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<br /> , DRAFT <br /> ARDEN HILLS TRUTH-IN-TAXATION - DECEMBER 7,1998 5 <br /> . <br /> e schedule and one of the funding sources for this project was the Cable TV Fund. It was assumed <br /> that the construction activities that occur in 1999 will not utilize these funds, however, they will <br /> be utilized in the year 2000. <br /> The EDA Fund has on-going commitments in completing the West Round Lake Road/Highway <br /> 96 intersection in TIF District #2. Because the work was not completed in 1998 there remains <br /> approximately $1,2 million dollars of bond proceed expenditures, <br /> With regard to the Debt Service Funds, the Advance Refunding Bonds are funding <br /> approximately one-half of the $2 million dollars for the Capital Service Fund's Municipal Land <br /> and Buildings Fund #408, With the bonds issued in 1998, the City was now incurring debt <br /> service costs. There will be no principal payment for a couple of years until TIF revenues begin. <br /> The City is capitalizing interest until the cash flow was available to start paying back the <br /> principal. <br /> Another large expenditure was in the Permanent Improvement Revolving Fund. This Fund acts <br /> as the funding source for the City's Pavement Management Program. The reconstruction of <br /> West Round Lake Road was a significant project with a cost of approximately $1.5 Million <br /> dollars. The PIR Fund would be involved in financing this project and will received some funds <br /> back in the future from special assessments. <br /> e Overall, the City's proposed expenditures for 1999 total $11,758,402 which was down <br /> $2,748,965 from 1998. <br /> Slide #14, Glossary of Terms, defines some of the terms used during property tax discussions, <br /> PUBUC COMMENTS <br /> Mayor Probst invited those present to come forward and address the Council on any questions or <br /> concems they may have regarding the 1999 proposed budget. <br /> Mr. Craig Wilson, 1677 County Road F West, requested explanation of the Protective Inspection <br /> Department expenditures. Mr. Post explained the Protective Inspection Department conducts <br /> building, heating, and plumbing inspections in addition to Code enforcement activities. <br /> Mr, Tom Mulcahy, 3530 Siems Court, requested explanation of the Park Fund expenditures <br /> shown on Slide #13. Mr, Post referred Mr. Mulcahy to the Special Revenue category Park Fund <br /> #227 on Slide #12 and explained the projects include the Country Road F trail linkage, the Arden <br /> Manor hard court improvements, the paving of Cummings Park hockey rink, and the Hazelnut <br /> Park shelter building which total $197,450. <br /> Mr. Mulcahy indicated he was requesting information on the total of $207,617 as shown on Slide <br /> . #13. He asked if these funds were out of the General Fund. Mr, Post stated the Park capital <br /> expenditures are entirely from the Park Fund. Mr. Mulcahy asked if the Park Funds are made up <br /> of savings through out the years. Mr. Post stated this was correct, in addition to developer park <br /> dedication fees and investment interest earnings. <br />