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Draft Draft Draft <br /> I <br /> • City Counci12010-11-10 7:15 p.m. <br /> Minutes of Work Session <br /> Present were Mayor Capra, Council members Linda Broussard-Vickers, Ben <br /> Fehrenbacher, Jeff Paar and D Love. Also present were Finance Director, Mike <br /> Jeziorski; City Attorney Kurt Glaser and Engineer Mark Statz. <br /> Finance Director, Mike Jeziorski provided a report on the 2010 Budget, indicating an <br /> expected use of fund balance of about $130,000. This is due to, advance purchase of the <br /> new skid loader that was programmed for 2011, reduced permit revenue and the staff <br /> costs that would have been allocated to the trail project which was delayed to next year. <br /> Council reviewed the draft budget for 2011. Based upon the adjustments and changes, <br /> Mike reports an expected balanced budget, rather than the previously anticipated use of <br /> fund balance. After discussion, consensus was that the budget should remain as proposed <br /> with the 1.7% increase in the city levy. <br /> As part of the Budget review, Council discussed utility rates. Mike Jeziorski reported on <br /> the financial status of the three enterprise funds. Staff recommends no change in water <br /> rates, but suggests an increase in the Sewer Fund and the Stormwater Fund. Consensus <br /> was that the sewer rate should be increased $3.00 per quarter and that Stormwater rates <br /> should increase $2.00 per quarter. The commercial/industrial rate would increase <br /> • proportionately. Council asked for a report of the total revenue this would generate as <br /> well as a report of the impact this would have on commercial/industrial users. Staff will <br /> send this out next week. <br /> Council discussed capital equipment replacements that were built into the budget. One <br /> option that was discussed for the Massey Ferguson tractor was to continue to use it until <br /> it fails, with the understanding that it would not be repaired but replaced at that time. <br /> Staff was asked to find out how long it would take to find a replacement and what the <br /> likely cost would be. <br /> Council discussed the request of Richard Carlson to modify the assessment payrnent <br /> schedule for his lots in Hunters Crossing 2 and the impact this would have on the budget. <br /> The proposed change would delay principal payrnents for two years, allowing interest <br /> only for 2011 and 2012. Since the improvements bonds have been paid off, this revenue <br /> would flow to the General Fund. Finance Director Jeziorski reported that the proposed <br /> budget ta.kes the delay of revenue into account. It was noted that the assessments bear <br /> interest at 6% while any money paid would likely be invested at 1.5-2.0%. Consensus <br /> was that the adjustment should be granted, since it would not set a precedent, as other <br /> assessments are attached to outstanding bond issues. This will be placed on the agenda <br /> for the next meeting. <br /> The council discussed the sidewalk plowing question. Consensus was that the City policy <br /> should not change, but that Public Works staff would be authorized to plow boulevard <br /> • sidewalks when other work is done provided no overtime is authorized, but that the cost <br /> 7 <br />