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ANNUAL BUDGET
1992 Annual Budget
Table of Contents Page
I. Summary
Overview
Revenue by Fund and Source
Expenditures by Fund & Source
II. General Government
Overview
Mayor Council
Administration
Planning
Finance
Election
Assessing
Legal & Court Services
III. Public Works
Overview
Administration
Engineering
Supervision
Payroll Distribution
Street Maintenance
Street Lighting
Street Name Signs
Traffic Control
Bridges /Guard Rails
Storm Drainage
Lakes & Ponds
Sidewalks /Ramps /Parking Lots
1 -3
4 -6
7 -8
9 -10
11-12
13-14
15-16
17-18
19 -20
21-22
23-24
25-26
27 -28
29-32
33-34
35-36
37-38
39-40
41-42
43-44
45 -48
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Table of Contents Page
IV. Public Safety
Overview
Police Protection
49-52
Civilian Defense
53-54
Animal Control
55-56
Fire Protection
57-60
Public Health
61-62
Inspections
63-64
V. Park & Recreation
Overview
Administration
65-66
Recreation
67-72
Payroll Distribution
73-74
Maintenance
75-84
VI. Non - Departmental
Overview
Contingencies 85-86
Capital Plan Appropriation 87-88
Special Assessments on City Property 89-90
Commissions & Special Projects 91-94
VII. Appendix
Central Services
General 95-96
City Hall 97-98
Public Works Building 99-100
Equipment Operation 101-102
Capital Plan 103- 108
o e 1992 Annual Budget
Summary of
Revenues & Expenditures
Taxes (76%
Revenue Overview
Distribution of Revenues by Type
Intergov't Aid (4 %)
Charges (15 %)
,s %I
.
Total Expenditures Overview
Public Safety (46 %)
Total Expenditures by Area
D. kllw W-6. . lNOQL\
eneral Govt. (15 %)
Non -Dept. (3 %)
S(12%)
Summary of Expenditures by Type
Contract. Svcs. (13 %)
Comr
CM.A.n /GAOL\
Equipment (7 %)
!1%)
PAGE - 2
REVENUES
BY Ft= & FUNCTION
1989
1990
1991
1992
GENERAL FUND:
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
TAXES:
REAL & PERSONAL PROPERTY TAXES
$8,832,983
$9,835,705
$9,984,072
$10,384,072
$10,456,761
OTHER
24.430
3.958
25.000
25.000
25.000
TOTAL TALES
8.857.413
9,839,663
10.009.072
10.409.072
10.481,761
LICENSES & PERMITS:
BEER & LIQUOR
5,550
16,213
16,000
16,000
18,000
CIGARETTE /VENDING
977
654
600
600
600
DOG & IMPOUNDING FEES
7,608
9,264
10,000
12,000
12,000
FOOD & SOFT DRINKS
41,693
46,326
42,400
42,400
51,400
GAS PUMPS, TANKS & BURNING
1,875
1,696
2,000
4,500
2,000
BOWLING, TAXI, & AMUSEMENT
6,850
9,310
12,000
12,000
10,000
SCAVENGER & GARBAGE COLLECTORS
2,595
2,315
2,300
2,300
2,000
BUILDING
622,359
531,173
482,750
482,750
480,000
CESSPOOL & SEWER
0
0
0
400
400
PLUMBING
53,119
74,042
65,000
60,000
72,000
SIGN
6,000
7,876
6,000
6,000
8,000
HEATING,VENTILATION & MECHANICAL
94,069
121,872
80,000
70,000
80,000
OTHER
22,431
15,457
5,000
2,000
7,884
POOLS & SPA
11,510
11,803
12,100
12,100
12,000
SPRINKLER
16.555
26.297
22.000
22,000
22.000
TOTAL LICENSES & PERMITS
893.191
874.298
758.150
745.050
778.284
FEES & CHARGES:
ENGINEERING & CLERICAL
101,850
141,813
120,000
120,000
140,000
MUNICIPAL COURT FINES
467,957
494,009
495,000
515,000
495,000
CHARGES TO OTHER FUNDS
100,620
105,000
115,000
115,000
123,300
CONTRIBUTION FROM LIQUOR FUND
350,000
350,000
380,000
380,000
380,000
ASSESSING SEARCHES
6,652
4,120
51000
5,000
5,000
PLANNING FEES
5,345
9,362
11,000
11,000
11,000
SALES & RENTAL PROPERTY
51,180
33,809
25,000
25,000
30,000
MISCELLANEOUS REVENUE
77,265
15,637
25,000
25,000
35,000
INCOME ON INVESTMENTS
82,413
77,168
80,000
80,000
80,000
LABORATORY FEES
8,914
9,875
8,000
3,000
8,000
DONATIONS
28,514
25
0
500
500
FALSE ALARMS POLICE
37,433
35,234
37,000
37,000
37,000
FALSE ALARMS FIRE
0
0
0
2,000
2,000
HAZMAT FEE
0
0
0
3,000
3,000
REGISTRATION FEE - SWIMMING &
ACTIVITIES
76,327
78,758
75,000
75,000
80,000
SERVICES - HOUSING &
0
REDEVELOPMENT AUTHORITY
196,191
166,428
185,000
185,000
150,000
RESERVE FOR COMMITTMENTS
0
0
0
0
0
AMBULANCE SERVICE
384.571
411.441
450.000
425.000
475.000
TOTAL FEES & CHARGES
1,975.232
1.932,679
2.011.000
2.006,500
2,054,800
TOTAL LICENSES & PERMITS AND
FEES AM CHARGES
$2,868.423
$2.806,977
$2.769,150
$2.751.550
$2.833.084
PAGE - 3
REVENUES
BY FUND 8 RUICTIOM
1989
1990
1991
1992
GENERAL FUND CONT'D:
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
IN IER AID:
LOCAL GOVERNMENT AID
$560,771
$3,419
SO
SO
80
STATE•HIGHYAY,TAX
60,000
60,000
60,000
60,000
160,000
HOUSING ASSISTANCE AID
0
0
2,000
2,000
0
FEDERAL AID
9,379
8,000
20,000
20,000
10,000
POLICE AID 0%)
215,443
196,885
223,000
210,000
220,000
TRANSFER - REVENUE SHARING
0
0
0
0
0
HENNEPIN COUNTY HEALTH PROGRAM
100,102
126,619
125,000
125,000
113,100
TOTAL INTERGOVERNMENTAL AID
945,695
394,923
430,000
417,000
503,100
TOTAL OPERATING REVERE
$12,671,531
------ - - - - --
------------
$13,041,563
----- - - - - - --
------ - - - - --
$13,208,222
------ ---- --
------ - - - - --
813,577,622
------ --- ---
------ - - - - --
$13,817,945
- ----- -- - - --
- -- --- -- -- --
PAGE - &
EXPENDITURES
BY FORD & FUNCTION
PUBLIC WORKS:
ADMINISTRATION
1989
1990
1991
114,999
1992
GENERAL FUND-
GENERAL GOVERWENT:
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
MAYOR & COUNCIL
$64,491
$60,271
$60,065
$59,530
$60,250
ADMINISTRATION
572,219
598,307
568,278
565,619
579,141
PLANNING
144,981
160,002
222,484
215,899
218,431
FINANCE
281,980
304,896
326,483
323,466
344,727
ELECTION
22,442
69,898
31,100
25,107
94,650
ASSESSING
299,834
3470583
349,243
358,739
376,898
LEGAL & COURT SERVICES
451.543
421.280
402.000
330.000
330.000
TOTAL GENERAL GOVERMENT
1.837.490
1.962.237
1.959.653
1.878.360
2.004,097
PUBLIC WORKS:
ADMINISTRATION
100,633
1131141
114,760
114,999
119,222
ENGINEERING
411,459
4080418
462,078
443,201
426,009
SUPERVISION
384,861
424,093
447,325
446,615
456,089
STREET MAINTENANCE
1,471,007
1,499,858
1,624,440
1,669,833
1,647,133
STREET LIGHTING
290,479
322,498
324,520
335,750
340,150
STREET NAME SIGNS
44,346
68,644
67,170
52,000
53,500
TRAFFIC CONTROL
60,151
86,711
74,210
90,200
96,400
BRIDGES /GUARD RAILS
7,068
8,399
11,000
19,100
15,500
STORM DRAINAGE
430
0
0
0
0
LAKES & PONDS
2,731
0
0
0
0
SIDEWALKS,RAMPS & PARKING LOTS
62.314
52.349
78.950
83.550
78.650
TOTAL PUBLIC WORKS
2.835.479
2.984,111
3.204.453
3.255,248
3.232.653
PUBLIC SAFETY:
POLICE
3,107,590
3,387,013
3,473,262
3,506,088
3,608,682
CIVILIAN DEFENSE
27,535
24,832
28,143
27,214
27,761
ANIMAL CONTROL
47,616
628631
49,480
56,675
57,482
FIRE
1,904,054
1,996,642
1,953,382
2,060,827
2,119,869
PUBLIC HEALTH
262,255
295,066
297,513
306,667
324,280
INSPECTIONS
256.364
294.537
277.435
260.673
265.819
TOTAL PUBLIC SAFETY
5.605.414
6.060,721
6.079.215
6.218.144
6.403.893
PARK DEPARTMENT:
ADMINISTRATION 360,224
372,132
393,143
373,632
382,700
RECREATION 126,960
89,833
136,544
120,250
116,750
MAINTENANCE 1.183,695
1.212,336
1.171.168
1.231.150
1.216.324
TOTAL PARK DEPARTMENT $1.670,879
$1.674.301
$1.700.855
$1.725.032
$1.715.774
PAGE - 5
EXPENDITURES
BY FUND & FUNCTION
1989
1990
1991
1992
GENERAL FUND (CONT'D):
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
NOR - DEPARTMENTAL EXPENDITURES:
CONTINGENCIES.
$87,418
$94,266
$80,000
$80,000
$60,000
SPECIAL ASSESSMENTS
46,124
42,951
65,000
65,000
45,000
CAPITAL PLAN APPROPRIATION
150,797
115,000
117,000
117,000
117,000
COMMISSIONS 8 SPECIAL PROJECTS
134.738
183,589
240.459
238,838
239.528
TOTAL NON - DEPARTMENTAL
419.077
435.806
502.459
500,838
461.528
TOTAL OPERATING EXPENDITURES
$12,368,338
$13,117,175
$13,446,635
$13,577,622
$13,817,945
o((ez ,gyp, 1992 Annual Budget
General Government
General Government Overview
Planning
Finance (17 %)
Electio
General Government - Distribution by Area
,'2n%)
Mayor & Council (3 %)
al & Court (18 %)
General Government - Distribution by Expenditure
Contractual Sen.-__ ._,
OM-I- 1"0/1
Equipment (1 %)
itral Services (16%)
(0 %)
Ikelkal I A r1b1 0r%0%rT
4.w1 1 i Vr 119110%pr% I PAUL - 7
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 GENERAL GOVERNMENT MAYOR & COUNCIL 100 - 10
SUMMARY OF SERVICES
Mayor $ Council:
The City Council constitutes the policy making division of Edina
City Government. The Council is composed of the Mayor and four 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 Council meetings. The Council meets on the first and third
Mondays of each month at the City Hall. The City Council also
serves as the Housing Redevelopment Authority.
1991 1992 %
Total Mayor & Council Budget $59,530 $60,250 1.2
CITY OF EDINA ANNUAL BUDGET PAGE - 8
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
GENERAL GOVERNMENT
MAYOR & COUNCIL
100 - 10
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
$27,451
$27,556
$27,450
$27,450
$27,450
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
1,260
831
0
0
0
4202 CONTINUING EDUCATION
941
140
0
2,000
2,000
4206 MEETING EXPENSE
2,886
2,730
3,915
700
700
4208 MILEAGE
0
0
0
0
0
5,086
3,701
3,915
2,700
2,700
COMMODITIES:
4504 GENERAL SUPPLIES
4,234
1,534
980
1,300
1,300
CENTRAL SERVICES:
4802 GENERAL
17,640
17,400
17,640
17,640
18,120
4804 CITY HALL
10,080
10,080
10,080
10,440
10,680
27,720
27,480
27,720
28,080
28,800
TOTAL MAYOR & COUNCIL
564,491
$60,271
$60,065
$59,530
$60,250
ALUMIAI t21Ir r%% 'r
V1 1 1 Vr 5- IV b` ` - u
FUND: FUNCTION: AREA: PROGRAM: 7
GENERAL - 10 1 GENERAL GOVERNMENT ADMINISTRATION 140 - 14
SUMMARY OF SERVICES
Administration:
Personal Services consist of one (1) Manager, two (2) Executive
Management III's, two (2) Technical Management III's, two (2) Technical II's,
and one (1) General I.
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
700 full time and part -time employees
- Labor relations with three 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
1991 1992 %
Total Administration Budget $565,619 $579,141 2.4
CITY OF EDINA ANNUAL BUDGET oecc - in
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
GENERAL GOVERNMENT
ADMINISTRATION
140 - 14
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
$380,000
$368,731
$389,173
4110 OVERTIME
3.000
3.000
3.000
$364.405
$430.068
383.000
371.731
392,173
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
11,958
13,518
15,000
19,000
9,000
4202 CONTINUING EDUCATION
3,847
2,211
1,200
4,300
4,300
4204 DUES & SUBSCRIPTIONS
57,563
30,153
43,500
43,500
43,500
4206 MEETING EXPENSE
2,686
1,785
1,520
2,000
2,000
4208 MILEAGE
2,738
2,774
2,408
1,500
1,500
4210 LEGAL ADVERTISEMENTS
8,697
6,640
7,400
5,200
5,200
4290 POSTAGE
494
607
1.200
600
600
87.982
57.688
72.228
76.100
66.100
COMMODITIES:
4502 BOOKS AND PAMPHLETS
99
370
100
150
150
4504 GENERAL SUPPLIES
543
800
800
200
200
4516 OFFICE SUPPLIES
224
197
130
100
100
4600 PRINTING
186
118
100
250
250
1.052
1,485
1.130
700
700
CENTRAL SERVICES:
4802 GENERAL
84,600
85,200
87,240
87,240
88,380
4804 CITY HALL
14,408
15,600
16,320
16,320
16,620
4808 EQUIPMENT OPERATION
3.600
4.200
4.360
4.360
6.000
102.608
105.000
107.920
107.920
111.000
ECYIIPIEIIT:
4901 REPLACEMENT
15,507
3,267
4,000
9,168
9,168
4902 NEW
665
799
0
0
0
16.172
4.066
4.000
9.168
9.168
TOTAL ADMINISTRATION
$572,219
$598,307
$568,278
$565,619
- - - - --
$579,141
------- - - - - --
A uu11 1 A ■ !9a o!1/%rT
U I T ur rwitrv�► #A1V1VUr►L. oLOWiLar- I PAGE - 11
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 GENERAL GOVERMENT PLANNING 120 - 12
SUMMARY OF SERVICES
Planning:
Personal Services consist of one (1) Executive Management II, one (1) Technical
Management III, one (1) Technical Management II, and three - fourths (3/4) a
Technical II.
The Planning Department provides staff services to the City Council, the
Planning Commission, the Board of Appeals and Adjustments, the Heritage
Preservation Board and the Housing and Redevelopment Authority (HRA).
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.
1991 1992 %
Total Planning Budget $215,899 $218,431 1.2
CITY OF EDINA ANNUAL BUDGET PAGE - 12
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
GENERAL GOVERNMENT
PLANNING
120 - 12
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
$160,000
$159,638
$160,910
4110 OVERTIME
2,500
2,500
2,500
$94.949
$107.772
162,500
162.138
163,410
CONTRACTUAL SERVICES:
4202 CONTINUING EDUCATION
424
3,324
0
1,200
1,200
4204 DUES & SUBSCRIPTIONS
269
314
190
300
300
4206 MEETING EXPENSE
24
0
0
100
100
4208 MILEAGE
40
0
44
100
100
758
3.638
234
1,700
1.700
COCMOIDITIES:
4502 BOOKS & PAMPHLETS
12
10
150
100
100
4504 GENERAL SUPPLIES
54
82
160
100
100
4508 PHOTOGRAPHIC SUPPLIES
78
64
0
100
100
4600 PRINTING
0
0
0
500
500
144
156
310
800
800
CENTRAL SERVICES:
4802 GENERAL
37,800
39,600
41,100
41,100
42,300
4804 CITY HALL
5,040
5,400
5,580
5,580
5,640
4808 EQUIPMENT OPERATION
1,800
1,800
1.860
1,860
1.860
44.640
46.800
48.540
48,540
49.800
EQUIPMENT:
4901 REPLACEMENT
4,491
1,636
10,900
2,721
2,721
4902 NEW
0
0
0
0
0
4,491
1.636
10.900
2,721
2,721
TOTAL PLANNING
$144,981
$160,002
$222,484
$215,899
$218,431
CITY OF EDINA ANNUAL BUDGET PAGE - 13
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 GENERAL GOVERNMENT FINANCE 160 - 16
SUMMARY OF SERVICES
Finance:
Personal Services consist of one (1) Executive Management III, one (1) Executive
Management I, one Technical Management II, one (1) Technical II, two (2)
half -time (1/2) Technical I's, and one -half (1/2) a General II.
The Finance Department provides accounting and control services for all
financial activities of the City. Major functions include:
- During 1990 the Finance Department issued over 11,500 payroll checks on a payroll
of over $9,150,000 for approximately 700 full time and part time employees;
- Preparation of annual budget, comprehensive annual report, enterprise profit
and loss statements, bond statements, and other financial reports;
- Issuance of 9,000 accounts payable checks on expenditures of over
$39,000,000 for general operating, debt service, capital projects,
enterprise activities and other City functions during 1990;
- Performing financial analysis on investments and various proposals; and
- Maintain records on $400,000 of liquor and wine inventory.
Explanation of Increase:
LOGIS has applied a 36% percent increase to the 1992 budget for the payroll and
financial systems. Our projections suggest we can hold this a 20% increase. This
increase is due to a projected revenue shortfall for 1992.
1991 1992 %
Total Finance Budget $323,466 $344,727 6.6
CITY OF EDINA ANNUAL BUDGET DAGF - 1L
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL -'10
GENERAL GOVERNMENT
FINANCE
160 - 16
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
213,000
$213,189
$226,130
4110 OVERTIME
$2.500
2.500
2.500
$185.961
$198.127
215.500
215,689
228.630
CONTRACi11AL SERVICES:
4201 PROFESSIONAL SERVICES
0
0
0
0
0
4202 CONTINUING EDUCATION
131
1,632
1,700
1,500
1,500
4204 DUES & SUBSCRIPTIONS
365
567
400
400
400
4208 MILEAGE
1,930
2,608
1,925
2,050
2,050
4216 ANNUAL AUDIT
3,000
3,500
3,700
3,700
3,700
4226 EQUIPMENT RENTAL
0
0
0
300
300
4233 DATA PROCESSING -LOGIS
31.338
33.561
38.948
36.000
43.000
36.764
41.868
46.673
43.950
50.950
COMMODITIES:
4502 BOOKS & PAMPHLETS
0
23
0
50
50
4504 GENERAL SUPPLIES
814
1.847
750
450
450
814
1.870
750
500
500
CENTRAL SERVICES:
4802 GENERAL
48,600
50,400
50,880
50,880
52,080
4804 CITY HALL
6.840
6.840
7.080
7.080
7.200
55.440
57.240
57.960
57.960
59,280
EQUIPMENT:
4901 REPLACEMENT
3,001
5,791
5,600
5,367
5,367
4902 NEW
0
0
0
0
0
3.001
5.791
5.600
5.367
5.367
TOTAL FINANCE
$281,980
$304,896
$326,483
$323,466
$344,727
A ►alkal a A ea If1/%CT
C11 T OF E—DiNA PAGE - 15
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 GENERAL GOVERNMENT ELECTION 180 - 18
SUMMARY OF SERVICES
Elections:
Personal Services consist of one (1) Technical I of which one -half (1/2) the
salary is billed to the school district as election costs.
The City Clerk is responsible for conducting all national, state, county and
City elections held in the City of Edina in even - numbered years.
The City is divided into 20 voting precincts which must be equipped for
conducting each election. The Clerk must recruit and train approximately
275 election judges in each election year. Approximately 3,000 absentee ballot
applications are processed.
The Clerk is also responsible for maintaining the permanent voter registration
system for the City amounting to almost 35,000 registrations. In a twelve month
period about 6,500 registration changes are processed.
Explanation of Change:
In 1992 a Presidential primary and Presidential election will be held.
1991 1992 %
Total Election Budget $25,107 $94,650 277.0
CITY OF EDINA ANNUAL BUDGET DAnr _ !A
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
GENERAL GOVERNMENT
ELECTION
180 - 18
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
$11.190
$47,226
$17,900
$12,807
$69.990
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
3,243
9,518
5,200
4,000
12.000
4.101
11
COMMODITIES:
4504 GENERAL SUPPLIES
209
2,113
100
250
2,250
4600 PRINTING
0
3.241
100
250
2,250
209
5,354
200
500
4.500
CENTRAL SERVICES:
4802 GENERAL
7,800
7,800
7.800
7,800
8,160
TOTAL ELECTION
$22,442
$69,898
$31,100
$25,107
$94,650
CITY OF EDINA
FUND:
GENERAL - 10
Assessing:
FUNCTION: AREA:
GENERAL GOVERNMENT ASSESSING
SUMMARY OF SERVICES
PROGRAM:
200 - 20
Personal Services consist of one (1) Executive Management II, three (3) Technical
Management IV's, one (1) Technical III, one (1) Technical II and part -time help.
The Assessing Department performs annual classification and valuation of Edina's
20,000 real estate parcels. The accepted approaches to value are considered in th
appraisal process. All tangible changes to property that may affect market 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 the basis for annual adjustments of
values. Sales and the analysis of available income and expense data generate
adjustments to commercial, industrial and apartment values. Because of the almost
subjective nature of real estate value opinion and some classifications, dozens of
tax court petitions and scores of abatements and individual appeals /reviews are
processed annually. Dissemination of general and specific information, explanatioi
of processes and procedures, trial preparation and negotiations with taxpayers or
their legal representatives are on -going functions.
Ratios of assessor's values to sale prices are compared, coordinated and
argued annually between municipalities within Hennepin County to assure an
acceptable level of assessment and equity of contribution to non -local
jurisdictions. Ratios are also monitored and corrected within the Commissioner of
Revenue's office to prevent undue adverse effects upon local aids and tax court
decisions.
Computing, notifying, spreading and collecting of special assessments are also
functions of the assessing department.
Explanation of Change:
The 1992 LOGIS budget for the property data system has increased 15% due to a
projected revenue shortfall.
Total Assessing Budget
1991 1992 %
$358,739 $376,898 5.1
CITY OF EDINA ANNUAL BUDGET DAI_C - 1R
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
GENERAL GOVERNMENT
ASSESSING
200 - 20
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
$205.635
$230.952
$243.000
$247.314
$259.453
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
608
430
860
700
700
4202 CONTINUING EDUCATION
1,133
1,363
650
1,800
1,800
4204 DUES & SUBSCRIPTIONS
4206 MEETING EXPENSE
1,025
250
1,061
314
1,075
350
1,200
400
1,200
400
4208 MILEAGE
884
409
350
500
500
4233 DATA PROCESSING - LOGIS
26.517
31.427
31.988
31.822
36.822
30.417
35.004
35.273
36.422
41.422
COMMITIES:
4504 GENERAL SUPPLIES
782
950
410
1.000
1.000
782
950
410
1.000
1.000
CENTRAL SERVICES:
4802 GENERAL
53,400
58,200
60,000
60,000
61,620
4804 CITY HALL
6,000
6,000
6,240
6,240
6,360
4808 EQUIPMENT OPERATION
3.600
3.600
3.720
3.720
3.000
63.000
67.800
69.960
69.960
70.980
EQUIPMENT:
4901 REPLACEMENT
0
12.877
600
4.043
4.043
TOTAL ASSESSING
$299,834
$347,583
$349,243
$358,739
$376,898
CITY OF EDINA ANNUAL BUDGET PAGE - 19
FUND:
LWO:11.1>111=111
FUNCTION: AREA:
LEGAL &
GENERAL GOVERNMENT COURT SERVICES
SUMMARY OF SERVICES
PROGRAM:
220 - 20
Legal & Court Services:
The City requires the professional service 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 prosecute all cases arising out of violation of
City ordinances.
The following list constitutes the number of cases prosecuted in 1990:
Arraignments 2,956
Pre - Trials 695
Court Trials 221
Jury Trials 146
Total 3,446
1991 1992 %
Total Legal & Court Services Budget $330,000 $330,000 0.0
CITY OF EDINA ANNUAL BUDGET DAnV . in
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
GENERAL GOVERNMENT
LEGAL & COURT SERVICES
220 - 22
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
COMACTUAL SERVICES:
4201 PROFESSIONAL - PROSECUTING
$170,370
$155,000
$150,000
5130,000
$130,000
4218 PROFESSIONAL - CIVIL
191,376
143,472
140,000
92,000
92,000
4244 HENNEPIN COUNTY - COURT
CHARGE
29,032
30,142
32,000
32,000
32,000
4286 BOARD & ROOM - PRISONERS
60.765
92.666
$80.000
76.000
76.000
TOTAL LEGAL i
COURT SERVICES
$451,543
$421,280
$402,000
$330,000
$330,000
�+91� \rte
1992 Annual Budget
CO
Public Works
Public Works Overview
Public Works - Distribution by Area
Street Maint. (51 %)
ineering (13 %)
P.W. Admin. (4 %)
Sidewalks (2 %)
Bridges (0 %)
Traffic Ctrl. (3 %)
L Name Signs (2 %)
ighting (11 %)
Public Works - Distribution by Expenditure
Contract. Svc. (14 %)
Commodities (13 %)
Equipment (10 %)
walks■ ■ ■ !tea ■A 0%
01 T Ur LWIVA ANNUAL DuNLiC GE -
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 PUBLIC WORKS ADMINISTRATION 240 - 24
SUMMARY OF SERVICES
Public Works Administration:
Personal Services consist of one (1) Executive Management III and one -half (1/2)
a Technical II.
This department provides supervision and policy guidance over various Public
Works' departments. These crews are Engineering, Streets, Utilities and Equip-
ment Operation. The total permanent employment in the Public Works area is 57.
The function of the City Engineer is also provided under Public Works Admin-
istration.
Additionally, operating City liaison to other agencies such as MNDOT, Metro
Council, Hennepin County, MTC, MWCC, Watershed Board, PCA, Minnesota Board of
Health and other cities is provided through this account.
1991 1992 %
Total Public Works Budget $3,255,248 $3,232,653 -.7%
CITY OF EDINA ANNUAL BUDGET
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC WORKS
ADMINISTRATION
240 - 24
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
$73.144
586.077
$86.900
$86,989
$90.192
CONTRACTUAL SERVICES:
4202 CONTINUING EDUCATION
764
334
1,000
1,000
1,000
4204 DUES & SUBSCRIPTIONS
85
90
100
250
250
849
424
1.100
1.250
1.250
CENTRAL SERVICES:
4802 GENERAL
21,600
21,600
21,600
21,600
22,560
4804 CITY HALL
3,240
3,240
3,300
3,300
3,360
4808 EQUIPMENT OPERATION
1.800
1.800
1 -860
1,860
1.860
26.640
26.640
26.760
26.760
27.780
TOTAL ADMINISTRATION
$100,633
$113,141
$114,760
$114,999
$119,222
C.i IT Vr tu1rvA AIMNUAL auuLac I PAGE - 23
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 PUBLIC WORKS ENGINEERING 260 - 26
SUMMARY OF SERVICES
Engineering:
Personal Services consist of one (1 Executive Management I, three (3) Technical
Management IV's, three (3lechnical Technical Management I's, one -half (1/2)
Technical II and one (1) I.
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.
Explanation of Change:
One position has been frozen in this program area.
CITY OF EDINA ANNUAL BUDGET oer_c _ 7i
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC WORKS
ENGINEERING
260 26
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
$298,000
$298,412
$285,000
4110 OVERTIME
2.000
2.000
2.000
$251.643
$282.721
300.000
300.412
287.000
OONTRACTLILL SERVICES:
4201 PROFESSIONAL SERVICES
28,372
14,158
31,448
15,000
15,000
4202 CONTINUING EDUCATION
11
818
360
600
600
4204 DUES & SUBSCRIPTIONS
60
317
150
200
200
4206 MEETING EXPENSE
287
13
300
300
300
4208 MILEAGE
0
0
0
100
100
28.730
15.306
32.258
16.200
16.200
C0 9WITIES:
4504 GENERAL SUPPLIES
4,375
10,443
7,480
4,000
4,500
4570 BLUEPRINTING
5,562
3,686
6,560
4,000
4,000
4604 LUMBER & TOOLS
2.689
1.550
3.700
2.500
2.500
12.625
15.679
17.740
10.500
11.000
CENTRAL SERVICES:
4802 GENERAL
69,000
72,000
74,160
74,160
75,360
4804 CITY HALL
6,240
6,600
6,840
6,840
6,960
4808 EQUIPMENT OPERATION
11.710
11.400
11.880
11.880
11.280
86.950
90.000
92.880
92.880
93.600
EQUIPMENT:
4901 REPLACEMENT
18,214
2,841
18,000
18,209
18,209
4902 NEW
13.298
1.871
1.200
5.000
0
31.512
4.712
19.200
23.209
18.209
TOTAL ENGINEERING
$411,459
$408,418
5462,078
$443,201
$426,009
CITY OF EDINA ANNUAL BUDGET PAGE - 25
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 PUBLIC WORKS SUPERVISION 280 THRU 281 - 28
SUMMARY OF SERVICES
Supervision - 280:
Personal services consist of one (1) Executive Management II, one (1) Technical
Management I, and one (1) Technical III.
The operations of the Public Works Department are overseen by the Public
Works Superintendent. 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 Superintendent, 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.
Training - 281:
This program provides for the personal services time and aids required to
provide the necessary training.
CITY OF EDINA ANNUAL BUDGET Dena iR
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC WORKS
SUPERVISION
280 THRU 281 - 28
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
SUPERVISION - 280
PERSONAL SERVICES:
4105 PAYROLL
$119,375
$119,375
5123,743
4110 OVERTIME
$500
500
500
$101.446
$106,803
119,875
119,875
124.243
CONTRACTUAL SERVICES:
4202 CONTINUING EDUCATION
1,948
790
1,500
2,000
2,000
4204 DUES & SUBSCRIPTIONS
39
35
110
200
200
4318 GOPHER ONE STATE
0
6,360
7,500
7,500
7,500
4322 HAZ. WASTE DISPOSAL
0
0
2.000
2.750
3.750
1,987
7.185
11,110
12.450
13,450
CENTRAL SERVICES:
4802 GENERAL
265,291
288,000
292,500
292,500
293,700
4806 PUBLIC WORKS BUILDING
12,900
13,200
14,280
14,280
15,336
4808 EQUIPMENT OPERATION
1.800
1.800
1,860
1,860
1.860
279.991
303,000
308,640
308.640
310.896
TOTAL SUPERVISION
$383,424
5416.988
$439,625
5440.965
$448.589
TRAINING- 281
PERSONAL SERVICES:
4105 PAYROLL
SO
55,128
54,300
53,150
55.000
CONTRACTUAL SERVICES:
4202 CONTINUING EDUCATION
0
1.977
2.000
1.000
1,000
CO I=ITIES:
4608 TRAINING AIDS
1.437
0
1,400
1.500
1.500
TOTAL TRAINING
51.437
57.105
$7.700
55,650
$7,500
TOTAL SUPERVISION
i TRAINING
$384,861
$424,093
5447,325
$446,615
$456,089
�.T \I 0% r/1I 1k I
AKIKIIIA1 DI In ^rT
VI I I VI `VIL
FUND: FUNCTION: AREA: PROGRAM:
STREET
GENERAL - 10 PUBLIC WORKS DEPARTMENT
SUMMARY OF SERVICES
Street Department
PAYROLL
SUMMARY - DISTRIBUTION
The Street Department consists of twenty -eight (28) personnel which include the
following positions:
One (1) Executive Management I
One (1) Technical Management II
Eleven (11) Heavy Equipment Operators
Fifteen (15) Light Equipment Operators
Additionally, six (6) summer employees are hired to assist in various projects.
Explanation of Change:
One position has been frozen in this program area.
PUBLIC WORKS:
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
STORM DRAINAGE.
LAKE & POND MAINTENANCE
PUBLIC SIDEWALKS:
MAINTENANCE & REPAIR
SNOW & ICE REMOVAL
PARKING RAMP MAINTENANCE
PARKING LOTS
$ 5,000 CHARGE TO OTHER FUNDS:
CENTRAL SERVICES:
200,000 CITY HALL
82,000 PUBLIC WORKS BUILDING
112,000 EQUIPMENT OPERATION
162,800 PARKS
ENTERPRISE FUNDS
3,150
11,500
29,500
8,400
19,000
10,000
0
8,000
9,000
3,000
6.000
669.350
11,500
31,000
35,000
12,510
79.893
TOTAL STREET PAYROLL $839,250
CITY OF EDINA ANNUAL BUDGET
FUND: FUNCTION: AREA: PROGRAM:
SUMMARY OF SERVICES
THIS PAGE IS INTENTIONALLY LEFT BLANK.
VI1 T Or EDINA Fi1MIMUML DVVL7C1 PAGE - 29
FUND: FUNCTION: AREA: PROGRAM:
STREET
GENERAL - 10 PUBLIC WORKS NAINTENANCE 301 thru 310 - 30
SUMMARY OF SERVICES
General Maintenance - 301:
These funds are allocated for the general repairs made to the street;
i.e. crack sealing, patching, seal coating, skin coating, and curb repair.
Crews totaling approximately five "man years" work on general maintenance of City
street year round, weather permitting.
Equipment - 305:
This program provides funding for the replacement of existing equipment and
the purchase of new equipment for all Public Works programs.
Street Sweeping - 310:
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 in the storm sewers.
Six men are involved in the sweeping effort from early spring
into the summer and begins again in the fall when leaves are swept
up to prevent the clogging of catch basins.
CITY OF EDINA ANNUAL BUDGET PACE - in
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC WORKS
STREET MAINTENANCE
301 THRU 310 - 30
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
GENERAL MAINTENANCE 301
PERSONAL SERVICES:
4105 PAYROLL
$200,600
$200,600
$199,000
4110 OVERTIME
1,000
1,000
1.000
$165.196
$247.949
201,600
201,600
200.000
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
69
0
500
500
500
4226 EQUIPMENT RENTAL
737
510
350
500
500
4248 CONTRACTED REPAIR
3,240
1,666
5,300
10,000
10,000
4250 RUBBISH HAULING
3,672
6,137
5,260
4,000
4,000
4252 LIGHT & POWER
3,128
4,155
5,250
5,250
5,250
4258 WATER & SEWER SERVICES
0
0
0
1,000
1,000
4262 LAUNDRY
10.097
8.616
8.800
10,000
10.000
20.943
21.084
25.460
31.250
31.250
COMMODITIES:
4504 GENERAL SUPPLIES
10,726
13,795
12,850
12,500
12,500
4520 CALCIUM CHLORIDE
1,520
0
1,000
1,000
2,000
4522 SELECT MATERIALS
143
0
300
1,000
1,000
4524 ASPHALT MIX
4,612
10,930
3,850
25,000
25,000
4526 MC 1 OIL
0
334
500
4,000
4,000
4528 CONCRETE
508
0
0
2,000
2,000
4532 CLASS V MATERIAL
272
136
500
1,000
1,000
4580 TOOLS
5,783
10,907
11,400
7,000
8,000
4642 SAFETY EQUIPMENT
2.285
6.427
4.750
5.000
6.000
25.849
42.529
35.150
58.500
61.500
CENTRAL SERVICES:
4808 EQUIPMENT OPERATION
372.000
396,000
412.980
412.980
407.580
TOTAL GENERAL MAINTENANCE
$583.988
$707.562
$675.190
$704.330
$700.330
EQUIPMENT - 305
EQUIPMENT:
4901 REPLACEMENT
$338,801
$279,652
$310,000
$310,003
$310,003
4902 NEW
0
0
10.000
10.000
0
TOTAL REPLACEMENT
$338.801
$279.652
$320.000
$320.003
$310.003
STREET SWEEPING - 310
PERSONAL SERVICES:
4105 PAYROLL
$70.752
$78,530
$90,200
$90.200
$82.000
COMMODITIES:
4534 BROOMS
8,000
8,423
9,300
8,500
8,500
4536 WEARING SHOES
829
496
250
500
500
8.829
8.919
9.550
9.000
9.000
TOTAL STREET SLEEPING
$79.581
$87.449
$99.750
$99,200
$91,000
• w� �w u•A AJkl1kilIA Ifta 0r%0%CT
to! 1 T OF EDINA r,1V111UrkL. oUV%aF_ I PAGE - 31
FUND: FUNCTION: AREA: PROGRAM:
STREET
GENERAL - 10 PUBLIC WORKS MAINTENANCE 314 thru 320 - 30
SUMMARY OF SERVICES
Street Renovation - 314:
This program incorporates 15 miles of street renovations yearly. A 3
(three) step process is involved whereby 1. Cracks in the road are sealed
with RC 800 oil; 2. A thin coat of asphalt is applied to bring the road to
grade; and 3. A coat of RC 800 is applied on to the asphalt to rejuvenate
the old asphalt and form a seal for the buck shot rock or trap rock which is
applied last.
Ten to 15 men are involved in street renovations working from mid -May
(when road restrictions are lifted) until late August.
Snow and Ice Removal - 318:
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 2 parking ramps, is divided into 26 plow
routes. The equipment involved in plowing includes 21 trucks with
plows, 3 graders, 3 loaders and 1 sidewalk plow. Ten units are equipped
with wings for more efficient plowing.
Replacements - 320:
These funds are allocated to contractual repairs for repair projects too
large for City maintenance crews and are overseen by the Engineering
Department.
CITY OF EDINA ANNUAL BUDGET DAM - 1�
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC WORKS
STREET MAINTENANCE
314 THRU 318 - 30
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
RENOVATION - 314
PERSONAL SERVICES:
4105 PAYROLL
$94,353
$98,177
$117,000
$117,000
$112,000
CONTRACTUAL SERVICES:
4248 CONTRACTED REPAIRS
0
0
0
3,000
3,000
4249 DUMPING CHARGES
0
0
0
0
3,500
0
0
0
3,000
6,500
COMMODITIES:
4504 GENERAL SUPPLIES
1,014
6,099
2,200
1,500
2,000
4522 GRANULAR MATERIALS
21,352
25,527
27,800
25,000
25,000
4524 ASPHALT MIX
80,181
96,927
87,000
83,000
85,000
4526 MC 1 OIL
77,249
58,895
72,000
80,000
63,000
4528 CONCRETE
10,175
15,890
15,200
20,000
25,000
189,971
203,338
204,200
209,500
200,000
TOTAL RENOVATION
$284,324
$301,515
$321,200
$329,500
$318,500
SNOW & ICE REMOVAL - 318
PERSONAL SERVICES:
4105 PAYROLL
$142,300
$142,300
$147,800
4110 OVERTIME
15,000
15,000
15,000
$116,226
$72,795
157,300
157,300
162,800
COMMODITIES:
4504 GENERAL SUPPLIES
6,655
3,024
6,600
7,500
7,500
4520 CALCIUM CHLORIDE
1,480
1,120
1,700
2,000
2,000
4522 SAND
38,002
25,072
27,300
30,000
30,000
4538 SALT
21,950
21,669
15,400
20,000
25,000
68,087
50,885
51,000
59,500
64,500
TOTAL SNOW i ICE REMOVAL
$184,313
$123,680
$208.300
$216,800
$227,300
TOTAL STREET MAINTENANCE
$1,471,007
$1,499,858
$1,624,440
$1,669,833
$1,647,133
1 TV 0% 1- CP1 lk aA A1ki \111Al n11r1/%L'T
�.i i i yr whim oarv%aV- I PAGE - 33
FUND: FUNCTION: AREA: PROGRAM:
STREET
GENERAL - 10 PUBLIC WORKS LIGHTING 321 thru 322 - 30
SUMMARY OF SERVICES
Regular Street Lighting - 321:
In the City, there are 1,685 NSP owned street lights; for the most part,
"over the roadway" lights attached to existing NSP service poles. The
funds in this program are used for rental fees and power.
Ornamental Street Lighting - 322:
The City owns 558 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 %A
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC WORKS
STREET LIGHTING
321 THRU 322 - 30
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
REGULAR - 321
PERSONAL SERVICES:
4105 PAYROLL
SO
SO
$3.150
$3,150
$3,150
ODIITRACIURL SERVICES:
4248 CONTRACTED REPAIRS
500
0
500
1,000
1,000
4252 LIGHT & POWER
146.247
167,185
160.000
168,000
172.000
146,747
167.185
160,500
169.000
173.000
001�N>DITIES:
4540 REPAIR PARTS
0
0
0
500
500
TOTAL STREET
LIGHTING REGULAR
$146,747
$167.185
$163.650
$172,650
$176.650
ORNAMENTAL - 322
PERSONAL SERVICES:
4105 PAYROLL
$10.430
$15,715
$12.770
$11,500
$11,500
CONTRACTUAL SERVICES:
4248 CONTRACTED REPAIRS
306
0
500
1,000
1,000
4252 LIGHT & POWER
125.692
124.954
138,600
138.600
138.000
125,998
124,954
139,100
139,600
139,000
COMMODITIES:
4504 GENERAL SUPPLIES
5,142
10,759
7,400
6,000
7,000
4540 REPAIR PARTS
2,162
3,885
1.600
6.000
6.000
7.304
14.644
9,000
12,000
13,000
TOTAL STREET
LIGHTING ORNAMENTAL
$143,732
8155,313
$160,870
$163.100
$163,500
TOTAL STREET LIGHTING
$290,479
$322,498
$324,520
$335,750
$340,150
\ATV /Ar rA &I
wwiwu � A! e"ne-%CT
V I ■ %01 LV IV
FUND: FUNCTION: AREA: PROGRAM:
STREET NANE SIGNS/
GENERAL - 10 PUBLIC WORKS TRAFFIC SIGNS 1 325 - 30
SUMMARY OF SERVICES
Street Name Signs /Traffic Signs - 325:
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% a year.
The traffic sign account covers maintenance and replacement of
approximately 2,500 traffic signs.
CITY OF EDINA ANNUAL BUDGET eecc . u
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC WORKS
TRAFFIC & STREET NAME SIGNS
325 - 30
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
$25.349
$39.388
$30.895
531.500
$29.500
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
0
0
500
500
500
CONO!)ITIES:
4504 GENERAL SUPPLIES
6,997
11,134
13,490
7,500
7,500
4542 SIGNS & POSTS
11,600
15,273
21,785
12,000
15,000
4544 PAINT
400
2.849
500
500
1,000
18,997
29.256
35.775
20.000
23.500
TOTAL STREET MAZE SIMS
544,346
568,644
567,170
$52,000
$53,500
L*11 T Vr cunt!% MI'Volow vv%a�
FUND: FUNCTION: AREA:
GENERAL — 10 1 PUBLIC WORKS I TRAFFIC CONTROL
SUMMARY OF SERVICES
Traffic Signal Maintenance - 330:
PROGRAM:
330 THRU 335 - 30
The City owns and maintains six traffic signal systems, and in conjunction
with the State, maintains an additional six signal systems. Electronic
maintenance is performed down to the 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 - 335:
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:
Project Materials Used
- Center line striping of State aid streets 450 gallons paint
- Lane striping 250 gallons paint
- Painting legends & arrows on pavement and
parking lots; and 70 school crossings 50 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 4544 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 DAM - 2u
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC WORKS
TRAFFIC CONTROL
330 THRU 335 - 30
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
TRAFFIC SIGNAL MAINTENANCE-330
PERSONAL SERVICES:
4105 PAYROLL
$5,143
$8,298
58,400
58,400
58,400
CONTRACUAL SERVICES:
4248 CONTRACTED REPAIRS
0
0
0
500
500
4252 LIGHT & POWER
27,744
41,704
34,000
34,000
40,000
4274 EQUIPMENT MAINTENANCE
2,470
8,486
4,600
10,000
10,000
30,214
50,190
38,600
44,500
50,500
CIA KW ITIES:
4504 GENERAL SUPPLIES
1,298
391
450
1,000
1,000
4540 REPAIR PARTS
807
1,367
2,000
3,000
3,000
2,105
1,758
2,450
4,000
4,000
TOTAL TRAFFIC
SIGNAL MAINTENANCE
$37,462
$60,246
$49,450
$56,900
$62,900
PAVEMENT MARKING - 335
PERSONAL SERVICES:
4105 PAYROLL
$16,520
$14,806
512,820
$18,800
$19,000
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
0
0
0
500
500
CQMMIODITIES:
4504 GENERAL SUPPLIES
712
4,431
900
2,000
2,000
4544 PAINT & PAVEMENT MARKING
5,457
7,228
11,040
12,000
12,000
6,169
11,659
11,940
14,000
14,000
TOTAL PAVEMENT PIA KING
$22,689
$26,465
$24,760
$33,300
$33,500
TOTAL TRAFFIC CONTROL
$60 ,151
$86,711
$74,210
$90,200
$96,400
CITY OF EDINA ANNUAL BUDGET PAGE - 39
FUND: FUNCTION: AREA: PROGRAM:
BRIDGES/
GENERAL - 10 PUBLIC WORKS GUARD RAILS 343 - 30
SUMMARY OF SERVICES
Bridges /Guard Rails - 343:
The sign shop is responsible for the sanding, priming and painting of
bridge rails and guideposts. There are 18 bridges and culverts in the
City. 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 DAnc - An
FUND:
FUNCTION:
AREA:
PROGRAM:
BRIDGES/
GENERAL - 10
PUBLIC WORKS
GUARD RAILS
343 - 30
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
BRIDGES /GUARD RAILS - 343
PERSONAL SERVICES:
4105 PAYROLL
$5,163
54,376
58,000
$13,600
$10,000
CONTRACTUAL SERVICES:
4226 EQUIPMENT RENTAL
0
0
0
500
500
C01 IODITIES:
4504 GENERAL SUPPLIES
474
3,515
2,000
3,000
3,000
4546 GUARD RAIL MATERIAL
1,431
508
1,000
2,000
2,000
1,905
4,023
3,000
5,000
5,000
TOTAL BRIDGES /GUARD RAILS
$7,068
58,399
$11,000
$19,100
$15,500
A \Ilk1I I A I Ift1 1114%CT
V11 1 Vr GV1111M r%5V1VVPw vvvv�■ G -
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 1 PUBLIC WORKS I STORM DRAINAGE 1 345 - 30
SUMMARY OF SERVICES
Storm Drainage:
Maintenance to the City's 85 miles ( approx.) of storm sewer and 2,500
(approx.) catch basins occurs on a demand basis with 60% of the funds
going towards rebuilding deteriorated storm sewer catch basins and man-
holes. Replacing and /or relocating broken or deteriorated pipe or
culvert constitutes 20% of the funds, with the remaining 20% allocated
for purchase of castings, rip -rap and the maintenance, repairs, and the
power and lights for storm lifts.
Temporary drainage funds are utilized on an as needed basis for emergency
pumping and sandbagging during heavy storms and spring thaw.
Explanation of Change:
This area was placed in the storm utility fund in 1989.
CITY OF EDINA ANNUAL BUDGET
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC WORKS
STORM DRAINAGE
345 - 30
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
STORM DRAINAGE - 345
PERSONAL SERVICES:
4105 PAYROLL
$430
50
50
50
50
OONTRAC IIRL SERVICES:
4201 PROFESSIONAL SERVICES
0
0
0
0
0
4224 TELEVISION INSPECTION
0
0
0
0
0
4252 LIGHT & POWER
0
0
0
0
0
0
0
0
0
0
IT1ES:
4504 GENERAL SUPPLIES
0
0
0
0
0
4518 FILL MATERIALS
0
0
0
0
0
4550 PIPE
0
0
0
0
0
4552 CASTINGS AND CEMENT
0
0
0
0
0
4554 HEADWALLS AND CEMENT
0
0
0
0
0
0
0
0
0
0
TOTAL STORM DRAINAGE
$430
50
SO
50
$0
-9r %J 0% U- r.1.IL . A
A\IL211A. n..AnrT
..... %09 v....... ........r.� ........� . PAUL - 43
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 1 PUBLIC WORKS LAKES & PONDS 1 358 - 30
SUMMARY OF SERVICES
Lake and Pond Maintenance - 358:
Funds for this account are applied towards aquatic weed control in the
City lakes, creeks and ponds in 22 locations. Methods for control
include the application of weed killers and /or dredging. Larger projects
are taken care of by contracted services. Millpond and Indianhead Lake
are neighborhood supported.
Explanation of Change:
This area was placed in the storm utility fund in 1989.
CITY OF EDINA ANNUAL BUDGET PArF - LL
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC WORKS
LAKES AND PONDS
358 30
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
$O
$O
$O
SO
$O
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
2,631
0
0
0
0
4252 LIGHT AND POWER
0
0
0
0
0
4310 LICENSES AND PERMITS
100
0
0
0
0
2,731
0
0
0
0
COMMODITIES:
4504 GENERAL SUPPLIES
0
0
0
0
0
4548 RIP-RAP, HEADWALLS &
SPECIAL STRUCTURES
0
0
0
0
0
0
0
0
0
0
TOTAL LAKES & PONDS
$2,731
$O
$0
SO
$0
CITY OF EDINA ANNUAL BUDGET PAGE - 45
FUND
GENERAL - 10
FUNCTION:
PUBLIC WORKS
AREA:
SIDEWALKS - RAMPS
PARKING LOTS
SUMMARY OF SERVICES
Sidewalks - Maintenance and Repair - 365:
PROGRAM:
365 THRU 375 - 30
Maintenance and repairs for the City's 17 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 - 370:
Removal of snow from the City's 17 miles of sidewalk is another
responsibility of the street department. One snow plow /blower is
used to accomplish this task. Under normal conditions it takes 3 to 5
days to clear walks.
Parking Ramp Maintenance - 375:
The City owns 3 parking ramps in downtown Edina. Each ramp consists of
3 levels with 302 spaces in the south ramp and 274 spaces in the north
ramp and 150 in the newest north ramp. The funds from this account are
allocated towards plowing, sweeping, lighting, and cleaning supplies and
contractual services.
Explanation of change:
$10,000 of the parking ramp maintenance costs will be assessed against the
50th & France Business Association.
CITY OF EDINA ANNUAL BUDGET "cc LA
FUND:
FUNCTION:
AREA:
PROGRAM:
SIDEWALKS - RAMPS
GENERAL - 10
PUBLIC WORKS
PARKING LOTS
365 THRU 375 - 30
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
SIDEWALKS - MAINTENANCE
& REPAIR - 365
PERSONAL SERVICES:
4105 PAYROLL
$2.773
$4.149
58.400
$8.400
58.000
COMMODITIES:
4504 GENERAL SUPPLIES
1,140
1,406
2,000
2,000
2,000
4518 FILL
1,052
273
1,000
1,000
1,000
4524 BLACKTOP
0
404
1,000
1,000
1,000
4528 CONCRETE
1,207
599
1.000
1.000
2.000
3.399
2.682
5.000
5.000
6,000
TOTAL SIDEWALK -
MAINTENANCE & REPAIR
$6.172
$6.831
$13.400
$13.400
$14.000
SIDEWALKS - SNOW &
ICE REMOVAL - 370
PERSONAL SERVICES:
4105 PAYROLL
$7,000
$7,000
$7,000
4110 OVERTIME
2.000
2.000
2.000
$5.776
$2.211
9.000
9.000
9.000
COMMODITIES:
4504 GENERAL SUPPLIES
500
0
500
500
500
TOTAL SIDEWALK - SNOW
& ICE REMOVAL
$6.276
$2.211
$9.500
$9.500
$9.500
PARKING RAMP MAINTENANCE 375
PERSONAL SERVICES:
4105 PAYROLL
$3,700
$3,700
$2,000
4110 OVERTIME
2.000
2,000
1,000
$11.870
$7.404
5.700
5.700
3.000
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
0
250
4,000
4,000
4,000
4252 LIGHT AND POWER
21.827
30.831
27.000
27.000
23,000
21.827
31.081
31.000
31.000
27.000
COMMODITIES:
4504 GENERAL SUPPLIES
2,918
544
2,000
2,000
2,000
4512 CLEANING SUPPLIES
214
0
400
400
400
4540 REPAIR PARTS
8.964
2.156
2.000
2.000
3.000
12.096
2.700
4.400
4.400
5.400
TOTAL PARKING
RAMP MAINTENANCE
$45.793
$41.185
$41.100
$41.100
$35.400
A M&II I A I If1/%CT
VI 1 1 Vr GVII'm vvwr -% vv %.a ■ NAGt — 4/
FUND: FUNCTION: AREA: PROGRAM:
SIDEWALKS — RAMPS
GENERAL — 10 PUBLIC WORKS I PARKING LOTS 1 380 — 30
SUMMARY OF SERVICES
Parking Lot Maintenance — 380:
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 PAnF - GR
FUND:
FUNCTION:
AREA:
PROGRAM:
SIDEWALKS - RAMPS
GENERAL - 10
PUBLIC WORKS
PARKING LOTS
380 - 30
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PARKING LOT
MAINTENANCE - 380
PERSONAL SERVICES:
4105 PAYROLL
$1,680
81,085
$5,800
$5,800
$6,000
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
0
622
500
500
500
OOTIIODITIES:
4504 GENERAL SUPPLIES
200
144
150
250
250
4522 SAND, GRAVEL, 8 ROCK
0
0
500
1,000
1,000
4524 BLACKTOP
2,193
271
8,000
10,000
10,000
4526 ROAD OIL
0
0
0
2,000
2,000
2,393
415
8,650
13,250
13,250
TOTAL PARKING LOTS
4,073
2,122
14,950
19.550
19,750
TOTAL SIDEWALKS - RAMPS
i PARKING LOTS
$62,314
852,349
$78,950
$83,550
$78,650
w9t��f'U
1992 Annual Budget
Public Safety
Public Safety Overview
Public Safety - Distribution by Area
OM;- /CCOLI
Inspections (4 %)
lealth (5 %)
Public Safety - Distribution by Expenditure
5alarw
Contras _. - - _. ,- . -,
Equipment (5 %)
,ommodities (1%)
ces (21 %)
VI 1 T Vr cumm Mn119%J vvv%A PAUL - 49
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 1 PUBLIC SAFETY I POLICE PROTECTION 1 420 thru 430 - 42
SUMMARY OF SERVICES
Police:
Personal services consist of three - fourths (3/4) of an Executive Management III,
one J1) PS Management III, four (4) PS Management II's, seven (7) PS Management I's,
two 2) PS General II's' one (1) Technical Management II, three (3) Technical H's, thirty (36) bargaining employees, police dispatchers and community
service officers.
The City of Edina Police Department is called upon to perform many emerg-
ency and public service tasks throughout the year. In 1990, the department
responded to over 20,000 calls for service which involved medicals, fires,
emergencies, accidents, animal control problems, vehicle and residential lockouts,
thefts, damage to property, suspicious persons & vehicles, alarm responses as
well as public service and educational activities.
The City reported approximately 1,700 major Part I crimes such as burglary, robbery,
assault, etc., with an additional 1,100 misdemeanor or lessor crimes also reported.
Police respond to emergency calls within five minutes and to non - emergency calls
within ten 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 total Police budget is directly or indirectly spent on labor.
Labor is distributed with 79% dedicated to patrol functions, 15% for investigations
and 6% for administration.
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 Changes:
- One position has been frozen in this program area
- A $13,000 decrease in the data processing area reflects the change from LOGIS
to our own computer system.
CITY OF EDINA ANNUAL BUDGET PACP - 5n
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC SAFETY
POLICE PROTECTION
420 thru 430 - 42
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
POLICE SERVICES - 420
PERSOMAL SERVICES:
4105 PAYROLL
$2,328,600
$2,328,531
$2,414,233
4110 OVERTIME
40.000
37.500
37,500
$2.089,325
•$2.302,420
2.368,600
2,366.031
2.451.733
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
3,757
7,167
3,564
2,000
2,000
4202 CONTINUING EDUCATION
16,409
19,308
16,500
12,110
12,110
4204 DUES 8 SUBSCRIPTIONS
1,010
748
1,800
650
650
4206 MEETING EXPENSE
354
532
480
350
350
4208 MILEAGE
4,333
4,890
360
300
300
4226 EQUIPMENT RENTAL
25,539
26,606
8,840
28,300
28,300
4233 DATA PROCESSING-LOGIS
43,115
48,292
38,520
38,000
25,000
4262 LAUNDRY
147
294
262
500
500
4266 UNIFORM ALLOWANCE
32,751
33,709
38,356
28,000
28,000
4268 TELETYPE SERVICE
1,110
1,372
1,320
2,320
2,320
4274 EQUIPMENT MAINTENANCE
2,255
3,486
1,555
11,380
11,380
4283 RANGE RENTAL
3,000
3,000
3,000
3,000
3,000
4288 SERVICE CONTRACT-EQUIP.
8.290
19.029
7.762
11.700
11.700
142,068
168.433
122,319
138.610
125.610
CORMITIES:
4502 BOOKS AND PAMPHLETS
986
2,391
3,660
1,000
1,000
4504 GENERAL SUPPLIES
8,365
10,500
8,520
5,300
5,300
4508 PHOTOGRAPHIC SUPPLIES
1,972
3,779
2,800
2,700
2,700
4510 FIRST AID SUPPLIES
37
30
260
350
350
4572 AMMUNITION
7,151
7,398
4,772
7,600
7,600
4600 PRINTING
4,992
10,649
12,110
6,500
6,500
4642 SAFETY EQUIPMENT
1.097
1.556
1,184
1.100
1.100
$24.600
536.303
$33.306
$24.550
$24,550
A \like) I Sl 1r1P%1L_ T
%01 1 1 Vr LL111em r+1V116%F aavvvA&_ ■ PAGE - 51
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 1 PUBLIC SAFETY I POLICE PROTECTION 1 420 thru 430 - 42
Total Police Budget
Reserve Program - 430:
SUMMARY OF SERVICES
1991 1992 %
$3,506,088 $3,608,682 2.9
The reserve program is comprised of the Senior Police Reserve (8 members),
Explorer Post 925 (20 members), the Edina Police Reserve (12 members) and the
Police Senior Volunteers (7 members).
Senior Police Reserves perform 640 hours of contract work ranging from crime
prevention to personnel recruiting.
Explorer Post 925 contributes approximately 2,000 hours of public services to
various community events and programs. This is in response to career orientation
and training provided by the Police Department.
The Edina Police Reserve serves the community in excess of 1,800 hours annually.
They perform work during special events and provide non - emergency service work
and patrol.
The Police senior volunteers work four hours a day, five days a week for a total
of 1,000 hours annually. Telephone answering, receptionist work and other
administrative tasks are performed.
CITY OF EDINA ANNUAL BUDGET DAM . c.)
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC SAFETY
POLICE PROTECTION
420 thru 430 - 42
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
CENTRAL SERVICES:
4802 GENERAL
$542,400
$570,000
$602,700
$602,700
$614,700
4804 CITY HALL
44,160
45,600
47,160
47,160
48,192
4808 EQUIPMENT OPERATION
127.800
135.600
143.100
143.100
159.960
714.360
751.200
792.960
792.960
822,852
EQUIPMENT:
4901 REPLACEMENT
121,176
108,222
136,000
162,287
162,287
4902 NEW
0
1.559
0
0
0
121.176
109.781
136.000
162.287
162 -.287
TOTAL POLICE SERVICES
$3.091.529
$3.368.137
$3.453.185
$3.484,438
$3.587.032
RESERVE PROGRAM - 430
PERSONAL SERVICES:
4105 PAYROLL
$10.100
$12.100
$13.200
$14.850
$14,850
CONTRACIWL SERVICES:
4202 CONTINUING EDUCATION
3,083
3,044
2,950
3,000
3,000
4206 MEETING EXPENSE
26
994
700
1,000
1,000
4266 UNIFORM ALLOWANCE
2.746
2.387
2.238
2.000
2.000
5.855
6.425
5.888
6.000
6.000
COMCODITIES:
4504 GENERAL SUPPLIES
106
351
622
300
300
EQUIPMENT:
4901 REPLACEMENT
0
0
367
500
500
TOTAL RESERVE PROGRAM
$16.061
$18.876
$20.077
$21.650
$21.650
TOTAL POLICE PROTECTION
$3,107,590
$3,387,013
$3,473,262
$3,506,088
$3,608,682
� uIka@ a At 1 0%9-T
vl 1 T Vr CN11MM wv�� a
FUND: FUNCTION: AREA:
GENERAL - 10 PUBLIC SAFETY CIVILIAN DEFENSE
SUMMARY OF SERVICES
Civilian Defense:
PROGRAM:
460 - 46
Personal Services consist of one - fourth (1/4) the time of an Executive Management
III. 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 ten air warning sirens, ensures the operation of government and the
maintenance of emergency services during disasters.
1991 1992 %
Total Civilian Defense Budget $27,214 $27,761 2.0
�-_r
CITY OF EDINA ANNUAL BUDGET
ew r_e _ ct
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC SAFETY
CIVILIAN DEFENSE
460 - 46
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
$14.500
$22.514
$26.000
$18.250
$18.797
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
0
580
500
1,000
1,000
4202 CONTINUING EDUCATION
805
352
300
300
300
4204 DUES 8 SUBSCRIPTIONS
35
45
45
45
45
4252 LIGHT AND POWER
1,876
864
798
675
675
4256 TELEPHONE
31
0
0
90
90
4266 UNIFORM ALLOWANCE
0
0
0
0
0
2.747
1.841
1.643
2.110
2.110
COMMODITIES:
4504 GENERAL SUPPLIES
0
477
500
1.000
1.000
EQUIP1EMT:
4901 REPLACEMENT
10.288
0
0
5.854
5.854
TOTAL CIVILIAN DEFENSE
$27,535
$24,832
$28,143
$27,214
$27,761
.�.. � &M A \III I A I Ir1f±GT
0 1 T OF E—CHINA rI11111%%0r, arv%lL. 1
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 PUBLIC SAFETY ANIMAL CONTROL 470 - 47
SUMMARY OF SERVICES
Animal Control:
Personal services consist of one (1) Public Safety General H. Animal control
is provided 16 hours per day by augmenting the one Animal Control Officer with
CSO's 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 protection of property.
1991 1992 %
Total Animal Control Budget $56,675 $57,482 1.4
J
1
'J
l
CITY OF EDINA ANNUAL BUDGET
n- _ et
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC SAFETY
ANIMAL CONTROL
470 - 47
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
$27,500
$28,895
$29,762
4110 OVERTIME
$1,500
1,500
1.500
$27.223
$30.418
29.000
30.395
31.262
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
331
264
300
650
650
4278 KENNEL SERVICES
4.656
5.428
5.300
5.500
5.500
4.987
5.692
5.600
6.150
6.150
COMMODITIES:
4504 GENERAL SUPPLIES
2.113
3.019
3.000
3.000
3.000
CENTRAL SERVICES:
4802 GENERAL
7,200
7,800
8,100
8,100
8,400
4808 EQUIPMENT OPERATION
3.600
3.600
3.780
3.780
3.420
10.800
11.400
11.880
11.880
11.820
EQUIPMENT:
4901 REPLACEMENT
2.493
12.102
0
5.250
5.250
TOTAL ANIMAL CONTROL
$47,616
$62,631
$49,480
$56,675
$57,482
A IkIlkIl I A SI I If%L_T
1111 T Vr GLJIIrF% P% Ile IVV/1v YVVM0- . PAUL -
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 PUBLIC SAFETY I FIRE PROTECTION 1 440 - 44
SUMMARY OF SERVICES
Fire:
Personal Services consist of one (1) Management III, two (2) PS Management
III's, three (3) PS Management I's, three (3) F.M.O.'s, twelve (12)
Paramedics, five (5) Inspectors, three (3) Firefighters, one (1) Technical
III, one -half (1/2) time Clerical and fourteen (14) Volunteer Firefighters
Services are provided in four primary areas: fire suppression, hazardous
materials response, emergency medical services and fire prevention.
The primary purpose of fire suppression is to provide an immediate response
to protect lives, property and the environment from fire and other
life- threatening conditions, such as hazardous materials spills /release.
This response should place the first pumper on the scene within 7 minutes at
least 90% of the time. Typical actions are search, rescue, and removal of
persons in immediate danger, interior fire attack to stop fire development,
exterior fire streams to prevent fire extension, fire extinguishment and
necessary measures to minimize property damage by smoke, water, weather and
release of hazardous materials. Equipment consists of three (3) pumpers,
one (1) aerial tower and support vehicles. In 1990, 610 fire responses
included fires (structure, vehicles, outside) and public service emergency
calls. Fire calls have averaged around 700 for the past ten years.
The purpose of Emergency Medical Services (EMS) is to provide an immediate
and advanced life support response to the community's medical emergencies
resulting from accident, sudden illness or injury, and place an ambulance on
the scene within 7.0 minutes at least 90% of the time. Equipment consists
of two (ALS) paramedic ambulances. 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 programs and training to better prepare citizens to
prevent or react to emergency medical situations. In 1990, medical calls
totalled 2,159. The trend in emergency calls is upward, increasing at an
average rate of 155 calls per year.
The goal of fire prevention activities is two -fold: first, to prevent fire
ignition whenever possible, and second, when fires do occur, to minimize
fire impact on lives and property by early fire detection, automatic fire
suppression, and limit fire extension with building compartmentation; also
maximize citizen survival by teaching proven fire safety techniques. All
Fire Department personnel are involved in public information programs and
annual inspection activities. Fire Inspectors typically make the
specialized permit and approval inspections.
I%.
CITY OF EDINA ANNUAL BUDGET DAnc SR
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC SAFETY
FIRE PROTECTION
440 - 44
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
1,344,000
$1,334,811
$1,395,413
4110 OVERTIME
$100.000
94.000
74.000
$1.337.146
$1.452.594
1.444.000
1.428.811
1.469,413
OO TRACiILLL SERVICES:
4201 PROFESSIONAL SERVICES
3,942
16,158
3,900
2,000
2,000
4202 CONTINUING EDUCATION
9,818
12,922
11,798
8,250
8,250
4204 DUES 8 SUBSCRIPTIONS
1,333
1,028
1,364
1,000
1,000
4206 MEETING EXPENSE
866
361
1,150
500
500
4208 MILEAGE
74
0
190
200
200
4226 EQUIPMENT RENTAL
2,654
1,714
4,066
2,800
2,800
4233 DATA PROCESSING
3,356
1,215
1,700
4,000
5,000
4246 PHYSICAL EXAMINATION
74
184
0
0
0
4248 CONTRACTED REPAIRS
10,451
7,363
3,052
14,700
14,700
4250 RUBBISH REMOVAL
998
1,880
1,464
600
600
4252 LIGHT AND POWER
8,798
11,017
8,595
10,000
10,000
4254 HEAT
5,407
5,968
5,910
8,000
8,000
4258 SEWER AND WATER
600
27
400
800
800
4262 LAUNDRY
2,337
2,673
2,442
2,700
2,700
4266 UNIFORM ALLOWANCE
7,034
7,977
10,640
9,600
9,600
4274 PREVENTATIVE MAINTENANCE
5,762
3,695
3,725
2,300
2,300
4310 LICENSES AND PERMITS
192
40
100
200
200
63.696
74.222
60.496
67.650
68.650
COMMODITIES:
4502 BOOKS -AND PAMPHLETS
287
638
1,070
400
400
4504 GENERAL SUPPLIES
7,883
11,912
6,224
10,700
10,700
4508 PHOTOGRAPHIC SUPPLIES
371
94
180
900
900
4510 FIRST AID SUPPLIES
10,280
12,046
9,276
11,000
11,000
4512 CLEANING SUPPLIES
737
925
875
800
800
4516 OFFICE SUPPLIES
778
899
820
800
800
4540 REPAIR PARTS
4,135
2,664
2,265
2,300
2,300
4570 HAZARDOUS MATERIALS
632
847
750
2,000
2,000
4574 PROTECTIVE CLOTHING
1,197
2,947
3,300
4,000
4,000
4580 TOOLS
49
501
800
900
900
4608 TRAINING AIDS
529
757
926
2,000
2,000
4650 FIRE PREVENTION
1.770
1.049
1.100
1.300
1.300
$28.648
$35.279
$27.586
$37.100
$37.100
� uu■ � � ■ w• ■w,/�rT
V11 T Vr cuuv*% vv%a PAUL - 59
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 PUBLIC SAFETY FIRE PROTECTION 440 - 44
SUMMARY OF SERVICES
Explanation of change:
A $20,000 decrease in the overtime area is proposed.
Total Fire Budget
1991 1992 %
$2,060,827 $2,119,869 2.9
-. /
CITY OF EDINA ANNUAL BUDGET oer-F . An
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC SAFETY
FIRE PROTECTION
440 - 44
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
CENTRAL SERVICES:
4802 GENERAL
$314,400
$330,000
$341,900
$341,712
$351,312
4808 EQUIPMENT OPERATION
45,600
48.000
55.000
50.400
58.240
360.000
378,000
396.900
392.112
409.552
EQUIPMENT:
4901 REPLACEMENT
88,910
54,811
24,400
135,154
135,154
4902 NEW
25,654
1.736
0
0
0
114,564
56.547
24.400
135.154
135.154
TOTAL FIRE PROTECTION
$1,904,054
$1,996,642
$1,953,382
$2,060,827
$2,119,869
CITY OF EDINA ANNUAL BUDGET PAGE - 61
FUND
GENERAL - 10
Public Health:
FUNCTION:
PUBLIC SAFETY
AREA:
PUBLIC HEALTH
SUMMARY OF SERVICES
PROGRAM:
480 - 48
Personal services consist of one 11) Executive Management II, one (1) Technical
Management IV, one third (1/3) a echnical Management III, one fourth (1/4) a
Technical II, and one half (1/2) a Technical I.
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 $75,464
Family Health 30,697
Health Promotion 11,511
Disease Prevention
and Control 10.232
Total $127,904
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 1990, the Department performed 211 food establishment inspections, 686
swimming pool inspections, 79 nuisance investigations, 2 Minnesota Clean
Indoor Air complaint investigations, 10 housing complaint investigations
and analyzed 6,280 food and water samples for 10 local units of government.
Total Health Budget
Explanation of Change:
1991 1992 %
$306,667 $324,280 5.7
The personal public health service contract with Bloomington was awarded at $125,
for 1991. The 1991 contract was $7,914 over budget. The proposed contract
contract cost of $127,904 reflects a 2.0% increase.
CITY OF EDINA ANNUAL BUDGET PAGE - 62
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL • 10
PUBLIC SAFETY
PUBLIC HEALTH
480 48
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
$101.571
$120.043
$125.000
$125.358
$131.482
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
99,590
112,295
115,750
117,483
127,904
4202 CONTINUING EDUCATION
1,003
1,166
1,556
1,100
1,100
4204 DUES 8 SUBSCRIPTIONS
269
255
150
225
225
4208 MILEAGE
1,356
1,416
966
900
900
4262 LAUNDRY
113
112
115
115
115
102.331
115.244
118.537
119,823
130.244
COMODITIES:
4504 GENERAL SUPPLIES
5,880
9,048
2,000
2,700
2,700
4508 PHOTOGRAPHIC SUPPLIES
6
14
42
40
40
4600 PRINTING
104
77
394
50
50
5.990
9.139
2.436
2.790
2.790
CENTRAL SERVICES:
4802 GENERAL
37,800
38,400
38,880
38,880
40,080
4804 CITY HALL
3,240
3,240
3,360
3,360
3,420
4806 PUBLIC WORKS BUILDING
4,740
4,800
4,920
4,920
5,328
4808 EQUIPMENT OPERATION
3.600
4.200
4.380
4.380
3.780
49.380
50.640
51.540
51.540
52.608
EQUIPMENT:
4901 REPLACEMENT
2.984
0
0
7.156
7.156
TOTAL PUBLIC HEALTH
$262,255
$295,066
$297,513
5306,667
$324,280
CITY OF EDINA
FUND:
GENERAL - 10
ANNUAL BUDGET
FUNCTION:
PUBLIC SAFETY
AREA:
INSPECTIONS
SUMMARY OF SERVICES
PAGE - 63
PROGRAM:
490 - 49
Inspections:
Personal services consist of one (1 ) Executive Management II, two (2) Technical
Management II's, one (1) Technical I, and part time help.
The Inspections Department issues 900 building permits per year. They also
enforce the Uniform Building Code, the State Building Code and make over 8,500
inspections a year. The department also issues over 900 plumbing permits and
1,200 mechanical permits per year.
The Building Department also receives several complaint calls per week from
residents which are investigated promptly.
Total Inspections Budget
1991 1992 %
$260,673 $265,819 2.0
1
CITY OF EDINA ANNUAL BUDGET eer,F - w
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PUBLIC SAFETY
INSPECTIONS
490 - 49
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
$184,717
$197,129
$196,020
5182,122
$183,900
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
490
4,341
3,200
2,500
2,500
4202 CONTINUING EDUCATION
2,261
2,211
1,560
2,400
2,400
4204 DUES 8 SUBSCRIPTIONS
308
608
200
500
500
4208 MILEAGE
120
50
25
100
100
3,178
7,210
4,985
5,500
5,500
CON I=ITIES:
4502 BOOKS AND PAMPHLETS
250
79
50
500
500
4504 GENERAL SUPPLIES
1,496
2,404
500
600
600
4600 PRINTING
0
0
800
1,000
1,000
1,746
2,483
1,350
2,100
2,100
CENTRAL SERVICES:
4802 GENERAL
44,400
46,800
48,960
48,960
52,560
4804 CITY HALL
7,080
7,200
7,480
7,480
7,608
4808 EQUIPMENT OPERATION
7,200
7,200
7,440
7.440
7,080
58,680
61,200
63,880
63,880
67,248
EQUIPMENT:
4901 REPLACEMENT
0
12,289
11.,200
7,071
7,071
4902 NEW
8,043
14,226
0
0
0
8,043
26,515
11,200
7,071
7,071
TOTAL INSPECTIONS
$256,364
$294,537
$277,435
$260,673
$265,819
1992 Annual Budget
Park & Recreation
Park & Recreation Overview
Park & Recreation - Distribution by Area
Maintenance 0
Administration (22 %)
Park & Recreation - Distribution of Expenditure
Contract. Svc. (15 %)
Comn
renal
Equipment (5 %)
ces (23 %)
A.TV 0% N ffi— 1,I
A\IAl11A a1r%0%CT
I Vr I— IV V§W%A ■ — bb
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 PARK K RECREATION ADMINISTRATION 1 600 - 60
SUMMARY OF SERVICES
Administration:
Personal Services consist of one (1) Executive Management III, one (1)
Executive Management I, three (3) Technical Management III's, one (1)
Technical II, one -third (1/3) of a Technical III and part -time help.
Responsibility is to administer and maintain the entire Park and
Recreation Department, including 37 parks totaling 1,200 acres of park
property; revenue facilities (Golf Course, Arena, Swimming Pool, Art Center,
Gun Range, Edinborough Park, and Centennial Lakes Park); administering a senior
citizen's center and programing it; adaptive recreation program, administering and
scheduling adult and youth recreational programs and eleven athletic associations
(Baseball Association, Basketball Association, Girls' Athletic Association, Youth
softball Association, Swim Club, Wrestling Association, Figure skating Club,
Football Association and Soccer Association), and working closely in operation and
administration of the Edina Garden Council, the Edina Historical Society and
the Edina Museum.
Total Park & Recreation Budget
1991 1992 %
$1,725,032 $1,715,774 -.5
CITY OF EDINA ANNUAL BUDGET
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PARK & RECREATION
ADMINISTRATION
600 - 60
SUMMARY OF EXPENDITURES
1991
ACCT. DESCRIPTION
1989
ACTUAL
1990
ACTUAL
1992
ADOPTED
ESTIMATED
BUDGETED
PERSONAL SERVICES:
4105 PAYROLL
$224.163
$239.277
$270.000
$269.518
$276.606
OONTRACTtARL SERVICES:
4201 PROFESSIONAL SERVICES
38,714
29,659
8,354
5,000
5,000
4202 CONTINUING EDUCATION
3,722
5,485
5,300
3,300
3,300
4204 DUES & SUBSCRIPTIONS
1,917
1,465
3,432
1,200
1,200
4208 MILEAGE
2.486
1.513
2.055
10000
1.000
46.839
38.122
19.141
10.500
10.500
CONWITIES:
4502 BOOKS & PAMPHLETS
10
20
60
100
100
4504 GENERAL SUPPLIES
660
658
3,436
1,000
1,000
4516 OFFICE SUPPLIES
291
236
500
500
500
4600 PRINTING
390
6.542
10.906
1.000
1.000
1.351
7.456
14.902
2.600
2.600
CENTRAL SERVICES:
4802 GENERAL
66,000
66,050
69,120
69,120
70,320
4804 CITY HALL
14,520
14,950
15,600
15,600
15,900
4808 EQUIPMENT OPERATION
3.600
4.200
4.380
4.380
4.860
84.120
85.200
89.100
89.100
91.080
EQUIPMENT:
4901 REPLACEMENT
3.751
2.077
0
1.914
1.914
TOTAL ADMINISTRATION
$360,224
$372,132
$393,143
$373,632
$382,700
w� �w u■ A\1lk111 1 011r%0%1•T
Loll T OF EDINA ' 1141VUML oUV%Xr- I PAGE - 67
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 PARK & RECREATION RECREATION 621 THRU 623 - 62
SUMMARY OF SERVICES
Athletic Activities - 621:
These funds are used for recreational program equipment for 493 T -ball
participants, eleven athletic associations and all adult programs.
The eleven athletic associations are: Edina Baseball Association, Edina
Basketball Association, Edina Girl's Athletic Association, Edina Hockey
Association, Edina Gymnastics Association, Edina Youth Softball, Edina
Swim Club, Edina Wrestling Association, Braemar City of Lakes Figure
Skating Club, Edina Football Association, & Edina Soccer Association
Skating and Hockey - 622:
These funds are used for all supervision, general supplies, and equipment
for eleven warming houses, ten hockey rinks and general skating. This
consists of a ten week season, seven days a week from December 15 to February
15 and can stay open longer - weather permitting.
Tennis Instruction - 623:
These funds are used for supervision and instruction for 384 students, and
tennis nets and supplies for 44 tennis courts.
CITY OF EDINA ANNUAL BUDGET
Dart _ "
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PARK & RECREATION
RECREATION
621 THRU 623 - 62
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
ATHLETIC ACTIVITIES - 621
PERSONAL SERVICES:
4120 PAYROLL
$2,922
54,255
$2,192
$2,000
$2,000
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
0
86
80
100
100
4208 MILEAGE
3
0
82
100
100
3
86
162
200
200
COlMODITIES:
4504 GENERAL SUPPLIES
5,085
6,260
7,350
7,500
7,500
TOTAL ATHLETIC ACTIVITIES
58,010
510.601
$9,704
$9,700
$9,700
SKATING & HOCKEY - 622
PERSONAL SERVICES:
4120 PAYROLL
522,820
521,142
523,000
523.000
523,000
OONTRACIWL SERVICES:
4201 PROFESSIONAL SERVICES
4,982
9,328
2,500
2,500
2,500
COMMODITIES:
4504 GENERAL SUPPLIES
330
730
1,000
600
600
TOTAL SKATING & IKKM
$28,132
531,200
$26,500
526.100
$26,100
TENNIS INSTRUCTION - 623
PERSONAL SERVICES:
4120 PAYROLL
$8,116
$3,070
$8,000
58.000
$8,000
COMMODITIES:
4504 GENERAL SUPPLIES
1,774
2,945
2,415
2.000
2,000
TOTAL TENNIS INSTRUCTION
$9,890
56,015
$10,415
$10,000
$10,000
CA T OF LWINA ANNUAL DUU%X= I PAGE - 69
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 PARK & RECREATION RECREATION 624 THRU 625 - 62
SUMMARY OF SERVICES
Playgrounds - 624:
These funds are used for the operation of 13 playground programs, a traveling
puppet trailer, and general supplies.
Swimming Instruction - 625:
These funds are used for the busing of 1,000 students to the municipal
pool and for swimming instruction of them.
Recreational Participant Programs:
Revenues for the T -ball program, swimming instruction program, 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 1990 1991
T -ball 455 220
Tennis Instruction 637 544
Swimming Instruction 725 621
Playground 542 508
CITY OF EDINA ANNUAL BUDGET PArF - 7A
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PARK & RECREATION
RECREATION
621 THRU 628 - 62
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PLAYGROUND & THEATER - 624
PERSONAL SERVICES:
4120 PAYROLL
$14,927
$16,242
$14,750
$14.000
$14.000
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
1,225
470
100
100
100
COMODITIES:
4504 GENERAL SUPPLIES
3,736
7,184
5,410
4.000
4,000
TOTAL PLAYGROUND & THEATER
519.888
$23.896
$20.260
518,100
$18,100
SWIMMING INSTRUCTION - 625
PERSOIAL SERVICES:
4120 PAYROLL
$13.509
$12.434
$12.000
$9.000
59.000
CONTRACTUAL SERVICES:
4282 BUS RENTAL
9,528
(29,712)
9,000
9,000
9,000
4284 POOL RENTAL
5,000
5.000
5,000
5.000
5.000
14,528
(24,712)
14,000
14.000
14,000
COMODITIES:
4504 GENERAL SUPPLIES
296
148
1,100
300
300
TOTAL SHIMMING INSTRUCTION
$28.333
(512.130)
$27.100
523.300
$23.300
,ITV P►r x11161 A
A6I6u IAO
... _...... ........._. PAUL - /1
FUND: FUNCTION: AREA: PROGRAM:
GENERAL — 10 PARK & RECREATION RECREATION 627 THRU 628 — 62
SUMMARY OF SERVICES
Miscellaneous and Special Activities — 627:
These funds are used for programming in music and parks and
special activities instructors.
Senior Citizens — 628:
These funds are used for personnel, maintenance, janitorial services
and general supplies for the Senior Citizen's center.
CITY OF EDINA ANNUAL BUDGET PArr - 77
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PARK & RECREATION
RECREATION
627 THRU 628 - 62
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
MISCELLANEOUS & SPECIAL
ACTIVITIES - 627
PERSONAL SERVICES:
4120 PAYROLL
$1,335
$6,297
$9,000
$9,000
$7,000
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
14,224
8,678
9,350
3,500
3,500
COMMODITIES:
4504 GENERAL SUPPLIES
3,083
2,384
3,600
2,000
2,000
4508 PHOTOGRAPHIC SUPPLIES
35
117
160
200
200
4596 MUSIC SUPPLIES
663
729
830
1,000
1,000
4600 PRINTING
3,800
189
4,800
4.800
4,800
7,581
3,419
9,390
8,000
8,000
TOTAL NISCELLANEOU1S i
SPECIAL ACTIVITIES
$23,140
$18,394
$27,740
$20,500
$18,500
SENIOR CITIZENS - 628
PERSONAL SERVICES:
4120 PAYROLL
$1,778
$3,391
$7,200
$5,500
$4,000
CONTRACTUAL SERVICES:
4250 RUBBISH REMOVAL
0
0
0
800
800
4256 TELEPHONE
1,999
1,431
1,600
1,500
1,500
4262 LAUNDRY
15
0
0
0
0
2,014
1,431
1,600
2,300
2,300
COMMODITIES:
4504 GENERAL SUPPLIES
5,776
7,035
6,025
4.750
4,750
TOTAL SENIOR CITIZENS
$9,568
$11,857
$14,825
$12,550
$11,050
TOTAL RECREATION
$126,960
------- - - - - --
-------------
$89,833
------- - - - - --
------- - - - - --
$136,544
------- - - - - --
------ - - - - ---
$120,250
------- - - - - --
------- - - - - --
$116,750
------- - - - - --
------- - - - - --
uue ■ ■ At ■ 1A T
1r1 1 i Vr GV11-4jbi vv%a I
FUND: FUNCTION: AREA:
GENERAL - 10 PARK & RECREATION I PARK MAINTENANCE
SUMMARY OF SERVICES
Park Maintenance
PAYROLL
SUMMARY - DISTRIBUTION
PROGRAM:
Park Maintenance consists of sixteen (17) personnel which include the
following positions:
One (1) Technical Management III
Two (2) Heavy Equipment Operators
Thirteen (13) Light Equipment Operators
One (1) Janitor
Explanation of change:
One and a half postions have been frozen in this program area
Park & Recreation:
RECREATION:
CHARGED TO OTHER FUNDS:
MISC. & SPEC. ACT.
$ 7,000
CITY HALL $
10,400
SENIOR CENTER
3,000
SWIMMING POOL
9,100
MAINTENANCE:
GOLF COURSE
6,600
GENERAL MAINTENANCE
59,500
RECREATION CENTER
8,500
MOWING
53,800
ART CENTER
8.000
FIELD MAINTENANCE
55,200
GENERAL TURF CARE
45,100
TOTAL PARK
FORESTRY
80,200
MAINTENANCE PAYROLL $
536,694
LITTER REMOVAL
17,000
BUILDING MAINTENANCE
81,494
PATHS & HARD SURFACE
MAINTENANCE
11,000
SKATING RINK MAINT.
80.800
$536,694
CITY OF EDINA ANNUAL BUDGET
FUND: FUNCTION: AREA: PROGRAM:
SUMMARY OF SERVICES
THIS PAGE IS INTENTIONALLY LEFT BLANK.
NTV Ac Cr%@&I A
A Ai\il I l Ifts1r1/%CT
V■ ■ ■ V■ �V■■mr% VV VM` ■
FUND: FUNCTION: AREA:
GENERAL — 10 PARK 6 RECREATION I MAINTENANCE
SUMMARY OF SERVICES
I'Alit -
PROGRAM:
641 thru 642 — 64
General Maintenance — 640:
This account handles the paid leave, training and equipment maintenance
for the park maintenance programs. Paid leave includes sick, vacation,
and holiday pay.
Mowing — 641:
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 days.
CITY OF EDINA ANNUAL BUDGET DAM -
.FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PARK & RECREATION
MAINTENANCE
641 THRU 642 - 64
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
GENERAL MAINTENANCE 640
PERSONAL SERVICES:
4105 PAID LEAVE
$59.344
$83.675
$71,500
$71,500
859.500
CONTRACTUAL SERVICES:
4202 CONTINUING EDUCATION
2.132
2.922
2,030
2.500
2,500
CENTRAL SERVICES:
4802 GENERAL
171,000
180,000
186,000
186,000
181,200
4806 PUBLIC WORKS BUILDING
12,600
13,200
14,220
14,220
15,300
4808 EQUIPMENT OPERATION
90,600
96.000
100.980
100,980
106,380
274.200
289.200
301.200
301,200
302.880
TOTAL GENERAL MAINTENANCE
$335,676
$375.797
$374.730
$375.200
$364,880
MOWING - 641
PERSONAL SERVICES:
4105 PAYROLL
$53.240
$62,197
$42.686
$55.600
553.800
CONTRACTUAL SERVICES:
4248 CONTRACTED REPAIRS
50
0
0
0
0
COMMODITIES:
4504 GENERAL SUPPLIES
2.357
1.262
1.000
1.000
1,000
TOTAL MOWING
855.647
$63.459
$43.686
$56.600
$54.800
uu■ ■ ■ A■ ■!\/%cT
t,.11 T Vr LLium6% /1■INNIEW LTV L/V■V ■
FUND: FUNCTION: I AREA: PROGRAM:
GENERAL — 10 1 PARK & RECREATION MAINTENANCE 1 643 — 64
SUMMARY OF SERVICES
Field Maintenance — 642:
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 in holes
and regrading is done as needed during the playing season. All of the
field areas are fertilized each year, the grass is treated with a weed
chemical and also a soil sterilent is sued on the infield playing
surface. The grassy playing surface in all of these parks are seeded,
aerated and sometimes sod is replaced in worn out areas.
This account is supplemented by a $5 field use fee from participants.
General Turf Care — 643:
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.
CITY OF EDINA ANNUAL BUDGET PAGF - 7A
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PARK & RECREATION
MAINTENANCE
642 TNRU 643 - 64
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
FIELD MAINTENANCE - 642
PERSONAL SERVICES:
4105 PAYROLL
$48.967
$83.957
$63,190
$55,000
$55,200
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
42
598
500
500
500
4248 CONTRACTED REPAIRS
68
504
260
500
500
110
1,102
760
1,000
1.000
COMMODITIES:
4504 GENERAL SUPPLIES
337
279
1,200
3,000
3,000
4558 FERTILIZER
0
4,062
1,350
1,000
1,000
4561 INFIELD MIXTURE
307
716
1,330
1,500
1,500
4562 SOD & BLACK DIRT
0
0
0
1,500
1,500
4563 LINE MARKING POWDER
3,650
4,114
1,812
2,000
2,000
4566 WEED SPRAY
93
699
750
1,000
1,000
4568 SEED
0
0
0
1.000
1.000
4,387
9.870
6,442
11.000
11.000
TOTAL FIELD MAINTENANCE
$53.464
$94.929
$70.392
567,000
$67,200
GENERAL TURF CARE - 643
PERSONAL SERVICES:
4105 PAYROLL
$0
840,900
$40,000
$35,100
4110 OVERTIME
0
10,000
10,000
10,000
$67,643
48.022
50,900
50.000
45.100
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
4,022
17,200
15,000
5,000
5,000
4248 CONTRACTED REPAIRS
3,031
2,279
4,450
6,000
6,000
4310 LICENSES AND PERMITS
0
80
20
0
0
7.053
19.559
19,470
11,000
11.000
COMMODITIES:
4504 GENERAL SUPPLIES
1,497
501
3,500
4,000
4,000
4522 SAND, GRAVEL, & ROCK
0
826
0
1,000
1,000
4558 FERTILIZER
5,908
3,447
8,380
5,000
5,000
4562 SOD & BLACK DIRT
1,035
2,106
782
3,000
3,000
4566 WEED SPRAY
5,916
3,969
5,000
8,000
8,000
4568 SEED
3.290
4,334
1.000
3.000
3,000
17.646
15.183
18.662
24.000
24.000
TOTAL GENERAL TURF CARE
$92.342
$82,764
589.032
585.000
$80,100
� ulksm N 9%2 1r%AACT
%A 1 1 Vr, GL1FWgF% %A a-
FUND: FUNCTION: AREA: PROGRAM:
GENERAL — 10 PARK & RECREATION MAINTENANCE 644 THRU 645 — 64
SUMMARY OF SERVICES
Forestry — 644:
This account includes contracted tree removal and stump removal of boulevard
and park trees that are diseased. This account provides for maintenance of tree
trimming on boulevard and park trees. It also includes $5,000 for boulevard tree
replacement (20 trees), $5,000 for new park trees and shrubbery, and restocking
of the park tree nursery.
Litter Removal — 645:
These funds are used for maintenance and removal of all trash from 37
park areas on a daily basis in season or a weekly basis throughout the
entire year. This also includes the purchase of trash containers.
CITY OF EDINA ANNUAL BUDGET
aer.F an
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PARK & RECREATION
MAINTENANCE
644 THRU 645 - 64
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
FORESTRY - 644
PERSONAL SERVICES:
4105 PAYROLL
85,000
85,000
75,200
4110 OVERTIME
5.000
5,000
5,000
$79.859
$81.277
90.000
90,000
80,200
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
12,553
18,580
13,012
10,000
10,000
4248 CONTRACTED REPAIRS
94,175
15,033
8,230
36,000
36,000
4250 RUBBISH REMOVAL
7.148
6.493
8.240
10,000
10,000
113,876
40.106
29.482
56,000
56,000
Og000D1TIES:
4504 GENERAL SUPPLIES
609
1,837
1,000
1,000
1,000
4560 PLANTING & TREES
7,381
5,414
5,300
12,000
12,000
4562 SOD & BLACK DIRT
0
0
0
3,000
3,000
4580 TOOLS
1.392
2,362
1.700
3.000
3,000
9,382
9.613
8,000
19.000
19.000
TOTAL FORESTRY
203.117
130.996
127.482
165,000
155,200
LITTER REMOVAL - 645
PERSONAL SERVICES:
4105 PAYROLL
16,917
21.149
15.900
18.000
17,000
CONTRACTUAL SERVICES:
4250 RUBBISH REMOVAL
2.019
4.584
4.200
5.000
5,000
COMMCDITIES:
4504 GENERAL SUPPLIES
14.362
5.180
10.400
10.000
10,000
TOTAL LITTER REMOVAL
$33.298
$30,913
$30.500
$33.000
$32,000
lkrlkrr r r Ar or1/%C`T
lrl 1 T Vr cuiumm vv%rl- r PAUL 81
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 PARK & RECREATION MAINTENANCE 646 - 64
SUMMARY OF SERVICES
Building Maintenance - 646:
These funds are used for the maintenance, repair and cleaning of 16
buildings in the park system. These funds are also used for the upkeep and
new construction of the 10 hockey rinks in the park system.
Explanation of Increase:
Light & Power has been increased by $25,000 to bring the account more
in line with actual usage.
CITY OF EDINA ANNUAL BUDGET
Dsr.F - a2
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
PARK & RECREATION
MAINTENANCE
646 - 64
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
BUILDING MAINTENANCE - 646
PERSONAL SERVICES:
4105 PAYROLL
$90,405
$83,896
$88,000
588,000
$81,494
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
2,183
0
625
3,000
3,000
4248 CONTRACTED REPAIRS
14,586
12,006
11,320
20,000
20,000
4252 LIGHT & POWER
50,391
63,207
35,196
30,000
55,000
4254 HEAT
10,064
13,938
16,200
11,000
15,000
4256 TELEPHONE
612
1,649
2,020
1,000
2,000
4262 LAUNDRY
5,339
4,143
3,300
4,000
4,000
83,175
94,943
68,661
69,000
99,000
COIIODITIES:
4504 GENERAL SUPPLIES
17,970
19,507
21,000
20,000
20,000
4540 REPAIR PARTS
5,243
7,943
9,300
15,000
15,000
4580 TOOLS
740
588
3,310
2,000
2,000
4604 LUMBER
6,917
7,323
8,300
11,400
11,400
4606 LAMPS & FIXTURES
32
0
50
1,000
1,000
30,902
35,361
41,960
49,400
49,400
TOTAL BUILDING MAINTENANCE
$204,482
$214,200
$198,621
$206,400
$229,894
Vi 1 Vr r-wimm M1V119%0 v%a %ate
FUND: FUNCTION: AREA:
GENERAL - 10 PARK & RECREATION I MAINTENANCE
SUMMARY OF SERVICES
Paths & Hard Surface Maintenance - 647:
=:xi
PROGRAM:
647 THRU 650 - 64
These funds are used for the maintenance of all hard surface areas
within the park system. This includes resurfacing of 46 tennis courts,
resurfacing and maintaining 6 hard surface basketball courts, maintenance
of 27 playground areas, and maintenance and surfacing of 10 miles of
walking and bicycling paths within the park system.
The maintenance and replacement of the playground equipment in all 27
sites which we are now scheduling a total replacement of all equipment on
a ten to fifteen year basis depending on the piece of equipment with an
annual equipment allowance scheduled in this budget area of $30,000.
PARK
ESTIMATED VALUE
PARK
ESTIMATED VALUE
Alden
$ 23,125
McGuire
$ 7,750
Arden
12,363
Normandale
29,160
Arneson Acres
1,375
Pamela
13,713
Birchcrest
27,250
Strachauer
23,500
Braemar
14,913
Tingdale
24,575
Chowen
10,413
Todd
31,613
Lake Cornelia
52,863
Utley
4,250
Cornelia School
Van Valkenburg
Countryside
28,500
Walnut Ridge
6,813
Creek Valley
Weber
14,250
44th Street
5,813
William Wardell
Lewis 5,875
Garden
27,475
Wooddale
36,875
Heights
17,063
York
9,813
Highlands
27,750
Yorktown
Lake Edina
8,375
TOTAL EQUIPMENT
$465,465
Skating Rink Maintenance - 648:
These funds are used for flooding and maintaining an operation of
10 hockey rinks and 14 general skating areas.
Equipment - 650:
This account provides funding for the replacement of existing equipment
and the purchase of new equipment for all park programs.
CITY OF EDINA ANNUAL BUDGET PAGE - 86
FUND:
FUNCTION:
i
AREA:
PROGRAM:
GENERAL - 10
PARK & RECREATION
MAINTENANCE
647 THRU 650 64
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PATHS & HARD SURFACE
MAINTENANCE - 647
PERSONAL SERVICES:
4105 PAYROLL
$13.374
517,818
$13.120
$12,000
511,000
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
50,692
16.457
45.000
45.000
45.000
COMMODITIES:
4504 GENERAL SUPPLIES
757
454
880
2,000
2,000
4524 BLACKTOP
16
2,924
1,000
1,000
1,000
4526 ROAD OIL
395
498
500
1,000
1,000
1.168
3.876
2,380
4,000
4,000
TOTAL PATHS & HARD
SURFACE MAINTENANCE
65,234
38.151
60,500
61.000
60,000
SKATING RINK MAINTENANCE - 648
PERSONAL SERVICES:
4105 PAYROLL
84.265
77.599
94,080
90.500
80.800
CQOtmITIES:
4504 GENERAL SUPPLIES
699
1,958
1,920
4,000
4,000
4540 REPAIR PARTS
219
232
225
3,000
3,000
918
2,190
2.145
7.000
7,000
TOTAL SKATING RINK MAINT.
85,183
79,789
96,225
97,500
87,800
EQUIPMENT - 650
EQUIPMENT:
4901 REPLACEMENT
55,252
101.338
80,000
84,450
84,450
TOTAL EQUIPMENT
55,252
101,338
80,000
84.450
84,450
TOTAL PARK MAINTENANCE
$1,183,695
$1,212,336
$1,171,168
$1,231,150
$1,216,324
qty \l
1992 Annual Budget
Non - Departmental
Non - Departmental Overview
Non - Departmental - Distribution by Area
Cap. Plan (
Q_ e9nts (10 %)
Contingencies (13 %)
Non - Departmental - Distribution by Expenditure
0; Ic,N_I
Salaries (0 %)
A Aklikes a sI IAf%CT
VI 1 i Vr r-Lou m vvv%aa- ■ NAUt — 60
FUND: FUNCTION: AREA: PROGRAM:
NON- DEPARTMENTAL
GENERAL - 10 1 EXPENDITURES I CONTINGENCIES 500 - 50
Total Contingencies Budget
SUMMARY OF SERVICES
1991
$80,000
1992 %
$60,000 -25.0
CITY OF EDINA ANNUAL BUDGET PAr.F - M
FUND:
FUNCTION:
AREA:
PROGRAM:
NON- DEPARTMENTAL
GENERAL - 10
EXPENDITURES
CONTINGENCIES
500 - 50
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
CpRRACiWL SERVICES:
4201
$87,418
$94,266
580.000
580,000
560,000
TOTAL CONTINGENCIES
587,418
594,266
580,000
580,000
560,000
w■ •w wry
L.11 T Vr LUMP% me's arM Ka %J %A I PAUL — 87
FUND: FUNCTION: AREA: PROGRAM:
NON- DEPARTMENTAL CAPITAL PLAN
GENERAL - 10 EXPENDITURES I APPROPRIATION 502 - 50
SUMMARY OF SERVICES
Capital Plan Appropriation:
This appropriation reflects the amount the operating budget
contributes to the capital plan.
1991 1992 %
Total Capital Plan Budget $117,000 $117,000 0.0
CITY OF EDINA ANNUAL BUDGET PAr.F - AR
FUND:
FUNCTION:
AREA:
PROGRAM:
NON-DEPARTNENTAL
CAPITAL PLAN
GENERAL - 10
EXPENDITURES
APPROPRIATION
502 - 50
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
EQUlPNM:
4902
$150.797
$115.000
$117,000
$117.000
$117,000
TOTAL CAPITAL _PLAN
APPROPRIATION
$150,797
$115,000
$117,000
$117,000
$117,000
A &MIIIAA Is 0%CT
VI 1 I Vr GYIIV %ff %A PAGE - 89
FUND: FUNCTION: AREA: PROGRAM:
NON- DEPARTMENTAL SPECIAL ASSESSMENTS
GENERAL - 10 1 EXPENDITURES I ON CITY PROPERTY 1 503 - 50
SUMMARY OF SERVICES
Special Assessments on City Property:
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.
Explanation of change:
The truth in taxation mailing charged to us by the County totalling $20,000
will be charged to the Communications area.
1991 1992 %
Total Special Assessments Budget $65,000 $45,000 - 30.8
CITY OF EDINA ANNUAL BUDGET PAGE - 90
FUND:
FUNCTION:
AREA:
PROGRAM:
NON- DEPARTMENTAL
SPECIAL ASSESSMENTS
GENERAL - 10
EXPENDITURES
ON CITY PROPERTY
503 - 50
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
SPECIAL ASSESSMENTS:
4922
$46,124
$42,951
$65,000
$65,000
$45,000
TOTAL SPECIAL
ASSESSMENTS
$46,124
$42,951
565,000
$65,000
$45,000
•��� • w. •AArT
L.1 IT Ur r-UIIVA NIr1 \V %0 %ate 1 PAGE - 91
FUND: FUNCTION: AREA: PROGRAM:
NON- DEPARTMENTAL COMMISSIONS &
GENERAL - 10 EXPENDITURES I SPECIAL PROJECTS
SUMMARY OF SERVICES
Human Relations Commission - 504:
The Human Relations Commission is comprised of 12 members and is an
advisory body to the City Council in the areas of human rights, human
relations, and human service. The commission meets regularly 12 times
a year and additionally hold no fault grievance conferences on an
average of 4 times per month.
Storefront /Youth Action - $36,900
Senior Community Services - 5,400
Cornerstone Advocacy Service - 4,000
Share -A -Home - 1,900
United Battered Families Network - 2,000
VEAP - 2,400
West Suburban Mediation Center - 900
Family Resources - 3,790
$57,290
Fireworks - 505:
Fireworks display to be presented after the band concert on the
fourth of July.
Suburban Rate Authority - 506:
The Suburban Rate Authority oversees utility rates affecting
suburban communities.
Recycling Commission - 507:
The Recycling Commission oversees the operation of Recycling in the City
of Edina.
Total Program Expense $448,203
Total Program Revenue 288.217
Net Program Cost $159,986
CITY OF EDINA ANNUAL BUDGET PAGE - 92
FUND:
FUNCTION:
AREA:
PROGRAM:
NON-DEPARTMENTAL
COMMISSIONS & SPECIAL
GENERAL - 10
EXPENDITURES
PROJECTS
504 thru 507 - 50
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
HUMAN RELATIONS COMMISSION -504
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
$46,880
$52,325
$53,500
$53,500
$57,290
4202 CONTINUING EDUCATION
34
33
50
200
200
4204 DUES & SUBSCRIPTIONS
196
236
392
250
250
4224 CHEMICAL HEALTH ADVISORY
0
125
125
500
500
4280 EDUCATION PROGRAM
135
495
500
450
450
TOTAL HUMAN
RELATIONS ODIMISSION
47,245
53,214
54,567
54.900
58,690
FIREWORKS - 505
COMMODITIES:
4504 GENERAL SUPPLIES
6,840
7.000
7.250
6,000
6,000
TOTAL FIREWORKS
6,840
7.000
7,250
6.000
6,000
SUBURBAN RATE AUTHORITY - 506
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
3.500
3,500
3,750
3,750
3,750
TOTAL SUBURBAN
RATE AUTHORITY
3.500
3.500
3,750
3,750
3,750
RECYCLING PROGRAM - 507
CONTRACTUAL SERVICES:
4201 PROF. SERVICES
45,713
92.221
160,000
159.296
159.986
TOTAL RECYCLING PROGRAM
45,713
92.221
160.000
159,296
159,986
CITY OF EDINA ANNUAL BUDGET PAGE - 93
FUND: FUNCTION: AREA: I PROGRAM:
NON- DEPARTMENTAL COMOMISSIONS &
GENERAL - 10 1 EXPENDITURES I SPECIAL PROJECTS
SUMMARY OF SERVICES
Centennial Celebration - 508:
The Centennial Commission recommended $25,000 for 1987 and $25,000 for
1988 to support the Centennial Celebration.
South Hennepin Human Service Council - 508:
Through a joint powers agreement among the cities of Bloomington, Eden
Prairie, Edina, & Richfield, the South Hennepin Human Services Council
was established. The purpose of the organization was to provide
for joint planning and development of human services for the residents'
need in the South Hennepin area. The Council's services are divided
into nine program areas which include: community planning and coordination,
citizen participation, H.O.M.E., energy assistance, surplus food distrib-
ution, emergency assistance program, mental health drop -in center,
transportation and volunteer mobilization.
Loss Subsidy - Operating Funds - 509:
No subsidy is required for the 1990 fiscal year. All enterprises reflected
net gain at the end of the year.
1991 1992 %
Total Commissions & Special Projects Budget $238,838 $239,528 0.3
CITY OF EDINA ANNUAL BUDGET
oer.F - oL
FUND:
FUNCTION:
AREA:
PROGRAM:
NON-DEPARTMENTAL
COMMISSIONS 8 SPECIAL
GENERAL - 10
EXPENDITURES
PROJECTS
508 thru 509 - 50
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
CENTENNIAL CELEBRATION - 508
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
SO
$7,503
$0
SO
SO
TOTAL CENTEINIIAL
0
7,503
0
0
0
SOUTH HENNEPIN HUMAN SERVICE
COUNCIL - 508
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
0
14,394
14,892
14,892
11,102
TOTAL SOUTH HEIMR:PIN
SERVICE COISICIL
0
14,394
14,892
14,892
11,102
LOSS SUBSIDY - OPERATING
FUNDS - 509
(TEAR ENDED DEC. 31, 1989)
4201 SWIMMING POOL
8,646
0
0
0
0
RECREATION CENTER
5,502
0
0
0
0
GUN RANGE
0
0
0
0
0
ART CENTER
17,292
5,757
0
0
0
TOTAL LOSS SUBSIDY
31,440
5,757
0
0
0
TOTAL COMMISSIONS i
SPECIAL PROJECTS
$134,738
------- -- - - --
-------------
5183,589
------- - - - - --
------- - - - - --
$240,459
------- - - - - --
------- - - - - --
5238,838
------- - - - - --
------- - - - - --
5239,528
------- - - - - --
------- - - - - --
1992 Annual Budget
Appendix
pa rz, 1Jd.
1992 Annual Budget
Central Services
w, •wArT
LA 1 T Ur CL N^ r% lw%JM %A %a PAUL
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 CENTRAL SERVICES GENERAL 510 - 51
SUMMARY OF SERVICES
General - 510:
Central services - General includes general and administrative expenses for the
City. These expenses are allocated to operating departments and other funds
according to usage.
Explanation of change:
- An additional $30 /month per employee is included for the flexible benefits plan
DISTRIBUTION
ALLOCATION TO
OPERATING DEPARTMENTS:
ALLOCATION TO OTHER FUNDS:
ANNUAL
MONTHLY
ANNUAL
MONTHLY
MAYOR & COUNCIL
$ 18,120
$ 1,510
CITY HALL
$ 12,360
$ 1,030
ADMINISTRATION
88,380
7,365
PUBLIC WKS -BLDG.
7,440
620
PLANNING
42,300
3,525
EQUIP. OPERATION
56,640
4,720
FINANCE
52,080
4,340
ART CENTER
16,740
1,395
ELECTIONS
8,160
680
POOL
2,820
235
ASSESSING
61,620
5,135
GOLF COURSE
86,400
7,200
PUBLIC WORKS:
ARENA
40,008
3,334
ADMINISTRATION
22,560
1,880
GUN RANGE
1,260
105
ENGINEERING
75,360
6,280
EDINBOROUGH
74,400
6,200
GENERAL
293,700
24,475
UTILITIES
202,200
16,850
POLICE
614,700
51,225
LIQUOR - 50TH
34,800
2,900
ANIMAL CONTROL
8,400
700
LIQUOR - YORK
63,120
5,260
FIRE
351,312
29,276
LIQUOR - GRANDVIEW
57,360
4,780
HEALTH
40,080
3,340
RECYCLING
4,080
340
INSPECTIONS
52,560
4,380
COMMUNICATIONS
13,560
1,130
PARKS:
$673,188
S 56,099
ADMINISTRATION
70,320
5,860
MAINTENANCE
181,200
15,100
$ 1,980,852
$165,071
TOTAL
$2,654,040
----- - - - - --
-----------
$ 221,170
--- - - - - --
--- - - - - --
1991
1992
%
Total Central
Services General Budget
$2,577,468 $2,654,040
3.0
CITY OF EDINA ANNUAL BUDGET PAGE - 96
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
CENTRAL SERVICES
SAL
510 - 51
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
CONTRACTUAL SERVICES:
4145 PENSIONS
$986,019
$1,081,652
$1,140,928
$1,140,928
$1,174,500
4156 EMPLOYER'S SHARE-HOSPITAL
LIFE 8 INCOME PROTECTION
INSURANCE
458,906
422,371
630,000
610,000
685,000
4212 PERSONNEL
30,840
12,800
20,000
20,000
20,000
4226 EQUIPMENT RENTAL
506
531
3,020
9,000
8,000
4256 TELEPHONE
28,763
63,834
50,000
54,000
54,000
4260 INSURANCE
267,148
537,886
620,000
620,000
600,000
4288 SERVICE CONTRACT - EQUIP.
26,528
17,738
11,200
15,200
15,200
4290 POSTAGE
52,640
49.236
47,525
64,000
63,000
1.851,350
2.186.048
2.522,673
2.533.128
2.619,700
COMITIES:
4504 GENERAL SUPPLIES
28.560
40,083
22.890
25,000
15.000
EQUIPMENT:
4901 REPLACEMENT
0
26,922
19,340
19,340
19,340
4902 NEW
2.395
0
0
0
0
2.395
26.922
19.340
19,340
19,340
TOTAL GENERAL
$1,882,305
-- ----- - - - - --
$2,253,053
------- - - - - --
$2,564,903
------- - - - - --
$2,577,468
------- - - - - --
$2,654,040
------- - - - - --
lol 1 T Vr CL mik vv%a PAUL - 9/
FUND: FUNCTION: AREA: PROGRAM:
GENERAL - 10 1 CENTRAL SERVICES CITY HALL 520 - 52
SUMMARY OF SERVICES
City Hall - 520:
Personal Services consist of one -half (1/2) Technical I, part -time help, Public
Works Payroll, Park Payroll, and overtime.
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 OTHER OPERATING
DEPARTMENTS ANNUAL
MONTHLY
MAYOR & COUNCIL
$ 10,680
$ 890
ADMINISTRATION
16,620
1,385
PLANNING
5,640
470
FINANCE
7,200
600
ASSESSING
6,360
530
PUBLIC WORKS:
ADMINISTRATION
3,360
280
ENGINEERING
6,960
580
POLICE
48,192
4,016
HEALTH
3,420
285
INSPECTIONS
7,608
634
PARKS
15,900
1,325
UTILITIES
9,780
815
COMMUNICATIONS
4.260
355
TOTAL $145,980
--- - - - - --
---------
$12,165
- - - - - --
- - - - - --
1991 1992
%
Total City Hall Budget
$142,536 $145,980
2.4
CITY OF EDINA ANNUAL BUDGET DAnp - OR
FUND:
FUNCTION:
AREA:
PROGRAM:
GENERAL - 10
CENTRAL SERVICES
CITY NALL
520 - 52
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
590,905
$71,494
566,712
$62,896
566,270
4110 OVERTIME
3.616
1.970
2.540
1,000
1.000
594.520
73.464
69.252
63.896
67.270
CONTRACTUAL SERVICES:
4248 CONTRACTED REPAIR
6,943
7,740
4,500
4,750
4,750
4250 RUBBISH SERVICE
1,209
1,880
1,400
2,000
2,000
4252 LIGHT & POWER
15,886
20,629
12,000
15,700
16,000
4254 HEAT
6,671
7,932
9,600
11,000
10,000
4258 SEWER & WATER
715
1,989
800
850
1,000
4262 LAUNDRY
1,472
1.538
1.300
2.200
2.200
32.896
41.708
29.600
36,500
35,950
OQN�ITIES:
4504 GENERAL SUPPLIES
4,703
3,580
3,000
5,500
5,500
4512 CLEANING SUPPLIES
2,112
1,490
1,700
1,400
1,400
4514 PAPER SUPPLIES
10,596
9,767
8,600
8,000
8,500
4540 REPAIR PARTS
28.354
20.698
20.000
15.000
15.000
45.765
35.535
33,300
29,900
30.400
CENTRAL SERVICES:
4802 GENERAL
10.800
12,000
12.240
12.240
12.360
EQUIPMENT:
4901 REPLACEMENT
0
0
0
0
0
TOTAL CITT HALL
5183,982
------- - - - - --
-------------
5162,707
------- - - - - --
------- - - - - --
$144,392
------- - - - - --
------- - - - - --
$142,536
------- - - - - --
------- - - - - --
5145,980
------- - - - - --
------- - - - - --
;,ITY OF LL)INA ovv%X& I
FUND: FUNCTION: AREA:
PUBLIC WORKS
GENERAL - 10 CENTRAL SERVICES BUILDING
SUMMARY OF SERVICES
Public Works Building - 540:
PROGRAM:
540 — 54
Personal services consist of one Technical I, public works payroll
and overtime.
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 building.
Explanation of Change:
DISTRIBUTION
ALLOCATION TO OTHER DEPARTMENTS: ANNUAL MONTHLY
PUBLIC WORKS $15,336 $ 1,278
HEALTH 5,328 444
PARKS 15,300 1,275
EQUIPMENT OPERATION 113,100 9,425
UTILITIES 12.276 1.023__
TOTAL
Total Public Works Building Budget
$161,340 $13,445
--- - - - - -- -- - - - - --
--------- -- - - - - --
1991 1992 %
$149,580 $161,340 7.9
--j
CITY OF EDINA ANNUAL BUDGET PAGE - 100
FUND:
FUNCTION:
AREA:
PROGRAM:
PUBLIC UOIM
GENERAL - 10
CENTRAL SERVICES
BUILDING
540 - 54
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
344,406
$51,215
$37,267
(37,267
548,527
4110 OVERTIME
925
923
2,000
2,000
2,000
$45,331
52,138
39.267
39.267
50,527
CONTRACTUAL SERVICES:
4201 PROFESSIONAL SERVICES
0
327
400
2,000
2,000
4250 RUBBISH HAULING
4,079
6,911
5,350
4,000
4,000
4252 LIGHT & POWER
21,108
28,888
28,050
23,500
23,500
4254 HEAT & FUEL OIL
30,030
36,158
44,200
38,000
38,000
4258 SEWER & WATER
663
1.199
675
1.000
1,000
55.880
73.483
78.675
68,500
68,500
COMMODITIES:
4504 GENERAL SUPPLIES
3,918
5,852
8,300
5,000
5,500
4512 CLEANING SUPPLIES
6,968
8,926
6,600
5,000
6,000
4540 REPAIR PARTS
19.170
29,787
20.400
18,000
20,000
30.056
44,565
35,300
28.000
31,500
CENTRAL SERVICES:
4802 GENERAL
9.000
7.200
7.440
7,440
7,440
EQUIPMENT:
4901 REPLACEMENT
1,000
3,210
4,750
3,373
3,373
4902 NEW
0
0
0
3.000
0
1.000
3.210
4.750
6,373
3,373
TOTAL PUBLIC
WORKS BUILDING
$141,266
$180,596
$165,432
$149,580
$161,340
CITY OF EDINA
ANNUAL BUDGET
PAGE - 101
FUND: FUNCTION: AREA: PROGRAM:
EQUIPMENT
GENERAL - 10 CENTRAL SERVICES OPERATION 560 - 56
SUMMARY OF SERVICES
Equipment Operation - 560:
Personal services consist of one (1) Technical Management III and four (4)
Mechanics and one (1) Mechanic Helper.
This account provides for 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 foreman and 5 mechanics are the personnel
responsible for the City's 45 cars, 79 trucks, pickups and vans, 150 off -
road vehicles, 6 trailers and 1 bus. Additionally, the public works shop
is responsible for all maintenance equipment and power tools. Costs of
equipment operation are charges to operating departments and other funds
on the basis of use.
DISTRIBUTION
ALLOCATION TO DEPARTMENTS:
ANNUAL
MONTHLY
ANNUAL
MONTHLY
ADMINISTRATION
$ 6,000
$ 500
CHARGED TO OTHER
FUNDS:
PLANNING
1,860
155
POOL
$ 2,052
$ 171
ASSESSING
3,000
250
GOLF COURSE
14,280
1,190
PUBLIC WORKS:
ARENA
3,960
330
ADMINISTRATION
1,860
155
CENT LAKES /EDINB 2,160
180
ENGINEERING
11,280
940
UTILITIES
72,000
6,000
SUPERVISION
1,860
155
94,452
$ 7,871
MAINTENANCE
407,580
33,965
POLICE
159,960
13,330
ANIMAL CONTROL
3,420
285
FIRE
58,240
4,853
HEALTH
3,780
315
INSPECTIONS
7,080
590
PARKS:
ADMINISTRATION
4,860
405
MAINTENANCE
106,380
8,865
$777,160
$61,763
TOTAL
$871,612
---- - - - - --
----------
$72,634
--- - - - - --
--- - - - - --
1991
1992
%
Total Equipment
Operation Budget
$834,276
$871,612
4.5
d",
CITY OF EDINA ANNUAL BUDGET
oer_c �m
FUND:
FUNCTION:
AREA:
PROGRAM:
EQUIPMENT
GENERAL - 10
CENTRAL SERVICES
OPERATION
560 - 56
SUMMARY OF EXPENDITURES
1991
1989
1990
1992
ACCT. DESCRIPTION
ACTUAL
ACTUAL
ESTIMATED
BUDGETED
ADOPTED
PERSONAL SERVICES:
4105 PAYROLL
$203,277
$217,233
$218,092
$218,092
$228,488
4110 OVERTIME
2.862
2.236
2.500
2,000
2,000
$206.139
$219.469
$220.592
220.092
$230.488
CONTRACTUAL SERVICES:
4202 CONTINUING EDUCATION
0
0
0
1,000
1,000
4233 DATA PROCESSING
2,604
3,535
3,000
3,000
3,000
4248 CONTRACTED REPAIRS
45,448
41,130
42,000
40,000
42,000
4262 LAUNDRY
4,008
3,265
3,000
5,000
5,000
4294 RADIO SERVICE
6,010
7,063
6,400
6,000
6,000
4296 CAR WASHES
4,106
3,946
6,500
5,000
5,000
4310 LICENSE FEES 8 PERMITS
15.770
21.090
13.100
10.000
15.000
77.945
80.029
74.000
70.000
77.000
COMMODITIES:
4504 GENERAL SUPPLIES
12,944
18,451
16,400
11,000
12,000
4540 REPAIR PARTS
139,872
123,791
133,490
110,000
120,000
4580 REPLACEMENT OF TOOLS
3,061
5,592
8,900
4,000
4,500
4610 WELDING SUPPLIES
4,600
3,988
5,200
4,000
4,500
4612 GAS & FUEL OIL
154,566
150,611
125,000
145,000
150,000
4616 TIRES & TUBES
18,129
22,207
23,475
24,000
24,000
4618 LUBRICANTS
9,290
11,224
10,500
11,000
11,000
4620 ACCESSORIES
49,018
64,762
42,650
50,000
50,000
4642 SAFETY EQUIPMENT
1.550
2.104
2.480
1.500
2.000
393.031
402.730
368.095
360.500
378.000
CENTRAL SERVICES:
4802 GENERAL
54,000
56,400
56,640
56,640
56,640
4806 PUBLIC WORKS BUILDING
95.400
98.400
105.660
105.660
113.100
149.400
154.800
162.300
162.300
169.740
7QUIPMENT:
4901 REPLACEMENT
8,726
51,512
16,384
16,384
16,384
4902 NEW
5.000
5.000
0
8.726
51.512
21.384
21.384
16.384
TOTAL EQUIPMENT OPERATION
$835,242
$908,540
5846,371
$834,276
$871,612
9t�11
1992 Annual Budget
1Jy
v
Capital Plan
City of Edina
Five Year Capital Plan
1992
Internal Furl Projects
1992 1993 1994 1995
PAGE - 103
19916
REVENUE SOURCES
INTERNAL PROJECTS .
Operating Budget - Page 87
$117,000
51800000
$180,000
!180,000
$180,000
Working Capital Fund
307,000
6460000
814,000
625,000
(153,000)
Utility Transfer - Rent
100,000
1008000
100,000
100,000
100,000
Developer's Fund
20.000
20,000
20,000
20.000
20.000
TOTAL REVENUE
$544,000
----- - - - - --
-----------
$9468000
----- - - - - --
----- - - - - --
$1,114,000
----- - - - - --
----- - - - - --
$925,000
----- -- - - --
----- - - - - --
$147,000
----- - - - - --
----- - - - - --
CAPITAL EXPENDITURES
City Hall
$127,000
$87,000
$42,000
$12,000
$12,000
Public Works:
Public Works Building
74,000
66,000
66,000
66,000
0
Miscellaneous
5,000
0
0
0
0
Parking Ramps
0
0
25,000
0
25,000 _
Parking Lots
20,000
0
0
0
0
Bridges
50,000
1000000
100,000
50,000
50,000
Sidewalks 8 Paths
13,000
23,000
286,000
207,000
0
Police
45,000
40,000
50,000
0
40,000 �-
Fire
50,000
4308000
345,000
390,000
0
Parks
140,000
180,000
180,000
180,000
0
Art Center
10,000
100000
10,000
10,000
10,000
Arena
10,000
10,000
10.000
10.000
10.000
TOTAL FUNDING REQUESTS
$544,000
------- - - - - --
-------------
$946,000
------- - - - - --
------- - - - - --
$1,114,000
------- - - - - --
------- - - - - --
$925,000
---- -- -- - ----
-- ----- --- - --
$147,000
-- ------- - ---
---- --- - - -- --
1
City of Edina
Five Year Capital Plan
1992
Internal Fund Projects
1992 1993 1994 1995
PAGE - 104
1996
CITY HALL:
Office Furniture
$12,000
$12,000
$12,000
$12,000
$12,000
Replacement Windows
25,000
Rooftop Units /Ducting
90,000
Replace /Reinsulate Roof
75,000
Heating System
30,000
TOTAL CITY HALL
$127,000
$87,000
542,000
$12,000
$12,000
PUBLIC WORKS:
PUB. WORKS BUILDING
New Roof
566,000
$66,000
$66,000
Lighting
$8,000
Salt Storage
66,000
TOTAL PW BUILDING
$74,000
$66,000
$66,000
$66,000
s0
PUB. WORKS - MISC.
Colony Way Area Lighting
$5,000
TOTAL PW MISCELLANEOUS
$5,000
s0
$0
s0
s0
PUB. WORKS - PARKING RAMPS
Sealing (surface & joint):
49 1/2 Street
$25,000
51st Street
$25,000
TOTAL PW PARKING RAMPS
$0
$0
$25,000
$0
$25,000
PUB.WORKS - PARKING LOTS:
50th Street Area - resurface
$20,000
TOTAL PW PARKING LOTS
$20,000
$0
s0
$0
$0
PUB.WORKS - BRIDGES
Browndale to Minnehaha Creek
$50,000
$50,000
$50,000
West 56th Street
50,000
50,000
$50,000
$50,000
TOTAL PW BRIDGES
$50,000
$100,000
$100,000
$50,000
$50,000
City of Edina
Five Year Capital Plan
1992
Internal Fund Projects
1992 1993 1994 1995
PUBLIC WORKS COIIITIMIMED:
PUB. WORKS - SIDEWALKS 8 PATHS
Parklawn - from Gallagher to
France Avenue $13,000
W. 63rd 8 Ridgeview from Wyman
to Ridgeview Dr. $23,000
McCauley Tr. South 8 McCauley Tr.
North from Valley View to Gleason $138,000
County 158-Link Rd. to County 62 148,000
Braemar Golf Course $105,000
Lincoln Dr. from W. 7th to 1000
feet south 16,000
Xerxes, W.70th to Yorktown Park 19,000
Ohms Lane from W.72nd to W.74th 23,000
W.60th from France to Xerxes 44,000
PAGE - 105
1996
TOTAL
SIDEWALKS 8 PATHS
$13,000
$23.000
$286,000
$207,000
s0
TOTAL
PUBLIC WORKS
162.000
189.000
477,000
323,000
75.000
PAGE - 106
City
of Edina
Five Year
Capital Plan
1991
Internal
Furl Projects
1992
1993
1994
1995
1996
POLICE DEPARTMENT:
Mobile Data Terminals Phase 1
$45,000
Mobile Data Terminals - Phase 11
$40,000
Alarm Monitoring Computer
50,000
800 MH2 Upgrade
40,000
TOTAL POLICE DEPARTMENT
$45,000
540,000
$50,000
s0
$40,000
FIRE DEPARTMENT:
Fire Station No. 2
$300,000
$300,000
Building Maintenance Fund
$20,000
10,000
$10,000
$10,000
Opticomm Phase 1
30,000
Rescue No. 3
100,000
Support Vehicle
20,000
UHF 800 MH2 Portable
35,000
Engine No. 4
180,000
Remodel - Station No. 1
200,000
TOTAL FIRE DEPARTMENT
$50,000
$430,000
$345,000
$390,000
$0
PARKS:
Arden Park:
Playground 8 Bldg. Repair
$25,000
- Sherwood Park:
Playground Equipment
10,000
Birchcrest Park:
1 Playground Equipment
10,000
Garden Park:
Playground Equipment
10,000
Highland Park:
^_ Playground Equipment
10,000
Arneson Acres
New Entrance 8 Plantings
10,000
Creek Valley:
Rebuild Tennis Courts
30,000
Miscellaneous Park Re- Development
1
35,000
City of Edina
Five Year Capital Plan
1991
Internal Furl Projects
1992
1993
1994
PARKS:
Alden Park:
Hard Surface Court
$10,000
Walnut Ridge Park:
Playground Equipment
10,000
Yorktown Park:
Regrade
10,000
Lewis Park:
Playground Equipment & Regrade
25,000
Lake Cornelia
Playground Equip. & Upgrade
Picnic Area
75,000
Arneson Acres:
Plantings
10,000
Braemar Park:
Rebuild Tennis Courts
30,000
Miscellaneous Park Re-Development
10,000
Creek Valley Park:
Upgrade warming house & regrade
$35,000
Cornelia School Park:
Upgrade warming house
40,000
Weber Park:
Playground Equipment
20,000
Wooddale Park:
Upgrade Fields & irrigate
25,000
I
Utley Park:
Upgrade Park
25,000
Arneson Acres
Planting & Structure
10,000
Miscellaneous Park Re- development
25,000
Countryside Park:
Upgrade Bldg, fields & plaground equip.
Normandale Park:
Upgrade Fields, parking lot &
remove house
Todd Park:
Upgrade Fields, parking lot & remove
house
Arneson Acres:
Planting & Structures
Miscellaneous Park Re- development
$140,000
$180.000
$180.000
1995
$50,000
20,000
PAGE - 107
1996
50,000
20,000
40,000
$180,000 s0
ART CENTER:
Building Renovation
TOTAL ART CENTER
ARENA
Building Renovation
TOTAL ARENA
TOTAL INTERNAL FUNDING
i
City of Edina
Five Year Capital Plan
1991
Internal Furl Projects
1992 1993 1994 1995
PAGE - 108
1996
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$10,000
$544,000
----- - - - - --
-----------
$946,000
----- - - - - --
----- - - - - --
$1,114,000
----- - - - - --
----- - - - - --
$925,000
----- - - - - --
----- - - - - --
$147,000
----- - - - - --
----- - - - - --