File #: 2007-0482    Version:
Type: Finance Status: Passed
File created: 8/6/2007 In control: City Council Work Session
On agenda: Final action: 10/10/2007
Title: Adoption of the Internal Service Funds Budget for Fiscal Year 2008
Attachments: 1. 083007 Budget Discussion Outline.pdf, 2. Resolution.pdf

Title

Adoption of the Internal Service Funds Budget for Fiscal Year 2008 

 

Body

Whereas, in accordance with the provisions of Public Act 2 of 1968 as amended (the Uniform Budgeting and Accounting Act), and the Charter for the City of Rochester Hills, the Mayor as the Chief Executive Officer shall prepare the budget proposal for the ensuing year and shall submit it to the Council at its first meeting in August; and

 

Whereas, at its August 1, 2007 meeting City Council acknowledged receipt from the Mayor of the Proposed 2008 Budget Plan and set a Public Hearing to be held September 19, 2007 at 7:30 p.m. to hear comments on the Proposed Budget Plan; and

 

Whereas, at its September 26, 2007 meeting City Council adopted the 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 December 2007, to provide the tax revenues included in the 2008 Budget.

 

Resolved, that the City Council of the City of Rochester Hills hereby adopts the Facilities Fund Budget for Fiscal Year 2008 and therefore may expend up to, but not to exceed, the total appropriation for the total fund as follows:

 

Fund 631 - Facilities Fund:

Retained Earnings to Balance                                                               $781,640

Interfund Charges                                                               2,732,780

Interest Earnings                                                               399,320

Transfer-In                                                               1,141,670

Facilities Fund Total Revenues                                                               $5,055,410

Facilitites Fund Total Expenses                                                               $5,055,410

 

 

 

Resolved, that the City Council of the City of Rochester Hills hereby adopts the MIS Fund Budget for Fiscal Year 2008 and therefore may expend up to, but not to exceed, the total appropriation for the total fund as follows:

 

Fund 636 - MIS Fund:

Retained Earnings to Balance                                                               $206,020

Interfund Charges                                                               1,848,630

Sales                                                               1,000

Interest Earnings                                                               145,180

Transfer-In                                                               48,000

MIS Fund Total Revenues                                                               $2,248,830

MIS Fund Total Expenses                                                               $2,248,830

 

 

 

Resolved, that the City Council of the City of Rochester Hills hereby adopts the Fleet Fund Budget for Fiscal Year 2008 and therefore may expend up to, but not to exceed, the total appropriation for the total fund as follows:

 

Fund 661 - Fleet Fund:

Retained Earnings to Balance                                                               $323,820

Interfund Charges                                                               2,428,150

Interest Earnings                                                               216,220

Transfer-In                                                               55,000

Fleet Fund Total Revenues                                                               $3,023,190

Fleet Fund Total Expenses                                                               $3,023,190

 

 

 

Resolved, that the City Council of the City of Rochester Hills hereby adopts the Insurance Fund Budget for Fiscal Year 2008 and therefore may expend up to, but not to exceed, the total appropriation for the total fund as follows:

 

Fund 667 - Insurance Fund:

Interfund Charges                                                               $611,860

Interest Earnings                                                               38,140

Insurance Fund Total Revenues                                                               $650,000

Insurance Fund Total Expenses                                                               $650,000