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Mounds View City Council January 24, 2005 <br />Regular Meeting Page 20 <br />• 2. City Administrator's Report. <br />City Administrator Ulrich stated that the consultant who had helped with the retreat last year said <br />that March 7 and 8 in the evening would work well for him. He stated that that is normally a <br />work session date for the Council. He stated they would pencil that in, and then check with the <br />availability of the new Council member on those dates. <br />City Administrator Ulrich stated that there was a draft survey in the Council's mailboxes. He <br />stated that the questions originally had numbered 104, and they had cut those down to 50. He <br />stated that if anyone felt an important question had been missed, to let them know. He stated that <br />this will be discussed at the February 7~' work session. <br />3. Finance Director's Quarterly Report. <br />Finance Director Hanson stated that this is the quarterly report for the fourth quarter of 2004, and <br />it is the first look at the year end numbers, which are preliminary numbers. He stated that there <br />are still a lot of transactions to record and a lot of invoices have yet to come in, so there are many <br />expenses and revenues to report. He stated that he was projecting that they would have a balance <br />between revenue and expenses, and if anything, a small surplus of $100,000-$200,000. He stated <br />that the State Auditor has taken to criticizing cities that have a fund balance that equals more <br />• than 50 percent of the next year's budget, so he suggested when they get close to the final <br />numbers, look at canceling a few of the transfers from other funds into the General Fund to avoid <br />having the balance m the General Fund go up. <br />Finance Director Hanson stated that the TIF Districts have had a good year in terms of revenues <br />versus expenses. He stated that District No. 1 will probably still have a deficit at the end of <br />2004, but it will be a very small one, and that the other two Districts have a surplus. He stated <br />that it was interesting to note that M.S.A. Construction Fund, which had been running a cash <br />deficit since he has been here, should finally break into the positive field. He stated that they <br />were able to finance the special assessments from the County Road H2 project with bonds they <br />had sold last summer, and that injected about $200,000 into the M.S.A. Construction Fund. <br />He stated that the Utility Fund looked to be in pretty good shape for the year. <br />Finance Director Hanson stated that the Bridges Golf Course had about a two and a half percent <br />increase in its operating revenues over the prior year. He stated it had received the initial <br />payment for the billboards, which added $62,000 to its revenue. He stated they would still be <br />looking at a deficit for the year of something like $150,000, but it would be a month or two <br />before he could report the number with total confidence. <br />Council Member. Stigney asked if that $150,000 was over and above the $62,000 received for the <br />billboards. <br />. Finance Director Hanson stated that that was after recording the $62,000 from the billboards. <br />