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GENERAL FUND 101- LINE ITEM DETAIL <br />4305 Facility Rental <br />Water Tower Antenna Lease <br />Anoka County Municipal Center Lease <br />Municipal Center Rental <br />4326 Special Police Services <br />4327 Fire Protection Services <br />Nowthen Contract 45,962 <br />4330 Other Public Safety <br />Fire Response (Injury, Illegal Burn, Gas Hits) <br />4337 Engineering <br />Riverdale East (15% project cost of $1M) <br />Riverdale Extention to Traprock (15% project cost of $2.5M) <br />Road Reconstruction (15% of project cost of $1.5M) <br />4339 Other Public Works <br />4609 Other Revenue <br />Sales of Ads for Ramsey Resident <br />Auction Proceeds <br />Misc Revenue <br />4901 Other Finance Sources <br />PAGE 8 <br />City of Ramsey 2013 Requested General Fund Budget <br />2009 Actual 2010 Actual 2011 Actual 2012 Adopted 2013 Requested <br />77,788 91,022 <br />77,788 <br />Anoka County System Administration - - 75,000 50,000 20,000 <br />Animal Impound / Vehicle Lockout - - 14,592 10,000 10,000 <br />62,716 60,239 89,592 60,000 30,000 <br />45,962 60,152 31,036 20,000 26,000 <br />56,996 <br />42,780 <br />4,205 <br />91,022 103,981 <br />60,424 <br />43,318 <br />1,258 <br />76,682 <br />44,184 <br />2,884 <br />105,000 123,750 <br />60,152 31,036 20,000 26,000 <br />16,575 9,195 10,000 10,000 <br />9,412 16,575 9,195 10,000 10,000 <br />Culvert Sales / Right of Way 6,093 5,094 13,315 8,000 8,000 <br />6,093 <br />5,094 13,315 <br />250,800 20,798 32,889 28,500 <br />1,000 <br />4,306 500 <br />150,000 <br />375,000 <br />225,000 <br />750,000 <br />8,000 8,000 <br />9,500 <br />500 <br />250,800 20,798 37,195 30,000 10,000 <br />Water Fund Administrative Transfer 30,000 32,000 33,000 34,000 35,000 <br />Sewer Fund Administrative Transfer 24,000 26,000 27,000 28,000 29,000 <br />St. Lighting Fund Administrative Transfer 12,000 12,500 13,000 14,000 15,000 <br />Recycling Fund Administrative Transfer 6,800 7,000 8,000 8,500 9,000 <br />Storm Water Utility Fund Administrative Transfer 19,000 21,000 22,000 23,000 24,000 <br />Prior Year General Fund Encumbrances - 230,047 <br />Tax Increment Financing #4 - 304,655 250,000 275,000 275,000 <br />Equipment 27,500 - - - 581,000 <br />Equipment Certificate Fund - - 16,622 - - <br />PIR Fund - Street Maintenance 25,000 25,000 25,000 244,500 244,493 <br />Equipment Revolving Fund - Accum Depr on Capital Purchases 32,917 224,850 151,600 340,252 - <br />Park Maintenance Fund - - - - 36,507 <br />Landfill Tipping Fee Fund - Environment Services Time 80,470 81,994 83,266 87,364 90,758 <br />257,687 <br />965,046 629,488 <br />1,054,616 1,339,758 <br />- REVENUES - <br />