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Last modified
10/3/2014 9:20:57 AM
Creation date
10/3/2014 9:20:16 AM
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Roseville City Council
Document Type
Council Resolutions
Meeting Date
9/22/2014
Resolution #
11178
Resolution Title
RESOLUTION AMENDING THE OPERATING FUND CASH RESERVE POLICY FOR THE CITY OF ROSEVILLE
Resolution Date Passed
9/22/2014
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EXTRACT OF MINUTES OF MEETING OF THE <br /> CITY COUNCIL OF THE CITY OF ROSEVILLE <br /> * * * * * * * * * * * <br /> Pursuant to due call and notice thereof, a regular meeting of the City Council of the City of Roseville, <br /> County of Ramsey, Minnesota was duly held on the 22nd day of September 2014 at 6:00 p.m. <br /> The following members were present: Willmus, Laliberte, Roe <br /> and the following were absent: Etten, McGehee <br /> Member Roe introduced the following resolution and moved its adoption: <br /> RESOLUTION NO. 11178 <br /> RESOLUTION AMENDING THE OPERATING FUND CASH RESERVE POLICY <br /> FOR THE CITY OF ROSEVILLE <br /> WHEREAS, the City Council of the City of Roseville, Minnesota desires to establish budget and <br /> financial policies that provide for the sustainability of City programs, services and infrastructure; and <br /> WHEREAS, the City Council of the City of Roseville, Minnesota desires to maintain the City's strong <br /> financial condition; and <br /> WHEREAS, the City Council of the City of Roseville, Minnesota desires to provide appropriate fiscal <br /> and budgeting controls. <br /> NOW, THEREFORE, BE IT RESOLVED, by the City Council of the City of Roseville, Minnesota, <br /> that the following Operating Fund Reserve Policy be adopted and remain in effect until such time that a <br /> subsequent policy action is taken. <br /> Operating Fund Reserve Policy <br /> Purpose <br /> ❑ To provide a cushion against unexpected revenue and income interruptions <br /> ❑ To provide working capital by ensuring sufficient cash flow to meet the City's needs <br /> throughout the year <br /> Policy <br /> ❑ The City will maintain a general fund reserve of 35-45% of the general fund's total annual <br /> operating budget. This ensures that the City has adequate funds on hand to provide for <br /> operations between bi-annual property tax collection periods. Any surplus beyond the required <br /> general fund reserve may be transferred to another reserve fund with a funding shortfall <br />
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