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necessary to carry out the Public Service and Capital Improvement <br />Programs as described in sections 7.5.2. and 7.5.3. In addition, the <br />forecast will identify financing sources and uses, cash flow <br />projections, and financial policies that impact or exercise control <br />over revenues and expenditures. <br /> <br />Note: Financial sources and uses are transfers to and from other City Funds. From <br />time to time the Council has adopted policies as to the purpose of. funds, particularly <br />special revenue and trust funds. These policies should be clearly stated within the <br />financial plan so that the public is aware of the Council's intent. As an example - <br />the former Council adopted a resolution that states the Landfill Trust Fund is not to <br />be used for general operations but is available for capital improvements that benefit <br />the City. In addition, the fund is available for interfund loans and these loans may <br />be granted interest free. These are policies that should be before the public, current <br />and future councilmembers. <br /> <br />~.7.5.5. A summary of the long-term financial plan shall be published in the <br />City newsletter annually. <br /> <br />Section 7.6. Council Action on Budget. <br /> <br />7.6.1. The bu et ..... be .........~ no ..... "* *~ <br /> <br />~~a~~nun~ public hearing dates, procedures to <br />be followed during the hearings and publications are established by <br />state statute. However, the actual adoption of the proposed annual <br />budget and the municcal levy shall take place at the next regulate <br />scheduled Council meeting following the mandated public hearing(s) <br />to ensure that comments received du~ng the public hearing(s) are <br /> <br /> <br />