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)0 2001 ANNUAL BUDGET
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TABLE OF CONTENTS
SUMMARY OF REVENUES & EXPENDITURES
Overview
Revenue by Fund & Source
Expenditures by Fund & Source
GENERAL GOVERNMENT
Overview
Mayor & Council
Administration
Planning
Finance
Election
Assessing
Legal & Court Services
PUBLIC WORKS
Overview
Administration
Engineering
Supervision
Payroll Distribution
Street Maintenance
Street Lighting
Traffic & Street Name Signs
Traffic Control
Bridges /Guard Rails
Retaining Wall Maintenance
Sidewalks /Ramps /Parking Lots
PAGE
1 - 2
3 -4
5 -6
7- 8
9 -10
11 - 12
13-14
15-16
17-18
19 -20
21 -22
23 -24
25 -26
27-30
31-32
33 -34
35-36
37 -38
39-40
41-44
'w.91NA,1�
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)0 2001 ANNUAL BUDGET
v a
TABLE OF CONTENTS
IV.
U
VI
PUBLIC SAFETY
Overview
PAGE
Police Protection
45-
48
Civilian Defense
49-
50
Animal Control
51-
52
Fire Protection
53-
56
Public Health
57-
58
Inspections
59-
60
PARK & RECREATION
Overview
Administration
61-
62
Recreation
63-
68
Payroll Distribution
69-
70
Maintenance
71-
80
NON - DEPARTMENTAL
Overview
Contingencies 81- 82
Capital Plan Appropriation 83- 84
Special Assessments on City Property 85- 86
Fire Station Debt Service 87- 88
Commission & Special Projects 89- 92
VII. Appendix
Central Services
Overview
General 93- 94
City Hall 95- 96
Public Works Building 97- 98
Equipment Operation 99-100
Summary
Of
Revenues &
Expenditures
Revenue Overview
Total Revenue
Distribution by Type
Intgov't Aid
7.9%
Misc. Revenu
3.4%
Court Fines
3.6%
Fees & Charges
7.3%
Licenses & Permii
8.6%
Taxes
69.2%
Expenditure Overview
Total Expenditures
Distribution by Area
Central
Q niirac
2
Equipment
6.3%
Commodities
4.8%
Cor
SE.
13.8%
Total Expenditures
Distribution by Type
Park & Rec.
1_ _
Public
48.4%
Non -
Departmental General
2 m Government
1d 1 0/
Salaries
54.1%
Public Works
22.8%
CITY OF EDINA ANNUAL BUDGET PAGE - 1
FUND:
GENERAL
REVENUE SUMMARY
REVENUES SUMMARY
1998
1999
2000
2001
DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
GENERAL FUND:
TAXES:
PROPERTY TAXES
$13,052,867
$13,183,581
$13,650,158
$13,650,158
$14,438,346
PENALTIES AND INTEREST
1,111
3,966
5,000
5,000
5,000
LOSS DUE TO ABATEMENTS
0
0
150,000)
(150,000)
(150,000
TOTAL TAXES
13,053,978
13,187,547
13,505,158
13,505,158
14,293,346
LICENSE AND PERMITS:
BEER LICENSE
49,592
9,873
7,500
7,500
7,725
WINE LICENSE
32,226
29,385
25,000
25,000
25,750
LIQUOR LICENSE
0
90,000
90,000
90,000
92,700
CIGARETTE LICENSE
6,872
7,542
7,000
7,000
7,210
DOG AND IMPOUNDING FEES
18,869
19,058
15,000
15,000
18,450
PLAN REVIEW
5,028
83,245
2,500
2,500
2,575
FOOD & SOFT DRINK LICENSE
71,828
73,080
73,000
73,000
75,190
FOOD VENDING MACHINES
3,630
3,075
1,000
1,000
1,030
POOL LICENSE
16,872
19,046
17,000
17,000
17,510
GARAGE INSPECTION
4,665
5,768
5,000
5,000
5,150
GAS PUMP LICENSE
3,125
4,742
2,000
2,000
2,060
AMUSEMENT DEVICE LICENSE
528
2,832
1,000
1,000
1,030
OTHER BUSINESS LICENSE
821
1,690
500
500
515
HVAC LICENSE
22,770
23,155
20,000
20,000
20,600
GARBAGE COLLECTORS LICENSE
8,670
7,005
8,000
8,000
8,240
BUILDING PERMITS
1,463,566
1,302,159
886,000
886,000
1,122,580
PLUMBING PERMITS
108,007
112,418
83,000
83,000
115,490
SPRINKLER PERMITS
18,768
28,726
15,000
15,000
25,450
SIGN PERMIT
6,521
7,560
5,000
5,000
5,150
STREET OPENING FEE
9,470
31,435
4,000
4,000
9,120
RIGHT OF WAY FEE
10,600
650
1,000
1,000
1,030
MECHANICAL PERMITS
205,515
238,523
140,000
140,000
199,200
OTHER PERMITS AND LICENSES
8,193
6,706
500
500
515
GREASE DUCT CLEANING
8,700
11,325
4,000
4,000
4,120
ROAD RESTRICTION PERMITS
4,045
4,060
2,000
2,000
2,060
ALARM PERMITS
2,485
10,504
1,000
1,000
1,030
TOTAL LICENSES AND PERMITS
2,091,366
2,133,562
1,416,000
1,416,000
1,771,480
CITY OF EDINA ANNUAL BUDGET PAGE - 2
FUND:
T
GENERAL
REVENUE SUMMARY
REVENUES SUMMARY
1998
1999
2000
2001
DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
FEES AND CHARGES:
PLANNING FEES
20,196
25,565
16,000
16,000
18,480
HOUSING FOUNDATION CONTRACT
24,445
24,175
24,500
24,500
25,235
SERVICES HRA
180,000
180,087
180,000
180,000
100,000
ENGINEERING & CLERICAL
28,586
137,411
70,000
70,000
72,100
ENGINEERING FEES
14,958
22,827
10,000
10,000
13,300
ASSESSING SEARCHES
2,004
1,162
1,000
1,000
1,030
FALSE ALARM FIRE
0
0
15,000
15,000
5,450
AMBULANCE SERVICE
953,692
1,034,216
948,000
948,000
858,000
FIRE FEES - ALL OTHER
3,086
1,538
1,000
1,000
1,030
FALSE ALARMS POLICE
53,593
84,545
53,000
53,000
54,590
CHARGES TO OTHER FUNDS
145,080
151,584
160,296
160,296
165,682
SPECIAL ASSESSMENTS
10,000
11,000
11,000
11,000
11,330
SAFETY /SECURITY CONTRIBUTION
69,512
76,826
75,000
75,000
77,250
LAB FEES
9,174
9,349
10,000
10,000
10,300
REGISTRATION FEES
97,712
106,114
91,800
91,800
100,954
TOTAL FEES AND CHARGES
1,612,038
1,866,399
1,666,596
1,666,596
1,514,731
FINES AND FORFEITURES:
MUNICIPAL COURT FINES
691,355
794,710
479,000
479,000
743,370
OTHER REVENUES:
INCOME ON INVESTMENTS
$34,655
$56,858
$30,400
$30,400
$53,497
SALE OF PROPERTY
62,624
244,917
36,000
36,000
37,230
RENTAL OF PROPERTY
21,150
35,388
31,000
31,000
100,000
DONATIONS
0
500
1,000
1,000
1,030
MISCELLANEOUS REVENUE
4,711
9,264
25,000
25,000
25,750
CONTRIBUTION FROM LIQUOR
150,000
183,000
463,000
463,000
476,890
TOTAL OTHER REVENUES
273,140
529,927
586,400
586,400
694,397
INTERGOVERNMENTAL AID:
HACA
956,594
956,476
979,624
979,624
979,864
HIGHWAY AID
140,000
140,000
140,000
140,000
140,000
HENNEPIN COUNTY HEALTH
528,903
138,260
166,376
166,376
171,367
LOCAL GOVERNMENT AID
246,954
291,704
0
0
0
POLICE AID (1 %)
40,779
15,153
321,000
321,000
330,630
STATE AID
9,446
0
0
0
0
FEDERAL AID
122,336
162,204
8,000
8,000
8,240
TOTAL INTERGOVERNMENT AID
2,045,012
1,703,797
1,615,000
1,615,000
1,630,101
TOTAL OPERATING REVENUE
$19,766,889
$20,215,942
$19,268,154
$19,268,154
$20,647,425
CITY OF EDINA ANNUAL BUDGET PAGE - 3
FUND:
T
----T-
GENERAL
EXPENDITURE SUMMARY
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
GENERAL FUND:
GENERAL GOVERNMENT:
MAYOR & COUNCIL
$66,386
$64,851
$67,404
$67,404
$69,040
ADMINISTRATION
919,231
766,049
792,883
792,883
878,670
PLANNING
289,581
302,894
317,290
317,290
328,851
FINANCE
428,083
429,141
478,894
478,894
506,756
ELECTIONS
73,136
21,940
145,001
145,001
106,220
ASSESSING
447,943
528,874
581,104
581,104
666,014
LEGAL & COURT SERVICES
332,577
428,941
359,000
359,000
360,000
TOTAL GENERAL GOVERNMENT
$2,556,937
$2,542,690
$2,741,576
$2,741,576
$2,915,551
PUBLIC WORKS:
ADMINISTRATION
$150,181
$150,696
$154,978
$154,978
$160,264
ENGINEERING
564,929
603,464
604,192
604,192
642,568
SUPERVISION
557,492
571,976
615,637
615,637
675,965
STREET MAINTENANCE
2,638,216
2,091,968
2,219,818
2,219,818
2,376,760
STREET LIGHTING
412,685
442,205
440,000
440,000
450,000
STREET NAME SIGNS
82,016
69,147
73,000
73,000
76,000
TRAFFIC CONTROL
111,945
122,377
150,000
150,000
147,000
BRIDGES /GUARD RAILS
22,223
10,357
21,500
21,500
25,500
RETAINING WALL MAINTENANCE
20,584
18,902
21,000
21,000
25,000
SIDEWALKS, RAMPS & PARKING LOTS
150,835
81,466
120,500
120,500
137,500
TOTAL PUBLIC WORKS
$4,711,106
$4,162,558
$4,420,625
$4,420,625
$4,716,557
PUBLIC SAFETY:
POLICE PROTECTION
$4,872,937
$4,979,131
$5,189,609
$5,189,609
$5,496,396
CIVILIAN DEFENSE
27,254
33,475
40,521
40,521
41,764
ANIMAL CONTROL
51,467
83,574
67,925
67,925
77,458
FIRE PROTECTION
3,202,508
2,976,474
3,153,109
3,153,109
3,328,585
PUBLIC HEALTH
419,165
437,705
461,664
461,664
483,791
INSPECTIONS
395,535
447,348
514,247
514,247
557,453
TOTAL PUBLIC SAFETY
$8,968,866
$8,957,707
$9,427,075
$9,427,075
$9,985,447
PARK & RECREATION:
ADMINISTRATION
$488,550
$526,802
$560,996
$560,996
$588,087
RECREATION
143,199
144,749
149,399
149,399
159,163
MAINTENANCE
1,397,446
1,694,507
1,630,679
1,630,679
1,796,827
TOTAL PARK DEPARTMENT
$2,029,195
$2,366,058
$2,341,074
$2,341,074
$2,544,077
CITY OF EDINA ANNUAL BUDGET PAGE - 4
FUND:
T
GENERAL
I
EXPENDITURE SUMMARY
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
NON - DEPARTMENTAL EXPENSES:
CONTINGENCIES
$93,766
$94,423
$76,500
$76,500
$80,000
SPECIAL ASSESSMENTS
16,449
29,188
20,000
20,000
24,000
CAPITAL PLAN APPROPRIATION
0
0
0
0
100,000
FIRE DEPT. DEBT SERVICE
83,841
83,761
84,000
84,000
84,000
COMMISSIONS & SPEC. PROJECTS
137,391
158,960
157,304
157,304
197,793
TOTAL NON - DEPARTMENTAL
$331,447
$366,332
$337,804
$337,804
$485,793
TOTAL OPERATING
EXPENDITURES
$18,597,551
$18,395,345
$19,268,154
$19,268,154
$20,647,425
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General Government
Overview
General Government, n `
General Government
Distribution. by Area
Legal & Court Services Mayor &Council
12.3% 2.4 /o
Administration
f 30.1%
Assessing %A
22.8%
Elections Planning
3.6%
11:3%
Finance
17.4%
General Government.
Distribution by Expenditure
Equipment'
.1.5 %
Central Services
17.4% x8,
Commodities`
.. 0.5 ° /O'
•� :-:
Salaries
54.2%
r
Contractual Services
.
o
26.4 /o
i
CITY OF EDINA ANNUAL BUDGET PAGE-5
FUND: FUNCTION: AREA: PROGRAM:
GENERAL GENERAL GOVERNMENT MAYOR & COUNCIL 1100
SUMMARY OF PERFORMANCE MEASURES
Mayor & Council -1100:
The City Council constitutes the policy making division of Edina City Government. The
Council is composed of the Mayor and 4 Council members, all elected at large for overlapping
terms of four years. The Mayor is the official head of City Government and is the presiding
officer at the Council meetings. The Council meets on the first and third Tuesdays of each
month at City Hall. The City Council also serves as the commissioners of the Housing
Redevelopment Authority.
2000 2001 %
Total Mayor & Council Budget $67,404 $69,040 2.43%
CITY OF EDINA ANNUAL BUDGET PAGE - 6
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
GENERAL GOVERNMENT I
MAYOR & COUNCIL
1100
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
PERSONAL SERVICES:
6010 PAYROLL
$27,360
$25,820
$27,500
$27,500
$27,500
CONTRACTUAL SERVICES:
6104 CONTINUING EDUCATION
206
39
500
500
500
6106 MEETING EXPENSE
3,592
3879
3,400
3,400
3,500
6107 MILEAGE
14
0
0
0
0
3,812
3918
3,900
3,900
4,000
COMMODITIES:
6406 GENERAL SUPPLIES
1,458
445
1,000
1,000
1,000
CENTRAL SERVICES:
6803 GENERAL
22,692
23340
23,424
23,424
24,612
6804 CITY HALL
11,064
11328
11,580
11,580
11,928
33,756
34668
35,004
35,004
36,540
TOTAL MAYOR & COUNCIL
$66,386
$64,851
$67,404
$67,404
$69,040
CITY OF EDINA ANNUAL BUDGET PAGE - 7
FUND: FUNCTION: AREA: PROGRAM:
GENERAL GENERAL GOVERNMENT ADMINISTRATION 1120
SUMMARY OF PERFORMANCE MEASURES
Administration -1120:
Personal services consists of 8 full time employees in this area.
The office of the City Manager is responsible for executing the policies adopted by the City
Council. Specifically, the City Manager's office provides for the general management of the
City and is responsible for the following:
• Personnel compensation and benefits administration for approximately 900 full time and
part time employees
• Labor relations with four organized bargaining units
• Risk management
• Long range planning
• Maintenance of official records and minutes
• Publication of ordinances and legal notices
• Licensing
• Policy research and implementation
• Management of selected central services
• Human relations
• Staff service to the HRA
• Employee training and career development
• Facility management of City Hall
Explanation of Change:
$10,000 has been added to Data Processing to pay for a new Human Resources software
system included in the new Financial and Payroll system. This system will allow us to track
applicants, benefits, worker compensation claims, training, etc.
$30,000 has been added to fund part of the Southdale Study approved as part of the Vision
20/20 plan.
2000 2001 %
Total Administration Budget $792,883 $878,670 10.82%
CITY OF EDINA ANNUAL BUDGET PAGE - 8
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
GENERAL GOVERNMENT
ADMINISTRATION
1120
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
PERSONAL SERVICES:
6010 PAYROLL
$676,238
$494,663
$513,173
$513,173
$539,271
6011 OVERTIME
5,108
6,591
5,000
5,000
5,200
681,346
501,254
518,173
518,173
544,471
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
7,592
53,431
13,000
13,000
43,000
6104 CONTINUING EDUCATION
5,013
2,042
5,000
5,000
5,000
6105 DUES & SUBSCRIPTIONS
48,043
34,765
53,000
53,000
54,000
6106 MEETING EXPENSE
1,971
1,052
2,000
2,000
2,000
6107 MILEAGE
10,547
12,088
16,000
16,000
16,500
6120 LEGAL ADVERTISEMENTS
14,730
12,215
15,000
15,000
15,500
6160 DATA PROCESSING HR
0
0
10,000
10,000
20,300
6188 TELEPHONE
1,156
955
1,400
1,400
1,400
6235 POSTAGE
42
57
0
0
0
89,094
116,605
115,400
115,400
157,700
COMMODITIES:
6405 BOOKS AND PAMPHLETS
0
355
300
300
300
6406 GENERAL SUPPLIES
998
1,218
1,000
1,000
1,500
6513 OFFICE SUPPLIES
0
140
300
300
300
6575 PRINTING
0
227
300
300
300
998
1,940
1,900
1,900
2,400
CENTRAL SERVICES:
6803 GENERAL
115,800
120,204
131,724
131,724
147,600
6804 CITY HALL
17,772
18,192
18,648
18,648
19,212
6808 EQUIPMENT OPERATION
5,556
2,892
1,524
1,524
1,608
139,128
141,288
151,896
151,896
168,420
EQUIPMENT:
6710 REPLACEMENT
8,665
4,962
5,514
5,514
5,679
TOTAL ADMINISTRATION
$919,231
$766,049
$792,883
$792,883
$878,670
CITY OF EDINA ANNUAL BUDGET PAGE - 9
(FUND: GENERAL I GENEIRALGOVERNMENT I ��. PLANNING 1 PROGRAM: 1140 I
SUMMARY OF PERFORMANCE MEASURES
Planning -1140:
Personal services consist of 3 & 3/ full time employees in this area.
The Planning Department provides staff service to the City Council, the Planning
Commission, the Board of Appeals and Adjustments, the Heritage Preservation Board, the
Housing and Redevelopment Authority (HRA) and the East Edina Housing Foundation. The
department also handles the administration of the City's sign ordinance, the zoning ordinance,
the subdivision ordinance, the Metro Rental Assistance Program, and the Federal Community
Development Block Grant program, and East Edina Housing Foundation programs.
Total Planning Budget
2000 2001 %
$317,290 $328,851 3.64%
CITY OF EDINA ANNUAL BUDGET PAGE - 10
FUND: T7FuNCTION:
A: ARE
PROGRAM:
GENERAL
GENERAL GOVERNMENT
PLANNING
1140
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
PERSONAL SERVICES:
6010 PAYROLL
$207,432
$208,005
$215,920
$215,920
$224,139
6011 OVERTIME
2,522
1,469
2,700
2,700
2,800
209,954
209,474
218,620
218,620
226,939
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
13,214
24,412
20,000
20,000
20,000
6104 CONTINUING EDUCATION
35
765
1,300
1,300
1,300
6105 DUES & SUBSCRIPTIONS
276
323
450
450
450
6106 MEETING EXPENSE
54
0
100
100
100
6107 MILEAGE
3,220
3,251
3,250
3,250
3,365
16,799
28,751
25,100
25,100
21,850
COMMODITIES:
6405 BOOKS AND PAMPHLETS
0
0
100
100
100
6406 GENERAL SUPPLIES
282
156
500
500
500
6408 PHOTOGRAPHIC SUPPLIES
0
0
100
100
100
6575 PRINTING
58
154
515
515
515
340
310
1,215
1,215
1,215
CENTRAL SERVICES:
6803 GENERAL
54,480
56,496
62,148
62,148
68,340
6804 CITY HALL
6,060
6,204
5,316
5,316
5,472
60,540
62,700
67,464
67,464
73,812
EQUIPMENT:
6710 REPLACEMENT
1,948
1,659
4,891
4,891
5,035
TOTAL PLANNING
$289,581
$302,894
$317,290
$317,290
$328,851
CITY OF EDINA ANNUAL BUDGET PAGE - 11
FUND: FUNCTION: AREA: PROGRAM:
GENERAL GENERAL GOVERNMENT FINANCE 1160
SUMMARY OF PERFORMANCE MEASURES
Finance -1160:
Personal services consist of 5 & 3/ full time employees in this area.
The Finance Department provides accounting and control services for all financial activities of
the City. Major functions include:
• During 1999, the Finance Department issued 12,000 payroll checks on a payroll of over
$15,000,000 for over 800 full time and part time employees
• Preparation of the annual budget, comprehensive financial report, enterprise profit and
loss statements, bond statements, and other financial reports
• Issuance of 11,000 accounts payable checks on expenditures of over $52,000,000 for
general operating, debt service, capital projects, enterprise activities and other City
functions during 1999
• Performing financial analysis on investments and various proposals
Explanation of Change:
$7,000 has been added to Data Processing to pay for additional costs of the new Financial
and Payroll system. $500 was added to general supplies.
2000 2001 %
Total Finance Budget $478,894 $506,756 5.82%
CITY OF EDINA ANNUAL BUDGET PAGE - 12
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
GENERAL GOVERNMENT
FINANCE
1160
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
PERSONAL SERVICES:
6010 PAYROLL
$276,563
$243,704
$302,746
$302,746
$309,798
6011 OVERTIME
319
545
2,700
2,700
2,000
276,882
244,249
305,446
305,446
311,798
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
1,296
20,310
0
0
0
6104 CONTINUING EDUCATION
2,437
2,141
2,200
2,200
2,500
6105 DUES & SUBSCRIPTIONS
498
285
500
500
500
6107 MILEAGE
2,392
6,368
2,600
2,600
6,000
6130 ANNUAL AUDIT
5,000
5,000
5,000
5,000
5,000
6160 DATA PROCESS ING -LOGIS
61,111
66,699
68,000
68,000
77,000
72,734
100,803
78,300
78,300
91,000
COMMODITIES:
6405 BOOKS AND PAMPHLETS
21
65
50
50
100
6406 GENERAL SUPPLIES
747
775
550
550
1,000
768
840
600
600
1,100
CENTRAL SERVICES:
6803 GENERAL
68,208
71,004
78,108
78,108
85,920
6804 CITY HALL
7,716
7,896
9,300
9,300
9,588
75,924
78,900
87,408
87,408
95,508
EQUIPMENT:
6710 REPLACEMENT
1,775
4,349
7,140
7,140
7,350
TOTAL FINANCE
$428,083
$429,141
$478,894
$478,894
$506,756
CITY OF EDINA ANNUAL BUDGET PAGE-13
(FUND: GENERAL I GENEIRAL GOVERNMENT AREA. ELECTIONS PROGRAM 1180
SUMMARY OF PERFORMANCE MEASURES
Elections -1180:
Personal services consist of 1 full time person of which '/2 the salary is billed to the school
district as election costs. Personal services also includes the election judge payrolls for
primary and general elections and payroll for additional hours of regular staff persons.
The City Clerk is responsible for conducting all national, state, county, and City elections held
in the City of Edina in even numbered years. In addition, the City Clerk conducts all Edina
School District 273 elections in odd numbered years. Costs for conducting school elections
are billed to the school district.
The City is divided into 20 voting precincts which must be equipped for conducting each
election. The Clerk must recruit and train approximately 300 election judges in each election
year. Approximately 4,000 absentee ballot applications are processed.
The Clerk is also responsible for maintaining the permanent voter registration system in the
City amounting to almost 35,000 registrations. In a 12 month period about 6,500 registration
changes are processed. Following the primary and general elections an additional 5,000
adds and deletes are processed.
Explanation of Change:
Elections has been reduced by Y2 the amount of a typical non - election year. Any unspent funds
will be reserved for future year general elections. This will even out the budgeting on a year
to year basis.
Total Elections Budget
2000 2001 %
$145,001 $106,220 - 26.75%
CITY OF EDINA ANNUAL BUDGET PAGE - 14
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
GENERAL GOVERNMENT
ELECTIONS
1180
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
PERSONAL SERVICES:
6010 PAYROLL
$50,674
$8,678
$100,173
$100,173
$65,000
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
4,064
170
10,000
10,000
6,000
6107 MILEAGE
368
0
200
200
400
6235 POSTAGE
1,081
142
3,000
3,000
2,500
5,513
312
13,200
13,200
8,900
COMMODITIES:
6406 GENERAL SUPPLIES
1,779
746
4,000
4,000
3,000
6575 PRINTING
3,374
0
4,000
4,000
4,000
5,153
746
8,000
8,000
7,000
CENTRAL SERVICES:
6803 GENERAL
11,796
12,204
13,428
13,428
14,820
EQUIPMENT:
6710 REPLACEMENT
0
0
10,200
10,200
10,500
TOTAL ELECTIONS
$73,136
$21,940
$145,001
$145,001
$106,220
CITY OF EDINA ANNUAL BUDGET PAGE - 15
FUND: FUNCTION: AREA: PROGRAM:
GENERAL GENERAL GOVERNMENT ASSESSING 1190
SUMMARY OF PERFORMANCE MEASURES
Assessing - 1190:
Personal services consist of 7 full time employees.
The Assessing Department conducts quartile field inspections (Minnesota Statute 273.08) and
performs annual classification and valuation of Edina's 20,701 real estate parcels. In
addition, once every six years the department must appraise all exempt properties. All factors
which may affect value are considered and then accepted approaches (cost, market and
income approach) to value a property are considered in the appraisal process. Each year all
tangible changes to property that may affect value are physically inspected using building
permits as an informational source. Statistical analysis is performed on over 700 residential
sales and existing assessor's market values each year, forming a basis for annual
adjustments to value. Sales and the analysis of available income and expense data help
determine adjustments to commercial industrial and apartment values. All of the departments
work culminates each year with the Board of Review. Thousands of inquiries and reviews are
handled each year prior to that meeting. Because of the subjective nature of valuing real
estate and determining classifications, dozens of tax court petitions and scores of abatements
and individual appeals /reviews are processed annually. In addition, dissemination of general
and specific information, homesteads, explanation of processes and procedures, trial
preparation and negotiations with taxpayers or their legal representatives are on -going
functions. See 2001 Assessment calendar for further detail.
Throughout the year, ratios of assessor's values to sale prices are compared, coordinated
and discussed between municipalities within Hennepin County to assure an acceptable level
of assessment and equity between jurisdictions. These ratios indicate the quality of our
assessment and are monitored and corrected (if necessary) by the Department of Revenue.
Please refer to the 2000 Board of Review book for a more detailed explanation of
Assessment Performance Measures.
In addition to the above mentioned services, the Assessing Department is also responsible for
computing, notifying, spreading, and collection of special assessments.
Explanation of Change:
$50,000 has been added for Vanguard Appraisals, Inc.
$10,000 has been added for professional services.
$ 500 has been added for Assessor Data Exchange Project.
2000 2001 %
Total Assessing Budget $581,104 $666,014 14.61%
CITY OF EDINA ANNUAL BUDGET PAGE - 16
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
GENERAL GOVERNMENT I
ASSESSING
1190
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
PERSONAL SERVICES:
6010 PAYROLL
$306,441
$375,498
$393,357
$393,357
$404,957
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
(9,385)
1,131
1,035
1,035
61,066
6104 CONTINUING EDUCATION
752
2,541
4,145
4,145
4,357
6105 DUES & SUBSCRIPTIONS
1,943
2,413
3,067
3,067
4,396
6106 MEETING EXPENSE
300
232
912
912
939
6107 MILEAGE
3,254
3,211
3,783
3,783
3,896
6160 DATA PROCESSING -LOGIS
31,077
36,333
43,864
43,864
44,760
6235 POSTAGE
5,771
5,962
6,180
6,180
6,365
33,712
51,823
62,986
62,986
125,779
COMMODITIES:
6406 GENERAL SUPPLIES
429
948
1,237
1,237
1,274
6575 PRINTING
244
528
544
544
560
673
1,476
1,781
1,781
1,834
CENTRAL SERVICES:
6803 GENERAL
81,192
86,004
94,608
94,608
104,100
6804 CITY HALL
6,840
7,008
9,300
9,300
9,588
6808 EQUIPMENT OPERATION
3,096
2,892
4,572
4,572
4,824
91,128
95,904
108,480
108,480
118,512
EQUIPMENT:
6710 REPLACEMENT
15,989
4,173
14,500
14,500
14,932
TOTAL ASSESSING
$447,943
$528,874
$581,104
$581,104
$666,014
CITY OF EDINA ANNUAL BUDGET PAGE - 17
FUND: FUNCTION: AREA: PROGRAM:
GENERAL GENERAL GOVERNMENT LEGAL & COURT 1195
SERVICES
SUMMARY OF PERFORMANCE MEASURES
Legal and Court Services - 1195:
The City requires the professional services of attorneys who are contracted for on an annual
basis. They provide legal counsel and prepare the necessary ordinances and resolutions
required to implement the wishes of the City Council. The Prosecuting Attorney defends the
City in claims and suits and prosecutes all cases arising out of violation of City ordinances.
The following list summarizes the cases prosecuted in 1999:
Arraignments
3,992
Pre - trials
552
Court Trials
235
Jury Trials
44
Total
4.823
2000
Total Legal & Court Services Budget $359,000
2001 %
$360,000 0.28%
CITY OF EDINA ANNUAL BUDGET PAGE - 18
FUND:
FUNCTION: TAREA:
PROGRAM:
GENERAL
GENERAL GOVERNMENT
LEGAL & COURT SERVICES
1195
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
CONTRACTUAL SERVICES:
6103 PROSECUTING
$145,589
$168,429
$160,000
$160,000
$195,000
6131 CIVIL
79,961
57,563
112,000
112,000
90,000
6170 HENNEPIN COUNTY
BOOKING CHARGE
50,613
159,999
15,000
15,000
15,000
6225 ROOM & BOARD
PRISONERS
56,414
42,950
72,000
72,000
60,000
TOTAL LEGAL &
COURT SERVICES
$332,577
$428,941
$359,000
$359,000
$360,000
.4.
�1�1
N
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Public Works
0
Public Works Overview
Public Works
Distribution by Area
Street Lighting
Sidewalks, 9.5% Street Signs
Ramps 1.6%
2.9%
Traffic Ctrl
3.1%
Administration
3.4%
Engineering Street Maint.
13.6% 50.4%
Supery
14.3
Retaining Walls Bridges
0.5% 0.5%
Public Works
Distribution by Expenditure
Central
Sery
25.
Equipmer
11.4%
Commoames.
11.9% .•
alaries
36.2%
contractual
Services
14.1%
CITY OF EDINA ANNUAL BUDGET PAGE-19
FUND: FUNCTION: AREA: PROGRAM:
GENERAL PUBLIC WORKS ADMINISTRATION 1240
SUMMARY OF PERFORMANCE MEASURES
Public Works Administration -1240:
Personal services consists of 1 & Y2 employees in this area.
This department provides supervision and policy guidance over various Public Works
departments. These departments are Engineering, Streets, Utilities, and Equipment Operation.
The total permanent employment in the Public Works area is 60. The function of the City
Engineer is also provided under Public Works Administration.
Additionally, operating City liaison to other agencies such as MNDOT, Metro Council, Hennepin
County, PCA, Minnesota Board of Health, Corps of Engineers, Department of Natural
Resources, Nine Mile Creek and Minnehaha Creek Watershed Districts and other Cities is
provided for through this account.
2000 2001 %
Total Public Works Budget $4,420,625 $4,716,557 6.69%
Explanation of Change:
• Addition of one new full -time position in the Street Department.
• Additional funds allocated to the Street Department for Career Development
step changes for some personnel. This and the above item results in a 5%
change in Street Department salary allocation versus the typical 3% increase.
• Additional training dollars tied to the new union Career Development program.
• Additional funds allocated for equipment rental and contracted services
involving crushing of used road materials.
• Additional funds allocated for anticipated rises in fuel related products, i.e.,
asphalt, cracking sealing material, seal coating oils, etc.
CITY OF EDINA ANNUAL BUDGET PAGE - 20
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PUBLIC WORKS
ADMINISTRATION
1240
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
PERSONAL SERVICES:
6010 PAYROLL
$113,557
$112,160
$115,293
$115,293
$118,760
CONTRACTUAL SERVICES:
6104 CONTINUING EDUCATION
674
1,500
1,000
1,000
1,000
6105 DUES & SUBSCRIPTIONS
130
40
150
150
150
6107 MILEAGE
3,204
3,204
3,265
3,265
3,500
6188 CELL PHONE
0
0
350
350
350
4,008
4,744
4,765
4,765
5,000
CENTRAL SERVICES:
6803 GENERAL
29,004
30,096
32,256
32,256
33,756
6804 CITY HALL
3,612
3,696
2,664
2,664
2,748
32,616
33,792
34,920
34,920
36,504
TOTAL ADMINISTRATION
$150,181
$150,696
$154,978
$154,978
$160,264
CITY OF EDINA ANNUAL BUDGET PAGE - 21
FUND: FUNCTION: AREA: PROGRAM:
GENERAL PUBLIC WORKS ENGINEERING 1260
SUMMARY OF PERFORMANCE MEASURES
Engineering -1260:
Personal services consist of 7 & 1/2 employees in this area.
The Engineering Department prepares plans, specifications and estimates for public
construction projects. This includes street grading and surfacing, sanitary sewers, storm
sewers, watermains and other structures and improvements. It supervises the construction of
these projects and provides the necessary inspection to insure materials and workmanship are
in accordance with project specifications. The department maintains records and files on all of
the above mentioned activities and operates and maintains plan reproduction equipment.
CITY OF EDINA ANNUAL BUDGET PAGE - 22
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PUBLIC WORKS
ENGINEERING
1260
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
PERSONAL SERVICES:
6010 PAYROLL
$351,295
$350,069
$380,088
$380,088
$403,700
6011 OVERTIME
7,777
7,825
2,000
2,000
2,500
406,200
359,072
357,894
382,088
382,088
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
35,158
40,151
15,000
15,000
15,000
6104 CONTINUING EDUCATION
1,049
11,569
6,000
6,000
6,000
6105 DUES & SUBSCRIPTIONS
693
1,645
1,000
1,000
2,000
6106 MEETING EXPENSE
637
436
1,000
1,000
1,000
6107 MILEAGE
72
1,449
3,200
3,200
3,500
6188 CELL PHONE
2,192
2,964
2,000
2,000
3,000
39,801
58,214
28,200
28,200
30,500
COMMODITIES:
6406 GENERAL SUPPLIES
7,028
5,613
7,000
7,000
7,500
6548 BLUEPRINTING /CAD
1,327
1,556
3,000
3,000
2,500
6577 LUMBER & TOOLS
1,411
706
2,000
2,000
2,000
9,766
7,875
12,000
12,000
12,000
CENTRAL SERVICES:
6803 GENERAL
95,064
98,700
109,584
109,584
120,540
6804 CITY HALL
7,476
7,656
9,300
9,300
9,588
6808 EQUIPMENT OPERATION
11,856
12,336
13,020
13,020
13,740
114,396
118,692
131,904
131,904
143,868
EQUIPMENT:
6710 REPLACEMENT
41,894
60,789
50,000
50,000
50,000
TOTAL ENGINEERING
$564,929
$603,464
$604,192
$604,192
$642,568
CITY OF EDINA ANNUAL BUDGET PAGE-23
FUND: FUNCTION: AREA: PROGRAM:
GENERAL PUBLIC WORKS SUPERVISION 1280-1281
SUMMARY OF PERFORMANCE MEASURES
Supervision -1280:
Personal services consist of 2'/2 time employees.
The operations of the Public Works department are overseen by the Public Works Coordinator.
Some of the activities include:
1. Maintaining a computerized vehicle management system to determine the expense of
vehicle maintenance;
2. the purchasing and billing of equipment and supplies; and
3. maintaining an up to date inventory of the commodities used to service the City.
Additionally, the Coordinator, through this account, plans and coordinates Public Works
activities, maintains cost and work records and provides the training and instruction necessary
to insure the men do their jobs most efficiently and effectively.
Overhead - the major portion of this budget is the general benefits for the street department
allocated from the Central Services General (1550) budget.
Training -1281:
This program provides for the personal services time and aids required to provide the
necessary training.
CITY OF EDINA ANNUAL BUDGET PAGE - 24
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PUBLIC WORKS I
SUPERVISION
1280-1281
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
SUPERVISION -1280
PERSONAL SERVICES:
6010 PAYROLL
$93,071
$99,491
$111,405
$111,405
$123,541
6011 OVERTIME
2,024
3,316
1,400
1,400
1,000
124,541
95,095
102,807
112,805
112,805
CONTRACTUAL SERVICES:
6104 CONTINUING EDUCATION
1,502
1,679
5,000
5,000
4,000
6105 DUES & SUBSCRIPTIONS
495
300
500
500
500
6188 CELL PHONE
1,605
2,452
2,500
2,500
2,500
6270 GOPHER ONE STATE
1,575
3,015
3,000
3,000
3,000
6271 HAZ. WASTE DISPOSAL
15,562
7,800
10,000
10,000
10,000
20,739
15,246
21,000
21,000
20,000
CENTRAL SERVICES:
6803 GENERAL
379,800
394,621
403,920
403,920
444,300
6806 PUBLIC WORKS BUILDING
20,400
21,840
22,572
22,572
23,652
6808 EQUIPMENT OPERATION
2,136
2,220
2,340
2,340
2,472
402,336
418,681
428,832
428,832
470,424
TOTAL SUPERVISION
$518,170
$536,734
$562,637
$562,637
$614,965
TRAINING -1281
PERSONAL SERVICES:
6010 PAYROLL
$25,122
$23,628
$40,000
$40,000
$40,000
CONTRACTUAL SERVICES:
6104 CONTINUING EDUCATION
14,112
11,614
12,000
12,000
20,000
COMMODITIES:
6579 TRAINING AIDS
88
0
1,000
1,000
1,000
TOTAL TRAINING
$39,322
$35,242
$53,000
$53,000
$61,000
TOTAL SUPERVISION & TRAINING
$557,492
$571,976
$615,637
$615,637
$675,965
CITY OF EDINA ANNUAL BUDGET PAGE - 25
FUND: FUNCTION: AREA: PROGRAM:
GENERAL I PUBLIC WORKS STREET DEPARTMENT
SUMMARY OF PERFORMANCE MEASURES
Street Department
Payroll Summary - Distribution
The Street Department consists of 28 personnel which include the following positions:
2
Team Leaders
1
Master Electrician
7
Heavy Equipment Operators
12
Equipment Operators
6
Specialists
Additionally, 8 summer employees are hired to assist in various projects.
Training
Street Maintenance:
General Maintenance
Street Sweeping
Street Renovation
Snow & Ice Removal
Street Lighting:
Regular
Ornamental
Street Name Signs
Traffic Control:
Signal Maintenance
Pavement Marking
Bridges /Guard Rails
Retaining Walls
Public Sidewalks:
Maintenance & Repair
Snow & Ice Removal
Parking Ramp Maintenance
Parking Lots
$40,000 Charged to Other Funds:
Central Services:
355,000 City Hall $12,000
92,000 Public Works Building 34,400
194,000 Equipment Operation 21,000
189,500 Enterprise Funds 137,130
3,000 Total Street Payroll
30,000
40,000
15,000
21,000
15,000
7,000
15,000
19,000
13,000
11,000
$1,059,500
$1,264,030
CITY OF EDINA ANNUAL BUDGET PAGE - 26
FUND: FUNCTION: AREA: I PROGRAM:
GENERAL I PUBLIC WORKS I STREET DEPARTMENT
I SUMMARY OF PERFORMANCE MEASURES I
This page is intentionally left blank.
CITY OF EDINA ANNUAL BUDGET PAGE - 27
FUND: FUNCTION: AREA: PROGRAM:
GENERAL PUBLIC WORKS I STREET MAINTENANCE 1 1301 -1310
SUMMARY OF PERFORMANCE MEASURES
General Maintenance - 1301:
These funds are allocated for the general repairs made to the street; ex: rubberized crack
sealing, asphalt patching, minor seal coating, and miscellaneous repairs.
Crews totaling approximately five "man years" work on general maintenance of City streets year
round, weather permitting.
Equipment -1305:
This program provides funding for the replacement of existing equipment and the purchase of
capital upgrades for all Public Works programs.
Street Sweeping -1310:
These funds are allocated for cleaning the 200 miles (800 lane miles) of City streets and 45
parking lots. Sweeping usually begins in early March, attempting to rid the streets and lots of
winter sand to prevent being washed into storm sewers.
Six men are involved in the sweeping effort from early spring into summer and begins again in
the fall when leaves are swept up to prevent the clogging of catch basins.
CITY OF EDINA ANNUAL BUDGET
PAGE - 28
FUND:
FUNCTION:
I
AREA:
PROGRAM:
GENERAL
PUBLIC WORKS
STREET MAINTENANCE
1301-1310
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
GENERAL MAINTENANCE -1301
PERSONAL SERVICES:
6010 PAYROLL
$455,902
$337,148
$346,000
$346,000
$350,000
6011 OVERTIME
56,556
11,617
4,000
4,000
5,000
512,458
$348,765
350,000
350,000
355,000
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SVCS
6,156
8,109
1,000
1,000
1,000
6151 EQUIP RENTAUCRUSHING
7,568
4,366
11,000
11,000
16,000
6180 CONTRACTED REPAIR
10,333
16,528
13,650
13,650
14,000
6182 RUBBISH HAULING
3,982
4,496
4,000
4,000
5,000
6185 LIGHT & POWER
19
164
0
0
0
6201 LAUNDRY
11,750
11,078
13,000
13,000
13,000
39,808
44,741
42,650
42,650
49,000
COMMODITIES:
6406 GENERAL SUPPLIES
350,804
17,591
15,000
15,000
15,000
6517 SELECT MATERIALS
1,207
495
500
500
500
6517 ASPHALT MIX
15,322
8,436
12,000
12,000
14,500
6519 MC 1 OIL/RUB CRACK FILL
4,340
8,038
7,000
7,000
8,000
6520 CONCRETE
0
0
500
500
500
6556 TOOLS
12,824
15,984
12,000
12,000
13,000
6610 SAFETY EQUIPMENT
14,821
13,256
12,000
12,000
13,000
399,318
63,800
59,000
59,000
64,500
CENTRAL SERVICES:
6808 EQUIPMENT OPERATION
488,580
507,672
535,668
535,668
565,260
TOTAL GENERAL MAINTENANCE
$1,440,164
$964,978
$987,318
$987,318
$1,033,760
EQUIPMENT -1305
EQUIPMENT:
6710 REPLACEMENT
$424,811
$357,645
$420,000
$420,000
$450,000
6711 NEW
159,750
0
36,000
36,000
36,000
TOTAL REPLACEMENT
$584,561
$357,645
$456,000
$456,000
$486,000
STREET SWEEPING -1310
PERSONAL SERVICES
6010 PAYROLL
$70,162
$85,131
$85,000
$85,000
$90,000
6011 OVERTIME
1,204
800
2,000
2,000
2,000
71,366
85,931
87,000
87,000
92,000
COMMODITIES:
6523 BROOMS
14,858
9,994
14,500
14,500
15,000
6524 WEARING SHOES
0
949
1,000
1,000
1,000
14,858
10,943
15,500
15,500
16,000
TOTAL STREET SWEEPING
$86,224
$96,874
$102,500
$102,500
$108,000
CITY OF EDINA ANNUAL BUDGET PAGE-29
71
GENERAL
FUNCTION:
PUBLIC WORKS I STREET MAINTENANCE
SUMMARY OF PERFORMANCE MEASURES
Street Renovation -1314:
PROGRAM:
1314-1318
This program incorporates approximately fifteen to twenty miles of street renovation yearly.
This work would include surface leveling prior to seal coating, and seal coating asphalt streets.
Also, this would include some milling of asphalt streets, overlaying with a new lift of asphalt, and
recycling street in place with an asphalt overlay.
As to concrete streets, this account would fund concrete repairs that are not a result of
watermain and utility repairs. The concrete repair would be concrete surface repairs, curb and
gutter adjustments, and concrete panel replacement.
This work area involves approximately twenty persons (full and part time) from May (when road
restrictions are lifted) to late September.
Snow and Ice Removal -1318:
Snow and ice removal in Edina constitutes a majority of the Street Department's work during
the winter months. The City, which consists of 200 miles of street, 17 miles of sidewalk, 5 miles
of alley, 273 cul -de -sacs, 45 parking lots, and 3 parking ramps is divided in 26 snow plow
routes. The equipment involved in plowing includes 21 trucks with plows, 2 graders, 5 loaders,
and 3 sidewalk plows. Fifteen units are equipped with wings for more efficient plowing and
some are equipped with pre- wetting equipment.
CITY OF EDINA ANNUAL BUDGET PAGE - 30
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PUBLIC WORKS I
STREET MAINTENANCE
1314-1318
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
RENOVATION -1314
PERSONAL SERVICES:
6010 PAYROLL
$106,295
$168,007
$180,000
$180,000
$191,000
6011 OVERTIME
1,082
2,342
4,000
4,000
3,000
107,377
170,349
184,000
184,000
194,000
CONTRACTUAL SERVICES:
6180 CONTRACTED REPAIR
34,531
36,082
15,000
15,000
20,000
6181 DUMP CHARGES /RECYCLE
0
0
1,000
1,000
1,000
34,531
36,082
16,000
16,000
21,000
COMMODITIES:
6406 GENERAL SUPPLIES
9,666
5,878
6,000
6,000
6,000
6517 GRANULAR MATERIALS
19,739
32,230
30,000
30,000
40,000
6518 ASPHALT MIX
51,766
117,428
100,000
100,000
130,000
6519 EMUL. ASPHALT
18,231
38,163
40,000
40,000
45,000
6520 CONCRETE
58,730
21,695
30,000
30,000
30,000
158,132
215,394
206,000
206,000
251,000
TOTAL RENOVATION
$300,040
$421,825
$406,000
$406,000
$466,000
SNOW & ICE REMOVAL -1318
PERSONAL SERVICES:
6010 PAYROLL
$120,944
$122,925
$150,000
$150,000
$159,000
6011 OVERTIME
17,253
33,737
29,500
29,500
30,500
138,197
156,662
179,500
179,500
189,500
COMMODITIES:
6406 GENERAL SUPPLIES
32,109
4,090
8,000
8,000
8,000
6516 CALCIUM CHLOR. /DEICER
0
0
500
500
500
6517 SAND
21,409
28,637
30,000
30,000
30,000
6525 SALT
35,512
61,257
50,000
50,000
55,000
89,030
93,984
88,500
88,500
93,500
TOTAL SNOW & ICE REMOVAL
$227,227
$250,646
$268,000
$268,000
$283,000
TOTAL STREET MAINTENANCE
$2,638,216
$2,091,968
$2,219,818
$2,219,818
$2,376,760
CITY OF EDINA ANNUAL BUDGET PAGE-31
FUND: FUNCTION: AREA: PROGRAM:
GENERAL PUBLIC WORKS STREET LIGHTING 1321 -1322
SUMMARY OF PERFORMANCE MEASURES
Regular Street Lighting -1321:
In the City, there are 1,720 NSP owned street lights; for the most part, "over the roadway" lights
are attached to existing NSP service poles. The funds in this program are used for rental fees,
power and replacement of existing systems.
Ornamental Street Lighting -1322:
The City owns 485 ornamental street lights. Ornamental lights include decorative or
architectural lighting that has a unique design head and pole, or in some cases, antique lighting.
The City is responsible for all parts and maintenance of the lights including underground wiring
and painting of the poles. The funds in this program are expended on power parts,
replacement fixtures, poles and lamps.
CITY OF EDINA ANNUAL BUDGET PAGE - 32
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PUBLIC WORKS
STREET LIGHTING
1321-1322
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
REGULAR -1321
PERSONAL SERVICES:
6010 PAYROLL
$1,701
$1,148
$3,000
$3,000
$3,000
CONTRACTUAL SERVICES:
6180 CONTRACTED REPAIRS
578
3,305
1,000
1,000
1,000
6185 LIGHT & POWER
297,209
347,380
315,000
315,000
315,000
297,787
350,685
316,000
316,000
316,000
COMMODITIES:
6530 REPAIR PARTS
0
0
500
500
500
TOTAL STREET LIGHTING
REGULAR
$299,488
$351,833
$319,500
$319,500
$319,500
ORNAMENTAL -1322
PERSONAL SERVICES:
6010 PAYROLL
$20,134
$19,860
$25,000
$25,000
$30,000
CONTRACTUAL SERVICES:
6180 CONTRACTED REPAIRS
209
0
500
500
500
6185 LIGHT & POWER
71,800
53,794
75,000
75,000
75,000
72,009
53,794
75,500
75,500
75,500
COMMODITIES:
6406 GENERAL SUPPLIES
10,516
9,290
10,000
10,000
10,000
6530 REPAIR PARTS
10,538
7,428
10,000
10,000
15,000
21,054
16,718
20,000
20,000
25,000
TOTAL STREET LIGHTING
ORNAMENTAL
$113,197
$90,372
$120,500
$120,500
$130,500
TOTAL STREET LIGHTING
$412,685
$442,205
$440,000
$440,000
$450,000
CITY OF EDINA ANNUAL BUDGET PAGE - 33
FUND: FUNCTION: AREA: PROGRAM:
GENERAL PUBLIC WORKS TRAFFIC & STREET SIGNS 1325
SUMMARY OF PERFORMANCE MEASURES
Street Name Signs/Traffic Signs -1325:
The funds for this program are used for the maintenance and replacement of the City's 2,200
street name signs. These signs usually last 6 to 7 years, however, most are replaced earlier
due to damages or vandalism at a rate of roughly 10% per year.
The traffic sign account covers the maintenance and replacement of approximately 2,500 traffic
signs.
CITY OF EDINA ANNUAL BUDGET
PAGE - 34
FUND:
FUNCTION:
I
AREA: TRAFFIC
PROGRAM:
GENERAL
PUBLIC WORKS
& STREET NAME SIGNS
1325
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
PERSONAL SERVICES:
6010 PAYROLL
$42,312
$40,865
$40,000
$40,000
$40,000
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
0
0
500
500
500
COMMODITIES:
6406 GENERAL SUPPLIES
14,306
14,039
12,000
12,000
13,000
6531 SIGNS & POSTS
25,291
14,243
19,500
19,500
21,500
6532 PAINT
107
0
1,000
1,000
1,000
39,704
28,282
32,500
32,500
35,500
TOTAL STREET NAME SIGNS
$82,016
$69,147
$73,000
$73,000
$76,000
CITY OF EDINA ANNUAL BUDGET PAGE - 35
FUND
GENERAL
FUNCTION:
PUBLIC WORKS I TRAFFIC CONTROL 1 1330-1335
SUMMARY OF PERFORMANCE MEASURES
Traffic Signal Maintenance -1330:
The City owns and maintains seven traffic signal systems, and in conjunction with the State,
maintains an additional seven signal systems. Electronic maintenance is performed down to a
component level on all printed circuit boards. Ninety percent of the funds from this account are
applied toward light and power with the remaining 10% directed towards parts, back -up
equipment and test equipment.
Pavement Marking -1335:
The City sign shop, which is responsible for pavement marking, consists of 2 men, 1 truck, 2
stripers, and 1 trailer. The bulk of the funds for this account are directed towards the following
projects:
Projects
- Center line striping of State Aid streets
- Lane striping
- Painting legends & arrows on
pavement and parking lots; and 70
school crossings
Material Used
450 gallons paint
250 gallons paint
100 gallons paint
Additionally, the sign shop is responsible for striping the City's 45 parking lots and painting the
center line and messages on Cornelia and Bredeson Park walking paths.
Also, the 6532 line item now includes permanent pavement marking materials. We have found
that some high traffic areas and concrete streets do not hold paint very well. We have changed
to different materials which last longer.
CITY OF EDINA ANNUAL BUDGET
PAGE - 36
FUND:
FUNCTION:
I
AREA:
PROGRAM:
GENERAL
PUBLIC WORKS
TRAFFIC CONTROL
1330-1335
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
TRAFFIC SIGNAL MAINTENANCE
1330
PERSONAL SERVICES:
6010 PAYROLL
$4,650
$11,829
$15,000
$15,000
$15,000
CONTRACTUAL SERVICES:
6180 CONTRACTED REPAIRS
5,371
0
3,000
3,000
4,000
6185 LIGHT & POWER
60,822
57,828
65,000
65,000
60,000
6215 EQUIPMENT MAINT.
8,157
18,736
25,000
25,000
24,000
74,350
76,564
93,000
93,000
88,000
COMMODITIES:
6406 GENERAL SUPPLIES
1,074
190
1,500
1,500
1,500
6530 REPAIR PARTS
4,447
2,027
4,000
4,000
5,000
5,521
2,217
5,500
5,500
6,500
TOTAL TRAFFIC SIGNAL
MAINTENANCE
$84,521
$90,610
$113,500
$113,500
$109,500
PAVEMENT MARKING -1335
PERSONAL SERVICES:
6010 PAYROLL
$14,082
$13,204
$21,000
$21,000
$21,000
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
0
0
500
500
500
COMMODITIES:
6406 GENERAL SUPPLIES
6,114
3,845
3,000
3,000
3,000
6532 PAINT & PAVE MARKING
7,228
14,718
12,000
12,000
13,000
13,342
18,563
15,000
15,000
16,000
TOTAL PAVEMENT MARKING
$27,424
$31,767
$36,500
$36,500
$37,500
TOTAL TRAFFIC CONTROL
$111,945
$122,377
$150,000
$150,000
$147,000
CITY OF EDINA ANNUAL BUDGET PAGE - 37
(FUND: FUNCTION: AREA: PROGRAM:
GENERAL I PUBLIC WORKS I BRIDGES /GUARD RAILS 1 1343
SUMMARY OF PERFORMANCE MEASURES
Bridges /Guard Rails -1343:
The sign shop is responsible for the sanding, priming, and painting of bridge rails and guide
posts. There are 25 bridges and culverts in the City which require annual inspection and
certification to the state as to their condition. Major deck repairs are taken care of by outside
contractors.
Additionally, there are numerous guard rail locations throughout the City requiring periodic
maintenance.
CITY OF EDINA ANNUAL BUDGET PAGE - 38
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PUBLIC WORKS I
BRIDGES /GUARD RAILS
1343
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
PERSONAL SERVICES:_
6010 PAYROLL
$15,043
$8,242
$15,000
$15,000
$15,000
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
0
0
2,000
2,000
4,000
6151 EQUIPMENT RENTAL
0
0
500
500
500
0
0
2,500
2,500
4,500
COMMODITIES:
6406 GENERAL SUPPLIES
6,708
1,611
2,000
2,000
3,000
6533 GUARD RAIL MATERIAL
472
504
2,000
2,000
3,000
7,180
2,115
4,000
4,000
6,000
TOTAL BRIDGES /GUARD RAILS
$22,223
$10,357
$21,500
$21,500
$25,500
CITY OF EDINA ANNUAL BUDGET PAGE - 39
FUND: FUNCTION: AREA: PROGRAM:
GENERAL PUBLIC WORKS RETAINING WALL MAINT. 1344
SUMMARY OF PERFORMANCE MEASURES
Retaining Wall Maintenance —1344:
There are approximately 50 retaining walls in the City. They are beginning to show age for
various reasons and are in need of repair. They are constructed of timber, lannon stone and
other landscaping materials. This program would provide for materials, some contracted
repairs, and labor distributed from the general street maintenance program.
CITY OF EDINA ANNUAL BUDGET PAGE - 40
FUND:
FUNCTION:
I
AREA:
PROGRAM:
GENERAL
PUBLIC WORKS
RETAINING WALLS
1344
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
PERSONAL SERVICES:
6010 PAYROLL
$0
$3,074
$7,000
$7,000
$7,000
CONTRACTUAL SERVICES:
6180 CONTRACTED REPAIRS
9,496
14,566
10,000
10,000
12,000
COMMODITIES:
6406 GENERAL SUPPLIES
0
1,262
1,000
1,000
1,000
6577 LUMBER/STONE
11,088
0
3,000
3,000
5,000
11,088
1,262
4,000
4,000
6,000
TOTAL RETAINING WALLS
$20,584
$18,902
$21,000
$21,000
$25,000
CITY OF EDINA ANNUAL BUDGET PAGE-41
(FUND: FUNCTION: AREA: SIDEWALKS PROGRAM:
GENERAL PUBLIC WORKS I RAMPS, PARKING LOTS 1 1365-1375
SUMMARY OF PERFORMANCE MEASURES
Sidewalks - Maintenance & Repair -1365:
Maintenance and repairs for the City's 22 miles of sidewalk begin in the early spring with the
sweeping of winter sand and proceed through the summer and fall with maintenance on an as
needed basis by the City street crews.
Sidewalks - Snow & Ice Removal -1370:
Removal of snow from the City's 22 miles of sidewalk is another responsibility of the Street
department. Three snow plow /blowers are used to accomplish this task. Under normal
conditions, it takes 2 to 4 days to clear walks.
Parking Ramp Maintenance -1375:
The City owns 3 parking ramps in downtown Edina. Each ramp consists of three levels, with
302 spaces in the south ramp, 274 spaces in the north ramp and 150 in the newest north ramp.
The funds from this account are allocated towards plowing, sweeping, lighting, cleaning
supplies, and contractual services. $11,000 is received in revenue from the 50`h and France
Business Association to pay for their portion of ramp maintenance.
CITY OF EDINA ANNUAL BUDGET PAGE - 42
FUND:
FUNCTION:
I
AREA: SIDEWALKS I
PROGRAM:
GENERAL
PUBLIC WORKS
RAMPS, PARKING LOTS
1365-1375
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
SIDEWALKS - MAINTENANCE
& REPAIR -1365
PERSONAL SERVICES:
6010 PAYROLL
$6,728
$10,632
$10,000
$10,000
$15,000
COMMODITIES:
6406 GENERAL SUPPLIES
2,899
1,321
1,000
1,000
1,000
6518 BLACKTOP
0
0
500
500
500
6520 CONCRETE
0
1,112
3,000
3,000
2,000
2,899
2,433
4,500
4,500
3,500
TOTAL SIDEWALK -
MAINTENANCE & REPAIR
$9,627
$13,065
$14,500
$14,500
18,500
SIDEWALKS - SNOW & ICE
REMOVAL -1370
PERSONAL SERVICES:
6010 PAYROLL
$8,803
$11,119
$11,500
$11,500
$17,000
6011 OVERTIME
1,058
1,764
2,500
2,500
2,000
9,861
12,883
14,000
14,000
19,000
COMMODITIES:
6406 GENERAL SUPPLIES
0
0
500
500
500
TOTAL SIDEWALK - SNOW
& ICE REMOVAL
$9,861
$12,883
$14,500
$14,500
$19,500
PARKING RAMP MAINT. - 1375
PERSONAL SERVICES:
6010 PAYROLL
$5,288
$4,081
$10,000
$10,000
$10,000
6011 OVERTIME
1,084
3,919
3,000
3,000
3,000
6,372
8,000
13,000
13,000
13,000
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
10,732
202
12,000
12,000
12,000
6185 LIGHT & POWER
37,379
38,849
40,000
40,000
40,000
48,111
39,051
52,000
52,000
52,000
COMMODITIES:
6406 GENERAL SUPPLIES
372
548
1,000
1,000
1,000
6511 CLEANING SUPPLIES
0
0
500
500
500
6530 REPAIR PARTS
137
1,623
8,000
8,000
10,000
509
2,171
9,500
9,500
11,500
TOTAL PARKING
RAMP MAINTENANCE
$54,992
$49,222
$74,500
$74,500
$76,500
CITY OF EDINA ANNUAL BUDGET PAGE - 43
(FUND: GENERAL I FUNCPUBLIC WORKS I ARRAMPS PIARKI G LOTS 1 PROGRAM1380
SUMMARY OF PERFROMANCE MEASURES
Parking Lot Maintenance -1380:
Funds for this program are directed toward maintaining the City's parking lots. Maintenance
includes sweeping, plowing and striping of the lots and is accomplished by the street
department.
CITY OF EDINA ANNUAL BUDGET
PAGE - 44
FUND:
FUNCTION:
AREA: SIDEWALKS I
PROGRAM:
GENERAL
PUBLIC WORKS I
RAMPS, PARKING LOTS
1380
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
PARKING LOT
MAINTENANCE -1380
PERSONAL SERVICES:
6010 PAYROLL
$14,037
$1,482
$5,000
$5,000
$11,000
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
18,620
0
500
500
500
COMMODITIES:
6406 GENERAL SUPPLIES
8,284
0
500
500
500
6518 BLACKTOP
35,414
4,814
10,000
10,000
10,000
6519 ROAD OIL/SEALING
0
0
1,000
1,000
1,000
43,698
4,814
11,500
11,500
11,500
TOTAL PARKING LOTS
$76,355
$6,296
$17,000
$17,000
$23,000
TOTAL SIDEWALKS - RAMPS
& PARKING LOTS
$150,835
$81,466
$120,500
$120,500
$137,500
�C
mm
Public Safety
Public Safety Overview
Public Safety
Distribution. by Area
Health
Inspections 5.6%
4.8%-
Fire
Animal Control
0.8%
Civil Defense
0.4%
Public Safety
Distribution by Expenditure
Central
Services
Equipment
4.9%
Commodities
2.0%
Contractue
Services
7.2%
Police
55.0%
alaries
35.2%
CITY OF EDINA ANNUAL BUDGET PAGE-45
FUND:
GENERAL
Police —1400
PUBLIC SAFETY I POLICE PROTECTION
SUMMARY OF PERFORMANCE MEASURES
PROGRAM:
1400 -1419
Personal services consist of 64 full time employees, part-time help, community service officers
and dispatching help.
The City of Edina Police Department is called upon to perform many emergency and public
service tasks throughout the year. In 1999, the department responded to over 24,965 calls for
service which involved medicals, fires, emergencies, accidents, thefts, damage to property,
suspicious persons and vehicles, alarm responses as well as public service and educational
activities. Approximately 30% of these calls require multiple officer responses which equals
over 30,000 officer responses.
The City reports approximately 1,475 major Part I crimes such as burglary, robbery, assault,
etc., with an additional 1,144 Part II or lessor crimes also reported.
Police respond to emergency calls within 5 minutes and to non - emergency calls within 10
minutes under normal conditions.
The Police Department is also responsible for educating the public in crime prevention
techniques, investigation of all felony crimes against persons and, where warranted, other
crimes as well.
Over 80% of the Police budget is directly or indirectly spent on labor.
The Police Department operates 1,095 shifts, 7 days a week, 24 hours per day and maintains
an average patrol strength of 5.2 officers at any given time.
Explanation of Change:
$41,000 added in payroll to fund an additional dispatch position. Emergency Medical
Dispatching has increased staffing needs to handle phone calls and radio traffic while providing
emergency medical instructions until trained personnel arrive on the scene. The additional
position will allow the transfer of dispatch supervisory duties from a sworn officer to a civilian.
$7,500 added to continuing education to train police officers in how to utilize the MDTs and
computer technology becoming available to them. The officers' skills need to match the
equipment and software we are providing in order to fully utilize the improvements.
$3,000 added to teletype service to fund state mandated upgrades to Criminal Justice Data
Network, which provides stolen vehicles, warrants and criminal history information. The state
network is being replaced with a high -speed system that has expanded capabilities and the
ability to share criminal justice data in an integrated format.
CITY OF EDINA ANNUAL BUDGET PAGE - 46
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PUBLIC SAFETY I
POLICE PROTECTION
1400-1419
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
POLICE SERVICES -1400
PERSONAL SERVICES:
6010 PAYROLL
$3,064,635
$3,150,522
$3,376,796
$3,376,796
$3,565,711
6011 OVERTIME
135,428
164,441
95,000
95,000
95,000
3,200,063
3,314,963
3,471,796
3,471,796
3,660,711
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
20,804
7,188
10,185
10,185
10,490
6104 CONTINUING EDUCATION
34,569
26,879
23,000
23,000
30,500
6105 DUES & SUBSCRIPTIONS
3,135
3,285
1,600
1,600
2,338
6106 MEETING EXPENSE
652
498
1,000
1,000
1,030
6107 MILEAGE
1,433
1,882
1,000
1,000
1,030
6151 EQUIPMENT RENTAL
22,200
5,836
29,000
29,000
29,870
6160 DATA PROCESSING
35,000
19,203
60,000
60,000
61,800
6188 TELEPHONE
10,454
9,800
11,300
11,300
11,639
6201 LAUNDRY
989
255
500
500
515
6203 UNIFORM ALLOWANCE
41,078
36,397
38,135
38,135
39,279
6204 TELETYPE SERVICE
2,640
2,640
3,420
3,420
6,420
6215 EQUIPMENT MAINT.
6,133
22,480
11,000
11,000
11,330
6221 RANGE RENTAL
0
0
3,000
3,000
3,090
6230 SERVICE CONTR. - EQUIP.
30,171
49,449
33,738
33,738
34,750
209,258
185,792
226,878
226,878
244,081
COMMODITIES:
6405 BOOKS AND PAMPHLETS
1,436
1,563
2,460
2,460
2,460
6406 GENERAL SUPPLIES
16,615
13,131
10,181
10,181
25,000
6408 PHOTOGRAPHIC SUPPLIES
3,124
3,384
2,985
2,985
2,985
6510 FIRST AID SUPPLIES
271
120
812
812
812
6513 OFFICE SUPPLIES
3,682
3,055
2,498
2,498
2,498
6514 INSPECTION EXPENSES
549
953
1,030
1,030
1,030
6551 AMMUNITION
13,418
10,930
8,658
8,658
8,689
6553 PRISONER MEALS
167
111
515
515
515
6575 PRINTING
5,868
10,922
13,400
13,400
13,400
6610 SAFETY EQUIPMENT
587
6,479
1,704
1,704
3,000
$45,717
$50,648
$44,243
$44,243
$60,389
CITY OF EDINA ANNUAL BUDGET PAGE-47
FUND: FUNCTION: AREA: PROGRAM:
GENERAL I PUBLIC SAFETY I POLICE PROTECTION 1 1400-1419
SUMMARY OF PERFORMANCE MEASURES
Total Police Budget
Reserve Program -1419:
2000 2001
$5,189,609 $5,496,396
of
D. to 170
The reserve program is comprised of the Senior Police Reserve (10 members), Explorer Post
925 (20 members), and the Edina Police Reserve (12 members).
Senior Police Reserves perform 440 hours of contract work ranging from crime prevention to
personnel recruiting.
Explorer Post 925 contributes approximately 700 hours of public services to various community
events and programs. This is a result of career orientation and training provided by the Police
Department.
The Edina Police Reserve serves the community in excess of 1,400 hours annually. They
perform work during special events and provide non - emergency service work and patrol.
CITY OF EDINA ANNUAL BUDGET
PAGE - 48
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PUBLIC SAFETY I
POLICE PROTECTION
1400-1419
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
CENTRAL SERVICES:
6803 GENERAL
$838,152
$869,496
$819,156
$819,156
$909,180
6804 CITY HALL
51,156
52,368
75,720
75,720
78,012
6808 EQUIPMENT OPERATION
212,004
220,296
232,452
232,452
245,292
1,232,484
1,101,312
1,142,160
1,127,328
1,127,328
EQUIPMENT:
6710 REPLACEMENT
294,087
263,509
296,617
296,617
275,697
275,697
294,087
263,509
296,617
296,617
TOTAL POLICE SERVICES
$4,850,437
$4,957,072
$5,166,862
$5,166,862
$5,473,362
RESERVE PROGRAM -1419
CONTRACTUAL SERVICES:
6102 CONTRACTUAL SERVICES
$13,200
$12,200
$13,200
$13,200
13,200
6104 CONTINUING EDUCATION
2,187
4,890
3,300
3,300
3,400
6106 MEETING EXPENSE
53
72
1,100
1,100
1,133
6203 UNIFORM ALLOWANCE
5,956
4,239
4,237
4,237
4,364
21,396
21,401
21,837
21,837
22,097
COMMODITIES:
6406 GENERAL SUPPLIES
1,104
658
334
334
344
EQUIPMENT:
6710 REPLACEMENT
0
0
576
576
593
TOTAL RESERVE PROGRAM
$22,500
$22,059
$22,747
$22,747
$23,034
TOTAL POLICE PROTECTION
$4,872,937
$4,979,131
$5,189,609
$5,189,609
$5,496,396
CITY OF EDINA ANNUAL BUDGET PAGE-49
FUND: FUNCTION: AREA: PROGRAM:
GENERAL I PUBLIC SAFETY I CIVILIAN DEFENSE 1 1460
SUMMARY OF PERFORMANCE MEASURES
Civilian Defense -1460:
Personal services consist of '/d the time of the police chief. This is a cumulative estimate of
Police department time of the Director, Coordinator, and administrative specialists.
The objective of the Civilian Defense program is to prepare the community for disasters or
emergencies - natural or man -made. This is accomplished by compliance with Federal, State
and County guidelines for emergency preparedness planning.
Action plans are developed and practiced at the City level. This activity, coupled with 10
outdoor warning sirens, ensures the operation of government and maintenance of emergency
services during disasters.
2000 2001 %
Total Civilian Defense Budget $40,521 $41,764 3.07%
CITY OF EDINA ANNUAL BUDGET PAGE - 50
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PUBLIC SAFETY
CIVILIAN DEFENSE
1460
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
PERSONAL SERVICES:
6010 PAYROLL
$22,531
$24,925
$23,466
$23,466
$24,215
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
0
110
1,030
1,030
1,060
6104 CONTINUING EDUCATION
550
474
1,065
1,065
1,097
6105 DUES & SUBSCRIPTIONS
75
145
105
105
108
6180 CONTRACTED REPAIRS
0
378
515
515
514
6185 LIGHT AND POWER
595
795
695
695
716
6230 SERVICE CONTRACTS
3,452
5,310
4,755
4,755
4,898
4,672
7,212
8,165
8,165
8,393
COMMODITIES:
6406 GENERAL SUPPLIES
51
1,338
1,216
1,216
1,252
EQUIPMENT:
6710 REPLACEMENT
0
0
7,674
7,674
7,904
TOTAL CIVILIAN DEFENSE
$27,254
$33,475
$40,521
$40,521
$41,764
CITY OF EDINA ANNUAL BUDGET PAGE - 51
FUND: FUNCTION: AREA: PROGRAM:
GENERAL PUBLIC SAFETY ANIMAL CONTROL 1450
SUMMARY OF PERFORMANCE MEASURES
Animal Control -1450:
Personal services consist of 1 full time person.
Animal control is provided 12 hours per day by augmenting one Animal Control Officer with
CSOs responding to calls for service.
Animal control is a function of the Police Department. The Animal Control Officer is responsible
for the enforcement of the City's animal - related ordinances and also assists City residents with
animal control problems, both wild and domestic. Approximately 3,000 calls for service are
responded to annually.
Priorities for animal control are the safety and protection of persons, the well -being of the City's
animal population, and the protection of property.
2000 2001 %
Total Animal Control Budget $67,925 $77,458 14.03%
CITY OF EDINA ANNUAL BUDGET
PAGE - 52
FUND:
FUNCTION:
I
AREA:
PROGRAM:
GENERAL
PUBLIC SAFETY
ANIMAL CONTROL
1450
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
PERSONAL SERVICES:
6010 PAYROLL
$30,255
$34,288
$38,692
$38,692
$40,477
6011 OVERTIME
395
483
1,550
1,550
1,600
42,077
30,650
34,771
40,242
40,242
CONTRACTUAL SERVICES:
6104 CONTINUING EDUCATION
0
30
770
770
770
6217 KENNEL SERVICES
6,210
11,148
6,401
6,401
6,593
6,210
11,178
7,171
7,171
7,363
COMMODITIES:
6406 GENERAL SUPPLIES
927
504
3,478
3,478
3,582
CENTRAL SERVICES:
6803 GENERAL
10,800
11,220
7,524
7,524
14,556
6808 EQUIPMENT OPERATION
2,880
3,000
3,168
3,168
3,348
13,680
14,220
10,692
10,692
17,904
EQUIPMENT:
6710 REPLACEMENT
0
22,901
6,342
6,342
6,532
TOTAL ANIMAL CONTROL
$51,467
$83,574
$67,925
$67,925
$77,458
CITY OF EDINA ANNUAL BUDGET PAGE - 53
FUND: FUNCTION: AREA: PROGRAM:
GENERAL PUBLIC SAFETY FIRE PROTECTION 1470
SUMMARY OF PERFORMANCE MEASURES
Fire Protection -1470:
Personal services consist of 31 full time personnel, 1 part time position and 15 volunteer
firefighters.
Services are provided in 5 primary areas; fire suppression, special operations, emergency
medical services, fire prevention, and public information.
The primary purpose of fire suppression and special operations is to provide an immediate
response to protect lives, property and the environment from exposure to natural, industrial and
environmental hazards. Response should place a fire or emergency unit on the scene within 8
minutes at least 90% of the time. Typical actions are search, rescue, and removal of persons in
immediate danger, interior fire attack to stop the fire development, exterior fire streams to
prevent fire extension, fire extinguishment and control. Also necessary actions and measures
to minimize property damage by smoke, water, weather and release of hazardous or toxic
materials. Equipment consists of 3 pumpers, 1 aerial tower and various support vehicles. In
1999, 1,131 fire responses included fires, hazardous conditions, and public service emergency
calls.
The purpose of Emergency Medical Services (EMS) is to provide immediate and advanced life
support actions to meet the community's emergency medical needs. Response should place
an ambulance on the scene within 6 minutes at least 90% of the time. Equipment consists of 3
Advanced Life Support (ALS) paramedic ambulances and one ALS pumper. Services provide
both immediate emergency care and transportation to metro -area hospitals. Paramedics are
cross - trained as firefighters, and all firefighters are cross - trained to emergency medical
technician level. Emergency medical services also include public information activities to
prevent and best prepare citizens for emergency medical situations. In 1999, medical calls
totaled 2,812, up 4.4 % from 1998. The long term trend in medical emergency calls is upward.
The goal of fire prevention activities is three -fold: first, to prevent fire ignition whenever possible,
second, when fires do occur, to minimize fire impact on lives and property, and finally
information management to allow us to forecast needs in the areas of built fire protection
systems, operational support and program development. Strategies for action include fire
detection, automatic suppression, structural compartmentalization, building access and site
controls. Prevention information emphasizes citizen survival by teaching proven fire safety
techniques. All Fire Department personnel are involved in public information programs and
building inspection activities. Fire inspectors typically make the specialized permit and approval
inspections.
CITY OF EDINA ANNUAL BUDGET
PAGE - 54
FUND:
FUNCTION:
I
AREA:
PROGRAM:
GENERAL
PUBLIC SAFETY
FIRE PROTECTION7
1470
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
PERSONAL SERVICES:
6010 PAYROLL
$1,632,013
$1,683,043
$1,837,265
$1,837,265
$1,880,000
6011 OVERTIME
307,572
267,415
359,487
359,487
340,000
1,939,585
1,950,458
2,196,752
2,196,752
2,220,000
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
22,023
78,641
72,405
72,405
74,000
6104 CONTINUING EDUCATION
6,807
11,388
15,750
15,750
20,250
6105 DUES & SUBSCRIPTIONS
1,221
1,697
1,050
1,050
1,600
6106 MEETING EXPENSE
177
378
525
525
500
6107 MILEAGE
739
88
240
240
200
6151 EQUIPMENT RENTAL
6,446
4,979
3,300
3,300
5,500
6160 DATA PROCESSING
5,000
15,150
15,450
15,450
15,500
6175 PHYSICAL EXAMINATION
0
1,595
0
0
2,000
6180 CONTRACTED REPAIRS
17,245
45,046
23,500
23,500
35,000
6182 RUBBISH REMOVAL
1,226
1,260
1,050
1,050
1,300
6185 LIGHT AND POWER
8,794
9,198
8,460
8,460
9,200
6186 HEAT
8,064
7,627
14,175
14,175
9,000
6188 CELL PHONE
4,886
3,978
1,530
1,530
4,200
6189 SEWER AND WATER
1,169
1,221
1,220
1,220
1,300
6201 LAUNDRY
2,702
3,257
3,050
3,050
3,300
6203 UNIFORM ALLOWANCE
19,476
16,117
14,280
14,280
0
6215 PREVENTATIVE MAINT.
10,814
10,557
6,120
6,120
11,000
6260 LICENSES AND PERMITS
44
461
210
210
400
116,833
212,638
182,315
182,315
194,250
COMMODITIES:
6405 BOOKS AND PAMPHLETS
991
1,555
1,000
1,000
1,700
6406 GENERAL SUPPLIES
28,274
73,609
15,450
15,450
45,000
6408 PHOTOGRAPHIC SUPPL.
560
891
950
950
900
6510 FIRST AID SUPPLIES
31,737
37,124
20,250
20,250
45,000
6511 CLEANING SUPPLIES
2,261
544
850
850
800
6513 OFFICE SUPPLIES
956
3,200
850
850
1,500
6530 REPAIR PARTS
4,882
7,592
2,370
2,370
6,000
6550 HAZARDOUS MATERIALS
1,048
1,428
1,990
1,990
500
6552 PROTECTIVE CLOTHING
1,892
8,795
4,000
4,000
5,000
6556 TOOLS
1,225
1,435
1,000
1,000
1,500
6557 FIREFIGHTING FOAM
0
0
0
0
800
6558 FIRE UNIFORMS
0
0
0
0
12,000
6579 TRAINING AIDS
4,072
2,541
2,200
2,200
2,220
6614 FIRE PREVENTION
594
1,558
1,500
1,500
1,500
$78,492
$140,272
$52,410
$52,410
$124,420
CITY OF EDINA ANNUAL BUDGET PAGE - 55
FUND: FUNCTION: AREA: PROGRAM:
GENERAL PUBLIC SAFETY FIRE PROTECTION 1470
SUMMARY OF PERFORMANCE MEASURES
Explanation of Change:
$54,207 plus benefits have been added for an additional Paramedic /Firefighter to provide
additional staffing for Fire Station #2.
$30,000 has been subtracted from the Overtime budget due to the increase in staff.
$ 4,500 has been added to the Continuing Education budget to meet the rising cost
of training requirements.
The line item budget numbers have been adjusted to more accurately reflect the
Actual expenditures.
Total Fire Budget
2000 2001
$3,153,109 $3,328,585
5.57%
CITY OF EDINA ANNUAL BUDGET PAGE - 56
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PUBLIC SAFETY I
FIRE PROTECTION
1470
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
CENTRAL SERVICES:
6803 GENERAL
$462,396
$478,800
$473,292
$473,292
$531,816
6808 EQUIPMENT OPERATION
74,280
77,208
81,468
81,468
85,968
536,676
617,784
$556,008
554,760
554,760
EQUIPMENT:
6710 REPLACEMENT
504,050
108,791
166,872
166,872
172,131
6711 NEW
26,872
8,307
0
0
0
530,922
117,098
166,872
166,872
172,131
TOTAL FIRE PROTECTION
$3,202,508
$2,976,474
$3,153,109
$3,153,109
$3,328,585
CITY OF EDINA ANNUAL BUDGET PAGE - 57
FUND:
GENERAL
Public Health - 1490:
PUBLIC SAFETY I PUBLIC HEALTH
SUMMARY OF PERFORMANCE MEASURES
Personal services consist of 3.1 full time employees and part time help in this area.
1490
The health department inspects food establishments, investigates foodborne illness reports,
inspects public swimming pools, investigates nuisance complaints, investigates housing
complaints, responds to concerns about the Minnesota Clean Indoor Air Act and provides
laboratory support for food and water analysis. The department contracts for personal public
health services such as home health care, family health, health promotion, and disease
prevention and control. The cost of the contracted services are as follows:
Home Health Care $ 110,250
Family Health 44,847
Health Promotion 16,818
Disease prevention
and Control 14,950
Total $ 186,865
The Health Department provides staff support for the Edina Community Health Services
Advisory Committee and administers the development and implementation of the Edina
Community Health Service biannual plan. The Department administers the City properties'
refuse collection contract and serves as a resource for City employees' occupational health and
safety.
In 1999, the Department performed 239 food establishment inspections, 444 swimming pool
inspections, 65 nuisance investigations, 1 Minnesota Clean Indoor Act complaint investigations,
21 housing complaint investigations and analyzed 5,028 food and water samples for 10 local
units of government,
Explanation of Change:
$5,000 was added to purchase noise monitoring equipment.
Total Public Health Budget
2000
$461,664
2001 %
$483,791 4.79%
CITY OF EDINA ANNUAL BUDGET
PAGE - 58
FUND:
FUNCTION:
I
AREA:
PROGRAM:
GENERAL
PUBLIC SAFETY
PUBLIC HEALTH
1490
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
PERSONAL SERVICES:
6010 PAYROLL
$171,559
$176,796
$192,750
$192,750
$198,526
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
173,477
181,552
182,005
182,005
186,865
6104 CONTINUING EDUCATION
2,017
1,170
1,325
1,325
1,365
6105 DUES & SUBSCRIPTIONS
613
2,125
775
775
800
6107 MILEAGE
7,826
7,585
7,765
7,765
7,998
6201 LAUNDRY
0
0
135
135
140
183,933
192,432
192,005
192,005
197,168
COMMODITIES:
6406 GENERAL SUPPLIES
553
341
3,265
3,265
3,363
6408 PHOTOGRAPHIC SUPPLIES
68
39
500
500
515
6575 PRINTING
107
54
360
360
370
728
434
4,125
4,125
4,248
CENTRAL SERVICES:
6803 GENERAL
50,069
51,840
52,464
52,464
57,720
6804 CITY HALL
3,672
3,756
3,984
3,984
4,104
6806 PUBLIC WORKS BUILDING
7,068
7,584
7,836
7,836
8,208
6808 EQUIPMENT OPERATION
2,136
2,220
2,340
2,340
2,472
62,945
65,400
66,624
66,624
72,504
EQUIPMENT:
6710 REPLACEMENT
0
2,643
6,160
6,160
11,345
TOTAL PUBLIC HEALTH
$419,165
$437,705
$461,664
$461,664
$483,791
CITY OF EDINA ANNUAL BUDGET PAGE - 59
(FUND: GENERAL I FUNCPUBLIC SAFETY AREA. INSPECTIONS PROGRAM: 1495
SUMMARY OF PERFORMANCE MEASURES
Inspections - 1495:
Personal services consist of the building official, 4% full time inspectors and 1% full time
support staff.
The Inspections Department issues 3,820 building permits per year. They also enforce the
Uniform Building Code, the State Building Code and make over 8,500 inspections per year.
The Department also issues over 1,440 plumbing permits and 1,785 mechanical permits per
year.
1999 revenue for the various permits issued was as follows:
Building Permits $ 1,372,687
Plumbing Permits 112,309
HVAC Permits 238,523
The Building Department also receives 5 to 6 complaint calls per week from residents which are
investigated promptly.
Explanation of Change:
$5,500 has been added to preserve and archive commercial plans.
$ 900 has been added for inspectors' uniforms.
Total Inspections Budget
2000 2001
$514,247 $557,453
?J.4U%
CITY OF EDINA ANNUAL BUDGET
PAGE - 60
FUND:
FUNCTION:
I
AREA:
PROGRAM:
GENERAL
PUBLIC SAFETY
INSPECTIONS
1495
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
PERSONAL SERVICES:
6010 PAYROLL
$276,652
$290,834
$354,052
$354,052
$369,596
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
8,755
11,929
13,178
13,178
13,573
6104 CONTINUING EDUCATION
1,418
1,229
3,029
3,029
2,500
6105 DUES & SUBSCRIPTIONS
85
195
715
715
650
6107 MILEAGE
3,213
2,604
3,182
3,182
3,277
6136 PLAN MANAGEMENT
0
0
0
0
5,500
6160 DATA PROCESSING
0
6,186
21,156
21,156
21,790
6188 TELEPHONE
1,465
2,128
1,754
1,754
0
14,936
24,271
43,014
43,014
47,290
COMMODITIES:
6405 BOOKS AND PAMPHLETS
737
647
658
658
677
6406 GENERAL SUPPLIES
2,032
1,977
1,153
1,153
1,893
6558 UNIFORMS
0
0
0
0
900
6575 PRINTING
2,514
3,884
2,856
2,856
2,941
5,283
6,508
4,667
4,667
6,411
CENTRAL SERVICES:
6803 GENERAL
71,208
75,504
83,052
83,052
103,632
6804 CITY HALL
8,268
8,460
7,980
7,980
8,220
6808 EQUIPMENT OPERATION
6,624
6,888
7,272
7,272
7,668
86,100
90,852
98,304
98,304
119,520
EQUIPMENT:
6710 REPLACEMENT
12,564
34,883
14,210
14,210
14,636
TOTAL INSPECTIONS
$395,535
$447,348
$514,247
$514,247
$557,453
o e
�pi o
Park &Recreation
Park Recreation Overview
Maintenar
70.6%
Park & Recreation
Distribution by Area
Administration
3.1%
Park & Recreation
Distribution by Expenditure
Recreation
6.3%
Central Services
21.5%
Equipment
4 `
4.1%
Salaries
Commoditiess
54.1%
7.7%
r �
Contractual
Services
12.7%
CITY OF EDINA ANNUAL BUDGET PAGE - 61
FUND: FUNCTION: AREA: PROGRAM:
GENERAL I PARK & RECREATION I ADMINISTRATION 1 1600
SUMMARY OF PERFORMANCE MEASURES
Park Administration -1600:
Personal services consist of 7 full time employees and occasional seasonal part time help in
this area. The seven full time positions include:
1. Director
2. Assistant Director
3. Recreation Supervisor
4. Adaptive Recreation Supervisor
5. Senior Citizen Director
6. Office Coordinator
7. Secretary
Responsibility is to administer and maintain the entire Park and Recreation Department
including: 39 parks totaling 1,552 acres of park property, revenue facilities (Golf Courses,
Arena, Aquatic Center, Art Center, Edinborough Park, and Centennial Lakes Park),
administering and programming a Senior Citizen's Center, adaptive recreation program,
administering and scheduling adult and youth recreational programs and thirteen athletic
associations (Edina Baseball Association, Edina Basketball Association, Edina Girls' Athletic
Association, Edina Girls Traveling Basketball, Edina Youth Softball Association, Edina Swim
Club, Edina Fast Pitch Softball Association, Braemar City of Lakes Figure Skating Club, Edina
Football Association, Jr. Olympic Volleyball Association, Edina Soccer Traveling Club and
Edina Soccer Association), and working closely in operation and administration of the Edina
Garden Council, the Edina Historical Society and the Edina Museum.
2000 2001 %
Total Park & Recreation Budget $2,341,074 $2,544,077 8.67%
CITY OF EDINA ANNUAL BUDGET
PAGE - 62
FUND:
FUNCTION:
I
AREA:
PROGRAM:
GENERAL
PARK & RECREATION
ADMINISTRATION
1600
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
PERSONAL SERVICES:
6010 PAYROLL
$341,591
$363,046
$395,223
$395,223
$406,825
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
5,401
6,840
5,600
5,600
5,900
6104 CONTINUING EDUCATION
3,712
2,645
3,898
3,898
4,014
6105 DUES & SUBSCRIPTIONS
1,591
1,627
1,750
1,750
1,802
6106 MEETING EXPENSES
0
0
0
0
500
6107 MILEAGE
13,470
13,447
13,874
13,874
14,570
6188 TELEPHONE
258
1,785
1,373
1,373
1,414
24,432
26,344
26,495
26,495
28,200
COMMODITIES:
6405 BOOKS & PAMPHLETS
0
0
100
100
100
6406 GENERAL SUPPLIES
1,144
2,821
1,478
1,478
1,522
6513 OFFICE SUPPLIES
495
86
528
528
543
6575 PRINTING
10,860
16,852
16,738
16,738
17,240
12,499
19,759
18,844
18,844
19,405
CENTRAL SERVICES:
6803 GENERAL
92,640
96,504
106,764
106,764
119,580
6804 CITY HALL
17,388
17,796
9,300
9,300
9,576
110,028
114,300
116,064
116,064
129,156
EQUIPMENT:
6710 REPLACEMENT
0
3,353
4,370
4,370
4,501
TOTAL ADMINISTRATION
$488,550
$526,802
$560,996
$560,996
$588,087
CITY OF EDINA ANNUAL BUDGET PAGE - 63
FUND: FUNCTION: AREA: PROGRAM:
GENERAL I PARK & RECREATION I RECREATION 1 1621-1623
SUMMARY OF PERFORMANCE MEASURES
Athletic Activities -1621:
These funds are used to assist thirteen athletic associations and all adult athletic programs in
common equipment needs. The thirteen youth athletic associations are: Edina Baseball
Association, Edina Basketball Association, Edina Girls' Athletic Association, Edina Girls'
Traveling Basketball, Edina Youth Softball Association, Edina Swim Club, Edina Fast Pitch
Softball Association, Braemar City of Lakes Figure Skating Club, Edina Football Association, Jr.
Olympic Volleyball Association, Edina Soccer Traveling Club and the Edina Soccer Association.
Outdoor Ice Rinks -1622:
These funds are used for all supervision, phone service, general supplies, and equipment for
twelve warming houses, hockey rinks, one bandy rink, and 12 general skating areas. This
consists of an 8 -week season, 7 days a week from approximately December 15 to February 15
and can stay open longer - weather permitting.
Tennis Program -1623:
These funds are used for supervision, coaching, USTA memberships, instruction and supplies
for approximately 500 tennis program registrants. The Tennis Program includes lessons for
students ages 5 -adult taught by USTA trained tennis instructors, a six week Team Tennis
League, which competes against tennis teams from surrounding communities and a Summer
Classic Tennis Tournaments (adult and youth) in early August.
CITY OF EDINA ANNUAL BUDGET
PAGE - 64
FUND:
FUNCTION:
AREA:
7
PROGRAM:
GENERAL
PARK & RECREATION
RECREATION
1621-1623
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
ATHLETIC ACTIVITIES -1621
PERSONAL SERVICES:
6013 PAYROLL
$2,452
$1,168
$2,652
$2,652
$2,731
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
251
793
232
232
250
250
251
793
232
232
COMMODITIES:
6406 GENERAL SUPPLIES
8,321
8,169
6,759
6,759
6,000
TOTAL ATHLETIC ACTIVITIES
$11,024
$10,130
$9,643
$9,643
$8,981
SKATING & HOCKEY -1622
PERSONAL SERVICES:
6013 PAYROLL
$26,514
$30,164
$35,009
$35,009
$36,060
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
0
75
204
204
200
6188 TELEPHONE
5,133
3,877
7,188
7,188
6,400
5,133
3,952
7,392
7,392
6,600
COMMODITIES:
6406 GENERAL SUPPLIES
902
825
766
766
1,500
TOTAL SKATING & HOCKEY
$32,549
$34,941
$43,167
$43,167
$44,160
TENNIS INSTRUCTION -1623
PERSONAL SERVICES:
6013 PAYROLL
$12,994
$15,556
$9,633
$9,633
$9,922
COMMODITIES:
6406 GENERAL SUPPLIES
5,699
3,667
4,080
4,080
4,080
TOTAL TENNIS INSTRUCTION
$18,693
$19,223
$13,713
$13,713
$14,002
CITY OF EDINA ANNUAL BUDGET PAGE -65
FUND: FUNCTION: AREA: PROGRAM:
GENERAL PARK & RECREATION RECREATION 1624-1627
SUMMARY OF PERFORMANCE MEASURES
Playground Program, Family Jamboree Special Event, FAB 4 and 5, Nature Camp, Firearms
Safety Class and Fishing Clinic —1624:
These funds are used for the implementation of the summer Playground Program, which is a
six -week program offered at 13 different parks open to children ages 6 to 10. These funds are
also used for the annual Family Jamboree Special Event, which is an evening of family
entertainment at Rosland Park, featuring games, entertainment, refreshments and family fun.
This also funds the FAB 4 and 5 Program, which is a summer recreation program for 4 and 5
year -olds that offers weekly themes designed to foster a child's creativity, imagination and
curiosity. Each week offers a new adventure filled with crafts, stories, songs and other age -
appropriate creative activities. It also funds a Nature Camp Program, which is a four -day
(daytime only) nature camp at Rosland Park where 6 -10 year old day- campers discover the
world of nature. They can learn about insects, look for bird nests, go fishing, search for pet
rocks, participate in a nature scavenger hunt and swim at the Aquatic Center on the fourth day.
Also included in this budget is a one day 4 -hour fishing clinic at Rosland Park for youth 6 years
of age and older. Kids get a fishing starter tackle box, learn the basics of catching fish and
have fun fishing from the new fishing pier on Lake Cornelia. The Firearms Safety Training
classes are sponsored by the Minnesota Department of Natural Resources. Classes are taught
by certified trained instructors at the Arneson Acres Park Terrace Room.
Explanation of Change:
$6,400 has been added for 3 new self- supporting recreation programs: FAB 4 & 5, Nature Camp,
and Fishing Clinic. All expenses will be covered by revenues. Of the $6,400 in expenses, $2,000
is part-time staff payroll and $4,400 in materials.
$1,000 has been added in expenses expected for playground staff wages in order to recruit
quality staff and remain competitive in the tight labor market.
Recreation Participant Programs:
Revenues for the tennis instruction program and the playground program are all based on
increases and decreases depending on the number of participants in each program:
Program 1997 1998 1999 2000
Tennis Instruction 471 525 530 562
Playground 426 455 461 614
Miscellaneous and Special Activities —1627
These funds are used for miscellaneous special projects and equipment such as the 4th of JUIy
Parade, picnic recreation kits, studies, dedications and grand openings.
CITY OF EDINA ANNUAL BUDGET
PAGE - 66
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PARK & RECREATION
RECREATION
1624 -1627
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
PLAYGROUND & FAMILY
JAMBOREE -1624
PERSONAL SERVICES:
6013 PAYROLL
$14,054
$18,923
$20,679
$20,679
$25,440
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
100
1,736
1,816
1,816
1,870
6107 MILEAGE
350
305
357
357
367
2,237
450
2,041
2,173
2,173
COMMODITIES:
6406 GENERAL SUPPLIES
6,129
3,819
5,963
5,963
8,542
TOTAL PLAYGROUND & FAMILY
JAMBOREEE
$20,633
$24,783
$28,815
$28,815
$36,219
MISCELLANEOUS & SPECIAL
ACTIVITIES -1627
PERSONAL SERVICES:
6013 PAYROLL
$1,990
$1,682
$1,591
$1,591
$1,640
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
2,362
724
633
633
700
COMMODITIES:
6406 GENERAL SUPPLIES
4,152
6,955
2,957
2,957
3,050
6408 PHOTOGRAPHIC SUPPLIES
0
0
105
105
100
4,152
6,955
3,062
3,062
3,150
TOTAL MISCELLANEOUS &
SPECIAL ACTIVITIES
$8,504
$9,361
$5,286
$5,286
$5,490
CITY OF EDINA ANNUAL BUDGET PAGE - 67
FUND: FUNCTION: AREA: PROGRAM:
GENERAL PARK & RECREATION RECREATION 1628 -1629
SUMMARY OF PERFORMANCE MEASURES
Senior Citizens - 1628:
These funds are used for part-time personnel, office equipment and supplies, printing, mailings
and general supplies for the Senior Citizen's Center.
Adaptive Recreation -1629:
The adaptive recreation budget provides part-time seasonal staff for adaptive programs and
inclusion services for children with disabilities in Edina programs who need a 1:1 staff person or
Edina residents who receive inclusion services into programs in the other 3 cities (Richfield,
Eden Prairie, and Bloomington) in our joint powers agreement, Adaptive Recreation /Learning
Exchange (ARLE). It also includes professional services, which pay for sign language
interpreters, a band for the summer dance, and other miscellaneous staff expenses. General
supplies cover all adaptive equipment and supplies for the variety of inclusion and adaptive
recreation programs held year round for youth and adults with disabilities.
CITY OF EDINA ANNUAL BUDGET
PAGE - 68
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PARK &RECREATION
RECREATION
1628-1629
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
SENIOR CITIZENS -1628
PERSONAL SERVICES:
6013 PAYROLL
$17,400
$13,425
$12,731
$12,731
$14,241
CONTRACTUAL SERVICES:
6188 TELEPHONE
592
396
2,091
2,091
1,100
COMMODITIES:
6406 GENERAL SUPPLIES
6,573
8,469
527
527
542
6575 PRINTING
0
0
6,759
6,759
6,961
6,573
8,469
7,286
7,286
7,503
TOTAL SENIOR CITIZENS
$24,565
$22,290
$22,108
$22,108
$22,844
ADAPTIVE RECREATION -1629
PERSONAL SERVICES:
6013 PAYROLL
$17,548
$14,506
$16,840
$16,840
$17,345
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
3,709
5,661
6,257
6,257
6,445
COMMODITIES:
6405 BOOKS & PAMPHLETS
0
28
102
102
100
6406 GENERAL SUPPLIES
3,760
1,893
1,530
1,530
1,639
6575 PRINTING
2,214
1,933
1,938
1,938
1,938
5,974
3,854
3,570
3,570
3,677
TOTAL ADAPTIVE RECREATION
$27,231
$24,021
$26,667
$26,667
$27,467
TOTAL RECREATION
$143,199
$144,749
$149,399
$149,399
$159,163
CITY OF EDINA ANNUAL BUDGET PAGE - 69
FUND: FUNCTION: AREA. PROGRAM:
GENERAL I PARK & RECREATION I PARK MAINTENANCE
SUMMARY OF PERFORMANCE MEASURES
Park Maintenance
Payroll Distribution
Park maintenance consists of 17 personnel which include the following positions:
1 Superintendent
1 Foreman
*14 Park Maintenance Staff
1 Janitor
1 Contract Forester (part-time year round)
1 Contract Weed Inspector (part-time seasonal)
* Note: One of the 14 Park Maintenance Staff is a reinstated full -time vacancy since 1990.
General Maintenance
$101,140
Charged to Other Funds:
Mowing
108,923
City Hall
$9,123
Field Maintenance
133,403
Art Center
2,121
General Turf Care
83,739
Weed & Tree Assmt
2,366
Forestry
111,865
Pool
4,243
Litter Removal
17,791
Building Maintenance
139,242
Total Park Maint. Payroll
$881,046
Paths & Hard Surfaces
Maintenance
18,215
Skating Rink Maintenance
148,875
$863,193
Explanation of Change:
$50,000 has been added to fund a Park Maintenance position.
$30,000 has been added to fully fund the career development program.
CITY OF EDINA ANNUAL BUDGET PAGE - 70
GENERAL I PARK & RECREATION I PARK MAINTENANCE
SUMMARY OF PERFORMANCE MEASURES
This page is intentionally left blank.
CITY OF EDINA ANNUAL BUDGET PAGE - 71
FUND: FUNCTION: AREA: PROGRAM:
GENERAL I PARK & RECREATION I MAINTENANCE 1640-1641
SUMMARY OF PERFORMANCE MEASURES
General Maintenance - 1640:
This account handles the paid leave, training and equipment maintenance for the park
maintenance programs. Paid leave includes sick, vacation, and holiday pay.
Mowing -1641:
Funds from this account are used for maintenance of all manicured grass areas consisting of
422 different areas all mowed and maintained with a minimum of 10 days between cuttings. All
scheduled athletic fields are maintained every 5 working days.
CITY OF EDINA ANNUAL BUDGET PAGE - 72
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PARK & RECREATION
MAINTENANCE
1640-1641
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
GENERAL MAINTENANCE -1640
PERSONAL SERVICES:
6010 PAYROLL
$91,670
$88,384
$90,752
$90,752
$101,140
CONTRACTUAL SERVICES:
6104 CONTINUING EDUCATION
553
2,115
3,379
3,379
4,480
6188 TELEPHONE
2,105
2,334
3,379
3,379
3,480
2,658
4,449
6,758
6,758
7,960
CENTRAL SERVICES:
6803 GENERAL
221,700
229,212
192,888
192,888
216,036
6806 PUBLIC WORKS BUILDING
20,556
22,008
22,764
22,764
23,844
6808 EQUIPMENT OPERATION
153,636
159,636
168,624
168,624
177,936
395,892
410,856
384,276
384,276
417,816
TOTAL GENERAL MAINTENANCE
$490,220
$503,689
$481,786
$481,786
$526,916
MOWING -1641
PERSONAL SERVICES:
6010 PAYROLL
$64,460
$92,029
$98,020
$98,020
$108,923
COMMODITIES:
6406 GENERAL SUPPLIES
1,377
3,131
1,478
1,478
1,522
TOTAL MOWING
$65,837
$95,160
$99,498
$99,498
$110,445
CITY OF EDINA ANNUAL BUDGET PAGE - 73
FUND: FUNCTION: AREA: PROGRAM:
GENERAL PARK & RECREATION MAINTENANCE 1 1642-1643
SUMMARY OF PERFORMANCE MEASURES
Field Maintenance -1642:
All sports fields are specially prepared for scheduled games. These fields are dragged and
field lined with a chalk material. A special mixture (agricultural lime) is used each spring for
filling holes and regrading is done as needed during the playing season. All of the field areas
are fertilized each year and the grass is treated with herbicides. The grassy playing surfaces in
all of these parks are aerated, seeded and /or sodded when necessary to maintain safe ground
cover.
This account is supplemented by a $7 field use fee from participants. In 1998, $43,258 was
contributed from the activities listed below. $53,866 was contributed in 1999. This amount was
paid by the following groups:
Activity
Adult Soccer
Adult Baseball
Adult Softball
Edina Baseball Association
EGAA Flag Football
Edina Youth Softball Association
Edina Girls Fast Pitch Softball
Edina Soccer Assoc. & Soccer Club
Edina Football Association
Miscellaneous Field Rentals
Total
General Turf Care -1643:
1998
$1,470
220
8,400
6,000
894
3,618
360
16,890
3,940
1,466
$43,258
1999
$1,650
200
9,300
9,500
1,032
3,546
360
17,075
7,876
3,327
$53,866
The funds in this program provide for all city properties and general park maintenance. This
includes the contracted spraying of weeds (dandelions) twice a year in areas that are in keeping
with Edina's Turf Management Plan.
CITY OF EDINA ANNUAL BUDGET
PAGE - 74
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PARK & RECREATION I
MAINTENANCE
1642-1643
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
FIELD MAINTENANCE -1642
PERSONAL SERVICES:
6010 PAYROLL
$116,503
$147,482
$107,107
$107,107
$131,273
6011 OVERTIME
0
0
0
0
2,130
116,503
147,482
107,107
107,107
133,403
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
415
23,149
580
580
597
6180 CONTRACTED REPAIRS
1,875
730
580
580
597
2,290
23,879
1,160
1,160
1,194
COMMODITIES:
6406 GENERAL SUPPLIES
5,620
10,246
5,281
5,281
5,439
6540 FERTILIZER
4,550
1,744
1,795
1,795
1,849
6542 INFIELD MIXTURE
7,791
4,930
1,584
1,584
1,631
6544 LINE MARKING POWDER
5,537
6,168
3,696
3,696
3,806
6546 WEED SPRAY
0
0
528
528
544
6547 SEED
3,535
1,374
1,689
1,689
1,740
27,033
24,462
14,573
14,573
15,009
TOTAL FIELD MAINTENANCE
$145,826
$195,823
$122,840
$122,840
$147,476
GENERAL TURF CARE -1643
PERSONAL SERVICES:
6010 PAYROLL
$49,748
$65,851
$62,571
$62,571
$81,412
6011 OVERTIME
349
2,556
2,122
2,122
2,327
50,097
68,407
64,693
64,693
83,739
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
2,099
4,072
10,771
10,771
11,094
6180 CONTRACTED REPAIRS
342
0
5,492
5,492
5,656
6260 LICENSES AND PERMITS
130
219
211
211
217
2,571
4,291
16,474
16,474
16,967
COMMODITIES:
6406 GENERAL SUPPLIES
2,187
2,572
3,273
3,273
3,371
6517 SAND, GRAVEL, & ROCK
0
0
1,162
1,162
1,196
6540 FERTILIZER
2,593
3,120
4,435
4,435
4,568
6543 SOD & BLACK DIRT
3,049
2,275
2,217
2,217
2,283
6546 WEED SPRAY
2,045
2,133
4,224
4,224
4,350
6547 SEED
2,104
1,829
6,336
6,336
6,526
11,978
11,929
21,647
21,647
22,294
TOTAL GENERAL TURF CARE
$64,646
$84,627
$102,814
$102,814
$123,000
CITY OF EDINA ANNUAL BUDGET PAGE - 75
FUND: FUNCTION: AREA: PROGRAM:
GENERAL PARK & RECREATION MAINTENANCE 1644-1645
SUMMARY OF PERFORMANCE MEASURES
Forestry -1644:
These funds are used to administer a comprehensive park and boulevard forestry program plus
removal of diseased trees on private properties. This account includes contracted tree removal
and stump removal of all trees that are diseased (diseased trees on private properties are
contracted for removal only when necessary). This account provides for maintenance of tree
trimming on boulevard and park trees as well as contractual oak wilt disease identification,
control and prevention program. All boulevard tree trimming and removal is assessed to the
property owner. It also includes approximately $5,000 for planting new park trees and
shrubbery throughout the park system.
Litter Removal -1645:
These funds are used for maintenance and removal of all trash from 39 park areas on a daily
basis in season or a weekly basis throughout the year. This also includes the purchase of trash
containers.
CITY OF EDINA ANNUAL BUDGET PAGE - 76
FUND:
FUNCTION:
AREA:
--pl644-1645
PROGRAM:
GENERAL
PARK & RECREATION
MAINTENANCE
SUMMARY OF EXPENDITURES
1998
1999
2000
20001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
FORESTRY -1644
PERSONAL SERVICES:
6010 PAYROLL
$75,334
$88,360
$95,298
$95,298
$106,045
6011 OVERTIME
1,376
3,435
5,305
5,305
5,820
76,710
91,795
100,603
100,603
111,865
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
16,419
15,116
14,257
14,257
14,685
6107 MILEAGE OR ALLOWANCE
1,779
1,578
1,795
1,795
1,849
6180 CONTRACTED REPAIRS
114
1,978
11,722
11,722
12,074
6182 RUBBISH REMOVAL
6,982
13,551
13,306
13,306
13,705
25,294
32,223
41,080
41,080
42,313
COMMODITIES:
6406 GENERAL SUPPLIES
3,208
2,531
1,901
1,901
1,958
6541 PLANTING & TREES
8,185
6,586
8,871
8,871
9,137
6543 SOD & BLACK DIRT
349
1,161
6,547
6,547
6,743
6556 TOOLS
1,922
151
2,112
2,112
2,175
13,664
10,429
19,431
19,431
20,013
TOTAL FORESTRY
$115,668
$134,447
$161,114
$161,114
$174,191
LITTER REMOVAL -1645
PERSONAL SERVICES:
6010 PAYROLL
$10,528
$10,990
$15,192
$15,192
$17,791
CONTRACTUAL SERVICES:
6182 RUBBISH REMOVAL
2,807
3,250
6,652
6,652
6,851
COMMODITIES:
6406 GENERAL SUPPLIES
1,427
6,190
7,603
7,603
7,831
TOTAL LITTER REMOVAL
$14,762
$20,430
$29,447
$29,447
$32,473
CITY OF EDINA ANNUAL BUDGET PAGE - 77
FUND: FUNCTION: AREA: PROGRAM:
GENERAL PARK & RECREATION MAINTENANCE 1646
SUMMARY OF PERFORMANCE MEASURES
Building Maintenance -1646:
These funds are used for the maintenance, repair, and cleaning of 26 buildings in the park
system. These funds are also used for the upkeep and new construction of 10 hockey rinks in
the park system.
Buildings Maintained:
1.
Arden Park Shelter
14.
Highlands Park Shelter
2.
Arneson Gazebo
15.
Lewis Park Shelter
3.
Arneson Greenhouse
16.
Normandale Park Shelter
4.
Arneson Historical House
17.
Pamela Park Shelter
5.
Braemar Complex
18.
Rosland Park Picnic Shelter
6.
Bredesen Comfort Station
19.
Rosland Park Comfort Station
7.
Cahill School Building
20.
Strachauer Park Shelter
8.
Chowen Picnic Shelter
21.
Todd Park Shelter
9.
Cornelia School Park Shelter
22.
Wooddale Picnic Shelter
10.
Countryside Park Shelter
23.
Utley Park Restrooms
11.
Creek Valley Park Shelter
24.
Van Valkenburg Complex
12.
Garden Comfort Station
25.
Walnut Ridge Park Shelter
13.
Grange Hall
26.
Weber Park Shelter
CITY OF EDINA ANNUAL BUDGET PAGE - 78
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PARK & RECREATION
MAINTENANCE
1646
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
BUILDING MAINTENANCE -1646
PERSONAL SERVICES:
6010 PAYROLL
$123,549
$152,654
$127,396
$127,396
$139,242
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
13,456
14,794
4,080
4,080
4,202
6180 CONTRACTED REPAIRS
4,103
19,052
5,692
5,692
5,862
6185 LIGHT & POWER
84,177
88,132
83,612
83,612
86,120
6186 HEAT
13,140
19,858
27,440
27,440
28,263
6188 TELEPHONE
5,026
5,013
10,200
10,200
10,506
6201 LAUNDRY
10,143
8,042
11,388
11,388
11,729
130,045
154,891
142,412
142,412
146,682
COMMODITIES:
6406 GENERAL SUPPLIES
35,063
25,929
24,741
24,741
25,483
6530 REPAIR PARTS
6,800
3,403
15,012
15,012
9,800
6556 TOOLS
5,076
5,456
5,177
5,177
5,882
6577 LUMBER
5,235
3,101
9,422
9,422
9,704
6578 LAMPS & FIXTURES
3,084
5,170
1,035
1,035
6,200
6610 SAFETY EQUIPMENT
0
0
4,762
4,762
4,904
55,258
43,059
60,149
60,149
61,973
TOTAL BUILDING MAINTENANCE
$308,852
$350,604
$329,957
$329,957
$347,897
CITY OF EDINA ANNUAL BUDGET PAGE - 79
FUND: FUNCTION: A
PROGRA
GENERAL PARK & RECEREATION MAINTENANCE 1647 -1650
SUMMARY OF PERFORMANCE MEASURES
Paths, Hard Surfaces, Hockey Rinks, & Park Amenities Maintenance -1647:
These funds are used for the maintenance of all hard surface areas within the park system.
This includes the resurfacing of 26 tennis courts, resurfacing and maintaining 8 hard surface
basketball courts, and maintenance and surfacing of 10 miles of walking and bicycling paths
within the park system.
These funds are also used for the maintenance and replacement of 23 playground equipment
sites, plus park lighting, picnic tables, bleachers, tables, chairs, park benches, signs and
drinking fountains throughout Edina's 39 parks.
Skating Rink Maintenance -1648:
These funds are used for flooding and maintaining an operation of 11 hockey rinks and 12
general skating areas.
This account is supplemented by a $7 per participant user fee, which was paid by the following:
Activity
1998
1999
Edina Hockey Association
$4,788
$4,800
Adult Bandy
3,060
840
Adult 4 -Man Hockey
2,000
2,000
Adult Co -Rec Broomball
400
400
TOTAL
$10,248
$8,040
Equipment -1650:
This account provides funding for the replacement of existing Park Maintenance equipment and
for the purchase of any new additional equipment needed for maintenance of all parks.
CITY OF EDINA ANNUAL BUDGET PAGE - 80
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
PARK & RECREATION
MAINTENANCE
1647-1650
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
PATHS, HARD SURFACES, HOCKEY
RINKS & PARK AMENITIES -1647
PERSONAL SERVICES:
6010 PAYROLL
$15,847
$11,913
$15,392
$15,392
$18,215
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
11,863
60,482
52,800
52,800
54,384
COMMODITIES:
6406 GENERAL SUPPLIES
2,528
18,435
3,908
3,908
4,025
6518 BLACKTOP
3,275
827
3,168
3,168
3,263
6519 ROAD OIL
0
0
2,429
2,429
2,501
5,803
19,262
9,505
9,505
9,789
TOTAL PATHS & HARD
SURFACE MAINTENANCE
$33,513
$91,657
$77,697
$77,697
$82,388
SKATING RINK MAINT. -1648
PERSONAL SERVICES:
6010 PAYROLL
$69,757
$80,517
$109,451
$109,451
$131,695
6011 OVERTIME
13,984
12,948
15,914
15,914
17,180
83,741
93,465
125,365
125,365
148,875
COMMODITIES:
6406 GENERAL SUPPLIES
3,941
1,936
2,091
2,091
2,153
6530 REPAIR PARTS
1,356
694
1,795
1,795
1,848
5,297
2,630
3,886
3,886
4,001
TOTAL SKATING RINK MAINT.
$89,038
$96,095
$129,251
$129,251
$152,876
EQUIPMENT -1650
EQUIPMENT:
6710 REPLACEMENT
$69,084
$118,942
$96,275
$96,275
$99,165
6711 NEW
0
3,033
0
0
0
TOTAL EQUIPMENT
$69,084
$121,975
$96,275
$96,275
$99,165
TOTAL PARK MAINTENANCE
$1,397,446
$1,694,507
$1,630,679
$1,630,679
$1,796,827
Alm
o`�
H
\moo
.w r�
m
0 .a
Non"Departmental
Non- Departmental Overview
Non- Departmental
Distribution by Area
Commissions &
Special Projects
40.7%
Contingencies
16.5%
Capital Plan
q!!7
20.6%
Special
Fire Debt Service Assessments
4.9%
17.3%
Non - Departmental
Distribution by Expenditure
Equipment
25.5%
Commodities
2.6%
tractual
:rvices
1.9%
CITY OF EDINA ANNUAL BUDGET PAGE - 81
FUND: FUNCTION: AREA: PROGRAM:
GENERAL NON - DEPARTMENTAL CONTINGENCIES 1500
SUMMARY OF PERFORMANCE MEASURES
Contingencies -1500:
The contingencies budget provides for unbudgeted and unforeseen expenditures which may be
authorized during the year. It also reduces the impact of unforeseen losses of revenue which
may occur.
2000 2001 %
Total Contingencies Budget $76,500 $80,000 4.58%
CITY OF EDINA ANNUAL BUDGET PAGE - 82
FUND:
GENERAL
FUNCTION:
NON - DEPARTMENTAL I
AREA:
CONTINGENCIES
PROGRAM:
1500
SUMMARY OF EXPENDITURES
ACCT. DESCRIPTION
1998
ACTUAL
1999
ACTUAL
2000
2001
PROPOSED
ESTIMATED
BUDGETED
CONTRACTUAL SERVICES:
6103
TOTAL CONTINGENCIES
$93,766
$93,766
$94,423
$76,500
$76,500
$76,500
$76,500
$80,000
$80,000
$94,423
CITY OF EDINA ANNUAL BUDGET PAGE - 83
FUND: FUNCTION: AREA: PROGRAM:
GENERAL NON - DEPARTMENTAL CAPITAL PLAN 1503
APPROPRIATION
SUMMARY OF PERFORMANCE MEASURES
Capital Plan Appropriation -1503:
This appropriation reflects the amount the operating budget contributes to the capital plan.
Explanation of Change:
$100,000 has been added to support the City's capital plan.
2000 2001 %
Total Capital Plan Budget $0 $100,000 0
CITY OF EDINA ANNUAL BUDGET PAGE - 84
FUND:
FUNCTION:
I
AREA: CAPITAL
PROGRAM:
GENERAL
NON - DEPARTMENTAL
PLAN APPROPRIATION
1502
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
EQUIPMENT:
6711
$0
$0
$0
$0
$100,000
TOTAL CAPITAL PLAN
APPROPRIATION
$0
$0
$0
$0
$100,000
CITY OF EDINA ANNUAL BUDGET PAGE - 85
FUND: FUNCTION: AREA: PROGRAM:
GENERAL NON- DEPARTMENTAL SPECIAL ASSESSMENTS 1503
ON CITY PROPERTY
SUMMARY OF PERFORMANCE MEASURES
Special Assessments on City Property -1503:
City owned properties are subject to special assessments for various improvement projects.
This program provides funds to pay for these assessments. The budget also reflects the costs
necessary to pay for mandated truth in taxation mailing.
2000 2001 %
Total Special Assessments Budget $20,000 $24,000 20.00%
CITY OF EDINA ANNUAL BUDGET PAGE - 86
FUND:
FUNCTION:
AREA: SPECIAL
PROGRAM:
GENERAL
NON - DEPARTMENTAL
ASSESSMENTS ON CITY PROP.
1503
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
SPECIAL ASSESSMENTS:
6915
$16,449
$29,188
$20,000
$20,000
$24,000
TOTAL SPECIAL
ASSESSMENTS
$16,449
$29,188
$20,000
$20,000
$24,000
CITY OF EDINA ANNUAL BUDGET PAGE - 87
FUND: FUNCTION: AREA: PROGRAM:
GENERAL NON - DEPARTMENTAL FIRE STATION DEBT 1510
SERVICE
SUMMARY OF PERFORMANCE MEASURES
Fire Station Debt Service -1510:
This budget is used to pay the debt service on the debt that is outstanding for the York Avenue
fire station.
2000 2001 %
Total Fire Station Debt Service $84,000 $84,000 0.00%
CITY OF EDINA ANNUAL BUDGET
PAGE -88
FUND:
GENERAL
FUNCTION:
NON - DEPARTMENTAL
AREA:
FIRE STATION DEBT SERVICE
PROGRAM:
1510
SUMMARY OF EXPENDITURES
ACCT. DESCRIPTION
1998
ACTUAL
1999
ACTUAL
2000
2000
PROPOSED
ESTIMATED
BUDGETED
CONTRACTUAL SERVICES:
8220 DEBT SERVICE PAYMENTS
TOTAL FIRE DEBT SERVICE
$83,841
$83,761
$83,761
$84,000
$84,000
$84,000
$84,000
$84,000
$83,841
$84,000
CITY OF EDINA ANNUAL BUDGET PAGE-89
ND:
FUNCTION:
GENERAL I NON - DEPARTMENTAL I COMMISSIONS & SPECIAL
PROJECTS
SUMMARY OF PERFORMANCE MEASURES
Human Relations Commission -1504:
RAM:
1504-1506
The Human Relations Commission has 12 members and is an advisory body to the City Council
in the areas of human rights, human needs and human relationships. The Commission meets
monthly and submits to the City Council an annual proposed human services budget.
Fireworks -1505:
Fireworks display to be presented after the band concert on the fourth of July.
Explanation of Change:
$1,000 has been added to reflect increasing costs of fireworks.
Suburban Rate Authority -1506:
The Suburban Rate Authority is a joint powers organization that actively intervenes in matters
affecting gas, electric, and telephone rates. The Suburban Rate Authority has also been active
in matters concerning uniform gas and electric franchises, gas, electric and telephone rate
regulation, right -of -way issues, and in legislation concerning the Public Utilities Commission.
CITY OF EDINA ANNUAL BUDGET PAGE - 90
FUND:
FUNCTION:
AREA: COMMISSIONS1
PROGRAM:
GENERAL
NON - DEPARTMENTAL
& SPECIAL PROJECTS
1504-1506
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
HUMAN RELATIONS
COMMISSION -1504
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
$76,700
$79,000
$81,600
$81,600
$84,865
6104 CONTINUING EDUCATION
0
0
250
250
250
6105 DUES & SUBSCRIPTIONS
247
247
200
200
200
6136 CHEMICAL HEALTH
0
0
500
500
500
6218 EDUCATION PROGRAM
411
416
800
800
800
TOTAL HUMAN RELATION
COMMISSION
$77,358
$79,663
$83,350
$83,350
$86,615
FIREWORKS -1505
COMMODITIES:
6406 GENERAL SUPPLIES
$10,600
$11,000
$11,000
$11,000
$12,000
TOTAL FIREWORKS
$10,600
$11,000
$11,000
$11,000
$12,000
SUBURBAN RATE
AUTHORITY -1506
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
$4,000
$4,000
$4,000
$4,000
$4,100
TOTAL SUBURBAN
RATE AUTHORITY
$4,000
$4,000
$4,000
$4,000
$4,100
CITY OF EDINA ANNUAL BUDGET PAGE - 91
FUND: FUNCTION: AREA: PROGRAM:
GENERAL NON - DEPARTMENTAL COMMISSIONS & SPECIAL 1507 —1509
PROJECTS
SUMMARY OF PERFORMANCE MEASURES
FamiLink Edina -1507:
As a result of the Family Services Collaborative, now entitled Hennepin South Services
Collaborative (HSSC), FamiLink Edina was created as a local resource center to help families,
providers, school staff and community organizations get connected quickly and successfully to
a continuum of social services and community resources.
Research, Planning & Coordination (RPC) -1508:
RPC, formerly SheRPA is the arm of Hennepin South Services Collaborative (HSSC) providing
research, planning and coordination of human services through a joint powers agreement
amoung Edina, Eden Prairie, Bloomington and Richfield and their respective school districts.
Deer Control Program —1509:
This program was authorized by the Council to reduce the City's deer population.
Records Management Program —1511:
$35,000 is recommended for records management purposes throughout City Hall. This would
include doing an inventory and setting up a database in order to meet state data practice laws.
Total 2000 2001 %
Commissions & Spec. Proj. $157,304 $197,793 25.74%
CITY OF EDINA ANNUAL BUDGET PAGE - 92
FUND:
FUNCTION:
AREA: COMMISSIONS
PROGRAM:
GENERAL
NON - DEPARTMENTAL I
& SPECIAL PROJECTS
1507-1509
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
FAMILINK EDINA -1507
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
$35,057
$34,505
$30,236
$30,236
$31,145
TOTAL COMMUNITY RESOURCE
CENTER
$35,057
$34,505
$30,236
$30,236
$31,145
RESEARCH, PLANNING &
COORDINATION (RPC) -1508
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
$9,815
$20,357
$21,218
$21,218
$21,218
TOTAL RESEARCH, PLANNING
& COORDINATION
$9,815
$20,357
$21,218
$21,218
$21,218
DEER CONTROL PROGRAM -1509
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
0
9,325
7,000
7,000
7,200
COMMODITIES:
6406 GENERAL SUPPLIES
561
110
500
500
515
TOTAL DEER CONTROL
$561
$9,435
$7,500
$7,500
$7,715
RECORDS MANAGEMENT -1511
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
$0
$0
$0
$0
$35,000
TOTAL COMMISSIONS &
SPECIAL PROJECTS
$137,391
$158,960
$157,304
$157,304
$197,793
I
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cn
Appendix
0
1
•
Central Services
Central Services Overview
Central Services
Distribution by Area
Equipment
Operation
20.5%
Pub. Works Bldg.
4.1%
City Hall
2.8%
.General
72.6%
Central Services
'Distribution by Expenditure
Equipment Central Services
1.9% 5.1%
Commoditi
10.7%
Contractual
Services
18.1%
alaries
54.3%
CITY OF EDINA ANNUAL BUDGET PAGE - 93
FUND: FUNCTION: AREA: PROGRAM:
GENERAL I CENTRAL SERVICES I GENERAL 1 1550
SUMMARY OF PERFORMANCE MEASURES
General -1550:
Personal services consist of 2 full time employees.
Central Services General is primarily made up of three major expense items: PERA & FICA
costs, the flex benefit plan, and worker's compensation and liability insurance. These costs
are allocated based on the number of employees in each department and the total salaries
carried in each area. In addition this budget pays for the upgrade and maintenance to the
City's wide area network. One third of this budget is allocated to our enterprise funds and is
not tax supported.
Explanation of Change:
• The flexible benefits plan reflect an adjustment of $50 per month for the City
contribution to each employee's City provided benefits.
• DP /Software budget includes $32,000 for new geographic information system shared by
Assessing, Building, Planning and Administration.
• New equipment budget includes cost of additional telecom equipment to improve data
transmission speeds.
• Insurance increased $40,000 to reflect increased cost in work comp, property & liability.
ocated to General Fund:
Annual
Mayor & Council
Administration
Planning
Finance
Elections
Assessing
Public Works:
Administration
Engineering
Maintenance
Police
Animal Control
Fire
Health
Inspections
Parks:
Administration
Maintenance
24,612
147,600
68,340
85,920
14,820
104,100
33,756
120,540
444,300
909,180
14,556
531,816
57,720
103,632
Distribution
Allocated to other Funds:
Monthly
2,051
City Hall
12,300
Public Works Building
5,695
Equipment Operation
7,160
Art Center
1,235
Pool
8,675
Golf Course
Arena
2,813
Edin /Cent
10,045
Utilities
37,025
50th Assessment Dist.
75,765
50th Street - Liquor
1,213
York - Liquor
44,318
Vernon - Liquor
4,810
Recycling
8,636
HRA
Communications
119,580 9,965
216,036 18,003
$2,996,508 $249,709
Total Central Services General
Total
2000
$3,924,348
Annual
18,828
14,712
101,220
58,080
26,208
298,896
96,216
185,940
309,600
11,004
54,168
91,800
79,632
13,992
5,064
28,824
Monthly
1,569
1,226
8,435
4,840
2,184
24,908
8,018
15,495
25,800
917
4,514
7,650
6,636
1,166
422
2,402
1,394,184 116,182
$4,390,692 $365,891
2001
$4,390,692
11.88%
CITY OF EDINA ANNUAL BUDGET
PAGE - 94
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
CENTRAL SERVICES
GENERAL
1550
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
PROPOSED
PERSONAL SERVICES:
6010 PAYROLL
$0
$0
$52,741
$52,741
$104,118
6013 PAYROLL
35,314
45,979
15,000
15,000
0
6030 PENSIONS
1,660,573
1,609,786
1734,759
1,734,759
1,892,034
6040 FLEX PLAN
1,084,944
1,093,507
1,236,348
1,236,348
1,439,840
6046 UNEMPLOYMENT COMP.
3,299
5,859
0
0
0
3,435,992
2,784,130
2,755,131
3,038,848
3,038,848
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
30,392
37,564
27,000
27,000
28,000
6104 COMPUTER TRAINING
10,811
6,324
10,000
10,000
13,000
6121 PERSONNEL
38,915
42,911
41,000
41,000
42,000
6151 EQUIPMENT RENTAL
9,822
9,408
10,500
10,500
10,500
6160 COMPUTER SOFTWARE
26,818
9,748
17,000
17,000
47,000
6188 TELEPHONE
70,825
65,368
80,000
80,000
85,000
6200 INSURANCE
433,979
507,340
515,000
515,000
555,000
6230 SERVICE CONTR. - EQUIP.
11,820
6,889
13,000
13,000
13,000
6235 POSTAGE
81,458
49,427
70,000
70,000
60,000
714,840
734,979
783,500
783,500
853,500
COMMODITIES:
6406 GENERAL SUPPLIES
33,544
36,651
26,000
26,000
27,000
EQUIPMENT:
6710 REPLACEMENT
35,320
21,835
63,000
63,000
66,700
6711 NEW
70,322
17,760
13,000
13,000
7,500
105,642
39,595
76,000
76,000
74,200
TOTAL GENERAL
$3,638,156
$3,566,356
$3,924,348
$3,924,348
$4,390,692
CITY OF EDINA ANNUAL BUDGET PAGE-95
FUND:
GENERAL
FUNCTION:
CENTRAL SERVICES
AREA:
CITY HALL
PROGRAM:
1551
SUMMARY OF PERFORMANCE MEASURES
City Hall -1551:
Personal Services consist of 1 full time employee, public works help, park maintenance
help,
and part time help.
This program provides for the operation and maintenance of the City Hall. Operating costs
are allocated to departments on the basis of space
occupied.
Distribution
Allocation to Operating Departments
Annual
Monthly
Mayor & Council
$11,928
$994
Administration
19,212
1,601
Planning
5,472
456
Finance
9,588
799
Assessing
9,588
799
Public Works:
Administration
2,748
229
Engineering
9,588
799
Police
78,012
6,501
Health
4,104
342
Inspections
8,220
685
Parks
9,576
798
Utilities
2,748
229
Total
$170,784
$14,232
2000
2001
%
Total City Hall Budget
$165,756
$170,784
3.03%
CITY OF EDINA ANNUAL BUDGET PAGE - 96
FUND:
FUNCTION:
I
AREA:
PROGRAM:
GENERAL
CENTRAL SERVICES
CITY HALL
1551
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
PERSONAL SERVICES:
6010 PAYROLL
$56,298
$64,265
$65,564
$65,564
$67,445
6011 OVERTIME
1,941
2,036
3,100
3,100
3,200
58,239
66,301
68,664
68,664
70,645
CONTRACTUAL SERVICES:
6180 CONTRACTED REPAIR
3,166
7,447
5,500
5,500
5,665
6182 RUBBISH SERVICE
1,921
1,512
3,000
3,000
3,000
6185 LIGHT & POWER
26,535
25,547
24,500
24,500
25,240
6186 HEAT
5,042
5,574
7,000
7,000
7,000
6189 SEWER & WATER
2,982
2,417
2,520
2,520
2,520
6201 LAUNDRY
2,869
3,248
2,900
2,900
2,987
42,515
45,745
45,420
45,420
46,412
COMMODITIES:
6406 GENERAL SUPPLIES
5,224
5,773
6,660
6,660
6,660
6511 CLEANING SUPPLIES
1,043
1,278
2,600
2,600
2,600
6512 PAPER SUPPLIES
9,761
12,172
11,300
11,300
11,639
6530 REPAIR PARTS
4,892
14,731
14,000
14,000
14,000
20,920
33,954
34,560
34,560
34,899
CENTRAL SERVICES:
6803 GENERAL
15,240
15,804
17,112
17,112
18,828
TOTAL CITY HALL
$136,914
$161,804
$165,756
$165,756
$170,784
CITY OF EDINA ANNUAL BUDGET PAGE - 97
FUND: FUNCTION: AREA: PROGRAM:
GENERAL CENTRAL SERVICES PUBLIC WORKS BUILDING 1552
SUMMARY OF PERFORMANCE MEASURES
Public Works Building -1552:
Personal services consist of 1 full time employee, and Public Works help.
The function of the public works building is to provide a shelter for equipment maintenance
operations and provide stockroom and office facilities for public works personnel. A large part
of this account is directed towards rubbish hauling, light and power, heat and fuel oil, and repair
parts for the building.
Allocation to Operating Departments
Public Works
Health
Parks
Equipment Operation
Utilities
Total
Distribution
Annual
$23,652
8,208
23,844
175,824
18,852
Monthly
$1,971
684
1,987
14,652
1,571
$250,380 $20,865
2000 2001
Total Public Works Building Budget $239,004 $250,380 4.76%
CITY OF EDINA ANNUAL BUDGET
PAGE - 98
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
CENTRAL SERVICES
PUBLIC WORKS BUILDING
1552
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
PERSONAL SERVICES:
6010 PAYROLL
$45,428
$49,840
$64,338
$64,338
$66,172
6011 OVERTIME
634
922
2,300
2,300
2,300
46,062
50,762
66,638
66,638
68,472
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
188
852
1,500
1,500
1,500
6182 RUBBISH SERVICE
3,982
3,744
3,500
3,500
3,500
6185 LIGHT & POWER
42,070
40,496
36,000
36,000
41,000
6186 HEAT & FUEL OIL
32,259
38,098
50,000
50,000
50,000
6189 SEWER & WATER
1,179
2,051
2,500
2,500
2,500
79,678
85,241
93,500
93,500
98,500
COMMODITIES:
6406 GENERAL SUPPLIES
8,300
17,490
9,000
9,000
10,000
6511 CLEANING SUPPLIES
11,594
9,261
9,500
9,500
10,000
6530 REPAIR PARTS
27,072
38,659
40,000
40,000
41,200
46,966
65,410
58,500
58,500
61,200
CENTRAL SERVICES:
6803 GENERAL
9,504
9,744
13,068
13,068
14,712
EQUIPMENT:
6710 REPLACEMENT
103,251
1,240
7,298
7,298
7,496
TOTAL PUBLIC WORKS
BUILDING
$285,461
$212,397
$239,004
$239,004
$250,380
CITY OF EDINA ANNUAL BUDGET PAGE - 99
FUND: FUNCTION: AREA: PROGRAM:
GENERAL CENTRAL SERVICES EQUIPMENT OPERATION 1553
SUMMARY OF PERFORMANCE MEASURES
Equipment Operation -1553:
This account provides for the operation and maintenance of all City vehicles. A large part of the
operation costs are attributed to the purchase of fuel for City equipment. The shop supervisor
and five mechanics plus a Y2 position assigned to inventory control are the personnel
responsible for the City's 46 cars, 102 trucks, plow trucks, pickups and vans, 140 off -road
vehicles, 6 trailers, and miscellaneous equipment. One -half position is assigned to inventory
control. Additionally, the public works shop is responsible for all maintenance of equipment and
power tools. Costs of equipment operation are charged to operating departments and other
funds on the basis of use.
Distribution
Allocated to General Fund: Allocated to other Funds:
Annual Monthly Annual Monthly
Administration $1,608 $134 Pool $2,472 $206
Assessing 4,824 402 Golf Course 3,216 268
Public Works: Edin /Cent. Lake 17,196 1,433
Engineering 13,740 1,145 Utilities 103,644 8,637
Supervision 2,472 206 $126,528 $10,544
Maintenance 565,260 47,105
Police 245,292 20,441
Animal Control 3,348 279
Fire 85,968 7,164
Health 2,472 206
Inspections 7,668 639
Park Maintenance 177,936 14,828
$1,110,588 $92,549 Total $1,237,116 $103,093
2000 2001 %
Total Equipment Operation Budget $1,172,352 $1,237,116 5.52%
CITY OF EDINA ANNUAL BUDGET
PAGE - 100
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL
CENTRAL SERVICES
EQUIPMENT OPERATION
1553
SUMMARY OF EXPENDITURES
1998
1999
2000
2001
ACCT. DESCRIPTION
ACTUAL
ACTUAL
PROPOSED
ESTIMATED
BUDGETED
PERSONAL SERVICES:
6010 PAYROLL
$271,709
$268,562
$302,709
$302,709
$310,572
6011 OVERTIME
3,873
2,626
2,200
2,200
3,000
275,582
271,188
304,909
304,909
313,572
CONTRACTUAL SERVICES:
6103 PROFESSIONAL SERVICES
904
555
1,500
1,500
1,500
6160 DATA PROCESSING
5,222
3,650
2,500
2,500
4,000
6180 CONTRACTED REPAIRS
34,526
53,567
50,000
50,000
50,000
6201 LAUNDRY
3,862
4,437
6,000
6,000
6,000
6237 RADIO SERVICE
6,442
6,346
8,000
8,000
8,000
6238 CAR WASHES
1,683
1,853
4,500
4,500
4,000
6260 LICENSE FEES & PERMITS
23,654
15,261
18,000
18,000
20,000
76,293
85,669
90,500
90,500
93,500
COMMODITIES:
6406 GENERAL SUPPLIES
16,412
26,514
20,000
20,000
20,000
6530 REPAIR PARTS
185,472
179,672
190,000
190,000
190,000
6556 REPLACEMENT OF TOOLS
9,669
5,023
9,000
9,000
9,000
6580 WELDING SUPPLIES
10,849
7,171
7,000
7,000
7,000
6581 GAS & FUEL OIL
129,421
148,353
153,000
153,000
180,000
6583 TIRES & TUBES
29,345
27,384
35,000
35,000
40,000
6584 LUBRICANTS
12,766
13,123
12,000
12,000
17,000
6585 ACCESSORIES
59,145
58,673
55,000
55,000
55,000
6610 SAFETY EQUIPMENT
3,861
2,484
4,000
4,000
4,000
456,940
468,397
485,000
485,000
522,000
CENTRAL SERVICES:
6803 GENERAL
79,200
81,180
96,888
96,888
101,220
6806 PUBLIC WORKS BUILDING
151,752
162,336
167,832
167,832
175,824
230,952
243,516
264,720
264,720
277,044
EQUIPMENT:
6710 REPLACEMENT
39,777
199,166
27,223
27,223
31,000
TOTAL EQUIPMENT OPERATION
$1,079,544
$1,267,936
$1,172,352
$1,172,352
$1,237,116
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City of Edina
4801 West 50th Street
Edina, Minnesota 55424
www.ci.edina.mn.us