City Council Agenda Packet 12-03-1997 SpecialAGENDA
SPECIAL MEETING - MONTICELLO CITY COUNCIL
Wednesday, December 3, 1897 - 8 p.m.
Mayor: Bill Fair
Council Members: Clint Herbst, Brian Stumpf, Roger Carlson, Bruce Thielen
Call to order.
Tn:t.'- in Taxation public hearing for proposed 1998 budget.
Adjournment.
Uffice � ( rhe CuY Admmwt w,r
250 Ea.r Broadwav MEMO
%Lmnall,,, !,IN 553b2-9245
Phone: (612)'_95-2711
Metro: (612) 333,5739
T0: Mayor and Council Members
FROM: Rick Woifsteller, City Administraor
DATE: November 19, 1997
RE: 1998 Budget Modifications
Attached you will find the budget summary sheets that have been modified to include the
changes discussed at our last budget workshop. The primary changes consisted of
reducing the Hillside Cemetery fence budget from $29,000 to $10,000, which resulted in a
savings of $19,000, along with the decision to reduce the amount of funds to be taken from
Cie liquor store reserves from $229,799 to approximately one-half of this amount, or
$115,000. These two amounts added up to $134,000, which is the amount that our
maximum tax levy was reduced by.
Another change you will note in the capital outlay category under city hall/community
center, phase I architectural design fees, is that 1 reduced the $164,799 previous estimate
to $70,000. The result of this reduction was that the capital outlay fund would have
$125,000 still available to be earmarked for some purpose that had not yet been designated
in the budget. With the Highway 25/Chelsea Road realignment project continuing on
schedule, it seemed appropriate to simply earmark the available funds for the City's share
of this improvement project, which 1 have added to this budget. This item does not
increase our tnx levy needs, but it tentatively earmarks the funds for a project we have
planned.
In order to keep our general levy at its maximum allowed by the Department of Revenue,
we will be transferring $134,000 from our liquor fund reserves to a debt service bond
account. This preserves our higher levy limit should we ever need it in future years.
Memo
Mayor and Council Members
November 19, 1997
Page 2
After making the changes discussed at the last workshop, the total dollar increase in our
levy amounts to $823,133, of which $627,785 is for debt purposes. The nondebt portion of
the budget increase would now be at $195,348, or approximately 6.38% more in dollars
than last year.
I've also revised the worksheet that compared taxes in 1997 to those proposed in 1998 for
various market values of commercial and residential properties. Many businesses and
residents will actually see a reduction in the property taxes even though the City needs to
raise more revenue for our wastewater treatment plant. Lower valued residential
properties will receive an increase as the example shows for a $65,000 house at 4.9%
increase. Overall, our increasing tax base and the additional state funding that the School
system is receiving through state aids is helping to keep the property taxes very close to
what they were in 1997.
If the Council is comfortable with the budget summary as modified and the proposed tax
levy of $3,883,013($134,000 lower than the maximum allowed), the need for additional
workshop discussion may not be necessary, and we can simply proceed with presenting
this information at the budget hearing Wednesday, December 3, at 5 p.m. As a reminder,
the Council would still have the option of restoring any proposed levy cuts you have made
or make additional reductions if you should so choose at the December 3 budget hearing.
After the initial hearing is held, the final budget and levy amnunt would need to be
adopted at our regular meeting December 8.
I—
14
TAX LEVY SUMMARY
1998 BUDGET
ALL FUNDS
Tax Tax
'88/Payable 1989
Net Payable
14.283
$2,198,008
Net Payable
15,873,242
1997 Adjusted
Levy Before
'90/Payable 1991
1998 Adjusted
15.511
Levy After
HACA Adj.
15,513,574
Levy After
E=d
Deducting HACA
Payable 1948
HACA
Deducting HACA
General
81,967,526
$2,467,950
$259,157
$2,208,793
Library
31,095
31,095
0
31,095
Transportation 14,604
16,612
0
16,612
Shade Tree
0
0
0
0
OAA
977
2,175
0
2,175
HRA
12,966
14,795
0
14,795
Debt Service
557,575
1,098,807
0
1,098,807
Capital Imp. Revolving 475.137
510.736
510.736
TOTAL
$3,059,880
$4,142,170
$259,157
$3,883,013
Net Levy Increase to Cover Debt -
$627,785
20.52% increase
Net Levy Increase for Non -debt Portion
of Budget -
195,348
6.38% increase
Net Certified Levy Increase -
$823,133
26.90%
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
Payable 19% Tax Capacity Rate .....
18.509
Payable 1997 Tax Capacity Rate .....
19.136
Est. Payable 1998 Tax Capacity Rate. 26.940
Tax Tax
'88/Payable 1989
8 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
'91/Payable 1992
15,513,574
16.492
2,658,554
'92/Payable 1993
15,490,500
16.308
2,526,216
'9YPayable 1994
15,154,786
17.527
2,652,527
'94/Payable 1995
16,586,930
18.228
2,841,185
'95/Payable 1996
15,792,922
18.509
2,922,800
'96/Payable 1997
16,993,989
19.136
3,059,880
'97/Payable 1998 (est.)
14,413,597
26.940
3,883,013
979UDOHT 111497 PAQE it
CAPITAL OUTLAY ITEMS
1998 BUDGET
FUND/
Typewriter table
FUNDING
D .P RTMFNT rrEM
AMOLINT
.901IRrF
Administration: File cabinets:
Capital Outlay
(2) basement
15,000
Capital Outlay
(1) administration
Prairie Creek Park improvements
3,500
(1) utility billing
Add'I ballfields (3) - NSP Park (1st half)
(1) assessing
$ 9,000
General Fund
Microfilm reader/printer
14,000
General Fund
Plan holder
3200
General Fund
$ 26,200
MCP initiatives
Deputy
Registrar:
Typewriter table
$ 150
General Fund
Parks:
Klein Farms Park improvements
$ 40,000
Capital Outlay
Pathway • Ellison Park to Miss. Dr.
15,000
Capital Outlay
Prairie Creek Park improvements
3,500
General Fund
Add'I ballfields (3) - NSP Park (1st half)
40,000
Capital Outlay
Freeway Park - parking lot (2nd half)
13,000
General Fund
River/Bridge Park enhancements -
MCP initiatives
60,000
Capital Outlay
Hillside Cemetery wrought iron
fence ($38,500 less '94 budgeted
amount of $9.500) (balance in 1999)
10,000
General Fund
Picnic tables
4,000
General Fund
Mowers (2) - (1) replacement
(1) new
25,790
General Fund
Pickup, 2 -wheel drive
16,000
General Fund
Dump truck with plow, 1 ton, 4x4
38,000
General Fund
Hard surface 4th St. ice rink
(skate boarders) & play structure
improvements
40,000
Capital Outlay
Adopt -a -park seed $ for volunteers
5.000
Capital Outlay
$318,290
Liquor:
Carpet replacement
$ 7,000
Liquor Fund
Intercom headphones
300
Liquor Fund
Enlarge refuse/cardboard storage
(outside)
1.000
Liquor Fund
$ 8,300
Library:
Unallocated
8 11000
Library Fund
97BUDOET: 1/1"7 PAGE 101
CAPITAL OUTIAY ITEMS
1998 BUDGET
FUND/
D .PF ARTMFNT
ITE�i'
ADiOT
FUNDING
SQlTRCE
HRA:
Downtown Revitalization Study
(final payment)
$ 30,000
HRA Fund
Future industrial park land
acquisition - Reserve (2nd yr)
(contingent upon City matching funds) 75,000
HRA Fund
Funding partial land acquisition
along river
35.000
Capital Outlay
$140,000
Fire Dept.:
Unallocated - unspecified
$ 10,00
General Fund
Shade Tree:
Boulevard tree planting program
($900 01 $25 each)
S 22,500
Tree Fund
Reserves
General reforestation - matching
grant assistance
25.000
Tree Fund Res.
S 47,500
Data Processing:
Main frame computer - updating
AS/400 lease (annual)
$ 28,000
General Fund
PC - motor vehicle
2,500
General Fund
PC's (4) - city hall
10,000
General Fund
PC - public works
2,500
General Fund
PC - microfilm
3,500
General Fund
Cash register - motor vehicle
1,000
General Fund
Printers (2) - city hall
2,600
General Fund
Network - city hall
3.000
General Fund
$ 53,100
City Hall:
New city hall
$410,000
Liquor Reserves
400.000
Capital Outlay
$810,000
Reserves
Community Center:
Phase I - architectural design fees
(!7t—,
Capital Outlay
Economic
Development:
MCP contribution
$ 35,000
Capital Outlay
Future industrial park land
acquisition - 2nd yr - reserve
(matching contrib. of HRA)
75,000
Capital Outlay
Develop marketing program for
businaoa/industry
35.000
General Fund
$145,000
078UOaET. 111.47
PAGE 102
CAPITAL OUTLAY ITEMS
1998 BUDGET
FUND/
DD .PF�NT ITEM
Public Works
Administratinn: File cabinets (2)
Postage machine rental and
electronic scale
Public Works
Inspections:
Street Dept.:
Snow/ice:
Refuse:
WWTP:
Sewer Dept.:
Cemetery:
Water Dept.
Planning:
Desk and filing cabinet
4" Trash pump
Radios ® $550 ea (4)
Tamper
Jackhammer
5000 watt generators (2) (signal lights)
Sealcoating program
Bobcat
1/3 of cold planer
Hwy 25/Chelsen Rd realignment
( partial )
Snowplows (2)
Rental garbage carts (250)
Radio
Administration big. furniture
and fixtures
U3 of new jet rodder/vac - reserve
(1/6 budgeted in 1997)
Jetting nozzle
Rebuild jet rodder
Sewer line TV camera
Cemetery management software
Equipment storage building -
Purchase or building reserve
Water Resource Management Plan
AMS2LIZI
$ 800
600
S 1,400
S 1,500
S 3,200
2,200
1,000
1,000
8,000
27,500
27,000
$ 75,900
$125,000
E 10,000
$ 15,000
E 550
E 8,050
E 50,000
2,200
2,500
E 64,700
$ 600
$ 65,000
E 40,000
FUNDING
SOURCE
General Fund
General Fund
General Fund
General Fund
General Fund
General Fund
General Fund
General Fund
General Fund
General Fund
General Fund
Capital Outlay
General Fund
General Fund
Sewer Fund
WWTP Const.
Fund
Capital Outlay
Sewer Fund
Sewer Fund
Sewer Fund
Cemetery Fund
Water Access
Fund Reserves
Storm Sewer
Access Fund
978000ET: 111"7 PAGE 103
V
FLIN
General
Library
Transportation
Shade Tree
UDAG
OAA
HRA
EDA
SCERG
CMIF
Debt Service
Liquor
Water
Sewer
Cemetery
Capital Imp.
Water Access
Storm Sewer Access
Sewer Access
TOTAL
REVENUE AND EXPENDITURE SUMMARY
1998 BUDGET
1824
RF.VFNITF F.XPF.NDMTRFc;
$2,876,200
$2,876,200
32,295
32,295
69,635
69,635
6,900
20,725
12,840
59,000
1,600
1,600
515,960
596,000
215,740
2,120
5,555
124,000
120
0
1,499,090
1,688,973
1,828,650
1,643,350
218,305
418,740••
563,800
969,435-
0
0
579,948
579,950
74,900
10,000
25,000
0
$8,728,958 $9,092,023
• includes $619,450 Depreciation --contributed assets sewer
•• includes $201,100 Deprafation-contributed assets water
97BUDGET: 1/1497
1828
REVENUE F.XP�tRFC
$3,259,995
$ 3,259,995
32,295
32,295
72,030
72,030
8,550
71,430
4,690
0
2,900
2,900
438,800
402,555
35,880
2,120
5,740
0
120
0
2,000,685
1,816,042
2,017,450
1,892,175
246,900
425,325
622,020
1,203,355
24,200
31,550
591,676
590,000
80,720
65,000
80,560
40,000
324,440
0
$9,849,651
$ 9,906,772
PAGE W
GENERAL FUND SUMMARY
1998 BUDGET
saxes
1338
1331
Current Ad Valorem
$2,467,950
$2,137,625
Penalty/[nterest
1,000
100
Tax Increments -Kmart
84.300
86.050
LiCPn GPR And P rmite • Rngin PGR
$2,553,250
$2,223,775
Liquor
24,900
24,900
Beer
1,025
1,030
Set Ups
300
325
1aC nA R nnd P rmit Nnn-RiminPRR
$ 26,225
$ 26255
.
Building Permits
152,000
150,000
Variances/Conditional Uses
2,000
2,500
Dog Licenses
125
125
Others
5.100
5.050
Int r n of
$ 159,225
$ 157,675
oyernm
Fire Department Aid
45,000
34,900
Police Department Aid
22,000
25,000
State Highway Aid
41.000
41.000
Chnrges for Services
$ 108,000
S 100,900
General Government
1,000
1,000
Public Safety (Township Contract)
6,5,360
60,970
Streets - C.S.A.H. Mtnc.
7,700
6,600
Deputy Registrar
110,000
105,000
Other
675
650
Subdivision Fees
7,500
5,000
Special Processing Fee (Garbage)
15,000
15,000
Recycling Incentive
12,000
12,000
Inspection Fees
25,000
5,000
Garbage Cart Rental
8.000
6.000
5 252,235
$ 217.220
F,m
Animal Impoundment
18000
18.000
Miacellnneouig Revenue
S 15,000
$ 18,000
Interest on Investments
121,435
103,525
Sale of Property
325
350
Other A Rental of Property
9.300
13.500
Rntlinda and ReimbnrRPmrntA
$ 131,060
$ 117,375
Other Reimbursements
1x.000
15.000
$ 15,000
$ 15,000
TOTAL GENERAL FUND REVENUE
$3,259,995
52,876,200
GENVUNDRSUM: I111FM
CS
GENERAL FUND SUMMARY
1998 BUDGET
EXPENDITURES
im
1391
Mayor and Council
E 32,450
E 30,425
Administration
306,575
236,000
Finance
102,080
100,990
Insurance
63,915
63,470
Audit
13,500
13,500
Legal
47,500
28,000
Planning & Zoning
166,085
109,895
Inspections --Bldg. Official
153,415
163,905
Assessing
16,550
15,900
Deputy Registrar
108,820
98,665
City Hall
44,185
34,980
Computer
75,575
35260
Elections
5.600
0
TOTAL GENERAL GOVERNMENT
$1,136250
$ 930,980
Law Enforcement
$ 333,325
$ 323,475
Fire
172,210
140,565
Civil Defense
9,345
8,710
Animal Control
38.060
34.100
TOTAL PUBLIC SAFETY
$ 662,930
$ 506,850
Inspection
$ 90,775
$ 43,540
Admin. & Engineering
133,140
126,090
Streets & Alleys
325,550
308,325
Snow & Ice
60,720
97,710
Street Lighting & Parking Lots
67,700
62,760
Shop & Garage
37,850
37,050
Refuse Collection
263-100
.121566
TOTAL PUBLIC WORKS
$ 978,835
8 997,020
Senior Citizens Center
$ 37,000
$ 37,000
YMCA/Community Ed.
25,000
25,000
Information Center/Museum
1896
1690
TOTAL HEALTH & WELFARE
$ 63,695
$ 63,690
Parks & RecJCemetery
>L31S924
!_292.41D
TOTAL PARKS & RECREATION
$ 358,240
$ 242,410
Community Development
! 159.046
A 1124,9nn
TOTAL COMMUNITY DEVELOPMENT
1 169,046
6 124,250
Misc.--Severence Benefits
A It,pm
! 11 000
TOTAL MISCELLANEOUS
$ 11,000
$ 11,000
TOTAL GENERAL FUND EXPENDITURES
$3,259,995
$2,876200
GENFUNDE.SM Ivtrw7
SUMMARY
DEBT SERVICE FUNDS
1998 BUDGET FORECAST
REVENUE
1992
1998
Current ad valorem:
605,022
1,098,807
Interest:
91,780
95,255
Special asmt--county:
506,788
389,638
Transfer in --tax increment:
295,500
282,985
Transfer in --Liquor fund:
TOTAL REVENUE
......................................................................................
EXPENDITURES
Principal: 1,180,000 1,375,000
Interest: 486,291 415,966
Paying agent fees: 8,182 7,326
Interest exp.: 14.500 17.750
TOTAL EXPENDITURES $1.888. 81
07BUDW; 1114,97 PAGE 64
LEVY LIMIT COMPARISONS
1997 vs. 1998
1332 L9H Incmasc•
Non -debt Related Levy $2,454,o08 $2,650,206 $195,348
• This amounts to a 6.38% increase in dollars to be collected to fund normal
increases and for additional programs or services proposed.
lFwuMT.aoM: 11/1"?
1922
1338
General Levy (Limit)
$2,769,607
$3,100,714
Add: Debt Levy
+ 605,022
+1,098,807
Subtract: State Aids (HACA)
- 314.749
- 316.509
PROPOSED LEVY
$3,059,880
$3,883,013
1332 L9H Incmasc•
Non -debt Related Levy $2,454,o08 $2,650,206 $195,348
• This amounts to a 6.38% increase in dollars to be collected to fund normal
increases and for additional programs or services proposed.
lFwuMT.aoM: 11/1"?
0
SUMMARY OF PROJECTED REVENUES, EXPENDITURES
AND FUND BALANCES (CASH 8 INVESTMENTS)
FUND
General
Library
Tree
OAA
Water
Water Access
Sewer
Sewer Access
Transportation
Liquor
Capital Outlay Revolving
HRA
U DAG
EDA
SCERG
CMIF
Storm Sewer Access
Cemetery
SUBTOTALS
Debt Service
General Obligation Bonds
Special Assessment Bonds
Tax Increment Bonds
SUBTOTALS
TOTALS
PROJREV: 1//18497
PROJECTED
1998
1998
PROJECTED
BALANCE
12/31/97
PROJECTED
REVENUE
PROJECTED
EXPENDITURES
BALANCE
12[31/89
$2,558,725
$3,259.995
$3,259.995
$2,558,725
$7,975
$32295
$32295
$7,975
$127,845
$8,550
$71,430
$64,965
$10,530
$2.900
$2,900
$10.530
$148,320
$246,900
$224225
$170,995
$341,515
580,720
$65,000
$357235
$124,875
$622,020
$583,905
$162.990
$544.875
$324,440
$0
$869,315
$1,100
$72,030
$72,030
$1.100
$396200
$2,017,450
$1.892,175
$521,475
$403,368
5591.676
$590,000
$405,044
$42,635
$438,800
$402,555
$78,880
$112,460
$4,690
$0
$117,150
$150,820
$35,880
$2.120
$184,580
$3,095
$5,740
$0
58435
$420
$120
$0
$540
$25.000
529 90D
$80,560
S24.2Dfl
$40,000
531550
$65.560
522,450
$5.029,558
$7,648,966
$7,270,180
$5,608,344
$721,205
$828,904
$230,700
$1,319.409
$2,188,309
$11.716
$869,646
5294.38
$1,268380
5299212
$1,789,575
(53.1111
$2,921,230
$1,982.935
$1,798292
$3,105,873
$7,950,788
$9,831,901
$9.068,472
, $8.714,217
v
PRELIMINARY
ESTIMATES OF VALUES FOR TAXES
PAYABLE 1998
City:
Market value
+5.0%
$495,397,800
Tax capacity value
-10.0%
$14,413,597
Proposed tax levy
+26.9%
$3,883,013
Tax caoacity rate
+40.7%
26.940
School:
Market value (W.C. only)
+6.6%
$739357,500
Tax capaaty value
-7.6%
$17,666,138
Proposed levy
-12.0%
$11,176,934
Tax capacity rate
-9.5%
57.99
Market value rate
0.05869
Wright County:
Market value
+9.0%
$3.537,922.100
Tax capacity value
-1.4%
$57,403,648
Proposed levy
+5.5%
$17,663,676
Tax capacity rate
+7.0%
30.771
Hospital District:
Market value (W.C. only)
+6.7%
$926,727,500
Tax capacity value
.5.6%
$20,044,519
Proposed levy
-1.7%
$481,269
Tax cacacity rate
+5.0%
2.401
TOTAL 1098 PRELIMDIARY TAX CAPACITY RATE 118.104
1097 TAX CAPACITY RATE \ 112,818
OVERALL % INCREASE IN TAX CAPACITY RATE - 4.87,
valuetaxmk4: 11/1&97
v
Tax Comparison by
Property Class & Value
1997 vs. 1998
% Increase
EMV
$750,000
EMV
$750,000
Assessed Value
32,900
A.V.
28,050
Taxes
37,051
Taxes
33,127
-(10.67)%
EMV
$150,000
EMV
$150,000
Assessed Value
5,300
A.V.
4,050
Taxes
5,969
Taxes
4,783
-(19.8)%
Residential Hnmestend.
EMV
$65,000
EMV
$ 65,000
Assessed Value
650
A.V.
650
Taxes
732
Taxes
768
+4.9%
EMV
$75,000
EMV
$ 76,000
Assessed Value
780
A.V.
750
Taxes
878
Taxes
886
+0.9%
EMV
$85,000
EMV
$ 85,000
Assessed Value
980
A.V.
936'
Taxes
1,104
Taxes
1,104
No change
EMV
$130,000
EMV
$130,000
Assessed Value
1,880
A.V.
1,767
Taxes
2,117
Taxes
2,087
-0.4%)
EMV
$200,000
EMV
$200,000
Assessed Value
3,280
A.V.
3,062
Taxes
3,694
Taxes
3,616
-(2.1%)
C.\OVPICH\ RICH\TAX-COM P.YM
Budget Year 1998
(Based on a total levy increase of 26.9% in dollars
with a non -debt levy Increase of 6.38%)
The effect of budget increases or decreases on the proposed:
Budget Effecton
General Fund
+$383,795
+$241,267
Library Fund
$0
$0
Transportation
+$2,395
+$2,008
Tree
+ $50,705
$0
OAA
+$1,300
+$1,198
HRA
-$193.445
+$1,829
Debt Service
+$127,069
+$541,232
Capital Outlay Fund
+$10.050
+$35,599
EDA Fund
$0
$0
UDAG
- $59,000
$0
Liquor
+$248.825
$0
Water Fund
+S6,585
$0
Sewer Fund
+$233,920
$0
Water Access Fund
+ $55,000
$0
Storm Sewer Access
$40,000
$0
Sewer Access Fund
$0
$0
SCERG
-$124,000
$0
CMIF
$0
$0
Cemetery
+ $31.550
1
TOTALS --ALL FUNDS
+$814,749
+$823.133
levyi ncr.wk4: 11/19/97
Tax Burden for a $80,000 Monticello Home
Taxes Payaole 1997 to 1998
$1.200 z
$995 $993
$1.000 —
,r
Y i#
$800 —
i�
$600
f
A
$400 — $227
s
$168it
$200 — -- -- ---- �H ;
.00
:0
City Total
11998 0 1997 I
TAX BU R D. W K 4: 11/20/97
m
io
cc
9
Composition of the Proposed 1998 Total Tax Rate
For the City of Monticello
so -r"
I
60
- 30.771
40 26.940
Z0
0
Courcy Cay School
Total 1998 Tax Rate: 116.102
I
57.990
i
TAXRATE.WK4; 1120/97
Spodal
Average Proposed Monticello Property Tax Bill
Where the Tex Dollars Go --Pay 1998
County
(49,1%) School
TAXBILL. WK4: 11 !20/97
City
(20%) Spoeial
_CJ