Title
Adoption of the Fiscal Year 2013 Budget
Body
Whereas, in accordance with the provisions of Public Act 2 of 1968, Public Act 621 of 1978, the Uniform Budgeting and Account 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 proposed budget for the ensuing year and submitted it to the Council at its first meeting in August; and
Whereas, at its August 13, 2012 meeting City Council acknowledged receipt from the Mayor of the Proposed 2013 Budget Plan and set a Public Hearing to be held September 10, 2012 at 7:00 p.m. to solicit comments on the proposed budget plan from the public; and
Whereas, at its September 10, 2012 meeting City Council held said Public Hearing on the proposed budget plan and the related millage rates to defray the fiscal year 2013 proposed budget expenditures; and
Whereas, subsequent to the City Council's review and comments, the Mayor adjusted the original proposed budget; and
Resolved, the following list of funds sets forth the general appropriations for the City and adopts the following City Budgets for fiscal year 2013.
Be It Further Resolved, the Mayor is hereby authorized to administratively adjust the operating budget line items up to $25,000 per event, but in no case may total expenditures of a particular fund exceed that which is appropriated by the City Council without a budget amendment. Adjustments from capital accounts and fund balances shall be made only by further action of the City Council.
Adoption of the FY 2013 Annual Appropriation Budget(s) for the |
|
City of Rochester Hills, Michigan |
|
|
|
Fund 101 - General Fund |
$24,791,500 |
Fund 202 - Major Road Fund |
$6,402,680 |
Fund 203 - Local Street Fund |
$7,863,090 |
Fund 206 - Fire Fund |
$7,323,310 |
Fund 207 - Special Police Fund |
$9,284,540 |
Fund 211 - Stoney Creek Perpetual Care Fund |
$0 |
Fund 213 - RARA Millage Fund |
$569,680 |
Fund 214 - Pathway Millage Fund |
$543,790 |
Fund 232 - Tree Fund |
$54,000 |
Fund 244 - Drain Maintenance Fund |
$522,100 |
Fund 265 - OPC Millage Fund |
$962,330 |
Fund 299 - Green Space Millage Fund |
$33,830 |
Fund 313 - Street Improvement Bond - 2001 Series Fund |
$269,070 |
Fund 314 - SAD Street Improvement Bond - 2001 Series Fund |
$245,030 |
Fund 331 - Drain Debt Fund |
$1,253,390 |
Fund 369 - Older Persons Building Bond Refunding Fund |
$747,370 |
Fund 393 - Municipal Building Refunding Bond - 2010 Series |
$740,330 |
Fund 394 - Local Street Refunding - 2011 Series Fund |
$449,020 |
Fund 402 - Fire Capital Fund |
$50,000 |
Fund 403 - Pathway Construction Fund |
$531,260 |
Fund 420 - Capital Improvement Fund |
$126,220 |
Fund 510 - Sewer Operations |
$13,966,140 |
Fund 530 - Water Operations |
$17,375,770 |
Fund 593 - Water & Sewer Capital Fund |
$4,563,140 |
Fund 595 - Water & Sewer Debt Fund |
$640,420 |
Fund 631 - Facilities Fund |
$5,158,940 |
Fund 636 - MIS Fund |
$1,749,850 |
Fund 661 - Fleet Fund |
$3,701,370 |
Fund 677 - Insurance Fund |
$366,000 |
Fund 736 - Retiree Health Care Trust |
$119,690 |
Fund 843 - Brownfield Redevelopment Fund |
$0 |
Fund 848 - LDFA Fund |
$490,750 |
Fund 851 - SmartZone Fund |
$0 |
Fund 893 - EDC Fund |
$670 |
Total |
$110,895,280 |