HomeMy WebLinkAbout5B - Treasurer's Report
S-13
4646 Dakota Street S.E.
Prior Lake, MN 55372-1714
TO: Mayor and City Council
FROM: Jerilyn Erickson, Finance Director
DATE: March 5, 2009
RE: March 1,2009, City of Prior Lake Treasurer's Report
2/1/09 3/1/09
FUNDS BALANCE RECEIPTS DISBURSEMENTS BALANCE
General 4,777,486.59 1,601,914.28 1,843,591.65 4,535,809.22
Sewer & Water 6,628,751.55 577,342.62 343,577.48 6,862,516.69
Storm Water 489,825.07 72,614.64 17,286.17 545,153.54
Transit Services 1,487,578.93 50,923.24 57,723.62 1,480,778.55
Cable Franchise Fund 29,247.16 29,247.16
Capital Park 95,576.27 751.30 96,327.57
Severance Compo 301,247.43 2,368.02 303,615.45
ED Fed Loan Fund 98,940.04 777.74 99,717.78
ED MN Loan Fund 76,832.09 603.95 77,436.04
Downtown Red Fund 35,999.31 282.98 36,282.29
DAG Special Rev. Fund 771,250.78 11,172.00 760,078.78
Tax Increment Fund 111,532.28 876.72 0.00 112,409.00
TIF #1-3 (lake front plaza) 59,716.04 469.41 0.00 60,185.45
TIF #3-1 (creekside) 28,361.85 222.94 0.00 28,584.79
TIF #4-1 (on-site) 1,870.95 14.71 0.00 1,885.66
TIF #6-1 (shep path) 12,240.33 96.22 0.00 12,336.55
Equipment Fund 1,548,420.03 21,030.88 76,129.25 1,493,321.66
Building Fund 312,137.01 2,453.62 0.00 314,590.63
Construction Fund 775,302.86 6,086.70 983.00 780,406.56
Trunk Reserve 997,296.70 10,863.04 0.00 1,008,159.74
Street Oversize 447,304.28 3,516.13 0.00 450,820.41
Water Storage 454,887.16 4,494.47 139,553.29 319,828.34
Debt Service 1,900,665.34 15,935.32 0.00 1,916,600.66
Agency Fund 163,500.00 3,000.00 3,000.00 163,500.00
Totals 21,605,970.05 2,376,638.93 2,493,016.46 21,489,592.52
INVESTMENT POOL... $21,592,153.09
Investment Ratio... 100.48%
www.cityofpriorlake.com
09-02 treasure.xls Phone 952.447.9800 / Fax 952.447.4245 1136 AM 03/05/2009
FUNDS
EDA Special Revenue
4646 Dakota Street S.E.
Prior Lake, MN 55372-1714
TO: Mayor and City Council
FROM: Jerilyn Erickson, Finance Director
DATE: March 5, 2009
RE: March 1,2009, City of Prior Lake EDA Treasurer's Report
2/1/09
BALANCE
RECEIPTS DISBURSEMENTS
97,143.37
16.39 18.00
Totals
97,143.37
16.39 18.00
GRAND TOTAL $97,141.76
FUND DESCRIPTION: These funds are separate and segregated from
all City established funds for the purpose of
accounting only. They are reserved and expended
at the direction of the Prior Lake Economic
Development Authority for specific economic
development activity as allowed by MN Statute.
09-02 treasure.xls
www.cityofpriorlake.com
Phone 952.447.9800 / Fax 952.447.4245
513
3/1/09
BALANCE
97,141.76
97,141.76
11 :36 AM 03/05/2009
4646 Dakota Street S.E.
Prior Lake, MN 55372-1714
TREASURER'S REPORT FUND DESCRIPTIONS
General Fund - The General Fund represents the necessary resources to support general
operating budget expenditures of the City. The year-end fund balance represents dollars that
have accumulated over a period of time as a result of cumulative budgetary revenue
surpluses and expenditure under runs. The City Council has designated a portion of this
amount, equal to a minimum of 30% of the current operating budget, for working capital to
finance city operations.
Sewer & Water Fund - The Sewer and Water Fund accounts for the collection of sewer and
water billing utility revenue. This enklpl~se fund balance is allocated for the operational
costs of the Water/Sewer departments and normally reserved for large capital municipal
system expenses.
Water Oualitv Fund - The Storm Water Fund is an enterprise account funded by the $7.25
storm water charge on the water bills and is dedicated to finance water quality
improvements including departmental administration, storm water maintenance operations
and improvement projects such as water quality ponds.
Transit Fund - The Transit Fund is an enklpl~se account funded predominantly (90%) by
state aid that is derived from the vehicle excise tax paid thru annual license tab renewals on
vehicles and is dedicated to pay for community transit services such as the downtown
commuter service, van pool and dial-a-ride services.
Cable Franchise Fund - This fund was created to act as a clearing house for funds that were
received from the cable franchise company as specified by ordinance which are then paid to
ISD #719 as payment support for 50% of the public access coordinator position and for
cable studio equipment replacement.
Caoital Park Fund - Capital Park funds are dedicated funds generated by the cash park
dedication fees paid at time of development contract execution as a result of new
development. Funds are collected for the purpose of developing the City's neighborhood
park and trail system. These dollars are programmed throughout the course of the city's
capital improvement plan.
Severance Comoensation Fund - This fund was established to partially fund the City's
compensated absence liability which is associated with the accrued vacation and sick leave
for employees upon employment termination. The State Auditor's Office has recommended
that local governments set aside a certain percentage on the basis of foreseeable turnover.
ED Fed/MN Loan Funds - These funds were created to account for the proceeds of
economic development grants received either from the federal government or the State of
Minnesota to provide seed money for a revolving loan account. The purpose is to provide
economic incentive for new business expansion within the community.
Downtown Redevelooment Fund - This fund was created to provide development assistance
in the context of building facade improvements for downtown businesses in an effort to
revitalize and renew the general appearance of the downtown business district.
www.cityofpriorlake.com
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DAG Soecial Revenue Fund - The DAG Fund is a special revenue fund to' accaunt far
praject engineering and inspection fees that are collected as a result of a developer's
agreement contract. The fees are paid to the City by the developer when the contract is
executed at the time of final plat approval. These revenues are used to pay for legal
expenses and inspection services on developer installed utilities including sewer, water and
street installation for newly approved subdivisions within the City of Prior Lake.
Water Revenue Bond Fund - PW Bld~ - This fund is a debt service fund to pay the bonds that
were issued to construct the public works maintenance building. The capital facility
(CFAC) charge of $10.00 that is generated on the bi-monthly water and sewer bill provides
the funding for the bond payments which occur semi-annually in June and December of
each year. Upon demand the funds are transferred from the Sewer and Water Fund.
Water Revenue Bond Fund - WT Plant - This fund is a debt service fund to pay the bonds
that were issued to canstruct the water treatment plant. Revenue fram the water and sewer
bills provides the funding far the bond payments which occur semi-annually in June and
December of each year. Upon demand the funds are transferred from the Sewer and Water
Fund.
Tax Increment Funds - The Tax Increment Fund represents an accumulatian af funds such
as band proceeds and project administration fees charged to campanies requesting praject
write-down in the form of tax increment financing for new and/ar redevelapment. The TIF
district property taxes are then depasited in a number of tax increment funds established to'
track their respective revenue.
Revolvinll Eauioment Fund - A regular replacement schedule for equipment needs af the
City in excess of $5,000 has been adapted. Periodic fund transfers are appropriated to
provide supplemental revenue to finance the acquisition and purchase of new and
replacement vehicles and equipment. The long term effect of contributing occasional fund
contributions is to mitigate property tax increases and eliminate debt financing.
Buildinll Fund - The funds within the Building Fund are reserved for future building needs.
A high priority has been established by the Council to build a new city hall, police and
community facility. Also a space needs analysis has identified that the city will require
another satellite fire station to serve the northwest section of the city that will experience
the greatest growth.
Construction Fund - Construction Fund dollars represent unexpended bond proceeds that
are reserved to pay for improvement projects that have been approved by the City Council
on an annual basis. For the most part, these moneys are necessary to complete outstanding
construction contracts and related engineering and prafessional services.
Street Oversize Fund - The Collector Street Fund consists of dedicated revenue generated
by fees associated with new development and new construction building permits for the
purpose of funding pedestrian related improvements i.e., bikeways, sidewalks, trail systems
plus right of way acquisition alang callectar streets and accasional collectar street links.
H :lspreadsheetslGeneral Ledgerl Treasurer .doc
Trunk Reserve Fund - The Trunk Reserve Fund consists of dedicated revenue generated
from utility connection permits and acreage fees assessed at time of sewer and water
installation for the purpose of recovering trunk over sizing costs and central municipal
system improvements i.e., wells lift stations, force mains, etc. These dollars are
programmed throughout the course of the city's capital improvement plan.
Water Storal!e Fund - The Water Storage Fund accounts for the water tower fee that is
charged and collected on building permits. This fund balance is 100% reserved for the
construction of elevated and ground water storage facilities.
Debt Service Fund - The Debt Service Fund represents prepayments of special assessments,
property tax collections and special levies needed to amortize the outstanding bonded
indebtedness of the City. This fund balance is 100% reserved for the payment of bond
principal and interest.
Al!encv Fund - The Agency Fund accounts for the $1,500 residential building permit
deposit that is refunded to the building contractor upon final inspection. This provides the
City the required financial assurance that the property site will be adequately cleaned up
and debris free before an occupancy permit is granted.
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