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PL PACKET 06172008
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PL PACKET 06172008
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Last modified
4/19/2016 4:29:00 PM
Creation date
4/19/2016 4:28:54 PM
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SP Box #
33
SP Folder Name
PL PACKETS 2005-2011
SP Name
PL PACKET 06172008
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TITLE III: ADMINISTRATION: <br /> 22) Mayor and Council Salaries — Acceptable as proposed. <br /> 24) 33.060 Other License Fees. <br /> a. Entry for Set-Ups — Acceptable as proposed. <br /> b. HVAC — Acceptable as proposed. <br /> 25) 33.061 Establishment of Fee Amounts. <br /> a. This item is covered by current code reference 1335.01 (c) but may be replaced <br /> with "Tide XV". <br /> 26) 33.106 Special Assessments — Acceptable as proposed. <br /> TITLE IX: GENERAL REGULATIONS: <br /> 27) Running at Large Prohibited. — Acceptable as proposed. <br /> 28) Habitual Barking. — Acceptable as proposed. <br /> 29) Chapter 92: Health and Safety;Nuisances. Again, our preference is to have "City <br /> Manager" in place of"City Clerk", except at (H) Assessment,which should be "City <br /> Clerk". <br /> 30) Right-of-Way. — Acceptable as proposed. <br /> 31) Registration Information. — Delete division (A)(4). <br /> 32) Acceptable as proposed. <br /> TITLE XI: BUSINESS REGULATIONS: <br /> 33) Sexually-Oriented Business: — Replace as proposed. <br /> Licensing: — Replace as proposed. <br /> Amusements: — Replace as proposed. <br /> Tobacco: — Replace as proposed. <br /> Gambling: — Delete whole section. <br /> Alcoholic Beverages: <br /> Delete MBC Ch. 112.22 <br /> Delete MBC Ch. 112.53 (A); (B); and(E). <br /> Please change (C) and (D) to read as follows: (C)Municipal Liquor Stege <br /> O erationr Fund. All of the revenues received from the operation of a municipal <br /> liquor store shall be deposited in a municipal liquor stere operations fund from <br /> which all ordinary operating expenses,including compensation of the lhquor <br /> operations manager and employees, shall be paid. Surpluses accumulating in the <br /> fund may be transferred to the general fund of the City or to any other <br /> appropriate fund of the City by resolution of the City Council,and may be <br /> expended for any municipal purpose. The handling of municipal liquor store <br /> receipts and disbursements shall comply with the all procedures prescribed by <br /> law and elder City poh for the receipts and disbursements of City funds. <br /> gener - <br /> (D) Financial Statement. The City Council shall provide within 130 180 days <br /> following the end of the calendar year for publication a balance sheet using <br /> generally accepted accounting procedures and a statement of operations of the <br /> municipal liquor stores for that year. The balance sheet and statement shall be <br /> published in accordance with the provisions of M.S. 4 471.6985, as it may be <br /> amended from time to time. <br /> 2 <br />
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