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Resolution - #10-01-027 - 01/26/2010
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Resolution - #10-01-027 - 01/26/2010
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4/14/2025 12:43:11 PM
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3/5/2010 3:53:31 PM
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Resolutions & Ordinances
Resolutions or Ordinances
Resolutions
Resolution or Ordinance Number
#10-01-027
Document Date
01/26/2010
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<br />Councilmember Jeffrey introduced the following resolution and moved for its adoption: <br /> <br />RESOLUTION #10-01-027 <br /> <br />RESOLUTION AMENDING THE 2009 CITY OF RAMSEY ENTERPRISE FUNDS <br />BUDGETS <br /> <br />WHEREAS, during the year 2009, the Ramsey City Council acted on matters impacting <br />revenue and expenditures budgets of the City's enterprise funds for items that were not included <br />in the original budget for the year ended December 31, 2009; and <br /> <br />WHEREAS, for financial reporting purposes, amendments to the City's enterprise funds <br />budgets are to be made in the form of a Budget Amendment Resolution; and <br /> <br />WHEREAS, the following budget amendments are required to confirm Council's actions <br />taken by motion and/or discussion and to reflect actual activity for the year ended December 31, <br />2009: <br /> <br />WATER UTILITY FUND #601 <br />To amend revenue activities based on budget amendments made by Council action during 2009 <br />and actual moneys received over (under) budget from $1,668,332 to $1,934,597 for a total net <br />increase of $266,265: <br /> <br />Water Sales <br />Miscellaneous-Internal Loan Repayment-Muni Center <br />Net Increase in Water Utility Fund Budgeted Revenues <br /> <br />$174,531 <br />91.734 <br />$266.265 <br /> <br />To amend expenditure activities based on wage contract settlements, budget amendments made <br />by Council action during 2009 and actual moneys spent over (under) budget from $1,538,587 to <br />$1,253,067 for a total net decrease of $285,520: <br /> <br />Personal Services <br />Supplies (meter reading system) <br />Other Services and Charges <br />Depreciation <br />Net Increase in Water Utility Fund Budgeted Expenses <br /> <br />$(26,827) <br />(90,361) <br />(20,672) <br />. (147.660) <br />$(285.520) <br /> <br />SEWER UTILITY FUND #602 <br />To amend revenue activities based on budget amendments made by Council action during 2009 <br />and actual moneys received over (under) budget from $1,247,885 to $1,283,669 for a total net <br />increase of $35,784: <br /> <br />Sewer Charges <br />Miscellaneous Revenue <br />Net Increase in Sewer Utility Fund Budgeted Revenues <br /> <br />$34,643 <br />1.141 <br />$35.784 <br />
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