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Fiscal Year 2023 <br />ACTUAL BUDGET Actual BUDGET EST. ACTUAL BUDGET <br />2021 2022 2022 2023 2023 2024 <br />GENERAL FUND REVENUES DETAIL <br />101-3380-1-1-03 CS MWMO 114,695$ 110,789$ 119,045$ 121,868$ 137,000$ 123,106 2024 based on personnel billing rates & less HR time / 22/23 includes UHT time billed <br />101-3380-1-1-04 CS BIRCHWOOD 8,529 9,200 10,258 9,752 10,873 12,612 Based on current level of contract services and rate increase <br />101-3380-1-1-05 CS NINENORTH 12,000 45,000 36,000 41,200 37,080 45,960 2024 based on personnel billing rates & EST. time <br />101-3380-1-2-07 CS ISD 282 8,834 7,500 14,035 15,000 16,648 15,450 Based on current level of contract services <br />101-3380-2-1-08 CS PD OTHER REIMB OT - - - - - Other reimbursed OT, No National event involvement anticipated <br />101-3380-3-1-05 CS HENNEPIN 40,505 40,505 36,377 36,347 41,336 39,269 Estimated at 95% 2023 Actual <br />101-3380-3-1-06 CS NEW BRIGHTON FUEL 6,556 - - - - NEW BRIGHTON PURCHASING ENDED FEB 2021 <br />101-3380-5-1-01 CS LAUDERDALE 773,218 802,283 802,283 860,310 860,310 983,765 14.35% increase of PD contract <br />TOTAL 964,338$ 1,015,277$ 1,017,998$ 1,084,477$ 1,103,247$ 1,220,162$ <br />FINES <br />101-3510-1-1-00 COURT FINES 98,582$ 73,414$ 69,127$ 70,000$ 85,000$ 78,000 2024 projected run rate <br />101-3510-1-1-01 FALSE ALARMS <br />14,581 3,500 4,900 3,605 3,600 3,700 Est of run rate <br />101-3885-2-1-00 POLICE IMPOUND FEES <br />- - - - - ADMN DUTIES ASSUMED BY TOW COMPANY IN 2020 <br />TOTAL 113,163$ 76,914$ 74,027$ 73,605$ 88,600$ 81,700$ <br />REIMBURSEMENTS AND OTHER REVENUES <br />101-3410-0-1-00 CLEAN-UP DAY FEES -$ -$ 3,803$ 2,600$ -$ - Clean-up day now conducted by Aspen Waste <br />101-3622-1-1-00 WT LEASE RENTALS 62,401 64,598 62,118 47,903 63,708 65,943 2024 SCHEDULED RENTS. <br />101-3800-1-1-00 DONATIONS GENERAL - 500 6,162 500 500 500 Est of run rate <br />101-3800-2-1-01 DONATIONS PD 500 500 - 500 500 500 Est of run rate <br />101-3800-2-1-02 DONATIONS PD CRIME PREVENTION 100 - - - - - Est of run rate <br />101-3800-4-1-00 DONATIONS PARKS 10 - - - - - Est of run rate <br />101-3804-1-1-00 RR- MISCELLANEOUS 6,108 3,500 9,652 3,500 1,924 3,500 Miscellaneous cost reimbursements / no net levy impact <br />101-3805-4-1-00 CABLE FRANCHISE FEES 103,768 97,951 96,099 93,053 91,375 88,350 2024 Comcast cable fees at conservative estimate <br />101-3601-0-0-00 SPECIAL ASSESSMENTS - - 5,935 - - Clean up day program returned to recycling fund <br />101-3809-0-0-00 LMC DIVIDENDS 32,487 11,554 22,287 15,000 15,000 15,000 2024 dividend placeholder <br />101-3810-0-0-00 INVESTMENT INCOME (8,752) 11,500 (92,847) 500 500 1,500 Improved interest rates offset by market adjustment for existing CD'S at lower rates. <br />101-3810-1-1-00 MISCELLANEOUS 9,309 3,250 1,200 1,750 1,400 1,250 includes, branch chipping, sac/DOLI admin fees, spec. assessments., etc. <br />101-3890-0-0-00 INSURANCE PROCEEDS 4,989 - 18,777 2,500 3,200 500 <br />TOTAL 210,919$ 193,353$ 133,186$ 167,806$ 178,107$ 177,043$ <br />TRANSFERS IN <br />101-3920-0-0-00 LIQUOR FUND 250,000$ 250,000$ 275,000$ 275,000$ 275,000$ 275,000$ Liquor transfer same level as 2023 <br />101-3920-0-0-00 TIF ADMINISTRATION FEES 15,000 15,000 15,000 15,000 15,000 15,000 Additional staff time with TIF redevelopment activities <br />101-3920-0-0-00 WATER FILTRATION INT EARNINGS - - - - - <br />101-3920-0-0-00 CAPITAL RESERVE/OTHER TRANSFERS 9,729 - - - - - <br />101-3920-0-0-00 ONE TIME PUBLIC SAFTEY AID - - - - - 148,969 PARTIAL USE OF 2023 PUBLIC SAFETY AID <br />TOTAL 274,729$ 265,000$ 290,000$ 290,000$ 290,000$ 438,969$ <br />TOTAL FUND REVENUE 8,690,430$ 8,027,488$ 8,790,648$ 8,788,038$ 9,004,393$ 9,395,573$ <br />CHARGES FOR SERVICES