File #: 2008-0431    Version:
Type: Finance Status: Passed
File created: 8/13/2008 In control: City Council Special Meeting
On agenda: Final action: 9/22/2008
Title: Adoption of the FY 2009 Annual Appropriations (Capital Funds)
Attachments: 1. Resolution.pdf, 2. 081808 Budget Discussion Outline.pdf, 3. 082508 Budget Discussion Outline.pdf, 4. 090308 Budget Discussion Outline.pdf

Title

Adoption of the FY 2009 Annual Appropriations (Capital Funds)

 

Body

Whereas, in accordance with the provisions of Public Act 2 of 1968, Public Act 621 of 1978, the Uniform Budgeting and Accounting Act for Local Government, the Special Appropriations Act pursuant to PA 493 of 2000, and Section III of the Charter for the City of Rochester Hills, the Mayor as the Chief Executive Officer prepared the budget proposal for the ensuing year and submitted it to the Council at its first meeting in August; and

 

Whereas, at its August 4, 2008 meeting City Council acknowledged receipt from the Mayor of the Proposed 2009 Budget Plan and set a Public Hearing to be held September 15, 2008 at 7:30 p.m. to solicit comments on the proposed budget plan; and

 

Whereas, at its September 15, 2008 meeting City Council held said Public Hearing on the proposed millage rates to defray the fiscal year 2009 proposed budget expenditures; and

 

Whereas, subsequent to the City Councils review and comments the Mayor modified the original proposed budget; and

 

Whereas, the City Council hereby adopts the following tax rates in accordance with Chapter IV, Taxation, specifically Section 4.1, Power to Tax and Secure Revenue, and Section 4.2, Charter Tax Rate & Special Voted Millages Limitation, to be levied in the winter of 2008 to provide the tax revenues included in the FY2009 Budget.

 

Resolved, the following is to provide for the general appropriations of the City and set- forth amounts appropriated to defray the expenditures and establish projected revenues and to adopt the City’s Budget for fiscal year 2009. 

 

The City Council does hereby adopt the following fund budget for fiscal year 2009:

 

Fund 402 - Fire Capital Fund:                     

Interest Earnings

$230,000

Transfer-In

343,420

Fire Capital Fund Total Revenues

$573,420

Fire Capital Fund Total Expenditures

$573,420

 

Fund 403 - Pathway Construction Fund:                     

Fund Balance

$887,040

Charges for Service

760

Interest Earnings

75,000

Transfer-In

341,830

Pathway Construction Fund Total Revenues

$1,304,630

Pathway Construction Fund Total Expenditures

$1,304,630

 

Fund 420 - Capital Improvement Fund:                     

Fund Balance

$204,960

Interest Earnings

120,000

Transfer-In

82,040

Capital Improvement Fund Total Revenues

$407,000

Capital Improvement Fund Total Expenditures

$407,000