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CITY COUNCIL WORK SESSION July 31, 2017 <br />DRAFT <br /> 2 <br /> 46 <br />Ms. Cotton explained the new information. Very recently the county changed the 47 <br />valuation numbers for the city, resulting in a decrease of about $20,000 in estimated tax 48 <br />revenue. Ms. Cotton reviewed the 2018 estimate and current proposed budget, noting 49 <br />that the city has utilized reserves in the past and that impact is seen. Mayor Reinert 50 <br />remarked that he prefers to refer to the reserve funds as “surplus”. Mayor Reinert also 51 <br />remarked that surplus funds were utilized for debt service on the new fire station and now 52 <br />that the debt service on city hall is paid, that should work out. 53 <br /> 54 <br />Ms. Cotton asked the council to keep in mind that the street reconstruction debt service 55 <br />will come on line in 2019 and is estimated in the amount of $450,000. Director Grochala 56 <br />added that there are certain improvements (water, sewer for example) that won’t be 57 <br />covered by the bonds but will need to be funded. 58 <br /> 59 <br />The Closed Bond Fund was discussed briefly and there was discussion about what could 60 <br />be expected coming into the fund through retirement of bonds. 61 <br /> 62 <br />Mayor Reinert said he remains interested in self-borrowing at some level. Council 63 <br />Member Kusterman suggested that it is a good concept but works best when interest rates 64 <br />are higher. The mayor said it would be important to understand possible impact on the 65 <br />city’s credit rating. 66 <br /> 67 <br />Director Cotton, back to Page 1, noted budgeted increases for personnel costs (cost of 68 <br />living raise) and health insurance costs. Mayor Reinert remarked that he noticed a lot of 69 <br />reallocation; Director Cotton concurred and pointed out an example on Page 12 where 70 <br />storm sewer maintenance is transferred out; the funding location works better with 71 <br />scheduling and when that type of work occurs (if it runs to the next year, the budget zeros 72 <br />out). She noted the pages that reflect increases and decreases (contingencies, police/fire 73 <br />capital outlay). The 2018 base budget equals 2017 approved budget less capital outlay 74 <br />plus increased personal services. Additional personnel would show up in the next 75 <br />column, adjustments, not the base. The B-1 forms that are on Pages 14 and 15 reflect 76 <br />changes in services. 77 <br /> 78 <br />Mayor Reinert suggested that the format presented is the best he’s seen in his role on the 79 <br />council; he’d like to see percentages included. 80 <br /> 81 <br />The council reviewed the net tax capacity calculation (Page 3) with the understanding that 82 <br />the figures are subject to change based on new information to be received. 83 <br /> 84 <br />Mayor Reinert asked for the amount of value increase related to development. Director 85 <br />Cotton said the new construction amount for payable 2018 is $33,000,000 ($23,000,000 86 <br />residental and the rest commercial/industrial) and she will provide the amount of city 87 <br />taxes that generates. 88 <br /> 89