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CCR1999188AMENDED COMMON COUNCIL - CITY OF MUSKEG0 RESOLUTION #188-99 APPROPRIATING THE NECESSARY FUNDS FOR THE OPERATION OF THE GOVERNMENT AND ADMINISTRATION OF THE CITY OF MUSKEG0 FOR THE YEAR 2000 BE IT RESOLVED That the Common Council of the City of Muskego. upon the recommendation of the Committee of the Whole, does hereby appropriate out of the receipts of the City of Muskegn fnr the year 2000 including monies received from the General Property Tax 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 TAXES INTERGOVERNMENTAL REGULATIONICOMPLIANCE PUBLIC CHARGES FOR SERVICES PUBLIC IMPROVEMENTS COMMERCIAL REVENUE INTERGOVERNMENTAL CHRGS FOR SERV INTERGOVERNMENTAL CHRGS FOR SERV ACTUAL ESTIMATED BUDGE1 1998 12131199 m $5,445,412 1.473.322 555,347 954.608 286 525,747 61.872 64,304 $ 6,593,503 1,454.114 537,616 1,034,256 250 41 1,229 74,722 42,716 $ 7,017,534 1,447.000 538.223 1,067,195 250 391,351 88.350 53.000 TOTAL REVENUES 5 9,080,898 $ 10,148,406 $ 10,602,902 GENERAL GOVERNMENT PUBLIC SAFETY HEALTH AND SANITATION TRANSPORTATION EDUCATION 8 RECREATION UNCLASSIFIED INDEBTEDNESS 3 1,829,467 5 2,094.309 $ 2,281,239 3,695,207 3.965.718 4,236,350 447,882 465,799 484.858 1,551,601 2,121,855 1,957,520 1,053,539 1,212,558 0 1.490.284 300.000 175.000 3,486.657 3,533,013 3,515,119 TOTAL EXPENDITURES $ 12.064.354 5 13,693.252 $ 14,140,371 TRANSFERS FROM OTHER FUNDSIADVANCES $ 2,763,018 $ 4,518,241 $ 3,575,969 TRANSFERSTO OTHER FUNDS 0 (38.500) L38.500) TOTAL OTHER FINANCING SOURCESWSES $ 2,763,018 $ 4,479,741 $ 3,537,469 + Taxes Revenue includes $6,796,534 property tax levy which is 6 25% higher than 1999 T TRANSPORTATION FUNDS SURPLUS APPLIED FOR CAPITAL OUTLAY TRANSFER FROM LANDFILL FUND TRANSFER FROM TIF TRANSFER FEDERAL FORFEITURES CAPITAL OUTLAY REVENUE CAPITAL OUTLAY EXPENDITURES $ 115,660 $ 250.000 $ 453,035 2,174 1,200 $ 117,834 $ 250,000 $ 454,235 $ 117,834 $ 250,000 $ 454,235 FUND BALANCES GENERAL FUND DEBT SERVICE TAX LEVY FUND TOTALFUNDBALANCE ACTUAL ESTIMATED ESTIMATED 1231198 1 2131 199 12131 100 $ 2,540,998 $ 1,920,588 $ 1,493,272 673,680 1,331,308 678.370 $ 3,214,878 $ 3,251,896 $ 2,171.642 BE IT FURTHER RESOLVED That the Special Revenue Funds budget for 2000 as attached is hereby approved. BE IT FURTHER RESOLVED There is hereby levied a tax of $5.5 I per $1.000.00 upon all the taxable property within the City ofMuskego as returned by the City Assessor in the year 1999 for 0 uses and purposes set forth in said budget. BE IT FURTHER RESOLVED That the Clerk-Treasurer is hereby authorized and directed to spread the said tax upon the current tax roll of the City of Muskego. DATED THIS gT1ā€™ DAY OF NOVEMBER, 1999 SPONSORED BY: COMMlTTEE OF THE WHOLE Ald. Mark Slocomb Ald. Patrick Patterson Ald. William Le Doux Ald. Donald Pionek Ald. Nancy Salentine Ald. Kathy Chiaverotti Ald. David Sanders This is to certify that this is a true and accurate copy of Resolution #188-99 which was adopted by the Common Council of the City of Muskego Iā€ Resolution #l88-99 attachment Amended BUDGET ESTIMATED BUDGET - 1999 12151199 - 2ooo SPECIAL REVENUE FUNDS Revenues General property taxes Intergovernmental revenues- Operating grants Public charges for services Public improvement revenues: Sewer connection fees Swial assessmenls R.C.A. assessments Interest on assessments Subdividers fees Commercial revenues: Interest earned Other Other Donations Total revenues Exmnditures a Excessofrevenuesover (under) expenditures Other financim sources lures) Interfund transfer lnterfund transfer (well water protection) lnterfund transfer (land convservation) lnterfund transfer (park dedication) Transfer to Debt Service Fund Transfer from General Fund Transfer to Capital Projects Fund Transfer From Capital Projects Fund Transfer to General Fund Transfer to Utili - CQ subsidy Capilal contribution to sewer Distribution of positive tax increment: City General Fund Other governments Total other financing sources (uses) Excess of revenues and other financing sources over (under) expenditures and other uses Fund balances, beginning of period Fund balance, end of period S 197.500 163.033 134.280 50.m 325,700 102.m 394.684 737,512 38.m 203.662 264,061 145,079 106.5M) 300.000 57.093 374.266 891.042 39.552 $ 197,500 279.573 146.177 325,700 75.600 360.350 1,368.050 1,352,500 38.m 2,142,709 $ 2,381,204 $ 4,193.450 $ 763.425 $ 695.477 $ 1,060,217 $ 1,379,284 $ 1,685,727 $ 3,133.232 (1,696,711) (1,698,711) (2,539,703) (319.427) (12,984) 603,529 6.012.064 6.162.573 6.149.590 S 7,692,637 $ 8.149.590 $ 8,743,119