Loading...
HomeMy WebLinkAboutResolution No. 2016-118 Adopting 2017 Budget & Tax Levy 2017 A, � e RESOLUTION NO. 2016-118 RESOLUTION ADOPTING THE BUDGET FOR THE CITY OF EDINA FOR THE YEAR 2017, AND ESTABLISHING TAX LEVY PAYABLE IN 2017 THE CITY COUNCIL OF THE CITY OF EDINA MINNESOTA DOES RESOLVE AS FOLLOWS: Section 1: The Budgets for all Governmental Funds for the City of Edina for the calendar year 2017 is hereby adopted as after this set forth, and funds are hereby appropriated therefore: 2017 GOVERNMENTAL FUND BUDGETS Braemar Arts& Debt Environmental General HRA PACS CAS CDBG Police SR Memorial Culture Service Efficiency Construction Fund Fund Fund Fund Fund Fund Fund Fund Fund Fund Fund Total REVENUES AND OTHER FINANCING SOURCES Property ax levy $ 26.860.319 $ 95,000 $ $ - $ - $ - $ - $ 20,000 $ 4,595,500 $ $ 2,251,550 $ 33,822,369 Reductions -Net tax revenue 26.860,319 95.000 - - 20,000 4,595.500 2,251,550 33,822.369 Tax increments . 2,500,000 - - - - - - - - 2,500,000 Franchise fees&other axes 810.000 - 1,200,000 250.000 - - - - - 105,000 2,365,000 Special assessments - - - - - - - - 4,612,026 4,612,026 Licenses and permits 4.192.660 - - - - - - - - 90,000 4,282.660 Intergovernmental 1,195,550 - - 125,000 36.000 - - - - 1,375,000 2,731,550 Charges for services 4,017,973 7,275,000 - - - - - - 35,000 11,327,973 Fines and forfeitures 975,000 - - - - - - - - - 975,000 Investment income 120,000 62,000 - - - 300 200 10,000 70,000 262,500 Other revenue 478,800 - 134,061 5,000 5,350 - 623,211 Transfers 50,000 - - - - - 2,850,783 200,000 3,100,783 Debt issued - - - - - 3,108,982 3,108,982 Other financing sources - - - TOTAL REVENUES AND OTHER FINANCING SOURCES 38,700,302 9,932,000 1.200.000 250,000 125,000 170,361 5,200 25.350 7,456,283 11.847,558 69,712.054 EXPENDITURES AND OTHER FINANCING USES-BY DEPARTMENT Administration 1,839,504 10,960,433 - - - - - 22,500 12.822.437 Communication&tech. 1,204,517 - - - - - - - 163,300 1,367,817 Human resources 812,755 - - - - 100,000 912,755 Finance 880,745 - - - - - - - - - 880,745 Public works 9,727,954 - - - - - - - 1,081,563 10,809,517 Engineering 1.642.170 - 1,005,365 157,495 - - - - 5.548,309 8,353,339 Police 11,438,368 - - 140,500 - - 349,000 11,927,868 Fire 7,746,806 - - - - 132,100 7,878,906 Parks&recreation 1,597,506 - - 79,000 22,450 - 67,900 - 1,766,856 Community development 1.809,977 - 125,000 - - - - 200,000 2,134,977 Debt service - - - - - - 11,550,961 - - 11,550,961 Transfers 2,850,783 2,850,783 TOTAL EXPENDITURES AND OTHER FINANCING USES 38,700,302 10,960,433 1,005,365 157,495 125,000 140,500 79,000 22.450 11,550,961 67,900 10,447,555 73.256,961 EXPENDITURES AND OTHER FINANCING USES-BY TYPE Personal services 26,585,024 129,068 116,531 106,761 - - - - 107,237 27,044,621 Contractual services 5,586,577 679,865 20,000 35,000 125,000 98,000 - 20,425 221,203 6,786,070 Commodities 2,338,165 1,500 20,000 15,000 - 15,000 2,025 - - 26,933 2,418,623 Central services 4,190,536 - 734 734 - - - - 1,968 4,193,972 Equipment - - - - 27,500 - - - 1,412,722 1,440,222 Capital outlay - 10,150,000 848,100 - - - 79,000 - 67,900 5,826,709 16,971,709 Debt service - - - - 11,550,961 - . 11,550,961 Transfers 2,850,783 2,850,783 TOTAL EXPENDITURES AND OTHER FINANCING USES 38,700,302 10,960,433 1,005,365 157,495 125,000 140,500 79,000 22,450 11,550,961 67,900 10,447,555 73,256,961 CHANGE IN FUND BALANCE $ - $ (1,028,433) $ 194,635 $ 92505 $ - $ 29,861 $ (73,800) $ 2,900 $(4,094,678) $ (67,900) $ 1,400,003 $ (3,544,907) CITY OF EDINA 4801 West 50th Street a Edina,Minnesota 55424 wwwEdinaMN.gov e 952-927-8861 e Fax 952-826-0390 Section 2: The Budgets for all Enterprise Funds for the City of Edina for the calendar year 2017 is hereby adopted as after this set forth, and funds are hereby appropriated therefore: 2017 ENTERPRISE FUND BUDGETS Aquatic Golf Sports Art Risk Utilities Liquor Center Course Arena Dome Center Edinborough Centennial Management Fund Fund Fund Fund Fund Fund Fund Fund Fund Fund Total REVENUES AND TRANSFERS IN Operating revenues $20,680,555 $12,667,946 $ 1,014,186 $ 1,273,301 $ 2,250,500 $ 401,810 $ 453,350 $ 1,362,800 $ 784,000 $ 942,885 $ 41,831,333 Intergovernmental 112,000 112,000 Investment income 79,889 3,000 9,000 4,000 5,000 1,000 13,000 3,000 117,889 Other revenue 10,000 10,000 1,500 21,500 Transfers 200,000 200,000 100,000 100,000 600,000 TOTAL REVENUES AND TRANSFERS IN 20,882,444 12,677,946 1,017,186 1,482,301 2,454,500 406,810 555,850 1,375,800 887,000 942,885 42,682,722 EXPENSES AND TRANSFERS OUT•BY DEPARTMENT Administration 12,025,686 12,025,686 Human resources 665,000 665,000 Finance 309,404 309,404 Public works 15,375,873 15,375,873 Engineering 243,254 243,254 Police 507,724 507,724 Parks and recreation 938,173 2,023,015 2,654,073 736,043 709,507 1,671,496 1,095,584 9,827,891 Transfers 100,000 750,000 850,000 TOTAL EXPENSES AND TRANSFERS OUT 16,536,255 12,775,686 938,173 2,023,015 2,654,073 736,043 709,507 1,671,496 1,095,584 665,000 39,804,832 EXPENSES AND TRANSFERS OUT•BY TYPE COGS 9,517,071 42,000 37,120 105,500 2,750 85,000 14,000 9,803,441 Personal services 2,127,459 1,544,824 342,914 581,231 901,750 60,314 455,163 802,264 657,428 60,000 7,533,347 Contractual services 7,605,022 526,879 179,200 367,175 729,950 149,930 107,950 351,750 183,925 605,000 10,806,781 Commodities 1,116,700 75,032 89,150 104,085 104,750 3,725 73,800 169,800 123,800 1,860,842 Central services 710,302 267,380 38,396 142,365 75,189 12,074 45,844 85,932 73,931 1,451,413 Depreciation 4,499,500 94,500 246,500 710,000 610,000 510,000 24,000 176,750 42,500 6,913,750 Interest 377,272 - 13 81,039 126,934 585,258 Transfers 100,000 750,000 - 850,000 TOTAL EXPENSES AND TRANSFERS OUT 16,536,255 12,775,686 938,173 2,023,015 2,654,073 736,043 709,507 1,671,496 1,095,584 665,000 39,804,832 CHANGE IN NET POSITION $ 4,346,189 $ (97,740) $ 79,013 $ (540,714) $ (199,573) $ (329,233) $ (153,657) $ (295,696) $ (208,584) $ 277,885 $ 2,877,890 Section 3. That there will be levied upon all taxable real and personal property in the City of Edina a tax rate sufficient to produce the amounts hereinafter set forth: FOR GENERAL FUND $ 26,860,319 FOR CONSTRUCTION FUND $ 2,251,550 FOR ARTS AND CULTURE FUND $ 20,000 LEVY FOR PAYMENT OF CIP PLAN BONDS- SERIES 2016A(Fire) $ 403,000 LEVY FOR PAYMENT OF CIP PLAN BONDS - SERIES 2010A (City Hall) $ 946,000 LEVY FOR PAYMENT OF CIP PLAN BONDS - SERIES 2009A (PW) $ 1,046,700 LEVY FOR PAYMENT OF CIP PLAN BONDS-SERIES 2013A (PW) $ 447,900 LEVY FOR PAYMENT OF HRA PUBLIC PROJECT BONDS- SERIES 2009A (PW) $ 201,400 LEVY FOR PAYMENT OF HRA PUBLIC PROJECT BONDS- SERIES 2014 (Dome) $ 1,162,500 LEVY FOR PAYMENT OF HRA PUBLIC PROJECT BONDS-SERIES 2015A (Gym) $ 388,000 TOTAL TAX CA CITY LEVY $ 33,727,369 Passed and adopted by the Ci Council on December 6, 2016. ATTEST: De ra A. Mangen, City erk James B. Hovland, Mayor STATE OF MINNESOTA ) COUNTY OF HENNEPIN )SS CITY OF EDINA ) CERTIFICATE OF CITY CLERK I, the undersigned duly appointed and acting City Clerk for the City of Edina do hereby certify that the attached and foregoing Resolution was duly adopted by the Edina City Council at its Regular Meeting of December 6, 2016, and as recorded in the Minutes of said Regular Meeting. WITNESS my hand and seal of said City this day of , 20_. City Clerk