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CCR1991298AMENDED COMMON COUNCIL - CITY OF MUSKEGO RESOLUTION R298-91 APPROPRIATING THE NECESSARY FUNDS FOR THE OPERATION OF THE GOVERNMENT AND ADMINISTRATION OF THE CITY OF MUSKEG0 FOR THE YEAR 1992 BE IT RESOLVED that the Common Council of the City of Muskego, upon the recommendation Muskego for the year 1992 including monies received from the General Property Tax of the Finance Committee, does hereby appropriate out of the receipts of the City of Levy, to the various funds and purposes set up in the budget presented herewith for the purposes therein stated, the following amounts: SUMMARY OF REVENUE AND EXPENSE GENERAL AND DEBT SERVICE FUNDS ACTUAL ESTIMATED 9/30/91 BUDGET 12/31/91 1992 TAXES $2,631,284 $2,634,099 $3,025,734 INTERGOVERNMENTAL 421,127 1,676,861 1,596,820 REGULATION/COMPLIANCE 348,970 427,641 450,255 PUBLIC CHARGES FOR SERVICES 250,227 266,169 244,775 PUBLIC IMPROVEMENTS 332 332 100 COMMERCIAL REVENUE 354,012 405,205 277,220 TRANSFERS FROM OTHER FUNDS 2,200,807 2,829,907 2,916,564 0 TOTAL REVENUES $6,206,759 $8,240,214 $8,511,468 GENERAL GOVERNMENT TRANSPORTATION PUBLIC SAFETY EDUCATION & RECREATION UNCLASSIFIED TRANSFERS TO OTHER FUNDS INDEBTEDNESS 727,121 1,035,262 1,205,610 1,829,386 2,401,508 2,417,671 530,041 817,671 862,029 508,295 669,285 701,129 43,603 97,581 274,932 1,693,591 0 2,810,788 2,956,597 90,000 93,500 TOTAL EXPENDITURES $5,332,037 $7,922,095 $8,511,468 * Taxes Revenue includes $2,863,288 property tax levy which in 13.8% higher than 1991. FUND BALANCE ACTUAL ESTIMATED BUDGET 9/30/91 12/31/91 1992 SURPLUS APPLD FOR CAPITAL OUTLAY $ $ 757,425 $ 708,202 TRANSFER FROM LIBRARY TRUST FUND 57,000 57,000 5,000 TOTAL 57,000 814,425 713,202 CAPITAL OUTLAY EXPENDITURES 479,524 784,744 713,202 Resolution 298-91 Page 2 e 0 e BE IT FURTHER RESOLVED that the Special Revenue Funds budget for 1992 as attached is hereby approved. BE IT FURTHER RESOLVED there is hereby levied a tax of $6.25 per $1,000.00 upon all the taxable property within the City of Muskego as returned by the City Assessor in the year 1991 for uses and purposes set forth in said budget. BE IT FURTHER RESOLVED that the City Clerk is hereby authorized and directed to spread the said tax upon the current tax roll of the City of Muskego. DATED THIS 20TH DAY OF NOVEMBER , 1991. SPONSORED BY: FINANCE COMMITTEE Ald. Daniel J. Hilt Ald. Edwin P. Dumke Ald. Harold L. Sanders This is to certify that I was adapted by the Common Council of the City of Muskego. :his is a true and accurate copy of Resa dution X298-91 which A LK.WL City erk 11/9lcac v Resolution 298-91 Page 3 BUDGET SPECIAL REVENUE FUNDS 1991 ESTIMATED 12/31/91 BUDGET 0 CHANGE 1992 (DECREASE ) Revenues General property taxes Intergovernmental revenues- operating grants Regulation & compliance revenues- initial construction fee Public improvement revenues: Special assessments Subdividers fees Commercial revenues: Other Interest earned Total revenues Expenditures Excess of revenues over (under) expenditures Other financing sources (usesl Interfund transfer Transfer to Debt Service Fund Transfer from General Fund Transfer to Util-City subsidy Capital contribution to sewer Distribution of positive tax City General Fund increments: Other tax units operating program income Loan program expense sources (uses) Total other financing $1,965,000 - 75,000 218,288 50,000 123,000 $2,431,288 85,530 2,345.758 (1,000,468) (657,323) (176,400) - 90,000 (120,000) (500,000) (320,000) (2,364,191) - Excess of revenues & other expenditures .5 other uses financing sources over (under) (18,433) Fund balances, beginning of period 2,157,429 Residual equity transfer - Funds balances, end of period $2,138,996 - - - - - - - - - - - - - - - -_ - $2,189,431 42,641 80,000 353,834 70,330 223.200 2,700 $2,962,136 157,002 2,805,134 (1,000,468) (1,488,068) 90,000 (176,400) - (127,230) (576,332) - (3,278,498) $1,930,100 (1.80%) 54,600 80,000 264,500 100.000 168,800 1,600 $2,599,600 + 6.9% 206,210 +141.1% 2,393.390 (1,465,566) - (447,778) 93,500 (456,111) - (2,275,955) (3.7%) 117,435 2,206,275 COMMON COUNCIL - CITY OF MUSKEG0 RESOLUTION 8298-91 ADMINISTRATION OF THE CITY OF MUSKEGO FOR THE YEAR 1992 ut of the receipts of the City of of Muskego, upon the recommendation from the General Property Tax he budget presented herewith for SUMMARY OF REVENUE AND EXPENSE I GENERAL AND DEBT SERVICE FUNDS ~ ACTUAL ESTIMATED 9/30/91 12/31/91 1992 BUDGET TAXES $2,631,284 $2,634,099 $3,025,734 INTERGOVERNMENTAL 1,676,861 1,596,820 450,255 244,775 332 100 405,205 2,829,907 277,220 2,916,564 REGULATION/COMPLIANCE 427,641 PUBLIC CHARGES FOR SERVICES PUBLIC IMPROVEMENTS COMMERCIAL REVENUE TRANSFERS FROM OTHER FUNDS 266,169 I TOTAL REVENUES $8,240,214 $8,511,468 e GENERAL GOVERNMENT PUBLIC SAFETY EDUCATION & RECREATION TRANSPORTATION UNCLASSIFIED INDEBTEDNESS TRANSFERS TO OTHER FUNDS 2,400,742 1,035,262 1,201,249 2,421,650 817,671 862,029 669,285 701,129 97,581 275,314 90.000 2,956,597 93,500 43,603 1,693,591 TOTAL EXPENDITURES $5,332,037 $8,511,468 f Taxes Revenue includes $2,863,288 property tax le 13.8% higher than 1991. 12/31/90 ACTUAL ESTIMATED ESTIMATED 12/31/91 12/31/92 FUND BALANCE ACTUAL 9/30/91 ESTIMATED 12/31/91 SURPLUS APPLD FOR CAPITAL OUTLAY $ $ 757,425 $ 703.2 TRANSFER FROM LIBRARY TRUST FUND 57,000 TOTAL 57,000 814,425 57,000 CAPITAL OUTLAY EXPENDITURES 479,524 784,744 708,202 , \ Resolution 298-91 Page 2 DATED THIS DAY OF , 1991. SPONSORED BY: FINANCE COMMITTEE Ald. Daniel J. Hilt Ald. Edwin P. Dumke Ald. Harold L. Sanders \ \ was adopted by the Common Council of the City of Muskego. This is to certify that this is a true and accurate copy of Resolution City Clerk 11/9lcac Resolution 298-91 8 '\ SPECIAL REhNUE FUNDS \ Revenues Special assessments Subdividers fees Commercial revenues: Interest earned Other Total revenues Excess of revenues over (under) expenditures other financing sources (uses1 8 Transfer to Debt Service Fund Interfund transfer Transfer from General Fund Transfer to Util-City subsidy Capital contribution to sewer Distribution of positive tax City General Fund increments: Other tax units Operating program income Loan program expense sources (uses) Total other financing Excess of revenues fi other BUDGET ESTIMATED 1991 12/31/91 $1,965,000 75,000 218,288 50,000 123,000 $2,431,288 85,530 2,345,758 $2,189,431 42,641 80,000 353,834 70,330 223,200 $2,962,136 2,700 157,002 2,805,134 - 1,000,468) 1,488,068) (176,400) 90,000 (127,230) (576,332) (320,000) \ financing sources over (under) \ BUDGET 1992 $1,930,100 54,600 80,000 264,500 100,000 168,800 $2,599,600 1,600 206,210 2,393.390 (1,465,566) - 93,500 (447,778) (456,111) - - - - (2,275,955) 117,435 . exuenditures L other uses . 118.433) (473.36h) - .. Fund balances, beginning of period 2,157,429 2,679,639 2,206,275 Residual equity transfer - - Page 3 % CHANGE (DECREASE) (1.80%) +141.1% + 6.9% (3.7%)