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2025 05-20 CC Packet
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2025 05-20 CC Packet
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CITY COUNCIL PACKETS
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2016 JPA with <br />Prior Amendments <br />INITIAL DRAFT <br />4-14-25 <br /> <br /> 17 <br />Formatted: Font: 11 pt <br />Formatted: Font: 11 pt <br />(e) SSU Charge Certification. The Board shall act by November 1st each year to certify <br />the SSU charges to the County Auditor for collection on the upcoming year’s property <br />taxes. <br /> <br />(f) Final Budget Approval. The Board shall act to approve the final budget for the <br />upcoming year before December 31st each year. <br /> <br />6.2 Funding. The annual operating budget may beis funded by one or more of the following: <br /> <br />(a) The primary source of funding for the annual budget is the SSU charges imposed on <br />properties within the watershed each year pursuant to the special legislation. <br /> <br />(b) VLAWMO may also receive grants to help fund specific capital improvements. <br /> <br />(a) IfAn authorized special tax levy authorized by the State of Minnesota for an amount <br />approved by the Members; <br /> <br />(b) VLAWMO operates Storm Water Utility authorized by the State of Minnesota and <br />approved by the Members; <br /> <br />(c) Annual payment from each governmental unit party to this agreement and other entities <br />based on an annual assessment as determined in Subdivision 2 in this Section; and <br /> <br />(d) Service fees, grants, interest or other funding sources as available. <br /> <br />Each Member shall pay its annual assessment in the following manner: <br /> <br />1) The entire amount shall be due by January 31st of the year due; or <br /> <br />2) One-half (1/2) of each Members entire amount shall be due by January 31 of the year due <br />and the second one-half (1/2) of the entire amount shall be due by August 31 of the year <br />due. <br /> <br />Failure to pay the required amounts by the due dates will cause a one percent (1%) per month <br />service fee to be added to the unpaid amount due. <br /> <br />Subdivision 2. Budget Meeting and Approval. The proposed annual Operating and Capital <br />Improvement budget for the next calendar year shall be prepared by September 1 each calendar <br />year. <br /> <br />Subdivision 3. Annual Assessment for Services. <br /> <br />(c) The annual contribution of each Member or other entity the funds collected from the <br />SSU charges and grants are not sufficient to fully fund an approved budget, the Board <br />Formatted: List Paragraph, Indent: Left: 0.06", Hanging: <br />0.31", Outline numbered + Level: 2 + Numbering Style: 1, 2, <br />3, … + Start at: 1 + Alignment: Left + Aligned at: 0.25" + <br />Indent at: 0.5" <br />Formatted: Font: Bold <br />Formatted: List Paragraph, Indent: Left: 0.38", Hanging: <br />0.31", Numbered + Level: 1 + Numbering Style: a, b, c, … + <br />Start at: 1 + Alignment: Left + Aligned at: 0.13" + Tab <br />after: 0.38" + Indent at: 0.38", Tab stops: 0.75", List tab + <br /> 1.06", Left + 1.13", List tab + Not at 0.38" <br />Formatted: Bullets and Numbering <br />Formatted: List Paragraph, Indent: Left: 0"
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