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HomeMy WebLinkAboutResolution No. 2014-162 Budget & Tax Levy for 2015 91NA, ch RESOLUTION NO. 2014-162 RESOLUTION ADOPTING THE BUDGET FOR THE CITY OF EDINA FOR THE YEAR 2015, AND ESTABLISHING TAX LEVY FOR YEAR 2015, PAYABLE IN 2015 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 2015 is hereby adopted as after this set forth, and funds are hereby appropriated therefore: 2015 GOVERNMENTAL FUND BUDGETS Braemar Arts& Debt Environmental General HRA PACS CDBG Police SR Memorial Culture Service Efficiency Construction Fund Fund Fund Fund Fund Fund Fund Fund Fund Fund Total REVENUES AND OTHER FINANCING SOURCES Property Eau levy $ 22,933,958 $ - $ - $ - $ - $ - $ 20,000 $ 5,128,980$ - $ 1,617,072 $ 29,700,010 Reductions (123,000) - - - - - (123,000) Net tax revenue 22,810,958 - - - 20,000 5,128,980 - 1,617,072 r 29,577,010 _ _ - - 100,000 Tax increments - 100,000 - - Franchise fees 770.000 - - 1,200,000 - - - - - - 100,000 2,070,000 Special assessments - 2,083,699 - 1,909,298s 3,992,997 S P 50,000 3,880,080 Licenses and permits 3,830,080` - - Intergovernmental 1.113.500 - _ 100.000 115.325 - - - - 3.725.000 5.053.825 50,000 4,019,494 Charges for services 3,969,494 950,000 Fines and forfeitures 950,000 Investment income 150,000 94,000 - - 300 200 - 20,000 - 62,900 327,400 Other revenue 461,100 - - - 57,821 7,000 23,000 - - 580,000 1,128,921 Transfers 765,100 - - - - - - - - 300,000 1,065,100 Debt issued - - - - - - - - - 4,599,895' 4,599,895 Other financing sources - - TOTAL REVENUES AND OTHER FINANCING SOURCES $ 34,820,232 $ 194,000 $ 1,200,000 $ 100,000 $ 173,446 $ 7,200 r$ 43,000 $ 7,232,679 r$ $ 12,994,165 $ 56,764,722 EXPENDITURES AND OTHER FINANCING USES-BY DEPARTMENT 25,000 $ 5,454,025 Administration $ 1,619,238 $ 3,809,787 $ - $ - $ - $ - $ $ - $ $ 465,900 1,506,574 Communication&tech. 1,040,674 - - - _ Human resources 695,637 - - - 695,637 . - 904,918 Finance 904,918 - - - ' Public works 8,459,610 - - - - - - - 327,036 776,872 9,563,518 Engineering 1,735,095 - 1,551,303 - - - - - - 10,463,193 13,749,591 Police 10,357,415 - - - 61,000 - - - 905,000 11.323,415 Fire 7,007,398 - - - - - - - 41,000 86,549 7,134,947 Parks&recreation 1,388,087 - - - - 240,000 22,907 - 150,915 852,178 2,654,087 Community development 1,612,160 - - 100,000 - - - - - 30,000 1,742,160 Debt service - - - - - - - 6,654,894 - 6,654,894 327,178 327,178 Transfers - - - - TOTAL EXPENDITURES AND OTHER FINANCING USES $ 34,820,232 $ 3.809,787 $ 1,551,303 $ 100.000 $ 61,000 $ 240,000 $ 22,907 $ 6,654,894 $ 518,951 $ 13,931,870 $ 61,710,944 EXPENDITURES AND OTHER FINANCING USES-By TYPE Personal services $ 24,798,774 $ 118,467 $ - $ - $ - $ - $ - $ - $ - $ 106, $ 25,023,800 Contractual services 4,469,594 6,120 23,000 100,000 56,000 - 21,057 - - 146.772121 4.822,492 Commodities 1,773,292 200 28,000 - 5,000 71,720 1,880,062 Central services 3,778,572 81,744 - - - - - - - 3,860,316 40,000E - - 180,600 1,526,372 1,746,978 Equipment - - ,000 - 338,345 11,753,320 17,395,224 200 Capital outlay - 3,685,000 1,418,559' - - - 6,654,894 Debt service - - - - - - - 6,654,894 327.178 327,178 Transfers • TOTAL EXPENDITURES AND OTHER FINANCING USES $ 34,820,232 $ 3,809,787 $ 1,551,303 $ 100,000 $ 61,000 $ 240,000 $ 22,907 $ 6,654,894 $ 518,951 $ 13,931,670 $ 61,710,944 CHANGEIN FUND BALANCE $ - $(3,615,787) $ (351,303) $ - $ 112,446 $ (232,800) $ 20,093 $ 577,785 $ (518,951) $ (937,705) CITY OF EDINA 4801 West 50th Street•Edina,Minnesota 55424 www.EdinaMN.gov e 952-927-8861 •Fax 952-826-0390 Section 2: The Budgets for all Enterprise Funds for the City of Edina for the calendar year 2015 is hereby adopted as after this set forth, and funds are hereby appropriated therefore: 2015 ENTERPRISE FUND BUDGETS Aquatic Golf Sports Art Utilities Liquor Center Course Arena Dome Center Edinborough Centennial Fund Fund Fund Fund Fund Fund Fund Fund Fund Total REVENUES AND TRANSFERS IN Operating revenues $19,433,473 $14,367,118 $ 1,023,000 $ 3,014,025 $ 2,017,519 $ 381,860 $ 445,950 $ 1,354,800 $ 786,000 $42,823,745 Intergovernmental 116,000 - - - - - 116,000 Investment income 96,556 - 15,000 25,000 136,556 Other revenue 56,527 - 3,000 - 59,527 Transfers 485,000 230,000 243,578 253,600 1,212,178 TOTAL REVENUES AND TRANSFERS IN $19,702,556 $14,367,118 $ 1,023,000 $ 3,499,025 $ 2,247,519 $ 381,860 $ 692,528 $ 1,623,400 $ 811,000 $44,348,006 EXPENSES AND TRANSFERS OUT-BY DEPARTMENT Administration $ - $12,506,524 $ $ $ - $ - $ - $ - $ - $12,506524 Finance 286,381 - 286,381 Public works 13,350,060 13,350,060 Engineering 177,000 177,000 • Police 441,408 441,408 Parks and recreation 938,625 3,358,756 2,423,956 554,090 683,306 1,616,747 1,014,860 10,590,340 Transfers 100,000 1,850,100 1,950,100 TOTAL EXPENSES AND TRANSFERS OUT $14,354,849 $14,356,624 $ 938,625 $ 3,358,756 $ 2,423,956 $ 554,090 $ 683,306 $ 1,616,747 $ 1,014,860 $39,301,813 EXPENSES AND TRANSFERS OUT-BY TYPE COGS $ - $10,198,628 $ 46,000 $ 225,200 $ 85,000 $ - $ 23,000 $ 105,000 $ 14,000 $10,696,828 Personal services 1,732,897 1,419,298 371,593 1,453,368 885,513 54,440 449,431 745,581 623,683 7,735,804 Contractual services 6,723,540 522,928 162,300 596,800 612,750 171,650 101,175 362,650 177,625 9,431,418 Commodities 999,500 63,150 89,650 380,800 96,950 3,000 48,300 183,450 108,300 1,973,100 Central services 708,588 227,520 27,108 132,588 58,836 - 35,400 53,316 51,252 1,294,608 Depreciation 3,487,500 75,000 236,500 570,000 545,000 325,000 26,000 166,750 40,000 5,471,750 Interest 602,824 - 5,474 139,907 748,205 Transfers 100,000 1,850,100 1,950,100 TOTAL EXPENSES AND TRANSFERS OUT $14,354,849 $14,356,624 $ 938,625 $ 3,358,756 $ 2,423,956 $ 554,090 $ 683,306 $ 1,616,747 $ 1,014,860 $39,301,813 CHANGE IN NET POSITION $ 5,347,707 $ 10,494 $ 84,375 $ 140,269 $ (176,437) $ (172,230) $ 9,222 $ 6,653 $ (203,860) $ 5,046,193 • • Section 3. That there is proposed to 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: GENERAL FUND $ 22,933,958 ARTS & CULTURE FUND $ 20,000 CONSTRUCTION FUND—EQUIPMENT LEVY $ 1,617,072 LEVY FOR PAYMENT OF CIP BONDS —SERIES 2010A $ 944,400 LEVY FOR PAYMENT OF HRA PUBLIC PROJECT $ 409,440 BONDS - SERIES 2005A LEVY FOR PAYMENT OF CIP BONDS - SERIES 2007A $ 441,940 LEVY FOR PAYMENT OF PUBLIC WORKS FACILITY $ 1,546,600 DEBT LEVY FOR PAYMENT OF HRA PUBLIC PROJECT $ 1.168,000 BONDS—SERIES 2014 TOTAL LEVY $ 29,081,410 Section 6. That there is proposed to be levied upon all taxable real and personal property in the City of Edina, a tax rate sufficient to produce the amount below for the debt levy of the market value • based referendum levy and canceling the portion of the levy not required to produce the following amount: GO PARK AND RECREATION BONDS SERIES 199613/2005 2 1 B $ 618,600 Passed and adopted by the City Council on December 16 0 ATTEST: Debra A. Mangen, ity CI r James I§. Hovlan , 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 16, 2014, and as recorded in the Minutes of said Regular Meeting. WITNESS my hand and seal of said City this day of 120 City Clerk