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07/06/1998 Park Board Packet
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07/06/1998 Park Board Packet
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Park Board Packet
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07/06/1998
Park Bd Meeting Type
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COUNCIL MINUTES MAY 11, 1998 <br /> approximate term of the district with 10% interest charged per year. These annual transfers for <br /> assessments have been previously approved for all other T.I.F. projects with the same <br /> assessment agreement. The total assessment owing is $107,299. <br /> Ms. Vaske recommended that Resolution No. 98 - 67 be adopted. <br /> Mayor Sullivan asked if the City's carrying costs would be recovered. Ms. Vaske indicated that <br /> they would. <br /> Council Member Dahl moved to adopt Resolution No. 98 - 67, as presented. Council Member <br /> Neal seconded the motion. Motion carried unanimously. <br /> Resolution No. 98 - 67 can be found at the end of these minutes. <br /> Consideration of Resolution No. 98 -68, Designating General Fund Balance-Ms. Vaske <br /> stated that Resolution No. 91 - 03 set standards for a reserve policy for the General Fund. The <br /> policy requires that 1/2 of the cash flow from property taxes and state aids for the ensuing year <br /> be required 15% general contingency reserve for the ensuing budget,prepaid items (i.e. <br /> insurance, seminars, etc.), and unpaid employee benefits (vacation, sick leave severance). In <br /> 1997,the total reserves surpassed the requirements by $307,000. The City Council discussed the <br /> designation of these dollars at the last work session and determined the preliminary percentages: <br /> Finance hardware/software 30% <br /> Parks playground equipment 50% <br /> Road reconstruction 10% <br /> Contingency fund 10% <br /> Ms. Vaske stated that she redefined the numbers to decrease the finance percentage and added <br /> the difference to a personal contingency, which could be used for union contract settlements, <br /> severance, etc.,that was not included in the 1998 budget. <br /> Ms. Vaske recommended that Resolution No. 98 - 68 be adopted. <br /> Mayor Sullivan explained that the City had $125,000 additional revenue from the Public Works <br /> fund due to a quiet winter. Mayor Sullivan noted that the funds spent on the Finance Department <br /> hardware/software would have been a requirement in the future. The funds spent on the Parks <br /> Department playground equipment were very much needed. Road reconstruction was a big issue <br /> for the City and it would be helpful to have some funds for road improvement without requiring <br /> a citizen's vote. <br /> Council Member Bergeson asked if the $307,000 figure was final. Ms. Vaske indicated it was <br /> final as of Thursday, May 7, 1998. <br /> n Council Member Dahl moved to adopt Resolution No. 98 - 68, as presented. Council Member <br /> Neal seconded the motion. Motion carried unanimously. <br /> 3 <br />
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