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<br />. <br /> <br />. <br /> <br />. <br /> <br />Minutes of the Arden Hills Council Worksession, 9-18-89 <br />Page 4 <br /> <br />BUDGET (Cont'd) Council further agreed to continue to apply SAC (Sewer) <br />Availability Charge) funds to service the Water Utility <br />Debt for the Water Tower in 1990 and directed the Clerk Administrator to <br />determine if TIF funds can be utilized to service the Round Lake Sewer <br />Interceptor Debt. Motion carried unanimously. (5-0) <br /> <br />Mahowald moved, seconded by Growe, that Council create a <br />new revenue line in the amount of $10,000.00 from anticipated funds received as a <br />refund from the 1988 LJVFD budgeted funds and expend that amount as follows: <br /> <br />1. Computerization of City Maps <br />2. Retain Temporary Records Intern <br />3. Purchase Fax Machine <br />4. Design City Logo <br /> <br />$ 3,000.00 <br />5,000.00 <br />1,000.00 <br />1,000.00 <br /> <br />Motion carried. (Mahowald, Growe, Malone and Sather voting in favor; Hansen <br />opposed) (4-1) <br /> <br />Clerk Administrator Berger stated he would include the budget revisions in the <br />final document as outlined by Council. <br /> <br />ADJOURN <br /> <br />Growe moved, seconded by Mahowald, that the meeting be <br />adjourned at 9:00 p.m. Motion carried unanimously. (5-0) <br /> <br />GarY&~er~ <br /> <br />Clerk Administrator <br /> <br />4u~ <br /> <br /> <br />Thomas R. Sather <br />Mayor <br />