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GENERAL FUND BALANCE <br />•:• 2009 Year End Fund Balance $1,525,435 <br />❖ {Provides Cash Flow for 20101: <br />•3 Revenues Come in Twice per Year (July - <br />December) <br />Maintain Adequate Funds On Hand to Meet <br />Expenses <br />•;• Policy is 300/o - 35% of Next Years Budget. <br />Do Not Maintain Fund Balance for Police Contracts <br />❖Enterprise that is self -supportive.,. <br />•:+ 2010 - Anticipated Year End Fund Balance will sh <br />an increase - (Currently being Audited). <br />:+ Final Presentation will be made by the Auditors at the <br />June 14t1 or June 28th Council Meeting. <br />©EBT SERVICE <br />•:• Road, Sidewalk & Street Lighting Improvements: <br />•:• Silver Lane (Silver Lake Road to 16th Ave SW) <br />•.• Mill & Overlay for Old Highway #8. <br />•:• Joint Project (St. Anthony, New Brighton & Roseville). <br />•:• City Issued 2010A Road Imp Bond = $1,375,000 <br />