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Agenda - Council - 03/22/2022
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Agenda - Council - 03/22/2022
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Meetings
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Council
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03/22/2022
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CC Regular Session 5. 5. <br /> Meeting Date: 03/22/2022 <br /> By: Diana Lund,Finance <br /> Information <br /> Title <br /> Adopt Resolution#22-063 Approving the Transfer of Excess General Fund Revenues to the Equipment Revolving <br /> Fund, Facilities Construction Fund, Capital Maintenance Fund and Public Improvement Revolving(PIR)Fund. <br /> Purpose/Background: <br /> Adopt Resolution#21-073 Approving the Transfer of Excess General Fund Revenues to the Equipment Revolving <br /> Fund, Facilities Construction Fund, Capital Maintenance Fund and Public Improvement Revolving(PIR)Fund. <br /> Purpose/Background: <br /> The City Council originally adopted a policy on February 22, 1994,known as the Excess Revenue Policy <br /> (Resolution#94-02-045-Resolution Establishing a Financial Policy for the Purpose of Allocation of <br /> Excess/Deficient General Fund Revenues)with the last amendment of this policy occurring on May 10, 2016 <br /> (Resolution#16-05-089) a copy of which is attached. <br /> The Excess Revenue Policy states that the fund balance will be at 50% of the next year's operating expenditures, <br /> plus any encumbrances and compensated absences. After meeting these fund balance requirements at <br /> year-ending December 31, 2021, $409,801.32 remained as excess revenues to be transferred from the General <br /> Fund. <br /> The majority of the excess revenue was attributed to building permit revenue exceeding budget for 2021. <br /> As stated in the policy, transfers from the General Fund would be as such: <br /> Facilities Construction Fund(10%) $ 40,980.12 <br /> Equipment Revolving Fund(30%) $122,940.40 <br /> Capital Maintenance Fund(30%) $122,940.40 <br /> Public Improvement Revolving(PIR)Fund(30%) $122,940.40 <br /> Notification: <br /> The excess/deficient revenue policy with the 2021 excess revenue amount was presented to the City Council at its <br /> worksession of March 8, 2022. The recommendation at this meeting was to follow the current policy and distribute <br /> the funds to the four funds as stated. <br /> Recommendation: <br /> Staff recommends that$409,801.32 be transferred from the General Fund to the Equipment Revolving Fund in the <br /> amount of$122,940,40,the Capital Maintenance Fund in the amount of$122,940.40,the Public Improvement <br /> Revolving Fund in the amount of$122,940.40 and the Facilities Construction Fund in the amount of$40,980.12 per <br /> the Allocation of the Excess Revenue/Deficient policy <br /> Action: <br /> Motion to adopt Resolution#22-063 Approving the Transfer of Excess General Fund Revenues to the Equipment <br /> Revolving Fund, Facilities Construction Fund, Capital Maintenance Fund and Public Improvement Revolving <br /> (PIR) at the stated rates. <br />
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