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Agenda - Council - 11/09/2004
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Agenda - Council - 11/09/2004
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3/24/2025 2:34:07 PM
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Meetings
Meeting Document Type
Agenda
Meeting Type
Council
Document Date
11/09/2004
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Finance Officer Lund reviewed that the Park Trust Fund was adopted on September 13, 2004. <br />The transfer of the $65,098.59 from the Equipment Replacement Fund to the Park Trust Fund <br />was adopted in the Consent Agenda earlier tonight. When the Park Trust Fund was created, it <br />listed a revenue source as that of an amount equal to 10 percent of the excess revenues <br />transferred from the General Fund at year end. To allow for this yearly allocation, the current <br />policy needs to be amended. The amended policy for the allocation of excess/deficient General <br />Fund Revenues would be allocated to the following City funds as follows: <br />Park Trust Fund - 10% of excess/deficit <br />Equipment Replacement Fund - 10% of excess/deficit <br />Public Facilities Construction Fund - 40% of excess/deficit <br />Public Improvement Revolving Fund - 40% of excess/deficit <br />Motion by Councilmember Zimmerman, seconded by Councilmember Cook, to ratify the <br />recommendation of the Finance Committee and adopt Resolution #04-10-320 Establishing a <br />Financial Policy for the Purpose of Allocation of Excess/Deficient General Fund Revenues. <br />Motion carried. Voting Yes: Mayor Gamec, Councilmembers Zimmerman, Cook, Kurak, <br />Pearson, and Strommen. Voting No: None. Absent: Councilmember Elvig. <br />2) Introduction of 2005 Schedule of Rates, Fees and Charges and Call for a Public <br />Hearing <br />Finance Officer Lund explained in past practice, the City has annually adopted the Schedule of <br />Rates, Fees and Charges by resolution, but due to previous discussions revolving around the <br />water and sewer trunk rates, and the notification of affected users, it is felt that it is in the best <br />interest to adopt the entire 2005 schedule by ordinance. Ordinance adoption provides the <br />opportunity for comments at a Public Hearing and gives 30 days before the rates go into effect. <br />The proposed changes for 2005 include a few changes pertaining to the Building Department and <br />the sewer- and water trunk charges. <br />Counei hnember Strommen indicated the Finance Committee recommended that the Public <br />Hearing date be scheduled for November 23rd, rather than November 9"' <br />Motion by Councilmember Strommen, seconded by Councilmember Zimmerman, to ratify the <br />recommendation of the Finance Committee and introduce an ordinance for the 2005 Schedule of <br />Rates, Fees and Charges and calling for a public hearing on November 23, 2004. <br />Motion carried. Voting Yes: Mayor Gamec, Councilmembers Strommen, Zimmerman, Cook, <br />Kural<, and Pearson. Voting No: None. Absent: Councilmember Elvig. <br />3) Accepting Proposal on the Sale of $1,485,000 General Obligation Capital <br />Improvement Crossover Refunding Bonds of 2004 <br />Finance Officer Lund explained in 1999, bonds were issued in the amount of $1,665,000 for the <br />construction of a fire station. Lease Revenue Bonds, via the EDA, were issued. As part of the <br />City Council/October 26, 2004 <br />Page 5 of 15 <br />
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