Loading...
City Council Resolution 2022-141CITY OF MONTICELLO WRIGHT COUNTY, MINNESOTA RESOLUTION NO. 2022-141 ADOPTING THE 2023 BUDGET AND AUTHORIZING CERTAIN FINANCE -RELATED ACTIONS 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 2023; 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 ESTIMATED REVENUES FROM ALL SOURCES, APPROPRIATIONS, AND FUND BALANCE ADDED (EXPENDED): Revenues Expenditures Fund Balance Fund 2023 Budget 2023 Budget Added (Expended) General Fund $ 11,480,000 $ 11,480,000 $ - Special Revenue Funds Economic Development $ 987,000 $ 1,823,000 $ (836,000) Cemetery $ 42,000 $ 31,000 $ 11,000 Small Community Development Grant $ 8,000 $ - $ 8,000 Monticello Community Center $ 2,122,000 $ 2,122,000 $ - Total Special Revenue Funds $ 3,159,000 $ 3,976,000 $ (817,000 Debt Service Funds 2015B G.O. Bonds $ 186,000 $ 213,000 $ (27,000) 2016A G.O. Bonds $ 357,000 $ 528,000 $ (171,000) 2017A G.O. Bonds $ 340,000 $ 468,000 $ (128,000) 2018A G.O. Bonds $ 446,000 $ 448,000 $ (2,000) 2019A G.O. Bonds $ 712,000 $ 712,000 $ - 2020A G.O. Bonds $ 227,000 $ 238,000 $ 11,000) Total Debt Service Funds $ 2,268,000 $ 2,607,000 $ (339,000) Capital Project Funds Capital Project $ 10,615,000 $ 11,870,000 $ (1,255,000) Street Lighting Improvement $ 922,000 $ 2,130,000 $ (1,208,000) Park & Pathway Improvement $ 1,002,000 $ 1,375,000 $ (373,000) Park Dedication $ 1,000 $ - $ 1,000 Total Capital Project Funds $ 12,540,000 $ 15,375,000 $ 2,835,000 Enterprise Funds Water $ 1,760,000 $ 2,242,000 $ (482,000) Sewer $ 3,119,000 $ 3,679,000 $ (560,000) Stormwater $ 962,000 $ 986,000 $ (24,000) Liquor $ 7,370,000 $ 9,010,000 $ (1,640,000) Deputy Registrar $ 871,000 $ 2,542,000 $ (1,671,000) Fiber Optics $ 1,880,000 $ 1,950,000 $ (70,000) Total Enterprise Funds $ 15,962,000 $ 20,409,000 $ 4,447,000 Internal Service Funds Facilities Maintenance $ 403,000 $ 403,000 $ - ITServices $ 538,000 $ 538,000 $ - Central Equipment $ 752,000 $ 1,403,000 $ (651,000) Benefit Accrual $ 12,000 $ 12,000 $ - Total Internal Service Funds $ 1,705,000 $ 2,356,000 $ 651,000 Total All Funds $ 47,114,000 $ 56,203,000 $ (9,089,000) SECTION 2. TRANSFERS: By resolution, the Council can amend or rescind this section as the year progresses. The following list may include transfers for projects that have not received formal council authorization. Transfers for these projects can be rescinded any time during the budget year. a. To EDA Fund from General Fund - $6,000. b. To Capital Projects Fund from Liquor Fund - $1,000,000 c. To Capital Projects Fund from Deputy Registrar Fund - $1,750,000 d. To Street Lighting Improvement Fund from Liquor Fund - $250,000 e. To Park & Pathway Improvement Fund from Liquor Fund - $1,000,000 SECTION 3. OTHER BUDGET AUTHORIZING ACTIONS: a. Removes prior commitments and assignments, except those required by GASB, from fund balance classifications. b. Sets the General Fund reserve policy at 60-75% of expenditures. c. Approves Senior Center annual subsidy of $65,000. d. Approves a 4% wage adjustment to full-time employees (Pay Grades U9 -U11, H100 - H260, and S100 -S260) and a 4% wage adjustment to the part-time Community Center employees (Pay Grades M01 -M06) commencing on first pay period beginning in January 2023 and approves an increase in the hourly call rate for the fire department to $14.00. e. Establishes the monthly standard health insurance benefits for union employees with an effective date of March 1, 2023 at $1,253.58 for family coverage (single coverage fully paid by City at $1,420). The monthly standard health benefits for participating non- union employees are $922.51 for the single plan and $1,711.93 for the family plan. 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 -plan and non -plan participants. ADOPTED BYthe Monticello City Council this 12th day of December, 2022. CITY OF MONTICELLO Lloyd Hilgart, Mayor ATTEST: Je nifer chr ber, City Clerk