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RESOLUTION NO. 2240 <br />CITY OF MOUNDS VIEW I� <br />COUNTY OF RAMSEY <br />STATE OF MINNESOTA <br />Pursuant to due call and notice thereof, a meeting of <br />the City Council of the City of Mounds View, Minnesota, was s` <br />held at the City Hall, on September 28, 1987 with the <br />following members present: <br />and the following members absent: <br />Member introduced the following resolution and moved <br />its adoption: <br />RESOLUTION ADOPTING THE 1988 CITY OPERATING BUDGET <br />WHEREAS, the City Council did hold a public hearing on <br />the proposed 1987 budget on September 28, 1987. - <br />NOW THEREFORE, BE IT RESOLVED by the City Council of the <br />City cf Mounds View that the appropriations for budgeted funds <br />for the calendar year 1988 shall be: <br />GENERAL <br />Account <br />FUND <br />No. Department <br />Amounc <br />100 <br />City Council <br />S. 26,785.00 <br />Z. <br />110 <br />Advisory Commissions <br />12,076.00 - <br />120 <br />Administration <br />77,532.00 <br />130 <br />Planning <br />52,655.00 <br />140 <br />Elections and Voter Registration <br />7,124.00 <br />150 <br />Finance <br />101,734.00 <br />160 <br />Legal <br />66,450.00 <br />180 <br />Public Works <br />69,703.00 <br />190 <br />City Hall <br />242,609.00 <br />"^ <br />200 <br />Police <br />696,555.00 <br />210 <br />Fire <br />129,826.00 <br />230 <br />Civil Defense <br />28,956.00 <br />240 <br />Nuisance Abatement <br />9,638.00 <br />260 <br />Maintenance Garage <br />71,622.00 <br />239,653,00 <br />-A' <br />270 <br />350 <br />Streets <br />Recreation <br />128,615.00 <br />360 <br />Parks <br />108,641.00 <br />Contingency for Salary Adjustments <br />64,410.00 <br />z <br />Contingency <br />57,225.00 <br />L <br />TOTAL GENERAL FUND <br />2,191,809.00 <br />Y' <br />1976 <br />ADVANCE REFUNDING BOND FUND <br />$ 18,350.00 <br />21500.00 <br />IMPROVEMENT BONDS OF 1981 BOND FUND <br />00 <br />02,,331.00 <br />RECREATION <br />ACTIVITY FUND <br />FORESTRY <br />FUND <br />369,161.00 <br />WATER <br />UTILITY <br />695,785.00 <br />SEWER <br />UTILITY <br />- <br />TOTAL OTHER FUNDS <br />1,442,265.00 <br />TOTAL BUDGETED FUNDS APPROPRIATIONS <br />3,634,074.00 <br />