WWTP
$328,000
Library: Unallocated
$ 11000
Library Fund
Possible service counter
relocate, new furn. or
upholstering, addll
interior remodeling to
accommodate covVuter
tie-in w/St. Cloud
s 29.eo0
Capital Outlay
$ 30,000
-3-
1988
SUMMEY OF LEVY INCREASES/DECREASES
PROPOSED BY FUNDS
General fund levy is up $313,848. Some of the increases or decreases by
department are as follows:
B ,i1 ing3nn; CCti=. Up $58,690 due to additional 28% allocation of Development
Services Technician salary and benefits to building inspections from planning;
Additional budgeting for a full-time Building Inspector position, including benefits;
Salary and benefits for additional secretarial help. In addition to the personnel
related budget increases noted, $12,000 was included for another vehicle for the
new employee.
lagal. Up $3,528, mainly due to additional legal publication costs for publishing
full minutes and agendas in the Times.
The legal department budget covers (2) main types of expenses: City Attorney fees
for $13,000 and general publication cost for hearings, minutes, and agendas at
$14,21)0. The publication of the full minutes averages about $1,00Mnonth, and the
agenda publication for City Council meetings averages $200/month. For your
information, the City does not need to publish the entire minutes but could publish
a summary and reduce costs substantially. Also, the agendas are being published
as a service and is not a requirement.
Planning nd n inw. Down $8,355, partially dile to part of Development .Services
Technician (Wanda) salary and benefits being allocated to building inspection
department and a smaller budget for consulting planner fees.
pity-141k1l. Down $10,310 due to lower capital outlay for building maintenance.
Camqulgx. Up $8,180, mainly to cover f uufing of a pilot project for setting up a
portion of the City's base map on computer (geographic information system).
Wright County has agreed to share in a portion of the cost for this pilot project.
J;lpeJ3pna. Up $6,125 to cover even -year elections.
t.az .nfh muni, Up ($9,178 to cover increase in contract hourly rate from $32 to
$33/hr.
Public WOV40 etn+iniaL.-eNnn & Rngineeriny. Up $13,465, mainly due t0 increase
in salary and benefits for frill -time public works secretarial position.
M
LEVY.SUM: VMS Page I
f
Streets. Up $117,995, mainly because of:
50% of additional street and parks employee $17,326
Capital outlay: Small loader & trailer $32,500
Street sweeper $76,000
Snowy Up $70,075, primarily due to capital outlay for a new snowblower
($60,000) and snowplow hookup for loader ® $6,600.
Shoe. Up $37,850 for paving between shops @ $20,000 and equipment capital
outlay for new shop ($16,400).
>Aaig, Collection_ Up $17,200 for basic cost increases and additional homes to
cover.
Sevier Citiran Canter, Up $18,600 to cover cost of new roof at the center.
Parka. Up $22,705, with $17,326 of increase attributable to 50% of new employee.
Budget also includes $20,000 for pathway maintenance cost of the new ISTEA trail
system.
The net increase in expenditures proposed above amounts to $369,337. The
difference of $65,489 between the increase in expenditures and the tax levy
increase of $313,848 is covered by additional non -tax revenues from such sources as
building permit fees ($30,000), deputy registrar fees ($8,250). interest earnings
($11,600). and other miscellaneous sources.
LEVY.S=: 8J2M
Page 2
0
0
CITY OF MONTICELLO
COMBINED STATEMENT OF INDEBTEDNESS
(PROJECTED)12-31-%
INDEBT: 08/17/95
Princoal
Interest
Prindpet
Interest
Auth. and
Outstardirp
Paid in
Paid in
Due in
Due in
Outstanding
Banded Indebted
189re0
Rabrad
12AIAS
1895
1995
1998
Mm
12131186
GenerWOb8pa0onBonds
$3.900.000
52,225,000
$1,875,000
5285,000
$114,597
5270,000
$100,575
$1,405,000
SpeclalAssessment Bonds
$19.338,000
$12263,000
$7,075,000
$445.000
$220.738
$480.000
$390.801
$6,615,000
General Obligation Tax
$32.000
$32,000
$0
$0
EO
$0
50
t0
Irxramonrl Note
General Obligation Tax
92 3!5.000
6950,000
61-495-G00
=195.Q➢0
1121.516
S22MM
11063
St 275 000
Increment Bonds
525,815.000
615,370,000
$10.245,000
$925,000
$458,851
$950.000
$597,759
69,295,000
INDEBT: 08/17/95
CITY OF MONTICELLO
TAX LEVIES TO RETIRE BONDED INDEBTEDNESS
December 31, 1995
BONDDEBT.WK4
Germ"
Od59ellon
General
01315980-
General
om9aUon
Seav
General General General General
Gmpamn Geapatlm Oelwefw+ Om9 "
Mtpravemom i Wells system wave Syaven Water Syaven
General
natlon
IrrigWoveme^t
General
Ob"m
Mpmrerom
Gerrarell
Ob4m on
1. Pv mso
Gan-
Obkabcn
RaludkV
Gerold
Oflll;i�
RAww*g
oarwal
Otegaaal
uOroremmt
Year of
hrnyrorer "
mvrwamom
tnlsno,,lor
Bad Balers
BSM Seem
Bad Saner
Bond Seeds
Bond A ' ,
Bad Swiss
Bond Swiss
Bad Swiss
lord Sols
Burd salla
GRAND
Lew CdecO-
Bad d 1977
Bond 011986
Bored d 1988
198BA
11188019888
-{24,801
19800
1990C
1901A l
1902A
1988A
lo
199M
TOTALS
1994
1005
{13,968
933,109
$124.672
{140,665
{125,631
660,000
{25,040
$2,971
$10,232
$118,3705708.4m
1905
1008
{8,503
$37,091
$124,882
11126,344
$23,828
$50,000
$24.113
$3,007
$11,117
{114,680$126,012
$651,1871
1988
1907
$8,590
$35,414
$124,872
$128,743
{22,400
$52,085
$23,160
$11,845
9131,153
$I4B,239
{881,303
1987
1998
$8,865
$38,955
$124,032{126,717
$28,411
$83,183
{22,181
(12,414
613B,6M
6163,B3B
9744,73D
1998
1000
$38,822
$128,200
{128,255
924,013
$84.08926,42517,57634,792
$7,576$134,792
$158,172
$728,142
1988
2000
04.851
$128,310
$130.597
$79.315
{25.0541
$6,140
9130,018
$158,689
$684.872
2000
2001
$37.889
$12,9,2173
8128,084
{23,668 j1
$6.593
$132.036
11161,032
8101,005
2001
20021
0126,712
18,802
$127,490
$154,208
$427,313
2992
20031
$129.384
$127,098
0188.333
9423.737
2003
20041
1
:160.503
9160,5931
2004
2040
I
$185.208
6185,208
2005 _ _20081
TOTAL
1
939,709
{233,731
{881,971
6149,653
61.1,17,147
$122,101
$398.680 1
6169,641 1
$6,676
$76,919
9261,030
$1,049,673
91,452.052
{6,011,290
BONDDEBT.WK4
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E N D
I, the undersigned, an employee of Mid-America
Business Systems hereby certify that the microfilm
images ending with ni r,e, Q �L j
are complete and -accurate reproductions of the
original records of
as accumulated during the regular course of
business, and that it is the established policy
and practice of Mid-America Business Systems
to microfilm records for permanent file.
It is further certified that the photographic
process used for microfilming the above records
were accomplished in a manner and on microfilm
which meets the recommended requirements of the
National Bureau of Standards of permanent micro-
graphic reproduction.
114" Y� \ l� 0o Qca
ime Date