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HomeMy WebLinkAbout1976 Annual BudgetBUDGET 1976 CITY OF EDI NA TABLE OF CONTENTS Budget Resolution Summary I - Revenue by Fund and Source Summary II - Expenditures by Fund and Function DETAILS OF EXPENDITURES General. Government City Council Planning Administration Finance Election Assessing Legal and Court Services Public Works Administration Engineering. Supervision and Overhead Payroll - Summary - Distribution Street Maintenance Street Lighting Street Name Signs Traffic Control Bridges Storm Drainage Village Properties Sidewalks and Ramp Capital Outlay Protection of Persons and Property Police Protection Fire Protection Civilian Defense Public Health Animal Control Inspections Non - Departmental Expenditures Contingencies Settlement of Suits Special Assessments on City Property Central Services - Capital Outlay Capital Improvement Commissions Park and Recreation Administration Recreation Program Park Maintenance Payroll - Summary - Distribution Capital Outlay I - II III IV V - VI 1 - 2 3 - 4 5 - 6 7 - 8 9 - 10 11 - 12 13 - 14 15 - 16 17 - 18 19 - 20 21 22 - 23 - 24 25 - 26 27 - 28 29 - 30 31 - 32 33 - 34 35 - 36 37 - 38 39 - 40 41 - 42 - 43 44 -45 -46 47 - 48 49 - 50 51 - 52 53 - 54 55 56 57 58 - 59 60 61 - 62 63 - 64 65 - 66 - 67 68 - 69 - 70 71 72 - 73 TABLE OF CONTENTS CONTINUED Other jax Supported Expenditures Public Nursing Park Construction - Capital Improvements Bonds and Interest Fire Protection Firemen's Relief Association Youth Action Central Services General City Hall Public Works Building Equipment Operation Schedule,of Maximum Salaries and Wages Comparative Summary of Major Objects by Activity and Fund Analysis Details of Conferences and Schools Comparative Assessed Valuation, Tax Rate in Mills, and Taxes in Dollars, All Funds Income Producing Funds 74 75 76 .77 78 79 80 - 81 - 82 83 - 84 - 85 86 - 87 88 - 89 - 90 A B C D E F RESOLUTION ADOPTING BUDGET FOR THE CITY OF EDINA FOR THE YEAR 1976, AND ESTABLISHING TAX LEVY FOR THE YEAR 1975 PAYABLE IN 1976 THE CITY COUNCIL OF THE CITY OF EDINA, MINNESOTA, DOES RESOLVE AS FOLLOWS ection 1. The Budget for the City of Edina for the calendar year 1976 is ereby adopted as hereinafter set forth; and funds are hereby appropriated therefor: ENERAL FUND GENERAL GOVERNMENT Mayor and Council $ 22,740 Planning 49,409 Administration 161,215 Finance 136,076 Election 29,649 Assessing 110,822 Legal and Court Services 90,560 TOTAL GENERAL GOVERNMENT PUBLIC WORKS Administration $ 41,508 .Engineering 194,47.8 Highways 1,078,772 TOTAL PUBLIC WORKS PROTECTION OF PERSONS AND PROPERTY Police $1,205,197 Fire 573,491 Civilian Defense 6,927 Public Health 58,293 Animal'Control 20,944 Inspection 93,678 TOTAL PROTECTION OF. PERSONS AND PROPERTY NON - DEPARTMENTAL EXPENDITURES Contingencies $ 115,000 Settlement of Suits 500 Special Assessments on City Property 60,000 Unallocated Capital Outlay 5,000 Capital Improvements 50,000 Commissions 22,100 TOTAL MISCELLANEOUS AND CONTINGENCIES TOTAL GENERAL FUND ARK FUND Administration $ 177,611 Recreation 80,005 Maintenance 223,740 Capital Outlay 17,800 TOTAL PARK FUND PAGE I $ 600,471 $1,314,758 $1,958,530 $ 252,600 $4,126,359 $ %499,156 RESOLUTION CONTINUED !ction 2. Estimated receipts other than General Tax Levy are hereby established as hereinafter set forth: GENERAL FUND Transfer - Revenue Sharing Fund Licenses and Permits Municipal Court Fines Department Service Charges Other Transfer from Liquor Fund State Apportionments - Sales Tax Income on Investments TOTAL GENERAL FUND PARK FUND Registration Fees Other Transfer from General Fund PARK CONSTRUCTION FUND Transfer from General Fund TOTAL ESTIMATED RECEIPTS $ 150,000 153,900 200,000 158,700 141,000 45,984 843,137 35,000 $ 28,000. 200 274,016 Section 3. That there be and hereby is levied upon all taxable real and ersonal property in the' City of Edina, a tax rate sufficient to roduce the amounts hereinafter set forth: For General' Fund For Park Fund Nursing Services For Fire Protection For Bonds and Interest Adopted this 29th day of September 1975. ATTEST: (Signed)_ Florence B. Hallberg CITY CLERK PAGE' II $1,726,821 302,216 80,000 $2,109,037 $2,399,538 196,940 24,868 14,860 313,000 $2,949,206 (Signed) James Van Valkenbu rg MAYOR CITY OF EDINA ANNUAL BUDGET' PAGE III SUMMARY I REVENUES BY FUND AND SOURCE Actual Budgeted Estimated Budgeted 1973 1974 1975 1975 1976 ENERAL FUND Real and personal property ✓ taxes $1,554,756 $1,612,951 $2,022,939 $1,965,285 $2,399,538 Other taxes: Interest, penalties and forfeited tax sales $ 19,502 $ 19,543 $ 159000 $ 18,657 $ 18,000 .Mortgage registry e' 51,432 319607 Bank excess 2,240 5,502 $ 73,174 $ 56,652 $ 15,000 $ 18,657 $ 18,000 Licenses and permits: / Bicycle $ 5,320 $ 4,788 $ 4,500 $ 3,968 $ 5,500 Beer and liquor 2,475 2,150 2,400 2,688 2,400 Cigarette 2,393' 2,545 22600 23,241 2,600 Dog.and impounding fees 6,290 6,448 7,000 6,120 7,000 Food and soft drinks 10,273. 16,777 16,500 18,617 18,000 Gas pumps, tanks, burning permits, etc. 1,260 1,185 1,200 1,200 1,200 Bowling,.taxi, pinball,etc. 8,359 9,951 9,500 10,165 10,000 Scavenger and garbage collectors 975 955 900 955 900 Building permits 55,944 71,364 65,000 61,873 65,000 Cesspool and sewer permits 1,424 1,051 1,500 923 900 Plumbing permits 28,432 219775 25,000 17,081 18,000 Sign permits 1,890 940 1,400 1,400 1,400 Street opening 2,041 29259 2,000 1,200 1,200 Heating and ventilating licenses and permits 69135 9;425 _3,400 11,000 10,000 Other licenses and permits 1,561 145 600 896 900 Mechanical permits 13,000 7,970 8,000 $ 134,772 $ 151,758 $ 156,500 $ 148,297 $ 153,000 Engineering, clerical and," searches 120,756 123,803 120,000 116,789 120,000 Police services 14,129 4,990 5,600 6,500 6,700 Equipment rental 3,309 (523) Municipal Court fines 159,446 184,144 160,000 192,760 200,000 State highway tax-/" 29,260 50,760 50,000 51,466 51,000 State liquor and cigarette tax - 164,370 State sales and use tax 639,069 844,570 843,136 843,136 843,137 Planning fees ✓ 1,668 2,780 29000 1,661 2,000 Charges to other funds- y 20,700 20,700 30,000 30,000 30,000 Contribution from Liquor i Fund $ 275,000 $ 275,000 $ 325,000 $ 325,000 $ 400,000 Less transfer to Park Fundy. 1502441 187,183 .243,328 243,328 276,433 Less transfer to Park 7 Construction Fund 80,000 80,000 80,000 80,000 80,000 $ 44,559 $ 7,817 $ 1,672 $ 1,672 $ 431,567 CITY OF EDINA ANNUAL BUDGET PAGE IV UMMARY I (CONT'D.) _ Actual Budgeted Estimated Budgeted 1973 1974 1975 1975 1976 GENERAL FUND (CO NT' D. ) ', Sales and rental of v property $ Miscellaneous revenue,/ Reserve for commitments Income on investments Fees -sale of automobile- licenses Transfer- unappropriated surplus Transfer- revenue sharing ✓ Services - Housing and Re- development Authority Over levy -1972 Grant -State of Minnesota - Ambulance ✓ 5,982 $3,193,664 $3,863,986 $3,667,937 $3,642,883 $4,123,942 15,657 $ 12,652 $ 9,000 $ 21,600 20,701 13,500 72,500 343,149 56,580 70,357 50,000 37,200 31,630. 35,000 30,159 319,113 11,773 $ 9,000 21,270 21,000 49,375 35,000 30,652 32,000 125,000 125,000 150,000 28,590 28,590 10,000. ARK FUND Real and personal property ✓ tax $ 187,261 $ 193,028 $ 197,571 $ 192,632 $ 196,940 Registration fees - swimming ✓ and activities 25,295 27,941 27,000 27,800 28,000 Transfer from Liquor Fund 150,441 187,183 243,328 243,328 276,433 Unclassified 131 561 200 450 200 TOTAL PARK FUND $ 363,128 $ 408,713 $ 468,099 $ 464,210 $ 501,573 T.'OOR FUND Real and personal property ✓ tax TOTAL POOR FUND 'ARK CONSTRUCTION FUND Transfer from Liquor and General Funds TOTAL PARK CONSTRUCTION FUND $ 17,458 $ 14,6.67 $ -0- $ -0- .$ 24,868 $ 17,458 $ 14,667 $ -0- . $ -0- $ 24,868 $ 80,,000 $ 115,000 $ 80,000 $ 80,000 $ 80,000 Firemen s Relief Association $ 52,244 $ 5,023 $ 5,000 $ Fire protection 14,729 $ 80,000 $ 115,000 $ 80,000 $ 80,000 $ 80,000 )THER REAL AND PERSONAL 2 PROPERTY TAX REVENUES Firemen s Relief Association $ 52,244 $ 5,023 $ 5,000 $ Fire protection 14,729 14,454 15,500 Bonds and interest 71,959 70,127 13,000 $ 91,932 $ 89,604 $ 33,500 $ TOTAL REVENUES ALL FUNDS 4,875 15,113 $ 14,860 12,675 313,000 32.663 $ 327,860 $3,746,182 $4,491,970 $4,249,536 $4,219,756 $5,058,243. CITY OF EDINA ANNUAL BUDGET . PAGE V ` F3yj ��AI EXPENDITURES BY FUND AND FUNCTION Public Works: Administration Actual $ 37,165 Budgeted Estimated Budgeted Engineering 1973 1974 1975 1975 1976 GENERAL FUND 121,095 141,163 174,180 173,012 187,033 General Government: 3651321 446,191 494,373 488,056 519,040 Mayor and Council $ 19,014 $ 18,643 $ 21,730 $ 21,692 $ 22,740 Planning 29,445 35,045 45,404 44,788 51,121 Administration 95,057 126,611 142,849 142,239 165,225 Finance 103,514 109,941 136,104 135,975 138,794 Election 11,043 22,368 7,915 13,250 29,779 Assessing 87,141 '3,687 103,416 9.9,925 113,646 Legal and Court services 78,914 89,880 68,030 97,806 .90,560 TOTAL GENERAL GOVERNMENT $ 424,134 $ 492,175 $ 525,448 $ 555,675 $ 611,865 Public Works: Administration $ 33,722 $ 37,165 $ 39,044 $ 38,955 $ 42,722 Engineering 168,120 174,959 185,128 187,623 200,166 Supervision and Overhead 121,095 141,163 174,180 173,012 187,033 Street Maintenance 3651321 446,191 494,373 488,056 519,040 Street Lighting 93,357 95,832 97,480 96,551 104,080 Street Name Signs .12,069 6,647 20,520 18,888 24,863 Traffic Control 39,049 49,432 47,400 48,804 51,964 Bridges 2,646 3,322 7,200 .5,272 7,985 Storm Drainage 39,143 28,205 48,095 45,118 51,630, City Properties 49,911 51,009 58,927 58,725 72,300 Sidewalks and -Ramp 6,798 7,090 13,310 14,577 20,180 Capital Outlay 40,491 65,722 37,900 40,465 40,750 2OTAL PUBLIC WORKS $ 971,722,$1,106,737 $1,223,557 $1,216,046 $1,322,713 Protection of Persons and Property: Police $ 866,931 $ 980,674 $1,112,451 $1,112,893 $1,235,162 Fire 404,432 417,972 489,854 489,614 580,813 Civilian Defense 5,391 4,650 4,979 4,899 6,927 Public Health 33,818 42,826 52,551 51,468 59,520 Animal Control 10,685 16,053 18,070 17,829 21,302 Inspection 66,691 79,557 88,132 89,134 97,804 TOTAL PROTECTION OF PERSONS AND PROPERTY $1,387,948 $1,541,732 $1,766,037 $1,765,837 $2,001,528 CITY OF EDINA ANNUAL BUDGET PAGE VI;;. UMMARY II (CONT' D. ) Actual. Budgeted Estimated Budgeted 1973 1974 1975 1975 1976 "ENERAL FUND (CONT -D.) .Non - Departmental Expenditures: Contingencies $ Settlement of Suits Special Assessments on City Property Unallocated Capital Outlay Capital Improvements. Commissions Central Services- Unallocated City share of street 36,372 $ 42,988 $ 25,063 $ 19,587 $ 50,236 26 • 500 400 500 649995 55,142 60,000 62,727 60,000 54,617 174,891 5,000 4,626 5,000 50,000 60,000 50,000 50,000 50,000 9,692 8,733 12,332 11,323 22,100 46,314 130,613` 14,454 15,500 15,113 14,860 replacements 266,695 EXPENDITURES TOTAL NON- DEPARTMENTAL Bonds and Interest: EXPENDITURES $ 262,016 $ 739,062 $ 152,895 $ 148,663 $ 187,836 TOTAL GENERAL FUND $3,045,820 $3,879,706.$3,667,937 5,244 $3,686,221 $4,123,942 PARK FUND Fire Protection 14,729 14,454 15,500 15,113 14,860 Administration $ 123,772 $ 146,593 $ 157,918 $ 158,584 $ 180,028 Recreation 59,808 78,834 85,195 84,412 80,005 Maintenance 1739906 194,785 209,986 209,887 223,740 Capital Outlay 13,074 8,548 15,000 14,707 17,800 TOTAL PARK FUND $ 370,560 $ 428,760 $ 468,099 $ 467,590 $ 501,573 DOOR FUND 22,933 15,299 -0- -0- 24,868 _'ARK CONSTRUCTION FUND 80,000 115,000 80,000 80,000 80,000 THER TAX SUPPORTED EXPENDITURES Bonds and Interest: Park Sinking Fund $ 66,225 $ 64,411 $ _13,000 $ 12,675 $ 313,000 Firemen's Relief Association 5,244 5,023 5,000 4,875 Fire Protection 14,729 14,454 15,500 15,113 14,860 TOTAL OTHER TAX SUPPORTED EXPENDITURES $ 86,198 $ 83,888 $ 33,500 $ 32,663 $ 327,860 TOTAL EXPENDITURES ALL FUNDS $3,605,511 $4,522,653 $4,249,536 $4,266,474 $5,058,243 CITY OF EDINA Fund GENERAL -_10 Function GENERAL GOVERNMENT I 1975 BUDGETED ESTIMATED $ 14,300 $ 14,300 150 212 800 700 6,480 6,480 $_11.7 3 0 $_21 2 612 ANNUAL BUDGET Area MAYOR AND COUNCIL- SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS COMMENTARY PAGE 1 Acct. No. 100.10 1976 RECOMMENDED BUDGETED 14,300 $ 14,300 200 200 •1,000 800 7,440 7,440 22,940 $_L2, 740 FUNCTION The City Council constitutes the legislative or policy- making division of Edina City Government. The Council is composed of the Mayor and four trustees, all elected at large for overlapping terms of two and four years, respectively. 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. COME_ NTS Proposed expenditures are six percent (6 %)higher than last year's appropriation. The principal reason for the increase is higher cost of central services. the below listed detail contributes to the increase. AMOUNT Conferences and schools $ 50 Annual report 100 News letter 100 Central services TOTAL $1.210 ®I CITY OF EDINA Fund _GENERAL - 10 ANNUAL BUDGET, Function Area GENERAL GOVERNMENT MAYOR AND COUNCIL EXPENDITURE DETAIL PAGE, 2 Acct. No. 100.10 Present Budget Recommended Budgeted $ 31900 $ 31900 10 400 10 400 $14,300 $14,300 $14,300 150 200 200. $ 400 400 $ 500 500 400 400 $ 800 $ 1,000 $ 800 $ 3,120 $ 3,540 3 360 3 900 $ 6.480 7,440 7 440 $21.730 922.940 $22,740 CITY OF EDINA Fund GENERAL - 10 ANNUAL BUDGET Function GENERAL GOVERNMENT 1975 BUDGETED ESTIMATED $ 33,604 $ 321465 19090 1,096 450 419 10,020 10,020 240 788 Area PLANNING SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL. OUTLAY PAGE 3 Acct. NO.. 120.12 1976 RECOMMENDED BUDGETED $. 42,314 $ 36,560 945 920 625 225 13,080 13,416 560 $ 45,404 $ 441788 TOTALS $_57j524 $ 51,121 . irk -rA nV FUNCTION The function of the Planning Department is to provide staff service to the City Council, Planning Commission, to other City Departments, and to the City Manager, and to a limited degree to other agencies, both public and private, whose activities influence the physical development of the City of Edina. Staff services include office operations, the administration of the various land use and development ordinances, submission of recommendations on matters of zoning and subdivisions before the Council and Planning Commission, and the preparation and review of overall development plans. COMMENTS Proposed expenditures are twenty seven percent (27%) higher than last year's appropriation. The principal reason for the increase is higher cost of personal services and central services. The below listed detail contributes to the increase. Wycom Salaries and wages $ 8,710 Conferences and schools (190) Dues and subscriptions 45 Commodities 175 Central services 3,060 Capital outlay 320 TOTAL $1_?z20 ( ) Indicates red figure "Al NBUDGET PAGE 4 N - GtTY OF ENNA Area, Acct.. No. Fund Function ^10 PLANNING 120.12 I GENERAL -. GENERAL GOVERNMENT EXPENDITURE DETAIL ` Present Recommended Budgeted Code Activity Object Detail . Budget $18,785 $20,280 $21,060 Director 4,667 4,862 4,990 Secretary Code enforcement 9,152 9,542 10,010 officer 6,630(A) -0- Assistant planner 1 000 1 000 Soo Overtime $33,604 $42,314 S36,560 4105 Conferences and $ 505 $ 315 $ 290 4202 Schools 4204 Dues and subscriptions 255 300 180 300 180 4206 Meeting expense 180 150 150 150 4208 Mileage $ 1,090 $ 945 $ 920 Books and pamphlets $ 50 $ 50 500 $ 50 100 Printing 350 50 75 75 Drafting supplies $ 450 $ 625 $ 225 $ 7,320 $ 9,900 $10,236 4802 General 1,620 1,920 1,920 4804 4808 City Hall Equipment operation 1 080 1 260 $13,080 1 260 $13,416 $10,020 4936 Slide projector 240 560 Office furniture TOTAL PLANNING $45 404 $=752 4 51 121 (A) To start July 1 CITY OF EDINA Fund GENERAL - 10 1975 ANNUAL BUDGET PAGE 5 - -- Function - Area Acct. No. GENERAL GOVERNMENT ADMINISTRATION - 140.14 BUDGETED ESTIMATED 104,403 101,443 14,556 16,342 250 1,025 23,040 23,040 600 $_142,849 389 $_L41,231 SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS ...-rA nv %0%fly1lY1L11 l r%n 6 1976 RECOMMENDED BUDGETED 106,988 $.109)850 55,547 25,047 900 400 29,220 29,928 1,290 $ 193,945 165,225 FUNCTION The management of the City's administrative affairs, the proper execution of the policies adopted by the Council, and the enforcement of local laws and ordinances, are all the direct responsibility of the City Manager. This account provides his office with the necessary staff and funds to properly manage the administrative organization needed to implement his responsibility. COMMENTS Proposed expenditures are thirty -six percent (36%) higher than last year's appropriation] About eighty percent of the increase is the provision for management consulting service. Balance of increase is made up of higher payroll and central services cost. The below listed detail contributes to the increase. AMOUNT Salaries and wages $ 2,585 Conferences and schools (55) Dues and subscriptions 46 Legal advertising 750 Mileage and local meetings 50 Consultant -labor relations 200 Management consultant 40,000• Printing 100 Books and pamphlets 550 Central services 6,180 Capital outlay 690 TOTAL $51,096 ( ) Indicates red figure G4TY OF EDINA: ANNUAL BUDGET PAGE 6 Fund Function Area Acct. No. GENERAL -.10 GENERAL GOVERNMENT ADMINISTRATION 140.14 EXPENDITURE DETAIL Present Recommended Budgeted Code Actirity Object Detail Budget Manager $ 39,000 $ 39,000 $ 41,340 Administrative Assistant 11,986 12,480 13,260 City Clerk 12,740 13,260 14,040 Secretary 9,152 9,724. 9,620 PBX Operator 6,370 6,630 5,850 Personnel officer 15;730 16,354 17,420 Secretary 5,980 7,540 8,320 Clerk 3,185 Summer help and overtime 260 2,000 4105 $104,403 $106,988 $109,850 4202 Conferences and schools $ 800 $ 745 745 Dues and 4204 subscriptions 8,456 8,502 8,502 4210 Legal advertising 3,750 4,500 4,000 Mileage and local 4208 meetings 250 300 300 Consultant -Labor 4224 relations 1,300 1,500 1,500 Management consultant 40,000 10,000 $ 14,556 $ 55,547 $ 25,047 Printing $ 200 $ 300 $ 300 Books and pamphlets 50 600 100 4500 $ 250 $ 900 $ 400 4802 General $ 16,920 $ 22,080 $ 22,788 4804 City Hall 5,040 5,880 5,880 4808 Equipment operation 1,080 1,260 1,260 $ 23040 $ 29,220 $ 290928 4908 Auto replacement $ 600 File cabinets (4) $ 590 Typewriter 700 $ 600 $ 1,290 -0- TOTAL ADMINISTRATION $142 849 $193.945 S165,225 CITY OF EDINA U Fund GENERAL - 10 1975 -- Function GENERAL GOVERNMENT BUDGETED ESTIMATED $ 95,808 $ 95,434 20,336 20,596 100 85 19,860 $ 136.104 19,860 ANNUAL BUDGET SUMMARY OBJECT PAGE 7 Area Acct. No: FINANCE 160.16 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS I.VMI"r 1N 1 r+n 1 1976 RECOMMENDED BUDGETED $ 89,842 91,840 24,294. 249294 • 100 100 21,840 22,560 650 $136,726 $138,794_ FUNCTION The Finance Department is responsible for the financial affairs of the City. All revenue and expenditure transactions are controlled by the Finance Department. A centralized system of purchasing is maintained. Financial statements and reports are prepared and issued by the Finance Department. COMMENTS Proposed expenditures are one percent (1 %) higher than last year's appropriation. The below listed detail contributes to the increase. Salaries and wages Conferences-and schools Mileage Data processing: Payroll .Financial control Equipment rental Central services Capital outlay TOTAL ( ) Indicates red figure $(5,966) 469 (25) 630 2,380 504 1,980 650 $ 622 GtTY OF EDINA ANNUAL BUDGET PAGE 8 Function Area Acct. No. . Fund '- GENERAL -.10 GENERAL GOVERNMENT FINANCE 160.16 EXPENDITURE DETAIL Present Recommended Budgeted Code Activity Object Detail Budget Director $ 26,962 $ 28,028 $ 28,600 Secretary 10,816 9,568 9,750 Payroll clerk. 9,334 9,334 7,982 9,724 9,980 Cashier Clerks -Auto licenses (2) 15,236 14,534 14,850 Accountant 9,334 9,724 9,980 Accounting Clerk.(') 3,536 3,692 3,770 Part -time help auto licenses 8,500 3,600 3,600 Clerical 2,756 2,990 2,990 4105 $ 95,808 $ 89,842 $ 91,840 Conferences and 4202 schools $ 230 $ 699 Dues and 4204 subscriptions 120 120 4216 Annual audit 3,000 3,000 4208 Mileage 400 375 4228 Data processing; Payroll 5,670 6,300 4230 Financial control 7,220 9,600 4226 Equipment rental 3,696 4,200 $ 20,336 $ 24,294 $ 24,294 4500 Rooks and pamphlets 100 L00 100 4802 General $:17,580 $ 19,140 $ 19,860 4804 City Hall 2,280 2,700 2.700 $ 19,860 $ 21,840 $ 22,560 Typewriter 650 TOTAL FINANCE $136,104 $136,726 $138,794 CITY OF EDINA ANNUAL BUDGET Fund Function_ Area GENERAL - 10 GENERAL GOVERNMENT ELECTION SUMMARY 1975 BUDGETED ESTIMATED OBJECT $ 6,055 $ 9,180 1. PERSONAL SERVICES 1,291 2. CONTRACTUAL SERVICES 919 3. COMMODITIES 1,860 1,860 4. CENTRAL SERVICES 5. CAPITAL OUTLAY $ 7 , 915 $11,210 TOTALS 4VMmriv 1 1 PAGE 9 Acct. No. I 180.18 1976 RECOMMENDED BUDGETED . $. 19,383 $.19,513 7,021 7,021 1,025 1,025 21220 .2,220 $ 29,649_ $ 29,779 FUNCTION The City Clerk is responsible for conducting all National, State, and City elections that occur in the City of Edina. COMMENTS Proposed expenditures are about three times higher than last year's appropriation. A primary and general election will be held in 1976, while no election was held during 1975. The below listed detail contributes to the increase. AMOUNT Salaries and wages $13,328 Custodians 4,019 Moving charges 400 Rental- Voting machines 2,500 Postage 102 Ballots 360 General supplies 665 Central services 360 TOTAL $21.734 GtTY OF EDINA ANNUAL BUDGET PAGE°,-lo Fund Function Area Acct. No. _ GENERAL - 10 GENERAL GOVERNMENT ELECTION 180.18 EXPENDITURE DETAIL Present Recommended Budgeted Code Actirity Object Detail Budget Election judges $10,016 $10,016 Set -up time 1,149 1,149 Registration and filing $ 6,055 8,218 8,348 4105 $ 6,055 $19,383 $19,513 4236..Custodians $ 4,019 4234 Moving charges 400 4233 Rental- voting machine 2,500 Postage 102 - $ -0- $ 7,021 $ 7,021 4600 Ballots $ 360 4504 General supplies 665 i $ -0- $ 1,025 $ 12025 , 4802 General 1,860 29220 29220 $29,649 TOTAL ELECTION $ 7 915 CITY OF EDINA ANNUAL BUDGCT Fund Function GENERAL - 10 GENERAL GOVERNMENT SUMMARY PAGE 11 Area Acct. No. ASSESSING - 200.20 1975 BUDGETED ESTIMATED OBJECT $ 77,246 74,135 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3,730 3,430 2,100 2,020 3. COMMODITIES 20,340 20,340 4. CENTRAL SERVICES 5. CAPITAL OUTLAY 103,416 $_j9,925- TOTALS �..V lYIIYILI� 1 nn l 1976 RECOMMENDED BUDGETED 89,852 $.,82,620 4,820 3,920 2,000 1,750 24,900 25,356 $ 121,572 $113,646 FUNCTION The assessing function includes the-determination of the assessed values and preparation and maintenance of tax records of all properties within the City. Special assessments levied for improvements are also computed and spread on the tax rolls by personnel of the Assessing Department. COMMENTS Proposed expenditures are eighteen percent (18 %) higher than'last year's appropriati The principal reason for the increase is higher cost of personnel services and central- services. The below listed detail contributes to the increase. AMOUNT Salaries and wages $12,606 Conferences and schools 1,055 Dues and subscriptions (65) Mailing homestead 100 Printing (250) General supplies 150 Central services 4,560 TOTAL $18,156 ( ) Indicates red figure G1TY OF EDINA ANNUAL BUDGET PAGE12 Function GENERAL GOVERNMENT Area ASSESSING Acct. No. 200.20 Fund GENERAL - ^10 EXPENDITURE DETAIL Activity Object Detail Present Budget Recommended Budgeted Code $ 21,580 17,758 13,884 9,724 7,306 10,000 9,600 $ 21,970 18,070 14,690 9,980 7,410 10,500 Assessor Deputy Assessor Deputy.Assessor Secretary Assessment Clerk Appraiser Appraiser $ 20,748 17,056 13,338 9,334 7,020 9,750 4105 $ 77,246 $ 89,852 $ 82,620 Conferences and 4202 schools $ 1,350 $ 2,405 $ 1,505 4204 Dues and subscriptions 280 215 215 IBM preparing: Assessments and 4233 tax books 4233 Valuation notices 4240 Mailing homesteads 4208 Mileage 500 1,000 500 100 500 1,000 600 100 500 1,000 600 100 $ 3,730 $ 4,820 $ 3,920 4600 Printing 4504 General supplies $ 1,750 350 $ 1,500 500 $ 1,250 500 $ 2,100 $ 2,000 $ 1,750 4802 General 4804 City Hall 4808 Equipment operation $ 17,340 1,920 1,080 $ 21,360 2,280, 1,260 $ 21,816 21,280 1,260 $ 20.340 $ 24,900 25 356 TOTAL ASSESSING $103,416 $121 572 $113,646 CITY OF EDINA Fund GENERAL - 10 ANNUAL BUDGET Function Area GENERAL GOVERNMENT LEGAL AND COURT SERVICES. SUMMARY 1975 BUDGETED ESTIMATED 9,100 $ 18,751 570250 177,37 5 1,680 1,680 $ 68,030 $ 97,806 OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL nUTLAY TOTALS COMMENTARY PAGE 13 Acct. No. 220.22 1976 RECOMMENDED BUDGE'ED $. 21,000 195000 76,000 70,000 1,560 1,560 $ 98,560 $_90,560 FUNCTION The City requires the professional services of attorneys who are contracted for on an annual basis. They provide legal counsel and prepare the necessary ordinances and resolutions required to implement the wishes of the Council. In addition, they defend the.City in all claims and suits and prosecute all cases arising out of violation of the City ordinances. COMMENTS Proposed expenditures are forty -five percent (45 %) higher than last year's appropriation. Principal reasons for the increase are higher cost of prosecuting attorney, professional fees and court charges. The below listed detail contributes to the increase. AMOUNT Prosecuting attorney $11,900 Professional fees 14,000 Board and room prisoners 250 witness fees (500) Hennepin County Court charges .5,000 Central services (120) TOTAL $30,_530 ( ) Indicates red figure MY OF EDINA ANNUAL BUDGET Fund Function Area GENERAL - ^10 GENERAL GOVERNMENT LEGAL-AND COURT SERVICES EXPENDITURE DETAIL Code Activity Object Detail Present Budget Recommended 4105 Prosecuting attorney $ 9,100 $21,000 4218 Professional fees $36,000 $50,000 Board and room - 3,250 3,500 4286 Prisoners 4170 Witness fees - Hennepin County - 3,000 21500 4244 Court charges 15,000 20,000 $57,250 $76,000 2 1 1.680 1,560 480 Genera TOTAL LEGAL AND COURT SERVICES PAGE 14 Acct. No. 220.22 Budgeted $19,000 46,000 3,500 2,500 18,000 $70,000 1.560 568.030 1 $98,560 I $90,560 � CITY OF EDINA Fund GENERAL - 10 ANNUAL BUDGET Function I Area PUBLIC WORKS ADMINISTRATION _ 1975 BUDGETED ESTIMATED $ 30,927 $ 30,830 77 85 8,040 39,044 8,040 $__28,911 SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES S. CAPITAL OUTLAY TOTALS COMMENTARY PAGE 15 Acct. No. I 240.24 1976 ^ RECOMMENDED BUDGETED �- 31,798 32,760 170 170 9,540 9,792 41,508 $ 422722 FUNCTION The supervision and guidance required, by various departments, such as engineering, street, sewer and water, is furnished by Director of Public Works. The cost involved to� furnish this service is accumulated in this account. COMMENT Proposed expenditures are six percent (6 %) higher than last year's appropriation. The principal reasons for increases are higher payroll and central service costs. The below listed detail contributes to the increase. AMOUNT Salaries and wages $ 871 Conferences and schools 93 Central services 1,500 TOTAL $2,464 CtTY OF EDINA Fund GENERAL -.10 ANNUAL BUDGET PAGE 16 Function Arco Acct. No. PUBLIC WORKS ADMINISTRATION 240,24 EXPENDITURE DETAIL Code . Activity Object Detail Present Budget Recommended Budgeted Director Secretary ('�) $26,962 3,965 $28,028 3,770 $28,600 4,160 4105 $30,927 $31,798 $32,760 Conferences and schools $ 42 $ 135 Dues and subscriptions 35 35 4200 $ 77 $ 170 170 4802 4804 4808 General City Hall Equipment operation $ 6,000 960 1,080 $ 7,140 1,140 1,260 $ 7,392 1,140. 1,260 $ 8.040 $ 9.540 9,79 $39.044 41 508 $42,722 TOTAL ADMINISTRATION CITY OF EDINA Gam• Fund GENERAL - 10 Function PUBLIC WORKS 1975 6 -- BUDGETED ESTIMATED 131,613 133,832 1,636 2,685 7,500 6,712 39,240 39,240 5,139. 5,154 $_185,128 187,623 ANNUAL BUDGET SUMMARY OBJECT PAGE17 Area Acct. No. ENGINEERING 260.26 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS I.VMfvtr.i,4 1..,N I 147 6 -- RECOMMENDED BUDGETED $• 136,098 $.141,090 5,700 3,700 9,000 7,500 41,580 429276 12,400 5,600 $ __ 204,778 $200,166 FUNCTION. 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 needed to insure materials and workmanship are in accordance with project specifications. The department maintains records and files on all above mentioned activities and operates and maintains copying equipment. COMMENTS Proposed expenditures are eleven percent (11%) higher than.last year's appropriation. Better than ninety percent of the increase is made up of higher cost for payroll, professional services, central services and capital outlay. The. below listed detail..;.. contributes to the increase. AMOUNT Salaries and wages $ 4,485 Professional services 4,000 Other contractual services 64 Blue printing. 500 Lumber and tools 200 General supplies 800 Central services 2,340 Capital outlay 7,261 TOTAL $19,650 GtTY OF EDINA Fund GENERAL -�10 ICode I Activity ANNUAL BUDGET Function Area PUBLIC _WORKS ENGINEERING EXPENDITURE DETAIL Object 4.105 Conferences and 4202 schools Dues and 4204 subscriptions 4220 Professional services 4208 Mileage 4570 Blue printing 4604 Lumber and tools 4504 General supplies ,4802 JGe-neral 4804 City Hall 4808 Equipment operation .4900 Traffic counters Metal locator One- quarter ton 4910 pick -up (3) 4910 (Truck boxes Calculator TAL ENGINEERING $131,613 $ 351 135 1,000 150 $ 1,636 $ 2,900 2,600 2,000 $ 7,500 $ 27,360 1,970 9,960 $ 39,240 $ 1,804 3,100 235 5,139 185.128 Recommended $ 15,756 17,472 17,472 17,472 42,042 10,114 3,770 12,000 $136,098 $ 335 215 5,000 150 $ 5,700 $ 3,400 2,800 2,800 $ 9,000 $ 27,660 2,280 11,640 $ 41,580 $ 1,800 400 9,300 300 600 $ 12,400 $204.778 PAGE 18 Acct. No. 260.26 Budgeted $ 16,770 17,940 17,940 17,940 43,290 11,050 4,160 12,000 $141,090 $ 335 215 3,000 150 $ 3,700 $ 2,900 2,300 2,300 $ 7,500 $ 28,356 2,280 11,640 $ 42,276 $ 1,800 400 3,100 300 -0- S 5.600 200 166 Present Detail Budget Assistant Engineer $ 15,132 Supervisor of Surveys 16,796 Supervisor of Designs 16,796 Supervisor of Inspection 16,796 Aide III - (3) 40,404 Aide.11 - (1) 9,724 Secretary Q) 3,965 Overtime and summer help 12,000 Conferences and 4202 schools Dues and 4204 subscriptions 4220 Professional services 4208 Mileage 4570 Blue printing 4604 Lumber and tools 4504 General supplies ,4802 JGe-neral 4804 City Hall 4808 Equipment operation .4900 Traffic counters Metal locator One- quarter ton 4910 pick -up (3) 4910 (Truck boxes Calculator TAL ENGINEERING $131,613 $ 351 135 1,000 150 $ 1,636 $ 2,900 2,600 2,000 $ 7,500 $ 27,360 1,970 9,960 $ 39,240 $ 1,804 3,100 235 5,139 185.128 Recommended $ 15,756 17,472 17,472 17,472 42,042 10,114 3,770 12,000 $136,098 $ 335 215 5,000 150 $ 5,700 $ 3,400 2,800 2,800 $ 9,000 $ 27,660 2,280 11,640 $ 41,580 $ 1,800 400 9,300 300 600 $ 12,400 $204.778 PAGE 18 Acct. No. 260.26 Budgeted $ 16,770 17,940 17,940 17,940 43,290 11,050 4,160 12,000 $141,090 $ 335 215 3,000 150 $ 3,700 $ 2,900 2,300 2,300 $ 7,500 $ 28,356 2,280 11,640 $ 42,276 $ 1,800 400 3,100 300 -0- S 5.600 200 166 CITY OF EDINA Fund GENERAL - 10 ANNUAL BUDGET Function Area PUBLIC WORKS SUPERVISION AND OVERHEAD 1975 BUDGETED ESTIMATED 89,820 $ 88,639 500 498 280 295 83,580 83,580 $_L7 4, 180 $_113,012 SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS %.VIYII Y141\ Il11%a PAGE 19 Acct. No. .280.28 1976 RECOMMENDED:. BUDGE-FED 95,005 94,858 855 855 300 300 91,020 $__181,180 $_187,033 FUNCTION All Public Works personnel (other than Engineering) are under the supervision of the Public Works Superintendent. He, through this account, plans and coordinates his activities, maintains.cost and work records, and provides the training and instruction necessary to ensure his men do their job most effectively and efficiently. . "Paid.Leave" represents all vacation, sick, funeral, etc. leave used by all Public Works employees. COMMENT Proposed expenditures are seven percent (7 %) higher than last year's appropriation. The principal reasons for the increase are higher cost of payroll and central services. The below listed detail contributes to the increase. AMOUNT Salaries and wages $ 5,185 Conferences and schools. 350 Dues and subscriptions 5 Training aids 20 Central services 7,440 TOTAL $13,000 GtTY OF EDINA ANNUAL BUDGET PAGE 20- Function PUBLIC WORKS Area SUPERVISION,AND OVERHEAD Acct. No. .280.28 Fund GENERAL - ^10 EXPENDITURE DETAIL Code Activity Object Detail Present Budget Recommended Budgeted $ 21,112 12,584 3,289 $ 21,710 12,948 3,380 110 Supervision Superintendent Administrative Assistant Cost Clerk $ 20,306 121090. 3,332 Overtime and summer help 2,692 1,200 4105 $ 38,420 $ 38,185 $ 38,038 Conferences and 4202 schools. $ 150 $ 450 Dues and 4204 subscriptions 50 55 Physical 4246 examinations 50 50 $ 250 $ 555 $ 555 4802 General $ 78,900 $ 85,620 Public Works 4806 Building. 4808 Equipment operation 3,6.00 1,080 4,140 1,260 $ 83 580 $ 91,020 91.020 TOTAL SUPERVISION $122,250 $129,760 $129,613 281 Training 4105 Payroll Conferences and 4202 schools 4608 Training aids $ 1,200 250 280 $ 1,320 300 300 TOTAL TRAINING $ 1,730 $ 1,920 $ 1,920 140 Paid Leave 4105 Payroll $ 50,200 $ 55,500 TOTAL PAID LEAVE $ 50.200 $ 55,500 TOTAL SUPERVISION AND OVERHEAD $174'180 $187 180 187 033 CITY OF EDINA ANNUAL BUDGET PAGE 21 PUBLIC WORKS PAYROLL SUMMARY * DISTRIBUTION Employees Bi- Weekly Salary Appropriations Title 1975 1976 1975 1976 1975 1976 Assistant Superintendent (Foreman) Senior Public Works Man Public Works Man Electrician Temporary summer help Overtime Park Maintenance Payroll 1 1 $583 $607 $ 15,158 $ 15,782 11 10 491.54 512 140,580 133,120 14 15 456.92 476 160,379(A) 185,640 1 1 503 524 13,078 13,624 maintenance Street cleaning 35,940 9,000 10,000 29,280 Maintenance and repair Snow and ice removal 21,754 25,072 27 27 Parking Ramp Maintenance $359,949 $383,238. Traffic Control: 32,002 50,100 7,320 TOTAL $391,951 $433,338 TOTAL (A) - New man July 1, 1975 $ 9,060 30,420 10,380 1,320 1,320 5.340 $399,000 $ 1,358 10,980 2,800 4,400 14.800 $ 34,3.38 $433,338 DISTRIBUTION ' PUBLIC WORKS: Village Properties: Supervision and Overhead: Turf and plant Training - $ 1,320 maintenance Paid leave 55,500 Tree maintenance Street Maintenance: Lake and pond General maintenance 96,540 maintenance Street cleaning 35,940 Public Sidewalks: Street renovation 29,280 Maintenance and repair Snow and ice removal 54,180 Snow and ice removal Street Lighting 720 Parking Ramp Maintenance Street. Name Signs 11,760 Traffic Control: TOTAL PUBLIC WORKS Traffic signs 7,320 Signal maintenance 720 Charged to assessed Pavement marking 4,440 projects and others Guard rail and barricades 3,660 Charged to other funds Bridges 3,840 Central Services: Storm Drainage: City Hall Storm sewer maintenance 32,280 Public Works Building Temporary drainage and Equipment Operation culverts 3,660 TOTAL (A) - New man July 1, 1975 $ 9,060 30,420 10,380 1,320 1,320 5.340 $399,000 $ 1,358 10,980 2,800 4,400 14.800 $ 34,3.38 $433,338 CITY OF EDINA Fund c� GENERAL - 10 ANNUAL. BUDGET PAGE 22 Function Area Acct. No. PUBLIC WORKS STREET MAINTENANCE 300.30 SUMMARY 1975 BUDGETED ESTIMATED $ 203,663 $ 199,506 74,300 120,950 95,460 77,611 115,479 95,460 OBJECT 1. PERSONAL SERVICES. 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY 1976 RECOMMENDED BUDGETED $. 215,940 $.215,940 80,500 193,278 111,720 74,300 122,000 106,800 $_494,373 $_488,016 TOTALS $_±01,438 $ 519,040 r ull" 11" The maintenance of City streets constitutes the greatest portion of the Public Works endeavor. As the word "maintenance" implies, the purpose of this account is to preserve and not necessarily to improve, the streets within the City. Improvements such as black - topping, curbing, oiling, and installation of. drainage facilities,,are normally financed through an assessment procedure and are, therefore, not included in this account. This account does provide for such maintenance activities as patching, cleaning, sealing and snow plowing. COMMENTS Proposed expenditures are twenty -two percent (22%) higher than last year's appropriation. The principal reasons for the increase are higher payroll allocation, additional cost of commodities, and higher cost of equipment operation. The below listed detail contributes to the increase. AMOUNT Salaries and wages: General maintenance $ 5,497 Street cleaning 2,055 Street renovation 1,655 Snow and ice removal 3,070 $ 12,277 Equipment rental 1,200 Contracted repairs 5,000 Commodities: General maintenance $ 32,527 Street cleaning 5,132 Street renovation 19,521 Snow and ice removal 15,148 $ 72,328 Equipment operation _ 16,260 TOTAL $107,065 I GtTY OF EDINA Fund _ GENERAL 10 ANNUAL BUDGET Function Area PUBLIC WORKS STREET MAINTENANCE EXPENDITURE DETAIL Present Code Activity Object Detail Budget 301 General Maintenance 4105 Payroll $ 91,043 4226 Equipment rental $ 2,500 4248 Contracted repairs 15,000 ' $ 17,500 4518 Fill materials $ 3,500 4520 Calcium Chloride 29000. 4538 Salt 1,000 4524 Asphalt mix. 18,500 4526 MCI oil 3,500 4528' Concrete 3,500 4530 Jocking materials 2,500 4504 Joint materials 1,500 4504 General supplies 1,500 4532 Class V materials 7,500 4522 Select materials 5,000 $ 50,000 4808 Equipment operation 26,760 TOTAL GENERAL MAINTENANCE $185,303 310 Street Cleaning 4105 Payroll $ 33,885 250 Trash removal 800 534 Brooms $ 3,750 536 Wearing shoes 1,000 504 Wet water additive 500 $ 5,250 808 Equipment operation 19,980 _ $ 59,915 TOTAL STREET CLEANING 314 3treet Renovation 105 Payroll $ 27,625 524 Asphalt mix $ 16,800 526 Oil 14,400 522 Granular materials 15,000 $.46,200 808 Equipment operation 20,100 TOTAL STREET > -: RENOVATION $ 93,925 Recommended $ 96,540 $ 3,700 20,000 $ 23,700 $ 4,600 3,250 30,980 7,600 6,925 3,500 4,413 4,159 10,000 7,100. $ 82,527 $234,075 $ 35,940 800 $ 9,200 924 258 $ 10,382 23,400 $ 70,522 $ 29,280 $ 20,088 27,785 17,848 $ 65,721 23.520 $118,521 PAGE 23 Acct. No. 300.30 Budgeted $ 96,540 2,500 15,000 $ 17,500 $ 50,000 29.832 $193,872 $ 35,940 800 $ 5,500 22,416 $ 64,656 $ 29,280 $ 47,000 22,536 $ 98,816 CITY OF EDINA ANNUAL BUDGET PAGE 24 Function Area A cct. No: STREET MAINTENANCE 300.30 =GgENERRAL 0 PUBLIC WORKS .EXPENDITURE DETAIL Present Recommended Budgeted Code Activity Object Detail Budget 318 Snow and Ice 4105 Payroll $ 51,110 $ 54,180 $ 54,180 Removal 4226 Equipment Rental 6,000 6,000 6,000 4538 Salt $ 9,000 $ 15,808 4520 Calcium Chloride 29250 7,800 4522 Sand, 8,250 11,040 $ 199500 $ 34,648 $ 19,500 4808 Equipment operation 28 620 33,492 32 016 TOTAL SNOW AND ICE REMOVAL $105,230 $128,320 $111,696 320 Replacements 4200 Contracted construction $ 50.000 $ 50,000 $ 50.000 $ 50,000 50-000 TOTAL REPLACEMENTS TOTAL STREET MAINTENANCE. $494.373 $601 438 $519,040 CITY OF EDINA Fund GENERAL - 10 1975 Function PUBLIC WORKS BUDGETED ESTIMATED $ 700 $ 1,295 94,200 93,168 1,500 1,008 1,080 1,080 ANNUAL BUDGET PAGE 25 I Area Acct. No. STREET LIGHTING 300.30 SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY 1976 RECOMMENDED BUDGETED $. 720 $ 720 102,600 100,600 1,500 1,500 1,260 1,260 $97,480 $_96,151 TOTALS $ 106,080 $_104,010 .ITIr1V - V\J(Y11YlLl\ 1 AI\ 1 FUNCTION The overhead street lighting system throughout the City, is installed and maintained by Northern States Power Company. The City's obligation is to provide funds,for furnishing electrical power to all lights. COM.NENTS Proposed expenditures are nine percent_ (9 %) higher than last year's appropriation. Higher cost of power is the principal reason for the increase. The below listed detail contributes to the increase. AMOUNT Salaries and wages $ 20 Power 8,400. Central services 180 TOTAL $8,600 G4TY OF EDINA Fund - 10 Actirity ANNUAL BUDGET Function Area PUBLIC WORKS STREET LIGHTING EXPENDITURE DETAIL Present Object Detail Budget PAGE 26 Acct. No, 300.30 GENERAL Recommended Budgeted $ 720 $ 99,600 3,000 $ 720 97,600 3,000 1Code 321 Operation and Maintenance 4105 4252. 4248 4540 4808° Payroll Power Contracted repairs Repair parts Equipment operation. TOTAL OPERATION AND MAINTENANCE $ 700 $ 91,200 3,000 $94,200 1,500 1,080 $97 480 $102,600 1,500 1,260 $100,600 19500 1,260 $106,080 $104,080 CITY OF EDINA ANNUAL BUDGET Fund Function Area GENERAL - 10 PUBLIC WORKS STREET NAME SIGNS SUMMARY PAGE 27 Acct. No. 300.30 FUNCTION The City installs and maintains all street name signs. This account provides for installation and maintenance. . COMMENTS Proposed expenditures are sixty -nine percent (69%) higher than last year's appropriation. Better than ninety percent of the increase is made up of higher cost of signs and posts. ' AMOUNT Salaries and wages $ 680 Signs and posts 129816 Paint supplies 73 Gloves and brushes 50 Central services 540 TOTAL $14,159 1976 1975 BUDGETED ESTIMATED OBJECT RECOMMENDED BUDGETED $ 11,080 $ 9,744 1. PERSONAL SERVICES $.11,760 $.11,760 2. CONTRACTUAL SERVICES 6,500 6,204 3. COMMODITIES 1.9,439 9,623 ' 2,940 2,940 4. CENTRAL SERVICES 3,480 3,480 5. CAPITAL OUTLAY $20,120 $ l8, 888 TOTALS $ 34,679- �. 1k ar►1TA DV FUNCTION The City installs and maintains all street name signs. This account provides for installation and maintenance. . COMMENTS Proposed expenditures are sixty -nine percent (69%) higher than last year's appropriation. Better than ninety percent of the increase is made up of higher cost of signs and posts. ' AMOUNT Salaries and wages $ 680 Signs and posts 129816 Paint supplies 73 Gloves and brushes 50 Central services 540 TOTAL $14,159 CITY OF EDINA Fund . GENERAL -, �10 ANNUAL BUDGET Function Area PUBLIC WORKS STREET NAME SIGNS PAGE 28 Acct. No. 300.30 EXPENDITURE DETAIL Present Code Activity Object Detail Budget Recommended . Budgeted $11,760 $11,760 325 4105 Payroll $11,080 4542 4544 4504 Signs and posts Paint. supplies Gloves and brushes $ 6,000 250 250 $18,816 323 300 9,000 323 300 $ 6,500 $199439 $ 9,623 .4808 Equipment operation 2,940 3,480 3 480 TOTAL STREET NAME SIGNS $20,520 $34,679 $24.863 CITY OF EDINA ANNUAL BUDGET PAGE 29 Fund Function Area Acct. No. GENERAL - 10 PUBLIC WORKS TRAFFIC CONTROL 300.30 SUMMARY 1975 BUDGETED ESTIMATED OBJECT 1976 RECOMMENDED BUDGETED $15,260 17,004 1. PERSONAL SERVICES $-16,140 $16,140 11,909 2. CONTRACTUAL SERVICES 13,460 13,460 11,500 15,000 14,251 3. COMMODITIES 17,495 15,764 5,640 5,640 4. CENTRAL SERVICES 6,600 6,600 5. CAPITAL OUTLAY $47,400 48.804 TOTALS $x.695 $51,964 %,VMMri-A 1 nn I FUNCTION Although the determination of need for, and the location of all traffic control devices, such as signs, signals, pavement marking, and guard rails, is,properly within the jurisdiction of the Police Department, it is, nevertheless, the.function of'the Public Works Department to install and maintain such devices. This account provides for installation and maintenance. COMMENTS Proposed expenditures are thirteen percent (13 %) higher than last year's appropriation. Higher cost of power.and commodities are the principal reasons for the increase. The below listed detail contributes to the increase. AMOUNT Salaries and wages $ 880_ Power. 1,960 Commodities: Traffic sign maintenance $1,187 Pavement marking 77 Guard rail materials 1,231 $2,495 Central services 960 TOTAL $6,295 CITY OF EDINA Fund GENERAL -'10 Code Activity 328 Traffic Sign Maintenance 330 1 335' 1 340 Traffic Signal Maintenance Pavement Marking 1, (Guard Rails and Barricades ANNUAL BUDGET PAGE 30 Function Area Acct. No. PUBLIC WORKS TRAFFIC CONTROL 300.30 EXPENDITURE DETAIL Present ( Object Detail Bud et Budgeted $ 7,320 $ 7,320 9 4105 Payroll $ 6,930 4504 General supplies 8,000 4808 Equipment operation 2,340 2,300 TOTAL TRAFFIC SIGN 1,000 MAINTENANCE $17,270 4105 Payroll $ 700 4252 4268 Power Contracted repairs $ 8,000 2,300 4288 Contracted services' 1,000 200 $11,300 4540 Repair materials 1,000 4808 Equipment operation 780 $ 3,660 TOTAL TRAFFIC SIGNAL 3,000 MAINTENANCE $:13,780 4105 Payroll $ 4,160 4226 Equipment rental 200 4544 Paint 3,500 4808 Equipment operation 1,260 TOTAL PAVEMENT MARKING $ 9,120 4105 Payroll $ 3,470 4546 Guard rail material 2,500 4808 Equipment operation 1,260 TOTAL GUARDRAILS AND BARRICADES $ 7,2 TOTAL TRAFFIC CONTROL $47,400 $ 7,320 $ 7,320 9,187 .8,187 2,760 2,760 $19,267 $18,267 $ 720 $ 9,960 2,300 1,000 $13,260 1,000 840 $15,820 $15,820 $ 4,440 200 3,577 1,500 $ 9,717 $ 9,717 $ 3,660 $ 3,660 3,731 3,000 12500 1,500 8,891 8 6 QL- $53.'695 $51,964 CITY OF EDINA Fund Function GENERAL - 10 PUBLIC WORKS 1975 BUDGETED ESTIMATED $ 3,620 2,517 1,500 950 1,000 725 19080 1,080 $ 7j 0__ $ 5-- 272 ANNUAL BUDGET SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL. OUTLAY TOTALS COMMENTARY Area BRIDGES PAGE 31 Acct. No. 300.30 1976 RECOMMENDED BUDGETED_ �. 3,840 1,500 1,385 1,260 $ 77_ _ 85 = $ 7— FUN_ C_ TION purpose o provide mm nLena«�� e f this account is to within the City. higher than last year's appropriation. C0 S her cost of commodities. The below listed Proposed expenditures are eleven percent (11% The principal reason for the increase is hig detail contributes to the increase. Salaries and wages Commodities Central services i AMOUNT $220 385 TOTAL J181 GtTY OF EDINA. Fund GENERAL - 10 ANNUAL BUDGET: Function PUBLIC WORKS EXPENDITURE DETAIL Area BRIDGES PAGE 32 Acct. No. 300.30 CITY OF EDINA Fund GENERAL - 10. Function PUBLIC WORKS ANNUAL BUDGET SUMMARY Area STORM DRAINAGE PAGE 33 Acct. No. 300.30 FUNCTION The City maintains certain facilities and furnishes certain services in an effort to keep damage to property by storm water at a minimum. In those areas served by storm sewers, City crews periodically check and clean these sewers. In areas not so served, emergency measures in the form of pumping and temporary drains are provided during storms. COMMENTS Proposed expenditures are twelve percent (12 %) higher than last year's appropriation. Higher cost of payroll allocation, televised inspection, and commodities are the principal reasons for the increase. The below listed detail contributes to the increase. AMOUNT Salaries and wages $1,985 Power 190 Televised inspection 800 Castings and cement 1,600 Central services 960 i TOTAL $5,535 1976 1975 BUDGETED. $ 33,955 ESTIMATED $ 30,673 1. OBJECT PERSONAL SERVICES RECOMMENDED $. 35,940 BUDGETED $.35,940 1,850 2,003 2. CONTRACTUAL SERVICES 2,840 1,840 6,650 6,802 3. COMMODITIES 8,250 7,250 51P640 5,640 4. CENTRAL SERVICES 6,600 6,600 5. CAPITAL OUTLAY $__48,095 $ 45,118 TOTALS $ 53;630 $ 51.630 COMMENTARY FUNCTION The City maintains certain facilities and furnishes certain services in an effort to keep damage to property by storm water at a minimum. In those areas served by storm sewers, City crews periodically check and clean these sewers. In areas not so served, emergency measures in the form of pumping and temporary drains are provided during storms. COMMENTS Proposed expenditures are twelve percent (12 %) higher than last year's appropriation. Higher cost of payroll allocation, televised inspection, and commodities are the principal reasons for the increase. The below listed detail contributes to the increase. AMOUNT Salaries and wages $1,985 Power 190 Televised inspection 800 Castings and cement 1,600 Central services 960 i TOTAL $5,535 CITY OF EDINA Fund Function GENERAL - 10 PUBLIC WORKS ANNUAL . BUDGET EXPENDITURE DETAIL Area STORM DRAINAGE PAGE 34-, Acct. No. 300.30 Code Activity Storm Sewer Maintenance Object 4105 Detail Payroll Present Budget $30,485 Recommended $32,280 Budgeted $32,280 345 4252 Power $ 350 $ 540 $ 540 • 4224 Televised inspection 1,500 2,300 1,300 $ 1,850 $ 2,840 $ 1,840 4518 Fill materials $ 600 $ 600 4550 Pipe 2,500 2,500 4552 Castings and cement 750 2,350 Concrete headwalls 4554 and spillways 1,000 1,000, 4504 General supplies 1,000 1,000 $ 5,850 $ 7,450 $ 6,450 4808 Equipment operation 4,440 5,220 5,220 TOTAL STORM SEWER MAINTENANCE $42,625 $47,790 $45,790 350 Temporary Drainage 4105 Payroll $ 3,470 $ 3,660 4556 Hose 800 800 4808 Equipment operation 1,200 1,380 TOTAL TEMPORARY DRAINAGE $ 5,470 $ 5,840 5,840 TOTAL STORM DRAINAGE $48,095 $53,630 2514630 CITY OF EDINA Fund GENERAL - 10 Function PUBLIC WORKS 1975 PERSONAL SERVICES BUDGETED ESTIMATED $ 37,337 $ 36,059 3,250 4,440 9,700 9,586 8,640 8,640 ANNUAL BUDGET Area CITY PROPERTIES SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY WAGE 35 Acct. No. I 300.30 1976 RECOMMENDED BUDGETED - �• 49,860 $49,860 3,600 3,600 13,700 8,700-" 10,140 10,140 $ 58,927 58,725 TOTALS 77,300 721300 %,Vmmriv nnI FUNCTION The function of the City Properties account is to properly care for all City owned properties; other than those used for Park and Recreation purposes. These City properties are principally, boulevards, triangles, public building sites, and sites used for utility facilities. The maintenance of these properties includes the cultivation and mowing of the turf, spraying and trimming of trees, establishment and care of plantings, and everyday housekeeping necessary to keep these City properties in aesthetic accord with our many fine privately owned residential properties. COMMENTS. Proposed expenditures are thirty -one per (317.) higher than last year's appropriation. About seventy -five percent of the increase is represented by full ,year cost of a second tree trimming crew. The principal reason for the increase is higher cost of commodities for lakes and ponds maintenance. The below listed detail contributes to the increase. AiniTMT Salaries and wages: Turf and plant maintenance $ 510 Tree maintenance 11,428 Lakes.and ponds maintenance _585 $12,523 Contractual services 350 Commodities: Turf and plant maintenance $ 300 Tree maintenance 1,700 Lakes and ponds maintenance 21000 $ 4,000 Central services 1,500 TOTAL X18,373 CITY OF EDINA ANNUAL BUDGET PAGE 36 Fund Function Area Acct. No. GENERAL - ^10 PUBLIC WORKS CITY PROPERTIES 300.30 EXPENDITURE DETAIL Present Recommended Budgeted Code Activity Object Detail Budget 352 Turf and Plant 060 Maintenance 4105 Payroll $ 8,550 $ 9', 353 I 358 4200 Contracted -weed control 2,000 2,400 4558 Fertilizer $ 400 $ 480 4580 Tool replacs:�►ent 400 400 700 4560 4562 Plantings Sod and black dirt 700 1,200 1,400 4564 Chemicals 300 $ 3,000 $ 3,300 4808 Equipment operation 3,000 3,540 TOTAL TURF AND PLANT MAINTENANCE $16,550 $18,300 $18,300 Tree Maintenance 4105 Payroll $18,992 $30,420 4242 Contracted services 1,250 1,200 4580 Hand tools, ropes and saws $ 400 $ 4566 Spray 1,300 2,600 $ 11,.700 $ 3,400 4808 Equipment operation 2,880 3,360 TOTAL TREE 'MAINTENANCE $24,822 $38,380 $38,380 Lakes and Ponds 4105 Payroll $ 9,795 $10,380 $10,380 Maintenance 4564 Chemicals $ 4,000 $ 5,000 $ 1,000 Rip -rap, headwalls, and special 1,000 20000 1,000 4548 structures $ 5,000 $ 7,000 $ 2,000 4808 Equipment operation 3,240 3 240 __22760 TOTAL LAKES AND PONDS MAINTENANCE $17,555 $20,620 $15,620... TOTAL CITY PROPERTIES $58.927 $77 300 $72,300 •.T.. e%r cnir.iA ANNUAL BUDGET PAGE37 ✓� I VI- LVII I f A - - - Fund Function Area Acct. No. GENERAL - 10 PUBLIC WORKS SIDEWALKS AND RAMP 300.30 SUMMAKY 1975. BUDGETED ESTIMATED OBJECT $ 5,290 $ 7,460 1. PERSONAL SERVICES 4,098 2. CONTRACTUAL SERVICES 4,700 2,000 1,699 3. COMMODITIES 1,320 11320 4. CENTRAL SERVICES 5. CAPITAL OUTLAY $ 13,310 $_14L517 TOTALS %1V(' iy1 1r%1%1 1976 RECOMMENDED BUDGETED �. 7,980 8,140 2,500 1,560 $_2 Op 180 $_20 ,180_ FUNCTIO N The primary function of this account is to develop a system of publicly constructed and maintained sidewalks to assure the safe and convenient movement of pedestrians. The maintenance of parking ramps is also .a function of this account. COMMENTS AProposed expenditures are fifty -two percent (52%) higher than last year's appropriation. The principal reason for the increase is that a.second ramp is being built and will be in operation during 1976. The below listed detail contributes to the increase. AMOUNT Parking ramp maintenance,. Salaries and wages $2,690 Power 2,740 Insurance 300 Rubbish hauling 400 .General supplies 500 $6,630 Central services 240 TOTAL $6,870 [m GtTY OF EDINA ANNUAL BUDGET PAGE.38 Fund Function Area Acct. No. GENERAL -10 PUBLIC WORKS SIDEWALKS AND RAMP 300.30 EXPENDITURE DETAIL Code Activity Object Detail Present Budget Recommended Budgeted 365 Maintenance and 4105 Payroll $ 1,320 $ 1,320 repairs 4200 Cement and patching materials 600 600 4808 Equipment operation 360 420 TOTAL MAINTENANCE AND REPAIRS $ 2,280 $ 2,340 .370 Snow and Ice removal 4105 Payroll $ 1,320 $.1,320 4200 Sand and salt 700 700 4808 Equipment operation 420 480 TOTAL SNOW AND ICE REMOVAL, $ 2,440 $ 2,500 375 Parking Ramp 4105 Payroll $ 2,650 $ 5,340 Maintenance 4252 Power $ 3,500 $ 6,240 4260 Insurance 700 1,000 4250 Rubbish removal 500 900 $.4,700 $ 8,140 4200 General supplies 700 1,200 4808 Equipment operation 540 660 TOTAL PARKING RAMP MAINTENANCE $ 8,590 $15, 340 TOTAL SIDEWALK AND RAMP $13,310 $20 180 ---$20,180 �I CITY OF EDINA U Fund GENERAL -10 ANNUAL BUDGET Function Area PUBLIC WORKS CAPITAL OUTLAY 7975 BUDGETED ESTIMATED 37,900 $ 37,900 40,465 $__40,461 SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS COMMENTARY PAGE 39 Acct. No. 300.30 1976 RECOMMENDED BUDGETED . 82,050 $ 82,050 40,750 $ 40, 150 FUNCTION Expenditures for items of equipment which have a useful life of more than one year are classified as Capital Outlay. COMMENTS Dump truck replacements are for 1951 (oil distributor) and 1970 (Loadall) International dump trucks. Panel truck to be used for transportation of working crews. Two -way snow plow to be used with loader for plowing alleys, Southdale areas, and turnarounds. Concrete router to be used in cutting and routing ou t concrete construction and expansion points.and trimming spalded concrete. Parking ramp and shop sweeper to be used for cleaning and sweeping parking ramps, shop areas, sidewalks and other building areas. The underbody scrapers are to be mounted under truck bodies to scrape snow and ice before applying salt. One scraper was provided for in 1975 budget. Snow removal equipment are attachments for brooming and snow removal in 50th Mall Area,.ramps and sidewalks. Equipment for sign trucks are sign washer, lite plant, painting wand, and paint mixer. Additional funds to be set aside for replacement of sweeper ($35,000) and grader ($45,000). MY— OF EDINA Fund Function GENERAL - 10 PUBLIC WORKS ANNUAL BUDGET PAGE 40 Area Acct. No. CAPITAL OUTLAY 300.30 EXPENDITURE DETAIL Code Actiyity ' Object Detail Present Budget Recommended Budgeted Replacement-dump 4910 trucks (2) $17,000 4912 Replacements: Tail gate sander 1,200 $ 700 4912 Snow plows (2) 2,400 One -half ton 4910 pick -up 3.,300 4912 Underbody scraper 29000 40000 4912 4912 Husting hitch Grader (part) 1,000 3,500 5,000 $ 5,000 4912 Combination Vacuum brush sweeper (part). 3,500 5,000 5,000 Compressor for 4912 sign truck 4,000 Replacement dump 4910 truck -oil. distributor 13,500 6,750 Replacement dump truck with bucket 4910 loader 220000 11,000 4910 Panel truck 5,000 3,000 3,000 4912 Two -way snow plow 4912 Concrete router 3,500 4912 Sweeper for Parking ramp and -shop 7,500 4912 Snow removal 8,500 8,500 4912 equipment Cross -walk striper 1,500 1,500 4912 Equipment -sign true 2 850 TOTAL CAPITAL OUTLAY $37,900 $82 OSO $40,750 CITY OF EDINA ANNUAL BUDGET Fund Function PROTECTION QF PERSONS AND GENERAL - 10 PROPERTY SUMMARY Area POLICE PROTECTION 1975 ESTIMATED RECOMMENDED OBJECT BUDGETED . $ 819,076 $ 818.873 1. PERSONAL SERVICES 20,910 19,661. 2. CONTRACTUAL SERVICES 4,689 51379. 3. COMMODITIES 232,776 232,776 4. CENTRAL SERVICES 35,000 36,204 57 CAPITAL OUTLAY $1,112,45 $ 1,112,893 TOTALS I,VMMGiv 1 rin 1 PAGE 41 Acct. No. 420.42 1976 BUDGETED RECOMMENDED �. 896,565 897,313 25,243 23,493 4,980 4,980 276,660 282,876 45,700 26,500 . $ 1,249,148 $1,235,;162 FUNCTION The primary function of police protection is to protect life and property which includes investigation of major crimes and public moral offenses, offenses which have to do with the maintenance of peace, and enforcement of traffic violations. The authority to do this is granted to a large extent through criminal and civil codes, and-City, state and federal legislation affecting the public in general. COMMENTS Proposed expenditures are twelve percent (12 %) higher than last year's appropriation. The principal reasons for the increase are higher cost of payroll, central services, and vehicle costs. The below listed detail contributes to the increase. AMOUNT Salaries and wages $ 77,489 Conferences and schools .1,225 Range rental 2,400 Other contractual services 708 Commodities 291 Central services 43,884 Capital outlay 10,700 TOTAL $136,697 CITY OF EDINA ANNUAL BUDGET Fund Function Area GENERAL - ^10 PROTECTION OF PERSONS AND POLICE PROTECTION PROPERTY PAGE 42 Acct. No. 420.42 EXPENDITURE DETAIL Code Activity Object Detail Present Budget Recommended Budgeted Director $ 22,918 $ 23,816 $ 25,090 Captains (2) 43,424 45,162 45,686 Sergeants (7) 124,458 129,506 141,234 Patrolmen (19) 280,129. 306,878 31.1,066 Patrolman Patrolmen (6) 14,102 87,733 93,912 94,73 8 Patrolmen (6) 74,902 88,166 88,739 Patrolmen -new (2) 23,592.. 11,796. Detectives ;(6) 88,408 83,764 83,764 Dispatchers (5) 54,730 58,932 .60,180 . Clerk- typist 6,890 7,176 6,370. Secretary 17,134 17,836 19,210 Clerk - typist -new 6,885 -0- Part -time dispatchers 1,248 29000 9,440 9 44G Overtime Education incentive pay plan Part time clerical 1,000 1,500 -0- 4105 $819,076 $896,565 $897,313 Conferences and 4202 schools. $ 1,545 $ 2,770 $ 1,770 4204 Dues and subscriptions 284 324 324 4268 Teletype 4,021 3,139 3,139 4270 Radar and drunkometer 710 700 700 4262 Laundry. 70 70 70 4266 Uniform allowance 99600 10,000 9,500 Psychological 4272 testing 340 400 .150 Insurance 2,040 3,010 3,010 4226 Teleprinters (10 units) 2,100 2,430 2,430 4274 Equipment maintenance 200 Range rental 2,400 2,400 $ 20,910 $ 25,243 $ 23,493 GtTY OF EDINA ANNUAL BUDGET PAGE 43 Fund Function Area Acct. No. PROTECTION OF 'PERSONS AND. POLICE PROTECTION 420.42 GENERAL -10 PROPERTY EXPENDITURE DETAIL Code Activity Object Detail Present Budget Recommended Budgeted Jail and prisoner 4504 expense $ 500 $ 500 4508 Photographic supplies 600 800 4510 First aid supplies 300 300 Fire extinguisher 4504 supplies 90 90 4504 General supplies 819 910 4572 Ammunition 2,380 2,380 $ 4,689 $ 4,980 $ 4,980 4802 General $162;576 $194,340 $203,376 4804 City Hail 15,000 17,700 17,700 4808 Equipment operation' 559200 64,620 61,800 $232,776 $276,660 $282,876 4908 Vehicles (12) $ 33,500 $ 45,200 $ 26,000 4916 First aid kit, etc. 1,000 PA -siren combination 4916 unit 250 4914 Radio equipment 250 90 Shotgun 90 250 250 Visibar Spotlights (4) 160 160 —$--35,000 $ 45,700 $ 26,500 TOTAL POLICE PROTECTION 1,112,451 $1 249 148 $1,235,162 CITY OF EDINA ANNUAL BUDGET PAGE 44.: Fund Function Area Acct. No. PROTECTION OF PERSONS AND FIRE PROTECTION 440.44 GENERAL - 10 PROPERTY SUMMARY 1975 PERSONAL SERVICES BUDGETED ESTIMATED $ 354,251 $ 354,015 18,734 18,257 8,557 9,312 90,036 90,036 18,276 17,994 $ 4891854 $ 489,614 OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY 1976 RECOMMENDED BUDGETED $.427,550 $.408,796 21,862 20,562 9,710 8,710 114,540 115,800 85,685 26,945 TOTALS $±19,347 $ 580, 813 %,vrr►mLiv nn I _FUNCTION Basically the objectives of Fire Protection are (1) to prevent.fires from starting;. (2) to prevent loss of life and property in-case of fire; (3) confine a fire to the place of origin; and (4) extinguish all fires. In general, this involves. the providing of'services for both fire prevention and.fire fighting. COMMENTS Proposed expenditures are thirty -five percent (35 %) higher than last year's .appropriation. The principal reasons for the increase are higher cost of payroll, central .services and capital outlay items. The below listed detail contributes to the increase. TOTAL $169,493 ( ) Indicates red figure AMDUNT Salaries and wages $ 73,299 Conferences and schools 930 Dues and subscriptions 173 Laundry 200 Uniform allowance 750 Psychological testing 200 Rental of pagers 875 Clothing replacement 593 Liquid foam (550) First aid supplies 200 General supplies 500 Fire prevention literature 500 Other commodities (90) Central services 24,504 Capital outlay 67,409 TOTAL $169,493 ( ) Indicates red figure CITY OF EDINA ANNUAL BUDGET PAGE 45 Fund Function Area Acct. No. GENERAL - -10 PROTECTION OF PERSONS AND FIRE PROTECTION 440.44 PROPERTY EXPENDITURE DETAIL (Code Actirity Object I Detail Chief Assistant Chief (4) Lieutenants Drivers and inspectors (3) Firemen (6) Fireman (1) Firemen (3) Firemen (8). Firemen -new (2) Secretary Firemen- part -time Paramedics 4105 4202 Conferences and schools 4204 Dues and subscriptions 4262 Laundry 4266 Uniform allowance. 4260 Insurance 4254 Heat 4252 Light and power Water and sewer 4258 service Psychological 4272 testing 4226 Rental of pagers Present Budget $ 20,488 Recommended . Budgeted $ 23,712 $ 24,570 20,566 72,306 73,700 45,708 2,900 7,300 56,472 47,554` 47,554 95,542 922462 921462 37,909 15,923 15,923 35,730 43,850 43,850 10,920 81,067(A ) 81,067(A) 2,300 19,916 -0- 6,916 6,760 7,150 24,000 24,000 20,000 2.520 $354,251 $427,550 1. $408,796 $ 1,364 1 $ 2,294 320 493 1,400 1,600 3,450 4,200 1,400 1,400 2,900 2,900 7,300 7,300 200 200 400 600 4510 875 4512 4514 Clean ng.supp Paper supplies $ 18,734 $ 21,862 4574 Clothing replacement $ 1,207 $ 1,800 4576 Liquid foam 550 4508 Photographic supplie 450 450 4510 First aid supplies 500 700 4504 General supplies 2,500 3,000 4556 Hose 2,300 2,310 i 1 ie s 200 200 4512 4514 Clean ng.supp Paper supplies 250 Other supplies - 4504 building 600 Fire prevention 4608 literature 8,557 750 500 $ 9,710 $ 1,294 493 1,600 3,900 1,400 2,900 7,300 600 I 875 $ 20,562 $ 1,300 450 700 2,500 2,310 200 750 .500 $ 8,710 GIITY OF EDINA ANNUAL BUDGET Fund Function Area " PROTECTION OF,PERSONS AND FIRE PROTECTION GENERAL - 10 PROPERTY PAGE 46 Acct. No. 440.44 EXPENDITURE DETAIL Object Retail .. Present Budget Recommended Budgeted Code Actirity $ 93,300 $ 95,460 4802 General $ 71,916 4808 Equipment operation 18 120 $ 90,036 21 240 $114,540 20,340 $115,800 4914 Portable radio $ 590 $ 1,600 Various tools and 860 1,000 500 4926 shop equipment 900 1,550 1,550 Nozzles and valves 500. 4918 Siren and speaker 225 Vehicle replacement 4918 fund 12,500 Scott air packs 1,086 3,26 3,,265. 4918 Training manikin 865 Plectron radio 512 1,040 4918 receiver 4906 Overhead projector 200 Chain saw and 4918 rescue tool 338 Dictaphone and 4906 recorders 200 Replacement curb, 1,600 .4934 concrete apron,et . 550 550 4918 Jet axes Replacement-of - 5,800 2,100 4906 beds (8) (7) Improvements 4,000 23,000 4918 vehicles Speakers- intercom ' 700 4906 system 700 700 4914 Raise- antenna 280 280 4918 Mars light 300 4914 4906 Radio Reclining,chairs(6) 1,800 4918 Ambulance- 16,000 16,000 replacement 20,000 4918 Mini- pumper 25,000 -0- 4918 Pumper (') 18.276 $ B5,685 26 TOTAL FIRE PROTECTION $489,854 $6 59 347 S580).813 Note A - Salary for hree nen for part of 1976 are paid by a Fed ral program. �.�•.. �r rr% k I A A1\11JIIAI RIInrPT PAGE 47 U! i i Ur cunvr+ . _ - -- Fund Function Area Acct. -No. GENERAL - 10 PROTECTIONPROFF PPE ONS AND CIVILIAN DEFENSE_ 460.46 1975 BUDGETED ESTIMATED $ 4,044 $ 4,053 385 344 550 502 $ 4,979 $4,899 SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS I.VMMr1141Hn1 1976 RECOMMENDED BUDGETED $.4,212 $. 4,212 565 565 .650 650 3,000 .1,500 $ 8,427 $ 6,927 FUNCTION: The Edina Civilian Defense organization maintains liaison with local, state, and federal agencies, in order to provide the needed resources.to meet emergency situations of catastrophic nature. Particular emphasis.is being placed upon an effort to better integrate and coordinate the activities of paid and volunteer emergency personnel. COMMENTS Proposed expenditures are sixty -nine percent (69 %) higher than last year's appropriation. Request for two additional air warning sirens is the principal reason for the increase. The below listed detail contributes to the increase. AMOUNT Salaries and wages $ 168 Conferences and schools 50 Dues and subscriptions 10 Leased lines for sirens 120 Commodities 100 Capital outlay 3,000 TOTAL $3.448 CITY OF EDINA ANNUAL BUDGET Fund Function GENERAL - 10 PROTECTION OF PERSONS AND PROPERTY 1975 BUDGETED ESTIMATED $383%756. $ 37,743 2,506 2,439 1,269 1,266 10,020 10,020 $_12. 551 $ 51,468 Area PUBLIC HEALTH , SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS COMMENTARY PAGE 49 Acct. No..- 480.48 1976 RECOMMENDED BUDGETED $•42,777 $• 42,970 2,796 21796 1,532 1,532 11,640 12,024 198 198 $_58,943 $ 520 FUNCTION The functions of the Public Health Department are to provide for the general welfare of the Community by making and enforcing laws to preserve and promote the public health and safety, and to protect the.life and health of all persons within the community. COMMENTS Proposed expenditures are twelve percent (12 %) higher than last year's appropriation. Higher payroll cost (summer help) and central services are the main reasons for the increase. The below listed detail contributes to the increase._ AMOUNT Salaries and wages $4,021 Conferences and schools (200) Mileage 490 Commodities 263. Central services 1,620 Capital outlay 198 TOTAL $6,392 ( ) Indicates red figure CITY OF EDINA ANNUAL BUDGET PAGE 50 Function PROTECTION OF PERSONS AND PROPERTY Area PUBLIC HEALTH Acct. No. 480.48 Fund _ GENERAL - 10 EXPENDITURE DETAIL Code Activity Object Detail Present Budget Recommended Budgeted Sanitarian $16,874 $17,550 $18,070 Medical officer 300 Secretary (') 4,667 Assistant Sanitarian 10,400 300 4,862 11,960 (B) 300 4,990 11,960(B) Laboratory technician (1/3) 4,715(A) 4,905 (A) 5,100(A) Summer help: Laboratory (1/3) 1,800(A) 1,900 (A) 1,900(A) General 1,300 650 $42,777 $42,970 4105 $38,756 Conferences and 4202 schools $ 450 $ 250 Dues and 4204 subscriptions 146 146 4208 Mileage 1,910 2,400 $ 2,506 $ 2,796 $ 2,796 Test equipment and 4504 supplies (1/3) 1,269(A) 1,532 (A) $ 1,532(A) 4802 General $ 7,740 $ 9,000. 9,384 4804 City Hall 960 4806 Public Works Building 1,320 1,140 1,500 1,140 1 500 $11,640 $12,024 $10,020 Microwave survey meter 198 198 TOTAL PUBLIC HEALTH $52,551 $58.943 $59,520 (A) Represents one -t ird of the cost. The balance to be shay d equally with Saint Louis Park and Bloomington. (B) One -half of increase J nuary.l, 1976 and one-half of incr ase July 1, 976. GfTY OF EDINA ' ANNUAL BUDGET Fund Function GENERAL -,:l0 PROTECTJRgP2KT?ERSONS AND SUMMARY 1975 BUDGETED ESTIMATED $ 10,650 $ 10,338 3,300 3,388 100 83 4,020 4,020 $__L8,070 $ 17,829 OBJECT Area ANIMAL CONTROL. 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4: CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS 1►' \ITI AV V V IY\IY1I -I 1 A1% 1 PAGE: 51 Acct. No. 470.47 1976 RECOMMENDED BUDGE'T'ED 11,244 $.11,530 4,900 4,900 4,800 4,872 $ 20,944 $_21,302 FUNCTION Animal Control is a function of City Government designed to protect life and property from the injurious activities of animals, both wild and domesticated. The City Council has, by ordinance, regulated the leashing and licensing of dogs. COMMENTS Proposed expenditures are sixteen percent (16 %) higher than last year's appropriation. The principal reasons for the increase are higher cost of payroll, kennel services, and central services. The below listed detail contributes to the increase. ( ) Indicates red figure AMDUNT Salaries and wages $ 594 City of Bloomington - Kennel service 1,300 Veterinary and medical services 300 General supplies (100) Central services 780 TOTAL 2$ ,874 ( ) Indicates red figure GfTY OF EDINA ANNUAL BUDGET Fund Function Area GENERAL -'10 PROTECTION OF.PERSONS AND. ANIMAL CONTROL. PROPERTY PAGE, 52 ` Acct. No. 470.47 EXPENDITURE DETAIL Code Actirity Object Detail Present Budget Recommended Budgeted Day officer $ 9,750 $10,244 $10,530 Overtime and extra help 900 1 000 1,000 4105 $10,650 $11,244 $11,530 City of Bloomington- 4278 kennel service $ 3,300 $ 4,600 Veterinary and medical service 300 $ 3,300 $ 4,900 $ 4,900 4504 General supplies 100 4802 General $ 1,860 '$ 2,280 $ 2,352 4808 Equipment operation 2,160 2,520 2.520 $ 4,020 $ 4,800 4,872 TOTAL ANIMAL CONTROL $18,070 $209944 $21,302 CITY -OF EDINA ANNUAL BUDGET Fund Function GENERAL - 10 PROTECTION OF PERSONS AND PROPERTY 1975 BUDGETED ESTIMATED $ 68,544 $ 69,967 1,538 1,265 800 607 17,100 17,100 150 195 $_883132 $ 89,134 SUMMARY OBJECT PAGE 53 Area I Acct. No. INSPECTIONS . .490.49 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS %Ivmmrw 1 tAN I 1976 RECOMMENDED BUDGE-FED $- 71,188 $74,750 1,245 745 745 745 21,000 21,564 438 $ 94,616 $97,804 FUNCTION The functions of the Inspection Department are to issue and revoke building, plumbing and sign permits; enforce building, plumbing and zoning ordinances and codes; propose and revise building, plumbing and construction codes; establish house numbering; recommend condemnation and.abatement of unsafe buildings; and inspect-all building construction. COMMENTS Proposed expenditures are seven percent (7 %) higher than lasx year's appropriation. Higher cost of payroll and central services are the main reasons for the increase. The below listed detail contributes to the increase. AMOUNT Salaries and wages $2,644 Conferences and schools 89 Dues and subscriptions 38 Mileage (420) Commodities ( 55) Central services 3,900 Capital outlay 288 TOTAL $6,484 ( ) Indicates red figure CITY OF EDINA ANNUAL BUDGET' PAGE 54 Fund Function Area Acct. No. GENERAL - 10 PROTECTION OF PERSONS AND INSPECTIONS 490.49 EXPENDITURE DETAIL Activity Object. Detail Present Budget Recommended Budgeted Code Building inspector $17,602 $18,304 $18,850 Plumbing and heating inspector 16,874 Assistant inspector 14,170 Clerk 6,890 Mechanical inspector 13,008 17,550 14,742 7,540 13,052 18,330 15,470 7,800 14,300 4105 $68,544 $71,188 $74,750 Conferences and 4202 schools $ 741 $ 830 $ 330 Dues and 4204 subscriptions 257 4208 Mileage 540 295 120 295 120 $ 1,538 $ 1,245 $ 745 4600 Printed forms $ 450 $ 100 4504 Code books 75 114 4504 General supplies. 275 531 $ 800 $ 745 $ 745 4802 eneral $13,080 4804 ity Hall 1,860 4808 Equipment operation 2,160 $16,32.0 2,160 2,520 $16,884 2,160 2,520 $17,100 $21,000 $21,564 4906 rape recorder $ 150 Book shelves and file $ 150 $ 438 $ 438 -0- TAL INSPECTIONS $88,132 $94 616 $97,804 �I CITY OF EDINA ANNUAL BUDGET Fund Function Area GENERAL - 10 NON - DEPARTMENTAL EXPENDITURES CONTINGENCIES SUMMARY 1975 BUDGETED ESTIMATED . 25,063 19,587 25,063 19,587 OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS COMMENTARY PAGE 55 Acct.: No. I 500.50 RECOMMENDED vBUDGETED 165,000 $_165._000 $ 50,236 FUNCTION During the year, unanticipated but necessary expenditures may occur, for which there has been no previous appropriation. This account is a reserve for such contingencies.. COMMENTS The provision for contingencies is to provide a reserve for improvements to garage complex, sometime in 1.976 or 1977. CITY OF EDINA ANNUAL BUDGET Fund Function Area GENERAL - 10 NON- DEPARTMENTAL EXPENDITURES SETTLEMENT OF SUITS, SUMMARY 1975 BUDGETED ESTIMATED 500 400 $ 500 $ 400 OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES S. CAPITAL OUTLAY TOTALS t,vmm<<v 1 ran I PAGE 56 Acct. -, No. I 501.50 1976 RECOMMENDED BUDGETED Soo $ 500 0-00— FUNCTION resents an appropriation to pay small claims filed against the City. CITY OF EDIN_ A ANNUAL BUDGET PAGE57 Fund Function Area SPECIAL ASSESSMENTS Acct. No. 506.50 GENERAL - 10 NON- DEPARTMENTAL EXPENDITURES ON CITY PROPERTY - SUMMARY 1976 . 1975 BUDGETED ESTIMATED OBJECT RECOMMENDED BUDGETED 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 60,000 62,727 5. CAPITAL OUTLAY 60,000 $60,000 $_62,727 TOTALS 60,000 60,000 COMMENTARY FUNCTION The City owned properties are subject to special assessments for various improvement projects. This account provides funds to pay these assessments. CITY OF EDINA ANNUAL BUDGET. Fund Function Area CAPITAL GENERAL - 10 .NON- DEPARTMENTAL EXPENDITURES CENTRAL SERVICES - OUTLAY SUMMARY 1975 BUDGETED ESTIMATED 5,000 $ 5.000 4,626. $ 4.626 OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS t.Vmmr v nn I PAGE 58 Acct. No. 502.50 1976 RECOMMENDED BUDGETED 16,550 $ 16.550 $ 5,000 FUNCTION Certain items of equipment or improvements which have a useful life of more than one year, which cannot be allocated to any particular function, are classified in this account. COMMENTS The principal reason for the increase is cost of installing a 20 ton hoist.for servicing longer wheel base vehicles and heavy equipment. CITY OF EDINA ANNUAL BUDGET PAGE 59 Fund Function Area CAPITAL Acct. No. GENERAL - ^10 NON- DEPARTMENTAL EXPENDITURES CENTRAL SERVICES - OUTLAY 502.50 EXPENDITURE DETAIL Code Activity Object Detail Present Budget Recommended Budgeted City Hall Improvements: General office $ -0- 1 500 $ -0- $ 1,500 TOTAL CITY HALL $ -0- Equipment Operation Replacement welder $ 1,500 Hydraulic floor hoist 2,500 Tool replacements and renewals- 1,000 1,550 $1,000 various Hoist - 20 ton 9,000 1,500 Tire changer 500 500 Tool box 1,000 Lathe 21000 29000 Set of pullers 1,000 TOTAL EQUIPMENT OPERATION 5,000 $15,050 000- TOTAL CENTRAL SERVICE CAPITAL OUTLAY $ 5.000 $16,550 $5,000 CITY OF EDINA ANNUAL BUDGET Fund Function Area GENERAL - 10 NON- DEPARTMENTAL EXPENDITURES CAPITAL IMPROVEMENTS SUMMARY PAGE 60 Acct. No. 503.50 1976 1975 BUDGETED ESTIMATED OBJECT RECOMMENDED BUDGETED 1 PERSONAL SERVICES $• 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES S: CAPITAL OUTLAY 50,000. 50,000 $1-0. 000 Sb,000 $-_5_O 1 000 TOTALS COMMENTARY 0_0 50,000 FUNCTION. This account was established for the purpose of accumulating funds.for Capital Improvements. COMMENTS Recommend to be used for improving parking in City Hall area. CITY OF EDINA ANNUAL BUDGET. PAGE 61 Fund Function Area Acct. No. 504.50. GENERAL - 10 NON DEPARTMENTAL EXPENDITURES• 'CWMISSIONS 505.50 SUMMARY: 1976 1975 BUDGETED ' ESTIMATED OBJECT RECOMMENDED BUDGETED 8,465 1. PERSONAL SERVICES 9,700 7,500 8, 500 2,534 2. CONTRACTUAL SERVICES 3,897 14,000 39232 324 3. COMMODITIES 600 600 600 4. CENTRAL SERVICES 5. CAPITAL OUTLAY 12,332 $ 11,323 TOTALS 14 $ ,197 $.12,100 S COMMENTARY FUNCTION HUMAN RIGHTS COMMISSION The Human Rights Commission is a citizen advisory commission to the City Council. Their main activity is that of advising the Council on matters involving the infringement of guaranteed rights of citizens and the education of Edina residents concerning their rights and obligations for the rights of others. ENVIRONMENTAL QUALITY COMMISSION The Environmental Quality.Commission is a citizen advisory commission to the City Council. Their main scope of activity is investigation of environmental conditions affecting the City and the Education of Edina residents in environmental matters. OfTY OF EDINA ANNUAL BUDGET . PAGE 62 Fund Function Area Acct. No. 504.50 _ GENERAL - 10 NON - DEPARTMENTAL EXPENDITURES COMMISSIONS 505.50 EXPENDITURE DETAIL Code Actirity Object Detail Present Budget Recommended Budgeted 504 Human Rights Commission 4100 Director- Part -time $ 6,000 $ 7,200 $ 6,000 Conferences and $ 200 $ 300 300 • 4202 schools 4204 Dues and subscriptions 232 147 147 4280 Education programs 29800 3,450 2,500 Youth Action 11 053 $ 3.232 $ 3,897 $14,000 TOTAL HUMAN RIGHTS COMMISSION $ 9 232 $11,097 $20,000 505 Environmental Quality Commission 4100 Secretary $ 2,500 $ 2,500 $ 1,500 Printing $ 50 $ 100 $ 100 Education activities 550 500 500 $ 600 $ 600 600 TOTAL ENVIRONMENTAL QUALITY COMMISSION $ 3,100 3,100 2,100 TOTAL COMMISSIONS $12,332 $14,197 $22,100 CITY OF EDINA Fund PARK - 2 1975 ANNUAL BUDGET Function PARK AND RECREATION BUDGETED ESTIMATED $ 92,183 $ 92,891 29200 2,156 175 177 63,360 .63,360 $157,918 $158,184 Area ADMINISTRATION SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS COMMENTARY PAGE 63 Acct. No. 600.60: 1976 RECOMMENDED BUDGETED 97,416 $• 99,833 2,350 2,350 325 325 77,520 77,520 $ 177,611 $ 180,028 The Park and Recreation Department is responsible for.the acquisition, development operation and maintenance of the City parks and recreation facilities, and the conduct of the recreation program. Providing for the - administration of the park and recreation. function is the object of this account. The Edina Park Board, as an advisory body to the Edina City Council, assists in the plans and operation of the park and recreation function. COMMENTS Proposed expenditures are twelve percent (12 %).higher than last year's appropriation. The principal reasons for the increase are higher cost of payroll and central services. The below listed detail contributes to the increase. AMDUNT Salaries and wages $ 5,233 Mileage 150 Printing 150 Central services _14,160 TOTAL $19,693 CITY OF EDINA Fund PARK - 20 Code e Activity ANNUAL BUDGET Function PARK AND RECREATION EXPENDITURE DETAIL Object Detail Director Assistant director Program supervisor Secretary Recreation specialist Clerk- typist (1/3) Paid leave Training 4105, Conferences and 4202 schools Dues and 4204 subscriptions 4216 Audit 4208 Mileage 4600 JPrinting 4502 Books and pamphlets 4802 General 4804 City Hall 4806 Public Works Buildi, 4808 E4uipment operation TOTAL ADMINISTRATION Area ADMINISTRATION PAGE 64 Acct. No. 600.60 Present Recommended Budgeted Budget $ 23,530 $ 24,492 $ 25,090 17,706 18,434 18,850 13,260 13,806 14,170 7,800 8,268 8,840 9,568 10,140 10,530 21P089 2,176 2,253 17,930 19,700 19,700 300 400 400 $ 92,183 $ 97,416 $ 99,833 $ 600 $ 600 150 150 1,000 1,000 450 600 $ 2,200 $ 2,350 $ 2,350 $ 100 $ 250 75 75 $ 175 $ 325 $ 325 $ 52,740 $ 65,100 4,440 5,280 3,600 4,140 2,580 3,000 63,360 77 520 77 520 5157.918 $1.77 611 $180,028 CITY OF EDINA Fund PARK - 20 1975 ANNUAL BUDGET Function : Area PARK AND RECREATION RECREATION PROGRAM BUDGETED ESTIMATED $ 59,995 $ 59,302 11,200 11,448 14,000 13,662 $-L' -1 191 $_84,412 SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES _ 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS COMMENTARY PAGE 65, IAcct. No. 620.62 1976 RECOMMENDED BUDGETED $•61,555 $ 53,455 14,200 14,200 14,750 121350. $ 90,505 $ 80,005 FUNCTION The City, in addition to providing park facilities, conducts a year :around recreational program as a function of City government, This program is the responsibility of'the Park and Recreation Department. It includes such activities as organized baseball, softball, hockey, swimming and tennis instruction; and a summer playground program for small children. Some of these activities receive financial support_from various service organizations, and in others the participants themselves pay a portion,of the cost. . COMMENTS Proposed expenditures are six percent (6 %) higher than last year's appropriation.. Higher cost of payroll and pool rental are main reasons for the increase.. The below listed detail contributes to the increase. ( ) Indicates red figure AMOUNT Salaries and wages: Skating and hockey $ 380 Tennis.instruction 200 Swimming °instruction (60) Miscellaneous and special activities 1,040 $1,560 Pool rental 3,000 Commodities: Baseball and softball $ 150 Tennis instruction 200 Miscellaneous and special activities 400 750 TOTAL 5 310 ( ) Indicates red figure CITY OF EDINA Fund PARK - 20 ANNUAL BUDGET Function Area PARK AND RECREATION RECREATION PROGRAM EXPENDITURE DETAIL PAGE 66 Acct. No. 620.62 Code Activity Object Detail Present Budget Recommended Budgeted 21 Baseball and Softball 4100 Supervisor Coaching assistant $ 1,650 1,980 $ 1,650 1 980 $ 3,630 '$ 3,630 4208 Mileage 200 200 Plates and bases Bats and balls Catching equipment Equipment repairs $ 700 300 300 150 .$ 800 300 300 200 $ 1 450 $ 1.600 $ 5,280 $ 5,430 $ 5,430 TOTAL BASEBALL AND. SOFTBALL 622 Skating and Hockey 4100 Rink supervision Hockey coaching $14,620 600 $15,000 600 $15,220 $15,600 Goalie equipment Goals $ 1,000 300 $ 500 800 4584 $ 1,300 1.3 0 $16,520 $16,900 $16,900 TOTAL SKATING AND HDCKEY 623 Tennis Instruction 4100 Instructor Assistant instructor $ 800 2,200 $ 800 2,400 $ 3,000 $ 3,200 Tennis balls Nets Unclassified $ 300 800 50 $ 300 1,000 . 50 $ 1,150 1,350 4586 $ 4,150 $ 4,550 $ 4,550 TOTAL TENNIS INSTRUCTION 624 Playground 4100 Leaders $12,300 $12,300 Crafts $ 2,000 $ 2,000 Replacements and renewals 800 800 4588 TOTAL PLAYGROUND $ 2 800 $ 2,800 $15,100 $15,100 1 $15,100 MY OF EDINA Fund ANNUAL BUDGET Function Area PAGE 67 Acct. No. PA . _ '20 PARK AND RECREATION RECREATION ?ROGRAM 620.62 DCPENDITURE DETAIL :ode Activity Object Detail Present Budget Recommended Budgeted M Swimming Instruction Supervision p $ 850 9,850 $ 850 9,075 Instruction 860 800 Attendants 500 500 Registration $11,285 $11,225 4100 4282 Bus rental $ 9,000 $ 9,000 4284 Pool rental 2 000 $11,000 5 000 $14,000 4500 Unclassified 200 200 TOTAL SWIMMING $22,485 $25,425 $25,425 INSTRUCTION 4100 Supervision $ 8,100 $ 8,100 626 Teen Program Equipment and $ 1,400 $ 1,400 supplies 500 500 4600 Printing 500 500 4504 Unclassified $ 2 400 $ 2 400 TOTAL TEEN PROGRAM $10,500 $10,500 -0- 627 Miscellaneous and Payroll $ 3,960 $ 5,000 Special Activities 2 500 2 500 Leaders $ 6,460 $ 7,500 4100 Printing- winter and $ 1,700 $ 1,900 4600 summer bulletin Children's theatre 600 4590 and puppetry 600 400 400 4592 Football 500 500 4500 Unclassified Gym rental and 300 300. 4500 basketballs Summer music 700 700 4596 activities 300 300 4598. Soccer Girls' gymnastics 200 400 4.700 $ 5.1 TOTAL MISCELLANEOUS AND SPECIAL 11 160 12600 12 600 ACTIVITIES TOTAL RECREATION $85 195 $90,505 $ g0, 005 PROGRAM �I CITY OF EDINA Fund PARK - 20 ANNUAL BUDGET Function Area PARK AND RECREATION MAINTENANCE 1975 PERSONAL SERVICES BUDGETED ESTIMATED $ 146,896 $ 146., 249 11,750 15,158 25,000 22,140 26,340 26,340 $ 209,986 $ 209,887 SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS COMMENTARY PAGE, 68 Acct. No. 640.64 1976 RECOMMENDED BUDGETED $154,410 $ 154,410 12,450 12,450 30,100 27,600 30,840 29,280 $227,800. $ 223.740 FUNCTION Park Maintenance involves the care of all City parks and recreation facilities. Included in this budget account are only those properties designated . as parks. Other City properties such as boulevards, islands, triangles, lift and pumping stations, etc., are maintained through other budget accounts, although the ground work is done by the park maintenance crew. The maintenance of parks, includes turf care, establish- ment and care of trees and plantings, litter removal, maintenance of park buildings, and equipment and skating rinks. C011MENTS Proposed expenditures are nine percent (9 %) higher than.last year's appropriation. The principal reasons for the increase are higher cost of payroll, provision for additional tree replacements and higher cost of central services. The below listed detail contributes to the increase. Salaries and wages: Mowing Special turf care Planting and trees Parking area maintenance Building and equipment maintenance Skating rink maintenance Utilities Commodities: Mowing Plantings and trees Central services TOTAL AMOUNT $ 1,100 2,500 100 500 1,004 2,310 $ 7,514 700 $ 100 5,000 $ 5,100 4,500 $17,814 GtTY OF EDINA Fund PARK - 20 ANNUAL BUDGET Function Area PARK AND RECREATION MAINTENANCE EXPENDITURE DETAIL PAGE 69 Acct. No. I 640.64 Object Detail Present Budget Recommended Budgeted Code Activity $ 23,100 $23,1.00 641 Mowing 4105 Payroll $ 22,000 4500 Repairs, parts and hand mower 600 700 700 4808 Equipment operation TOTAL MOWING 6,120 7,140 6,780 $ 28,720 $ 30,940 $30,580 642 Special Turf Care 4105 Payroll $ 28,500 $ 31,000 $31,000 4248' Contracted work 1,900 1,900 1,900 4568 4562 4558 4562 4566 Seed Sod Fertilizer`. Black dirt."'. Weed spray $ 1,800 1,200 2,000 2,400 300 $ 1,800 1,200. 2,000 2,400 300 4808 Equipment operation $ 7,700 3,240 $ 7,700 3 840 7,700 3,660 $ 41,340 $ 44,440 $44,260 TOTAL SPECIAL TURF CARE 643 Plantings and.Trees 4105 Payroll $ 8,900 $ 9,000 $ 9,000 4242 Contract- forester .1,300 1,300 1,300 4560 Plant materials 800 5,800 3,300 4808 Equipment operation 2,640 3,120 3 000 $ 13,640 $ 19,220 $16,600 TOTAL PLANTINGS AND TREES 644 Litter Removal 4105 Payroll $ 8,000 $ 8,000 $ 8,000 4602 Trash containers 700 700 700 4808 Equipment operation 2,2 20 2 580 2,460 . $ 10,920 $ 119280 $11,160 TOTAL LITTER RIVAL GITY OF EDINA ANNUAL BUDGET PAGE 70 Fund Function Area MAINTENANCE Acct. No. 640.64 PARK - 20 PARK AND RECREATION EXPENDITURE DETAIL e Activity Object Detail Present Budget . Recommended Budgeted 5 parking r.64 Area 105 Payroll $ 5,500 $ 6,000 $ 6,000 Maintenance 526 Road oil $ 1,800 $ 1,800 522 Sand. 1,200 1,200 500 Unclassified 150 150 $ 3,150 $ 3,150 $ 3,150 . 808 Equipment operation 2,040 2,400 2,280 TOTAL PARKING AREA MAINTENANCE $ 10,690 $ 11,550 $ 11,430 646 Building and Equip - 4105 Payroll $ 30,996 $ 32;000 $ 32,000. ment Maintenance 4200 Utilities. 3,000 .3,500 3,500 4604 Lumber $ 4,050 $ 4,050 4504 Repair materials 7,000 7,000 $ 11,050 $ 11,050 $ 11,050 4808 Equipment operation 3,500 4 200 0 TOTAL BUILDING AND EQUIPMENT. MAINTENANCE $ 48,646 '$ 50,750 $ 50,•510 647 Skating Rink Maintenance 4105 Payroll $ 43,000 $ 45,310 $ 45,310 4252 Power and telephone $ 1,700 $ 1,900 4254 Heat 3,850 3,850 $ 5,550 $ 5,750 $ 5,750 Lamps and fixtures 1,000 19000 1,000 Equipment operation 6,480 7,560 7,140 TOTAL SKATING RINK MAINTENANCE $ 56,030 $ 59,620 59,200 TAL MAINTENANCE $209,986 $227,800 $223,740 CITY OF. EDINA ANNUAL BUDGET PAGE 71 Employees Title 1975 1976 Bi- Weekly.Salary 1975 Appropriations 1976 1975 1976 Park foreman 1. 1 $583 $607 $ 15,158 $ 15,782 Park keeper III 1 1 491.54 512 .12,780 13,312 Building engineer 1 1 456.92 476 11,880 12,376 Park keeper II 14 14 456.92 476 154,440 173,264 Temporary laborer(summer) 14. 200 15,8.00 Overtime 9,020 10,000 Golf Course(winter help) 11,010 12,376 Spring.clean -up help 5,000 5,000 17 17 $233,488 $257,910 DISTRIBUTION Park and Recreation: Charged to Other Funds: Administration: General: Training $ 400 City Hall $ 2,400 Paid leave 19,700 Public Works 50,100 Recreation: Public Works Miscellaneous and special Building 2,800 activities 5,000 Equipment operation 3,100 Maintenance: Swimming Pool 6,000 t Mowing $ 23,100 Golf Course 3,000 Special turf care 31,000 Recreation Center 6,000 Planting and trees 9,000 Waterworks 3,000 Litter removal 8,000 Sewer Rental 2,000 Park area maintenance 6,000 Building and equipment maintenance 32,000 $ 78,400 Skating rink maintenance 45,310 TOTAL $257,910 $154,410 TOTAL PARK AND RECREATION I $179,510 CITY OF EDINA Fund PARK- 20 ANNUAL BUDGET Function I PARK AND RECREATION SUMMARY 1975 BUDGETED ESTIMATED $ $ 15,000 15, 000 14,707 $14,707 OBJECT PAGE 72. Area I Acct. No. CAPITAL OUTLAY 600.60 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS .• \ITI AV %. Vrv11VlL1,% 6 nn 3 1976 RECOMMENDED BUDGETED 37,300 37,300 �, 7 g800 FUNCTION Expenditures for items of equipment which have a useful life of more than one year are classified as capital outlay. CO_ NMNTS The three- quarter ton pick -up truck with crew cab will be used by mowing crews. The one ton truck with steel dump box with snow plow is needed for winter plowing of ice rinks and general park work in the summer time. One chain saw is .a replacement for worn one, and the other two are for the new tree crew. Hi- pressure sprayer unit for cleaning paint.on buildings and hockey rinks. stump grinder, presently done by contract, will be needed if dutch elm disease increases. Cushman scooter with cab to replace worn out unit. (Ballfield maintenance). Three reel mower, replacement for 1957 model. Twenty, eight foot tables to be placed at various park areas to eliminate transportation costs. Four sets of ten row bleachers to be placed ar various ballfields to eliminate constant moving problems and to provide additional seating. Replacement of director's 1969 automobile. CITY OF EDINA ANNUAL BUDGET PAGE 73 Fund function Area Acct. No. _ PARK.- 20. PARK AND RECREATION CAPITAL OUTLAY 600.60 EXPENDITURE DETAIL Code Actirity Object Detail Present Budget Recommended Budgeted Pick -up truck $ 3,000_ Tractor and winter cab 10,000 Cushman with dump box 2,000 3/4 Ton Pick -up truck $ 6,000 One Ton truck 8,500 $ 8,500 Chain saws (3) 900 900_ Water and mud pump 600 Sprayer 1,000 Stump - grinder 5,500 Cushman scooter 3,200 Three reel mower Eight foot tables(20 29000 2,200 2,200 Bleachers -10 row - 3,600 3,600 4 sets 200 200 File cabinets Automobile - 3,600 2,400 replacement TOTAL CAPITAL OUTLAY $15 000 $37 300 $172800 ^I�r.v nc cnir.in ANNUAI- BUDGET. PAGE 74 Fund Function Area Acct. No. 90.500 POOR PUBLIC NURSING _ SUMMARY 1975 1976 BUDGETED ESTIMATED OBJECT RECOMMENDED BUDGETED $ $ 1. PERSONAL SERVICES ;26,400 $ 2. CONTRACTUAL SERVICES 3. COMMODITIES • 4. CENTRAL SERVICES 5. CAPITAL OUTLAY $ TOTALS $ 26,40.0 24F868 IrVMMLN I HR I I FUNCTION Represents City shared cost of Rural Hennepin County Nursing. CITY OF-EDINA Fund CONSTRUCTION ANNUAL BUDGET PAGE 75 Function Area Acct. No. CAPITAL IMPROVEMENTS, 24.2220 SUMMARY, BUDGETED ESTIMATED OBJECT RECOMMENDED BUDGETED $ $ 1. PERSONAL SERVICES �•. 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 80,000 80,000 5. CAPITAL OUTLAY 80,000 S80,000 $—L ,000 TOTALS 80,0,00 gp ppp I.VMm[ivinn� CITY OF EDINA Fund ANNUAL BUDGET PAGE 76 Function Area Acct. 'No. BONDS AND.INTEREST 25.3011 SUMMARY 1975 1976 BUDGETED ESTIMATED OBJECT ^RECOMMENDED BUDGE-FED $ $ 1. PERSONAL SERVICES 13,000 12,675 2. CONTRACTUAL SERVICES. 63,000 3. COMMODITIES • 4. CENTRAL SERVICES S. CAPITAL OUTLAY 13,000 12,675 TOTALS $--63-.000 $ �1 ,000 W,Vmm -1 i ^[%1 ION These funds are used to make annual payments on outstanding bonds. CITY OF EDINA Fund �— ANNUAL BUDGET PAGE. 77 Function Area Acct. No. FIREMEN'S RELIEF ASSOCIATION. 10.2110 SUMMARY BUDGETED ESTIMATED OBJECT $ $ 1. PERSONAL SERVICES 5,000 4,875 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY $ 5 , 000 $_4 p_1 7 5 - TOTALS RECOMMENDED' BUDGETED -0- -0- COMMENTARY FUNCTION Represents the amount the City contributes for retirement of volunteer firemen. I CITY OF EDINA ANNUAL BUDGET Fund Function Area FIRE PROTECTION SUMMARY PAGE 78 Acct. No. I 10.2050 1976 ' BUDGETED 1975 ESTIMATED OBJECT RECOMMENDED BUDGETED $ $ 1. PERSONAL SERVICES $ 15,500 15,113 2 CONTRACTUAL SERVICES 14,860 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY $15,500 $ 15,113 TOTALS 14, 860 $ 14,860 _ - I.VMm[i��ran� CITY OF EDINA Fund ANNUAL BUDGET Function Area YOUTH ACTION SUMMARY BUDGETED ESTIMATED OBJECT RECOMMENDED BUDGETED $ 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 25,000 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY $ TOTALS $25,000 $ - 0- VVMM[l-i l rin 1 CITY OF EDINA Fund REVOLVING ANNUAL BUDGET Function CENTRAL SERVICES 1975 BUDGETED ESTIMATED 579,672 583,664 9,600 9,767 589;272 $_L93,431 Area GENERAL SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS COMMENTARY PAGE 80 Acct. No. 510.51 1976 RECOMMENDED BUDGETED 692,040 707,424 12,000 12,000 $ 704,040 $ 719.424 FUNCTION periodically, such as office These expenditures represent cost which are incurred o supplies, telephone, pension payments, postage, equipment service contracts, and insurance premiums. These costs are allocated to operating departments and other funds monthly, based on usage. . COMMENTS appropriation Proposed expenditures are nineteen orkmen='s compensation insurance and equipment Higher cost of pension contribution , rentals are the principal reasons for the increase. The below listed detail contributes to the increase • AMOUNT Telephone $ 4,800 5231488 Pension contribution 1,800 postage 5,520 Liability insurance Workmen's compensation 30,060 insurance Employer's share - hospitaliza- tion, life insurance and 6,300 income protection insurance Equipment rentals(copy machine) 11,400 Office supplies 21400 TOTAL $114,768 GtTY OF EDINA Fund REVOLVING Function CENTRAL SERVICES ANNUAL ' BUDGET Area GENERAL PAGE sl,, Acct. No. 510.51 EXPENDITURE DETAIL Object Detail Present Budget Recommended Budgeted Code Activity 4256 Telephone $ 25,200 $ 30,000 $,30,000 Equipment service 3,900 3,900 3,900 4288 4145 contract Pension contribution 327,612 380,100 382,260 4290 Postage 16,200 18,000 18,000 4260 Insurance: Liability 21,300 26,820 26,820 4260 Workmen's Compensation 82,680 112,740 112,740 Employer's share- Hospitalization, Life Insurance,and income protection 4200 insurance 96,780 103,080 116,304 4226. Equipment rentals 6.000 .17 400 17 400 $692,040 $707,424. $579,672 4516 Office supplies 9,600 12,000 12 000 TOTAL GENERAL $589,272 $704.040 $719 424 DISTRIBUTION ALLOCATED TO OPERATI G DEPARTMENTS: ANNUAL MONTHLY $ 295 Mayor and Council $ 3,540 10,236 853 Planning Administration 22,788 1,899 Finance 19,860 1,655 Election 2,220 185 Assessing 21,816 1,818 Legal and Court Service 1,560 130 Public Works: 7,392 616 Administration 28$56 2,363. Engineering General 85,620 7,135 Police 203,376 16,948 Fire 95,460 7,955 Public Health 9$84 782 Animal Control 2,352 196 Inspections 16,884 1,407 City Hall 2,940 245 Public Works Build ng 2,100 175 Equipment operatioi 12,480 1,040 $ 45,697 $548,364 CITY OF EDINA ANNUAL BUDGET PAGE 82 Fund Activity Function Detail Area Recommended Acct. No. _ REVOLVING CENTRAL SERVICES NDS: GENERAL ANNUAL 510.51 EXPENDITURE DETAIL Code Activity Object Detail Present Budget Recommended Budgeted MONTHLY ALLOCATED TO OTHER Golf Course Recreation Center Park Waterworks Sewer Rental Liquor -50th Street Liquor - Yorkdale Liquor- Grandview NDS: ANNUAL $ 16,500 11,400 65,100 T 28,500 19,140 9,900 10,980 9,540 $ 1,375 950 5,425 2,375 1,595 825 915 795 $ 14,255 _071,060 TOTAL $719,424 $ 59 952 CITY OF EDINA ANNUAL BUDGET Fund Function Area REVOLVING -10 CENTRAL SERVICES CITY HALL SUMMARY PAGE, 83 Acct.. No. 520.52 1976 1975 BUDGETED ESTIMATED OBJECT RECOMMENDED BUDGE -FED . 20,390 $ 20,986 1. PERSONAL SERVICES 22,090 �. 14,678 2. CONTRACTUAL SERVICES .17,750 13,500 5,050 5,481 3. COMMODITIES -6,000 • 2,460 2,460 4. CENTRAL SERVICES 2,940 • 5. CAPITAL OUTLAY $ 41, 400 $ 43 .605 TOTALS $ 48.780 $ 48.780 COMMENTARY FUNCTION This account provides for the operation and maintenance of the City Hall. Operating costs are allocated to departments on the basis of space occupied. COMMENTS Proposed expenditures are eighteen percent '(187.) higher than last year's appropriation. The principal reasons for the increase are higher cost of payroll and light and power. The below listed detail contributes to the increase. • AMOUNT . Salaries and wages $19700 Heat 300 Light and .power 2,800 Insurance 250 Laundry 'service (100) Electrical and furnace service (100) Air conditioning service 500 Contrac.Ged service and repairs - 600 Cleaning supplies 400 General supplies 200 Repair parts and hardware 50 Replacement light bulbs 300 Central services 480 TOTAL IL180 ( ) Indicates red figure CffYs OF EDINA Fund REVOLVING ANNUAL BUDGET Function Area CENTRAL SERVICES CITY HALL EXPENDITURE DETAIL PAGE 84 Acct. No. 520.52 Object Detail Present Budget Recommended Budgeted Code Activity Custodian $11,024, $11,466 Extra help and overtime 4,966 Public Works - payroll 2,400 Park- payroll 2,000 5,424 2,800 2,400 4105 $20,390 $22,090 4254 Heat $ 2,700 4252 Light and power 6,600 $ 3,000 9,400 Water and sewer 4258 service 250 4260 Insurance 950 4250 Rubbish service 600 4262 Laundry service 500 250 1,200 600 400 Electrical and 4274 furnace service 500 400. Air conditioning 4288 service 1,000 1,500 Contracted service 4248 and repairs 400 1,000 $13,500 $17,750 4512 Cleaning supplies $ 800 4514 Paper supplies 1,600 4504 General supplies 1,200 $ 1,200 1,600 1,400 Repair parts and 4540 hardware 350 400 Carpenter materials 4504 and paint 700 700 Replacement light 4606 bulbs 400 700 $ 5,050 $ 6,000 4808 General 2,460 2,940 TOTAL CITY HALL $41,400 $48.780 $48.780 MY OF EDINA ANNUAL BUDGET PAGE 85 . Fund Function Area Acct. No. 520.52 REVOLVING. CENTRAL SERVICES CITY HALL EXPENDITURE DETAIL • Present Recommended Budgeted Code Actirity Object Detail Budget DISTRIBUTION LOCATED TO OPERATING DEPART4ENTS ANNUAL MONTHLY Mayor and Council $ 3,900 1,920 $ 325 160 Planning P 0 Administration 2,700 270 225 225 Finance 2,280 190 Assessing Public Works: 1,140 95 . Administration 2,280 190 Engineering 17,700 1,475 Police 1,140 95 Public Health 2,160 180 Inspection $41,100 $ 3,425 AJ,LOCATED TO OTHER FUN S: $ 5,280 $ 440 Park 1,200 100 Waterworks 1,200 100 Sewer Rental $ 7,680 $ 640 I TOTAL $48,780 4,065 CITY OF EDINA ANNUAL BUDGET Funcon Area ti Fund PUBLIC WORKS BUILDING REVOLVING CENTRAL SERVICES SUMMARY 1975 BUDGETED ESTIMATED $15,860 $ 16,556 209500 20,653 3,900 3,797 1,740 1,740 $ .42,000 $ 42,746 OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY TOTALS COMMENTARY PAGE 86 Acct. No. I 540.54 1976 RECOMMENDED BUDGETED $.17,410 $- 23,130 5,600 2,100 $ 48,240 $ 48.240 FUNCTION The function of the Public works a provide equipment personnel maintenance operations, stockroom, an COUNT Proposed expenditures are fifteen percent (15 %) higher than last.year's roll, appropriation. The principal reasons for the increase are higher cost of pay ntributes .to this increase. heat and general supplies. The below listed detail co AHOUNT Salaries and wages $1,550 Heat 1,800 Sewer and water 500 Contract work 400 Other contractual service (70) General supplies, hardware and repair parts 1200 Other commodities 360 Central services TOTAL $6,240 ( ) Indicates red figure CITY OF fDINA ANNUAL BUDGET PAGE.. .. 87 Fund Function Area Acct. No. _ REVOLVING CENTRAL SERVICES PUBLIC WORKS BUILDING 540.54 EXPENDITURE DETAIL Code Activity Object Detail Present Budget Recommended Budgeted . Custodian $ 8,840 $ 9,542 Public Works - payroll 4,000 4,400 Park- payroll 2,400 29800 Overtime 620 668 4105 $15,860 $17,410 4254 Heat $ 9,000 $109800 4252 Light and power 8,200 8,200 4260 Insurance 1,200 1,250 4250 Rubbish hauling 600 480 Sewer and water 4258 service 500 1,000 4248 Contract work 1,000 1,400 $20,500 $23,130 4215 Cleaning supplies $ 1,000 $ 1,200 General supplies, hardware and repai 4504 parts 2,500 4,000 Replacement -light 4606 bulbs 400 400 $ 3,900 $ 5,600 4802 General 1,740 2,100 TOTAL PUBLIC WORKS BUILDING $42,000 48,240 $48.240 DISTRIBUTION . AL CATED TO OPERATING D PAR NTS: ANNUAL MONTHLY Health $ 1,500 $ -125 Public Works 4,140 345 Equipment operation 36,300 3,025 $41,940 $ 3,495 AL CATED TO OTHER FUNDS Park $ 4,140 $ 345 Waterworks 1,080 90 Sewer Rental 1,080 90 $ 6 ;300 525 TOTAL $48.240 $ 4.020 CITY' OF EDINA Fund REVOLVING Function CENTRAL SERVICES 1975 $21,040 BUDGETED ESTIMATED $ 84,860 $ 86,995 38,000 36,780 122,600 121,661 40,740 40,740 ANNUAL BUDGET Area. EQUIPMENT OPERATION SUMMARY OBJECT 1. PERSONAL SERVICES 2. CONTRACTUAL SERVICES 3. COMMODITIES 4. CENTRAL SERVICES 5. CAPITAL OUTLAY PAGE 88 Acct. No. 560.56 1976 $21,040 RECOMMENDED BUDGETED $. 105,900 $103,400 39,900 32,900 141,000 140,300 48,780 48,780 $ 286,200 $ 286 TOTALS $—n5 5 80 $325.380 COMMENTARY FUNCTION This account provides for operation and maintenance of all vehicles, maintenance equipment, and power tools. Costs of equipment operation are charged to operating departments and other funds on the basis of use. COMMENTS. Proposed expenditures are seventeen percent (17 %) higher than last year's appropriation. The principal reasons for the increase are higher cost of payroll, . gasoline and fuel oil, accessories and parts and central services. The below listed detail contributes to the increase. AMOUNT Salaries and wages $21,040 Contracted repairs 1,000 Insurance 1,000 Car washes (100) Replacement of tools 200 Stock materials 1,000 Gasoline and fuel oil 7,600 Tires and tubes 1,500 Lubricants 800 Accessories and parts 7,300 Central services 8,040 TOTAL 49 380 ( ) Indicates red figure MY OF EDINA Fund REVOLVING. Code I Activity 0 ANNUAL BUDGET PAGE s9. Function Area Acct. No. CENTRAL SERVICES EQUIPMENT OPERATION 560.56 EXPENDITURE DETAIL TOTAL EQUIPMENT OPERATION 1 $286,200 $3352 580 $325,380 Object Detail Present Budget Recommended Budgeted Mechanic foreman $ 13,390 $ 15,782 $ 15,782 Mechanics (2) 25,800 27,092 27,092 Serviceman -night 12,120 12,610 12,610 Serviceman 11,880 12,376 12,376 Mechanic 10,000 10,000 Parts Clerk (') 4,082 3,428 3,428 Public Works - Payroll 10,800 14,800 14,800 Park and Golf Course payroll 2,900 3,100 3,100 Overtime 3,888 6,712 4,212 4105 $ 84,860 $105,900 $103,400 4294 Radio service $ 7,500 $ 7,500 $ 7,500 4262 Laundry 1,500 1,500 1,500 4248 Contracted repairs 16,000 17,000 10,000 4260 Insurance 12,000 13,000 13,000 4296 Car washes 1,000 900 900 $ 38,000 $ 39,900 $ 32,900 4580 Replacement of tools $ 800 $ 1,000 $ 1,000 4504 Stock materials 11,000 122000 12,000 4610 Welding supplies 1,000 1,000 1,000 4612 Gasoline and fuel oil 58,400 66,000 66,000. 4616 Tires and tubes 10,500 129000 12,000 4618 Lubricants 3,200 4,000 4,000 4620 Accessories and.parts 37,700 45,000 44,300 • $122,600 $141,000 $140,300 4802 General $ 9,060 $ 12,480 $ 12,480 4806 Public Works Buildingl 31,680 36,300 36,300 $ 40.740 $ 48,780 $ 48,780 TOTAL EQUIPMENT OPERATION 1 $286,200 $3352 580 $325,380 GtTY OF EDINA Fund REVOLVING . Code Activity ANNUAL BUDGET Function Area CENTRAL SERVICES. EQUIPMENT OPERATION EXPENDITURE DETAIL PAGE 90 Acct. No. 560.56 Present Recommended Budgeted Object Detail Budget DISTRIBUTION CATED 10 OPERATING DEP RTMENTS: ANNUAL MONTHLY ALLO Planning Administration Assessing Public Works: Administratic n Engineering Supervision nd'Ove rb Street Maint iigns nance Street Light ng Street Name Traffic Cont of Bridges Storm Draina e Village Prop (rties Sidewalk and Ramp Police Fire Animal Control Inspections ALLOCATED 1U OTHER UNDS :. Swimming.Pool Golf Course Recreation Cen er. Parks Waterworks Sewer Rental Construction Construction 4ssesseld projects) TOTAL $ 1,260 $ 105 1,260 105 1,260 105 1,26.0 105 11,640 970 -1,260 105 106,800 8,900 1,260 105 3,480 290 6,600 550 1,260 105 6,600 550 10,140 845 1,560 130 61,800 5,150 20,340 1,695 2,520 210 2,520 210 $242,820 $209235 $ 1,440 $ 120 19,980 1,665 5,100 425 32,280 2,690 129240 1,020 8,880 740 2,640 220 82,560 $ 6,880 9325.380 $27,115 CITY OF EDINA MAXIMUM SALARIES AND WAGES- 1975 AND 1976 GENERAL ADMINISTRATION Director of Finance and Treasurer Assessor Deputy Assessors Property Appraiser City Clerk Administrative Assistant. Personnel Officer Office Clerical - fiscal - secretarial: Clerical I Clerical II Clerical III Legal . Prosecuting Attorney Planning Director Planning Aide Planning(Environmentalist) 'UBLIC SAFETY POLICE Director of Public Safety Police Chief Captains - 2 years service Sergeants 2-years service 1 year service First year Detectives 2 years service 1 year service First Year Patrolmen 4 -years service 3 years service 2 years service 1 year service First year Dispatchers -Desk clerks Dispatchers- Desk clerks (hourly) FIRE Chief Assistant Chief 2 years service First year Drivers- Inspectors Firemen 4 years service 3 years service 2 years service 1 year service First year Part Time. Animal Control Officer ELECTION Judges Chairperson 1975, 1975 Bi- Bi- Weekly .(Annual) $1037 $(26,962) 798 (20,748) 656 (17,056) 490. (12,740) 461 (11,986) 605 (15,730) 225 -280 (5850 -7280) 280.370 (7280 -9620) 370 -420 (9620- 10,920) A .1976 ( 9,100) Bi- ( 7,800) Weekly (Annual) " $1100 $(28,600) 845 (21,970) 695 (18,070) 403 (10,500) 540. (14,040) 510 (13,260) 670. (17,420). 200 -290 (5200- 7540) 300 -385 (7800- 10,010) 350 ( 9,100) 300 ( 7,800) 750 (19,500) 810 (21,060) 352 ( 9,152) 385 (10,010) 385 (10,010) (435)* (12,350) 625 (16,250) (475)** (Top Rate) 1037 (26,962) 1100 (28,600) 900 (23,400) 965 (25,090) 788 (20,488) 643.75 (16,738) 632.75 (16,452) 621075 (16,166) 449 (11,674) 480 (12,480) 4.80 4.25 877 (22,802) 945 (24,570) 638 (161588) 625 (16,250) 600 (15,600) 554.35 (14,413) 544.05 (14,145) 535.17 (13,914) 501.07 (13,028) 481.27 (12,513) 383 ( 90958) 150% of regular hourly rate. 375 ( 9,750) 405 (10,530) $2;50 per hour 2.65 per hour 4.50 Additional 5.00 Additional Maximum Salaries and Wages Continued. 2ARKS AND RECREATION Director Assistant Director Program Supervisor Recreation Specialist Pool Manager (S) Assistant Pool Manager (S) Concession Manager (S) Pool Cashier (S) Bathhouse- Concession Attendants (S) Swimming Instructor (S) Life Guards (S) Pool Maintenance (S) Baseball and Craft Supervisors (S) Baseball Assistants (S) Hockey Coaches (S) Rink Attendants (S) Playground Leaders (S) Skating - Skiing Instructors (S) Park Keeper III# Park Keeper II# Park Keeper I# Golf Course Business Manager Golf Course Superintendent Golf Course Maintenance Golf Course Manager,Starters,Cashiers, Lunch Counter Clerks (S) Arena - Manager Arena - Assistant Manager Arena - Maintenance Supervisor Arena - Guards,Cashiers,Concession Attendants LIQUOR STORES A 1975 1975 1976 (21,580) Bi- Bi- . Bi- 561 Weekly (Annual) Weekly (Annual) 535 $ 905 $(23,530) $ 965 $(25,090) 681 (17,706) 725 (18,850) 510 (13,260) 545 (14,170) 368; ( 9,568) 405 (10,530) 305 315 649 275 705 285 Building 2.60 per hr. 2.85 per hr. 2.25 per hr._ 2.60 per hr. 2.00 per hr. 2.30 per hr. 2.85 per hr. 3.25 per hr. 2.85 per hr. 3.25 per hr. - 2.50 per hr. 3.00 .per hr. 290 649 310 695 2.50 per hr. 2.85 per hr. 2.85 per hr. 3.10 per hr.. 2.50 per hr. 2.85 per hr. 2.85. per hr. 3.10 per hr. 6.50 Inst.Class 9.00 Inst. Class. 491.54 (12,786) 456°92 (11,880) 424.62 (11,040) 549 (14,274) 587 (15,262) 529 (13,754) 570 (14,820) 466 (12,116) 500 (13,000) 3.70 per hr. 3.85 per hr.. 549 (14;274) 587 (15,262) 466 (12,116) 500 (13,000) 466 (12,116) 500 (13,000) 3.15 per hr. 3.35 per hr. LIQUOR STORES ---°- Manager 830 (21,580) 890 (23,140) Assistant Manager 561 (14,586) 600 (15,600) Assistant Managers - Stores 535 (13,910) 573 (14,898) Clerks - regular 4.65 per hr. 4.95 per hr. Clerks - part time 3.75 per hr. - 3.95 per hr. INSPECTORS Plumbing 649 (16,874) 705 (18,330) Building 677 (17,602) 725 (18,850) Deputy Inspector 545 (14,170) •595 (15,470) Mechanical 500 (13,260) 550 (14,300) HEALTH Health Officer 25 per month - 25 per month Sanitarian 649 (16,874) 695 (18,080) Laboratory Technician 544 (14,144) 588.46 (15,300) Deputy Sanitarian 400 (10,400) 440 -Jan.1 480 -3uly 1(11,960) faximum Salaries and Wages Continued. A 1976 (14,040) 1975 1975 Weekly Bi- Bi -. $1100 Weekly (Annual) PUBLIC.WORKS AND ENGINEERING 690 (17,940) Director of Public Works & Engineering $1037 $(26,962) Assistant Engineer 582 (15,132) Supervisors of Survey,Design,Inspection 646 (16,796) Engineering Aide III 518 (13,468) Engineering Aide II 459 (11,934). Engineering Aide I 394 (10,244) Superintendent- Public Works 781 (20,306) Superintendent -Water 610 (15,860) Foreman - (Street, sewer, water, parks and mechanic) 583 (15,158) Heavy Equipment Operators# 491.54 (12,780) Light Equipment Operators# 456.92 (11,880) Maintenance Man# 424.62 (11,040) Mechanic 500.77 (13,020) Mechanic's Helperik 466.15 (12,120) Janitor 424 (11,024) Sewer -Water Utility Man# 466.15 (12,120) Administrative Asst. - Putlic Works 465 - (12,090) Electrician 503 (13,078) Building Engineer 456092 (11,880) Meter Reader - 430.32 (11,188) iStarting rates may be 20% less for the first three months of service and 10% less for the second three months. (S) Seasonal . k First 6--months k* Second 6 months 455 (11,830) 498 A 1976 (14,040) Bi- (12,714) Weekly (Annual) $1100 $(28,600) 645 (16,770) 690 (17,940) 555 (14,430) 490 (12,740) 425 (11,050) 835 (21,710) 660 (17,160) 630 (16,380) iStarting rates may be 20% less for the first three months of service and 10% less for the second three months. (S) Seasonal . k First 6--months k* Second 6 months 455 (11,830) 498 (12,948) 540 (14,040) 489 (12,714) 460 (11,960) COMMPARATIVE SUMMARY OF MAJOR OBJECTS BY ACTIVITY AND FUND FOR YEARS 1976 and 1975 Contractual Services Commodities Personal Conferences Supplies Central Capital Services and Schools Other General Special Services Outlay Total GENERAL GOVERNMENT: Mayor and Council: 1976 $ 14,300 $ 200 $ 1,000 $ 7,440 $ 22,940 1975 14,300 150 800 6,480 21,730 Increase- Decrease* $ -0- $ 50 $ -0- $ -0- $ 200 $ 960 $ -0- $ 1,210 Planning: 1976 $ 42,314 $ 315 $ 630 $ 575 $ 50 $ 13,080 $ 560. $ 57,524 1975 33,604 505 585 400 50 10,020 240_ 45,404 - Increase- Decrease* $ 8,710 $ 190* $ 45 $ 175 $ -0- $ 3,060 $ 320 $ 12,120 Administrative: 1976 $106,988 $ 745 $ 54,802 $ 300 $ 600 $ 29,220 $ 1,290 $193,945 1975 800 13 8756 200 50 23,040 600 142,849 Increase - Decrease* _1041403 $ 2,585 $ 55* $ 41,046 $ 100 $ 550 $ 6,180 $ 690 $ 51,096 Finance: 1976 $ 89,842 $ 699 $ 23,595 $ 100 $ 21,840 $ 650 $136,726 1975 95,808 230 20,106 100 ._19,860 136;104 Increase - Decrease* $ 5,966* $ 469 $ 3,489 $ -0- $- -0- $ 1,980 $ 650 $ 622 Election :. 1976 $ 19,383 $ 7;021 $ 1,025 $ 2,220 $ 29,649 1975 6,055 1,860 7,915 Increase- Decrease* $ 13,328 $ -0- $ 7,021 $ -0- $ 1,025 $ 360 $ -0- $ 21,734 Assessing: 1976 $ 89,852 $ 2,405 $ 2,415 $ 2,000 $ 24,900 $121,572 1975 77,246 1,350 2,380 2,100 20,340 _ 103,416 Increase - Decrease* $ 12,606 $ 1,055, $ 35 $ 100* $ -0- $ 4,560 $ -0- $ 18,156 Legal and Court Services: 1976 $ 21,000 $ 76,000 $ 1,560 $ 98,560 1975 9,100 57,250 1,680 68,030 Increase- Decrease* $ 11,900 $ -0- $ 18,750 $ -0- $ -0- $ 120*$ . -0 -. $ 30,530 TOTAL GENERAL GOVERNMENT: 1976 $383,679 $ 4,364 $164,463 $ 2,875 $ 2,775 $100,260 $ 2,500 $660,916 1975 340,516 3,035 94,077 2,700 1,000 83,280 840_ 525,448 Increase - Decrease* $ 43,163 $ 1,329 $ 70,386 $ 175 $ 1,775 $ 16,980 $. 1,660 $135,468 PUBLIC WORKS: Administration: 1976 1975 Increase - Decrease* Engineering: 1976 1975 Increase - Decrease* Supervision and Overhead: 1976 1975 Increase- Decrease* Street Maintenance: 1976 1975 . Increase- Decrease* Street Lighting: 1976 1975 Increase - Decrease * Street Name Signs: 1976 1975 Increase- Decrease* Traffic Control :. 1976 1975 Increase- Decrease* Bridges: 1976 1975 . Increase- Decrease* Storm Drainage: 1976 1975 Increase - Decrease* COMPARATIVE SUMMARY OF MAJOR OBJECTS BY ACTIVITY AND FUND (CONT'D.) Contractual Services Commodities $ 1,500 Personal Conferences $106,080 Supplies 700 Central Capital 94,200 Services and Schools Other General Special Services Outlay 1btal $ 31,798 $ 135 $ 35 8,400 $ -0- $ $ 9,540 180 $ 41,508 30,927 $ 42 $ 35 $ 8,040 - 39,044 $ 871 $ 93 $ -0- $ -0- $ -0- $ 1,500 $ -0- $ 2,464 $136,098 $ 335 $ 5,365 $ 6,200 $ 2,800 $ 41,580 $ 12,400 $204,778 131,613 -0- 351 12,939 1,285 -0- 4,900. 540 2,600 -0- 39,240 5,139 _185,128 $ 4,485 $ 16* $ 4,080 $ 1,300 '$ 200 $ 2,340 $ 7,261 $ 19,650 $ 95,005 $. 750 $ 105 $ 300 $-91,020 3,500 $187,180 89,820 400 100 $ 880 $ 280 $ 83,580 $ 174,_180 $ 5,185 $ 350 $ 5 $ -0- $ 20 $ 7,440 $ -0- $ 13,000 $215,940 203,663 $ 12,277 $ 80,500 74,300 $ 6,200 $174,983 $ 18,295 109,150 11,800 $ 65;833 $ 6,495 $111,720 95,460 $ 16,260 $601,438 494,373 $107,065 $ 720 $102,600 $ 1,500 $ 1,260 $106,080 700 94,200 1,500 1,080 97,480 $ 20 $ -0- $ 8,400 $ -0- $ -0- $ 180 $ -0- $ 8,600 $ 11,760 $ 19,439 $ 3,480 $ 34,679 11,080 6,500 2,940 20,520 $ 680 $ -0- $ -0- $ 12,939 $ -0- $ 540 $ -0- $ 14,159, $ 16,140 $ 13,460 $ 12,764 $ 4,731 $ 6,600 $ 53,695 15,260 11,500 11,500 3,500 5,640 47,400 $ 880 $ -0- $ 1,960 $ 1,264 $ 1,231 $ 960 $ -0- $ 6,295 $ 3,840 $ 1,500 $ 300 $ 1,085 $ 1,260 $ 7,985 3,620 1,500 300 700 1,080 7,200 $ 220 $ -0- $ -0- $ -0- $ 385 $ 180 $ -0- $. 785 $ 35,940 $ 2,840 $ 4,750 $ 3,500 $ 6,600 $ 53,630 33,955 1,850 3,150 3,500 5,640 48,095 . $ 1,985 $ -0- $ 990 $ 1,600 $ -0- $ 960 $ -0- $ 5,535 w PUBLIC WORKS CONT'D. City Properties: 1976 1975 Increase- Decrease* Sidewalks and Ramp: 1976 1975 Increase - Decrease* Capital Outlay: 1976 1975 Increase - Decrease * TOTAL PUBLIC WORKS': 1976 1975 Increase- Decrease* PROTECTION OF PERSONS AND . PROPERTY: Police Protection: 1976 1975 Increase - Decrease * Fire Protection: 1976 1975 Increase- Decrease* Civilian Defense:'' 1976 1975 Increase - Decrease * Public Health: 1976 1975 Increase- Decrease* Animal Control 197.6 197.5 Increase- Decrease* COMPARATIVE SUMMARY OF MAJOR OBJECTS BY ACTIVITY AND FUND (CON-r- u. ) Contractual Services Commodities Personal Conferences Supplies Central Capital Services and Schools Other General Special Services Outlay_ $ 49,860 $ 3,600 $ 5,500 $ 8,200 $ 10,140 $ 77,300 37,337 3,250 4,000 5,700 8,640 58,927 $ 12,523 $ -0- $ 350 $ 1,500 $ 2,500 $ 1,500 $ -0- $ 18,373 $ 7,980 $ .8,140 $ 1,900 $ 600 $ 1,560 $ 20,180 5,290 4,700 1,400 600 1,320 13,310 $ 2,690 $ -0- $ 3,440 $ 500 $ -0- $ 240 $ -0- $ 6,87.0 $ 82,050 $ 82,050 37,900 37,900 $ -0 -: $ -0- $ -0- $ -0- $ -0- $ -0- $ 44,150 $ 44,150 $605,081 $ 1,220 $218,145 $225,836 $ 41,011 $284,760 $ 94,450 $1,470,503 563,265 793 192,720 140,900 30,180 252,660 43,039 1,223,557 $ 41,816 $ 427 $ 25,425 $ 84,936 $ 10,831 $ 32,100 $ 51,411 $ 246,946 $896,565 $ 2,770 $ 22,473 $ 2,100 $ 2,880 $276,660 $ 45,700 $1,249,148 819,076 1,545 19,365 1,809 2,880 232,776 35,000 _ 1,112,451 .$ 77,489 $ 1,225 $ 3,108 $ 291 $ -0- $ 43,884 $ 10,700 $ 136,697. $427,550 $ 29294 $ 19,568 $ 5,600 $ 4,110 $114,540 $ 85,685 $ 659,347 . 354,251 1,364 17,370 4,500 4,057 90,036 18,276_ _ 489,854 $ 73,299 $ 930 $ 2,198 $ 1,100 $ 53 $ 24,504 $ 67,409 $ 169,4931 $ 4,212 $ 100 $ 465 $ 650 $ 3,000 $ 8,427 4,044 50 335 550 4,979 $ .168 $ 50 $ 130 $ -0- $ 100 $ -0- $ 3,000 $ 3,448 $ 42,777 $ 250 $ 2,546 $ 1,532 $ 11,640 $ 198 $ .,58,943 38,756 450 2 056 1,269 10,020 52,551 4,021 200* $ 490 -0- 263 $ 1,620 198 6,392 $ 11,244 $ 4,900 $ 4,800 $ 20,944 10,650 3,300 100 4,020 18,070 $ 594 $ -0- $ 1,600 $ -0- $ .100* $ 780 $ -0- $ 2,874 COMPARATIVE SUMMARY OF MAJOR Dn.1RCTS in AGriv1TY ruw Fbaw kCO:.+ ...) PROTECTION OF PERSONS AND PROPERTY CONT'D.: Inspections: 1976 1975 Increase - Decrease* TOTAL PROTECTION OF PERSONS AND PROPERTY: 1976 1975 Increase - Decrease * NON- DEPARTMENTAL EXPENDITURES: Contingencies: 1976 1975 Increase - Decrease* Settlement of Suits: 1976 1975 Increase - Decrease* Special Assessments on City Property: 1976 1975 Increase- Decrease* Central Services- Capital Outlay. 1976 1975 Increase- Decrease* Capital'Improvements: 1976 1975 Increase- Decrease* Commissions: 1976 1975 Increase - Decrease* Contractual Services Commodities Personal Conferences Supplies Central Capital Services and Schools Other General Special Services Outlay Total $ 71,188 68,544 $ 2,644 $1,453,536 1,295,321 $ 158,215 $ 830 $ 415 $ 531 $ 214 741 .797- 275 525 $ 89 $ 382* $ 256 $ 311* $ 6,244 $ 50,367 $ 8,231 $ 9,386 4,150 43,223 6,584 9,381_ $ 2,094 $ 7,144 $ 1,647 $ 5 $ 21,000 $ 438 $ 94,616 171100 150 88x132 $ 3,900 $ 288 $ 6,484 $428,640 $135,021 $2,091,425 353.952 53,426 1.766,'037. $ 74,688 $ 81,595 $ 325,388 $165,000 $ 165,000 25,063 25,063 $ -0- $ -0- $139,937 $ 70- $ -0- $ -0- $ -0- $ 139,1937 $ 500 $ 500 500 500 $ -0- $ -0- $ - 0- $ -0- $ -0- $ -0- $ -0- $ -0- $ 60,000. $ 60,000 60,000 60,000 $ -0- $ -0- $ -0- $ -0- $ -0- $ -0- $ -0- $ -0- $ 16,550 $ 16,550 5,000 5,000 $ -0- $ -0- $ -0- $ -0- $ -0- $ -0- $ 11,550 $ 11,550 $ 50,000 $ 50,000 50,000_ 50,000 $ -0- $ -0- $ -0- $ -0- $ -0- $ -0- $ -0- $ -0- $ 9,700 $ 300 $ 3,597 $ 600 $ 14,197 8,500 200 3,032 600 12,332 $ 1,200 $ 100 $ 565 $ -0- $ *0- $ -0- $ -0- $ 1,865 COMPARATIVE SUMMARY OF MAJUR UtsjisCTS Di AC'�_._N eu.L FU,.,,,, ��OP'.. .,.) NON - DEPARTMENTAL EXPENDITURES CONT'D.: TOTAL NON- DEPARTMENTAL EXPENDITURES: 1976 1975 Increase - Decrease* TOTAL GENERAL FUND: 1976 1975 Increase - Decrease * PARK FUND: Administration: 1976 1975 Increase- Decrease* Recreation: 1976 1975 Increase- Decrease* Maintenance: 1976 1975 Increase- Decrease* Capital Outlay 1976 1975 Increase- Decrease* TOTAL PARK FUND 1976 1975 Increase- Decrease* OTHER TAX SUPPORTED EXPENDITURES: Public Nursing: 1976 197.5 Increase- Decrease * Park Construction- Ca p�ita61 Improvements: 11975 Increase- Decrease* L Contractual Services 80,000 80,000 $ Commodities -0- $ -0- -0- -0- $ -0- $ -0- $ -0- $ -0- Personal Conferences Supplies Central Capital Services and Schools Other General Special Services Outlay Total - $ 9,700 $ 300 $169,097 $ 600 $126,550 $ 306,247 8,500 200 28,595 600 115,000_ 152,895 $ 1,200 $ 100 $140,502 $ -0- $ -0- -0- $•11,550 $ 153,352 $2,451,996 $ 12,128 $602,072 $236,942 $ 53,772 $813,660 $358,521 $4,529,091 2,207,602 8,178 358,615 150,184. 41,161 689,892 2_12,305 3,667,937 $ 244,394 $ 3,950 $243,457 $ 86,758 $ 12,611 $123,768 $146,216 $ 861,,154 $ 97,416 $ 600 $ 1,750 $ 250 $ 75 $ 77,520 $ 177,611 92,183 600 1,600 100 75 63,360 157,918 $ 5,233. $ -0- $ 150 $ 150 $ -0- $ 14,160 $ -0- $ 19,693 $ 61,555 $ 14,200 $ 14,750 $ 90,505 59,995 11,200 14,000 85,195 $ 1,560 $ -0. $ 3,000 $ -0- $ 750. $ -07 $ -0- $ 5,310 $ 154,410 $ 12,450 $ 23,300 $ 6,800 $ 30,840 $ 227,800 146,896 11,750 23,200 1,800 26,340 209,986 $ 7,514 $ -Q- $ 700 $ 100 $ 5,000 $ 4,500 $ -0- $ 17,814 $ 37,300 $ 37,300 15,000 15,000 $ -0- $ -0- $ -0 -- $ -0- $ -0- $ -0- $ 22,300 $ 22,300 $ 313,381 $ 600 $ 28,400 $ 23,550 $ 21,625 $108,360 $ 37,300. $ 533,216 299,074 600 24,550 23,300 15,875 89_,700 15,000 468,099 $ 14,307 $ -0- $ 3,850 $ 250 $ 5,750 $ 18,660 $ 22,300 $ 65,117 $ 26,400 $ 26,400 $ -0- $ -0- $ 26,400 $ -0- $ -0- $ -0- $ -0- $ 26,400 $ 80,000 80,000 $ 80,000 80,000 -0- $ -0- -0- -0- $ -0- $ -0- $ -0- $ -0- COMPARATIVE SUMMARY OF MAJUR UtsjzCTS nx AC`rtvtTY eunu FUaiu "COIF. ...) Contractual Services Commodities Personal Conferences Supplies Central Capital OTHER TAX SUPPORTED Services and Schools Other General Special Services Outlay Total EXPENDITURES CONT'D. Bonds and Interest: 1976 1975 Increase- Decrease* Firemen's Relief Association 1976 1975 Increase- Decrease* Fire Protection: . 1976 1975 Increase- Decrease* Youth Action: 1976 1975 Increase- Decrease* TOTAL OTHER TAX SUPPORTED EXPENDITURES 1976 1975 Increase- Decrease* TOTAL ALL FUNDS 1976 1975 ' Increase - Decrease *. Percent of Increase - Decrease* Over Last Year LE In $ 63,000 13,000 -0- $ 50,000 mom -0- $ -0- $ 63,000 13,000 $ 50,000 $2,765,377 2,506,676 $ 12,728 8,778 $759,732 416,665 $ 5,000 $ 75,397 5.7,036 $922,020 779,592 $475,821 307,305 $5,271,567 4,249,536 $ 258,701 $ 3,950 $343,067 $ 87,008 $ 5,000 $ -0- $. -0- $ 5,000* $ -0- $ -0- -0- $ -0- $ 5,000* $ 14,860 $. 14,860 15,500 15,500 $ -0- $ -0- $ 640* $ -0- $ -0- $ -0- $ -0- $ 640* $ 25,000 $ 25,000 $ -0 -. $ -0- $ 25,000 $ -0- $ -0- $ -0- $ -0- $ 25,000 $129,260 $ 80,000 $ 209,260 33,500 80,000 113,500 $ -0- $ -0- $ 95,760 $ -0 -. $ -0- $ -0- $_ -0- $ 95,760 $2,765,377 2,506,676 $ 12,728 8,778 $759,732 416,665 $260,492 173,484 $ 75,397 5.7,036 $922,020 779,592 $475,821 307,305 $5,271,567 4,249,536 $ 258,701 $ 3,950 $343,067 $ 87,008 $ 18,361 $142,428 $168,516 $1,022,031 ( ) Indicates red figure C ANALYSIS OF MAJOR FACTORS'-,CONTRIBUTING TO INCREASE IN RECOMMENDED EXPENDITURES FOR 1976 Reclassification Additional and other Additional Salary PERSONAL SERVICES Overtime Adjustments Personnel Increase Total Planning $ 715 $ 6,630 $ 1,365 $ 8,710 Administration $ 1,740 1,402 (3,185) 2,628 2,585 Finance (4,802) (4,900) 3,736 (5,966) Elections 13,068 260 13,328 Assessing 9,600 3,006 12,606 Legal and Court Services 11,900 11,900 Public Works: Administration (365) 1,236 871 Engineering (365) 4,850 4,485 General 3,318 (6,733) 25,038 14,837 36,460 Police 7,440 3,045 31,977 35,027 77,489 Fire 30,085 19,916 23.,298 73,299 Civilian Defense 168 168 Public Health 1,400 2,621 4,021 Animal Control 100 494 594 Inspection (476) 3,120 2,644 Commissions 1,200 1,200 Parks: Administration (173) 1,870 3,536 5,233 Recreation 1,560 1,560 Maintenance 980 (3;540) 2,966 7,108 7,514 $13,478 $30,693 $106,040 $108,490 TOTAL INCREASE - PERSONAL SERVICES $258,701 CONTRACTUAL SERVICES -OTHER Administration: Advertising -legal and personnel $ 750 Consultant -labor relations 200 Management consultant 40,000 $ 40,950 Finance: Data processing 3,514. Election: Custodians $ 4,019 Moving charges 400 Rental- voting machines 2,500 Postage 102 7,021 Legal and Court Services: Professional fees $ 14,000 Board and room prisoners 250 Witness fees (500) Hennepin County -Court charges 5,000 18,750 Public Works: Engineering: Professional services 4,000 Street Maintenance: Equipment rental $ 1,200 Contracted repairs 5,000 6,200 Street Lighting: Power 8,400 ( ) Indicates red figure ANALYSIS OF MAJOR' °FACTORS CONTRIBUTING TO INCREASE IN RECOMMENDED EXPENDITURES C FOR 1976 : ONTRACTUAL SERVICES -OTHER (Cont'd.): Public Works (Cont'd.): Traffic Control: Power Storm Drainage: Power . . Televised inspection City Properties: Contracted -weed control Sidewalks and ramp: Power Insurance Rubbish removal Police Protection: Insurance Range rental Fire Protection: Uniform allowance. Rental of pagers Laundry Psychological testing Civilian Defense: Lease lines for sirens Public Health: Mileage Animal Control: Kennel service -City of Bloomington Veterinary and medical services Inspections: Mileage Contingencies Commissions: Human Relations Commission: Education programs Park and Recreation: Administration: Mileage Recreation: Pool rental Maintenance: Utilities Public Nursing Bonds and Interest Firemen's Relief Association Fire Protection Youth Action Other ( ) Indicates red figure $ 150 3,000 650 3,850 26,400 50,000 (5,000) (640) 25,000 50 TOTAL INCREASE CONTRACTUAL SERVICES- OTHER $343,067 Salary Increase Total $ 1,960 $ 190 800 990 400 $ 2,740 300 400 3,440 $ 970 2,400_ 3,370 $ 750 875 200 200 2,025. 130 490 $ 1,300 300 1,600 (420) 139,937 $ 150 3,000 650 3,850 26,400 50,000 (5,000) (640) 25,000 50 TOTAL INCREASE CONTRACTUAL SERVICES- OTHER $343,067 ANALYSIS OF:MAJOR FACTORS CONTRIBUTING TO INCREASE'IN.RECOMMENDED EXPENDITURES FOR 1976 ,ENTRAL SERVICES Total General: Telephone $ 4,800 Equipment rentals 11,400 Pension contributions 52,488 Postage 1,800 Liability insurance 5,520 Workmen's Compensation insurance 30,060 Employer's.share- hospitalization, life insurance and income protection insurance 6,300 Office supplies 2,400 $114,768 City Hall: Salaries and wages (Increase in rate $442) $ 1,700 Heat 300 Light and power 2,800 Insurance 250 Air conditioning service 500 Other contractual service 400 Cleaning supplies 400 Replacement light. bulbs 300 Other commodities 250 Central services 480 7,380 Public Works Building: Salaries and wages (Increase in rate $364) $ 1,550 Heat 1,800 Sewer and water service 500 Contract work 400 Other contractual service (70) General supplies, hardware and repair parts 1,500 Other commodities 200 Central services. 360 6,240 Equipment Operation: Salaries (Increase in rate $2662)(Additional mechanic $10,000) $ 21,040 Contracted repairs 1,000 Insurance 1,000 Car washes (100) Stock materials 1,000 Gasoline and fuel oil 7,600 Tires and tubes 1,500 Lubricants 800 Accressories and parts 7,300 Replacement of tools 200 Central services 8,040 49,380 TOTAL INCREASE CENTRAL SERVICES $177,.768 DISTRIBUTIONS: Budgeted accounts $142,428 Other funds 35,340 TOTAL $177y768 ( ) Indicates red figure C DETAILS OF CONFERENCES AND SCHOOLS - 1976 D Mayor and Council: Local meetings, conferences and schools $ 200 Planning: Minnesota Planning Association - Duluth- P1'anner.. $ 200 League meeting-Duluth-Planner 115 315 Administration: National meeting- Toronto - Manager $ 500 League, school and local meetings- Manager, Clerk, Administrative Assistant and Personnel officer 245 745 Finance: National meeting -San Francisco - Director $ 475 Local meetings, school and league- Director 224 699 Assessing: National meeting - Atlanta- Assessor $ 500 Special courses - American Institute of Real Estate Appraisers- Chicago -Two deputies 1,500 Assessor's School - Minneapolis - Assessor and deputies 275 State Board of Assessors - Minneapolis -New deputy 130 2,405 Public Works: Administration: Local school and league meeting- Director 135 Engineering: Local meetings and schools- various employees 335 Supervision and Overhead: National meeting -Las Vegas- Superintendent $ 450 In service training -all personnel 300 750 Police Protection: Traffic Course I -Three officers $ 90 Traffic Course II- Three officers. 90 Breathalyzer School -One officer 90 Public Defender's School -Two officers 160 Trauma Workshop -Two officers 120 Radar Certification and Refresher School- Various officers 120 Juvenile officers' Institute -One officer 200 Clerk and Computer Update School 200 National meeting- Miami -Chief 350 League meeting - Duluth -Chief 90 In department training specialists: Clinical psychologist $480 Self- defense 320 800 Short courses. 100 FBI Academy- Washington, D. C.- Sergeant 315 Local school -Chief 45 2,770 DETAILS OF CONFERENCES AND SCHOOLS - 1976 (Contd.). ?ire Protection: Fire Instructor's Course - Memphis -One officer National meeting- Houston -Chief State Fire School - Four officers In state meetings and school- Various officers L. P. Gas schools and seminars -Four officers Building Inspection School - Two officers Paramedic & E.M.T. -Six officers' Tuition- Metropolitan.State Junior College "Wivilian Defense: Local meetings and schools- Director Public Health: Local meetings and schools- Sanitarian and Assistant Food Microbiology Conference - Kansas City, Laboratory Technician (1/3) Inspections: League meeting - Duluth -Three Inspectors School -Six Outstate meetings -Three Local meetings and schools -Two Zommissions: Human Relation: High school -Human Affairs Conference Other local meetings Park Administration National Meeting- Boston - Director and Assistant TOTAL $ 380 410 224 280 200 100 300 400 $ 150 100 $ 140 300 240 150 $ 200 100 D $ 2,294 100 250 830 300 600 $12,728 CITY OF EDINA ANNUAL BUDGET COMPARATIVE ASSESSED VALUATION, TAX RATE IN MILLS, AND TAXES IN DOLLARS ALL FUNDS COMPARATIVE ASSESSED VALUATION Fiscal Disparity Levy of Collectible In Real Adjustment Personal Total 1965 1966 $ 35,250,135 $2,436,976 $ 37,687,111 1966 1967 41,002,999 3,156,601 44,159,600 1967 1968 43,338,714 3,301,490 46,640,204 1968 .1969 53,585,438 3,499,045 57,084,483 1969 1970 56,680,044 3,856,784 60,536,828 1970 1971 77,145,878 4,344,906 81,490,784 1971 1972 809486,054 3,827,251 84,313,305 1972 1973 279,328,717 4,289;594 283,618,311 1973 1974 308,103,338 4,651,955 312,755,293 1974 1975 326,805,617 $ (7,542,224) 4,894,303 324,157,696 1975 1976 357,414,615 (15,1942474) 5,000,000 347,220,141 (A) TAX RATE IN MILLS Collectible Bonds and In General Parks Interest Other Total 1966 .24.80 2.00 1.80 .86 29.46 1967 24.83 1.97 1.42 .84 29.06 1968 24.64 2.00 .. 1.34 _.73 _ _ __28.71-- - _ 1969 24.75 2.00 1 -.11 .67 28.53 1970 24.73 1.99 1.06 .61 28.39 1971 19.98 1.97 .80 .47 23.22 1972 17.66 2.03. .85 .44 20.98 1973 5.61 .66 .25 .13 6.65 1974 5.31 .63 .23 .12 6.29 1975 6.24 .61 .04 .07 6.96 1976 8.10 .67 .18 .19 9.14 TAXES IN DOLLARS Collectible Bonds and In General Parks Interest Other Total 1966 $ 934,640 $ 75,374 $67,837 $32,411 $1,110,262 1967 1,096,483 86,994 62,707 37,094 1,283,278 1968 1,149,215 93,280 62,498 34,047 1,339,040 1969 1,412,841 114,169 63,364 38,247 1,628,621 1970 1,497,076 120,468 64,169 36,927 1,718,640 1971 1,628,626 159,926 65,312 38,352 19892;216. 1972 1,488,973 171,156 71,666 37,098 1,768,893 1973 1,595,084 187,088 71,367 .36,963 1,890,502 1974 1,659,792 198,912 72,247 35,029 1,965,980 1975 2,023,068 197,736 13,291 20,746 2,254,841 1976 2,812,270 231,000 63,000 66,260 3,172,530 SWIMMING POOL FUND Income: Admissions Other Expenses: Operating expenses Interest on debts INCOME PRODUCING FUNDS $152,375 30,625 7,774 $170,589 29,573 8,545 $181,612 28,475 9,565 $190,000 27,375 9,600 STATEMENT OF INCOME AND EXPENSE $180,887 $190,774 $208,707 $2193,652 CITY OF EDINA $228,600 $176,979 $182,000 Interest on debt For Year Ending December 31 26,203 25,095 23,602 22,109 ACTUAL Provision for depreciation 4,295 ESTIMATED PROJECTED 1971 1972 1973 1974 1975 1976 $179,569 $203,822 $193,187 $203,688 $ 48,380 $ 43,661 $ 39,671 $ 43,878 $ 43,000 $ 43,,000 32576 2,580 2,111 2,030 2,000 5,000 $ 51,956 $ 46,241 $ 41,782 $ 45,908 $ 45,000 $ 48,000 NET INCOME- (LOSS) GOLF COURSE FUND Income: Memberships and fees Other Expenses: Operating expenses Interest on debt Provision for depreciation NET INCOME RECREATION CENTER FUND (ARENA) Income: Operating revenue Other $ 46,215 $ 43,135 $ 50,118 $ 49,802 $ 48,500 $ 47,500 5,000 $ 51,215 $ 43,135 $ 50,118 $ 49,802 $ 489500 $ 47,500 $ 741 $ 3,106 $ (8,336) $ (3,894) $ (3,500) $ 500 $187,860 $175,624 $197,163 $203,310 $211,000 $215,000 37,843 332200 42,681 49,080 57,400 60,000 $2259703 $2081824 $239,844 $252,390 $268,400 $275,000 $142,662 31,678 6,547 $152,375 30,625 7,774 $170,589 29,573 8,545 $181,612 28,475 9,565 $190,000 27,375 9,600 $200,000 18,800 9,800 $180,887 $190,774 $208,707 $2193,652 $226,975 $228,600 $176,979 $182,000 Interest on debt 27,141 26,203 25,095 $ 44,816 $ 18,050 $.31,137 $ 32,738 $ 41,425 $ 46,400 $198,856 $198,461 $191,094 $188,741 $200,700 $205,000 720 - $199,576 $198,461 $191,094 $188,741 $200,700 $205,000 Expenses: Operating expenses $143,872 $149,011 $174,295 $165,136 $176,979 $182,000 Interest on debt 27,141 26,203 25,095 23,602 22,109 12,000 Provision for depreciation 4,295 4,355 4,432 4,449 4,600 4,.600 $175,308 $179,569 $203,822 $193,187 $203,688 $198,600 NET INCOME- (LOSS) $ 24,268 $ 18,892 $(12,728) $ (4,446) $ (2,988). $ 6,400 E City of Edina ANNUAL BUDGET COMPARATIVE ASSESSED VALUATION, ETC. CONT'D. Note A - The 1971 legislature changed the method of determining assessed value. Before 1973 assessed value was determined in the following manner;. market value divided by three, to determine full and true value, then certain percentage applied to full and true to determine assessed value. For 1973 assessed value is determined in the following manner determine market value, then apply certain percentage to determine assessed value. The change in method increases assessed value about three times over prior years. ( ) Indicates red figure Expenses: Operating expenses Provision for depreciation NET INCOME-(LOSS) _LIQUOR DISPENSARY FUND Income: Sale of merchandise Other Cost of sales and expenses: Cost of merchandise sold Operating expenses Provision for depreciation NET INCOME $261,424 4,041 INCOME PRODUCING FUNDS $497,226 95,360 $621,196 95,060 $795,157 98,000 $ 890,200 100,000 STATEMENT OF INCOME AND EXPENSE $592,586 $716,256 $893,157 $ 990,200 $2,702,031 CITY OF EDINA $4,210,636 $4,622,700 $5,020,000. $2,022,204 $2,062,412 For Year Ending December 31 $3,799,500 $4,150,000 219,254 232,022 278,709 313,877 ACTUAL 420,000 ESTIMATED PROJECTED 17,409 1971 1972 1973 1974 1975 1976 WATER WORKS FUND $4,596,000 Income: $4 63,490 $419,101 $499,784 $521,375 $551,975 $550,000 Sale of water 28,761 29,514 32,653 30,780 37,280 35,000 Other operating revenue 19,777 17,826 23,308 19,083 13,000 10,000 Non-operating income $512,028 - $466,441 $555,745 $571,238. $602,255 $595,000 Expenses: $2 46,417 $253,675 $331,789 $313,306 $325,000 $337,200 Operating expenses 17,080 15,288 13,411 11,449 9,500 7,500 Interest on debt 207,239 221,869 224,403 227,265 _ 230,000 - 233,000 Provision for depreciation $470,736 $490,832 $569,603 $552,020 $564,500 $577,700 NET INCOME - (LOSS) $ 41,292 $(24,391) $(13,858) $ 19,218 $ 37,755 $ 17,300 SEWER RENTAL FUND Income: $158,736 $597,172 $646,445 $674,248 $709,848 $1,0001000 Operating revenue 4,139 2,637 42 7,906 _7,878 8,000 Other $162,875 $599,809 $646,487 $682,154 $717,726 $1,008,000 Expenses: Operating expenses Provision for depreciation NET INCOME-(LOSS) _LIQUOR DISPENSARY FUND Income: Sale of merchandise Other Cost of sales and expenses: Cost of merchandise sold Operating expenses Provision for depreciation NET INCOME $261,424 4,041 $475,970 94,291 $497,226 95,360 $621,196 95,060 $795,157 98,000 $ 890,200 100,000 $265.465 $570,261 $592,586 $716,256 $893,157 $ 990,200 $(102,5921___$ 29,548 $ 53,901 $(34,102) $(175,431) $ 17,800 $2,657,251 $2,709,004 $3,518,241 . $4,165,120 $4,587,700 $5,000,000 44,780 36,476 42,119 45,516 _35,000 20,000 $2,702,031 $2,745,480 $3,560,360 $4,210,636 $4,622,700 $5,020,000. $2,022,204 $2,062,412 $2,845,046 $3,335,935 $3,799,500 $4,150,000 219,254 232,022 278,709 313,877 386,200 420,000 12,317 11,000 17,409 26,117 26,000 26,000. S2.253.775 $2,305,434 _ $3,141,164 $3,675,,929$4,211,700 $4,596,000 $ 448,256 $ 440,046 $ 419,196 $ 534,707 $ 411,000 $ 424,000_ I"