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Stormwater Fund - Cash on Hand 0212812003 <br /> Projeted <br /> Revenues: Funding Source Revenues-to-Date <br /> Street Improvement Bonds $3,000,000.00 $3,016,610.63 <br /> MSA Bonds $950,000.00 $935,008.45 <br /> DNR $5,440,000.00 $5,528,617.36 <br /> FEMA $700,000.00 $700,000.00 <br /> Hennepin County $150,000.00 $150,000.00 <br /> Storm Water Utility Charges $500,000.00 $509,645.42 <br /> Storm Sewer City Bonds $1.610.000.00 $1.594.271.55 <br /> Total Project Budget $12,350,000.00 $12,434,153.41 <br /> Other Proiecl Activity: <br /> Reserves/Transfer from Revolving Fund $175,000.00 $175,000.00 <br /> State of Minnesota-Reimbursements $0.00 $18,755.27 <br /> Homeowner Portion-Grant Agreement $0.00 $5,060.75 <br /> HRA-Streetscape Transfer $0.00 $155,100.00 <br /> Met Council $20,000.00 $10,000.00 <br /> Stormwater Fees-Purchase 2809-30th Avenue NE $106,000.00 $106,000.00 <br /> Interest Earnings(Non DNR Funds) $0.00 $126,495.42 <br /> Sale of Pahl Avenue Homes(2700&2704) $0.00 $11,200.00 <br /> 29th Avenue-Water Connection Fees $26,000.00 $26,400.00 <br /> Misc.-Homeowner/Reimburse for Extra Construction Work 0.00 $166,233.75 <br /> Total Revenues $12,677,000.00 $13,234,398.60 <br /> 02128/2003 <br /> Expenditures: Expenditures-to-Date <br /> WSB-Engineering Services $388,027.12 <br /> Barr-Engineering Services $2,709.35 <br /> Dorsey&Whitney-Legal Services $39,847.99 <br /> Rice Creek Watershed District-Water Study $2,025.00 <br /> Purchase of Flood Homes $1,201,143.90 <br /> Pahl Avenue Ponding $111,308.57 <br /> Flood Relief Grant Program $65,159.32 <br /> Private Homes-Dumpsters/Service Master $17,371.44 <br /> Sump Pump $246.64 <br /> 1999 Street Improvement Project $1,128,342.79 <br /> 2000 Street Improvement Project $2,943,537.37 <br /> 2001 Street Improvement Project $2,090,982.23 <br /> 2002 Street Improvement Project $2,296,320.82 <br /> 2003 Street Improvement Project $62,533.73 <br /> Harding Street Holding Ponds $924,534.32 <br /> Richard Knutson,Inc-Silver Point Park $1.590,785.21 <br /> Total Expenditures $12,864,875.80 <br /> Project Balance $369,522.80 <br /> Stormwater Fees Non-Desiganted $183,178.70 <br /> Total Cash on Hand $552,701.50 <br />