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Agenda - Council - 04/25/1995
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Agenda - Council - 04/25/1995
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Meetings
Meeting Document Type
Agenda
Meeting Type
Council
Document Date
04/25/1995
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FINANCE COMMITTEE <br />CITY OF RAMSEY <br />ANOKA COUNTY <br />STATE OF MINNESOTA <br /> <br />The Ramsey F'.mance Committee conducted a regular meeting on Tuesday, March 28, <br />1995, at the R~unscy Municipal Center, 15153 Nowthcn Boulevard N.W., Ramsey, <br />Minnesota. <br /> <br />Members Present: <br /> <br />Mayor Glen Hardin <br />Councilmember Carolyn Beahen <br />Councilmember Sbeila Beyer <br />Councilmember Kenneth Peterson <br />Councilmember Gerald Zimmerman <br /> <br />Also Present: <br /> <br />City Adminiswator Ryan Schroeder <br />Finance Officer Jessie Hart <br /> <br />CALL TO ORDER <br /> <br />CouncilmemberiPeterson called the regular Finance Committee to order at 6:30 p.m. <br />CITIZEN INPUT <br /> <br />None <br /> <br />CONSENT AGENDA <br /> <br />None <br /> <br />APPROVE AGENDA <br /> <br />Consensus was to approve the agenda as presented <br /> <br />COMMITTEE BUSINESS: <br />Case #1: Review 12/31/94 Unaudited General Fund Financial Report <br /> <br />Finance Office~ Hart stated that what is being presented is the unaudited General Fund <br />Financial Report, however, the audit is nearly finished, and she did not anticipate any of <br />the numbers to dhange. She explained that the Actual Year-to-Date 1994 column reflects all <br />activity for 1994, including accruals for receivables and payables as of the end of the year. <br />The Budget 199,4 column reflects the Adopted 1994 General Fund Budget with several <br />changes reflective of budget amendments adopted during 1994 and other budget <br />amendments which will be recommended by resolution at a meeting in the near future, <br />based on actual i1994 activity. Ms. Hart summarized revenues, expenditures and transfers <br />from and to other funds, the net effect of which resulted in an excess for 1994 of $74,446. <br />This is compare~l to an excess of $68,185 for 1993. This excess increases the total General <br />Fund fund bala~lce to $1,875,420, although this amount will change based on the Excess <br />Revenue Policyiadopted for fiscal 1993 forward. Ms. Hart stated that updated information <br />will be distribut~ once the final information is compiled and thc audit is complete. <br /> <br />No Committe~ action required. <br /> <br />Finance Committee/March 28, 1995 <br /> Page ! of 3 <br /> <br /> <br />
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