HomeMy WebLinkAbout[04c] Treasurer's ReportCITY OF S7: JoSEPH
MEETING DATE: August 18, 2011
Council Agenda Item 4(c)
AGENDA ITEM: Treasurer's Report — Requested Action: Accept the July 2011
Treasurer's Report
SUBMITTED BY: Finance
BOARD /COMMISSION /COMMITTEE RECOMMENDATION: N/A
PREVIOUS COUNCIL ACTION: None
BACKGROUND INFORMATION:
July 2011 reconciled cash/investment and budget to actual position for Council review.
The cash and investment balance increased $613,924 since the beginning of the year. The first half
bonded debt interest payments were paid along with 7 months of expenditures. The City received their
first half tax settlement and first half LGA (less 2011 cuts approved by the State) in June and July. The
second half payments are due in December.
The General fund spent 50% of the expenditure budget and received 47% of the revenue budget at the end
of July. Expenses include regular operating expenses, membership dues, cable upgrade down payment
and general liability insurance. Capital expenses include the city hall sidewalk repair, Millstream pond
dredging, squad digital video system, police state computer, Centennial basketball poles, Millstream
pavement repairs, and the Park Terrace feasibility study and appraisal.
The Enterprise funds spent 22% (without depreciation) and received 21 % of the budget. The revenue
includes utility billing receipts from January- June usage. Expenses are regular monthly operating
expenses and the first half bond interest payments. St. Cloud debt payments for conveyance and
treatment plant upgrades are due monthly with the sewer rental invoices.
BUDGET/FISCAL IMPACT: None — Information Only
ATTACHMENTS:
Request for Council Action — Treasurer's Report .................
4(c):1 -2
Cash Balances ........................... ...............................
4(c):3
Month End Revenue Summary ....... ...............................
4(c):4
Month End Revenue Summary — General Fund ..................
4(c):5 -6
Month End Revenue Summary — Enterprise Funds ...............
4(c):7 -8
Month End Expenditure summary ... ...............................
4(c):9
Month End Expenditure Summary — General Fund ..............
4(c):10 -11
Month End Expense Summary — Enterprise Funds ...............
4(c):12
REQUESTED COUNCIL ACTION: Accept the Treasurer's Report as presented.
4(c):1
THIS PAGE INTENTIONALLY LEFT BLANK
4(c):2
,rnrl/
CITY OF ST JOSEPH
Cash Balances Only
Current Period: July 2011
4(c):3
MTD
MTD
Current
FUND Descr
Account
Begin Yr
Debit
Credit
Balance
Last Dim 10100
General
G 101 -10100
$1,018,014.65
$560,039.06
$204,949.72
$910,081.16
Fire Fund
G 10510100
$596,051.29
$50,675.32
$3,507.48
$661,888.75
Cable Access Fee
G 108- 10100
$36,470.32
$0.00
$465.00
$28,292.55
Economic Development
G 150 - 10100
$8,841.22
$2,810.23
$5,865.66
$29,309.00
TIF 1 -4 St. Joe Development
G 156 - 10100
$41,593.09
$10,035.03
$57,520.98
$17,698.01
TIF 2 -1 Millstream
G 157 -10100
$4,020.96
$7,089.13
$21,519.53
$6,097.33
TIF 2 -2 Meat Market
G 158 - 10100
$0.00
$0.00
$3,842.98
- $4,007.98
State Collected Sales Tax
G 200 -10100
$1,073,053.91
$0.00
$0.00
$1,192,494.36
Park Dedication
G 20510100
$34,860.89
$54.08
$348.81
$34,461.94
Recreation Center
G 210 - 10100
$51,260.56
$80.57
$0.00
$51,974.26
Charitable Gambling
G 21510100
$4,988.96
$7.84
$0.00
$5,058.41
City Beautification - College Av
G 232 -10100
$559.11
$0.00
$0.00
$559.11
Revolving Loan Fund
G 250 -10100
$34,565.78
$360.69
$0.00
$12,081.10
2009A CrossoverRefunding Bo
G 318 -10100
$535,730.38
$39,366.60
$0.00
$645,404.43
2007 Refunding (98/99 St Bond
G 320 -10100
$339,417.50
$11,037.74
$0.00
$368,198.08
City Hall Refunded, 2005
G 322 -10100
$8,360.93
$14,051.16
$0.00
$46,987.80
2011A Refunding Fire Hall
G 331 -10100
$131,781.20
$14,230.47
$0.00
$167,810.07
2003 Cross Over (93 Streets)
G 332 -10100
$67,858.27
$2,21727
$0.00
$74,733.21
2005 Improve (Hill /Clover)
G 333 -10100
$522,709.27
$9,663.70
$0.00
$539,567.71
2006 Interior St Improvements
G 338 -10100
$752,266.94
$10,548.81
$0.00
$766,007.70
2007 St Imprv-E Side /Jade /8 A
G 341 -10100
$ 380, 513.72
$61,774.67
$0.00
$568,436.98
2008 Equipment Certificates
G 342 -10100
$8,781.71
$9,897.75
$0.00
$38,851.49
20096 GO CIP Bonds
G 343 -10100
$13.36
$9,862.20
$0.00
$26,692.00
2010 Equipment Certificates
G 34410100
$3,037.66
$4,834.05
$0.00
$16,982.43
2010B Street Impr (16th Ave)
G 345 -10100
$97,327.14
$7,165.18
$0.00
$117,952.18
Debt Service Relief
G 390 -10100
$288,058.62
$1,390.74
$1.12
$297,789.65
Northland Heights/Trans Corrid
G 43510100
$287,130.35
$0.00
$1,307.53
$274,906.24
2007 Street Impr (Jade Rd /E
G 441 -10100
$ 411,831.23
$0.00
$0.00
$411,831.23
16th Ave Improvements
G 44510100
$225,165.96
$1.69
$70,757.24
$137,198.07
Capital Outlay
G 490 -10100
$264,610.71
$0.00
$4,214.73
$214,853.22
Water Extension
G 501 -10100
$714.23
$4,339.05
$0.00
$56,252.11
Sewer Extension
G 502 -10100
$642,716.30
$3,332.44
$0.00
$686,040.38
Water Fund
G 601 -10100
$492,964.93
$42,267.18
$27,202.91
$421,595.61
Sewer Fund
G 602 -10100
$405,237.23
$42,103.65
$55,769.37
$549,939.28
Refuse Collection
G 603 -10100
$259,158.32
$19,763.14
$27,750.54
$260,822.64
Storm Water Utility
G 651 -10100
$274,392.68
$6,523.98
$4,839.86.
$296,257.97
Last Dim 10100
$9, 304, 059.38
$ 945,523.42
$4489,863.46
$9,931,098.48
Last Dim 10200
General
G 101 -10200
$275.00
$0.00
$0.00
$275.00
Last Dim 10300
2009A CrossoverRefunding Bo
G 318 -10300
$0.00
$0.00
$0.00
$0.00
2005 Improve (Hill /Clover)
G 333 -10300
$1,023,691.96
$0.00
$0.00
$1,010,576.92
Sewer Fund
G 602- 10300
$0.00
$0.00
$0.00
$0.00
Last Dim 10300
$1,023,691.96
$0.00
$0.00
$1,010,576.92
$10,328,026.34
$945,523.42
$489,863.46
$10,941,950.40
4(c):3
FUND FUND Descr
CITY OF ST JOSEPH
Council Month End Revenue Summary
101
General
105
Fire Fund
108
Cable Access Fee
150
Economic Development
156
TIF 14 St. Joe Development
157
TIF 2 -1 Millstream
158
TIF 2 -2 Meat Market
200
State Collected Sales Tax
205
Park Dedication
210
Recreation Center
215
Charitable Gambling
232
City Beautification - College Av
250
Revolving Loan Fund
318
2009A CrossoverRefunding Bonds
320
2007 Refunding (98/99 St Bond)
322
City Hall Refunded, 2005
331
2011A Refunding Fire Hall
332
2003 Cross Over (93 Streets)
333
2005 Improve (Hill /Clover)
338
2006 Interior St Improvements
341
2007 St Impry -E Side /Jade /8 Av
342
2008 Equipment Certificates
343
2009B GO CIP Bonds
344
2010 Equipment Certificates
345
2010B Street Impr (16th Ave)
346
2011 B Pumper Truck Certificate
347
2011 D Professional Plat bonds
348
2011 E Park Terrace Bonds
390
Debt Service Relief
445
16th Ave Improvements
490
Capital Outlay
501
Water Extension
502
Sewer Extension
601
Water Fund
602
Sewer Fund
603
Refuse Collection
651
Storm Water Utility
Current Period: July 2011
2011
July
2011
YTD Budget
2011 Amt
YTD Amt
$2,524,385.00
$554,982.01
$1,185,109.66
$262,195.00
$50,657.02
$162,778.18
$0.00
$0.00
$3,331.80
$83,990.00
$38.01
$44,473.68
$0.00
$10,035.03
$33,676.60
$0.00
$7,089.13
$23,636.27
$0.00
$0.00
$0.00
$0.00
$0.00
$59,175.46
$0.00
$54.08
$375.43
$0.00
$80.57
$573.09
$0.00
$7.84
$55.29
$0.00
$0.00
$0.00
$0.00
$360.69
$2,694.81
$71,000.00
$39,366.60
$132,379.22
$8,500.00
$11,037.74
$38,617.62
$95,000.00
$14,051.16
$46,844.51
$71,080.00
$14,230.47
$45,126.02
$0.00
$2,217.27
$7,686.09
$17,000.00
$9,663.70
$38,514.34
$61,000.00
$10,548.81
$39,569.96
$20,000.00
$61,774.67
$210,117.08
$67,000.00
$9,897.75
$33,002.25
$66,800.00
$9,862.20
$32,829.91
$33,000.00
$4,834.05
$16,076.19
$12,000.00
$7,165.18
$34,808.07
$0.00
$0.00
$0.00
$0.00
$0.00
$0.00
$0.00
$0.00
$0.00
$0.00
$1,389.62
$6,245.88
$0.00
$0.00
$0.00
$0.00
$0.00
$0.00
$372,500.00
$4,339.05
$54,483.49
$192,750.00
$3,332.44
$41,410.47
$1,125,350.00
$39,721.94
$188,361.65
$714,820.00
$25,542.71
$145,361.39
$303,150.00
$17,268.12
$118,381.05
$168,605.00
$6,523.36
$40,153.61
$6,270,125.00 $916,071.22 $2,785,849.09
4(c):4
�i CITY OF ST JOSEPH
Council Month End Revenue - General Fund
Current Period: July 2011
2011
July
2011
FUND
FUND Descr
SOURCE Descr
YTD Budget
2011 Amt
YTD Amt
FUND 101 General
101
General
Current Ad Valorem Taxes
$1,262,695.00
$195,526.73
$651,209.21
101
General
Special Levy- City St. Joe
$38,835.00
$5,733.79
$19,112.66
101
General
State Sales Tax
$0.00
$5.54
- $161.19
101
General
Gas Franchise
$32,000.00
$0.00
$8,205.64
101
General
Electric Franchise
$49,000.00
$1,663.47
$17,403.49
101
General
Beer
$600.00
$0.00
$0.00
101
General
Liquor
$16,520.00
$0.00
$13,150.00
101
General
Outdoor Liquor Permit
$2,500.00
- $1,000.00
$1,250.00
101
General
Gambling Permits
$150.00
$0.00
$25.00
101
General
Amusement/Hunting Permit
$1,200.00
$0.00
$0.00
101
General
Excavation Permit
$200.00
$50.00
$100.00
101
General
Cigarette License
$500.00
$0.00
$0.00
101
General
Cable Franchise Fee
$25,000:00
$4,642.95
$11,475.30
101
General
Building Permits
$50,000.00
$6,062.26
$27,325.89
101
General
Animal License
$3,000.00
$85.00
$2,995.00
101
General
Rental Housing Registration
$19,000.00
$5,388.25
$12,586.00
101
General
Federal Grants - Other
$3,000.00
$0.00
$4,803.05.
101
General
State Grants and Aids
$0.00
$0.00
$0.00
101
General
Local Government Aid
$807,470.00
$322,575.50
$322,575.50
101
General
Market Value Credit
$0.00
$0.00
$0.00
101
General
PERA Rate Increase Aid
$1,540.00
$770.50
$770.50
101
General
Police Training Reim
$3,500.00
$0.00
$0.00
101
General
State Municipal Funds Aid
$6,200.00
$0.00
$6,180.00
101
General
State Police Aid
$45,000.00
$0.00
$0.00
101
General
Other Grants/Aids
$0.00
$0.00
$0.00
101
General
Other Governmental Unit
$10,000.00
$5,000.00
$10,280.00
101
General
County Grants - Road Maint.
$7,750.00
$0.00
$0.00
101
General
Zoning and Subdivision Fee
$1,250.00
$400.00
$400.00
101
General
Land Use Deposit Fee
$4,000.00
$0.00
$0.00
101
General
Sale of Maps and Publications
$75.00
$3.75
$54.00
101
General
Assessments Search
$2,500.00
$90.00
$1,285.00
101
General
Special Hearing
$4,500.00
$0.00
$1,800.00
101
General
Administration Reimb
$11,600.00
$0.00
$0.00
101
General
Weed Cutting
$1,000.00
$200.00
$400.00
101
General
Park Fees
$4,500.00
$400.00
$4,635.00
101
General
Winter Recreation Donation
$0.00
$0.00
$0.00
101
General
Kennel Fees
$500.00
$164.00
$408.00
101
General
County Fines
$30,000.00
$1,754.86
$15,463.13
101
General
Policy Fines
$35,000.00
$565.00
$21,120.01
101
General
Accident Report Fee
$1,000.00
$45.75
$603.50
101
General
Seized Property
$500.00
$0.00
$8,205.00
101
General
Special Assessments
$2,000.00
$158.76
$529.24
101
General
Interest Earnings
$7,500.00
$1,017.69
$10,240.43
101
General
Interest Charges
$150.00
$0.00
$365.72
101
General
Co-op Dividend - LMCIT
$8,000.00
$0.00
$0.00
101
General
Water Tower Antenna Lease
$3,500.00
$422.86
$1,939.35
101
General
Land Rental
$2,400.00
$0.00
$0.00
101
General
Advertising
$0.00
$0.00
$0.00
101
General
Contributions - General
$0.00
$0.00
$1,600.00
101
General
Contribution - Health Ins Div
$0.00
$0.00
$0.00
101
General
Contributions - Holiday Lights
$0.00
$0.00
$1,000.00
101
General
Contributions - Parks
$600.00
$94.78
$861.68
101
General
Surplus Property
$250.00
$0.00
$0.00
101
General
Reimbursement
$3,900.00
$3,160.57
$4,913.55
101
General
Transfers from Other Funds
$14,000.00
$0.00
$0.00
FUND 101 General
$2,524,385.00
$554,982.01
$1,185,109.66
4(c):5
tl CITY OF ST JOSEPH
Council Month End Revenue - General Fund
Current Period: July 2011
4(c):6
2011
July
2011
FUND FUND Descr
SOURCE Descr
YTD Budget
2011 Amt
YTD And
FUND 108 Cable Access Fee
108 Cable Access Fee
Cable Franchise Fee
$0.00
$0.00
$3,331.80
FUND 150 Economic Development
150 Economic Development
Current Ad Valorem Taxes
$0.00
$0.00
$0.00
150 Economic Development
TIF/MIF Deposit
$0.00
$0.00
$0.00
150 Economic Development
DEED Housing Reimbursement
$0.00
$0.00
$18,368.57
150 Economic Development
Interest Earnings
$150.00
$38.01
$105.11
150 Economic Development
Transfers from Other Funds
$83,840.00
$0.00
$28,000.00
FUND 150 Economic Development
$83,990.00
$38.01
$44,473.68
$2,608,375.00
$555,020.02
$1,232,915.14
4(c):6
-'r1rd/ L,�Zk� - -Al�-,
CITY OF ST JOSEPH
Council Month End Revenue - Enterprise Funds
Current Period: July 2011
FUND 603 Refuse Collection
FUND 651 Storm Water Utility
651 Storm Water Transfers from Other Funds
651 Storm Water Special Assessments
651 Storm Water Interest Earnings
$303,150.00 $17,268.12 $118,381.05
$0.00 $0.00 $0.00
$675.00 $20.50 4124.46
$14,205.00 $457.39 $3,105.96
4(c):7
FUND
2011
July
2011
FUND
Descr
SOURCE Descr
YTD Budget
2011 Amt
YTD Amt
FUND 601 Water Fund
601
Water Fund
Water Meter
$4,000.00
$350.00
$3,890.00
601
Water Fund
State Sales Tax
$425.00
$145.94
- $2,454.36
601
Water Fund
Bond Premium Proceeds
$0.00
$0.00
$0.00
601
Water Fund
General Oblig. Bond Proceeds
$0.00
$0.00
$0.00
601
Water Fund
Transfers from Other Funds
$536,300.00
$0.00
$0.00
601
Water Fund
Contributed Revenue
$0.00
$0.00
$0.00
601
Water Fund
MDS Test Fee
$10,975.00
$645.24
$4,024.97
601
Water Fund
Inspection Fees
$0.00
$0.00
$0.00
601
Water Fund
Penalties and Forfeited Disc
$6,670.00
$443.06
$2,955.67
601
Water Fund
Connection /Reconnection fees
$250.00
$0.00
$120.00
601
Water Fund
Water Tower Antenna Lease
$32,000.00
$3,805.71
$17,453.94
601
Water Fund
Special Assessments
$1,550.00
$152.65
- $10,845.15
601
Water Fund
Water Line Charge
$130,835.00
$8,355.17
$50,231.76
601
Water Fund
Amortization of Bond Premium
$0.00
$0.00
$0.00
601
Water Fund
Undesignated Funds
$500.00
- $1,846.51
- $1,053.38
601
Water Fund
Surplus Property
$0.00
$0.00
$0.00
601
Water Fund
Reimbursement
$0.00
$0.00
$0.00
601
Water Fund
Rate Class One
$362,495.00
$25,138.58
$106,826.15
601
Water Fund
Bulk Water
$3,500.00
$100.00
$200.00
601
Water Fund
Interest Earnings
$35,850.00
$2,432.10
$17,012.05
FUND 601 Water Fund
$1,125,350.00
$39,721.94
$188,361.65
FUND 602 Sewer Fund
602
Sewer Fund
Reimbursement
$0.00
$735.00
$797.00
602
Sewer Fund
Contributed Revenue
$0.00
$0.00
$0.00
602
Sewer Fund
Federal Grants - Other
$0.00
$0.00
$0.00
602
Sewer Fund
Special Assessments
$500.00
$42.00
- $291.04
602
Sewer Fund
Interest Earnings
$33,315.00
$916.19
$4,870.09
602
Sewer Fund
Amortization of Bond Premium
$0.00
$0.00
$0.00
602
Sewer Fund
Sanitary Sewer Service
$247,335.00
$27,721.09
$97,833.75
602
Sewer Fund
St. Benedict Sewer Charges
$108,625.00
- $16,534.00
- $16,534.00
602
Sewer Fund
St. Benedict's SCAWAC fees
$80,835.00
$0.00
$0.00
602
Sewer Fund
Penalties and Forfeited Disc
$4,37500
$340.34
$2,326.94
602
Sewer Fund
Sewer Line Charge
$141,035.00
$12,322.09
$56,358.65
602
Sewer Fund
Sewer Inspection Fee
$0.00
$0.00
$0.00
602
Sewer Fund
Sewer Surcharge
$0.00
$0.00
$0.00
602
Sewer Fund
Transfers from Other Funds
$98,800.00
$0.00
$0.00
602
Sewer Fund
General Oblig. Bond Proceeds
$0.00
$0.00
$0.00
602
Sewer Fund
Bond Premium Proceeds
$0.00
$0.00
$0.00
602
Sewer Fund
Surplus Property
$0.00
$0.00
$0.00
FUND 602 Sewer Fund
$714,820.00
$25,542.71
$145,361.39
FUND 603 Refuse Collection
603
Refuse Collect
Licenses & Permits
$17,600.00
$995.00
$14,160.00
603
Refuse Collect
Contributions - General
$250.00
$0.00
$250.00
603
Refuse Collect
Interest Earnings
$3,500.00
$417.08
$2,880.43
603
Refuse Collect
Special Assessments
$500.00
$109.38
-$923.82
603
Refuse Collect
Refuse Collection Charges
$275,800.00
$16,084.30
$101,621.24
603
Refuse Collect
State Sales Tax
$0.00
- $926.68
- $3,291.69
603
Refuse Collect
Penalties and Forfeifted Disc
$5,500.00
$589.04
$3,684.89
FUND 603 Refuse Collection
FUND 651 Storm Water Utility
651 Storm Water Transfers from Other Funds
651 Storm Water Special Assessments
651 Storm Water Interest Earnings
$303,150.00 $17,268.12 $118,381.05
$0.00 $0.00 $0.00
$675.00 $20.50 4124.46
$14,205.00 $457.39 $3,105.96
4(c):7
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CITY OF ST JOSEPH
Council Month End Revenue - Enterprise Funds
Current Period: July 2011
FUND 651 Storm Water Utility $168,605.00
July
FUND
2011 Amt
2011
FUND
Descr
SOURCE Descr
YTD Budget
651
Storm Water
Reimbursement
$0.00
651
Storm Water
Contributed Revenue
$0.00
651
Storm Water
Development Fee
$4,000.00
651
Storm Water
Rate Class One
$148,000.00
651
Storm Water
Penalties and Forfeilted Disc
$1,725.00
FUND 651 Storm Water Utility $168,605.00
July
2011
2011 Amt
YTD Amt
$0.00
$0.00
$0.00
$0.00
$0.00
$0.00
$5,906.40
$36,255.67
$139.07
$916.44
$6,523.36 $40,153.61
...........
$2,311,925.00 $89,056.13 $492,257.70
4(c):8
CITY OF ST JOSEPH
Council Month End Expenditure - Summary
Current Period: July 2011
4(c):9
2011
July
2011
Description
YTD Budget
2011 Amt
YTD And
General
$2,524,385.00
$202,705.67
$1,293,074.13
Fire Fund
$280,965.00
$3,489.18
$93,495.24
Cable Access Fee
$0.00
$465.00
$12,936.35
Economic Development
$83,990.00
$3,093.44
$20,327.25
TIF 1-4 St. Joe Development
$0.00
$57,520.98
$57,677.35
TIF 2 -1 Millstream
$0.00
$21,519.53
$21,564.72
TIF 2 -2 Meat Market
$0.00
$3,842.98
$4,007.98
State Collected Sales Tax
$0.00
$0.00
$0.00
Park Dedication
$10,300.00
$348.81
$802.96
Charitable Gambling
$0.00
$0.00
$0.00
Revolving Loan Fund
$0.00
$0.00
$25,269.00
2009A CrossoverRefunding Bon
$358,440.00
$0.00
$29,218.75
2007 Refunding (98199 St Bond)
$166,780.00
$0.00
$10,891.25
City Hall Refunded, 2005
$104,440.00
$0.00
$8,646.25
2011A Refunding Fire Hall
$79,125.00
$0.00
$9,562.50
2003 Cross Over (93 Streets)
$67,050.00
$0.00
$1,023.75
2005 Improve (Hill/Clover)
$148,795.00
$0.00
$40,783.13
2006 Interior St Improvements
$212,170.00
$0.00
$38,584.38
2007 St Imprv-E Side /Jade/8 Av
$564,470.00
$0.00
$27,234.38
2008 Equipment Certificates
$66,300.00
$0.00
$3,150.00
2009B GO CIP Bonds
$61,860.00
$0.00
$6,355.00
2010 Equipment Certificates
$34,125.00
$0.00
$2,062.50
20106 Street Impr (16th Ave)
$0.00
$0.00
$14,516.25
2011 B Pumper Truck Certificate
$0.00
$0.00
$0.00
2011 D Professional Plat bonds
$0.00
$0.00
$0.00
2011 E Park Terrace Bonds
$0.00
$0.00
$0.00
Debt Service Relief
$0.00
$0.00
$0.00
Northland Heights/Trans Corrid
$0.00
$1,307.53
$9,730.54
2007 Street Impr (Jade Rd /E
$0.00
$0.00
$0.00
2010A Equip Certificates
$0.00
$0.00
$0.00
16th Ave Improvements
$0.00
$70,755.55
$60,086.69
Capital Outlay
$0.00
$4,214.73
$38,266.84
Water Extension
$0.00
$0.00
$0.00
Sewer Extension
$0,00
$0.00
$0.00
Water Fund
$1,502,575.00
$24,657.67
$264,901.53
Sewer Fund
$1,059,565.00
$39,208.43
$255,107.81
Refuse Collection
$317,385.00
$25,255.52
$143,369.34
Storm Water Utility
$273,010.00
$4,839.24
$29,681.26
$7,915,730.00
$463,224.26
$2,522,327.13
4(c):9
1i
CITY OF ST JOSEPH
Council Month End Expenditure - General Fund
Current Period: July 2011
FUND 150 Economic Development
Economic Development
Economic Development Authority
2011
July
2011
Description
DEPART Descr
YTD Budget
2011 Amt
YTD Amt
FUND 101 General
General
Council
$48,750.00
$3,006.76
$18,830.54
General
Legislative Committees
$8,980.00
$210.00
$1,305.21
General
Ordinance & Proceedings
$3,000.00
$66.00
$1,982.90
General
Mayor
$14,110.00
$826.85
$4,736.24
General
Elections
$3,000.00
$0.00
$0.00
General
General Adminstration
$227,230.00
$14,606.80
$120,530.25
General
Finance
$107,060.00
$3,322.07
$57,127.73
General
Audit Service
$25,900.00
$0.00
$25,000.00
General
Assessing
$19,000.00
$0.00
$19,285.00
General
City Attorney
$20,000.00
$3,195.00
$9,665.88
General
Planning and Zoning
$2,450.00
$206.29
$1,554.11
General
General Government
$31,380.00
$1,738.88
$14,330.29
General
City Offices
$26,525.00
$3,138.42
$15,157.11
General
Facilites and Planning
$0.00
$0.00
$0.00
General
Cable Access
$8,355.00
$918.85
$6,561.92
General
Crime Control & Investigation
$819,660.00
$73,201.52
$449,320.89
General
Police Training
$10,000.00
$0.00
$2,587.95
General
Communication Service
$18,700.00
$1,024.01
$6,142.43
General
Automotive Services
$68,675.00
$5,237.30
$31 ,023.35
General
Building Inspec. Admistration
$82,550.00
$16,001.00
$38,743.62
General
Emergency Management
$5,800.00
$3.97
$444.63
General
Signal Lights CSAH 75
$800.00
$154.81
$983.06
General
Animal Control
$1,150.00
$146.04
$736.82
General
Ordinance/Easement Enforcement
$300.00
$0.00
$0.00
General
Street Maintanence
$255,430.00
$25,896.30
$117,600.56
General
Ice & Snow Removal
$76,285.00
$0.00
$56,685.54
General
Engineering Fee
$37,000.00
$3,730.07
$18,129.72
General
Street Lighting
$42,500.00
$3,709.26
$22,800.83
General
Street Cleaning
$26,010.00
$547.15
$7,083.27
General
Skate Park and Ice Rink
$4,280.00
$41.36
$1,829.57
General
Maintenance Shop
$25,200.00
$1,057.38
$13,909.85
General
Park Areas
$208,200.00
$16,850.56
$124,477.80
General
Community Support
$14,220.00
$600.00
$6,700.00
General
Other Financing Uses
$188,965.00
$0.00
$28,000.00
General
Fire Protection
$92,920.00
$23,269.02
$69,807.06
FUND 101 General
$2,524,385.00
$202,705.67
$1,293,074.13
FUND 108 Cable Access Fee
Cable Access Fee
Cable Access
$0.00
$465.00
$12,936.35
FUND 150 Economic Development
Economic Development
Economic Development Authority
$83,990.00
$3,093.44
$20,327.25
FUND 150 Economic Development
$83,990.00
$3,093.44
$20,327.25
FUND 490 Capital Outlay
Capital Outlay
Elections
$0.00
$0.00
$0.00
Capital Outlay
General Adminstration
$0.00
$0.00
$0.00
Capital Outlay
General Government
$0.00
$0.00
$0.00
Capital Outlay
City Offices
$0.00
$0.00
$5,631.00
Capital Outlay
Cable Access
$0.00
$0.00
$0.00
Capital Outlay
Crime Control & Investigation
$0.00
$0.00
$258.97
Capital Outlay
Communication Service
$0.00
$0.00
$0.00
Capital Outlay
Automotive Services
$0.00
$0.00
$6,897.72
Capital Outlay
Emergency Management
$0.00
$0.00
$0.00
Capital Outlay
Street Maintanence
$0.00
$2,072.49
$11,336.91
4(c):10
CITY OF ST JOSEPH
Council Month End Expenditure - General Fund
Current Period: July 2011
4(c):11
2011
July
2011
Description
DEPART Descr
YTD Budget
2011 Amt
YTD And
Capital Outlay
Ice & Snow Removal
$0.00
$0.00
$0.00
Capital Outlay
Street Lighting
$0.00
$0.00
$0.00
Capital Outlay
Street Cleaning
$0.00
$0.00
$0.00
Capital Outlay
Skate Park and Ice Rink
$0.00
$0.00
$0.00
Capital Outlay
Maintenance Shop
$0.00
$0.00
$0.00
Capital Outlay
Park Areas
$0.00
$2,142.24
$14,142.24
Capital Outlay
Other Financing Uses
$0.00
$0.00
$0.00
FUND 490 Capital Outlay
$0.00
$4,214.73
$38,266.84
$2,608,375.00
$210,478.84
$1,364,604.57
4(c):11
,rldI,I
Description DEPART Descr
FUND 601 Water
Water Fund
Water Fund
Water Fund
Water Fund
Water Fund
Water Fund
Water Fund
Water Fund
Water Fund
Water Fund
Water Fund
Water Fund
CITY OF ST JOSEPH
Council Month End Expense - Enterprise Funds
Fund
Bond Payment (P & 1)
Other Financing Uses
Power and Pumping
Purification -Plant 1
Purification -Plant 2
Distribution
Wellhead Protection
Storage -Tower 1
Storage -Tower 2
Water Maintenance
Administration and General
Depreciation Expense
FUND 601 Water Fund
FUND 602 Sewer Fund
Sewer Fund
Bond Payment (P & 1)
Sewer Fund
Other Financing Uses
Sewer Fund
Sanitary Sewer Maintenanc
Sewer Fund
Lift Station -Baker Street
Sewer Fund
Lift Station -DBL Labs Area
Sewer Fund
Lift Station- Northland
Sewer Fund
Lift Station -CR 121
Sewer Fund
Lift Station -Main
Sewer Fund
Administration and General
Sewer Fund
Depreciation Expense
FUND 602 Sewer Fund
FUND 603 Refuse Collection
Refuse Collectio Waste Collection
Refuse Collectio Other Financing Uses
FUND 603 Refuse Collection
FUND 651 Storm Water Utility
Storm Water Util Other Financing Uses
Storm Water Util Administration and General
Storm Water Util Storm Water Maintenance
Storm Water Util Depreciation Expense
FUND 651 Storm Water Utility
Current Period: July 2011
2011
July
2011
YTD Budget
2011 Amt
YTD Amt
$658,280.00
$2,900.00
$118,733.63
$55,000.00
$0.00
$0.00
$29,150.00
$655.53
$3,353.65
$19,810.00
$919.66
$10,554.29
$68,305.00
$4,838.49
$41,020.39
$47,000.00
$2,181.62
$7,527.34
$2,000.00
$0.00
$96.00
$3,250.00
$200.83
$1,872.45
$0.00
$0.00
$0.00
$222,545.00
$10,451.45
$68,829.50
$37,235.00
$2,510.09
$12,914.28
$360,000.00
$0.00
$0.00
$1,502,575.00 $24,657.67 $264,901.53
$47,975.00
$0.00
$3,906.25
$55,000.00
$0.00
$0.00
$195,170.00
$8,394.48
$39,725.58
$3,470.00
$194.04
$1,484.56
$2,975.00
$138.38
$1,262.19
$2,775.00
$126.47
$945.94
$3,775.00
$191.79
$5,512.53
$489,460.00
$26,884.38
$183,460.25
$43,965.00
$3,278.89
$18,810.51
$215,000.00
$0.00
$0.00
$1,059,565.00
$39,208.43
$255,107.81
$312,595.00
$25,255.52
$143,369.34
$4,790.00
$0.00
$0.00
$317,385.00
$25,255.52
$143,369.34
$57,330.00
$0.00
$0.00
$15,210.00
$737.43
$6,809.23
$115,470.00
$4,101.81
$22,872.03
$85,000.00
$0.00
$0.00
$273,010.00
$4,839.24
$29,681.26
$3,152,535.00
$93,960.86
$693,059.94
4(c):12